HoldingsChannel.com
All Stocks Held By Envestnet Asset Management Inc.
As of  03/31/2020 <
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
ISHARES TR (IVV) 19,906,628 +3,565,654 $5,143,909
     IVV19,906,628+3,565,654$5,143,909
ISHARES TR (GOVT) 91,927,877 -5,846,054 $2,574,900
     GOVT91,927,877-5,846,054$2,574,900
VANGUARD TAX MANAGED INTL FD (VEA) 68,665,591 +1,727,198 $2,289,311
     VEA68,665,591+1,727,198$2,289,311
ISHARES TR (IEFA) 43,625,617 +7,618,162 $2,176,488
     IEFA43,625,617+7,618,162$2,176,488
VANGUARD INDEX FDS (VOO) 9,123,149 +3,640 $2,160,544
     VOO9,123,149+3,640$2,160,544
ISHARES TR (AGG) 16,008,839 +1,570,406 $1,846,940
     AGG16,008,839+1,570,406$1,846,940
VANGUARD BD INDEX FDS (BSV) 22,394,825 +2,542,154 $1,840,406
     BSV22,394,825+2,542,154$1,840,406
VANGUARD CHARLOTTE FDS (BNDX) 31,501,047 +1,470,970 $1,772,249
     BNDX31,501,047+1,470,970$1,772,249
VANGUARD INDEX FDS (VUG) 10,751,207 -208,235 $1,684,607
     VUG10,751,207-208,235$1,684,607
VANGUARD INDEX FDS (VTV) 17,883,493 +766,254 $1,592,704
     VTV17,883,493+766,254$1,592,704
VANGUARD BD INDEX FDS (BND) 14,723,672 -209,173 $1,256,665
     BND14,723,672-209,173$1,256,665
SPDR S&P 500 ETF TR (SPY) 4,609,134 +512,763 $1,188,004
     SPY4,609,134+512,763$1,188,004
ISHARES TR (QUAL) 12,259,219 +109,229 $993,498
     QUAL12,259,219+109,229$993,498
ISHARES TR (MBB) 8,580,744 -1,899,226 $947,657
     MBB8,580,744-1,899,226$947,657
ISHARES TR (IGIB) 17,006,959 +708,445 $934,022
     IGIB17,006,959+708,445$934,022
VANGUARD INDEX FDS (VTI) 7,222,201 +116,604 $931,014
     VTI7,222,201+116,604$931,014
VANGUARD BD INDEX FDS (BIV) 10,317,011 -140,494 $921,619
     BIV10,317,011-140,494$921,619
SPDR SER TR (BIL) 9,743,644 +8,762,928 $892,810
     BIL9,743,644+8,762,928$892,810
VANGUARD INTL EQUITY INDEX F (VWO) 25,868,477 +1,033,186 $867,887
     VWO25,868,477+1,033,186$867,887
ISHARES TR (USMV) 15,608,921 +2,890,388 $843,049
     USMV15,608,921+2,890,388$843,049
ISHARES TR (IWF) 5,285,044 +92,140 $796,192
     IWF5,285,044+92,140$796,192
VANGUARD BD INDEX FDS (BLV) 7,247,258 +112,293 $773,427
     BLV7,247,258+112,293$773,427
ISHARES TR (ESGU) 13,243,641 +12,738,287 $761,389
     ESGU13,243,641+12,738,287$761,389
ISHARES INC (IEMG) 18,717,023 -10,008,530 $757,477
     IEMG18,717,023-10,008,530$757,477
VANGUARD SCOTTSDALE FDS (VMBS) 13,872,865 +717,649 $756,071
     VMBS13,872,865+717,649$756,071
ISHARES TR (IVW) 4,335,120 +13,503 $715,512
     IVW4,335,120+13,503$715,512
ISHARES TR (EFA) 13,299,773 +713,348 $711,006
     EFA13,299,773+713,348$711,006
ISHARES TR (SHY) 8,115,990 +4,420,600 $703,413
     SHY8,115,990+4,420,600$703,413
MICROSOFT CORP 4,259,303 +466,109 $671,735
     MSFT4,259,303+466,109$671,735
ISHARES U S ETF TR (NEAR) 13,822,584 +3,584,051 $670,258
     NEAR13,822,584+3,584,051$670,258
ISHARES TR (TLT) 3,964,881 +526,350 $654,088
     TLT3,964,881+526,350$654,088
ISHARES TR (IWD) 6,438,862 +811,103 $638,606
     IWD6,438,862+811,103$638,606
ISHARES TR (IVE) 6,127,898 +616,763 $589,810
     IVE6,127,898+616,763$589,810
ISHARES TR (ITOT) 8,728,866 -3,115,193 $499,379
     ITOT8,728,866-3,115,193$499,379
INVESCO QQQ TR 2,371,437 +598,648 $451,522
     QQQ2,371,437+598,648$451,522
ISHARES INC (ESGE) 16,476,918 +16,103,926 $450,972
     ESGE16,476,918+16,103,926$450,972
ISHARES TR (SHYG) 10,899,981 +8,185,770 $445,484
     SHYG10,899,981+8,185,770$445,484
ISHARES TR (MUB) 3,941,310 +622,542 $445,407
     MUB3,941,310+622,542$445,407
VANGUARD STAR FDS (VXUS) 10,424,817 +645,961 $437,426
     VXUS10,424,817+645,961$437,426
APPLE INC 1,680,849 +68,817 $427,423
     AAPL1,680,849+68,817$427,423
SPDR SER TR (SPYG) 11,894,561 +10,326,419 $425,112
     SPYG11,894,561+10,326,419$425,112
VANGUARD INDEX FDS (VXF) 4,162,987 +107,805 $376,917
     VXF4,162,987+107,805$376,917
ISHARES TR (HYG) 4,828,871 -1,359,051 $372,161
     HYG4,828,871-1,359,051$372,161
ISHARES TR (IJH) 2,570,096 -736,357 $369,735
     IJH2,570,096-736,357$369,735
ISHARES TR (IXN) 1,976,217 -386,513 $360,390
     IXN1,976,217-386,513$360,390
ISHARES TR (IWB) 2,323,197 +110,374 $328,802
     IWB2,323,197+110,374$328,802
VANGUARD SCOTTSDALE FDS (VCSH) 4,044,328 -360,453 $319,906
     VCSH4,044,328-360,453$319,906
ISHARES TR (IXUS) 6,142,054 +2,099,208 $288,738
     IXUS6,142,054+2,099,208$288,738
ISHARES TR (IWR) 6,626,190 +545,225 $286,053
     IWR6,626,190+545,225$286,053
VISA INC 1,756,745 +126,154 $283,047
     V1,756,745+126,154$283,047
ISHARES TR (IJR) 5,040,804 +116,446 $282,840
     IJR5,040,804+116,446$282,840
AMAZON COM INC 141,816 +16,326 $276,501
     AMZN141,816+16,326$276,501
VANGUARD INDEX FDS (VNQ) 3,608,161 +684,154 $252,030
     VNQ3,608,161+684,154$252,030
VANGUARD INDEX FDS (VB) 2,092,740 +98,467 $241,586
     VB2,092,740+98,467$241,586
ISHARES TR (EMB) 2,461,872 -602,701 $238,014
     EMB2,461,872-602,701$238,014
FACEBOOK INC 1,389,319 +257,675 $231,738
     FB1,389,319+257,675$231,738
MASTERCARD INC 952,081 +10,293 $229,985
     MA952,081+10,293$229,985
ISHARES TR (SIZE) 3,173,177 -1,651,259 $226,505
     SIZE3,173,177-1,651,259$226,505
ISHARES TR (MTUM) 2,114,201 +7,615 $225,122
     MTUM2,114,201+7,615$225,122
DBX ETF TR (DBEF) 8,019,330 -267,538 $214,918
     DBEF8,019,330-267,538$214,918
VANGUARD INDEX FDS (VO) 1,599,265 +124,806 $210,543
     VO1,599,265+124,806$210,543
ISHARES TR (FLOT) 4,317,575 -616,650 $210,439
     FLOT4,317,575-616,650$210,439
ISHARES TR (IGSB) 4,014,209 -97,892 $210,184
     IGSB4,014,209-97,892$210,184
ALPHABET INC 178,204 +30,134 $207,217
     GOOG178,204+30,134$207,217
ISHARES TR (IWM) 1,782,348 -22,138 $204,008
     IWM1,782,348-22,138$204,008
VANGUARD SCOTTSDALE FDS (VCIT) 2,332,271 +123,500 $203,117
     VCIT2,332,271+123,500$203,117
JPMORGAN CHASE & CO 2,235,278 +225,513 $201,242
     JPM2,235,278+225,513$201,242
VANGUARD WORLD FD (MGK) 1,581,477 -160,580 $200,977
     MGK1,581,477-160,580$200,977
JOHNSON & JOHNSON 1,522,005 +171,077 $199,581
     JNJ1,522,005+171,077$199,581
CISCO SYS INC 5,049,723 +346,138 $198,505
     CSCO5,049,723+346,138$198,505
HOME DEPOT INC 1,061,668 +183,010 $198,224
     HD1,061,668+183,010$198,224
ISHARES TR (SHV) 1,763,470 +1,155,507 $195,780
     SHV1,763,470+1,155,507$195,780
VANGUARD INDEX FDS (VBR) 2,179,618 +134,653 $193,550
     VBR2,179,618+134,653$193,550
VERIZON COMMUNICATIONS INC 3,543,993 +598,021 $190,419
     VZ3,543,993+598,021$190,419
ISHARES TR (LQD) 1,530,103 -234,729 $188,983
     LQD1,530,103-234,729$188,983
MEDTRONIC PLC 2,068,761 +264,498 $186,561
     MDT2,068,761+264,498$186,561
ISHARES TR (IEF) 1,534,083 -408,178 $186,360
     IEF1,534,083-408,178$186,360
DBX ETF TR (HYLB) 4,018,247 +786,613 $177,084
     HYLB4,018,247+786,613$177,084
ALPHABET INC 152,234 +2,064 $176,888
     GOOGL152,234+2,064$176,888
ISHARES TR (EFAV) 2,847,500 -47,728 $176,687
     EFAV2,847,500-47,728$176,687
ISHARES TR (SCZ) 3,860,282 -392,273 $173,056
     SCZ3,860,282-392,273$173,056
UNITEDHEALTH GROUP INC 686,724 +58,700 $171,255
     UNH686,724+58,700$171,255
VANGUARD WORLD FD (MGV) 2,564,881 +78,662 $169,308
     MGV2,564,881+78,662$169,308
ADOBE INC 524,865 +44,092 $167,033
     ADBE524,865+44,092$167,033
MERCK & CO. INC 2,160,235 +551,464 $166,208
     MRK2,160,235+551,464$166,208
ISHARES TR (EFV) 4,616,157 +133,307 $164,751
     EFV4,616,157+133,307$164,751
VANGUARD SPECIALIZED FUNDS (VIG) 1,586,293 +93,398 $164,007
     VIG1,586,293+93,398$164,007
ISHARES TR (EEM) 4,798,238 +1,658,234 $163,764
     EEM4,798,238+1,658,234$163,764
ABBVIE INC 2,121,404 +348,115 $161,630
     ABBV2,121,404+348,115$161,630
SPDR SER TR (JNK) 1,702,589 -293,721 $161,303
     JNK1,702,589-293,721$161,303
PROCTER & GAMBLE CO 1,437,479 +209,465 $158,123
     PG1,437,479+209,465$158,123
ACCENTURE PLC IRELAND 955,028 +63,573 $155,918
     ACN955,028+63,573$155,918
VANGUARD WHITEHALL FDS (VYM) 2,184,024 +301,537 $154,520
     VYM2,184,024+301,537$154,520
ISHARES TR (DGRO) 4,735,686 +56,796 $154,336
     DGRO4,735,686+56,796$154,336
PFIZER INC 4,673,524 +754,250 $152,544
     PFE4,673,524+754,250$152,544
SPDR SER TR (SHM) 3,096,752 +484,222 $151,431
     SHM3,096,752+484,222$151,431
WALMART INC 1,327,329 +373,864 $150,811
     WMT1,327,329+373,864$150,811
ISHARES TR (TIP) 1,277,845 -473 $150,684
     TIP1,277,845-473$150,684
ISHARES TR (PFF) 4,689,856 -587,677 $149,325
     PFF4,689,856-587,677$149,325
BERKSHIRE HATHAWAY INC DEL      $146,757
     BRK.B798,231+46,819$145,941
     BRK.A3-1$816
VANGUARD INTL EQUITY INDEX F (VEU) 3,538,663 -1,570,669 $145,156
     VEU3,538,663-1,570,669$145,156
VANGUARD INDEX FDS (VOE) 1,765,334 -25,721 $143,504
     VOE1,765,334-25,721$143,504
ISHARES TR (IWO) 905,812 +90,343 $143,272
     IWO905,812+90,343$143,272
AT&T INC 4,735,478 +730,777 $138,039
     T4,735,478+730,777$138,039
PEPSICO INC 1,149,262 +138,214 $138,026
     PEP1,149,262+138,214$138,026
SPDR SER TR (SDY) 1,697,211 +3,012 $135,539
     SDY1,697,211+3,012$135,539
VANGUARD INDEX FDS (VBK) 886,022 +17,942 $133,169
     VBK886,022+17,942$133,169
NIKE INC 1,598,738 +16,487 $132,280
     NKE1,598,738+16,487$132,280
SCHWAB STRATEGIC TR 2,505,824 +1,103,898 $129,626
     SCHO2,505,824+1,103,898$129,626
ZOETIS INC 1,089,178 +66,646 $128,185
     ZTS1,089,178+66,646$128,185
ISHARES TR (IUSB) 2,440,267 +233,746 $128,114
     IUSB2,440,267+233,746$128,114
INVESCO EXCHANGE TRADED FD T (PRF) 1,384,313 -26,135 $127,966
     PRF1,384,313-26,135$127,966
STARBUCKS CORP 1,913,655 +84,209 $125,804
     SBUX1,913,655+84,209$125,804
VANGUARD INDEX FDS (VOT) 979,005 -59,726 $124,030
     VOT979,005-59,726$124,030
ABBOTT LABS 1,568,319 +266,557 $123,756
     ABT1,568,319+266,557$123,756
INTEL CORP 2,280,346 +306,006 $123,412
     INTC2,280,346+306,006$123,412
AMGEN INC 603,125 +55,308 $122,271
     AMGN603,125+55,308$122,271
COMCAST CORP NEW 3,556,123 +356,833 $122,260
     CMCSA3,556,123+356,833$122,260
ISHARES TR (DVY) 1,647,058 -40,434 $121,125
     DVY1,647,058-40,434$121,125
SCHWAB STRATEGIC TR 2,198,870 +118,002 $119,333
     SCHZ2,198,870+118,002$119,333
ISHARES TR (IQLT) 4,526,018 +326,875 $116,998
     IQLT4,526,018+326,875$116,998
ISHARES TR (IWN) 1,414,183 +250,871 $116,005
     IWN1,414,183+250,871$116,005
NEXTERA ENERGY INC 478,481 +40,596 $115,132
     NEE478,481+40,596$115,132
CHEVRON CORP NEW 1,559,472 -98,148 $112,999
     CVX1,559,472-98,148$112,999
PHILIP MORRIS INTL INC 1,539,592 +254,965 $112,329
     PM1,539,592+254,965$112,329
THERMO FISHER SCIENTIFIC INC 388,417 +62,711 $110,155
     TMO388,417+62,711$110,155
ISHARES TR (VLUE) 1,746,001 -637,983 $109,998
     VLUE1,746,001-637,983$109,998
INVESCO EXCHANGE TRADED FD T (BKLN) 5,367,601 -132,489 $109,821
     BKLN5,367,601-132,489$109,821
ISHARES TR (ACWI) 1,754,728 -563,487 $109,793
     ACWI1,754,728-563,487$109,793
BLACKROCK INC 249,299 +21,076 $109,684
     BLK249,299+21,076$109,684
TEXAS INSTRS INC 1,079,613 -42,416 $107,886
     TXN1,079,613-42,416$107,886
ISHARES TR (IWP) 885,193 -260,223 $107,631
     IWP885,193-260,223$107,631
SPDR GOLD TRUST (GLD) 717,369 +181,988 $106,207
     GLD717,369+181,988$106,207
AMERICAN TOWER CORP NEW 484,499 +113,972 $105,500
     AMT484,499+113,972$105,500
ISHARES TR (IJK) 590,483 +25,260 $105,378
     IJK590,483+25,260$105,378
SELECT SECTOR SPDR TR (XLK) 1,289,537 -217,332 $103,640
     XLK1,289,537-217,332$103,640
INVESCO EXCHANGE TRADED FD T (SPLV) 2,202,647 +383,773 $103,348
     SPLV2,202,647+383,773$103,348
