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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 479,556 +15,701 $180,332
     MSFT479,556+15,701$180,332
APPLE INC 936,443 -1,434 $180,293
     AAPL936,443-1,434$180,293
AMAZON COM INC 576,587 +17,360 $87,607
     AMZN576,587+17,360$87,607
META PLATFORMS INC 223,788 +4,025 $79,212
     META223,788+4,025$79,212
ALPHABET INC 501,569 +6,049 $70,064
     GOOGL501,569+6,049$70,064
NVIDIA CORPORATION 128,618 +2,364 $63,694
     NVDA128,618+2,364$63,694
MERCK & CO INC 475,137 +48,596 $51,799
     MRK475,137+48,596$51,799
ELI LILLY & CO 82,798 -2,251 $48,265
     LLY82,798-2,251$48,265
EXXON MOBIL CORP 473,202 +9,750 $47,311
     XOM473,202+9,750$47,311
JOHNSON & JOHNSON 295,400 +12,476 $46,301
     JNJ295,400+12,476$46,301
ALPHABET INC 315,852 +3,292 $44,513
     GOOG315,852+3,292$44,513
BERKSHIRE HATHAWAY INC DEL      $43,870
     BRK.B123,002+53,673$43,870
COSTCO WHSL CORP NEW 62,318 +3,296 $41,135
     COST62,318+3,296$41,135
SYNOPSYS INC 78,968 -2,337 $40,661
     SNPS78,968-2,337$40,661
PROCTER AND GAMBLE CO 262,498 +17,323 $38,466
     PG262,498+17,323$38,466
UNITEDHEALTH GROUP INC 71,006 -517 $37,383
     UNH71,006-517$37,383
JPMORGAN CHASE & CO 208,208 +28,034 $35,416
     JPM208,208+28,034$35,416
VERTEX PHARMACEUTICALS INC 86,720 +3,033 $35,286
     VRTX86,720+3,033$35,286
ADOBE INC 53,278 +5,749 $31,786
     ADBE53,278+5,749$31,786
BRISTOL MYERS SQUIBB CO 614,981 +75,592 $31,555
     BMY614,981+75,592$31,555
WALMART INC 194,539 -67,381 $30,669
     WMT194,539-67,381$30,669
MASTERCARD INCORPORATED 71,822 +5,071 $30,633
     MA71,822+5,071$30,633
AMGEN INC 105,853 +5,373 $30,488
     AMGN105,853+5,373$30,488
ABBVIE INC 186,405 +26,419 $28,887
     ABBV186,405+26,419$28,887
APPLIED MATLS INC 177,866 +31,534 $28,827
     AMAT177,866+31,534$28,827
VERIZON COMMUNICATIONS INC 747,910 -7,255 $28,196
     VZ747,910-7,255$28,196
CHEVRON CORP NEW 181,875 +7,406 $27,128
     CVX181,875+7,406$27,128
TESLA INC 108,319 UNCH $26,915
     TSLA108,319UNCH$26,915
HOME DEPOT INC 76,977 -15,703 $26,676
     HD76,977-15,703$26,676
GARTNER INC 57,446 +2,210 $25,914
     IT57,446+2,210$25,914
COMCAST CORP NEW 587,011 +58,113 $25,740
     CMCSA587,011+58,113$25,740
COLGATE PALMOLIVE CO 320,921 -34,549 $25,581
     CL320,921-34,549$25,581
QUALCOMM INC 174,420 +20,025 $25,226
     QCOM174,420+20,025$25,226
PEPSICO INC 147,790 -46,309 $25,101
     PEP147,790-46,309$25,101
WELLS FARGO CO NEW 506,707 +75,646 $24,940
     WFC506,707+75,646$24,940
CADENCE DESIGN SYSTEM INC 90,255 -1,399 $24,583
     CDNS90,255-1,399$24,583
CVS HEALTH CORP 310,294 +17,332 $24,501
     CVS310,294+17,332$24,501
ACCENTURE PLC IRELAND 68,534 +11,440 $24,049
     ACN68,534+11,440$24,049
REGENERON PHARMACEUTICALS 27,336 -142 $24,009
     REGN27,336-142$24,009
MARATHON PETE CORP 161,817 -26,828 $24,007
     MPC161,817-26,828$24,007
BROADCOM INC 21,260 -3,795 $23,731
     AVGO21,260-3,795$23,731
BANK NEW YORK MELLON CORP 451,889 +57,211 $23,521
     BK451,889+57,211$23,521
CONSOLIDATED EDISON INC 254,088 +14,587 $23,114
     ED254,088+14,587$23,114
MEDTRONIC PLC 277,768 +54,544 $22,883
     MDT277,768+54,544$22,883
NVR INC 3,230 -20 $22,611
     NVR3,230-20$22,611
CISCO SYS INC 432,588 -236,275 $21,854
     CSCO432,588-236,275$21,854
DUKE ENERGY CORP NEW 224,828 +48,132 $21,817
     DUK224,828+48,132$21,817
NUCOR CORP 123,470 +3,577 $21,489
     NUE123,470+3,577$21,489
KRAFT HEINZ CO 578,590 +52,782 $21,396
     KHC578,590+52,782$21,396
CONOCOPHILLIPS 182,835 +15,008 $21,222
     COP182,835+15,008$21,222
NETAPP INC 240,382 +29,404 $21,192
     NTAP240,382+29,404$21,192
T MOBILE US INC 131,416 +4,280 $21,070
     TMUS131,416+4,280$21,070
KIMBERLY CLARK CORP 171,096 -2,962 $20,790
     KMB171,096-2,962$20,790
ABBOTT LABS 186,718 +15,598 $20,552
     ABT186,718+15,598$20,552
ELEVANCE HEALTH INC 42,766 -5,317 $20,167
     ELV42,766-5,317$20,167
LULULEMON ATHLETICA INC 39,237 -400 $20,061
     LULU39,237-400$20,061
OREILLY AUTOMOTIVE INC 20,739 +2,399 $19,704
     ORLY20,739+2,399$19,704
D R HORTON INC 128,895 +10,338 $19,589
     DHI128,895+10,338$19,589
MONSTER BEVERAGE CORP NEW 338,778 +51,358 $19,517
     MNST338,778+51,358$19,517
GILEAD SCIENCES INC 239,358 -79,102 $19,390
     GILD239,358-79,102$19,390
SYNCHRONY FINANCIAL 501,932 +46,036 $19,169
     SYF501,932+46,036$19,169
VISA INC 73,271 +1,528 $19,076
     V73,271+1,528$19,076
AT&T INC 1,117,192 +43,633 $18,746
     T1,117,192+43,633$18,746
FAIR ISAAC CORP 16,022 +1,879 $18,650
     FICO16,022+1,879$18,650
BUILDERS FIRSTSOURCE INC 109,468 -6,519 $18,275
     BLDR109,468-6,519$18,275
ALLSTATE CORP 130,440 +6,704 $18,259
     ALL130,440+6,704$18,259
ATLASSIAN CORPORATION 76,139 +13,740 $18,110
     TEAM76,139+13,740$18,110
TARGET CORP 122,346 +51,217 $17,425
     TGT122,346+51,217$17,425
GRAINGER W W INC 20,824 -1,109 $17,257
     GWW20,824-1,109$17,257
AKAMAI TECHNOLOGIES INC 143,027 +28,985 $16,927
     AKAM143,027+28,985$16,927
ELECTRONIC ARTS INC 123,411 +27,424 $16,884
     EA123,411+27,424$16,884
LENNAR CORP      $16,864
     LEN99,127+316$14,774
     LEN.B15,588-3,240$2,090
PFIZER INC 585,078 -9,694 $16,844
     PFE585,078-9,694$16,844
CHUBB LIMITED 74,467 +17,780 $16,830
     CB74,467+17,780$16,830
OTIS WORLDWIDE CORP 185,300 UNCH $16,579
     OTIS185,300UNCH$16,579
KLA CORP 28,433 +4,103 $16,528
     KLAC28,433+4,103$16,528
KEYSIGHT TECHNOLOGIES INC 102,324 +22,163 $16,279
     KEYS102,324+22,163$16,279
ATMOS ENERGY CORP 138,150 +59,979 $16,012
     ATO138,150+59,979$16,012
DOLLAR TREE INC 112,540 +38,517 $15,986
     DLTR112,540+38,517$15,986
ISHARES TR (IVV) 32,500 +10,122 $15,523
     IVV32,500+10,122$15,523
INTEL CORP 298,175 -93,335 $14,983
     INTC298,175-93,335$14,983
DIAMONDBACK ENERGY INC 96,409 +3,532 $14,951
     FANG96,409+3,532$14,951
INCYTE CORP 236,144 UNCH $14,827
     INCY236,144UNCH$14,827
SPOTIFY TECHNOLOGY S A 78,587 -8,283 $14,767
     SPOT78,587-8,283$14,767
DTE ENERGY CO 133,656 +14,546 $14,737
     DTE133,656+14,546$14,737
XCEL ENERGY INC 237,519 +19,272 $14,705
     XEL237,519+19,272$14,705
RELIANCE STEEL & ALUMINUM CO 52,183 -6,374 $14,595
     RS52,183-6,374$14,595
COCA COLA CO 246,829 +1,412 $14,546
     KO246,829+1,412$14,546
HARTFORD FINL SVCS GROUP INC 180,374 +20,462 $14,498
     HIG180,374+20,462$14,498
EDISON INTL 201,151 +97,481 $14,380
     EIX201,151+97,481$14,380
HEWLETT PACKARD ENTERPRISE C 841,375 +43,941 $14,287
     HPE841,375+43,941$14,287
ARISTA NETWORKS INC 60,515 +5,386 $14,252
     ANET60,515+5,386$14,252
LAM RESEARCH CORP 18,184 +4,819 $14,243
     LRCX18,184+4,819$14,243
PACCAR INC 145,728 +8,320 $14,230
     PCAR145,728+8,320$14,230
TRAVELERS COMPANIES INC 74,320 -16,838 $14,157
     TRV74,320-16,838$14,157
MOLINA HEALTHCARE INC 38,417 +2,826 $13,880
     MOH38,417+2,826$13,880
EOG RES INC 114,591 +26,043 $13,860
     EOG114,591+26,043$13,860
COGNIZANT TECHNOLOGY SOLUTIO 181,632 -21,197 $13,719
     CTSH181,632-21,197$13,719
CLOROX CO DEL 95,903 -11,047 $13,675
     CLX95,903-11,047$13,675
CUMMINS INC 56,897 -3,622 $13,631
     CMI56,897-3,622$13,631
NIKE INC 124,880 +11,823 $13,558
     NKE124,880+11,823$13,558
TRACTOR SUPPLY CO 63,003 -19,102 $13,548
     TSCO63,003-19,102$13,548
MARKEL GROUP INC 9,540 +3,040 $13,546
     MKL9,540+3,040$13,546
PHILLIPS 66 101,654 -33,615 $13,534
     PSX101,654-33,615$13,534
CINTAS CORP 22,391 +820 $13,494
     CTAS22,391+820$13,494
UBER TECHNOLOGIES INC 218,051 -8,298 $13,425
     UBER218,051-8,298$13,425
MONOLITHIC PWR SYS INC 21,265 +2,498 $13,414
     MPWR21,265+2,498$13,414
FASTENAL CO 204,835 +37,503 $13,267
     FAST204,835+37,503$13,267
ULTA BEAUTY INC 27,037 +1,662 $13,248
     ULTA27,037+1,662$13,248
ILLINOIS TOOL WKS INC 50,530 -12,329 $13,236
     ITW50,530-12,329$13,236
EVERSOURCE ENERGY 213,750 +91,765 $13,193
     ES213,750+91,765$13,193
PPG INDS INC 87,085 +1,662 $13,024
     PPG87,085+1,662$13,024
KINDER MORGAN INC DEL 737,820 +136,902 $13,015
     KMI737,820+136,902$13,015
PINTEREST INC 351,203 -48,279 $13,009
     PINS351,203-48,279$13,009
FEDEX CORP 51,306 +5,188 $12,979
     FDX51,306+5,188$12,979
HUBSPOT INC 22,323 +2,425 $12,959
     HUBS22,323+2,425$12,959
EXPEDITORS INTL WASH INC 101,812 UNCH $12,950
     EXPD101,812UNCH$12,950
BOOKING HOLDINGS INC 3,646 -234 $12,933
     BKNG3,646-234$12,933
HOST HOTELS & RESORTS INC 662,269 +251,112 $12,894
     HST662,269+251,112$12,894
AFLAC INC 155,722 -53,735 $12,847
     AFL155,722-53,735$12,847
BIOGEN INC 49,117 -19,274 $12,710
     BIIB49,117-19,274$12,710
METTLER TOLEDO INTERNATIONAL 10,349 +977 $12,553
     MTD10,349+977$12,553
RESMED INC 72,893 +18,368 $12,539
     RMD72,893+18,368$12,539
CONSTELLATION ENERGY CORP 105,891 +1,274 $12,378
     CEG105,891+1,274$12,378
HOLOGIC INC 173,208 -6,874 $12,376
     HOLX173,208-6,874$12,376
BOSTON SCIENTIFIC CORP 212,631 -5,593 $12,292
     BSX212,631-5,593$12,292
SPLUNK INC 80,399 -6,222 $12,249
     SPLK80,399-6,222$12,249
VERISIGN INC 59,453 -16,457 $12,245
     VRSN59,453-16,457$12,245
TEXTRON INC 152,175 +37,940 $12,238
     TXT152,175+37,940$12,238
AIRBNB INC 88,800 +22,219 $12,089
     ABNB88,800+22,219$12,089
SNAP ON INC 41,789 -1,961 $12,070
     SNA41,789-1,961$12,070
EATON CORP PLC 49,947 +579 $12,028
     ETN49,947+579$12,028
STRYKER CORPORATION 40,077 +749 $12,001
     SYK40,077+749$12,001
OLD DOMINION FREIGHT LINE IN 29,305 +685 $11,878
     ODFL29,305+685$11,878
WATERS CORP 36,055 +2,063 $11,870
     WAT36,055+2,063$11,870
SALESFORCE INC 45,086 +1,880 $11,864
     CRM45,086+1,880$11,864
CMS ENERGY CORP 203,564 +7,188 $11,821
     CMS203,564+7,188$11,821
KEURIG DR PEPPER INC 351,603 -70,863 $11,715
     KDP351,603-70,863$11,715
BOSTON PROPERTIES INC 163,984 -11,201 $11,507
     BXP163,984-11,201$11,507
LOWES COS INC 51,562 -29,763 $11,475
     LOW51,562-29,763$11,475
REALTY INCOME CORP 199,712 +174,017 $11,467
     O199,712+174,017$11,467
KROGER CO 250,506 -46,977 $11,451
     KR250,506-46,977$11,451
FOX CORP 383,885 +19,666 $11,390
     FOXA383,885+19,666$11,390
TERADYNE INC 104,839 +4,603 $11,377
     TER104,839+4,603$11,377
EXELON CORP 315,298 +170,941 $11,319
     EXC315,298+170,941$11,319
VICI PPTYS INC 354,812 -125,913 $11,311
     VICI354,812-125,913$11,311
HUMANA INC 24,579 -10,030 $11,253
     HUM24,579-10,030$11,253
VALERO ENERGY CORP 86,154 +9,944 $11,200
     VLO86,154+9,944$11,200
EVERGY INC 214,411 +7,093 $11,192
     EVRG214,411+7,093$11,192
ALTRIA GROUP INC 276,585 +71,026 $11,157
     MO276,585+71,026$11,157
PACKAGING CORP AMER 68,432 +25,115 $11,148
     PKG68,432+25,115$11,148
F5 INC 61,801 +5,577 $11,061
     FFIV61,801+5,577$11,061
EXPEDIA GROUP INC 72,532 +418 $11,010
     EXPE72,532+418$11,010
AMDOCS LTD 123,278 +4,982 $10,835
     DOX123,278+4,982$10,835
3M CO 97,985 -9,167 $10,712
     MMM97,985-9,167$10,712
NETFLIX INC 21,685 +2,605 $10,558
     NFLX21,685+2,605$10,558
TJX COS INC NEW 112,538 -128,679 $10,557
     TJX112,538-128,679$10,557
AGILENT TECHNOLOGIES INC 75,572 +24,125 $10,507
     A75,572+24,125$10,507
QORVO INC 93,235 -14,471 $10,499
     QRVO93,235-14,471$10,499
ON SEMICONDUCTOR CORP 124,582 -1,604 $10,406
     ON124,582-1,604$10,406
AUTOZONE INC 4,007 -579 $10,361
     AZO4,007-579$10,361
INTUIT 16,493 -9,474 $10,309
     INTU16,493-9,474$10,309
COPART INC 209,929 +76,764 $10,287
     CPRT209,929+76,764$10,287
MASCO CORP 153,446 +31,992 $10,278
     MAS153,446+31,992$10,278
HESS CORP 70,910 +13,542 $10,222
     HES70,910+13,542$10,222
