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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 5,598,826 +236,520 $2,105,382
     MSFT5,598,826+236,520$2,105,382
APPLE INC 6,689,118 +172,718 $1,287,856
     AAPL6,689,118+172,718$1,287,856
NVIDIA CORPORATION 1,975,760 +252,563 $978,436
     NVDA1,975,760+252,563$978,436
AMAZON COM INC 6,333,569 +195,264 $962,323
     AMZN6,333,569+195,264$962,323
ALPHABET INC 5,388,395 +315,220 $759,387
     GOOG5,388,395+315,220$759,387
UNITEDHEALTH GROUP INC 723,816 -58,095 $381,067
     UNH723,816-58,095$381,067
SALESFORCE INC 1,393,375 -6,070 $366,653
     CRM1,393,375-6,070$366,653
VISA INC 1,392,088 +39,530 $362,430
     V1,392,088+39,530$362,430
ADOBE INC 595,358 +4,757 $355,190
     ADBE595,358+4,757$355,190
ELI LILLY & CO 574,395 +24,607 $334,826
     LLY574,395+24,607$334,826
BROADCOM INC 274,615 +75,813 $306,539
     AVGO274,615+75,813$306,539
PEPSICO INC 1,727,078 -63,710 $293,327
     PEP1,727,078-63,710$293,327
JPMORGAN CHASE & CO 1,712,901 +629 $291,365
     JPM1,712,901+629$291,365
JOHNSON & JOHNSON 1,795,253 -190,926 $281,388
     JNJ1,795,253-190,926$281,388
TESLA INC 1,067,601 -95,734 $265,278
     TSLA1,067,601-95,734$265,278
MERCK & CO INC 2,396,127 +196,508 $261,226
     MRK2,396,127+196,508$261,226
THERMO FISHER SCIENTIFIC INC 467,770 -30,058 $248,288
     TMO467,770-30,058$248,288
ACCENTURE PLC IRELAND 695,150 +47,905 $243,935
     ACN695,150+47,905$243,935
ALPHABET INC 1,709,191 +33,131 $238,757
     GOOGL1,709,191+33,131$238,757
MASTERCARD INCORPORATED 541,798 +3,758 $231,083
     MA541,798+3,758$231,083
META PLATFORMS INC 621,808 +11,488 $220,095
     META621,808+11,488$220,095
HOME DEPOT INC 610,747 +54,819 $211,655
     HD610,747+54,819$211,655
QUALCOMM INC 1,433,764 +94,373 $207,365
     QCOM1,433,764+94,373$207,365
APPLIED MATLS INC 1,241,824 +66,505 $201,263
     AMAT1,241,824+66,505$201,263
PROCTER AND GAMBLE CO 1,372,842 +72,007 $201,176
     PG1,372,842+72,007$201,176
INTUIT 304,736 -47,159 $190,469
     INTU304,736-47,159$190,469
BANK AMERICA CORP 5,648,096 +299,898 $190,171
     BAC5,648,096+299,898$190,171
SERVICENOW INC 260,582 +2,834 $184,099
     NOW260,582+2,834$184,099
DISNEY WALT CO 1,887,524 -291,664 $170,424
     DIS1,887,524-291,664$170,424
ABBOTT LABS 1,517,685 -261,797 $167,052
     ABT1,517,685-261,797$167,052
ABBVIE INC 1,072,241 +52,489 $166,166
     ABBV1,072,241+52,489$166,166
BOOKING HOLDINGS INC 46,306 -2,473 $164,258
     BKNG46,306-2,473$164,258
COCA COLA CO 2,662,909 -47,344 $156,925
     KO2,662,909-47,344$156,925
SYNOPSYS INC 302,797 +844 $155,913
     SNPS302,797+844$155,913
CISCO SYS INC 3,068,472 +553,943 $155,019
     CSCO3,068,472+553,943$155,019
LOWES COS INC 673,886 +247,913 $149,973
     LOW673,886+247,913$149,973
LINDE PLC 359,566 +720 $147,678
     LIN359,566+720$147,678
ADVANCED MICRO DEVICES INC 1,001,384 +215,786 $147,614
     AMD1,001,384+215,786$147,614
BRISTOL MYERS SQUIBB CO 2,847,400 +1,367,151 $146,100
     BMY2,847,400+1,367,151$146,100
S&P GLOBAL INC 322,038 -2,661 $141,865
     SPGI322,038-2,661$141,865
AMERICAN EXPRESS CO 733,470 +144,721 $137,409
     AXP733,470+144,721$137,409
VERIZON COMMUNICATIONS INC 3,579,274 +57,054 $134,938
     VZ3,579,274+57,054$134,938
PFIZER INC 4,376,037 +1,246,769 $125,987
     PFE4,376,037+1,246,769$125,987
INTEL CORP 2,481,603 +871,489 $124,700
     INTC2,481,603+871,489$124,700
LAM RESEARCH CORP 159,150 +51,599 $124,656
     LRCX159,150+51,599$124,656
MCDONALDS CORP 418,588 +37,359 $124,115
     MCD418,588+37,359$124,115
DANAHER CORPORATION 527,598 -84,126 $122,054
     DHR527,598-84,126$122,054
TEXAS INSTRS INC 706,584 -24,491 $120,444
     TXN706,584-24,491$120,444
AMERICAN WTR WKS CO INC NEW 903,101 +19,068 $119,201
     AWK903,101+19,068$119,201
EDWARDS LIFESCIENCES CORP 1,556,653 -206,996 $118,695
     EW1,556,653-206,996$118,695
NETFLIX INC 242,288 +2,068 $117,965
     NFLX242,288+2,068$117,965
CADENCE DESIGN SYSTEM INC 431,365 -1,815 $117,491
     CDNS431,365-1,815$117,491
ELEVANCE HEALTH INC 248,376 +21,291 $117,124
     ELV248,376+21,291$117,124
GILEAD SCIENCES INC 1,421,560 +184,805 $115,160
     GILD1,421,560+184,805$115,160
AUTODESK INC 470,017 -5,392 $114,439
     ADSK470,017-5,392$114,439
EXXON MOBIL CORP 1,136,038 +82,011 $113,580
     XOM1,136,038+82,011$113,580
INTUITIVE SURGICAL INC 324,734 -70,715 $109,553
     ISRG324,734-70,715$109,553
COGNIZANT TECHNOLOGY SOLUTIO 1,422,912 +878,759 $107,473
     CTSH1,422,912+878,759$107,473
BOSTON SCIENTIFIC CORP 1,847,685 -339,983 $106,815
     BSX1,847,685-339,983$106,815
BERKSHIRE HATHAWAY INC DEL      $102,635
     BRK.B287,767+10,785$102,635
STRYKER CORPORATION 337,818 -71,624 $101,163
     SYK337,818-71,624$101,163
MONDELEZ INTL INC 1,375,157 -112,917 $99,603
     MDLZ1,375,157-112,917$99,603
HCA HEALTHCARE INC 365,984 +926 $99,065
     HCA365,984+926$99,065
XYLEM INC 860,457 +10,647 $98,402
     XYL860,457+10,647$98,402
FISERV INC 729,529 +284,276 $96,911
     FI729,529+284,276$96,911
SMITH A O CORP 1,173,179 +52,379 $96,716
     AOS1,173,179+52,379$96,716
COLGATE PALMOLIVE CO 1,210,869 +233,163 $96,518
     CL1,210,869+233,163$96,518
ORACLE CORP 887,392 +32,582 $93,558
     ORCL887,392+32,582$93,558
ADVANCED DRAIN SYS INC DEL 659,483 +2,577 $92,750
     WMS659,483+2,577$92,750
CVS HEALTH CORP 1,149,677 -168,594 $90,779
     CVS1,149,677-168,594$90,779
NIKE INC 798,309 +45,124 $86,672
     NKE798,309+45,124$86,672
PENTAIR PLC 1,191,049 -68,582 $86,601
     PNR1,191,049-68,582$86,601
AMGEN INC 300,173 -101,405 $86,456
     AMGN300,173-101,405$86,456
HARTFORD FINL SVCS GROUP INC 1,074,470 -7,657 $86,366
     HIG1,074,470-7,657$86,366
CHUBB LIMITED 377,455 +13,090 $85,305
     CB377,455+13,090$85,305
MOODYS CORP 209,725 -7,273 $81,911
     MCO209,725-7,273$81,911
BANK NEW YORK MELLON CORP 1,528,492 +1,035,818 $79,558
     BK1,528,492+1,035,818$79,558
METLIFE INC 1,186,984 +360,394 $78,495
     MET1,186,984+360,394$78,495
COMCAST CORP NEW 1,743,611 +691,685 $76,457
     CMCSA1,743,611+691,685$76,457
THE CIGNA GROUP 254,741 +32,432 $76,282
     CI254,741+32,432$76,282
SYNCHRONY FINANCIAL 1,981,883 +28,664 $75,688
     SYF1,981,883+28,664$75,688
PAYPAL HLDGS INC 1,223,046 +14,515 $75,108
     PYPL1,223,046+14,515$75,108
T MOBILE US INC 467,567 -5,986 $74,965
     TMUS467,567-5,986$74,965
CHEVRON CORP NEW 502,494 +21,569 $74,952
     CVX502,494+21,569$74,952
MEDTRONIC PLC 906,462 +104,726 $74,675
     MDT906,462+104,726$74,675
STARBUCKS CORP 759,496 +23,607 $72,919
     SBUX759,496+23,607$72,919
KLA CORP 118,885 +1,840 $69,108
     KLAC118,885+1,840$69,108
METTLER TOLEDO INTERNATIONAL 56,443 -1,405 $68,463
     MTD56,443-1,405$68,463
AT&T INC 4,079,758 -117,718 $68,459
     T4,079,758-117,718$68,459
HP INC 2,263,542 -100,440 $68,110
     HPQ2,263,542-100,440$68,110
BEST BUY INC 860,388 +36,963 $67,352
     BBY860,388+36,963$67,352
CENTENE CORP DEL 898,943 -72,203 $66,710
     CNC898,943-72,203$66,710
CITIGROUP INC 1,295,649 +345,642 $66,648
     C1,295,649+345,642$66,648
FIFTH THIRD BANCORP 1,928,706 +23,687 $66,521
     FITB1,928,706+23,687$66,521
DROPBOX INC      $65,044
     DBX2,189,498+132,798$64,547
     NOTE 3 0500,000UNCH$497
TRAVELERS COMPANIES INC 337,301 +85,336 $64,253
     TRV337,301+85,336$64,253
CRH PLC 919,812 +20,831 $63,614
     CRH919,812+20,831$63,614
IQVIA HLDGS INC 272,925 +229,239 $63,149
     IQV272,925+229,239$63,149
WATTS WATER TECHNOLOGIES INC 295,748 +5,306 $61,616
     WTS295,748+5,306$61,616
CONSTELLATION BRANDS INC 250,945 +147,844 $60,666
     STZ250,945+147,844$60,666
FOX CORP 2,029,839 +1,130,318 $60,225
     FOXA2,029,839+1,130,318$60,225
INCYTE CORP 955,749 +518,200 $60,011
     INCY955,749+518,200$60,011
EBAY INC. 1,373,798 -1,663 $59,925
     EBAY1,373,798-1,663$59,925
PROLOGIS INC. 444,377 +25,624 $59,236
     PLD444,377+25,624$59,236
MORGAN STANLEY 627,520 +35,136 $58,516
     MS627,520+35,136$58,516
REGENERON PHARMACEUTICALS 65,527 -1,058 $57,552
     REGN65,527-1,058$57,552
INTERNATIONAL BUSINESS MACHS 351,441 +72,209 $57,478
     IBM351,441+72,209$57,478
KIMBERLY CLARK CORP 472,934 +64,278 $57,466
     KMB472,934+64,278$57,466
GENERAL MLS INC 880,147 -325,408 $57,333
     GIS880,147-325,408$57,333
MARSH & MCLENNAN COS INC 301,994 -339,981 $57,219
     MMC301,994-339,981$57,219
MCKESSON CORP 123,584 -1,014 $57,217
     MCK123,584-1,014$57,217
WALMART INC 357,367 +47,040 $56,338
     WMT357,367+47,040$56,338
ZOETIS INC 284,152 -272,805 $56,082
     ZTS284,152-272,805$56,082
WORKDAY INC 197,945 +112 $54,645
     WDAY197,945+112$54,645
HUNTINGTON BANCSHARES INC (HBAN) 4,251,631 +2,617,155 $54,081
     HBAN4,251,631+2,617,155$54,081
GLOBAL PMTS INC 420,956 -65,463 $53,461
     GPN420,956-65,463$53,461
GODADDY INC 497,455 -23,393 $52,810
     GDDY497,455-23,393$52,810
WASTE MGMT INC DEL 290,544 +10,844 $52,037
     WM290,544+10,844$52,037
DEERE & CO 129,161 +8,764 $51,648
     DE129,161+8,764$51,648
TERADYNE INC 473,221 +29,671 $51,354
     TER473,221+29,671$51,354
PRUDENTIAL FINL INC 494,326 -40,921 $51,267
     PRU494,326-40,921$51,267
CBRE GROUP INC 548,612 -74,133 $51,070
     CBRE548,612-74,133$51,070
COSTCO WHSL CORP NEW 77,282 +10,463 $51,013
     COST77,282+10,463$51,013
CHARLES RIV LABS INTL INC 215,639 -2,875 $50,977
     CRL215,639-2,875$50,977
LAUDER ESTEE COS INC 346,055 -20,115 $50,610
     EL346,055-20,115$50,610
BADGER METER INC 324,720 -435 $50,127
     BMI324,720-435$50,127
FORTINET INC 853,570 +115,430 $49,959
     FTNT853,570+115,430$49,959
MICROCHIP TECHNOLOGY INC. 551,968 +386,432 $49,777
     MCHP551,968+386,432$49,777
ECOLAB INC 250,515 +5,362 $49,690
     ECL250,515+5,362$49,690
SKYWORKS SOLUTIONS INC 440,372 +155,274 $49,506
     SWKS440,372+155,274$49,506
WELLS FARGO CO NEW 1,000,288 +29,528 $49,234
     WFC1,000,288+29,528$49,234
AMERICAN INTL GROUP INC 717,422 -84,628 $48,605
     AIG717,422-84,628$48,605
BATH & BODY WORKS INC 1,118,706 +132,085 $48,284
     BBWI1,118,706+132,085$48,284
REGIONS FINANCIAL CORP NEW 2,481,550 +285,779 $48,093
     RF2,481,550+285,779$48,093
UNITED PARCEL SERVICE INC 305,048 +50,784 $47,963
     UPS305,048+50,784$47,963
GOLDMAN SACHS GROUP INC 124,163 +6,062 $47,898
     GS124,163+6,062$47,898
BLACKROCK INC 58,871 -822 $47,792
     BLK58,871-822$47,792
MSCI INC 84,149 -10,959 $47,599
     MSCI84,149-10,959$47,599
IDEXX LABS INC 83,852 -50,136 $46,542
     IDXX83,852-50,136$46,542
AUTOMATIC DATA PROCESSING IN 196,595 +5,704 $45,801
     ADP196,595+5,704$45,801
AGILENT TECHNOLOGIES INC 329,289 -11,605 $45,781
     A329,289-11,605$45,781
CITIZENS FINL GROUP INC 1,352,602 -29,649 $44,825
     CFG1,352,602-29,649$44,825
TRUIST FINL CORP 1,213,328 +361,323 $44,796
     TFC1,213,328+361,323$44,796
DOCUSIGN INC 739,196 +118,282 $43,945
     DOCU739,196+118,282$43,945
PALO ALTO NETWORKS INC 147,725 -8,436 $43,561
     PANW147,725-8,436$43,561
MARRIOTT INTL INC NEW 192,685 +15,447 $43,452
     MAR192,685+15,447$43,452
YUM BRANDS INC 332,042 +17,337 $43,385
     YUM332,042+17,337$43,385
ANALOG DEVICES INC 217,458 -35,090 $43,179
     ADI217,458-35,090$43,179
PAYCHEX INC 360,737 -16,572 $42,968
     PAYX360,737-16,572$42,968
NXP SEMICONDUCTORS N V 186,269 +98,582 $42,782
     NXPI186,269+98,582$42,782
HILTON WORLDWIDE HLDGS INC 234,158 +10,591 $42,637
     HLT234,158+10,591$42,637
EQUINIX INC 52,655 +5,486 $42,408
     EQIX52,655+5,486$42,408
PDD HOLDINGS INC 283,172 +80,943 $41,431
     PDD283,172+80,943$41,431
LULULEMON ATHLETICA INC 80,778 -375 $41,301
     LULU80,778-375$41,301
ULTA BEAUTY INC 84,253 -13,834 $41,283
     ULTA84,253-13,834$41,283
DISCOVER FINL SVCS 367,178 -9,328 $41,271
     DFS367,178-9,328$41,271
VERTEX PHARMACEUTICALS INC 101,274 +874 $41,207
     VRTX101,274+874$41,207
GLOBE LIFE INC 335,306 +22,849 $40,813
     GL335,306+22,849$40,813
ZOOM VIDEO COMMUNICATIONS IN 561,558 +317,374 $40,382
     ZM561,558+317,374$40,382
MARATHON PETE CORP 271,822 +144,398 $40,327
     MPC271,822+144,398$40,327
DEXCOM INC      $40,005
     DXCM319,019-44,418$39,587
     NOTE 0400,000UNCH$418
HENRY SCHEIN INC 521,964 +13,002 $39,518
     HSIC521,964+13,002$39,518
ANSYS INC 107,085 -21,451 $38,859
     ANSS107,085-21,451$38,859
KEYSIGHT TECHNOLOGIES INC 243,676 -91,867 $38,767
     KEYS243,676-91,867$38,767
SIMON PPTY GROUP INC NEW 271,041 -33,469 $38,661
     SPG271,041-33,469$38,661
CONOCOPHILLIPS 328,927 -98,016 $38,179
     COP328,927-98,016$38,179
ARCHER DANIELS MIDLAND CO 523,994 +12,486 $37,842
     ADM523,994+12,486$37,842
PTC INC 213,773 +4,760 $37,401
     PTC213,773+4,760$37,401
OTIS WORLDWIDE CORP 417,945 +16,760 $37,393
     OTIS417,945+16,760$37,393
CARDINAL HEALTH INC 370,688 -70,743 $37,365
     CAH370,688-70,743$37,365
ARISTA NETWORKS INC 158,244 -4,384 $37,268
     ANET158,244-4,384$37,268
AMPHENOL CORP NEW 371,157 -7,273 $36,792
     APH371,157-7,273$36,792
WEST PHARMACEUTICAL SVSC INC 103,564 -8,006 $36,467
     WST103,564-8,006$36,467
FEDEX CORP 143,448 +16,476 $36,288
     FDX143,448+16,476$36,288
MUELLER WTR PRODS INC 2,423,672 -32,250 $34,901
     MWA2,423,672-32,250$34,901
INTERPUBLIC GROUP COS INC 1,068,063 +182,907 $34,862
     IPG1,068,063+182,907$34,862
CAPITAL ONE FINL CORP 261,359 +9,372 $34,269
     COF261,359+9,372$34,269
BLACKSTONE INC 260,807 -340,104 $34,145
     BX260,807-340,104$34,145
CALIFORNIA WTR SVC GROUP 654,261 UNCH $33,937
     CWT654,261UNCH$33,937
QORVO INC 299,032 +149,230 $33,674
     QRVO299,032+149,230$33,674
HUMANA INC 73,452 -109,636 $33,627
     HUM73,452-109,636$33,627
CORE & MAIN INC 826,307 +169,268 $33,391
     CNM826,307+169,268$33,391
AMERIPRISE FINL INC 87,723 +424 $33,320
     AMP87,723+424$33,320
LINDSAY CORP 255,855 -10,419 $33,046
     LNN255,855-10,419$33,046
BROWN FORMAN CORP      $33,025
     BF.B578,367+9,675$33,025
LKQ CORP 689,041 +83,959 $32,929
     LKQ689,041+83,959$32,929
ONEOK INC NEW 468,119 -60,889 $32,872
     OKE468,119-60,889$32,872
FIDELITY NATIONAL FINANCIAL 631,801 -2,427 $32,234
     FNF631,801-2,427$32,234
ROPER TECHNOLOGIES INC 59,093 -19,912 $32,215
     ROP59,093-19,912$32,215
VALERO ENERGY CORP 247,726 +2,978 $32,205
     VLO247,726+2,978$32,205
AMERICAN TOWER CORP NEW 148,950 -1,942 $32,155
     AMT148,950-1,942$32,155
VERALTO CORP 386,622 +386,622 $31,803
     VLTO386,622+386,622$31,803
HOST HOTELS & RESORTS INC 1,621,288 +309,788 $31,567
     HST1,621,288+309,788$31,567
FRANKLIN ELEC INC 325,019 -50,559 $31,413
     FELE325,019-50,559$31,413
ROBERT HALF INC. 354,727 -126,352 $31,188
     RHI354,727-126,352$31,188
ELECTRONIC ARTS INC 227,815 +11,288 $31,167
     EA227,815+11,288$31,167
SS&C TECHNOLOGIES HLDGS INC 507,749 +200,902 $31,029
     SSNC507,749+200,902$31,029
SJW GROUP 474,598 -5,576 $31,015
     SJW474,598-5,576$31,015
ILLINOIS TOOL WKS INC 115,992 +17,263 $30,383
     ITW115,992+17,263$30,383
TJX COS INC NEW 322,446 +77,545 $30,248
     TJX322,446+77,545$30,248
MERCADOLIBRE INC 19,122 -681 $30,051
     MELI19,122-681$30,051
OWENS CORNING NEW 202,251 +21,254 $29,980
     OC202,251+21,254$29,980
TARGET CORP 207,779 -11,369 $29,592
