HoldingsChannel.com
All Stocks Held By First Mercantile Trust Co.
As of  09/30/2019
   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Schwab U.S. Large Cap ETF (SCHX) 1,418,712 -338,414 $100,629
     SCHX1,418,712-338,414$100,629
Vanguard FTSE Developed Markets Index Fund ETF Shares (VEA) 1,853,572 -439,273 $76,144
     VEA1,853,572-439,273$76,144
Vanguard Total Bond Market Index Fund ETF Shares (BND) 681,459 +42,178 $57,536
     BND681,459+42,178$57,536
Vanguard Short Term Bond Index Fund ETF Shares (BSV) 649,269 +119,187 $52,454
     BSV649,269+119,187$52,454
Schwab U.S. Mid Cap ETF (SCHM) 722,554 -128,037 $40,853
     SCHM722,554-128,037$40,853
Schwab U.S. Small Cap ETF (SCHA) 554,675 -25,804 $38,678
     SCHA554,675-25,804$38,678
SPDR Blmbg Barclays 1 3 Mth T Bill ETF (BIL) 331,055 +48,189 $30,322
     BIL331,055+48,189$30,322
Vanguard Short Term Corporate Bond Index Fund ETF Shares (VCSH) 299,042 +19,555 $24,238
     VCSH299,042+19,555$24,238
Vanguard FTSE Emerging Markets Index Fund ETF Shares (VWO) 447,697 -97,522 $18,023
     VWO447,697-97,522$18,023
iShares Global Infrastructure ETF (IGF) 302,930 +86,028 $14,077
     IGF302,930+86,028$14,077
Vanguard High Dividend Yield Index Fund ETF Shares (VYM) 148,079 +7,348 $13,138
     VYM148,079+7,348$13,138
Vanguard Dividend Appreciation Index Fund ETF Shares (VIG) 103,308 -18,389 $12,354
     VIG103,308-18,389$12,354
Vanguard Total International Bond Index Fund ETF Shares (BNDX) 207,077 +3,916 $12,181
     BNDX207,077+3,916$12,181
Health Care Select Sector SPDR ETF (XLV) 89,299 +3,229 $8,049
     XLV89,299+3,229$8,049
iShares Russell Mid Cap Growth ETF (IWP) 54,737 -677 $7,737
     IWP54,737-677$7,737
Vanguard Short Term Inflation Protected Securities Index Fund ETF Shares (VTIP) 157,038 +18,296 $7,702
     VTIP157,038+18,296$7,702
Energy Select Sector SPDR ETF (XLE) 128,549 -1,139 $7,610
     XLE128,549-1,139$7,610
Microsoft Corp 50,712 -6,697 $7,050
     MSFT50,712-6,697$7,050
iShares Russell Mid Cap Value ETF (IWS) 75,962 +328 $6,813
     IWS75,962+328$6,813
Vanguard Emerging Markets Government Bond Index Fund ETF Shares (VWOB) 84,420 +11,762 $6,805
     VWOB84,420+11,762$6,805
Technology Select Sector SPDR ETF (XLK) 75,870 -791 $6,110
     XLK75,870-791$6,110
iShares MSCI EAFE ETF (EFA) 91,742 -2,308 $5,983
     EFA91,742-2,308$5,983
iShares Russell 2000 Growth ETF (IWO) 26,565 -929 $5,120
     IWO26,565-929$5,120
Schwab U.S. REIT ETF (SCHH) 106,786 +7,968 $5,037
     SCHH106,786+7,968$5,037
Chubb Limited 29,681 -5,327 $4,792
     CB29,681-5,327$4,792
Schwab U.S. Aggregate Bond ETF (SCHZ) 85,086 -7,457 $4,582
     SCHZ85,086-7,457$4,582
iShares 0 5 Year High Yield Corporate Bond ETF (SHYG) 97,990 +19,806 $4,555
     SHYG97,990+19,806$4,555
UnitedHealth Group Inc 19,939 -889 $4,333
     UNH19,939-889$4,333
iShares Broad USD High Yield Corporate Bond ETF (USHY) 92,571 +3,745 $3,791
     USHY92,571+3,745$3,791
Medtronic PLC 33,612 -8,926 $3,651
     MDT33,612-8,926$3,651
Johnson & Johnson 25,905 +232 $3,352
     JNJ25,905+232$3,352
iShares Russell 2000 ETF (IWM) 21,706 -1,994 $3,285
     IWM21,706-1,994$3,285
Nike Inc Class B 32,439 -6,458 $3,047
     NKE32,439-6,458$3,047
Visa Inc 16,398 -3,741 $2,821
     V16,398-3,741$2,821
Coca Cola Company 50,699 -17,106 $2,760
     KO50,699-17,106$2,760
McDonalds Corp 12,849 -5,122 $2,759
     MCD12,849-5,122$2,759
Baxter International Inc 30,194 +30,194 $2,640
     BAX30,194+30,194$2,640
American Express Co 22,182 +22,182 $2,623
     AXP22,182+22,182$2,623
Linde PLC 13,508 -4,557 $2,617
     LIN13,508-4,557$2,617
General Dynamics Corporation 14,116 -1,888 $2,579
     GD14,116-1,888$2,579
Accenture Ltd Cl A 13,071 -2,439 $2,514
     ACN13,071-2,439$2,514
Apple Inc 11,039 +11,039 $2,472
     AAPL11,039+11,039$2,472
Union Pacific Corp 15,108 -2,680 $2,447
     UNP15,108-2,680$2,447
Alphabet Inc Cl A 2,000 +292 $2,442
     GOOGL2,000+292$2,442
Shopify Inc 7,585 -1,965 $2,364
     SHOP7,585-1,965$2,364
PNC Financial Service Corp 16,823 -3,020 $2,358
     PNC16,823-3,020$2,358
Pepsico Incorporated 16,507 -5,672 $2,263
     PEP16,507-5,672$2,263
Danaher Corp 15,566 -2,812 $2,248
     DHR15,566-2,812$2,248
TJX Companies Inc 40,016 -7,746 $2,231
     TJX40,016-7,746$2,231
American Tower REIT 10,046 -3,882 $2,222
     AMT10,046-3,882$2,222
Public Storage Inc 9,042 -2,585 $2,218
     PSA9,042-2,585$2,218
Colgate Palmolive Co 30,133 -8,199 $2,215
     CL30,133-8,199$2,215
Comcast Corp A 47,926 +6,330 $2,161
     CMCSA47,926+6,330$2,161
Diageo PLC ADR 13,200 +13,200 $2,158
     DEO13,200+13,200$2,158
Ball Corp 29,440 +29,440 $2,144
     BLL29,440+29,440$2,144
Target Inc 19,899 -5,495 $2,128
     TGT19,899-5,495$2,128
Facebook Inc 11,492 +206 $2,047
     FB11,492+206$2,047
PayPal Holdings Inc 19,392 -3,183 $2,008
     PYPL19,392-3,183$2,008
Mastercard Inc 7,241 -918 $1,967
     MA7,241-918$1,967
Oracle Corporation 35,385 +5,732 $1,947
     ORCL35,385+5,732$1,947
Verizon Communications 31,057 +6,119 $1,874
     VZ31,057+6,119$1,874
Lockheed Martin Corp 4,714 -1,078 $1,839
     LMT4,714-1,078$1,839
KKR & Co Inc A 67,122 +749 $1,803
     KKR67,122+749$1,803
Amazon.com Inc 1,023 +1,023 $1,776
     AMZN1,023+1,023$1,776
Netflix Inc 6,524 +2,474 $1,746
     NFLX6,524+2,474$1,746
JPMorgan Chase & Co. 14,738 +16 $1,734
     JPM14,738+16$1,734
Marsh & McLennan Co Inc 17,154 -4,462 $1,716
     MMC17,154-4,462$1,716
IQvia Hldgs Inc 11,446 -675 $1,710
     IQV11,446-675$1,710
Canadian National Railway Co 18,495 +18,495 $1,662
     CNI18,495+18,495$1,662
US Bancorp 29,083 -3,203 $1,609
     USB29,083-3,203$1,609
Dominion Energy Inc 19,670 +1,864 $1,594
     D19,670+1,864$1,594
Insulet Corporation 9,249 -2,060 $1,525
     PODD9,249-2,060$1,525
Wells Fargo & Co 29,963 +286 $1,512
     WFC29,963+286$1,512
Dollar Tree Stores 13,219 -2,566 $1,509
     DLTR13,219-2,566$1,509
United Continental Holdings Inc 16,719 +92 $1,478
     UAL16,719+92$1,478
AT&T Inc 38,162 -3,949 $1,444
     T38,162-3,949$1,444
Constellation Brands Inc 6,899 +519 $1,430
     STZ6,899+519$1,430
Hasbro Inc 11,988 -707 $1,423
     HAS11,988-707$1,423
iShares Russell 2000 Value ETF (IWN) 11,752 -320 $1,403
     IWN11,752-320$1,403
EXACT Sciences Corp 15,328 -3,366 $1,385
     EXAS15,328-3,366$1,385
SPDR Gold Shares (GLD) 9,937 +301 $1,380
     GLD9,937+301$1,380
FMC Corp 15,107 -3 $1,325
     FMC15,107-3$1,325
Charter Communications Inc Cl A 3,210 -189 $1,323
     CHTR3,210-189$1,323
Adobe Inc 4,685 -167 $1,295
     ADBE4,685-167$1,295
United Parcel Service Inc 9,993 +680 $1,197
     UPS9,993+680$1,197
iShares Global REIT ETF (REET) 42,048 +1,360 $1,181
     REET42,048+1,360$1,181
Illumina Inc 3,848 +1,346 $1,171
     ILMN3,848+1,346$1,171
Charles Schwab Corp 27,977 -7,463 $1,171
     SCHW27,977-7,463$1,171
Teladoc Inc 17,303 -594 $1,171
     TDOC17,303-594$1,171
AutoZone Inc 1,055 +1,055 $1,145
     AZO1,055+1,055$1,145
Marathon Petroleum Corp 18,476 +2,434 $1,122
     MPC18,476+2,434$1,122
Biogen Inc 4,796 +23 $1,116
     BIIB4,796+23$1,116
CSL Ltd Sponsored ADR 14,160 +14,160 $1,116
     COM14,160+14,160$1,116
Steris PLC 7,708 +3,493 $1,114
     STE7,708+3,493$1,114
AES Corp 66,941 +46,488 $1,093
     AES66,941+46,488$1,093
Costco Wholesale Corp 3,792 -2,118 $1,093
     COST3,792-2,118$1,093
Mercadolibre Inc 1,950 -200 $1,075
     MELI1,950-200$1,075
Tutor Perini Corp 73,314 +14,433 $1,051
     TPC73,314+14,433$1,051
AIA Group Ltd 27,794 +27,794 $1,050
     COM27,794+27,794$1,050
The Trade Desk Inc Com Cl A 5,595 -1,551 $1,049
     TTD5,595-1,551$1,049
