HoldingsChannel.com
All Stocks Held By Nordea Investment Management AB
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
MICROSOFT CORP 9,259,802 +384,953 $1,456,107
     MSFT9,259,802+384,953$1,456,107
APPLE INC 4,563,381 +63,221 $1,333,364
     AAPL4,563,381+63,221$1,333,364
JOHNSON & JOHNSON 8,875,157 -392,885 $1,286,310
     JNJ8,875,157-392,885$1,286,310
AMGEN INC 4,362,623 -164,847 $1,047,116
     AMGN4,362,623-164,847$1,047,116
CIGNA CORP NEW 4,978,790 -155,479 $1,007,812
     CI4,978,790-155,479$1,007,812
COMCAST CORP NEW 22,057,584 +4,593,197 $988,989
     CMCSA22,057,584+4,593,197$988,989
MEDTRONIC PLC 8,701,159 -68,478 $980,061
     MDT8,701,159-68,478$980,061
AT&T INC 24,611,680 +1,212,442 $960,117
     T24,611,680+1,212,442$960,117
CISCO SYS INC 19,464,325 +1,969,730 $927,904
     CSCO19,464,325+1,969,730$927,904
ALPHABET INC 585,804 -119,654 $784,441
     GOOGL585,804-119,654$784,441
MERCK & CO INC 8,244,395 +656,069 $746,696
     MRK8,244,395+656,069$746,696
ORACLE CORP 14,095,011 -160,932 $744,292
     ORCL14,095,011-160,932$744,292
ANTHEM INC 2,368,415 -63,567 $720,550
     ANTM2,368,415-63,567$720,550
CVS HEALTH CORP 9,572,466 -251,110 $707,799
     CVS9,572,466-251,110$707,799
ALIBABA GROUP HLDG LTD 3,161,401 +330,706 $673,386
     BABA3,161,401+330,706$673,386
JPMORGAN CHASE & CO 4,555,096 -426,615 $631,761
     JPM4,555,096-426,615$631,761
BRISTOL MYERS SQUIBB CO 9,815,500 -1,949,835 $624,520
     BMY9,815,500-1,949,835$624,520
COGNIZANT TECHNOLOGY SOLUTIO 10,009,558 -483,926 $616,631
     CTSH10,009,558-483,926$616,631
AMAZON COM INC 315,535 +29,645 $583,351
     AMZN315,535+29,645$583,351
PFIZER INC 14,966,587 -385,075 $581,809
     PFE14,966,587-385,075$581,809
INTERNATIONAL BUSINESS MACHS 4,182,699 +645,735 $558,591
     IBM4,182,699+645,735$558,591
SIMON PPTY GROUP INC NEW 3,684,244 -40,007 $544,910
     SPG3,684,244-40,007$544,910
CHECK POINT SOFTWARE TECH LT 4,708,719 +301,921 $527,864
     CHKP4,708,719+301,921$527,864
VISA INC 2,750,689 +166,116 $515,217
     V2,750,689+166,116$515,217
EBAY INC 14,294,768 +1,589,435 $510,705
     EBAY14,294,768+1,589,435$510,705
TARGET CORP 3,940,893 -507,862 $505,270
     TGT3,940,893-507,862$505,270
MASTERCARD INC 1,623,419 +96,165 $483,018
     MA1,623,419+96,165$483,018
ALPHABET INC 361,786 +16,856 $483,006
     GOOG361,786+16,856$483,006
VERIZON COMMUNICATIONS INC 7,872,470 -152,097 $481,481
     VZ7,872,470-152,097$481,481
CITIGROUP INC 5,780,066 +62,730 $460,462
     C5,780,066+62,730$460,462
BANK N S HALIFAX 7,696,094 -174,999 $433,427
     BNS7,696,094-174,999$433,427
ZIMMER BIOMET HLDGS INC 2,846,200 -80,787 $423,835
     ZBH2,846,200-80,787$423,835
ACCENTURE PLC IRELAND 1,984,639 +192,137 $417,829
     ACN1,984,639+192,137$417,829
UNITEDHEALTH GROUP INC 1,372,116 -20,028 $401,874
     UNH1,372,116-20,028$401,874
INTEL CORP 6,661,042 +214,015 $398,370
     INTC6,661,042+214,015$398,370
CHUBB LIMITED 2,474,179 -38,269 $385,087
     CB2,474,179-38,269$385,087
FACEBOOK INC 1,728,415 +3,920 $353,873
     FB1,728,415+3,920$353,873
AMERICAN EXPRESS CO 2,840,151 +393,533 $353,805
     AXP2,840,151+393,533$353,805
HOME DEPOT INC 1,572,270 +12,663 $341,495
     HD1,572,270+12,663$341,495
MCKESSON CORP 2,410,824 -44,023 $330,937
     MCK2,410,824-44,023$330,937
EXXON MOBIL CORP 4,705,913 -210,405 $326,170
     XOM4,705,913-210,405$326,170
LABORATORY CORP AMER HLDGS 1,915,836 -38,759 $323,424
     LH1,915,836-38,759$323,424
WASTE MGMT INC DEL 2,822,958 +120,439 $321,684
     WM2,822,958+120,439$321,684
LAM RESEARCH CORP 1,057,031 -75,530 $308,093
     LRCX1,057,031-75,530$308,093
TC ENERGY CORP 5,832,760 -1,066,587 $307,864
     TRP5,832,760-1,066,587$307,864
ADOBE INC 875,053 +23,883 $287,395
     ADBE875,053+23,883$287,395
PEPSICO INC 2,064,069 +129,558 $281,904
     PEP2,064,069+129,558$281,904
STARBUCKS CORP 3,171,543 +278,888 $278,005
     SBUX3,171,543+278,888$278,005
ROYAL BK CDA MONTREAL QUE 3,493,841 -79,025 $276,339
     RY3,493,841-79,025$276,339
BERKSHIRE HATHAWAY INC DEL      $265,401
     BRK.B1,174,441-72,380$265,401
AUTOMATIC DATA PROCESSING IN 1,558,533 +284,307 $265,010
     ADP1,558,533+284,307$265,010
TEXAS INSTRS INC 2,066,564 -342,609 $264,145
