HoldingsChannel.com
All Stocks Held By Neuburgh Advisers LLC
As of  09/30/2019
   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Apple Inc 784,212 -9,944 $175,640
     AAPL784,212-9,944$175,640
Google Inc 69,840 +3,104 $85,284
     GOOGL69,840+3,104$85,284
JPMorgan Chase & Co 713,966 +68,748 $84,027
     JPM713,966+68,748$84,027
Stryker Corp 381,548 -8,160 $82,529
     SYK381,548-8,160$82,529
Chevron Corp 648,652 +10,744 $76,930
     CVX648,652+10,744$76,930
Amazon.com Inc 42,352 +3,248 $73,519
     AMZN42,352+3,248$73,519
iShares Core S&P 500 ETF (IVV) 243,474 -20,774 $72,682
     IVV243,474-20,774$72,682
Merck & Co Inc 791,406 -11,726 $66,621
     MRK791,406-11,726$66,621
Johnson & Johnson 495,792 +41,440 $64,146
     JNJ495,792+41,440$64,146
Fastenal Co 1,910,834 -26,724 $62,427
     FAST1,910,834-26,724$62,427
UnitedHealth Group Inc 281,996 +31,620 $61,283
     UNH281,996+31,620$61,283
Bank of America Corp 1,909,236 +180,472 $55,693
     BAC1,909,236+180,472$55,693
Visa Inc 303,840 +11,120 $52,264
     V303,840+11,120$52,264
Thermo Fisher Scientific Inc 179,278 -1,188 $52,218
     TMO179,278-1,188$52,218
Home Depot Inc The 216,986 +4,290 $50,345
     HD216,986+4,290$50,345
iShares Russell 1000 Growth ETF (IWF) 294,746 -32,062 $47,050
     IWF294,746-32,062$47,050
Berkshire Hathaway Inc      $41,124
     BRK.B197,692+16,346$41,124
Danaher Corp 267,476 -352 $38,632
     DHR267,476-352$38,632
iShares Russell 2000 ETF (IWM) 254,320 +254,320 $38,489
     IWM254,320+254,320$38,489
Wal Mart Stores Inc 300,432 +22,946 $35,655
     WMT300,432+22,946$35,655
O Reilly Automotive Inc 85,728 -1,536 $34,163
     ORLY85,728-1,536$34,163
iShares Core MSCI Emerging Markets ETF (IEMG) 688,160 -14,722 $33,734
     IEMG688,160-14,722$33,734
American Tower Corp 152,262 +704 $33,670
     AMT152,262+704$33,670
Applied Materials Inc 671,704 +82,258 $33,518
     AMAT671,704+82,258$33,518
Intuitive Surgical Inc 61,166 +6,018 $33,026
     ISRG61,166+6,018$33,026
TJX Cos Inc 573,072 -2,192 $31,943
     TJX573,072-2,192$31,943
First Republic Bank CA 324,808 +26,422 $31,409
     FRC324,808+26,422$31,409
Mastercard Inc 110,944 +2,864 $30,129
     MA110,944+2,864$30,129
CME Group Inc IL 141,760 -896 $29,960
     CME141,760-896$29,960
Quintiles Transnational Holdings Inc 198,594 +94,180 $29,666
     IQV198,594+94,180$29,666
Texas Instruments Inc 198,066 -8,360 $25,598
     TXN198,066-8,360$25,598
Marriott International Inc DE 184,704 -3,904 $22,971
     MAR184,704-3,904$22,971
Pfizer Inc 636,684 -125,358 $22,876
     PFE636,684-125,358$22,876
Duke Energy Corp 205,258 +49,198 $19,676
     DUK205,258+49,198$19,676
Citigroup Inc 278,320 +98,464 $19,226
     C278,320+98,464$19,226
Avago Technologies Ltd 68,034 +11,186 $18,782
     AVGO68,034+11,186$18,782
Bristol Myers Squibb Co 325,380 +101,116 $16,500
     BMY325,380+101,116$16,500
Verizon Communications Inc 264,304 +3,552 $15,953
     VZ264,304+3,552$15,953
Halfmoon Parent Inc 104,816 -4,736 $15,910
     CI104,816-4,736$15,910
Northern Trust Corp 168,402 +15,198 $15,715
     NTRS168,402+15,198$15,715
Shopify Inc 46,224 -2,416 $14,402
     SHOP46,224-2,416$14,402
Google Inc 11,664 +2,656 $14,219
     GOOG11,664+2,656$14,219
Cisco Systems Inc 284,336 +48,112 $14,049
     CSCO284,336+48,112$14,049
F5 Networks Inc 97,172 -45,866 $13,645
     FFIV97,172-45,866$13,645
McDonald s Corp 63,470 +6,600 $13,628
     MCD63,470+6,600$13,628
Accenture PLC 70,414 +16,150 $13,544
     ACN70,414+16,150$13,544
AO Smith Corp 280,192 -19,976 $13,368
     AOS280,192-19,976$13,368
Costco Wholesale Corp 46,368 -1,264 $13,359
     COST46,368-1,264$13,359
Ritchie Bros Auctioneers Inc 330,038 UNCH $13,168
     RBA330,038UNCH$13,168
iShares MSCI EAFE ETF (EFA) 194,650 UNCH $12,693
     EFA194,650UNCH$12,693
United Continental Holdings Inc 143,378 +12,750 $12,676
     UAL143,378+12,750$12,676
Charter Communications Inc 30,566 -14,518 $12,597
     CHTR30,566-14,518$12,597
Lam Research Corp 53,686 +9,282 $12,408
     LRCX53,686+9,282$12,408
NVIDIA Corp 70,848 +640 $12,333
     NVDA70,848+640$12,333
Teladoc Inc 178,240 -10,336 $12,071
     TDOC178,240-10,336$12,071
CoStar Group Inc 20,016 +6,496 $11,873
     CSGP20,016+6,496$11,873
Motorola Solutions Inc 68,848 -4,304 $11,732
     MSI68,848-4,304$11,732
Royal Bank of Canada 144,826 +7,546 $11,730
     RY144,826+7,546$11,730
Vertex Pharmaceuticals Inc 68,176 +20,912 $11,551
     VRTX68,176+20,912$11,551
Amgen Inc 59,620 +3,190 $11,537
     AMGN59,620+3,190$11,537
Allison Transmission Holdings Inc 244,766 -63,784 $11,516
     ALSN244,766-63,784$11,516
Vanguard FTSE Emerging Markets ETF (VWO) 283,360 UNCH $11,408
     VWO283,360UNCH$11,408
iShares Core S&P Mid Cap ETF (IJH) 57,426 +2,380 $11,096
     IJH57,426+2,380$11,096
Xilinx Inc 114,026 +11,088 $10,935
     XLNX114,026+11,088$10,935
Cummins Inc 67,056 -13,200 $10,908
     CMI67,056-13,200$10,908
DuPont de Nemours Inc 152,898 -1,394 $10,903
     DD152,898-1,394$10,903
Wabtec Corp DE 144,400 +10,288 $10,377
     WAB144,400+10,288$10,377
Snap on Inc 65,406 -9,064 $10,239
     SNA65,406-9,064$10,239
Clorox Co The 66,704 -2,926 $10,130
     CLX66,704-2,926$10,130
Brixmor Property Group Inc 493,748 -198,832 $10,018
     BRX493,748-198,832$10,018
Estee Lauder Cos Inc The 50,354 +19,006 $10,018
     EL50,354+19,006$10,018
Morgan Stanley 234,532 +36,822 $10,007
     MS234,532+36,822$10,007
International Paper Co 237,320 -4,828 $9,924
     IP237,320-4,828$9,924
Intuit Inc 36,788 -12,648 $9,783
     INTU36,788-12,648$9,783
Universal Health Services Inc 63,818 +16,422 $9,493
     UHS63,818+16,422$9,493
Manpowergroup Inc 109,854 +38,182 $9,254
     MAN109,854+38,182$9,254
Honeywell International Inc 53,680 +1,122 $9,083
     HON53,680+1,122$9,083
ONEOK Inc 121,836 +91,058 $8,978
     OKE121,836+91,058$8,978
WestRock Co 241,536 +13,770 $8,804
     WRK241,536+13,770$8,804
Darden Restaurants Inc 72,116 -28,138 $8,525
     DRI72,116-28,138$8,525
Hospitality Properties Trust 328,440 +328,440 $8,470
     SVC328,440+328,440$8,470
Unum Group 282,200 +87,924 $8,387
     UNM282,200+87,924$8,387
Pinnacle West Capital Corp 85,344 -11,792 $8,284
     PNW85,344-11,792$8,284
Ross Stores Inc 74,752 +1,760 $8,212
     ROST74,752+1,760$8,212
Lincoln National Corp 136,114 -13,596 $8,210
     LNC136,114-13,596$8,210
Target Corp 75,120 +32 $8,031
     TGT75,120+32$8,031
American Electric Power Co Inc 85,360 -3,376 $7,997
     AEP85,360-3,376$7,997
Sysco Corp 99,680 +9,440 $7,915
     SYY99,680+9,440$7,915
Pluralsight Inc 468,672 +387,664 $7,871
     PS468,672+387,664$7,871
Republic Services Inc 90,338 +27,200 $7,819
     RSG90,338+27,200$7,819
Alaska Air Group Inc 118,830 +72,352 $7,714
     ALK118,830+72,352$7,714
Eli Lilly & Co 68,090 +308 $7,615
     LLY68,090+308$7,615
SPDR S&P 500 ETF Trust (SPY) 25,542 +4,136 $7,580
     SPY25,542+4,136$7,580
Oracle Corp 133,298 -160,248 $7,335
     ORCL133,298-160,248$7,335
Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF (GSLC) 118,360 +1,188 $7,089
     GSLC118,360+1,188$7,089
Gilead Sciences Inc 107,360 +22,848 $6,804
     GILD107,360+22,848$6,804
Xerox Corp 225,984 +72,688 $6,759
     XRX225,984+72,688$6,759
Sherwin Williams Co The 12,096 -896 $6,651
     SHW12,096-896$6,651
Ally Financial Inc 200,224 -164,144 $6,639
     ALLY200,224-164,144$6,639
Xcel Energy Inc 101,926 -6,952 $6,614
     XEL101,926-6,952$6,614
Walgreens Boots Alliance Inc 118,888 -19,162 $6,576
     WBA118,888-19,162$6,576
Ryder System Inc 126,940 +7,414 $6,572
     R126,940+7,414$6,572
Monro Muffler Brake Inc 80,036 -8,908 $6,323
     MNRO80,036-8,908$6,323
FedEx Corp 41,786 +10,336 $6,083
     FDX41,786+10,336$6,083
Skyworks Solutions Inc 76,362 +6,600 $6,052
     SWKS76,362+6,600$6,052
Goldman Sachs ActiveBeta International Equity ETF (GSIE) 212,718 +11,836 $6,018