Crown Castle Intl Corp 7,546 -352 $1,048
     CCI7,546-352$1,048
Centerpoint Energy Inc 33,907 +11,134 $1,023
     CNP33,907+11,134$1,023
Veolia Environnement Adr 39,900 +39,900 $1,012
     COM39,900+39,900$1,012
KBR Inc 41,113 -1,394 $1,009
     KBR41,113-1,394$1,009
Global Payments Inc 6,320 -2,509 $1,005
     GPN6,320-2,509$1,005
Liberty Global PLC C 42,181 +553 $1,003
     LBTYK42,181+553$1,003
Phillips 66 9,796 -255 $1,003
     PSX9,796-255$1,003
ResMed Inc 7,349 +413 $993
     RMD7,349+413$993
Exxon Mobil Corporation 14,003 +1,796 $989
     XOM14,003+1,796$989
HCP Inc 27,694 -1,177 $987
     HCP27,694-1,177$987
Entergy Corp 8,367 -3,990 $982
     ETR8,367-3,990$982
Applied Materials Inc 19,609 +19,609 $979
     AMAT19,609+19,609$979
International Business Machines 6,684 +187 $972
     IBM6,684+187$972
Bank of America Corp 33,026 +33,026 $964
     BAC33,026+33,026$964
Canadian Pacific Railway Ltd 4,320 -545 $961
     CP4,320-545$961
Nestle SA Reg B ADR 8,777 +8,777 $953
     NSRGY8,777+8,777$953
Autodesk Inc 6,412 +6,412 $947
     ADSK6,412+6,412$947
Take Two Interactive Software 7,527 -2,506 $943
     TTWO7,527-2,506$943
Cooper Companies Inc 3,163 -205 $939
     COO3,163-205$939
FedEx Corp 6,453 +460 $939
     FDX6,453+460$939
LVMH Moet Hennessy Louis Vuitton SA 11,685 +11,685 $929
     COM11,685+11,685$929
Taiwan Semiconductor Manufacturing Co Ltd ADR 19,920 -700 $926
     TSM19,920-700$926
Zebra Technologies Corp 4,485 -1,905 $926
     ZBRA4,485-1,905$926
Tesla Inc 3,800 UNCH $915
     TSLA3,800UNCH$915
Kinder Morgan Inc 44,345 -1,320 $914
     KMI44,345-1,320$914
Adidas Salomon AG Spons ADR 5,855 +5,855 $912
     ADDYY5,855+5,855$912
Targa Res Corp 22,589 +1,791 $907
     TRGP22,589+1,791$907
Discover Financial Services 11,139 +533 $903
     DFS11,139+533$903
ABB Ltd ADR 45,796 +45,796 $901
     ABB45,796+45,796$901
Stanley Black & Decker Inc 6,220 +139 $898
     SWK6,220+139$898
General Electric Company 97,386 +1,501 $871
     GE97,386+1,501$871
Northern Trust Corp 9,321 +795 $870
     NTRS9,321+795$870
CVS Health Corp 13,689 +827 $863
     CVS13,689+827$863
Enbridge Inc 24,575 +2,016 $862
     ENB24,575+2,016$862
Essilor Luxottica Unsponsored ADR 11,921 +11,921 $859
     COM11,921+11,921$859
Merck & Co Inc 10,200 +394 $859
     MRK10,200+394$859
Alphabet Inc Cl C 704 +40 $858
     GOOG704+40$858
Exelon Corp 17,642 -2,969 $852
     EXC17,642-2,969$852
ASML Holding NV 3,425 +795 $851
     ASML3,425+795$851
Tandem Diabetes Care Inc 14,421 -3,576 $851
     TNDM14,421-3,576$851
Simon Ppty Group Inc 5,431 +5,431 $845
     SPG5,431+5,431$845
Compass Group Spons ADR 32,526 +32,526 $839
     COM32,526+32,526$839
Monolithic Power Systems 5,388 -2,603 $839
     MPWR5,388-2,603$839
Alcon Inc 14,311 +14,311 $834
     ALC14,311+14,311$834
Lowes Companies Inc 7,526 UNCH $828
     LOW7,526UNCH$828
HDFC Bank Ltd ADR 14,320 +6,165 $817
     HDB14,320+6,165$817
Okta Inc Com Cl A 8,300 -1,514 $817
     OKTA8,300-1,514$817
Tencent Hldgs ADR 19,250 +19,250 $811
     COM19,250+19,250$811
CME Group Inc 3,827 -226 $809
     CME3,827-226$809
Chevron Corp 6,796 -455 $806
     CVX6,796-455$806
NVIDIA Corp 4,600 -500 $801
     NVDA4,600-500$801
Corning Inc 27,958 +14,382 $798
     GLW27,958+14,382$798
Sempra Energy 5,298 +420 $782
     SRE5,298+420$782
Mastec Inc 11,971 -313 $777
     MTZ11,971-313$777
Lam Research Corp 3,361 +107 $776
     LRCX3,361+107$776
ServiceNow Inc 3,032 -1,725 $769
     NOW3,032-1,725$769
Burlington Stores Inc 3,839 +2,569 $768
     BURL3,839+2,569$768
Zayo Group Holdings Inc 22,663 +1,794 $768
     ZAYO22,663+1,794$768
Procter & Gamble Co 6,164 +92 $767
     PG6,164+92$767
Arista Networks Inc 3,184 +3,184 $761
     ANET3,184+3,184$761
Enterprise Products Partners LP 26,619 +2,191 $761
     EPD26,619+2,191$761
Wex Inc 3,750 +236 $757
     WEX3,750+236$757
Vodafone Group PLC 37,444 +2,777 $746
     VOD37,444+2,777$746
Fiserv Inc 7,175 +4,360 $743
     FISV7,175+4,360$743
Domino&apos s Pizza Inc 2,981 +2,251 $729
     DPZ2,981+2,251$729
Qualcomm Inc 9,557 -991 $729
     QCOM9,557-991$729
Marvell Technology Group Ltd 29,020 -7,233 $725
     MRVL29,020-7,233$725
Icon PLC ADR 4,893 -798 $721
     ICLR4,893-798$721
Johnson Controls International 16,378 -1,796 $719
     JCI16,378-1,796$719
BP PLC 18,373 +18,373 $698
     BP18,373+18,373$698
Dollar General Corp 4,393 -5,263 $698
     DG4,393-5,263$698
Fortinet Inc 9,038 +1,139 $694
     FTNT9,038+1,139$694
Wal Mart Inc 5,790 +800 $687
     WMT5,790+800$687
Avangrid Inc 13,126 +7,835 $686
     AGR13,126+7,835$686
Aon PLC 3,506 +453 $679
     AON3,506+453$679
Rapid7 Inc 14,936 +175 $678
     RPD14,936+175$678
Knight Swift Transportation Holdings Inc 18,659 +4,404 $677
     KNX18,659+4,404$677
Tetra Tech Inc 7,780 +14 $675
     TTEK7,780+14$675
Aqua America Inc 15,009 -1,125 $673
     WTR15,009-1,125$673
Edwards Life Sciences Corp 3,038 -2,101 $668
     EW3,038-2,101$668
Everest RE Group Ltd 2,496 -347 $665
     RE2,496-347$665
Sherwin Williams Co 1,207 +15 $664
     SHW1,207+15$664
Fortis Inc 15,426 -3,873 $653
     FTS15,426-3,873$653
American Airlines Group Inc 24,200 +3,412 $652
     AAL24,200+3,412$652
Allegheny Technologies Inc 32,087 -7,119 $650
     ATI32,087-7,119$650
National Grid Transco PLC 11,963 +873 $648
     NGG11,963+873$648
Smith & Nephew PLC 13,375 +13,375 $644
     SNN13,375+13,375$644
Progressive Corp 8,250 +1,400 $637
     PGR8,250+1,400$637
Eaton Corp PLC 7,582 -304 $630
     ETN7,582-304$630
Automatic Data Processing Inc. 3,890 +3,890 $628
     ADP3,890+3,890$628
Webster Financial Corp 13,406 -755 $628
     WBS13,406-755$628
Alibaba Group Holding Ltd 3,748 -3,161 $627
     BABA3,748-3,161$627
Clean Harbors Inc 8,095 +596 $625
     CLH8,095+596$625
DexCom Inc 4,179 -202 $624
     DXCM4,179-202$624
Bristol Myers Squibb Company 12,192 -4 $619
     BMY12,192-4$619
Lululemon Athletica Inc. 3,200 -300 $616
     LULU3,200-300$616
Post Holdings Inc 5,783 -130 $612
     POST5,783-130$612
Paylocity Holding Corporation Com 6,259 -1,071 $611
     PCTY6,259-1,071$611
TripAdvisor Inc 15,725 -13,505 $608
     TRIP15,725-13,505$608
Amadeus IT Group S A 8,460 +8,460 $606
     COM8,460+8,460$606
LPL Finl Hldgs Inc 7,391 -540 $606
     LPLA7,391-540$606
Cogent Communications Holdings Inc 10,917 -224 $602
     CCOI10,917-224$602
Cree Inc 12,279 -231 $602
     CREE12,279-231$602
Thermo Fisher Scientific Inc 2,048 -163 $596
     TMO2,048-163$596
MDU Resources Group Inc 21,077 +1,921 $594
     MDU21,077+1,921$594
United Technologies Corp 4,341 -150 $593
     UTX4,341-150$593
IHS Markit Ltd 8,848 +1,164 $592
     INFO8,848+1,164$592
Corporate Office Properties 19,722 -421 $587
     OFC19,722-421$587
Atlas Copco Ser A 18,971 +18,971 $585
     COM18,971+18,971$585
Mettler Toledo International Inc 820 -490 $578
     MTD820-490$578
Dover Corp 5,700 +400 $567
     DOV5,700+400$567
AAR Corp 13,731 +13,731 $566
     AIR13,731+13,731$566
CoStar Group Inc 950 -50 $564
     CSGP950-50$564
Nuance Communications Inc 34,453 -976 $562
     NUAN34,453-976$562
Shake Shack Inc Com 5,700 -2,100 $559
     SHAK5,700-2,100$559
Q2 Hldgs Inc 7,077 -523 $558
     QTWO7,077-523$558
UGI Corp 10,957 +6,657 $551
     UGI10,957+6,657$551
SS&C Technologies Inc 10,645 -1,137 $549
     SSNC10,645-1,137$549
Pan American Silver Corp 34,925 -522 $548
     PAAS34,925-522$548
Azul Holdings Inc 15,230 -630 $546
     AZUL15,230-630$546
Dupont De Nemours Inc 7,600 +117 $542
     DD7,600+117$542
Valero Energy Corp 6,368 +1,280 $542
     VLO6,368+1,280$542