     TXN2,066,564-342,609$264,145
BANK AMER CORP 7,511,694 -386,677 $264,134
     BAC7,511,694-386,677$264,134
AMDOCS LTD 3,386,044 -96,604 $244,601
     DOX3,386,044-96,604$244,601
PUBLIC SVC ENTERPRISE GRP IN 4,109,948 -307,318 $241,911
     PEG4,109,948-307,318$241,911
LAUDER ESTEE COS INC 1,135,694 +220,758 $234,455
     EL1,135,694+220,758$234,455
3M CO 1,311,599 -10,535 $230,959
     MMM1,311,599-10,535$230,959
UNIVERSAL HLTH SVCS INC 1,538,472 +526,731 $219,925
     UHS1,538,472+526,731$219,925
DISCOVER FINL SVCS 2,560,803 -150,528 $217,590
     DFS2,560,803-150,528$217,590
NIKE INC 2,127,640 -439,113 $214,528
     NKE2,127,640-439,113$214,528
WALGREENS BOOTS ALLIANCE INC 3,468,970 -1,349,890 $205,588
     WBA3,468,970-1,349,890$205,588
ARCHER DANIELS MIDLAND CO 4,428,358 +29,763 $204,352
     ADM4,428,358+29,763$204,352
ABBVIE INC 2,291,898 -8,461 $202,646
     ABBV2,291,898-8,461$202,646
LILLY ELI & CO 1,526,394 +148,693 $199,640
     LLY1,526,394+148,693$199,640
AUTOZONE INC 167,568 -27,891 $198,412
     AZO167,568-27,891$198,412
XILINX INC 1,906,315 +220,198 $187,566
     XLNX1,906,315+220,198$187,566
PPL CORP 5,235,641 -1,552,937 $186,786
     PPL5,235,641-1,552,937$186,786
PROCTER & GAMBLE CO 1,494,297 +82,727 $185,835
     PG1,494,297+82,727$185,835
TE CONNECTIVITY LTD 1,936,891 -100,198 $185,266
     TEL1,936,891-100,198$185,266
LKQ CORP 5,071,167 -146,229 $181,167
     LKQ5,071,167-146,229$181,167
INTERNATIONAL FLAVORS&FRAGRA 1,385,459 +194,177 $177,677
     IFF1,385,459+194,177$177,677
PRUDENTIAL FINL INC 1,892,843 -10,226 $176,976
     PRU1,892,843-10,226$176,976
INFOSYS LTD 17,313,976 +13,209,296 $176,236
     INFY17,313,976+13,209,296$176,236
CITRIX SYS INC 1,542,570 -1,414,585 $170,794
     CTXS1,542,570-1,414,585$170,794
MONSTER BEVERAGE CORP NEW 2,612,472 +280,133 $165,515
     MNST2,612,472+280,133$165,515
CREDICORP LTD 768,635 +260,792 $164,263
     BAP768,635+260,792$164,263
EXELON CORP 3,562,121 -166,711 $161,670
     EXC3,562,121-166,711$161,670
SIGNATURE BK NEW YORK N Y 1,140,616 -43,470 $156,848
     SBNY1,140,616-43,470$156,848
BIOGEN INC 522,041 +8,660 $154,634
     BIIB522,041+8,660$154,634
TJX COS INC NEW 2,458,708 -1,776,200 $150,203
     TJX2,458,708-1,776,200$150,203
CUMMINS INC 823,114 -33,323 $147,858
     CMI823,114-33,323$147,858
KELLOGG CO 2,133,240 -87,677 $146,859
     K2,133,240-87,677$146,859
FEDEX CORP 971,148 -300,622 $146,578
     FDX971,148-300,622$146,578
WELLS FARGO CO NEW 2,663,872 -193,372 $142,849
     WFC2,663,872-193,372$142,849
NVIDIA CORP 599,374 +89,306 $140,839
     NVDA599,374+89,306$140,839
SALESFORCE COM INC 841,915 +134,904 $136,990
     CRM841,915+134,904$136,990
MONDELEZ INTL INC 2,472,790 +904,459 $135,814
     MDLZ2,472,790+904,459$135,814
MANULIFE FINL CORP 6,533,228 -804,400 $132,929
     MFC6,533,228-804,400$132,929
THERMO FISHER SCIENTIFIC INC 399,122 +82,286 $129,547
     TMO399,122+82,286$129,547
AMERICAN WTR WKS CO INC NEW 1,048,075 +151,431 $129,429
     AWK1,048,075+151,431$129,429
ALLSTATE CORP 1,141,028 +6,971 $128,159
     ALL1,141,028+6,971$128,159
VARIAN MED SYS INC 869,104 +10,981 $123,205
     VAR869,104+10,981$123,205
VALERO ENERGY CORP NEW 1,266,670 +9,494 $118,268
     VLO1,266,670+9,494$118,268
EXPEDITORS INTL WASH INC 1,496,477 +164,046 $116,820
     EXPD1,496,477+164,046$116,820
NORFOLK SOUTHERN CORP 595,577 -1,576 $115,668
     NSC595,577-1,576$115,668
HILTON WORLDWIDE HLDGS INC 1,039,439 +3,030 $115,553
     HLT1,039,439+3,030$115,553
WATERS CORP 489,634 +115,023 $114,767
     WAT489,634+115,023$114,767
FIFTH THIRD BANCORP 3,661,543 -103,223 $112,678
     FITB3,661,543-103,223$112,678
COCA COLA CO 1,998,206 +247,416 $110,298
     KO1,998,206+247,416$110,298
EVERSOURCE ENERGY 1,288,596 +323,211 $109,223
     ES1,288,596+323,211$109,223
UNITED RENTALS INC 644,178 +355,059 $108,975
     URI644,178+355,059$108,975
HERSHEY CO 741,941 +92,053 $108,678
     HSY741,941+92,053$108,678
VMWARE INC 702,214 +81,320 $107,423
     VMW702,214+81,320$107,423
ROGERS COMMUNICATIONS INC 2,160,295 -87,500 $107,051
     RCI2,160,295-87,500$107,051
TORO CO 1,311,413 +146,151 $105,506
     TTC1,311,413+146,151$105,506
COLGATE PALMOLIVE CO 1,478,780 +216,510 $101,882
     CL1,478,780+216,510$101,882