GARMIN LTD 78,742 -3,051 $10,121
     GRMN78,742-3,051$10,121
BUNGE GLOBAL SA 100,038 +29,218 $10,099
     BG100,038+29,218$10,099
WORKDAY INC 36,502 -3,189 $10,077
     WDAY36,502-3,189$10,077
EBAY INC. 229,406 -8,796 $10,007
     EBAY229,406-8,796$10,007
SMUCKER J M CO 78,578 +57,030 $9,931
     SJM78,578+57,030$9,931
PPL CORP 362,347 -8,474 $9,820
     PPL362,347-8,474$9,820
ARCHER DANIELS MIDLAND CO 135,753 -26,549 $9,804
     ADM135,753-26,549$9,804
LKQ CORP 204,264 -29,412 $9,762
     LKQ204,264-29,412$9,762
MOTOROLA SOLUTIONS INC 31,146 +336 $9,752
     MSI31,146+336$9,752
CHURCH & DWIGHT CO INC 102,528 +12,478 $9,695
     CHD102,528+12,478$9,695
WELLTOWER INC 107,247 +93,781 $9,670
     WELL107,247+93,781$9,670
ADVANCED MICRO DEVICES INC 64,789 UNCH $9,551
     AMD64,789UNCH$9,551
SYSCO CORP 129,331 -22,191 $9,458
     SYY129,331-22,191$9,458
BORGWARNER INC 260,556 +119,170 $9,341
     BWA260,556+119,170$9,341
PRINCIPAL FINANCIAL GROUP IN 118,204 +5,886 $9,299
     PFG118,204+5,886$9,299
FIDELITY NATIONAL FINANCIAL 180,868 -12,239 $9,228
     FNF180,868-12,239$9,228
ARCH CAP GROUP LTD 123,672 +19,229 $9,185
     ACGL123,672+19,229$9,185
STEEL DYNAMICS INC 77,699 -12,661 $9,176
     STLD77,699-12,661$9,176
BANK AMERICA CORP 271,815 UNCH $9,152
     BAC271,815UNCH$9,152
ALIGN TECHNOLOGY INC 33,344 +5,759 $9,136
     ALGN33,344+5,759$9,136
NORTHERN TR CORP 107,921 +25,397 $9,106
     NTRS107,921+25,397$9,106
MARATHON OIL CORP 373,020 +554 $9,012
     MRO373,020+554$9,012
TRANE TECHNOLOGIES PLC 36,773 -4,581 $8,969
     TT36,773-4,581$8,969
TEXAS INSTRS INC 52,551 UNCH $8,958
     TXN52,551UNCH$8,958
PROGRESSIVE CORP 56,054 -26,458 $8,928
     PGR56,054-26,458$8,928
HEALTHPEAK PROPERTIES INC 450,510 +306,344 $8,920
     PEAK450,510+306,344$8,920
AMERICAN INTL GROUP INC 131,244 -45,563 $8,892
     AIG131,244-45,563$8,892
CATERPILLAR INC 29,985 UNCH $8,866
     CAT29,985UNCH$8,866
FORTINET INC 150,245 UNCH $8,794
     FTNT150,245UNCH$8,794
YUM BRANDS INC 66,364 +38,818 $8,671
     YUM66,364+38,818$8,671
AMERICAN EXPRESS CO 45,824 UNCH $8,585
     AXP45,824UNCH$8,585
MONDELEZ INTL INC 118,385 -29,664 $8,575
     MDLZ118,385-29,664$8,575
INTERNATIONAL BUSINESS MACHS 52,347 UNCH $8,561
     IBM52,347UNCH$8,561
EVEREST GROUP LTD 24,086 +24,086 $8,516
     EG24,086+24,086$8,516
AVALONBAY CMNTYS INC 45,113 -10,204 $8,446
     AVB45,113-10,204$8,446
SERVICENOW INC 11,949 UNCH $8,442
     NOW11,949UNCH$8,442
PHILIP MORRIS INTL INC 88,241 UNCH $8,302
     PM88,241UNCH$8,302
DECKERS OUTDOOR CORP 12,273 +575 $8,204
     DECK12,273+575$8,204
OCCIDENTAL PETE CORP 136,774 -19,413 $8,167
     OXY136,774-19,413$8,167
BROWN FORMAN CORP      $8,051
     BF.B140,991+67,638$8,051
ZIMMER BIOMET HOLDINGS INC 66,155 -12,069 $8,051
     ZBH66,155-12,069$8,051
EPAM SYS INC 26,960 UNCH $8,016
     EPAM26,960UNCH$8,016
SKYWORKS SOLUTIONS INC 71,199 -2,808 $8,004
     SWKS71,199-2,808$8,004
MOLSON COORS BEVERAGE CO 129,943 -70,205 $7,954
     TAP129,943-70,205$7,954
HENRY JACK & ASSOC INC 48,167 +13,907 $7,871
     JKHY48,167+13,907$7,871
DXC TECHNOLOGY CO 343,959 +144,762 $7,866
     DXC343,959+144,762$7,866
MOSAIC CO NEW 220,135 +76,155 $7,865
     MOS220,135+76,155$7,865
COTERRA ENERGY INC 302,501 +45,040 $7,720
     CTRA302,501+45,040$7,720
STARBUCKS CORP 80,137 +45,319 $7,694
     SBUX80,137+45,319$7,694
MICRON TECHNOLOGY INC 89,832 -45,483 $7,666
     MU89,832-45,483$7,666
AMERICAN ELEC PWR CO INC 94,258 -89,192 $7,656
     AEP94,258-89,192$7,656
UNIVERSAL HLTH SVCS INC 49,769 +4,677 $7,587
     UHS49,769+4,677$7,587
BURLINGTON STORES INC 38,774 -6,263 $7,541
     BURL38,774-6,263$7,541
THE CIGNA GROUP 25,052 -3,148 $7,502
     CI25,052-3,148$7,502
TAKE TWO INTERACTIVE SOFTWAR 46,513 +23,433 $7,486
     TTWO46,513+23,433$7,486
HERSHEY CO 39,972 -38,478 $7,452
     HSY39,972-38,478$7,452
CINCINNATI FINL CORP 71,957 UNCH $7,445
     CINF71,957UNCH$7,445
PALO ALTO NETWORKS INC 24,960 UNCH $7,360
     PANW24,960UNCH$7,360
HENRY SCHEIN INC 95,324 +13,482 $7,217
     HSIC95,324+13,482$7,217
THERMO FISHER SCIENTIFIC INC 13,578 UNCH $7,207
     TMO13,578UNCH$7,207
INTERNATIONAL PAPER CO 195,884 +45,555 $7,081
     IP195,884+45,555$7,081
ESSEX PPTY TR INC 28,209 -17,368 $6,994
     ESS28,209-17,368$6,994
MCDONALDS CORP 23,562 UNCH $6,986
     MCD23,562UNCH$6,986
BEST BUY INC 89,140 -40,883 $6,978
     BBY89,140-40,883$6,978
PAYCHEX INC 58,375 -9,115 $6,953
     PAYX58,375-9,115$6,953
WEYERHAEUSER CO MTN BE 197,995 -142,880 $6,884
     WY197,995-142,880$6,884
ROSS STORES INC 49,514 UNCH $6,852
     ROST49,514UNCH$6,852
PRICE T ROWE GROUP INC 62,760 UNCH $6,759
     TROW62,760UNCH$6,759
RAYMOND JAMES FINL INC 60,351 -33,311 $6,729
     RJF60,351-33,311$6,729
MOODYS CORP 17,136 UNCH $6,693
     MCO17,136UNCH$6,693
ZOOM VIDEO COMMUNICATIONS IN 91,543 UNCH $6,583
     ZM91,543UNCH$6,583
BLACKROCK INC 8,076 +4,568 $6,556
     BLK8,076+4,568$6,556
KENVUE INC 301,913 +264,397 $6,500
     KVUE301,913+264,397$6,500
CME GROUP INC 30,435 +1,981 $6,410
     CME30,435+1,981$6,410
APA CORPORATION 176,896 +40,785 $6,347
     APA176,896+40,785$6,347
HUBBELL INC 19,197 -5,567 $6,314
     HUBB19,197-5,567$6,314
GENERAL ELECTRIC CO 49,371 UNCH $6,301
     GE49,371UNCH$6,301
MCKESSON CORP 13,594 -2,461 $6,294
     MCK13,594-2,461$6,294
MARSH & MCLENNAN COS INC 32,733 -13,505 $6,202
     MMC32,733-13,505$6,202
FACTSET RESH SYS INC 12,976 -4,533 $6,190
     FDS12,976-4,533$6,190
ZOETIS INC 31,176 UNCH $6,153
     ZTS31,176UNCH$6,153
WILLIAMS SONOMA INC 30,341 UNCH $6,122
     WSM30,341UNCH$6,122
IDEXX LABS INC 11,015 -8,223 $6,114
     IDXX11,015-8,223$6,114
EMCOR GROUP INC 27,796 +1,311 $5,988
     EME27,796+1,311$5,988
DISCOVER FINL SVCS 52,954 -7,427 $5,952
     DFS52,954-7,427$5,952
MANHATTAN ASSOCIATES INC 27,256 UNCH $5,869
     MANH27,256UNCH$5,869
VENTAS INC 116,957 +43,951 $5,829
     VTR116,957+43,951$5,829
APPLOVIN CORP 146,258 UNCH $5,828
     APP146,258UNCH$5,828
INGERSOLL RAND INC 75,353 +56,394 $5,828
     IR75,353+56,394$5,828
CHECK POINT SOFTWARE TECH LT 37,953 +506 $5,799
     CHKP37,953+506$5,799
MORGAN STANLEY 61,276 UNCH $5,714
     MS61,276UNCH$5,714
GE HEALTHCARE TECHNOLOGIES I 73,804 -25,537 $5,707
     GEHC73,804-25,537$5,707
SNAP INC 336,658 +289,195 $5,700
     SNAP336,658+289,195$5,700
LYONDELLBASELL INDUSTRIES N 59,802 +49,044 $5,686
     LYB59,802+49,044$5,686
AUTONATION INC 37,724 UNCH $5,665
     AN37,724UNCH$5,665
E L F BEAUTY INC 38,733 -51 $5,591
     ELF38,733-51$5,591
LINDE PLC 13,570 UNCH $5,573
     LIN13,570UNCH$5,573
SHERWIN WILLIAMS CO 17,836 +1,220 $5,563
     SHW17,836+1,220$5,563
ASBURY AUTOMOTIVE GROUP INC 24,618 -765 $5,538
     ABG24,618-765$5,538
CLEARWAY ENERGY INC      $5,465
     CWEN158,890+68,304$4,358
     CWEN.A43,285UNCH$1,107
DANAHER CORPORATION 23,541 UNCH $5,446
     DHR23,541UNCH$5,446
MERCADOLIBRE INC 3,429 +1,712 $5,389
     MELI3,429+1,712$5,389
GENUINE PARTS CO 38,170 -47,172 $5,287
     GPC38,170-47,172$5,287
CITIGROUP INC 100,854 UNCH $5,188
     C100,854UNCH$5,188
ORACLE CORP 48,631 UNCH $5,127
     ORCL48,631UNCH$5,127
PG&E CORP 282,790 +186,766 $5,099
     PCG282,790+186,766$5,099
WALGREENS BOOTS ALLIANCE INC 194,710 +138,525 $5,084
     WBA194,710+138,525$5,084
ENSIGN GROUP INC 45,043 -522 $5,054
     ENSG45,043-522$5,054
NEWMONT CORP 120,022 +105,038 $4,968
     NEM120,022+105,038$4,968
EQT CORP 127,300 +106,024 $4,921
     EQT127,300+106,024$4,921
DICKS SPORTING GOODS INC 33,441 UNCH $4,914
     DKS33,441UNCH$4,914
WATSCO INC 11,391 UNCH $4,881
     WSO11,391UNCH$4,881
VIATRIS INC 449,822 UNCH $4,872
     VTRS449,822UNCH$4,872
ACUITY BRANDS INC 23,706 UNCH $4,856
     AYI23,706UNCH$4,856
TYSON FOODS INC 89,900 -16,285 $4,832
     TSN89,900-16,285$4,832
AUTODESK INC 19,688 UNCH $4,794
     ADSK19,688UNCH$4,794
LOEWS CORP 67,551 -48,607 $4,701
     L67,551-48,607$4,701
SPS COMM INC 24,071 -1,458 $4,666
     SPSC24,071-1,458$4,666
CF INDS HLDGS INC 58,187 UNCH $4,626
     CF58,187UNCH$4,626
CASEYS GEN STORES INC 16,745 UNCH $4,601
     CASY16,745UNCH$4,601
APPLIED INDL TECHNOLOGIES IN 26,404 +391 $4,560
     AIT26,404+391$4,560
CACI INTL INC 13,957 -4,037 $4,520
     CACI13,957-4,037$4,520
SEAGATE TECHNOLOGY HLDNGS PL 52,460 +35,146 $4,479
     STX52,460+35,146$4,479
ROLLINS INC 101,981 +7,407 $4,454
     ROL101,981+7,407$4,454
TD SYNNEX CORPORATION 40,433 UNCH $4,351
     SNX40,433UNCH$4,351
SCIENCE APPLICATIONS INTL CO 34,910 UNCH $4,340
     SAIC34,910UNCH$4,340
NUTANIX INC 90,173 UNCH $4,300
     NTNX90,173UNCH$4,300
THOR INDS INC 36,367 UNCH $4,300
     THO36,367UNCH$4,300
ALLY FINL INC 122,970 +36,663 $4,294
     ALLY122,970+36,663$4,294
ANALOG DEVICES INC 21,608 +2,432 $4,290
     ADI21,608+2,432$4,290
PVH CORPORATION 34,903 UNCH $4,262
     PVH34,903UNCH$4,262
ONEMAIN HLDGS INC 86,570 UNCH $4,259
     OMF86,570UNCH$4,259
DOORDASH INC 43,062 +43,062 $4,258
     DASH43,062+43,062$4,258
CAPITAL ONE FINL CORP 32,401 -23,817 $4,248
     COF32,401-23,817$4,248
CHIPOTLE MEXICAN GRILL INC 1,852 +1,102 $4,235
     CMG1,852+1,102$4,235
MODERNA INC 42,431 -29,596 $4,220
     MRNA42,431-29,596$4,220
ANNALY CAPITAL MANAGEMENT IN 216,972 +22,219 $4,203
     NLY216,972+22,219$4,203
CENTENE CORP DEL 56,412 UNCH $4,186
     CNC56,412UNCH$4,186
US FOODS HLDG CORP 91,720 +12,333 $4,165
     USFD91,720+12,333$4,165
POOL CORP 10,412 UNCH $4,151
     POOL10,412UNCH$4,151
EQUITY RESIDENTIAL 67,815 -56,327 $4,148
     EQR67,815-56,327$4,148
ROBERT HALF INC. 46,547 UNCH $4,092
     RHI46,547UNCH$4,092
DISNEY WALT CO 45,186 UNCH $4,080
     DIS45,186UNCH$4,080
JABIL INC 32,004 UNCH $4,077
     JBL32,004UNCH$4,077
DOMINOS PIZZA INC 9,830 UNCH $4,052
     DPZ9,830UNCH$4,052
FABRINET 21,269 -500 $4,048
     FN21,269-500$4,048
ENTERGY CORP NEW 39,972 -86,356 $4,045
     ETR39,972-86,356$4,045
LPL FINL HLDGS INC 17,742 UNCH $4,038
     LPLA17,742UNCH$4,038
TAPESTRY INC 108,652 UNCH $3,999
     TPR108,652UNCH$3,999
AMERIPRISE FINL INC 10,521 UNCH $3,996
     AMP10,521UNCH$3,996
AECOM 43,167 UNCH $3,990
     ACM43,167UNCH$3,990
LANDSTAR SYS INC 20,591 +1,657 $3,987
     LSTR20,591+1,657$3,987
PUBLIC SVC ENTERPRISE GRP IN 64,563 +39,273 $3,948
     PEG64,563+39,273$3,948
CARDINAL HEALTH INC 39,148 UNCH $3,946
     CAH39,148UNCH$3,946
PURE STORAGE INC 110,435 UNCH $3,938
     PSTG110,435UNCH$3,938
BJS WHSL CLUB HLDGS INC 59,022 UNCH $3,934
     BJ59,022UNCH$3,934
MACYS INC 194,760 UNCH $3,919
     M194,760UNCH$3,919
PENSKE AUTOMOTIVE GRP INC 24,332 -3,137 $3,906
     PAG24,332-3,137$3,906
LINCOLN ELEC HLDGS INC 17,843 UNCH $3,880
     LECO17,843UNCH$3,880
PENN ENTERTAINMENT INC 147,347 UNCH $3,834
     PENN147,347UNCH$3,834
ATI INC 83,432 +9,037 $3,794
     ATI83,432+9,037$3,794
INVITATION HOMES INC 110,837 -72,649 $3,781
     INVH110,837-72,649$3,781
WP CAREY INC 57,178 -48,716 $3,706
     WPC57,178-48,716$3,706
INTUITIVE SURGICAL INC 10,965 UNCH $3,699
     ISRG10,965UNCH$3,699
SM ENERGY CO 95,399 +5,986 $3,694
     SM95,399+5,986$3,694
MICROCHIP TECHNOLOGY INC. 40,838 +3,999 $3,683
     MCHP40,838+3,999$3,683
INVESCO LTD 204,606 +60,394 $3,650
     IVZ204,606+60,394$3,650
NEXSTAR MEDIA GROUP INC 23,281 UNCH $3,649
     NXST23,281UNCH$3,649
PERFORMANCE FOOD GROUP CO 52,540 +7,491 $3,633
     PFGC52,540+7,491$3,633
UFP INDUSTRIES INC 28,819 UNCH $3,618
     UFPI28,819UNCH$3,618
BOEING CO 13,847 UNCH $3,609
     BA13,847UNCH$3,609
COCA COLA CONS INC 3,886 UNCH $3,608
     COKE3,886UNCH$3,608
SANMINA CORPORATION 69,656 -15,372 $3,578
     SANM69,656-15,372$3,578