Reinsurance Grp of America 3,383 -213 $541
     RGA3,383-213$541
Zillow Group Inc C 18,100 -1,800 $540
     Z18,100-1,800$540
Huron Consulting Group Inc 8,734 +4,760 $536
     HURN8,734+4,760$536
Deckers Outdoor Corp 3,600 +3,600 $530
     DECK3,600+3,600$530
Trex Co Inc 5,826 -165 $530
     TREX5,826-165$530
Whirlpool Corp 3,347 +409 $530
     WHR3,347+409$530
Semtech Corp 10,880 -66 $528
     SMTC10,880-66$528
Waste Connections Inc New 5,719 +303 $526
     WCN5,719+303$526
Varian Medical Systems 4,400 +700 $524
     VAR4,400+700$524
Corteva Inc 18,629 +11,146 $522
     CTVA18,629+11,146$522
Dana Inc 35,890 +9,002 $519
     DAN35,890+9,002$519
Qorvo Inc 6,965 -147 $516
     QRVO6,965-147$516
Controladora Vuela Cia De Aviacion Spon Adr Repr 10 51,275 -2,353 $513
     VLRS51,275-2,353$513
DR Horton Inc 9,705 -65 $512
     DHI9,705-65$512
EMCOR Group Inc 5,900 +5,900 $508
     EME5,900+5,900$508
Ciena Corp 12,900 +12,900 $506
     CIEN12,900+12,900$506
Noble Energy Inc 22,459 +899 $505
     NBL22,459+899$505
Biomarin Pharmaceutical Inc 7,398 -718 $499
     BMRN7,398-718$499
L3 Harris Technologies Inc 2,386 +2,386 $498
     LHX2,386+2,386$498
Nokia Corp 97,584 +8,895 $494
     NOK97,584+8,895$494
Epam Sys Inc 2,700 +200 $492
     EPAM2,700+200$492
Eldorado Resorts Inc 12,345 +1,640 $492
     ERI12,345+1,640$492
Cadence Design Systems Inc 7,433 -957 $491
     CDNS7,433-957$491
Huntington Ingalls Industries Inc 2,289 -171 $485
     HII2,289-171$485
Twitter Inc 11,758 +5,629 $484
     TWTR11,758+5,629$484
Ambarella Inc 7,682 +3,823 $483
     AMBA7,682+3,823$483
Centene Corp Del 11,060 -500 $478
     CNC11,060-500$478
Akamai Technologies Inc 5,200 +1,559 $475
     AKAM5,200+1,559$475
Pfizer Inc 13,214 -20 $475
     PFE13,214-20$475
Itron Inc 6,396 -172 $473
     ITRI6,396-172$473
Intel Corp 9,124 -14 $470
     INTC9,124-14$470
Conmed Corp 4,871 +3,504 $468
     CNMD4,871+3,504$468
Eli Lilly and Company 4,168 +600 $466
     LLY4,168+600$466
Texas Capital Bancshares Inc (TCBI) 8,526 -120 $466
     TCBI8,526-120$466
Cintas Corp 1,733 -44 $465
     CTAS1,733-44$465
JetBlue Airways Corp 27,671 -2,480 $464
     JBLU27,671-2,480$464
Cardlytics Inc Com 13,734 +2,738 $460
     CDLX13,734+2,738$460
Cinemark Hldgs Inc 11,900 -700 $460
     CNK11,900-700$460
Dunkin Brands Group Inc 5,800 +5,800 $460
     DNKN5,800+5,800$460
Jabil Inc 12,793 -377 $458
     JBL12,793-377$458
Teleflex Inc 1,343 -233 $456
     TFX1,343-233$456
New York Community Bancorp Inc 35,941 +33,611 $451
     NYCB35,941+33,611$451
Owens Corning Sales Inc 7,121 +6,521 $450
     OC7,121+6,521$450
Open Text Corp 11,020 +405 $450
     OTEX11,020+405$450
Ubisoft Entmt ADR 30,855 +30,855 $446
     COM30,855+30,855$446
Schlumberger LTD 12,911 -3,327 $441
     SLB12,911-3,327$441
Wabtec Corporation 6,136 +94 $441
     WAB6,136+94$441
Wayfair Inc 3,900 +200 $437
     W3,900+200$437
AmDocs Limited 6,590 +720 $436
     DOX6,590+720$436
Belden CDT Inc 8,162 +8,162 $435
     BDC8,162+8,162$435
Inspire Med Sys Inc Com 7,125 -6 $435
     INSP7,125-6$435
Alleghany Corp 542 +542 $433
     Y542+542$433
Euronet Worldwide Inc 2,957 -2,197 $432
     EEFT2,957-2,197$432
Fidelity National Information 3,247 +3,247 $431
     FIS3,247+3,247$431
Chr. Hansen Holding A S Spon Adr Ea Repr 1 2 Ord 20,190 +20,190 $429
     COM20,190+20,190$429
Ross Stores Inc 3,878 +213 $426
     ROST3,878+213$426
Zendesk Inc 5,773 -5,224 $421
     ZEN5,773-5,224$421
EOG Resources Inc 5,630 -1,668 $418
     EOG5,630-1,668$418
Cardiovascular Systems Inc 8,744 -133 $416
     CSII8,744-133$416
Five Below Inc 3,285 +223 $414
     FIVE3,285+223$414
Genpact Ltd 10,661 +5,915 $413
     G10,661+5,915$413
SunTrust Banks Inc 5,952 -104 $409
     STI5,952-104$409
WR Berkley Corp 5,629 +5,629 $407
     WRB5,629+5,629$407
Citigroup Inc 5,873 -9 $406
     C5,873-9$406
Universal Display Corp 2,391 -1,451 $401
     OLED2,391-1,451$401
Alaska Air Group Inc 6,133 +6,133 $398
     ALK6,133+6,133$398
Rockwell Automation Inc 2,414 +1,293 $398
     ROK2,414+1,293$398
Graphic Packaging Intl 26,381 -2,809 $389
     GPK26,381-2,809$389
Kemper Corp 4,979 +1,541 $388
     KMPR4,979+1,541$388
American Financial Group Inc 3,579 +3,579 $386
     AFG3,579+3,579$386
WNS Holdings Limit 6,557 -554 $385
     WNS6,557-554$385
O Reilly Automotive Inc 960 -277 $383
     ORLY960-277$383
Sage Therapeutics Inc 2,725 -13 $382
     SAGE2,725-13$382
Kirby Corp 4,636 +593 $381
     KEX4,636+593$381
Kraton Corporation 11,758 -394 $380
     KRA11,758-394$380
SBA Communications Corp 1,568 +50 $378
     SBAC1,568+50$378
BrightCove Inc 35,634 -2,237 $373
     BCOV35,634-2,237$373
Southwest Airlines Co 6,905 -2,256 $373
     LUV6,905-2,256$373
Chegg Inc 12,369 -4,429 $371
     CHGG12,369-4,429$371
Acacia Communications Inc Com 5,658 -144 $370
     ACIA5,658-144$370
Myriad Genetics Inc 12,922 -440 $370
     MYGN12,922-440$370
Rogers Corp 2,689 -63 $368
     ROG2,689-63$368
Interface Inc Cl A 25,411 +4,252 $367
     TILE25,411+4,252$367
Synovus Financial Corp 10,080 +339 $361
     SNV10,080+339$361
TC Energy Corp 6,939 +633 $359
     TRP6,939+633$359
Oneok Inc 4,844 +442 $357
     OKE4,844+442$357
Universal Electronics Inc 7,010 -198 $357
     UEIC7,010-198$357
Microchip Technology Inc 3,815 -2,322 $354
     MCHP3,815-2,322$354
ConocoPhillips 6,177 -104 $352
     COP6,177-104$352
Papa Johns International Inc 6,735 +6,735 $352
     PZZA6,735+6,735$352
Advanced Micro Devices 12,114 +12,114 $351
     AMD12,114+12,114$351
Kratos Defense & Sec Soultions 18,785 +10,156 $349
     KTOS18,785+10,156$349
Northrop Grumman Corp 928 +234 $347
     NOC928+234$347
RPT Realty 25,572 +694 $346
     RPT25,572+694$346
Natera Inc Com 10,523 +6,656 $345
     NTRA10,523+6,656$345
Sealed Air Corp 8,311 +470 $345
     SEE8,311+470$345
Popular Inc 6,338 -146 $343
     BPOP6,338-146$343
Comerica Inc 5,209 +204 $343
     CMA5,209+204$343
Borg Warner Inc 9,314 +9,314 $342
     BWA9,314+9,314$342
Moody&apos s Corp 1,664 +549 $341
     MCO1,664+549$341
Qiagen NV Foreign Issue 10,332 -342 $341
     QGEN10,332-342$341
White Mountains Insurance Grp Ltd 316 +1 $341
     WTM316+1$341
Floor &Decor Hldgs Inc Cl A 6,566 +1,646 $335
     FND6,566+1,646$335
Vulcan Materials Company 2,217 -57 $335
     VMC2,217-57$335
Macom Tech Solutions Hldgs Inc 15,471 +97 $333
     MTSI15,471+97$333
Boston Beer Co Inc 910 +409 $331
     SAM910+409$331
Willis Towers Watson Public Ltd Co 1,715 +5 $331
     WLTW1,715+5$331
Raymond James Financial 3,995 -5 $330
     RJF3,995-5$330
Trimas Corp 10,668 UNCH $327
     TRS10,668UNCH$327
Career Education Corp 20,504 -944 $326
     CECO20,504-944$326
Physicians Realty Trust 18,348 +1,323 $326
     DOC18,348+1,323$326
Hamilton Lane Inc Cl A 5,720 +4,536 $326
     HLNE5,720+4,536$326
Masco Corp 7,800 -250 $325
     MAS7,800-250$325
Benefitfocus Inc 13,610 +1,903 $324
     BNFT13,610+1,903$324
Essent Group Ltd 6,798 -1,220 $324
     ESNT6,798-1,220$324
Mercury Systems Inc 3,996 +1,385 $324
     MRCY3,996+1,385$324
Meritor Inc 17,538 +156 $324
     MTOR17,538+156$324
FTI Consulting Inc 3,018 +2,225 $320
     FCN3,018+2,225$320
Inphi Corp 5,247 -433 $320
     IPHI5,247-433$320
Liberty SiriusXM C 7,605 +275 $319
     LSXMK7,605+275$319
Tivo Corporation 41,746 -65 $318
     TIVO41,746-65$318
Ringcentral Inc 2,523 +276 $317
     RNG2,523+276$317
Williams Companies 13,170 -6,962 $317
     WMB13,170-6,962$317
Orion Engineered Carbons SA 18,767 +2,088 $314
     OEC18,767+2,088$314
Navigator Holdings 29,223 +2,555 $312
     NVGS29,223+2,555$312