CROWN HOLDINGS INC 1,399,698 -56,816 $101,668
     CCK1,399,698-56,816$101,668
INTUIT 385,955 +116,224 $100,915
     INTU385,955+116,224$100,915
F5 NETWORKS INC 703,496 +73,515 $98,756
     FFIV703,496+73,515$98,756
S&P GLOBAL INC 361,694 +42,661 $98,445
     SPGI361,694+42,661$98,445
AUTOLIV INC 1,124,648 -53,528 $95,410
     ALV1,124,648-53,528$95,410
PEOPLES UTD FINL INC 5,596,372 +989,510 $94,345
     PBCT5,596,372+989,510$94,345
AFLAC INC 1,738,746 -77,405 $92,206
     AFL1,738,746-77,405$92,206
ECOLAB INC 479,414 +147,713 $92,123
     ECL479,414+147,713$92,123
FASTENAL CO 2,478,755 -674,403 $92,080
     FAST2,478,755-674,403$92,080
ROSS STORES INC 788,292 -59,227 $92,072
     ROST788,292-59,227$92,072
JONES LANG LASALLE INC 516,079 +13,652 $90,267
     JLL516,079+13,652$90,267
ZOETIS INC 680,179 +15,687 $89,693
     ZTS680,179+15,687$89,693
DELTA AIR LINES INC DEL 1,516,497 -91,771 $88,937
     DAL1,516,497-91,771$88,937
CITIZENS FINL GROUP INC 2,167,059 -157,009 $88,230
     CFG2,167,059-157,009$88,230
PAYCHEX INC 1,012,690 +120,435 $86,079
     PAYX1,012,690+120,435$86,079
ANSYS INC 325,344 +43,349 $83,994
     ANSS325,344+43,349$83,994
CADENCE DESIGN SYSTEM INC 1,196,951 +1,167,731 $83,932
     CDNS1,196,951+1,167,731$83,932
AUTODESK INC 454,657 +99,085 $83,723
     ADSK454,657+99,085$83,723
REGIONS FINL CORP NEW 4,736,279 -110,120 $81,472
     RF4,736,279-110,120$81,472
WEYERHAEUSER CO 2,699,078 +712,056 $80,880
     WY2,699,078+712,056$80,880
PACCAR INC 1,016,369 +31,350 $80,787
     PCAR1,016,369+31,350$80,787
PHILIP MORRIS INTL INC 941,305 +39,749 $80,477
     PM941,305+39,749$80,477
ALLEGION PUB LTD CO 645,643 -226,164 $80,277
     ALLE645,643-226,164$80,277
ABBOTT LABS 924,272 +1,333 $80,102
     ABT924,272+1,333$80,102
J2 GLOBAL INC 821,063 -28,820 $77,515
     JCOM821,063-28,820$77,515
GENERAL MLS INC 1,445,941 +290,463 $76,353
     GIS1,445,941+290,463$76,353
HCA HEALTHCARE INC 511,375 +6,578 $75,616
     HCA511,375+6,578$75,616
NEXTERA ENERGY INC 312,132 +1,605 $75,303
     NEE312,132+1,605$75,303
WALMART INC 620,681 +76,447 $73,993
     WMT620,681+76,447$73,993
TEXAS ROADHOUSE INC 1,271,515 +147,077 $72,711
     TXRH1,271,515+147,077$72,711
REPUBLIC SVCS INC 805,965 +795,825 $72,244
     RSG805,965+795,825$72,244
FIRST REP BK SAN FRANCISCO C 609,339 -24,081 $71,548
     FRC609,339-24,081$71,548
IQVIA HLDGS INC 462,068 +12,773 $71,184
     IQV462,068+12,773$71,184
NEWMONT GOLDCORP CORPORATION 1,620,923 -104,122 $70,855
     NEM1,620,923-104,122$70,855
KLA CORPORATION 396,499 -49,383 $70,511
     KLAC396,499-49,383$70,511
BOOKING HLDGS INC 34,202 +1,517 $70,265
     BKNG34,202+1,517$70,265
MCDONALDS CORP 355,714 +12,190 $70,252
     MCD355,714+12,190$70,252
PENTAIR PLC 1,516,973 +361,694 $69,930
     PNR1,516,973+361,694$69,930
METLIFE INC 1,370,813 -355,103 $69,851
     MET1,370,813-355,103$69,851
INSPERITY INC 796,621 +751,532 $68,886
     NSP796,621+751,532$68,886
XCEL ENERGY INC 1,087,370 +290,378 $68,856
     XEL1,087,370+290,378$68,856
ALTRIA GROUP INC 1,369,268 -61,836 $68,226
     MO1,369,268-61,836$68,226
ON SEMICONDUCTOR CORP 2,785,865 +521,050 $68,072
     ON2,785,865+521,050$68,072
VERISK ANALYTICS INC 454,198 +95,216 $67,315
     VRSK454,198+95,216$67,315
DOW INC 1,230,450 +63,361 $66,965
     DOW1,230,450+63,361$66,965
ACTIVISION BLIZZARD INC 1,129,997 -39,855 $66,844
     ATVI1,129,997-39,855$66,844
SYNOPSYS INC 477,534 +103,462 $66,654
     SNPS477,534+103,462$66,654
TRACTOR SUPPLY CO 704,165 -61,074 $66,017
     TSCO704,165-61,074$66,017
TORONTO DOMINION BK ONT 1,151,724 +139,700 $64,611
     TD1,151,724+139,700$64,611
ROPER TECHNOLOGIES INC 181,026 +60,954 $64,472
     ROP181,026+60,954$64,472
US FOODS HLDG CORP 1,534,543 +64,458 $64,408
     USFD1,534,543+64,458$64,408
TRIMBLE INC 1,529,629 +396,183 $63,974
     TRMB1,529,629+396,183$63,974
PARKER HANNIFIN CORP 302,708 +237,974 $62,551
     PH302,708+237,974$62,551
LOWES COS INC 522,357 -58,391 $62,472
     LOW522,357-58,391$62,472
TELUS CORP 1,607,353 -489,347 $62,311
     TU1,607,353-489,347$62,311
MCCORMICK & CO INC 364,219 +94,589 $62,104
     MKC364,219+94,589$62,104
51JOB INC 717,277 +19,174 $61,960
     JOBS717,277+19,174$61,960