UNITED THERAPEUTICS CORP DEL 16,238 UNCH $3,571
     UTHR16,238UNCH$3,571
S&P GLOBAL INC 8,044 +2,174 $3,544
     SPGI8,044+2,174$3,544
MERITAGE HOMES CORP 20,306 -1,691 $3,537
     MTH20,306-1,691$3,537
FISERV INC 26,601 +26,601 $3,534
     FI26,601+26,601$3,534
VISTRA CORP 91,651 +42,583 $3,530
     VST91,651+42,583$3,530
OWENS CORNING NEW 23,709 UNCH $3,514
     OC23,709UNCH$3,514
DOUBLEVERIFY HLDGS INC 95,379 +19,002 $3,508
     DV95,379+19,002$3,508
OSHKOSH CORP 32,193 UNCH $3,490
     OSK32,193UNCH$3,490
LENNOX INTL INC 7,779 UNCH $3,481
     LII7,779UNCH$3,481
LOCKHEED MARTIN CORP 7,636 -3,822 $3,461
     LMT7,636-3,822$3,461
MKS INSTRS INC 33,459 UNCH $3,442
     MKSI33,459UNCH$3,442
COTY INC 275,591 UNCH $3,423
     COTY275,591UNCH$3,423
GRACO INC 39,111 +4,611 $3,393
     GGG39,111+4,611$3,393
GODADDY INC 31,834 UNCH $3,379
     GDDY31,834UNCH$3,379
AON PLC 11,409 UNCH $3,320
     AON11,409UNCH$3,320
MSC INDL DIRECT INC 32,612 UNCH $3,302
     MSM32,612UNCH$3,302
RTX CORPORATION 39,162 -9,798 $3,295
     RTX39,162-9,798$3,295
AMKOR TECHNOLOGY INC 98,897 +17,244 $3,290
     AMKR98,897+17,244$3,290
DROPBOX INC 111,060 UNCH $3,274
     DBX111,060UNCH$3,274
WASTE MGMT INC DEL 18,266 UNCH $3,271
     WM18,266UNCH$3,271
INGREDION INC 30,110 UNCH $3,268
     INGR30,110UNCH$3,268
PULTE GROUP INC 31,463 +5,122 $3,248
     PHM31,463+5,122$3,248
BOOZ ALLEN HAMILTON HLDG COR 25,378 UNCH $3,246
     BAH25,378UNCH$3,246
LIBERTY MEDIA CORP DEL 112,783 +26,537 $3,246
     LSXMK112,783+26,537$3,246
EDWARDS LIFESCIENCES CORP 42,539 -59,302 $3,244
     EW42,539-59,302$3,244
DEERE & CO 8,108 UNCH $3,242
     DE8,108UNCH$3,242
COREBRIDGE FINL INC 149,168 UNCH $3,231
     CRBG149,168UNCH$3,231
POST HLDGS INC 36,399 UNCH $3,205
     POST36,399UNCH$3,205
FLEX LTD 103,871 UNCH $3,164
     FLEX103,871UNCH$3,164
UNITED PARCEL SERVICE INC 19,980 UNCH $3,141
     UPS19,980UNCH$3,141
GENERAL DYNAMICS CORP 11,984 -2,342 $3,112
     GD11,984-2,342$3,112
KILROY RLTY CORP 77,334 UNCH $3,081
     KRC77,334UNCH$3,081
MUELLER INDS INC 65,098 +31,215 $3,069
     MLI65,098+31,215$3,069
MANPOWERGROUP INC WIS 38,398 UNCH $3,051
     MAN38,398UNCH$3,051
HONEYWELL INTL INC 14,496 -7,135 $3,040
     HON14,496-7,135$3,040
DEXCOM INC 24,312 UNCH $3,017
     DXCM24,312UNCH$3,017
SCHWAB CHARLES CORP 43,850 UNCH $3,017
     SCHW43,850UNCH$3,017
CHEMED CORP NEW 5,137 UNCH $3,004
     CHE5,137UNCH$3,004
NVENT ELECTRIC PLC 50,323 UNCH $2,974
     NVT50,323UNCH$2,974
UNUM GROUP 65,768 UNCH $2,974
     UNM65,768UNCH$2,974
STATE STR CORP 38,369 -33,723 $2,972
     STT38,369-33,723$2,972
SYNAPTICS INC 25,881 UNCH $2,953
     SYNA25,881UNCH$2,953
BOISE CASCADE CO DEL 22,786 -785 $2,948
     BCC22,786-785$2,948
HCA HEALTHCARE INC 10,830 -1,152 $2,931
     HCA10,830-1,152$2,931
DOLLAR GEN CORP NEW 21,492 UNCH $2,922
     DG21,492UNCH$2,922
FOX CORP 105,340 UNCH $2,913
     FOX105,340UNCH$2,913
GALLAGHER ARTHUR J & CO 12,907 UNCH $2,903
     AJG12,907UNCH$2,903
ISHARES TR (IJR) 26,723 -6,877 $2,893
     IJR26,723-6,877$2,893
AAON INC 38,916 +3,106 $2,875
     AAON38,916+3,106$2,875
RITHM CAPITAL CORP 269,043 UNCH $2,873
     RITM269,043UNCH$2,873
BROOKFIELD RENEWABLE CORP 99,324 +25,062 $2,860
     BEPC99,324+25,062$2,860
INFORMATICA INC 100,649 UNCH $2,857
     INFA100,649UNCH$2,857
INSIGHT ENTERPRISES INC 15,946 -1,215 $2,825
     NSIT15,946-1,215$2,825
JEFFERIES FINL GROUP INC 69,821 UNCH $2,821
     JEF69,821UNCH$2,821
RALPH LAUREN CORP 19,386 UNCH $2,795
     RL19,386UNCH$2,795
LIBERTY MEDIA CORP DEL 97,020 +19,018 $2,788
     LSXMA97,020+19,018$2,788
DAVITA INC 26,528 UNCH $2,779
     DVA26,528UNCH$2,779
ADT INC DEL 407,280 +73,312 $2,778
     ADT407,280+73,312$2,778
ACADEMY SPORTS & OUTDOORS IN 41,931 -5,062 $2,767
     ASO41,931-5,062$2,767
CONCENTRIX CORP 27,681 +6,555 $2,719
     CNXC27,681+6,555$2,719
PENUMBRA INC 10,793 UNCH $2,715
     PEN10,793UNCH$2,715
FEDERAL SIGNAL CORP 35,328 -1,889 $2,711
     FSS35,328-1,889$2,711
MURPHY USA INC 7,565 UNCH $2,697
     MUSA7,565UNCH$2,697
RADIAN GROUP INC 94,207 +2,797 $2,690
     RDN94,207+2,797$2,690
MERIT MED SYS INC 35,386 +2,257 $2,688
     MMSI35,386+2,257$2,688
ALBERTSONS COS INC 116,607 UNCH $2,682
     ACI116,607UNCH$2,682
SKECHERS U S A INC 42,912 UNCH $2,675
     SKX42,912UNCH$2,675
RPM INTL INC 23,885 UNCH $2,666
     RPM23,885UNCH$2,666
BALCHEM CORP 17,910 -1,586 $2,664
     BCPC17,910-1,586$2,664
FLOWERS FOODS INC 118,003 UNCH $2,656
     FLO118,003UNCH$2,656
JAZZ PHARMACEUTICALS PLC 21,437 UNCH $2,637
     JAZZ21,437UNCH$2,637
SOUTHERN CO 37,607 -70,212 $2,637
     SO37,607-70,212$2,637
ADVANCE AUTO PARTS INC 43,188 -2,309 $2,636
     AAP43,188-2,309$2,636
CENCORA INC 14,464 UNCH $2,603
     ABC14,464UNCH$2,603
SPX TECHNOLOGIES INC 25,723 -1,172 $2,598
     SPXC25,723-1,172$2,598
BADGER METER INC 16,806 -334 $2,594
     BMI16,806-334$2,594
WEST PHARMACEUTICAL SVSC INC 7,366 -12,783 $2,594
     WST7,366-12,783$2,594
SMITH A O CORP 31,355 UNCH $2,585
     AOS31,355UNCH$2,585
C H ROBINSON WORLDWIDE INC 29,911 UNCH $2,584
     CHRW29,911UNCH$2,584
ABERCROMBIE & FITCH CO 28,976 +774 $2,556
     ANF28,976+774$2,556
AXCELIS TECHNOLOGIES INC 19,633 +724 $2,546
     ACLS19,633+724$2,546
QUANTA SVCS INC 11,773 UNCH $2,541
     PWR11,773UNCH$2,541
GROUP 1 AUTOMOTIVE INC 8,290 +83 $2,526
     GPI8,290+83$2,526
LAUDER ESTEE COS INC 17,213 UNCH $2,517
     EL17,213UNCH$2,517
LABORATORY CORP AMER HLDGS 11,070 -2,177 $2,516
     LH11,070-2,177$2,516
UNION PAC CORP 10,214 UNCH $2,509
     UNP10,214UNCH$2,509
ELANCO ANIMAL HEALTH INC 167,841 -124,674 $2,501
     ELAN167,841-124,674$2,501
WABTEC 19,654 UNCH $2,494
     WAB19,654UNCH$2,494
FULLER H B CO 30,614 -740 $2,492
     FUL30,614-740$2,492
UNITED RENTALS INC 4,326 UNCH $2,481
     URI4,326UNCH$2,481
SIGNET JEWELERS LIMITED 23,111 -3,414 $2,479
     SIG23,111-3,414$2,479
AMPHENOL CORP NEW 24,993 UNCH $2,478
     APH24,993UNCH$2,478
MR COOPER GROUP INC 38,035 -2,816 $2,477
     COOP38,035-2,816$2,477
PHILLIPS EDISON & CO INC 67,182 +2,679 $2,451
     PECO67,182+2,679$2,451
ASSURED GUARANTY LTD 32,708 -977 $2,448
     AGO32,708-977$2,448
INTERCONTINENTAL EXCHANGE IN (ICE) 19,012 +4,428 $2,442
     ICE19,012+4,428$2,442
CARLISLE COS INC 7,812 UNCH $2,441
     CSL7,812UNCH$2,441
TORO CO 25,297 UNCH $2,428
     TTC25,297UNCH$2,428
MOOG INC      $2,412
     MOG.A16,662+100$2,412
ADVANCED ENERGY INDS 22,089 -432 $2,406
     AEIS22,089-432$2,406
METLIFE INC 36,328 -89,694 $2,402
     MET36,328-89,694$2,402
UNITED STATES STL CORP NEW 49,296 UNCH $2,398
     X49,296UNCH$2,398
TREX CO INC 28,868 UNCH $2,390
     TREX28,868UNCH$2,390
CHARTER COMMUNICATIONS INC N 6,125 UNCH $2,381
     CHTR6,125UNCH$2,381
EXELIXIS INC 99,204 UNCH $2,380
     EXEL99,204UNCH$2,380
INSTALLED BLDG PRODS INC 12,996 -1,010 $2,376
     IBP12,996-1,010$2,376
CHENIERE ENERGY INC 13,857 UNCH $2,366
     LNG13,857UNCH$2,366
NEW YORK TIMES CO 47,853 UNCH $2,344
     NYT47,853UNCH$2,344
ROPER TECHNOLOGIES INC 4,292 +1,156 $2,340
     ROP4,292+1,156$2,340
FORD MTR CO DEL 191,915 UNCH $2,339
     F191,915UNCH$2,339
GLAUKOS CORP 29,336 +2,166 $2,332
     GKOS29,336+2,166$2,332
WARNER BROS DISCOVERY INC 204,356 +52,632 $2,326
     WBD204,356+52,632$2,326
BECTON DICKINSON & CO 9,517 UNCH $2,321
     BDX9,517UNCH$2,321
OLD REP INTL CORP 78,672 +14,796 $2,313
     ORI78,672+14,796$2,313
TOLL BROTHERS INC 22,484 UNCH $2,311
     TOL22,484UNCH$2,311
BLACKSTONE MTG TR INC 108,501 +108,501 $2,308
     BXMT108,501+108,501$2,308
ALPHA METALLURGICAL RESOUR I 6,792 +6,792 $2,302
     AMR6,792+6,792$2,302
ARCOSA INC 27,806 -1,097 $2,298
     ACA27,806-1,097$2,298
QUEST DIAGNOSTICS INC 16,627 UNCH $2,293
     DGX16,627UNCH$2,293
IQVIA HLDGS INC 9,882 -2,259 $2,286
     IQV9,882-2,259$2,286
WESTROCK CO 54,621 UNCH $2,268
     WRK54,621UNCH$2,268
DONALDSON INC 34,566 UNCH $2,259
     DCI34,566UNCH$2,259
ESSENTIAL PPTYS RLTY TR INC 88,076 +2,174 $2,251
     EPRT88,076+2,174$2,251
MATSON INC 20,513 -750 $2,248
     MATX20,513-750$2,248
ORGANON & CO 155,320 +155,320 $2,240
     OGN155,320+155,320$2,240
DOW INC 40,708 +8,233 $2,232
     DOW40,708+8,233$2,232
CDW CORP 9,797 UNCH $2,227
     CDW9,797UNCH$2,227
AMERICAN EAGLE OUTFITTERS IN 104,299 +221 $2,207
     AEO104,299+221$2,207
JACKSON FINANCIAL INC 43,110 +9,115 $2,207
     JXN43,110+9,115$2,207
VERRA MOBILITY CORP 95,309 +14,854 $2,195
     VRRM95,309+14,854$2,195
PATTERSON UTI ENERGY INC 202,932 +21,031 $2,192
     PTEN202,932+21,031$2,192
HUNTINGTON INGALLS INDS INC 8,406 UNCH $2,183
     HII8,406UNCH$2,183
CONAGRA BRANDS INC 76,126 UNCH $2,182
     CAG76,126UNCH$2,182
HELMERICH & PAYNE INC 60,219 +4,487 $2,181
     HP60,219+4,487$2,181
KNIGHT SWIFT TRANSN HLDGS IN 37,808 -31,804 $2,180
     KNX37,808-31,804$2,180
PARSONS CORP DEL 34,696 UNCH $2,176
     PSN34,696UNCH$2,176
FRANKLIN ELEC INC 22,409 -639 $2,166
     FELE22,409-639$2,166
REPUBLIC SVCS INC 13,109 UNCH $2,162
     RSG13,109UNCH$2,162
CALIFORNIA RES CORP 39,508 -982 $2,160
     CRC39,508-982$2,160
SS&C TECHNOLOGIES HLDGS INC 35,082 UNCH $2,144
     SSNC35,082UNCH$2,144
M I HOMES INC 15,558 -1,362 $2,143
     MHO15,558-1,362$2,143
AIR PRODS & CHEMS INC 7,791 UNCH $2,133
     APD7,791UNCH$2,133
ALLEGION PLC 16,810 UNCH $2,130
     ALLE16,810UNCH$2,130
DIODES INC 26,302 -277 $2,118
     DIOD26,302-277$2,118
CONSTELLATION BRANDS INC 8,749 UNCH $2,115
     STZ8,749UNCH$2,115
XPO INC 24,134 UNCH $2,114
     XPO24,134UNCH$2,114
MATTEL INC 111,801 UNCH $2,111
     MAT111,801UNCH$2,111
AEROVIRONMENT INC 16,722 +4,435 $2,108
     AVAV16,722+4,435$2,108
NORTHERN OIL & GAS INC 56,849 +11,177 $2,107
     NOG56,849+11,177$2,107
CSX CORP 60,666 UNCH $2,103
     CSX60,666UNCH$2,103
CBRE GROUP INC 22,405 -41,916 $2,086
     CBRE22,405-41,916$2,086
PARKER HANNIFIN CORP 4,528 UNCH $2,086
     PH4,528UNCH$2,086
APPLE HOSPITALITY REIT INC 125,314 +125,314 $2,081
     APLE125,314+125,314$2,081
MGM RESORTS INTERNATIONAL 46,388 +19,142 $2,073
     MGM46,388+19,142$2,073
CARPENTER TECHNOLOGY CORP 29,204 +1,036 $2,068
     CRS29,204+1,036$2,068
API GROUP CORP 59,712 UNCH $2,066
     APG59,712UNCH$2,066
HARLEY DAVIDSON INC 56,052 +19,662 $2,065
     HOG56,052+19,662$2,065
DILLARDS INC 5,109 +831 $2,062
     DDS5,109+831$2,062
ZEBRA TECHNOLOGIES CORPORATI 7,542 UNCH $2,061
     ZBRA7,542UNCH$2,061
SITEONE LANDSCAPE SUPPLY INC 12,679 UNCH $2,060
     SITE12,679UNCH$2,060
OTTER TAIL CORP 24,149 -748 $2,052
     OTTR24,149-748$2,052
GENPACT LIMITED 58,917 UNCH $2,045
     G58,917UNCH$2,045
CARRIER GLOBAL CORPORATION 35,501 UNCH $2,040
     CARR35,501UNCH$2,040
STIFEL FINL CORP 29,437 UNCH $2,036
     SF29,437UNCH$2,036
ENCORE WIRE CORP 9,515 -567 $2,032
     WIRE9,515-567$2,032
MOELIS & CO 36,110 -3,705 $2,027
     MC36,110-3,705$2,027
PNC FINL SVCS GROUP INC 13,072 UNCH $2,024
     PNC13,072UNCH$2,024
BERRY GLOBAL GROUP INC 30,024 +13,228 $2,023
     BERY30,024+13,228$2,023
HP INC 67,241 UNCH $2,023
     HPQ67,241UNCH$2,023
SIMPLY GOOD FOODS CO 51,063 -1,397 $2,022
     SMPL51,063-1,397$2,022
WALKER & DUNLOP INC 18,217 -264 $2,022
     WD18,217-264$2,022
AMERICAN EQTY INVT LIFE HLD 36,204 +14 $2,020
     AEL36,204+14$2,020
DELTA AIR LINES INC DEL 49,941 +20,845 $2,009
     DAL49,941+20,845$2,009
ARES MANAGEMENT CORPORATION 16,748 UNCH $1,992
     ARES16,748UNCH$1,992
AFFILIATED MANAGERS GROUP IN 13,048 +3,625 $1,976
     AMG13,048+3,625$1,976
TRI POINTE HOMES INC 55,755 -4,968 $1,974
     TPH55,755-4,968$1,974
OVINTIV INC 44,690 -33,608 $1,963
     OVV44,690-33,608$1,963