Planet Fitness Inc Cl A 5,389 -2,027 $311
     PLNT5,389-2,027$311
Tegna Inc 19,880 +735 $309
     TGNA19,880+735$309
Spire Inc 3,536 +247 $308
     SR3,536+247$308
Discovery Communications Inc 11,525 +430 $307
     DISCA11,525+430$307
HP Inc 16,218 +220 $307
     HPQ16,218+220$307
ESCO Technologies Corp 3,822 -243 $304
     ESE3,822-243$304
Capri Holdings Limited 9,131 -1,577 $303
     CPRI9,131-1,577$303
Hanesbrand Inc 19,684 +1,269 $301
     HBI19,684+1,269$301
Agnico Eagle Mines Ltd 5,593 +5,593 $300
     AEM5,593+5,593$300
Edison International 3,977 +3,977 $300
     EIX3,977+3,977$300
NASDAQ Inc 3,020 +477 $300
     NDAQ3,020+477$300
Neehnah Inc 4,608 +128 $300
     NP4,608+128$300
Cheniere Energy Inc 4,739 -3,804 $299
     LNG4,739-3,804$299
Martin Marietta Materials Inc 1,090 -36 $299
     MLM1,090-36$299
Interxion Holding NV 3,648 -916 $297
     INXN3,648-916$297
LHC Group 2,619 +815 $297
     LHCG2,619+815$297
Home Depot Inc 1,265 -82 $294
     HD1,265-82$294
Horizon Therapeutics Pub 10,797 -6 $294
     HZNP10,797-6$294
Zions Bancorp NA 6,602 -135 $294
     ZION6,602-135$294
Howard Hughes Corp 2,260 +810 $293
     HHC2,260+810$293
Sun Communities Inc 1,957 -100 $291
     SUI1,957-100$291
Roper Technologies Inc 814 -345 $290
     ROP814-345$290
Acadia Healthcare Company Inc 9,296 -142 $289
     ACHC9,296-142$289
TherapeuticsMD Inc 79,358 -2,335 $288
     TXMD79,358-2,335$288
Alliance Data Systems Corp 2,233 +2,233 $286
     ADS2,233+2,233$286
Taylor Morrison Home Corp 11,026 +99 $286
     TMHC11,026+99$286
CGI Inc A 3,580 +130 $283
     GIB3,580+130$283
BMC Stock Holdings Inc 10,786 -3,452 $282
     BMCH10,786-3,452$282
Live Nation Inc 4,253 +2,679 $282
     LYV4,253+2,679$282
Pacira Biosciences Com 7,386 +2,923 $281
     PCRX7,386+2,923$281
Silicon Laboratories Inc 2,513 +55 $280
     SLAB2,513+55$280
Gaslog Ltd 21,716 +179 $279
     GLOG21,716+179$279
US Foods Holding Corp 6,756 -1,127 $278
     USFD6,756-1,127$278
Great Westn Bancorp Inc 8,367 +443 $277
     GWB8,367+443$277
Lennar Corp Class A 4,954 -132 $277
     LEN4,954-132$277
Aramark 6,330 +90 $276
     ARMK6,330+90$276
Brookfield Asset Mgmt Inc 5,185 +190 $275
     BAM5,185+190$275
Wingstop Inc 3,149 +202 $275
     WING3,149+202$275
Ameriprise Financial Inc 1,845 +45 $271
     AMP1,845+45$271
Flir Systems Inc 5,150 -150 $271
     FLIR5,150-150$271
Square Inc Com Class A 4,350 -250 $269
     SQ4,350-250$269
First Bancorp 26,903 -660 $268
     FBP26,903-660$268
Watsco Inc 1,587 -53 $268
     WSO1,587-53$268
Dish Network 7,796 +7,796 $266
     DISHV7,796+7,796$266
Archer Daniels Midland Co 6,459 +6,459 $265
     ADM6,459+6,459$265
EuroNav 28,833 -1,209 $265
     EURN28,833-1,209$265
Leidos Holdings Inc 3,083 +780 $265
     LDOS3,083+780$265
Alliant Energy Corp 4,896 +4,896 $264
     LNT4,896+4,896$264
Umpqua Hldgs Corp 15,976 -500 $264
     UMPQ15,976-500$264
Covanta Holding Corporation 15,114 UNCH $261
     CVA15,114UNCH$261
Lyft Inc Cl A 6,400 +2,300 $261
     LYFT6,400+2,300$261
Freshpet Com 5,226 -4 $260
     FRPT5,226-4$260
Texas Instruments Inc 2,010 +750 $260
     TXN2,010+750$260
Chewy Inc A 10,500 +6,600 $258
     CHWY10,500+6,600$258
Xylem Inc 3,240 +120 $258
     XYL3,240+120$258
Flex Ltd 24,462 -793 $256
     FLEX24,462-793$256
Nielsen Holdings PLC Shs 12,055 +2,305 $256
     NLSN12,055+2,305$256
Paccar Inc 3,662 +197 $256
     PCAR3,662+197$256
Public Service Enterprise Group Inc 4,110 +135 $256
     PEG4,110+135$256
Amphenol Corp 2,639 +2,639 $255
     APH2,639+2,639$255
Cypress Semiconductor Corp 10,918 -2,270 $255
     CY10,918-2,270$255
Cubesmart 7,279 -710 $254
     CUBE7,279-710$254
Cousins Properties Inc 6,775 +1,300 $254
     CUZ6,775+1,300$254
TransOcean Inc 56,903 +4,611 $254
     RIG56,903+4,611$254
McKesson Corporation 1,854 +69 $253
     MCK1,854+69$253
Navigant Consulting Inc 9,050 -507 $253
     NCI9,050-507$253
Beacon Roofing Supply Inc 7,527 +7,527 $252
     BECN7,527+7,527$252
Solaredge Technologies Inc 3,006 +1 $252
     SEDG3,006+1$252
Booking Hldgs Inc 128 +128 $251
     BKNG128+128$251
LKQ Corporation 7,965 +295 $250
     LKQ7,965+295$250
Maxlinear Inc 11,110 +1,037 $249
     MXL11,110+1,037$249
Service Corp Intl 5,180 +190 $248
     SCI5,180+190$248
MSC Industrial Direct Co Inc 3,385 +125 $246
     MSM3,385+125$246
Selective Ins Group Inc 3,254 -443 $245
     SIGI3,254-443$245
Amgen Inc 1,259 +1,259 $244
     AMGN1,259+1,259$244
Seattle Genetics Inc 2,856 +1,050 $244
     SGEN2,856+1,050$244
Ametek Inc 2,650 +2,650 $243
     AME2,650+2,650$243
Camden Property Trust 2,188 -575 $243
     CPT2,188-575$243
NCR Corp 7,658 -260 $242
     NCR7,658-260$242
Hartford Financial Svcs 3,974 +104 $241
     HIG3,974+104$241
Illinois Tool Works Inc 1,543 +1,543 $241
     ITW1,543+1,543$241
LGI Homes Inc 2,894 -107 $241
     LGIH2,894-107$241
Mueller Industries Inc 8,390 +120 $241
     MLI8,390+120$241
Bankunited Inc 7,141 -377 $240
     BKU7,141-377$240
Sun Power Corporation 21,850 +21,850 $240
     SPWR21,850+21,850$240
Yum Brands Inc 2,101 -780 $238
     YUM2,101-780$238
Quanta Services Inc 6,244 -177 $236
     PWR6,244-177$236
Nomad Foods Limited 11,473 -1,220 $235
     NOMD11,473-1,220$235
American Campus Communities Inc 4,863 +4,863 $234
     ACC4,863+4,863$234
Alexander & Baldwin Inc 9,540 +9,540 $234
     ALEX9,540+9,540$234
Performance Food Group Co 5,092 +5,092 $234
     PFGC5,092+5,092$234
Lattice Semiconductor Corp 12,752 +2,118 $233
     LSCC12,752+2,118$233
Dril Quip Inc 4,643 -357 $232
     DRQ4,643-357$232
American Woodmark Corp 2,590 +2,590 $230
     AMWD2,590+2,590$230
Granite Construction Inc 7,148 -689 $230
     GVA7,148-689$230
HD Supply Inc 5,860 +910 $230
     HDS5,860+910$230
Lear Corporation 1,951 +354 $230
     LEA1,951+354$230
STAG Industrial Inc. 7,800 -350 $230
     STAG7,800-350$230
E TRADE Financial Corp 5,193 -47 $227
     ETFC5,193-47$227
Carpenter Technology Corp 4,372 +87 $226
     CRS4,372+87$226
Fate Therapeutics Inc 14,525 -10 $226
     FATE14,525-10$226
Philip Morris Intl Inc 2,936 -7,544 $223
     PM2,936-7,544$223
Sterling Bancorp 11,082 -1,802 $223
     STL11,082-1,802$223
Uber Technologies Inc 7,300 +1,500 $222
     UBER7,300+1,500$222
Boston Scientific 5,400 -150 $220
     BSX5,400-150$220
BWX Technologies Inc 3,837 +1,153 $220
     BWXT3,837+1,153$220
Tilray Inc 8,900 +800 $220
     TLRY8,900+800$220
Morgan Stanley 5,139 -7 $219
     MS5,139-7$219
PRA Group Inc 6,482 +545 $219
     PRAA6,482+545$219
Viavi Solutions Inc 15,462 +15,462 $217
     VIAV15,462+15,462$217
KLA Corp 1,354 +571 $216
     KLAC1,354+571$216
First Horizon National 13,246 -328 $215
     FHN13,246-328$215
Jefferies Financial Group Inc. 11,658 -178 $215
     JEF11,658-178$215
Avnet Inc 4,815 +4,815 $214
     AVT4,815+4,815$214
Mgm Growth Ppptys Llc Com Shs A 7,131 +450 $214
     MGP7,131+450$214
Goosehead Ins Inc Com Cl A 4,300 +3,600 $212
     GSHD4,300+3,600$212
Wendy&apos s Company 10,605 -1,175 $212
     WEN10,605-1,175$212
Funko Inc Cl A 10,212 +10,212 $210
     FNKO10,212+10,212$210
Best Buy Inc 3,029 +3,029 $209
     BBY3,029+3,029$209
Globe Life Inc 2,181 +2,181 $209
     GL2,181+2,181$209
Incyte Corp 2,787 -85 $207
     INCY2,787-85$207
NIC Inc 9,990 +9,990 $206
     EGOV9,990+9,990$206
Hancock Whitney Corporation 5,402 +89 $206
     HWC5,402+89$206
International Bancshares Corp Tex (IBOC) 5,301 +80 $205
     IBOC5,301+80$205
Jacobs Engineering Group Inc 2,244 +2,244 $205
     JEC2,244+2,244$205
Royal Caribbean Cruises 1,882 +53 $204
     RCL1,882+53$204
Steelcase Inc 11,026 -4,230 $203
