HoldingsChannel.com
All Stocks Held By Great West Life Assurance Co. Can
As of  12/31/2023, we find all stocks held by Great West Life Assurance Co. Can to be as follows, presented in the table below with each row detailing each Great West Life Assurance Co. Can position, ordered by largest to smallest position size. The all-stocks-held-by-Great West Life Assurance Co. Can table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Great West Life Assurance Co. Can as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 6,667,463 +14,282 $2,494,576
     MSFT6,667,463+14,282$2,494,576
APPLE INC 12,763,757 -32,326 $2,445,401
     AAPL12,763,757-32,326$2,445,401
AMAZON COM INC 6,882,433 +372,860 $1,040,806
     AMZN6,882,433+372,860$1,040,806
NVIDIA CORPORATION 2,065,208 -8,769 $1,017,771
     NVDA2,065,208-8,769$1,017,771
ALPHABET INC 6,157,872 -121,365 $855,887
     GOOGL6,157,872-121,365$855,887
UNITEDHEALTH GROUP INC 1,119,988 -15,270 $587,299
     UNH1,119,988-15,270$587,299
TESLA INC 2,264,664 +27,048 $559,985
     TSLA2,264,664+27,048$559,985
ALPHABET INC 3,852,369 +82,960 $540,388
     GOOG3,852,369+82,960$540,388
JOHNSON & JOHNSON 2,929,205 +54,807 $456,973
     JNJ2,929,205+54,807$456,973
META PLATFORMS INC 1,291,926 +51,126 $455,279
     META1,291,926+51,126$455,279
BERKSHIRE HATHAWAY INC DEL      $451,285
     BRK.B1,270,633+8,305$451,285
BROADCOM INC 404,089 +9,321 $449,321
     AVGO404,089+9,321$449,321
VISA INC 1,724,074 -10,963 $447,007
     V1,724,074-10,963$447,007
PROCTER AND GAMBLE CO 2,976,555 +2,380 $434,193
     PG2,976,555+2,380$434,193
COSTCO WHSL CORP NEW 645,349 -12,053 $423,855
     COST645,349-12,053$423,855
HOME DEPOT INC 1,203,700 +73,505 $415,016
     HD1,203,700+73,505$415,016
ELI LILLY & CO 707,725 -18,280 $410,877
     LLY707,725-18,280$410,877
JPMORGAN CHASE & CO 2,333,340 +104,686 $395,353
     JPM2,333,340+104,686$395,353
MASTERCARD INCORPORATED 860,520 +68,316 $365,203
     MA860,520+68,316$365,203
MCDONALDS CORP 1,154,656 -165,953 $340,486
     MCD1,154,656-165,953$340,486
ORACLE CORP 3,164,791 -20,361 $331,838
     ORCL3,164,791-20,361$331,838
BOOKING HOLDINGS INC 89,191 +2,756 $314,153
     BKNG89,191+2,756$314,153
CISCO SYS INC 5,830,392 -551,384 $293,139
     CSCO5,830,392-551,384$293,139
SPDR S&P 500 ETF TR (SPY) 614,367 -4,565 $290,060
     SPY614,367-4,565$290,060
ABBVIE INC 1,865,623 +407,116 $287,814
     ABBV1,865,623+407,116$287,814
PEPSICO INC 1,691,031 -281,878 $285,910
     PEP1,691,031-281,878$285,910
EXXON MOBIL CORP 2,801,666 -71,847 $278,718
     XOM2,801,666-71,847$278,718
MERCK & CO INC 2,510,739 -285,504 $272,361
     MRK2,510,739-285,504$272,361
THERMO FISHER SCIENTIFIC INC 505,281 +13,372 $267,025
     TMO505,281+13,372$267,025
S&P GLOBAL INC 609,269 +15,384 $266,998
     SPGI609,269+15,384$266,998
CRH PLC 3,808,246 +485,850 $260,889
     CRH3,808,246+485,850$260,889
ADOBE INC 434,034 -6,220 $257,829
     ADBE434,034-6,220$257,829
PROLOGIS INC. 1,829,655 +86,544 $243,156
     PLD1,829,655+86,544$243,156
NIKE INC 2,163,093 +102,557 $233,473
     NKE2,163,093+102,557$233,473
COCA COLA CO 3,965,903 +77,069 $232,685
     KO3,965,903+77,069$232,685
ACCENTURE PLC IRELAND 654,438 -38,260 $228,671
     ACN654,438-38,260$228,671
SALESFORCE INC 844,207 -18,458 $221,167
     CRM844,207-18,458$221,167
FERGUSON PLC NEW 1,147,110 -90,926 $220,369
     FERG1,147,110-90,926$220,369
NETFLIX INC 453,756 +1,257 $219,834
     NFLX453,756+1,257$219,834
ADVANCED MICRO DEVICES INC 1,412,528 +136,074 $207,325
     AMD1,412,528+136,074$207,325
INTEL CORP 4,134,540 +310,861 $206,838
     INTC4,134,540+310,861$206,838
MEDTRONIC PLC 2,445,062 -30,337 $200,400
     MDT2,445,062-30,337$200,400
TAIWAN SEMICONDUCTOR MFG LTD 1,901,832 -10,145,370 $196,701
     TSM1,901,832-10,145,370$196,701
PFIZER INC 6,621,189 +171,142 $189,565
     PFE6,621,189+171,142$189,565
BANK AMERICA CORP 5,184,704 +283,812 $173,703
     BAC5,184,704+283,812$173,703
COMCAST CORP NEW 3,972,938 +197,628 $173,420
     CMCSA3,972,938+197,628$173,420
QUALCOMM INC 1,196,965 +4,286 $172,443
     QCOM1,196,965+4,286$172,443
INTERNATIONAL BUSINESS MACHS 1,047,668 -103,659 $170,524
     IBM1,047,668-103,659$170,524
TJX COS INC NEW 1,826,160 +282,177 $170,427
     TJX1,826,160+282,177$170,427
VERIZON COMMUNICATIONS INC 4,481,497 -473,692 $168,040
     VZ4,481,497-473,692$168,040
APPLIED MATLS INC 1,032,778 +26,241 $166,616
     AMAT1,032,778+26,241$166,616
ABBOTT LABS 1,511,184 +149,536 $165,645
     ABT1,511,184+149,536$165,645
EQUINIX INC 205,760 +22,724 $165,155
     EQIX205,760+22,724$165,155
SCHLUMBERGER LTD 3,151,670 -502,197 $163,136
     SLB3,151,670-502,197$163,136
TEXAS INSTRS INC 942,985 +71,831 $160,036
     TXN942,985+71,831$160,036
CHEVRON CORP NEW 1,041,228 +14,679 $154,525
     CVX1,041,228+14,679$154,525
DANAHER CORPORATION 666,489 -16,337 $153,486
     DHR666,489-16,337$153,486
DISNEY WALT CO 1,670,667 -20,485 $150,086
     DIS1,670,667-20,485$150,086
EXELON CORP 4,181,668 +223,197 $149,279
     EXC4,181,668+223,197$149,279
ELEVANCE HEALTH INC 312,804 +12,091 $146,793
     ELV312,804+12,091$146,793
GILEAD SCIENCES INC 1,787,812 -29,436 $144,163
     GILD1,787,812-29,436$144,163
AMERICAN TOWER CORP NEW 659,190 -4,430 $141,644
     AMT659,190-4,430$141,644
KEYSIGHT TECHNOLOGIES INC 884,383 -53,586 $139,878
     KEYS884,383-53,586$139,878
LOWES COS INC 611,006 -241,986 $135,313
     LOW611,006-241,986$135,313
CVS HEALTH CORP 1,714,515 -119,171 $134,618
     CVS1,714,515-119,171$134,618
PDD HOLDINGS INC 914,858 -3,457,807 $133,481
     PDD914,858-3,457,807$133,481
BRISTOL MYERS SQUIBB CO 2,605,163 +8,748 $132,931
     BMY2,605,163+8,748$132,931
INTUIT 212,565 -16,446 $132,297
     INTU212,565-16,446$132,297
NEXTERA ENERGY INC 2,047,015 +77,907 $123,639
     NEE2,047,015+77,907$123,639
MORGAN STANLEY 1,329,781 +167,139 $123,596
     MS1,329,781+167,139$123,596
LAM RESEARCH CORP 155,731 -2,675 $121,356
     LRCX155,731-2,675$121,356
SERVICENOW INC 171,851 +8,289 $121,049
     NOW171,851+8,289$121,049
PUBLIC STORAGE 398,086 -12,817 $121,022
     PSA398,086-12,817$121,022
STARBUCKS CORP 1,240,262 +154,854 $118,561
     SBUX1,240,262+154,854$118,561
THE CIGNA GROUP 389,314 -47,267 $116,079
     CI389,314-47,267$116,079
ELECTRONIC ARTS INC 852,386 -124,064 $115,919
     EA852,386-124,064$115,919
ENBRIDGE INC 3,223,368 -279,733 $115,872
     ENB3,223,368-279,733$115,872
AT&T INC 6,865,209 -465,540 $114,756
     T6,865,209-465,540$114,756
VERTEX PHARMACEUTICALS INC 278,549 -5,077 $112,749
     VRTX278,549-5,077$112,749
TORONTO DOMINION BK ONT 1,732,305 +286,079 $111,675
     TD1,732,305+286,079$111,675
JOHNSON CTLS INTL PLC 1,908,148 -20,731 $109,342
     JCI1,908,148-20,731$109,342
UNITED PARCEL SERVICE INC 689,930 +158,240 $108,061
     UPS689,930+158,240$108,061
PAYPAL HLDGS INC 1,756,971 -41,082 $107,331
     PYPL1,756,971-41,082$107,331
MARSH & MCLENNAN COS INC 557,286 +35,945 $105,068
     MMC557,286+35,945$105,068
CADENCE DESIGN SYSTEM INC 381,489 -20,910 $103,493
     CDNS381,489-20,910$103,493
SHERWIN WILLIAMS CO 332,313 +15,962 $103,211
     SHW332,313+15,962$103,211
STERIS PLC 466,468 -11,635 $101,943
     STE466,468-11,635$101,943
RYANAIR HOLDINGS PLC 752,660 -4,712,860 $100,074
     RYAAY752,660-4,712,860$100,074
MARKEL GROUP INC 70,871 +317 $100,062
     MKL70,871+317$100,062
PALO ALTO NETWORKS INC 339,354 +25,802 $99,641
     PANW339,354+25,802$99,641
REGENERON PHARMACEUTICALS 111,988 -11,375 $97,775
     REGN111,988-11,375$97,775
SYNOPSYS INC 190,154 -16,065 $97,474
     SNPS190,154-16,065$97,474
SEI INVTS CO 1,534,305 -44,669 $96,938
     SEIC1,534,305-44,669$96,938
MONDELEZ INTL INC 1,337,625 -38,795 $96,403
     MDLZ1,337,625-38,795$96,403
INTUITIVE SURGICAL INC 278,309 -5,795 $93,442
     ISRG278,309-5,795$93,442
OSHKOSH CORP 863,734 -15,240 $93,091
     OSK863,734-15,240$93,091
GOLDMAN SACHS GROUP INC 240,270 +47,996 $92,315
     GS240,270+47,996$92,315
SIMON PPTY GROUP INC NEW 641,680 +82,981 $91,223
     SPG641,680+82,981$91,223
ROYAL BK CDA 900,386 -31,188 $90,920
     RY900,386-31,188$90,920
CHUBB LIMITED 398,810 +30,431 $89,686
     CB398,810+30,431$89,686
AMERICAN WTR WKS CO INC NEW 681,687 +43,089 $89,488
     AWK681,687+43,089$89,488
STELLANTIS N.V 3,803,109 -254,203 $88,361
     STLA3,803,109-254,203$88,361
UBER TECHNOLOGIES INC 1,434,178 +374,560 $87,857
     UBER1,434,178+374,560$87,857
STRYKER CORPORATION 292,356 +15,836 $87,228
     SYK292,356+15,836$87,228
PROGRESSIVE CORP 547,129 +15,308 $86,769
     PGR547,129+15,308$86,769
AFLAC INC 1,054,777 +108,071 $86,576
     AFL1,054,777+108,071$86,576
WELLTOWER INC 961,088 +128,200 $86,415
     WELL961,088+128,200$86,415
DIGITAL RLTY TR INC 637,223 +128,762 $85,519
     DLR637,223+128,762$85,519
PEMBINA PIPELINE CORP 2,455,817 +106,782 $84,459
     PBA2,455,817+106,782$84,459
MCKESSON CORP 182,430 -18,705 $84,021
     MCK182,430-18,705$84,021
BOSTON SCIENTIFIC CORP 1,429,297 +157,599 $82,207
     BSX1,429,297+157,599$82,207
REALTY INCOME CORP 1,387,344 +121,947 $79,432
     O1,387,344+121,947$79,432
ANALOG DEVICES INC 398,907 +72,083 $78,920
     ADI398,907+72,083$78,920
ILLINOIS TOOL WKS INC 302,351 +27,486 $78,846
     ITW302,351+27,486$78,846
COGNIZANT TECHNOLOGY SOLUTIO 1,045,887 -93,439 $78,593
     CTSH1,045,887-93,439$78,593
CONOCOPHILLIPS 671,086 +39,409 $77,498
     COP671,086+39,409$77,498
ZOETIS INC 389,819 +32,426 $76,601
     ZTS389,819+32,426$76,601
WELLS FARGO CO NEW 1,544,480 +27,566 $75,712
     WFC1,544,480+27,566$75,712
SCHWAB CHARLES CORP 1,097,055 +93,611 $75,233
     SCHW1,097,055+93,611$75,233
BLACKROCK INC 92,951 -8,818 $75,159
     BLK92,951-8,818$75,159
BANK NEW YORK MELLON CORP 1,436,436 -279,467 $74,331
     BK1,436,436-279,467$74,331
ECOLAB INC 375,154 +8,628 $74,026
     ECL375,154+8,628$74,026
AUTOZONE INC 28,532 -5,463 $73,288
     AZO28,532-5,463$73,288
KLA CORP 126,578 +2,719 $73,234
     KLAC126,578+2,719$73,234
SHOPIFY INC 941,714 +65,363 $73,171
     SHOP941,714+65,363$73,171
BAKER HUGHES COMPANY 2,147,984 -6,547 $73,095
     BKR2,147,984-6,547$73,095
TARGET CORP 515,344 +27,666 $73,084
     TGT515,344+27,666$73,084
CONSOLIDATED EDISON INC 807,551 -87,841 $73,051
     ED807,551-87,841$73,051
CROWN CASTLE INC 622,816 -17,092 $71,342
     CCI622,816-17,092$71,342
DXC TECHNOLOGY CO 3,128,898 +21,247 $71,115
     DXC3,128,898+21,247$71,115
OREILLY AUTOMOTIVE INC 74,235 -21,700 $70,140
     ORLY74,235-21,700$70,140
GENERAL MLS INC 1,075,147 -11,219 $69,627
     GIS1,075,147-11,219$69,627
CINTAS CORP 113,687 +3,927 $68,206
     CTAS113,687+3,927$68,206
KENVUE INC 3,179,957 +1,445,814 $68,082
     KVUE3,179,957+1,445,814$68,082
CHARTER COMMUNICATIONS INC N 175,484 +15,205 $67,836
     CHTR175,484+15,205$67,836
COLGATE PALMOLIVE CO 837,584 -488,171 $66,471
     CL837,584-488,171$66,471
FISERV INC 499,849 +499,849 $66,083
     FI499,849+499,849$66,083
LAUDER ESTEE COS INC 450,763 +19,021 $65,579
     EL450,763+19,021$65,579
EXPEDITORS INTL WASH INC 508,355 -76,183 $64,315
     EXPD508,355-76,183$64,315
EATON CORP PLC 267,971 +9,756 $64,222
     ETN267,971+9,756$64,222
MANULIFE FINL CORP 2,908,398 -721,172 $64,119
     MFC2,908,398-721,172$64,119
MICRON TECHNOLOGY INC 752,749 -16,133 $64,026
     MU752,749-16,133$64,026
AVALONBAY CMNTYS INC 340,966 +42,515 $63,593
     AVB340,966+42,515$63,593
CITIGROUP INC 1,240,803 +10,278 $63,562
     C1,240,803+10,278$63,562
BLACKSTONE INC 486,809 +11,017 $63,420
     BX486,809+11,017$63,420
HUMANA INC 134,405 -59 $61,212
     HUM134,405-59$61,212
FASTENAL CO 948,568 +76,950 $61,116
     FAST948,568+76,950$61,116
CATERPILLAR INC 205,897 -71,654 $60,700
     CAT205,897-71,654$60,700
LULULEMON ATHLETICA INC 119,111 +14,867 $60,600
     LULU119,111+14,867$60,600
UBS GROUP AG 1,959,140 -183,052 $60,518
     UBS1,959,140-183,052$60,518
METLIFE INC 917,783 +36,858 $60,420
     MET917,783+36,858$60,420
MARATHON PETE CORP 408,845 -172,614 $60,320
     MPC408,845-172,614$60,320
COPART INC 1,226,076 +151,335 $59,765
     CPRT1,226,076+151,335$59,765
OTIS WORLDWIDE CORP 670,588 +90,165 $59,721
     OTIS670,588+90,165$59,721
BECTON DICKINSON & CO 243,484 +21,716 $59,089
     BDX243,484+21,716$59,089
SEMPRA 786,005 +48,564 $58,435
     SRE786,005+48,564$58,435
GRAINGER W W INC 69,876 -5,436 $57,671
     GWW69,876-5,436$57,671
EXTRA SPACE STORAGE INC 359,904 +43,803 $57,589
     EXR359,904+43,803$57,589
CARRIER GLOBAL CORPORATION 1,002,989 +2,289 $57,354
     CARR1,002,989+2,289$57,354
FEDERATED HERMES INC 1,701,129 -252,278 $57,252
     FHI1,701,129-252,278$57,252
MOODYS CORP 145,449 -15,429 $56,542
     MCO145,449-15,429$56,542
TRAVELERS COMPANIES INC 294,721 +3,261 $55,873
     TRV294,721+3,261$55,873
KROGER CO 1,223,703 -312,501 $55,648
     KR1,223,703-312,501$55,648
WEYERHAEUSER CO MTN BE 1,606,094 -44,808 $55,562
     WY1,606,094-44,808$55,562
INTERCONTINENTAL EXCHANGE IN (ICE) 433,255 +13,351 $55,377
     ICE433,255+13,351$55,377
VANGUARD INDEX FDS (VOO) 127,785 -2,387 $55,353
     VOO127,785-2,387$55,353
CORTEVA INC 1,156,967 +107,244 $55,175
     CTVA1,156,967+107,244$55,175
NEWMONT CORP 1,337,923 +167,121 $55,081
     NEM1,337,923+167,121$55,081
AMERICAN INTL GROUP INC 811,043 -97,728 $54,690
     AIG811,043-97,728$54,690
QUEST DIAGNOSTICS INC 394,731 -105,345 $54,095
     DGX394,731-105,345$54,095
ROPER TECHNOLOGIES INC 99,105 +1,335 $53,768
     ROP99,105+1,335$53,768
ARISTA NETWORKS INC 228,967 +16,866 $53,641
     ANET228,967+16,866$53,641
RTX CORPORATION 637,423 +1,485 $53,437
     RTX637,423+1,485$53,437
PG&E CORP 2,970,364 +989,501 $53,254
     PCG2,970,364+989,501$53,254
CAPITAL ONE FINL CORP 407,809 +23,460 $53,246
     COF407,809+23,460$53,246
ONEOK INC NEW 757,564 +67,012 $52,891
     OKE757,564+67,012$52,891
HP INC 1,759,699 +203,931 $52,675
     HPQ1,759,699+203,931$52,675
CME GROUP INC 248,955 -44,626 $52,170
     CME248,955-44,626$52,170
CENCORA INC 287,884 -48,019 $51,813
     ABC287,884-48,019$51,813
PAYCHEX INC 436,006 +3,785 $51,700
     PAYX436,006+3,785$51,700
BOEING CO 196,873 +313 $51,144
     BA196,873+313$51,144
WORKDAY INC 184,779 +9,111 $50,831
     WDAY184,779+9,111$50,831
PNC FINL SVCS GROUP INC 328,254 +18,735 $50,609
     PNC328,254+18,735$50,609
WILLIAMS COS INC 1,448,469 -17,890 $50,179
     WMB1,448,469-17,890$50,179
MERCADOLIBRE INC 31,807 +2,444 $49,645
     MELI31,807+2,444$49,645
HERSHEY CO 266,829 +61,275 $49,493
     HSY266,829+61,275$49,493
NXP SEMICONDUCTORS N V 216,163 +9,362 $49,477
     NXPI216,163+9,362$49,477
HCA HEALTHCARE INC 181,609 -1,759 $48,975
     HCA181,609-1,759$48,975
EOG RES INC 405,895 +6,950 $48,888
     EOG405,895+6,950$48,888
EDWARDS LIFESCIENCES CORP 644,078 +3,161 $48,887
     EW644,078+3,161$48,887
REGIONS FINANCIAL CORP NEW 2,523,456 -195,244 $48,586
     RF2,523,456-195,244$48,586
VALERO ENERGY CORP 373,479 +41,261 $48,312
     VLO373,479+41,261$48,312
HF SINCLAIR CORP 863,553 -17,536 $47,699
     DINO863,553-17,536$47,699
US BANCORP DEL 1,096,443 -80,287 $47,244
     USB1,096,443-80,287$47,244
ROSS STORES INC 340,435 +33,749 $46,882
     ROST340,435+33,749$46,882
GALLAGHER ARTHUR J & CO 208,399 +8,722 $46,625
     AJG208,399+8,722$46,625
CARDINAL HEALTH INC 464,323 -119,420 $46,541
     CAH464,323-119,420$46,541
DUPONT DE NEMOURS INC 605,714 +98,581 $46,387
     DD605,714+98,581$46,387
CHIPOTLE MEXICAN GRILL INC 20,202 +1,911 $45,933
     CMG20,202+1,911$45,933
D R HORTON INC 302,074 -115,959 $45,704
     DHI302,074-115,959$45,704
O I GLASS INC 2,807,807 -137,061 $45,701
     OI2,807,807-137,061$45,701
EDISON INTL 642,368 +36,980 $45,652
     EIX642,368+36,980$45,652
AUTODESK INC 185,673 +6,956 $45,004
     ADSK185,673+6,956$45,004
EQUITY RESIDENTIAL 734,360 +71,334 $44,766
     EQR734,360+71,334$44,766
WASTE MGMT INC DEL 249,750 -13,423 $44,579
     WM249,750-13,423$44,579
PACCAR INC 458,319 +89,212 $44,538
     PCAR458,319+89,212$44,538
PPG INDS INC 298,602 +28,525 $44,437
     PPG298,602+28,525$44,437
MOTOROLA SOLUTIONS INC 142,055 -2,040 $44,254
     MSI142,055-2,040$44,254
AGILENT TECHNOLOGIES INC 319,772 +16,618 $44,231
     A319,772+16,618$44,231
SYNCHRONY FINANCIAL 1,162,073 -29,630 $44,127
     SYF1,162,073-29,630$44,127
TC ENERGY CORP 1,129,447 -5,191 $44,005
     TRP1,129,447-5,191$44,005
VENTAS INC 883,812 +54,843 $43,897
     VTR883,812+54,843$43,897
PRUDENTIAL FINL INC 423,865 +25,801 $43,736
     PRU423,865+25,801$43,736
BANK NOVA SCOTIA HALIFAX 884,329 +28,226 $43,005
     BNS884,329+28,226$43,005
SYSCO CORP 579,335 -59,607 $42,167
     SYY579,335-59,607$42,167
KINDER MORGAN INC DEL 2,401,256 -371,999 $42,100
     KMI2,401,256-371,999$42,100
AMERIPRISE FINL INC 110,548 +13,926 $41,825
     AMP110,548+13,926$41,825
PULTE GROUP INC 406,595 -143,828 $41,753
     PHM406,595-143,828$41,753
NUCOR CORP 240,003 +1,548 $41,607
     NUE240,003+1,548$41,607
CHECK POINT SOFTWARE TECH LT 272,955 -21,666 $41,475
     CHKP272,955-21,666$41,475
YUM BRANDS INC 317,792 +15,529 $41,317
     YUM317,792+15,529$41,317
KIMBERLY CLARK CORP 340,420 -89,694 $41,190
     KMB340,420-89,694$41,190
HARTFORD FINL SVCS GROUP INC 514,363 +104,377 $41,130
     HIG514,363+104,377$41,130
BANK MONTREAL QUE 412,356 -72,290 $40,740
     BMO412,356-72,290$40,740
PHILIP MORRIS INTL INC 428,316 -954 $40,155
     PM428,316-954$40,155
CONSTELLATION BRANDS INC 165,427 +12,601 $39,832
     STZ165,427+12,601$39,832
EMERSON ELEC CO 409,170 +67,244 $39,691
     EMR409,170+67,244$39,691
VERISK ANALYTICS INC 166,647 +7,057 $39,608
     VRSK166,647+7,057$39,608
WHEATON PRECIOUS METALS CORP 804,621 -18,480 $39,545
     WPM804,621-18,480$39,545
ALEXANDRIA REAL ESTATE EQ IN 312,437 +13,726 $39,488
     ARE312,437+13,726$39,488
EVERSOURCE ENERGY 639,140 -130,551 $39,215
     ES639,140-130,551$39,215
FEDEX CORP 154,986 -4,634 $39,088
     FDX154,986-4,634$39,088
TRUIST FINL CORP 1,061,825 +39,851 $39,018
     TFC1,061,825+39,851$39,018
ANSYS INC 107,578 -4,058 $38,920
     ANSS107,578-4,058$38,920
FORTINET INC 666,620 +17,820 $38,855
     FTNT666,620+17,820$38,855
UNITED RENTALS INC 67,672 +6,648 $38,644
     URI67,672+6,648$38,644
HONEYWELL INTL INC 184,219 -974 $38,493
     HON184,219-974$38,493
CROWDSTRIKE HLDGS INC 150,425 +43,962 $38,282
     CRWD150,425+43,962$38,282
MICROCHIP TECHNOLOGY INC. 423,537 -22,880 $38,134
     MCHP423,537-22,880$38,134
HEWLETT PACKARD ENTERPRISE C 2,243,372 -95,145 $37,869
     HPE2,243,372-95,145$37,869
GARTNER INC 84,235 +8,437 $37,804
     IT84,235+8,437$37,804
DUKE ENERGY CORP NEW 389,957 -1,270 $37,681
     DUK389,957-1,270$37,681
IDEXX LABS INC 67,980 +1,428 $37,548
     IDXX67,980+1,428$37,548
BIOGEN INC 145,643 -16,518 $37,516
     BIIB145,643-16,518$37,516
TE CONNECTIVITY LTD 268,076 -38,718 $37,499
     TEL268,076-38,718$37,499
SBA COMMUNICATIONS CORP NEW 147,247 -2,383 $37,156
     SBAC147,247-2,383$37,156
CSX CORP 1,067,542 -4,865 $36,840