VANGUARD SCOTTSDALE FDS (VGLT) 1,014,843 -32,167 $102,509
     VGLT1,014,843-32,167$102,509
ISHARES TR (IJS) 1,024,705 +275,996 $102,409
     IJS1,024,705+275,996$102,409
ISHARES TR (IWS) 1,590,699 -251,035 $101,948
     IWS1,590,699-251,035$101,948
COSTCO WHSL CORP NEW 353,976 +117,761 $100,929
     COST353,976+117,761$100,929
TAIWAN SEMICONDUCTOR MFG LTD 2,070,584 -108,325 $98,953
     TSM2,070,584-108,325$98,953
COCA COLA CO 2,225,554 +461,544 $98,481
     KO2,225,554+461,544$98,481
DISNEY WALT CO 1,009,085 -227,776 $97,478
     DIS1,009,085-227,776$97,478
GILEAD SCIENCES INC 1,299,059 +12,369 $97,118
     GILD1,299,059+12,369$97,118
VANGUARD SCOTTSDALE FDS (VONG) 627,781 -8,541 $97,105
     VONG627,781-8,541$97,105
ISHARES TR (GVI) 819,395 -37,803 $94,001
     GVI819,395-37,803$94,001
DANAHER CORPORATION 675,483 +150,473 $93,494
     DHR675,483+150,473$93,494
SALESFORCE COM INC 644,678 +78,718 $92,821
     CRM644,678+78,718$92,821
SPDR SER TR (SPAB) 2,968,759 -692,372 $89,716
     SPAB2,968,759-692,372$89,716
ISHARES TR (IEI) 672,003 +57,749 $89,605
     IEI672,003+57,749$89,605
FIRST TR VALUE LINE DIVID IN (FVD) 3,206,416 +768,705 $88,754
     FVD3,206,416+768,705$88,754
ISHARES TR (IJT) 634,579 +77,652 $87,483
     IJT634,579+77,652$87,483
SPDR SER TR (RWR) 1,209,479 -7,174 $87,324
     RWR1,209,479-7,174$87,324
VANGUARD SCOTTSDALE FDS (VGSH) 1,397,541 +1,241,688 $87,123
     VGSH1,397,541+1,241,688$87,123
ISHARES TR (USHY) 2,449,655 +1,929,685 $86,963
     USHY2,449,655+1,929,685$86,963
VANGUARD SCOTTSDALE FDS (VGIT) 1,210,238 +307,216 $85,382
     VGIT1,210,238+307,216$85,382
EXXON MOBIL CORP 2,197,198 +207,616 $83,428
     XOM2,197,198+207,616$83,428
SPDR SER TR (SPTL) 1,763,518 +295,567 $83,309
     SPTL1,763,518+295,567$83,309
ISHARES GOLD TRUST (IAU) 5,511,088 +768,537 $83,052
     IAU5,511,088+768,537$83,052
CROWN CASTLE INTL CORP NEW 563,586 +17,477 $81,382
     CCI563,586+17,477$81,382
SPDR SER TR (SPIB) 2,341,263 -756,228 $79,626
     SPIB2,341,263-756,228$79,626
PIMCO ETF TR (HYS) 926,033 +234,143 $79,407
     HYS926,033+234,143$79,407
PAYPAL HLDGS INC 825,501 +65,442 $79,033
     PYPL825,501+65,442$79,033
UNION PAC CORP 559,474 -16,574 $78,908
     UNP559,474-16,574$78,908
TJX COS INC NEW 1,647,611 +134,076 $78,772
     TJX1,647,611+134,076$78,772
VANGUARD WORLD FDS (VGT) 366,494 -8,566 $77,660
     VGT366,494-8,566$77,660
HONEYWELL INTL INC 579,488 +83,722 $77,530
     HON579,488+83,722$77,530
SPDR SER TR (SPTS) 2,508,278 +2,483,694 $77,054
     SPTS2,508,278+2,483,694$77,054
GOLDMAN SACHS ETF TR (GBIL) 755,881 -222,243 $76,170
     GBIL755,881-222,243$76,170
VANGUARD INTL EQUITY INDEX F (VNQI) 1,718,680 +1,495,373 $73,749
     VNQI1,718,680+1,495,373$73,749
SCHWAB STRATEGIC TR 1,280,765 -1,691,332 $73,657
     SCHP1,280,765-1,691,332$73,657
MCDONALDS CORP 442,488 +130,354 $73,165
     MCD442,488+130,354$73,165
BK OF AMERICA CORP 3,442,942 +158,922 $73,094
     BAC3,442,942+158,922$73,094
NVIDIA CORP 277,250 +88,370 $73,083
     NVDA277,250+88,370$73,083
LOCKHEED MARTIN CORP 212,877 +33,217 $72,155
     LMT212,877+33,217$72,155
WELLS FARGO CO NEW 2,493,477 +156,859 $71,563
     WFC2,493,477+156,859$71,563
EATON CORP PLC 916,200 +242,333 $71,180
     ETN916,200+242,333$71,180
ISHARES TR (IMTM) 2,686,557 +575,698 $71,086
     IMTM2,686,557+575,698$71,086
DOLLAR GEN CORP NEW 468,943 +37 $70,815
     DG468,943+37$70,815
DUKE ENERGY CORP NEW 871,287 +138,278 $70,470
     DUK871,287+138,278$70,470
SELECT SECTOR SPDR TR (XLU) 1,264,316 -126,636 $70,056
     XLU1,264,316-126,636$70,056
ORACLE CORP 1,448,340 -273,539 $69,998
     ORCL1,448,340-273,539$69,998
ISHARES TR (USIG) 1,243,126 -52,137 $69,640
     USIG1,243,126-52,137$69,640
LOWES COS INC 808,908 +73,387 $69,607
     LOW808,908+73,387$69,607
SELECT SECTOR SPDR TR (XLV) 783,756 -444,752 $69,425
     XLV783,756-444,752$69,425
SCHWAB STRATEGIC TR 2,117,968 +1,150,337 $69,342
     SCHH2,117,968+1,150,337$69,342
PIMCO ETF TR (MINT) 700,070 +34,248 $69,293
     MINT700,070+34,248$69,293
GOLDMAN SACHS ETF TR (GIGB) 1,333,220 -18,039 $68,309
     GIGB1,333,220-18,039$68,309
SCHWAB STRATEGIC TR 1,513,171 +115,145 $68,062
     SCHD1,513,171+115,145$68,062
NOVO NORDISK A S 1,126,781 +75,115 $67,832
     NVO1,126,781+75,115$67,832
ALIBABA GROUP HLDG LTD 347,546 +46,802 $67,591
     BABA347,546+46,802$67,591
INVESCO EXCHANGE TRADED FD T (RSP) 803,550 -143,844 $67,514
     RSP803,550-143,844$67,514
AUTOMATIC DATA PROCESSING IN 493,016 -4,068 $67,385
     ADP493,016-4,068$67,385
ISHARES TR (SUB) 631,929 +124,620 $67,174
     SUB631,929+124,620$67,174
UNITED PARCEL SERVICE INC 713,916 +40,159 $66,694
     UPS713,916+40,159$66,694
MONDELEZ INTL INC 1,328,883 +163,019 $66,550
     MDLZ1,328,883+163,019$66,550
VANGUARD INDEX FDS (VV) 560,935 -44,090 $66,432
     VV560,935-44,090$66,432
FISERV INC 694,130 +4,863 $65,935
     FISV694,130+4,863$65,935
ISHARES TR (IUSG) 1,147,498 +98,285 $65,511
     IUSG1,147,498+98,285$65,511
NOVARTIS A G 788,679 +100,310 $65,027
     NVS788,679+100,310$65,027
SAP SE 586,904 -3,779 $64,853
     SAP586,904-3,779$64,853
VANGUARD INTL EQUITY INDEX F (VSS) 826,813 -41,151 $64,698
     VSS826,813-41,151$64,698
ISHARES TR (IJJ) 585,458 +18,731 $64,254
     IJJ585,458+18,731$64,254
KIMBERLY CLARK CORP 494,512 +66,312 $63,233
     KMB494,512+66,312$63,233
BROADCOM INC 265,670 +57,582 $62,990
     AVGO265,670+57,582$62,990
CHUBB LIMITED 561,901 -2,305 $62,759
     CB561,901-2,305$62,759
CVS HEALTH CORP 1,048,360 +88,754 $62,199
     CVS1,048,360+88,754$62,199
SCHWAB STRATEGIC TR 1,005,856 +19,340 $61,609
     SCHX1,005,856+19,340$61,609
SPDR SER TR (SPSB) 2,028,684 -191,424 $61,368
     SPSB2,028,684-191,424$61,368
FIDELITY NATL INFORMATION SV 503,595 +38,812 $61,257
     FIS503,595+38,812$61,257
ISHARES TR (SMLF) 2,051,517 +401,365 $61,115
     SMLF2,051,517+401,365$61,115
BCE INC 1,481,784 +26,658 $60,546
     BCE1,481,784+26,658$60,546
J P MORGAN EXCHANGE TRADED F (JPST) 1,217,599 +126,634 $60,478
     JPST1,217,599+126,634$60,478
AIR PRODS & CHEMS INC 301,605 +59,351 $60,203
     APD301,605+59,351$60,203
3M CO 436,746 +58,374 $59,620
     MMM436,746+58,374$59,620
FIRST TR EXCHANGE TRADED FD (LMBS) 1,166,386 +315,765 $59,486
     LMBS1,166,386+315,765$59,486
VANGUARD WORLD FDS (VHT) 354,179 -34,266 $58,826
     VHT354,179-34,266$58,826
SCHWAB STRATEGIC TR 732,607 +135,268 $58,352
     SCHG732,607+135,268$58,352
TARGET CORP 624,471 -50,535 $58,057
     TGT624,471-50,535$58,057
VANGUARD SCOTTSDALE FDS (VONV) 647,843 +50,846 $56,375
     VONV647,843+50,846$56,375
BRISTOL MYERS SQUIBB CO 1,008,550 +143,933 $56,217
     BMY1,008,550+167,660$56,217
SHERWIN WILLIAMS CO 122,207 -47,509 $56,157
     SHW122,207-47,509$56,157
ABERDEEN STD INVTS ETFS (BCI) 3,207,129 +112,723 $55,964
     BCI3,207,129+112,723$55,964
SELECT SECTOR SPDR TR (XLP) 1,027,213 -708,928 $55,952
     XLP1,027,213-708,928$55,952
DOMINION ENERGY INC 771,692 +46,024 $55,708
     D771,692+46,024$55,708
QUALCOMM INC 814,494 +77,777 $55,101
     QCOM814,494+77,777$55,101
ISHARES TR (IVLU) 3,126,919 +310,866 $55,034
     IVLU3,126,919+310,866$55,034
STERIS PLC 392,023 -5,985 $54,871
     STE392,023-5,985$54,871
ALTRIA GROUP INC 1,402,612 +223,168 $54,239
     MO1,402,612+223,168$54,239
LINDE PLC 311,106 +36,194 $53,831
     LIN311,106+36,194$53,831
BIOGEN INC 163,909 +5,441 $51,858
     BIIB163,909+5,441$51,858
SPDR INDEX SHS FDS (SPDW) 2,163,818 -1,122,926 $51,802
     SPDW2,163,818-1,122,926$51,802
VANGUARD WORLD FDS (VPU) 422,956 -54,890 $51,571
     VPU422,956-54,890$51,571
SPDR SER TR (BWX) 1,832,303 -175,835 $50,938
     BWX1,832,303-175,835$50,938
FIRST TR EXCHNG TRADED FD VI (FIXD) 963,933 -55,666 $50,809
     FIXD963,933-55,666$50,809
GENERAL DYNAMICS CORP 382,304 +285,346 $50,583
     GD382,304+285,346$50,583
SPDR DOW JONES INDL AVRG ETF (DIA) 230,188 -21,341 $50,464
     DIA230,188-21,341$50,464
ELECTRONIC ARTS INC 503,579 +177,636 $50,444
     EA503,579+177,636$50,444
SPDR SER TR (SJNK) 2,132,066 +396,805 $50,231
     SJNK2,132,066+396,805$50,231
SPDR SER TR (CWB) 1,039,422 -350,484 $49,747
     CWB1,039,422-350,484$49,747
VANGUARD MUN BD FD INC (VTEB) 936,303 +117,323 $49,530
     VTEB936,303+117,323$49,530
CITIGROUP INC 1,150,231 +182,663 $48,448
     C1,150,231+182,663$48,448
ISHARES TR (IUSV) 1,026,321 +61,490 $47,395
     IUSV1,026,321+61,490$47,395
ISHARES INC (EMGF) 1,361,199 +216,648 $46,757
     EMGF1,361,199+216,648$46,757
CANADIAN NATL RY CO 601,702 +6,582 $46,710
     CNI601,702+6,582$46,710
ASML HOLDING N V 176,995 -69,114 $46,309
     ASML176,995-69,114$46,309
GALLAGHER ARTHUR J & CO 566,379 -40,532 $46,166
     AJG566,379-40,532$46,166
BECTON DICKINSON & CO 200,753 -9,732 $46,127
     BDX200,753-9,732$46,127
ECOLAB INC 291,363 -7,127 $45,403
     ECL291,363-7,127$45,403
ISHARES TR (IWV) 303,722 +64,553 $45,051
     IWV303,722+64,553$45,051
GLAXOSMITHKLINE PLC 1,180,054 -28,387 $44,712
     GSK1,180,054-28,387$44,712
LAUDER ESTEE COS INC 280,202 -25,053 $44,647
     EL280,202-25,053$44,647
SCHWAB STRATEGIC TR 1,722,986 +171,612 $44,522
     SCHF1,722,986+171,612$44,522
VANECK VECTORS ETF TR (HYD) 843,615 +442,289 $44,087
     HYD843,615+442,289$44,087
ISHARES INC (EMHY) 1,159,313 +593,830 $44,077
     EMHY1,159,313+593,830$44,077
CME GROUP INC 254,818 +33,291 $44,061
     CME254,818+33,291$44,061
ISHARES TR (HDV) 614,106 +93,348 $43,939
     HDV614,106+93,348$43,939
CDW CORP 470,384 -3,788 $43,873
     CDW470,384-3,788$43,873
AUTODESK INC 279,336 +85,769 $43,604
     ADSK279,336+85,769$43,604
FIRST TR EXCHANGE TRADED FD (FTCS) 869,693 +210,468 $43,226
     FTCS869,693+210,468$43,226
SERVICENOW INC 150,816 +36,339 $43,221
     NOW150,816+36,339$43,221
INTUIT 185,763 +13,135 $42,726
     INTU185,763+13,135$42,726
KEYSIGHT TECHNOLOGIES INC 509,691 -6,123 $42,651
     KEYS509,691-6,123$42,651
LILLY ELI & CO 306,222 +18,068 $42,479
     LLY306,222+18,068$42,479
PROLOGIS INC. 526,936 -22,910 $42,350
     PLD526,936-22,910$42,350
HDFC BANK LTD 1,097,245 +10,853 $42,200
     HDB1,097,245+10,853$42,200
SOUTHERN CO 774,486 -221,220 $41,931
     SO774,486-221,220$41,931
ROSS STORES INC 479,017 +18,504 $41,660
     ROST479,017+18,504$41,660
ISHARES TR (EAGG) 743,171 +111,326 $41,181
     EAGG743,171+111,326$41,181
FACTSET RESH SYS INC 157,663 -29,297 $41,100
     FDS157,663-29,297$41,100
US BANCORP DEL 1,186,360 +169,505 $40,870
     USB1,186,360+169,505$40,870
ISHARES TR (ESGD) 765,264 +307,941 $40,681
     ESGD765,264+307,941$40,681
L3HARRIS TECHNOLOGIES INC 225,187 +18,300 $40,561
     LHX225,187+18,300$40,561
INVESCO EXCHANGE TRADED FD T (PGX) 3,033,799 +308,394 $39,925
     PGX3,033,799+308,394$39,925
EQUINIX INC 63,885 +1,726 $39,900
     EQIX63,885+1,726$39,900
ISHARES TR (EFG) 553,982 +226,561 $39,394
     EFG553,982+226,561$39,394
IHS MARKIT LTD 655,909 +291,222 $39,355
     INFO655,909+291,222$39,355
SSGA ACTIVE ETF TR (TOTL) 818,876 -390,105 $39,273
     TOTL818,876-390,105$39,273
SHOPIFY INC 93,643 -44,597 $39,043
     SHOP93,643-44,597$39,043
SPDR INDEX SHS FDS (SPEM) 1,363,335 -8,732 $38,801
     SPEM1,363,335-8,732$38,801
VERISK ANALYTICS INC 277,951 +1,523 $38,741
     VRSK277,951+1,523$38,741
ISHARES TR (IGLB) 605,417 +168,168 $38,517
     IGLB605,417+168,168$38,517
ISHARES TR (SUSB) 1,544,807 +1,360,493 $38,497
     SUSB1,544,807+1,360,493$38,497
ISHARES TR (IDV) 1,701,271 +119,587 $38,449
     IDV1,701,271+119,587$38,449
ALCON INC 754,589 +151,423 $38,376