CONMED CORP 17,917 -141 $1,962
     CNMD17,917-141$1,962
FORMFACTOR INC 46,933 +1,631 $1,958
     FORM46,933+1,631$1,958
WESTLAKE CORPORATION 13,975 +4,129 $1,956
     WLK13,975+4,129$1,956
INTEGER HLDGS CORP 19,712 -452 $1,953
     ITGR19,712-452$1,953
UNITED AIRLS HLDGS INC 47,310 +12,555 $1,952
     UAL47,310+12,555$1,952
KOHLS CORP 67,996 +67,996 $1,950
     KSS67,996+67,996$1,950
WD 40 CO 8,143 -46 $1,947
     WDFC8,143-46$1,947
AUTOMATIC DATA PROCESSING IN 8,349 UNCH $1,945
     ADP8,349UNCH$1,945
ITRON INC 25,680 -2,036 $1,939
     ITRI25,680-2,036$1,939
DYCOM INDS INC 16,824 -464 $1,936
     DY16,824-464$1,936
INTER PARFUMS INC 13,410 -794 $1,931
     IPAR13,410-794$1,931
HILLENBRAND INC 40,337 -2,788 $1,930
     HI40,337-2,788$1,930
POPULAR INC 23,508 UNCH $1,929
     BPOP23,508UNCH$1,929
ACI WORLDWIDE INC 63,018 +63,018 $1,928
     ACIW63,018+63,018$1,928
PROLOGIS INC. 14,411 UNCH $1,921
     PLD14,411UNCH$1,921
VOYA FINANCIAL INC 26,284 UNCH $1,918
     VOYA26,284UNCH$1,918
OLIN CORP 35,433 +9,703 $1,912
     OLN35,433+9,703$1,912
CORVEL CORP 7,731 -425 $1,911
     CRVL7,731-425$1,911
CROWDSTRIKE HLDGS INC 7,477 UNCH $1,909
     CRWD7,477UNCH$1,909
UNITED CMNTY BKS BLAIRSVLE G 65,100 -3,592 $1,905
     UCBI65,100-3,592$1,905
YELP INC 40,227 +2,060 $1,904
     YELP40,227+2,060$1,904
AMETEK INC 11,524 UNCH $1,900
     AME11,524UNCH$1,900
ENPRO INC 12,113 -831 $1,899
     NPO12,113-831$1,899
ARROW ELECTRS INC 15,424 UNCH $1,886
     ARW15,424UNCH$1,886
AMERIS BANCORP 35,348 -2,850 $1,875
     ABCB35,348-2,850$1,875
ARCBEST CORP 15,584 +1,620 $1,873
     ARCB15,584+1,620$1,873
LEIDOS HOLDINGS INC 17,300 UNCH $1,873
     LDOS17,300UNCH$1,873
KORN FERRY 31,390 +826 $1,863
     KFY31,390+826$1,863
KONTOOR BRANDS INC 29,825 -220 $1,862
     KTB29,825-220$1,862
STARWOOD PPTY TR INC 88,488 UNCH $1,860
     STWD88,488UNCH$1,860
JOHN BEAN TECHNOLOGIES CORP 18,654 -311 $1,855
     JBT18,654-311$1,855
ASGN INC 19,267 +4,979 $1,853
     ASGN19,267+4,979$1,853
COLUMBIA SPORTSWEAR CO 23,267 UNCH $1,851
     COLM23,267UNCH$1,851
BRIXMOR PPTY GROUP INC 79,436 UNCH $1,848
     BRX79,436UNCH$1,848
COGENT COMMUNICATIONS HLDGS 24,300 -939 $1,848
     CCOI24,300-939$1,848
GMS INC 22,424 -2,758 $1,848
     GMS22,424-2,758$1,848
LIBERTY ENERGY INC 101,900 +101,900 $1,848
     LBRT101,900+101,900$1,848
INSULET CORP 8,516 UNCH $1,848
     PODD8,516UNCH$1,848
DOLBY LABORATORIES INC 21,316 UNCH $1,837
     DLB21,316UNCH$1,837
GENERAL MLS INC 28,205 -25,065 $1,837
     GIS28,205-25,065$1,837
ALARM COM HLDGS INC 28,417 -262 $1,836
     ALRM28,417-262$1,836
NEXTERA ENERGY INC 30,221 -18,692 $1,836
     NEE30,221-18,692$1,836
KULICKE & SOFFA INDS INC 33,510 +562 $1,834
     KLIC33,510+562$1,834
HEICO CORP NEW      $1,828
     HEI.A7,144UNCH$1,018
     HEI4,527UNCH$810
NEWELL BRANDS INC 210,246 +210,246 $1,825
     NWL210,246+210,246$1,825
PTC INC 10,432 UNCH $1,825
     PTC10,432UNCH$1,825
M D C HLDGS INC 32,787 -2,618 $1,811
     MDC32,787-2,618$1,811
COMMERCIAL METALS CO 36,071 +19,553 $1,805
     CMC36,071+19,553$1,805
CATHAY GEN BANCORP 40,486 +40,486 $1,804
     CATY40,486+40,486$1,804
WARRIOR MET COAL INC 29,409 +1,297 $1,793
     HCC29,409+1,297$1,793
LCI INDS 14,251 -1,111 $1,791
     LCII14,251-1,111$1,791
BOSTON BEER INC 5,183 UNCH $1,791
     SAM5,183UNCH$1,791
HF SINCLAIR CORP 32,202 +9,662 $1,789
     DINO32,202+9,662$1,789
TEMPUR SEALY INTL INC 35,063 UNCH $1,787
     TPX35,063UNCH$1,787
GENWORTH FINL INC 267,369 -16,953 $1,786
     GNW267,369-16,953$1,786
SERVISFIRST BANCSHARES INC (SFBS) 26,784 -2,693 $1,785
     SFBS26,784-2,693$1,785
HOULIHAN LOKEY INC 14,881 UNCH $1,784
     HLI14,881UNCH$1,784
CONSOL ENERGY INC NEW 17,711 +224 $1,780
     CEIX17,711+224$1,780
TIMKEN CO 22,193 UNCH $1,779
     TKR22,193UNCH$1,779
ARTISAN PARTNERS ASSET MGMT 40,170 -89 $1,775
     APAM40,170-89$1,775
ALBANY INTL CORP 18,063 -827 $1,774
     AIN18,063-827$1,774
EMERSON ELEC CO 18,191 UNCH $1,771
     EMR18,191UNCH$1,771
CLEAN HARBORS INC 10,145 UNCH $1,770
     CLH10,145UNCH$1,770
AXON ENTERPRISE INC 6,844 -1,382 $1,768
     AXON6,844-1,382$1,768
MACERICH CO 114,423 -228,118 $1,766
     MAC114,423-228,118$1,766
TE CONNECTIVITY LTD 12,556 UNCH $1,764
     TEL12,556UNCH$1,764
MADISON SQUARE GRDN SPRT COR 9,693 -811 $1,762
     MSGS9,693-811$1,762
ESCO TECHNOLOGIES INC 15,043 -531 $1,760
     ESE15,043-531$1,760
PLEXUS CORP 16,217 -499 $1,754
     PLXS16,217-499$1,754
REINSURANCE GRP OF AMERICA I 10,836 UNCH $1,753
     RGA10,836UNCH$1,753
NASDAQ INC 29,919 UNCH $1,739
     NDAQ29,919UNCH$1,739
FORTREA HLDGS INC 49,801 +49,801 $1,738
     FTRE49,801+49,801$1,738
INNOSPEC INC 14,065 -512 $1,733
     IOSP14,065-512$1,733
ATKORE INC 10,771 UNCH $1,723
     ATKR10,771UNCH$1,723
FLOOR & DECOR HLDGS INC 15,431 UNCH $1,721
     FND15,431UNCH$1,721
MADDEN STEVEN LTD 40,904 -581 $1,718
     SHOO40,904-581$1,718
BOYD GAMING CORP 27,365 UNCH $1,713
     BYD27,365UNCH$1,713
PRESTIGE CONSMR HEALTHCARE I 27,957 -166 $1,712
     PBH27,957-166$1,712
MARRIOTT VACATIONS WORLDWIDE 20,158 UNCH $1,711
     VAC20,158UNCH$1,711
LAMB WESTON HLDGS INC 15,809 UNCH $1,709
     LW15,809UNCH$1,709
TRANSDIGM GROUP INC 1,681 UNCH $1,701
     TDG1,681UNCH$1,701
HOWMET AEROSPACE INC 31,026 UNCH $1,679
     HWM31,026UNCH$1,679
CALIFORNIA WTR SVC GROUP 32,328 -550 $1,677
     CWT32,328-550$1,677
AMER STATES WTR CO 20,840 -714 $1,676
     AWR20,840-714$1,676
NEWS CORP NEW 67,756 UNCH $1,663
     NWSA67,756UNCH$1,663
AMN HEALTHCARE SVCS INC 22,144 -957 $1,658
     AMN22,144-957$1,658
SEI INVTS CO 26,089 UNCH $1,658
     SEIC26,089UNCH$1,658
ABM INDS INC 36,965 -1,214 $1,657
     ABM36,965-1,214$1,657
NEWS CORP NEW 64,391 UNCH $1,656
     NWS64,391UNCH$1,656
FIRST BANCORP P R 100,574 -2,270 $1,654
     FBP100,574-2,270$1,654
CORE & MAIN INC 40,871 UNCH $1,652
     CNM40,871UNCH$1,652
QUAKER HOUGHTON 7,740 -506 $1,652
     KWR7,740-506$1,652
FREEPORT MCMORAN INC 38,720 UNCH $1,648
     FCX38,720UNCH$1,648
FIRST HAWAIIAN INC 71,893 -3,662 $1,643
     FHB71,893-3,662$1,643
LXP INDUSTRIAL TRUST 165,337 -6,197 $1,640
     LXP165,337-6,197$1,640
INDEPENDENT BK CORP MASS 24,882 -194 $1,637
     INDB24,882-194$1,637
APOLLO GLOBAL MGMT INC 17,516 UNCH $1,632
     APO17,516UNCH$1,632
EQUINIX INC 2,026 UNCH $1,632
     EQIX2,026UNCH$1,632
FRONTDOOR INC 46,231 -1,341 $1,628
     FTDR46,231-1,341$1,628
INTERDIGITAL INC 14,948 -1,206 $1,622
     IDCC14,948-1,206$1,622
WILLIS TOWERS WATSON PLC LTD 6,721 UNCH $1,621
     WTW6,721UNCH$1,621
CORCEPT THERAPEUTICS INC 49,852 -3,724 $1,619
     CORT49,852-3,724$1,619
ERIE INDTY CO 4,832 UNCH $1,618
     ERIE4,832UNCH$1,618
FRANKLIN RESOURCES INC 54,011 +15,712 $1,609
     BEN54,011+15,712$1,609
BERKLEY W R CORP 22,733 UNCH $1,608
     WRB22,733UNCH$1,608
SEMPRA 21,471 -7,853 $1,605
     SRE21,471-7,853$1,605
GLOBUS MED INC 30,077 UNCH $1,603
     GMED30,077UNCH$1,603
GLOBE LIFE INC 13,156 UNCH $1,601
     GL13,156UNCH$1,601
INNOVATIVE INDL PPTYS INC 15,880 -169 $1,601
     IIPR15,880-169$1,601
GEN DIGITAL INC 70,109 UNCH $1,600
     GEN70,109UNCH$1,600
BROADRIDGE FINL SOLUTIONS IN 7,761 UNCH $1,597
     BR7,761UNCH$1,597
RXO INC 68,647 -403 $1,597
     RXO68,647-403$1,597
ZILLOW GROUP INC 27,599 UNCH $1,597
     Z27,599UNCH$1,597
TANGER INC 57,577 -3,102 $1,596
     SKT57,577-3,102$1,596
MATERION CORP 12,259 -57 $1,595
     MTRN12,259-57$1,595
RESIDEO TECHNOLOGIES INC 84,286 -2,797 $1,586
     REZI84,286-2,797$1,586
ARBOR REALTY TRUST INC 104,314 -295 $1,583
     ABR104,314-295$1,583
LGI HOMES INC 11,891 -509 $1,583
     LGIH11,891-509$1,583
NORFOLK SOUTHN CORP 6,694 UNCH $1,582
     NSC6,694UNCH$1,582
SHAKE SHACK INC 21,337 -1,105 $1,581
     SHAK21,337-1,105$1,581
HUB GROUP INC 17,169 -1,241 $1,579
     HUBG17,169-1,241$1,579
WSFS FINL CORP 34,380 -1,689 $1,579
     WSFS34,380-1,689$1,579
UNIFIRST CORP MASS 8,613 +118 $1,575
     UNF8,613+118$1,575
LATTICE SEMICONDUCTOR CORP 22,799 UNCH $1,573
     LSCC22,799UNCH$1,573
BANK HAWAII CORP 21,611 -2,636 $1,566
     BOH21,611-2,636$1,566
NORTHROP GRUMMAN CORP 3,336 -1,940 $1,562
     NOC3,336-1,940$1,562
SENSIENT TECHNOLOGIES CORP 23,632 +23,632 $1,560
     SXT23,632+23,632$1,560
JANUS HENDERSON GROUP PLC 51,577 +28,321 $1,555
     JHG51,577+28,321$1,555
SIRIUS XM HOLDINGS INC 281,694 UNCH $1,541
     SIRI281,694UNCH$1,541
VERISK ANALYTICS INC 6,449 -17,447 $1,540
     VRSK6,449-17,447$1,540
ONEOK INC NEW 21,891 UNCH $1,537
     OKE21,891UNCH$1,537
AVISTA CORP 42,914 -57 $1,534
     AVA42,914-57$1,534
SL GREEN RLTY CORP 33,958 +33,958 $1,534
     SLG33,958+33,958$1,534
COMMUNITY BK SYS INC 29,381 -2,735 $1,531
     CBU29,381-2,735$1,531
PREMIER INC 68,389 +68,389 $1,529
     PINC68,389+68,389$1,529
BRADY CORP 25,999 +2,512 $1,526
     BRC25,999+2,512$1,526
ZILLOW GROUP INC 26,845 UNCH $1,523
     ZG26,845UNCH$1,523
ATLANTIC UN BANKSHARES CORP (AUB) 41,652 -2,804 $1,522
     AUB41,652-2,804$1,522
ECOLAB INC 7,675 UNCH $1,522
     ECL7,675UNCH$1,522
CAVCO INDS INC DEL 4,388 -374 $1,521
     CVCO4,388-374$1,521
PIPER SANDLER COMPANIES 8,666 -34 $1,515
     PIPR8,666-34$1,515
CAMPBELL SOUP CO 34,992 UNCH $1,513
     CPB34,992UNCH$1,513
CURTISS WRIGHT CORP 6,777 UNCH $1,510
     CW6,777UNCH$1,510
DARLING INGREDIENTS INC 30,212 +15,933 $1,506
     DAR30,212+15,933$1,506
FORTIVE CORP 20,408 UNCH $1,503
     FTV20,408UNCH$1,503
AXOS FINANCIAL INC 27,483 -3,487 $1,501
     AX27,483-3,487$1,501
LIBERTY MEDIA CORP DEL 23,757 UNCH $1,500
     FWONK23,757UNCH$1,500
NORDSON CORP 5,676 UNCH $1,499
     NDSN5,676UNCH$1,499
FULTON FINL CORP PA 90,942 -5,081 $1,497
     FULT90,942-5,081$1,497
EVERTEC INC 36,358 -1,235 $1,488
     EVTC36,358-1,235$1,488
CVB FINL CORP 73,668 -1,355 $1,487
     CVBF73,668-1,355$1,487
PACIFIC PREMIER BANCORP 50,850 -6,312 $1,480
     PPBI50,850-6,312$1,480
JUNIPER NETWORKS INC 50,133 UNCH $1,478
     JNPR50,133UNCH$1,478
BROWN & BROWN INC 20,702 UNCH $1,472
     BRO20,702UNCH$1,472
SERVICE CORP INTL 21,479 UNCH $1,470
     SCI21,479UNCH$1,470
ROCKWELL AUTOMATION INC 4,706 UNCH $1,461
     ROK4,706UNCH$1,461
CENTURY CMNTYS INC 15,945 -1,186 $1,453
     CCS15,945-1,186$1,453
CARLYLE GROUP INC 35,688 UNCH $1,452
     CG35,688UNCH$1,452
O I GLASS INC 88,322 -3,809 $1,447
     OI88,322-3,809$1,447
AMERICAN TOWER CORP NEW 6,698 UNCH $1,446
     AMT6,698UNCH$1,446
NISOURCE INC 54,407 UNCH $1,445
     NI54,407UNCH$1,445
FOOT LOCKER INC 46,210 +46,210 $1,439
     FL46,210+46,210$1,439
NMI HLDGS INC 48,423 +388 $1,437
     NMIH48,423+388$1,437
FERGUSON PLC NEW 7,434 UNCH $1,435
     FERG7,434UNCH$1,435
IRON MTN INC DEL 20,469 UNCH $1,432
     IRM20,469UNCH$1,432
LIVERAMP HLDGS INC 37,803 -838 $1,432
     RAMP37,803-838$1,432
WORTHINGTON ENTERPRISES INC 24,891 +24,891 $1,432
     WOR24,891+24,891$1,432
CBOE GLOBAL MKTS INC 8,004 +1,883 $1,429
     CBOE8,004+1,883$1,429
J & J SNACK FOODS CORP 8,511 +267 $1,423
     JJSF8,511+267$1,423
DEVON ENERGY CORP NEW 31,391 UNCH $1,422
     DVN31,391UNCH$1,422
SITE CTRS CORP 103,726 -330 $1,414
     SITC103,726-330$1,414
WESTERN UN CO 118,516 UNCH $1,413
     WU118,516UNCH$1,413
MARRIOTT INTL INC NEW 6,245 UNCH $1,408
     MAR6,245UNCH$1,408
SELECT MED HLDGS CORP 59,819 -3,919 $1,406
     SEM59,819-3,919$1,406
GAMING & LEISURE PPTYS INC 28,473 UNCH $1,405
     GLPI28,473UNCH$1,405
RH 4,818 UNCH $1,404
     RH4,818UNCH$1,404
STRIDE INC 23,577 +729 $1,400
     LRN23,577+729$1,400
PIONEER NAT RES CO 6,215 UNCH $1,398
     PXD6,215UNCH$1,398
OMNICOM GROUP INC 16,115 UNCH $1,394
     OMC16,115UNCH$1,394