     CSX1,067,542-4,865$36,840
SNOWFLAKE INC 185,258 +6,277 $36,671
     SNOW185,258+6,277$36,671
INGERSOLL RAND INC 476,096 -33,566 $36,639
     IR476,096-33,566$36,639
EBAY INC. 839,644 +124,580 $36,449
     EBAY839,644+124,580$36,449
SOUTHERN CO 518,596 +1,336 $36,208
     SO518,596+1,336$36,208
LENNAR CORP      $36,022
     LEN237,427-65,602$35,221
     LEN.B6,016+33$801
KRAFT HEINZ CO 978,504 +96,107 $36,010
     KHC978,504+96,107$36,010
ALLSTATE CORP 257,701 +13,281 $35,901
     ALL257,701+13,281$35,901
DEXCOM INC 288,751 +747 $35,664
     DXCM288,751+747$35,664
DISCOVER FINL SVCS 317,710 +44,618 $35,550
     DFS317,710+44,618$35,550
MSCI INC 63,147 +2,076 $35,528
     MSCI63,147+2,076$35,528
BEST BUY INC 452,565 +79,737 $35,232
     BBY452,565+79,737$35,232
KKR & CO INC 426,482 +1,770 $35,122
     KKR426,482+1,770$35,122
HOST HOTELS & RESORTS INC 1,803,344 +86,709 $35,003
     HST1,803,344+86,709$35,003
ULTA BEAUTY INC 71,352 +7,959 $34,768
     ULTA71,352+7,959$34,768
IQVIA HLDGS INC 149,836 +4,615 $34,493
     IQV149,836+4,615$34,493
CANADIAN NATL RY CO 275,037 +7,214 $34,481
     CNI275,037+7,214$34,481
MONSTER BEVERAGE CORP NEW 593,162 -55,557 $34,004
     MNST593,162-55,557$34,004
INVITATION HOMES INC 999,497 +95,129 $33,976
     INVH999,497+95,129$33,976
AMPHENOL CORP NEW 343,923 +3,216 $33,962
     APH343,923+3,216$33,962
AIR PRODS & CHEMS INC 122,635 +7,931 $33,461
     APD122,635+7,931$33,461
XYLEM INC 292,735 +14,651 $33,306
     XYL292,735+14,651$33,306
TAKE TWO INTERACTIVE SOFTWAR 207,072 +24,004 $33,171
     TTWO207,072+24,004$33,171
ESSEX PPTY TR INC 131,175 +17,284 $32,415
     ESS131,175+17,284$32,415
PUBLIC SVC ENTERPRISE GRP IN 530,021 -19,139 $32,230
     PEG530,021-19,139$32,230
FREEPORT MCMORAN INC 757,742 +1,923 $32,085
     FCX757,742+1,923$32,085
AKAMAI TECHNOLOGIES INC 271,489 +476 $32,012
     AKAM271,489+476$32,012
3M CO 293,567 -176,126 $31,939
     MMM293,567-176,126$31,939
CLOUDFLARE INC 380,674 +36,157 $31,608
     NET380,674+36,157$31,608
PHILLIPS 66 237,835 -12,645 $31,512
     PSX237,835-12,645$31,512
NVR INC 4,509 -1,526 $31,452
     NVR4,509-1,526$31,452
SUN LIFE FINANCIAL INC. 607,473 +127,371 $31,405
     SLF607,473+127,371$31,405
WALGREENS BOOTS ALLIANCE INC 1,204,916 -216,253 $31,301
     WBA1,204,916-216,253$31,301
CENTENE CORP DEL 421,552 +912 $31,111
     CNC421,552+912$31,111
CBRE GROUP INC 334,851 -158,838 $31,022
     CBRE334,851-158,838$31,022
TERADYNE INC 285,480 +22,918 $30,906
     TER285,480+22,918$30,906
UIPATH INC 1,244,376 +83,507 $30,890
     PATH1,244,376+83,507$30,890
KEURIG DR PEPPER INC 920,958 -47,575 $30,525
     KDP920,958-47,575$30,525
FORD MTR CO DEL 2,513,671 -50,412 $30,482
     F2,513,671-50,412$30,482
ROCKWELL AUTOMATION INC 98,024 +6,012 $30,298
     ROK98,024+6,012$30,298
GLOBAL PMTS INC 238,194 +7,915 $30,100
     GPN238,194+7,915$30,100
LOCKHEED MARTIN CORP 65,778 +1,770 $29,698
     LMT65,778+1,770$29,698
ESSENTIAL UTILS INC 787,230 -95,962 $29,271
     WTRG787,230-95,962$29,271
CANADIAN IMPERIAL BK COMM TO 607,174 +47,078 $29,190
     CM607,174+47,078$29,190
PARKER HANNIFIN CORP 63,418 +4,287 $29,109
     PH63,418+4,287$29,109
ZSCALER INC 131,107 +8,313 $28,980
     ZS131,107+8,313$28,980
WP CAREY INC 446,825 +121,376 $28,892
     WPC446,825+121,376$28,892
CUMMINS INC 120,661 -24,033 $28,760
     CMI120,661-24,033$28,760
LABORATORY CORP AMER HLDGS 126,186 -10,866 $28,524
     LH126,186-10,866$28,524
CHURCH & DWIGHT CO INC 303,004 +21,404 $28,509
     CHD303,004+21,404$28,509
ALIGN TECHNOLOGY INC 104,416 +35,070 $28,475
     ALGN104,416+35,070$28,475
NORTHERN TR CORP 337,620 -25,333 $28,325
     NTRS337,620-25,333$28,325
CGI INC 263,906 -2,266 $28,194
     GIB263,906-2,266$28,194
ILLUMINA INC 202,873 -8,518 $28,163
     ILMN202,873-8,518$28,163
DATADOG INC 231,405 +21,403 $28,002
     DDOG231,405+21,403$28,002
MARRIOTT INTL INC NEW 124,620 -3,500 $27,982
     MAR124,620-3,500$27,982
MID AMER APT CMNTYS INC 206,527 +15,534 $27,690
     MAA206,527+15,534$27,690
YUM CHINA HLDGS INC 650,920 -15,706 $27,541
     YUMC650,920-15,706$27,541
RESTAURANT BRANDS INTL INC 351,765 +21,199 $27,418
     QSR351,765+21,199$27,418
EQUIFAX INC 111,112 +14,087 $27,369
     EFX111,112+14,087$27,369
OLD DOMINION FREIGHT LINE IN 67,560 -13,719 $27,260
     ODFL67,560-13,719$27,260
METTLER TOLEDO INTERNATIONAL 22,389 -2,050 $27,056
     MTD22,389-2,050$27,056
WALMART INC 171,680 +42,526 $26,942
     WMT171,680+42,526$26,942
WILLIS TOWERS WATSON PLC LTD 112,241 -1,330 $26,936
     WTW112,241-1,330$26,936
AGNICO EAGLE MINES LTD 491,983 -178,675 $26,886
     AEM491,983-178,675$26,886
FIDELITY NATL INFORMATION SV 448,725 +20,312 $26,825
     FIS448,725+20,312$26,825
MONGODB INC 65,596 +4,670 $26,701
     MDB65,596+4,670$26,701
REPUBLIC SVCS INC 159,618 -9,979 $26,205
     RSG159,618-9,979$26,205
CF INDS HLDGS INC 331,466 -63,296 $26,202
     CF331,466-63,296$26,202
NORFOLK SOUTHN CORP 110,187 +1,997 $25,944
     NSC110,187+1,997$25,944
COSTAR GROUP INC 297,630 +17,198 $25,882
     CSGP297,630+17,198$25,882
ZIMMER BIOMET HOLDINGS INC 213,685 -2,878 $25,871
     ZBH213,685-2,878$25,871
DYNATRACE INC 463,913 +29,708 $25,348
     DT463,913+29,708$25,348
MODERNA INC 254,547 +2,327 $25,193
     MRNA254,547+2,327$25,193
VICI PPTYS INC 792,215 +158,167 $25,119
     VICI792,215+158,167$25,119
IRON MTN INC DEL 360,418 +45,860 $25,099
     IRM360,418+45,860$25,099
NUTRIEN LTD 443,981 +26,700 $24,959
     NTR443,981+26,700$24,959
ARCHER DANIELS MIDLAND CO 341,525 -39,350 $24,553
     ADM341,525-39,350$24,553
HESS CORP 171,118 +1,954 $24,551
     HES171,118+1,954$24,551
NETEASE INC 263,988 -6,482,258 $24,503
     NTES263,988-6,482,258$24,503
MONOLITHIC PWR SYS INC 38,960 -26 $24,465
     MPWR38,960-26$24,465
VANGUARD TAX MANAGED FDS (VEA) 514,216 -2,994 $24,431
     VEA514,216-2,994$24,431
RELIANCE STEEL & ALUMINUM CO 86,754 +3,611 $24,185
     RS86,754+3,611$24,185
HILTON WORLDWIDE HLDGS INC 132,998 +5,083 $24,098
     HLT132,998+5,083$24,098
FAIR ISAAC CORP 20,737 +1,867 $24,063
     FICO20,737+1,867$24,063
HUBSPOT INC 41,639 -729 $24,054
     HUBS41,639-729$24,054
BROADRIDGE FINL SOLUTIONS IN 117,184 +26,148 $24,015
     BR117,184+26,148$24,015
FIDELITY NATIONAL FINANCIAL 463,568 +64,232 $23,571
     FNF463,568+64,232$23,571
PRINCIPAL FINANCIAL GROUP IN 299,336 +2,094 $23,439
     PFG299,336+2,094$23,439
ZOOM VIDEO COMMUNICATIONS IN 324,341 +4,881 $23,233
     ZM324,341+4,881$23,233
EQUITY LIFESTYLE PPTYS INC 328,392 +14,693 $23,126
     ELS328,392+14,693$23,126
BWX TECHNOLOGIES INC 300,430 -95,480 $22,957
     BWXT300,430-95,480$22,957
AMBEV SA 8,121,578 +998,444 $22,756
     ABEV8,121,578+998,444$22,756
SUN CMNTYS INC 170,164 +14,043 $22,676
     SUI170,164+14,043$22,676
BLOCK INC 292,885 -2,393 $22,559
     SQ292,885-2,393$22,559
GARMIN LTD 175,776 +13,282 $22,481
     GRMN175,776+13,282$22,481
SKYWORKS SOLUTIONS INC 200,580 -17,010 $22,440
     SWKS200,580-17,010$22,440
REXFORD INDL RLTY INC 398,936 +29,731 $22,324
     REXR398,936+29,731$22,324
VERISIGN INC 108,812 -8,234 $22,280
     VRSN108,812-8,234$22,280
NETAPP INC 253,856 +24,943 $22,271
     NTAP253,856+24,943$22,271
SPLUNK INC 145,737 -79,276 $22,105
     SPLK145,737-79,276$22,105
FIFTH THIRD BANCORP 641,857 -31,091 $22,032
     FITB641,857-31,091$22,032
APTIV PLC 245,372 +10,926 $21,921
     APTV245,372+10,926$21,921
FORTIS INC 532,782 -7,287 $21,845
     FTS532,782-7,287$21,845
CBOE GLOBAL MKTS INC 122,455 +8,486 $21,754
     CBOE122,455+8,486$21,754
QUANTA SVCS INC 100,869 -4,633 $21,681
     PWR100,869-4,633$21,681
ON SEMICONDUCTOR CORP 259,971 -40 $21,626
     ON259,971-40$21,626
DOW INC 393,418 -19,802 $21,477
     DOW393,418-19,802$21,477
HEALTHPEAK PROPERTIES INC 1,082,737 +85,826 $21,359
     PEAK1,082,737+85,826$21,359
HENRY SCHEIN INC 282,451 +11,172 $21,263
     HSIC282,451+11,172$21,263
KIMCO RLTY CORP 997,811 +69,293 $21,192
     KIM997,811+69,293$21,192
TRACTOR SUPPLY CO 98,691 -13,698 $21,126
     TSCO98,691-13,698$21,126
FLEETCOR TECHNOLOGIES INC 74,424 +1,566 $20,923
     FLT74,424+1,566$20,923
AMERICAN ELEC PWR CO INC 257,831 -2,427 $20,842
     AEP257,831-2,427$20,842
DOLLAR TREE INC 147,137 -1,235 $20,799
     DLTR147,137-1,235$20,799
BOSTON PROPERTIES INC 297,124 +28,153 $20,780
     BXP297,124+28,153$20,780
BCE INC 525,351 +6,435 $20,664
     BCE525,351+6,435$20,664
UDR INC 540,332 +39,999 $20,624
     UDR540,332+39,999$20,624
CAMECO CORP 478,460 -193,560 $20,545
     CCJ478,460-193,560$20,545
PINTEREST INC 551,741 +12,728 $20,324
     PINS551,741+12,728$20,324
RESMED INC 118,446 +6,918 $20,284
     RMD118,446+6,918$20,284
F5 INC 113,620 +32,412 $20,258
     FFIV113,620+32,412$20,258
ALTRIA GROUP INC 502,012 -3,646 $20,172
     MO502,012-3,646$20,172
VULCAN MATLS CO 89,206 +6,777 $20,147
     VMC89,206+6,777$20,147
OMNICOM GROUP INC 232,659 -19,679 $20,034
     OMC232,659-19,679$20,034
NORTHROP GRUMMAN CORP 42,754 -199 $19,956
     NOC42,754-199$19,956
AMETEK INC 121,526 +15,812 $19,951
     AME121,526+15,812$19,951
BALL CORP 348,307 +13,459 $19,933
     BALL348,307+13,459$19,933
DELL TECHNOLOGIES INC 260,939 +36,032 $19,855
     DELL260,939+36,032$19,855
CARLISLE COS INC 63,316 -1,815 $19,712
     CSL63,316-1,815$19,712
WATSCO INC 45,980 +682 $19,655
     WSO45,980+682$19,655
REGENCY CTRS CORP 293,561 +16,579 $19,613
     REG293,561+16,579$19,613
ATMOS ENERGY CORP 169,583 -10,301 $19,546
     ATO169,583-10,301$19,546
GEN DIGITAL INC 860,797 -5,368 $19,541
     GEN860,797-5,368$19,541
TARGA RES CORP 223,514 +11,029 $19,322
     TRGP223,514+11,029$19,322
WARNER BROS DISCOVERY INC 1,697,855 +217,980 $19,249
     WBD1,697,855+217,980$19,249
WEST PHARMACEUTICAL SVSC INC 54,536 -80 $19,116
     WST54,536-80$19,116
ENPHASE ENERGY INC 144,988 +33,958 $19,060
     ENPH144,988+33,958$19,060
XCEL ENERGY INC 307,929 -201 $18,970
     XEL307,929-201$18,970
EXPEDIA GROUP INC 125,511 -461 $18,954
     EXPE125,511-461$18,954
THE TRADE DESK INC 264,878 +813 $18,953
     TTD264,878+813$18,953
FORTIVE CORP 258,264 +45,736 $18,929
     FTV258,264+45,736$18,929
GODADDY INC 178,811 -78 $18,923
     GDDY178,811-78$18,923
ALBEMARLE CORP 130,888 +6,743 $18,822
     ALB130,888+6,743$18,822
INTERNATIONAL FLAVORS&FRAGRA 233,451 +15,897 $18,814
     IFF233,451+15,897$18,814
QUALYS INC 95,389 +2,074 $18,710
     QLYS95,389+2,074$18,710
TRANSDIGM GROUP INC 18,503 +1,137 $18,652
     TDG18,503+1,137$18,652
WATERS CORP 56,771 +2,514 $18,584
     WAT56,771+2,514$18,584
ROBERT HALF INC. 210,994 -79,810 $18,461
     RHI210,994-79,810$18,461
OKTA INC 200,922 +12,690 $18,156
     OKTA200,922+12,690$18,156
FOX CORP 614,868 -148,641 $18,134
     FOXA614,868-148,641$18,134
TECK RESOURCES LTD 430,581 -28,728 $18,126
     TECK430,581-28,728$18,126
CENTERPOINT ENERGY INC 633,059 -5,000 $17,984
     CNP633,059-5,000$17,984
CUBESMART 386,884 +21,993 $17,904
     CUBE386,884+21,993$17,904
DOORDASH INC 181,709 +52,145 $17,858
     DASH181,709+52,145$17,858
FRANCO NEV CORP 161,153 -64,721 $17,772
     FNV161,153-64,721$17,772
DOCUSIGN INC 299,993 -26,600 $17,769
     DOCU299,993-26,600$17,769
C H ROBINSON WORLDWIDE INC 206,281 +4,022 $17,742
     CHRW206,281+4,022$17,742
DOLLAR GEN CORP NEW 131,164 -95,638 $17,742
     DG131,164-95,638$17,742
PRICE T ROWE GROUP INC 164,479 -6,415 $17,640
     TROW164,479-6,415$17,640
WABTEC 139,461 -10,976 $17,622
     WAB139,461-10,976$17,622
EQUITABLE HLDGS INC 529,142 +233,446 $17,562
     EQH529,142+233,446$17,562
BARRICK GOLD CORP 974,691 +212,857 $17,539
     GOLD974,691+212,857$17,539
GENERAC HLDGS INC 135,648 -671 $17,448
     GNRC135,648-671$17,448
CLOROX CO DEL 122,935 -13,500 $17,433
     CLX122,935-13,500$17,433
HOLOGIC INC 245,113 -32,487 $17,422
     HOLX245,113-32,487$17,422
NASDAQ INC 300,729 +10,466 $17,397
     NDAQ300,729+10,466$17,397
GENUINE PARTS CO 126,172 -50,828 $17,383
     GPC126,172-50,828$17,383
VEEVA SYS INC 90,364 +570 $17,326
     VEEV90,364+570$17,326
NIO INC 1,896,371 -1,993,771 $17,123
     NIO1,896,371-1,993,771$17,123
CDW CORP 75,169 +7,495 $17,018
     CDW75,169+7,495$17,018
DIAMONDBACK ENERGY INC 109,891 -2,046 $16,959
     FANG109,891-2,046$16,959
GAMING & LEISURE PPTYS INC 344,462 +47,499 $16,933
     GLPI344,462+47,499$16,933
BROWN FORMAN CORP      $16,846
     BF.B266,639+26,030$15,140
     BF.A28,750+25,821$1,706
COCA COLA EUROPACIFIC PARTNE 251,942 +8,086 $16,722
     CCEP251,942+8,086$16,722
SMUCKER J M CO 133,000 -29,478 $16,713
     SJM133,000-29,478$16,713
CIENA CORP 371,180 +27,300 $16,690
     CIEN371,180+27,300$16,690
WASTE CONNECTIONS INC 111,749 +407 $16,600
     WCN111,749+407$16,600
EASTGROUP PPTYS INC 90,610 +6,078 $16,594
     EGP90,610+6,078$16,594
CORNING INC 547,137 +35,388 $16,575
     GLW547,137+35,388$16,575
LKQ CORP 347,349 -3,709 $16,526
     LKQ347,349-3,709$16,526
GENERAL DYNAMICS CORP 63,601 +1,634 $16,451
     GD63,601+1,634$16,451
BROOKFIELD ASSET MANAGMT LTD 408,978 -91,616 $16,379
     BAM408,978-91,616$16,379
DOMINION ENERGY INC 349,112 -20,470 $16,336
     D349,112-20,470$16,336
M & T BK CORP 119,416 -6,646 $16,293
     MTB119,416-6,646$16,293
DOVER CORP 106,072 -206 $16,246
     DOV106,072-206$16,246
DARDEN RESTAURANTS INC 98,618 +8,226 $16,133
     DRI98,618+8,226$16,133
BUILDERS FIRSTSOURCE INC 96,506 -56,904 $16,061
     BLDR96,506-56,904$16,061
RPM INTL INC 143,983 +2,984 $16,025
     RPM143,983+2,984$16,025
LOEWS CORP 231,578 -157,275 $16,021
     L231,578-157,275$16,021
SNAP INC 950,612 +168,778 $16,019
     SNAP950,612+168,778$16,019
MOSAIC CO NEW 443,919 -124,514 $15,770
     MOS443,919-124,514$15,770
OWENS CORNING NEW 106,568 -31,745 $15,741
     OC106,568-31,745$15,741
DOMINOS PIZZA INC 38,282 +6,313 $15,705
     DPZ38,282+6,313$15,705
COOPER COS INC 41,607 -5,670 $15,674
     COO41,607-5,670$15,674
TELUS CORPORATION 877,996 -26,755 $15,586
     TU877,996-26,755$15,586
MCCORMICK & CO INC 227,585 -3,224 $15,497
     MKC227,585-3,224$15,497
ISHARES TR (IBB) 114,640 -8,928 $15,476
     IBB114,640-8,928$15,476
AMERICAN HOMES 4 RENT 426,762 +36,011 $15,310
     AMH426,762+36,011$15,310
CAMDEN PPTY TR 154,383 +11,865 $15,296
     CPT154,383+11,865$15,296
RAYMOND JAMES FINL INC 137,203 -22,760 $15,224
     RJF137,203-22,760$15,224
PROS HOLDINGS INC 389,806 +57,672 $15,117
     PRO389,806+57,672$15,117
DEVON ENERGY CORP NEW 334,798 +4,803 $15,097
     DVN334,798+4,803$15,097
LYONDELLBASELL INDUSTRIES N 159,613 +1,105 $15,097
     LYB159,613+1,105$15,097
MARTIN MARIETTA MATLS INC 30,336 +724 $15,075
     MLM30,336+724$15,075
BRIXMOR PPTY GROUP INC 645,744 +21,548 $14,988
     BRX645,744+21,548$14,988
ARROW ELECTRS INC 122,565 -34,404 $14,910
     ARW122,565-34,404$14,910
AMERICAN EXPRESS CO 79,855 +3,139 $14,891
     AXP79,855+3,139$14,891
DECKERS OUTDOOR CORP 22,187 +2,262 $14,798
     DECK22,187+2,262$14,798
SS&C TECHNOLOGIES HLDGS INC 243,402 -6,894 $14,787
     SSNC243,402-6,894$14,787
BAXTER INTL INC 383,626 -15,918 $14,756
     BAX383,626-15,918$14,756
COTERRA ENERGY INC 578,139 +69,950 $14,673
     CTRA578,139+69,950$14,673
CINCINNATI FINL CORP 141,957 +14,428 $14,618
     CINF141,957+14,428$14,618
CAMPBELL SOUP CO 338,643 +144,840 $14,551
     CPB338,643+144,840$14,551
ROGERS COMMUNICATIONS INC 311,338 +37,722 $14,548
     RCI311,338+37,722$14,548
EXACT SCIENCES CORP 197,008 +142,809 $14,504
     EXAS197,008+142,809$14,504
CITIZENS FINL GROUP INC 439,354 -65,005 $14,492
     CFG439,354-65,005$14,492
NNN REIT INC 335,583 +18,483 $14,435
     NNN335,583+18,483$14,435
PTC INC 82,672 +11,627 $14,415
     PTC82,672+11,627$14,415
STAG INDL INC 366,796 +22,291 $14,364
     STAG366,796+22,291$14,364
EVEREST GROUP LTD 40,204 +40,204 $14,144
     EG40,204+40,204$14,144
STEEL DYNAMICS INC 119,330 +23,527 $14,045
     STLD119,330+23,527$14,045
SNAP ON INC 48,615 -7,253 $13,980
     SNA48,615-7,253$13,980
AMGEN INC 48,620 -6,585 $13,939
     AMGN48,620-6,585$13,939
AMCOR PLC 1,444,366 -51,205 $13,850
     AMCR1,444,366-51,205$13,850
WEC ENERGY GROUP INC 164,703 -433 $13,800
     WEC164,703-433$13,800
NICE LTD 68,730 -52,926 $13,712
     NICE68,730-52,926$13,712
FMC CORP 217,966 +3,238 $13,671
     FMC217,966+3,238$13,671
KELLANOVA 245,844 -25,226 $13,671
     K245,844-25,226$13,671
STANTEC INC 171,063 +21,538 $13,671
     STN171,063+21,538$13,671
VIPSHOP HLDGS LTD 769,381 -1,544,162 $13,611
     VIPS769,381-1,544,162$13,611
OMEGA HEALTHCARE INVS INC 444,303 +30,125 $13,593
     OHI444,303+30,125$13,593
CHENIERE ENERGY INC 79,837 +3,134 $13,555
     LNG79,837+3,134$13,555
FIRST INDL RLTY TR INC 256,228 +15,233 $13,462
     FR256,228+15,233$13,462
TENABLE HLDGS INC 291,388 +15,888 $13,411
     TENB291,388+15,888$13,411
HUNTINGTON BANCSHARES INC (HBAN) 1,053,001 +13,118 $13,332
     HBAN1,053,001+13,118$13,332
PEGASYSTEMS INC 272,497 +30,199 $13,307
     PEGA272,497+30,199$13,307
AXON ENTERPRISE INC 51,592 +1,399 $13,260
     AXON51,592+1,399$13,260
ROLLINS INC 303,220 +36,730 $13,178
     ROL303,220+36,730$13,178
INCYTE CORP 209,698 -15,339 $13,096
     INCY209,698-15,339$13,096
NORDSON CORP 49,755 -4,406 $13,095
     NDSN49,755-4,406$13,095
BERKLEY W R CORP 184,790 +49,513 $13,010
     WRB184,790+49,513$13,010
CANADIAN NAT RES LTD 197,984 -2,466 $12,941
     CNQ197,984-2,466$12,941
UNITED THERAPEUTICS CORP DEL 58,883 -12,020 $12,896
     UTHR58,883-12,020$12,896
HUBBELL INC 38,479 -20,578 $12,619
     HUBB38,479-20,578$12,619
MASCO CORP 187,972 +19,109 $12,534
     MAS187,972+19,109$12,534
WESTERN DIGITAL CORP. 240,301 -1,102 $12,523
     WDC240,301-1,102$12,523
AVANTOR INC 550,944 +14,540 $12,504
     AVTR550,944+14,540$12,504
HUNT J B TRANS SVCS INC 61,646 -41,012 $12,260
     JBHT61,646-41,012$12,260
GRACO INC 137,638 +17,111 $11,920
     GGG137,638+17,111$11,920
KE HLDGS INC 738,293 -2,362,479 $11,913
     BEKE738,293-2,362,479$11,913
TAL EDUCATION GROUP 943,300 -2,328,248 $11,866
     TAL943,300-2,328,248$11,866
TRANSUNION 173,595 +7,144 $11,864
     TRU173,595+7,144$11,864
KEYCORP 826,365 -26,979 $11,844
     KEY826,365-26,979$11,844
TRIMBLE INC 222,869 +39,205 $11,794
     TRMB222,869+39,205$11,794
TWILIO INC 154,894 -3,811 $11,716
     TWLO154,894-3,811$11,716
DROPBOX INC 394,248 -31,235 $11,608
     DBX394,248-31,235$11,608
LENNOX INTL INC 25,869 -33,128 $11,556
     LII25,869-33,128$11,556
ROYAL CARIBBEAN GROUP 89,485 -2,022 $11,537
     RCL89,485-2,022$11,537
IDEX CORP 53,220 +5,573 $11,509
     IEX53,220+5,573$11,509
SUPER MICRO COMPUTER INC 40,389 +3,368 $11,454
     SMCI40,389+3,368$11,454
AGREE RLTY CORP 179,939 +20,000 $11,306
     ADC179,939+20,000$11,306
L3HARRIS TECHNOLOGIES INC 53,533 -34,110 $11,235
     LHX53,533-34,110$11,235
NEUROCRINE BIOSCIENCES INC 85,317 -6,700 $11,212
     NBIX85,317-6,700$11,212
ALLY FINL INC 319,952 -62,564 $11,139
     ALLY319,952-62,564$11,139
STANLEY BLACK & DECKER INC 113,788 +8,926 $11,111