     ALC754,589+151,423$38,376
TRUIST FINL CORP 1,243,672 -314,396 $38,355
     TFC1,243,672-314,396$38,355
MSCI INC 130,414 +14,353 $37,684
     MSCI130,414+14,353$37,684
VANECK VECTORS ETF TR (EMLC) 1,322,732 -1,019,674 $37,658
     EMLC1,322,732-1,019,674$37,658
AKAMAI TECHNOLOGIES INC 410,693 -1,874 $37,574
     AKAM410,693-1,874$37,574
FIRST TR EXCHANGE TRADED FD (FDN) 300,901 +85,783 $37,231
     FDN300,901+85,783$37,231
VANGUARD WORLD FDS (VDC) 267,965 -10,352 $36,931
     VDC267,965-10,352$36,931
CHARTER COMMUNICATIONS INC N 84,318 +23,204 $36,789
     CHTR84,318+23,204$36,789
METLIFE INC 1,203,178 +280,586 $36,781
     MET1,203,178+280,586$36,781
WELLTOWER INC 802,719 +170,646 $36,748
     WELL802,719+170,646$36,748
PIMCO ETF TR (BOND) 341,564 +1,861 $36,264
     BOND341,564+1,861$36,264
HORMEL FOODS CORP 776,258 -140,156 $36,205
     HRL776,258-140,156$36,205
ISHARES TR (IEUR) 973,071 -609,475 $36,081
     IEUR973,071-609,475$36,081
ISHARES TR (DSI) 369,403 +111,022 $35,976
     DSI369,403+111,022$35,976
ENBRIDGE INC 1,232,461 +172,807 $35,852
     ENB1,232,461+172,807$35,852
INTERNATIONAL BUSINESS MACHS 322,087 -90,262 $35,729
     IBM322,087-90,262$35,729
MORGAN STANLEY 1,046,374 +280,571 $35,577
     MS1,046,374+280,571$35,577
ISHARES INC (EEMV) 748,541 -38,265 $35,122
     EEMV748,541-38,265$35,122
VANGUARD WORLD FD (MGC) 385,975 +6,770 $35,101
     MGC385,975+6,770$35,101
TORO CO 535,479 -22,695 $34,854
     TTC535,479-22,695$34,854
BRITISH AMERN TOB PLC 1,018,902 +388,161 $34,836
     BTI1,018,902+388,161$34,836
ISHARES TR (IPAC) 751,159 +48,605 $34,824
     IPAC751,159+48,605$34,824
PROGRESSIVE CORP OHIO 470,724 +122,094 $34,758
     PGR470,724+122,094$34,758
APPLIED MATLS INC 752,670 +367,667 $34,487
     AMAT752,670+367,667$34,487
WASTE MGMT INC DEL 372,067 +52,772 $34,439
     WM372,067+52,772$34,439
RESMED INC 232,920 +1,599 $34,307
     RMD232,920+1,599$34,307
INVESCO EXCHANGE TRADED FD T (PZA) 1,325,456 +134,321 $34,197
     PZA1,325,456+134,321$34,197
CANADIAN PAC RY LTD 152,451 -2,426 $33,477
     CP152,451-2,426$33,477
PNC FINL SVCS GROUP INC 347,704 +7,289 $33,282
     PNC347,704+7,289$33,282
SCHWAB STRATEGIC TR 550,717 +1,545 $33,280
     SCHB550,717+1,545$33,280
S&P GLOBAL INC 134,398 +42,329 $32,934
     SPGI134,398+42,329$32,934
PHILLIPS 66 607,560 -30 $32,596
     PSX607,560-30$32,596
IQVIA HLDGS INC 299,627 +55,860 $32,318
     IQV299,627+55,860$32,318
INVESCO ACTIVELY MANAGD ETF (PDBC) 2,727,750 -1,877,120 $32,242
     PDBC2,727,750-1,877,120$32,242
C H ROBINSON WORLDWIDE INC 483,882 +63,000 $32,033
     CHRW483,882+63,000$32,033
ISHARES TR (IYR) 459,357 -59,924 $31,957
     IYR459,357-59,924$31,957
ANSYS INC 137,288 +9,223 $31,915
     ANSS137,288+9,223$31,915
EXPEDITORS INTL WASH INC 475,386 -3,326 $31,718
     EXPD475,386-3,326$31,718
COGNIZANT TECHNOLOGY SOLUTIO 680,417 +156,866 $31,619
     CTSH680,417+156,866$31,619
CLOROX CO DEL 182,163 +10,660 $31,560
     CLX182,163+10,660$31,560
WISDOMTREE TR 809,151 +114,078 $31,484
     DGRW809,151+114,078$31,484
PPL CORP 1,270,065 +119,402 $31,345
     PPL1,270,065+119,402$31,345
METTLER TOLEDO INTERNATIONAL 45,110 +708 $31,149
     MTD45,110+708$31,149
EDWARDS LIFESCIENCES CORP 164,886 +734 $31,101
     EW164,886+734$31,101
SMITH & NEPHEW GROUP PLC 862,726 +189,623 $30,946
     SNN862,726+189,623$30,946
TRACTOR SUPPLY CO 365,576 -20,722 $30,909
     TSCO365,576-20,722$30,909
BP PLC 1,256,266 +16,913 $30,640
     BP1,256,266+16,913$30,640
HENRY JACK & ASSOC INC 196,877 -22,992 $30,563
     JKHY196,877-22,992$30,563
CATERPILLAR INC DEL 263,323 +58,506 $30,556
     CAT263,323+58,506$30,556
SSGA ACTIVE ETF TR (SRLN) 758,517 -426,629 $30,348
     SRLN758,517-426,629$30,348
CONOCOPHILLIPS 980,850 +126,839 $30,210
     COP980,850+126,839$30,210
REPUBLIC SVCS INC 402,382 +15,187 $30,203
     RSG402,382+15,187$30,203
NORTHROP GRUMMAN CORP 99,591 +11,314 $30,131
     NOC99,591+11,314$30,131
ISHARES TR (HEFA) 1,243,376 +576,839 $30,102
     HEFA1,243,376+576,839$30,102
BOOKING HLDGS INC 22,256 -10,760 $29,941
     BKNG22,256-10,760$29,941
SPDR SER TR (SPYV) 1,155,782 -15,346,832 $29,865
     SPYV1,155,782-15,346,832$29,865
SPDR SER TR (TFI) 596,026 +18,761 $29,801
     TFI596,026+18,761$29,801
VANGUARD WORLD FDS (VOX) 390,696 -284,246 $29,763
     VOX390,696-284,246$29,763
VANGUARD WORLD FDS (VDE) 778,540 +183,341 $29,756
     VDE778,540+183,341$29,756
AMERICAN EXPRESS CO 347,065 -7,880 $29,712
     AXP347,065-7,880$29,712
DIAGEO P L C 230,971 -2,540 $29,361
     DEO230,971-2,540$29,361
SPDR INDEX SHS FDS (FEZ) 994,907 +51,905 $29,360
     FEZ994,907+51,905$29,360
UNILEVER N V 596,013 -13,704 $29,078
     UN596,013-13,704$29,078
UNILEVER PLC 571,753 +235,892 $28,914
     UL571,753+235,892$28,914
NATIONAL GRID PLC 494,733 -62,359 $28,828
     NGG494,733-62,359$28,828
SBA COMMUNICATIONS CORP NEW 106,732 +8,660 $28,814
     SBAC106,732+8,660$28,814
ISHARES TR (IAGG) 526,610 +50,999 $28,800
     IAGG526,610+50,999$28,800
NETFLIX INC 76,522 +10,107 $28,734
     NFLX76,522+10,107$28,734
FIDELITY COVINGTON TR 457,035 -114,062 $28,652
     FTEC457,035-114,062$28,652
ISHARES INC (DVYE) 1,016,037 +412,831 $28,601
     DVYE1,016,037+412,831$28,601
VANGUARD WORLD FDS (VAW) 295,888 -38,639 $28,473
     VAW295,888-38,639$28,473
STRYKER CORP 170,987 +23,760 $28,468
     SYK170,987+23,760$28,468
LULULEMON ATHLETICA INC 149,860 +35,087 $28,406
     LULU149,860+35,087$28,406
ISHARES TR (IHI) 125,202 +3,044 $28,214
     IHI125,202+3,044$28,214
ALLSTATE CORP 306,084 +8,517 $28,077
     ALL306,084+8,517$28,077
KINDER MORGAN INC DEL 2,015,263 +879,121 $28,052
     KMI2,015,263+879,121$28,052
VEEVA SYS INC 178,444 +8,785 $27,903
     VEEV178,444+8,785$27,903
INTERCONTINENTAL EXCHANGE IN (ICE) 344,621 +20,226 $27,828
     ICE344,621+20,226$27,828
ICON PLC 203,207 -1,669 $27,636
     ICLR203,207-1,669$27,636
REGENERON PHARMACEUTICALS 55,937 +11,309 $27,313
     REGN55,937+11,309$27,313
SCHWAB STRATEGIC TR 614,806 +96,431 $27,217
     SCHV614,806+96,431$27,217
VERTEX PHARMACEUTICALS INC 114,255 +20,284 $27,187
     VRTX114,255+20,284$27,187
MERCADOLIBRE INC 55,603 +39,684 $27,167
     MELI55,603+39,684$27,167
MCCORMICK & CO INC 191,845 +6,610 $27,090
     MKC191,845+6,610$27,090
SCHWAB CHARLES CORP 805,349 +27,710 $27,076
     SCHW805,349+27,710$27,076
VANGUARD WORLD FDS (VCR) 184,074 -35,841 $26,755
     VCR184,074-35,841$26,755
PAYCHEX INC 421,734 +37,534 $26,535
     PAYX421,734+37,534$26,535
QUEST DIAGNOSTICS INC 330,264 +81,876 $26,520
     DGX330,264+81,876$26,520
CANADIAN IMP BK COMM 454,311 -6,715 $26,336
     CM454,311-6,715$26,336
FERRARI N V 171,664 +134,462 $26,297
     RACE171,664+134,462$26,297
AMPHENOL CORP NEW 360,680 +27,512 $26,286
     APH360,680+27,512$26,286
WEC ENERGY GROUP INC 296,914 +85,572 $26,167
     WEC296,914+85,572$26,167
TOTAL S.A. 701,624 -110,062 $26,128
     TOT701,624-110,062$26,128
AMERISOURCEBERGEN CORP 294,754 +46,873 $26,086
     ABC294,754+46,873$26,086
INVESCO EXCHANGE TRADED FD T (XMLV) 654,016 +133,790 $26,043
     XMLV654,016+133,790$26,043
V F CORP 479,672 +63,748 $25,941
     VFC479,672+63,748$25,941
CMS ENERGY CORP 439,867 +74,895 $25,842
     CMS439,867+74,895$25,842
RAYTHEON CO 196,490 -24,310 $25,770
     RTN196,490-24,310$25,770
ROPER TECHNOLOGIES INC 82,356 +3,431 $25,680
     ROP82,356+3,431$25,680
ISHARES TR (IDEV) 577,925 +132,460 $25,608
     IDEV577,925+132,460$25,608
ANTHEM INC 112,005 +17,313 $25,430
     ANTM112,005+17,313$25,430
VANGUARD WORLD FDS (VFH) 500,377 -124,796 $25,379
     VFH500,377-124,796$25,379
GLOBAL PMTS INC 175,948 +4,512 $25,377
     GPN175,948+4,512$25,377
LAM RESEARCH CORP 105,195 +2,551 $25,247
     LRCX105,195+2,551$25,247
SCHWAB STRATEGIC TR 1,034,435 +75,375 $25,240
     SCHC1,034,435+75,375$25,240
JOHNSON CTLS INTL PLC 933,991 +15,584 $25,180
     JCI933,991+15,584$25,180
WEST PHARMACEUTICAL SVSC INC 165,122 +11,798 $25,140
     WST165,122+11,798$25,140
FIRST TR EXCHANGE TRADED FD (FTSL) 600,312 -18,598 $25,087
     FTSL600,312-18,598$25,087
FIRST TR EXCHANGE TRADED FD (FTSM) 422,931 +16,339 $24,966
     FTSM422,931+16,339$24,966
INVESCO EXCH TRD SLF IDX FD 1,076,497 -51,737 $24,759
     BSJK1,076,497-51,737$24,759
CARDINAL HEALTH INC 511,775 +213,842 $24,534
     CAH511,775+213,842$24,534
VODAFONE GROUP PLC NEW 1,781,201 +318,666 $24,527
     VOD1,781,201+318,666$24,527
EMERSON ELEC CO 512,200 +147,999 $24,406
     EMR512,200+147,999$24,406
HUNTINGTON BANCSHARES INC (HBAN) 2,969,080 +664,159 $24,376
     HBAN2,969,080+664,159$24,376
ISHARES TR (USRT) 613,578 +35,420 $24,034
     USRT613,578+35,420$24,034
CHECK POINT SOFTWARE TECH LT 235,202 -24,472 $23,647
     CHKP235,202-24,472$23,647
WALGREENS BOOTS ALLIANCE INC 516,566 -245,407 $23,633
     WBA516,566-245,407$23,633
GOLDMAN SACHS GROUP INC 152,692 +108,410 $23,605
     GS152,692+108,410$23,605
SONY CORP 396,690 +41,919 $23,476
     SNE396,690+41,919$23,476
ANALOG DEVICES INC 261,838 +63,431 $23,474
     ADI261,838+63,431$23,474
CUMMINS INC 173,393 +20,311 $23,463
     CMI173,393+20,311$23,463
SELECT SECTOR SPDR TR (XLF) 1,119,824 -1,823,463 $23,315
     XLF1,119,824-1,823,463$23,315
XILINX INC 299,056 -31,287 $23,308
     XLNX299,056-31,287$23,308
ISHARES TR (AAXJ) 388,826 +365,695 $23,221
     AAXJ388,826+365,695$23,221
ILLUMINA INC 84,503 +4,679 $23,079
     ILMN84,503+4,679$23,079
SANOFI 521,993 +64,221 $22,822
     SNY521,993+64,221$22,822
ISHARES TR (IGF) 665,997 -57,536 $22,744
     IGF665,997-57,536$22,744
VANGUARD WORLD FD (EDV) 134,952 +79,768 $22,626
     EDV134,952+79,768$22,626
DIGITAL RLTY TR INC 161,033 +46,472 $22,369
     DLR161,033+46,472$22,369
ZEBRA TECHNOLOGIES CORP 121,495 -1,587 $22,306
     ZBRA121,495-1,587$22,306
SPDR S&P MIDCAP 400 ETF TR (MDY) 84,657 -3,723 $22,255
     MDY84,657-3,723$22,255
NASDAQ INC 234,074 +4,364 $22,225
     NDAQ234,074+4,364$22,225
SPDR INDEX SHS FDS (RWO) 616,850 -20,014 $22,207
     RWO616,850-20,014$22,207
SPDR SER TR (BWZ) 743,510 +161,419 $22,052
     BWZ743,510+161,419$22,052
WISDOMTREE TR 831,277 +50,694 $21,962
     EZM831,277+50,694$21,962
AMERICAN ELEC PWR CO INC 273,592 +29,532 $21,882
     AEP273,592+29,532$21,882
NORFOLK SOUTHERN CORP 149,723 +38,086 $21,859
     NSC149,723+38,086$21,859
CONSTELLATION BRANDS INC 150,459 +103,073 $21,570
     STZ150,459+103,073$21,570
ISHARES TR (IGE) 1,296,041 +559,919 $21,553
     IGE1,296,041+559,919$21,553
LEAR CORP 263,974 +32,697 $21,448
     LEA263,974+32,697$21,448
VALERO ENERGY CORP 472,331 +126,291 $21,425
     VLO472,331+126,291$21,425
SELECT SECTOR SPDR TR (XLY) 217,863 -290,563 $21,368
     XLY217,863-290,563$21,368
AUTOZONE INC 25,200 +9,896 $21,319
     AZO25,200+9,896$21,319
RELX PLC 995,562 +81,655 $21,305
     RELX995,562+81,655$21,305
ALPS ETF TR (AMLP) 6,186,810 +3,848,815 $21,283
     AMLP6,186,810+3,848,815$21,283
CIGNA CORP NEW 120,044 +3,512 $21,269
     CI120,044+3,512$21,269
PACER FDS TR 833,484 +458,095 $21,262
     PTBD833,484+484,958$21,262
FIRST TR EXCH TRADED FD III (HUSV) 978,866 -82,614 $21,222
     HUSV978,866-82,614$21,222
OSI ETF TR (OUSA) 729,159 -9,684 $21,167
     OUSA729,159-9,684$21,167
ISHARES TR (ISTB) 418,700 +7,580 $21,144
     ISTB418,700+7,580$21,144
COPART INC 308,136 +36,557 $21,113
     CPRT308,136+36,557$21,113
SPDR INDEX SHS FDS (DWX) 688,605 -93,921 $21,092
     DWX688,605-93,921$21,092
AMERIPRISE FINL INC 205,404 +22,619 $21,050
     AMP205,404+22,619$21,050