CENTERPOINT ENERGY INC 48,659 UNCH $1,390
     CNP48,659UNCH$1,390
BLOOMIN BRANDS INC 49,314 -2,758 $1,388
     BLMN49,314-2,758$1,388
TRIPADVISOR INC 64,429 +64,429 $1,387
     TRIP64,429+64,429$1,387
FTI CONSULTING INC 6,951 UNCH $1,384
     FCN6,951UNCH$1,384
BANKUNITED INC 42,657 -1,769 $1,383
     BKU42,657-1,769$1,383
PGT INNOVATIONS INC 33,961 -1,996 $1,382
     PGTI33,961-1,996$1,382
SIMMONS 1ST NATL CORP 69,655 -5,711 $1,382
     SFNC69,655-5,711$1,382
MYR GROUP INC DEL 9,542 -378 $1,380
     MYRG9,542-378$1,380
ENCOMPASS HEALTH CORP 20,663 UNCH $1,379
     EHC20,663UNCH$1,379
AMERICAN HOMES 4 RENT 38,323 UNCH $1,378
     AMH38,323UNCH$1,378
ADTALEM GLOBAL ED INC 23,382 -1,355 $1,378
     ATGE23,382-1,355$1,378
BWX TECHNOLOGIES INC 17,961 UNCH $1,378
     BWXT17,961UNCH$1,378
PRIVIA HEALTH GROUP INC 59,828 +5,272 $1,378
     PRVA59,828+5,272$1,378
WILLIAMS COS INC 39,545 UNCH $1,377
     WMB39,545UNCH$1,377
GRIFFON CORP 22,568 -5,716 $1,376
     GFF22,568-5,716$1,376
PROGRESS SOFTWARE CORP 25,303 +302 $1,374
     PRGS25,303+302$1,374
EQUITABLE HLDGS INC 41,213 UNCH $1,372
     EQH41,213UNCH$1,372
ETSY INC 16,917 UNCH $1,371
     ETSY16,917UNCH$1,371
ENVESTNET INC 27,652 +27,652 $1,369
     ENV27,652+27,652$1,369
PAPA JOHNS INTL INC 17,951 +17,951 $1,368
     PZZA17,951+17,951$1,368
FIRST AMERN FINL CORP 21,187 UNCH $1,365
     FAF21,187UNCH$1,365
GIBRALTAR INDS INC 17,239 -1,123 $1,362
     ROCK17,239-1,123$1,362
OCEANEERING INTL INC 63,973 +10,074 $1,361
     OII63,973+10,074$1,361
PRUDENTIAL FINL INC 13,068 +6,017 $1,355
     PRU13,068+6,017$1,355
MARKETAXESS HLDGS INC 4,622 UNCH $1,354
     MKTX4,622UNCH$1,354
BIO TECHNE CORP 17,480 UNCH $1,349
     TECH17,480UNCH$1,349
MINERALS TECHNOLOGIES INC 18,908 -1,109 $1,348
     MTX18,908-1,109$1,348
BOOT BARN HLDGS INC 17,431 -544 $1,338
     BOOT17,431-544$1,338
QIAGEN NV 30,814 UNCH $1,338
     QGEN30,814UNCH$1,338
DOMINION ENERGY INC 28,451 UNCH $1,337
     D28,451UNCH$1,337
AMPHASTAR PHARMACEUTICALS IN 21,593 -479 $1,336
     AMPH21,593-479$1,336
FIRSTENERGY CORP 36,409 UNCH $1,335
     FE36,409UNCH$1,335
HIGHWOODS PPTYS INC 58,053 +58,053 $1,333
     HIW58,053+58,053$1,333
ELASTIC N V 11,822 UNCH $1,332
     ESTC11,822UNCH$1,332
EXTREME NETWORKS 75,461 -1,471 $1,331
     EXTR75,461-1,471$1,331
PENTAIR PLC 18,246 UNCH $1,327
     PNR18,246UNCH$1,327
CARETRUST REIT INC 59,181 +1,899 $1,324
     CTRE59,181+1,899$1,324
NEUROCRINE BIOSCIENCES INC 10,046 UNCH $1,324
     NBIX10,046UNCH$1,324
PERFICIENT INC 20,055 -458 $1,320
     PRFT20,055-458$1,320
SEACOAST BKG CORP FLA 46,383 -2,594 $1,320
     SBCF46,383-2,594$1,320
FLEETCOR TECHNOLOGIES INC 4,668 UNCH $1,319
     FLT4,668UNCH$1,319
ROGERS CORP 9,956 -1,166 $1,315
     ROG9,956-1,166$1,315
KELLANOVA 23,454 UNCH $1,311
     K23,454UNCH$1,311
CLEVELAND CLIFFS INC NEW 64,131 UNCH $1,310
     CLF64,131UNCH$1,310
DORMAN PRODS INC 15,692 -632 $1,309
     DORM15,692-632$1,309
JOHNSON CTLS INTL PLC 22,706 UNCH $1,309
     JCI22,706UNCH$1,309
MSA SAFETY INC 7,753 UNCH $1,309
     MSA7,753UNCH$1,309
HILTON WORLDWIDE HLDGS INC 7,170 UNCH $1,306
     HLT7,170UNCH$1,306
US BANCORP DEL 30,183 UNCH $1,306
     USB30,183UNCH$1,306
SUNSTONE HOTEL INVS INC NEW 121,419 +2,271 $1,303
     SHO121,419+2,271$1,303
BATH & BODY WORKS INC 30,171 UNCH $1,302
     BBWI30,171UNCH$1,302
CAL MAINE FOODS INC 22,690 +1,488 $1,302
     CALM22,690+1,488$1,302
ANSYS INC 3,579 UNCH $1,299
     ANSS3,579UNCH$1,299
GXO LOGISTICS INCORPORATED 21,215 UNCH $1,298
     GXO21,215UNCH$1,298
CELSIUS HLDGS INC 23,790 +15,860 $1,297
     CELH23,790+15,860$1,297
ALEXANDRIA REAL ESTATE EQ IN 10,208 UNCH $1,294
     ARE10,208UNCH$1,294
FIRST INDL RLTY TR INC 24,472 UNCH $1,289
     FR24,472UNCH$1,289
HEXCEL CORP NEW 17,385 UNCH $1,282
     HXL17,385UNCH$1,282
CHESAPEAKE UTILS CORP 12,092 +1,774 $1,277
     CPK12,092+1,774$1,277
DOUGLAS EMMETT INC 88,036 -8,281 $1,277
     DEI88,036-8,281$1,277
VIAVI SOLUTIONS INC 126,716 -4,201 $1,276
     VIAV126,716-4,201$1,276
VULCAN MATLS CO 5,620 UNCH $1,276
     VMC5,620UNCH$1,276
SYNOVUS FINL CORP 33,726 UNCH $1,270
     SNV33,726UNCH$1,270
ALAMO GROUP INC 6,018 -34 $1,265
     ALG6,018-34$1,265
PUBLIC STORAGE 4,143 UNCH $1,264
     PSA4,143UNCH$1,264
TENET HEALTHCARE CORP 16,709 +4,832 $1,263
     THC16,709+4,832$1,263
ARCHROCK INC 81,936 +2,884 $1,262
     AROC81,936+2,884$1,262
GRANITE CONSTR INC 24,819 -901 $1,262
     GVA24,819-901$1,262
CARGURUS INC 52,103 +2,260 $1,259
     CARG52,103+2,260$1,259
TRINITY INDS INC 47,353 -2,542 $1,259
     TRN47,353-2,542$1,259
DARDEN RESTAURANTS INC 7,626 UNCH $1,253
     DRI7,626UNCH$1,253
AVERY DENNISON CORP 6,191 UNCH $1,252
     AVY6,191UNCH$1,252
SKYWEST INC 23,947 -2,650 $1,250
     SKYW23,947-2,650$1,250
VICTORIAS SECRET AND CO 47,057 -868 $1,249
     VSCO47,057-868$1,249
UNITED BANKSHARES INC WEST V (UBSI) 33,233 UNCH $1,248
     UBSI33,233UNCH$1,248
PAR PAC HOLDINGS INC 34,271 +3,280 $1,246
     PARR34,271+3,280$1,246
REVVITY INC 11,360 +11,360 $1,242
     RVTY11,360+11,360$1,242
CENTRAL GARDEN & PET CO 28,038 -2,821 $1,235
     CENTA28,038-2,821$1,235
ENERGIZER HLDGS INC NEW 38,946 +38,946 $1,234
     ENR38,946+38,946$1,234
ICU MED INC 12,371 +12,371 $1,234
     ICUI12,371+12,371$1,234
BANCORP INC DEL 31,950 -423 $1,232
     TBBK31,950-423$1,232
FOUR CORNERS PPTY TR INC 48,618 -1,635 $1,230
     FCPT48,618-1,635$1,230
ST JOE CO 20,379 +74 $1,226
     JOE20,379+74$1,226
FIRST FINL BANCORP OH 51,552 -3,842 $1,224
     FFBC51,552-3,842$1,224
XEROX HOLDINGS CORP 66,780 +66,780 $1,224
     XRX66,780+66,780$1,224
TREEHOUSE FOODS INC 29,463 -188 $1,221
     THS29,463-188$1,221
TRADEWEB MKTS INC 13,425 UNCH $1,220
     TW13,425UNCH$1,220
NEOGENOMICS INC 75,265 -2,811 $1,218
     NEO75,265-2,811$1,218
AAR CORP 19,471 -523 $1,215
     AIR19,471-523$1,215
AMERICAN WTR WKS CO INC NEW 9,188 UNCH $1,213
     AWK9,188UNCH$1,213
JACOBS SOLUTIONS INC 9,345 UNCH $1,213
     J9,345UNCH$1,213
WINNEBAGO INDS INC 16,638 -1,618 $1,213
     WGO16,638-1,618$1,213
DOVER CORP 7,873 UNCH $1,211
     DOV7,873UNCH$1,211
URBAN EDGE PPTYS 66,178 -854 $1,211
     UE66,178-854$1,211
CORNING INC 39,744 -131,565 $1,210
     GLW39,744-131,565$1,210
GRAPHIC PACKAGING HLDG CO 49,040 UNCH $1,209
     GPK49,040UNCH$1,209
AVANTOR INC 52,803 UNCH $1,205
     AVTR52,803UNCH$1,205
ESSENT GROUP LTD 22,831 +10,042 $1,204
     ESNT22,831+10,042$1,204
L3HARRIS TECHNOLOGIES INC 5,711 UNCH $1,203
     LHX5,711UNCH$1,203
URBAN OUTFITTERS INC 33,647 -1,709 $1,201
     URBN33,647-1,709$1,201
MARTIN MARIETTA MATLS INC 2,399 UNCH $1,197
     MLM2,399UNCH$1,197
EPLUS INC 14,969 -659 $1,195
     PLUS14,969-659$1,195
SCHLUMBERGER LTD 22,859 UNCH $1,190
     SLB22,859UNCH$1,190
PHOTRONICS INC 37,872 -1,203 $1,188
     PLAB37,872-1,203$1,188
TRUIST FINL CORP 32,144 UNCH $1,187
     TFC32,144UNCH$1,187
PATRICK INDS INC 11,815 -1,124 $1,186
     PATK11,815-1,124$1,186
STRATEGIC ED INC 12,819 -336 $1,184
     STRA12,819-336$1,184
WEC ENERGY GROUP INC 14,023 UNCH $1,180
     WEC14,023UNCH$1,180
CAMDEN PPTY TR 11,813 UNCH $1,173
     CPT11,813UNCH$1,173
OSI SYSTEMS INC 8,986 -589 $1,160
     OSIS8,986-589$1,160
KENNAMETAL INC 44,831 -3,978 $1,156
     KMT44,831-3,978$1,156
INTERPUBLIC GROUP COS INC 35,241 UNCH $1,150
     IPG35,241UNCH$1,150
CORTEVA INC 23,972 -8,663 $1,149
     CTVA23,972-8,663$1,149
DIAMONDROCK HOSPITALITY CO 122,399 -314 $1,149
     DRH122,399-314$1,149
MCCORMICK & CO INC 16,756 UNCH $1,146
     MKC16,756UNCH$1,146
DUPONT DE NEMOURS INC 14,887 UNCH $1,145
     DD14,887UNCH$1,145
ADVANCED DRAIN SYS INC DEL 8,144 UNCH $1,145
     WMS8,144UNCH$1,145
TARGA RES CORP 13,145 UNCH $1,142
     TRGP13,145UNCH$1,142
STEPAN CO 12,068 -1,094 $1,141
     SCL12,068-1,094$1,141
TELEPHONE & DATA SYS INC 61,969 -210 $1,137
     TDS61,969-210$1,137
CROCS INC 12,154 UNCH $1,135
     CROX12,154UNCH$1,135
STAG INDL INC 28,857 UNCH $1,133
     STAG28,857UNCH$1,133
WAFD INC 34,372 -4,040 $1,133
     WAFD34,372-4,040$1,133
MILLERKNOLL INC 42,355 -3,688 $1,130
     MLKN42,355-3,688$1,130
CNA FINL CORP 26,677 UNCH $1,129
     CNA26,677UNCH$1,129
RADNET INC 32,403 -3,463 $1,127
     RDNT32,403-3,463$1,127
PRIMERICA INC 5,469 UNCH $1,125
     PRI5,469UNCH$1,125
CALLON PETE CO DEL 34,679 +6,391 $1,124
     CPE34,679+6,391$1,124
STONEX GROUP INC 15,190 +4,925 $1,121
     SNEX15,190+4,925$1,121
THE ODP CORP 19,892 -284 $1,120
     ODP19,892-284$1,120
PEBBLEBROOK HOTEL TR 69,938 +31 $1,118
     PEB69,938+31$1,118
VIASAT INC 39,989 -7,560 $1,118
     VSAT39,989-7,560$1,118
AMERICAN FINL GROUP INC OHIO 9,392 UNCH $1,117
     AFG9,392UNCH$1,117
SCHRODINGER INC 31,212 -789 $1,117
     SDGR31,212-789$1,117
STERIS PLC 5,070 UNCH $1,115
     STE5,070UNCH$1,115
HNI CORP 26,595 -745 $1,112
     HNI26,595-745$1,112
PRICESMART INC 14,629 -318 $1,109
     PSMT14,629-318$1,109
CAPRI HOLDINGS LIMITED 22,047 UNCH $1,108
     CPRI22,047UNCH$1,108
ACADIA HEALTHCARE COMPANY IN 14,239 UNCH $1,107
     ACHC14,239UNCH$1,107
IDEX CORP 5,101 UNCH $1,107
     IEX5,101UNCH$1,107
EDGEWELL PERS CARE CO 30,173 +507 $1,105
     EPC30,173+507$1,105
SOUTHERN COPPER CORP 12,836 UNCH $1,105
     SCCO12,836UNCH$1,105
OGE ENERGY CORP 31,518 UNCH $1,101
     OGE31,518UNCH$1,101
BLOCK H & R INC 22,744 UNCH $1,100
     HRB22,744UNCH$1,100
MASIMO CORP 9,309 UNCH $1,091
     MASI9,309UNCH$1,091
VERTIV HOLDINGS CO 22,718 UNCH $1,091
     VRT22,718UNCH$1,091
NBT BANCORP INC 25,948 -1,663 $1,087
     NBTB25,948-1,663$1,087
ASSURANT INC 6,431 UNCH $1,084
     AIZ6,431UNCH$1,084
LIBERTY MEDIA CORP DEL 18,672 UNCH $1,083
     FWONA18,672UNCH$1,083
GOOSEHEAD INS INC 14,287 +14,287 $1,083
     GSHD14,287+14,287$1,083
DYNAVAX TECHNOLOGIES CORP 77,139 +6,333 $1,078
     DVAX77,139+6,333$1,078
MERCURY SYS INC 29,332 -6,231 $1,073
     MRCY29,332-6,231$1,073
GLOBAL NET LEASE INC 107,744 +44,788 $1,072
     GNL107,744+44,788$1,072
SJW GROUP 16,397 +60 $1,072
     SJW16,397+60$1,072
MOHAWK INDS INC 10,337 +10,337 $1,070
     MHK10,337+10,337$1,070
FIFTH THIRD BANCORP 30,993 UNCH $1,069
     FITB30,993UNCH$1,069
DANA INC 73,075 -3,234 $1,068
     DAN73,075-3,234$1,068
EXPONENT INC 12,127 UNCH $1,068
     EXPO12,127UNCH$1,068
SIMON PPTY GROUP INC NEW 7,454 UNCH $1,063
     SPG7,454UNCH$1,063
MASTEC INC 14,022 UNCH $1,062
     MTZ14,022UNCH$1,062
VERICEL CORP 29,722 +2,795 $1,058
     VCEL29,722+2,795$1,058
LITHIA MTRS INC 3,210 UNCH $1,057
     LAD3,210UNCH$1,057
STANDEX INTL CORP 6,676 -327 $1,057
     SXI6,676-327$1,057
UGI CORP NEW 42,863 -51,765 $1,054
     UGI42,863-51,765$1,054
VEECO INSTRS INC DEL 33,812 +3,798 $1,049
     VECO33,812+3,798$1,049
COOPER COS INC 2,763 UNCH $1,046
     COO2,763UNCH$1,046
MASTERBRAND INC 70,215 -7,582 $1,043
     MBC70,215-7,582$1,043
CUSHMAN WAKEFIELD PLC 96,382 -1,187 $1,041
     CWK96,382-1,187$1,041
BRINKER INTL INC 24,101 -3,273 $1,041
     EAT24,101-3,273$1,041
PARK NATL CORP 7,833 -660 $1,041
     PRK7,833-660$1,041
VEEVA SYS INC 5,395 UNCH $1,039
     VEEV5,395UNCH$1,039
XYLEM INC 9,048 UNCH $1,035
     XYL9,048UNCH$1,035
ROYALTY PHARMA PLC 36,805 UNCH $1,034
     RPRX36,805UNCH$1,034
ANDERSONS INC 17,952 -403 $1,033
     ANDE17,952-403$1,033
GUIDEWIRE SOFTWARE INC 9,461 UNCH $1,032
     GWRE9,461UNCH$1,032
GENTHERM INC 19,703 -430 $1,032
     THRM19,703-430$1,032
VISTA OUTDOOR INC 34,905 +770 $1,032
     VSTO34,905+770$1,032
DAVE & BUSTERS ENTMT INC 19,121 -5,140 $1,030
     PLAY19,121-5,140$1,030
SUN CMNTYS INC 7,701 UNCH $1,029
     SUI7,701UNCH$1,029
RENASANT CORP 30,528 -2,867 $1,028