     TGT207,779-11,369$29,592
CATERPILLAR INC 98,754 +5,977 $29,198
     CAT98,754+5,977$29,198
ROCKWELL AUTOMATION INC 93,947 +1,972 $29,168
     ROK93,947+1,972$29,168
ON SEMICONDUCTOR CORP 347,709 +81,397 $29,044
     ON347,709+81,397$29,044
AUTOZONE INC 11,172 -13,035 $28,886
     AZO11,172-13,035$28,886
GENUINE PARTS CO 208,084 -1,407 $28,819
     GPC208,084-1,407$28,819
AMETEK INC 173,822 -28,142 $28,662
     AME173,822-28,142$28,662
CAMPBELL SOUP CO 655,227 -223,083 $28,325
     CPB655,227-223,083$28,325
MOLSON COORS BEVERAGE CO 450,649 +390,516 $27,584
     TAP450,649+390,516$27,584
SCHWAB CHARLES CORP 396,062 +17,691 $27,249
     SCHW396,062+17,691$27,249
GE HEALTHCARE TECHNOLOGIES I 350,925 -2,197 $27,133
     GEHC350,925-2,197$27,133
HOLOGIC INC 379,395 +14,015 $27,108
     HOLX379,395+14,015$27,108
SHERWIN WILLIAMS CO 86,118 +8,428 $26,860
     SHW86,118+8,428$26,860
STEEL DYNAMICS INC 224,675 -48,061 $26,534
     STLD224,675-48,061$26,534
MASCO CORP 395,692 -106,367 $26,503
     MAS395,692-106,367$26,503
FLEETCOR TECHNOLOGIES INC 93,748 +57,846 $26,494
     FLT93,748+57,846$26,494
MICRON TECHNOLOGY INC 310,198 +15,559 $26,472
     MU310,198+15,559$26,472
WATERS CORP 79,507 +1,832 $26,176
     WAT79,507+1,832$26,176
PRICE T ROWE GROUP INC 242,727 -8,922 $26,140
     TROW242,727-8,922$26,140
AKAMAI TECHNOLOGIES INC      $25,927
     AKAM213,004+81,871$25,209
     NOTE 0300,000UNCH$382
     NOTE 0300,000UNCH$336
PROGRESSIVE CORP 162,360 -9,591 $25,861
     PGR162,360-9,591$25,861
COOPER COS INC 66,857 -3,431 $25,302
     COO66,857-3,431$25,302
CROWDSTRIKE HLDGS INC 97,797 +9,460 $24,969
     CRWD97,797+9,460$24,969
BECTON DICKINSON & CO 102,070 +647 $24,888
     BDX102,070+647$24,888
EXPEDIA GROUP INC 163,543 -5,667 $24,825
     EXPE163,543-5,667$24,825
LABORATORY CORP AMER HLDGS 108,067 +569 $24,563
     LH108,067+569$24,563
VEEVA SYS INC 126,564 -54,523 $24,366
     VEEV126,564-54,523$24,366
ANNALY CAPITAL MANAGEMENT IN 1,256,864 +727,917 $24,345
     NLY1,256,864+727,917$24,345
CENCORA INC 133,755 +8,880 $24,073
     ABC133,755+8,880$24,073
LYONDELLBASELL INDUSTRIES N 252,068 -4,251 $23,966
     LYB252,068-4,251$23,966
SEMPRA 318,893 +4,764 $23,831
     SRE318,893+4,764$23,831
INTERCONTINENTAL EXCHANGE IN (ICE) 185,181 -45,136 $23,782
     ICE185,181-45,136$23,782
BIOMARIN PHARMACEUTICAL INC      $23,701
     BMRN242,100-7,922$23,343
     NOTE 1250,000UNCH$259
     NOTE 0100,000-100,000$99
AFLAC INC 279,354 -670,768 $23,046
     AFL279,354-670,768$23,046
OREILLY AUTOMOTIVE INC 23,812 -2,773 $22,623
     ORLY23,812-2,773$22,623
NORDSON CORP 85,098 +63,450 $22,479
     NDSN85,098+63,450$22,479
3M CO 205,194 +162,670 $22,432
     MMM205,194+162,670$22,432
COTERRA ENERGY INC 863,965 -51,847 $22,049
     CTRA863,965-51,847$22,049
CLOROX CO DEL 152,590 -4,314 $21,758
     CLX152,590-4,314$21,758
KROGER CO 475,889 -37,020 $21,753
     KR475,889-37,020$21,753
UNION PAC CORP 86,782 +27 $21,315
     UNP86,782+27$21,315
CINTAS CORP 34,684 -25,487 $20,903
     CTAS34,684-25,487$20,903
MATCH GROUP INC NEW 570,457 -93,596 $20,821
     MTCH570,457-93,596$20,821
NETAPP INC 235,079 +89,819 $20,724
     NTAP235,079+89,819$20,724
AIR PRODS & CHEMS INC 74,980 +6,141 $20,530
     APD74,980+6,141$20,530
ENERGY RECOVERY INC 1,085,898 UNCH $20,458
     ERII1,085,898UNCH$20,458
NUCOR CORP 116,616 -2,020 $20,295
     NUE116,616-2,020$20,295
JAZZ PHARMACEUTICALS PLC 163,858 +153,386 $20,155
     JAZZ163,858+153,386$20,155
APTIV PLC 224,032 -11,001 $20,101
     APTV224,032-11,001$20,101
COPART INC 409,394 +44,411 $20,060
     CPRT409,394+44,411$20,060
EOG RES INC 165,785 +5,960 $20,052
     EOG165,785+5,960$20,052
VERISIGN INC 96,576 +10,699 $19,891
     VRSN96,576+10,699$19,891
HF SINCLAIR CORP 357,929 +192,694 $19,890
     DINO357,929+192,694$19,890
FERGUSON PLC NEW 102,106 -36,225 $19,713
     FERG102,106-36,225$19,713
TYSON FOODS INC 365,994 +253,215 $19,672
     TSN365,994+253,215$19,672
HERSHEY CO 105,029 +28,961 $19,581
     HSY105,029+28,961$19,581
CSX CORP 564,717 +4,589 $19,579
     CSX564,717+4,589$19,579
SPLUNK INC      $19,467
     SPLK126,328-35,729$19,246
     NOTE 1200,000-100,000$221
CME GROUP INC 92,191 +23,681 $19,415
     CME92,191+23,681$19,415
REPUBLIC SVCS INC 117,710 +10,953 $19,412
     RSG117,710+10,953$19,412
BROADRIDGE FINL SOLUTIONS IN 93,577 +27,183 $19,254
     BR93,577+27,183$19,254
KENVUE INC 884,791 +479,046 $19,050
     KVUE884,791+479,046$19,050
CUMMINS INC 77,585 +50,809 $18,587
     CMI77,585+50,809$18,587
PUBLIC STORAGE 60,928 +5,138 $18,583
     PSA60,928+5,138$18,583
SYSCO CORP 251,578 +20,225 $18,398
     SYY251,578+20,225$18,398
AIRBNB INC 134,077 -497,686 $18,254
     ABNB134,077+2,314$18,254
FORD MTR CO DEL      $18,093
     F1,427,025+318,871$17,395
     NOTE 3 1700,000UNCH$698
UNITED RENTALS INC 31,327 -10,155 $17,963
     URI31,327-10,155$17,963
UBER TECHNOLOGIES INC 291,411 +28,218 $17,942
     UBER291,411+28,218$17,942
FIDELITY NATL INFORMATION SV 298,562 +206,552 $17,935
     FIS298,562+206,552$17,935
JABIL INC 140,464 +128,012 $17,895
     JBL140,464+128,012$17,895
NEWMONT CORP 424,605 +53,167 $17,575
     NEM424,605+53,167$17,575
CHARTER COMMUNICATIONS INC N 44,296 +19,415 $17,217
     CHTR44,296+19,415$17,217
EQUITY RESIDENTIAL 280,863 +128,543 $17,177
     EQR280,863+128,543$17,177
GENERAL MTRS CO 468,216 +27,603 $16,818
     GM468,216+27,603$16,818
ROYAL CARIBBEAN GROUP 129,817 +8,537 $16,810
     RCL129,817+8,537$16,810
MIDDLESEX WTR CO 255,015 -2,911 $16,734
     MSEX255,015-2,911$16,734
SEI INVTS CO 259,810 +33,357 $16,511
     SEIC259,810+33,357$16,511
RELIANCE STEEL & ALUMINUM CO 58,759 +1,854 $16,433
     RS58,759+1,854$16,433
BUILDERS FIRSTSOURCE INC 97,571 -42,135 $16,289
     BLDR97,571-42,135$16,289
FORTUNE BRANDS INNOVATIONS I 212,335 +79,914 $16,167
     FBIN212,335+79,914$16,167
BORGWARNER INC 448,919 +108,405 $16,094
     BWA448,919+108,405$16,094
FRANKLIN RESOURCES INC 538,858 +246,991 $16,053
     BEN538,858+246,991$16,053
OLD DOMINION FREIGHT LINE IN 39,577 -10,984 $16,042
     ODFL39,577-10,984$16,042
EVEREST GROUP LTD 44,097 +16,870 $15,592
     EG44,097+16,870$15,592
WEBSTER FINL CORP 306,815 -174,177 $15,574
     WBS306,815-174,177$15,574
WHIRLPOOL CORP 126,568 +208 $15,412
     WHR126,568+208$15,412
MOTOROLA SOLUTIONS INC 48,961 +7,449 $15,329
     MSI48,961+7,449$15,329
PPG INDS INC 102,369 +46,139 $15,309
     PPG102,369+46,139$15,309
ALLSTATE CORP 109,246 -130,280 $15,292
     ALL109,246-130,280$15,292
ENPHASE ENERGY INC 115,531 -198,325 $15,266
     ENPH115,531+1,675$15,266
TRANE TECHNOLOGIES PLC 62,422 -49,799 $15,224
     TT62,422-49,799$15,224
MARVELL TECHNOLOGY INC 250,597 +31,128 $15,114
     MRVL250,597+31,128$15,114
ITRON INC 199,438 UNCH $15,060
     ITRI199,438UNCH$15,060
SKECHERS U S A INC 241,079 -1,682 $15,029
     SKX241,079-1,682$15,029
EDISON INTL 207,239 +4,319 $14,815
     EIX207,239+4,319$14,815
INVESCO LTD 830,231 -435,020 $14,811
     IVZ830,231-435,020$14,811
BENTLEY SYS INC      $14,782
     BSY276,020-38,958$14,403
     NOTE 0200,000UNCH$199
     NOTE 0200,000UNCH$180
CONSOLIDATED WATER CO INC 414,069 -19,226 $14,741
     CWCO414,069-19,226$14,741
NOMAD FOODS LTD 869,437 -9,030 $14,737
     NOMD869,437-9,030$14,737
FIRST SOLAR INC 84,788 -10,304 $14,608
     FSLR84,788-10,304$14,608
NEWS CORP NEW 594,521 -158,703 $14,595
     NWSA594,521-158,703$14,595
PACCAR INC 149,384 +5,856 $14,587
     PCAR149,384+5,856$14,587
CHECK POINT SOFTWARE TECH LT 94,770 +63,584 $14,480
     CHKP94,770+63,584$14,480
MID AMER APT CMNTYS INC 103,587 +33,807 $13,928
     MAA103,587+33,807$13,928
MARTIN MARIETTA MATLS INC 27,909 +387 $13,924
     MLM27,909+387$13,924
ROSS STORES INC 98,892 +25,172 $13,685
     ROST98,892+25,172$13,685
US BANCORP DEL 316,161 -205,545 $13,683
     USB316,161-205,545$13,683
AVALONBAY CMNTYS INC 72,417 +16,441 $13,558
     AVB72,417+16,441$13,558
YUM CHINA HLDGS INC 318,006 +20,202 $13,493
     YUMC318,006+20,202$13,493
PIONEER NAT RES CO 59,814 -3,860 $13,451
     PXD59,814-3,860$13,451
GALLAGHER ARTHUR J & CO 59,736 +25,463 $13,433
     AJG59,736+25,463$13,433
CDW CORP 58,925 +4,558 $13,395
     CDW58,925+4,558$13,395
CROWN CASTLE INC 115,761 +12,753 $13,335
     CCI115,761+12,753$13,335
CHIPOTLE MEXICAN GRILL INC 5,786 +1,461 $13,232
     CMG5,786+1,461$13,232
BIOGEN INC 50,836 +2,358 $13,154
     BIIB50,836+2,358$13,154
CONSTELLATION ENERGY CORP 112,167 +2,015 $13,111
     CEG112,167+2,015$13,111
EVERSOURCE ENERGY 206,906 +65,208 $12,771
     ES206,906+65,208$12,771
PHILLIPS 66 95,892 -50,724 $12,767
     PSX95,892-50,724$12,767
EXELON CORP 353,300 +48,831 $12,684
     EXC353,300+48,831$12,684
DELL TECHNOLOGIES INC 165,175 +27,218 $12,636
     DELL165,175+27,218$12,636
FORTIVE CORP 171,395 -44,292 $12,620
     FTV171,395-44,292$12,620
STATE STR CORP 162,516 -5,776 $12,589
     STT162,516-5,776$12,589
ESSEX PPTY TR INC 49,923 +7,312 $12,378
     ESS49,923+7,312$12,378
CONSOLIDATED EDISON INC 135,525 -21,952 $12,329
     ED135,525-21,952$12,329
AON PLC 42,293 -28,623 $12,308
     AON42,293-28,623$12,308
EASTMAN CHEM CO 136,612 -5,682 $12,270
     EMN136,612-5,682$12,270
M & T BK CORP 88,570 +550 $12,141
     MTB88,570+550$12,141
WESTLAKE CORPORATION 85,008 -10,335 $11,898
     WLK85,008-10,335$11,898
UNIVERSAL HLTH SVCS INC 75,012 -636 $11,435
     UHS75,012-636$11,435
KE HLDGS INC 695,258 +57,001 $11,270
     BEKE695,258+57,001$11,270
DAVITA INC 107,021 +78,916 $11,212
     DVA107,021+78,916$11,212
COSTAR GROUP INC 127,556 -2,999 $11,148
     CSGP127,556-2,999$11,148
JONES LANG LASALLE INC 58,857 +1,164 $11,116
     JLL58,857+1,164$11,116
VIPSHOP HLDGS LTD 625,584 +92,896 $11,110
     VIPS625,584+92,896$11,110
MGM RESORTS INTERNATIONAL 248,139 -46,449 $11,087
     MGM248,139-46,449$11,087
TRACTOR SUPPLY CO 51,417 -9,481 $11,056
     TSCO51,417-9,481$11,056
HUBSPOT INC 18,634 -21,441 $10,818
     HUBS18,634-21,441$10,818
OCCIDENTAL PETE CORP 181,162 +27,310 $10,817
     OXY181,162+27,310$10,817
MONOLITHIC PWR SYS INC 17,096 -18,177 $10,783
     MPWR17,096-18,177$10,783
DOVER CORP 69,696 -193 $10,720
     DOV69,696-193$10,720
SBA COMMUNICATIONS CORP NEW 41,930 -2,404 $10,637
     SBAC41,930-2,404$10,637
CHENIERE ENERGY INC 60,886 -81,190 $10,394
     LNG60,886-81,190$10,394
CLEVELAND CLIFFS INC NEW 507,925 -133,981 $10,371
     CLF507,925-133,981$10,371
FAIR ISAAC CORP 8,900 +806 $10,360
     FICO8,900+806$10,360
QUEST DIAGNOSTICS INC 74,307 -8,691 $10,246
     DGX74,307-8,691$10,246
NASDAQ INC 175,798 -19,628 $10,221
     NDAQ175,798-19,628$10,221
BOEING CO 39,196 +1,378 $10,217
     BA39,196+1,378$10,217
DARLING INGREDIENTS INC 204,650 +36,754 $10,200
     DAR204,650+36,754$10,200
ESSENTIAL UTILS INC 272,735 +11,821 $10,186
     WTRG272,735+11,821$10,186
HEWLETT PACKARD ENTERPRISE C 598,034 +55,236 $10,155
     HPE598,034+55,236$10,155
PNC FINL SVCS GROUP INC 65,493 -343,062 $10,141
     PNC65,493-343,062$10,141
TE CONNECTIVITY LTD 71,734 -20,386 $10,078
     TEL71,734-20,386$10,078
PHILIP MORRIS INTL INC 104,347 +3,232 $9,817
     PM104,347+3,232$9,817
ORMAT TECHNOLOGIES INC      $9,804
     ORA126,604+12,428$9,595
     NOTE 2200,000+100,000$209
LENNAR CORP 65,448 +22,322 $9,755
     LEN65,448+22,322$9,755
GEN DIGITAL INC 425,950 +257,181 $9,720
     GEN425,950+257,181$9,720
DELTA AIR LINES INC DEL 241,039 -16,497 $9,697
     DAL241,039-16,497$9,697
MONGODB INC 23,611 -2,771 $9,653
     MDB23,611-2,771$9,653
REALTY INCOME CORP 167,643 +15,830 $9,626
     O167,643+15,830$9,626
KIMCO RLTY CORP 451,682 -139,901 $9,625
     KIM451,682-139,901$9,625
DENTSPLY SIRONA INC 269,763 -15,824 $9,601
     XRAY269,763-15,824$9,601
DATADOG INC      $9,599
     DDOG76,785-54,088$9,320
     NOTE 0200,000UNCH$279
EMERSON ELEC CO 98,099 -44,244 $9,548
     EMR98,099-44,244$9,548
GENERAL ELECTRIC CO 74,745 -1,828 $9,539
     GE74,745-1,828$9,539
MONSTER BEVERAGE CORP NEW 164,496 +14,151 $9,477
     MNST164,496+14,151$9,477
HONEYWELL INTL INC 45,002 +1,080 $9,437
     HON45,002+1,080$9,437
FACTSET RESH SYS INC 19,741 -81,099 $9,418
     FDS19,741-81,099$9,418
KEURIG DR PEPPER INC 276,157 +26,989 $9,202
     KDP276,157+26,989$9,202
ILLUMINA INC 65,775 -30,861 $9,159
     ILMN65,775-30,861$9,159
HALLIBURTON CO 253,249 +31,855 $9,155
     HAL253,249+31,855$9,155
APOLLO GLOBAL MGMT INC 97,524 +8,744 $9,089
     APO97,524+8,744$9,089
PINTEREST INC 242,140 +54,873 $8,968
     PINS242,140+54,873$8,968
CF INDS HLDGS INC 111,509 -30,759 $8,865
     CF111,509-30,759$8,865
BUNGE GLOBAL SA 87,452 +5,890 $8,828
     BG87,452+5,890$8,828
CARRIER GLOBAL CORPORATION 153,511 -20,237 $8,819
     CARR153,511-20,237$8,819
VERISK ANALYTICS INC 36,792 +4,848 $8,789
     VRSK36,792+4,848$8,789
JOHNSON CTLS INTL PLC 150,580 -27,367 $8,680
     JCI150,580-27,367$8,680
BLOOM ENERGY CORP 586,242 +99,205 $8,676
     BE586,242+99,205$8,676
ROLLINS INC 197,290 +7,624 $8,615
     ROL197,290+7,624$8,615
AERCAP HOLDINGS NV 114,252 +15,752 $8,491
     AER114,252+15,752$8,491
INTERACTIVE BROKERS GROUP IN 102,400 +6,874 $8,489
     IBKR102,400+6,874$8,489
BRIGHT HORIZONS FAM SOL IN D 88,570 UNCH $8,347
     BFAM88,570UNCH$8,347
SNAP INC 491,442 +270,535 $8,320
     SNAP491,442+270,535$8,320
RTX CORPORATION 98,099 +821 $8,254
     RTX98,099+821$8,254
LEAR CORP 58,072 -19,677 $8,200
     LEA58,072-19,677$8,200
BAKER HUGHES COMPANY 237,356 +49,498 $8,113
     BKR237,356+49,498$8,113
NEXTERA ENERGY INC 132,940 +10,806 $8,075
     NEE132,940+10,806$8,075
SENSATA TECHNOLOGIES HLDG PL 214,036 -14,970 $8,041
     ST214,036-14,970$8,041
EXPEDITORS INTL WASH INC 63,170 -76,908 $8,035
     EXPD63,170-76,908$8,035
AMCOR PLC 831,566 +158,245 $8,017
     AMCR831,566+158,245$8,017
KRAFT HEINZ CO 215,307 +6,095 $7,962
     KHC215,307+6,095$7,962
SHOALS TECHNOLOGIES GROUP IN 511,207 +60,751 $7,944
     SHLS511,207+60,751$7,944
WARNER BROS DISCOVERY INC 690,318 +279,887 $7,856
     WBD690,318+279,887$7,856
INVITATION HOMES INC 229,509 +10,219 $7,829
     INVH229,509+10,219$7,829
JUNIPER NETWORKS INC 261,210 +141,459 $7,700
     JNPR261,210+141,459$7,700
WABTEC 60,214 -18,364 $7,641
     WAB60,214-18,364$7,641
OMNICOM GROUP INC 88,098 +57,934 $7,622
     OMC88,098+57,934$7,622
GARTNER INC 16,679 -22,376 $7,524
     IT16,679-22,376$7,524
EATON CORP PLC 31,216 -2,851 $7,518
     ETN31,216-2,851$7,518
FASTENAL CO 115,651 -16,339 $7,491
     FAST115,651-16,339$7,491
ZSCALER INC      $7,190
     ZS30,395+13,759$6,734
     NOTE 0300,000-50,000$456
NETEASE INC 76,693 -6,900 $7,145
     NTES76,693-6,900$7,145
ATLASSIAN CORPORATION 29,997 +89 $7,135
     TEAM29,997+89$7,135
TANDEM DIABETES CARE INC 239,944 +110,630 $7,098
     TNDM239,944+110,630$7,098
WILLIS TOWERS WATSON PLC LTD 29,120 -45,447 $7,024
     WTW29,120-45,447$7,024
TRIMBLE INC 131,887 -34,196 $7,016
     TRMB131,887-34,196$7,016
EPAM SYS INC 23,489 -1,447 $6,984
     EPAM23,489-1,447$6,984
WEYERHAEUSER CO MTN BE 199,784 +14,371 $6,947
     WY199,784+14,371$6,947
BALL CORP 119,846 -50,061 $6,893
     BALL119,846-50,061$6,893
NVR INC 978 +321 $6,846