     SCS11,026-4,230$203
The Travelers Companies Inc 1,363 -2 $203
     TRV1,363-2$203
S&P Global Inc 826 -201 $202
     SPGI826-201$202
Brunswick Corp 3,848 +3,288 $201
     BC3,848+3,288$201
Acco Brands Corp 20,169 +290 $199
     ACCO20,169+290$199
Tri Pointe Group Inc 13,173 +190 $198
     TPH13,173+190$198
Electronic Arts Inc 2,019 +599 $197
     EA2,019+599$197
Kulicke & Soffa Industries Inc 8,385 +3,016 $197
     KLIC8,385+3,016$197
Goldman Sachs Group Inc 944 -1 $196
     GS944-1$196
Old Republic International Corp 8,340 -764 $196
     ORI8,340-764$196
Spectrum Brands Holdings Inc 3,698 +342 $195
     SPB3,698+342$195
Valmont Industries Inc 1,400 +20 $194
     VMI1,400+20$194
Broadcom Inc 698 -31 $193
     AVGO698-31$193
Avalara Inc Com 2,866 UNCH $193
     AVLR2,866UNCH$193
GoGo Inc 32,018 UNCH $193
     GOGO32,018UNCH$193
Pluralsight Inc 11,500 +1,200 $193
     PS11,500+1,200$193
Artisan Partners Asset Management 6,801 -738 $192
     APAM6,801-738$192
MRC Global 15,845 +57 $192
     MRC15,845+57$192
CBRE Group Inc 3,566 +3,566 $189
     CBRE3,566+3,566$189
IberiaBank Corp 2,502 -67 $189
     IBKC2,502-67$189
Associated Banc Corp 9,260 +9,260 $188
     ASB9,260+9,260$188
Masonite International Corp 3,229 +1,879 $187
     DOOR3,229+1,879$187
Hain Celestial Group Inc 8,700 +8,700 $187
     HAIN8,700+8,700$187
Empire St Rlty Tr Inc Com Usd0.01 Cl A 13,034 -450 $186
     ESRT13,034-450$186
IDEXX Labs Corp 685 +59 $186
     IDXX685+59$186
Skywest inc 3,247 -568 $186
     SKYW3,247-568$186
Westlake Chemical Corp 2,849 +687 $186
     WLK2,849+687$186
Americold Rlty Tr Com 4,998 +1,868 $185
     COLD4,998+1,868$185
Haemonetics Corp 1,464 UNCH $185
     HAE1,464UNCH$185
iShares Russell 1000 Value (IWD) 1,444 -435 $185
     IWD1,444-435$185
Allscripts Healthcare Solutions Inc 16,883 +240 $185
     MDRX16,883+240$185
Pinnacle West Cap Corp 1,909 +29 $185
     PNW1,909+29$185
Darling Ingredients Inc 9,577 -333 $183
     DAR9,577-333$183
Brandywine Realty Trust SBI 12,000 +170 $182
     BDN12,000+170$182
Century Communities 5,938 -207 $182
     CCS5,938-207$182
Hess Corp 3,009 +64 $182
     HES3,009+64$182
Sea Limited Ads Each Rep One Class A Ord Shs 5,874 -750 $182
     SE5,874-750$182
V.F. Corporation 2,050 -100 $182
     VFC2,050-100$182
Cott Corp 14,531 -590 $181
     COT14,531-590$181
Bank of New York Mellon Corp 3,985 +3,985 $180
     BK3,985+3,985$180
DXP Enterprises Inc 5,166 -127 $179
     DXPE5,166-127$179
Robert Half Intl 3,200 -100 $178
     RHI3,200-100$178
EnerSys 2,688 -140 $177
     ENS2,688-140$177
GATX Corp 2,280 +30 $177
     GATX2,280+30$177
Northwest Bancshares Inc (NWBI) 10,771 +160 $177
     NWBI10,771+160$177
AmerisourceBergen Corp 2,139 +49 $176
     ABC2,139+49$176
Encore Wire Corp 3,120 -180 $176
     WIRE3,120-180$176
First American Financial Corp 2,965 -1,133 $175
     FAF2,965-1,133$175
Boot Barn Holdings Inc. 4,969 +4,969 $173
     BOOT4,969+4,969$173
Northwestern Corp 2,300 UNCH $173
     NWE2,300UNCH$173
Thermon Group Hldgs Inc 7,533 UNCH $173
     THR7,533UNCH$173
Amedisys Inc 1,309 +1,309 $171
     AMED1,309+1,309$171
Banc Calif Inc 12,127 +180 $171
     BANC12,127+180$171
Cummins Inc 1,049 -3,973 $171
     CMI1,049-3,973$171
Sensient Technologies Corp 2,495 +40 $171
     SXT2,495+40$171
Addus Homecare Corporation 2,147 +2,147 $170
     ADUS2,147+2,147$170
Assured Guaranty Ltd 3,832 +81 $170
     AGO3,832+81$170
PNM Resources Inc 3,260 -10 $170
     PNM3,260-10$170
Albemarle Corp 2,433 +2,433 $169
     ALB2,433+2,433$169
TechnipFMC PLC 6,998 +825 $169
     FTI6,998+825$169
Bright Horizons Family Solutions Inc 1,103 -76 $168
     BFAM1,103-76$168
Park Hotels Resorts Inc 6,727 -300 $168
     PK6,727-300$168
Atlantic Un Bankshares Corp (AUB) 4,480 +60 $167
     AUB4,480+60$167
Fabrinet 3,189 UNCH $167
     FN3,189UNCH$167
Guidewire Software Inc 1,574 -215 $166
     GWRE1,574-215$166
Huntsman Corp 7,126 +36 $166
     HUN7,126+36$166
Molina Healthcare Inc 1,510 +110 $166
     MOH1,510+110$166
PDC Energy Inc 5,942 -215 $165
     PDCE5,942-215$165
Tyson Foods Inc 1,919 +89 $165
     TSN1,919+89$165
Stepan Co 1,690 +20 $164
     SCL1,690+20$164
Trimble Inc 4,200 -150 $163
     TRMB4,200-150$163
CenturyLink Inc 12,961 +1,056 $162
     CTL12,961+1,056$162
PotlatchDeltic Corp 3,948 +60 $162
     PCH3,948+60$162
South Jersey Industries Inc 4,908 +510 $162
     SJI4,908+510$162
Booz Allen Hamilton Hldg Cl A 2,264 +2,264 $161
     BAH2,264+2,264$161
Compass Minerals Intl Inc 2,826 -126 $160
     CMP2,826-126$160
Federal Signal Corp 4,901 +508 $160
     FSS4,901+508$160
ICF International Inc 1,890 +30 $160
     ICFI1,890+30$160
Caterpillar Inc 1,259 -1 $159
     CAT1,259-1$159
Walt Disney Co 1,220 -1,425 $159
     DIS1,220-1,425$159
Forward Air Corp 2,496 +40 $159
     FWRD2,496+40$159
Eversource Energy 1,854 +84 $158
     ES1,854+84$158
Hanover Ins Group 1,168 -112 $158
     THG1,168-112$158
Hawaiian Holdings Inc 5,997 -3,920 $157
     HA5,997-3,920$157
Merit Medical Sys Inc 5,161 +85 $157
     MMSI5,161+85$157
Eastman Chemical Co 2,119 +44 $156
     EMN2,119+44$156
First Midwest Bancorp Inc 8,003 +120 $156
     FMBI8,003+120$156
Stifel Financial Corp 2,726 +227 $156
     SF2,726+227$156
OneMain Holdings Inc 4,228 -707 $155
     OMF4,228-707$155
Tabula Rasa Healthcare Inc Com 2,837 +1,640 $155
     TRHC2,837+1,640$155
Exelixis Inc 8,734 +2,348 $154
     EXEL8,734+2,348$154
First Industrial Realty Trust Inc 3,879 +404 $153
     FR3,879+404$153
NetScout Systems Inc 6,650 +10 $153
     NTCT6,650+10$153
Assurant Inc 1,208 +1,208 $152
     AIZ1,208+1,208$152
International Paper Co 3,633 +163 $152
     IP3,633+163$152
Luxfer Hldgs Plc 9,775 +1,670 $152
     LXFR9,775+1,670$152
Nucor Corp 2,977 +152 $152
     NUE2,977+152$152
SM Energy Company 15,657 -121 $152
     SM15,657-121$152
EastGroup Properties Inc 1,207 +125 $151
     EGP1,207+125$151
TTM Technologies Inc 12,403 +3,594 $151
     TTMI12,403+3,594$151
Eagle Materials Inc 1,662 -51 $150
     EXP1,662-51$150
Lyondellbasell Industries N V 1,678 -2 $150
     LYB1,678-2$150
NapCo Security Systems Inc 5,882 +5,882 $150
     NSSC5,882+5,882$150
Franklin Resources 5,149 +223 $149
     BEN5,149+223$149
Black Hills Corp 1,946 +1,946 $149
     BKH1,946+1,946$149
Fleetcor Technologies Inc 521 -295 $149
     FLT521-295$149
Madden Steven Ltd 4,176 +303 $149
     SHOO4,176+303$149
Gentherm Inc 3,630 +50 $149
     THRM3,630+50$149
Biohaven Pharmaceutical Hldg Co Ltd Com Npv 3,542 +3,542 $148
     BHVN3,542+3,542$148
Southwest Gas Holding Corp 1,620 -380 $147
     SWX1,620-380$147
Commvault Systems Inc 3,266 +155 $146
     CVLT3,266+155$146
Abiomed Inc 812 +812 $145
     ABMD812+812$145
Hub Group Inc 3,119 +1,861 $145
     HUBG3,119+1,861$145
Intercontinental Exchange Inc (ICE) 1,574 -278 $145
     ICE1,574-278$145
Raytheon Co 734 -44 $144
     RTN734-44$144
Bloomin Brands Inc 7,551 +7,551 $143
     BLMN7,551+7,551$143
Tronox Inc 17,248 -424 $143
     TROX17,248-424$143
Deere & Company 839 -1 $142
     DE839-1$142
Sotheby&apos s Inc 2,472 -2,064 $141
     BID2,472-2,064$141
CTS Corp 4,342 +60 $141
     CTS4,342+60$141
1800Flowers.com Inc 9,520 +835 $141
     FLWS9,520+835$141
Kennametal Inc Cap Stk 4,597 +1,063 $141
     KMT4,597+1,063$141
Skechers USA Inc 3,774 -1,760 $141
     SKX3,774-1,760$141
BlackRock Inc 314 -18 $140
     BLK314-18$140
Easterly Govt Pptys Inc 6,557 +4,141 $140
     DEA6,557+4,141$140
Gilead Sciences Inc 2,202 -4 $140
     GILD2,202-4$140
Green Dot Corp 5,507 -200 $139
     GDOT5,507-200$139
Model N Inc 4,969 -151 $138