     RNST30,528-2,867$1,028
CERTARA INC 58,305 -6,380 $1,026
     CERT58,305-6,380$1,026
GENTEX CORP 31,360 UNCH $1,024
     GNTX31,360UNCH$1,024
TTM TECHNOLOGIES INC 64,759 +678 $1,024
     TTMI64,759+678$1,024
CATALYST PHARMACEUTICALS INC 60,806 -15 $1,022
     CPRX60,806-15$1,022
CORECIVIC INC 70,354 +4,199 $1,022
     CXW70,354+4,199$1,022
JETBLUE AWYS CORP 184,095 +184,095 $1,022
     JBLU184,095+184,095$1,022
ENPHASE ENERGY INC 7,709 +4,349 $1,019
     ENPH7,709+4,349$1,019
SYLVAMO CORP 20,753 +1,985 $1,019
     SLVM20,753+1,985$1,019
INDEPENDENT BANK GROUP INC 20,005 -1,961 $1,018
     IBTX20,005-1,961$1,018
LEAR CORP 7,176 +3,385 $1,013
     LEA7,176+3,385$1,013
PINNACLE FINL PARTNERS INC 11,593 UNCH $1,011
     PNFP11,593UNCH$1,011
BAKER HUGHES COMPANY 29,449 UNCH $1,007
     BKR29,449UNCH$1,007
BRUKER CORP 13,633 UNCH $1,002
     BRKR13,633UNCH$1,002
TENNANT CO 10,815 -684 $1,002
     TNC10,815-684$1,002
AGILYSYS INC 11,791 +306 $1,000
     AGYS11,791+306$1,000
RETAIL OPPORTUNITY INVTS COR 71,164 -714 $998
     ROIC71,164-714$998
AMEREN CORP 13,760 -29,298 $995
     AEE13,760-29,298$995
OFG BANCORP 26,498 -910 $993
     OFG26,498-910$993
HYATT HOTELS CORP 7,610 UNCH $992
     H7,610UNCH$992
BANNER CORP 18,494 -1,222 $991
     BANR18,494-1,222$991
REGENCY CTRS CORP 14,767 UNCH $989
     REG14,767UNCH$989
COHU INC 27,822 -316 $985
     COHU27,822-316$985
ANTERO RESOURCES CORP 43,395 +19,083 $984
     AR43,395+19,083$984
BANC OF CALIFORNIA INC 73,290 +41,720 $984
     BANC73,290+41,720$984
CROWN CASTLE INC 8,543 UNCH $984
     CCI8,543UNCH$984
LANCASTER COLONY CORP 5,894 UNCH $981
     LANC5,894UNCH$981
THE TRADE DESK INC 13,558 UNCH $976
     TTD13,558UNCH$976
ENERPAC TOOL GROUP CORP 31,260 -2,474 $972
     EPAC31,260-2,474$972
MURPHY OIL CORP 22,744 UNCH $970
     MUR22,744UNCH$970
DOCUSIGN INC 16,271 UNCH $967
     DOCU16,271UNCH$967
CUBESMART 20,823 UNCH $965
     CUBE20,823UNCH$965
EASTGROUP PPTYS INC 5,259 UNCH $965
     EGP5,259UNCH$965
OPENLANE INC 65,179 +1,891 $965
     KAR65,179+1,891$965
KNOWLES CORP 53,846 -722 $964
     KN53,846-722$964
TALOS ENERGY INC 67,650 +5,048 $963
     TALO67,650+5,048$963
TRIUMPH FINANCIAL INC 11,970 -757 $960
     TFIN11,970-757$960
NCR ATLEOS CORPORATION 39,344 +39,344 $956
     NATL39,344+39,344$956
READY CAPITAL CORP 93,059 -880 $954
     RC93,059-880$954
VIRTUS INVT PARTNERS INC 3,940 -202 $953
     VRTS3,940-202$953
GREEN PLAINS INC 37,750 +4,034 $952
     GPRE37,750+4,034$952
SUPERNUS PHARMACEUTICALS INC 32,830 +1,727 $950
     SUPN32,830+1,727$950
ENOVA INTL INC 17,134 -1,273 $949
     ENVA17,134-1,273$949
FORWARD AIR CORP 15,070 +236 $947
     FWRD15,070+236$947
BREAD FINANCIAL HOLDINGS INC 28,715 -227 $946
     BFH28,715-227$946
BARNES GROUP INC 28,949 -1,653 $945
     B28,949-1,653$945
APOLLO MED HLDGS INC 24,655 -3,513 $944
     AMEH24,655-3,513$944
MID AMER APT CMNTYS INC 7,018 -22,993 $944
     MAA7,018-22,993$944
INGEVITY CORP 19,948 -292 $942
     NGVT19,948-292$942
CAESARS ENTERTAINMENT INC NE 20,076 +20,076 $941
     CZR20,076+20,076$941
HAYWARD HLDGS INC 69,062 +69,062 $939
     HAYW69,062+69,062$939
DENTSPLY SIRONA INC 26,299 -63,507 $936
     XRAY26,299-63,507$936
BRUNSWICK CORP 9,663 UNCH $935
     BC9,663UNCH$935
CRACKER BARREL OLD CTRY STOR 12,127 -1,781 $935
     CBRL12,127-1,781$935
TEXAS ROADHOUSE INC 7,593 UNCH $928
     TXRH7,593UNCH$928
NAVIENT CORPORATION 49,747 -7,070 $926
     NAVI49,747-7,070$926
SHOCKWAVE MED INC 4,858 UNCH $926
     SWAV4,858UNCH$926
TRUSTMARK CORP 33,225 -2,276 $926
     TRMK33,225-2,276$926
CHEESECAKE FACTORY INC 26,414 -2,464 $925
     CAKE26,414-2,464$925
MGP INGREDIENTS INC NEW 9,366 +206 $923
     MGPI9,366+206$923
M & T BK CORP 6,724 UNCH $922
     MTB6,724UNCH$922
SCORPIO TANKERS INC 15,141 +6,138 $921
     STNG15,141+6,138$921
COMERICA INC 16,479 UNCH $920
     CMA16,479UNCH$920
LAKELAND FINL CORP 14,110 -1,149 $919
     LKFN14,110-1,149$919
TOPBUILD CORP 2,454 +2,454 $918
     BLD2,454+2,454$918
ENVISTA HOLDINGS CORPORATION 38,015 UNCH $915
     NVST38,015UNCH$915
UNIVERSAL CORP VA 13,593 -421 $915
     UVV13,593-421$915
LA Z BOY INC 24,768 -75 $914
     LZB24,768-75$914
ACADIA RLTY TR 53,677 -772 $912
     AKR53,677-772$912
VALMONT INDS INC 3,906 UNCH $912
     VMI3,906UNCH$912
EXTRA SPACE STORAGE INC 5,673 UNCH $910
     EXR5,673UNCH$910
ALLIANT ENERGY CORP 17,735 -92,137 $910
     LNT17,735-92,137$910
PACIRA BIOSCIENCES INC 26,964 +591 $910
     PCRX26,964+591$910
JACK IN THE BOX INC 11,101 -833 $906
     JACK11,101-833$906
HELIX ENERGY SOLUTIONS GRP I 88,023 +8,923 $905
     HLX88,023+8,923$905
CITY HLDG CO 8,197 -242 $904
     CHCO8,197-242$904
DONNELLEY FINL SOLUTIONS INC 14,496 -281 $904
     DFIN14,496-281$904
APOLLO COML REAL EST FIN INC 76,754 -1,557 $901
     ARI76,754-1,557$901
CINEMARK HLDGS INC 63,961 +63,961 $901
     CNK63,961+63,961$901
TELEDYNE TECHNOLOGIES INC 2,016 UNCH $900
     TDY2,016UNCH$900
NETSCOUT SYS INC 40,944 +1,920 $899
     NTCT40,944+1,920$899
PBF ENERGY INC 20,319 UNCH $893
     PBF20,319UNCH$893
ROYAL CARIBBEAN GROUP 6,897 UNCH $893
     RCL6,897UNCH$893
KKR & CO INC 10,757 +10,757 $891
     KKR10,757+10,757$891
ULTRA CLEAN HLDGS INC 26,107 -1,696 $891
     UCTT26,107-1,696$891
TKO GROUP HOLDINGS INC 10,915 +10,915 $890
     TKO10,915+10,915$890
CSG SYS INTL INC 16,632 -724 $885
     CSGS16,632-724$885
DRAFTKINGS INC NEW 25,117 UNCH $885
     DKNG25,117UNCH$885
HILLTOP HOLDINGS INC 25,138 -2,230 $885
     HTH25,138-2,230$885
CUSTOMERS BANCORP INC 15,328 -2,398 $883
     CUBI15,328-2,398$883
HORMEL FOODS CORP 27,494 UNCH $883
     HRL27,494UNCH$883
CARVANA CO 16,626 +16,626 $880
     CVNA16,626+16,626$880
NATIONAL FUEL GAS CO 17,542 UNCH $880
     NFG17,542UNCH$880
EAGLE MATLS INC 4,323 UNCH $877
     EXP4,323UNCH$877
JBG SMITH PPTYS 51,579 -2,758 $877
     JBGS51,579-2,758$877
NORTHWEST BANCSHARES INC MD (NWBI) 69,996 -2,815 $874
     NWBI69,996-2,815$874
FORTUNE BRANDS INNOVATIONS I 11,471 UNCH $873
     FBIN11,471UNCH$873
UDR INC 22,751 UNCH $871
     UDR22,751UNCH$871
KBR INC 15,696 UNCH $870
     KBR15,696UNCH$870
DORIAN LPG LTD 19,831 +2,821 $870
     LPG19,831+2,821$870
RLI CORP 6,528 UNCH $869
     RLI6,528UNCH$869
FIRST COMWLTH FINL CORP PA 56,215 -4,887 $868
     FCF56,215-4,887$868
KINSALE CAP GROUP INC 2,591 UNCH $868
     KNSL2,591UNCH$868
UPBOUND GROUP INC 25,520 -3,799 $867
     UPBD25,520-3,799$867
OXFORD INDS INC 8,656 -373 $866
     OXM8,656-373$866
SILGAN HLDGS INC 19,125 UNCH $865
     SLGN19,125UNCH$865
PERRIGO CO PLC 26,755 UNCH $861
     PRGO26,755UNCH$861
VECTOR GROUP LTD 76,314 -1,718 $861
     VGR76,314-1,718$861
ADDUS HOMECARE CORP 9,238 -490 $858
     ADUS9,238-490$858
FIRST BANCORP N C 23,179 -1,087 $858
     FBNC23,179-1,087$858
CCC INTELLIGENT SOLUTIONS HL 75,134 UNCH $856
     CCCS75,134UNCH$856
XENIA HOTELS & RESORTS INC 62,845 -781 $856
     XHR62,845-781$856
BLACKSTONE INC 6,527 +6,527 $855
     BX6,527+6,527$855
ASHLAND INC 10,125 UNCH $854
     ASH10,125UNCH$854
PILGRIMS PRIDE CORP 30,882 -15,681 $854
     PPC30,882-15,681$854
DELL TECHNOLOGIES INC 11,123 UNCH $851
     DELL11,123UNCH$851
SAIA INC 1,937 UNCH $849
     SAIA1,937UNCH$849
CELANESE CORP DEL 5,459 UNCH $848
     CE5,459UNCH$848
STEWART INFORMATION SVCS COR 14,400 -1,057 $846
     STC14,400-1,057$846
SAMSARA INC 25,263 UNCH $843
     IOT25,263UNCH$843
BAUSCH PLUS LOMB CORP 48,989 UNCH $836
     BLCO48,989UNCH$836
EXLSERVICE HOLDINGS INC 27,115 UNCH $836
     EXLS27,115UNCH$836
DUN & BRADSTREET HLDGS INC 71,346 UNCH $835
     DNB71,346UNCH$835
WATTS WATER TECHNOLOGIES INC 4,000 UNCH $833
     WTS4,000UNCH$833
LINDSAY CORP 6,399 -127 $826
     LNN6,399-127$826
TRIMBLE INC 15,523 -53,624 $826
     TRMB15,523-53,624$826
WESTAMERICA BANCORPORATION 14,644 -319 $826
     WABC14,644-319$826
GEO GROUP INC NEW 76,146 +5,581 $825
     GEO76,146+5,581$825
WORLD KINECT CORPORATION 36,148 +36,148 $823
     WKC36,148+36,148$823
PAYONEER GLOBAL INC 157,523 +39,322 $821
     PAYO157,523+39,322$821
AZZ INC 14,092 -1,284 $819
     AZZ14,092-1,284$819
KENNEDY WILSON HOLDINGS INC 66,030 -1,513 $817
     KW66,030-1,513$817
SONOCO PRODS CO 14,595 UNCH $815
     SON14,595UNCH$815
G III APPAREL GROUP LTD 23,955 -586 $814
     GIII23,955-586$814
NNN REIT INC 18,862 UNCH $813
     NNN18,862UNCH$813
EURONET WORLDWIDE INC 8,004 UNCH $812
     EEFT8,004UNCH$812
NV5 GLOBAL INC 7,291 -150 $810
     NVEE7,291-150$810
PHINIA INC 26,727 -315 $810
     PHIN26,727-315$810
PROG HOLDINGS INC 26,147 -1,599 $808
     PRG26,147-1,599$808
SALLY BEAUTY HLDGS INC 60,775 -5,429 $807
     SBH60,775-5,429$807
WILEY JOHN & SONS INC 25,380 -568 $806
     WLY25,380-568$806
HOPE BANCORP INC 66,625 -4,220 $805
     HOPE66,625-4,220$805
TWO HBRS INVT CORP 57,783 +57,783 $805
     TWO57,783+57,783$805
CARMAX INC 10,473 UNCH $804
     KMX10,473UNCH$804
SIMPSON MFG INC 4,024 +4,024 $797
     SSD4,024+4,024$797
GREENBRIER COS INC 17,992 -1,235 $795
     GBX17,992-1,235$795
HAWKINS INC 11,236 +398 $791
     HWKN11,236+398$791
LOUISIANA PAC CORP 11,150 UNCH $790
     LPX11,150UNCH$790
SERVICE PPTYS TR 92,438 -8,445 $789
     SVC92,438-8,445$789
FIRST HORIZON CORPORATION 55,640 UNCH $788
     FHN55,640UNCH$788
AMERICAN AIRLS GROUP INC 57,269 +57,269 $787
     AAL57,269+57,269$787
U S PHYSICAL THERAPY 8,453 -402 $787
     USPH8,453-402$787
ALEXANDER & BALDWIN INC NEW 41,317 -1,949 $786
     ALEX41,317-1,949$786
NORTHWEST NAT HLDG CO 20,158 -206 $785
     NWN20,158-206$785
OWENS & MINOR INC NEW 40,740 +40,740 $785
     OMI40,740+40,740$785
CTS CORP 17,934 -604 $784
     CTS17,934-604$784
HORACE MANN EDUCATORS CORP N 23,986 +1,376 $784
     HMN23,986+1,376$784
BANCFIRST CORP 8,031 -2,449 $782
     BANF8,031-2,449$782
NATIONAL BK HLDGS CORP 21,002 -1,162 $781
     NBHC21,002-1,162$781
TYLER TECHNOLOGIES INC 1,865 UNCH $780
     TYL1,865UNCH$780
PATHWARD FINANCIAL INC 14,688 -1,017 $777
     CASH14,688-1,017$777
AMERICAN WOODMARK CORPORATIO 8,343 -1,307 $775
     AMWD8,343-1,307$775
FB FINL CORP 19,436 -1,774 $775
     FBK19,436-1,774$775
BUCKLE INC 16,292 -1,577 $774
     BKE16,292-1,577$774
LANTHEUS HLDGS INC 12,477 UNCH $774
     LNTH12,477UNCH$774
RENAISSANCERE HLDGS LTD 3,929 UNCH $770
     RNR3,929UNCH$770
MSCI INC 1,360 UNCH $769
     MSCI1,360UNCH$769
PALOMAR HLDGS INC 13,817 -780 $767
     PLMR13,817-780$767
PROVIDENT FINL SVCS INC 42,293 -2,227 $763
     PFS42,293-2,227$763
ADEIA INC 61,495 -2,642 $762
     ADEA61,495-2,642$762
MATCH GROUP INC NEW 20,851 UNCH $761
     MTCH20,851UNCH$761
CREDIT ACCEP CORP MICH 1,427 UNCH $760
     CACC1,427UNCH$760
MAXIMUS INC 9,021 UNCH $757
     MMS9,021UNCH$757
NATIONAL STORAGE AFFILIATES 18,252 UNCH $757
     NSA18,252UNCH$757
EASTMAN CHEM CO 8,402 UNCH $755
     EMN8,402UNCH$755
BAXTER INTL INC 19,448 UNCH $752
     BAX19,448UNCH$752
ITT INC 6,296 UNCH $751
     ITT6,296UNCH$751
PENNYMAC MTG INVT TR 50,250 -1,878 $751
     PMT50,250-1,878$751
GETTY RLTY CORP NEW 25,673 +584 $750
     GTY25,673+584$750
LTC PPTYS INC 23,256 -583 $747
     LTC23,256-583$747
WYNDHAM HOTELS & RESORTS INC 9,291 UNCH $747
     WH9,291UNCH$747
GREEN BRICK PARTNERS INC 14,340 -2,012 $745
     GRBK14,340-2,012$745
DUOLINGO INC 3,280 +3,280 $744
     DUOL3,280+3,280$744
ONTO INNOVATION INC 4,865 -24,314 $744
     ONTO4,865-24,314$744
EQUITY LIFESTYLE PPTYS INC 10,522 UNCH $742
     ELS10,522UNCH$742
MDU RES GROUP INC 37,439 UNCH $741
     MDU37,439UNCH$741
LEGGETT & PLATT INC 28,067 +28,067 $735
     LEG28,067+28,067$735
DIGITAL RLTY TR INC 5,450 UNCH $733