     SWK113,788+8,926$11,111
MOLINA HEALTHCARE INC 30,753 +3,703 $11,059
     MOH30,753+3,703$11,059
CERENCE INC 559,130 +58,323 $10,979
     CRNC559,130+58,323$10,979
PACKAGING CORP AMER 67,611 +7,978 $10,976
     PKG67,611+7,978$10,976
NISOURCE INC 409,790 -5,561 $10,817
     NI409,790-5,561$10,817
SPIRIT RLTY CAP INC NEW 242,624 +13,744 $10,585
     SRC242,624+13,744$10,585
EPAM SYS INC 35,632 +5,052 $10,550
     EPAM35,632+5,052$10,550
APPIAN CORP 277,665 +31,584 $10,456
     APPN277,665+31,584$10,456
PAYCOM SOFTWARE INC 50,640 +1,339 $10,431
     PAYC50,640+1,339$10,431
CONAGRA BRANDS INC 365,028 -63,467 $10,413
     CAG365,028-63,467$10,413
E L F BEAUTY INC 72,088 -5,420 $10,373
     ELF72,088-5,420$10,373
WILLIAMS SONOMA INC 51,426 -545 $10,351
     WSM51,426-545$10,351
BLOOM ENERGY CORP 697,026 +56,748 $10,300
     BE697,026+56,748$10,300
AMERICOLD REALTY TRUST INC 340,505 +36,892 $10,284
     COLD340,505+36,892$10,284
BROWN & BROWN INC 145,251 +13,423 $10,283
     BRO145,251+13,423$10,283
VIATRIS INC 950,422 +20,308 $10,263
     VTRS950,422+20,308$10,263
BURLINGTON STORES INC 52,459 +14,930 $10,170
     BURL52,459+14,930$10,170
FRANKLIN RESOURCES INC 341,580 +13,527 $10,130
     BEN341,580+13,527$10,130
CARLYLE GROUP INC 249,031 +35,446 $10,098
     CG249,031+35,446$10,098
TOLL BROTHERS INC 98,135 +282 $10,056
     TOL98,135+282$10,056
ERIE INDTY CO 30,000 +2,530 $10,020
     ERIE30,000+2,530$10,020
LPL FINL HLDGS INC 44,212 -4,262 $10,016
     LPLA44,212-4,262$10,016
FORTUNE BRANDS INNOVATIONS I 130,743 -10,685 $9,932
     FBIN130,743-10,685$9,932
AECOM 107,531 -2,055 $9,920
     ACM107,531-2,055$9,920
JAZZ PHARMACEUTICALS PLC 80,654 +80,654 $9,887
     JAZZ80,654+80,654$9,887
CARMAX INC 129,478 +1,059 $9,883
     KMX129,478+1,059$9,883
QORVO INC 87,049 -13,975 $9,760
     QRVO87,049-13,975$9,760
AVERY DENNISON CORP 48,028 +1,426 $9,674
     AVY48,028+1,426$9,674
FIRST CTZNS BANCSHARES INC N (FCNCA) 6,821 +1,908 $9,631
     FCNCA6,821+1,908$9,631
LAS VEGAS SANDS CORP 196,104 +20,064 $9,609
     LVS196,104+20,064$9,609
INTERNATIONAL PAPER CO 266,641 +63,470 $9,604
     IP266,641+63,470$9,604
FIRSTENERGY CORP 263,138 +3,779 $9,602
     FE263,138+3,779$9,602
SEA LTD 237,565 -231,631 $9,575
     SE237,565-231,631$9,575
MANHATTAN ASSOCIATES INC 44,004 +2,450 $9,457
     MANH44,004+2,450$9,457
ZEBRA TECHNOLOGIES CORPORATI 34,747 -734 $9,454
     ZBRA34,747-734$9,454
CMS ENERGY CORP 163,243 +2,496 $9,432
     CMS163,243+2,496$9,432
DICKS SPORTING GOODS INC 63,850 +16,306 $9,351
     DKS63,850+16,306$9,351
SUNCOR ENERGY INC NEW 290,586 +2,756 $9,292
     SU290,586+2,756$9,292
BIOMARIN PHARMACEUTICAL INC 96,866 -7,831 $9,284
     BMRN96,866-7,831$9,284
DTE ENERGY CO 84,426 -371 $9,269
     DTE84,426-371$9,269
BLACKBERRY LTD 2,611,318 +271,133 $9,243
     BB2,611,318+271,133$9,243
US FOODS HLDG CORP 204,113 -4,696 $9,239
     USFD204,113-4,696$9,239
ENTERGY CORP NEW 91,349 +7,348 $9,205
     ETR91,349+7,348$9,205
KILROY RLTY CORP 231,278 +20,771 $9,191
     KRC231,278+20,771$9,191
POOL CORP 22,889 +2,240 $9,091
     POOL22,889+2,240$9,091
CELANESE CORP DEL 58,651 -706 $9,074
     CE58,651-706$9,074
VORNADO RLTY TR 319,548 +26,434 $8,997
     VNO319,548+26,434$8,997
ZTO EXPRESS CAYMAN INC 420,229 -441,029 $8,913
     ZTO420,229-441,029$8,913
OPEN TEXT CORP 211,977 -26,288 $8,878
     OTEX211,977-26,288$8,878
PAYLOCITY HLDG CORP 53,853 -7,028 $8,870
     PCTY53,853-7,028$8,870
GLOBE LIFE INC 73,017 +12,898 $8,847
     GL73,017+12,898$8,847
FIRST SOLAR INC 51,566 +15,318 $8,844
     FSLR51,566+15,318$8,844
NATIONAL VISION HLDGS INC 423,240 +9,919 $8,822
     EYE423,240+9,919$8,822
FASTLY INC 494,304 +13,965 $8,797
     FSLY494,304+13,965$8,797
CYTOKINETICS INC 105,192 +5,213 $8,763
     CYTK105,192+5,213$8,763
SAIA INC 20,000 -80 $8,743
     SAIA20,000-80$8,743
TELEDYNE TECHNOLOGIES INC 19,620 +6,168 $8,729
     TDY19,620+6,168$8,729
ALNYLAM PHARMACEUTICALS INC 45,741 +1,568 $8,704
     ALNY45,741+1,568$8,704
MATCH GROUP INC NEW 238,367 +5,010 $8,659
     MTCH238,367+5,010$8,659
FLOOR & DECOR HLDGS INC 77,407 +50,700 $8,611
     FND77,407+50,700$8,611
VISTRA CORP 223,757 -17,075 $8,599
     VST223,757-17,075$8,599
KITE RLTY GROUP TR 376,086 +21,945 $8,586
     KRG376,086+21,945$8,586
JUNIPER NETWORKS INC 290,607 +7,137 $8,522
     JNPR290,607+7,137$8,522
LIVENT CORP 475,577 +104,831 $8,519
     LTHM475,577+104,831$8,519
TOPBUILD CORP 22,713 +70 $8,480
     BLD22,713+70$8,480
SOUTHERN COPPER CORP 98,529 +3,636 $8,456
     SCCO98,529+3,636$8,456
APTARGROUP INC 68,454 -2,937 $8,434
     ATR68,454-2,937$8,434
SOLAREDGE TECHNOLOGIES INC 90,104 +55,735 $8,420
     SEDG90,104+55,735$8,420
AMEREN CORP 116,581 +1,838 $8,395
     AEE116,581+1,838$8,395
KANZHUN LIMITED 505,364 -846,271 $8,356
     BZ505,364-846,271$8,356
FACTSET RESH SYS INC 17,594 -3,876 $8,354
     FDS17,594-3,876$8,354
ZOOMINFO TECHNOLOGIES INC 449,175 -43,839 $8,303
     ZI449,175-43,839$8,303
MAGNA INTL INC 139,975 -26,878 $8,250
     MGA139,975-26,878$8,250
REINSURANCE GRP OF AMERICA I 50,675 -350 $8,184
     RGA50,675-350$8,184
VARONIS SYS INC 180,773 +21,025 $8,177
     VRNS180,773+21,025$8,177
FIVE BELOW INC 38,312 -338 $8,142
     FIVE38,312-338$8,142
LINCOLN ELEC HLDGS INC 37,487 +63 $8,141
     LECO37,487+63$8,141
CROWN HLDGS INC 88,512 -544 $8,135
     CCK88,512-544$8,135
TERRENO RLTY CORP 130,050 +13,480 $8,124
     TRNO130,050+13,480$8,124
TRIP COM GROUP LTD 226,679 +10,354 $8,112
     TCOM226,679+10,354$8,112
LEAR CORP 57,506 +2,736 $8,105
     LEA57,506+2,736$8,105
RENAISSANCERE HLDGS LTD 41,318 +3,839 $8,080
     RNR41,318+3,839$8,080
RYMAN HOSPITALITY PPTYS INC 73,560 +7,592 $8,079
     RHP73,560+7,592$8,079
SMARTSHEET INC 168,706 -2,651 $8,051
     SMAR168,706-2,651$8,051
ROBLOX CORP 177,042 +27,876 $8,049
     RBLX177,042+27,876$8,049
REGAL REXNORD CORPORATION 53,994 +15,765 $7,972
     RRX53,994+15,765$7,972
PPL CORP 294,996 +6,095 $7,961
     PPL294,996+6,095$7,961
TYSON FOODS INC 148,497 -24,738 $7,948
     TSN148,497-24,738$7,948
WESCO INTL INC 45,643 -1,605 $7,910
     WCC45,643-1,605$7,910
MERITAGE HOMES CORP 45,104 -831 $7,837
     MTH45,104-831$7,837
PENTAIR PLC 108,104 +27,434 $7,826
     PNR108,104+27,434$7,826
LIVE NATION ENTERTAINMENT IN 83,778 +1,202 $7,805
     LYV83,778+1,202$7,805
MEDPACE HLDGS INC 25,490 -1,566 $7,786
     MEDP25,490-1,566$7,786
SMITH A O CORP 94,601 +10,426 $7,767
     AOS94,601+10,426$7,767
JABIL INC 61,061 -41,886 $7,753
     JBL61,061-41,886$7,753
NEWS CORP NEW 315,731 +1,056 $7,724
     NWSA315,731+1,056$7,724
OVINTIV INC 176,064 +8,183 $7,718
     OVV176,064+8,183$7,718
RAPID7 INC 135,178 +15,361 $7,718
     RPD135,178+15,361$7,718
SPROUT SOCIAL INC 125,142 +8,775 $7,684
     SPT125,142+8,775$7,684
TEXAS PACIFIC LAND CORPORATI 4,887 -538 $7,633
     TPL4,887-538$7,633
CARNIVAL CORP 411,967 +7,050 $7,612
     CCL411,967+7,050$7,612
REVVITY INC 69,687 +69,687 $7,587
     RVTY69,687+69,687$7,587
INSULET CORP 35,012 +269 $7,564
     PODD35,012+269$7,564
ARES MANAGEMENT CORPORATION 63,980 +34,861 $7,562
     ARES63,980+34,861$7,562
ROYALTY PHARMA PLC 269,966 +269,966 $7,538
     RPRX269,966+269,966$7,538
JONES LANG LASALLE INC 39,768 +3,449 $7,490
     JLL39,768+3,449$7,490
EAST WEST BANCORP INC 104,300 -477 $7,484
     EWBC104,300-477$7,484
MACERICH CO 483,143 +20,904 $7,445
     MAC483,143+20,904$7,445
HENRY JACK & ASSOC INC 45,414 -30,450 $7,385
     JKHY45,414-30,450$7,385
LAMAR ADVERTISING CO NEW 69,329 -6,940 $7,350
     LAMR69,329-6,940$7,350
SIMPSON MFG INC 37,079 +617 $7,318
     SSD37,079+617$7,318
BLOCK H & R INC 151,715 -2,913 $7,317
     HRB151,715-2,913$7,317
AMERICAN FINL GROUP INC OHIO 61,418 +1,565 $7,292
     AFG61,418+1,565$7,292
FIVE9 INC 92,575 -1,274 $7,274
     FIVN92,575-1,274$7,274
TORO CO 75,576 +169 $7,243
     TTC75,576+169$7,243
ADVANCED DRAIN SYS INC DEL 51,125 +9,663 $7,177
     WMS51,125+9,663$7,177
PENUMBRA INC 28,495 -1,278 $7,161
     PEN28,495-1,278$7,161
TELEFLEX INCORPORATED 28,842 -4,929 $7,159
     TFX28,842-4,929$7,159
UNIVERSAL DISPLAY CORP 37,415 -352 $7,138
     OLED37,415-352$7,138
DELTA AIR LINES INC DEL 175,944 +6,222 $7,056
     DAL175,944+6,222$7,056
LAMB WESTON HLDGS INC 65,404 +6,251 $7,052
     LW65,404+6,251$7,052
CLEVELAND CLIFFS INC NEW 345,873 -5,144 $7,050
     CLF345,873-5,144$7,050
APPLE HOSPITALITY REIT INC 424,701 +9,080 $7,040
     APLE424,701+9,080$7,040
UNUM GROUP 155,871 -42,642 $7,025
     UNM155,871-42,642$7,025
TANGER INC 253,502 +7,622 $7,012
     SKT253,502+7,622$7,012
HOWMET AEROSPACE INC 129,259 +3,784 $6,976
     HWM129,259+3,784$6,976
RINGCENTRAL INC 205,328 -12,605 $6,962
     RNG205,328-12,605$6,962
AGCO CORP 57,440 -598 $6,947
     AGCO57,440-598$6,947
LIBERTY BROADBAND CORP 86,340 +34,446 $6,916
     LBRDK86,340+34,446$6,916
TYLER TECHNOLOGIES INC 16,591 +317 $6,907
     TYL16,591+317$6,907
PRA GROUP INC 264,258 +13,038 $6,895
     PRAA264,258+13,038$6,895
MARKETAXESS HLDGS INC 23,618 +1,687 $6,888
     MKTX23,618+1,687$6,888
HORMEL FOODS CORP 214,489 -509 $6,853
     HRL214,489-509$6,853
MGM RESORTS INTERNATIONAL 153,686 -610 $6,832
     MGM153,686-610$6,832
WEX INC 35,180 +1,510 $6,826
     WEX35,180+1,510$6,826
REPLIGEN CORP 37,992 -150 $6,817
     RGEN37,992-150$6,817
WEST FRASER TIMBER CO LTD 80,025 -1,824 $6,814
     WFG80,025-1,824$6,814
Q2 HLDGS INC 156,739 -6,451 $6,805
     QTWO156,739-6,451$6,805
KNIGHT SWIFT TRANSN HLDGS IN 118,138 -21,594 $6,800
     KNX118,138-21,594$6,800
LATTICE SEMICONDUCTOR CORP 98,439 -3,362 $6,779
     LSCC98,439-3,362$6,779
ALBERTSONS COS INC 296,389 +219,506 $6,773
     ACI296,389+219,506$6,773
WORKIVA INC 66,322 -161 $6,724
     WK66,322-161$6,724
BOISE CASCADE CO DEL 51,770 -14 $6,685
     BCC51,770-14$6,685
PRIMERICA INC 32,381 -1,373 $6,643
     PRI32,381-1,373$6,643
LITHIA MTRS INC 20,098 -101 $6,604
     LAD20,098-101$6,604
SERVICE CORP INTL 96,519 +7,761 $6,598
     SCI96,519+7,761$6,598
BORGWARNER INC 184,811 +5,934 $6,597
     BWA184,811+5,934$6,597
DARLING INGREDIENTS INC 132,133 +23,523 $6,563
     DAR132,133+23,523$6,563
AUTOLIV INC 59,620 +6,352 $6,558
     ALV59,620+6,352$6,558
SOUTHSTATE CORPORATION 77,688 -1,461 $6,538
     SSB77,688-1,461$6,538
ASSURANT INC 38,872 +14,969 $6,522
     AIZ38,872+14,969$6,522
TEMPUR SEALY INTL INC 127,623 +521 $6,489
     TPX127,623+521$6,489
UNITED STATES STL CORP NEW 133,472 -2,214 $6,484
     X133,472-2,214$6,484
ESSENTIAL PPTYS RLTY TR INC 252,900 +8,174 $6,462
     EPRT252,900+8,174$6,462
APPFOLIO INC 37,357 -695 $6,457
     APPF37,357-695$6,457
BJS WHSL CLUB HLDGS INC 96,486 -640 $6,418
     BJ96,486-640$6,418
BILL HOLDINGS INC 78,463 -1,421 $6,386
     BILL78,463-1,421$6,386
COUSINS PPTYS INC 261,881 +14,013 $6,367
     CUZ261,881+14,013$6,367
ARES CAPITAL CORP 319,565 -32,250 $6,360
     ARCC319,565-32,250$6,360
WATTS WATER TECHNOLOGIES INC 30,600 +2,424 $6,355
     WTS30,600+2,424$6,355
AXCELIS TECHNOLOGIES INC 49,125 -917 $6,347
     ACLS49,125-917$6,347
LXP INDUSTRIAL TRUST 639,898 +26,536 $6,336
     LXP639,898+26,536$6,336
H WORLD GROUP LTD 188,909 -177,691 $6,301
     HTHT188,909-177,691$6,301
BLACKLINE INC 100,905 -3,472 $6,298
     BL100,905-3,472$6,298
BERRY GLOBAL GROUP INC 93,594 -8,097 $6,290
     BERY93,594-8,097$6,290
ALLEGION PLC 49,546 +6,675 $6,249
     ALLE49,546+6,675$6,249
ENERSYS 61,839 -13,238 $6,233
     ENS61,839-13,238$6,233
LANDSTAR SYS INC 32,056 +1,708 $6,191
     LSTR32,056+1,708$6,191
EQT CORP 160,762 +47,065 $6,189
     EQT160,762+47,065$6,189
NOV INC 305,896 -420 $6,189
     NOV305,896-420$6,189
SIRIUS XM HOLDINGS INC 1,133,637 +23,592 $6,188
     SIRI1,133,637+23,592$6,188
DOUGLAS EMMETT INC 427,135 +39,040 $6,178
     DEI427,135+39,040$6,178
FIRST AMERN FINL CORP 96,036 +581 $6,176
     FAF96,036+581$6,176
STIFEL FINL CORP 89,488 +1,472 $6,174
     SF89,488+1,472$6,174
RAMBUS INC DEL 89,562 -36,518 $6,095
     RMBS89,562-36,518$6,095
ITT INC 50,825 -3,236 $6,058
     ITT50,825-3,236$6,058
AXALTA COATING SYS LTD 178,067 -6,565 $6,031
     AXTA178,067-6,565$6,031
CALIFORNIA WTR SVC GROUP 115,296 +3,365 $5,954
     CWT115,296+3,365$5,954
CHEMED CORP NEW 10,156 -336 $5,928
     CHE10,156-336$5,928
DONALDSON INC 90,767 +957 $5,920
     DCI90,767+957$5,920
INDEPENDENCE RLTY TR INC 386,745 +19,889 $5,907
     IRT386,745+19,889$5,907
JEFFERIES FINL GROUP INC 146,246 -1,582 $5,898
     JEF146,246-1,582$5,898
OLD REP INTL CORP 200,843 -13,190 $5,888
     ORI200,843-13,190$5,888
FTI CONSULTING INC 29,596 +92 $5,880
     FCN29,596+92$5,880
TENET HEALTHCARE CORP 77,949 +379 $5,874
     THC77,949+379$5,874
VOYA FINANCIAL INC 80,263 +3,372 $5,841
     VOYA80,263+3,372$5,841
SPROUTS FMRS MKT INC 121,613 -3,960 $5,828
     SFM121,613-3,960$5,828
PAGERDUTY INC 252,167 -5,705 $5,827
     PD252,167-5,705$5,827
APPLIED INDL TECHNOLOGIES IN 33,768 -1,152 $5,822
     AIT33,768-1,152$5,822
EMCOR GROUP INC 27,010 -1,353 $5,812
     EME27,010-1,353$5,812
NEW YORK TIMES CO 118,799 -5,373 $5,807
     NYT118,799-5,373$5,807
VAIL RESORTS INC 27,257 -8,507 $5,805
     MTN27,257-8,507$5,805
ISHARES TR (INDA) 119,140 -24,170 $5,793
     INDA119,140-24,170$5,793
SITE CTRS CORP 425,957 +18,956 $5,793
     SITC425,957+18,956$5,793
ABERCROMBIE & FITCH CO 65,565 +1,548 $5,763
     ANF65,565+1,548$5,763
SPS COMM INC 29,535 -1,938 $5,721
     SPSC29,535-1,938$5,721
ONEMAIN HLDGS INC 116,657 +25,612 $5,720
     OMF116,657+25,612$5,720
MEDICAL PPTYS TRUST INC 1,163,073 +81,206 $5,698
     MPW1,163,073+81,206$5,698
XPO INC 65,108 -1,467 $5,696
     XPO65,108-1,467$5,696
LINCOLN NATL CORP IND 209,971 +19,937 $5,649
     LNC209,971+19,937$5,649
CHARLES RIV LABS INTL INC 23,980 +2,431 $5,645
     CRL23,980+2,431$5,645
NEW YORK CMNTY BANCORP INC 553,065 -32,275 $5,639
     NYCB553,065-32,275$5,639
PVH CORPORATION 46,205 -1,143 $5,628
     PVH46,205-1,143$5,628
MIDDLEBY CORP 38,291 -8 $5,623
     MIDD38,291-8$5,623
NATIONAL STORAGE AFFILIATES 135,704 +222 $5,612
     NSA135,704+222$5,612
CLEAN HARBORS INC 32,181 +1,510 $5,601
     CLH32,181+1,510$5,601
ARAMARK 199,425 -157,218 $5,587
     ARMK199,425-157,218$5,587
THOR INDS INC 47,356 +4,425 $5,586
     THO47,356+4,425$5,586
INNOVATIVE INDL PPTYS INC 55,356 +2,457 $5,575
     IIPR55,356+2,457$5,575
AMER STATES WTR CO 69,443 -1,680 $5,562
     AWR69,443-1,680$5,562
PARK HOTELS & RESORTS INC 364,069 +2,706 $5,557
     PK364,069+2,706$5,557
FIRST HORIZON CORPORATION 391,732 -207,166 $5,535
     FHN391,732-207,166$5,535
WEBSTER FINL CORP 109,180 -31,524 $5,532
     WBS109,180-31,524$5,532
MGIC INVT CORP WIS 287,625 -11,700 $5,526
     MTG287,625-11,700$5,526
MARATHON OIL CORP 229,468 +3,960 $5,523
     MRO229,468+3,960$5,523
CLEARWAY ENERGY INC      $5,508
     CWEN115,759+60,689$3,167
     CWEN.A91,941+30,599$2,341
CARETRUST REIT INC 246,127 +34,213 $5,497
     CTRE246,127+34,213$5,497
NEW JERSEY RES CORP 123,395 +308 $5,477
     NJR123,395+308$5,477
ETSY INC 67,840 -52,883 $5,476
     ETSY67,840-52,883$5,476
ONTO INNOVATION INC 35,890 -13,975 $5,469
     ONTO35,890-13,975$5,469
GRAPHIC PACKAGING HLDG CO 221,911 -2,942 $5,458
     GPK221,911-2,942$5,458
UNIVERSAL HLTH SVCS INC 35,931 -7,372 $5,457
     UHS35,931-7,372$5,457
EVERGY INC 104,723 +622 $5,443
     EVRG104,723+622$5,443
ANTERO MIDSTREAM CORP 433,771 -6,041 $5,412
     AM433,771-6,041$5,412
NEXSTAR MEDIA GROUP INC 34,622 +4,839 $5,412
     NXST34,622+4,839$5,412
CHURCHILL DOWNS INC 40,129 -950 $5,408
     CHDN40,129-950$5,408
EXELIXIS INC 225,454 -8,678 $5,396
     EXEL225,454-8,678$5,396
8X8 INC NEW 1,424,703 -65,658 $5,385
     EGHT1,424,703-65,658$5,385
SOUTHWEST AIRLS CO 186,230 +33,013 $5,360
     LUV186,230+33,013$5,360
PLANET FITNESS INC 73,626 -4,817 $5,358
     PLNT73,626-4,817$5,358
KINROSS GOLD CORP 887,141 +21,066 $5,350
     KGC887,141+21,066$5,350
EVERBRIDGE INC 220,004 -8,153 $5,348
     EVBG220,004-8,153$5,348
AUTOHOME INC 191,117 -182,047 $5,334
     ATHM191,117-182,047$5,334
BOOZ ALLEN HAMILTON HLDG COR 41,583 -8,412 $5,291
     BAH41,583-8,412$5,291
TEXAS ROADHOUSE INC 43,239 +526 $5,280
     TXRH43,239+526$5,280
BALCHEM CORP 35,490 -723 $5,270
     BCPC35,490-723$5,270
BRUNSWICK CORP 54,512 -2,932 $5,261
     BC54,512-2,932$5,261
BRUKER CORP 71,652 -2,521 $5,252
     BRKR71,652-2,521$5,252
TAPESTRY INC 142,491 +30,200 $5,230
     TPR142,491+30,200$5,230
SHOCKWAVE MED INC 27,400 +6,398 $5,210
     SWAV27,400+6,398$5,210
ZUORA INC 554,657 +23,619 $5,210
     ZUO554,657+23,619$5,210
TETRA TECH INC NEW 31,131 -441 $5,191
     TTEK31,131-441$5,191
CURTISS WRIGHT CORP 23,287 +109 $5,186
     CW23,287+109$5,186
MUELLER INDS INC 110,164 +57,305 $5,184
     MLI110,164+57,305$5,184
SPIRE INC 83,250 +772 $5,168
     SR83,250+772$5,168
CELSIUS HLDGS INC 94,833 +66,466 $5,159
     CELH94,833+66,466$5,159
SEALED AIR CORP NEW 141,404 +86,671 $5,156
     SEE141,404+86,671$5,156
SKECHERS U S A INC 82,866 +119 $5,156
     SKX82,866+119$5,156
EPR PPTYS 106,201 +5,328 $5,142
     EPR106,201+5,328$5,142
PERFORMANCE FOOD GROUP CO 74,306 -4,362 $5,136
     PFGC74,306-4,362$5,136
UNION PAC CORP 20,972 +343 $5,129
     UNP20,972+343$5,129
ENSIGN GROUP INC 45,638 -3,440 $5,111
     ENSG45,638-3,440$5,111
TRADEWEB MKTS INC 56,337 +32,306 $5,095
     TW56,337+32,306$5,095
TAYLOR MORRISON HOME CORP 95,789 -10,728 $5,092
     TMHC95,789-10,728$5,092
BLUE OWL CAPITAL CORPORATION 346,649 +346,649 $5,085
     OBDC346,649+346,649$5,085
ALLIANT ENERGY CORP 99,281 +1,412 $5,072
     LNT99,281+1,412$5,072
HIGHWOODS PPTYS INC 220,782 +15,916 $5,057
     HIW220,782+15,916$5,057
GRUPO AEROPUERTO DEL PACIFIC 29,079 -301,581 $5,051
     PAC29,079-301,581$5,051
SUNSTONE HOTEL INVS INC NEW 471,588 +13,361 $5,045
     SHO471,588+13,361$5,045
TOAST INC 276,488 -9,197 $5,044
     TOST276,488-9,197$5,044
SIGNET JEWELERS LIMITED 47,153 -5,064 $5,043
     SIG47,153-5,064$5,043
CULLEN FROST BANKERS INC 46,567 +298 $5,041
     CFR46,567+298$5,041
AAON INC 68,345 -2,098 $5,040
     AAON68,345-2,098$5,040
COPT DEFENSE PROPERTIES 196,643 +10,670 $5,029
     OFC196,643+10,670$5,029
CASEYS GEN STORES INC 18,308 -918 $5,028
     CASY18,308-918$5,028
DAVITA INC 47,877 +14,746 $4,992
     DVA47,877+14,746$4,992
PINNACLE FINL PARTNERS INC 57,307 -180 $4,986
     PNFP57,307-180$4,986
TREX CO INC 60,266 -1,511 $4,983
     TREX60,266-1,511$4,983
HOULIHAN LOKEY INC 41,573 +26,308 $4,976
     HLI41,573+26,308$4,976
HASHICORP INC 209,635 +24,749 $4,954
     HCP209,635+24,749$4,954
INTERACTIVE BROKERS GROUP IN 59,708 -3,707 $4,943
     IBKR59,708-3,707$4,943
ROYAL GOLD INC 40,693 +1,795 $4,918
     RGLD40,693+1,795$4,918
BALLARD PWR SYS INC NEW 1,328,272 -542,219 $4,915
     BLDP1,328,272-542,219$4,915
ENTEGRIS INC 41,240 +320 $4,914
     ENTG41,240+320$4,914
ASBURY AUTOMOTIVE GROUP INC 21,770 -655 $4,895
     ABG21,770-655$4,895
WOODWARD INC 35,935 -1,252 $4,885
     WWD35,935-1,252$4,885