     GSIE212,718+11,836$6,018
Best Buy Co Inc 87,186 -5,852 $6,015
     BBY87,186-5,852$6,015
Chubb Corp The 36,788 -4,556 $5,939
     CB36,788-4,556$5,939
Norwegian Cruise Line Holdings Ltd 113,220 +53,516 $5,861
     NCLH113,220+53,516$5,861
Hewlett Packard Enterprise Co 383,280 +54,368 $5,814
     HPE383,280+54,368$5,814
VeriSign Inc 30,400 +2,560 $5,734
     VRSN30,400+2,560$5,734
People s United Financial Inc 361,692 +9,622 $5,655
     PBCT361,692+9,622$5,655
National Fuel Gas Co 119,130 +32,230 $5,590
     NFG119,130+32,230$5,590
Phillips 66 53,958 +714 $5,526
     PSX53,958+714$5,526
Lockheed Martin Corp 14,146 +5,874 $5,518
     LMT14,146+5,874$5,518
Northrop Grumman Corp 14,654 +8,058 $5,492
     NOC14,654+8,058$5,492
United Rentals Inc 43,690 +5,100 $5,445
     URI43,690+5,100$5,445
Voya Financial Inc 99,152 -17,008 $5,398
     VOYA99,152-17,008$5,398
Marathon Oil Corp 411,264 -76,194 $5,047
     MRO411,264-76,194$5,047
Eaton Corp PLC 60,656 -32,304 $5,043
     ETN60,656-32,304$5,043
Vanguard Small Cap ETF (VB) 32,160 +3,344 $4,949
     VB32,160+3,344$4,949
Interpublic Group of Cos Inc The 226,406 +137,530 $4,881
     IPG226,406+137,530$4,881
AmerisourceBergen Corp 58,542 +19,360 $4,820
     ABC58,542+19,360$4,820
Analog Devices Inc 42,086 -132 $4,702
     ADI42,086-132$4,702
ETRADE Financial Corp 106,930 -81,906 $4,672
     ETFC106,930-81,906$4,672
Synchrony Financial 136,208 +81,216 $4,643
     SYF136,208+81,216$4,643
ServiceNow Inc 18,224 +11,832 $4,626
     NOW18,224+11,832$4,626
Oshkosh Corp 60,126 +10,406 $4,558
     OSK60,126+10,406$4,558
SVB Financial Group 21,758 -638 $4,546
     SIVB21,758-638$4,546
Alliance Data Systems Corp 35,394 +8,330 $4,535
     ADS35,394+8,330$4,535
Corning Inc 156,978 -119,646 $4,477
     GLW156,978-119,646$4,477
Valero Energy Corp 52,156 +13,566 $4,446
     VLO52,156+13,566$4,446
Omnicom Group Inc 56,474 -35,200 $4,422
     OMC56,474-35,200$4,422
American Express Co 37,344 +11,088 $4,417
     AXP37,344+11,088$4,417
Dow Inc 92,378 +45,662 $4,402
     DOW92,378+45,662$4,402
Vanguard FTSE All World ex US Small Cap ETF (VSS) 43,104 +2,736 $4,394
     VSS43,104+2,736$4,394
Navient Corp 335,830 +125,818 $4,299
     NAVI335,830+125,818$4,299
iShares MSCI South Korea ETF (EWY) 75,922 UNCH $4,277
     EWY75,922UNCH$4,277
DaVita HealthCare Partners Inc 74,866 -46,706 $4,273
     DVA74,866-46,706$4,273
United Parcel Service Inc 33,898 -6,018 $4,062
     UPS33,898-6,018$4,062
Nucor Corp 78,080 +44,064 $3,975
     NUE78,080+44,064$3,975
PetIQ Inc 144,024 +120,122 $3,926
     PETQ144,024+120,122$3,926
Vistra Energy Corp 146,800 +60,064 $3,924
     VST146,800+60,064$3,924
United Technologies Corp 28,662 -8,466 $3,913
     UTX28,662-8,466$3,913
Hershey Co The 25,152 +752 $3,898
     HSY25,152+752$3,898
Fidelity National Information Services Inc 29,036 -15,198 $3,855
     FIS29,036-15,198$3,855
NRG Energy Inc 96,768 +24,064 $3,832
     NRG96,768+24,064$3,832
Ameriprise Financial Inc 25,960 +4,840 $3,819
     AMP25,960+4,840$3,819
McKesson Corp 27,742 +18,084 $3,791
     MCK27,742+18,084$3,791
Lear Corp 31,968 +1,680 $3,769
     LEA31,968+1,680$3,769
NorthWestern Corp 49,368 UNCH $3,705
     NWE49,368UNCH$3,705
Liberty SiriusXM Group 87,648 -53,042 $3,678
     LSXMK87,648-53,042$3,678
Yum Brands Inc 32,296 +9,878 $3,663
     YUM32,296+9,878$3,663
Teradyne Inc 63,118 -24,970 $3,655
     TER63,118-24,970$3,655
Gentex Corp MI 131,648 -44,240 $3,625
     GNTX131,648-44,240$3,625
Bank of New York Mellon Corp The 79,594 -286,688 $3,599
     BK79,594-286,688$3,599
Becton Dickinson and Co 14,048 -1,328 $3,554
     BDX14,048-1,328$3,554
Citrix Systems Inc 35,264 -5,952 $3,404
     CTXS35,264-5,952$3,404
CBRE Group Inc 63,360 +11,648 $3,359
     CBRE63,360+11,648$3,359
Cinemark Holdings Inc 86,816 +12,752 $3,355
     CNK86,816+12,752$3,355
Royal Caribbean Cruises Ltd 30,272 +15,136 $3,279
     RCL30,272+15,136$3,279
Fiserv Inc 31,086 +2,310 $3,220
     FISV31,086+2,310$3,220
Juniper Networks Inc 128,084 -45,936 $3,170
     JNPR128,084-45,936$3,170
JetBlue Airways Corp 185,200 +13,568 $3,102
     JBLU185,200+13,568$3,102
Allstate Corp The 28,496 -29,536 $3,097
     ALL28,496-29,536$3,097
Cabot Oil & Gas Corp 174,944 +72,432 $3,074
     COG174,944+72,432$3,074
Citizens Financial Group Inc 85,264 +24,592 $3,016
     CFG85,264+24,592$3,016
Hasbro Inc 25,398 -850 $3,015
     HAS25,398-850$3,015
Hartford Financial Services Group Inc 49,572 +8,364 $3,005
     HIG49,572+8,364$3,005
EOG Resources Inc 40,188 +9,656 $2,983
     EOG40,188+9,656$2,983
Healthcare Services Group Inc 122,208 +26,096 $2,968
     HCSG122,208+26,096$2,968
OneMain Holdings Inc 79,420 +11,110 $2,913
     OMF79,420+11,110$2,913
Telephone & Data Systems Inc 110,896 +528 $2,861
     TDS110,896+528$2,861
Leidos Holdings Inc 32,608 -720 $2,800
     LDOS32,608-720$2,800
HollyFrontier Corp 51,502 -30,118 $2,762
     HFC51,502-30,118$2,762
Jabil Circuit Inc 77,112 +27,030 $2,758
     JBL77,112+27,030$2,758
Marathon Petroleum Corp 45,390 -57,596 $2,758
     MPC45,390-57,596$2,758
CSX Corp 39,472 -8,560 $2,734
     CSX39,472-8,560$2,734
Goldman Sachs Group Inc The 13,178 -2,486 $2,731
     GS13,178-2,486$2,731
Ameren Corp 34,048 +1,376 $2,725
     AEE34,048+1,376$2,725
Timken Co 62,502 +12,936 $2,719
     TKR62,502+12,936$2,719
US Foods Holding Corp 66,164 -2,210 $2,719
     USFD66,164-2,210$2,719
Chemed Corp 6,426 +2,176 $2,683
     CHE6,426+2,176$2,683
Medical Properties Trust Inc 136,906 -62,656 $2,678
     MPW136,906-62,656$2,678
Wisconsin Energy Corp 27,968 +3,088 $2,660
     WEC27,968+3,088$2,660
EPR Properties 34,510 -61,710 $2,652
     EPR34,510-61,710$2,652
McGraw Hill Financial Inc 10,626 -1,386 $2,603
     SPGI10,626-1,386$2,603
Iron Mountain Inc 79,356 +26,282 $2,570
     IRM79,356+26,282$2,570
Lamar Advertising Co 31,314 -238 $2,566
     LAMR31,314-238$2,566
HealthEquity Inc 44,752 +10,992 $2,557
     HQY44,752+10,992$2,557
John Wiley & Sons Inc      $2,550
     JW.A58,038+32,742$2,550
Service Corp International US 52,700 -3,706 $2,520
     SCI52,700-3,706$2,520
Marsh & McLennan Cos Inc 24,832 +80 $2,484
     MMC24,832+80$2,484
Moody s Corp 12,002 -2,924 $2,458
     MCO12,002-2,924$2,458
Albemarle Corp 35,258 +3,332 $2,451
     ALB35,258+3,332$2,451
DXC Technology Co 82,060 UNCH $2,421
     DXC82,060UNCH$2,421
3M Co 14,696 +2,156 $2,416
     MMM14,696+2,156$2,416
Old Dominion Freight Line Inc 14,144 -4,544 $2,404
     ODFL14,144-4,544$2,404
Robert Half International Inc 43,024 -80,304 $2,395
     RHI43,024-80,304$2,395
Novartis AG 27,336 +2,822 $2,376
     NVS27,336+2,822$2,376
Williams Sonoma Inc 34,408 -3,298 $2,339
     WSM34,408-3,298$2,339
Alleghany Corp 2,924 -3,094 $2,333
     Y2,924-3,094$2,333
Zoetis Inc 18,546 -13,750 $2,311
     ZTS18,546-13,750$2,311
Liberty SiriusXM Group 55,330 -25,322 $2,300
     LSXMA55,330-25,322$2,300
WellPoint Inc 9,570 +4,180 $2,298
     ANTM9,570+4,180$2,298
Alliant Energy Corp 42,466 -680 $2,290
     LNT42,466-680$2,290
ON Semiconductor Corp 118,778 -18,854 $2,282
     ON118,778-18,854$2,282
Apple Hospitality REIT Inc 134,354 -87,142 $2,228
     APLE134,354-87,142$2,228
SBA Communications Corp 9,240 +1,914 $2,228
     SBAC9,240+1,914$2,228
DTE Energy Co 16,698 -682 $2,220
     DTE16,698-682$2,220
OGE Energy Corp 48,832 -67,504 $2,216
     OGE48,832-67,504$2,216
Skechers U.S.A. Inc 59,158 +12,892 $2,210
     SKX59,158+12,892$2,210
Brookfield Asset Management Inc 41,888 -4,692 $2,193
     BAM41,888-4,692$2,193
Alexandria Real Estate Equities Inc 14,212 -34 $2,189
     ARE14,212-34$2,189
eBay Inc 55,936 +25,264 $2,180
     EBAY55,936+25,264$2,180
United States Cellular Corp 57,902 +11,934 $2,176
     USM57,902+11,934$2,176
Popular Inc 40,128 -17,336 $2,170