EATON CORP PLC 649,874 -58,411 $61,935
     ETN649,874-58,411$61,935
SNAP ON INC 363,612 +64,418 $61,603
     SNA363,612+64,418$61,603
AMERICAN FINL GROUP INC OHIO 556,982 +13,968 $61,185
     AFG556,982+13,968$61,185
KIMBERLY CLARK CORP 442,346 +124,084 $60,479
     KMB442,346+124,084$60,479
SALLY BEAUTY HLDGS INC 3,262,458 -1,333,056 $59,890
     SBH3,262,458-1,333,056$59,890
HEXCEL CORP NEW 798,390 +189,751 $59,179
     HXL798,390+189,751$59,179
HENRY SCHEIN INC 882,738 +447,360 $58,765
     HSIC882,738+447,360$58,765
AGCO CORP 753,770 +36,028 $58,759
     AGCO753,770+36,028$58,759
SENSIENT TECHNOLOGIES CORP 888,282 +307,093 $58,647
     SXT888,282+307,093$58,647
COMPANHIA DE SANEAMENTO BASI 3,838,216 -481,941 $57,800
     SBS3,838,216-481,941$57,800
GILEAD SCIENCES INC 888,498 -9,537 $57,260
     GILD888,498-9,537$57,260
MASCO CORP 1,182,085 +42,065 $57,028
     MAS1,182,085+42,065$57,028
SK TELECOM LTD 2,454,625 -215,798 $56,701
     SKM2,454,625-215,798$56,701
SYSCO CORP 657,605 -436,160 $56,292
     SYY657,605-436,160$56,292
CDN IMPERIAL BK COMM TORONTO 674,510 -30,300 $56,117
     CM674,510-30,300$56,117
COGNEX CORP 984,824 +231,472 $55,790
     CGNX984,824+231,472$55,790
PINDUODUO INC 1,444,225 -119,875 $55,049
     PDD1,444,225-119,875$55,049
SIRIUS XM HLDGS INC 7,691,802 +1,114,139 $54,770
     SIRI7,691,802+1,114,139$54,770
DTE ENERGY CO 420,307 -85,269 $54,406
     DTE420,307-85,269$54,406
BAXTER INTL INC 650,456 +94,604 $54,281
     BAX650,456+94,604$54,281
INGERSOLL RAND PLC 406,318 +216,090 $54,167
     IR406,318+216,090$54,167
HD SUPPLY HLDGS INC 1,326,143 +476,846 $53,845
     HDS1,326,143+476,846$53,845
SERVICENOW INC 190,001 +11,427 $53,596
     NOW190,001+11,427$53,596
WEC ENERGY GROUP INC 565,852 +129,054 $52,125
     WEC565,852+129,054$52,125
DAVITA INC 685,566 -1,946,728 $51,034
     DVA685,566-1,946,728$51,034
ALLY FINL INC 1,657,423 +1,365,997 $50,755
     ALLY1,657,423+1,365,997$50,755
AZUL S A 1,150,954 -1,996 $49,641
     AZUL1,150,954-1,996$49,641
PPG INDS INC 372,681 -1,658,490 $49,629
     PPG372,681-1,658,490$49,629
SEA LTD 1,242,879 -139,456 $49,126
     SE1,242,879-139,456$49,126
BAOZUN INC 1,418,459 +485,551 $47,845
     BZUN1,418,459+485,551$47,845
HEWLETT PACKARD ENTERPRISE C 3,015,765 +866,235 $47,743
     HPE3,015,765+866,235$47,743
FRANKLIN RES INC 1,831,952 -97,195 $47,654
     BEN1,831,952-97,195$47,654
PRICE T ROWE GROUP INC 379,905 -14,357 $46,323
     TROW379,905-14,357$46,323
YANDEX N V 1,068,262 +212,451 $46,316
     YNDX1,068,262+212,451$46,316
AIR PRODS & CHEMS INC 196,503 -97,059 $45,994
     APD196,503-97,059$45,994
PULTE GROUP INC 1,171,619 +1,155,590 $45,617
     PHM1,171,619+1,155,590$45,617
ZEBRA TECHNOLOGIES CORP 178,257 +4,212 $45,578
     ZBRA178,257+4,212$45,578
KINROSS GOLD CORP 9,626,831 -23,700 $45,575
     KGC9,626,831-23,700$45,575
MERCADOLIBRE INC 77,917 +5,221 $44,927
     MELI77,917+5,221$44,927
OPEN TEXT CORP 1,021,300 -54,400 $44,889
     OTEX1,021,300-54,400$44,889
DARDEN RESTAURANTS INC 406,631 -31,019 $44,268
     DRI406,631-31,019$44,268
CHEVRON CORP NEW 362,925 +11,879 $43,583
     CVX362,925+11,879$43,583
WELBILT INC 2,721,760 +910,230 $42,628
     WBT2,721,760+910,230$42,628
NXP SEMICONDUCTORS N V 333,626 +185,543 $42,609
     NXPI333,626+185,543$42,609
LINCOLN NATL CORP IND 705,820 +235,701 $41,646
     LNC705,820+235,701$41,646
IRON MTN INC NEW 1,306,008 +1,293,629 $41,510
     IRM1,306,008+1,293,629$41,510
ELECTRONIC ARTS INC 388,432 +7,493 $41,473
     EA388,432+7,493$41,473
METTLER TOLEDO INTERNATIONAL 52,219 -1,161 $41,292
     MTD52,219-1,161$41,292
PTC INC 547,569 +258,236 $41,289
     PTC547,569+258,236$41,289
CONOCOPHILLIPS 635,320 -4,424 $41,200
     COP635,320-4,424$41,200
HP INC 1,993,624 +473,229 $40,871
     HPQ1,993,624+473,229$40,871
DUPONT DE NEMOURS INC 647,379 +3,018 $40,859
     DD647,379+3,018$40,859
CERNER CORP 555,876 +513,410 $40,605
     CERN555,876+513,410$40,605
VORNADO RLTY TR 609,476 +122,105 $40,033
     VNO609,476+122,105$40,033
ILLUMINA INC 121,358 +2,050 $40,021
     ILMN121,358+2,050$40,021
INTL PAPER CO 836,728 -9,749 $38,510
     IP836,728-9,749$38,510
COCA COLA EUROPEAN PARTNERS 755,523 -44,446 $38,348
     CCEP755,523-44,446$38,348