SILICON LABORATORIES INC 36,902 +4,085 $4,863
     SLAB36,902+4,085$4,863
GENTEX CORP 148,614 -4,139 $4,848
     GNTX148,614-4,139$4,848
BEIGENE LTD 27,022 -297,694 $4,843
     BGNE27,022-297,694$4,843
UFP INDUSTRIES INC 38,629 +904 $4,843
     UFPI38,629+904$4,843
TENCENT MUSIC ENTMT GROUP 537,974 -1,096,948 $4,838
     TME537,974-1,096,948$4,838
MSA SAFETY INC 28,709 -904 $4,837
     MSA28,709-904$4,837
SOUTHWEST GAS HLDGS INC 76,045 -4,443 $4,800
     SWX76,045-4,443$4,800
NOVANTA INC 28,500 -389 $4,788
     NOVT28,500-389$4,788
ATI INC 105,091 -8,350 $4,770
     ATI105,091-8,350$4,770
LIGHT & WONDER INC 58,194 +4,469 $4,766
     LNW58,194+4,469$4,766
MKS INSTRS INC 46,206 -1,345 $4,743
     MKSI46,206-1,345$4,743
GROUP 1 AUTOMOTIVE INC 15,575 -111 $4,732
     GPI15,575-111$4,732
SYNOVUS FINL CORP 125,342 +3,366 $4,707
     SNV125,342+3,366$4,707
CHAMPIONX CORPORATION 161,296 +4,190 $4,700
     CHX161,296+4,190$4,700
BADGER METER INC 30,436 +168 $4,690
     BMI30,436+168$4,690
COMMERCIAL METALS CO 93,990 +2,786 $4,689
     CMC93,990+2,786$4,689
MACYS INC 229,269 +16,773 $4,602
     M229,269+16,773$4,602
BIGCOMMERCE HLDGS INC 471,348 -17,156 $4,586
     BIGC471,348-17,156$4,586
BOX INC 179,332 -5,392 $4,586
     BOX179,332-5,392$4,586
RBC BEARINGS INC 16,100 -439 $4,582
     RBC16,100-439$4,582
COGNEX CORP 109,978 -30,919 $4,580
     CGNX109,978-30,919$4,580
GILDAN ACTIVEWEAR INC 137,998 +3,887 $4,549
     GIL137,998+3,887$4,549
GATX CORP 37,881 -499 $4,538
     GATX37,881-499$4,538
FS KKR CAP CORP 228,523 -23,153 $4,533
     FSK228,523-23,153$4,533
WINTRUST FINL CORP 48,706 +768 $4,503
     WTFC48,706+768$4,503
KB HOME 72,186 +8,710 $4,495
     KBH72,186+8,710$4,495
MORNINGSTAR INC 15,699 -443 $4,489
     MORN15,699-443$4,489
MERIT MED SYS INC 59,022 -1,954 $4,475
     MMSI59,022-1,954$4,475
PARAMOUNT GLOBAL 303,792 -241,039 $4,475
     PARA303,792-241,039$4,475
WESTROCK CO 107,903 +19,804 $4,460
     WRK107,903+19,804$4,460
XEROX HOLDINGS CORP 244,295 +82,268 $4,459
     XRX244,295+82,268$4,459
AMERICAN EAGLE OUTFITTERS IN 210,248 +8,347 $4,440
     AEO210,248+8,347$4,440
ADVANCED ENERGY INDS 40,870 -706 $4,439
     AEIS40,870-706$4,439
TEXTRON INC 55,376 +342 $4,438
     TXT55,376+342$4,438
OPTION CARE HEALTH INC 131,950 -2,045 $4,435
     OPCH131,950-2,045$4,435
POLARIS INC 46,894 +1,396 $4,435
     PII46,894+1,396$4,435
NCR VOYIX CORPORATION 163,717 +53,812 $4,433
     NCR163,717+53,812$4,433
NRG ENERGY INC 85,909 -29,133 $4,426
     NRG85,909-29,133$4,426
FOUR CORNERS PPTY TR INC 174,418 +3,951 $4,409
     FCPT174,418+3,951$4,409
AMDOCS LTD 50,390 -5,857 $4,401
     DOX50,390-5,857$4,401
MAXIMUS INC 52,445 +1,839 $4,389
     MMS52,445+1,839$4,389
COLUMBIA BKG SYS INC 164,431 +1,976 $4,376
     COLB164,431+1,976$4,376
PROSPERITY BANCSHARES INC (PB) 64,720 +520 $4,375
     PB64,720+520$4,375
ONE GAS INC 68,828 +3,033 $4,369
     OGS68,828+3,033$4,369
ISHARES TR (IGOV) 106,196 -11,234 $4,351
     IGOV106,196-11,234$4,351
SELECTIVE INS GROUP INC 43,817 +5,835 $4,351
     SIGI43,817+5,835$4,351
MANPOWERGROUP INC WIS 54,842 +10,322 $4,349
     MAN54,842+10,322$4,349
HAMILTON LANE INC 38,534 -1,403 $4,344
     HLNE38,534-1,403$4,344
MURPHY USA INC 12,207 -394 $4,344
     MUSA12,207-394$4,344
DOLBY LABORATORIES INC 50,360 +5,615 $4,329
     DLB50,360+5,615$4,329
HASBRO INC 84,610 -88,990 $4,301
     HAS84,610-88,990$4,301
COMFORT SYS USA INC 20,837 -11,080 $4,282
     FIX20,837-11,080$4,282
PATTERSON UTI ENERGY INC 396,636 -1,625 $4,274
     PTEN396,636-1,625$4,274
CROCS INC 45,841 -1,029 $4,272
     CROX45,841-1,029$4,272
HEXCEL CORP NEW 57,915 +4,094 $4,263
     HXL57,915+4,094$4,263
CONFLUENT INC 182,354 -6,391 $4,260
     CFLT182,354-6,391$4,260
HEALTHEQUITY INC 64,322 -163 $4,254
     HQY64,322-163$4,254
WESTLAKE CORPORATION 30,388 +8,035 $4,247
     WLK30,388+8,035$4,247
EAGLE MATLS INC 20,816 -1,052 $4,220
     EXP20,816-1,052$4,220
INGREDION INC 38,935 -1,969 $4,220
     INGR38,935-1,969$4,220
KBR INC 76,213 -4,731 $4,218
     KBR76,213-4,731$4,218
WALKER & DUNLOP INC 37,984 +1,862 $4,212
     WD37,984+1,862$4,212
URBAN EDGE PPTYS 230,118 +6,917 $4,205
     UE230,118+6,917$4,205
RADIAN GROUP INC 147,279 -14,790 $4,197
     RDN147,279-14,790$4,197
KINSALE CAP GROUP INC 12,534 -4,975 $4,191
     KNSL12,534-4,975$4,191
COMMERCE BANCSHARES INC (CBSH) 78,564 +2,770 $4,189
     CBSH78,564+2,770$4,189
CACI INTL INC 12,917 -657 $4,182
     CACI12,917-657$4,182
EXLSERVICE HOLDINGS INC 135,818 +3,219 $4,179
     EXLS135,818+3,219$4,179
GLOBUS MED INC 78,598 -1,272 $4,179
     GMED78,598-1,272$4,179
FRANKLIN ELEC INC 43,318 -1,174 $4,178
     FELE43,318-1,174$4,178
BIO TECHNE CORP 54,341 +3,893 $4,178
     TECH54,341+3,893$4,178
RANGE RES CORP 137,299 -3,559 $4,174
     RRC137,299-3,559$4,174
WINGSTOP INC 16,215 -1,318 $4,156
     WING16,215-1,318$4,156
VERTIV HOLDINGS CO 86,958 +55,264 $4,153
     VRT86,958+55,264$4,153
GLAUKOS CORP 52,324 -1,018 $4,150
     GKOS52,324-1,018$4,150
AVNET INC 82,021 +9,725 $4,124
     AVT82,021+9,725$4,124
INSIGHT ENTERPRISES INC 23,295 -3,400 $4,124
     NSIT23,295-3,400$4,124
LEIDOS HOLDINGS INC 38,203 +486 $4,121
     LDOS38,203+486$4,121
ORMAT TECHNOLOGIES INC 54,548 +3,963 $4,120
     ORA54,548+3,963$4,120
ARGENX SE 10,909 -4,689 $4,118
     ARGX10,909-4,689$4,118
KOHLS CORP 143,873 +33,045 $4,116
     KSS143,873+33,045$4,116
LOUISIANA PAC CORP 58,204 +683 $4,112
     LPX58,204+683$4,112
OLD NATL BANCORP IND 244,192 +11,374 $4,110
     ONB244,192+11,374$4,110
HELMERICH & PAYNE INC 113,141 -5,099 $4,087
     HP113,141-5,099$4,087
BANK OZK LITTLE ROCK ARK 81,725 +1,822 $4,061
     OZK81,725+1,822$4,061
GRAHAM HLDGS CO 5,843 -291 $4,052
     GHC5,843-291$4,052
RUSH ENTERPRISES INC 80,586 +47,410 $4,051
     RUSHA80,586+47,410$4,051
ITRON INC 53,672 +3,567 $4,042
     ITRI53,672+3,567$4,042
BROADSTONE NET LEASE INC 235,165 +22,084 $4,041
     BNL235,165+22,084$4,041
AFFILIATED MANAGERS GROUP IN 26,699 +263 $4,035
     AMG26,699+263$4,035
ENCOMPASS HEALTH CORP 60,479 -4,265 $4,030
     EHC60,479-4,265$4,030
KORN FERRY 67,913 -2,485 $4,020
     KFY67,913-2,485$4,020
INSTALLED BLDG PRODS INC 22,041 +1,592 $4,019
     IBP22,041+1,592$4,019
JOHN BEAN TECHNOLOGIES CORP 40,508 -1,159 $4,017
     JBT40,508-1,159$4,017
ISHARES INC (LEMB) 110,099 -5,052 $4,008
     LEMB110,099-5,052$4,008
LITTELFUSE INC 14,964 +332 $4,000
     LFUS14,964+332$4,000
GRUPO AEROPORTUARIO DEL SURE 13,706 -139,018 $3,997
     ASR13,706-139,018$3,997
SOUTHWESTERN ENERGY CO 611,339 -36,614 $3,988
     SWN611,339-36,614$3,988
GAP INC 190,712 -13,014 $3,977
     GPS190,712-13,014$3,977
EVERCORE INC 23,276 -5,833 $3,973
     EVR23,276-5,833$3,973
TEVA PHARMACEUTICAL INDS LTD 381,589 -346,215 $3,971
     TEVA381,589-346,215$3,971
CATALENT INC 88,687 -14,645 $3,969
     CTLT88,687-14,645$3,969
ACADIA HEALTHCARE COMPANY IN 51,014 -3,187 $3,962
     ACHC51,014-3,187$3,962
M I HOMES INC 28,726 -860 $3,953
     MHO28,726-860$3,953
OGE ENERGY CORP 113,221 -1,867 $3,949
     OGE113,221-1,867$3,949
WYNDHAM HOTELS & RESORTS INC 49,128 +256 $3,944
     WH49,128+256$3,944
STARWOOD PPTY TR INC 187,668 -5,280 $3,937
     STWD187,668-5,280$3,937
FEDERAL SIGNAL CORP 51,397 -2,104 $3,936
     FSS51,397-2,104$3,936
DENTSPLY SIRONA INC 111,131 -43,064 $3,934
     XRAY111,131-43,064$3,934
M D C HLDGS INC 71,105 +12,944 $3,925
     MDC71,105+12,944$3,925
SLM CORP 205,767 -19,742 $3,922
     SLM205,767-19,742$3,922
DIAMONDROCK HOSPITALITY CO 417,902 +13,748 $3,918
     DRH417,902+13,748$3,918
AES CORP 204,124 +3,539 $3,916
     AES204,124+3,539$3,916
HYATT HOTELS CORP 29,926 +20,629 $3,896
     H29,926+20,629$3,896
GRAND CANYON ED INC 29,566 +102 $3,888
     LOPE29,566+102$3,888
COMPANHIA DE SANEAMENTO BASI 256,346 -267,334 $3,880
     SBS256,346-267,334$3,880
UNITED CMNTY BKS BLAIRSVLE G 132,865 -4,958 $3,879
     UCBI132,865-4,958$3,879
TFI INTL INC 28,523 +1,718 $3,862
     TFII28,523+1,718$3,862
GENWORTH FINL INC 579,208 -73,296 $3,858
     GNW579,208-73,296$3,858
IMPERIAL OIL LTD 67,643 +23,534 $3,841
     IMO67,643+23,534$3,841
FOX CORP 139,073 +20,574 $3,826
     FOX139,073+20,574$3,826
HAEMONETICS CORP MASS 44,795 +4,795 $3,821
     HAE44,795+4,795$3,821
RAYONIER INC 114,684 -329 $3,820
     RYN114,684-329$3,820
MASIMO CORP 32,570 +51 $3,808
     MASI32,570+51$3,808
GLOBAL NET LEASE INC 382,717 +11,740 $3,804
     GNL382,717+11,740$3,804
SM ENERGY CO 98,303 -7,549 $3,801
     SM98,303-7,549$3,801
ARMSTRONG WORLD INDS INC NEW 38,499 +33,179 $3,783
     AWI38,499+33,179$3,783
OLIN CORP 70,090 -5,480 $3,776
     OLN70,090-5,480$3,776
NUTANIX INC 79,363 +12,853 $3,761
     NTNX79,363+12,853$3,761
SUNRUN INC 192,028 +6,695 $3,759
     RUN192,028+6,695$3,759
SCIENCE APPLICATIONS INTL CO 30,221 -3,054 $3,753
     SAIC30,221-3,054$3,753
ADTALEM GLOBAL ED INC 63,873 -903 $3,751
     ATGE63,873-903$3,751
PERRIGO CO PLC 116,759 +2,463 $3,747
     PRGO116,759+2,463$3,747
RYDER SYS INC 32,609 +5,175 $3,742
     R32,609+5,175$3,742
TRI POINTE HOMES INC 105,951 -3,103 $3,741
     TPH105,951-3,103$3,741
SJW GROUP 57,478 -37 $3,740
     SJW57,478-37$3,740
CENOVUS ENERGY INC 224,772 +2,888 $3,736
     CVE224,772+2,888$3,736
PEBBLEBROOK HOTEL TR 234,214 +6,633 $3,735
     PEB234,214+6,633$3,735
KRATOS DEFENSE & SEC SOLUTIO 183,692 +16,036 $3,725
     KTOS183,692+16,036$3,725
HALOZYME THERAPEUTICS INC 101,011 +811 $3,722
     HALO101,011+811$3,722
ALASKA AIR GROUP INC 95,026 +76,916 $3,711
     ALK95,026+76,916$3,711
TELADOC HEALTH INC 173,223 +16,064 $3,710
     TDOC173,223+16,064$3,710
F N B CORP 268,756 -4,888 $3,692
     FNB268,756-4,888$3,692
ACUITY BRANDS INC 17,975 -425 $3,680
     AYI17,975-425$3,680
WESTERN UN CO 309,261 +40,581 $3,674
     WU309,261+40,581$3,674
RESIDEO TECHNOLOGIES INC 195,650 -2,168 $3,669
     REZI195,650-2,168$3,669
NEWMARKET CORP 6,700 +368 $3,649
     NEU6,700+368$3,649
RETAIL OPPORTUNITY INVTS COR 260,319 +8,467 $3,646
     ROIC260,319+8,467$3,646
A10 NETWORKS INC 275,998 +32,445 $3,632
     ATEN275,998+32,445$3,632
CIRRUS LOGIC INC 43,759 -303 $3,630
     CRUS43,759-303$3,630
EASTMAN CHEM CO 40,539 -20,878 $3,628
     EMN40,539-20,878$3,628
AMERICAN EQTY INVT LIFE HLD 65,128 -2,756 $3,627
     AEL65,128-2,756$3,627
INSPERITY INC 30,953 -287 $3,620
     NSP30,953-287$3,620
GIBRALTAR INDS INC 46,015 +804 $3,620
     ROCK46,015+804$3,620
NEWELL BRANDS INC 418,142 -17,652 $3,617
     NWL418,142-17,652$3,617
MURPHY OIL CORP 84,708 -4,117 $3,608
     MUR84,708-4,117$3,608
VALVOLINE INC 96,280 -951 $3,608
     VVV96,280-951$3,608
ANTERO RESOURCES CORP 159,035 -7,448 $3,602
     AR159,035-7,448$3,602
FRONTDOOR INC 102,362 +7,699 $3,592
     FTDR102,362+7,699$3,592
BROOKFIELD INFRASTRUCTURE CO 102,389 +2,341 $3,590
     BIPC102,389+2,341$3,590
NORTHWESTERN ENERGY GROUP IN 70,852 -2,547 $3,589
     NWE70,852-2,547$3,589
COTY INC 289,515 +9,488 $3,583
     COTY289,515+9,488$3,583
ALCOA CORP 105,102 -3,155 $3,564
     AA105,102-3,155$3,564
MATADOR RES CO 62,742 -1,436 $3,562
     MTDR62,742-1,436$3,562
ACADIA RLTY TR 210,056 +14,337 $3,561
     AKR210,056+14,337$3,561
MOOG INC      $3,557
     MOG.A24,573-1,435$3,557
MR COOPER GROUP INC 54,626 -3,752 $3,555
     COOP54,626-3,752$3,555
FLOWERS FOODS INC 157,858 +15,397 $3,544
     FLO157,858+15,397$3,544
HANNON ARMSTRONG SUST INFR C 128,472 -2,802 $3,535
     HASI128,472-2,802$3,535
AUTONATION INC 23,611 -708 $3,533
     AN23,611-708$3,533
ASGN INC 36,769 -1,803 $3,527
     ASGN36,769-1,803$3,527
YEXT INC 598,019 -23,746 $3,522
     YEXT598,019-23,746$3,522
SONOCO PRODS CO 63,109 +1,799 $3,521
     SON63,109+1,799$3,521
FULLER H B CO 43,235 -3,473 $3,517
     FUL43,235-3,473$3,517
FLOWSERVE CORP 85,301 -1,226 $3,513
     FLS85,301-1,226$3,513
U HAUL HOLDING COMPANY      $3,512
     UHAL.B48,540-5,451$3,403
     UHAL1,531-460$109
COMERICA INC 62,754 +4,233 $3,485
     CMA62,754+4,233$3,485
EURONET WORLDWIDE INC 34,430 -2,487 $3,485
     EEFT34,430-2,487$3,485
YETI HLDGS INC 67,098 -210 $3,465
     YETI67,098-210$3,465
ADVANCE AUTO PARTS INC 56,666 -9,465 $3,451
     AAP56,666-9,465$3,451
FORMFACTOR INC 82,891 -165 $3,450
     FORM82,891-165$3,450
INNOSPEC INC 28,024 +434 $3,447
     IOSP28,024+434$3,447
HARLEY DAVIDSON INC 93,760 +7,536 $3,445
     HOG93,760+7,536$3,445
RLI CORP 25,687 -6,064 $3,416
     RLI25,687-6,064$3,416
WENDYS CO 175,406 +25,823 $3,408
     WEN175,406+25,823$3,408
RH 11,699 -238 $3,400
     RH11,699-238$3,400
KONTOOR BRANDS INC 54,461 -2,912 $3,393
     KTB54,461-2,912$3,393
CERIDIAN HCM HLDG INC 50,631 -14,725 $3,387
     CDAY50,631-14,725$3,387
KYNDRYL HLDGS INC 163,338 -11,482 $3,387
     KD163,338-11,482$3,387
ARCBEST CORP 28,193 -153 $3,381
     ARCB28,193-153$3,381
HUNTINGTON INGALLS INDS INC 13,038 +440 $3,373
     HII13,038+440$3,373
FIRSTSERVICE CORP NEW 20,877 +417 $3,369
     FSV20,877+417$3,369
CHOICE HOTELS INTL INC 29,805 +638 $3,362
     CHH29,805+638$3,362
STERICYCLE INC 67,742 +11,274 $3,350
     SRCL67,742+11,274$3,350
EXPONENT INC 38,135 +1,071 $3,349
     EXPO38,135+1,071$3,349
SITEONE LANDSCAPE SUPPLY INC 20,691 +1,638 $3,341
     SITE20,691+1,638$3,341
INTEGER HLDGS CORP 33,707 -343 $3,333
     ITGR33,707-343$3,333
UGI CORP NEW 135,250 -17,326 $3,324
     UGI135,250-17,326$3,324
CHESAPEAKE UTILS CORP 31,493 +4,479 $3,317
     CPK31,493+4,479$3,317
GAMESTOP CORP NEW 189,353 -6,162 $3,312
     GME189,353-6,162$3,312
ARCOSA INC 40,073 -2,963 $3,308
     ACA40,073-2,963$3,308
AVIENT CORPORATION 79,746 -3,357 $3,305
     AVNT79,746-3,357$3,305
VALMONT INDS INC 14,123 +1,535 $3,295
     VMI14,123+1,535$3,295
CONMED CORP 29,804 -1,013 $3,258
     CNMD29,804-1,013$3,258
STRIDE INC 54,878 -2,418 $3,249
     LRN54,878-2,418$3,249
TRINET GROUP INC 27,448 +2,768 $3,243
     TNET27,448+2,768$3,243
PENSKE AUTOMOTIVE GRP INC 20,183 -23 $3,226
     PAG20,183-23$3,226
KULICKE & SOFFA INDS INC 59,068 +655 $3,223
     KLIC59,068+655$3,223
CHART INDS INC 23,541 -335 $3,209
     GTLS23,541-335$3,209
HEICO CORP NEW      $3,202
     HEI.A12,428+800$1,760
     HEI8,109-326$1,442
PROGRESS SOFTWARE CORP 59,082 +2,408 $3,199
     PRGS59,082+2,408$3,199
OLLIES BARGAIN OUTLET HLDGS 42,223 +6,210 $3,198
     OLLI42,223+6,210$3,198
VONTIER CORPORATION 92,597 +1,806 $3,195
     VNT92,597+1,806$3,195
HUB GROUP INC 34,710 -1,794 $3,191
     HUBG34,710-1,794$3,191
VISTEON CORP 25,522 +768 $3,179
     VC25,522+768$3,179
AZENTA INC 48,900 -612 $3,176
     AZTA48,900-612$3,176
CABOT CORP 38,019 +1,976 $3,172
     CBT38,019+1,976$3,172
STRATEGIC ED INC 34,506 -1,835 $3,170
     STRA34,506-1,835$3,170
AMKOR TECHNOLOGY INC 95,126 +6,705 $3,157
     AMKR95,126+6,705$3,157
TERADATA CORP DEL 72,659 -1,473 $3,154
     TDC72,659-1,473$3,154
ABM INDS INC 70,427 -3,323 $3,150
     ABM70,427-3,323$3,150
MOELIS & CO 56,183 -11,701 $3,150
     MC56,183-11,701$3,150
WD 40 CO 13,196 -537 $3,149
     WDFC13,196-537$3,149
MAIN STR CAP CORP 73,257 -7,567 $3,146
     MAIN73,257-7,567$3,146
FLUOR CORP NEW 79,767 +9,604 $3,125
     FLR79,767+9,604$3,125
PACIFIC PREMIER BANCORP 107,534 -3,740 $3,125
     PPBI107,534-3,740$3,125
ISHARES TR (FXI) 130,741 -4,516 $3,122
     FXI130,741-4,516$3,122
MINERALS TECHNOLOGIES INC 43,689 -636 $3,106
     MTX43,689-636$3,106
INTERDIGITAL INC 28,557 -1,622 $3,093
     IDCC28,557-1,622$3,093
TD SYNNEX CORPORATION 28,696 -680 $3,082
     SNX28,696-680$3,082
EQUITRANS MIDSTREAM CORP 301,886 +15,643 $3,070
     ETRN301,886+15,643$3,070
FIRST FINL BANKSHARES INC (FFIN) 101,578 -1,760 $3,070
     FFIN101,578-1,760$3,070
PBF ENERGY INC 69,855 -951 $3,065
     PBF69,855-951$3,065
ZILLOW GROUP INC 53,279 +6,156 $3,064
     Z53,279+6,156$3,064
MATTEL INC 161,878 -7,600 $3,055
     MAT161,878-7,600$3,055
SENSIENT TECHNOLOGIES CORP 46,355 -385 $3,053
     SXT46,355-385$3,053
NATIONAL HEALTH INVS INC 54,737 +2,075 $3,052
     NHI54,737+2,075$3,052
RALPH LAUREN CORP 21,223 +1,687 $3,050
     RL21,223+1,687$3,050
AMN HEALTHCARE SVCS INC 40,780 -1,930 $3,045
     AMN40,780-1,930$3,045
AMERICAN ASSETS TR INC 135,557 +5,958 $3,043
     AAT135,557+5,958$3,043
VERRA MOBILITY CORP 132,063 -9,543 $3,040
     VRRM132,063-9,543$3,040
TIMKEN CO 37,965 -5,977 $3,039
     TKR37,965-5,977$3,039
TECHNIPFMC PLC 151,835 +10,829 $3,037
     FTI151,835+10,829$3,037
MSC INDL DIRECT INC 30,032 -3,412 $3,036
     MSM30,032-3,412$3,036
DOMO INC 294,312 -11,332 $3,029
     DOMO294,312-11,332$3,029
JBG SMITH PPTYS 178,204 -38,713 $3,027
     JBGS178,204-38,713$3,027
NEOGEN CORP 150,417 +27 $3,017
     NEOG150,417+27$3,017
HANOVER INS GROUP INC 24,891 -3,108 $3,016
     THG24,891-3,108$3,016
ZIONS BANCORPORATION N A 69,035 +8,285 $3,014
     ZION69,035+8,285$3,014
CAESARS ENTERTAINMENT INC NE 64,311 -35,382 $3,005
     CZR64,311-35,382$3,005
BELDEN INC 38,719 -11,769 $2,989
     BDC38,719-11,769$2,989
WESTERN ALLIANCE BANCORP 45,582 +8,617 $2,985
     WAL45,582+8,617$2,985
SABRA HEALTH CARE REIT INC 209,839 -2,884 $2,983
     SBRA209,839-2,884$2,983
CORCEPT THERAPEUTICS INC 91,969 -1,179 $2,982
     CORT91,969-1,179$2,982
SPECTRUM BRANDS HLDGS INC NE 37,600 +25,741 $2,981
     SPB37,600+25,741$2,981
CARPENTER TECHNOLOGY CORP 42,136 -1,653 $2,978
     CRS42,136-1,653$2,978
ARCHROCK INC 193,229 -20,647 $2,967
     AROC193,229-20,647$2,967
BLACKBAUD INC 34,245 +1,118 $2,961
     BLKB34,245+1,118$2,961
UNITED BANKSHARES INC WEST V (UBSI) 78,882 -5,200 $2,959
     UBSI78,882-5,200$2,959
DIODES INC 36,699 -2,777 $2,953
     DIOD36,699-2,777$2,953
UNITED AIRLS HLDGS INC 71,691 +1,843 $2,948
     UAL71,691+1,843$2,948
XENIA HOTELS & RESORTS INC 216,994 +1,300 $2,948
     XHR216,994+1,300$2,948
CHEMOURS CO 93,493 -13,806 $2,945
     CC93,493-13,806$2,945
MADDEN STEVEN LTD 69,578 +575 $2,918
     SHOO69,578+575$2,918
BRIGHTHOUSE FINL INC 55,144 +763 $2,910
     BHF55,144+763$2,910
PHYSICIANS RLTY TR 219,343 +6,014 $2,910
     DOC219,343+6,014$2,910
GUIDEWIRE SOFTWARE INC 26,834 +2,455 $2,908
     GWRE26,834+2,455$2,908
MATSON INC 26,528 -1,619 $2,903
     MATX26,528-1,619$2,903
FIRST BANCORP P R 176,149 -12,153 $2,892
     FBP176,149-12,153$2,892
FOOT LOCKER INC 93,066 -2,123 $2,892
     FL93,066-2,123$2,892
SIMPLY GOOD FOODS CO 73,164 -36,497 $2,892
     SMPL73,164-36,497$2,892
COGENT COMMUNICATIONS HLDGS 38,017 -3,366 $2,889
     CCOI38,017-3,366$2,889
ENCORE WIRE CORP 13,526 -4,623 $2,887
     WIRE13,526-4,623$2,887
ENVISTA HOLDINGS CORPORATION 119,965 +5,336 $2,880
     NVST119,965+5,336$2,880
HILLENBRAND INC 59,955 -3,190 $2,864
     HI59,955-3,190$2,864
IDACORP INC 29,012 -264 $2,849
     IDA29,012-264$2,849
FIRST HAWAIIAN INC 124,763 -7,930 $2,848
     FHB124,763-7,930$2,848
OTTER TAIL CORP 33,547 -2,228 $2,848
     OTTR33,547-2,228$2,848
IRIDIUM COMMUNICATIONS INC 69,106 -945 $2,841
     IRDM69,106-945$2,841
MACOM TECH SOLUTIONS HLDGS I 30,573 +74 $2,839
     MTSI30,573+74$2,839
QUAKER HOUGHTON 13,318 -857 $2,836
     KWR13,318-857$2,836