     BPOP40,128-17,336$2,170
Cadence Design Systems Inc 32,576 +960 $2,153
     CDNS32,576+960$2,153
General Electric Co 236,572 -6,766 $2,115
     GE236,572-6,766$2,115
Kellogg Co 32,538 -2,530 $2,094
     K32,538-2,530$2,094
Omega Healthcare Investors Inc 49,544 +12,254 $2,070
     OHI49,544+12,254$2,070
Cooper Cos Inc The 6,936 -34 $2,060
     COO6,936-34$2,060
Edwards Lifesciences Corp 9,218 +1,210 $2,027
     EW9,218+1,210$2,027
Duke Realty Corp 59,432 +2,822 $2,019
     DRE59,432+2,822$2,019
Hawaiian Electric Industries Inc 43,554 -68 $1,986
     HE43,554-68$1,986
Crown Castle International Corp 14,176 -1,168 $1,971
     CCI14,176-1,168$1,971
Ventas Inc 26,864 -672 $1,962
     VTR26,864-672$1,962
WEX Inc 9,690 UNCH $1,958
     WEX9,690UNCH$1,958
CF Industries Holdings Inc 38,672 +4,784 $1,903
     CF38,672+4,784$1,903
Archer Daniels Midland Co 46,266 +11,550 $1,900
     ADM46,266+11,550$1,900
Michael Kors Holdings Ltd 56,882 -67,864 $1,886
     CPRI56,882-67,864$1,886
Zebra Technologies Corp 9,108 -6,270 $1,880
     ZBRA9,108-6,270$1,880
SITE CTRS CORP 123,872 +82,400 $1,872
     SITC123,872+82,400$1,872
Brown & Brown Inc 51,204 -10,098 $1,846
     BRO51,204-10,098$1,846
Old Republic International Corp 78,012 +46,838 $1,839
     ORI78,012+46,838$1,839
Hilton Worldwide Holdings Inc 19,316 +374 $1,799
     HLT19,316+374$1,799
Simon Property Group Inc 11,328 -2,304 $1,763
     SPG11,328-2,304$1,763
Kansas City Southern 13,244 +5,764 $1,762
     KSU13,244+5,764$1,762
Leucadia National Corp 94,160 +78,608 $1,733
     JEF94,160+78,608$1,733
Dover Corp 17,272 +3,638 $1,720
     DOV17,272+3,638$1,720
AMETEK Inc 18,568 +132 $1,705
     AME18,568+132$1,705
STERIS Corp 11,660 UNCH $1,685
     STE11,660UNCH$1,685
National Retail Properties Inc 29,568 +990 $1,668
     NNN29,568+990$1,668
Olin Corp 88,264 -23,518 $1,652
     OLN88,264-23,518$1,652
Royal Gold Inc 13,354 +5,038 $1,645
     RGLD13,354+5,038$1,645
WNS Holdings Ltd 27,664 UNCH $1,625
     WNS27,664UNCH$1,625
EQT Corp 148,988 +20,264 $1,585
     EQT148,988+20,264$1,585
KLA Tencor Corp 9,922 -13,398 $1,582
     KLAC9,922-13,398$1,582
CMS Energy Corp 24,640 -2,000 $1,576
     CMS24,640-2,000$1,576
Gardner Denver Holdings Inc 55,726 -2,040 $1,576
     GDI55,726-2,040$1,576
Lamb Weston Holdings Inc 21,522 -13,430 $1,565
     LW21,522-13,430$1,565
CyrusOne Inc 19,712 -3,916 $1,559
     CONE19,712-3,916$1,559
Aqua America Inc 34,452 -9,152 $1,545
     WTR34,452-9,152$1,545
First Trust Senior Loan ETF (FTSL) 32,406 UNCH $1,533
     FTSL32,406UNCH$1,533
WR Grace & Co 22,770 +11,726 $1,520
     GRA22,770+11,726$1,520
Toll Brothers Inc 36,762 -32,824 $1,509
     TOL36,762-32,824$1,509
Electronic Arts Inc 15,378 +5,786 $1,504
     EA15,378+5,786$1,504
Teledyne Technologies Inc 4,656 -1,008 $1,499
     TDY4,656-1,008$1,499
Masco Corp 35,904 +1,808 $1,497
     MAS35,904+1,808$1,497
American Water Works Co Inc 12,012 -3,058 $1,492
     AWK12,012-3,058$1,492
Church & Dwight Co Inc 19,808 -272 $1,490
     CHD19,808-272$1,490
Copart Inc 18,360 -816 $1,475
     CPRT18,360-816$1,475
FleetCor Technologies Inc 5,126 +1,122 $1,470
     FLT5,126+1,122$1,470
AptarGroup Inc 12,364 -3,476 $1,464
     ATR12,364-3,476$1,464
Fifth Third Bancorp 53,482 -114,614 $1,464
     FITB53,482-114,614$1,464
Camden Property Trust 13,156 +2,222 $1,460
     CPT13,156+2,222$1,460
Torchmark Corp 15,232 +15,232 $1,459
     GL15,232+15,232$1,459
McCormick & Co Inc MD 9,328 -160 $1,458
     MKC9,328-160$1,458
Cimarex Energy Co 29,728 -16,336 $1,425
     XEC29,728-16,336$1,425
ANSYS Inc 6,424 +2,838 $1,422
     ANSS6,424+2,838$1,422
Global Payments Inc 8,928 +592 $1,420
     GPN8,928+592$1,420
Baxter International Inc 16,128 -7,984 $1,411
     BAX16,128-7,984$1,411
Veeva Systems Inc 9,056 +5,584 $1,383
     VEEV9,056+5,584$1,383
Universal Display Corp 8,228 UNCH $1,381
     OLED8,228UNCH$1,381
Broadridge Financial Solutions Inc 11,050 -34 $1,375
     BR11,050-34$1,375
WR Berkley Corp 19,030 UNCH $1,375
     WRB19,030UNCH$1,375
Saia Inc 14,586 +11,396 $1,367
     SAIA14,586+11,396$1,367
Post Holdings Inc 12,848 -22,638 $1,360
     POST12,848-22,638$1,360
CVS Caremark Corp 21,392 -2,320 $1,349
     CVS21,392-2,320$1,349
Textron Inc 27,302 -63,668 $1,337
     TXT27,302-63,668$1,337
Chimera Investment Corp 68,102 -164,526 $1,332
     CIM68,102-164,526$1,332
FirstEnergy Corp 27,544 -3,036 $1,328
     FE27,544-3,036$1,328
iShares iBoxx Investment Grade Corporate Bond ET (LQD) 10,336 UNCH $1,318
     LQD10,336UNCH$1,318
VistaPrint NV 9,888 -9,328 $1,304
     CMPR9,888-9,328$1,304
United Therapeutics Corp 16,252 -12,580 $1,296
     UTHR16,252-12,580$1,296
Sealed Air Corp 31,144 +15,028 $1,293
     SEE31,144+15,028$1,293
Lennar Corp 22,480 +6,080 $1,256
     LEN22,480+6,080$1,256
MEDNAX Inc 55,528 -17,490 $1,256
     MD55,528-17,490$1,256
Yum China Holdings Inc 27,654 -11,264 $1,256
     YUMC27,654-11,264$1,256
Federal Realty Investment Trust 9,214 -34 $1,255
     FRT9,214-34$1,255
Graco Inc 27,214 -4,994 $1,253
     GGG27,214-4,994$1,253
Rockwell Automation Inc 7,584 +144 $1,250
     ROK7,584+144$1,250
First American Financial Corp 21,046 +782 $1,242
     FAF21,046+782$1,242
Nu Skin Enterprises Inc 29,136 +24,608 $1,239
     NUS29,136+24,608$1,239
Hanover Insurance Group Inc The 9,146 +476 $1,239
     THG9,146+476$1,239
General Dynamics Corp 6,766 -408 $1,236
     GD6,766-408$1,236
Coach Inc 47,072 +15,552 $1,226
     TPR47,072+15,552$1,226
VF Corp 13,736 -5,712 $1,222
     VFC13,736-5,712$1,222
Landstar System Inc 10,744 +3,264 $1,210
     LSTR10,744+3,264$1,210
Eastman Chemical Co 16,272 +5,296 $1,201
     EMN16,272+5,296$1,201
Varian Medical Systems Inc 10,080 +720 $1,200
     VAR10,080+720$1,200
Cable One Inc 944 -96 $1,184
     CABO944-96$1,184
General Mills Inc 21,200 +4,944 $1,169
     GIS21,200+4,944$1,169
XPO Logistics Inc 16,214 -1,210 $1,161
     XPO16,214-1,210$1,161
Pool Corp 5,720 UNCH $1,154
     POOL5,720UNCH$1,154
SL Green Realty Corp 14,080 -27,324 $1,151
     SLG14,080-27,324$1,151
American International Group Inc 20,608 +8,160 $1,148
     AIG20,608+8,160$1,148
CDW Corp DE 9,312 +2,928 $1,148
     CDW9,312+2,928$1,148
Roper Industries Inc 3,216 -448 $1,147
     ROP3,216-448$1,147
Sempra Energy 7,718 -102 $1,139
     SRE7,718-102$1,139
Resideo Technologies Inc 79,050 -4,182 $1,134
     REZI79,050-4,182$1,134
Pioneer Natural Resources Co 8,896 +528 $1,119
     PXD8,896+528$1,119
Live Nation Entertainment Inc 16,676 -12,320 $1,106
     LYV16,676-12,320$1,106
Jones Lang LaSalle Inc 7,898 +1,232 $1,098
     JLL7,898+1,232$1,098
CoreSite Realty Corp 8,908 +1,258 $1,086
     COR8,908+1,258$1,086
Cincinnati Financial Corp 9,232 -304 $1,077
     CINF9,232-304$1,077
Manhattan Associates Inc 13,158 -5,984 $1,061
     MANH13,158-5,984$1,061
Arthur J Gallagher & Co 11,832 -918 $1,060
     AJG11,832-918$1,060
Taiwan Semiconductor Manufacturing Co Ltd 22,768 +22,768 $1,058
     TSM22,768+22,768$1,058
SEI Investments Co 17,820 +990 $1,056
     SEIC17,820+990$1,056
ALLETE Inc 11,764 UNCH $1,028
     ALE11,764UNCH$1,028
NASDAQ OMX Group Inc The 10,274 +2,750 $1,021
     NDAQ10,274+2,750$1,021
Amphenol Corp 10,428 -12,496 $1,006
     APH10,428-12,496$1,006
Sabre Corp 44,176 +10,296 $989
     SABR44,176+10,296$989
General Motors Co 26,064 -30,944 $977
     GM26,064-30,944$977
Ecolab Inc 4,928 -4,832 $976
     ECL4,928-4,832$976
Sovran Self Storage Inc 9,262 +968 $976
     LSI9,262+968$976
Martin Marietta Materials Inc 3,552 +912 $974
     MLM3,552+912$974
Everest Re Group Ltd 3,630 -22 $966
     RE3,630-22$966
Weyerhaeuser Co 34,578 -15,606 $958
     WY34,578-15,606$958
Five Below Inc 7,590 +110 $957
     FIVE7,590+110$957
Garmin Ltd 11,296 -35,696 $957
     GRMN11,296-35,696$957
Wyndham Hotels & Resorts Inc 18,502 +2,200 $957