     DLR5,450UNCH$733
VERIS RESIDENTIAL INC 46,430 -799 $730
     VRE46,430-799$730
AES CORP 37,729 UNCH $726
     AES37,729UNCH$726
ELME COMMUNITIES 49,712 -267 $726
     ELME49,712-267$726
HUNT J B TRANS SVCS INC 3,633 UNCH $726
     JBHT3,633UNCH$726
SBA COMMUNICATIONS CORP NEW 2,844 UNCH $721
     SBAC2,844UNCH$721
STELLAR BANCORP INC 25,810 +395 $719
     STEL25,810+395$719
SOUTHWESTERN ENERGY CO 109,815 UNCH $719
     SWN109,815UNCH$719
TEXAS PACIFIC LAND CORPORATI 457 UNCH $719
     TPL457UNCH$719
YUM CHINA HLDGS INC 16,926 UNCH $718
     YUMC16,926UNCH$718
REGAL REXNORD CORPORATION 4,845 UNCH $717
     RRX4,845UNCH$717
CIENA CORP 15,887 UNCH $715
     CIEN15,887UNCH$715
S & T BANCORP INC 21,326 -1,499 $713
     STBA21,326-1,499$713
WESCO INTL INC 4,062 UNCH $706
     WCC4,062UNCH$706
SELECTIVE INS GROUP INC 7,057 UNCH $702
     SIGI7,057UNCH$702
GATX CORP 5,811 UNCH $699
     GATX5,811UNCH$699
VERITEX HLDGS INC 30,049 -2,886 $699
     VBTX30,049-2,886$699
COMMERCE BANCSHARES INC (CBSH) 13,054 +622 $697
     CBSH13,054+622$697
EASTERLY GOVT PPTYS INC 51,887 -1,612 $697
     DEA51,887-1,612$697
CARS COM INC 36,596 +955 $694
     CARS36,596+955$694
DT MIDSTREAM INC 12,672 UNCH $694
     DTM12,672UNCH$694
ENCORE CAP GROUP INC 13,683 +301 $694
     ECPG13,683+301$694
INTERNATIONAL GAME TECHNOLOG 25,323 UNCH $694
     IGT25,323UNCH$694
ALLEGIANT TRAVEL CO 8,389 -918 $693
     ALGT8,389-918$693
CITIZENS FINL GROUP INC 20,875 UNCH $692
     CFG20,875UNCH$692
LEVI STRAUSS & CO NEW 41,865 UNCH $692
     LEVI41,865UNCH$692
RAMBUS INC DEL 10,104 -61,813 $690
     RMBS10,104-61,813$690
KAISER ALUMINUM CORP 9,667 +78 $688
     KALU9,667+78$688
MARTEN TRANS LTD 32,617 -963 $684
     MRTN32,617-963$684
UNIVERSAL DISPLAY CORP 3,568 +3,568 $682
     OLED3,568+3,568$682
PERMIAN RESOURCES CORP 50,006 UNCH $680
     PR50,006UNCH$680
SHUTTERSTOCK INC 14,090 +188 $680
     SSTK14,090+188$680
UFP TECHNOLOGIES INC 3,945 -166 $679
     UFPT3,945-166$679
NOW INC 59,831 +84 $677
     DNOW59,831+84$677
SHENANDOAH TELECOMMUNICATION 31,115 -402 $673
     SHEN31,115-402$673
CALERES INC 21,872 +155 $672
     CAL21,872+155$672
MOBILEYE GLOBAL INC 15,523 +15,523 $672
     MBLY15,523+15,523$672
APTARGROUP INC 5,416 UNCH $670
     ATR5,416UNCH$670
REXFORD INDL RLTY INC 11,938 UNCH $670
     REXR11,938UNCH$670
LIGAND PHARMACEUTICALS INC 9,368 -190 $669
     LGND9,368-190$669
AMCOR PLC 69,335 UNCH $668
     AMCR69,335UNCH$668
ALLEGRO MICROSYSTEMS INC 22,032 UNCH $667
     ALGM22,032UNCH$667
UWM HOLDINGS CORPORATION 93,198 UNCH $666
     UWMC93,198UNCH$666
DYNATRACE INC 12,155 +12,155 $665
     DT12,155+12,155$665
POLARIS INC 7,019 UNCH $665
     PII7,019UNCH$665
PROSPERITY BANCSHARES INC (PB) 9,758 UNCH $661
     PB9,758UNCH$661
REYNOLDS CONSUMER PRODS INC 24,625 UNCH $661
     REYN24,625UNCH$661
HANOVER INS GROUP INC 5,442 UNCH $661
     THG5,442UNCH$661
ALTAIR ENGR INC 7,810 UNCH $657
     ALTR7,810UNCH$657
NATIONAL BEVERAGE CORP 13,214 -943 $657
     FIZZ13,214-943$657
MIDDLEBY CORP 4,456 UNCH $656
     MIDD4,456UNCH$656
MATTHEWS INTL CORP 17,868 -202 $655
     MATW17,868-202$655
WABASH NATL CORP 25,557 -2,904 $655
     WNC25,557-2,904$655
PERDOCEO ED CORP 37,266 -2,120 $654
     PRDO37,266-2,120$654
VALVOLINE INC 17,394 UNCH $654
     VVV17,394UNCH$654
AGREE RLTY CORP 10,369 UNCH $653
     ADC10,369UNCH$653
AVANOS MED INC 29,084 +1,262 $652
     AVNS29,084+1,262$652
ROIVANT SCIENCES LTD 57,981 UNCH $651
     ROIV57,981UNCH$651
RYAN SPECIALTY HOLDINGS INC 15,093 UNCH $649
     RYAN15,093UNCH$649
WILLSCOT MOBIL MINI HLDNG CO 14,581 UNCH $649
     WSC14,581UNCH$649
APOGEE ENTERPRISES INC 12,100 -1,247 $646
     APOG12,100-1,247$646
MIDDLESEX WTR CO 9,852 -822 $646
     MSEX9,852-822$646
LEMAITRE VASCULAR INC 11,355 -92 $645
     LMAT11,355-92$645
FRANKLIN BSP RLTY TR INC 47,579 -1,137 $643
     FBRT47,579-1,137$643
AXALTA COATING SYS LTD 18,775 UNCH $638
     AXTA18,775UNCH$638
KOPPERS HOLDINGS INC 12,465 +103 $638
     KOP12,465+103$638
INTEGRA LIFESCIENCES HLDGS C 14,633 UNCH $637
     IART14,633UNCH$637
TELEFLEX INCORPORATED 2,554 UNCH $637
     TFX2,554UNCH$637
XPEL INC 11,833 -764 $637
     XPEL11,833-764$637
MONGODB INC 1,556 +1,556 $636
     MDB1,556+1,556$636
SAFETY INS GROUP INC 8,372 -2 $636
     SAFT8,372-2$636
AUTOLIV INC 5,731 UNCH $631
     ALV5,731UNCH$631
ROBLOX CORP 13,756 UNCH $629
     RBLX13,756UNCH$629
AMERICAN ASSETS TR INC 27,862 -3,203 $627
     AAT27,862-3,203$627
CARNIVAL CORP 33,704 UNCH $625
     CCL33,704UNCH$625
FLOWSERVE CORP 15,077 +15,077 $621
     FLS15,077+15,077$621
VERADIGM INC 59,151 -3,670 $620
     MDRX59,151-3,670$620
RBC BEARINGS INC 2,177 -1,825 $620
     RBC2,177-1,825$620
BIOMARIN PHARMACEUTICAL INC 6,405 UNCH $618
     BMRN6,405UNCH$618
CABLE ONE INC 1,108 +1,108 $617
     CABO1,108+1,108$617
BOK FINL CORP 7,168 UNCH $614
     BOKF7,168UNCH$614
CHEFS WHSE INC 20,865 -433 $614
     CHEF20,865-433$614
SCHOLASTIC CORP 16,279 -1,330 $614
     SCHL16,279-1,330$614
COLLEGIUM PHARMACEUTICAL INC 19,879 +411 $612
     COLL19,879+411$612
LITTELFUSE INC 2,278 UNCH $610
     LFUS2,278UNCH$610
ICHOR HOLDINGS 18,120 -687 $609
     ICHR18,120-687$609
BERKSHIRE HILLS BANCORP INC 24,501 -1,527 $608
     BHLB24,501-1,527$608
SIRIUSPOINT LTD 52,434 +189 $608
     SPNT52,434+189$608
SOUTHWEST GAS HLDGS INC 9,599 UNCH $608
     SWX9,599UNCH$608
EXP WORLD HLDGS INC 39,032 -3,781 $606
     EXPI39,032-3,781$606
INTERACTIVE BROKERS GROUP IN 7,278 UNCH $603
     IBKR7,278UNCH$603
LAS VEGAS SANDS CORP 12,244 UNCH $603
     LVS12,244UNCH$603
SHIFT4 PMTS INC 8,102 UNCH $602
     FOUR8,102UNCH$602
CHEWY INC 25,378 UNCH $600
     CHWY25,378UNCH$600
SEALED AIR CORP NEW 16,373 UNCH $598
     SEE16,373UNCH$598
PROTO LABS INC 15,305 -550 $596
     PRLB15,305-550$596
BENTLEY SYS INC 11,400 +11,400 $595
     BSY11,400+11,400$595
NOVANTA INC 3,531 UNCH $595
     NOVT3,531UNCH$595
ARAMARK 21,111 UNCH $593
     ARMK21,111UNCH$593
MATADOR RES CO 10,427 UNCH $593
     MTDR10,427UNCH$593
COSTAR GROUP INC 6,779 UNCH $592
     CSGP6,779UNCH$592
FIVE BELOW INC 2,772 UNCH $591
     FIVE2,772UNCH$591
MARCUS & MILLICHAP INC 13,506 -681 $590
     MMI13,506-681$590
EMPLOYERS HLDGS INC 14,918 -290 $588
     EIG14,918-290$588
IDACORP INC 5,953 UNCH $585
     IDA5,953UNCH$585
WHIRLPOOL CORP 4,787 UNCH $583
     WHR4,787UNCH$583
SPIRIT RLTY CAP INC NEW 13,237 UNCH $578
     SRC13,237UNCH$578
TRINET GROUP INC 4,864 +4,864 $578
     TNET4,864+4,864$578
BENCHMARK ELECTRS INC 20,782 -735 $574
     BHE20,782-735$574
HAIN CELESTIAL GROUP INC 52,462 -3,226 $574
     HAIN52,462-3,226$574
AGCO CORP 4,723 UNCH $573
     AGCO4,723UNCH$573
SAFEHOLD INC 24,502 -1,728 $573
     SAFE24,502-1,728$573
V F CORP 30,490 UNCH $573
     VFC30,490UNCH$573
IRIDIUM COMMUNICATIONS INC 13,861 UNCH $571
     IRDM13,861UNCH$571
PDF SOLUTIONS INC 17,701 -294 $569
     PDFS17,701-294$569
APPFOLIO INC 3,281 UNCH $568
     APPF3,281UNCH$568
LAMAR ADVERTISING CO NEW 5,347 UNCH $568
     LAMR5,347UNCH$568
QUANEX BLDG PRODS CORP 18,573 -173 $568
     NX18,573-173$568
NU SKIN ENTERPRISES INC 29,056 -456 $564
     NUS29,056-456$564
PALANTIR TECHNOLOGIES INC 32,851 +32,851 $564
     PLTR32,851+32,851$564
AMERICAN AXLE & MFG HLDGS IN 63,941 -2,341 $563
     AXL63,941-2,341$563
AGNC INVT CORP 57,177 UNCH $561
     AGNC57,177UNCH$561
CHURCHILL DOWNS INC 4,160 UNCH $561
     CHDN4,160UNCH$561
NORWEGIAN CRUISE LINE HLDG L 27,929 UNCH $560
     NCLH27,929UNCH$560
HEALTHCARE RLTY TR 32,283 UNCH $556
     HR32,283UNCH$556
AVANGRID INC 17,122 UNCH $555
     AGR17,122UNCH$555
DELUXE CORP 25,866 -409 $555
     DLX25,866-409$555
MERCURY GENL CORP NEW 14,864 -337 $555
     MCY14,864-337$555
BROOKLINE BANCORP INC DEL 50,821 -2,503 $554
     BRKL50,821-2,503$554
CULLEN FROST BANKERS INC 5,086 UNCH $552
     CFR5,086UNCH$552
CHICOS FAS INC 72,498 -5,249 $550
     CHS72,498-5,249$550
SUPER MICRO COMPUTER INC 1,934 UNCH $550
     SMCI1,934UNCH$550
SCANSOURCE INC 13,863 -1,140 $549
     SCSC13,863-1,140$549
BRANDYWINE RLTY TR 101,231 -405 $547
     BDN101,231-405$547
NOBLE CORP PLC 11,352 +11,352 $547
     NE11,352+11,352$547
UNITED NAT FOODS INC 33,679 -4,402 $547
     UNFI33,679-4,402$547
DIGI INTL INC 20,976 -68 $545
     DGII20,976-68$545
WAYFAIR INC 8,840 UNCH $545
     W8,840UNCH$545
CVR ENERGY INC 17,954 +2,305 $544
     CVI17,954+2,305$544
MONARCH CASINO & RESORT INC 7,862 -156 $544
     MCRI7,862-156$544
U S SILICA HLDGS INC 48,060 +6,641 $544
     SLCA48,060+6,641$544
WEATHERFORD INTL PLC 5,561 +5,561 $544
     WFRD5,561+5,561$544
MONRO INC 18,472 +490 $542
     MNRO18,472+490$542
OPTION CARE HEALTH INC 16,090 UNCH $542
     OPCH16,090UNCH$542
HUNTINGTON BANCSHARES INC (HBAN) 42,554 UNCH $541
     HBAN42,554UNCH$541
SONIC AUTOMOTIVE INC 9,596 +315 $539
     SAH9,596+315$539
A10 NETWORKS INC 40,806 +3,417 $537
     ATEN40,806+3,417$537
HALLIBURTON CO 14,821 UNCH $536
     HAL14,821UNCH$536
HIBBETT INC 7,445 -356 $536
     HIBB7,445-356$536
SUNCOKE ENERGY INC 49,378 +138 $530
     SXC49,378+138$530
ANI PHARMACEUTICALS INC 9,594 +1,276 $529
     ANIP9,594+1,276$529
DIME CMNTY BANCSHARES INC (DCOM) 19,610 +127 $528
     DCOM19,610+127$528
TIMKENSTEEL CORPORATION 22,475 -1,348 $527
     TMST22,475-1,348$527
COMSTOCK RES INC 59,392 +6,742 $526
     CRK59,392+6,742$526
PREFERRED BK LOS ANGELES CA 7,196 -431 $526
     PFBC7,196-431$526
ARLO TECHNOLOGIES INC 55,112 +3,143 $525
     ARLO55,112+3,143$525
APARTMENT INCOME REIT CORP 15,004 UNCH $521
     AIRC15,004UNCH$521
N ABLE INC 39,225 +1,497 $520
     NABL39,225+1,497$520
REGIONS FINANCIAL CORP NEW 26,846 -310,026 $520
     RF26,846-310,026$520
FMC CORP 8,213 -48,570 $518
     FMC8,213-48,570$518
EAGLE BANCORP INC MD 17,158 -1,018 $517
     EGBN17,158-1,018$517
WENDYS CO 26,504 UNCH $516
     WEN26,504UNCH$516
CHOICE HOTELS INTL INC 4,534 UNCH $514
     CHH4,534UNCH$514
AMERISAFE INC 10,967 +314 $513
     AMSF10,967+314$513
COMPASS MINERALS INTL INC 20,250 -507 $513
     CMP20,250-507$513
MARVELL TECHNOLOGY INC 8,510 UNCH $513
     MRVL8,510UNCH$513
CENTERSPACE 8,743 -216 $509
     CSR8,743-216$509
TECHNIPFMC PLC 25,293 +25,293 $509
     FTI25,293+25,293$509
INNOVIVA INC 31,719 -1,429 $509
     INVA31,719-1,429$509
DRIL QUIP INC 21,583 +2,867 $502
     DRQ21,583+2,867$502
SANFILIPPO JOHN B & SON INC 4,860 +138 $501
     JBSS4,860+138$501
TFS FINL CORP 34,123 UNCH $501
     TFSL34,123UNCH$501
ELLINGTON FINANCIAL INC 39,266 +1,974 $499
     EFC39,266+1,974$499
ASTEC INDS INC 13,322 -1,422 $496
     ASTE13,322-1,422$496
MATIV HOLDINGS INC 32,370 +192 $496
     MATV32,370+192$496
SOUTHSIDE BANCSHARES INC (SBSI) 15,836 -1,429 $496
     SBSI15,836-1,429$496
REX AMERICAN RES CORP 10,463 +1,286 $495
     REX10,463+1,286$495
REDWOOD TRUST INC 66,775 +66,775 $495
     RWT66,775+66,775$495
VAREX IMAGING CORP 24,105 +832 $494
     VREX24,105+832$494
CORE LABORATORIES INC 27,921 +2,641 $493
     CLB27,921+2,641$493
FRESH DEL MONTE PRODUCE INC 18,766 +1,428 $493
     FDP18,766+1,428$493
GOLDEN ENTMT INC 12,316 -1,406 $492
     GDEN12,316-1,406$492
LAZARD LTD 14,145 -39,681 $492
     LAZ14,145-39,681$492
WK KELLOGG CO 37,352 +37,352 $491
     KLG37,352+37,352$491
ADVANSIX INC 16,279 -416 $488
     ASIX16,279-416$488
ANYWHERE REAL ESTATE INC 60,050 +2,201 $487
     HOUS60,050+2,201$487
HUNTSMAN CORP 19,372 UNCH $487
     HUN19,372UNCH$487
CERENCE INC 24,590 +309 $483
     CRNC24,590+309$483
VITAL ENERGY INC 10,591 +124 $482
     VTLE10,591+124$482
BJS RESTAURANTS INC 13,338 -1,196 $480
     BJRI13,338-1,196$480