POWER INTEGRATIONS INC 34,411 +2,143 $2,823
     POWI34,411+2,143$2,823
ATLANTIC UN BANKSHARES CORP (AUB) 77,190 -3,839 $2,815
     AUB77,190-3,839$2,815
PREMIER INC 125,975 +4,067 $2,810
     PINC125,975+4,067$2,810
EMPIRE ST RLTY TR INC 290,826 +13,875 $2,807
     ESRT290,826+13,875$2,807
CONCENTRIX CORP 28,599 +3,410 $2,806
     CNXC28,599+3,410$2,806
UNIFIRST CORP MASS 15,333 -546 $2,797
     UNF15,333-546$2,797
EVERTEC INC 68,406 -540 $2,793
     EVTC68,406-540$2,793
SERVICE PPTYS TR 327,202 +4,009 $2,790
     SVC327,202+4,009$2,790
CBIZ INC 44,777 +4,234 $2,785
     CBZ44,777+4,234$2,785
ARTISAN PARTNERS ASSET MGMT 63,053 -5,431 $2,781
     APAM63,053-5,431$2,781
LCI INDS 22,141 -1,129 $2,778
     LCII22,141-1,129$2,778
CARGURUS INC 114,639 +14,954 $2,760
     CARG114,639+14,954$2,760
NORTHERN OIL & GAS INC 74,392 +2,616 $2,754
     NOG74,392+2,616$2,754
WARRIOR MET COAL INC 45,214 -3,651 $2,752
     HCC45,214-3,651$2,752
EDGEWELL PERS CARE CO 75,364 +8,059 $2,750
     EPC75,364+8,059$2,750
AMERIS BANCORP 51,808 -4,674 $2,746
     ABCB51,808-4,674$2,746
VALLEY NATL BANCORP 252,803 -8,847 $2,745
     VLY252,803-8,847$2,745
BIO RAD LABS INC 8,528 +400 $2,742
     BIO8,528+400$2,742
UMB FINL CORP 32,847 -480 $2,738
     UMBF32,847-480$2,738
GMS INC 33,182 -2,362 $2,732
     GMS33,182-2,362$2,732
DYCOM INDS INC 23,722 -1,695 $2,728
     DY23,722-1,695$2,728
GETTY RLTY CORP NEW 93,469 +3,547 $2,728
     GTY93,469+3,547$2,728
PURE STORAGE INC 76,737 +6,873 $2,719
     PSTG76,737+6,873$2,719
POST HLDGS INC 30,743 -910 $2,703
     POST30,743-910$2,703
SCOTTS MIRACLE GRO CO 42,548 -4,879 $2,703
     SMG42,548-4,879$2,703
YELP INC 56,844 -3,612 $2,688
     YELP56,844-3,612$2,688
HOME BANCSHARES INC (HOMB) 106,062 +752 $2,682
     HOMB106,062+752$2,682
AEROVIRONMENT INC 21,269 -909 $2,679
     AVAV21,269-909$2,679
WYNN RESORTS LTD 29,469 -792 $2,676
     WYNN29,469-792$2,676
GLACIER BANCORP INC NEW 64,808 -4,250 $2,674
     GBCI64,808-4,250$2,674
NATIONAL FUEL GAS CO 53,216 -566 $2,666
     NFG53,216-566$2,666
ENPRO INC 17,015 -790 $2,665
     NPO17,015-790$2,665
BANK HAWAII CORP 36,790 -2,268 $2,664
     BOH36,790-2,268$2,664
AMEDISYS INC 27,868 -118,344 $2,640
     AMED27,868-118,344$2,640
ACI WORLDWIDE INC 86,177 +20,649 $2,635
     ACIW86,177+20,649$2,635
BEACON ROOFING SUPPLY INC 30,455 +2,101 $2,634
     BECN30,455+2,101$2,634
TPG INC 61,356 -2,998 $2,633
     TPG61,356-2,998$2,633
BOSTON BEER INC 7,613 -146 $2,627
     SAM7,613-146$2,627
ALARM COM HLDGS INC 40,641 -6,534 $2,625
     ALRM40,641-6,534$2,625
LUMENTUM HLDGS INC 50,109 -2,575 $2,621
     LITE50,109-2,575$2,621
COCA COLA CONS INC 2,823 -115 $2,617
     COKE2,823-115$2,617
SERVISFIRST BANCSHARES INC (SFBS) 39,234 -3,564 $2,608
     SFBS39,234-3,564$2,608
ENOVA INTL INC 47,253 -707 $2,604
     ENVA47,253-707$2,604
PAN AMERN SILVER CORP 159,975 +10,602 $2,602
     PAAS159,975+10,602$2,602
GOODYEAR TIRE & RUBR CO 181,809 -11,499 $2,598
     GT181,809-11,499$2,598
ENERGIZER HLDGS INC NEW 81,991 +6,353 $2,593
     ENR81,991+6,353$2,593
MASTEC INC 34,223 -1,385 $2,589
     MTZ34,223-1,385$2,589
ALBANY INTL CORP 26,320 -1,726 $2,583
     AIN26,320-1,726$2,583
BRADY CORP 44,058 +4,282 $2,581
     BRC44,058+4,282$2,581
CATHAY GEN BANCORP 57,931 -2,937 $2,580
     CATY57,931-2,937$2,580
EQUITY COMWLTH 134,439 +9,068 $2,575
     EQC134,439+9,068$2,575
BANCORP INC DEL 66,949 -12,773 $2,574
     TBBK66,949-12,773$2,574
TEGNA INC 168,505 -2,306 $2,570
     TGNA168,505-2,306$2,570
SYNAPTICS INC 22,539 -485 $2,567
     SYNA22,539-485$2,567
MADISON SQUARE GRDN SPRT COR 14,066 -131 $2,554
     MSGS14,066-131$2,554
HUDSON PAC PPTYS INC 274,080 +38,054 $2,546
     HPP274,080+38,054$2,546
COMMVAULT SYS INC 31,854 -828 $2,538
     CVLT31,854-828$2,538
ELME COMMUNITIES 174,239 +2,139 $2,538
     ELME174,239+2,139$2,538
DORMAN PRODS INC 30,481 +429 $2,533
     DORM30,481+429$2,533
ISHARES TR (GOVT) 110,750 -6,008 $2,530
     GOVT110,750-6,008$2,530
CNO FINL GROUP INC 90,837 -685 $2,527
     CNO90,837-685$2,527
WHIRLPOOL CORP 20,790 -21,337 $2,522
     WHR20,790-21,337$2,522
SANMINA CORPORATION 49,169 -17,275 $2,521
     SANM49,169-17,275$2,521
ARROWHEAD PHARMACEUTICALS IN 82,506 -2,047 $2,519
     ARWR82,506-2,047$2,519
CUSTOMERS BANCORP INC 43,827 -2,728 $2,514
     CUBI43,827-2,728$2,514
PLEXUS CORP 23,252 -1,342 $2,505
     PLXS23,252-1,342$2,505
INTER PARFUMS INC 17,369 +426 $2,499
     IPAR17,369+426$2,499
VERIS RESIDENTIAL INC 158,900 +10,307 $2,494
     VRE158,900+10,307$2,494
PORTLAND GEN ELEC CO 57,601 -1,405 $2,493
     POR57,601-1,405$2,493
EASTERLY GOVT PPTYS INC 185,312 +7,037 $2,486
     DEA185,312+7,037$2,486
V F CORP 132,812 +8,303 $2,486
     VFC132,812+8,303$2,486
LANCASTER COLONY CORP 14,943 +959 $2,483
     LANC14,943+959$2,483
EXTREME NETWORKS 139,943 -27,632 $2,465
     EXTR139,943-27,632$2,465
TRIPADVISOR INC 114,473 -9,117 $2,459
     TRIP114,473-9,117$2,459
BOYD GAMING CORP 39,275 -2,644 $2,455
     BYD39,275-2,644$2,455
NAVIENT CORPORATION 132,457 -6,969 $2,455
     NAVI132,457-6,969$2,455
ZIFF DAVIS INC 36,587 -137 $2,452
     ZD36,587-137$2,452
ESCO TECHNOLOGIES INC 20,944 -1,680 $2,451
     ESE20,944-1,680$2,451
COMMUNITY BK SYS INC 47,036 +917 $2,448
     CBU47,036+917$2,448
ALGONQUIN PWR UTILS CORP 387,633 +4,260 $2,441
     AQN387,633+4,260$2,441
BRANDYWINE RLTY TR 452,968 +12,006 $2,440
     BDN452,968+12,006$2,440
ISHARES TR (EFA) 32,561 +169 $2,438
     EFA32,561+169$2,438
PRESTIGE CONSMR HEALTHCARE I 39,860 -3,064 $2,438
     PBH39,860-3,064$2,438
PROGYNY INC 65,549 +1,503 $2,432
     PGNY65,549+1,503$2,432
JD.COM INC 84,109 -1,543,625 $2,430
     JD84,109-1,543,625$2,430
GRIFFON CORP 39,818 +4,092 $2,424
     GFF39,818+4,092$2,424
ST JOE CO 40,225 -1,365 $2,416
     JOE40,225-1,365$2,416
SAREPTA THERAPEUTICS INC 25,048 +2,467 $2,400
     SRPT25,048+2,467$2,400
BOOT BARN HLDGS INC 31,213 -672 $2,392
     BOOT31,213-672$2,392
BANKUNITED INC 73,861 -2,865 $2,391
     BKU73,861-2,865$2,391
TANDEM DIABETES CARE INC 80,880 +1,473 $2,385
     TNDM80,880+1,473$2,385
CORVEL CORP 9,655 -499 $2,380
     CRVL9,655-499$2,380
LANTHEUS HLDGS INC 38,382 -213 $2,377
     LNTH38,382-213$2,377
NMI HLDGS INC 80,147 -1,833 $2,375
     NMIH80,147-1,833$2,375
DANA INC 162,967 -4,392 $2,374
     DAN162,967-4,392$2,374
CENTURY CMNTYS INC 26,009 -268 $2,367
     CCS26,009-268$2,367
ASHLAND INC 28,082 -1,154 $2,365
     ASH28,082-1,154$2,365
INDEPENDENT BK CORP MASS 35,907 -2,413 $2,361
     INDB35,907-2,413$2,361
TOPGOLF CALLAWAY BRANDS CORP 165,324 +29,807 $2,361
     MODG165,324+29,807$2,361
COMPANIA DE MINAS BUENAVENTU 154,708 -154,708 $2,358
     BVN154,708-154,708$2,358
HANCOCK WHITNEY CORPORATION 48,438 -1,521 $2,352
     HWC48,438-1,521$2,352
TRIUMPH FINANCIAL INC 29,328 -3,150 $2,344
     TFIN29,328-3,150$2,344
SCHRODINGER INC 65,585 +1,017 $2,341
     SDGR65,585+1,017$2,341
TEREX CORP NEW 40,709 -1,700 $2,335
     TEX40,709-1,700$2,335
ALIBABA GROUP HLDG LTD 30,086 -22,076 $2,332
     BABA30,086-22,076$2,332
MDU RES GROUP INC 117,882 -17,572 $2,331
     MDU117,882-17,572$2,331
ARBOR REALTY TRUST INC 153,801 -5,630 $2,330
     ABR153,801-5,630$2,330
AVISTA CORP 65,172 -5,917 $2,326
     AVA65,172-5,917$2,326
ROGERS CORP 17,669 -288 $2,326
     ROG17,669-288$2,326
BRINKS CO 26,450 -1,583 $2,324
     BCO26,450-1,583$2,324
INGEVITY CORP 49,332 -4,085 $2,320
     NGVT49,332-4,085$2,320
PIPER SANDLER COMPANIES 13,257 -60 $2,316
     PIPR13,257-60$2,316
WSFS FINL CORP 50,395 -1,819 $2,313
     WSFS50,395-1,819$2,313
RLJ LODGING TR 197,706 +10,052 $2,312
     RLJ197,706+10,052$2,312
SHAKE SHACK INC 31,124 -753 $2,305
     SHAK31,124-753$2,305
AXOS FINANCIAL INC 42,138 -3,267 $2,299
     AX42,138-3,267$2,299
FULTON FINL CORP PA 139,217 -11,905 $2,290
     FULT139,217-11,905$2,290
KIRBY CORP 29,191 -1,081 $2,290
     KEX29,191-1,081$2,290
GOLUB CAP BDC INC 152,494 -15,362 $2,288
     GBDC152,494-15,362$2,288
CVB FINL CORP 113,113 -1,941 $2,283
     CVBF113,113-1,941$2,283
MATERION CORP 17,556 -345 $2,283
     MTRN17,556-345$2,283
SONOS INC 133,588 -12,578 $2,283
     SONO133,588-12,578$2,283
ASSOCIATED BANC CORP 106,854 -6,551 $2,280
     ASB106,854-6,551$2,280
KEMPER CORP 46,801 -695 $2,272
     KMPR46,801-695$2,272
ISHARES TR (ILF) 78,504 +4,028 $2,267
     ILF78,504+4,028$2,267
CARTERS INC 30,275 -1,186 $2,261
     CRI30,275-1,186$2,261
FIRST FINL BANCORP OH 95,065 -6,411 $2,255
     FFBC95,065-6,411$2,255
SILGAN HLDGS INC 49,693 -2,367 $2,246
     SLGN49,693-2,367$2,246
LGI HOMES INC 16,825 -971 $2,239
     LGIH16,825-971$2,239
INVESCO LTD 125,842 -123,387 $2,237
     IVZ125,842-123,387$2,237
ELANCO ANIMAL HEALTH INC 150,887 -17,671 $2,234
     ELAN150,887-17,671$2,234
SELECT MED HLDGS CORP 95,063 -2,243 $2,231
     SEM95,063-2,243$2,231
LIBERTY ENERGY INC 123,100 -10,649 $2,229
     LBRT123,100-10,649$2,229
LEGGETT & PLATT INC 85,292 -1,790 $2,228
     LEG85,292-1,790$2,228
POTLATCHDELTIC CORPORATION 45,300 -5,552 $2,222
     PCH45,300-5,552$2,222
PENN ENTERTAINMENT INC 85,285 -4,574 $2,216
     PENN85,285-4,574$2,216
NEOGENOMICS INC 136,661 -11,371 $2,206
     NEO136,661-11,371$2,206
AVIS BUDGET GROUP 12,459 -1,360 $2,204
     CAR12,459-1,360$2,204
CAVCO INDS INC DEL 6,338 -616 $2,195
     CVCO6,338-616$2,195
ELEMENT SOLUTIONS INC 95,330 +10,773 $2,192
     ESI95,330+10,773$2,192
CATALYST PHARMACEUTICALS INC 130,646 -8,488 $2,187
     CPRX130,646-8,488$2,187
STEPAN CO 23,181 -828 $2,186
     SCL23,181-828$2,186
BANCFIRST CORP 22,480 +279 $2,180
     BANF22,480+279$2,180
BLOOMIN BRANDS INC 77,512 +744 $2,178
     BLMN77,512+744$2,178
GRUPO AEROPORTUARIO DEL CENT 25,770 -210,471 $2,167
     OMAB25,770-210,471$2,167
SEACOAST BKG CORP FLA 76,137 +2,177 $2,164
     SBCF76,137+2,177$2,164
J & J SNACK FOODS CORP 12,927 -1,162 $2,158
     JJSF12,927-1,162$2,158
JOYY INC 54,307 -822,464 $2,147
     YY54,307-822,464$2,147
INTEGRA LIFESCIENCES HLDGS C 49,211 -3,408 $2,138
     IART49,211-3,408$2,138
NORTHWEST NAT HLDG CO 55,082 -1,553 $2,138
     NWN55,082-1,553$2,138
MILLERKNOLL INC 80,170 -8,051 $2,134
     MLKN80,170-8,051$2,134
SIMMONS 1ST NATL CORP 107,663 -7,526 $2,134
     SFNC107,663-7,526$2,134
AGNC INVT CORP 218,204 +22,685 $2,127
     AGNC218,204+22,685$2,127
VIAVI SOLUTIONS INC 211,233 -7,307 $2,126
     VIAV211,233-7,307$2,126
ENLINK MIDSTREAM LLC 175,789 -859 $2,125
     ENLC175,789-859$2,125
URBAN OUTFITTERS INC 59,630 -329 $2,124
     URBN59,630-329$2,124
LINDSAY CORP 16,420 +543 $2,114
     LNN16,420+543$2,114
RADNET INC 60,047 -902 $2,083
     RDNT60,047-902$2,083
NATERA INC 33,381 +2,054 $2,077
     NTRA33,381+2,054$2,077
BLACK HILLS CORP 38,483 -1,799 $2,075
     BKH38,483-1,799$2,075
THE ODP CORP 36,882 -2,222 $2,072
     ODP36,882-2,222$2,072
LIVERAMP HLDGS INC 54,732 -1,333 $2,071
     RAMP54,732-1,333$2,071
HAWKINS INC 29,502 +1,038 $2,068
     HWKN29,502+1,038$2,068
WAFD INC 62,789 +315 $2,066
     WAFD62,789+315$2,066
WILLSCOT MOBIL MINI HLDNG CO 46,618 +26,227 $2,062
     WSC46,618+26,227$2,062
CAE INC 95,466 -16 $2,053
     CAE95,466-16$2,053
IONIS PHARMACEUTICALS INC 40,781 +3,980 $2,048
     IONS40,781+3,980$2,048
PAPA JOHNS INTL INC 26,803 -950 $2,042
     PZZA26,803-950$2,042
VEECO INSTRS INC DEL 65,794 -25 $2,034
     VECO65,794-25$2,034
HERCULES CAPITAL INC 122,651 -12,377 $2,032
     HTGC122,651-12,377$2,032
GOOSEHEAD INS INC 26,876 -177 $2,031
     GSHD26,876-177$2,031
CAL MAINE FOODS INC 35,313 -5,353 $2,025
     CALM35,313-5,353$2,025
BANNER CORP 37,822 +1,316 $2,020
     BANR37,822+1,316$2,020
WERNER ENTERPRISES INC 47,603 +4,129 $2,013
     WERN47,603+4,129$2,013
DYNAVAX TECHNOLOGIES CORP 144,331 +35,889 $2,012
     DVAX144,331+35,889$2,012
INTERNATIONAL BANCSHARES COR (IBOC) 37,088 +33 $2,011
     IBOC37,088+33$2,011
GFL ENVIRONMENTAL INC 58,467 +3,083 $2,009
     GFL58,467+3,083$2,009
PERDOCEO ED CORP 114,714 -20,994 $2,006
     PRDO114,714-20,994$2,006
ICU MED INC 20,162 +5,041 $2,005
     ICUI20,162+5,041$2,005
ROKU INC 21,972 -16,592 $2,003
     ROKU21,972-16,592$2,003
SOCIEDAD QUIMICA Y MINERA DE 33,215 -11,625 $2,000
     SQM33,215-11,625$2,000
PENNYMAC FINL SVCS INC NEW 22,744 +2,653 $1,999
     PFSI22,744+2,653$1,999
COHU INC 56,548 -1,474 $1,996
     COHU56,548-1,474$1,996
GROCERY OUTLET HLDG CORP 73,970 +1,155 $1,988
     GO73,970+1,155$1,988
CONSOL ENERGY INC NEW 19,698 -2,656 $1,979
     CEIX19,698-2,656$1,979
DESCARTES SYS GROUP INC 23,669 -13,753 $1,976
     DSGX23,669-13,753$1,976
CELESTICA INC 67,806 -6,729 $1,975
     CLS67,806-6,729$1,975
CALIX INC 44,984 -32 $1,961
     CALX44,984-32$1,961
CANNAE HLDGS INC 100,918 -2,018 $1,955
     CNNE100,918-2,018$1,955
MYR GROUP INC DEL 13,529 -860 $1,955
     MYRG13,529-860$1,955
OFG BANCORP 52,017 -1,587 $1,945
     OFG52,017-1,587$1,945
CNX RES CORP 97,087 -5,164 $1,939
     CNX97,087-5,164$1,939
PINNACLE WEST CAP CORP 27,059 +2,418 $1,937
     PNW27,059+2,418$1,937
COLUMBIA SPORTSWEAR CO 24,294 +50 $1,931
     COLM24,294+50$1,931
ENVESTNET INC 39,021 +11,789 $1,930
     ENV39,021+11,789$1,930
PATTERSON COS INC 67,980 +1,316 $1,930
     PDCO67,980+1,316$1,930
VERICEL CORP 54,150 -1,925 $1,925
     VCEL54,150-1,925$1,925
PGT INNOVATIONS INC 47,260 -4,535 $1,922
     PGTI47,260-4,535$1,922
TRINITY INDS INC 72,307 -3,684 $1,920
     TRN72,307-3,684$1,920
DONNELLEY FINL SOLUTIONS INC 30,711 -242 $1,910
     DFIN30,711-242$1,910
AMPHASTAR PHARMACEUTICALS IN 30,893 -2,424 $1,909
     AMPH30,893-2,424$1,909
OSI SYSTEMS INC 14,818 +1,232 $1,909
     OSIS14,818+1,232$1,909
ICF INTL INC 14,265 -4,287 $1,901
     ICFI14,265-4,287$1,901
PERFICIENT INC 28,831 -1,207 $1,893
     PRFT28,831-1,207$1,893
BRP INC 26,506 -3,687 $1,890
     DOOO26,506-3,687$1,890
MATTHEWS INTL CORP 51,819 +761 $1,890
     MATW51,819+761$1,890
GRANITE CONSTR INC 36,880 -2,415 $1,874
     GVA36,880-2,415$1,874
NORWEGIAN CRUISE LINE HLDG L 93,816 +5,339 $1,874
     NCLH93,816+5,339$1,874
CABLE ONE INC 3,374 +327 $1,870
     CABO3,374+327$1,870
CENTRAL GARDEN & PET CO 42,528 -3,875 $1,866
     CENTA42,528-3,875$1,866
IPG PHOTONICS CORP 17,212 -26 $1,866
     IPGP17,212-26$1,866
HNI CORP 44,645 -2,584 $1,865
     HNI44,645-2,584$1,865
INARI MED INC 28,725 +522 $1,863
     NARI28,725+522$1,863
PARAMOUNT GROUP INC 361,850 +41,195 $1,863
     PGRE361,850+41,195$1,863
AAR CORP 29,861 -482 $1,862
     AIR29,861-482$1,862
FORWARD AIR CORP 29,635 -321 $1,858
     FWRD29,635-321$1,858
GREIF INC      $1,858
     GEF20,558-1,194$1,344
     GEF.B7,827+930$514
OMNICELL COM 49,561 -288 $1,858
     OMCL49,561-288$1,858
MYRIAD GENETICS INC 96,375 +1,276 $1,840
     MYGN96,375+1,276$1,840
DOXIMITY INC 65,602 -3,966 $1,837
     DOCS65,602-3,966$1,837
PATHWARD FINANCIAL INC 34,781 -1,156 $1,836
     CASH34,781-1,156$1,836
GENTHERM INC 35,155 -642 $1,836
     THRM35,155-642$1,836
OCEANEERING INTL INC 86,051 -2,187 $1,828
     OII86,051-2,187$1,828
PJT PARTNERS INC 17,797 +15,603 $1,811
     PJT17,797+15,603$1,811
VISHAY INTERTECHNOLOGY INC 75,731 -2,744 $1,811
     VSH75,731-2,744$1,811
NBT BANCORP INC 43,130 +868 $1,805
     NBTB43,130+868$1,805
CSG SYS INTL INC 33,891 -3,260 $1,799
     CSGS33,891-3,260$1,799
PRICESMART INC 23,614 -1,687 $1,787
     PSMT23,614-1,687$1,787
WINNEBAGO INDS INC 24,537 -6,437 $1,787
     WGO24,537-6,437$1,787
HELIX ENERGY SOLUTIONS GRP I 174,205 -6,185 $1,785
     HLX174,205-6,185$1,785
NV5 GLOBAL INC 16,110 -1,154 $1,783
     NVEE16,110-1,154$1,783
ALAMO GROUP INC 8,479 -715 $1,781
     ALG8,479-715$1,781
SSR MINING IN 165,357 +38,710 $1,771
     SSRM165,357+38,710$1,771
BREAD FINANCIAL HOLDINGS INC 53,580 -3,924 $1,761
     BFH53,580-3,924$1,761
UPBOUND GROUP INC 51,834 -4,280 $1,757
     UPBD51,834-4,280$1,757
EPLUS INC 21,982 -1,705 $1,755
     PLUS21,982-1,705$1,755
TALOS ENERGY INC 123,575 +34,729 $1,754
     TALO123,575+34,729$1,754
TEXAS CAP BANCSHARES INC (TCBI) 27,079 -1,590 $1,748
     TCBI27,079-1,590$1,748
RENASANT CORP 51,842 -2,106 $1,744
     RNST51,842-2,106$1,744
OPENLANE INC 118,146 -5,345 $1,743
     KAR118,146-5,345$1,743
SKYWEST INC 32,989 -1,994 $1,722
     SKYW32,989-1,994$1,722
CINEMARK HLDGS INC 122,296 -987 $1,721
     CNK122,296-987$1,721
MARRIOTT VACATIONS WORLDWIDE 20,303 +334 $1,721
     VAC20,303+334$1,721
TREEHOUSE FOODS INC 41,455 -5,335 $1,716
     THS41,455-5,335$1,716
PNM RES INC 41,282 -3,457 $1,715
     PNM41,282-3,457$1,715
B2GOLD CORP 544,359 +24,663 $1,714
     BTG544,359+24,663$1,714
IQIYI INC 350,789 -2,455,523 $1,714
     IQ350,789-2,455,523$1,714
FUTU HLDGS LTD 31,406 +1,700 $1,707
     FUTU31,406+1,700$1,707
SITIME CORP 13,994 -541 $1,704
     SITM13,994-541$1,704
APOLLO MED HLDGS INC 44,577 -3,213 $1,698
     AMEH44,577-3,213$1,698
AIR LEASE CORP 40,648 +6,383 $1,695
     AL40,648+6,383$1,695
PAR PAC HOLDINGS INC 46,619 -3,287 $1,694
     PARR46,619-3,287$1,694
TELEFONICA BRASIL SA 155,370 +61,164 $1,688
     VIV155,370+61,164$1,688
CENTERSPACE 29,001 -758 $1,686
     CSR29,001-758$1,686
TELEPHONE & DATA SYS INC 91,803 -4,097 $1,681
     TDS91,803-4,097$1,681
IRONWOOD PHARMACEUTICALS INC 146,949 -102,098 $1,676
     IRWD146,949-102,098$1,676
KNOWLES CORP 93,408 +12,675 $1,668
     KN93,408+12,675$1,668
KENNAMETAL INC 64,582 -3,745 $1,664
     KMT64,582-3,745$1,664
WORLD KINECT CORPORATION 73,124 +73,124 $1,660
     WKC73,124+73,124$1,660
PATRICK INDS INC 16,546 -2,194 $1,659
     PATK16,546-2,194$1,659
NORDSTROM INC 89,624 +3,522 $1,648
     JWN89,624+3,522$1,648
NETSCOUT SYS INC 75,133 -931 $1,644
     NTCT75,133-931$1,644
HILTON GRAND VACATIONS INC 40,941 +814 $1,643
     HGV40,941+814$1,643
KENNEDY WILSON HOLDINGS INC 132,962 -16,538 $1,641
     KW132,962-16,538$1,641
ALLETE INC 26,665 -1,601 $1,632
     ALE26,665-1,601$1,632
PARK NATL CORP 12,228 -169 $1,624
     PRK12,228-169$1,624
KOSMOS ENERGY LTD 243,262 +200,584 $1,620
     KOS243,262+200,584$1,620
OWENS & MINOR INC NEW 83,933 +98 $1,616
     OMI83,933+98$1,616
NEXPOINT RESIDENTIAL TR INC 46,809 +1,610 $1,610
     NXRT46,809+1,610$1,610
FOX FACTORY HLDG CORP 23,813 -1,730 $1,605
     FOXF23,813-1,730$1,605
PHOTRONICS INC 51,142 UNCH $1,603
     PLAB51,142UNCH$1,603
SEMTECH CORP 73,233 -1,687 $1,601
     SMTC73,233-1,687$1,601
TENNANT CO 17,300 -561 $1,599
     TNC17,300-561$1,599
VIASAT INC 57,318 -3,225 $1,599
     VSAT57,318-3,225$1,599
PETROLEO BRASILEIRO SA PETRO      $1,598
     PBR.A105,285-127,485$1,598
XENCOR INC 75,215 -2,037 $1,593
     XNCR75,215-2,037$1,593
OUTFRONT MEDIA INC 113,944 -43,928 $1,589
     OUT113,944-43,928$1,589
TRICON RESIDENTIAL INC 175,505 +13,943 $1,589
     TCN175,505+13,943$1,589
STONEX GROUP INC 21,512 +5,513 $1,585
     SNEX21,512+5,513$1,585
10X GENOMICS INC 28,481 +1,548 $1,584
     TXG28,481+1,548$1,584
POPULAR INC 19,235 +5,388 $1,571
     BPOP19,235+5,388$1,571
INTERFACE INC 124,676 -33,492 $1,567
     TILE124,676-33,492$1,567
KAISER ALUMINUM CORP 22,062 +830 $1,565