     WH18,502+2,200$957
Williams Cos Inc The 39,576 +4,250 $952
     WMB39,576+4,250$952
Chipotle Mexican Grill Inc 1,122 -102 $943
     CMG1,122-102$943
Bank of Hawaii Corp 10,880 UNCH $935
     BOH10,880UNCH$935
Albany International Corp 10,336 +3,264 $932
     AIN10,336+3,264$932
Murphy Oil Corp 41,984 -36,112 $928
     MUR41,984-36,112$928
Liberty Property Trust 17,996 +198 $924
     LPT17,996+198$924
Hanesbrands Inc 60,010 +10,472 $919
     HBI60,010+10,472$919
PerkinElmer Inc 10,744 +2,584 $915
     PKI10,744+2,584$915
Apartment Investment & Management Co 17,050 +22 $889
     AIV17,050+22$889
Occidental Petroleum Corp 19,984 +4,176 $889
     OXY19,984+4,176$889
Bank of Nova Scotia The 15,980 UNCH $882
     BNS15,980UNCH$882
Aptiv PLC 9,928 -1,020 $868
     APTV9,928-1,020$868
Goodyear Tire & Rubber Co The 59,928 -88,022 $863
     GT59,928-88,022$863
Cintas Corp 3,216 -1,296 $862
     CTAS3,216-1,296$862
ResMed Inc 6,358 -1,156 $859
     RMD6,358-1,156$859
Align Technology Inc 4,726 +1,428 $855
     ALGN4,726+1,428$855
Altice USA Inc 29,664 +28,736 $851
     ATUS29,664+28,736$851
Hill Rom Holdings Inc 8,074 UNCH $850
     HRC8,074UNCH$850
Selective Insurance Group Inc 11,220 UNCH $844
     SIGI11,220UNCH$844
Alexion Pharmaceuticals Inc 8,602 -578 $843
     ALXN8,602-578$843
Brunswick Corp DE 16,116 UNCH $840
     BC16,116UNCH$840
SS&C Technologies Holdings Inc 16,236 -11,308 $837
     SSNC16,236-11,308$837
Whirlpool Corp 5,270 -1,292 $835
     WHR5,270-1,292$835
Gartner Inc 5,814 +680 $831
     IT5,814+680$831
Vocera Communications Inc 33,584 +2,080 $828
     VCRA33,584+2,080$828
Eagle Materials Inc 9,146 UNCH $823
     EXP9,146UNCH$823
J&J Snack Foods Corp 4,284 UNCH $823
     JJSF4,284UNCH$823
Bank of the Ozarks Inc 29,716 UNCH $810
     OZK29,716UNCH$810
JBG SMITH Properties 20,468 UNCH $802
     JBGS20,468UNCH$802
Scotts Miracle Gro Co The 7,820 UNCH $796
     SMG7,820UNCH$796
Consumer Discretionary Select Sector SPDR Fund (XLY) 6,528 -3,910 $788
     XLY6,528-3,910$788
DR Horton Inc 14,916 -2,420 $786
     DHI14,916-2,420$786
Mosaic Co The 38,352 -37,264 $786
     MOS38,352-37,264$786
Children s Place Inc The 10,030 -6,562 $772
     PLCE10,030-6,562$772
Crown Holdings Inc 11,600 -7,232 $766
     CCK11,600-7,232$766
Littelfuse Inc 4,290 +132 $761
     LFUS4,290+132$761
STORE Capital Corp 20,332 +6,596 $761
     STOR20,332+6,596$761
Curtiss Wright Corp 5,874 UNCH $760
     CW5,874UNCH$760
Lennox International Inc 3,120 +16 $758
     LII3,120+16$758
Nielsen Holdings NV 35,632 +3,264 $757
     NLSN35,632+3,264$757
Sonoco Products Co 12,870 UNCH $749
     SON12,870UNCH$749
Vulcan Materials Co 4,944 -3,152 $748
     VMC4,944-3,152$748
American Financial Group Inc OH 6,848 UNCH $739
     AFG6,848UNCH$739
Genuine Parts Co 7,424 +208 $739
     GPC7,424+208$739
Polaris Industries Inc 8,382 +198 $738
     PII8,382+198$738
Jack in the Box Inc 8,092 UNCH $737
     JACK8,092UNCH$737
Campbell Soup Co 15,642 -12,166 $734
     CPB15,642-12,166$734
CoreLogic Inc United States 15,742 +1,020 $728
     CLGX15,742+1,020$728
Lincoln Electric Holdings Inc 8,382 +484 $727
     LECO8,382+484$727
Stifel Financial Corp 12,614 UNCH $724
     SF12,614UNCH$724
Jacobs Engineering Group Inc 7,888 -952 $722
     JEC7,888-952$722
Zimmer Holdings Inc 5,258 -946 $722
     ZBH5,258-946$722
Harley Davidson Inc 19,924 +612 $717
     HOG19,924+612$717
First Solar Inc 12,210 +176 $708
     FSLR12,210+176$708
Gossamer Bio Inc 42,174 +24,574 $708
     GOSS42,174+24,574$708
Gap Inc The 40,120 +6,868 $697
     GPS40,120+6,868$697
Highwoods Properties Inc 15,466 -352 $695
     HIW15,466-352$695
CBOE Holdings Inc 6,032 +80 $693
     CBOE6,032+80$693
Woodward Inc 6,358 +858 $686
     WWD6,358+858$686
CACI International Inc 2,944 -624 $681
     CACI2,944-624$681
Masimo Corp 4,544 UNCH $676
     MASI4,544UNCH$676
RenaissanceRe Holdings Ltd 3,472 -864 $672
     RNR3,472-864$672
Livent Corp 99,858 +11,682 $668
     LTHM99,858+11,682$668
nVent Electric PLC 30,294 -10,064 $668
     NVT30,294-10,064$668
Vornado Realty Trust 10,448 +320 $665
     VNO10,448+320$665
American Campus Communities Inc 13,808 +944 $664
     ACC13,808+944$664
Signature Bank New York NY 5,568 +208 $664
     SBNY5,568+208$664
Fulton Financial Corp 40,732 UNCH $659
     FULT40,732UNCH$659
Bank of Montreal 9,180 +68 $657
     BMO9,180+68$657
Kemper Corp 8,426 +1,914 $657
     KMPR8,426+1,914$657
Switch Inc 41,968 +10,640 $656
     SWCH41,968+10,640$656
Ciena Corp 16,480 +400 $647
     CIEN16,480+400$647
Shake Shack Inc 6,596 +102 $647
     SHAK6,596+102$647
Perspecta Inc 24,684 UNCH $645
     PRSP24,684UNCH$645
Mercury General Corp 11,462 +3,058 $640
     MCY11,462+3,058$640
ONE Gas Inc 6,644 UNCH $639
     OGS6,644UNCH$639
Lancaster Colony Corp 4,590 UNCH $636
     LANC4,590UNCH$636
GATX Corp 8,160 UNCH $633
     GATX8,160UNCH$633
WPX Energy Inc 59,026 -9,856 $625
     WPX59,026-9,856$625
TE Connectivity Ltd 6,688 -330 $623
     TEL6,688-330$623
GW Pharmaceuticals PLC 5,372 UNCH $618
     GWPH5,372UNCH$618
Semtech Corp 12,682 UNCH $616
     SMTC12,682UNCH$616
East West Bancorp Inc 13,712 +752 $607
     EWBC13,712+752$607
ViaSat Inc 8,064 +2,848 $607
     VSAT8,064+2,848$607
Suncor Energy Inc 19,584 +34 $603
     SU19,584+34$603
Pilgrim s Pride Corp 18,800 -38,320 $602
     PPC18,800-38,320$602
Verisk Analytics Inc 3,760 -2,064 $595
     VRSK3,760-2,064$595
Health Catalyst Inc 18,736 +18,736 $593
     HCAT18,736+18,736$593
Edison International 7,854 -27,302 $592
     EIX7,854-27,302$592
CBS Corp 14,592 +5,728 $589
     CBS14,592+5,728$589
Cousins Properties Inc 15,680 +5,120 $589
     CUZ15,680+5,120$589
SunTrust Banks Inc 8,568 +8,568 $589
     STI8,568+8,568$589
Hancock Holding Co 15,334 UNCH $587
     HWC15,334UNCH$587
T Mobile US Inc 7,360 +1,568 $580
     TMUS7,360+1,568$580
Apollo Commercial Real Estate Finance Inc 29,964 UNCH $574
     ARI29,964UNCH$574
Six Flags Entertainment Corp 11,176 UNCH $568
     SIX11,176UNCH$568
Brooks Automation Inc 15,300 +306 $566
     BRKS15,300+306$566
Valley National Bancorp 51,952 UNCH $565
     VLY51,952UNCH$565
Medicines Co The 11,264 +528 $563
     MDCO11,264+528$563
Synovus Financial Corp 15,744 +3,984 $563
     SNV15,744+3,984$563
First Horizon National Corp 34,560 UNCH $560
     FHN34,560UNCH$560
Teleflex Inc 1,648 +560 $560
     TFX1,648+560$560
CDK Global Inc 11,632 UNCH $559
     CDK11,632UNCH$559
Northwest Bancshares Inc (NWBI) 34,102 UNCH $559
     NWBI34,102UNCH$559
Silicon Laboratories Inc 4,912 +112 $547
     SLAB4,912+112$547
Hologic Inc 10,824 -616 $546
     HOLX10,824-616$546
Canadian National Railway Co 6,226 UNCH $544
     CNI6,226UNCH$544
Itron Inc 7,310 UNCH $541
     ITRI7,310UNCH$541
Sinclair Broadcast Group Inc 12,656 +12,656 $541
     SBGI12,656+12,656$541
Corporate Office Properties Trust 18,144 -944 $540
     OFC18,144-944$540
Mercury Systems Inc 6,600 UNCH $536
     MRCY6,600UNCH$536
First BanCorp Puerto Rico 53,652 UNCH $535
     FBP53,652UNCH$535
Sensient Technologies Corp 7,786 UNCH $534
     SXT7,786UNCH$534
Crowdstrike Holdings Inc 9,120 +8,448 $532
     CRWD9,120+8,448$532
Cheesecake Factory Inc The 12,716 UNCH $530
     CAKE12,716UNCH$530
Apache Corp 20,504 +3,960 $525
     APA20,504+3,960$525
NXP Semiconductor NV 4,794 -40,426 $523
     NXPI4,794-40,426$523
TD Ameritrade Holding Corp 11,152 +5,344 $521
     AMTD11,152+5,344$521
Tetra Tech Inc 6,006 UNCH $521
     TTEK6,006UNCH$521
Dril Quip Inc 10,370 UNCH $520
     DRQ10,370UNCH$520
Federated Investors Inc 15,946 UNCH $517
     FII15,946UNCH$517
National Instruments Corp 12,298 UNCH $516
     NATI12,298UNCH$516
Northwest Natural Hldg Co. 7,208 UNCH $514
     NWN7,208UNCH$514
Banner Corp 9,112 UNCH $512
     BANR9,112UNCH$512
Retail Opportunity Investments Corp 28,084 UNCH $512