     NVR978+321$6,846
KANZHUN LIMITED 411,043 +327,332 $6,827
     BZ411,043+327,332$6,827
SNOWFLAKE INC 34,191 +2,879 $6,804
     SNOW34,191+2,879$6,804
BERKLEY W R CORP 95,745 -108,686 $6,772
     WRB95,745-108,686$6,772
EQUIFAX INC 26,872 -1,615 $6,645
     EFX26,872-1,615$6,645
OKTA INC 73,219 -1,533 $6,629
     OKTA73,219-1,533$6,629
SMUCKER J M CO 51,923 -595 $6,562
     SJM51,923-595$6,562
ARRAY TECHNOLOGIES INC      $6,527
     ARRY382,626+8,274$6,428
     NOTE 1100,000UNCH$99
ZTO EXPRESS CAYMAN INC      $6,522
     ZTO293,022+91,289$6,236
     NOTE 1300,000+100,000$286
DIGITAL RLTY TR INC 48,238 -2,465 $6,492
     DLR48,238-2,465$6,492
JD.COM INC 224,518 +7,557 $6,486
     JD224,518+7,557$6,486
LIVENT CORP 360,129 +23,829 $6,475
     LTHM360,129+23,829$6,475
CROWN HLDGS INC 69,476 -45,970 $6,398
     CCK69,476-45,970$6,398
SUNRUN INC 324,665 +14,169 $6,373
     RUN324,665+14,169$6,373
COGNEX CORP 152,397 +113,059 $6,361
     CGNX152,397+113,059$6,361
GORMAN RUPP CO 174,678 -5,820 $6,206
     GRC174,678-5,820$6,206
ALIGN TECHNOLOGY INC 22,578 -14,329 $6,187
     ALGN22,578-14,329$6,187
DOW INC 111,851 +26,670 $6,134
     DOW111,851+26,670$6,134
PRINCIPAL FINANCIAL GROUP IN 77,140 -3,946 $6,069
     PFG77,140-3,946$6,069
MOSAIC CO NEW 169,018 +122,439 $6,039
     MOS169,018+122,439$6,039
VENTAS INC 121,057 -2,197 $6,033
     VTR121,057-2,197$6,033
CYBERARK SOFTWARE LTD 27,489 +27,489 $6,021
     CYBR27,489+27,489$6,021
YORK WTR CO 155,002 -13,596 $5,986
     YORW155,002-13,596$5,986
FIRST CTZNS BANCSHARES INC N (FCNCA) 4,218 +2,870 $5,985
     FCNCA4,218+2,870$5,985
MOLINA HEALTHCARE INC 16,465 -40,083 $5,948
     MOH16,465-40,083$5,948
MARATHON OIL CORP 244,407 +174,053 $5,905
     MRO244,407+174,053$5,905
MODERNA INC 58,971 -6,890 $5,865
     MRNA58,971-6,890$5,865
WILLIAMS COS INC 168,003 +20,862 $5,851
     WMB168,003+20,862$5,851
THE TRADE DESK INC 80,672 +22,668 $5,806
     TTD80,672+22,668$5,806
SCHLUMBERGER LTD 110,553 -43,643 $5,753
     SLB110,553-43,643$5,753
SEA LTD 141,325 -392,125 $5,724
     SE141,325+7,875$5,724
REXFORD INDL RLTY INC 101,050 -780 $5,669
     REXR101,050-780$5,669
GRAB HOLDINGS LIMITED 1,681,828 +89,683 $5,668
     GRAB1,681,828+89,683$5,668
DEVON ENERGY CORP NEW 123,665 -40,740 $5,602
     DVN123,665-40,740$5,602
KINDER MORGAN INC DEL 316,581 -772,295 $5,584
     KMI316,581-772,295$5,584
EXTRA SPACE STORAGE INC 34,567 +1,080 $5,542
     EXR34,567+1,080$5,542
BLOCK INC 71,644 -86,400 $5,542
     SQ71,644-86,400$5,542
LOEWS CORP 79,262 +23,254 $5,516
     L79,262+23,254$5,516
HEALTHPEAK PROPERTIES INC 278,116 +18,316 $5,507
     PEAK278,116+18,316$5,507
WESTERN DIGITAL CORP. 105,101 +73,212 $5,504
     WDC105,101+73,212$5,504
ARCH CAP GROUP LTD 73,700 +9,435 $5,473
     ACGL73,700+9,435$5,473
ARROW ELECTRS INC 44,154 +28,442 $5,398
     ARW44,154+28,442$5,398
CHURCH & DWIGHT CO INC 56,587 +5,264 $5,351
     CHD56,587+5,264$5,351
HUNT J B TRANS SVCS INC 26,604 -2,231 $5,314
     JBHT26,604-2,231$5,314
BAIDU INC 44,560 -21,265 $5,307
     BIDU44,560-21,265$5,307
FERRARI N V 15,587 UNCH $5,275
     RACE15,587UNCH$5,275
REVVITY INC 47,835 -351 $5,229
     RVTY47,835-351$5,229
INGERSOLL RAND INC 66,973 -49,769 $5,180
     IR66,973-49,769$5,180
SOUTHERN CO 73,212 +2,428 $5,134
     SO73,212+2,428$5,134
DICKS SPORTING GOODS INC 34,833 +31,651 $5,119
     DKS34,833+31,651$5,119
VULCAN MATLS CO 21,949 +5,985 $4,983
     VMC21,949+5,985$4,983
CARLYLE GROUP INC 122,214 -21,354 $4,973
     CG122,214-21,354$4,973
E L F BEAUTY INC 33,949 +32,833 $4,900
     ELF33,949+32,833$4,900
ALTRIA GROUP INC 120,083 UNCH $4,844
     MO120,083UNCH$4,844
DUPONT DE NEMOURS INC 62,863 +13,696 $4,836
     DD62,863+13,696$4,836
NORFOLK SOUTHN CORP 20,325 +2,528 $4,805
     NSC20,325+2,528$4,805
CANADIAN SOLAR INC 181,953 +16,659 $4,773
     CSIQ181,953+16,659$4,773
GARMIN LTD 37,094 -4,353 $4,769
     GRMN37,094-4,353$4,769
PARKER HANNIFIN CORP 10,251 -2,150 $4,723
     PH10,251-2,150$4,723
KKR & CO INC 56,459 -39,413 $4,677
     KKR56,459-39,413$4,677
CBOE GLOBAL MKTS INC 26,067 +9,797 $4,654
     CBOE26,067+9,797$4,654
DOLLAR GEN CORP NEW 34,172 +2,528 $4,645
     DG34,172+2,528$4,645
DUKE ENERGY CORP NEW 47,605 -541 $4,620
     DUK47,605-541$4,620
VANGUARD INDEX FDS (VTV) 30,700 -300 $4,590
     VTV30,700-300$4,590
REGENCY CTRS CORP 67,616 +2,919 $4,530
     REG67,616+2,919$4,530
FREEPORT MCMORAN INC 106,224 +7,789 $4,522
     FCX106,224+7,789$4,522
POOL CORP 11,329 +47 $4,517
     POOL11,329+47$4,517
TELEDYNE TECHNOLOGIES INC 10,068 UNCH $4,493
     TDY10,068UNCH$4,493
ROBLOX CORP 97,603 +45,152 $4,462
     RBLX97,603+45,152$4,462
LAMB WESTON HLDGS INC 41,212 -150,504 $4,455
     LW41,212-150,504$4,455
VICI PPTYS INC 137,949 +1,626 $4,398
     VICI137,949+1,626$4,398
TRANSUNION 63,897 +2,682 $4,390
     TRU63,897+2,682$4,390
HENRY JACK & ASSOC INC 26,821 -97,322 $4,382
     JKHY26,821-97,322$4,382
CORTEVA INC 91,193 +13,272 $4,370
     CTVA91,193+13,272$4,370
NEW YORK TIMES CO 88,592 -730 $4,340
     NYT88,592-730$4,340
CONAGRA BRANDS INC 150,877 -57,051 $4,324
     CAG150,877-57,051$4,324
RESMED INC 25,126 -35,168 $4,322
     RMD25,126-35,168$4,322
TRIP COM GROUP LTD 119,486 -26,005 $4,303
     TCOM119,486-26,005$4,303
JEFFERIES FINL GROUP INC 106,130 +338 $4,289
     JEF106,130+338$4,289
MANPOWERGROUP INC WIS 53,562 +1,029 $4,257
     MAN53,562+1,029$4,257
NORTHWEST PIPE CO 139,666 -6,039 $4,226
     NWPX139,666-6,039$4,226
ATMOS ENERGY CORP 36,148 -77,997 $4,190
     ATO36,148-77,997$4,190
ZEBRA TECHNOLOGIES CORPORATI 15,247 -7,646 $4,167
     ZBRA15,247-7,646$4,167
IDEX CORP 19,136 -4,570 $4,154
     IEX19,136-4,570$4,154
SUN CMNTYS INC 30,977 +2,614 $4,140
     SUI30,977+2,614$4,140
GRAINGER W W INC 4,988 -20,039 $4,134
     GWW4,988-20,039$4,134
DARDEN RESTAURANTS INC 24,484 -293 $4,023
     DRI24,484-293$4,023
TYLER TECHNOLOGIES INC 9,569 -203,571 $4,001
     TYL9,569-3,571$4,001
KNIGHT SWIFT TRANSN HLDGS IN 69,371 +7,007 $3,999
     KNX69,371+7,007$3,999
JACOBS SOLUTIONS INC 30,786 +903 $3,996
     J30,786+903$3,996
TAKE TWO INTERACTIVE SOFTWAR 24,475 +7,515 $3,939
     TTWO24,475+7,515$3,939
ALEXANDRIA REAL ESTATE EQ IN 30,698 +551 $3,892
     ARE30,698+551$3,892
LIBERTY BROADBAND CORP 48,151 -5,301 $3,880
     LBRDK48,151-5,301$3,880
HUBBELL INC 11,705 +328 $3,850
     HUBB11,705+328$3,850
COINBASE GLOBAL INC 21,811 +2,560 $3,793
     COIN21,811+2,560$3,793
PULTE GROUP INC 36,425 -4,226 $3,760
     PHM36,425-4,226$3,760
PALANTIR TECHNOLOGIES INC 217,045 -25,583 $3,727
     PLTR217,045-25,583$3,727
BOOZ ALLEN HAMILTON HLDG COR 29,096 +673 $3,722
     BAH29,096+673$3,722
HASBRO INC 72,543 -6,372 $3,704
     HAS72,543-6,372$3,704
HEICO CORP NEW      $3,689
     HEI13,154-3,500$2,353
     HEI.A9,382UNCH$1,336
V F CORP 195,273 +5,929 $3,671
     VFC195,273+5,929$3,671
VIATRIS INC 332,007 -1,368 $3,595
     VTRS332,007-1,368$3,595
L3HARRIS TECHNOLOGIES INC 17,050 UNCH $3,591
     LHX17,050UNCH$3,591
AMALGAMATED FINANCIAL CORP 133,159 UNCH $3,587
     AMAL133,159UNCH$3,587
ZIMMER BIOMET HOLDINGS INC 29,054 -35,712 $3,536
     ZBH29,054-35,712$3,536
D R HORTON INC 23,258 +2,792 $3,534
     DHI23,258+2,792$3,534
IRON MTN INC DEL 50,121 -3,454 $3,507
     IRM50,121-3,454$3,507
CRANE COMPANY 29,298 +145 $3,461
     CR29,298+145$3,461
PACKAGING CORP AMER 21,135 -261 $3,443
     PKG21,135-261$3,443
GRACO INC 39,514 -89,977 $3,429
     GGG39,514-89,977$3,429
ALBEMARLE CORP 23,659 -138 $3,418
     ALB23,659-138$3,418
PARAMOUNT GLOBAL 230,933 -438,358 $3,415
     PARA230,933-438,358$3,415
DECKERS OUTDOOR CORP 5,089 +44 $3,401
     DECK5,089+44$3,401
TAIWAN SEMICONDUCTOR MFG LTD 32,396 -2,561 $3,369
     TSM32,396-2,561$3,369
WATSCO INC 7,829 -8,108 $3,355
     WSO7,829-8,108$3,355
AMKOR TECHNOLOGY INC 100,730 +475 $3,351
     AMKR100,730+475$3,351
F5 INC 18,413 +3,266 $3,296
     FFIV18,413+3,266$3,296
ARES MANAGEMENT CORPORATION 27,473 -68 $3,267
     ARES27,473-68$3,267
ALIBABA GROUP HLDG LTD 42,102 -2,369 $3,263
     BABA42,102-2,369$3,263
BIO TECHNE CORP 42,210 -4,947 $3,257
     TECH42,210-4,947$3,257
DOLLAR TREE INC 22,832 +3,449 $3,243
     DLTR22,832+3,449$3,243
INFOSYS LTD 176,013 -12,824 $3,235
     INFY176,013-12,824$3,235
AMERESCO INC 101,930 +588 $3,228
     AMRC101,930+588$3,228
CNH INDL N V 261,629 +261,629 $3,187
     CNHI261,629+261,629$3,187
CACI INTL INC 9,780 UNCH $3,167
     CACI9,780UNCH$3,167
OVINTIV INC 71,913 +7,812 $3,159
     OVV71,913+7,812$3,159
DOORDASH INC 31,879 +8,254 $3,153
     DASH31,879+8,254$3,153
AMERICAN ELEC PWR CO INC 38,743 +5,993 $3,147
     AEP38,743+5,993$3,147
BURLINGTON STORES INC 16,181 -314,292 $3,147
     BURL16,181-114,292$3,147
KELLANOVA 55,818 -18,616 $3,121
     K55,818-18,616$3,121
APA CORPORATION 86,611 +49,568 $3,107
     APA86,611+49,568$3,107
LATTICE SEMICONDUCTOR CORP 44,848 +11,176 $3,094
     LSCC44,848+11,176$3,094
RAYMOND JAMES FINL INC 27,367 -481 $3,051
     RJF27,367-481$3,051
SHUTTERSTOCK INC 63,031 -100 $3,043
     SSTK63,031-100$3,043
BROWN & BROWN INC 42,720 -2,809 $3,038
     BRO42,720-2,809$3,038
DOUGLAS EMMETT INC 209,298 -1,360 $3,035
     DEI209,298-1,360$3,035
WALGREENS BOOTS ALLIANCE INC 115,158 -13,470 $3,007
     WBA115,158-13,470$3,007
AUTOHOME INC 106,704 -899 $2,994
     ATHM106,704-899$2,994
PAYCOM SOFTWARE INC 14,416 -15,743 $2,980
     PAYC14,416-15,743$2,980
CARNIVAL CORP 159,704 -114,272 $2,961
     CCL159,704+35,728$2,961
ALNYLAM PHARMACEUTICALS INC      $2,960
     ALNY13,909-1,601$2,663
     NOTE 1300,000UNCH$297
CLOUDFLARE INC 35,166 -7,622 $2,928
     NET35,166-7,622$2,928
CAMDEN PPTY TR 29,231 -2,397 $2,902
     CPT29,231-2,397$2,902
VALMONT INDS INC 12,329 UNCH $2,879
     VMI12,329UNCH$2,879
CAESARS ENTERTAINMENT INC NE 61,066 +12,016 $2,863
     CZR61,066+12,016$2,863
MOHAWK INDS INC 27,623 +582 $2,859
     MHK27,623+582$2,859
FMC CORP 44,741 -11,499 $2,820
     FMC44,741-11,499$2,820
BRUKER CORP 38,051 +158 $2,796
     BRKR38,051+158$2,796
WELLTOWER INC 30,911 -1,723 $2,788
     WELL30,911-1,723$2,788
CORNING INC 91,340 +12,160 $2,781
     GLW91,340+12,160$2,781
UGI CORP NEW 112,284 +58,642 $2,762
     UGI112,284+58,642$2,762
DIAMONDBACK ENERGY INC 17,454 +688 $2,707
     FANG17,454+688$2,707
TARGA RES CORP 30,929 -22,725 $2,687
     TRGP30,929-22,725$2,687
AGCO CORP 21,813 UNCH $2,648
     AGCO21,813UNCH$2,648
AMERICAN HOMES 4 RENT 72,624 -1,975 $2,611
     AMH72,624-1,975$2,611
DOMINION ENERGY INC 55,277 +2,833 $2,598
     D55,277+2,833$2,598
NORTHERN TR CORP 30,593 +1,663 $2,581
     NTRS30,593+1,663$2,581
NIO INC 282,004 -16,839 $2,558
     NIO282,004-16,839$2,558
COCA COLA EUROPACIFIC PARTNE 38,130 +7,324 $2,545
     CCEP38,130+7,324$2,545
NVENT ELECTRIC PLC 43,021 -13,179 $2,542
     NVT43,021-13,179$2,542
AMBARELLA INC 41,310 +269 $2,532
     AMBA41,310+269$2,532
ZILLOW GROUP INC      $2,528
     Z31,849-231,627$1,843
     NOTE 2250,000UNCH$277
     NOTE 0200,000UNCH$271
     NOTE 1100,000UNCH$137
PLUG POWER INC 561,007 -443,395 $2,524
     PLUG561,007-443,395$2,524
TERRENO RLTY CORP 39,606 UNCH $2,482
     TRNO39,606UNCH$2,482
STERIS PLC 11,275 -4,943 $2,479
     STE11,275-4,943$2,479
MARKEL GROUP INC 1,714 -176 $2,434
     MKL1,714-176$2,434
HESS CORP 16,737 -115 $2,413
     HES16,737-115$2,413
MCCORMICK & CO INC 34,909 -3,256 $2,388
     MKC34,909-3,256$2,388
DYNATRACE INC 43,178 +23,488 $2,362
     DT43,178+23,488$2,362
MACOM TECH SOLUTIONS HLDGS I      $2,332
     MTSI23,778+352$2,210
     NOTE 0100,000-100,000$122
INTERNATIONAL PAPER CO 64,446 +9,680 $2,330
     IP64,446+9,680$2,330
INSULET CORP      $2,325
     PODD9,656-1,284$2,095
     NOTE 0200,000UNCH$230
GLOBUS MED INC 43,275 +3,276 $2,306
     GMED43,275+3,276$2,306
UFP INDUSTRIES INC 18,313 +198 $2,299
     UFPI18,313+198$2,299
XCEL ENERGY INC 37,094 +2,916 $2,296
     XEL37,094+2,916$2,296
PUBLIC SVC ENTERPRISE GRP IN 37,433 +2,259 $2,289
     PEG37,433+2,259$2,289
MATERIALISE NV 347,225 +1,451 $2,281
     MTLS347,225+1,451$2,281
C H ROBINSON WORLDWIDE INC 26,297 -6,789 $2,272
     CHRW26,297-6,789$2,272
QUANTA SVCS INC 10,512 -2,684 $2,268
     PWR10,512-2,684$2,268
LPL FINL HLDGS INC 9,869 -1,293 $2,247
     LPLA9,869-1,293$2,247
LIVANOVA PLC 42,990 UNCH $2,224
     LIVN42,990UNCH$2,224
CIENA CORP 48,723 +334 $2,193
     CIEN48,723+334$2,193
EQUITABLE HLDGS INC 65,170 +14,034 $2,170
     EQH65,170+14,034$2,170
FRESHPET INC 24,504 UNCH $2,126
     FRPT24,504UNCH$2,126
SNAP ON INC 7,358 +83 $2,126
     SNA7,358+83$2,126
BAXTER INTL INC 54,544 -2,042 $2,109
     BAX54,544-2,042$2,109
LIBERTY MEDIA CORP DEL 73,158 -64,048 $2,103
     LSXMA73,158-64,048$2,103
WEC ENERGY GROUP INC 24,964 +5,278 $2,101
     WEC24,964+5,278$2,101
ELASTIC N V 18,613 +16,993 $2,098
     ESTC18,613+16,993$2,098
EXACT SCIENCES CORP      $2,096
     EXAS21,884-21,199$1,619
     NOTE 0300,000UNCH$282
     NOTE 0200,000UNCH$195
PAYLOCITY HLDG CORP 12,706 +532 $2,095
     PCTY12,706+532$2,095
CARLISLE COS INC 6,662 -2,171 $2,082
     CSL6,662-2,171$2,082
PG&E CORP 114,638 +6,483 $2,067
     PCG114,638+6,483$2,067
HOWMET AEROSPACE INC 38,051 -15,401 $2,059
     HWM38,051-15,401$2,059
GENERAC HLDGS INC 15,850 +11,164 $2,049
     GNRC15,850+11,164$2,049
ACUITY BRANDS INC 9,972 UNCH $2,043
     AYI9,972UNCH$2,043
CONFLUENT INC 86,415 +78,135 $2,022
     CFLT86,415+78,135$2,022
SOUTHWEST AIRLS CO      $2,014
     LUV52,098+33,097$1,505
     NOTE 1500,000UNCH$509
LIVE NATION ENTERTAINMENT IN 21,413 +886 $2,004
     LYV21,413+886$2,004
ETSY INC      $1,991
     ETSY21,716-665$1,760
     NOTE 0200,000+100,000$231
MIDDLEBY CORP      $1,987
     MIDD11,417-3,119$1,680
     NOTE 1250,000UNCH$307
CINCINNATI FINL CORP 18,926 +5,599 $1,958
     CINF18,926+5,599$1,958
ELANCO ANIMAL HEALTH INC 130,952 -7,056 $1,952
     ELAN130,952-7,056$1,952
STANLEY BLACK & DECKER INC 19,902 +2,502 $1,952
     SWK19,902+2,502$1,952
RIVIAN AUTOMOTIVE INC 81,751 +12,220 $1,918
     RIVN81,751+12,220$1,918
SEAGATE TECHNOLOGY HLDNGS PL 22,282 -1,730 $1,903
     STX22,282-1,730$1,903
WESTROCK CO 45,206 +3,587 $1,877
     WRK45,206+3,587$1,877
ENTEGRIS INC 15,645 +5,387 $1,874
     ENTG15,645+5,387$1,874
AXON ENTERPRISE INC      $1,855
     AXON6,199+1,150$1,602
     NOTE 0200,000+200,000$253
CARMAX INC 23,879 +2,032 $1,833
     KMX23,879+2,032$1,833
LEVI STRAUSS & CO NEW 110,756 +1,417 $1,832
     LEVI110,756+1,417$1,832
STARWOOD PPTY TR INC 86,783 +1,657 $1,824
     STWD86,783+1,657$1,824
BOYD GAMING CORP 28,738 +921 $1,799
     BYD28,738+921$1,799
LENNOX INTL INC 4,013 -2,793 $1,796
     LII4,013-2,793$1,796
H WORLD GROUP LTD      $1,785
     HTHT50,143UNCH$1,677
     NOTE 3100,000UNCH$108
UDR INC 46,498 -2,090 $1,780
     UDR46,498-2,090$1,780
BOSTON PROPERTIES INC 24,807 +2,816 $1,740
     BXP24,807+2,816$1,740
CELSIUS HLDGS INC 31,409 +30,549 $1,713
     CELH31,409+30,549$1,713
AVERY DENNISON CORP 8,308 -21,450 $1,680
     AVY8,308-21,450$1,680
INTERNATIONAL FLAVORS&FRAGRA 20,650 +2,744 $1,672
     IFF20,650+2,744$1,672
TREX CO INC 20,099 -164 $1,664
     TREX20,099-164$1,664
ASPEN TECHNOLOGY INC 7,553 +550 $1,663
     AZPN7,553+550$1,663