     KALU22,062+830$1,565
SUMMIT HOTEL PPTYS INC 232,906 +23,098 $1,562
     INN232,906+23,098$1,562
ALEXANDER & BALDWIN INC NEW 82,125 -5,506 $1,558
     ALEX82,125-5,506$1,558
HUNTSMAN CORP 62,166 +33,307 $1,557
     HUN62,166+33,307$1,557
INDEPENDENT BANK GROUP INC 30,601 -1,421 $1,555
     IBTX30,601-1,421$1,555
LTC PPTYS INC 48,341 -2,170 $1,549
     LTC48,341-2,170$1,549
PROSPECT CAP CORP 260,671 -24,580 $1,549
     PSEC260,671-24,580$1,549
INSMED INC 50,198 +11,358 $1,546
     INSM50,198+11,358$1,546
BRINKER INTL INC 35,786 -1,707 $1,543
     EAT35,786-1,707$1,543
HARMONIC INC 118,552 -387 $1,542
     HLIT118,552-387$1,542
STAAR SURGICAL CO 49,467 -2,423 $1,540
     STAA49,467-2,423$1,540
CRACKER BARREL OLD CTRY STOR 19,863 -1,731 $1,528
     CBRL19,863-1,731$1,528
MERCURY SYS INC 41,863 -3,448 $1,528
     MRCY41,863-3,448$1,528
CARS COM INC 80,652 -3,702 $1,525
     CARS80,652-3,702$1,525
UNDER ARMOUR INC 182,120 +9,872 $1,516
     UA182,120+9,872$1,516
MINISO GROUP HLDG LTD 73,983 -295,932 $1,509
     MNSO73,983-295,932$1,509
STANDEX INTL CORP 9,503 -805 $1,506
     SXI9,503-805$1,506
LYFT INC 100,936 +8,664 $1,502
     LYFT100,936+8,664$1,502
ANDERSONS INC 25,968 -14,005 $1,492
     ANDE25,968-14,005$1,492
CARVANA CO 28,326 +2,923 $1,491
     CVNA28,326+2,923$1,491
ADDUS HOMECARE CORP 16,076 -37 $1,490
     ADUS16,076-37$1,490
PENNYMAC MTG INVT TR 99,891 -4,938 $1,489
     PMT99,891-4,938$1,489
DAVE & BUSTERS ENTMT INC 27,624 -3,345 $1,485
     PLAY27,624-3,345$1,485
WORTHINGTON ENTERPRISES INC 25,721 +5,309 $1,478
     WOR25,721+5,309$1,478
LIGAND PHARMACEUTICALS INC 20,664 +29 $1,471
     LGND20,664+29$1,471
ULTRA CLEAN HLDGS INC 43,009 -2,225 $1,466
     UCTT43,009-2,225$1,466
CALLON PETE CO DEL 44,793 -2,187 $1,450
     CPE44,793-2,187$1,450
BANC OF CALIFORNIA INC 107,713 +56,269 $1,445
     BANC107,713+56,269$1,445
GREEN BRICK PARTNERS INC 27,907 +37 $1,445
     GRBK27,907+37$1,445
NETSTREIT CORP 81,016 +8,518 $1,444
     NTST81,016+8,518$1,444
JACK IN THE BOX INC 17,696 -1,016 $1,442
     JACK17,696-1,016$1,442
WILEY JOHN & SONS INC 45,497 +2,804 $1,442
     WLY45,497+2,804$1,442
TRUSTMARK CORP 51,457 -552 $1,433
     TRMK51,457-552$1,433
HANESBRANDS INC 322,156 -31,148 $1,431
     HBI322,156-31,148$1,431
SIX FLAGS ENTMT CORP NEW 57,158 -4,835 $1,430
     SIX57,158-4,835$1,430
MAXLINEAR INC 60,069 -3,212 $1,425
     MXL60,069-3,212$1,425
CTS CORP 32,653 -1,637 $1,424
     CTS32,653-1,637$1,424
GOLDMAN SACHS BDC INC 97,663 -9,461 $1,421
     GSBD97,663-9,461$1,421
AMERICAN AXLE & MFG HLDGS IN 161,725 +9,984 $1,419
     AXL161,725+9,984$1,419
STEWART INFORMATION SVCS COR 24,050 -3,729 $1,413
     STC24,050-3,729$1,413
TRANSOCEAN LTD 223,740 +6,775 $1,412
     RIG223,740+6,775$1,412
VISTA OUTDOOR INC 47,568 -4,659 $1,406
     VSTO47,568-4,659$1,406
JETBLUE AWYS CORP 252,369 -23,256 $1,398
     JBLU252,369-23,256$1,398
CITY HLDG CO 12,691 -793 $1,395
     CHCO12,691-793$1,395
VIRTUS INVT PARTNERS INC 5,780 -696 $1,394
     VRTS5,780-696$1,394
CORECIVIC INC 96,066 -8,855 $1,393
     CXW96,066-8,855$1,393
AGILYSYS INC 16,433 -871 $1,390
     AGYS16,433-871$1,390
CIA ENERGETICA DE MINAS GERA 603,497 -1,054,001 $1,390
     CIG603,497-1,054,001$1,390
ENERPAC TOOL GROUP CORP 44,765 -4,168 $1,390
     EPAC44,765-4,168$1,390
COLLIERS INTL GROUP INC 10,981 +1,008 $1,383
     CIGI10,981+1,008$1,383
DAQO NEW ENERGY CORP 52,095 +100 $1,383
     DQ52,095+100$1,383
OXFORD INDS INC 13,817 -833 $1,379
     OXM13,817-833$1,379
CHEESECAKE FACTORY INC 39,347 -2,054 $1,377
     CAKE39,347-2,054$1,377
COMMUNITY HEALTHCARE TR INC 51,684 +5,068 $1,374
     CHCT51,684+5,068$1,374
ULTRAGENYX PHARMACEUTICAL IN 28,905 +1,409 $1,373
     RARE28,905+1,409$1,373
SPARTANNASH CO 59,622 +4,733 $1,364
     SPTN59,622+4,733$1,364
GREEN PLAINS INC 54,122 -9,039 $1,363
     GPRE54,122-9,039$1,363
G III APPAREL GROUP LTD 39,862 +5,417 $1,352
     GIII39,862+5,417$1,352
BARNES GROUP INC 41,323 -3,810 $1,347
     B41,323-3,810$1,347
TTM TECHNOLOGIES INC 85,010 -9,284 $1,343
     TTMI85,010-9,284$1,343
HILLTOP HOLDINGS INC 38,182 UNCH $1,342
     HTH38,182UNCH$1,342
NORTHWEST BANCSHARES INC MD (NWBI) 107,630 -11,975 $1,342
     NWBI107,630-11,975$1,342
LA Z BOY INC 36,332 -1,940 $1,340
     LZB36,332-1,940$1,340
BUCKLE INC 28,048 -2,953 $1,332
     BKE28,048-2,953$1,332
AMERICAN AIRLS GROUP INC 96,928 -2,265 $1,329
     AAL96,928-2,265$1,329
LAKELAND FINL CORP 20,421 -1,916 $1,329
     LKFN20,421-1,916$1,329
FIRST COMWLTH FINL CORP PA 86,068 -7,019 $1,326
     FCF86,068-7,019$1,326
SANDSTORM GOLD LTD 265,170 +57,668 $1,321
     SAND265,170+57,668$1,321
AMERICAN WOODMARK CORPORATIO 14,202 -563 $1,317
     AMWD14,202-563$1,317
AMICUS THERAPEUTICS INC 93,234 +5,122 $1,315
     FOLD93,234+5,122$1,315
PROVIDENT FINL SVCS INC 72,840 -4,560 $1,310
     PFS72,840-4,560$1,310
MARCUS & MILLICHAP INC 29,997 -4,183 $1,307
     MMI29,997-4,183$1,307
APARTMENT INVT & MGMT CO 166,286 +10,492 $1,301
     AIV166,286+10,492$1,301
NEXTERA ENERGY PARTNERS LP 42,921 +26,344 $1,297
     NEP42,921+26,344$1,297
READY CAPITAL CORP 125,945 -11,118 $1,289
     RC125,945-11,118$1,289
TRUPANION INC 42,230 -4,145 $1,285
     TRUP42,230-4,145$1,285
ANYWHERE REAL ESTATE INC 158,775 +1,894 $1,282
     HOUS158,775+1,894$1,282
SABRE CORP 289,863 -141,909 $1,275
     SABR289,863-141,909$1,275
ERO COPPER CORP 80,889 +9,241 $1,272
     ERO80,889+9,241$1,272
HORACE MANN EDUCATORS CORP N 38,456 -2,645 $1,255
     HMN38,456-2,645$1,255
SUPERNUS PHARMACEUTICALS INC 43,422 -2,749 $1,254
     SUPN43,422-2,749$1,254
ELLINGTON FINANCIAL INC 98,771 +6,888 $1,252
     EFC98,771+6,888$1,252
SALLY BEAUTY HLDGS INC 94,144 -4,921 $1,248
     SBH94,144-4,921$1,248
PACIRA BIOSCIENCES INC 36,774 -8,469 $1,240
     PCRX36,774-8,469$1,240
ACADIA PHARMACEUTICALS INC 39,766 +2,926 $1,237
     ACAD39,766+2,926$1,237
HOPE BANCORP INC 102,202 -8,450 $1,234
     HOPE102,202-8,450$1,234
ARLO TECHNOLOGIES INC 129,618 +1,827 $1,230
     ARLO129,618+1,827$1,230
UNIVERSAL CORP VA 18,247 -2,401 $1,228
     UVV18,247-2,401$1,228
MGP INGREDIENTS INC NEW 12,475 -696 $1,226
     MGPI12,475-696$1,226
WESTAMERICA BANCORPORATION 21,727 -1,725 $1,225
     WABC21,727-1,725$1,225
FIRST BANCORP N C 33,005 -3,645 $1,220
     FBNC33,005-3,645$1,220
FRESHPET INC 14,123 +1,259 $1,216
     FRPT14,123+1,259$1,216
APOLLO COML REAL EST FIN INC 103,584 -6,209 $1,213
     ARI103,584-6,209$1,213
MOHAWK INDS INC 11,743 -3,932 $1,212
     MHK11,743-3,932$1,212
NOW INC 107,252 -6,888 $1,210
     DNOW107,252-6,888$1,210
EVOLENT HEALTH INC 36,458 +3,505 $1,196
     EVH36,458+3,505$1,196
UNITIL CORP 22,723 -563 $1,192
     UTL22,723-563$1,192
VIAD CORP 33,069 -7,131 $1,192
     VVI33,069-7,131$1,192
3 D SYS CORP DEL 187,761 +2,723 $1,186
     DDD187,761+2,723$1,186
AZZ INC 20,385 UNCH $1,184
     AZZ20,385UNCH$1,184
GREENBRIER COS INC 26,809 -1,625 $1,183
     GBX26,809-1,625$1,183
BERKSHIRE HILLS BANCORP INC 47,541 +433 $1,178
     BHLB47,541+433$1,178
ENCORE CAP GROUP INC 23,288 -2,733 $1,178
     ECPG23,288-2,733$1,178
PLYMOUTH INDL REIT INC 49,068 +5,591 $1,177
     PLYM49,068+5,591$1,177
CHEFS WHSE INC 40,113 UNCH $1,176
     CHEF40,113UNCH$1,176
SP PLUS CORP 23,091 +10,457 $1,176
     SP23,091+10,457$1,176
PROG HOLDINGS INC 37,945 -2,172 $1,170
     PRG37,945-2,172$1,170
DIGI INTL INC 44,825 +13,407 $1,163
     DGII44,825+13,407$1,163
MIDDLESEX WTR CO 17,743 +2,451 $1,162
     MSEX17,743+2,451$1,162
TIMKENSTEEL CORPORATION 49,562 +13,826 $1,159
     TMST49,562+13,826$1,159
SCHOLASTIC CORP 30,731 -2,277 $1,155
     SCHL30,731-2,277$1,155
AVANGRID INC 35,793 -4,273 $1,152
     AGR35,793-4,273$1,152
WAYFAIR INC 18,598 +1,738 $1,140
     W18,598+1,738$1,140
GRANITE REAL ESTATE INVT TR      $1,139
     GRP.U19,863+236$1,139
VECTOR GROUP LTD 100,383 UNCH $1,132
     VGR100,383UNCH$1,132
PRIMORIS SVCS CORP 34,033 -19,224 $1,129
     PRIM34,033-19,224$1,129
FORTUNA SILVER MINES INC 293,373 +50,141 $1,128
     FSM293,373+50,141$1,128
UMH PPTYS INC 73,822 +6,473 $1,128
     UMH73,822+6,473$1,128
VERITEX HLDGS INC 48,359 +2,131 $1,125
     VBTX48,359+2,131$1,125
CROSS CTRY HEALTHCARE INC 49,789 +1,126 $1,124
     CCRN49,789+1,126$1,124
FB FINL CORP 28,212 -1,928 $1,123
     FBK28,212-1,928$1,123
GEO GROUP INC NEW 103,886 -4,266 $1,123
     GEO103,886-4,266$1,123
UNITI GROUP INC 194,440 -1,356 $1,123
     UNIT194,440-1,356$1,123
DELUXE CORP 52,260 -218 $1,119
     DLX52,260-218$1,119
CALERES INC 36,386 -1,534 $1,114
     CAL36,386-1,534$1,114
U S PHYSICAL THERAPY 11,946 -1,333 $1,112
     USPH11,946-1,333$1,112
PIEDMONT OFFICE REALTY TR IN 156,039 +7,882 $1,109
     PDM156,039+7,882$1,109
CREDIT ACCEP CORP MICH 2,089 +239 $1,105
     CACC2,089+239$1,105
VERADIGM INC 104,687 -7,097 $1,096
     MDRX104,687-7,097$1,096
SONIC AUTOMOTIVE INC 19,568 -2,540 $1,096
     SAH19,568-2,540$1,096
HAIN CELESTIAL GROUP INC 100,006 -7,606 $1,091
     HAIN100,006-7,606$1,091
PALOMAR HLDGS INC 19,654 -1,288 $1,087
     PLMR19,654-1,288$1,087
NATIONAL BK HLDGS CORP 29,030 -2,242 $1,079
     NBHC29,030-2,242$1,079
UNIVERSAL HEALTH RLTY INCOME 24,900 +1,151 $1,076
     UHT24,900+1,151$1,076
S & T BANCORP INC 32,185 -3,190 $1,075
     STBA32,185-3,190$1,075
ZAI LAB LTD 39,476 -19,622 $1,072
     ZLAB39,476-19,622$1,072
COMPASS DIVERSIFIED 47,754 -2,569 $1,066
     CODI47,754-2,569$1,066
PDF SOLUTIONS INC 33,259 -1,356 $1,066
     PDFS33,259-1,356$1,066
NATIONAL HEALTHCARE CORP 11,473 +8,102 $1,060
     NHC11,473+8,102$1,060
RITHM CAPITAL CORP 99,763 +36,824 $1,058
     RITM99,763+36,824$1,058
ALLISON TRANSMISSION HLDGS I 18,170 +67 $1,052
     ALSN18,170+67$1,052
FEDERAL AGRIC MTG CORP 5,524 -174 $1,050
     AGM5,524-174$1,050
TRIUMPH GROUP INC NEW 63,195 UNCH $1,046
     TGI63,195UNCH$1,046
SIMULATIONS PLUS INC 23,250 -1,096 $1,038
     SLP23,250-1,096$1,038
TWIST BIOSCIENCE CORP 28,112 +2,478 $1,028
     TWST28,112+2,478$1,028
HEALTHCARE SVCS GROUP INC 99,514 -975 $1,027
     HCSG99,514-975$1,027
REDWOOD TRUST INC 139,196 UNCH $1,027
     RWT139,196UNCH$1,027
HURON CONSULTING GROUP INC 10,042 +623 $1,026
     HURN10,042+623$1,026
CHATHAM LODGING TR 95,469 -1,557 $1,022
     CLDT95,469-1,557$1,022
AVANOS MED INC 45,169 UNCH $1,013
     AVNS45,169UNCH$1,013
NEW MTN FIN CORP 79,501 -8,016 $1,005
     NMFC79,501-8,016$1,005
CHEGG INC 88,485 +7,433 $999
     CHGG88,485+7,433$999
CVR ENERGY INC 33,004 -257 $998
     CVI33,004-257$998
APOGEE ENTERPRISES INC 18,505 -1,356 $985
     APOG18,505-1,356$985
EXP WORLD HLDGS INC 63,188 -3,461 $980
     EXPI63,188-3,461$980
MONRO INC 33,235 +111 $974
     MNRO33,235+111$974
CHICOS FAS INC 128,654 -9,524 $973
     CHS128,654-9,524$973
PITNEY BOWES INC 221,537 -13,712 $970
     PBI221,537-13,712$970
SAFETY INS GROUP INC 12,800 -319 $970
     SAFT12,800-319$970
ALTERYX INC 20,625 UNCH $966
     AYX20,625UNCH$966
DIGITAL TURBINE INC 140,934 +55,060 $964
     APPS140,934+55,060$964
ATRICURE INC 27,203 -823 $963
     ATRC27,203-823$963
WABASH NATL CORP 37,614 -5,480 $962
     WNC37,614-5,480$962
NATIONAL BEVERAGE CORP 19,304 -2,480 $957
     FIZZ19,304-2,480$957
BOK FINL CORP 11,210 +1,334 $954
     BOKF11,210+1,334$954
UNITED NAT FOODS INC 58,822 -4,770 $952
     UNFI58,822-4,770$952
MIRATI THERAPEUTICS INC 16,241 +11,436 $948
     MRTX16,241+11,436$948
MARTEN TRANS LTD 45,162 -4,206 $946
     MRTN45,162-4,206$946
KARUNA THERAPEUTICS INC 2,994 +355 $941
     KRTX2,994+355$941
LADDER CAP CORP 82,302 UNCH $940
     LADR82,302UNCH$940
UNDER ARMOUR INC 106,960 -11,703 $940
     UAA106,960-11,703$940
ALLEGIANT TRAVEL CO 11,326 -633 $936
     ALGT11,326-633$936
DRIL QUIP INC 39,607 UNCH $919
     DRQ39,607UNCH$919
SHUTTERSTOCK INC 18,953 -3,554 $914
     SSTK18,953-3,554$914
IRHYTHM TECHNOLOGIES INC 8,519 +5,816 $906
     IRTC8,519+5,816$906
DIVERSIFIED HEALTHCARE TR 240,908 +13,578 $899
     DHC240,908+13,578$899
XPEL INC 16,689 -1,364 $898
     XPEL16,689-1,364$898
NU SKIN ENTERPRISES INC 46,122 -9,556 $895
     NUS46,122-9,556$895
HIBBETT INC 12,441 -1,628 $894
     HIBB12,441-1,628$894
IROBOT CORP 22,908 UNCH $886
     IRBT22,908UNCH$886
ARCUS BIOSCIENCES INC 46,426 UNCH $886
     RCUS46,426UNCH$886
VITAL ENERGY INC 19,455 +4,455 $885
     VTLE19,455+4,455$885
GUARDANT HEALTH INC 32,837 +4,852 $883
     GH32,837+4,852$883
SHENANDOAH TELECOMMUNICATION 40,859 UNCH $881
     SHEN40,859UNCH$881
SOFI TECHNOLOGIES INC 89,038 +6,778 $879
     SOFI89,038+6,778$879
BROOKLINE BANCORP INC DEL 80,436 -5,886 $877
     BRKL80,436-5,886$877
RUSH ENTERPRISES INC 16,668 +1,561 $876
     RUSHB16,668+1,561$876
RPC INC 120,673 -14,669 $874
     RES120,673-14,669$874
LEMAITRE VASCULAR INC 15,377 -2,429 $872
     LMAT15,377-2,429$872
QUANEX BLDG PRODS CORP 28,425 UNCH $868
     NX28,425UNCH$868
KOPPERS HOLDINGS INC 16,933 -2,878 $867
     KOP16,933-2,878$867
PACIFIC BIOSCIENCES CALIF IN 88,836 +6,689 $867
     PACB88,836+6,689$867
DILLARDS INC 2,156 +309 $865
     DDS2,156+309$865
THERMON GROUP HLDGS INC 26,596 UNCH $861
     THR26,596UNCH$861
CAPITAL SOUTHWEST CORP 36,291 -3,726 $855
     CSWC36,291-3,726$855
MARINEMAX INC 21,951 -2,082 $851
     HZO21,951-2,082$851
PROTO LABS INC 21,858 -1,894 $850
     PRLB21,858-1,894$850
BENCHMARK ELECTRS INC 30,564 UNCH $845
     BHE30,564UNCH$845
METHODE ELECTRS INC 37,184 +2,619 $844
     MEI37,184+2,619$844
KELLY SVCS INC 39,057 -2,749 $842
     KELYA39,057-2,749$842
HONDA MOTOR LTD 27,230 -29,906 $841
     HMC27,230-29,906$841
EAGLE BANCORP INC MD 27,875 -448 $838
     EGBN27,875-448$838
MERCURY GENL CORP NEW 22,508 -7,441 $837
     MCY22,508-7,441$837
ARVINAS INC 20,417 +4,001 $835
     ARVN20,417+4,001$835
COLLEGIUM PHARMACEUTICAL INC 27,110 -5,294 $835
     COLL27,110-5,294$835
VANGUARD INTL EQUITY INDEX F (VWO) 20,485 -807 $835
     VWO20,485-807$835
SANFILIPPO JOHN B & SON INC 8,107 +524 $834
     JBSS8,107+524$834
COMPASS MINERALS INTL INC 32,665 -161 $826
     CMP32,665-161$826
INTELLIA THERAPEUTICS INC 27,281 +3,632 $826
     NTLA27,281+3,632$826
ORASURE TECHNOLOGIES INC 100,695 -7,370 $823
     OSUR100,695-7,370$823
EMPLOYERS HLDGS INC 20,798 -2,054 $819
     EIG20,798-2,054$819
MODINE MFG CO 13,797 +4,876 $819
     MOD13,797+4,876$819
CACTUS INC 18,142 +2,354 $819
     WHD18,142+2,354$819
GLOBAL MED REIT INC 72,936 +3,317 $809
     GMRE72,936+3,317$809
VAREX IMAGING CORP 39,445 UNCH $808
     VREX39,445UNCH$808
MRC GLOBAL INC 73,478 +6,246 $804
     MRC73,478+6,246$804
MONARCH CASINO & RESORT INC 11,624 UNCH $803
     MCRI11,624UNCH$803
VIRTU FINL INC 39,691 +1,390 $800
     VIRT39,691+1,390$800
MIDCAP FINANCIAL INVSTMNT CO 58,847 -6,613 $799
     MFIC58,847-6,613$799
SUNNOVA ENERGY INTL INC. 52,762 +6,406 $799
     NOVA52,762+6,406$799
PTC THERAPEUTICS INC 29,177 +4,175 $799
     PTCT29,177+4,175$799
ACUSHNET HLDGS CORP 12,634 +1,966 $793
     GOLF12,634+1,966$793
TRICO BANCSHARES (TCBK) 18,539 +2,022 $792
     TCBK18,539+2,022$792
UPWORK INC 53,434 +6,430 $790
     UPWK53,434+6,430$790
WOLVERINE WORLD WIDE INC 89,130 -408 $790
     WWW89,130-408$790
VICOR CORP 17,549 +4,197 $788
     VICR17,549+4,197$788
SCANSOURCE INC 19,851 -3,812 $784
     SCSC19,851-3,812$784
HERITAGE FINL CORP WASH 36,285 -525 $775
     HFWA36,285-525$775
KADANT INC 2,755 +1,710 $767
     KAI2,755+1,710$767
PREFERRED BK LOS ANGELES CA 10,532 -945 $767
     PFBC10,532-945$767
SUNCOKE ENERGY INC 71,497 -13,411 $766
     SXC71,497-13,411$766
INNOVIVA INC 47,318 -4,520 $757
     INVA47,318-4,520$757
FULGENT GENETICS INC 26,224 -1,525 $756
     FLGT26,224-1,525$756
AMERISAFE INC 16,166 -1,553 $755
     AMSF16,166-1,553$755
U S SILICA HLDGS INC 66,813 UNCH $755
     SLCA66,813UNCH$755
TECHTARGET INC 21,486 UNCH $749
     TTGT21,486UNCH$749
NEWMARK GROUP INC 68,260 +8,422 $743
     NMRK68,260+8,422$743
GOLDEN ENTMT INC 18,587 UNCH $741
     GDEN18,587UNCH$741
B & G FOODS INC NEW 70,605 +9,420 $740
     BGS70,605+9,420$740
SOUTHSIDE BANCSHARES INC (SBSI) 23,613 -3,129 $738
     SBSI23,613-3,129$738
HEIDRICK & STRUGGLES INTL IN 24,777 -1,580 $730
     HSII24,777-1,580$730
CAPITOL FED FINL INC 112,462 -678 $724
     CFFN112,462-678$724
MICROSTRATEGY INC 1,149 +155 $721
     MSTR1,149+155$721
SLR INVESTMENT CORP 48,299 -6,546 $721
     SLRC48,299-6,546$721
AURORA INNOVATION INC 165,075 +114,487 $717
     AUR165,075+114,487$717
INVENTRUST PPTYS CORP 28,410 UNCH $715
     IVT28,410UNCH$715
SUNPOWER CORP 148,561 -1,749 $715
     SPWR148,561-1,749$715
PEDIATRIX MEDICAL GROUP INC 76,898 -3,676 $714
     MD76,898-3,676$714
MODIVCARE INC 16,113 -974 $707
     MODV16,113-974$707
BAIN CAP SPECIALTY FIN INC 47,229 -4,249 $706
     BCSF47,229-4,249$706
SCRIPPS E W CO OHIO 88,226 +10,444 $703
     SSP88,226+10,444$703
TOMPKINS FINL CORP 11,673 -318 $700
     TMP11,673-318$700
DINE BRANDS GLOBAL INC 14,050 +906 $697
     DIN14,050+906$697
BARINGS BDC INC 81,789 -8,148 $696
     BBDC81,789-8,148$696
STURM RUGER & CO INC 15,334 UNCH $695
     RGR15,334UNCH$695
POWELL INDS INC 7,828 -353 $690
     POWL7,828-353$690
COMSTOCK RES INC 77,901 -9,748 $689
     CRK77,901-9,748$689
GRAFTECH INTL LTD 314,401 +67,804 $689
     EAF314,401+67,804$689
LIQUIDITY SVCS INC 40,135 +2,761 $688
     LQDT40,135+2,761$688
ENERGY RECOVERY INC 36,553 +12,787 $684
     ERII36,553+12,787$684
ARMADA HOFFLER PPTYS INC 55,198 -25 $683
     AHH55,198-25$683
ETHAN ALLEN INTERIORS INC 21,407 -1,805 $683
     ETD21,407-1,805$683
AGIOS PHARMACEUTICALS INC 30,604 +2,741 $677
     AGIO30,604+2,741$677
MESA LABS INC 6,474 +170 $676
     MLAB6,474+170$676
MEDIFAST INC 10,079 -57 $675
     MED10,079-57$675
WISDOMTREE INC 97,261 -9,241 $673
     WT97,261-9,241$673
BAUSCH HEALTH COS INC 84,938 +6,439 $672
     BHC84,938+6,439$672
ADVANSIX INC 22,401 UNCH $670
     ASIX22,401UNCH$670
KKR REAL ESTATE FIN TR INC 50,618 -4,213 $669
     KREF50,618-4,213$669
ANI PHARMACEUTICALS INC 12,127 -1,591 $668
     ANIP12,127-1,591$668
NAPCO SEC TECHNOLOGIES INC 19,535 +2,294 $665
     NSSC19,535+2,294$665
AMBAC FINL GROUP INC 40,202 -2,736 $662
     AMBC40,202-2,736$662
REX AMERICAN RES CORP 13,898 -1,033 $656
     REX13,898-1,033$656
STANDARD MTR PRODS INC 16,464 -1,488 $656
     SMP16,464-1,488$656
PILGRIMS PRIDE CORP 23,713 -3,928 $655
     PPC23,713-3,928$655
HERC HLDGS INC 4,401 +174 $653
     HRI4,401+174$653
TTEC HLDGS INC 30,135 +2,923 $651
     TTEC30,135+2,923$651
CLEARWATER PAPER CORP 17,931 +838 $646
     CLW17,931+838$646
BJS RESTAURANTS INC 17,949 -4,038 $645
     BJRI17,949-4,038$645
GUESS INC 27,999 -2,527 $645
     GES27,999-2,527$645
COHEN & STEERS INC 8,517 +952 $644
     CNS8,517+952$644
IMMUNOGEN INC 21,781 -32,737 $642
     IMGN21,781-32,737$642
METHANEX CORP 13,567 +4,000 $641
     MEOH13,567+4,000$641
ASTEC INDS INC 17,239 -2,210 $640
     ASTE17,239-2,210$640
WHITESTONE REIT 51,989 -4,267 $638
     COM51,989-4,267$638
QUANTERIX CORP 23,463 UNCH $636
     QTRX23,463UNCH$636