     ROIC28,084UNCH$512
Chemours Co The 34,204 +612 $511
     CC34,204+612$511
Cullen Frost Bankers Inc 5,728 UNCH $507
     CFR5,728UNCH$507
Allscripts Healthcare Solutions Inc 46,206 +9,010 $507
     MDRX46,206+9,010$507
Moog Inc      $505
     MOG.A6,222UNCH$505
Cree Inc 10,272 +624 $503
     CREE10,272+624$503
WW Grainger Inc 1,694 UNCH $503
     GWW1,694UNCH$503
MAXIMUS Inc 6,512 +768 $503
     MMS6,512+768$503
Manulife Financial Corp 27,846 UNCH $497
     MFC27,846UNCH$497
First Industrial Realty Trust Inc 12,512 UNCH $495
     FR12,512UNCH$495
Senior Housing Properties Trust 53,516 +7,344 $495
     SNH53,516+7,344$495
First Financial Bankshares Inc (FFIN) 14,816 UNCH $494
     FFIN14,816UNCH$494
Cracker Barrel Old Country Store Inc 3,024 UNCH $492
     CBRL3,024UNCH$492
Wyndham Worldwide Corp 10,604 UNCH $488
     WYND10,604UNCH$488
Sabra Health Care REIT Inc 20,988 UNCH $482
     SBRA20,988UNCH$482
j2 Global Inc 5,280 UNCH $480
     JCOM5,280UNCH$480
Jack Henry & Associates Inc 3,280 -64 $479
     JKHY3,280-64$479
Corteva Inc 17,040 +464 $477
     CTVA17,040+464$477
Texas Roadhouse Inc 9,064 UNCH $476
     TXRH9,064UNCH$476
Arconic Inc 18,282 -2,552 $475
     ARNC18,282-2,552$475
National Oilwell Varco Inc 22,330 +1,804 $473
     NOV22,330+1,804$473
Healthcare Realty Trust Inc 14,000 UNCH $469
     HR14,000UNCH$469
Urban Edge Properties 23,256 +3,604 $460
     UE23,256+3,604$460
Barnes Group Inc 8,908 UNCH $459
     B8,908UNCH$459
Ollie s Bargain Outlet Holdings Inc 7,832 +1,804 $459
     OLLI7,832+1,804$459
FMC Technologies Inc 18,898 -1,496 $456
     FTI18,898-1,496$456
Symantec Corp 19,296 -4,752 $456
     SYMC19,296-4,752$456
Genpact Ltd 11,748 -4,114 $455
     G11,748-4,114$455
SLM Corp 51,436 UNCH $454
     SLM51,436UNCH$454
Allegheny Technologies Inc 22,202 UNCH $450
     ATI22,202UNCH$450
Clean Harbors Inc 5,830 -1,166 $450
     CLH5,830-1,166$450
SolarEdge Technologies Inc 5,368 UNCH $449
     SEDG5,368UNCH$449
Washington Federal Inc 12,078 UNCH $447
     WAFD12,078UNCH$447
United States Steel Corp 38,624 -5,712 $446
     X38,624-5,712$446
Tiffany & Co 4,774 +286 $442
     TIF4,774+286$442
Apollo Global Management LLC 11,660 -990 $441
     APO11,660-990$441
EastGroup Properties Inc 3,504 UNCH $438
     EGP3,504UNCH$438
Crane Co 5,424 UNCH $437
     CR5,424UNCH$437
Lithia Motors Inc 3,278 UNCH $434
     LAD3,278UNCH$434
Chart Industries Inc 6,868 +272 $428
     GTLS6,868+272$428
Dycom Industries Inc 8,364 UNCH $427
     DY8,364UNCH$427
Iridium Communications Inc 19,924 +952 $424
     IRDM19,924+952$424
Seagate Technology PLC 7,856 -1,712 $423
     STX7,856-1,712$423
KBR Inc 17,006 UNCH $417
     KBR17,006UNCH$417
Workday Inc 2,442 UNCH $415
     WDAY2,442UNCH$415
VanEck Vectors International High Yield Bond ETF (IHY) 16,800 UNCH $411
     IHY16,800UNCH$411
Synopsys Inc 2,992 -480 $411
     SNPS2,992-480$411
Universal Forest Products Inc 10,268 +170 $409
     UFPI10,268+170$409
Eaton Vance Corp 9,040 UNCH $406
     EV9,040UNCH$406
American States Water Co 4,496 +96 $404
     AWR4,496+96$404
Xylem Inc NY 5,060 +154 $403
     XYL5,060+154$403
Allegiant Travel Co 2,686 UNCH $402
     ALGT2,686UNCH$402
Federal Signal Corp 12,274 UNCH $402
     FSS12,274UNCH$402
Tempur Sealy International Inc 5,192 -3,674 $401
     TPX5,192-3,674$401
Sun Life Financial Inc 9,214 UNCH $400
     SLF9,214UNCH$400
Teradata Corp 12,914 UNCH $400
     TDC12,914UNCH$400
Valvoline Inc 18,176 -7,536 $400
     VVV18,176-7,536$400
Cabot Microelectronics Corp 2,816 UNCH $398
     CCMP2,816UNCH$398
Strayer Education Inc 2,924 UNCH $397
     STRA2,924UNCH$397
Acxiom Corp 9,196 UNCH $395
     RAMP9,196UNCH$395
Hess Corp 6,512 UNCH $394
     HES6,512UNCH$394
Alarm.com Holdings Inc 8,398 UNCH $392
     ALRM8,398UNCH$392
Pentair Ltd 10,272 -4,096 $388
     PNR10,272-4,096$388
TEGNA Inc 24,928 UNCH $387
     TGNA24,928UNCH$387
Pinnacle Financial Partners Inc 6,784 -400 $385
     PNFP6,784-400$385
Power Integrations Inc 4,246 +418 $384
     POWI4,246+418$384
Chemical Financial Corp 10,064 +1,488 $383
     TCF10,064+1,488$383
Amedisys Inc 2,912 UNCH $382
     AMED2,912UNCH$382
Lindsay Corp 4,114 -154 $382
     LNN4,114-154$382
Old National Bancorp IN 22,022 UNCH $379
     ONB22,022UNCH$379
JDS Uniphase Corp 26,976 UNCH $378
     VIAV26,976UNCH$378
World Wrestling Entertainment Inc 5,302 UNCH $377
     WWE5,302UNCH$377
SYNNEX Corp 3,312 +32 $374
     SNX3,312+32$374
CH Robinson Worldwide Inc 4,400 -64 $373
     CHRW4,400-64$373
Phillips 66 Partners LP 6,596 -2,856 $373
     PSXP6,596-2,856$373
Leggett & Platt Inc 9,088 -256 $372
     LEG9,088-256$372
Potlatch Corp 9,064 +1,892 $372
     PCH9,064+1,892$372
American Airlines Group Inc 13,744 +1,664 $371
     AAL13,744+1,664$371
Rollins Inc 10,864 +2,832 $370
     ROL10,864+2,832$370
Barrick Gold Corp 21,862 +578 $369
     GOLD21,862+578$369
Darling International Inc 19,228 UNCH $368
     DAR19,228UNCH$368
Weight Watchers International Inc 9,702 +9,702 $367
     WW9,702+9,702$367
South Jersey Industries Inc 11,110 UNCH $366
     SJI11,110UNCH$366
Washington Post Co The 550 UNCH $365
     GHC550UNCH$365
iRobot Corp 5,916 +408 $365
     IRBT5,916+408$365
Maxim Integrated Products Inc 6,288 +432 $364
     MXIM6,288+432$364
Coty Inc 34,496 +5,968 $363
     COTY34,496+5,968$363
VMware Inc 2,416 +272 $363
     VMW2,416+272$363
Veracyte Inc 14,976 +14,976 $359
     VCYT14,976+14,976$359
ServisFirst Bancshares Inc (SFBS) 10,812 UNCH $358
     SFBS10,812UNCH$358
California Water Service Group 6,688 +22 $354
     CWT6,688+22$354
Omnicell Inc 4,906 UNCH $354
     OMCL4,906UNCH$354
Marriott Vacations Worldwide Corp 3,408 UNCH $353
     VAC3,408UNCH$353
World Fuel Services Corp 8,734 UNCH $349
     INT8,734UNCH$349
Sage Therapeutics Inc 2,486 UNCH $349
     SAGE2,486UNCH$349
LivePerson Inc 9,658 UNCH $345
     LPSN9,658UNCH$345
EchoStar Corp 8,656 +8,656 $343
     SATS8,656+8,656$343
10X Genomics Inc 6,798 +6,798 $343
     TXG6,798+6,798$343
Globus Medical Inc 6,688 UNCH $342
     GMED6,688UNCH$342
SkyWest Inc 5,896 UNCH $338
     SKYW5,896UNCH$338
Helmerich & Payne Inc 8,400 +1,952 $337
     HP8,400+1,952$337
Alexander & Baldwin Inc 13,702 UNCH $336
     ALEX13,702UNCH$336
Thor Industries Inc 5,940 -154 $336
     THO5,940-154$336
Wintrust Financial Corp 5,184 UNCH $335
     WTFC5,184UNCH$335
Perficient Inc 8,636 UNCH $333
     PRFT8,636UNCH$333
Canadian Imperial Bank of Commerce Canada 4,136 UNCH $332
     CM4,136UNCH$332
Invesco Mortgage Capital Inc 21,692 +4,828 $332
     IVR21,692+4,828$332
KB Home 9,746 UNCH $331
     KBH9,746UNCH$331
Legg Mason Inc 8,624 -38,512 $329
     LM8,624-38,512$329
National Storage Affiliates Trust 9,856 UNCH $329
     NSA9,856UNCH$329
Select Medical Holdings Corp 19,856 +714 $329
     SEM19,856+714$329
NCR Corp 10,400 -1,824 $328
     NCR10,400-1,824$328
Texas Capital Bancshares Inc (TCBI) 5,852 UNCH $320
     TCBI5,852UNCH$320
Callaway Golf Co 16,434 +2,728 $319
     ELY16,434+2,728$319
Tech Data Corp 3,056 UNCH $319
     TECD3,056UNCH$319
Ameris Bancorp 7,898 +176 $318
     ABCB7,898+176$318
Glacier Bancorp Inc 7,856 UNCH $318
     GBCI7,856UNCH$318
INC Research Holdings Inc 5,968 UNCH $318
     SYNH5,968UNCH$318
Spotify Technology SA 2,772 +2,772 $316
     SPOT2,772+2,772$316
US Ecology Inc 4,930 UNCH $315
     ECOL4,930UNCH$315
Cantel Medical Corp 4,158 -1,210 $311
     CMD4,158-1,210$311
Cirrus Logic Inc 5,792 +112 $310
     CRUS5,792+112$310
Home BancShares Inc AR (HOMB) 16,522 UNCH $310
     HOMB16,522UNCH$310
PolyOne Corp 9,416 UNCH $307
     POL9,416UNCH$307
Supernus Pharmaceuticals Inc 11,186 +408 $307
     SUPN11,186+408$307
Wingstop Inc 3,520 UNCH $307
     WING3,520UNCH$307
Yelp Inc 8,800 +1,056 $306
     YELP8,800+1,056$306
Harsco Corp 15,946 UNCH $302