AKAMAI TECHNOLOGIES INC 445,029 +55,522 $38,267
     AKAM445,029+55,522$38,267
BROADCOM INC 120,369 +9,602 $37,858
     AVGO120,369+9,602$37,858
CBRE GROUP INC 616,655 +827 $37,814
     CBRE616,655+827$37,814
SEALED AIR CORP NEW 951,987 +118,574 $37,729
     SEE951,987+118,574$37,729
TESLA INC 90,482 +35,895 $37,714
     TSLA90,482+35,895$37,714
MOODYS CORP 153,570 +32,976 $36,553
     MCO153,570+32,976$36,553
CENTENE CORP DEL 576,183 +125,373 $36,249
     CNC576,183+125,373$36,249
FORTINET INC 335,759 +25,485 $36,048
     FTNT335,759+25,485$36,048
CELANESE CORP DEL 289,543 -17,765 $35,547
     CE289,543-17,765$35,547
AXALTA COATING SYS LTD 1,141,475 +77,664 $34,782
     AXTA1,141,475+77,664$34,782
NUCOR CORP 604,949 +127,446 $33,975
     NUE604,949+127,446$33,975
SHAW COMMUNICATIONS INC 1,597,593 +1,581,400 $32,405
     SJR1,597,593+1,581,400$32,405
ZIONS BANCORPORATION N A 619,756 +66,134 $32,212
     ZION619,756+66,134$32,212
MOSAIC CO NEW 1,475,609 +334,198 $31,403
     MOS1,475,609+334,198$31,403
MONOLITHIC PWR SYS INC 174,010 +174,010 $31,131
     MPWR174,010+174,010$31,131
TRAVELERS COMPANIES INC 225,388 +62,435 $30,818
     TRV225,388+62,435$30,818
ROBERT HALF INTL INC 487,744 +28,550 $30,788
     RHI487,744+28,550$30,788
DISNEY WALT CO 211,383 +133 $30,410
     DIS211,383+133$30,410
IPG PHOTONICS CORP 204,653 +55,226 $29,670
     IPGP204,653+55,226$29,670
SMUCKER J M CO 283,222 +11,294 $29,323
     SJM283,222+11,294$29,323
SYNCHRONY FINL 778,454 -27,872 $28,174
     SYF778,454-27,872$28,174
BORGWARNER INC 637,304 -290,761 $27,864
     BWA637,304-290,761$27,864
PRA GROUP INC 757,607 +144,774 $27,653
     PRAA757,607+144,774$27,653
NETFLIX INC 84,491 -25,257 $27,270
     NFLX84,491-25,257$27,270
XYLEM INC 341,099 -144,040 $26,920
     XYL341,099-144,040$26,920
TRUIST FINL CORP 476,467 +476,467 $26,913
     TFC476,467+476,467$26,913
DEERE & CO 153,828 +134,591 $26,826
     DE153,828+134,591$26,826
ROCKWELL AUTOMATION INC 129,077 -935 $26,290
     ROK129,077-935$26,290
DESPEGAR COM CORP 1,938,297 -560,473 $25,973
     DESP1,938,297-560,473$25,973
SILGAN HOLDINGS INC 829,682 +38,895 $25,833
     SLGN829,682+38,895$25,833
APPLIED MATLS INC 413,129 +35,761 $25,194
     AMAT413,129+35,761$25,194
SPLUNK INC 168,333 +6,351 $25,192
     SPLK168,333+6,351$25,192
HOST HOTELS & RESORTS INC 1,340,478 +29,673 $25,044
     HST1,340,478+29,673$25,044
CME GROUP INC 125,004 -14,768 $24,979
     CME125,004-14,768$24,979
VEEVA SYS INC 174,234 +4,115 $24,638
     VEEV174,234+4,115$24,638
QUALCOMM INC 275,900 +10,039 $24,431
     QCOM275,900+10,039$24,431
INTERCONTINENTAL EXCHANGE IN (ICE) 263,578 -28,961 $24,404
     ICE263,578-28,961$24,404
WATSCO INC 132,749 +25,682 $24,114
     WSO132,749+25,682$24,114
O REILLY AUTOMOTIVE INC NEW 54,730 +12,915 $23,960
     ORLY54,730+12,915$23,960
CSX CORP 329,530 +137,497 $23,954
     CSX329,530+137,497$23,954
ADVANCED MICRO DEVICES INC 518,345 +45,303 $23,799
     AMD518,345+45,303$23,799
STRYKER CORP 113,254 +56 $23,616
     SYK113,254+56$23,616
TYSON FOODS INC 260,313 +12,686 $23,527
     TSN260,313+12,686$23,527
ALLEGHANY CORP DEL 27,951 +899 $22,465
     Y27,951+899$22,465
LITTELFUSE INC 116,957 -178,050 $22,421
     LFUS116,957-178,050$22,421
AGILENT TECHNOLOGIES INC 262,930 +15,172 $22,352
     A262,930+15,172$22,352
US BANCORP DEL 372,342 -49,263 $22,063
     USB372,342-49,263$22,063
THE CHARLES SCHWAB CORPORATI 451,902 -74,908 $21,607
     SCHW451,902-74,908$21,607
COSAN LTD 943,766 +91,819 $21,587
     CZZ943,766+91,819$21,587
LUCKIN COFFEE INC 550,000 +550,000 $21,495
     LK550,000+550,000$21,495
GLOBUS MED INC 365,614 +46,590 $21,484
     GMED365,614+46,590$21,484
UNITED TECHNOLOGIES CORP 142,150 -14,195 $21,236
     UTX142,150-14,195$21,236
WESTROCK CO 491,401 +112,724 $21,096
     WRK491,401+112,724$21,096
SCHLUMBERGER LTD 511,595 +103,211 $20,364
     SLB511,595+103,211$20,364
EMERSON ELEC CO 257,608 -184,208 $19,762
     EMR257,608-184,208$19,762
DIGITAL RLTY TR INC 166,232 +156,969 $19,676
     DLR166,232+156,969$19,676
UNION PACIFIC CORP 108,623 -3,338 $19,664
     UNP108,623-3,338$19,664
MARATHON PETE CORP 327,476 +23,460 $19,647
     MPC327,476+23,460$19,647
HEICO CORP NEW      $19,468