     MODN4,969-151$138
Criteo S.A Ads Each Repr 1 Ord Spons 7,305 +10 $137
     CRTO7,305+10$137
Everbridge Inc Com 2,228 UNCH $137
     EVBG2,228UNCH$137
Stericycle Inc 2,690 +417 $137
     SRCL2,690+417$137
Centennial Resource Development Inc Cl A 30,131 -1,085 $136
     CDEV30,131-1,085$136
Intuit Inc 513 -291 $136
     INTU513-291$136
Trinseo SA 3,170 -420 $136
     TSE3,170-420$136
Brightview Hldgs Inc 7,839 +722 $135
     BV7,839+722$135
ON Semiconductor Corp 7,050 -250 $135
     ON7,050-250$135
Callaway Golf Co 6,835 +833 $133
     ELY6,835+833$133
Humana Inc 517 +517 $132
     HUM517+517$132
J. M. Smucker Company 1,195 +15 $131
     SJM1,195+15$131
Splunk Inc 1,100 -415 $130
     SPLK1,100-415$130
Concho Resources Inc 1,900 -619 $129
     CXO1,900-619$129
Wabco Holdings Inc 966 -25 $129
     WBC966-25$129
Kosmos Energy Ltd 20,460 +300 $128
     KOS20,460+300$128
Scorpio Tankers Inc 4,311 +60 $128
     STNG4,311+60$128
2U Inc 7,821 -16,190 $127
     TWOU7,821-16,190$127
Verint Systems Inc 2,976 -170 $127
     VRNT2,976-170$127
Cognizant Technology Solutions Corp 2,098 -1 $126
     CTSH2,098-1$126
J & J Snack Foods Corp 656 +2 $126
     JJSF656+2$126
Continental Bldg Prods Inc 4,583 +343 $125
     CBPX4,583+343$125
Celgene Corp 1,259 +2 $125
     CELG1,259+2$125
Synchrony Financial Com 3,648 +168 $124
     SYF3,648+168$124
CSX Corporation 1,782 +1,782 $123
     CSX1,782+1,782$123
Hewlett Packard Enterprise Co 8,108 +688 $123
     HPE8,108+688$123
Regal Beloit Corp Wisconsin 1,693 -813 $123
     RBC1,693-813$123
Exlservice Holdings Inc 1,800 UNCH $121
     EXLS1,800UNCH$121
Brooks Automation Inc 3,236 +77 $120
     BRKS3,236+77$120
Fortune Brands Home & Security Inc 2,202 +208 $120
     FBHS2,202+208$120
Kaiser Aluminum Corp 1,212 +125 $120
     KALU1,212+125$120
AMN Healthcare Services Inc 2,060 +2,060 $119
     AMN2,060+2,060$119
Columbus McKinnon Corp 3,278 +340 $119
     CMCO3,278+340$119
Kellogg 1,842 +902 $119
     K1,842+902$119
MetLife Inc 2,517 -4 $119
     MET2,517-4$119
Magnolia Oil & Gas Corp 10,740 +2,360 $119
     MGY10,740+2,360$119
MKS Instruments Inc 1,267 +1,267 $117
     MKSI1,267+1,267$117
Jack in the Box Inc 1,269 +131 $116
     JACK1,269+131$116
Coherent Inc 750 +30 $115
     COHR750+30$115
Mesa Air Group Inc 17,005 -402 $115
     MESA17,005-402$115
Revolve Group Inc 4,900 +4,900 $115
     RVLV4,900+4,900$115
Regions Financial Corp 7,211 +331 $114
     RF7,211+331$114
Rudolph Technologies Inc 4,320 +1,900 $114
     RTEC4,320+1,900$114
CDK Global Inc 2,350 +2,350 $113
     CDK2,350+2,350$113
Patterson UTI Energy Inc 13,208 -1,084 $113
     PTEN13,208-1,084$113
Alcoa Corporation 5,560 +5,560 $112
     AA5,560+5,560$112
Quidel Corp 1,821 +25 $112
     QDEL1,821+25$112
Repligen Corp 1,454 -151 $112
     RGEN1,454-151$112
Terex Corp 4,330 -280 $112
     TEX4,330-280$112
American Intl Group Inc 1,993 +1,993 $111
     AIG1,993+1,993$111
Boise Cascade Corp 3,414 -194 $111
     BCC3,414-194$111
J2 Global Inc 1,223 -395 $111
     JCOM1,223-395$111
AFLAC Inc 2,098 +2,098 $110
     AFL2,098+2,098$110
Aptiv PLC 1,259 -1 $110
     APTV1,259-1$110
Celanese Corp Series A 902 +42 $110
     CE902+42$110
Summit Hotel Pptys Inc 9,494 +140 $110
     INN9,494+140$110
Kontoor Brands Inc 3,140 +2,826 $110
     KTB3,140+2,826$110
Omnicom Group Inc 1,416 +31 $110
     OMC1,416+31$110
Aerojet Rocketdyne Hldgs Inc 2,166 +2,166 $109
     AJRD2,166+2,166$109
Minerals Technologies Inc 2,050 +213 $109
     MTX2,050+213$109
Signature BK NY 919 +12 $109
     SBNY919+12$109
1st Source Corp 2,378 +30 $109
     SRCE2,378+30$109
American Electric Power Co Inc 1,154 +1,154 $108
     AEP1,154+1,154$108
Astronics Corp 3,682 +3,682 $108
     ATRO3,682+3,682$108
Cooper Std Hldgs Inc 2,630 +531 $108
     CPS2,630+531$108
US Ecology Corp 1,685 +175 $108
     ECOL1,685+175$108
Helen of Troy Corp 688 -30 $108
     HELE688-30$108
Ulta Beauty Inc 428 -413 $107
     ULTA428-413$107
Worthington Industries Inc 2,961 +308 $107
     WOR2,961+308$107
Yeti Holdings Inc 3,813 -2,864 $107
     YETI3,813-2,864$107
BB&T Corp 1,993 +1,993 $106
     BBT1,993+1,993$106
General Motors Co 2,832 -4 $106
     GM2,832-4$106
Cincinnati Financial 892 +42 $104
     CINF892+42$104
Seacor Holdings Inc 2,208 +30 $104
     CKH2,208+30$104
Forrester Research Inc 3,234 UNCH $104
     FORR3,234UNCH$104
Prudential Financial Inc 1,154 -1 $104
     PRU1,154-1$104
Saia Inc 1,110 +20 $104
     SAIA1,110+20$104
Stoneridge Inc 3,348 -116 $104
     SRI3,348-116$104
Allstate Corp 944 +944 $103
     ALL944+944$103
eHealth Inc 1,545 +1,545 $103
     EHTH1,545+1,545$103
Grocery Outlet Hldg Corp 2,946 +1,325 $102
     GO2,946+1,325$102
Matthews Intl Corp Class A 2,890 +40 $102
     MATW2,890+40$102
Old National Bancorp 5,950 +618 $102
     ONB5,950+618$102
Prestige Consumer Healthcare Inc 2,937 +221 $102
     PBH2,937+221$102
Qurate Retail Group 9,915 +365 $102
     QRTEA9,915+365$102
Anthem Inc 420 +420 $101
     ANTM420+420$101
Salesforce.com Inc 682 -463 $101
     CRM682-463$101
Centerstate Banks of Florida Inc 4,197 +436 $101
     CSFL4,197+436$101
CryoPort Inc 6,172 +6,172 $101
     CYRX6,172+6,172$101
II VI Inc 2,878 +214 $101
     IIVI2,878+214$101
Penumbra Inc 753 +753 $101
     PEN753+753$101
Cooper Tire & Rubber Co 3,800 +420 $99
     CTB3,800+420$99
First Financial Bancorp 4,057 +422 $99
     FFBC4,057+422$99
Michaels Stores 10,130 UNCH $99
     MIK10,130UNCH$99
Vista Outdoor Inc 15,933 -17,975 $99
     VSTO15,933-17,975$99
Wright Medical Group N V 4,763 -11,991 $98
     WMGI4,763-11,991$98
American Eagle Outfitters Inc 5,961 +619 $97
     AEO5,961+619$97
Primoris Svcs Corp 4,922 +550 $97
     PRIM4,922+550$97
Ares Capital Corp 5,140 -1,070 $96
     ARCC5,140-1,070$96
IAC InteractiveCorp 442 +442 $96
     IAC442+442$96
MGIC Investment Corp 7,659 -1,634 $96
     MTG7,659-1,634$96
Reata Pharmaceuticals Inc Cl A 1,198 -2 $96
     RETA1,198-2$96
Solar Capital Ltd 4,629 +70 $96
     SLRC4,629+70$96
Valley National Bancorp 8,790 +912 $96
     VLY8,790+912$96
Diamondrock Hospitality Co 9,310 +130 $95
     DRH9,310+130$95
Ford Motor Company 10,383 +195 $95
     F10,383+195$95
M&T Bank Corp 600 +28 $95
     MTB600+28$95
ABM Industries Inc 2,585 +2,585 $94
     ABM2,585+2,585$94
Advance Auto Parts Inc 563 -308 $93
     AAP563-308$93
Keycorp Inc 5,220 +240 $93
     KEY5,220+240$93
Workday Inc 549 -1,246 $93
     WDAY549-1,246$93
Zynga Inc. 16,043 -17,180 $93
     ZNGA16,043-17,180$93
Carmax Inc 1,048 -2 $92
     KMX1,048-2$92
Markel Corp 78 +4 $92
     MKL78+4$92
Mirati Therapeutics Inc 1,169 +301 $91
     MRTX1,169+301$91
Nuvasive Inc 1,430 +149 $91
     NUVA1,430+149$91
Principal Financial Group Inc 1,593 +73 $91
     PFG1,593+73$91
Under Armour Inc Class A 4,573 -116 $91
     UAA4,573-116$91
American Equity Investment Life Holding Co 3,739 +3,739 $90
     AEL3,739+3,739$90
Casella Waste Systems Inc 2,103 -450 $90
     CWST2,103-450$90
Independent Bank Group In 1,703 +177 $90
     IBTX1,703+177$90
Kroger Company 3,501 -3,935 $90
     KR3,501-3,935$90
Ligand Pharmaceuticals Inc 900 +94 $90
     LGND900+94$90
Align Technology Inc 491 +491 $89
     ALGN491+491$89
Sinclair Broadcast Group Inc 2,080 +2,080 $89
     SBGI2,080+2,080$89
HCA Healthcare Inc 734 -1 $88
     HCA734-1$88
Medicines Company 1,768 -223 $88
     MDCO1,768-223$88
ASGN Inc 1,389 +144 $87
     ASGN1,389+144$87
Carvana Co Cl A 1,325 -417 $87
     CVNA1,325-417$87
Aerie Pharmaceuticals Inc 4,490 -57 $86
     AERI4,490-57$86
Capital One Financial Corp 944 -1 $86
     COF944-1$86