     HSC15,946UNCH$302
United Natural Foods Inc 26,112 +7,446 $301
     UNFI26,112+7,446$301
Restaurant Brands International Inc 4,318 UNCH $299
     QSR4,318UNCH$299
Hawaiian Holdings Inc 11,356 +68 $298
     HA11,356+68$298
HOPE BANCORP INC 20,768 UNCH $298
     HOPE20,768UNCH$298
MasTec Inc 4,592 UNCH $298
     MTZ4,592UNCH$298
Cooper Tire & Rubber Co 11,322 UNCH $296
     CTB11,322UNCH$296
Uniti Group Inc 38,080 +204 $296
     UNIT38,080+204$296
NuVasive Inc 4,656 UNCH $295
     NUVA4,656UNCH$295
Summit Hotel Properties Inc 25,228 +3,060 $293
     INN25,228+3,060$293
Zogenix Inc 7,326 +2,772 $293
     ZGNX7,326+2,772$293
Medpace Holdings Inc 3,476 UNCH $292
     MEDP3,476UNCH$292
Select Comfort Corp 7,062 UNCH $292
     SNBR7,062UNCH$292
Whiting Petroleum Corp 36,414 +9,724 $292
     WLL36,414+9,724$292
MarketAxess Holdings Inc 880 -2,272 $288
     MKTX880-2,272$288
WD 40 Co 1,568 UNCH $288
     WDFC1,568UNCH$288
G III Apparel Group Ltd 11,084 +1,292 $286
     GIII11,084+1,292$286
John Bean Technologies Corp 2,864 UNCH $285
     JBT2,864UNCH$285
Apergy Corp 10,384 +770 $281
     APY10,384+770$281
American Realty Capital Properties Inc 28,752 +22,192 $281
     VER28,752+22,192$281
Valmont Industries Inc 2,032 UNCH $281
     VMI2,032UNCH$281
Amarin Corp PLC 18,192 +1,744 $276
     AMRN18,192+1,744$276
American Assets Trust Inc 5,888 UNCH $275
     AAT5,888UNCH$275
American Eagle Outfitters Inc 16,864 +608 $274
     AEO16,864+608$274
Ligand Pharmaceuticals Inc 2,750 UNCH $274
     LGND2,750UNCH$274
Kennametal Inc 8,800 UNCH $270
     KMT8,800UNCH$270
Dana Holding Corp 18,590 UNCH $268
     DAN18,590UNCH$268
Simmons First National Corp 10,704 UNCH $267
     SFNC10,704UNCH$267
8x8 Inc 12,848 UNCH $266
     EGHT12,848UNCH$266
TransCanada Corp 5,280 UNCH $266
     TRP5,280UNCH$266
Cardtronics Inc 8,738 UNCH $264
     CATM8,738UNCH$264
Simpson Manufacturing Co Inc 3,792 UNCH $263
     SSD3,792UNCH$263
Canadian Pacific Railway Ltd 1,210 UNCH $261
     CP1,210UNCH$261
Applied Industrial Technologies Inc 4,576 UNCH $260
     AIT4,576UNCH$260
Visteon Corp 3,136 -848 $259
     VC3,136-848$259
First Midwest Bancorp Inc IL 12,976 UNCH $253
     FMBI12,976UNCH$253
Tenet Healthcare Corp 11,418 UNCH $253
     THC11,418UNCH$253
Chefs Warehouse Inc The 6,256 +374 $252
     CHEF6,256+374$252
GMS Inc 8,772 +2,006 $252
     GMS8,772+2,006$252
Rent A Center Inc TX 9,792 UNCH $252
     RCII9,792UNCH$252
United Fire Group Inc 5,338 UNCH $251
     UFCS5,338UNCH$251
Fabrinet 4,774 UNCH $250
     FN4,774UNCH$250
Okta Inc 2,544 -240 $250
     OKTA2,544-240$250
Taubman Centers Inc 6,096 UNCH $249
     TCO6,096UNCH$249
Dave & Buster s Entertainment Inc 6,380 +374 $248
     PLAY6,380+374$248
Vishay Intertechnology Inc 14,672 UNCH $248
     VSH14,672UNCH$248
Matador Resources Co 14,928 +3,936 $247
     MTDR14,928+3,936$247
CNO Financial Group Inc 15,536 +784 $246
     CNO15,536+784$246
SEACOR Holdings Inc 5,168 UNCH $243
     CKH5,168UNCH$243
CVB Financial Corp 11,632 UNCH $243
     CVBF11,632UNCH$243
Cabot Corp 5,344 UNCH $242
     CBT5,344UNCH$242
Kaman Corp 4,070 UNCH $242
     KAMN4,070UNCH$242
Rogers Corp 1,760 UNCH $241
     ROG1,760UNCH$241
Wolverine World Wide Inc 8,544 UNCH $241
     WWW8,544UNCH$241
Universal Insurance Holdings Inc 7,990 UNCH $240
     UVE7,990UNCH$240
Vonage Holdings Corp 21,248 UNCH $240
     VG21,248UNCH$240
Edgewell Personal Care Co 7,348 +352 $239
     EPC7,348+352$239
Iterum Therapeutics plc 40,290 -1,666 $238
     ITRM40,290-1,666$238
NVR Inc 64 -208 $238
     NVR64-208$238
Tree.com Inc 768 UNCH $238
     TREE768UNCH$238
Eagle Bancorp Inc 5,304 +1,360 $237
     EGBN5,304+1,360$237
Lexington Realty Trust 23,088 UNCH $237
     LXP23,088UNCH$237
Silgan Holdings Inc 7,904 UNCH $237
     SLGN7,904UNCH$237
Waddell & Reed Financial Inc 13,816 UNCH $237
     WDR13,816UNCH$237
Canadian Natural Resources Ltd 9,020 +22 $234
     CNQ9,020+22$234
Core Laboratories NV 4,976 +944 $232
     CLB4,976+944$232
Kaiser Aluminum Corp 2,332 UNCH $231
     KALU2,332UNCH$231
SPS Commerce Inc 4,840 +2,442 $228
     SPSC4,840+2,442$228
Anixter International Inc 3,278 UNCH $227
     AXE3,278UNCH$227
HEICO Corp      $224
     HEI.A2,032-208$198
     HEI208+208$26
Terex Corp 8,646 UNCH $224
     TEX8,646UNCH$224
GDS Holdings Ltd 5,474 +5,474 $220
     GDS5,474+5,474$220
Walker & Dunlop Inc 3,916 UNCH $219
     WD3,916UNCH$219
Hillenbrand Inc 7,040 UNCH $217
     HI7,040UNCH$217
American Equity Investment Life Holding Co 8,832 UNCH $214
     AEL8,832UNCH$214
Alnylam Pharmaceuticals Inc 2,656 UNCH $214
     ALNY2,656UNCH$214
First Financial Bancorp 8,752 UNCH $214
     FFBC8,752UNCH$214
Myriad Genetics Inc 7,440 +400 $213
     MYGN7,440+400$213
Arcosa Inc 6,204 -7,392 $212
     ACA6,204-7,392$212
Murphy USA Inc 2,480 UNCH $211
     MUSA2,480UNCH$211
Sturm Ruger & Co Inc 5,032 +1,054 $210
     RGR5,032+1,054$210
TRI Pointe Group Inc 13,920 UNCH $209
     TPH13,920UNCH$209
Worthington Industries Inc 5,764 UNCH $208
     WOR5,764UNCH$208
Westlake Chemical Corp 3,162 -4,692 $207
     WLK3,162-4,692$207
Belden Inc 3,840 UNCH $205
     BDC3,840UNCH$205
Karuna Therapeutics Inc 12,584 -660 $205
     KRTX12,584-660$205
SM Energy Co 21,098 +3,080 $205
     SM21,098+3,080$205
Cubic Corp 2,896 UNCH $204
     CUB2,896UNCH$204
American Woodmark Corp 2,288 +132 $203
     AMWD2,288+132$203
AMERISAFE Inc 3,058 UNCH $202
     AMSF3,058UNCH$202
CSG Systems International Inc 3,888 UNCH $201
     CSGS3,888UNCH$201
SPX FLOW Inc 5,082 UNCH $201
     FLOW5,082UNCH$201
Lantheus Holdings Inc 8,024 +3,060 $201
     LNTH8,024+3,060$201
Granite Construction Inc 6,226 +924 $200
     GVA6,226+924$200
AMERCO 512 +512 $200
     UHAL512+512$200
Bunge Ltd 3,502 +3,502 $198
     BG3,502+3,502$198
EW Scripps Co 14,858 +1,530 $197
     SSP14,858+1,530$197
SPX Corp 4,906 UNCH $196
     SPXC4,906UNCH$196
CIT Group Inc 4,304 +512 $195
     CIT4,304+512$195
Plexus Corp 3,120 UNCH $195
     PLXS3,120UNCH$195
Meredith Corp 5,302 +286 $194
     MDP5,302+286$194
Archrock Inc 19,360 +2,552 $193
     AROC19,360+2,552$193
Zoom Video Communications Inc 2,530 +308 $193
     ZM2,530+308$193
Cooper Standard Holding Inc 4,692 UNCH $192
     CPS4,692UNCH$192
Merit Medical Systems Inc 6,226 UNCH $190
     MMSI6,226UNCH$190
Bed Bath & Beyond Inc 17,744 UNCH $189
     BBBY17,744UNCH$189
NMI Holdings Inc 7,200 UNCH $189
     NMIH7,200UNCH$189
Crocs Inc 6,752 UNCH $187
     CROX6,752UNCH$187
Benchmark Electronics Inc 6,358 UNCH $185
     BHE6,358UNCH$185
Morphic Holding Inc 10,132 -306 $183
     MORF10,132-306$183
CONSOL Energy Inc 25,120 -7,248 $182
     CNX25,120-7,248$182
Trade Desk Inc The 968 +22 $182
     TTD968+22$182
Tanger Factory Outlet Centers Inc 11,680 +2,272 $181
     SKT11,680+2,272$181
Synaptics Inc 4,496 UNCH $180
     SYNA4,496UNCH$180
Deutsche Bank AG 22,848 UNCH $179
     DB22,848UNCH$179
Government Properties Income Trust 5,840 +1,008 $179
     OPI5,840+1,008$179
Calavo Growers Inc 1,872 UNCH $178
     CVGW1,872UNCH$178
KEMET Corp 9,746 UNCH $177
     KEM9,746UNCH$177
Nutrien Ltd 3,616 UNCH $175
     NTR3,616UNCH$175
Cheniere Energy Inc 2,754 -476 $174
     LNG2,754-476$174
Ferrari NV 1,078 UNCH $174
     RACE1,078UNCH$174
Silver Wheaton Corp 6,800 UNCH $174
     WPM6,800UNCH$174
FARO Technologies Inc 3,570 UNCH $173
     FARO3,570UNCH$173
Sonic Automotive Inc 5,500 UNCH $173
     SAH5,500UNCH$173
Buckle Inc The 8,262 UNCH $170
     BKE8,262UNCH$170
Easterly Government Properties Inc 7,936 UNCH $169
     DEA7,936UNCH$169
Eagle Pharmaceuticals Inc DE 2,992 UNCH $169
     EGRX2,992UNCH$169
REX American Resources Corp 2,210 UNCH $169
     REX2,210UNCH$169
Lannett Co Inc 14,824 UNCH $166
     LCI14,824UNCH$166
Universal Electronics Inc 3,264 UNCH $166
     UEIC3,264UNCH$166
HomeStreet Inc 6,028 UNCH $165