CRANE NXT CO 28,999 UNCH $1,649
     CXT28,999UNCH$1,649
EQUITY LIFESTYLE PPTYS INC 23,273 +2,547 $1,642
     ELS23,273+2,547$1,642
HORMEL FOODS CORP 50,860 -5,883 $1,633
     HRL50,860-5,883$1,633
BEIGENE LTD 8,937 UNCH $1,612
     BGNE8,937UNCH$1,612
COLUMBIA SPORTSWEAR CO 19,890 +241 $1,582
     COLM19,890+241$1,582
WERNER ENTERPRISES INC 37,170 +691 $1,575
     WERN37,170+691$1,575
CATALENT INC 34,249 +1,097 $1,539
     CTLT34,249+1,097$1,539
AUTONATION INC 10,200 +236 $1,532
     AN10,200+236$1,532
IAC INC 29,205 -11,749 $1,530
     IAC29,205-11,749$1,530
DTE ENERGY CO 13,669 UNCH $1,507
     DTE13,669UNCH$1,507
UNITY SOFTWARE INC 36,513 +6,287 $1,493
     U36,513+6,287$1,493
REPLIGEN CORP 8,167 -32,185 $1,469
     RGEN8,167-32,185$1,469
HUNTINGTON INGALLS INDS INC 5,541 UNCH $1,439
     HII5,541UNCH$1,439
PPL CORP 53,024 UNCH $1,437
     PPL53,024UNCH$1,437
JOYY INC 36,141 -11,502 $1,435
     YY36,141-11,502$1,435
FORTREA HLDGS INC 40,423 -13,846 $1,411
     FTRE40,423-13,846$1,411
NEUROCRINE BIOSCIENCES INC 10,582 -8,270 $1,394
     NBIX10,582-8,270$1,394
UIPATH INC 55,880 +17,435 $1,388
     PATH55,880+17,435$1,388
MANHATTAN ASSOCIATES INC 6,416 +4,284 $1,381
     MANH6,416+4,284$1,381
MARKETAXESS HLDGS INC 4,705 +128 $1,378
     MKTX4,705+128$1,378
FUTU HLDGS LTD 24,443 -705 $1,335
     FUTU24,443-705$1,335
GLOBANT S A 5,558 UNCH $1,323
     GLOB5,558UNCH$1,323
TPI COMPOSITES INC 318,049 -84,336 $1,317
     TPIC318,049-84,336$1,317
WP CAREY INC 20,142 +6,628 $1,305
     WPC20,142+6,628$1,305
AMEREN CORP 17,945 UNCH $1,298
     AEE17,945UNCH$1,298
ROKU INC 13,930 +6,357 $1,277
     ROKU13,930+6,357$1,277
VICOR CORP 28,214 -32 $1,268
     VICR28,214-32$1,268
DOMINOS PIZZA INC 3,044 -125 $1,255
     DPZ3,044-125$1,255
WEIBO CORP 112,397 -2,355 $1,231
     WB112,397-2,355$1,231
HYATT HOTELS CORP 9,369 +1,381 $1,222
     H9,369+1,381$1,222
RE MAX HLDGS INC 91,435 UNCH $1,219
     RMAX91,435UNCH$1,219
LEIDOS HOLDINGS INC 11,211 UNCH $1,213
     LDOS11,211UNCH$1,213
ALLEGION PLC 9,525 +3,983 $1,207
     ALLE9,525+3,983$1,207
LIBERTY MEDIA CORP DEL      $1,186
     FWONK17,166+1,271$1,084
     NOTE 2100,000UNCH$102
FOUR CORNERS PPTY TR INC 46,703 -2,939 $1,181
     FCPT46,703-2,939$1,181
ZOOMINFO TECHNOLOGIES INC 63,767 -936,107 $1,179
     ZI63,767-936,107$1,179
BILL HOLDINGS INC 14,329 -295,123 $1,169
     BILL14,329+4,877$1,169
KEYCORP 78,896 UNCH $1,136
     KEY78,896UNCH$1,136
CENTERPOINT ENERGY INC 39,407 UNCH $1,126
     CNP39,407UNCH$1,126
CMS ENERGY CORP 19,352 +2,167 $1,124
     CMS19,352+2,167$1,124
ENTERGY CORP NEW 11,007 UNCH $1,114
     ETR11,007UNCH$1,114
FIRSTENERGY CORP 30,258 UNCH $1,109
     FE30,258UNCH$1,109
ALLY FINL INC 31,593 -3,444 $1,103
     ALLY31,593-3,444$1,103
HELLO GROUP INC 156,705 -65,209 $1,089
     MOMO156,705-65,209$1,089
AVANTOR INC 46,775 -21,508 $1,068
     AVTR46,775-21,508$1,068
BIO RAD LABS INC 3,296 -1,534 $1,064
     BIO3,296-1,534$1,064
VERTIV HOLDINGS CO 22,081 +15,665 $1,060
     VRT22,081+15,665$1,060
APARTMENT INCOME REIT CORP 30,461 -2,818 $1,058
     AIRC30,461-2,818$1,058
FOX CORP 37,861 UNCH $1,047
     FOX37,861UNCH$1,047
PROSPECT CAP CORP 173,813 +1,509 $1,041
     PSEC173,813+1,509$1,041
SPDR S&P 500 ETF TR (SPY) 2,188 UNCH $1,040
     SPY2,188UNCH$1,040
TWILIO INC 13,601 +1,645 $1,032
     TWLO13,601+1,645$1,032
LAS VEGAS SANDS CORP 20,760 +489 $1,021
     LVS20,760+489$1,021
WINTRUST FINL CORP 10,866 +532 $1,008
     WTFC10,866+532$1,008
CHESAPEAKE ENERGY CORP 12,886 -11,711 $992
     CHK12,886-11,711$992
NEW YORK CMNTY BANCORP INC 96,165 +1,583 $984
     NYCB96,165+1,583$984
LI AUTO INC 25,799 -200,000 $966
     LI25,799UNCH$966
ALLIANT ENERGY CORP 18,828 +7,092 $966
     LNT18,828+7,092$966
VISTRA CORP 25,081 UNCH $966
     VST25,081UNCH$966
LEGEND BIOTECH CORP 15,931 +522 $959
     LEGN15,931+522$959
UNIVERSAL DISPLAY CORP 4,838 -765 $925
     OLED4,838-765$925
NRG ENERGY INC 17,617 UNCH $911
     NRG17,617UNCH$911
DRAFTKINGS INC NEW 25,432 +11,250 $896
     DKNG25,432+11,250$896
VITESSE ENERGY INC 40,638 +21,788 $890
     VTS40,638+21,788$890
AECOM 9,585 +4,756 $886
     ACM9,585+4,756$886
WOLFSPEED INC      $862
     WOLF14,557-3,526$633
     NOTE 1200,000+100,000$229
KILROY RLTY CORP 21,361 -1,152 $851
     KRC21,361-1,152$851
ROYALTY PHARMA PLC 30,026 +370 $844
     RPRX30,026+370$844
LYFT INC 56,012 UNCH $840
     LYFT56,012UNCH$840
CHEWY INC 35,263 +11,521 $833
     CHWY35,263+11,521$833
VAIL RESORTS INC      $828
     MTN2,835+95$605
     NOTE 1 0250,000UNCH$223
UNITED THERAPEUTICS CORP DEL 3,766 +1,601 $828
     UTHR3,766+1,601$828
ERIE INDTY CO 2,444 +51 $818
     ERIE2,444+51$818
RPM INTL INC 7,332 -3,263 $818
     RPM7,332-3,263$818
EVGO INC 227,367 +106,869 $814
     EVGO227,367+106,869$814
GAMING & LEISURE PPTYS INC 16,404 +8,297 $809
     GLPI16,404+8,297$809
SUPER MICRO COMPUTER INC 2,835 +952 $805
     SMCI2,835+952$805
COMMERCE BANCSHARES INC (CBSH) 15,024 +2,088 $802
     CBSH15,024+2,088$802
TRADEWEB MKTS INC 8,784 +1,113 $798
     TW8,784+1,113$798
TELEFLEX INCORPORATED 3,173 +109 $791
     TFX3,173+109$791
WK KELLOGG CO 59,787 +59,787 $786
     KLG59,787+59,787$786
AMERICAN FINL GROUP INC OHIO 6,594 -8,596 $784
     AFG6,594-8,596$784
HEALTHCARE RLTY TR 44,890 -14,565 $774
     HR44,890-14,565$774
ALCOA CORP 22,537 -569 $767
     AA22,537-569$767
CELANESE CORP DEL 4,926 -3,401 $766
     CE4,926-3,401$766
BLINK CHARGING CO 224,472 +142,366 $761
     BLNK224,472+142,366$761
EQT CORP 19,573 -10,404 $757
     EQT19,573-10,404$757
TORO CO 7,657 +3,376 $735
     TTC7,657+3,376$735
COLUMBIA BKG SYS INC 27,205 +228 $726
     COLB27,205+228$726
NISOURCE INC 24,978 -25,268 $663
     NI24,978-25,268$663
CERIDIAN HCM HLDG INC      $660
     CDAY8,497-803$570
     NOTE 0100,000-100,000$90
ASSURANT INC 3,914 UNCH $659
     AIZ3,914UNCH$659
EVERGY INC 12,275 UNCH $641
     EVRG12,275UNCH$641
INTER PARFUMS INC 4,431 +32 $638
     IPAR4,431+32$638
UPBOUND GROUP INC 18,596 -248 $632
     UPBD18,596-248$632
GATX CORP 5,086 UNCH $611
     GATX5,086UNCH$611
LIBERTY GLOBAL LTD 32,711 -37,690 $610
     LBTYK32,711-37,690$610
SIRIUS XM HOLDINGS INC 110,690 +5,211 $605
     SIRI110,690+5,211$605
DAQO NEW ENERGY CORP 22,367 UNCH $595
     DQ22,367UNCH$595
AES CORP 30,874 -6,215 $594
     AES30,874-6,215$594
FLUENCE ENERGY INC 24,454 +13,481 $583
     FLNC24,454+13,481$583
FIRST HORIZON CORPORATION 40,664 -19,009 $576
     FHN40,664-19,009$576
IPG PHOTONICS CORP 5,199 +675 $564
     IPGP5,199+675$564
HALOZYME THERAPEUTICS INC      $551
     NOTE 0300,000UNCH$259
     NOTE 1200,000UNCH$187
     HALO2,846UNCH$105
COTY INC 43,583 -121,782 $541
     COTY43,583-121,782$541
NCL CORP LTD      $539
     NOTE 1300,000UNCH$277
     NOTE 5200,000+100,000$262
TEXAS PACIFIC LAND CORPORATI 343 UNCH $539
     TPL343UNCH$539
WYNN RESORTS LTD 5,785 -542 $527
     WYNN5,785-542$527
CELLECTIS S A 163,447 UNCH $503
     CLLS163,447UNCH$503
LAMAR ADVERTISING CO NEW 4,708 +189 $500
     LAMR4,708+189$500
HERON THERAPEUTICS INC 289,269 UNCH $492
     HRTX289,269UNCH$492
INVESCO QQQ TR 1,192 +1,192 $488
     QQQ1,192+1,192$488
QIAGEN NV 11,144 +842 $484
     QGEN11,144+842$484
TOLL BROTHERS INC 4,696 +445 $483
     TOL4,696+445$483
U HAUL HOLDING COMPANY      $483
     UHAL.B6,861+6,602$483
BANCO DE CHILE 20,898 -2,912 $482
     BCH20,898-2,912$482
PHINIA INC 15,273 -26,888 $463
     PHIN15,273-26,888$463
WYNDHAM HOTELS & RESORTS INC 5,741 +279 $462
     WH5,741+279$462
ZIONS BANCORPORATION N A 10,447 UNCH $458
     ZION10,447UNCH$458
SHIFT4 PMTS INC      $456
     NOTE 12 1250,000UNCH$279
     NOTE 0100,000-100,000$94
     FOUR1,113UNCH$83
SAREPTA THERAPEUTICS INC      $449
     NOTE 1300,000UNCH$306
     SRPT1,480UNCH$143
PAPA JOHNS INTL INC 5,714 UNCH $436
     PZZA5,714UNCH$436
MEDIFAST INC 6,462 -111 $434
     MED6,462-111$434
NUTANIX INC      $430
     NTNX4,676UNCH$223
     NOTE 0200,000+200,000$207
WAYFAIR INC      $430
     NOTE 3200,000UNCH$249
     W2,930-458$181
TEREX CORP NEW 7,469 +136 $429
     TEX7,469+136$429
WALKER & DUNLOP INC 3,830 UNCH $425
     WD3,830UNCH$425
VONTIER CORPORATION 11,944 +451 $413
     VNT11,944+451$413
ALBERTSONS COS INC 17,903 +12,140 $411
     ACI17,903+12,140$411
UNUM GROUP 8,803 +766 $398
     UNM8,803+766$398
GREIF INC      $392
     GEF5,648UNCH$370
     GEF.B337+337$22
LOUISIANA PAC CORP 5,529 +141 $392
     LPX5,529+141$392
SOCIEDAD QUIMICA Y MINERA DE 6,446 UNCH $388
     SQM6,446UNCH$388
NEWELL BRANDS INC 44,239 +2,046 $384
     NWL44,239+2,046$384
TOAST INC 21,029 +897 $384
     TOST21,029+897$384
LIBERTY MEDIA CORP DEL 13,148 -15,924 $378
     LSXMK13,148-15,924$378
CYTOKINETICS INC      $373
     CYTK2,346UNCH$196
     NOTE 3100,000UNCH$177
HNI CORP 8,873 UNCH $371
     HNI8,873UNCH$371
OAKTREE SPECIALTY LENDING CO 17,930 UNCH $366
     OCSL17,930UNCH$366
AMERICAN AIRLINES GROUP INC      $362
     NOTE 6300,000UNCH$333
     AAL2,133UNCH$29
CULLEN FROST BANKERS INC 3,341 UNCH $362
     CFR3,341UNCH$362
MASIMO CORP 3,090 -7,312 $362
     MASI3,090-7,312$362
TENCENT MUSIC ENTMT GROUP 39,975 -170,034 $360
     TME39,975-170,034$360
NEXTRACKER INC 7,648 +7,648 $358
     NXT7,648+7,648$358
FRONTDOOR INC 10,136 +1,610 $357
     FTDR10,136+1,610$357
IONIS PHARMACEUTICALS INC      $346
     NOTE 4 0200,000UNCH$211
     IONS2,669UNCH$135
LIBERTY MEDIA CORP DEL 9,408 -24,889 $344
     LLYVA9,408-24,889$344
PEBBLEBROOK HOTEL TR      $333
     NOTE 1300,000UNCH$270
     PEB3,914UNCH$63
ENVISTA HOLDINGS CORPORATION 13,797 +824 $332
     NVST13,797+824$332
XPENG INC 22,784 UNCH $332
     XPEV22,784UNCH$332
INTERDIGITAL INC      $328
     NOTE 3200,000+100,000$244
     IDCC778UNCH$84
INSMED INC      $328
     NOTE 0200,000UNCH$230
     INSM3,175UNCH$98
SAP SE 2,025 UNCH $313
     SAP2,025UNCH$313
LANTHEUS HLDGS INC      $307
     NOTE 2200,000+200,000$224
     LNTH1,335UNCH$83
ARAMARK 10,899 -2,735 $306
     ARMK10,899-2,735$306
LA Z BOY INC 8,187 -126 $302
     LZB8,187-126$302
CSG SYS INTL INC 5,623 +65 $299
     CSGS5,623+65$299
POST HLDGS INC      $295
     NOTE 2200,000UNCH$204
     POST1,036+251$91
ARM HOLDINGS PLC 3,912 +2,912 $294
     ARM3,912+2,912$294
SCORPIO TANKERS INC 4,836 +596 $294
     STNG4,836+596$294
CONMED CORP      $281
     NOTE 2200,000UNCH$201
     CNMD727UNCH$80
LCI INDS      $279
     NOTE 1200,000UNCH$198
     LCII646UNCH$81
SELECT MED HLDGS CORP 11,572 +159 $272
     SEM11,572+159$272
ZIFF DAVIS INC      $261
     NOTE 1200,000UNCH$190
     ZD1,062UNCH$71
BANCO SANTANDER CHILE NEW 12,788 +6,017 $249
     BSAC12,788+6,017$249
ENVESTNET INC      $247
     NOTE 2200,000+200,000$198
     ENV984UNCH$49
WILEY JOHN & SONS INC 7,551 UNCH $240
     WLY7,551UNCH$240
WILLIAMS SONOMA INC 1,187 +120 $240
     WSM1,187+120$240
SOLAREDGE TECHNOLOGIES INC 2,560 -207,321 $239
     SEDG2,560-7,321$239
FIVE9 INC      $235
     FIVN1,757+287$138
     NOTE 0100,000-200,000$97
LINCOLN ELEC HLDGS INC 1,072 +110 $233
     LECO1,072+110$233
FLEX LTD 7,585 UNCH $231
     FLEX7,585UNCH$231
SAIA INC 510 UNCH $223
     SAIA510UNCH$223
FIVE BELOW INC 1,043 +116 $222
     FIVE1,043+116$222
TAL EDUCATION GROUP 17,462 UNCH $221
     TAL17,462UNCH$221
YPF SOCIEDAD ANONIMA 12,842 -5,029 $221
     YPF12,842-5,029$221
TOPBUILD CORP 589 +73 $220
     BLD589+73$220
WENDYS CO 11,235 +857 $219
     WEN11,235+857$219
CARTERS INC 2,910 +224 $218
     CRI2,910+224$218
MEDICAL PPTYS TRUST INC 44,269 +2,984 $217
     MPW44,269+2,984$217
AFFIRM HLDGS INC 4,329 -213 $213
     AFRM4,329-213$213
TURKCELL ILETISIM HIZMETLERI 43,652 UNCH $210
     TKC43,652UNCH$210
ASCENDIS PHARMA A S      $207
     NOTE 2200,000UNCH$207
AMERICAN EAGLE OUTFITTERS IN 9,592 -1,099 $203
     AEO9,592-1,099$203
TYLER TEX INDPT SCH DIST      $203
     NOTE 0200,000UNCH$203
JAZZ INVESTMENTS I LTD      $202
     NOTE 2200,000UNCH$202
BRIDGEBIO PHARMA INC      $201
     NOTE 2100,000UNCH$122
     BBIO1,955-256$79
FLOOR & DECOR HLDGS INC 1,794 UNCH $200
     FND1,794UNCH$200
UNITED STATES STL CORP NEW 4,105 +629 $200
     X4,105+629$200
REINSURANCE GRP OF AMERICA I 1,228 +135 $199
     RGA1,228+135$199
XPO INC 2,228 UNCH $195
     XPO2,228UNCH$195
NORTHERN OIL & GAS INC      $193
     NOTE 3100,000+100,000$119
     NOG1,984UNCH$74
PERFORMANCE FOOD GROUP CO 2,798 +230 $193
     PFGC2,798+230$193
KARUNA THERAPEUTICS INC 607 UNCH $192
     KRTX607UNCH$192
PURE STORAGE INC 5,387 UNCH $192
     PSTG5,387UNCH$192
MURPHY USA INC 536 +81 $191
     MUSA536+81$191
CUBESMART 4,100 +365 $190
     CUBE4,100+365$190
RENAISSANCERE HLDGS LTD 970 UNCH $190
     RNR970UNCH$190
CASEYS GEN STORES INC 687 +76 $189
     CASY687+76$189
EMCOR GROUP INC 879 +101 $189
     EME879+101$189
NICE LTD      $189
     NOTE 9 1200,000UNCH$189
TFS FINL CORP 12,776 +2,180 $188
     TFSL12,776+2,180$188
SEALED AIR CORP NEW 5,095 -3,796 $186
     SEE5,095-3,796$186
US FOODS HLDG CORP 4,052 +630 $184
     USFD4,052+630$184
EAST WEST BANCORP INC 2,549 UNCH $183
     EWBC2,549UNCH$183
QUANTUMSCAPE CORP 25,593 UNCH $178
     QS25,593UNCH$178
WILLSCOT MOBIL MINI HLDNG CO 3,975 UNCH $177
     WSC3,975UNCH$177
ITT INC 1,469 +138 $175
     ITT1,469+138$175
PENUMBRA INC 697 UNCH $175
     PEN697UNCH$175
ADVANCE AUTO PARTS INC 2,834 -13,638 $173
     AAP2,834-13,638$173
GUIDEWIRE SOFTWARE INC 1,591 UNCH $173
     GWRE1,591UNCH$173
REGAL REXNORD CORPORATION 1,167 UNCH $173
     RRX1,167UNCH$173
SERVICE CORP INTL 2,530 UNCH $173
     SCI2,530UNCH$173
RAPID7 INC      $171
     NOTE 0100,000+100,000$90
     RPD1,415UNCH$81
STEM INC 43,719 UNCH $170
     STEM43,719UNCH$170
SOFI TECHNOLOGIES INC 17,014 UNCH $169
     SOFI17,014UNCH$169
TETRA TECH INC NEW 1,000 +131 $167
     TTEK1,000+131$167
AUTOLIV INC 1,508 +213 $166
     ALV1,508+213$166
NORWEGIAN CRUISE LINE HLDG L 8,270 UNCH $166
     NCLH8,270UNCH$166
LUCID GROUP INC 39,171 +3,935 $165
     LCID39,171+3,935$165
TECHNIPFMC PLC 8,075 +1,025 $163
     FTI8,075+1,025$163
WEX INC 837 UNCH $163
     WEX837UNCH$163
COMFORT SYS USA INC 786 UNCH $162
     FIX786UNCH$162
BJS WHSL CLUB HLDGS INC 2,417 +236 $161
     BJ2,417+236$161
GRAND CANYON ED INC 1,218 +110 $160
     LOPE1,218+110$160
ONTO INNOVATION INC 1,039 -52 $159
     ONTO1,039-52$159
TEVA PHARMACEUTICAL INDS LTD 15,210 -6,166 $159
     TEVA15,210-6,166$159
CURTISS WRIGHT CORP 711 +102 $158
     CW711+102$158
SIMPSON MFG INC 795 +135 $157
     SSD795+135$157
TEMPUR SEALY INTL INC 3,083 +352 $157
     TPX3,083+352$157
WOODWARD INC 1,155 UNCH $157
     WWD1,155UNCH$157
MEDPACE HLDGS INC 506 UNCH $155
     MEDP506UNCH$155
PINNACLE WEST CAP CORP 2,163 +301 $155
     PNW2,163+301$155
RBC BEARINGS INC 544 +90 $155
     RBC544+90$155
WESCO INTL INC 893 UNCH $155
     WCC893UNCH$155
QUALYS INC 783 UNCH $154
     QLYS783UNCH$154
RAMBUS INC DEL 2,251 -105 $154
     RMBS2,251-105$154
LIGHT & WONDER INC 1,868 UNCH $153
     LNW1,868UNCH$153
SPS COMM INC 789 UNCH $153
     SPSC789UNCH$153
FABRINET 797 -45 $152
     FN797-45$152
TENET HEALTHCARE CORP 2,008 +145 $152
     THC2,008+145$152
APTARGROUP INC 1,216 +169 $150
     ATR1,216+169$150
ENCOMPASS HEALTH CORP 2,244 +387 $150