Greenhill & Co Inc 6,539 -149 $86
     GHL6,539-149$86
New Jersey Resources Corp 1,904 +30 $86
     NJR1,904+30$86
Rosetta Stone Inc 4,921 -6,285 $86
     RST4,921-6,285$86
Cardinal Health Inc 1,794 +1,794 $85
     CAH1,794+1,794$85
Citizens Financial Group Inc 2,400 +110 $85
     CFG2,400+110$85
CROCS Inc 3,045 +3,045 $85
     CROX3,045+3,045$85
CryoLife Inc 3,133 +255 $85
     CRY3,133+255$85
Lincoln National Corp 1,405 +65 $85
     LNC1,405+65$85
Nanostring Technologies Inc 3,929 -4,303 $85
     NSTG3,929-4,303$85
Cheesecake Factory Inc 2,016 +210 $84
     CAKE2,016+210$84
Modine Manufacturing Co 7,272 -180 $83
     MOD7,272-180$83
Novocure Limited 1,108 +1,108 $83
     NVCR1,108+1,108$83
Oil States International Inc 6,190 +20 $82
     OIS6,190+20$82
Pebblebrook Hotel Tr 2,949 +306 $82
     PEB2,949+306$82
Sonos Inc 6,105 +6,105 $82
     SONO6,105+6,105$82
Kadant Inc 920 -265 $81
     KAI920-265$81
Quaker Chemical Corp 515 UNCH $81
     KWR515UNCH$81
Monster Beverage Corp 1,391 -2,064 $81
     MNST1,391-2,064$81
Ultragenyx Pharmaceutical Inc 1,892 +741 $81
     RARE1,892+741$81
CBS Corp Cl B 1,981 +91 $80
     CBS1,981+91$80
Kite Realty Group Tr 4,807 -1,678 $78
     KRG4,807-1,678$78
Tactile Sys Technology Inc Com 1,833 -935 $78
     TCMD1,833-935$78
Adtalem Global Ed Inc 1,995 +1,995 $76
     ATGE1,995+1,995$76
Huntington Bancshares Inc (HBAN) 5,356 +246 $76
     HBAN5,356+246$76
Independent Bank Corp 1,019 +105 $76
     INDB1,019+105$76
Dorian Lpg Ltd 7,320 +110 $76
     LPG7,320+110$76
Golar LNG Ltd 5,802 -186 $75
     GLNG5,802-186$75
First Intst Bancsystem 1,848 +191 $74
     FIBK1,848+191$74
Valaris Plc 15,378 +15,378 $74
     VAL15,378+15,378$74
Albany Intl Corp Cl A 805 +805 $73
     AIN805+805$73
Delta Air Lines 1,259 -1 $73
     DAL1,259-1$73
Verisign Inc 386 -215 $73
     VRSN386-215$73
Balchem Corp 722 +722 $72
     BCPC722+722$72
CNA Financial Corp 1,468 +68 $72
     CNA1,468+68$72
Skyworks Solutions Inc 912 +42 $72
     SWKS912+42$72
United Community Banks Inc 2,503 +625 $71
     UCBI2,503+625$71
Western Union Co 3,083 +143 $71
     WU3,083+143$71
Ally Financial Inc 2,065 +95 $68
     ALLY2,065+95$68
Mack Cali Realty Corp 3,123 +324 $68
     CLI3,123+324$68
Cato Corp Cl A 3,777 +50 $67
     CATO3,777+50$67
Norwegian Cruise Line Holdings 1,301 +181 $67
     NCLH1,301+181$67
Houghton Mifflin Harcourt Co 12,429 -1,690 $66
     HMHC12,429-1,690$66
Vanda Pharmaceuticals Inc 4,960 +516 $66
     VNDA4,960+516$66
Wellcare Health Plans Inc 255 -104 $66
     WCG255-104$66
Brown & Brown Inc 1,808 +1,808 $65
     BRO1,808+1,808$65
QEP Resources 17,614 +130 $65
     QEP17,614+130$65
American Assets Tr Inc 1,370 +1,370 $64
     AAT1,370+1,370$64
Armada Hoffler Pptys Inc 3,537 +367 $64
     AHH3,537+367$64
Graco Inc 1,388 +1,388 $64
     GGG1,388+1,388$64
Signet Group PLC 3,810 -490 $64
     SIG3,810-490$64
Anixter International Inc 917 +917 $63
     AXE917+917$63
Micron Technology Inc 1,468 +1,468 $63
     MU1,468+1,468$63
MYR Group Inc 2,013 -757 $63
     MYRG2,013-757$63
Check Point Software Technologies Ltd 568 -303 $62
     CHKP568-303$62
Malibu Boats Inc 2,031 +64 $62
     MBUU2,031+64$62
Yelp Inc 1,780 +100 $62
     YELP1,780+100$62
First Bancorp 1,694 -392 $61
     FBNC1,694-392$61
Oasis Petroleum Inc 17,630 UNCH $61
     OAS17,630UNCH$61
Netgear Inc 1,873 +194 $60
     NTGR1,873+194$60
Supernus Pharmaceuticals Inc 2,173 +520 $60
     SUPN2,173+520$60
United Rentals Inc 482 +132 $60
     URI482+132$60
Devon Energy Corporation 2,440 -12,720 $59
     DVN2,440-12,720$59
Marathon Oil Corp 4,747 +217 $58
     MRO4,747+217$58
Pulte Group 1,583 +73 $58
     PHM1,583+73$58
Acuity Brands Inc 420 UNCH $57
     AYI420UNCH$57
City Holding Co 754 -116 $57
     CHCO754-116$57
Ferroglobe Plc 50,597 -375 $57
     GSM50,597-375$57
Wsfs Financial Corp 1,287 -470 $57
     WSFS1,287-470$57
ATN International Inc 966 UNCH $56
     ATNI966UNCH$56
Global Eagle Entertainment Inc 77,532 -1,997 $56
     ENT77,532-1,997$56
Mohawk Industries Inc 451 +451 $56
     MHK451+451$56
Plantronics Inc 1,502 +308 $56
     PLT1,502+308$56
Retrophin Inc 4,822 +320 $56
     RTRX4,822+320$56
Atlas Air Worldwide Holdings Inc 2,186 +2,186 $55
     AAWW2,186+2,186$55
Molson Coors Co Class B 959 +79 $55
     TAP959+79$55
Rexnord Corp Com Usd 0.01 2,009 +2,009 $54
     RXN2,009+2,009$54
Seacor Marine Hldgs Inc 4,289 +60 $54
     SMHI4,289+60$54
Liberty Global Plc A 2,135 -3,148 $53
     LBTYA2,135-3,148$53
Cimarex Energy Co 1,100 -160 $53
     XEC1,100-160$53
Spirit AeroSystems Holdings Inc 627 +627 $52
     SPR627+627$52
Barnes Group Inc 996 +996 $51
     B996+996$51
RPC Inc 9,010 -1,280 $51
     RES9,010-1,280$51
Sangamo Therapeutics Inc 5,601 -138 $51
     SGMO5,601-138$51
Spectrum Pharmaceuticals Inc 6,104 +1,154 $51
     SPPI6,104+1,154$51
Blackbaud Inc 551 +31 $50
     BLKB551+31$50
XEROX Corp 1,687 +77 $50
     XRX1,687+77$50
Ameritrade Holding Corp 1,048 -762 $49
     AMTD1,048-762$49
Packaging Corp of America 465 +45 $49
     PKG465+45$49
Natus Med Inc 1,522 +20 $48
     BABY1,522+20$48
Bryn Mawr Bank Corp 1,327 +138 $48
     BMTC1,327+138$48
Reliance Steel And Aluminum Co 482 +22 $48
     RS482+22$48
Nexstar Media Group Inc 455 UNCH $47
     NXST455UNCH$47
Santander Consumer USA Holdings Inc 1,854 +84 $47
     SC1,854+84$47
Snap on Incorporated 298 +13 $47
     SNA298+13$47
Nektar Therapeutics 2,551 -1,177 $46
     NKTR2,551-1,177$46
Tailored Brands Inc 10,437 -3,935 $46
     TLRD10,437-3,935$46
Agios Pharmaceuticals Inc 1,358 +1,358 $44
     AGIO1,358+1,358$44
Arrow Electronics 588 +588 $44
     ARW588+588$44
Noble Corp 34,328 -2,034 $44
     NE34,328-2,034$44
Viacom Inc Cl B 1,823 -97 $44
     VIAB1,823-97$44
WesBanco Inc 1,138 +1,138 $43
     WSBC1,138+1,138$43
Bunge Ltd 734 +34 $42
     BG734+34$42
Era Group Inc 3,962 +60 $42
     ERA3,962+60$42
Voya Financial Inc 776 +36 $42
     VOYA776+36$42
Primerica Inc 320 UNCH $41
     PRI320UNCH$41
Tenneco Inc 3,285 +341 $41
     TEN3,285+341$41
Diplomat Pharmacy Inc 8,156 -6,927 $40
     DPLO8,156-6,927$40
SPX Flow Inc 980 +780 $39
     FLOW980+780$39
Harley Davidson Inc 1,080 +50 $39
     HOG1,080+50$39
Mimecast Limited Com Usd0.012 1,105 +79 $39
     MIME1,105+79$39
Lendingtree Inc 126 -109 $39
     TREE126-109$39
AGCO Corp 503 +503 $38
     AGCO503+503$38
CBIZ Inc 1,600 +1,600 $38
     CBZ1,600+1,600$38
Williams Sonoma Inc 555 +25 $38
     WSM555+25$38
Intercept Pharmaceuticals Inc 560 +560 $37
     ICPT560+560$37
Spark Therapeutics Inc 385 UNCH $37
     ONCE385UNCH$37
Toll Brothers Inc 892 +92 $37
     TOL892+92$37
Athene Holding Ltd A 850 +40 $36
     ATH850+40$36
Allison Transmission Holdings 744 +34 $35
     ALSN744+34$35
Crown Holdings Inc 535 +25 $35
     CCK535+25$35
Coeur Mining Inc 7,071 -2,695 $34
     CDE7,071-2,695$34
H & R Block Inc 1,384 +1,384 $33
     HRB1,384+1,384$33
Portland General Electric 588 -3,853 $33
     POR588-3,853$33
UNUMProvident Corp 1,112 +52 $33
     UNM1,112+52$33
Kforce Inc 834 UNCH $32
     KFRC834UNCH$32
Oshkosh Corp 419 +39 $32
     OSK419+39$32
Chuys Holdings Inc 1,255 UNCH $31
     CHUY1,255UNCH$31
Carrizo Oil & Gas Inc 3,628 -2,760 $31
     CRZO3,628-2,760$31
East West Bancorp 703 +33 $31
     EWBC703+33$31
Manpowergroup 366 +26 $31
     MAN366+26$31
Scan Source Inc 1,025 -770 $31
     SCSC1,025-770$31
Axis Capital Holdings Limited 430 +20 $29
     AXS430+20$29
Keane Group Inc 4,852 -430 $29
     FRAC4,852-430$29
Woodward Inc 266 -294 $29
     WWD266-294$29
AutoNation Inc 545 +25 $28
     AN545+25$28
Wyndham Destinations Inc 577 +167 $27