PENNANTPARK FLOATING RATE CA 52,847 -4,880 $635
     PFLT52,847-4,880$635
RESOURCES CONNECTION INC 44,963 -1,347 $635
     RGP44,963-1,347$635
API GROUP CORP 18,430 +1,578 $633
     APG18,430+1,578$633
CASELLA WASTE SYS INC 7,435 -1,367 $632
     CWST7,435-1,367$632
KAMAN CORP 26,251 -2,154 $628
     KAMN26,251-2,154$628
MOVADO GROUP INC 20,829 -476 $627
     MOV20,829-476$627
INSTEEL INDS INC 16,353 -638 $626
     IIIN16,353-638$626
COLUMBIA FINL INC 32,638 +5,890 $625
     CLBK32,638+5,890$625
CASS INFORMATION SYS INC 13,930 +1,532 $624
     CASS13,930+1,532$624
ROCKET COS INC 43,204 +12,019 $621
     RKT43,204+12,019$621
PC CONNECTION INC 9,214 -1,932 $619
     CNXN9,214-1,932$619
ENVIRI CORP 68,513 +68,513 $616
     NVRI68,513+68,513$616
BEAZER HOMES USA INC 18,269 +3,084 $614
     BZH18,269+3,084$614
CARLYLE SECURED LENDING INC 41,078 -3,807 $610
     CGBD41,078-3,807$610
TITAN INTL INC ILL 40,815 -7,933 $607
     TWI40,815-7,933$607
ULTRAPAR PARTICIPACOES SA 112,689 +112,689 $607
     UGP112,689+112,689$607
BLUEPRINT MEDICINES CORP 6,578 -13,131 $603
     BPMC6,578-13,131$603
WORLD ACCEP CORPORATION 4,619 +158 $601
     WRLD4,619+158$601
VERINT SYS INC 22,150 +3,482 $595
     VRNT22,150+3,482$595
ATKORE INC 3,737 +210 $594
     ATKR3,737+210$594
REGENXBIO INC 33,135 -20,514 $593
     RGNX33,135-20,514$593
HEALTHSTREAM INC 21,842 -1,596 $590
     HSTM21,842-1,596$590
QUINSTREET INC 46,122 +3,326 $590
     QNST46,122+3,326$590
CRESCENT PT ENERGY CORP 85,144 +9,563 $589
     CPG85,144+9,563$589
HAYNES INTL INC 10,328 -1,590 $588
     HAYN10,328-1,590$588
LIONS GATE ENTMNT CORP      $588
     LGF.A28,001UNCH$303
     LGF.B28,097UNCH$285
INTRA CELLULAR THERAPIES INC 8,263 +626 $587
     ITCI8,263+626$587
MATIV HOLDINGS INC 38,362 -7,099 $587
     MATV38,362-7,099$587
PELOTON INTERACTIVE INC 96,826 +16,607 $585
     PTON96,826+16,607$585
CHUYS HLDGS INC 15,274 -481 $584
     CHUY15,274-481$584
BLACKROCK TCP CAPITAL CORP 50,794 -6,120 $582
     TCPC50,794-6,120$582
PROASSURANCE CORP 41,867 -5,091 $576
     PRA41,867-5,091$576
BRIGHT HORIZONS FAM SOL IN D 6,118 +399 $573
     BFAM6,118+399$573
NELNET INC 6,538 +759 $573
     NNI6,538+759$573
PROPETRO HLDG CORP 68,416 -8,821 $573
     PUMP68,416-8,821$573
OIL STS INTL INC 84,727 -21,212 $572
     OIS84,727-21,212$572
ARTIVION INC 31,930 +2,100 $570
     AORT31,930+2,100$570
SAUL CTRS INC 14,535 -1,431 $569
     BFS14,535-1,431$569
MYERS INDS INC 29,089 -2,789 $568
     MYE29,089-2,789$568
INSPIRE MED SYS INC 2,799 +190 $565
     INSP2,799+190$565
ALAMOS GOLD INC NEW 42,051 -5,768 $563
     AGI42,051-5,768$563
TITAN MACHY INC 19,639 +2,639 $563
     TITN19,639+2,639$563
SIXTH STREET SPECIALTY LENDI 25,997 -34,711 $558
     TSLX25,997-34,711$558
OLYMPIC STEEL INC 8,370 -772 $558
     ZEUS8,370-772$558
AMERICAS CAR MART INC 7,337 +360 $554
     CRMT7,337+360$554
WEIBO CORP 50,412 -50,412 $551
     WB50,412-50,412$551
HEARTLAND EXPRESS INC 38,213 +2,048 $545
     HTLD38,213+2,048$545
CENTRAL GARDEN & PET CO 10,739 +2,273 $537
     CENT10,739+2,273$537
GRAY TELEVISION INC 59,974 +13,327 $534
     GTN59,974+13,327$534
USANA HEALTH SCIENCES INC 9,740 -899 $522
     USNA9,740-899$522
CENTRAL PAC FINL CORP 26,521 -142 $521
     CPF26,521-142$521
BRIGHTSPHERE INVT GROUP INC 27,113 -2,487 $519
     BSIG27,113-2,487$519
RIOT PLATFORMS INC 33,391 +5,202 $515
     RIOT33,391+5,202$515
TRUEBLUE INC 33,669 -3,125 $515
     TBI33,669-3,125$515
BRISTOW GROUP INC 18,236 -1,482 $515
     VTOL18,236-1,482$515
HANMI FINL CORP 26,103 -3,242 $506
     HAFC26,103-3,242$506
AZEK CO INC 13,166 +1,333 $500
     AZEK13,166+1,333$500
CENTURY ALUM CO 41,246 -5,944 $499
     CENX41,246-5,944$499
PHREESIA INC 21,663 UNCH $498
     PHR21,663UNCH$498
GOGO INC 49,082 UNCH $497
     GOGO49,082UNCH$497
TOOTSIE ROLL INDS INC 14,975 -730 $497
     TR14,975-730$497
CRYOPORT INC 31,782 +4,842 $489
     CYRX31,782+4,842$489
SCHNEIDER NATIONAL INC 19,299 +12,801 $489
     SNDR19,299+12,801$489
FORRESTER RESH INC 18,232 UNCH $486
     FORR18,232UNCH$486
MORPHIC HLDG INC 16,938 +2,663 $486
     MORF16,938+2,663$486
ISHARES INC (EPP) 11,190 UNCH $483
     EPP11,190UNCH$483
BIOLIFE SOLUTIONS INC 29,694 -3,711 $482
     BLFS29,694-3,711$482
ENTERPRISE FINL SVCS CORP 10,856 UNCH $481
     EFSC10,856UNCH$481
AURINIA PHARMACEUTICALS INC 53,514 +16,454 $479
     AUPH53,514+16,454$479
APELLIS PHARMACEUTICALS INC 8,030 +689 $478
     APLS8,030+689$478
FRANKLIN COVEY CO 11,031 +1,798 $478
     FC11,031+1,798$478
CONDUENT INC 131,039 +31,165 $475
     CNDT131,039+31,165$475
LEVI STRAUSS & CO NEW 28,755 +4,688 $472
     LEVI28,755+4,688$472
KFORCE INC 6,943 +1,059 $466
     KFRC6,943+1,059$466
MCGRATH RENTCORP 3,878 +665 $462
     MGRC3,878+665$462
AMC NETWORKS INC 24,560 UNCH $461
     AMCX24,560UNCH$461
RED ROCK RESORTS INC 8,667 +1,233 $461
     RRR8,667+1,233$461
KRONOS WORLDWIDE INC 46,532 +496 $459
     KRO46,532+496$459
MANNKIND CORP 124,994 +21,154 $452
     MNKD124,994+21,154$452
HCI GROUP INC 5,085 +535 $444
     HCI5,085+535$444
MITEK SYS INC 34,036 +5,879 $441
     MITK34,036+5,879$441
SHYFT GROUP INC 36,191 +4,260 $439
     SHYF36,191+4,260$439
WEIS MKTS INC 6,875 +1,013 $436
     WMK6,875+1,013$436
STOCK YDS BANCORP INC 8,459 +5,181 $433
     SYBT8,459+5,181$433
FIDUS INVT CORP 22,129 -2,095 $432
     FDUS22,129-2,095$432
CECO ENVIRONMENTAL CORP 21,429 +21,429 $431
     CECO21,429+21,429$431
ALTAIR ENGR INC 5,143 -3,828 $430
     ALTR5,143-3,828$430
NEWS CORP NEW 16,724 +2,471 $430
     NWS16,724+2,471$430
SUMMIT MATLS INC 11,218 +926 $429
     SUM11,218+926$429
KIMBALL ELECTRONICS INC 15,979 +3,076 $428
     KE15,979+3,076$428
VAXCYTE INC 6,856 -6,110 $428
     PCVX6,856-6,110$428
DIGIMARC CORP NEW 11,885 +2,334 $427
     DMRC11,885+2,334$427
INFINERA CORP 90,441 UNCH $427
     INFN90,441UNCH$427
EZCORP INC 48,728 -6,061 $426
     EZPW48,728-6,061$426
GLADSTONE INVT CORP 30,313 -2,972 $425
     GAIN30,313-2,972$425
NORTHFIELD BANCORP INC DEL 33,627 -237 $423
     NFBK33,627-237$423
NATIONAL PRESTO INDS INC 5,270 -102 $422
     NPK5,270-102$422
EDITAS MEDICINE INC 41,825 +22,198 $421
     EDIT41,825+22,198$421
SHOE CARNIVAL INC 13,807 -1,115 $416
     SCVL13,807-1,115$416
SELECT WATER SOLUTIONS INC 54,986 UNCH $415
     WTTR54,986UNCH$415
VICTORY CAP HLDGS INC 11,932 +5,126 $410
     VCTR11,932+5,126$410
DXP ENTERPRISES INC 12,155 UNCH $409
     DXPE12,155UNCH$409
HEALTH CATALYST INC 44,548 UNCH $409
     HCAT44,548UNCH$409
CSW INDUSTRIALS INC 1,972 +575 $407
     CSWI1,972+575$407
CEVA INC 17,929 -3,222 $406
     CEVA17,929-3,222$406
SKYLINE CHAMPION CORPORATION 5,435 +489 $401
     SKY5,435+489$401
PLAINS GP HLDGS L P 25,242 +2,107 $400
     PAGP25,242+2,107$400
LENDINGCLUB CORP 45,855 UNCH $398
     LC45,855UNCH$398
MAGNOLIA OIL & GAS CORP 18,775 +1,380 $397
     MGY18,775+1,380$397
STEELCASE INC 29,470 -6,075 $396
     SCS29,470-6,075$396
AUTOMATIC DATA PROCESSING IN 1,704 -28 $395
     ADP1,704-28$395
PENNANTPARK INVT CORP 57,127 -6,887 $392
     PNNT57,127-6,887$392
HAVERTY FURNITURE COS INC 10,999 -1,411 $390
     HVT10,999-1,411$390
DESIGNER BRANDS INC 43,628 -3,810 $384
     DBI43,628-3,810$384
COMMSCOPE HLDG CO INC 136,208 +39,102 $382
     COMM136,208+39,102$382
SPIRIT AEROSYSTEMS HLDGS INC 12,047 -1,625 $380
     SPR12,047-1,625$380
CLEAR CHANNEL OUTDOOR HLDGS 209,154 +15,725 $378
     CCO209,154+15,725$378
ENERPLUS CORP 24,585 +1,807 $375
     ERF24,585+1,807$375
SHIFT4 PMTS INC 5,063 -2,936 $374
     FOUR5,063-2,936$374
MERCER INTL INC 39,364 UNCH $372
     MERC39,364UNCH$372
SI BONE INC 17,847 UNCH $372
     SIBN17,847UNCH$372
ORTHOPEDIATRICS CORP 11,412 UNCH $369
     KIDS11,412UNCH$369
FIRST INTST BANCSYSTEM INC 11,987 -18,060 $367
     FIBK11,987-18,060$367
GREEN DOT CORP 36,858 UNCH $364
     GDOT36,858UNCH$364
CASTLE BIOSCIENCES INC 16,892 +5,659 $362
     CSTL16,892+5,659$362
GLADSTONE CAPITAL CORP 33,839 -4,838 $359
     GLAD33,839-4,838$359
HORIZON TECHNOLOGY FIN CORP 27,409 -3,739 $359
     HRZN27,409-3,739$359
CALAVO GROWERS INC 12,139 -4,072 $357
     CVGW12,139-4,072$357
RANPAK HOLDINGS CORP 61,861 +15,891 $357
     PACK61,861+15,891$357
ATN INTL INC 9,185 -345 $356
     ATNI9,185-345$356
ELDORADO GOLD CORP NEW 27,426 +3,699 $353
     EGO27,426+3,699$353
UNITED FIRE GROUP INC 17,500 -2,532 $352
     UFCS17,500-2,532$352
NEXGEN ENERGY LTD 48,794 +7,172 $339
     NXE48,794+7,172$339
ENDEAVOUR SILVER CORP 169,509 +143,362 $331
     EXK169,509+143,362$331
TRIPLEPOINT VENTURE GROWTH B 30,724 -3,883 $331
     TPVG30,724-3,883$331
MIMEDX GROUP INC 37,126 +9,100 $324
     MDXG37,126+9,100$324
INGLES MKTS INC 3,724 UNCH $319
     IMKTA3,724UNCH$319
B. RILEY FINANCIAL INC 15,052 UNCH $315
     RILY15,052UNCH$315
ARES COML REAL ESTATE CORP 30,243 UNCH $311
     ACRE30,243UNCH$311
AGENUS INC 376,179 +338,856 $309
     AGEN376,179+338,856$309
AXONICS INC 5,000 +557 $309
     AXNX5,000+557$309
BROOKFIELD INFRAST PARTNERS 9,680 -3,456 $304
     BIP9,680-3,456$304
ADAPTIVE BIOTECHNOLOGIES COR 62,094 -2,024 $302
     ADPT62,094-2,024$302
ALTICE USA INC 92,529 +9,892 $299
     ATUS92,529+9,892$299
DELEK US HLDGS INC NEW 11,519 -893 $296
     DK11,519-893$296
PARSONS CORP DEL 4,637 -968 $289
     PSN4,637-968$289
FUNKO INC 37,568 +11,629 $288
     FNKO37,568+11,629$288
ISHARES INC (EWC) 7,730 UNCH $282
     EWC7,730UNCH$282
HECLA MNG CO 57,553 +7,878 $275
     HL57,553+7,878$275
CONSOLIDATED COMM HLDGS INC 62,736 UNCH $273
     CNSL62,736UNCH$273
CRA INTL INC 2,729 UNCH $267
     CRAI2,729UNCH$267
BRIGHTVIEW HLDGS INC 31,584 UNCH $264
     BV31,584UNCH$264
ACCO BRANDS CORP 43,490 +5,381 $263
     ACCO43,490+5,381$263
HESS MIDSTREAM LP 8,374 +1,921 $263
     HESM8,374+1,921$263
FIRST MERCHANTS CORP 7,083 -1,630 $262
     FRME7,083-1,630$262
SPROTT INC 7,724 +1,018 $261
     SII7,724+1,018$261
TOWNEBANK PORTSMOUTH VA 8,791 +2,043 $260
     TOWN8,791+2,043$260
TFS FINL CORP 17,527 -874 $257
     TFSL17,527-874$257
REVOLUTION MEDICINES INC 8,950 +2,294 $255
     RVMD8,950+2,294$255
IMMUNOVANT INC 5,987 +845 $251
     IMVT5,987+845$251
STERLING INFRASTRUCTURE INC 2,877 UNCH $251
     STRL2,877UNCH$251
STELLUS CAP INVT CORP 19,568 -2,119 $250
     SCM19,568-2,119$250
SCHNITZER STEEL INDS INC 7,506 +3,278 $249
     SCHN7,506+3,278$249
LIBERTY BROADBAND CORP 3,094 UNCH $247
     LBRDA3,094UNCH$247
OFFICE PPTYS INCOME TR 33,786 -22,382 $247
     OPI33,786-22,382$247
AXSOME THERAPEUTICS INC 3,112 UNCH $246
     AXSM3,112UNCH$246
ENTRAVISION COMMUNICATIONS C 59,202 +4,920 $246
     EVC59,202+4,920$246
XENON PHARMACEUTICALS INC 5,341 +848 $244
     XENE5,341+848$244
NEVRO CORP 11,341 UNCH $243
     NVRO11,341UNCH$243
OSISKO GOLD ROYALTIES LTD 16,813 UNCH $239
     OR16,813UNCH$239
CHEWY INC 10,088 -8,170 $237
     CHWY10,088-8,170$237
FRP HLDGS INC 3,770 UNCH $236
     FRPH3,770UNCH$236
BLACKROCK CAP INVT CORP 61,287 -10,849 $235
     BKCC61,287-10,849$235
WESBANCO INC 7,522 -880 $235
     WSBC7,522-880$235
PLUG POWER INC 52,321 -151,373 $234
     PLUG52,321-151,373$234
CNA FINL CORP 5,518 -17,782 $233
     CNA5,518-17,782$233
GARRETT MOTION INC 24,259 UNCH $233
     GTX24,259UNCH$233
HDFC BANK LTD 3,478 -10,862 $233
     HDB3,478-10,862$233
REMITLY GLOBAL INC 12,086 +1,215 $233
     RELY12,086+1,215$233
URANIUM ENERGY CORP 36,264 UNCH $231
     UEC36,264UNCH$231
BARRETT BUSINESS SVCS INC 2,000 UNCH $230
     BBSI2,000UNCH$230
MARCUS CORP DEL 15,791 -5,826 $230
     MCS15,791-5,826$230
TRANSALTA CORP 27,640 +5,061 $228
     TAC27,640+5,061$228
IMAX CORP 15,239 UNCH $227
     IMAX15,239UNCH$227
MADRIGAL PHARMACEUTICALS INC 982 -221 $226
     MDGL982-221$226
MELCO RESORTS AND ENTMNT LTD 25,563 -85,489 $226
     MLCO25,563-85,489$226
ALEXANDERS INC 1,046 -1 $222
     ALX1,046-1$222
GLADSTONE COMMERCIAL CORP 16,805 -166 $221
     GOOD16,805-166$221
TELUS INTL CDA INC 25,821 -11,282 $221
     TIXT25,821-11,282$221
PETIQ INC 11,185 +11,185 $220
     PETQ11,185+11,185$220
BAYTEX ENERGY CORP 66,241 UNCH $219
     BTE66,241UNCH$219
PRIMO WATER CORPORATION 14,646 -1,231 $219
     PRMW14,646-1,231$219
RHYTHM PHARMACEUTICALS INC 4,796 +1,249 $219
     RYTM4,796+1,249$219
KRYSTAL BIOTECH INC 1,731 UNCH $213
     KRYS1,731UNCH$213
TG THERAPEUTICS INC 12,471 UNCH $212
     TGTX12,471UNCH$212
GINKGO BIOWORKS HOLDINGS INC 125,313 +9,574 $210
     DNA125,313+9,574$210
VERACYTE INC 7,668 -506 $210
     VCYT7,668-506$210
AMERESCO INC 6,557 +219 $207
     AMRC6,557+219$207
DENALI THERAPEUTICS INC 9,724 UNCH $207
     DNLI9,724UNCH$207
BEAM THERAPEUTICS INC 7,429 +1,039 $200
     BEAM7,429+1,039$200
BIONTECH SE 1,908 -860 $200
     BNTX1,908-860$200
PEOPLES BANCORP INC 5,969 +216 $200
     PEBO5,969+216$200
CYMABAY THERAPEUTICS INC 8,424 UNCH $198
     CBAY8,424UNCH$198
JELD WEN HLDG INC 10,426 +1,260 $196
     JELD10,426+1,260$196
MUELLER WTR PRODS INC 13,701 UNCH $196
     MWA13,701UNCH$196
SURGERY PARTNERS INC 6,094 UNCH $194
     SGRY6,094UNCH$194
HEARTLAND FINL USA INC 5,138 -2,635 $193
     HTLF5,138-2,635$193
VERMILION ENERGY INC 15,671 -8,193 $189
     VET15,671-8,193$189
IOVANCE BIOTHERAPEUTICS INC 23,100 -1,125 $187
     IOVA23,100-1,125$187
ROCKET PHARMACEUTICALS INC 6,276 +1,289 $187
     RCKT6,276+1,289$187
WHITEHORSE FIN INC 15,279 -1,895 $187
     WHF15,279-1,895$187
DMC GLOBAL INC 9,715 +1,406 $182
     BOOM9,715+1,406$182
SEAWORLD ENTMT INC 3,461 UNCH $182
     SEAS3,461UNCH$182
IMPINJ INC 2,016 UNCH $180
     PI2,016UNCH$180
IDEAYA BIOSCIENCES INC 5,030 UNCH $178
     IDYA5,030UNCH$178
PHIBRO ANIMAL HEALTH CORP 15,471 -5,188 $178
     PAHC15,471-5,188$178
SANDY SPRING BANCORP INC 6,502 -527 $176
     SASR6,502-527$176
SOUTHERN MO BANCORP INC 3,298 +1,575 $174
     SMBC3,298+1,575$174
ARDELYX INC 27,680 UNCH $170
     ARDX27,680UNCH$170
CRINETICS PHARMACEUTICALS IN 4,742 UNCH $168
     CRNX4,742UNCH$168
GDS HLDGS LTD 18,502 -220,772 $168
     GDS18,502-220,772$168
CONSTRUCTION PARTNERS INC 3,878 UNCH $168
     ROAD3,878UNCH$168
ADT INC DEL 24,492 UNCH $166
     ADT24,492UNCH$166
CENTERRA GOLD INC 27,859 UNCH $165
     CGAU27,859UNCH$165
MASONITE INTL CORP 1,962 UNCH $165
     DOOR1,962UNCH$165
HUDBAY MINERALS INC 29,910 UNCH $164
     HBM29,910UNCH$164
FIRST BUSEY CORP 6,563 -6,257 $162
     BUSE6,563-6,257$162
VIKING THERAPEUTICS INC 8,759 UNCH $162
     VKTX8,759UNCH$162
IAMGOLD CORP 63,102 UNCH $159
     IAG63,102UNCH$159
DENISON MINES CORP 90,988 UNCH $158
     DNN90,988UNCH$158
CHIMERA INVT CORP 31,145 UNCH $154
     CIM31,145UNCH$154
MARINE PRODS CORP 13,593 +1,954 $154
     MPX13,593+1,954$154
OCEANFIRST FINL CORP 8,948 -776 $154
     OCFC8,948-776$154
H & E EQUIPMENT SERVICES INC 2,947 UNCH $153
     HEES2,947UNCH$153
FUELCELL ENERGY INC 95,446 -3,538,899 $151
     FCEL95,446-3,538,899$151
LAKELAND BANCORP INC 10,216 -873 $151
     LBAI10,216-873$151
SPIRIT AIRLS INC 9,090 +7,367 $149
     SAVE9,090+7,367$149
TILRAY BRANDS INC 64,689 UNCH $148
     TLRY64,689UNCH$148
HAWAIIAN ELEC INDUSTRIES 10,406 -5,209 $147
     HE10,406-5,209$147
EQUINOX GOLD CORP 29,896 UNCH $144
     EQX29,896UNCH$144
FIRST MAJESTIC SILVER CORP 23,258 UNCH $142
     AG23,258UNCH$142
CELLDEX THERAPEUTICS INC NEW 3,615 UNCH $142
     CLDX3,615UNCH$142
VERTEX INC 5,256 UNCH $141
     VERX5,256UNCH$141
PAR TECHNOLOGY CORP 3,210 UNCH $139
     PAR3,210UNCH$139
SERITAGE GROWTH PPTYS 14,809 UNCH $138
     SRG14,809UNCH$138
SLEEP NUMBER CORP 9,333 -17,492 $137
     SNBR9,333-17,492$137
MONTROSE ENVIRONMENTAL GROUP 4,261 +186 $136
     MEG4,261+186$136
PREMIER FINANCIAL CORP 5,630 +1,596 $135
     PFC5,630+1,596$135
SPRINGWORKS THERAPEUTICS INC 3,711 UNCH $135
     SWTX3,711UNCH$135
FREEDOM HLDG CORP NEV 1,672 UNCH $134
     FRHC1,672UNCH$134
OXFORD SQUARE CAP CORP 46,920 -7,045 $134
     OXSQ46,920-7,045$134
BRP GROUP INC 5,566 UNCH $133
     BRP5,566UNCH$133
LIVE OAK BANCSHARES INC (LOB) 2,922 UNCH $132
     LOB2,922UNCH$132
HELIOS TECHNOLOGIES INC 2,899 UNCH $131
     HLIO2,899UNCH$131
CLEAN ENERGY FUELS CORP 34,132 -12,174 $130
     CLNE34,132-12,174$130
DOUGLAS DYNAMICS INC 4,376 +1,364 $129
     PLOW4,376+1,364$129
ARCTURUS THERAPEUTICS HLDGS 4,064 -341 $127
     ARCT4,064-341$127
ATRION CORP 332 UNCH $125
     ATRI332UNCH$125
IHEARTMEDIA INC 46,680 UNCH $124
     IHRT46,680UNCH$124
RIBBON COMMUNICATIONS INC 42,808 +39,128 $123
     RBBN42,808+39,128$123
UNIVEST FINANCIAL CORPORATIO 5,639 -151 $123
     UVSP5,639-151$123
ONE LIBERTY PPTYS INC 5,604 -9 $122
     OLP5,604-9$122
NATIONAL RESH CORP 3,082 UNCH $121
     NRC3,082UNCH$121
GERON CORP 57,404 -4,020 $120
     GERN57,404-4,020$120
SYNDAX PHARMACEUTICALS INC 5,595 UNCH $120
     SNDX5,595UNCH$120
MONROE CAP CORP 17,077 -3,171 $119
     MRCC17,077-3,171$119
NEW GOLD INC CDA 82,863 UNCH $119
     NGD82,863UNCH$119
PROTAGONIST THERAPEUTICS INC 5,213 UNCH $119
     PTGX5,213UNCH$119
WINMARK CORP 287 UNCH $119
     WINA287UNCH$119
COMMUNITY TR BANCORP INC 2,681 -90 $118
     CTBI2,681-90$118
HORIZON BANCORP INC 8,319 -227 $118
     HBNC8,319-227$118
RYERSON HLDG CORP 3,428 UNCH $118
     RYI3,428UNCH$118
TRIMAS CORP 4,655 UNCH $117
     TRS4,655UNCH$117
FARMERS NATIONAL BANC CORP 8,056 -175 $116
     FMNB8,056-175$116
CHILDRENS PL INC NEW 5,049 +4,343 $116
     PLCE5,049+4,343$116
SPOK HLDGS INC 7,484 +1,416 $116
     SPOK7,484+1,416$116
MERCANTILE BK CORP 2,820 -80 $114
     MBWM2,820-80$114
ADMA BIOLOGICS INC 25,217 UNCH $113
     ADMA25,217UNCH$113
MAGNITE INC 12,205 UNCH $113
     MGNI12,205UNCH$113
NICOLET BANKSHARES INC (NIC) 1,396 -2,110 $112
     NIC1,396-2,110$112
NATIONAL WESTN LIFE GROUP IN 234 UNCH $112
     NWLI234UNCH$112
INHIBRX INC 2,910 +1,711 $110
     INBX2,910+1,711$110
UTZ BRANDS INC 6,846 UNCH $110
     UTZ6,846UNCH$110
ARGAN INC 2,348 UNCH $109
     AGX2,348UNCH$109
COLUMBUS MCKINNON CORP N Y 2,818 UNCH $109
     CMCO2,818UNCH$109
MALIBU BOATS INC 2,003 -4,698 $109
     MBUU2,003-4,698$109
KEARNY FINL CORP MD 12,162 -342 $108
     KRNY12,162-342$108
ORIGIN BANCORP INC 3,064 +3,064 $108
     OBK3,064+3,064$108
CAMPING WORLD HLDGS INC 4,088 -2,769 $107
     CWH4,088-2,769$107
SEABOARD CORP DEL 30 UNCH $107
     SEB30UNCH$107
COEUR MNG INC 32,786 UNCH $106
     CDE32,786UNCH$106
DIAMOND HILL INVT GROUP INC 646 -14 $106
     DHIL646-14$106
VSE CORP 1,653 UNCH $106
     VSEC1,653UNCH$106
CAMDEN NATL CORP 2,802 -76 $104
     CAC2,802-76$104
BIOCRYST PHARMACEUTICALS INC 17,374 -44,770 $103
     BCRX17,374-44,770$103
BANK FIRST CORP 1,191 UNCH $103
     BFC1,191UNCH$103
HERITAGE COMM CORP 10,379 -312 $103
     HTBK10,379-312$103
MAG SILVER CORP 9,950 UNCH $103
     MAG9,950UNCH$103
SAGE THERAPEUTICS INC 4,789 UNCH $103
     SAGE4,789UNCH$103
ALPHATEC HLDGS INC 6,820 UNCH $102
     ATEC6,820UNCH$102
REDFIN CORP 9,921 UNCH $102
     RDFN9,921UNCH$102
SPHERE ENTERTAINMENT CO 3,034 UNCH $102
     SPHR3,034UNCH$102
1ST SOURCE CORP 1,850 UNCH $101
     SRCE1,850UNCH$101
ENNIS INC 4,587 -128 $100
     EBF4,587-128$100