     HMST6,028UNCH$165
Big Lots Inc 6,710 UNCH $164
     BIG6,710UNCH$164
QIAGEN NV 4,896 +1,088 $164
     QGEN4,896+1,088$164
eHealth Inc 2,420 UNCH $162
     EHTH2,420UNCH$162
Oceaneering International Inc 11,808 +912 $160
     OII11,808+912$160
Customers Bancorp Inc 7,656 UNCH $159
     CUBI7,656UNCH$159
MaxLinear Inc 7,088 +208 $159
     MXL7,088+208$159
OSI Systems Inc 1,568 UNCH $159
     OSIS1,568UNCH$159
Signet Jewelers Ltd 9,482 +1,144 $159
     SIG9,482+1,144$159
Apogee Enterprises Inc 4,048 UNCH $158
     APOG4,048UNCH$158
Open Text Corp 3,982 UNCH $158
     OTEX3,982UNCH$158
Biohaven Pharmaceutical Holding Co Ltd 3,706 UNCH $155
     BHVN3,706UNCH$155
Xenia Hotels & Resorts Inc 7,348 +7,348 $155
     XHR7,348+7,348$155
CGI Group Inc 2,000 UNCH $154
     GIB2,000UNCH$154
Delphi Automotive PLC 11,216 +1,440 $150
     DLPH11,216+1,440$150
Helix Energy Solutions Group Inc 18,624 UNCH $150
     HLX18,624UNCH$150
Tessera Technologies Inc 7,260 +1,188 $150
     XPER7,260+1,188$150
Tabula Rasa HealthCare Inc 2,704 UNCH $149
     TRHC2,704UNCH$149
Caleres Inc 6,288 +1,712 $147
     CAL6,288+1,712$147
Plantronics Inc 3,904 UNCH $146
     PLT3,904UNCH$146
Seacoast Banking Corp of Florida 5,678 +1,428 $144
     SBCF5,678+1,428$144
Gentherm Inc 3,504 UNCH $144
     THRM3,504UNCH$144
Antero Midstream Partners LP 19,316 +19,316 $143
     AM19,316+19,316$143
Zendesk Inc 1,958 UNCH $143
     ZEN1,958UNCH$143
3D Systems Corp 17,380 UNCH $142
     DDD17,380UNCH$142
Tennant Co 2,002 UNCH $142
     TNC2,002UNCH$142
MarineMax Inc 9,078 +1,326 $141
     HZO9,078+1,326$141
Medifast Inc 1,364 UNCH $141
     MED1,364UNCH$141
TTM Technologies Inc 11,568 UNCH $141
     TTMI11,568UNCH$141
Xencor Inc 4,180 +4,180 $141
     XNCR4,180+4,180$141
Arkansas Best Corp 4,554 +1,034 $139
     ARCB4,554+1,034$139
HS Spinco Inc 11,664 +11,664 $139
     CVET11,664+11,664$139
Ferro Corp 11,764 +11,764 $139
     FOE11,764+11,764$139
Mueller Industries Inc 4,832 UNCH $139
     MLI4,832UNCH$139
Natus Medical Inc 4,268 UNCH $136
     BABY4,268UNCH$136
Garrett Motion Inc 13,668 UNCH $136
     GTX13,668UNCH$136
Nanometrics Inc 4,136 +44 $135
     NANO4,136+44$135
Cal Maine Foods Inc 3,344 UNCH $134
     CALM3,344UNCH$134
NOW Inc DE 11,712 +464 $134
     DNOW11,712+464$134
NIC Inc 6,480 UNCH $134
     EGOV6,480UNCH$134
Matson Inc 3,568 UNCH $134
     MATX3,568UNCH$134
Thomson Reuters Corp 2,068 UNCH $134
     TRI2,068UNCH$134
Gibraltar Industries Inc 2,896 UNCH $133
     ROCK2,896UNCH$133
TiVo Inc 17,468 +1,540 $133
     TIVO17,468+1,540$133
Anaplan Inc 2,816 UNCH $132
     PLAN2,816UNCH$132
Surmodics Inc 2,856 +986 $131
     SRDX2,856+986$131
Gildan Activewear Inc 3,744 UNCH $129
     GIL3,744UNCH$129
World Acceptance Corp 1,012 UNCH $129
     WRLD1,012UNCH$129
Oil States International Inc 9,536 +64 $127
     OIS9,536+64$127
Fiesta Restaurant Group Inc 12,138 +3,876 $126
     FRGI12,138+3,876$126
Hanmi Financial Corp 6,732 UNCH $126
     HAFC6,732UNCH$126
Virtusa Corp 3,472 UNCH $125
     VRTU3,472UNCH$125
Check Point Software Technologies Ltd 1,136 UNCH $124
     CHKP1,136UNCH$124
PetMed Express Inc 6,868 +136 $124
     PETS6,868+136$124
Ambac Financial Group Inc 6,288 +848 $123
     AMBC6,288+848$123
American Axle & Manufacturing Holdings Inc 14,976 UNCH $123
     AXL14,976UNCH$123
Sykes Enterprises Inc 4,016 UNCH $123
     SYKE4,016UNCH$123
Global Blood Therapeutics Inc 2,512 UNCH $122
     GBT2,512UNCH$122
Global Net Lease Inc 6,256 +3,200 $122
     GNL6,256+3,200$122
Choice Hotels International Inc 1,326 UNCH $118
     CHH1,326UNCH$118
Healthways Inc 7,106 +352 $118
     TVTY7,106+352$118
OFG Bancorp 5,328 UNCH $117
     OFG5,328UNCH$117
Aramark 2,662 -13,266 $116
     ARMK2,662-13,266$116
Industrial Select Sector SPDR Fund (XLI) 1,496 +1,292 $116
     XLI1,496+1,292$116
Cytokinetics Inc 10,098 UNCH $115
     CYTK10,098UNCH$115
Virtus Investment Partners Inc 1,024 +32 $113
     VRTS1,024+32$113
Piper Jaffray Cos 1,488 UNCH $112
     PJC1,488UNCH$112
El Pollo Loco Holdings Inc 10,098 +1,972 $111
     LOCO10,098+1,972$111
Rogers Communications Inc 2,352 UNCH $111
     RCI2,352UNCH$111
Varex Imaging Corp 3,872 UNCH $111
     VREX3,872UNCH$111
TELUS Corp 3,152 UNCH $109
     TU3,152UNCH$109
Heartland Express Inc 5,040 UNCH $108
     HTLD5,040UNCH$108
Matthews International Corp 3,040 +128 $108
     MATW3,040+128$108
Annaly Capital Management Inc 12,232 UNCH $108
     NLY12,232UNCH$108
SunCoke Energy Inc 19,108 +3,230 $108
     SXC19,108+3,230$108
Winnebago Industries Inc 2,800 UNCH $107
     WGO2,800UNCH$107
Fiat Chrysler Automobiles NV 7,766 UNCH $105
     FCAU7,766UNCH$105
OrthoPediatrics Corp 2,970 UNCH $105
     KIDS2,970UNCH$105
Ebix Inc 2,416 UNCH $102
     EBIX2,416UNCH$102
Shaw Communications Inc 5,296 UNCH $101
     SJR5,296UNCH$101
Brookfield Infrastructure Partners LP 2,006 -680 $100
     BIP2,006-680$100
Veeco Instruments Inc 8,432 +160 $99
     VECO8,432+160$99
CNH Industrial NV 9,216 UNCH $98
     CNHI9,216UNCH$98
Washington Real Estate Investment Trust 3,586 +3,586 $98
     WRE3,586+3,586$98
Anika Therapeutics Inc 1,760 +1,760 $97
     ANIK1,760+1,760$97
United Insurance Holdings Corp 6,732 UNCH $94
     UIHC6,732UNCH$94
Genesco Inc 2,288 UNCH $92
     GCO2,288UNCH$92
Dynamic Materials Corp 2,068 +2,068 $91
     BOOM2,068+2,068$91
Smartsheet Inc 2,530 UNCH $91
     SMAR2,530UNCH$91
Materials Select Sector SPDR Fund (XLB) 1,564 -204 $91
     XLB1,564-204$91
Simulations Plus Inc 2,576 UNCH $89
     SLP2,576UNCH$89
Clearwater Paper Corp 4,114 +66 $87
     CLW4,114+66$87
Veritex Holdings Inc 3,536 +1,008 $86
     VBTX3,536+1,008$86
Echo Global Logistics Inc 3,744 +1,008 $85
     ECHO3,744+1,008$85
SMART Global Holdings Inc 3,300 UNCH $84
     SGH3,300UNCH$84
Wabash National Corp 5,760 UNCH $84
     WNC5,760UNCH$84
Shutterstock Inc 2,224 UNCH $80
     SSTK2,224UNCH$80
American National Insurance Co 624 +624 $77
     ANAT624+624$77
SPDR Bloomberg Barclays International Corporate Bo (IBND) 2,310 UNCH $77
     IBND2,310UNCH$77
Applied Optoelectronics Inc 6,666 UNCH $75
     AAOI6,666UNCH$75
Hibbett Sports Inc 3,280 UNCH $75
     HIBB3,280UNCH$75
SolarWinds Inc 4,048 -396 $75
     SWI4,048-396$75
Alteryx Inc 688 -400 $74
     AYX688-400$74
Tactile Systems Technology Inc 1,760 UNCH $74
     TCMD1,760UNCH$74
Zumiez Inc 2,332 +2,332 $74
     ZUMZ2,332+2,332$74
Era Group Inc 6,936 +68 $73
     ERA6,936+68$73
Vanda Pharmaceuticals Inc 5,456 +256 $73
     VNDA5,456+256$73
FutureFuel Corp 6,052 UNCH $72
     FF6,052UNCH$72
Silk Road Medical Inc 2,208 +1,856 $72
     SILK2,208+1,856$72
Dropbox Inc 3,400 UNCH $69
     DBX3,400UNCH$69
PH Glatfelter Co 4,496 UNCH $69
     GLT4,496UNCH$69
Communication Services Select Sector SPDR Fund (XLC) 1,394 UNCH $69
     XLC1,394UNCH$69
Team Inc 3,728 UNCH $67
     TISI3,728UNCH$67
Matrix Service Co 3,792 UNCH $65
     MTRX3,792UNCH$65
CyberArk Software Ltd 640 +96 $64
     CYBR640+96$64
Marcus Corp The 1,734 +1,734 $64
     MCS1,734+1,734$64
ManTech International Corp VA 884 +884 $63
     MANT884+884$63
VASCO Data Security International Inc 4,312 UNCH $62
     OSPN4,312UNCH$62
Vicor Corp 2,064 UNCH $61
     VICR2,064UNCH$61
CalAmp Corp 5,248 UNCH $60
     CAMP5,248UNCH$60
Shoe Carnival Inc 1,840 +1,840 $60
     SCVL1,840+1,840$60
Seneca Foods Corp 1,938 UNCH $60
     SENEA1,938UNCH$60
CNA Financial Corp 1,200 -6,704 $59
     CNA1,200-6,704$59
Teck Resources Ltd 3,776 UNCH $59
     TECK3,776UNCH$59
OraSure Technologies Inc 7,568 UNCH $57
     OSUR7,568UNCH$57
Cross Country Healthcare Inc 5,392 +1,072 $56
     CCRN5,392+1,072$56
CIRCOR International Inc 1,456 -1,440 $55
     CIR1,456-1,440$55
American Vanguard Corp (AVD) 3,432 UNCH $54
     AVD3,432UNCH$54
Hawkins Inc 1,264 UNCH $54
     HWKN1,264UNCH$54