INTUITIVE SURGICAL INC 42,480 +5,382 $21,036
     ISRG42,480+5,382$21,036
ISHARES INC (ACWV) 261,182 +108,092 $20,983
     ACWV261,182+108,092$20,983
COSTAR GROUP INC 35,680 +1,136 $20,952
     CSGP35,680+1,136$20,952
MARSH & MCLENNAN COS INC 241,920 +28,739 $20,916
     MMC241,920+28,739$20,916
TYLER TECHNOLOGIES INC 70,506 +1,703 $20,909
     TYL70,506+1,703$20,909
BOSTON SCIENTIFIC CORP 634,458 +205,301 $20,702
     BSX634,458+205,301$20,702
INVESCO EXCHANGE TRADED FD T (SPHQ) 691,652 -1,337,094 $20,701
     SPHQ691,652-1,337,094$20,701
INVESCO EXCHANGE TRADED FD T (XSLV) 620,655 -89,313 $20,569
     XSLV620,655-89,313$20,569
VANGUARD MALVERN FDS (VTIP) 418,698 -120,665 $20,399
     VTIP418,698-120,665$20,399
KLA CORPORATION 140,842 +12,176 $20,245
     KLAC140,842+12,176$20,245
ROYAL DUTCH SHELL PLC      $20,181
     RDS.B371,924-416,076$12,147
     RDS.A230,269-293,306$8,034
FIRST TR EXCH TRADED FD III (FPE) 1,229,919 +503,385 $20,171
     FPE1,229,919+503,385$20,171
UBER TECHNOLOGIES INC 719,805 +311,592 $20,097
     UBER719,805+311,592$20,097
SPLUNK INC 158,872 +9,195 $20,054
     SPLK158,872+9,195$20,054
NUSHARES ETF TR (NUAG) 803,000 -86,422 $19,995
     NUAG803,000-86,422$19,995
D R HORTON INC 586,938 +69,666 $19,956
     DHI586,938+69,666$19,956
SSGA ACTIVE TR 714,316 +157,271 $19,946
     XLSR714,316+157,271$19,946
VANGUARD WORLD FDS (VIS) 180,418 -26,981 $19,902
     VIS180,418-26,981$19,902
AMERICAN INTL GROUP INC 816,784 +171,068 $19,807
     AIG816,784+171,068$19,807
FASTENAL CO 633,364 -74,252 $19,793
     FAST633,364-74,252$19,793
TRAVELERS COMPANIES INC 198,917 +13,825 $19,762
     TRV198,917+13,825$19,762
FIRST TR LARGE CAP GROWTH A (FTC) 328,753 -368,834 $19,696
     FTC328,753-368,834$19,696
GOLDMAN SACHS ETF TR (GSIE) 852,368 -22,327 $19,656
     GSIE852,368-22,327$19,656
SCHWAB STRATEGIC TR 949,048 +143,917 $19,512
     FNDE949,048+143,917$19,512
COLGATE PALMOLIVE CO 289,978 +98,563 $19,243
     CL289,978+98,563$19,243
INVESCO EXCH TRD SLF IDX FD 866,511 -23,706 $19,185
     BSJL866,511-23,706$19,185
SYNOPSYS INC 148,401 +14,511 $19,113
     SNPS148,401+14,511$19,113
ALIGN TECHNOLOGY INC 109,122 +4,622 $18,982
     ALGN109,122+4,622$18,982
GLACIER BANCORP INC NEW 552,698 +25,627 $18,794
     GBCI552,698+25,627$18,794
ISHARES TR (IYW) 91,637 +3,545 $18,730
     IYW91,637+3,545$18,730
OMNICOM GROUP INC 339,239 +49,110 $18,624
     OMC339,239+49,110$18,624
ALEXION PHARMACEUTICALS INC 207,393 +56,435 $18,622
     ALXN207,393+56,435$18,622
SELECT SECTOR SPDR TR (XLC) 419,325 -677,669 $18,551
     XLC419,325-677,669$18,551
THOR INDS INC 438,035 +9,319 $18,476
     THO438,035+9,319$18,476
INDEXIQ ETF TR (QAI) 646,921 +68,739 $18,418
     QAI646,921+68,739$18,418
DOLLAR TREE INC 250,034 +66,779 $18,370
     DLTR250,034+66,779$18,370
SPDR SER TR (FLRN) 624,703 -103,355 $18,366
     FLRN624,703-103,355$18,366
SPDR SER TR (SLY) 378,072 +23,507 $18,310
     SLY378,072+23,507$18,310
CHEMED CORP NEW 41,625 +6,214 $18,032
     CHE41,625+6,214$18,032
ISHARES TR (EWU) 753,800 -498,564 $18,001
     EWU753,800-498,564$18,001
WISDOMTREE TR 347,570 -271,868 $17,952
     AGGY347,570-271,868$17,952
FIDELITY COVINGTON TR 416,300 +51,583 $17,893
     FHLC416,300+51,583$17,893
PROSPERITY BANCSHARES INC (PB) 369,597 +19,676 $17,833
     PB369,597+19,676$17,833
DOW INC 608,800 +215,417 $17,801
     DOW608,800+215,417$17,801
CENTENE CORP DEL 299,270 -23,635 $17,780
     CNC299,270-23,635$17,780
FIRST REP BK SAN FRANCISCO C 216,061 +16,515 $17,777
     FRC216,061+16,515$17,777
KRANESHARES TR (KDFI) 850,110 +575,654 $17,772
     KDFI850,110+575,654$17,772
J P MORGAN EXCHANGE TRADED F (BBJP) 867,121 +64,040 $17,750
     BBJP867,121+64,040$17,750
AMERICAN CENTY ETF TR (KORP) 364,123 +31,508 $17,700
     KORP364,123+31,508$17,700
SCHWAB STRATEGIC TR 854,075 -76,977 $17,671
     SCHE854,075-76,977$17,671
MICRON TECHNOLOGY INC 419,352 +124,162 $17,638
     MU419,352+124,162$17,638
KONINKLIJKE PHILIPS N V 439,057 +11,691 $17,633
     PHG439,057+11,691$17,633
INVESCO EXCHANGE TRADED FD T (PCY) 736,923 -41,148 $17,620
     PCY736,923-41,148$17,620
GRIFOLS S A 868,795 -53,067 $17,498
     GRFS868,795-53,067$17,498
ISHARES INC (EWL) 494,020 -370,108 $17,469
     EWL494,020-370,108$17,469
BOEING CO 116,820 -15,127 $17,423
     BA116,820-15,127$17,423
J P MORGAN EXCHANGE TRADED F (JQUA) 682,648 +550,042 $17,408
     JQUA682,648+550,042$17,408
GRAINGER W W INC 69,915 -18,822 $17,374
     GWW69,915-18,822$17,374
BROADRIDGE FINL SOLUTIONS IN 183,148 +508 $17,368
     BR183,148+508$17,368
ISHARES TR (AGZ) 143,999 -48,817 $17,360
     AGZ143,999-48,817$17,360
NXP SEMICONDUCTORS N V 208,671 -44,141 $17,305
     NXPI208,671-44,141$17,305
ISHARES TR (ICF) 188,897 +16,495 $17,299
     ICF188,897+16,495$17,299
TOYOTA MOTOR CORP 144,189 +35,543 $17,295
     TM144,189+35,543$17,295
HP INC 996,104 +68,686 $17,292
     HPQ996,104+68,686$17,292
DEXCOM INC 64,205 +3,621 $17,288
     DXCM64,205+3,621$17,288
JOHN HANCOCK ETF TRUST (JHML) 538,682 -103,586 $17,281
     JHML538,682-103,586$17,281
VANGUARD SCOTTSDALE FDS (VTWO) 187,408 +18,798 $17,281
     VTWO187,408+18,798$17,281
ASTRAZENECA PLC 384,984 -70,676 $17,193
     AZN384,984-70,676$17,193
XCEL ENERGY INC 284,699 +15,913 $17,167
     XEL284,699+15,913$17,167
CBRE GROUP INC 451,362 +44,126 $17,021
     CBRE451,362+44,126$17,021
GENUINE PARTS CO 252,392 +54,711 $16,994
     GPC252,392+54,711$16,994
FIRST TR EXCHANGE TRADED ALP (FEP) 655,281 +361,117 $16,959
     FEP655,281+361,117$16,959
PACER FDS TR      $16,867
     PWS696,500-136,480$16,422
     BNCHMRK INDSTR15,585+15,585$445
ACTIVISION BLIZZARD INC 283,263 +71,419 $16,848
     ATVI283,263+71,419$16,848
J P MORGAN EXCHANGE TRADED F (JPHF) 887,612 -15,188 $16,829
     JPHF887,612-15,188$16,829
ISHARES TR (ACWX) 444,191 -206,229 $16,724
     ACWX444,191-206,229$16,724
INVESCO ACTIVELY MANAGED ETF (GSY) 338,121 -98,917 $16,673
     GSY338,121-98,917$16,673
GARTNER INC 164,442 -15,232 $16,373
     IT164,442-15,232$16,373
INDEXIQ ETF TR (MNA) 542,791 -49,311 $16,360
     MNA542,791-49,311$16,360
AGILENT TECHNOLOGIES INC 227,083 +84,746 $16,264
     A227,083+84,746$16,264
ISHARES TR (HEZU) 684,401 +182,942 $16,159
     HEZU684,401+182,942$16,159
DAVITA INC 212,115 +161,334 $16,133
     DVA212,115+161,334$16,133
CITRIX SYS INC 113,805 +13,838 $16,109
     CTXS113,805+13,838$16,109
ILLINOIS TOOL WKS INC 113,334 +21,322 $16,107
     ITW113,334+21,322$16,107
F M C CORP 194,104 +113,077 $15,856
     FMC194,104+113,077$15,856
ISHARES TR (OEF) 133,599 -2,004 $15,847
     OEF133,599-2,004$15,847
TRANE TECHNOLOGIES PLC 191,845 +191,845 $15,844
     TT191,845+191,845$15,844
PIMCO EQUITY SER 899,228 +6,337 $15,745
     MFEM899,228+6,337$15,745
PACER FDS TR 581,444 +276,915 $15,705
     PTLC581,444+276,915$15,705
LAS VEGAS SANDS CORP 369,124 +176,625 $15,677
     LVS369,124+176,625$15,677
CORTEVA INC 665,968 +188,911 $15,650
     CTVA665,968+188,911$15,650
AFLAC INC 454,199 -176,824 $15,552
     AFL454,199-176,824$15,552
FIRST TR EXCHANGE TRADED FD (SKYY) 285,168 -1,633 $15,539
     SKYY285,168-1,633$15,539
ISHARES TR (IWL) 252,226 +252,226 $15,525
     IWL252,226+252,226$15,525
ONEOK INC NEW 709,607 +202,494 $15,477
     OKE709,607+202,494$15,477
NORDSON CORP 113,904 +5,011 $15,385
     NDSN113,904+5,011$15,385
T MOBILE US INC 181,160 +31,311 $15,199
     TMUS181,160+31,311$15,199
BEST BUY INC 265,977 +67,384 $15,161
     BBY265,977+67,384$15,161
AMEREN CORP 207,923 +115,943 $15,143
     AEE207,923+115,943$15,143
SELECT SECTOR SPDR TR (XLRE) 488,499 -229,180 $15,143
     XLRE488,499-229,180$15,143
AMETEK INC 209,542 -59,375 $15,091
     AME209,542-59,375$15,091
POOL CORPORATION 76,582 -378 $15,069
     POOL76,582-378$15,069
TELADOC HEALTH INC 96,866 -13,702 $15,015
     TDOC96,866-13,702$15,015
VANGUARD INTL EQUITY INDEX F (VGK) 345,135 +7,845 $14,937
     VGK345,135+7,845$14,937
CARMAX INC 276,602 -97,073 $14,889
     KMX276,602-97,073$14,889
JACOBS ENGR GROUP INC 186,204 +79,097 $14,760
     JEC186,204+79,097$14,760
SSGA ACTIVE TR 471,896 +84,377 $14,685
     FISR471,896+84,377$14,685
FIRST TR EXCH TRADED FD III (HDMV) 566,223 +48,460 $14,631
     HDMV566,223+48,460$14,631
CINTAS CORP 83,722 -691 $14,502
     CTAS83,722-691$14,502
CHIPOTLE MEXICAN GRILL INC 22,110 -1,409 $14,469
     CMG22,110-1,409$14,469
KANSAS CITY SOUTHERN 113,459 -15,676 $14,430
     KSU113,459-15,676$14,430
EVERSOURCE ENERGY 184,132 +90,254 $14,401
     ES184,132+90,254$14,401
FIRSTENERGY CORP 357,698 +195,267 $14,333
     FE357,698+195,267$14,333
ISHARES TR (AOR) 345,906 +256,661 $14,314
     AOR345,906+256,661$14,314
SELECT SECTOR SPDR TR (XLE) 490,913 +177,211 $14,266
     XLE490,913+177,211$14,266
WISDOMTREE TR 175,768 +11,535 $14,227
     DLN175,768+11,535$14,227
AMERICAN CENTY ETF TR (QINT) 431,792 +34,267 $14,145
     QINT431,792+34,267$14,145
GOLDMAN SACHS ETF TR (GSLC) 270,345 +28,508 $14,109
     GSLC270,345+28,508$14,109
RPM INTL INC 235,020 -10,636 $13,984
     RPM235,020-10,636$13,984
FORTIVE CORP 252,895 +20,849 $13,957
     FTV252,895+20,849$13,957
VANGUARD ADMIRAL FDS INC (IVOO) 143,030 +881 $13,917
     IVOO143,030+881$13,917
ISHARES TR (IDU) 99,907 +5,928 $13,796
     IDU99,907+5,928$13,796
INVESCO EXCHANGE TRADED FD T (PHB) 831,807 -181,125 $13,791
     PHB831,807-181,125$13,791
FIRST TR MORNINGSTAR DIVID L (FDL) 615,903 +4,709 $13,753
     FDL615,903+4,709$13,753
SUN CMNTYS INC 109,577 +1,337 $13,681
     SUI109,577+1,337$13,681
GARMIN LTD 182,324 -10,894 $13,667
     GRMN182,324-10,894$13,667
MOTOROLA SOLUTIONS INC 102,596 +20,316 $13,637
     MSI102,596+20,316$13,637
THOMSON REUTERS CORP 200,282 +18,058 $13,591
     TRI200,282+18,058$13,591
SELECT SECTOR SPDR TR (XLI) 230,131 -617,568 $13,580
     XLI230,131-617,568$13,580
COOPER COS INC 48,990 +3,064 $13,505
     COO48,990+3,064$13,505
TE CONNECTIVITY LTD 213,876 -8,607 $13,470
     TEL213,876-8,607$13,470
MCKESSON CORP 99,144 +5,281 $13,410
     MCK99,144+5,281$13,410
CHARLES RIV LABS INTL INC 106,055 +35,003 $13,385
     CRL106,055+35,003$13,385
INVESCO EXCHANGE TRADED FD T (SPHD) 445,304 +14,486 $13,364
     SPHD445,304+14,486$13,364
HUMANA INC 42,462 -43,819 $13,334
     HUM42,462-43,819$13,334
MASCO CORP 384,667 +63,210 $13,298
     MAS384,667+63,210$13,298
TYSON FOODS INC 229,702 +29,626 $13,293
     TSN229,702+29,626$13,293
AMERICAN CENTY ETF TR (QGRO) 355,094 +32,238 $13,269
     QGRO355,094+32,238$13,269
O REILLY AUTOMOTIVE INC NEW 43,846 -48,796 $13,200
     ORLY43,846-48,796$13,200
FIRST TR EXCHANGE TRADED FD (FXL) 222,120 -178,084 $13,194
     FXL222,120-178,084$13,194
HSBC HLDGS PLC 470,899 -192,566 $13,190
     HSBC470,899-192,566$13,190
PALO ALTO NETWORKS INC 80,396 -53,471 $13,182
     PANW80,396-53,471$13,182
MONOLITHIC PWR SYS INC 78,629 +283 $13,167
     MPWR78,629+283$13,167
ISHARES TR (IYLD) 655,909 -15,486 $13,118
     IYLD655,909-15,486$13,118
STATE STR CORP 245,080 +104,610 $13,055
     STT245,080+104,610$13,055
ALEXANDRIA REAL ESTATE EQ IN 95,037 +6,217 $13,026
     ARE95,037+6,217$13,026
INVESCO EXCHANGE TRADED FD T (IDLV) 494,482 -36,812 $13,000
     IDLV494,482-36,812$13,000
EXTRA SPACE STORAGE INC 135,675 +96,023 $12,992
     EXR135,675+96,023$12,992
IDEXX LABS INC 53,598 -14,805 $12,983
     IDXX53,598-14,805$12,983
MONSTER BEVERAGE CORP NEW 228,851 +111,582 $12,875
     MNST228,851+111,582$12,875
GRACO INC 262,764 +9,498 $12,805
     GGG262,764+9,498$12,805
BIO RAD LABS INC 36,419 +4,614 $12,767