GLOBALSTAR INC 51,202 -43,704 $99
     GSAT51,202-43,704$99
KYMERA THERAPEUTICS INC 3,931 +2,287 $99
     KYMR3,931+2,287$99
PLIANT THERAPEUTICS INC 5,486 UNCH $99
     PLRX5,486UNCH$99
STITCH FIX INC 27,580 UNCH $98
     SFIX27,580UNCH$98
NETGEAR INC 6,661 +5,468 $97
     NTGR6,661+5,468$97
FIRST BANCSHARES INC MS (FBMS) 3,261 UNCH $95
     FBMS3,261UNCH$95
KEROS THERAPEUTICS INC 2,395 UNCH $95
     KROS2,395UNCH$95
QCR HOLDINGS INC 1,629 UNCH $95
     QCRH1,629UNCH$95
AKERO THERAPEUTICS INC 4,050 UNCH $94
     AKRO4,050UNCH$94
BYLINE BANCORP INC 4,012 UNCH $94
     BY4,012UNCH$94
RELAY THERAPEUTICS INC 8,624 UNCH $94
     RLAY8,624UNCH$94
MERCHANTS BANCORP IND 2,191 UNCH $93
     MBIN2,191UNCH$93
EVERI HLDGS INC 8,239 -3,183 $92
     EVRI8,239-3,183$92
BROOKDALE SR LIVING INC 15,694 +7,337 $91
     BKD15,694+7,337$91
FARMLAND PARTNERS INC 7,370 UNCH $91
     FPI7,370UNCH$91
INTERNATIONAL MNY EXPRESS IN 4,166 UNCH $91
     IMXI4,166UNCH$91
MODEL N INC 3,413 UNCH $91
     MODN3,413UNCH$91
GERMAN AMERN BANCORP INC 2,803 UNCH $90
     GABC2,803UNCH$90
KURA ONCOLOGY INC 6,268 +3,402 $90
     KURA6,268+3,402$90
SILVERCREST METALS INC 13,790 UNCH $90
     SILV13,790UNCH$90
LEGALZOOM COM INC 7,941 UNCH $89
     LZ7,941UNCH$89
NOVAGOLD RES INC 23,564 UNCH $88
     NG23,564UNCH$88
V2X INC 1,912 UNCH $88
     VVX1,912UNCH$88
ACCEL ENTERTAINMENT INC 8,393 UNCH $86
     ACEL8,393UNCH$86
ASSETMARK FINL HLDGS INC 2,901 UNCH $86
     AMK2,901UNCH$86
LEMONADE INC 5,360 UNCH $86
     LMND5,360UNCH$86
OLD SECOND BANCORP INC ILL 5,637 UNCH $86
     OSBC5,637UNCH$86
REVOLVE GROUP INC 5,239 UNCH $86
     RVLV5,239UNCH$86
ENERFLEX LTD 18,374 UNCH $85
     EFXT18,374UNCH$85
CASSAVA SCIENCES INC 3,814 -1,258 $85
     SAVA3,814-1,258$85
STONERIDGE INC 4,303 UNCH $84
     SRI4,303UNCH$84
DYNEX CAP INC 6,661 UNCH $83
     DX6,661UNCH$83
VAALCO ENERGY INC 18,723 +13,967 $83
     EGY18,723+13,967$83
GREAT LAKES DREDGE & DOCK CO 10,719 UNCH $82
     GLDD10,719UNCH$82
ECHOSTAR CORP 4,971 UNCH $82
     SATS4,971UNCH$82
NLIGHT INC 6,032 UNCH $81
     LASR6,032UNCH$81
OPKO HEALTH INC 54,068 UNCH $81
     OPK54,068UNCH$81
RCI HOSPITALITY HLDGS INC 1,236 UNCH $81
     RICK1,236UNCH$81
INTERNATIONAL GAME TECHNOLOG 2,938 UNCH $80
     IGT2,938UNCH$80
OPEN LENDING CORP 9,517 UNCH $80
     LPRO9,517UNCH$80
AMERANT BANCORP INC 3,228 UNCH $79
     AMTB3,228UNCH$79
CONNECTONE BANCORP INC 3,451 +1,720 $79
     CNOB3,451+1,720$79
BERRY CORP 11,155 UNCH $78
     BRY11,155UNCH$78
PEABODY ENERGY CORP 3,235 +806 $78
     BTU3,235+806$78
AVIDITY BIOSCIENCES INC 8,652 UNCH $78
     RNA8,652UNCH$78
REPAY HLDGS CORP 9,134 +4,749 $78
     RPAY9,134+4,749$78
TIDEWATER INC NEW 1,091 UNCH $78
     TDW1,091UNCH$78
ORLA MNG LTD NEW 23,925 UNCH $77
     ORLA23,925UNCH$77
UNIVERSAL INS HLDGS INC 4,836 +2,084 $77
     UVE4,836+2,084$77
SEABRIDGE GOLD INC 6,346 UNCH $76
     SA6,346UNCH$76
ZENTALIS PHARMACEUTICALS INC 5,018 UNCH $76
     ZNTL5,018UNCH$76
EVENTBRITE INC 8,992 UNCH $75
     EB8,992UNCH$75
ZUMIEZ INC 3,732 UNCH $75
     ZUMZ3,732UNCH$75
FORESTAR GROUP INC 2,259 +1,156 $74
     FOR2,259+1,156$74
CANADA GOOSE HLDGS INC 6,142 -1,146 $73
     GOOS6,142-1,146$73
BEYOND INC 4,376 UNCH $73
     OSTK4,376UNCH$73
WW INTL INC 8,365 +2,465 $73
     WW8,365+2,465$73
ACCOLADE INC 5,968 UNCH $71
     ACCD5,968UNCH$71
IDT CORP 2,099 +1,131 $71
     IDT2,099+1,131$71
UNITED STS LIME & MINERALS I 308 UNCH $71
     USLM308UNCH$71
GOPRO INC 20,253 UNCH $70
     GPRO20,253UNCH$70
SCHOLAR ROCK HLDG CORP 3,777 +2,635 $70
     SRRK3,777+2,635$70
ARTESIAN RES CORP 1,694 UNCH $69
     ARTNA1,694UNCH$69
YORK WTR CO 1,812 UNCH $69
     YORW1,812UNCH$69
ASTRONICS CORP 3,945 UNCH $68
     ATRO3,945UNCH$68
BLUE BIRD CORP 2,542 +1,585 $68
     BLBD2,542+1,585$68
A MARK PRECIOUS METALS INC 2,240 UNCH $67
     AMRK2,240UNCH$67
GREAT SOUTHN BANCORP INC 1,134 UNCH $67
     GSBC1,134UNCH$67
UNITED STATES CELLULAR CORP 1,615 -19,118 $67
     USM1,615-19,118$67
MIDLAND STATES BANCORP INC 2,434 -109 $66
     MSBI2,434-109$66
NIKOLA CORP 75,464 +29,259 $66
     NKLA75,464+29,259$66
REVANCE THERAPEUTICS INC 7,525 UNCH $66
     RVNC7,525UNCH$66
FIRST CMNTY BANKSHARES INC V (FCBC) 1,757 -5,050 $65
     FCBC1,757-5,050$65
MASTERCRAFT BOAT HLDGS INC 2,890 UNCH $65
     MCFT2,890UNCH$65
MANITOWOC CO INC 3,874 +2,102 $64
     MTW3,874+2,102$64
STAR GROUP L P 5,630 UNCH $64
     SGU5,630UNCH$64
WASHINGTON TR BANCORP INC 1,978 -85 $64
     WASH1,978-85$64
ACM RESH INC 3,268 -3,361 $63
     ACMR3,268-3,361$63
DENNYS CORP 5,873 +3,735 $63
     DENN5,873+3,735$63
SMITH & WESSON BRANDS INC 4,692 +2,239 $63
     SWBI4,692+2,239$63
THOUGHTWORKS HOLDING INC 13,264 UNCH $63
     TWKS13,264UNCH$63
ALECTOR INC 7,785 +4,930 $62
     ALEC7,785+4,930$62
INDEPENDENT BK CORP MICH 2,357 -99 $62
     IBCP2,357-99$62
TRAVERE THERAPEUTICS INC 6,902 -33,272 $62
     TVTX6,902-33,272$62
REV GROUP INC 3,382 +1,889 $61
     REVG3,382+1,889$61
IES HLDGS INC 756 UNCH $60
     IESC756UNCH$60
VIRGIN GALACTIC HOLDINGS INC 24,673 UNCH $60
     SPCE24,673UNCH$60
ECOPETROL S A 5,014 -32,870 $59
     EC5,014-32,870$59
MICROVISION INC DEL 22,238 +13,322 $59
     MVIS22,238+13,322$59
VITAL FARMS INC 3,761 +2,789 $59
     VITL3,761+2,789$59
HYSTER YALE MATLS HANDLING I 933 -761 $58
     HY933-761$58
ORTHOFIX MED INC 4,313 -29,568 $58
     OFIX4,313-29,568$58
FLUSHING FINL CORP 3,500 -151 $57
     FFIC3,500-151$57
FIRST FINL CORP IND 1,333 +690 $57
     THFF1,333+690$57
NOVAVAX INC 11,824 -4,204 $56
     NVAX11,824-4,204$56
LSB INDS INC 5,805 +2,977 $54
     LXU5,805+2,977$54
CAMBRIDGE BANCORP 760 +437 $52
     CATC760+437$52
BAR HBR BANKSHARES (BHB) 1,752 -71 $51
     BHB1,752-71$51
HBT FINL INC. 2,448 -12,665 $51
     HBT2,448-12,665$51
BEL FUSE INC 760 UNCH $50
     BELFB760UNCH$50
GORMAN RUPP CO 1,395 -1,971 $49
     GRC1,395-1,971$49
TELLURIAN INC NEW 65,392 UNCH $49
     TELL65,392UNCH$49
DOCEBO INC 1,003 -1,379 $48
     DCBO1,003-1,379$48
MIDWESTONE FINL GROUP INC NE 1,829 +871 $48
     MOFG1,829+871$48
TETRA TECHNOLOGIES INC DEL 10,703 +5,150 $48
     TTI10,703+5,150$48
AMER SOFTWARE INC 4,091 +1,952 $46
     AMSWA4,091+1,952$46
NORTH AMERN CONSTR GROUP LTD 2,215 +1,365 $46
     NOA2,215+1,365$46
SANDRIDGE ENERGY INC 3,420 +1,977 $46
     SD3,420+1,977$46
CANADIAN SOLAR INC 1,707 -83 $45
     CSIQ1,707-83$45
AMNEAL PHARMACEUTICALS INC 6,973 +6,973 $42
     AMRX6,973+6,973$42
PREFORMED LINE PRODS CO 306 +197 $40
     PLPC306+197$40
COHERUS BIOSCIENCES INC 11,699 -58,193 $39
     CHRS11,699-58,193$39
W & T OFFSHORE INC 12,132 +7,702 $39
     WTI12,132+7,702$39
DECIPHERA PHARMACEUTICALS IN 2,346 UNCH $38
     DCPH2,346UNCH$38
REPLIMUNE GROUP INC 4,393 UNCH $37
     REPL4,393UNCH$37
TARGET HOSPITALITY CORP 3,827 +1,917 $37
     TH3,827+1,917$37
FATE THERAPEUTICS INC 9,600 -676 $36
     FATE9,600-676$36
FIRST MID ILL BANCSHARES INC (FMBH) 1,044 UNCH $36
     FMBH1,044UNCH$36
MID PENN BANCORP INC 1,471 +943 $36
     MPB1,471+943$36
GENIE ENERGY LTD 1,226 +1,226 $34
     GNE1,226+1,226$34
ANTERIX INC 974 UNCH $32
     ATEX974UNCH$32
DONEGAL GROUP INC 2,270 -128 $32
     DGICA2,270-128$32
ALLOGENE THERAPEUTICS INC 9,588 -2,583 $31
     ALLO9,588-2,583$31
FUTUREFUEL CORP 5,119 +2,438 $31
     FF5,119+2,438$31
HACKETT GROUP INC 1,332 UNCH $30
     HCKT1,332UNCH$30
HARBORONE BANCORP INC NEW 2,414 UNCH $29
     HONE2,414UNCH$29
RAPT THERAPEUTICS INC 1,159 UNCH $29
     RAPT1,159UNCH$29
ARROW FINL CORP 974 -940 $27
     AROW974-940$27
CROSSFIRST BANKSHARES INC (CFB) 2,018 UNCH $27
     CFB2,018UNCH$27
ALERUS FINL CORP 1,163 +1,163 $26
     ALRS1,163+1,163$26
ALTO INGREDIENTS INC 9,750 +649 $26
     ALTO9,750+649$26
CRITEO S A 1,043 -1,043 $26
     CRTO1,043-1,043$26
GENESCO INC 729 UNCH $26
     GCO729UNCH$26
PHATHOM PHARMACEUTICALS INC 2,839 UNCH $26
     PHAT2,839UNCH$26
SHORE BANCSHARES INC (SHBI) 1,821 +1,821 $26
     SHBI1,821+1,821$26
PENNANT GROUP INC 1,797 UNCH $25
     PNTG1,797UNCH$25
SUMMIT FINL GROUP INC 824 +824 $25
     SMMF824+824$25
ASTRAZENECA PLC 360 -700 $24
     AZN360-700$24
BALLYS CORPORATION 1,772 UNCH $24
     BALY1,772UNCH$24
GREENE CNTY BANCORP INC 872 UNCH $24
     GCBC872UNCH$24
VISHAY PRECISION GROUP INC 695 UNCH $24
     VPG695UNCH$24
BUSINESS FIRST BANCSHARES IN (BFST) 951 UNCH $23
     BFST951UNCH$23
CRONOS GROUP INC 10,570 UNCH $22
     CRON10,570UNCH$22
GCM GROSVENOR INC 2,441 -214 $22
     GCMG2,441-214$22
GENMAB A S 700 -244 $22
     GMAB700-244$22
GLADSTONE LD CORP 1,565 UNCH $22
     LAND1,565UNCH$22
NVE CORP 275 -24 $22
     NVEC275-24$22
PEAPACK GLADSTONE FINL CORP 739 UNCH $22
     PGC739UNCH$22
SUNOPTA INC 4,039 -5,506 $22
     STKL4,039-5,506$22
TIPTREE INC 1,182 UNCH $22
     TIPT1,182UNCH$22
TEJON RANCH CO 1,284 UNCH $22
     TRC1,284UNCH$22
ALLIENT INC 622 UNCH $21
     AMOT622UNCH$21
BANK MARIN BANCORP 933 +115 $21
     BMRC933+115$21
CAPITAL CITY BK GROUP INC 702 UNCH $21
     CCBG702UNCH$21
CITIZENS & NORTHN CORP 915 -80 $21
     CZNC915-80$21
RBB BANCORP 1,082 +1,082 $21
     RBB1,082+1,082$21
WEST BANCORPORATION INC 997 -90 $21
     WTBA997-90$21
SIERRA BANCORP 886 -81 $20
     BSRR886-81$20
COVENANT LOGISTICS GROUP INC 448 UNCH $20
     CVLG448UNCH$20
EQUITY BANCSHARES INC (EQBK) 601 UNCH $20
     EQBK601UNCH$20
FINANCIAL INSTNS INC 933 -80 $20
     FISI933-80$20
NORTHRIM BANCORP INC 344 -29 $20
     NRIM344-29$20
QURATE RETAIL INC 23,679 -39,480 $20
     QRTEA23,679-39,480$20
RMR GROUP INC 710 -5 $20
     RMR710-5$20
BOSTON OMAHA CORP 1,232 UNCH $19
     BOC1,232UNCH$19
CARRIAGE SVCS INC 745 UNCH $19
     CSV745UNCH$19
COMMUNITY HEALTH SYS INC NEW 6,182 -108,974 $19
     CYH6,182-108,974$19
1 800 FLOWERS COM INC 1,783 UNCH $19
     FLWS1,783UNCH$19
FARMERS & MERCHANTS BANCORP 782 +782 $19
     FMAO782+782$19
FIRST BANCORP INC ME 681 -62 $19
     FNLC681-62$19
METROCITY BANKSHARES INC (MCBS) 792 UNCH $19
     MCBS792UNCH$19
PEOPLES FINL SVCS CORP 400 +400 $19
     PFIS400+400$19
TPG RE FIN TR INC 2,902 UNCH $19
     TRTX2,902UNCH$19
THE AARONS COMPANY INC 1,666 -1,426 $18
     AAN1,666-1,426$18
EVOLUS INC 1,731 UNCH $18
     EOLS1,731UNCH$18
FIRST LONG IS CORP 1,396 -123 $18
     FLIC1,396-123$18
INVESTORS TITLE CO NC 114 +114 $18
     ITIC114+114$18
MAGIC SOFTWARE ENTERPRISES L 1,865 UNCH $18
     MGIC1,865UNCH$18
ONESPAN INC 1,687 -30,662 $18
     OSPN1,687-30,662$18
PCB BANCORP 965 -85 $18
     PCB965-85$18
SILVERCORP METALS INC 6,976 UNCH $18
     SVM6,976UNCH$18
WATERSTONE FINL INC MD 1,279 -114 $18
     WSBF1,279-114$18
AIR TRANSPORT SERVICES GRP I 986 UNCH $17
     ATSG986UNCH$17
MAGNACHIP SEMICONDUCTOR CORP 2,306 UNCH $17
     MX2,306UNCH$17
SOLARIS OILFIELD INFRASTRUCT 2,096 -184 $17
     SOI2,096-184$17
VILLAGE SUPER MKT INC 630 -57 $17
     VLGEA630-57$17
ANAPTYSBIO INC 750 UNCH $16
     ANAB750UNCH$16
CIVISTA BANCSHARES INC (CIVB) 877 +877 $16
     CIVB877+877$16
NORWOOD FINL CORP 484 -42 $16
     NWFL484-42$16
SOUTH PLAINS FINANCIAL INC 572 UNCH $16
     SPFI572UNCH$16
TASEKO MINES LTD 11,531 UNCH $16
     TGB11,531UNCH$16
JINKOSOLAR HLDG CO LTD 406 -2,099 $15
     JKS406-2,099$15
PARKE BANCORP INC 750 -66 $15
     PKBK750-66$15
REPUBLIC BANCORP INC KY 274 UNCH $15
     RBCAA274UNCH$15
LUTHER BURBANK CORP 1,306 UNCH $14
     LBC1,306UNCH$14
LINDBLAD EXPEDITIONS HLDGS I 1,218 UNCH $14
     LIND1,218UNCH$14
OLAPLEX HLDGS INC 5,604 UNCH $14
     OLPX5,604UNCH$14
SENECA FOODS CORP NEW 278 UNCH $14
     SENEA278UNCH$14
SMARTFINANCIAL INC 588 UNCH $14
     SMBK588UNCH$14
JOHNSON OUTDOORS INC 244 UNCH $13
     JOUT244UNCH$13
SIGA TECHNOLOGIES INC 2,265 UNCH $13
     SIGA2,265UNCH$13
UNIVERSAL LOGISTICS HLDGS IN 477 UNCH $13
     ULH477UNCH$13
WIDEOPENWEST INC 3,145 UNCH $13
     WOW3,145UNCH$13
HINGHAM INSTN SVGS MASS 60 UNCH $11
     HIFS60UNCH$11
OMEGA FLEX INC 159 UNCH $11
     OFLX159UNCH$11
STOKE THERAPEUTICS INC 2,110 -858 $11
     STOK2,110-858$11
ANGI INC 3,889 UNCH $10
     ANGI3,889UNCH$10
ITEOS THERAPEUTICS INC 785 -20,610 $9
     ITOS785-20,610$9
PRECIGEN INC 6,020 -6,369 $8
     PGEN6,020-6,369$8
ENTERPRISE PRODS PARTNERS L 102 +102 $3
     EPD102+102$3
ACLARIS THERAPEUTICS INC 1,944 UNCH $2
     ACRS1,944UNCH$2
BRT APARTMENTS CORP 111 -10 $2
     BRT111-10$2
MPLX LP 46 +46 $2
     MPLX46+46$2
BM TECHNOLOGIES INC 286 +0 $1
     BMTX286UNCH$1
ALICO INC $0 (exited)
     ALCO0-414$0
ALLAKOS INC $0 (exited)
     ALLK0-3,221$0
ALLOVIR INC $0 (exited)
     ALVR0-1,972$0
AMERICAN NATL BANKSHARES INC $0 (exited)
     AMNB0-686$0
ANGIODYNAMICS INC $0 (exited)
     ANGO0-1,890$0
ANIKA THERAPEUTICS INC $0 (exited)
     ANIK0-2,962$0
ARCUTIS BIOTHERAPEUTICS INC $0 (exited)
     ARQT0-2,159$0
AMES NATL CORP $0 (exited)
     ATLO0-443$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-631,169$0
AMERICAN VANGUARD CORP $0 (exited)
     AVD0-23,648$0
AVANTAX INC $0 (exited)
     AVTA0-31,766$0
AXOGEN INC $0 (exited)
     AXGN0-9,826$0
BANDWIDTH INC $0 (exited)
     BAND0-1,287$0
BCB BANCORP INC $0 (exited)
     BCBP0-1,120$0
BROOKFIELD RENEWABLE CORP $0 (exited)
     BEPC0-128,487$0
BUNGE LIMITED $0 (exited)
     BG0-172,174$0
BIG 5 SPORTING GOODS CORP $0 (exited)
     BGFV0-1,551$0
BLINK CHARGING CO $0 (exited)
     BLNK0-1,832,019$0
BLUEBIRD BIO INC $0 (exited)
     BLUE0-3,860$0
BIOXCEL THERAPEUTICS INC $0 (exited)
     BTAI0-736$0
CHASE CORP $0 (exited)
     CCF0-4,523$0
CAREDX INC $0 (exited)
     CDNA0-42,479$0
CERUS CORP $0 (exited)
     CERS0-112,487$0
CITY OFFICE REIT INC $0 (exited)
     CIO0-25,703$0
CIRCOR INTL INC $0 (exited)
     CIR0-17,122$0
COMPX INTL INC $0 (exited)
     CIX0-830$0
CLARUS CORP NEW $0 (exited)
     CLAR0-1,661$0
COMTECH TELECOMMUNICATIONS C $0 (exited)
     CMTL0-1,620$0
COMPUTER PROGRAMS & SYS INC $0 (exited)
     CPSI0-7,924$0
CUTERA INC $0 (exited)
     CUTR0-18,103$0
DISH NETWORK CORPORATION $0 (exited)
     DISH0-366,404$0
EBIX INC $0 (exited)
     EBIX0-18,776$0
EMERGENT BIOSOLUTIONS INC $0 (exited)
     EBS0-26,351$0
ENANTA PHARMACEUTICALS INC $0 (exited)
     ENTA0-11,404$0
EVOLUTION PETE CORP $0 (exited)
     EPM0-2,379$0
EURONAV NV $0 (exited)
     EURN0-17,483$0
EVANS BANCORP INC $0 (exited)
     EVBN0-283$0
FARO TECHNOLOGIES INC $0 (exited)
     FARO0-9,635$0
FIRST FNDTN INC $0 (exited)
     FFWM0-2,515$0
FISERV INC $0 (exited)
     FISV0-545,124$0
HAWAIIAN HOLDINGS INC $0 (exited)
     HA0-44,188$0
HERITAGE CRYSTAL CLEAN INC $0 (exited)
     HCCI0-3,509$0
HOMESTREET INC $0 (exited)
     HMST0-1,184$0
ENVIRI CORP $0 (exited)
     HSC0-71,151$0
HERSHA HOSPITALITY TR $0 (exited)
     HT0-22,181$0
INTERCEPT PHARMACEUTICALS IN $0 (exited)
     ICPT0-1,892$0
IGM BIOSCIENCES INC $0 (exited)
     IGMS0-569$0
INDUSTRIAL LOGISTICS PPTYS T $0 (exited)
     ILPT0-40,815$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-61,290$0
LITHIUM AMERS CORP NEW $0 (exited)
     LAC0-8,857$0
LCNB CORP $0 (exited)
     LCNB0-563$0
EL POLLO LOCO HLDGS INC $0 (exited)
     LOCO0-1,490$0
LOVESAC COMPANY $0 (exited)
     LOVE0-5,417$0
LIVEPERSON INC $0 (exited)
     LPSN0-3,674$0
LUFAX HOLDING LTD $0 (exited)
     LU0-880,412$0
LEXICON PHARMACEUTICALS INC $0 (exited)
     LXRX0-4,635$0
MBIA INC $0 (exited)
     MBI0-2,782$0
SERES THERAPEUTICS INC $0 (exited)
     MCRB0-42,609$0
MERSANA THERAPEUTICS INC $0 (exited)
     MRSN0-44,554$0
NATIONAL INSTRS CORP $0 (exited)
     NATI0-92,900$0
NEW RELIC INC $0 (exited)
     NEWR0-79,957$0
NATURAL GROCERS BY VITAMIN C $0 (exited)
     NGVC0-1,509$0
NATIONAL BANKSHARES INC VA $0 (exited)
     NKSH0-311$0
NL INDS INC $0 (exited)
     NL0-3,076$0
NURIX THERAPEUTICS INC $0 (exited)
     NRIX0-1,891$0
NANOSTRING TECHNOLOGIES INC $0 (exited)
     NSTG0-3,979$0
INVITAE CORP $0 (exited)
     NVTA0-28,534$0
NEXTGEN HEALTHCARE INC $0 (exited)
     NXGN0-58,451$0
ORIGIN BANCORP INC $0 (exited)
     OBNK0-3,064$0
ORGANON & CO $0 (exited)
     OGN0-79,684$0
BLUE OWL CAPITAL CORPORATION $0 (exited)
     ORCC0-381,733$0
PACWEST BANCORP DEL $0 (exited)
     PACW0-133,002$0
PETMED EXPRESS INC $0 (exited)
     PETS0-2,245$0
PARK AEROSPACE CORP $0 (exited)
     PKE0-1,298$0
REVVITY INC $0 (exited)
     PKI0-65,740$0
EVEREST GROUP LTD $0 (exited)
     RE0-31,694$0
RGC RES INC $0 (exited)
     RGCO0-659$0
RE MAX HLDGS INC $0 (exited)
     RMAX0-7,309$0
RPT REALTY $0 (exited)
     RPT0-176,387$0
REPARE THERAPEUTICS INC $0 (exited)
     RPTX0-676$0
RACKSPACE TECHNOLOGY INC $0 (exited)
     RXT0-2,840$0
SEAGEN INC $0 (exited)
     SGEN0-69,894$0
SILK RD MED INC $0 (exited)
     SILK0-21,936$0
SILICON MOTION TECHNOLOGY CO $0 (exited)
     SIMO0-23,830$0
SOUNDTHINKING INC $0 (exited)
     SSTI0-553$0
TERRITORIAL BANCORP INC $0 (exited)
     TBNK0-459$0
TACTILE SYS TECHNOLOGY INC $0 (exited)
     TCMD0-1,639$0
TPI COMPOSITES INC $0 (exited)
     TPIC0-6,937$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-115,351$0
2U INC $0 (exited)
     TWOU0-4,164$0
VMWARE INC $0 (exited)
     VMW0-203,127$0
VANDA PHARMACEUTICALS INC $0 (exited)
     VNDA0-63,502$0
VIPER ENERGY PARTNERS LP $0 (exited)
     VNOM0-16,457$0
VIEWRAY INC $0 (exited)
     VRAY0-41,072$0
VERITIV CORP $0 (exited)
     VRTV0-14,563$0
WEYCO GROUP INC $0 (exited)
     WEYS0-613$0
ZYNEX INC 0 -1,221 $0 (exited)
     ZYXI0-1,221$0

See Summary: Great West Life Assurance Co. Can Top Holdings
See Details: Top 10 Stocks Held By Great West Life Assurance Co. Can

EntityShares/Amount
Change
Position Value
Change
FI +499,849+$66,083
EG +40,204+$14,144
JAZZ +80,654+$9,887
RVTY +69,687+$7,587
RPRX +269,966+$7,538
OBDC +346,649+$5,085
WKC +73,124+$1,660
NVRI +68,513+$616
UGP +112,689+$607
CECO +21,429+$431
EntityShares/Amount
Change
Position Value
Change
FISV -545,124-$61,595
ATVI -631,169-$59,100
VMW -203,127-$33,811
BG -172,174-$18,631
SGEN -69,894-$14,832
RE -31,694-$11,781
PKI -65,740-$7,275
NEWR -79,957-$6,846
BLNK -1,832,019-$5,588
NATI -92,900-$5,540
EntityShares/Amount
Change
Position Value
Change
KVUE +1,445,814+$33,285
ABEV +998,444+$4,230
PCG +989,501+$21,301
CRH +485,850+$76,790
ABBV +407,116+$70,347
UBER +374,560+$39,112
AMZN +372,860+$213,344
AGEN +338,856+$267
INTC +310,861+$71,092
TD +286,079+$24,299
EntityShares/Amount
Change
Position Value
Change
TSM -10,145,370-$850,201
NTES -6,482,258-$651,201
RYAAY -4,712,860-$431,229
FCEL -3,538,899-$4,465
PDD -3,457,807-$295,346
IQ -2,455,523-$11,588
BEKE -2,362,479-$36,211
TAL -2,328,248-$17,938
NIO -1,993,771-$18,007
Size ($ in 1000's)
At 12/31/2023: $45,513,619
At 09/30/2023: $43,842,017

Combined Holding Report Includes:
GREAT WEST LIFE ASSURANCE CO CAN
Value Partners Investments Inc.
Irish Life Investment Managers Ltd.
SETANTA ASSET MANAGEMENT
Canada Life Asset Management Ltd

Great West Life Assurance Co. Can holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Great West Life Assurance Co. Can 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Great West Life Assurance Co. Can | www.HoldingsChannel.com

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