CHAMPIONX CORPORATION 16,425 UNCH $480
     CHX16,425UNCH$480
ESSENTIAL UTILS INC 12,828 UNCH $479
     WTRG12,828UNCH$479
METHODE ELECTRS INC 21,045 -1,487 $478
     MEI21,045-1,487$478
UNITIL CORP 9,035 -549 $475
     UTL9,035-549$475
POWELL INDS INC 5,339 -63 $472
     POWL5,339-63$472
SENSATA TECHNOLOGIES HLDG PL 12,551 UNCH $472
     ST12,551UNCH$472
PROPETRO HLDG CORP 56,195 +2,171 $471
     PUMP56,195+2,171$471
KKR REAL ESTATE FIN TR INC 35,542 +1,571 $470
     KREF35,542+1,571$470
R1 RCM INC 44,408 +44,408 $469
     RCM44,408+44,408$469
AMERICOLD REALTY TRUST INC 15,423 UNCH $467
     COLD15,423UNCH$467
PINNACLE WEST CAP CORP 6,507 UNCH $467
     PNW6,507UNCH$467
ARMADA HOFFLER PPTYS INC 37,585 -3,588 $465
     AHH37,585-3,588$465
CAPITOL FED FINL INC 71,892 -1,498 $464
     CFFN71,892-1,498$464
EXACT SCIENCES CORP 6,259 UNCH $463
     EXAS6,259UNCH$463
INSPIRE MED SYS INC 2,259 UNCH $460
     INSP2,259UNCH$460
WISDOMTREE INC 66,325 +479 $460
     WT66,325+479$460
NEXPOINT RESIDENTIAL TR INC 13,261 +13,261 $457
     NXRT13,261+13,261$457
NEW YORK MTG TR INC 53,242 -1,615 $454
     NYMT53,242-1,615$454
STURM RUGER & CO INC 9,938 -246 $452
     RGR9,938-246$452
CROSS CTRY HEALTHCARE INC 19,914 -388 $451
     CCRN19,914-388$451
HEALTHCARE SVCS GROUP INC 43,471 -58 $451
     HCSG43,471-58$451
SPARTANNASH CO 19,664 -1,097 $451
     SPTN19,664-1,097$451
HAYNES INTL INC 7,760 +179 $443
     HAYN7,760+179$443
COGNEX CORP 10,575 UNCH $441
     CGNX10,575UNCH$441
AMBAC FINL GROUP INC 26,645 +905 $439
     AMBC26,645+905$439
SUMMIT HOTEL PPTYS INC 65,277 +1,601 $439
     INN65,277+1,601$439
MISTER CAR WASH INC 50,827 +1,695 $439
     MCW50,827+1,695$439
TITAN INTL INC ILL 29,451 -2,251 $438
     TWI29,451-2,251$438
WYNN RESORTS LTD 4,782 UNCH $436
     WYNN4,782UNCH$436
VIAD CORP 11,990 -550 $434
     VVI11,990-550$434
SIMULATIONS PLUS INC 9,647 +263 $432
     SLP9,647+263$432
VISTEON CORP 3,445 UNCH $430
     VC3,445UNCH$430
MARINEMAX INC 11,038 -2,181 $429
     HZO11,038-2,181$429
HERITAGE FINL CORP WASH 19,881 -1,230 $425
     HFWA19,881-1,230$425
PEDIATRIX MEDICAL GROUP INC 45,513 -5,997 $423
     MD45,513-5,997$423
PC CONNECTION INC 6,280 +60 $422
     CNXN6,280+60$422
DINE BRANDS GLOBAL INC 8,481 -842 $421
     DIN8,481-842$421
TOMPKINS FINL CORP 6,982 -634 $421
     TMP6,982-634$421
MYERS INDS INC 21,494 -221 $420
     MYE21,494-221$420
PROASSURANCE CORP 30,385 -494 $419
     PRA30,385-494$419
B & G FOODS INC NEW 39,849 -4,650 $418
     BGS39,849-4,650$418
ARTIVION INC 23,334 -2,718 $417
     AORT23,334-2,718$417
STANDARD MTR PRODS INC 10,479 -656 $417
     SMP10,479-656$417
INTERFACE INC 33,002 -3,445 $416
     TILE33,002-3,445$416
INSTEEL INDS INC 10,812 -1,025 $414
     IIIN10,812-1,025$414
TRANSOCEAN LTD 65,119 UNCH $414
     RIG65,119UNCH$414
CENTURY ALUM CO 33,530 +2,680 $407
     CENX33,530+2,680$407
ETHAN ALLEN INTERIORS INC 12,728 -872 $406
     ETD12,728-872$406
KELLY SVCS INC 18,778 -719 $406
     KELYA18,778-719$406
CHUYS HLDGS INC 10,535 -662 $403
     CHUY10,535-662$403
BRISTOW GROUP INC 14,234 +173 $402
     VTOL14,234+173$402
MEDIFAST INC 5,971 -567 $401
     MED5,971-567$401
VAIL RESORTS INC 1,873 UNCH $400
     MTN1,873UNCH$400
QUINSTREET INC 31,109 +860 $399
     QNST31,109+860$399
PITNEY BOWES INC 89,937 -18,489 $396
     PBI89,937-18,489$396
OLYMPIC STEEL INC 5,937 -130 $396
     ZEUS5,937-130$396
KAMAN CORP 16,414 -2,324 $393
     KAMN16,414-2,324$393
LIBERTY BROADBAND CORP 4,764 -3,945 $384
     LBRDK4,764-3,945$384
GUESS INC 16,516 -1,574 $381
     GES16,516-1,574$381
ENVIRI CORP 42,318 +42,318 $381
     NVRI42,318+42,318$381
HEARTLAND EXPRESS INC 26,561 +970 $379
     HTLD26,561+970$379
COMMUNITY HEALTHCARE TR INC 14,145 -343 $377
     CHCT14,145-343$377
NRG ENERGY INC 7,300 -37,197 $377
     NRG7,300-37,197$377
RPC INC 51,799 +5,723 $377
     RES51,799+5,723$377
THRYV HLDGS INC 18,334 -185 $373
     THRY18,334-185$373
ORASURE TECHNOLOGIES INC 45,062 +476 $370
     OSUR45,062+476$370
HEALTHSTREAM INC 13,658 +493 $369
     HSTM13,658+493$369
CORSAIR GAMING INC 25,931 +1,931 $366
     CRSR25,931+1,931$366
BRIGHTSPHERE INVT GROUP INC 19,012 -269 $364
     BSIG19,012-269$364
FULGENT GENETICS INC 12,534 +668 $362
     FLGT12,534+668$362
DESIGNER BRANDS INC 40,660 +10,796 $360
     DBI40,660+10,796$360
GOGO INC 35,382 +704 $358
     GOGO35,382+704$358
APELLIS PHARMACEUTICALS INC 5,925 UNCH $355
     APLS5,925UNCH$355
CLEARWATER PAPER CORP 9,771 -694 $353
     CLW9,771-694$353
USANA HEALTH SCIENCES INC 6,468 -126 $347
     USNA6,468-126$347
AMC NETWORKS INC 18,428 +1,172 $346
     AMCX18,428+1,172$346
AMERICAS CAR MART INC 4,567 +492 $346
     CRMT4,567+492$346
ALPHA & OMEGA SEMICONDUCTOR 13,237 +79 $345
     AOSL13,237+79$345
HEIDRICK & STRUGGLES INTL IN 11,647 -666 $344
     HSII11,647-666$344
SUN CTRY AIRLS HLDGS INC 21,711 +776 $342
     SNCY21,711+776$342
HANMI FINL CORP 17,567 -1,424 $341
     HAFC17,567-1,424$341
TRUSTCO BK CORP N Y 10,885 -158 $338
     TRST10,885-158$338
WHITESTONE REIT 26,871 -1,505 $330
     COM26,871-1,505$330
CEVA INC 14,276 +353 $324
     CEVA14,276+353$324
CHATHAM LODGING TR 30,225 +390 $324
     CLDT30,225+390$324
FOX FACTORY HLDG CORP 4,705 UNCH $317
     FOXF4,705UNCH$317
TOOTSIE ROLL INDS INC 9,346 -25 $311
     TR9,346-25$311
ENHABIT INC 29,849 +188 $309
     EHAB29,849+188$309
UNIVERSAL HEALTH RLTY INCOME 7,022 -624 $304
     UHT7,022-624$304
HCI GROUP INC 3,457 -826 $302
     HCI3,457-826$302
CENTRAL PAC FINL CORP 15,280 -1,647 $301
     CPF15,280-1,647$301
SHOE CARNIVAL INC 9,969 -525 $301
     SCVL9,969-525$301
MESA LABS INC 2,842 -404 $298
     MLAB2,842-404$298
XPERI INC 26,835 +599 $296
     XPER26,835+599$296
SAUL CTRS INC 7,286 -894 $286
     BFS7,286-894$286
TRUEBLUE INC 18,431 -582 $283
     TBI18,431-582$283
HAVERTY FURNITURE COS INC 7,932 -557 $282
     HVT7,932-557$282
NORTHFIELD BANCORP INC DEL 22,380 -1,821 $282
     NFBK22,380-1,821$282
MOVADO GROUP INC 9,134 +53 $275
     MOV9,134+53$275
OIL STS INTL INC 40,457 +4,939 $275
     OIS40,457+4,939$275
MERCER INTL INC 28,894 +3,585 $274
     MERC28,894+3,585$274
RESOURCES CONNECTION INC 18,463 -356 $262
     RGP18,463-356$262
EZCORP INC 29,775 -700 $260
     EZPW29,775-700$260
UNITED FIRE GROUP INC 12,873 +114 $259
     UFCS12,873+114$259
TTEC HLDGS INC 11,920 +434 $258
     TTEC11,920+434$258
ATN INTL INC 6,572 +346 $256
     ATNI6,572+346$256
DXP ENTERPRISES INC 7,573 -916 $255
     DXPE7,573-916$255
WORLD ACCEP CORPORATION 1,953 -114 $255
     WRLD1,953-114$255
CALAVO GROWERS INC 8,649 -2,172 $254
     CVGW8,649-2,172$254
GREEN DOT CORP 25,339 -2,995 $251
     GDOT25,339-2,995$251
NATIONAL PRESTO INDS INC 2,893 -279 $232
     NPK2,893-279$232
LIQUIDITY SVCS INC 12,753 -1,752 $219
     LQDT12,753-1,752$219
SUNPOWER CORP 44,904 -8,435 $217
     SPWR44,904-8,435$217
MARCUS CORP DEL 14,144 +438 $206
     MCS14,144+438$206
FORRESTER RESH INC 6,919 -49 $185
     FORR6,919-49$185
PHIBRO ANIMAL HEALTH CORP 10,665 -2,003 $124
     PAHC10,665-2,003$124
NET LEASE OFFICE PROPERTIES 1,140 +1,140 $21
     NLOP1,140+1,140$21
AGILITI INC $0 (exited)
     AGTI0-22,138$0
ADAPTHEALTH CORP $0 (exited)
     AHCO0-47,358$0
ALNYLAM PHARMACEUTICALS INC $0 (exited)
     ALNY0-15,644$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-146,662$0
AMERICAN VANGUARD CORP $0 (exited)
     AVD0-16,705$0
AVANTAX INC $0 (exited)
     AVTA0-23,275$0
BIOLIFE SOLUTIONS INC $0 (exited)
     BLFS0-19,550$0
CERIDIAN HCM HLDG INC $0 (exited)
     CDAY0-8,730$0
CONSOLIDATED COMM HLDGS INC $0 (exited)
     CNSL0-48,265$0
COMMUNITY HEALTH SYS INC NEW $0 (exited)
     CYH0-77,262$0
DISH NETWORK CORPORATION $0 (exited)
     DISH0-139,113$0
EBIX INC $0 (exited)
     EBIX0-15,266$0
NATIONAL VISION HLDGS INC $0 (exited)
     EYE0-47,851$0
FISERV INC $0 (exited)
     FISV0-30,290$0
COMFORT SYS USA INC $0 (exited)
     FIX0-20,139$0
FIRST SOLAR INC $0 (exited)
     FSLR0-5,283$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-54,060$0
GOLDMAN SACHS GROUP INC $0 (exited)
     GS0-10,321$0
HAWAIIAN HOLDINGS INC $0 (exited)
     HA0-34,041$0
HARMONIC INC $0 (exited)
     HLIT0-65,968$0
HARMONY BIOSCIENCES HLDGS IN $0 (exited)
     HRMY0-16,831$0
ENVIRI CORP $0 (exited)
     HSC0-47,770$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-10,895$0
INTERNATIONAL FLAVORS&FRAGRA $0 (exited)
     IFF0-4,977$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-35,135$0
IROBOT CORP $0 (exited)
     IRBT0-16,288$0
IRONWOOD PHARMACEUTICALS INC $0 (exited)
     IRWD0-77,141$0
JAMES RIV GROUP LTD $0 (exited)
     JRVR0-21,604$0
LIBERTY MEDIA CORP DEL $0 (exited)
     LLYVA0-20,299$0
LIBERTY MEDIA CORP DEL $0 (exited)
     LLYVK0-22,578$0
LIVENT CORP $0 (exited)
     LTHM0-107,831$0
MAXLINEAR INC $0 (exited)
     MXL0-41,342$0
NATIONAL INSTRS CORP $0 (exited)
     NATI0-53,949$0
NABORS INDUSTRIES LTD $0 (exited)
     NBR0-4,784$0
NOVOCURE LTD $0 (exited)
     NVCR0-20,838$0
NEXTGEN HEALTHCARE INC $0 (exited)
     NXGN0-23,163$0
ORTHOFIX MED INC $0 (exited)
     OFIX0-22,372$0
ONESPAN INC $0 (exited)
     OSPN0-21,793$0
PLAINS GP HLDGS L P $0 (exited)
     PAGP0-74,521$0
REVVITY INC $0 (exited)
     PKI0-11,360$0
PRA GROUP INC $0 (exited)
     PRAA0-22,469$0
ARCUS BIOSCIENCES INC $0 (exited)
     RCUS0-27,547$0
EVEREST GROUP LTD $0 (exited)
     RE0-22,521$0
RPT REALTY $0 (exited)
     RPT0-52,408$0
SEAGEN INC $0 (exited)
     SGEN0-16,010$0
SMART GLOBAL HLDGS INC $0 (exited)
     SGH0-28,848$0
SLM CORP $0 (exited)
     SLM0-37,760$0
SONOS INC $0 (exited)
     SONO0-75,665$0
SAREPTA THERAPEUTICS INC $0 (exited)
     SRPT0-6,467$0
SCRIPPS E W CO OHIO $0 (exited)
     SSP0-42,489$0
TELADOC HEALTH INC $0 (exited)
     TDOC0-29,907$0
TOAST INC $0 (exited)
     TOST0-25,894$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-76,738$0
UBIQUITI INC $0 (exited)
     UI0-5,446$0
VMWARE INC $0 (exited)
     VMW0-50,633$0
VERITIV CORP $0 (exited)
     VRTV0-7,797$0
WESTERN DIGITAL CORP. $0 (exited)
     WDC0-105,020$0
XENCOR INC $0 (exited)
     XNCR0-35,083$0
ZIFF DAVIS INC 0 -21,164 $0 (exited)
     ZD0-21,164$0

See Summary: Illinois Municipal Retirement Fund Top Holdings
See Details: Top 10 Stocks Held By Illinois Municipal Retirement Fund

EntityShares/Amount
Change
Position Value
Change
EG +24,086+$8,516
DASH +43,062+$4,258
FI +26,601+$3,534
BXMT +108,501+$2,308
AMR +6,792+$2,302
OGN +155,320+$2,240
APLE +125,314+$2,081
KSS +67,996+$1,950
ACIW +63,018+$1,928
LBRT +101,900+$1,848
EntityShares/Amount
Change
Position Value
Change
ATVI -146,662-$13,732
VMW -50,633-$8,429
RE -22,521-$8,370
WDC -105,020-$4,792
FIX -20,139-$3,432
FISV -30,290-$3,422
SGEN -16,010-$3,397
GS -10,321-$3,340
NATI -53,949-$3,216
ALNY -15,644-$2,771
EntityShares/Amount
Change
Position Value
Change
PEAK +306,344+$6,273
SNAP +289,195+$5,277
KVUE +264,397+$5,747
HST +251,112+$6,287
PCG +186,766+$3,550
O +174,017+$10,184
EXC +170,941+$5,864
DXC +144,762+$3,717
WBA +138,525+$3,834
KMI +136,902+$3,052
EntityShares/Amount
Change
Position Value
Change
RF -310,026-$5,274
CSCO -236,275-$14,104
MAC -228,118-$1,971
WY -142,880-$3,567
GLW -131,565-$4,010
TJX -128,679-$10,882
VICI -125,913-$2,678
ELAN -124,674-$787
INTC -93,335+$1,065
Size ($ in 1000's)
At 12/31/2023: $5,978,620
At 09/30/2023: $5,364,072

Illinois Municipal Retirement Fund holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Illinois Municipal Retirement Fund 13F filings. Link to 13F filings: SEC filings

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