     BIO36,419+4,614$12,767
EXPONENT INC 177,087 +6,693 $12,734
     EXPO177,087+6,693$12,734
ASPEN TECHNOLOGY INC 133,894 +1,814 $12,729
     AZPN133,894+1,814$12,729
AES CORP 934,398 -216,054 $12,708
     AES934,398-216,054$12,708
SCHWAB STRATEGIC TR 246,468 -11,350 $12,698
     SCHA246,468-11,350$12,698
VMWARE INC 104,842 -44,325 $12,696
     VMW104,842-44,325$12,696
MARTIN MARIETTA MATLS INC 67,027 +27,488 $12,684
     MLM67,027+27,488$12,684
FIRST TR EXCHANGE TRADED FD (FBT) 96,677 +17,901 $12,676
     FBT96,677+17,901$12,676
MOODYS CORP 59,761 -2,243 $12,639
     MCO59,761-2,243$12,639
GRANITESHARES GOLD TR (BAR) 804,423 -19,937 $12,629
     BAR804,423-19,937$12,629
SPDR INDEX SHS FDS (GNR) 406,914 -237,040 $12,590
     GNR406,914-237,040$12,590
PROSHARES TR (NOBL) 217,777 -6,458 $12,559
     NOBL217,777-6,458$12,559
TC ENERGY CORP 282,316 +25,369 $12,480
     TRP282,316+25,369$12,480
NORTONLIFELOCK INC 665,159 +500,709 $12,445
     NLOK665,159+500,709$12,445
BAIDU INC 122,963 +14,690 $12,393
     BIDU122,963+14,690$12,393
CSX CORP 214,671 -288,140 $12,301
     CSX214,671-288,140$12,301
PRUDENTIAL FINL INC 234,490 +33,359 $12,226
     PRU234,490+33,359$12,226
KEYCORP 1,177,285 -1,470,474 $12,208
     KEY1,177,285-1,470,474$12,208
BOOZ ALLEN HAMILTON HLDG COR 177,802 +11,604 $12,204
     BAH177,802+11,604$12,204
INVESCO EXCH TRD SLF IDX FD 563,445 -30,050 $12,204
     BSJM563,445-30,050$12,204
MARATHON PETE CORP 516,393 -174,103 $12,197
     MPC516,393-174,103$12,197
EBAY INC 405,183 -14,664 $12,180
     EBAY405,183-14,664$12,180
LYONDELLBASELL INDUSTRIES N 244,696 -226,487 $12,144
     LYB244,696-226,487$12,144
FORTINET INC 119,994 -12,958 $12,140
     FTNT119,994-12,958$12,140
SPDR SER TR (SPLG) 400,650 -64,180 $12,120
     SPLG400,650-64,180$12,120
MARKETAXESS HLDGS INC 36,286 +2,384 $12,068
     MKTX36,286+2,384$12,068
VANGUARD SCOTTSDALE FDS (VONE) 102,540 +27,026 $12,022
     VONE102,540+27,026$12,022
DBX ETF TR (QARP) 515,858 -23,417 $11,989
     QARP515,858-23,417$11,989
SPDR SER TR (SPTI) 361,364 +361,364 $11,972
     SPTI361,364+361,364$11,972
DEERE & CO 86,133 +24,149 $11,900
     DE86,133+24,149$11,900
SCHWAB STRATEGIC TR 280,769 -56,872 $11,837
     SCHM280,769-56,872$11,837
HEALTHPEAK PROPERTIES INC 494,653 +18,974 $11,797
     PEAK494,653+18,974$11,797
INTL PAPER CO 378,490 -51,902 $11,782
     IP378,490-51,902$11,782
SKYWORKS SOLUTIONS INC 131,566 +8,197 $11,759
     SWKS131,566+8,197$11,759
BROWN FORMAN CORP      $11,696
     BF.B210,698+73,551$11,696
HEICO CORP NEW      $11,687
     HEI82,514+11,771$6,156
     HEI.A86,557+75,196$5,531
ANHEUSER BUSCH INBEV SA NV 264,487 +5,540 $11,669
     BUD264,487+5,540$11,669
BAXTER INTL INC 143,651 -125,307 $11,663
     BAX143,651-125,307$11,663
PAYCOM SOFTWARE INC 57,546 +3,863 $11,625
     PAYC57,546+3,863$11,625
PIMCO ETF TR (LDUR) 116,798 -11,709 $11,563
     LDUR116,798-11,709$11,563
GLOBAL X FDS 3,656,344 +202,873 $11,517
     MLPA3,656,344+202,873$11,517
DBX ETF TR (CN) 374,435 -15,998 $11,506
     CN374,435-15,998$11,506
FIRST TR EXCHANGE TRADED FD (RDVY) 447,802 +250,678 $11,477
     RDVY447,802+250,678$11,477
GENERAL MLS INC 216,879 -29,056 $11,445
     GIS216,879-29,056$11,445
SCOTTS MIRACLE GRO CO 111,329 +4,076 $11,400
     SMG111,329+4,076$11,400
BIOMARIN PHARMACEUTICAL INC 134,735 +14,853 $11,385
     BMRN134,735+14,853$11,385
INVESCO EXCH TRD SLF IDX FD 512,489 -43,362 $11,382
     BSJO512,489-43,362$11,382
SWEDISH EXPT CR CORP 3,125,146 +198,492 $11,376
     RJI3,125,146+198,492$11,376
AMERICAN CENTY ETF TR (VALQ) 362,734 +40,766 $11,371
     VALQ362,734+40,766$11,371
VANGUARD ADMIRAL FDS INC (VOOG) 75,908 -8,629 $11,299
     VOOG75,908-8,629$11,299
LABORATORY CORP AMER HLDGS 89,392 +5,170 $11,298
     LH89,392+5,170$11,298
INVESCO EXCH TRD SLF IDX FD 502,615 -40,129 $11,285
     BSJN502,615-40,129$11,285
PIONEER NAT RES CO 160,488 +41,691 $11,258
     PXD160,488+41,691$11,258
ARCHER DANIELS MIDLAND CO 319,381 -29,455 $11,236
     ADM319,381-29,455$11,236
ISHARES TR (SUSC) 437,012 +208,081 $11,236
     SUSC437,012+208,081$11,236
AMERICOLD RLTY TR 329,384 +24,596 $11,212
     COLD329,384+24,596$11,212
INVESCO EXCHANGE TRADED FD T (SPVM) 398,000 -17,972 $11,182
     SPVM398,000-17,972$11,182
DUPONT DE NEMOURS INC 327,818 +53,915 $11,179
     DD327,818+53,915$11,179
SYSCO CORP 243,317 -133,276 $11,103
     SYY243,317-133,276$11,103
CORNING INC 533,766 -144,372 $10,964
     GLW533,766-144,372$10,964
SYNCHRONY FINL 679,447 -268,003 $10,932
     SYF679,447-268,003$10,932
FIRST TR NASDAQ 100 TECH IND (QTEC) 129,037 -53,254 $10,906
     QTEC129,037-53,254$10,906
SPDR INDEX SHS FDS (GXC) 119,245 +10,339 $10,881
     GXC119,245+10,339$10,881
VANECK VECTORS ETF TR (ANGL) 422,086 -236,010 $10,679
     ANGL422,086-236,010$10,679
ENCOMPASS HEALTH CORP 166,738 +53,193 $10,676
     EHC166,738+53,193$10,676
SPDR INDEX SHS FDS (RWX) 398,719 -73,195 $10,674
     RWX398,719-73,195$10,674
WISDOMTREE TR 330,685 +84,545 $10,665
     DEM330,685+84,545$10,665
ISHARES TR (ITA) 73,873 -42,019 $10,627
     ITA73,873-42,019$10,627
CHINA MOBILE LIMITED 281,461 +89,697 $10,603
     CHL281,461+89,697$10,603
BARRICK GOLD CORPORATION 574,477 +95,948 $10,524
     GOLD574,477+95,948$10,524
HOST HOTELS & RESORTS INC 950,784 +152,280 $10,497
     HST950,784+152,280$10,497
SEAGATE TECHNOLOGY PLC 214,850 +52,214 $10,485
     STX214,850+52,214$10,485
WISDOMTREE TR 433,799 -90,070 $10,481
     DON433,799-90,070$10,481
MAXIM INTEGRATED PRODS INC 215,361 +18,888 $10,469
     MXIM215,361+18,888$10,469
KROGER CO 345,968 +42,609 $10,421
     KR345,968+42,609$10,421
MARKEL CORP 11,209 +597 $10,400
     MKL11,209+597$10,400
SPDR SER TR (SPIP) 357,803 +357,803 $10,391
     SPIP357,803+357,803$10,391
ADVANCE AUTO PARTS INC 111,234 +12,029 $10,380
     AAP111,234+12,029$10,380
INVESCO EXCHANGE TRADED FD T (RPV) 259,668 +59,815 $10,374
     RPV259,668+59,815$10,374
MICROCHIP TECHNOLOGY INC 152,848 -3,931 $10,363
     MCHP152,848-3,931$10,363
PULTE GROUP INC 463,704 +143,702 $10,350
     PHM463,704+143,702$10,350
PIMCO ETF TR (STPZ) 199,911 +5,844 $10,337
     STPZ199,911+5,844$10,337
FLEXSHARES TR (NFRA) 238,763 -9,261 $10,317
     NFRA238,763-9,261$10,317
DBX ETF TR (DEEF) 476,535 -256,861 $10,310
     DEEF476,535-256,861$10,310
DOVER CORP 122,612 -7,006 $10,292
     DOV122,612-7,006$10,292
RAYMOND JAMES FINANCIAL INC 161,354 +17,509 $10,198
     RJF161,354+17,509$10,198
WISDOMTREE TR 405,443 +145,310 $10,181
     USFR405,443+145,310$10,181
INVESCO EXCH TRD SLF IDX FD 459,311 -6,675 $10,141
     BSJQ459,311-6,675$10,141
FIDELITY NATIONAL FINANCIAL 407,471 -48,102 $10,138
     FNF407,471-48,102$10,138
ISHARES INC (EWC) 462,295 -534,648 $10,101
     EWC462,295-534,648$10,101
NEXSTAR MEDIA GROUP INC 173,259 +53,105 $10,002
     NXST173,259+53,105$10,002
GENPACT LIMITED 341,526 +17,003 $9,973
     G341,526+17,003$9,973
ALLERGAN PLC 56,235 -18,800 $9,959
     AGN56,235-18,800$9,959
VANGUARD WHITEHALL FDS (VYMI) 219,888 +108,981 $9,959
     VYMI219,888+108,981$9,959
VANECK VECTORS ETF TR (HYEM) 498,743 -54,286 $9,955
     HYEM498,743-54,286$9,955
TWO RDS SHARED TR 523,584 +79,633 $9,941
     LSAF523,584+79,633$9,941
ISHARES TR (IBB) 92,085 +11,882 $9,921
     IBB92,085+11,882$9,921
DELTA AIR LINES INC DEL 347,174 -85,544 $9,905
     DAL347,174-85,544$9,905
CHURCH & DWIGHT INC 154,040 -4,540 $9,886
     CHD154,040-4,540$9,886
HUNTINGTON INGALLS INDS INC 54,129 +29,666 $9,863
     HII54,129+29,666$9,863
M & T BK CORP 95,332 +44,015 $9,860
     MTB95,332+44,015$9,860
SPDR SER TR (SPTM) 313,267 -22,068 $9,852
     SPTM313,267-22,068$9,852
AMN HEALTHCARE SVCS INC 170,093 +6,581 $9,833
     AMN170,093+6,581$9,833
GENERAL MTRS CO 470,428 +126,136 $9,775
     GM470,428+126,136$9,775
BURLINGTON STORES INC 61,664 -4,174 $9,771
     BURL61,664-4,174$9,771
VENTAS INC 361,743 -207,072 $9,695
     VTR361,743-207,072$9,695
LKQ CORP 471,731 +40,028 $9,675
     LKQ471,731+40,028$9,675
FLEXSHARES TR (QLC) 336,962 +12,758 $9,659
     QLC336,962+12,758$9,659
WESTERN DIGITAL CORP. 232,072 +65,937 $9,659
     WDC232,072+65,937$9,659
ISHARES TR (IGV) 45,849 +3,630 $9,642
     IGV45,849+3,630$9,642
KRANESHARES TR (KLCD) 453,147 +23,253 $9,577
     KLCD453,147+23,253$9,577
KKR & CO INC 407,560 +201,131 $9,565
     KKR407,560+201,131$9,565
YANDEX N V 279,108 -20,309 $9,504
     YNDX279,108-20,309$9,504
EDISON INTL 173,364 +18,673 $9,499
     EIX173,364+18,673$9,499
INVESCO EXCH TRD SLF IDX FD 444,583 -41,986 $9,470
     BSJP444,583-41,986$9,470
NUCOR CORP 262,681 -59,588 $9,462
     NUE262,681-59,588$9,462
WISDOMTREE TR 196,645 -16,087 $9,449
     DLS196,645-16,087$9,449
RELIANCE STEEL & ALUMINUM CO 107,520 +55,111 $9,418
     RS107,520+55,111$9,418
WILLIS TOWERS WATSON PLC LTD 55,208 +27,264 $9,377
     WLTW55,208+27,264$9,377
ISHARES TR (SOXX) 45,560 -6,282 $9,349
     SOXX45,560-6,282$9,349
INVESCO EXCHANGE TRADED FD T (PJP) 169,692 -5,682 $9,335
     PJP169,692-5,682$9,335
ZIMMER BIOMET HOLDINGS INC 92,085 +495 $9,308
     ZBH92,085+495$9,308
CGI INC 169,127 -9,821 $9,195
     GIB169,127-9,821$9,195
VANECK VECTORS ETF TR (ITM) 186,909 -16,565 $9,182
     ITM186,909-16,565$9,182
UNIVERSAL DISPLAY CORP 69,656 +58,709 $9,179
     OLED69,656+58,709$9,179
VANGUARD ADMIRAL FDS INC (VIOV) 106,065 +19,776 $9,176
     VIOV106,065+19,776$9,176
ISHARES TR (IGOV) 185,191 +12,905 $9,132
     IGOV185,191+12,905$9,132
ISHARES TR (MCHI) 159,445 +284 $9,128
     MCHI159,445+284$9,128
AVERY DENNISON CORP 89,539 -30,124 $9,121
     AVY89,539-30,124$9,121
JOHN HANCOCK ETF TRUST (JHMD) 401,695 -71,778 $9,118
     JHMD401,695-71,778$9,118
GUIDEWIRE SOFTWARE INC 114,903 +15,679 $9,113
     GWRE114,903+15,679$9,113
MID AMER APT CMNTYS INC 88,453 +33,495 $9,113
     MAA88,453+33,495$9,113
FIDELITY 175,938 +50,741 $9,105
     FBND175,938+50,741$9,105
ALLEGION PLC 98,566 -72,253 $9,070
     ALLE98,566-72,253$9,070
ISHARES TR (IXC) 535,261 +524,314 $9,041
     IXC535,261+524,314$9,041
EPAM SYS INC 48,614 -2,293 $9,026
     EPAM48,614-2,293$9,026
GRAND CANYON ED INC 117,885 +11,435 $8,993
     LOPE117,885+11,435$8,993
EXPEDIA GROUP INC 159,506 +44,593 $8,975
     EXPE159,506+44,593$8,975
EASTMAN CHEM CO 192,172 -20,425 $8,951
     EMN192,172-20,425$8,951
FIRST TR NAS100 EQ WEIGHTED (QQEW) 143,520 +53,311 $8,941
     QQEW143,520+53,311$8,941
DISCOVER FINL SVCS 250,427 -61,132 $8,933
     DFS250,427-61,132$8,933
PARKER HANNIFIN CORP 68,800 +14,438 $8,925
     PH68,800+14,438$8,925
CAPITAL ONE FINL CORP 176,104 +34,307 $8,879
     COF176,104+34,307$8,879
ENTEGRIS INC 197,925 +3,357 $8,861
     ENTG197,925+3,357$8,861
FIRST TR LRG CP VL ALPHADEX (FTA) 240,708 -429,642 $8,858
     FTA240,708-429,642$8,858
CROWN HLDGS INC 152,127 -3,050 $8,829
     CCK152,127-3,050$8,829
ISHARES TR (STIP) 88,257 -7,454 $8,817
     STIP88,257-7,454$8,817
TWITTER INC 357,725 +17,520 $8,786
     TWTR357,725+17,520$8,786
TESLA INC 16,690 -934 $8,745
     TSLA16,690-934$8,745
SPROTT PHYSICAL GOLD TRUST 666,010 +564,367 $8,738
     PHYS666,010+564,367$8,738
DISH NETWORK CORPORATION 436,615 +385,725 $8,728
     DISHV436,615+385,725$8,728
FLEXSHARES TR (TLTD) 185,041 -1,504 $8,593
     TLTD185,041-1,504$8,593
ABB LTD 497,566 -11,994 $8,588
     ABB497,566-11,994$8,588
RBC BEARINGS INC 75,835 -12,671 $8,553
     ROLL75,835-12,671$8,553
SPDR SER TR (EBND) 349,218 -49,979 $8,552
     EBND349,218-49,979$8,552
TRANSDIGM GROUP INC 26,593 +3,778 $8,515
     TDG26,593+3,778$8,515