     HEI156,372+26,110$17,889
     HEI.A17,434+4,922$1,579
LOEWS CORP 368,050 -47,763 $19,298
     L368,050-47,763$19,298
HANOVER INS GROUP INC 139,935 -8,313 $19,182
     THG139,935-8,313$19,182
COMERICA INC 262,654 -6,893 $18,837
     CMA262,654-6,893$18,837
AMERICAN INTL GROUP INC 364,859 -44,004 $18,693
     AIG364,859-44,004$18,693
HARTFORD FINL SVCS GROUP INC 305,597 -41,988 $18,579
     HIG305,597-41,988$18,579
IAC INTERACTIVECORP 72,430 +4,031 $18,084
     IAC72,430+4,031$18,084
JD COM INC 508,188 +280,667 $17,992
     JD508,188+280,667$17,992
CORNING INC 613,732 +68,818 $17,837
     GLW613,732+68,818$17,837
MAXIM INTEGRATED PRODS INC 288,711 +258,426 $17,780
     MXIM288,711+258,426$17,780
BAKER HUGHES COMPANY 693,786 +693,786 $17,638
     BHGE693,786+693,786$17,638
QUEST DIAGNOSTICS INC 165,066 +10,885 $17,561
     DGX165,066+10,885$17,561
PRINCIPAL FINL GROUP INC 317,363 -10,102 $17,462
     PFG317,363-10,102$17,462
SS&C TECHNOLOGIES HLDGS INC 281,297 +12,335 $17,251
     SSNC281,297+12,335$17,251
INGREDION INC 183,146 +7,877 $16,984
     INGR183,146+7,877$16,984
CROWN CASTLE INTL CORP NEW 118,090 +8,602 $16,640
     CCI118,090+8,602$16,640
PAYPAL HLDGS INC 151,682 -773 $16,400
     PYPL151,682-773$16,400
MOLSON COORS BREWING CO 304,445 +12,137 $16,397
     TAP304,445+12,137$16,397
VAIL RESORTS INC 67,811 +11,435 $16,282
     MTN67,811+11,435$16,282
ARCONIC INC 526,525 +388,337 $16,260
     ARNC526,525+388,337$16,260
HUBBELL INC 106,414 -22,298 $15,765
     HUBB106,414-22,298$15,765
DELUXE CORP 314,261 -18,373 $15,755
     DLX314,261-18,373$15,755
MAGNA INTL INC 278,092 +22,900 $15,345
     MGA278,092+22,900$15,345
BLACKROCK INC 29,924 -4,123 $15,000
     BLK29,924-4,123$15,000
WOLVERINE WORLD WIDE INC 440,793 -26,300 $14,910
     WWW440,793-26,300$14,910
ENERSYS 196,194 -11,425 $14,822
     ENS196,194-11,425$14,822
REINSURANCE GRP OF AMERICA I 90,845 -5,022 $14,806
     RGA90,845-5,022$14,806
INTUITIVE SURGICAL INC 24,873 +12 $14,709
     ISRG24,873+12$14,709
NATIONAL FUEL GAS CO N J 309,588 +69,831 $14,280
     NFG309,588+69,831$14,280
SEMPRA ENERGY 93,665 +7,931 $14,178
     SRE93,665+7,931$14,178
DOLLAR GEN CORP NEW 90,158 -203 $14,146
     DG90,158-203$14,146
GOLDMAN SACHS GROUP INC 61,530 -6,023 $14,140
     GS61,530-6,023$14,140
SQUARE INC 219,573 +17,156 $13,608
     SQ219,573+17,156$13,608
BECTON DICKINSON & CO 50,303 +3,623 $13,587
     BDX50,303+3,623$13,587
EASTMAN CHEMICAL CO 170,977 -4,821 $13,502
     EMN170,977-4,821$13,502
PROSPERITY BANCSHARES INC (PB) 186,330 -16,475 $13,455
     PB186,330-16,475$13,455
VERTEX PHARMACEUTICALS INC 61,519 +5,613 $13,439
     VRTX61,519+5,613$13,439
LAMB WESTON HLDGS INC 153,675 +94 $13,098
     LW153,675+94$13,098
NETEASE INC 42,337 +392 $12,873
     NTES42,337+392$12,873
CRANE CO 147,179 -9,472 $12,807
     CR147,179-9,472$12,807
BOSTON SCIENTIFIC CORP 279,205 +1,647 $12,543
     BSX279,205+1,647$12,543
USANA HEALTH SCIENCES INC 154,171 -299 $12,206
     USNA154,171-299$12,206
ATHENE HLDG LTD 251,069 +7,855 $11,880
     ATH251,069+7,855$11,880
EDWARDS LIFESCIENCES CORP 50,008 -258,158 $11,628
     EW50,008-258,158$11,628
HIBBETT SPORTS INC 412,107 -5,894 $11,525
     HIBB412,107-5,894$11,525
WOODWARD INC 96,663 +756 $11,456
     WWD96,663+756$11,456
CAPITAL ONE FINL CORP 108,894 -16,349 $11,223
     COF108,894-16,349$11,223
BARRICK GOLD CORPORATION 603,862 -230,040 $11,213
     GOLD603,862-230,040$11,213
STEEL DYNAMICS INC 326,299 +3,974 $11,203
     STLD326,299+3,974$11,203
PROGRESSIVE CORP OHIO 153,134 +13,519 $11,122
     PGR153,134+13,519$11,122
EXPEDIA GROUP INC 97,141 +504 $10,503
     EXPE97,141+504$10,503
CINTAS CORP 38,313 +9,378 $10,313
     CTAS38,313+9,378$10,313
YUM CHINA HLDGS INC 210,285 +4,476 $10,151
     YUMC210,285+4,476$10,151
CONSTELLATION BRANDS INC 53,958 +237 $10,147
     STZ53,958+237$10,147
CARDINAL HEALTH INC 197,410 +1,013 $10,019
     CAH197,410+1,013$10,019
SEAGATE TECHNOLOGY PLC 165,047 +21,011 $9,834
     STX165,047+21,011$9,834
WIPRO LTD 2,630,955 +130,957 $9,827
     WIT2,630,955+130,957$9,827
HOULIHAN LOKEY INC 196,506 +190 $9,721
     HLI196,506+190$9,721
ULTA BEAUTY INC 37,923 +2,037 $9,591
     ULTA37,923+2,037$9,591
NEOGENOMICS INC 326,276 -1,260 $9,577