     EHC2,244+387$150
MICROSTRATEGY INC 237 UNCH $150
     MSTR237UNCH$150
CHURCHILL DOWNS INC 1,103 UNCH $149
     CHDN1,103UNCH$149
APPLIED INDL TECHNOLOGIES IN 859 UNCH $148
     AIT859UNCH$148
CLEAN HARBORS INC 850 UNCH $148
     CLH850UNCH$148
KINSALE CAP GROUP INC 443 UNCH $148
     KNSL443UNCH$148
TEXAS ROADHOUSE INC 1,209 +135 $148
     TXRH1,209+135$148
EASTGROUP PPTYS INC 802 +88 $147
     EGP802+88$147
LITHIA MTRS INC 446 UNCH $147
     LAD446UNCH$147
EXELIXIS INC 6,033 UNCH $145
     EXEL6,033UNCH$145
MERITAGE HOMES CORP 831 UNCH $145
     MTH831UNCH$145
PVH CORPORATION 1,188 UNCH $145
     PVH1,188UNCH$145
GENTEX CORP 4,422 +703 $144
     GNTX4,422+703$144
TAPESTRY INC 3,909 UNCH $144
     TPR3,909UNCH$144
INTEGRA LIFESCIENCES HLDGS C      $143
     NOTE 0100,000-200,000$94
     IART1,124UNCH$49
ROYAL GOLD INC 1,183 +129 $143
     RGLD1,183+129$143
SENTINELONE INC 5,219 UNCH $143
     S5,219UNCH$143
CHEMED CORP NEW 243 UNCH $142
     CHE243UNCH$142
ENSIGN GROUP INC 1,262 UNCH $142
     ENSG1,262UNCH$142
NNN REIT INC 3,306 +366 $142
     NNN3,306+366$142
NOV INC 6,990 +815 $142
     NOV6,990+815$142
NATERA INC 2,247 UNCH $141
     NTRA2,247UNCH$141
SITIME CORP 1,156 -64 $141
     SITM1,156-64$141
COMERICA INC 2,503 UNCH $140
     CMA2,503UNCH$140
COHERENT CORP 3,215 +422 $140
     COHR3,215+422$140
IMMUNOGEN INC 4,734 UNCH $140
     IMGN4,734UNCH$140
OLIN CORP 2,594 +161 $140
     OLN2,594+161$140
WINGSTOP INC 539 UNCH $138
     WING539UNCH$138
VOYA FINANCIAL INC 1,871 +306 $137
     VOYA1,871+306$137
AXALTA COATING SYS LTD 3,996 +475 $136
     AXTA3,996+475$136
FEDERAL RLTY INVT TR NEW 1,322 +153 $136
     FRT1,322+153$136
MORNINGSTAR INC 476 UNCH $136
     MORN476UNCH$136
BELLRING BRANDS INC 2,443 +444 $135
     BRBR2,443+444$135
GXO LOGISTICS INCORPORATED 2,200 UNCH $135
     GXO2,200UNCH$135
NATIONAL FUEL GAS CO 2,697 +376 $135
     NFG2,697+376$135
SHOCKWAVE MED INC 711 UNCH $135
     SWAV711UNCH$135
SOUTHWESTERN ENERGY CO 20,582 +3,223 $135
     SWN20,582+3,223$135
BRUNSWICK CORP 1,386 +276 $134
     BC1,386+276$134
AMERICOLD REALTY TRUST INC 4,411 UNCH $134
     COLD4,411UNCH$134
OGE ENERGY CORP 3,826 +622 $134
     OGE3,826+622$134
QIFU TECHNOLOGY INC 8,443 UNCH $134
     QFIN8,443UNCH$134
OSHKOSH CORP 1,231 +225 $133
     OSK1,231+225$133
BERRY GLOBAL GROUP INC 1,954 UNCH $132
     BERY1,954UNCH$132
BWX TECHNOLOGIES INC 1,716 +277 $132
     BWXT1,716+277$132
BLOCK H & R INC 2,736 +468 $132
     HRB2,736+468$132
MATADOR RES CO 2,324 UNCH $132
     MTDR2,324UNCH$132
OLD REP INTL CORP 4,480 UNCH $132
     ORI4,480UNCH$132
RANGE RES CORP 4,349 UNCH $132
     RRC4,349UNCH$132
SITEONE LANDSCAPE SUPPLY INC 809 UNCH $131
     SITE809UNCH$131
INGREDION INC 1,196 +145 $130
     INGR1,196+145$130
OMEGA HEALTHCARE INVS INC 4,235 +493 $130
     OHI4,235+493$130
ANTERO RESOURCES CORP 5,675 +869 $129
     AR5,675+869$129
ATI INC 2,839 UNCH $129
     ATI2,839UNCH$129
DUOLINGO INC 569 UNCH $129
     DUOL569UNCH$129
MATTEL INC 6,824 +1,187 $129
     MAT6,824+1,187$129
STAG INDL INC 3,251 +423 $128
     STAG3,251+423$128
DONALDSON INC 1,946 UNCH $127
     DCI1,946UNCH$127
INTRA CELLULAR THERAPIES INC 1,778 UNCH $127
     ITCI1,778UNCH$127
SMARTSHEET INC 2,651 UNCH $127
     SMAR2,651UNCH$127
BOISE CASCADE CO DEL 974 UNCH $126
     BCC974UNCH$126
BRIXMOR PPTY GROUP INC 5,420 +677 $126
     BRX5,420+677$126
MKS INSTRS INC 1,226 +285 $126
     MKSI1,226+285$126
CHARGEPOINT HOLDINGS INC 53,468 -6,725 $125
     CHPT53,468-6,725$125
CHORD ENERGY CORPORATION 752 +97 $125
     CHRD752+97$125
APPLOVIN CORP 3,120 -187 $124
     APP3,120-187$124
TKO GROUP HOLDINGS INC 1,523 +480 $124
     TKO1,523+480$124
API GROUP CORP 3,541 UNCH $123
     APG3,541UNCH$123
KBR INC 2,227 UNCH $123
     KBR2,227UNCH$123
BLUEPRINT MEDICINES CORP 1,321 UNCH $122
     BPMC1,321UNCH$122
HEXCEL CORP NEW 1,649 +324 $122
     HXL1,649+324$122
STIFEL FINL CORP 1,764 UNCH $122
     SF1,764UNCH$122
GRAPHIC PACKAGING HLDG CO 4,912 UNCH $121
     GPK4,912UNCH$121
MSA SAFETY INC 714 +131 $121
     MSA714+131$121
OPTION CARE HEALTH INC 3,592 UNCH $121
     OPCH3,592UNCH$121
AAON INC 1,618 UNCH $120
     AAON1,618UNCH$120
FTI CONSULTING INC 604 +68 $120
     FCN604+68$120
PRIMERICA INC 582 UNCH $120
     PRI582UNCH$120
SYNOVUS FINL CORP 3,194 +723 $120
     SNV3,194+723$120
UMB FINL CORP 1,434 +257 $120
     UMBF1,434+257$120
FIRST AMERN FINL CORP 1,847 +249 $119
     FAF1,847+249$119
INSIGHT ENTERPRISES INC 672 UNCH $119
     NSIT672UNCH$119
PROSPERITY BANCSHARES INC (PB) 1,751 +370 $119
     PB1,751+370$119
MUELLER INDS INC 2,498 +1,249 $118
     MLI2,498+1,249$118
SPIRIT RLTY CAP INC NEW 2,703 +529 $118
     SRC2,703+529$118
PINNACLE FINL PARTNERS INC 1,336 +193 $117
     PNFP1,336+193$117
WEATHERFORD INTL PLC 1,200 UNCH $117
     WFRD1,200UNCH$117
ATKORE INC 724 UNCH $116
     ATKR724UNCH$116
COMMERCIAL METALS CO 2,321 +491 $116
     CMC2,321+491$116
DIODES INC 1,439 UNCH $116
     DIOD1,439UNCH$116
INSPIRE MED SYS INC 572 UNCH $116
     INSP572UNCH$116
EAGLE MATLS INC 569 UNCH $115
     EXP569UNCH$115
BLUE OWL CAPITAL INC 7,732 UNCH $115
     OWL7,732UNCH$115
ACADIA HEALTHCARE COMPANY IN 1,468 UNCH $114
     ACHC1,468UNCH$114
SONOCO PRODS CO 2,033 +528 $114
     SON2,033+528$114
BALCHEM CORP 757 UNCH $113
     BCPC757UNCH$113
FEDERAL SIGNAL CORP 1,468 UNCH $113
     FSS1,468UNCH$113
SPX TECHNOLOGIES INC 1,118 UNCH $113
     SPXC1,118UNCH$113
SOUTHSTATE CORPORATION 1,339 +195 $113
     SSB1,339+195$113
VARONIS SYS INC 2,493 UNCH $113
     VRNS2,493UNCH$113
AGREE RLTY CORP 1,782 +379 $112
     ADC1,782+379$112
CHART INDS INC 818 UNCH $112
     GTLS818UNCH$112
PROCORE TECHNOLOGIES INC 1,620 UNCH $112
     PCOR1,620UNCH$112
PLANET FITNESS INC 1,530 UNCH $112
     PLNT1,530UNCH$112
SM ENERGY CO 2,901 UNCH $112
     SM2,901UNCH$112
ACADEMY SPORTS & OUTDOORS IN 1,676 -144 $111
     ASO1,676-144$111
CROCS INC 1,185 UNCH $111
     CROX1,185UNCH$111
FIRST INDL RLTY TR INC 2,107 UNCH $111
     FR2,107UNCH$111
LANDSTAR SYS INC 571 UNCH $111
     LSTR571UNCH$111
RYMAN HOSPITALITY PPTYS INC 1,011 +223 $111
     RHP1,011+223$111
TENABLE HLDGS INC 2,413 UNCH $111
     TENB2,413UNCH$111
DOLBY LABORATORIES INC 1,276 UNCH $110
     DLB1,276UNCH$110
ESSENT GROUP LTD 2,080 +452 $110
     ESNT2,080+452$110
NOVANTA INC 651 UNCH $110
     NOVT651UNCH$110
SIGNET JEWELERS LIMITED 1,030 -89 $110
     SIG1,030-89$110
MR COOPER GROUP INC 1,679 UNCH $109
     COOP1,679UNCH$109
EVERCORE INC 639 +101 $109
     EVR639+101$109
KYNDRYL HLDGS INC 5,236 UNCH $109
     KD5,236UNCH$109
MACYS INC 5,429 +1,443 $109
     M5,429+1,443$109
ASSURED GUARANTY LTD 1,440 UNCH $108
     AGO1,440UNCH$108
AFFILIATED MANAGERS GROUP IN 714 +163 $108
     AMG714+163$108
AZEK CO INC 2,812 +693 $108
     AZEK2,812+693$108
ASTRAZENECA PLC 1,615 UNCH $108
     AZN1,615UNCH$108
DXC TECHNOLOGY CO 4,661 UNCH $107
     DXC4,661UNCH$107
FULLER H B CO 1,316 UNCH $107
     FUL1,316UNCH$107
HOULIHAN LOKEY INC 893 +135 $107
     HLI893+135$107
DAVE & BUSTERS ENTMT INC 1,983 -49 $107
     PLAY1,983-49$107
RADIAN GROUP INC 3,765 UNCH $107
     RDN3,765UNCH$107
SELECTIVE INS GROUP INC 1,080 +146 $107
     SIGI1,080+146$107
LITTELFUSE INC 396 UNCH $106
     LFUS396UNCH$106
MURPHY OIL CORP 2,485 UNCH $106
     MUR2,485UNCH$106
VORNADO RLTY TR 3,754 UNCH $106
     VNO3,754UNCH$106
WESTERN UN CO 8,848 UNCH $106
     WU8,848UNCH$106
FRONTIER COMMUNICATIONS PARE 4,134 UNCH $105
     FYBR4,134UNCH$105
HEALTHEQUITY INC 1,581 UNCH $105
     HQY1,581UNCH$105
M I HOMES INC 762 UNCH $105
     MHO762UNCH$105
RH 361 +118 $105
     RH361+118$105
SCIENCE APPLICATIONS INTL CO 846 UNCH $105
     SAIC846UNCH$105
SPIRIT AEROSYSTEMS HLDGS INC 3,290 UNCH $105
     SPR3,290UNCH$105
WORKIVA INC 1,038 UNCH $105
     WK1,038UNCH$105
10X GENOMICS INC 1,850 UNCH $104
     TXG1,850UNCH$104
AGNC INVT CORP 10,547 +1,697 $103
     AGNC10,547+1,697$103
POPULAR INC 1,254 +199 $103
     BPOP1,254+199$103
ZAI LAB LTD 3,770 UNCH $103
     ZLAB3,770UNCH$103
ABERCROMBIE & FITCH CO 1,154 -375 $102
     ANF1,154-375$102
GROUP 1 AUTOMOTIVE INC 335 UNCH $102
     GPI335UNCH$102
INSTALLED BLDG PRODS INC 558 -48 $102
     IBP558-48$102
PHILLIPS EDISON & CO INC 2,783 UNCH $102
     PECO2,783UNCH$102
CADENCE BANK 3,425 +886 $101
     CADE3,425+886$101
CAPRI HOLDINGS LIMITED 2,005 UNCH $101
     CPRI2,005UNCH$101
CRISPR THERAPEUTICS AG 1,607 UNCH $101
     CRSP1,607UNCH$101
MERIT MED SYS INC 1,325 UNCH $101
     MMSI1,325UNCH$101
PERMIAN RESOURCES CORP 7,395 +1,632 $101
     PR7,395+1,632$101
DT MIDSTREAM INC 1,829 +381 $100
     DTM1,829+381$100
AMERIS BANCORP 1,862 UNCH $99
     ABCB1,862UNCH$99
MOOG INC      $99
     MOG.A683-52$99
SERVISFIRST BANCSHARES INC (SFBS) 1,488 UNCH $99
     SFBS1,488UNCH$99
THOR INDS INC 840 UNCH $99
     THO840UNCH$99
ARCOSA INC 1,182 UNCH $98
     ACA1,182UNCH$98
LINCOLN NATL CORP IND 3,625 UNCH $98
     LNC3,625UNCH$98
TD SYNNEX CORPORATION 912 +219 $98
     SNX912+219$98
ADVANCED ENERGY INDS 891 UNCH $97
     AEIS891UNCH$97
APELLIS PHARMACEUTICALS INC 1,622 UNCH $97
     APLS1,622UNCH$97
COMPANIA CERVECERIAS UNIDAS 7,701 +5,170 $97
     CCU7,701+5,170$97
VAXCYTE INC 1,538 UNCH $97
     PCVX1,538UNCH$97
ALTAIR ENGR INC 1,143 UNCH $96
     ALTR1,143UNCH$96
EXPONENT INC 1,092 UNCH $96
     EXPO1,092UNCH$96
IRIDIUM COMMUNICATIONS INC 2,331 UNCH $96
     IRDM2,331UNCH$96
SPROUTS FMRS MKT INC 2,004 +534 $96
     SFM2,004+534$96
ELEMENT SOLUTIONS INC 4,090 +747 $95
     ESI4,090+747$95
AZENTA INC 1,439 -129 $94
     AZTA1,439-129$94
ESSENTIAL PPTYS RLTY TR INC 3,674 UNCH $94
     EPRT3,674UNCH$94
GITLAB INC 1,498 UNCH $94
     GTLB1,498UNCH$94
PERRIGO CO PLC 2,932 UNCH $94
     PRGO2,932UNCH$94
ASBURY AUTOMOTIVE GROUP INC 413 -35 $93
     ABG413-35$93
AXCELIS TECHNOLOGIES INC 717 UNCH $93
     ACLS717UNCH$93
CARVANA CO 1,765 -227 $93
     CVNA1,765-227$93
DOUBLEVERIFY HLDGS INC 2,522 UNCH $93
     DV2,522UNCH$93
ESAB CORPORATION 1,077 +273 $93
     ESAB1,077+273$93
FLUOR CORP NEW 2,370 UNCH $93
     FLR2,370UNCH$93
MARATHON DIGITAL HOLDINGS IN 3,964 UNCH $93
     MARA3,964UNCH$93
MOELIS & CO 1,663 UNCH $93
     MC1,663UNCH$93
MSC INDL DIRECT INC 917 +221 $93
     MSM917+221$93
MASTEC INC 1,222 UNCH $93
     MTZ1,222UNCH$93
NOBLE CORP PLC 1,937 +351 $93
     NE1,937+351$93
SIMPLY GOOD FOODS CO 2,338 UNCH $93
     SMPL2,338UNCH$93
HELMERICH & PAYNE INC 2,540 UNCH $92
     HP2,540UNCH$92
RYDER SYS INC 803 +142 $92
     R803+142$92
RITHM CAPITAL CORP 8,568 +1,460 $92
     RITM8,568+1,460$92
RAYONIER INC 2,743 +702 $92
     RYN2,743+702$92
TERADATA CORP DEL 2,124 UNCH $92
     TDC2,124UNCH$92
FLOWERS FOODS INC 4,060 +1,031 $91
     FLO4,060+1,031$91
HAEMONETICS CORP MASS 1,069 UNCH $91
     HAE1,069UNCH$91
KB HOME 1,452 +407 $91
     KBH1,452+407$91
MACERICH CO 5,919 UNCH $91
     MAC5,919UNCH$91
TRI POINTE HOMES INC 2,564 UNCH $91
     TPH2,564UNCH$91
VALLEY NATL BANCORP 8,374 +2,505 $91
     VLY8,374+2,505$91
CHAMPIONX CORPORATION 3,097 UNCH $90
     CHX3,097UNCH$90
COCA COLA CONS INC 97 UNCH $90
     COKE97UNCH$90
GOODYEAR TIRE & RUBR CO 6,285 +1,544 $90
     GT6,285+1,544$90
NEXSTAR MEDIA GROUP INC 574 UNCH $90
     NXST574UNCH$90
RALPH LAUREN CORP 622 UNCH $90
     RL622UNCH$90
DORMAN PRODS INC 1,067 UNCH $89
     DORM1,067UNCH$89
ENERSYS 884 UNCH $89
     ENS884UNCH$89
GAMESTOP CORP NEW 5,074 UNCH $89
     GME5,074UNCH$89
BANK OZK LITTLE ROCK ARK 1,783 UNCH $89
     OZK1,783UNCH$89
TRANSOCEAN LTD 14,005 UNCH $89
     RIG14,005UNCH$89
UNITED BANKSHARES INC WEST V (UBSI) 2,364 +439 $89
     UBSI2,364+439$89
YETI HLDGS INC 1,710 UNCH $89
     YETI1,710UNCH$89
ALKERMES PLC 3,157 UNCH $88
     ALKS3,157UNCH$88
CEREVEL THERAPEUTICS HLDNG I 2,068 +953 $88
     CERE2,068+953$88
NEOGEN CORP 4,392 UNCH $88
     NEOG4,392UNCH$88
SYNAPTICS INC 774 +240 $88
     SYNA774+240$88
UNITED CMNTY BKS BLAIRSVLE G 3,006 UNCH $88
     UCBI3,006UNCH$88
ENCORE WIRE CORP 414 -40 $88
     WIRE414-40$88
CHEMOURS CO 2,766 UNCH $87
     CC2,766UNCH$87
CIVITAS RESOURCES INC 1,269 UNCH $87
     CIVI1,269UNCH$87
OLD NATL BANCORP IND 5,171 +962 $87
     ONB5,171+962$87
PIPER SANDLER COMPANIES 500 UNCH $87
     PIPR500UNCH$87
YELP INC 1,839 UNCH $87
     YELP1,839UNCH$87
COGENT COMMUNICATIONS HLDGS 1,137 UNCH $86
     CCOI1,137UNCH$86
CVB FINL CORP 4,246 UNCH $86
     CVBF4,246UNCH$86
EQUITRANS MIDSTREAM CORP 8,476 UNCH $86
     ETRN8,476UNCH$86
GAP INC 4,112 +4,112 $86
     GPS4,112+4,112$86
INDEPENDENT BK CORP MASS 1,308 UNCH $86
     INDB1,308UNCH$86
INTEGER HLDGS CORP 872 UNCH $86
     ITGR872UNCH$86
AXOS FINANCIAL INC 1,565 UNCH $85
     AX1,565UNCH$85
BLACKBAUD INC 975 UNCH $85
     BLKB975UNCH$85
CARPENTER TECHNOLOGY CORP 1,194 -106 $85
     CRS1,194-106$85
DYCOM INDS INC 739 UNCH $85
     DY739UNCH$85
EURONET WORLDWIDE INC 840 -200,000 $85
     EEFT840UNCH$85
KORN FERRY 1,424 UNCH $85
     KFY1,424UNCH$85
ONEMAIN HLDGS INC 1,727 UNCH $85
     OMF1,727UNCH$85
MADDEN STEVEN LTD 2,035 UNCH $85
     SHOO2,035UNCH$85
ALARM COM HLDGS INC 1,301 UNCH $84
     ALRM1,301UNCH$84
FIRST BANCORP P R 5,114 UNCH $84
     FBP5,114UNCH$84
INNOSPEC INC 678 UNCH $84
     IOSP678UNCH$84
ENPRO INC 534 UNCH $84
     NPO534UNCH$84
RLI CORP 630 UNCH $84
     RLI630UNCH$84
ACADIA PHARMACEUTICALS INC 2,659 UNCH $83
     ACAD2,659UNCH$83
BANK HAWAII CORP 1,145 -126 $83
     BOH1,145-126$83
CABOT CORP 993 +201 $83
     CBT993+201$83
CONCENTRIX CORP 850 +233 $83
     CNXC850+233$83
GLAUKOS CORP 1,041 -117 $83
     GKOS1,041-117$83
HERC HLDGS INC 557 UNCH $83
     HRI557UNCH$83
KONTOOR BRANDS INC 1,330 -134 $83
     KTB1,330-134$83
MGIC INVT CORP WIS 4,290 UNCH $83
     MTG4,290UNCH$83
OTTER TAIL CORP 976 UNCH $83
     OTTR976UNCH$83
TAYLOR MORRISON HOME CORP 1,559 UNCH $83
     TMHC1,559UNCH$83
ATLANTIC UN BANKSHARES CORP (AUB) 2,234 UNCH $82
     AUB2,234UNCH$82
ESCO TECHNOLOGIES INC 698 UNCH $82
     ESE698UNCH$82
FIRST HAWAIIAN INC 3,575 UNCH $82
     FHB3,575UNCH$82
FULTON FINL CORP PA 4,963 UNCH $82
     FULT4,963UNCH$82
HILLENBRAND INC 1,712 UNCH $82
     HI1,712UNCH$82
PACIFIC PREMIER BANCORP 2,830 UNCH $82
     PPBI2,830UNCH$82
ALBANY INTL CORP 821 UNCH $81
     AIN821UNCH$81
ALLISON TRANSMISSION HLDGS I 1,397 UNCH $81
     ALSN1,397UNCH$81
AEROVIRONMENT INC 643 -54 $81
     AVAV643-54$81
BEACON ROOFING SUPPLY INC 933 +185 $81
     BECN933+185$81
CALIFORNIA RES CORP 1,479 UNCH $81
     CRC1,479UNCH$81
FLOWSERVE CORP 1,959 UNCH $81
     FLS1,959UNCH$81
FRESHWORKS INC 3,440 UNCH $81
     FRSH3,440UNCH$81
HUB GROUP INC 884 UNCH $81
     HUBG884UNCH$81
NCR VOYIX CORPORATION 2,995 UNCH $81
     NCR2,995UNCH$81
POLARIS INC 853 UNCH $81
     PII853UNCH$81
SILGAN HLDGS INC 1,783 +519 $81
     SLGN1,783+519$81
TIMKEN CO 1,013 UNCH $81
     TKR1,013UNCH$81
WD 40 CO 337 -33 $81
     WDFC337-33$81
ANTERO MIDSTREAM CORP 6,414 +1,655 $80
     AM6,414+1,655$80
ALPHA METALLURGICAL RESOUR I 235 +82 $80
     AMR235+82$80
ARTISAN PARTNERS ASSET MGMT 1,805 UNCH $80
     APAM1,805UNCH$80
BOX INC 3,113 UNCH $80
     BOX3,113UNCH$80
FORMFACTOR INC 1,910 -194 $80
     FORM1,910-194$80
GMS INC 976 UNCH $80
     GMS976UNCH$80