SNAP ON INC 78,147 -100,899 $8,504
     SNA78,147-100,899$8,504
INTERNATIONAL FLAVORS&FRAGRA 83,207 +22,612 $8,494
     IFF83,207+22,612$8,494
RITCHIE BROS AUCTIONEERS 248,253 -1,078 $8,485
     RBA248,253-1,078$8,485
SEMPRA ENERGY 74,690 +6,928 $8,439
     SRE74,690+6,928$8,439
PRICE T ROWE GROUP INC 86,313 -49,625 $8,428
     TROW86,313-49,625$8,428
APTIV PLC 170,435 +57,345 $8,392
     APTV170,435+57,345$8,392
SPDR SER TR (SPSM) 379,662 +84,373 $8,292
     SPSM379,662+84,373$8,292
WISDOMTREE TR 161,794 -4,042 $8,290
     HEDJ161,794-4,042$8,290
RIO TINTO PLC 181,774 -3,476 $8,282
     RIO181,774-3,476$8,282
SITEONE LANDSCAPE SUPPLY INC 111,565 +3,860 $8,213
     SITE111,565+3,860$8,213
FIRST TR EXCHANGE TRADED ALP (FEM) 466,728 +83,130 $8,210
     FEM466,728+83,130$8,210
JAZZ PHARMACEUTICALS PLC 82,185 +25,052 $8,197
     JAZZ82,185+25,052$8,197
GALAPAGOS NV 41,800 +26,234 $8,189
     GLPG41,800+26,234$8,189
ISHARES TR (SLQD) 163,216 +45,548 $8,184
     SLQD163,216+45,548$8,184
CBOE GLOBAL MARKETS INC 91,437 +87,163 $8,161
     CBOE91,437+87,163$8,161
PACCAR INC 133,410 -2,287 $8,155
     PCAR133,410-2,287$8,155
SPDR SER TR (PSK) 206,928 -94,748 $8,110
     PSK206,928-94,748$8,110
ISHARES TR (SUSA) 73,693 +9,967 $8,089
     SUSA73,693+9,967$8,089
ISHARES TR (IXJ) 132,671 +4,135 $8,085
     IXJ132,671+4,135$8,085
BLACK KNIGHT INC 139,046 +17,056 $8,073
     BKI139,046+17,056$8,073
VARIAN MED SYS INC 78,603 -7,489 $8,069
     VAR78,603-7,489$8,069
INVITATION HOMES INC 377,249 +19,208 $8,062
     INVH377,249+19,208$8,062
AMDOCS LTD 146,587 -55,910 $8,058
     DOX146,587-55,910$8,058
FIRST TR EXCH TRADED FD III (FTLS) 214,027 +63,354 $8,020
     FTLS214,027+63,354$8,020
CATALENT INC 152,045 +20,028 $7,899
     CTLT152,045+20,028$7,899
HARTFORD FINL SVCS GROUP INC 223,980 +99,048 $7,893
     HIG223,980+99,048$7,893
XYLEM INC 120,925 +42,523 $7,876
     XYL120,925+42,523$7,876
FORTUNE BRANDS HOME & SEC IN 182,082 +67,425 $7,875
     FBHS182,082+67,425$7,875
OKTA INC 64,091 +21,742 $7,836
     OKTA64,091+21,742$7,836
SELECT SECTOR SPDR TR (XLB) 173,591 -941,211 $7,819
     XLB173,591-941,211$7,819
BROOKFIELD ASSET MGMT INC 176,522 -19,753 $7,811
     BAM176,522-19,753$7,811
VULCAN MATLS CO 72,262 -464 $7,809
     VMC72,262-464$7,809
BANCO BILBAO VIZCAYA ARGENTA 2,549,594 +526,968 $7,802
     BBVA2,549,594+526,968$7,802
ISHARES TR (CMF) 128,625 -7,796 $7,784
     CMF128,625-7,796$7,784
FIRST TR EXCHNG TRADED FD VI (FAAR) 307,312 +126,034 $7,781
     FAAR307,312+126,034$7,781
BANK NEW YORK MELLON CORP 230,552 -52,472 $7,765
     BK230,552-52,472$7,765
REGIONS FINANCIAL CORP NEW 863,050 -22,900 $7,742
     RF863,050-22,900$7,742
LAMB WESTON HLDGS INC 135,110 -68,118 $7,715
     LW135,110-68,118$7,715
BOSTON PROPERTIES INC 83,437 +9,053 $7,695
     BXP83,437+9,053$7,695
HARTFORD FDS EXCHANGE TRADED (HMOP) 187,128 +6,608 $7,691
     HMOP187,128+6,608$7,691
J P MORGAN EXCHANGE TRADED F (JPSE) 356,355 -11,210 $7,679
     JPSE356,355-11,210$7,679
BLACKSTONE GROUP INC 168,223 +39,504 $7,666
     BX168,223+39,504$7,666
VICTORY PORTFOLIOS II 184,454 +37,002 $7,635
     CDC184,454+37,002$7,635
ISHARES TR (CMBS) 141,439 +67,961 $7,594
     CMBS141,439+67,961$7,594
ARISTA NETWORKS INC 37,481 +22,288 $7,592
     ANET37,481+22,288$7,592
INVESCO LTD 831,555 -55,163 $7,551
     IVZ831,555-55,163$7,551
TELEDYNE TECHNOLOGIES INC 25,350 +232 $7,536
     TDY25,350+232$7,536
YUM BRANDS INC 109,953 -16,382 $7,535
     YUM109,953-16,382$7,535
VANGUARD INTL EQUITY INDEX F (VT) 119,831 -58,276 $7,525
     VT119,831-58,276$7,525
FIRST TR EXCHNG TRADED FD VI (LDSF) 382,923 +2,189 $7,513
     LDSF382,923+2,189$7,513
BARCLAYS BANK PLC 453,518 -9,229 $7,497
     DJP453,518-9,229$7,497
CABOT MICROELECTRONICS CORP 65,530 +15,734 $7,480
     CCMP65,530+15,734$7,480
WESTERN ALLIANCE BANCORP 242,147 +51,658 $7,412
     WAL242,147+51,658$7,412
LISTED FD TR 259,133 +37,607 $7,391
     CCOR259,133+37,607$7,391
NUTRIEN LTD 217,337 -4,944 $7,370
     NTR217,337-4,944$7,370
ROLLINS INC 203,880 +10,456 $7,368
     ROL203,880+10,456$7,368
PROSHARES TR (CSM) 124,362 -168,095 $7,362
     CSM124,362-168,095$7,362
PACKAGING CORP AMER 84,660 -13,592 $7,351
     PKG84,660-13,592$7,351
VANECK VECTORS ETF TR (MOAT) 167,907 +85,060 $7,344
     MOAT167,907+85,060$7,344
PPG INDS INC 87,810 -13,724 $7,341
     PPG87,810-13,724$7,341
REINSURANCE GRP OF AMERICA I 87,222 -5,469 $7,339
     RGA87,222-5,469$7,339
SOUTHWEST AIRLS CO 206,061 +4,085 $7,338
     LUV206,061+4,085$7,338
ISHARES TR (KXI) 152,614 -34,240 $7,296
     KXI152,614-34,240$7,296
WEYERHAEUSER CO 430,393 -12,473 $7,295
     WY430,393-12,473$7,295
SUMITOMO MITSUI FINL GROUP I 1,520,076 -11,087 $7,281
     SMFG1,520,076-11,087$7,281
FEDEX CORP 59,836 -1,108 $7,256
     FDX59,836-1,108$7,256
POWER INTEGRATIONS INC 82,148 +1,489 $7,256
     POWI82,148+1,489$7,256
SMITH A O CORP 191,829 +11,045 $7,253
     AOS191,829+11,045$7,253
HILL ROM HLDGS INC 72,078 +2,966 $7,251
     HRC72,078+2,966$7,251
ALPS ETF TR (RFFC) 272,453 +19,648 $7,237
     RFFC272,453+19,648$7,237
NICE LTD 50,381 -3,862 $7,233
     NICE50,381-3,862$7,233
AMEDISYS INC 39,270 -906 $7,208
     AMED39,270-906$7,208
ULTA BEAUTY INC 40,896 +3,067 $7,185
     ULTA40,896+3,067$7,185
CORESITE RLTY CORP 61,979 +2,312 $7,183
     COR61,979+2,312$7,183
GLOBAL X FDS 1,169,564 +208,243 $7,181
     MLPX1,169,564+208,243$7,181
CONSOLIDATED EDISON INC 91,898 +15,145 $7,168
     ED91,898+15,145$7,168
JONES LANG LASALLE INC 70,762 +37,830 $7,146
     JLL70,762+37,830$7,146
TRANSUNION 107,777 +38,080 $7,133
     TRU107,777+38,080$7,133
VANGUARD INTL EQUITY INDEX F (VPL) 128,374 -17,025 $7,081
     VPL128,374-17,025$7,081
ALPS ETF TR (RIGS) 316,637 -11,853 $7,080
     RIGS316,637-11,853$7,080
JOHN HANCOCK ETF TRUST (JHMM) 249,062 -178,820 $7,076
     JHMM249,062-178,820$7,076
FIVE BELOW INC 100,485 -15,240 $7,072
     FIVE100,485-15,240$7,072
AVALONBAY CMNTYS INC 47,850 +7,579 $7,042
     AVB47,850+7,579$7,042
SPDR SER TR (SMLV) 105,872 -5,655 $6,997
     SMLV105,872-5,655$6,997
CERNER CORP 111,033 +3,614 $6,994
     CERN111,033+3,614$6,994
HOULIHAN LOKEY INC 133,697 +22,512 $6,968
     HLI133,697+22,512$6,968
HEXCEL CORP NEW 187,175 -7,309 $6,961
     HXL187,175-7,309$6,961
ISHARES TR (IBMJ) 272,313 +25,176 $6,947
     IBMJ272,313+25,176$6,947
DISCOVERY INC 356,971 +87,994 $6,940
     DISCA356,971+87,994$6,940
LENNOX INTL INC 38,166 +545 $6,938
     LII38,166+545$6,938
WP CAREY INC 119,401 +71,325 $6,935
     WPC119,401+71,325$6,935
HERSHEY CO 52,248 +2,752 $6,923
     HSY52,248+2,752$6,923
DOCUSIGN INC 74,763 +5,808 $6,908
     DOCU74,763+5,808$6,908
VORNADO RLTY TR 190,639 -72,647 $6,903
     VNO190,639-72,647$6,903
GENTEX CORP 311,352 +8,651 $6,900
     GNTX311,352+8,651$6,900
ISHARES TR (ICSH) 138,063 +35,157 $6,896
     ICSH138,063+35,157$6,896
FORD MTR CO DEL 1,426,340 +111,742 $6,889
     F1,426,340+111,742$6,889
F5 NETWORKS INC 64,588 +6,371 $6,887
     FFIV64,588+6,371$6,887
EXELON CORP 187,069 +40,271 $6,886
     EXC187,069+40,271$6,886
WOODWARD INC 115,694 +61,569 $6,877
     WWD115,694+61,569$6,877
SPDR SER TR (SLYG) 148,866 -37,582 $6,875
     SLYG148,866-37,582$6,875
PUBLIC STORAGE 34,417 +8,317 $6,836
     PSA34,417+8,317$6,836
ISHARES TR (IYF) 70,102 -10,636 $6,820
     IYF70,102-10,636$6,820
INVESCO EXCHANGE TRADED FD T (XRLV) 218,209 -349,612 $6,816
     XRLV218,209-349,612$6,816
LENNAR CORP 178,083 -40,797 $6,803
     LEN178,083-40,797$6,803
FLEXSHARES TR (TILT) 72,858 -409 $6,793
     TILT72,858-409$6,793
ICICI BANK LIMITED 799,090 -63,125 $6,792
     IBN799,090-63,125$6,792
ESSEX PPTY TR INC 30,634 -4,505 $6,747
     ESS30,634-4,505$6,747
INVESCO EXCHANGE TRADED FD T (PBP) 402,192 -295,773 $6,729
     PBP402,192-295,773$6,729
NETAPP INC 160,549 -6,083 $6,693
     NTAP160,549-6,083$6,693
ARCH CAP GROUP LTD 232,788 +23,788 $6,625
     ACGL232,788+23,788$6,625
LIBERTY BROADBAND CORP 59,815 +5,423 $6,623
     LBRDK59,815+5,423$6,623
STERICYCLE INC 136,201 +11,967 $6,617
     SRCL136,201+11,967$6,617
FIDELITY COVINGTON TR 183,055 -397,666 $6,575
     FUTY183,055-397,666$6,575
POST HLDGS INC 78,996 +7,699 $6,554
     POST78,996+7,699$6,554
VANECK VECTORS ETF TR (GDX) 283,472 -22,122 $6,531
     GDX283,472-22,122$6,531
BANK OZK 389,210 +234,320 $6,500
     OZK389,210+234,320$6,500
UBS GROUP AG 699,634 +6,994 $6,479
     UBS699,634+6,994$6,479
EQUITABLE HLDGS INC 448,020 +448,020 $6,474
     EQH448,020+448,020$6,474
VANGUARD SCOTTSDALE FDS (VCLT) 66,632 -12,471 $6,472
     VCLT66,632-12,471$6,472
SIMON PPTY GROUP INC NEW 117,730 -33,181 $6,459
     SPG117,730-33,181$6,459
FIRST TR EXCHANGE TRADED FD (FMF) 146,936 +104,360 $6,415
     FMF146,936+104,360$6,415
ENVESTNET INC 119,203 +8,277 $6,411
     ENV119,203+8,277$6,411
ERICSSON 784,896 +147,677 $6,350
     ERIC784,896+147,677$6,350
PRINCIPAL EXCHANGE TRADED FD (USMC) 243,381 +33,895 $6,308
     USMC243,381+33,895$6,308
BLACKLINE INC 119,717 +17,418 $6,298
     BL119,717+17,418$6,298
IDEX CORP 45,410 -600 $6,272
     IEX45,410-600$6,272
VICTORY PORTFOLIOS II 362,990 +131,857 $6,258
     CEY362,990+131,857$6,258
INVESCO EXCHANGE TRADED FD T (RYT) 39,249 -616 $6,258
     RYT39,249-616$6,258
FLEXSHARES TR (GUNR) 275,976 -218,354 $6,218
     GUNR275,976-218,354$6,218
SPDR SER TR (QUS) 81,283 -111,964 $6,208
     QUS81,283-111,964$6,208
CONAGRA BRANDS INC 210,569 +14,715 $6,178
     CAG210,569+14,715$6,178
ISHARES TR (TLH) 36,837 -52,755 $6,174
     TLH36,837-52,755$6,174
FIDELITY COVINGTON TR 190,839 -433,651 $6,172
     FSTA190,839-433,651$6,172
MASIMO CORP 34,843 -761 $6,171
     MASI34,843-761$6,171
ISHARES TR (IBDN) 248,828 -7,535 $6,168
     IBDN248,828-7,535$6,168
BALL CORP 94,965 +9,853 $6,140
     BLL94,965+9,853$6,140
EASTERLY GOVT PPTYS INC 249,051 -1,180 $6,137
     DEA249,051-1,180$6,137
LATTICE STRATEGIES TR 277,440 -244,034 $6,115
     RODM277,440-244,034$6,115
RALPH LAUREN CORP 91,239 +5,901 $6,097
     RL91,239+5,901$6,097
WISDOMTREE TR 201,247 +16,159 $6,093
     IHDG201,247+16,159$6,093
DOLBY LABORATORIES INC 111,774 +21,499 $6,059
     DLB111,774+21,499$6,059
ETF SER SOLUTIONS (JETS) 410,630 +410,630 $6,049
     JETS410,630+410,630$6,049
CYRUSONE INC 97,920 +12,546 $6,047
     CONE97,920+12,546$6,047
SCHWAB STRATEGIC TR 286,751 +201,927 $6,030
     FNDF286,751+201,927$6,030
WATSCO INC 38,089 -5,577 $6,019
     WSO38,089-5,577$6,019
TETRA TECH INC NEW 85,172 +2,448 $6,015
     TTEK85,172+2,448$6,015
LITTELFUSE INC 44,998 -6,384 $6,004
     LFUS44,998-6,384$6,004
SPDR INDEX SHS FDS (CWI) 304,305 +59,420 $6,001
     CWI304,305+59,420$6,001
SPDR INDEX SHS FDS (GWX) 263,480 +41,200 $5,999
     GWX263,480+41,200$5,999
NUSHARES ETF TR (NUBD) 226,301 +86,201 $5,999
     NUBD226,301+86,201$5,999
GENERAL ELECTRIC CO 754,909 +342,047 $5,994
     GE754,909+342,047$5,994
NRG ENERGY INC 219,738 +30,994 $5,990
     NRG219,738+30,994$5,990
FIRST TR EXCHANGE TRADED FD (FTGC) 418,855 -446,290 $5,981
     FTGC418,855-446,290$5,981
SCHLUMBERGER LTD 442,426 -208,540 $5,968
     SLB442,426-208,540$5,968
VISTRA ENERGY CORP 372,808 +184,097 $5,950
     VST372,808+184,097$5,950
VICTORY PORTFOLIOS II 139,951 -12,458 $5,935
     CFA139,951-12,458$5,935
FIDELITY COVINGTON TR 285,327 -652,324 $5,935
     FREL285,327-652,324$5,935
SPDR SER TR (SPMD) 234,025 +61,125 $5,928
     SPMD234,025+61,125$5,928
VICI PPTYS INC 355,859 +35,013 $5,921
     VICI355,859+35,013$5,921
ADVANCED MICRO DEVICES INC 130,105 +22,394 $5,917