     NEO326,276-1,260$9,577
GENERAL ELECTRIC CO 863,767 -50,078 $9,555
     GE863,767-50,078$9,555
MATTHEWS INTL CORP 251,047 -27,989 $9,538
     MATW251,047-27,989$9,538
CATERPILLAR INC DEL 64,358 -139,750 $9,532
     CAT64,358-139,750$9,532
WILLIS TOWERS WATSON PUB LTD 46,835 -6,596 $9,488
     WLTW46,835-6,596$9,488
CONAGRA BRANDS INC 276,966 +254,493 $9,460
     CAG276,966+254,493$9,460
SOUTHERN CO 148,039 -66 $9,381
     SO148,039-66$9,381
INVITATION HOMES INC 314,462 +300,736 $9,338
     INVH314,462+300,736$9,338
HUNTINGTON BANCSHARES INC (HBAN) 616,374 -97,538 $9,296
     HBAN616,374-97,538$9,296
CORTEVA INC 315,986 -7,555 $9,229
     CTVA315,986-7,555$9,229
CHINA MOBILE LIMITED 218,207 -5,117 $9,206
     CHL218,207-5,117$9,206
WORKDAY INC 55,848 +4,006 $9,142
     WDAY55,848+4,006$9,142
UDR INC 193,174 +5,738 $8,945
     UDR193,174+5,738$8,945
GENERAC HLDGS INC 87,140 +1,737 $8,910
     GNRC87,140+1,737$8,910
ALLERGAN PLC 45,832 -4,927 $8,741
     AGN45,832-4,927$8,741
CARNIVAL CORP 166,792 -40,286 $8,516
     CCL166,792-40,286$8,516
ONEOK INC NEW 111,513 -527 $8,412
     OKE111,513-527$8,412
WINNEBAGO INDS INC 154,363 +3,121 $8,243
     WGO154,363+3,121$8,243
MSCI INC 32,070 +6,971 $8,231
     MSCI32,070+6,971$8,231
UNUM GROUP 281,045 -46,121 $8,190
     UNM281,045-46,121$8,190
NEUROCRINE BIOSCIENCES INC 76,134 -61,347 $8,158
     NBIX76,134-61,347$8,158
HENRY JACK & ASSOC INC 55,714 +7,396 $8,096
     JKHY55,714+7,396$8,096
SCANSOURCE INC 214,410 -2,829 $7,958
     SCSC214,410-2,829$7,958
AVALONBAY CMNTYS INC 38,099 +4,433 $7,906
     AVB38,099+4,433$7,906
BOOT BARN HLDGS INC 172,423 +3,527 $7,764
     BOOT172,423+3,527$7,764
AMETEK INC NEW 77,388 -649 $7,762
     AME77,388-649$7,762
DANAHER CORPORATION 50,502 +19,888 $7,724
     DHR50,502+19,888$7,724
EHEALTH INC 80,008 +1,947 $7,687
     EHTH80,008+1,947$7,687
TRANSUNION 89,210 +3,685 $7,565
     TRU89,210+3,685$7,565
WHIRLPOOL CORP 51,045 +17,200 $7,530
     WHR51,045+17,200$7,530
FIVE9 INC 114,413 +2,109 $7,477
     FIVN114,413+2,109$7,477
CABLE ONE INC 4,994 +101 $7,471
     CABO4,994+101$7,471
PAYLOCITY HLDG CORP 61,842 +1,161 $7,429
     PCTY61,842+1,161$7,429
LULULEMON ATHLETICA INC 32,066 -51 $7,386
     LULU32,066-51$7,386
SYNNEX CORP 56,859 +1,503 $7,334
     SNX56,859+1,503$7,334
FTI CONSULTING INC 65,817 +1,495 $7,332
     FCN65,817+1,495$7,332
AMERISOURCEBERGEN CORP 86,704 +247 $7,295
     ABC86,704+247$7,295
CRACKER BARREL OLD CTRY STOR 45,892 -12,694 $7,121
     CBRL45,892-12,694$7,121
VERISIGN INC 36,992 +4,201 $7,115
     VRSN36,992+4,201$7,115
LPL FINL HLDGS INC 76,403 +1,688 $7,101
     LPLA76,403+1,688$7,101
CHURCHILL DOWNS INC 51,151 +1,038 $7,053
     CHDN51,151+1,038$7,053
WILEY JOHN & SONS INC      $6,993
     JW.A144,030-50,377$6,993
MASTEC INC 108,422 +2,154 $6,986
     MTZ108,422+2,154$6,986
PROLOGIS INC 78,629 -6,784 $6,964
     PLD78,629-6,784$6,964
NEXSTAR MEDIA GROUP INC 59,572 +1,026 $6,957
     NXST59,572+1,026$6,957
INSIGHT ENTERPRISES INC 96,757 +1,933 $6,919
     NSIT96,757+1,933$6,919
LYONDELLBASELL INDUSTRIES N 73,312 -8,654 $6,896
     LYB73,312-8,654$6,896
PALO ALTO NETWORKS INC 29,608 +868 $6,864
     PANW29,608+868$6,864
SHERWIN WILLIAMS CO 11,826 -1,459 $6,849
     SHW11,826-1,459$6,849
ENPHASE ENERGY INC 266,713 +266,713 $6,775
     ENPH266,713+266,713$6,775
B2GOLD CORP 1,701,300 +35,500 $6,758
     BTG1,701,300+35,500$6,758
TETRA TECH INC NEW 77,731 +1,534 $6,738
     TTEK77,731+1,534$6,738
THOMSON REUTERS CORP 94,292 -7,300 $6,725
     TRI94,292-7,300$6,725
SONOCO PRODS CO 105,450 -37,498 $6,531
     SON105,450-37,498$6,531
EXPONENT INC 93,658 +1,916 $6,523
     EXPO93,658+1,916$6,523
BIO TECHNE CORP 29,982 +38 $6,518
     TECH29,982+38$6,518
OCCIDENTAL PETE CORP 159,535 -4,423 $6,496
     OXY159,535-4,423$6,496
CHEMED CORP NEW 14,683 +307 $6,474
     CHE14,683+307$6,474
LCI INDS 59,528 +1,032 $6,473
     LCII59,528+1,032$6,473
WILLIAMS SONOMA INC 88,158 +1,786 $6,460
     WSM88,158+1,786$6,460
RELIANCE STEEL & ALUMINUM CO 53,193 +1,054 $6,399
     RS53,193+1,054$6,399
ASPEN TECHNOLOGY INC 52,541 +338 $6,392
     AZPN52,541+338$6,392
BRP INC 138,200 +2,500 $6,384
     DOOO138,200+2,500$6,384
FAIR ISAAC CORP 16,929 +298 $6,355