GENWORTH FINL INC 11,925 -1,273 $80
     GNW11,925-1,273$80
M D C HLDGS INC 1,444 UNCH $80
     MDC1,444UNCH$80
PLEXUS CORP 738 UNCH $80
     PLXS738UNCH$80
PATTERSON UTI ENERGY INC 7,451 +1,812 $80
     PTEN7,451+1,812$80
QUIDELORTHO CORP 1,082 +230 $80
     QDEL1,082+230$80
ABM INDS INC 1,752 UNCH $79
     ABM1,752UNCH$79
ACI WORLDWIDE INC 2,591 UNCH $79
     ACIW2,591UNCH$79
AGILON HEALTH INC 6,313 UNCH $79
     AGL6,313UNCH$79
KULICKE & SOFFA INDS INC 1,437 UNCH $79
     KLIC1,437UNCH$79
PBF ENERGY INC 1,804 UNCH $79
     PBF1,804UNCH$79
PRESTIGE CONSMR HEALTHCARE I 1,295 UNCH $79
     PBH1,295UNCH$79
PORTLAND GEN ELEC CO 1,827 +529 $79
     POR1,827+529$79
VALARIS LTD 1,151 +229 $79
     VAL1,151+229$79
WSFS FINL CORP 1,713 UNCH $79
     WSFS1,713UNCH$79
WARRIOR MET COAL INC 1,281 -247 $78
     HCC1,281-247$78
SL GREEN RLTY CORP 1,725 -196 $78
     SLG1,725-196$78
UNIFIRST CORP MASS 425 UNCH $78
     UNF425UNCH$78
VERRA MOBILITY CORP 3,371 UNCH $78
     VRRM3,371UNCH$78
ARMSTRONG WORLD INDS INC NEW 784 +169 $77
     AWI784+169$77
BRADY CORP 1,315 UNCH $77
     BRC1,315UNCH$77
COMMUNITY BK SYS INC 1,469 UNCH $77
     CBU1,469UNCH$77
CONSOL ENERGY INC NEW 765 -198 $77
     CEIX765-198$77
CAVCO INDS INC DEL 223 UNCH $77
     CVCO223UNCH$77
EXLSERVICE HOLDINGS INC 2,505 UNCH $77
     EXLS2,505UNCH$77
JOHN BEAN TECHNOLOGIES CORP 771 UNCH $77
     JBT771UNCH$77
MAXIMUS INC 918 UNCH $77
     MMS918UNCH$77
PENN ENTERTAINMENT INC 2,954 UNCH $77
     PENN2,954UNCH$77
TELADOC HEALTH INC 3,550 UNCH $77
     TDOC3,550UNCH$77
CENTURY CMNTYS INC 836 UNCH $76
     CCS836UNCH$76
CORCEPT THERAPEUTICS INC 2,326 -285 $76
     CORT2,326-285$76
EVOLENT HEALTH INC 2,308 UNCH $76
     EVH2,308UNCH$76
HARLEY DAVIDSON INC 2,067 UNCH $76
     HOG2,067UNCH$76
IDACORP INC 770 UNCH $76
     IDA770UNCH$76
LXP INDUSTRIAL TRUST 7,666 UNCH $76
     LXP7,666UNCH$76
LIVERAMP HLDGS INC 2,011 UNCH $76
     RAMP2,011UNCH$76
ULTRAGENYX PHARMACEUTICAL IN 1,584 UNCH $76
     RARE1,584UNCH$76
ROIVANT SCIENCES LTD 6,767 -774 $76
     ROIV6,767-774$76
HANOVER INS GROUP INC 630 +120 $76
     THG630+120$76
ARCBEST CORP 622 -62 $75
     ARCB622-62$75
AMER STATES WTR CO 937 UNCH $75
     AWR937UNCH$75
BLACKLINE INC 1,199 UNCH $75
     BL1,199UNCH$75
AVIS BUDGET GROUP 424 UNCH $75
     CAR424UNCH$75
CHOICE HOTELS INTL INC 665 +189 $75
     CHH665+189$75
KITE RLTY GROUP TR 3,301 UNCH $75
     KRG3,301UNCH$75
LGI HOMES INC 564 UNCH $75
     LGIH564UNCH$75
NEWMARKET CORP 137 +42 $75
     NEU137+42$75
RESIDEO TECHNOLOGIES INC 3,961 UNCH $75
     REZI3,961UNCH$75
WIX COM LTD 608 UNCH $75
     WIX608UNCH$75
WHITE MTNS INS GROUP LTD 50 +14 $75
     WTM50+14$75
ADTALEM GLOBAL ED INC 1,254 -246 $74
     ATGE1,254-246$74
AXONICS INC 1,197 UNCH $74
     AXNX1,197UNCH$74
BIOHAVEN LTD 1,724 +693 $74
     BHVN1,724+693$74
FIRSTCASH HOLDINGS INC 682 +134 $74
     FCFS682+134$74
GRIFFON CORP 1,210 -158 $74
     GFF1,210-158$74
INNOVATIVE INDL PPTYS INC 733 -90 $74
     IIPR733-90$74
IRHYTHM TECHNOLOGIES INC 693 UNCH $74
     IRTC693UNCH$74
QUAKER HOUGHTON 348 UNCH $74
     KWR348UNCH$74
MATERION CORP 571 UNCH $74
     MTRN571UNCH$74
RXO INC 3,165 UNCH $74
     RXO3,165UNCH$74
SANMINA CORPORATION 1,443 UNCH $74
     SANM1,443UNCH$74
TANGER INC 2,678 -293 $74
     SKT2,678-293$74
VALVOLINE INC 1,982 UNCH $74
     VVV1,982UNCH$74
APPFOLIO INC 421 UNCH $73
     APPF421UNCH$73
EVERTEC INC 1,794 UNCH $73
     EVTC1,794UNCH$73
INARI MED INC 1,119 UNCH $73
     NARI1,119UNCH$73
PENNYMAC FINL SVCS INC NEW 828 +277 $73
     PFSI828+277$73
GIBRALTAR INDS INC 929 UNCH $73
     ROCK929UNCH$73
SEACOAST BKG CORP FLA 2,558 UNCH $73
     SBCF2,558UNCH$73
SPROUT SOCIAL INC 1,182 UNCH $73
     SPT1,182UNCH$73
ALLETE INC 1,172 +393 $72
     ALE1,172+393$72
ASGN INC 749 UNCH $72
     ASGN749UNCH$72
CASELLA WASTE SYS INC 843 UNCH $72
     CWST843UNCH$72
F N B CORP 5,224 UNCH $72
     FNB5,224UNCH$72
HOME BANCSHARES INC (HOMB) 2,841 UNCH $72
     HOMB2,841UNCH$72
KOHLS CORP 2,502 +651 $72
     KSS2,502+651$72
RYAN SPECIALTY HOLDINGS INC 1,671 +476 $72
     RYAN1,671+476$72
SHAKE SHACK INC 972 UNCH $72
     SHAK972UNCH$72
CORVEL CORP 286 UNCH $71
     CRVL286UNCH$71
AMICUS THERAPEUTICS INC 5,024 UNCH $71
     FOLD5,024UNCH$71
FTAI AVIATION LTD 1,527 UNCH $71
     FTAI1,527UNCH$71
J & J SNACK FOODS CORP 423 UNCH $71
     JJSF423UNCH$71
MINERALS TECHNOLOGIES INC 1,000 UNCH $71
     MTX1,000UNCH$71
EPLUS INC 890 UNCH $71
     PLUS890UNCH$71
POWER INTEGRATIONS INC 869 UNCH $71
     POWI869UNCH$71
SIMMONS 1ST NATL CORP 3,603 UNCH $71
     SFNC3,603UNCH$71
ARBOR REALTY TRUST INC 4,599 UNCH $70
     ABR4,599UNCH$70
ARROWHEAD PHARMACEUTICALS IN 2,275 UNCH $70
     ARWR2,275UNCH$70
AVISTA CORP 1,961 UNCH $70
     AVA1,961UNCH$70
BRINKS CO 798 +184 $70
     BCO798+184$70
BANKUNITED INC 2,145 -268 $70
     BKU2,145-268$70
BLOOMIN BRANDS INC 2,484 UNCH $70
     BLMN2,484UNCH$70
ENDEAVOR GROUP HLDGS INC 2,929 UNCH $70
     EDR2,929UNCH$70
GRANITE CONSTR INC 1,383 UNCH $70
     GVA1,383UNCH$70
OLLIES BARGAIN OUTLET HLDGS 928 UNCH $70
     OLLI928UNCH$70
SITE CTRS CORP 5,150 UNCH $70
     SITC5,150UNCH$70
TRINET GROUP INC 587 UNCH $70
     TNET587UNCH$70
COMMVAULT SYS INC 860 UNCH $69
     CVLT860UNCH$69
DIGITALBRIDGE GROUP INC 3,912 UNCH $69
     DBRG3,912UNCH$69
MP MATERIALS CORP 3,487 +964 $69
     MP3,487+964$69
NMI HLDGS INC 2,329 UNCH $69
     NMIH2,329UNCH$69
PAR PAC HOLDINGS INC 1,905 UNCH $69
     PARR1,905UNCH$69
PGT INNOVATIONS INC 1,685 -226 $69
     PGTI1,685-226$69
AVNET INC 1,349 UNCH $68
     AVT1,349UNCH$68
BILIBILI INC 5,597 -204,279 $68
     BILI5,597-4,279$68
GLACIER BANCORP INC NEW 1,636 UNCH $68
     GBCI1,636UNCH$68
HANNON ARMSTRONG SUST INFR C 2,458 UNCH $68
     HASI2,458UNCH$68
HILTON GRAND VACATIONS INC 1,684 UNCH $68
     HGV1,684UNCH$68
KOSMOS ENERGY LTD 10,103 UNCH $68
     KOS10,103UNCH$68
MYR GROUP INC DEL 470 UNCH $68
     MYRG470UNCH$68
PENSKE AUTOMOTIVE GRP INC 426 +142 $68
     PAG426+142$68
PROGYNY INC 1,836 UNCH $68
     PGNY1,836UNCH$68
WAFD INC 2,071 UNCH $68
     WAFD2,071UNCH$68
ALAMO GROUP INC 318 UNCH $67
     ALG318UNCH$67
CIRRUS LOGIC INC 809 UNCH $67
     CRUS809UNCH$67
DOXIMITY INC 2,381 UNCH $67
     DOCS2,381UNCH$67
FIRST FINL BANCORP OH 2,817 UNCH $67
     FFBC2,817UNCH$67
HECLA MNG CO 13,895 +3,209 $67
     HL13,895+3,209$67
HAMILTON LANE INC 595 UNCH $67
     HLNE595UNCH$67
STRIDE INC 1,122 -247 $67
     LRN1,122-247$67
PARK HOTELS & RESORTS INC 4,377 +1,503 $67
     PK4,377+1,503$67
PARK NATL CORP 505 UNCH $67
     PRK505UNCH$67
STERICYCLE INC 1,344 UNCH $67
     SRCL1,344UNCH$67
SUMMIT MATLS INC 1,736 UNCH $67
     SUM1,736UNCH$67
SOUTHWEST GAS HLDGS INC 1,055 UNCH $67
     SWX1,055UNCH$67
UNDER ARMOUR INC 7,635 +7,635 $67
     UAA7,635+7,635$67
UPSTART HLDGS INC 1,646 UNCH $67
     UPST1,646UNCH$67
ARCHROCK INC 4,308 -508 $66
     AROC4,308-508$66
ALTERYX INC 1,390 UNCH $66
     AYX1,390UNCH$66
INDEPENDENT BANK GROUP INC 1,304 UNCH $66
     IBTX1,304UNCH$66
ST JOE CO 1,092 UNCH $66
     JOE1,092UNCH$66
MARQETA INC 9,516 +3,517 $66
     MQ9,516+3,517$66
STONEX GROUP INC 894 +298 $66
     SNEX894+298$66
URBAN EDGE PPTYS 3,617 UNCH $66
     UE3,617UNCH$66
WINNEBAGO INDS INC 910 UNCH $66
     WGO910UNCH$66
AIR LEASE CORP 1,545 UNCH $65
     AL1,545UNCH$65
ASSOCIATED BANC CORP 3,042 +1,225 $65
     ASB3,042+1,225$65
AXIS CAP HLDGS LTD 1,179 UNCH $65
     AXS1,179UNCH$65
CUSTOMERS BANCORP INC 1,136 -159 $65
     CUBI1,136-159$65
HUNTSMAN CORP 2,589 UNCH $65
     HUN2,589UNCH$65
PROGRESS SOFTWARE CORP 1,196 UNCH $65
     PRGS1,196UNCH$65
RIOT PLATFORMS INC 4,219 -560 $65
     RIOT4,219-560$65
RINGCENTRAL INC 1,915 UNCH $65
     RNG1,915UNCH$65
REVOLUTION MEDICINES INC 2,261 +1,034 $65
     RVMD2,261+1,034$65
SKYLINE CHAMPION CORPORATION 882 UNCH $65
     SKY882UNCH$65
ASHLAND INC 757 UNCH $64
     ASH757UNCH$64
GUARDANT HEALTH INC 2,378 UNCH $64
     GH2,378UNCH$64
NEW JERSEY RES CORP 1,431 UNCH $64
     NJR1,431UNCH$64
OFG BANCORP 1,696 UNCH $64
     OFG1,696UNCH$64
O I GLASS INC 3,910 UNCH $64
     OI3,910UNCH$64
OCEANEERING INTL INC 3,018 UNCH $64
     OII3,018UNCH$64
OSI SYSTEMS INC 493 UNCH $64
     OSIS493UNCH$64
PHOTRONICS INC 2,049 UNCH $64
     PLAB2,049UNCH$64
SILICON LABORATORIES INC 481 UNCH $64
     SLAB481UNCH$64
TEXAS CAP BANCSHARES INC (TCBI) 995 +404 $64
     TCBI995+404$64
CREDIT ACCEP CORP MICH 119 UNCH $63
     CACC119UNCH$63
DIAMONDROCK HOSPITALITY CO 6,692 UNCH $63
     DRH6,692UNCH$63
KEMPER CORP 1,299 UNCH $63
     KMPR1,299UNCH$63
LUMENTUM HLDGS INC      $63
     LITE1,195UNCH$63
     NOTE 00UNCH$0
RADNET INC 1,814 UNCH $63
     RDNT1,814UNCH$63
RENASANT CORP 1,861 UNCH $63
     RNST1,861UNCH$63
SUNSTONE HOTEL INVS INC NEW 5,869 UNCH $63
     SHO5,869UNCH$63
SCOTTS MIRACLE GRO CO 990 UNCH $63
     SMG990UNCH$63
STRATEGIC ED INC 681 -82 $63
     STRA681-82$63
ZURN ELKAY WATER SOLNS CORP 2,133 UNCH $63
     ZWS2,133UNCH$63
AAR CORP 996 UNCH $62
     AIR996UNCH$62
AMN HEALTHCARE SVCS INC 832 -107 $62
     AMN832-107$62
FIRST FINL BANKSHARES INC (FFIN) 2,056 UNCH $62
     FFIN2,056UNCH$62
TRIUMPH FINANCIAL INC 770 UNCH $62
     TFIN770UNCH$62
VIAVI SOLUTIONS INC 6,136 UNCH $62
     VIAV6,136UNCH$62
BANCFIRST CORP 626 UNCH $61
     BANF626UNCH$61
BANNER CORP 1,134 UNCH $61
     BANR1,134UNCH$61
CUSHMAN WAKEFIELD PLC 5,684 UNCH $61
     CWK5,684UNCH$61
ENSTAR GROUP LIMITED 208 +82 $61
     ESGR208+82$61
LAKELAND FINL CORP 937 UNCH $61
     LKFN937UNCH$61
NBT BANCORP INC 1,459 UNCH $61
     NBTB1,459UNCH$61
INSPERITY INC 521 UNCH $61
     NSP521UNCH$61
STEPAN CO 649 UNCH $61
     SCL649UNCH$61
STEWART INFORMATION SVCS COR 1,043 UNCH $61
     STC1,043UNCH$61
TRANSMEDICS GROUP INC 767 UNCH $61
     TMDX767UNCH$61
TRINITY INDS INC 2,303 UNCH $61
     TRN2,303UNCH$61
AMPHASTAR PHARMACEUTICALS IN 971 -131 $60
     AMPH971-131$60
CAL MAINE FOODS INC 1,052 -223 $60
     CALM1,052-223$60
CARETRUST REIT INC 2,661 -318 $60
     CTRE2,661-318$60
FEDERATED HERMES INC 1,784 +686 $60
     FHI1,784+686$60
MADRIGAL PHARMACEUTICALS INC 259 -37 $60
     MDGL259-37$60
PERFICIENT INC 907 UNCH $60
     PRFT907UNCH$60
STANDEX INTL CORP 376 UNCH $60
     SXI376UNCH$60
CENTRAL GARDEN & PET CO 1,336 -206 $59
     CENTA1,336-206$59
DONNELLEY FINL SOLUTIONS INC 943 UNCH $59
     DFIN943UNCH$59
DUN & BRADSTREET HLDGS INC 5,026 UNCH $59
     DNB5,026UNCH$59
ENERPAC TOOL GROUP CORP 1,885 UNCH $59
     EPAC1,885UNCH$59
HASHICORP INC 2,487 +1,004 $59
     HCP2,487+1,004$59
JBG SMITH PPTYS 3,443 UNCH $59
     JBGS3,443UNCH$59
KNIFE RIVER CORP 889 +889 $59
     KNF889+889$59
KRYSTAL BIOTECH INC 473 UNCH $59
     KRYS473UNCH$59
ORGANON & CO 4,085 UNCH $59
     OGN4,085UNCH$59
OUTFRONT MEDIA INC 4,192 UNCH $59
     OUT4,192UNCH$59
PATRICK INDS INC 588 -89 $59
     PATK588-89$59
PRICESMART INC 778 UNCH $59
     PSMT778UNCH$59
TRUSTMARK CORP 2,113 UNCH $59
     TRMK2,113UNCH$59
VIRTUS INVT PARTNERS INC 245 UNCH $59
     VRTS245UNCH$59
WESTAMERICA BANCORPORATION 1,043 UNCH $59
     WABC1,043UNCH$59
C3 AI INC 2,034 UNCH $58
     AI2,034UNCH$58
ALIGHT INC 6,782 UNCH $58
     ALIT6,782UNCH$58
CITY HLDG CO 526 UNCH $58
     CHCO526UNCH$58
DYNAVAX TECHNOLOGIES CORP 4,159 UNCH $58
     DVAX4,159UNCH$58
HOPE BANCORP INC 4,794 UNCH $58
     HOPE4,794UNCH$58
IQIYI INC 11,896 UNCH $58
     IQ11,896UNCH$58
PRIVIA HEALTH GROUP INC 2,514 -344 $58
     PRVA2,514-344$58
REMITLY GLOBAL INC 2,991 UNCH $58
     RELY2,991UNCH$58
RHYTHM PHARMACEUTICALS INC 1,263 +452 $58
     RYTM1,263+452$58
BANCORP INC DEL 1,517 -186 $58
     TBBK1,517-186$58
VEECO INSTRS INC DEL 1,865 UNCH $58
     VECO1,865UNCH$58
CLEARWAY ENERGY INC      $57
     CWEN.A2,221+2,221$57
EXTREME NETWORKS 3,214 UNCH $57
     EXTR3,214UNCH$57
FB FINL CORP 1,438 UNCH $57
     FBK1,438UNCH$57
G III APPAREL GROUP LTD 1,684 -253 $57
     GIII1,684-253$57
HELIX ENERGY SOLUTIONS GRP I 5,578 UNCH $57
     HLX5,578UNCH$57
HANCOCK WHITNEY CORPORATION 1,180 UNCH $57
     HWC1,180UNCH$57
KENNAMETAL INC 2,229 UNCH $57
     KMT2,229UNCH$57
LUFAX HOLDING LTD 18,657 -55,972 $57
     LU18,657-55,972$57
MASTERBRAND INC 3,844 -543 $57
     MBC3,844-543$57
MAGNOLIA OIL & GAS CORP 2,685 UNCH $57
     MGY2,685UNCH$57
MODINE MFG CO 949 +949 $57
     MOD949+949$57
POTLATCHDELTIC CORPORATION 1,158 UNCH $57
     PCH1,158UNCH$57
ROGERS CORP 433 UNCH $57
     ROG433UNCH$57
SABRA HEALTH CARE REIT INC 3,980 +1,059 $57
     SBRA3,980+1,059$57
SLM CORP 2,986 UNCH $57
     SLM2,986UNCH$57
TREEHOUSE FOODS INC 1,379 UNCH $57
     THS1,379UNCH$57
VICTORIAS SECRET AND CO 2,153 -309 $57
     VSCO2,153-309$57
ADIENT PLC 1,537 UNCH $56
     ADNT1,537UNCH$56
AGILYSYS INC 658 -86 $56
     AGYS658-86$56
ACADIA RLTY TR 3,285 UNCH $56
     AKR3,285UNCH$56
BRAZE INC 1,051 +504 $56
     BRZE1,051+504$56
CARGURUS INC 2,327 -332 $56
     CARG2,327-332$56
CSW INDUSTRIALS INC 271 +85 $56
     CSWI271+85$56
FIRST COMWLTH FINL CORP PA 3,616 UNCH $56
     FCF3,616UNCH$56
HILLTOP HOLDINGS INC 1,598 UNCH $56
     HTH1,598UNCH$56
IMMUNOVANT INC 1,324 +406 $56
     IMVT1,324+406$56
JACKSON FINANCIAL INC 1,087 UNCH $56
     JXN1,087UNCH$56
KADANT INC 199 +57 $56
     KAI199+57$56
MIRATI THERAPEUTICS INC 955 UNCH $56
     MRTX955UNCH$56
RETAIL OPPORTUNITY INVTS COR 3,973 UNCH $56
     ROIC3,973UNCH$56
RED ROCK RESORTS INC 1,055 +486 $56
     RRR1,055+486$56
TENNANT CO 599 UNCH $56
     TNC599UNCH$56
ALLEGRO MICROSYSTEMS INC 1,812 +764 $55
     ALGM1,812+764$55
AXSOME THERAPEUTICS INC 687 -109 $55
     AXSM687-109$55
CHEESECAKE FACTORY INC 1,580 UNCH $55
     CAKE1,580UNCH$55
ENOVA INTL INC 995 UNCH $55
     ENVA995UNCH$55
FIRST BANCORP N C 1,473 UNCH $55
     FBNC1,473UNCH$55
IRONWOOD PHARMACEUTICALS INC 4,768 UNCH $55
     IRWD4,768UNCH$55
JANUS HENDERSON GROUP PLC 1,836 UNCH $55
     JHG1,836UNCH$55
LIBERTY ENERGY INC 3,010 +1,088 $55
     LBRT3,010+1,088$55
MDU RES GROUP INC 2,780 UNCH $55
     MDU2,780UNCH$55
NAVIENT CORPORATION 2,963 UNCH $55
     NAVI2,963UNCH$55
NEOGENOMICS INC 3,403 -394 $55
     NEO3,403-394$55
INTELLIA THERAPEUTICS INC 1,793 UNCH $55
     NTLA1,793UNCH$55
NORTHWEST BANCSHARES INC MD (NWBI) 4,372 UNCH $55
     NWBI4,372UNCH$55
THE ODP CORP 976 -164 $55
     ODP976-164$55
SCHRODINGER INC 1,528 UNCH $55
     SDGR1,528UNCH$55
SYLVAMO CORP 1,115 -148 $55
     SLVM1,115-148$55
SONOS INC 3,182 -481 $55
     SONO3,182-481$55
URANIUM ENERGY CORP 8,529 +2,297 $55
     UEC8,529+2,297$55
BREAD FINANCIAL HOLDINGS INC 1,649 UNCH $54
     BFH1,649UNCH$54
BOOT BARN HLDGS INC 709 -100 $54
     BOOT709-100$54
CALLON PETE CO DEL 1,668 UNCH $54
     CPE1,668UNCH$54
CHESAPEAKE UTILS CORP 514 UNCH $54
     CPK514UNCH$54
DANA INC 3,729 UNCH $54
     DAN3,729UNCH$54
BRINKER INTL INC 1,255 -201 $54
     EAT1,255-201$54
FASTLY INC 3,045 +1,299 $54
     FSLY3,045+1,299$54
MILLERKNOLL INC 2,038 -849 $54
     MLKN2,038-849$54
SIX FLAGS ENTMT CORP NEW 2,171 UNCH $54
     SIX2,171UNCH$54
TG THERAPEUTICS INC 3,146 UNCH $54
     TGTX3,146UNCH$54
VERACYTE INC 1,957 +884 $54
     VCYT1,957+884$54
AMERICAN EQTY INVT LIFE HLD 944 -713 $53
     AEL944-713$53
ANDERSONS INC 915 -148 $53
     ANDE915-148$53