     AMD130,105+22,394$5,917
ISHARES INC (EWJ) 119,800 -347,924 $5,917
     EWJ119,800-347,924$5,917
INVESCO CURRENCYSHARES JAPAN (FXY) 67,096 +67,096 $5,917
     FXY67,096+67,096$5,917
CAMDEN PPTY TR 74,433 +9,683 $5,898
     CPT74,433+9,683$5,898
INVESCO EXCHANGE TRADED FD T (EELV) 335,945 +98,940 $5,886
     EELV335,945+98,940$5,886
FIRST TR EXCHANGE TRADED FD (HYLS) 140,113 -67,064 $5,882
     HYLS140,113-67,064$5,882
VANGUARD SCOTTSDALE FDS (VTC) 68,642 +34,338 $5,861
     VTC68,642+34,338$5,861
INVESCO EXCHANGE TRADED FD T (PWV) 194,159 -3,741 $5,850
     PWV194,159-3,741$5,850
QUALYS INC 67,234 +16,012 $5,849
     QLYS67,234+16,012$5,849
EASTGROUP PPTY INC 55,905 +1,441 $5,841
     EGP55,905+1,441$5,841
SCHWAB STRATEGIC TR 99,293 +84,401 $5,836
     SCHR99,293+84,401$5,836
TAKE TWO INTERACTIVE SOFTWAR 49,118 -14,659 $5,826
     TTWO49,118-14,659$5,826
INVESCO CURRENCYSHARES SWISS (FXF) 60,924 +60,924 $5,816
     FXF60,924+60,924$5,816
FIRST TR EXCH TRADED FD III (FMB) 107,297 +12,823 $5,802
     FMB107,297+12,823$5,802
ROCKWELL AUTOMATION INC 38,414 -10,345 $5,797
     ROK38,414-10,345$5,797
WILLIAMS COS INC 405,555 -17,967 $5,739
     WMB405,555-17,967$5,739
DORMAN PRODUCTS INC 103,741 +7,200 $5,734
     DORM103,741+7,200$5,734
INSULET CORP 34,563 +485 $5,726
     PODD34,563+485$5,726
ATMOS ENERGY CORP 57,555 +34,322 $5,711
     ATO57,555+34,322$5,711
AMBEV SA 2,468,705 -66,393 $5,678
     ABEV2,468,705-66,393$5,678
WATERS CORP 31,117 -2,185 $5,665
     WAT31,117-2,185$5,665
MITSUBISHI UFJ FINL GROUP IN 1,546,543 +53,082 $5,660
     MUFG1,546,543+53,082$5,660
CITIZENS FINANCIAL GROUP INC 299,717 -96,213 $5,638
     CFG299,717-96,213$5,638
RESTAURANT BRANDS INTL INC 140,716 +97,954 $5,633
     QSR140,716+97,954$5,633
SMUCKER J M CO 50,678 -39,205 $5,625
     SJM50,678-39,205$5,625
WORKDAY INC 42,936 -14,209 $5,591
     WDAY42,936-14,209$5,591
GLOBANT S A 63,535 +2,906 $5,583
     GLOB63,535+2,906$5,583
FIRST TR EXCHANGE TRADED FD (FXO) 262,635 +4,948 $5,552
     FXO262,635+4,948$5,552
FLEXSHARES TR (IQDF) 312,774 -156,585 $5,542
     IQDF312,774-156,585$5,542
CACI INTL INC 26,159 -1,409 $5,523
     CACI26,159-1,409$5,523
ALPS ETF TR (RFCI) 216,861 +3,317 $5,508
     RFCI216,861+3,317$5,508
INVESCO EXCHANGE TRADED FD T (PXH) 356,154 -436,638 $5,495
     PXH356,154-436,638$5,495
ISHARES TR (IYH) 29,226 +8,838 $5,489
     IYH29,226+8,838$5,489
FIRST TR EXCHANGE TRADED FD (FXH) 74,016 +10,009 $5,475
     FXH74,016+10,009$5,475
SPDR SER TR (SLYV) 133,960 +28,958 $5,474
     SLYV133,960+28,958$5,474
NORTHERN TR CORP 72,455 +13,010 $5,467
     NTRS72,455+13,010$5,467
MOLSON COORS BEVERAGE CO 140,036 -16,780 $5,463
     TAP140,036-16,780$5,463
FIRST INDL RLTY TR INC 164,094 +6,701 $5,453
     FR164,094+6,701$5,453
BIO TECHNE CORP 28,749 +2,977 $5,451
     TECH28,749+2,977$5,451
BORGWARNER INC 223,097 +12,829 $5,437
     BWA223,097+12,829$5,437
CASEYS GEN STORES INC 41,028 -9,170 $5,436
     CASY41,028-9,170$5,436
DIODES INC 133,783 +15,033 $5,436
     DIOD133,783+15,033$5,436
EQUITY LIFESTYLE PPTYS INC 94,432 +4,154 $5,428
     ELS94,432+4,154$5,428
SPDR SER TR (SPMB) 203,133 +203,133 $5,422
     SPMB203,133+203,133$5,422
TELEFLEX INCORPORATED 18,507 +1,595 $5,420
     TFX18,507+1,595$5,420
BWX TECHNOLOGIES INC 111,143 -51,215 $5,414
     BWXT111,143-51,215$5,414
EVEREST RE GROUP LTD 28,094 +8,273 $5,406
     RE28,094+8,273$5,406
LIBERTY MEDIA CORP DEL 170,309 +126,242 $5,397
     LSXMA170,309+126,242$5,397
TAKEDA PHARMACEUTICAL CO LTD 355,535 +54,732 $5,397
     TAK355,535+54,732$5,397
OSHKOSH CORP 83,865 -11,175 $5,395
     OSK83,865-11,175$5,395
STEEL DYNAMICS INC 238,719 +9,511 $5,381
     STLD238,719+9,511$5,381
FIRST TR EXCHANGE TRADED FD (FPX) 85,373 +1,088 $5,379
     FPX85,373+1,088$5,379
MARVELL TECHNOLOGY GROUP LTD 237,237 -25,431 $5,369
     MRVL237,237-25,431$5,369
EQUIFAX INC 44,888 +18,744 $5,362
     EFX44,888+18,744$5,362
WISDOMTREE TR 239,682 -36,964 $5,352
     EES239,682-36,964$5,352
WHIRLPOOL CORP 62,381 +24,394 $5,352
     WHR62,381+24,394$5,352
ABERDEEN STD PRECIOUS METALS 71,239 -3,469 $5,350
     GLTR71,239-3,469$5,350
ISHARES TR (XT) 150,249 -197,959 $5,350
     XT150,249-197,959$5,350
MANULIFE FINL CORP 425,419 +37,337 $5,335
     MFC425,419+37,337$5,335
FLEETCOR TECHNOLOGIES INC 28,569 -24,699 $5,329
     FLT28,569-24,699$5,329
CINCINNATI FINL CORP 70,587 +6,516 $5,326
     CINF70,587+6,516$5,326
NORTHERN LTS FD TR IV 219,184 -5,274 $5,324
     SECT219,184-5,274$5,324
EURONET WORLDWIDE INC 62,073 +19,003 $5,321
     EEFT62,073+19,003$5,321
HUBBELL INC 46,238 +12,813 $5,305
     HUBB46,238+12,813$5,305
GLOBAL X FDS 274,872 +8,951 $5,297
     QYLD274,872+8,951$5,297
VICTORY PORTFOLIOS II 231,990 +64,964 $5,287
     CID231,990+64,964$5,287
ISHARES INC (EWY) 112,688 +46,011 $5,287
     EWY112,688+46,011$5,287
EQUITY RESIDENTIAL 85,568 -29,258 $5,280
     EQR85,568-29,258$5,280
COGNEX CORP 124,689 -17,071 $5,264
     CGNX124,689-17,071$5,264
QTS RLTY TR INC 90,716 +12,534 $5,262
     QTS90,716+12,534$5,262
ISHARES TR (IBMI) 205,780 -47,411 $5,221
     IBMI205,780-47,411$5,221
ALPS ETF TR (RFDA) 192,413 +23,150 $5,215
     RFDA192,413+23,150$5,215
PROTO LABS INC 68,491 +11,873 $5,214
     PRLB68,491+11,873$5,214
ENTERGY CORP NEW 55,137 +11,020 $5,181
     ETR55,137+11,020$5,181
FIDELITY COVINGTON TR 136,857 -343,515 $5,165
     FDIS136,857-343,515$5,165
VEREIT INC 1,055,893 -13,445 $5,163
     VER1,055,893-13,445$5,163
PRIMERICA INC 58,330 +2,002 $5,161
     PRI58,330+2,002$5,161
NEOGEN CORP 76,956 -5,225 $5,155
     NEOG76,956-5,225$5,155
ISHARES TR (IBMK) 197,638 -33,870 $5,141
     IBMK197,638-33,870$5,141
GENERAC HLDGS INC 55,061 +6,293 $5,130
     GNRC55,061+6,293$5,130
ISHARES TR (IBML) 199,856 -33,841 $5,126
     IBML199,856-33,841$5,126
CRH PLC 190,797 -27,225 $5,121
     CRH190,797-27,225$5,121
ISHARES TR (IMTB) 99,880 -38,574 $5,119
     IMTB99,880-38,574$5,119
SS&C TECHNOLOGIES HLDGS INC 116,611 -11,741 $5,110
     SSNC116,611-11,741$5,110
SEI INVESTMENTS CO 109,723 +2,464 $5,085
     SEIC109,723+2,464$5,085
HCA HEALTHCARE INC 56,548 +12,661 $5,081
     HCA56,548+12,661$5,081
GRAPHIC PACKAGING HLDG CO 416,198 -66,842 $5,078
     GPK416,198-66,842$5,078
OLD DOMINION FREIGHT LINE IN 38,523 +18,919 $5,056
     ODFL38,523+18,919$5,056
DIREXION SHS ETF TR (QQQE) 108,530 +108,530 $5,045
     QQQE108,530+108,530$5,045
WESTERN UN CO 278,235 +107,579 $5,044
     WU278,235+107,579$5,044
TERADYNE INC 92,897 -5,007 $5,032
     TER92,897-5,007$5,032
LEGGETT & PLATT INC 188,586 -89,288 $5,031
     LEG188,586-89,288$5,031
ROYAL BK CDA 81,687 +204 $5,028
     RY81,687+204$5,028
MOLINA HEALTHCARE INC 35,960 -18,381 $5,024
     MOH35,960-18,381$5,024
PRUDENTIAL PLC 201,179 +55,697 $4,985
     PUK201,179+55,697$4,985
MAGNA INTL INC 155,734 +60,402 $4,971
     MGA155,734+60,402$4,971
DISCOVERY INC 282,263 +172,455 $4,951
     DISCK282,263+172,455$4,951
ISHARES INC (FM) 231,768 +7,067 $4,948
     FM231,768+7,067$4,948
LHC GROUP INC 34,987 -1,212 $4,905
     LHCG34,987-1,212$4,905
ISHARES TR (NYF) 86,643 +8,287 $4,896
     NYF86,643+8,287$4,896
STANLEY BLACK & DECKER INC 48,732 +7,068 $4,873
     SWK48,732+7,068$4,873
PROSHARES TR (UBT) 35,653 +15,926 $4,849
     UBT35,653+15,926$4,849
WISDOMTREE TR 141,706 +15,585 $4,836
     DEW141,706+15,585$4,836
INGERSOLL RAND INC 194,290 +75,930 $4,818
     IR194,290+75,930$4,818
VICTORY PORTFOLIOS II 153,440 +39,716 $4,804
     CSB153,440+39,716$4,804
VANGUARD SCOTTSDALE FDS (VTWG) 41,580 +396 $4,782
     VTWG41,580+396$4,782
HILTON WORLDWIDE HLDGS INC 69,881 -56,976 $4,769
     HLT69,881-56,976$4,769
LOEWS CORP 136,739 -45,530 $4,763
     L136,739-45,530$4,763
QUAKER CHEM CORP 37,616 +7,936 $4,750
     KWR37,616+7,936$4,750
BJS WHSL CLUB HLDGS INC 186,280 +49,046 $4,745
     BJ186,280+49,046$4,745
PEOPLES UTD FINL INC 429,304 +5,344 $4,744
     PBCT429,304+5,344$4,744
CF INDS HLDGS INC 174,256 +20,523 $4,740
     CF174,256+20,523$4,740
TERRENO RLTY CORP 91,511 +1,899 $4,736
     TRNO91,511+1,899$4,736
CABOT OIL & GAS CORP 274,692 +12,041 $4,722
     COG274,692+12,041$4,722
WHITE MTNS INS GROUP LTD 5,185 +250 $4,719
     WTM5,185+250$4,719
SPDR SER TR (HYMB) 85,953 +55,497 $4,703
     HYMB85,953+55,497$4,703
ISHARES TR (SMMV) 181,879 +107,595 $4,703
     SMMV181,879+107,595$4,703
CIENA CORP 117,750 +86,578 $4,688
     CIEN117,750+86,578$4,688
STORE CAP CORP 258,257 +13,565 $4,680
     STOR258,257+13,565$4,680
STIFEL FINL CORP 113,164 +3,524 $4,671
     SF113,164+3,524$4,671
BERKLEY W R CORP 89,529 +8,273 $4,671
     WRB89,529+8,273$4,671
ISHARES INC (URTH) 59,858 +34,149 $4,665
     URTH59,858+34,149$4,665
LAMAR ADVERTISING CO NEW 90,500 +1,265 $4,641
     LAMR90,500+1,265$4,641
THE TRADE DESK INC 24,006 +9,284 $4,633
     TTD24,006+9,284$4,633
CARVANA CO 83,881 +73,736 $4,621
     CVNA83,881+73,736$4,621
ALBEMARLE CORP 81,794 +18,515 $4,611
     ALB81,794+18,515$4,611
ICU MED INC 22,763 +1,676 $4,593
     ICUI22,763+1,676$4,593
CABLE ONE INC 2,791 -1,582 $4,589
     CABO2,791-1,582$4,589
UNITED RENTALS INC 44,502 -27,034 $4,579
     URI44,502-27,034$4,579
FLEXSHARES TR (QDEF) 125,593 -11,521 $4,573
     QDEF125,593-11,521$4,573
SENSATA TECHNOLOGIES HLDNG P 157,756 -23,968 $4,564
     ST157,756-23,968$4,564
CARLISLE COS INC 36,214 +3,302 $4,537
     CSL36,214+3,302$4,537
INNOVATOR ETFS TR (UJUN) 188,391 +188,391 $4,534
     UJUN188,391+188,391$4,534
PERFORMANCE FOOD GROUP CO 182,981 +115,059 $4,523
     PFGC182,981+115,059$4,523
REALTY INCOME CORP 90,589 -146,509 $4,517
     O90,589-146,509$4,517
XPO LOGISTICS INC 92,553 +59,819 $4,512
     XPO92,553+59,819$4,512
EMCOR GROUP INC 73,254 -10,080 $4,492
     EME73,254-10,080$4,492
ETSY INC 116,590 -5,792 $4,482
     ETSY116,590-5,792$4,482
EAST WEST BANCORP INC 174,141 +12,566 $4,482
     EWBC174,141+12,566$4,482
FLEXSHARES TR (HYGV) 109,373 +22,429 $4,481
     HYGV109,373+22,429$4,481
QORVO INC 55,560 -75,605 $4,480
     QRVO55,560-75,605$4,480
VANECK VECTORS ETF TR (DURA) 189,838 +2,372 $4,475
     DURA189,838+2,372$4,475
CARTERS INC 67,773 -28,184 $4,455
     CRI67,773-28,184$4,455
WISDOMTREE TR 134,703 +15,619 $4,449
     DGS134,703+15,619$4,449
KELLOGG CO 74,097 +10,155 $4,445
     K74,097+10,155$4,445
HASBRO INC 61,801 -3,177 $4,422
     HAS61,801-3,177$4,422
NEWMARKET CORP 11,544 +2,574 $4,420
     NEU11,544+2,574$4,420
VANGUARD ADMIRAL FDS INC (VOOV) 47,369 +9,111 $4,420
     VOOV47,369+9,111$4,420
TIMOTHY PLAN 213,036 +213,036 $4,416
     TPLC213,036+213,036$4,416
PUBLIC SVC ENTERPRISE GRP IN 98,226 +6,533 $4,411
     PEG98,226+6,533$4,411
ENTERPRISE PRODS PARTNERS L 307,108 -83,678 $4,392
     EPD307,108-83,678$4,392
ISHARES TR (IBDP) 177,556 -59,167 $4,389
     IBDP177,556-59,167$4,389
INVESCO EXCHANGE TRADED FD T (CZA) 82,812 +29,391 $4,386
     CZA82,812+29,391$4,386
LIBERTY GLOBAL PLC 278,991 -5,210 $4,383
     LBTYK278,991-5,210$4,383
GAMING & LEISURE PPTYS INC 157,867 +42,776 $4,375
     GLPI157,867+42,776$4,375
COGENT COMMUNICATIONS HLDGS 53,311 +5,982 $4,370
     CCOI53,311+5,982$4,370
GLOBAL X FDS 199,130 -30,018 $4,357
     PFFD199,130-30,018$4,357
ISHARES TR (IBDM) 175,972 -17,312 $4,338
     IBDM175,972-17,312$4,338
ISHARES TR (IBDO) 173,249 -18,191 $4,331
     IBDO173,249-18,191$4,331
ARES MANAGEMENT CORPORATION 139,826 +7,418 $4,325
     ARES139,826+7,418$4,325
HYATT HOTELS CORP 90,280 +32,098 $4,324
     H90,280+32,098$4,324
ISHARES TR (IBDL) 171,133 -19,405 $4,314