FireEye Inc 3,910 UNCH $52
     FEYE3,910UNCH$52
Movado Group Inc 2,032 UNCH $51
     MOV2,032UNCH$51
ServiceMaster Global Holdings Inc 884 -22,848 $49
     SERV884-22,848$49
Continental Resources Inc OK 1,564 -340 $48
     CLR1,564-340$48
Veritiv Corp 2,576 +992 $47
     VRTV2,576+992$47
Seattle Genetics Inc 544 -816 $46
     SGEN544-816$46
Zscaler Inc 968 +396 $46
     ZS968+396$46
Morningstar Inc 306 -340 $45
     MORN306-340$45
RingCentral Inc 340 -476 $43
     RNG340-476$43
Valeant Pharmaceuticals International Inc 1,952 UNCH $41
     BHC1,952UNCH$41
Grand Canyon Education Inc 418 -1,474 $41
     LOPE418-1,474$41
Motorcar Parts of America Inc 2,400 UNCH $41
     MPAA2,400UNCH$41
Geospace Technologies Corp 2,528 UNCH $39
     GEOS2,528UNCH$39
KLX Energy Services Holdings Inc 4,510 +1,254 $39
     KLXE4,510+1,254$39
Orthofix International NV 638 +638 $34
     OFIX638+638$34
BankUnited Inc 986 +986 $33
     BKU986+986$33
Granite Point Mortgage Trust Inc 1,782 UNCH $33
     GPMT1,782UNCH$33
Mattel Inc 2,880 +1,760 $33
     MAT2,880+1,760$33
Theravance Biopharma Inc 1,584 +1,100 $31
     TBPH1,584+1,100$31
Fate Therapeutics Inc 1,904 UNCH $30
     FATE1,904UNCH$30
Photronics Inc 2,788 +2,788 $30
     PLAB2,788+2,788$30
Y mAbs Therapeutics Inc 1,166 -440 $30
     YMAB1,166-440$30
Cameco Corp 3,080 UNCH $28
     CCJ3,080UNCH$28
Chuy s Holdings Inc 1,136 +1,136 $28
     CHUY1,136+1,136$28
TechTarget Inc 1,232 +1,232 $28
     TTGT1,232+1,232$28
BeiGene Ltd 224 UNCH $27
     BGNE224UNCH$27
Appfolio Inc 264 UNCH $25
     APPF264UNCH$25
CVR Energy Inc 576 +576 $25
     CVI576+576$25
Five9 Inc 462 UNCH $25
     FIVN462UNCH$25
Homology Medicines Inc 1,408 +1,408 $25
     FIXX1,408+1,408$25
Lion Biotechnologies Inc 1,360 -238 $25
     IOVA1,360-238$25
Verso Corp 1,984 UNCH $25
     VRS1,984UNCH$25
Apellis Pharmaceuticals Inc 1,012 +1,012 $24
     APLS1,012+1,012$24
CAE Inc 976 UNCH $24
     CAE976UNCH$24
Cornerstone OnDemand Inc 442 UNCH $24
     CSOD442UNCH$24
Upland Software Inc 680 UNCH $24
     UPLD680UNCH$24
BELLUS Health Inc 3,552 +3,552 $23
     BLU3,552+3,552$23
Coupa Software Inc 176 -176 $23
     COUP176-176$23
Ruth s Hospitality Group Inc 1,122 +1,122 $23
     RUTH1,122+1,122$23
MyoKardia Inc 416 UNCH $22
     MYOK416UNCH$22
Invitae Corp 1,156 +1,156 $22
     NVTA1,156+1,156$22
Slack Technologies Inc 924 UNCH $22
     WORK924UNCH$22
Vermilion Energy Inc 1,296 UNCH $21
     VET1,296UNCH$21
Arsanis Inc 1,606 +1,606 $20
     XFOR1,606+1,606$20
Replimune Group Inc 1,394 UNCH $19
     REPL1,394UNCH$19
Roku Inc 176 +176 $18
     ROKU176+176$18
Alector Inc 1,190 UNCH $17
     ALEC1,190UNCH$17
Cutera Inc 572 +572 $17
     CUTR572+572$17
GoDaddy Inc 264 UNCH $17
     GDDY264UNCH$17
Natera Inc 506 +506 $17
     NTRA506+506$17
Hersha Hospitality Trust 1,088 +1,088 $16
     HT1,088+1,088$16
Andersons Inc The 660 +660 $15
     ANDE660+660$15
Syndax Pharmaceuticals Inc 2,048 UNCH $15
     SNDX2,048UNCH$15
Third Point Reinsurance Ltd 1,496 +1,496 $15
     TPRE1,496+1,496$15
GrafTech International Ltd 1,078 +1,078 $14
     EAF1,078+1,078$14
Nuance Communications Inc 832 -5,024 $14
     NUAN832-5,024$14
Heron Therapeutics Inc 688 UNCH $13
     HRTX688UNCH$13
Cloudera Inc 1,364 UNCH $12
     CLDR1,364UNCH$12
CloudFlare Inc 660 +660 $12
     NET660+660$12
Altera Corp 320 UNCH $11
     ALTR320UNCH$11
Cyclerion Therapeutics Inc 880 +880 $11
     CYCN880+880$11
Elastic NV 136 UNCH $11
     ESTC136UNCH$11
Amicus Therapeutics Inc 1,320 +1,320 $11
     FOLD1,320+1,320$11
Verint Systems Inc 256 UNCH $11
     VRNT256UNCH$11
Carbylan Therapeutics Inc 836 UNCH $10
     KALV836UNCH$10
Cymabay Therapeutics Inc 1,738 UNCH $9
     CBAY1,738UNCH$9
Chiasma Inc 1,734 UNCH $9
     CHMA1,734UNCH$9
DXP Enterprises Inc 264 +264 $9
     DXPE264+264$9
Nutanix Inc 336 UNCH $9
     NTNX336UNCH$9
Brookfield Property Partners LP 340 UNCH $7
     BPY340UNCH$7
Elbit Systems Ltd 44 UNCH $7
     ESLT44UNCH$7
ShotSpotter Inc 272 UNCH $6
     SSTI272UNCH$6
Vanguard Intermediate Term Corporate Bond ETF (VCIT) 64 UNCH $6
     VCIT64UNCH$6
Datadog Inc 110 +110 $4
     DDOG110+110$4
Crinetics Pharmaceuticals Inc 160 +0 $2
     CRNX160UNCH$2
Allena Pharmaceuticals Inc $0 (exited)
     ALNA0-986$0
Aquestive Therapeutics Inc $0 (exited)
     AQST0-2,332$0
Alibaba Group Holding Ltd $0 (exited)
     BABA0-4,182$0
Berry Plastics Group Inc $0 (exited)
     BERY0-17,116$0
Sotheby s $0 (exited)
     BID0-5,346$0
Credit Acceptance Corp $0 (exited)
     CACC0-1,648$0
Cambrex Corp $0 (exited)
     CBM0-4,576$0
C&J Energy Services Inc $0 (exited)
     CJ0-9,376$0
Corcept Therapeutics Inc $0 (exited)
     CORT0-20,468$0
Copa Holdings SA $0 (exited)
     CPA0-4,840$0
Callon Petroleum Co $0 (exited)
     CPE0-36,916$0
HS Spinco Inc $0 (exited)
     CVETV0-12,896$0
Cyclerion Therapeutics Inc $0 (exited)
     CYCNV0-880$0
Tableau Software Inc $0 (exited)
     DATA0-400$0
Eidos Therapeutics Inc $0 (exited)
     EIDX0-2,090$0
Elanco Animal Health Inc $0 (exited)
     ELAN0-5,918$0
First Data Corp $0 (exited)
     FDC0-18,880$0
Flextronics International Ltd $0 (exited)
     FLEX0-5,888$0
Floor & Decor Holdings Inc $0 (exited)
     FND0-7,898$0
Gannett SpinCo Inc $0 (exited)
     GCI0-26,452$0
GameStop Corp $0 (exited)
     GME0-32,062$0
Genesee & Wyoming Inc $0 (exited)
     GWR0-5,104$0
Isis Pharmaceuticals Inc $0 (exited)
     IONS0-18,394$0
Itau Unibanco Holding SA $0 (exited)
     ITUB0-34,306$0
Invacare Corp $0 (exited)
     IVC0-8,432$0
KKR & Co LP $0 (exited)
     KKR0-7,832$0
Liberty Broadband Corp $0 (exited)
     LBRDK0-3,102$0
ViewPoint Financial Group Inc $0 (exited)
     LTXB0-5,664$0
McDermott International Inc $0 (exited)
     MDR0-27,456$0
Navigant Consulting Inc $0 (exited)
     NCI0-7,766$0
Invesco International Corporate Bond ETF $0 (exited)
     PICB0-11,084$0
PolarityTE Inc $0 (exited)
     PTE0-154$0
Pivotal Software Inc $0 (exited)
     PVTL0-5,472$0
Transocean Ltd $0 (exited)
     RIG0-56,320$0
Retail Properties of America Inc $0 (exited)
     RPAI0-170,306$0
Rudolph Technologies Inc $0 (exited)
     RTEC0-5,170$0
Sea Ltd $0 (exited)
     SE0-4,352$0
Takeda Pharmaceutical Co Ltd $0 (exited)
     TAK0-8,096$0
Tailored Brands Inc $0 (exited)
     TLRD0-10,272$0
TimkenSteel Corp $0 (exited)
     TMST0-7,216$0
Monotype Imaging Holdings Inc $0 (exited)
     TYPE0-8,772$0
Virtu Financial Inc $0 (exited)
     VIRT0-7,312$0
Vista Outdoor Inc $0 (exited)
     VSTO0-7,664$0
WageWorks Inc $0 (exited)
     WAGE0-10,318$0
WisdomTree Investments Inc 0 -12,176 $0 (exited)
     WETF0-12,176$0

See Summary: Neuburgh Advisers LLC Top Holdings
See Details: Top 10 Stocks Held By Neuburgh Advisers LLC

EntityShares/Amount
Change
Position Value
Change
IWM +254,320+$38,489
SVC +328,440+$8,470
GL +15,232+$1,459
TSM +22,768+$1,058
HCAT +18,736+$593
STI +8,568+$589
SBGI +12,656+$541
WW +9,702+$367
VCYT +14,976+$359
SATS +8,656+$343
EntityShares/Amount
Change
Position Value
Change
RPAI -170,306-$2,003
IONS -18,394-$1,182
BERY -17,116-$900
CACC -1,648-$797
BABA -4,182-$709
WAGE -10,318-$524
FDC -18,880-$511
GWR -5,104-$510
CPA -4,840-$472
RIG -56,320-$361
EntityShares/Amount
Change
Position Value
Change
PS +387,664+$5,415
BAC +180,472+$5,559
IPG +137,530+$2,873
NAVI +125,818+$1,432
PETQ +120,122+$3,138
BMY +101,116+$6,330
C +98,464+$6,631
IQV +94,180+$12,866
OKE +91,058+$6,860
UNM +87,924+$1,869
EntityShares/Amount
Change
Position Value
Change
BK -286,688-$12,572
BRX -198,832-$2,365
CIM -164,526-$3,058
ALLY -164,144-$4,653
ORCL -160,248-$9,388
PFE -125,358-$10,136
GLW -119,646-$4,715
FITB -114,614-$3,226
GT -88,022-$1,401
Size ($ in 1000's)
At 09/30/2019: $3,216,153
At 06/30/2019: $3,105,472

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

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