CATHAY GEN BANCORP 1,181 +397 $53
     CATY1,181+397$53
CATALYST PHARMACEUTICALS INC 3,157 -518 $53
     CPRX3,157-518$53
DENALI THERAPEUTICS INC 2,465 UNCH $53
     DNLI2,465UNCH$53
EDGEWELL PERS CARE CO 1,456 UNCH $53
     EPC1,456UNCH$53
PACIFIC BIOSCIENCES CALIF IN 5,428 UNCH $53
     PACB5,428UNCH$53
TALOS ENERGY INC 3,705 UNCH $53
     TALO3,705UNCH$53
URBAN OUTFITTERS INC 1,493 -204 $53
     URBN1,493-204$53
APOLLO COML REAL EST FIN INC 4,440 UNCH $52
     ARI4,440UNCH$52
DIGITALOCEAN HLDGS INC 1,420 UNCH $52
     DOCN1,420UNCH$52
OPENLANE INC 3,516 UNCH $52
     KAR3,516UNCH$52
KNOWLES CORP 2,922 UNCH $52
     KN2,922UNCH$52
NUVALENT INC 713 +713 $52
     NUVL713+713$52
OPENDOOR TECHNOLOGIES INC 11,514 UNCH $52
     OPEN11,514UNCH$52
OXFORD INDS INC 517 UNCH $52
     OXM517UNCH$52
READY CAPITAL CORP 5,070 UNCH $52
     RC5,070UNCH$52
TELEPHONE & DATA SYS INC 2,845 -533 $52
     TDS2,845-533$52
GENTHERM INC 1,000 UNCH $52
     THRM1,000UNCH$52
VERICEL CORP 1,452 UNCH $52
     VCEL1,452UNCH$52
XENIA HOTELS & RESORTS INC 3,808 UNCH $52
     XHR3,808UNCH$52
ADDUS HOMECARE CORP 546 UNCH $51
     ADUS546UNCH$51
BLACK HILLS CORP 949 UNCH $51
     BKH949UNCH$51
PATHWARD FINANCIAL INC 972 UNCH $51
     CASH972UNCH$51
CERTARA INC 2,917 -501 $51
     CERT2,917-501$51
COUSINS PPTYS INC 2,086 UNCH $51
     CUZ2,086UNCH$51
CORECIVIC INC 3,482 -965 $51
     CXW3,482-965$51
EPR PPTYS 1,043 UNCH $51
     EPR1,043UNCH$51
HANESBRANDS INC 11,369 UNCH $51
     HBI11,369UNCH$51
JACK IN THE BOX INC 619 UNCH $51
     JACK619UNCH$51
MAXLINEAR INC 2,134 UNCH $51
     MXL2,134UNCH$51
SUNNOVA ENERGY INTL INC. 3,316 -398,549 $51
     NOVA3,316+1,451$51
NV5 GLOBAL INC 462 UNCH $51
     NVEE462UNCH$51
ONE GAS INC 806 UNCH $51
     OGS806UNCH$51
SURGERY PARTNERS INC 1,593 UNCH $51
     SGRY1,593UNCH$51
SUPERNUS PHARMACEUTICALS INC 1,775 UNCH $51
     SUPN1,775UNCH$51
TRIUMPH GROUP INC NEW 3,067 UNCH $51
     TGI3,067UNCH$51
VERITEX HLDGS INC 2,205 UNCH $51
     VBTX2,205UNCH$51
VISTEON CORP 405 UNCH $51
     VC405UNCH$51
WORLD KINECT CORPORATION 2,246 UNCH $51
     WKC2,246UNCH$51
CALIX INC 1,152 UNCH $50
     CALX1,152UNCH$50
COHU INC 1,426 UNCH $50
     COHU1,426UNCH$50
HIBBETT INC 689 -143 $50
     HIBB689-143$50
HUDSON PAC PPTYS INC 5,386 -1,232 $50
     HPP5,386-1,232$50
IONQ INC 4,004 +1,284 $50
     IONQ4,004+1,284$50
KOPPERS HOLDINGS INC 974 UNCH $50
     KOP974UNCH$50
LEGGETT & PLATT INC 1,897 UNCH $50
     LEG1,897UNCH$50
MARCUS & MILLICHAP INC 1,142 UNCH $50
     MMI1,142UNCH$50
NATIONAL HEALTH INVS INC 904 +403 $50
     NHI904+403$50
S & T BANCORP INC 1,499 UNCH $50
     STBA1,499UNCH$50
TILRAY BRANDS INC 21,793 +9,222 $50
     TLRY21,793+9,222$50
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     TWO3,558UNCH$50
ADEIA INC 3,991 UNCH $49
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APPLE HOSPITALITY REIT INC 2,959 UNCH $49
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AURORA INNOVATION INC 11,259 UNCH $49
     AUR11,259UNCH$49
AVIENT CORPORATION 1,182 UNCH $49
     AVNT1,182UNCH$49
BEAM THERAPEUTICS INC 1,795 +620 $49
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BUCKLE INC 1,030 -187 $49
     BKE1,030-187$49
CABLE ONE INC 87 UNCH $49
     CABO87UNCH$49
GLOBALFOUNDRIES INC 802 +216 $49
     GFS802+216$49
HELEN OF TROY LTD 404 UNCH $49
     HELE404UNCH$49
HORACE MANN EDUCATORS CORP N 1,511 UNCH $49
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HAWKINS INC 692 -119 $49
     HWKN692-119$49
INDEPENDENCE RLTY TR INC 3,230 UNCH $49
     IRT3,230UNCH$49
DORIAN LPG LTD 1,124 -330 $49
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NATIONAL BK HLDGS CORP 1,309 UNCH $49
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INGEVITY CORP 1,044 UNCH $49
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PACIRA BIOSCIENCES INC 1,439 UNCH $49
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PEGASYSTEMS INC 1,008 UNCH $49
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PENNYMAC MTG INVT TR 3,276 UNCH $49
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UPWORK INC 3,294 +1,637 $49
     UPWK3,294+1,637$49
UNIVERSAL CORP VA 723 -162 $49
     UVV723-162$49
APOLLO MED HLDGS INC 1,265 -217 $48
     AMEH1,265-217$48
BRIGHTHOUSE FINL INC 907 UNCH $48
     BHF907UNCH$48
BLACKSTONE MTG TR INC 2,235 UNCH $48
     BXMT2,235UNCH$48
DIME CMNTY BANCSHARES INC (DCOM) 1,788 UNCH $48
     DCOM1,788UNCH$48
FOOT LOCKER INC 1,528 +582 $48
     FL1,528+582$48
FLYWIRE CORPORATION 2,058 UNCH $48
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GREEN BRICK PARTNERS INC 930 UNCH $48
     GRBK930UNCH$48
MYRIAD GENETICS INC 2,511 UNCH $48
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PROVIDENT FINL SVCS INC 2,652 UNCH $48
     PFS2,652UNCH$48
PNM RES INC 1,145 UNCH $48
     PNM1,145UNCH$48
STELLAR BANCORP INC 1,735 UNCH $48
     STEL1,735UNCH$48
ULTRA CLEAN HLDGS INC 1,419 UNCH $48
     UCTT1,419UNCH$48
VECTOR GROUP LTD 4,298 UNCH $48
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ALEXANDER & BALDWIN INC NEW 2,497 UNCH $47
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AMERICAN WOODMARK CORPORATIO 506 -101 $47
     AMWD506-101$47
APOGEE ENTERPRISES INC 873 UNCH $47
     APOG873UNCH$47
AZZ INC 809 -150 $47
     AZZ809-150$47
BARNES GROUP INC 1,434 UNCH $47
     B1,434UNCH$47
BELDEN INC 611 UNCH $47
     BDC611UNCH$47
CRACKER BARREL OLD CTRY STOR 615 UNCH $47
     CBRL615UNCH$47
CTS CORP 1,083 UNCH $47
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FOX FACTORY HLDG CORP 697 UNCH $47
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GEO GROUP INC NEW 4,321 -1,112 $47
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MGP INGREDIENTS INC NEW 477 UNCH $47
     MGPI477UNCH$47
IMPINJ INC 525 +525 $47
     PI525+525$47
TTM TECHNOLOGIES INC 2,988 -496 $47
     TTMI2,988-496$47
VISTA OUTDOOR INC 1,601 -261 $47
     VSTO1,601-261$47
AMERICAN ASSETS TR INC 2,056 UNCH $46
     AAT2,056UNCH$46
COURSERA INC 2,394 +2,394 $46
     COUR2,394+2,394$46
NOW INC 4,102 UNCH $46
     DNOW4,102UNCH$46
LANCASTER COLONY CORP 274 UNCH $46
     LANC274UNCH$46
MERCURY GENL CORP NEW 1,246 UNCH $46
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MARTEN TRANS LTD 2,184 UNCH $46
     MRTN2,184UNCH$46
NOVOCURE LTD 3,083 +182 $46
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NORTHWEST NAT HLDG CO 1,180 UNCH $46
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PREFERRED BK LOS ANGELES CA 625 UNCH $46
     PFBC625UNCH$46
RPT REALTY 3,621 UNCH $46
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SABRE CORP 10,546 -2,001 $46
     SABR10,546-2,001$46
BOSTON BEER INC 133 UNCH $46
     SAM133UNCH$46
SCANSOURCE INC 1,171 UNCH $46
     SCSC1,171UNCH$46
BERKSHIRE HILLS BANCORP INC 1,818 UNCH $45
     BHLB1,818UNCH$45
PEABODY ENERGY CORP 1,842 UNCH $45
     BTU1,842UNCH$45
DISH NETWORK CORPORATION 7,885 UNCH $45
     DISH7,885UNCH$45
ENCORE CAP GROUP INC 881 UNCH $45
     ECPG881UNCH$45
TOPGOLF CALLAWAY BRANDS CORP 3,170 +1,242 $45
     MODG3,170+1,242$45
NATIONAL STORAGE AFFILIATES 1,089 UNCH $45
     NSA1,089UNCH$45
NETSCOUT SYS INC 2,034 UNCH $45
     NTCT2,034UNCH$45
PELOTON INTERACTIVE INC 7,397 UNCH $45
     PTON7,397UNCH$45
SAFETY INS GROUP INC 587 UNCH $45
     SAFT587UNCH$45
SEMTECH CORP 2,049 UNCH $45
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SPIRE INC 714 UNCH $45
     SR714UNCH$45
TEGNA INC 2,909 UNCH $45
     TGNA2,909UNCH$45
TRUPANION INC 1,469 -264 $45
     TRUP1,469-264$45
UNITI GROUP INC 7,728 -1,310 $45
     UNIT7,728-1,310$45
VIASAT INC 1,602 UNCH $45
     VSAT1,602UNCH$45
BROOKLINE BANCORP INC DEL 4,017 UNCH $44
     BRKL4,017UNCH$44
CARS COM INC 2,310 UNCH $44
     CARS2,310UNCH$44
CNX RES CORP 2,194 UNCH $44
     CNX2,194UNCH$44
GINKGO BIOWORKS HOLDINGS INC 25,747 UNCH $44
     DNA25,747UNCH$44
ELME COMMUNITIES 2,982 UNCH $44
     ELME2,982UNCH$44
FORWARD AIR CORP 696 UNCH $44
     FWRD696UNCH$44
GETTY RLTY CORP NEW 1,492 UNCH $44
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HARMONIC INC 3,407 UNCH $44
     HLIT3,407UNCH$44
ICF INTL INC 326 +108 $44
     ICFI326+108$44
ICU MED INC 438 UNCH $44
     ICUI438UNCH$44
PRA GROUP INC 1,695 UNCH $44
     PRAA1,695UNCH$44
PERDOCEO ED CORP 2,506 -418 $44
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RUSH ENTERPRISES INC 837 UNCH $44
     RUSHB837UNCH$44
SPECTRUM BRANDS HLDGS INC NE 547 UNCH $44
     SPB547UNCH$44
MARRIOTT VACATIONS WORLDWIDE 514 UNCH $44
     VAC514UNCH$44
ACV AUCTIONS INC 2,864 +1,406 $43
     ACVA2,864+1,406$43
CREDO TECHNOLOGY GROUP HOLDI 2,198 +2,198 $43
     CRDO2,198+2,198$43
EASTERLY GOVT PPTYS INC 3,228 UNCH $43
     DEA3,228UNCH$43
PHYSICIANS RLTY TR 3,251 UNCH $43
     DOC3,251UNCH$43
EAGLE BANCORP INC MD 1,421 UNCH $43
     EGBN1,421UNCH$43
EMPLOYERS HLDGS INC 1,081 UNCH $43
     EIG1,081UNCH$43
GREEN PLAINS INC 1,689 UNCH $43
     GPRE1,689UNCH$43
KAISER ALUMINUM CORP 600 UNCH $43
     KALU600UNCH$43
LIGAND PHARMACEUTICALS INC 604 UNCH $43
     LGND604UNCH$43
QUANEX BLDG PRODS CORP 1,415 UNCH $43
     NX1,415UNCH$43
OWENS & MINOR INC NEW 2,237 -373 $43
     OMI2,237-373$43
PTC THERAPEUTICS INC 1,551 UNCH $43
     PTCT1,551UNCH$43
INTERFACE INC 3,383 UNCH $43
     TILE3,383UNCH$43
UFP TECHNOLOGIES INC 252 UNCH $43
     UFPT252UNCH$43
U S PHYSICAL THERAPY 459 UNCH $43
     USPH459UNCH$43
VERINT SYS INC 1,607 UNCH $43
     VRNT1,607UNCH$43
VISHAY INTERTECHNOLOGY INC 1,799 UNCH $43
     VSH1,799UNCH$43
BROADSTONE NET LEASE INC 2,438 UNCH $42
     BNL2,438UNCH$42
CALERES INC 1,355 -235 $42
     CAL1,355-235$42
CINEMARK HLDGS INC 2,968 -100,495 $42
     CNK2,968-495$42
COLLEGIUM PHARMACEUTICAL INC 1,354 -285 $42
     COLL1,354-285$42
DELUXE CORP 1,980 UNCH $42
     DLX1,980UNCH$42
NATIONAL VISION HLDGS INC 1,999 -384 $42
     EYE1,999-384$42
FRANKLIN BSP RLTY TR INC 3,076 UNCH $42
     FBRT3,076UNCH$42
HAWAIIAN ELEC INDUSTRIES 2,935 +1,367 $42
     HE2,935+1,367$42
LUMEN TECHNOLOGIES INC 22,791 -5,394 $42
     LUMN22,791-5,394$42
NORTHWESTERN ENERGY GROUP IN 819 UNCH $42
     NWE819UNCH$42
RECURSION PHARMACEUTICALS IN 4,225 UNCH $42
     RXRX4,225UNCH$42
SOUTHSIDE BANCSHARES INC (SBSI) 1,342 UNCH $42
     SBSI1,342UNCH$42
TPG INC 970 +970 $42
     TPG970+970$42
TECHTARGET INC 1,216 UNCH $42
     TTGT1,216UNCH$42
TWIST BIOSCIENCE CORP 1,146 UNCH $42
     TWST1,146UNCH$42
AMEDISYS INC 436 -151 $41
     AMED436-151$41
ASANA INC 2,155 +971 $41
     ASAN2,155+971$41
ATRICURE INC 1,158 UNCH $41
     ATRC1,158UNCH$41
CVR ENERGY INC 1,340 UNCH $41
     CVI1,340UNCH$41
GREENBRIER COS INC 929 -196 $41
     GBX929-196$41
PAYONEER GLOBAL INC 7,890 -1,400 $41
     PAYO7,890-1,400$41
REDWOOD TRUST INC 5,525 UNCH $41
     RWT5,525UNCH$41
SALLY BEAUTY HLDGS INC 3,107 -748 $41
     SBH3,107-748$41
SCHOLASTIC CORP 1,084 UNCH $41
     SCHL1,084UNCH$41
CACTUS INC 914 UNCH $41
     WHD914UNCH$41
XENCOR INC 1,910 UNCH $41
     XNCR1,910UNCH$41
CNO FINL GROUP INC 1,439 UNCH $40
     CNO1,439UNCH$40
EXP WORLD HLDGS INC 2,553 UNCH $40
     EXPI2,553UNCH$40
FRESH DEL MONTE PRODUCE INC 1,521 UNCH $40
     FDP1,521UNCH$40
GLOBAL NET LEASE INC 4,016 UNCH $40
     GNL4,016UNCH$40
HERITAGE FINL CORP WASH 1,884 UNCH $40
     HFWA1,884UNCH$40
KENNEDY WILSON HOLDINGS INC 3,191 UNCH $40
     KW3,191UNCH$40
LEMAITRE VASCULAR INC 702 UNCH $40
     LMAT702UNCH$40
MONARCH CASINO & RESORT INC 584 UNCH $40
     MCRI584UNCH$40
VERADIGM INC 3,804 UNCH $40
     MDRX3,804UNCH$40
PALOMAR HLDGS INC 721 -125 $40
     PLMR721-125$40
PROG HOLDINGS INC 1,309 -269 $40
     PRG1,309-269$40
TIMKENSTEEL CORPORATION 1,716 UNCH $40
     TMST1,716UNCH$40
AVANOS MED INC 1,738 UNCH $39
     AVNS1,738UNCH$39
BENCHMARK ELECTRS INC 1,423 UNCH $39
     BHE1,423UNCH$39
CENTURY ALUM CO 3,246 UNCH $39
     CENX3,246UNCH$39
COMSTOCK RES INC 4,414 UNCH $39
     CRK4,414UNCH$39
NEW FORTRESS ENERGY INC 1,031 UNCH $39
     NFE1,031UNCH$39
SERVICE PPTYS TR 4,514 -1,023 $39
     SVC4,514-1,023$39
TRAVEL PLUS LEISURE CO 1,009 UNCH $39
     TNL1,009UNCH$39
WABASH NATL CORP 1,521 -339 $39
     WNC1,521-339$39
ENOVIS CORPORATION 682 UNCH $38
     ENOV682UNCH$38
GOLDEN ENTMT INC 941 UNCH $38
     GDEN941UNCH$38
HAIN CELESTIAL GROUP INC 3,444 UNCH $38
     HAIN3,444UNCH$38
HOWARD HUGHES HOLDINGS INC 442 UNCH $38
     HHH442UNCH$38
ICHOR HOLDINGS 1,137 UNCH $38
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INNOVIVA INC 2,357 -532 $38
     INVA2,357-532$38
KELLY SVCS INC 1,739 UNCH $38
     KELYA1,739UNCH$38
LESLIES INC 5,560 UNCH $38
     LESL5,560UNCH$38
LTC PPTYS INC 1,185 -225 $38
     LTC1,185-225$38
MATIV HOLDINGS INC 2,478 UNCH $38
     MATV2,478UNCH$38
OMNICELL COM 1,016 -250,000 $38
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REX AMERICAN RES CORP 799 UNCH $38
     REX799UNCH$38
SAFEHOLD INC 1,608 UNCH $38
     SAFE1,608UNCH$38
SIRIUSPOINT LTD 3,295 -695 $38
     SPNT3,295-695$38
ARMADA HOFFLER PPTYS INC 2,972 UNCH $37
     AHH2,972UNCH$37
ANI PHARMACEUTICALS INC 673 UNCH $37
     ANIP673UNCH$37
A10 NETWORKS INC 2,845 UNCH $37
     ATEN2,845UNCH$37
BANC OF CALIFORNIA INC 2,771 UNCH $37
     BANC2,771UNCH$37
CAPITOL FED FINL INC 5,793 UNCH $37
     CFFN5,793UNCH$37
CHEFS WHSE INC 1,257 UNCH $37
     CHEF1,257UNCH$37
INTERNATIONAL BANCSHARES COR (IBOC) 677 UNCH $37
     IBOC677UNCH$37
IOVANCE BIOTHERAPEUTICS INC 4,573 UNCH $37
     IOVA4,573UNCH$37
SANFILIPPO JOHN B & SON INC 355 UNCH $37
     JBSS355UNCH$37
KKR REAL ESTATE FIN TR INC 2,818 UNCH $37
     KREF2,818UNCH$37
MATTHEWS INTL CORP 1,010 UNCH $37
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ARCUS BIOSCIENCES INC 1,952 UNCH $37
     RCUS1,952UNCH$37
U S SILICA HLDGS INC 3,278 UNCH $37
     SLCA3,278UNCH$37
SUNCOKE ENERGY INC 3,423 -797 $37
     SXC3,423-797$37
VITAL ENERGY INC 813 UNCH $37
     VTLE813UNCH$37
AKERO THERAPEUTICS INC 1,521 UNCH $36
     AKRO1,521UNCH$36
AMERISAFE INC 768 UNCH $36
     AMSF768UNCH$36
CENTERSPACE 614 UNCH $36
     CSR614UNCH$36
ENOVIX CORPORATION 2,901 UNCH $36
     ENVX2,901UNCH$36
NATIONAL BEVERAGE CORP 717 -154 $36
     FIZZ717-154$36
HAYNES INTL INC 634 UNCH $36
     HAYN634UNCH$36
MADISON SQUARE GRDN SPRT COR 200 UNCH $36
     MSGS200UNCH$36
N ABLE INC 2,682 UNCH $36
     NABL2,682UNCH$36
NCR ATLEOS CORPORATION 1,497 +1,497 $36
     NATL1,497+1,497$36
COPT DEFENSE PROPERTIES 1,415 UNCH $36
     OFC1,415UNCH$36
PREMIER INC 1,596 UNCH $36
     PINC1,596UNCH$36
SEAWORLD ENTMT INC 690 UNCH $36
     SEAS690UNCH$36
SKYWEST INC 683 -194 $36
     SKYW683-194$36
SENSIENT TECHNOLOGIES CORP 548 UNCH $36
     SXT548UNCH$36
TOMPKINS FINL CORP 591 UNCH $36
     TMP591UNCH$36
WISDOMTREE INC 5,252 UNCH $36
     WT5,252UNCH$36
AMERICAN AXLE & MFG HLDGS IN 3,949 -1,011 $35
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PC CONNECTION INC 525 -123 $35
     CNXN525-123$35
CYTEK BIOSCIENCES INC 3,884 UNCH $35
     CTKB3,884UNCH$35
DRIL QUIP INC 1,506 UNCH $35
     DRQ1,506UNCH$35
ELLINGTON FINANCIAL INC 2,770 UNCH $35
     EFC2,770UNCH$35
HANMI FINL CORP 1,815 UNCH $35
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HEALTHSTREAM INC 1,285 UNCH $35
     HSTM1,285UNCH$35
SUMMIT HOTEL PPTYS INC 5,198 UNCH $35