     IBDL171,133-19,405$4,314
ISHARES TR (ESML) 215,791 -4,452 $4,305
     ESML215,791-4,452$4,305
SPDR INDEX SHS FDS (GMF) 50,595 +16,561 $4,297
     GMF50,595+16,561$4,297
SPDR SER TR (MDYG) 100,201 +49,440 $4,291
     MDYG100,201+49,440$4,291
NUANCE COMMUNICATIONS INC 254,964 -145,879 $4,278
     NUAN254,964-129,879$4,278
DTE ENERGY CO 45,000 +1,898 $4,274
     DTE45,000+1,898$4,274
FOMENTO ECONOMICO MEXICANO S 70,618 -6,285 $4,273
     FMX70,618-6,285$4,273
NUTANIX INC 270,460 +67,412 $4,273
     NTNX270,460+67,412$4,273
ISHARES TR (IOO) 95,454 +37,830 $4,263
     IOO95,454+37,830$4,263
CADENCE DESIGN SYSTEM INC 64,395 -2,259 $4,253
     CDNS64,395-2,259$4,253
DENTSPLY SIRONA INC 109,278 +8,312 $4,243
     XRAY109,278+8,312$4,243
AERCAP HOLDINGS NV 185,591 -86,259 $4,230
     AER185,591-86,259$4,230
WISDOMTREE TR 53,655 +19,953 $4,202
     DTD53,655+19,953$4,202
ON SEMICONDUCTOR CORP 337,794 -21,216 $4,202
     ON337,794-21,216$4,202
VOYA FINANCIAL INC 103,344 +39,503 $4,191
     VOYA103,344+39,503$4,191
EQUINOR ASA 343,555 +101,503 $4,185
     EQNR343,555+101,503$4,185
WNS HOLDINGS LTD 97,253 -15,974 $4,180
     WNS97,253-15,974$4,180
AFFILIATED MANAGERS GROUP IN 70,479 +60,348 $4,168
     AMG70,479+60,348$4,168
AIR LEASE CORP 188,161 +20,221 $4,166
     AL188,161+20,221$4,166
FIRST TR EXCHANGE TRADED FD (EMLP) 233,655 -31,122 $4,157
     EMLP233,655-31,122$4,157
OMNICELL INC 63,291 +7,103 $4,151
     OMCL63,291+7,103$4,151
NATIONAL INSTRS CORP 125,460 -4,857 $4,150
     NATI125,460-4,857$4,150
FIRST TR EXCHANGE TRADED ALP (FNY) 112,213 +3,930 $4,147
     FNY112,213+3,930$4,147
INTERPUBLIC GROUP COS INC 255,468 -3,776 $4,136
     IPG255,468-3,776$4,136
OLD REP INTL CORP 270,919 +130,190 $4,132
     ORI270,919+130,190$4,132
CLEAN HARBORS INC 80,242 +20,004 $4,120
     CLH80,242+20,004$4,120
KEMPER CORP DEL 55,404 +35,811 $4,120
     KMPR55,404+35,811$4,120
NETEASE INC 12,813 +170 $4,112
     NTES12,813+170$4,112
VERISIGN INC 22,706 -4,826 $4,089
     VRSN22,706-4,826$4,089
REXFORD INDL RLTY INC 99,692 -6,763 $4,088
     REXR99,692-6,763$4,088
CENTURYLINK INC 431,835 -25,292 $4,085
     CTL431,835-25,292$4,085
WASTE CONNECTIONS INC 52,607 +5,044 $4,069
     WCN52,607+5,044$4,069
ISHARES TR (EUFN) 323,881 +63,790 $4,058
     EUFN323,881+63,790$4,058
GATX CORP 64,779 +5,109 $4,053
     GATX64,779+5,109$4,053
VAIL RESORTS INC 27,361 -2,320 $4,042
     MTN27,361-2,320$4,042
APTARGROUP INC 40,339 +3,481 $4,015
     ATR40,339+3,481$4,015
ITAU UNIBANCO HLDG S A 890,118 -48,870 $3,997
     ITUB890,118-48,870$3,997
LEIDOS HOLDINGS INC 43,610 +17,342 $3,997
     LDOS43,610+17,342$3,997
CENTERPOINT ENERGY INC 258,501 +52,898 $3,994
     CNP258,501+52,898$3,994
FIRST TR EXCHANGE TRADED FD (FV) 155,348 -70,193 $3,994
     FV155,348-70,193$3,994
FLEXSHARES TR (GQRE) 84,335 -11,881 $3,992
     GQRE84,335-11,881$3,992
KIRKLAND LAKE GOLD LTD 134,708 -11,745 $3,987
     KL134,708-11,745$3,987
FIFTH THIRD BANCORP 268,145 +10,778 $3,982
     FITB268,145+10,778$3,982
BROOKS AUTOMATION INC NEW 129,934 +11,639 $3,963
     BRKS129,934+11,639$3,963
HONDA MOTOR LTD 175,850 +18,942 $3,950
     HMC175,850+18,942$3,950
JOHN HANCOCK ETF TRUST (JHEM) 198,791 -18,600 $3,934
     JHEM198,791-18,600$3,934
LANDSTAR SYS INC 40,838 +4,001 $3,915
     LSTR40,838+4,001$3,915
DUKE REALTY CORP 120,724 +3,875 $3,909
     DRE120,724+3,875$3,909
LEGG MASON ETF INVT TR (LVHD) 150,941 -140,575 $3,890
     LVHD150,941-140,575$3,890
HUNTSMAN CORP 268,411 -90,491 $3,873
     HUN268,411-90,491$3,873
FAIR ISAAC CORP 12,560 +1,679 $3,865
     FICO12,560+1,679$3,865
WISDOMTREE TR 214,272 -40,049 $3,861
     DES214,272-40,049$3,861
YUM CHINA HLDGS INC 90,534 +6,472 $3,859
     YUMC90,534+6,472$3,859
FIDELITY COVINGTON TR 122,391 +62,410 $3,820
     FDLO122,391+62,410$3,820
INVESCO EXCH TRD SLF IDX FD 146,513 -246,832 $3,812
     OMFL146,513-246,832$3,812
TEXAS PAC LD TR 10,020 +7,528 $3,808
     TPL10,020+7,528$3,808
INGREDION INC 50,358 +5,489 $3,802
     INGR50,358+5,489$3,802
CHENIERE ENERGY INC 113,108 +37,042 $3,789
     LNG113,108+37,042$3,789
LOGITECH INTL S A 87,715 -6,604 $3,783
     LOGI87,715-6,604$3,783
PRINCIPAL FINL GROUP INC 120,599 -14,354 $3,780
     PFG120,599-14,354$3,780
DBX ETF TR (SNPE) 167,027 -374,963 $3,771
     SNPE167,027-374,963$3,771
ALLISON TRANSMISSION HLDGS I 115,333 +27,717 $3,761
     ALSN115,333+27,717$3,761
NEUROCRINE BIOSCIENCES INC 43,442 +7,286 $3,760
     NBIX43,442+7,286$3,760
KILROY RLTY CORP 58,923 +3,532 $3,753
     KRC58,923+3,532$3,753
WISDOMTREE TR 146,505 +32,657 $3,752
     IQDG146,505+32,657$3,752
VIPSHOP HLDGS LTD 240,791 -67,183 $3,752
     VIPS240,791-67,183$3,752
DBX ETF TR (HDAW) 195,375 -1,838 $3,730
     HDAW195,375-1,838$3,730
LPL FINL HLDGS INC 68,225 -42,105 $3,713
     LPLA68,225-42,105$3,713
ISHARES TR (JKG) 24,225 -13 $3,710
     JKG24,225-13$3,710
ISHARES TR (IYG) 35,798 -11,005 $3,675
     IYG35,798-11,005$3,675
AGNC INVT CORP 346,862 +140,573 $3,670
     AGNC346,862+140,573$3,670
ISHARES INC (EWG) 170,427 +10,317 $3,661
     EWG170,427+10,317$3,661
BALCHEM CORP 37,073 -142 $3,660
     BCPC37,073-142$3,660
ALLY FINL INC 253,530 +28,265 $3,658
     ALLY253,530+28,265$3,658
PINNACLE FINL PARTNERS INC 96,333 -82,051 $3,616
     PNFP96,333-82,051$3,616
SIGNATURE BK NEW YORK N Y 44,876 +1,406 $3,608
     SBNY44,876+1,406$3,608
FLIR SYS INC 112,836 +10,623 $3,598
     FLIR112,836+10,623$3,598
EOG RES INC 100,099 +3,238 $3,596
     EOG100,099+3,238$3,596
JPMORGAN CHASE & CO 397,122 +44,553 $3,586
     AMJ397,122+44,553$3,586
TEXAS ROADHOUSE INC 86,796 +20,836 $3,585
     TXRH86,796+20,836$3,585
EXELIXIS INC 208,133 +29,806 $3,584
     EXEL208,133+29,806$3,584
AGREE REALTY CORP 57,493 -4,162 $3,559
     ADC57,493-4,162$3,559
ISHARES TR (IGM) 16,766 +2,668 $3,551
     IGM16,766+2,668$3,551
INVESCO EXCHANGE TRADED FD T (PRFZ) 39,671 +1,135 $3,548
     PRFZ39,671+1,135$3,548
PORTLAND GEN ELEC CO 73,962 -420 $3,546
     POR73,962-420$3,546
FIRST AMERN FINL CORP 83,482 -69,768 $3,540
     FAF83,482-69,768$3,540
COMMERCE BANCSHARES INC (CBSH) 69,981 +6,420 $3,524
     CBSH69,981+6,420$3,524
J & J SNACK FOODS CORP 29,090 +3,217 $3,520
     JJSF29,090+3,217$3,520
FIRST TR EXCHANGE TRADED ALP (FDT) 88,373 +7,782 $3,519
     FDT88,373+7,782$3,519
INVESCO EXCHANGE TRADED FD T (PSP) 432,793 -35,217 $3,518
     PSP432,793-35,217$3,518
LINE CORP 72,970 -13,255 $3,513
     LN72,970-13,255$3,513
MSC INDL DIRECT INC 63,864 -11,553 $3,511
     MSM63,864-11,553$3,511
MOHAWK INDS INC 45,929 -4,390 $3,502
     MHK45,929-4,390$3,502
NEWMONT CORP 77,178 +43,079 $3,495
     NEM77,178+43,079$3,495
HD SUPPLY HLDGS INC 122,625 +28,805 $3,486
     HDS122,625+28,805$3,486
WESTROCK CO 123,157 -3,457 $3,480
     WRK123,157-3,457$3,480
BADGER METER INC 64,841 +6,655 $3,475
     BMI64,841+6,655$3,475
BOK FINL CORP 81,484 -2,474 $3,468
     BOKF81,484-2,474$3,468
QUANTA SVCS INC 109,216 +15,884 $3,465
     PWR109,216+15,884$3,465
KIMCO RLTY CORP 358,075 +60,797 $3,463
     KIM358,075+60,797$3,463
JOHN HANCOCK ETF TRUST (JHSC) 181,847 -42,964 $3,457
     JHSC181,847-42,964$3,457
ISHARES INC (EZU) 112,902 -496,482 $3,445
     EZU112,902-496,482$3,445
BARCLAYS PLC 759,345 -116,841 $3,440
     BCS759,345-116,841$3,440
FIVE9 INC 44,787 +4,589 $3,424
     FIVN44,787+4,589$3,424
HEALTHCARE SVCS GROUP INC 142,683 +20,365 $3,412
     HCSG142,683+20,365$3,412
ISHARES INC (EWA) 219,398 -31,218 $3,409
     EWA219,398-31,218$3,409
RAPID7 INC 78,544 +1,901 $3,403
     RPD78,544+1,901$3,403
COMFORT SYS USA INC 93,029 +33,940 $3,400
     FIX93,029+33,940$3,400
MIDDLEBY CORP 59,664 -7,417 $3,394
     MIDD59,664-7,417$3,394
ISHARES TR (ILTB) 47,639 +1,229 $3,393
     ILTB47,639+1,229$3,393
PIMCO EQUITY SER 171,504 -79,140 $3,392
     MFDX171,504-79,140$3,392
GENMAB A S 160,049 +21,946 $3,391
     GMAB160,049+21,946$3,391
MEDICAL PPTYS TRUST INC 195,760 -22,088 $3,385
     MPW195,760-22,088$3,385
ENSIGN GROUP INC 89,952 +12,806 $3,383
     ENSG89,952+12,806$3,383
UNIFIRST CORP MASS 22,383 +3,550 $3,382
     UNF22,383+3,550$3,382
ABSOLUTE SHS TR 146,950 -34,209 $3,370
     WBII146,950-34,209$3,370
NVR INC 1,310 -22 $3,366
     NVR1,310-22$3,366
ELBIT SYS LTD 26,272 -1,901 $3,364
     ESLT26,272-1,901$3,364
GODADDY INC 58,849 -2,093 $3,361
     GDDY58,849-2,093$3,361
DECKERS OUTDOOR CORP 24,991 +668 $3,349
     DECK24,991+668$3,349
PHYSICIANS RLTY TR 239,948 +543 $3,345
     DOC239,948+543$3,345
AMERICAN HOMES 4 RENT 144,129 -30,473 $3,344
     AMH144,129-30,473$3,344
PERKINELMER INC 44,375 -4,884 $3,341
     PKI44,375-4,884$3,341
J P MORGAN EXCHANGE TRADED F (JPIN) 77,098 -43,262 $3,334
     JPIN77,098-43,262$3,334
DARDEN RESTAURANTS INC 61,154 -20,368 $3,330
     DRI61,154-20,368$3,330
OLLIES BARGAIN OUTLT HLDGS I 71,629 +36,779 $3,319
     OLLI71,629+36,779$3,319
INVESCO EXCHANGE TRADED FD T (RYF) 105,677 -10,198 $3,318
     RYF105,677-10,198$3,318
ARMSTRONG WORLD INDS INC 41,753 +6,734 $3,316
     AWI41,753+6,734$3,316
FIRST TR EXCHANGE TRADED FD (FXU) 134,805 -57,390 $3,309
     FXU134,805-57,390$3,309
ELANCO ANIMAL HEALTH INC 147,579 -5,338 $3,304
     ELAN147,579-5,338$3,304
IAA INC 109,611 -20,111 $3,284
     IAA109,611-20,111$3,284
LLOYDS BANKING GROUP PLC 2,163,640 -1,844,387 $3,267
     LYG2,163,640-1,844,387$3,267
PENTAIR PLC 109,189 +15,635 $3,249
     PNR109,189+15,635$3,249
TORONTO DOMINION BK ONT 76,541 -25,418 $3,245
     TD76,541-25,418$3,245
ISHARES INC (EEMA) 56,733 +56,733 $3,231
     EEMA56,733+56,733$3,231
CARNIVAL CORP 244,892 -15,764 $3,225
     CCL244,892-15,764$3,225
BHP GROUP LTD 87,784 +5,276 $3,221
     BHP87,784+5,276$3,221
FIDELITY COVINGTON TR 109,492 -803,788 $3,217
     FNCL109,492-803,788$3,217
MGM RESORTS INTERNATIONAL 272,302 +119,335 $3,213
     MGM272,302+119,335$3,213
OCCIDENTAL PETE CORP 276,960 -712,568 $3,207
     OXY276,960-712,568$3,207
FEDERAL SIGNAL CORP 117,352 +68,386 $3,201
     FSS117,352+68,386$3,201
FIDELITY COVINGTON TR 112,377 +87,293 $3,162
     FVAL112,377+87,293$3,162
WISDOMTREE TR 59,569 +73 $3,149
     DNL59,569+73$3,149
AMER STATES WTR CO 38,497 +2,278 $3,147
     AWR38,497+2,278$3,147
RYANAIR HOLDINGS PLC 59,235 +763 $3,145
     RYAAY59,235+763$3,145
SQUARE INC 60,006 +12,307 $3,143
     SQ60,006+12,307$3,143
APOLLO GLOBAL MGMT INC 93,764 +19,311 $3,141
     APO93,764+19,311$3,141
ALGONQUIN PWR UTILS CORP 234,647 +21,291 $3,139
     AQN234,647+21,291$3,139
INVESCO EXCHANGE TRADED FD T (RHS) 25,286 +9,640 $3,127
     RHS25,286+9,640$3,127
NUSHARES ETF TR (NULG) 88,438 +25,732 $3,117
     NULG88,438+25,732$3,117
CALAVO GROWERS INC 53,763 +11,883 $3,102
     CVGW53,763+11,883$3,102
AMERICAN CAMPUS CMNTYS INC 111,662 -8,169 $3,099
     ACC111,662-8,169$3,099
MANAGED PORTFOLIO SER 227,168 -32,759 $3,085
     TPYP227,168-32,759$3,085
GUARDANT HEALTH INC 44,292 +40,582 $3,083
     GH44,292+40,582$3,083
COHEN & STEERS INC 67,804 +2,374 $3,082
     CNS67,804+2,374$3,082
ORIX CORP 51,982 +3,231 $3,072
     IX51,982+3,231$3,072
DROPBOX INC 169,153 +169,153 $3,062
     DBX169,153+169,153$3,062
LIVE NATION ENTERTAINMENT IN 67,242 -17,277 $3,057
     LYV67,242-17,277$3,057
LATTICE STRATEGIES TR 116,202 -14,429 $3,032
     ROUS116,202-14,429$3,032
LIBERTY MEDIA CORP DEL 111,179 +8,713 $3,027
     FWONK111,179+8,713$3,027
CUBESMART 112,963 +6,139 $3,026
     CUBE112,963+6,139$3,026
CHESAPEAKE UTILS CORP 35,139 +10,826 $3,012
     CPK35,139+10,826$3,012
FREEPORT MCMORAN INC 445,325 -30,386 $3,006
     FCX445,325-30,386$3,006