     WYND577+167$27
Prosperity Bancshares Inc (PB) 366 +16 $26
     PB366+16$26
Hope Bancorp Inc 1,745 UNCH $25
     HOPE1,745UNCH$25
Radian Group Inc 1,039 +49 $24
     RDN1,039+49$24
Cullen Frost Bankers 256 +11 $23
     CFR256+11$23
CIT Group Inc 514 +24 $23
     CIT514+24$23
Penske Automotive Group Inc 482 +22 $23
     PAG482+22$23
Pinnacle Financial Partners Inc 398 +18 $23
     PNFP398+18$23
Brighthouse Finl Inc 535 +25 $22
     BHF535+25$22
Foot Locker Inc 514 +24 $22
     FL514+24$22
Graham Holdings Co 33 +9 $22
     GHC33+9$22
Western Alliance Bancorporation 482 +22 $22
     WAL482+22$22
Aqua Metals Inc 12,396 -260 $21
     AQMS12,396-260$21
Adamas Pharmaceuticals Inc 3,951 -197 $20
     ADMS3,951-197$20
Investors Bancorp Inc 1,792 +82 $20
     ISBC1,792+82$20
Mistras Group Inc 1,229 -3,640 $20
     MG1,229-3,640$20
Puma Biotechnology Inc 1,890 +196 $20
     PBYI1,890+196$20
United BankShares Inc WV (UBSI) 524 +24 $20
     UBSI524+24$20
FNB Corporation 1,667 +77 $19
     FNB1,667+77$19
Louisiana Pacific Corp 765 +35 $19
     LPX765+35$19
TCF Finl Corp New 503 -127 $19
     TCF503-127$19
United Therapeutics Corp 240 +10 $19
     UTHR240+10$19
First Hawaiian Inc 692 +32 $18
     FHB692+32$18
SLM Corporation 2,013 +93 $18
     SLM2,013+93$18
Tech Data Corp 168 +8 $18
     TECD168+8$18
Livent Corp 2,595 UNCH $17
     LTHM2,595UNCH$17
AMC Networks Inc 304 +14 $15
     AMCX304+14$15
Timken Co 356 +16 $15
     TKR356+16$15
Dicks Sporting Goods Inc 314 +14 $13
     DKS314+14$13
Echostar Holding Corp 283 +13 $11
     SATS283+13$11
US Silica Holdings Inc 1,048 -648 $10
     SLCA1,048-648$10
UMB Financial Corp 147 +7 $9
     UMBF147+7$9
American National Insurance Co 58 +58 $7
     ANAT58+58$7
KLX Energy Services Holdings Inc 779 -34 $7
     KLXE779-34$7
SRC Energy Inc 1,413 -2,692 $7
     SRCI1,413-2,692$7
Neuronetics Inc 896 -47 $7
     STIM896-47$7
AGILENT TECHNOLOGIES INC $0 (exited)
     A0-698$0
ABBVIE INC $0 (exited)
     ABBV0-2,521$0
ALLERGAN PLC $0 (exited)
     AGN0-3,200$0
APPLIED INDUSTRIAL TECH INC $0 (exited)
     AIT0-1,559$0
AMNEAL PHARMACEUTICALS INC $0 (exited)
     AMRX0-10,960$0
ARRAY BIOPHARMA INC $0 (exited)
     ARRY0-9,924$0
DMC GLOBAL INC $0 (exited)
     BOOM0-2,840$0
BT GROUP PLC SPON ADR $0 (exited)
     BT0-15,200$0
CARS.COM INC $0 (exited)
     CARS0-3,680$0
CARBON BLACK INC $0 (exited)
     CBLK0-8,215$0
CARNIVAL CORP $0 (exited)
     CCL0-1,365$0
CHEMICAL FINANCIAL CORP $0 (exited)
     CHFC0-210$0
CALLON PETROLEUM CO $0 (exited)
     CPE0-42,657$0
CISCO SYSTEMS INC $0 (exited)
     CSCO0-7,890$0
DISH NETWORK CORP A $0 (exited)
     DISH0-7,410$0
DELPHI TECHNOLOGIES PLC $0 (exited)
     DLPH0-6,942$0
DXC TECHNOLOGY CO $0 (exited)
     DXC0-2,056$0
ELANCO ANIMAL HEALTH INC $0 (exited)
     ELAN0-2,850$0
ENSCO ROWAN PLC CLASS A $0 (exited)
     ESV0-11,551$0
ETSY INC $0 (exited)
     ETSY0-5,268$0
EVERCORE INC A $0 (exited)
     EVR0-1,671$0
EVERI HOLDINGS INC $0 (exited)
     EVRI0-7,445$0
FIRST DATA CORP CLASS A $0 (exited)
     FDC0-14,450$0
FINISAR CORPORATION $0 (exited)
     FNSR0-3,716$0
FORTERRA INC $0 (exited)
     FRTA0-11,370$0
FORTIVE CORP $0 (exited)
     FTV0-5,398$0
GLU MOBILE INC $0 (exited)
     GLUU0-10,068$0
GAP INC THE $0 (exited)
     GPS0-2,490$0
GOODYEAR TIRE RUBBER CO $0 (exited)
     GT0-1,080$0
CHART INDUSTRIES INC $0 (exited)
     GTLS0-5,534$0
HELMERICH PAYNE $0 (exited)
     HP0-590$0
HARSCO CORP $0 (exited)
     HSC0-12,286$0
INTRICON CORP $0 (exited)
     IIN0-3,266$0
INGREDION INC $0 (exited)
     INGR0-1,213$0
INTER PARFUMS INC $0 (exited)
     IPAR0-1,722$0
GARTNER INC $0 (exited)
     IT0-748$0
INTRA CELLULAR THERAPIES INC $0 (exited)
     ITCI0-13,146$0
JONES LANG LASALLE INC $0 (exited)
     JLL0-231$0
KEYSIGHT TECHNOLOGIES IN $0 (exited)
     KEYS0-1,119$0
L BRANDS INC $0 (exited)
     LB0-1,230$0
LIONS GATE ENTERTAINMENT B $0 (exited)
     LGF.B0-13,730$0
GRAND CANYON EDUCATION INC $0 (exited)
     LOPE0-3,113$0
LOVESAC CO THE $0 (exited)
     LOVE0-8,262$0
K12 INC $0 (exited)
     LRN0-6,774$0
MEDIDATA SOLUTIONS INC $0 (exited)
     MDSO0-4,100$0
MACQUARIE INFRASTRUCTURE COR $0 (exited)
     MIC0-4,056$0
MIDDLEBY CORP $0 (exited)
     MIDD0-2,700$0
ALTRIA GROUP INC $0 (exited)
     MO0-3,256$0
MURPHY OIL CORP $0 (exited)
     MUR0-950$0
MAXIM INTEGRATED PRODUCTS $0 (exited)
     MXIM0-2,569$0
NAVISTAR INTERNATIONAL CORP $0 (exited)
     NAV0-540$0
NEW RELIC INC $0 (exited)
     NEWR0-3,100$0
INGEVITY CORP $0 (exited)
     NGVT0-2,670$0
NORFOLK SOUTHERN CORP $0 (exited)
     NSC0-2,730$0
NETAPP INC $0 (exited)
     NTAP0-7,220$0
NUTANIX INC A $0 (exited)
     NTNX0-5,874$0
OLLIE S BARGAIN OUTLET HOLDI $0 (exited)
     OLLI0-1,111$0
PALO ALTO NETWORKS INC $0 (exited)
     PANW0-3,018$0
PERRIGO CO PLC $0 (exited)
     PRGO0-21,920$0
PVH CORP $0 (exited)
     PVH0-4,350$0
RYDER SYSTEM INC $0 (exited)
     R0-280$0
LIVERAMP HOLDINGS INC $0 (exited)
     RAMP0-2,831$0
SCHOLASTIC CORP $0 (exited)
     SCHL0-1,718$0
SERVICEMASTER GLOBAL HOLDING $0 (exited)
     SERV0-3,170$0
STITCH FIX INC CLASS A $0 (exited)
     SFIX0-2,867$0
SILK ROAD MEDICAL INC $0 (exited)
     SILK0-2,848$0
SYNNEX CORP $0 (exited)
     SNX0-144$0
STRATEGIC EDUCATION INC $0 (exited)
     STRA0-2,966$0
STATE STREET CORP $0 (exited)
     STT0-11,800$0
ATLASSIAN CORP PLC CLASS A $0 (exited)
     TEAM0-500$0
TORCHMARK CORP $0 (exited)
     TMK0-2,150$0
VEECO INSTRUMENTS INC $0 (exited)
     VECO0-13,645$0
VMWARE INC CLASS A $0 (exited)
     VMW0-406$0
WAGEWORKS INC $0 (exited)
     WAGE0-1,352$0
WATERS CORP $0 (exited)
     WAT0-937$0
WALGREENS BOOTS ALLIANCE INC $0 (exited)
     WBA0-840$0
WORLDPAY INC CLASS A $0 (exited)
     WP0-4,070$0
XILINX INC 0 -1,638 $0 (exited)
     XLNX0-1,638$0

See Summary: First Mercantile Trust Co. Top Holdings
See Details: Top 10 Stocks Held By First Mercantile Trust Co.

EntityShares/Amount
Change
Position Value
Change
BAX +30,194+$2,640
AXP +22,182+$2,623
AAPL +11,039+$2,472
DEO +13,200+$2,158
BLL +29,440+$2,144
AMZN +1,023+$1,776
CNI +18,495+$1,662
AZO +1,055+$1,145
CSL Ltd Sponsored ADR +14,160+$1,116
AIA Group Ltd +27,794+$1,050
EntityShares/Amount
Change
Position Value
Change
PRGO -21,920-$1,044
STT -11,800-$662
PANW -3,018-$615
NSC -2,730-$544
AGN -3,200-$536
STRA -2,966-$528
WP -4,070-$499
ARRY -9,924-$460
NTAP -7,220-$445
FTV -5,398-$440
EntityShares/Amount
Change
Position Value
Change
BSV +119,187+$9,766
IGF +86,028+$4,056
BIL +48,189+$4,409
AES +46,488+$750
BND +42,178+$4,431
NYCB +33,611+$428
SHYG +19,806+$903
VCSH +19,555+$1,689
VTIP +18,296+$859
TPC +14,433+$234
EntityShares/Amount
Change
Position Value
Change
VEA -439,273-$19,491
SCHX -338,414-$22,703
SCHM -128,037-$7,707
VWO -97,522-$5,165
SCHA -25,804-$2,815
VIG -18,389-$1,661
VSTO -17,975-$202
ZNGA -17,180-$111
KO -17,106-$693
Size ($ in 1000's)
At 09/30/2019: $939,085
At 06/30/2019: $949,084

Combined Holding Report Includes:
FIRST MERCANTILE TRUST CO
AllianceBernstein
Argent
Barrow Hanley
Brandywine
CCI
CS McKee
Frontier
TCW
Jackson Square
Macquarie
Miller Howard
NewSouth
Smith Group
WCM
Wellington
Zevenbergen
AllianceBernstein
Argent
Barrow Hanley
Brandywine
CCI
CS McKee
Frontier
TCW
Jackson Square
Macquarie
Miller Howard
NewSouth
Smith Group
WCM
Wellington
Zevenbergen

First Mercantile Trust Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from First Mercantile Trust Co. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By First Mercantile Trust Co. | www.HoldingsChannel.com

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