     INN5,198UNCH$35
MERCURY SYS INC 968 +968 $35
     MRCY968+968$35
PROTO LABS INC 910 -198 $35
     PRLB910-198$35
PROPETRO HLDG CORP 4,224 UNCH $35
     PUMP4,224UNCH$35
SHENANDOAH TELECOMMUNICATION 1,638 -326 $35
     SHEN1,638-326$35
VERIS RESIDENTIAL INC 2,224 -513 $35
     VRE2,224-513$35
WHITESTONE REIT 2,839 UNCH $35
     COM2,839UNCH$35
XPEL INC 648 UNCH $35
     XPEL648UNCH$35
ADVANSIX INC 1,129 UNCH $34
     ASIX1,129UNCH$34
CBIZ INC 542 UNCH $34
     CBZ542UNCH$34
CORE LABORATORIES INC 1,898 UNCH $34
     CLB1,898UNCH$34
DINE BRANDS GLOBAL INC 681 UNCH $34
     DIN681UNCH$34
MGE ENERGY INC 466 UNCH $34
     MGEE466UNCH$34
NABORS INDUSTRIES LTD 418 UNCH $34
     NBR418UNCH$34
PDF SOLUTIONS INC 1,044 UNCH $34
     PDFS1,044UNCH$34
PROTHENA CORP PLC 930 UNCH $34
     PRTA930UNCH$34
SONIC AUTOMOTIVE INC 613 -139 $34
     SAH613-139$34
SIMULATIONS PLUS INC 768 UNCH $34
     SLP768UNCH$34
TITAN INTL INC ILL 2,271 -563 $34
     TWI2,271-563$34
VAREX IMAGING CORP 1,674 UNCH $34
     VREX1,674UNCH$34
VIAD CORP 930 -217 $34
     VVI930-217$34
ASTEC INDS INC 877 UNCH $33
     ASTE877UNCH$33
BRANDYWINE RLTY TR 6,097 -1,615 $33
     BDN6,097-1,615$33
BJS RESTAURANTS INC 906 -240 $33
     BJRI906-240$33
CHUYS HLDGS INC 872 UNCH $33
     CHUY872UNCH$33
COMPASS MINERALS INTL INC 1,307 UNCH $33
     CMP1,307UNCH$33
EMBECTA CORP 1,747 -402 $33
     EMBC1,747-402$33
HARMONY BIOSCIENCES HLDGS IN 1,025 -248 $33
     HRMY1,025-248$33
HEIDRICK & STRUGGLES INTL IN 1,121 UNCH $33
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MISTER CAR WASH INC 3,802 UNCH $33
     MCW3,802UNCH$33
MCGRATH RENTCORP 275 UNCH $33
     MGRC275UNCH$33
MONRO INC 1,138 UNCH $33
     MNRO1,138UNCH$33
ENVIRI CORP 3,638 UNCH $33
     NVRI3,638UNCH$33
NEW YORK MTG TR INC 3,887 UNCH $33
     NYMT3,887UNCH$33
PROASSURANCE CORP 2,418 UNCH $33
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QUINSTREET INC 2,553 -634 $33
     QNST2,553-634$33
RPC INC 4,532 UNCH $33
     RES4,532UNCH$33
DIGI INTL INC 1,239 UNCH $32
     DGII1,239UNCH$32
GROCERY OUTLET HLDG CORP 1,199 UNCH $32
     GO1,199UNCH$32
MARINEMAX INC 824 -241 $32
     HZO824-241$32
KAMAN CORP 1,324 UNCH $32
     KAMN1,324UNCH$32
MYERS INDS INC 1,622 UNCH $32
     MYE1,622UNCH$32
PATTERSON COS INC 1,125 UNCH $32
     PDCO1,125UNCH$32
REGENXBIO INC 1,801 UNCH $32
     RGNX1,801UNCH$32
TRUSTCO BK CORP N Y 1,038 UNCH $32
     TRST1,038UNCH$32
ARMOUR RESIDENTIAL REIT INC 1,591 -6,364 $31
     ARR1,591-6,364$31
BOK FINL CORP 361 UNCH $31
     BOKF361UNCH$31
CHATHAM LODGING TR 2,886 UNCH $31
     CLDT2,886UNCH$31
EASTERN BANKSHARES INC (EBC) 2,204 +2,204 $31
     EBC2,204+2,204$31
GUESS INC 1,345 -331 $31
     GES1,345-331$31
ANYWHERE REAL ESTATE INC 3,801 -1,346 $31
     HOUS3,801-1,346$31
HEARTLAND EXPRESS INC 2,158 UNCH $31
     HTLD2,158UNCH$31
INSTEEL INDS INC 806 -217 $31
     IIIN806-217$31
IROBOT CORP 795 -201 $31
     IRBT795-201$31
METHODE ELECTRS INC 1,352 UNCH $31
     MEI1,352UNCH$31
MOVADO GROUP INC 1,028 UNCH $31
     MOV1,028UNCH$31
NU SKIN ENTERPRISES INC 1,615 UNCH $31
     NUS1,615UNCH$31
NEXPOINT RESIDENTIAL TR INC 886 UNCH $31
     NXRT886UNCH$31
PITNEY BOWES INC 7,003 -1,763 $31
     PBI7,003-1,763$31
TOOTSIE ROLL INDS INC 940 UNCH $31
     TR940UNCH$31
AMC ENTMT HLDGS INC 4,858 +2,880 $30
     AMC4,858+2,880$30
SAUL CTRS INC 758 UNCH $30
     BFS758UNCH$30
CERENCE INC 1,527 UNCH $30
     CRNC1,527UNCH$30
3 D SYS CORP DEL 4,795 UNCH $30
     DDD4,795UNCH$30
EZCORP INC 3,411 UNCH $30
     EZPW3,411UNCH$30
HEALTHCARE SVCS GROUP INC 2,848 UNCH $30
     HCSG2,848UNCH$30
HIGHWOODS PPTYS INC 1,296 UNCH $30
     HIW1,296UNCH$30
SPARTANNASH CO 1,302 -330 $30
     SPTN1,302-330$30
SITIO ROYALTIES CORP 1,275 +1,275 $30
     STR1,275+1,275$30
THRYV HLDGS INC 1,450 UNCH $30
     THRY1,450UNCH$30
ALPHA & OMEGA SEMICONDUCTOR 1,105 UNCH $29
     AOSL1,105UNCH$29
DIGITAL TURBINE INC 4,216 UNCH $29
     APPS4,216UNCH$29
COMMUNITY HEALTHCARE TR INC 1,074 UNCH $29
     CHCT1,074UNCH$29
ETHAN ALLEN INTERIORS INC 896 -267 $29
     ETD896-267$29
MATSON INC 264 -247 $29
     MATX264-247$29
PEDIATRIX MEDICAL GROUP INC 3,098 UNCH $29
     MD3,098UNCH$29
UNITED NAT FOODS INC 1,764 -495 $29
     UNFI1,764-495$29
USANA HEALTH SCIENCES INC 537 UNCH $29
     USNA537UNCH$29
UNITIL CORP 549 -151 $29
     UTL549-151$29
OLYMPIC STEEL INC 432 -131 $29
     ZEUS432-131$29
ARTIVION INC 1,559 -414 $28
     AORT1,559-414$28
ARLO TECHNOLOGIES INC 2,982 -791 $28
     ARLO2,982-791$28
CORSAIR GAMING INC 2,015 UNCH $28
     CRSR2,015UNCH$28
MESA LABS INC 263 UNCH $28
     MLAB263UNCH$28
CONSTRUCTION PARTNERS INC 653 +653 $28
     ROAD653+653$28
SAGE THERAPEUTICS INC 1,282 UNCH $28
     SAGE1,282UNCH$28
STANDARD MTR PRODS INC 698 -205 $28
     SMP698-205$28
UNIVERSAL HEALTH RLTY INCOME 652 UNCH $28
     UHT652UNCH$28
AMBAC FINL GROUP INC 1,666 -548 $27
     AMBC1,666-548$27
ATN INTL INC 702 UNCH $27
     ATNI702UNCH$27
BRIGHTSPHERE INVT GROUP INC 1,431 UNCH $27
     BSIG1,431UNCH$27
DXP ENTERPRISES INC 793 UNCH $27
     DXPE793UNCH$27
WOLVERINE WORLD WIDE INC 2,992 UNCH $27
     WWW2,992UNCH$27
CONSENSUS CLOUD SOLUTIONS IN 1,006 UNCH $26
     CCSI1,006UNCH$26
CHICOS FAS INC 3,438 -2,917 $26
     CHS3,438-2,917$26
GOGO INC 2,518 UNCH $26
     GOGO2,518UNCH$26
OIL STS INTL INC 3,810 UNCH $26
     OIS3,810UNCH$26
RESOURCES CONNECTION INC 1,850 UNCH $26
     RGP1,850UNCH$26
STURM RUGER & CO INC 570 -165 $26
     RGR570-165$26
SCRIPPS E W CO OHIO 3,288 UNCH $26
     SSP3,288UNCH$26
UNITED FIRE GROUP INC 1,272 UNCH $26
     UFCS1,272UNCH$26
BRISTOW GROUP INC 920 UNCH $26
     VTOL920UNCH$26
XPERI INC 2,335 UNCH $26
     XPER2,335UNCH$26
CROSS CTRY HEALTHCARE INC 1,087 -357 $25
     CCRN1,087-357$25
ENERGIZER HLDGS INC NEW 777 UNCH $25
     ENR777UNCH$25
VIR BIOTECHNOLOGY INC 2,519 UNCH $25
     VIR2,519UNCH$25
EQUITY COMWLTH 1,249 -32 $24
     EQC1,249-32$24
B & G FOODS INC NEW 2,150 -778 $23
     BGS2,150-778$23
CLEARWATER PAPER CORP 575 -383 $21
     CLW575-383$21
MASONITE INTL CORP 249 +249 $21
     DOOR249+249$21
WORTHINGTON ENTERPRISES INC 365 UNCH $21
     WOR365UNCH$21
ATLANTA BRAVES HLDGS INC 509 +253 $20
     BATRK509+253$20
FULGENT GENETICS INC 700 -264 $20
     FLGT700-264$20
FUBOTV INC 6,317 UNCH $20
     FUBO6,317UNCH$20
ADAPTHEALTH CORP 2,390 -819 $17
     AHCO2,390-819$17
WORTHINGTON STL INC 365 +365 $10
     WS365+365$10
NET LEASE OFFICE PROPERTIES 419 +419 $8
     NLOP419+419$8
ORION OFFICE REIT INC 176 UNCH $1
     ONL176UNCH$1
LIBERTY MEDIA CORP DEL 9 -385 $0
     LLYVK9-385$0
THE AARONS COMPANY INC $0 (exited)
     AAN0-1,341$0
ADTRAN HOLDINGS INC $0 (exited)
     ADTN0-3,410$0
AGILITI INC $0 (exited)
     AGTI0-1,964$0
ALLEGIANT TRAVEL CO $0 (exited)
     ALGT0-291$0
AMC NETWORKS INC $0 (exited)
     AMCX0-2,574$0
AMERICAN AIRLINES GROUP INC $0 (exited)
     NOTE 60-300,000$0
AMERICAN SUPERCONDUCTOR CORP $0 (exited)
     AMSC0-459,007$0
ANGIODYNAMICS INC $0 (exited)
     ANGO0-2,673$0
ANIKA THERAPEUTICS INC $0 (exited)
     ANIK0-843$0
ARCONIC CORPORATION $0 (exited)
     ARNC0-17,730$0
ARTESIAN RES CORP $0 (exited)
     ARTNA0-189,036$0
ARVINAS INC $0 (exited)
     ARVN0-758$0
ASCENDIS PHARMA A S $0 (exited)
     NOTE 20-200,000$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-60,508$0
AMERICAN VANGUARD CORP $0 (exited)
     AVD0-1,617$0
AVID TECHNOLOGY INC $0 (exited)
     AVID0-1,489$0
AVANTAX INC $0 (exited)
     AVTA0-1,644$0
CREDICORP LTD $0 (exited)
     BAP0-91$0
BLACK KNIGHT INC $0 (exited)
     BKI0-34,381$0
BIOLIFE SOLUTIONS INC $0 (exited)
     BLFS0-1,779$0
BAOZUN INC $0 (exited)
     BZUN0-30,034$0
AVID BIOSERVICES INC $0 (exited)
     CDMO0-2,739$0
CENTRAL GARDEN & PET CO $0 (exited)
     CENT0-83$0
CEVA INC $0 (exited)
     CEVA0-1,211$0
CHEGG INC $0 (exited)
     CHGG0-166,035$0
COHERUS BIOSCIENCES INC $0 (exited)
     CHRS0-4,736$0
CIRCOR INTL INC $0 (exited)
     CIR0-752$0
CLEARFIELD INC $0 (exited)
     CLFD0-711$0
CLARIVATE PLC $0 (exited)
     CLVT0-20,608$0
CONSOLIDATED COMM HLDGS INC $0 (exited)
     CNSL0-6,214$0
COMPASS INC $0 (exited)
     CL A0-5,650$0
CENTRAL PAC FINL CORP $0 (exited)
     CPF0-1,967$0
COMPUTER PROGRAMS & SYS INC $0 (exited)
     CPSI0-1,205$0
AMERICAS CAR MART INC $0 (exited)
     CRMT0-322$0
CRITEO S A $0 (exited)
     CRTO0-15,202$0
CALAVO GROWERS INC $0 (exited)
     CVGW0-1,017$0
COMMUNITY HEALTH SYS INC NEW $0 (exited)
     CYH0-6,930$0
DESIGNER BRANDS INC $0 (exited)
     DBI0-2,971$0
DENBURY INC $0 (exited)
     DEN0-724$0
EBIX INC $0 (exited)
     EBIX0-1,266$0
EMERGENT BIOSOLUTIONS INC $0 (exited)
     EBS0-2,828$0
8X8 INC NEW $0 (exited)
     EGHT0-6,345$0
ENHABIT INC $0 (exited)
     EHAB0-2,666$0
ENANTA PHARMACEUTICALS INC $0 (exited)
     ENTA0-1,266$0
ENVESTNET INC $0 (exited)
     NOTE 00-200,000$0
EURONET WORLDWIDE INC $0 (exited)
     NOTE 00-200,000$0
FUELCELL ENERGY INC $0 (exited)
     FCEL0-771,066$0
FUTUREFUEL CORP $0 (exited)
     FF0-1,339$0
FISERV INC $0 (exited)
     FISV0-334,392$0
FIVE9 INC $0 (exited)
     NOTE 00-300,000$0
FORRESTER RESH INC $0 (exited)
     FORR0-947$0
FISKER INC $0 (exited)
     FSR0-3,186$0
FTC SOLAR INC $0 (exited)
     FTCI0-1,215,410$0
GREEN DOT CORP $0 (exited)
     GDOT0-2,016$0
GDS HLDGS LTD $0 (exited)
     GDS0-7,005$0
GERON CORP $0 (exited)
     GERN0-8,443$0
HAWAIIAN HOLDINGS INC $0 (exited)
     HA0-4,488$0
HALOZYME THERAPEUTICS INC $0 (exited)
     NOTE 00-300,000$0
HCI GROUP INC $0 (exited)
     HCI0-417$0
ENVIRI CORP $0 (exited)
     HSC0-6,116$0
HAVERTY FURNITURE COS INC $0 (exited)
     HVT0-1,062$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-20,794$0
ISHARES TR $0 (exited)
     ICLN0-2,410$0
ISHARES TR $0 (exited)
     IJH0-3,100$0
INSMED INC $0 (exited)
     NOTE 00-200,000$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-4,468$0
INTEGRA LIFESCIENCES HLDGS C $0 (exited)
     NOTE 00-300,000$0
ITEOS THERAPEUTICS INC $0 (exited)
     ITOS0-1,773$0
INVESCO MORTGAGE CAPITAL INC $0 (exited)
     IVR0-2,628$0
JOBY AVIATION INC $0 (exited)
     JOBY0-2,524$0
JOHNSON OUTDOORS INC $0 (exited)
     JOUT0-32,280$0
JAMES RIV GROUP LTD $0 (exited)
     JRVR0-1,864$0
LUMINAR TECHNOLOGIES INC $0 (exited)
     LAZR0-4,207$0
LIBERTY GLOBAL PLC $0 (exited)
     LBTYA0-830$0
LI CYCLE HOLDINGS CORP $0 (exited)
     LICY0-30,853$0
EL POLLO LOCO HLDGS INC $0 (exited)
     LOCO0-1,364$0
LIQUIDITY SVCS INC $0 (exited)
     LQDT0-1,898$0
LUMENTUM HLDGS INC $0 (exited)
     NOTE 00-400,000$0
     NOTE 00UNCH$0
MAXEON SOLAR TECHNOLOGIES LT $0 (exited)
     MAXN0-163,399$0
MARCUS CORP DEL $0 (exited)
     MCS0-2,614$0
MERCER INTL INC $0 (exited)
     MERC0-3,346$0
MINISO GROUP HLDG LTD $0 (exited)
     MNSO0-121,349$0
MODIVCARE INC $0 (exited)
     MODV0-685$0
NATIONAL INSTRS CORP $0 (exited)
     NATI0-2,111$0
NEW RELIC INC $0 (exited)
     NEWR0-1,215$0
NEXTIER OILFIELD SOLUTIONS $0 (exited)
     NEX0-11,145$0
NORTHFIELD BANCORP INC DEL $0 (exited)
     NFBK0-3,503$0
NICE LTD $0 (exited)
     NOTE 9 10-200,000$0
NIKOLA CORP $0 (exited)
     NKLA0-11,839$0
NOAH HLDGS LTD $0 (exited)
     NOAH0-17,739$0
NATIONAL PRESTO INDS INC $0 (exited)
     NPK0-416$0
NETGEAR INC $0 (exited)
     NTGR0-2,381$0
NUVASIVE INC $0 (exited)
     NUVA0-3,971$0
NOVAVAX INC $0 (exited)
     NVAX0-1,798$0
NEXTGEN HEALTHCARE INC $0 (exited)
     NXGN0-2,325$0
ORTHOFIX MED INC $0 (exited)
     OFIX0-1,804$0
OLAPLEX HLDGS INC $0 (exited)
     OLPX0-240,584$0
OMNICELL COM $0 (exited)
     NOTE 00-250,000$0
OFFICE PPTYS INCOME TR $0 (exited)
     OPI0-3,700$0
ONESPAN INC $0 (exited)
     OSPN0-1,994$0
ORASURE TECHNOLOGIES INC $0 (exited)
     OSUR0-6,087$0
OATLY GROUP AB $0 (exited)
     OTLY0-135,860$0
PACWEST BANCORP DEL $0 (exited)
     PACW0-4,930$0
PLAINS GP HLDGS L P $0 (exited)
     PAGP0-64,667$0
PHIBRO ANIMAL HEALTH CORP $0 (exited)
     PAHC0-1,572$0
POWELL INDS INC $0 (exited)
     POWL0-726$0
PROTERRA INC $0 (exited)
     PTRA0-137,574$0
UNIQURE NV $0 (exited)
     QURE0-2,483$0
REDFIN CORP $0 (exited)
     RDFN0-1,888$0
EVEREST GROUP LTD $0 (exited)
     RE0-30,082$0
B. RILEY FINANCIAL INC $0 (exited)
     RILY0-788$0
SHOE CARNIVAL INC $0 (exited)
     SCVL0-1,227$0
SENECA FOODS CORP NEW $0 (exited)
     SENEA0-449$0
SWEETGREEN INC $0 (exited)
     SG0-1,410$0
SEAGEN INC $0 (exited)
     SGEN0-28,977$0
SMART GLOBAL HLDGS INC $0 (exited)
     SGH0-1,753$0
SHIFT4 PMTS INC $0 (exited)
     NOTE 12 10-250,000$0
     NOTE 00-200,000$0
SLEEP NUMBER CORP $0 (exited)
     SNBR0-1,223$0
SUN CTRY AIRLS HLDGS INC $0 (exited)
     SNCY0-1,356$0
SUNPOWER CORP $0 (exited)
     SPWR0-760,451$0
SUNNOVA ENERGY INTL INC. $0 (exited)
     NOTE 00-200,000$0
TRUEBLUE INC $0 (exited)
     TBI0-1,733$0
TREDEGAR CORP $0 (exited)
     TG0UNCH$0
TRITON INTL LTD $0 (exited)
     TRTN0-810$0
TRINSEO PLC $0 (exited)
     TSE0-2,003$0
TTEC HLDGS INC $0 (exited)
     TTEC0-960$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-3,351$0
URSTADT BIDDLE PPTYS INC $0 (exited)
     UBA0-2,837$0
UNIVERSAL INS HLDGS INC $0 (exited)
     UVE0-2,008$0
VISHAY INTERTECHNOLOGY INC $0 (exited)
     NOTE 20-200,000$0
VIKING THERAPEUTICS INC $0 (exited)
     VKTX0-1,445$0
VMWARE INC $0 (exited)
     VMW0-172,772$0
VANDA PHARMACEUTICALS INC $0 (exited)
     VNDA0-3,142$0
VERITIV CORP $0 (exited)
     VRTV0-420$0
VENTYX BIOSCIENCES INC $0 (exited)
     VTYX0-644$0
WORLD ACCEP CORPORATION $0 (exited)
     WRLD0-205$0
WORLD WRESTLING ENTMT INC $0 (exited)
     WWE0-398$0
ZENTALIS PHARMACEUTICALS INC $0 (exited)
     ZNTL0-904$0
ZYNEX INC 0 -1,325 $0 (exited)
     ZYXI0-1,325$0

See Summary: KBC Group NV Top Holdings
See Details: Top 10 Stocks Held By KBC Group NV

EntityShares/Amount
Change
Position Value
Change
VLTO +386,622+$31,803
CYBR +27,489+$6,021
CNHI +261,629+$3,187
KLG +59,787+$786
QQQ +1,192+$488
NXT +7,648+$358
GPS +4,112+$86
UAA +7,635+$67
KNF +889+$59
CWEN +2,221+$57
EntityShares/Amount
Change
Position Value
Change
FISV -334,392-$42,184
VMW -172,772-$28,763
RE -30,082-$10,284
ARTNA -189,036-$7,938
SGEN -28,977-$6,148
ATVI -60,508-$5,665
SPWR -760,451-$4,692
AMSC -459,007-$3,466
MNSO -121,349-$3,143
BKI -34,381-$2,605
EntityShares/Amount
Change
Position Value
Change
HBAN +2,617,155+$37,082
BMY +1,367,151+$60,186
PFE +1,246,769+$22,189
FOXA +1,130,318+$32,160
BK +1,035,818+$58,545
CTSH +878,759+$70,612
INTC +871,489+$67,460
NLY +727,917+$14,395
CMCSA +691,685+$29,815
CSCO +553,943+$19,838
EntityShares/Amount
Change
Position Value
Change
ZI -936,107-$15,219
KMI -772,295-$12,469
AFL -670,768-$49,876
SPLK -535,729-$4,953
ABNB -497,686-$266
PLUG -443,395-$5,109
PARA -438,358-$5,219
IVZ -435,020-$3,560
NOVA -398,549-$223
Size ($ in 1000's)
At 12/31/2023: $28,203,537
At 09/30/2023: $24,580,042

Combined Holding Report Includes:
KBC Group NV
KBC Bank NV
KBC Asset Management NV
KBC Fund Management Ltd.
CSOB Asset Management a.s.

KBC Group NV holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from KBC Group NV 13F filings. Link to 13F filings: SEC filings

All Stocks Held By KBC Group NV | www.HoldingsChannel.com

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