     FICO16,929+298$6,355
OSHKOSH CORP 66,226 +1,619 $6,320
     OSK66,226+1,619$6,320
MASIMO CORP 39,703 +57 $6,286
     MASI39,703+57$6,286
STORE CAP CORP 170,569 +4,161 $6,274
     STOR170,569+4,161$6,274
HELEN OF TROY CORP LTD 34,683 +637 $6,267
     HELE34,683+637$6,267
ENCANA CORP 1,344,950 +29,900 $6,264
     ECA1,344,950+29,900$6,264
POOL CORPORATION 29,192 +8,235 $6,264
     POOL29,192+8,235$6,264
NASDAQ INC 57,443 -8,508 $6,176
     NDAQ57,443-8,508$6,176
BRIGHT HORIZONS FAM SOL IN D 41,081 +824 $6,166
     BFAM41,081+824$6,166
CALLAWAY GOLF CO 287,115 +5,643 $6,165
     ELY287,115+5,643$6,165
LUMENTUM HLDGS INC 76,020 +1,753 $6,108
     LITE76,020+1,753$6,108
FIDELITY NATL INFORMATION SV 43,992 -801 $6,097
     FIS43,992-801$6,097
CATALENT INC 107,284 +3,142 $6,085
     CTLT107,284+3,142$6,085
BAIDU INC 47,977 -3,254 $6,079
     BIDU47,977-3,254$6,079
WENDYS CO 273,345 +4,789 $6,066
     WEN273,345+4,789$6,066
COSTCO WHSL CORP NEW 20,464 -9,228 $6,015
     COST20,464-9,228$6,015
ALEXION PHARMACEUTICALS INC 55,955 +13,798 $6,008
     ALXN55,955+13,798$6,008
BANK NEW YORK MELLON CORP 119,090 -11,888 $5,993
     BK119,090-11,888$5,993
RADIAN GROUP INC 237,564 -1,784 $5,989
     RDN237,564-1,784$5,989
QUIDEL CORP 80,471 +2,388 $5,955
     QDEL80,471+2,388$5,955
LATTICE SEMICONDUCTOR CORP 307,203 +5,803 $5,945
     LSCC307,203+5,803$5,945
FISERV INC 51,297 -61,009 $5,923
     FISV51,297-61,009$5,923
ARCHROCK INC 595,206 +137,400 $5,911
     AROC595,206+137,400$5,911
AMERICAN EQTY INVT LIFE HLD 196,583 +4,762 $5,908
     AEL196,583+4,762$5,908
MORGAN STANLEY 115,440 -9,574 $5,893
     MS115,440-9,574$5,893
ITT INC 79,227 +1,736 $5,892
     ITT79,227+1,736$5,892
REGENERON PHARMACEUTICALS 15,697 +57 $5,890
     REGN15,697+57$5,890
BENCHMARK ELECTRS INC 169,446 -166 $5,883
     BHE169,446-166$5,883
TRIPADVISOR INC 193,734 +83,852 $5,855
     TRIP193,734+83,852$5,855
AMN HEALTHCARE SERVICES INC 93,662 +1,733 $5,831
     AMN93,662+1,733$5,831
STITCH FIX INC 230,253 +4,780 $5,816
     SFIX230,253+4,780$5,816
SYKES ENTERPRISES INC 156,224 +3,485 $5,815
     SYKE156,224+3,485$5,815
ENERPLUS CORP 815,400 +815,400 $5,794
     ERF815,400+815,400$5,794
MICRON TECHNOLOGY INC 107,879 -108,708 $5,792
     MU107,879-108,708$5,792
ESSENT GROUP LTD 110,612 +2,568 $5,785
     ESNT110,612+2,568$5,785
E TRADE FINANCIAL CORP 126,910 -102,042 $5,785
     ETFC126,910-102,042$5,785
LEGG MASON INC 159,580 +3,843 $5,766
     LM159,580+3,843$5,766
HILL ROM HLDGS INC 50,578 +428 $5,737
     HRC50,578+428$5,737
WATTS WATER TECHNOLOGIES INC 56,764 +1,316 $5,691
     WTS56,764+1,316$5,691
KNIGHT SWIFT TRANSN HLDGS IN 158,807 +2,404 $5,688
     KNX158,807+2,404$5,688
GIBRALTAR INDS INC 111,542 +1,854 $5,665
     ROCK111,542+1,854$5,665
STATE STR CORP 71,445 -7,924 $5,662
     STT71,445-7,924$5,662
CASEYS GEN STORES INC 35,527 +755 $5,649
     CASY35,527+755$5,649
BOTTOMLINE TECH DEL INC 104,929 +2,629 $5,646
     EPAY104,929+2,629$5,646
COLLIERS INTL GROUP INC 71,500 +11,600 $5,617
     CIGI71,500+11,600$5,617
DOUGLAS EMMETT INC 128,100 +3,268 $5,605
     DEI128,100+3,268$5,605
MAXIMUS INC 75,000 +1,326 $5,596
     MMS75,000+1,326$5,596
GRAINGER W W INC 16,467 -413,854 $5,589
     GWW16,467-413,854$5,589
POPULAR INC 94,797 +3,849 $5,580
     BPOP94,797+3,849$5,580
GALLAGHER ARTHUR J & CO 58,580 -8,493 $5,578
     AJG58,580-8,493$5,578
INOVALON HLDGS INC 295,463 +4,729 $5,561
     INOV295,463+4,729$5,561
HUDSON PAC PPTYS INC 148,744 +3,924 $5,551
     HPP148,744+3,924$5,551
PIEDMONT OFFICE REALTY TR IN 249,843 +6,317 $5,534
     PDM249,843+6,317$5,534
AMERICAN ELEC PWR CO INC 58,454 -4,372 $5,507
     AEP58,454-4,372$5,507
FIRST AMERN FINL CORP 94,464 +2,292 $5,502
     FAF94,464+2,292$5,502
EMERGENT BIOSOLUTIONS INC 100,437 +29,883 $5,498
     EBS100,437+29,883$5,498
BANK MONTREAL QUE 70,914 -6,100 $5,493
     BMO70,914-6,100$5,493
FIRST SOLAR INC 97,682 +2,426 $5,490
     FSLR97,682+2,426$5,490
CHARLES RIV LABS INTL INC 35,852 +673 $5,477
     CRL35,852+673$5,477
GRAPHIC PACKAGING HLDG CO 328,870 +4,896 $5,476
     GPK328,870+4,896$5,476
58 COM INC 83,296 +8,941 $5,469
     WUBA83,296+8,941$5,469
DINE BRANDS GLOBAL INC 64,246 +1,087 $5,431
     DIN64,246+1,087$5,431
INTEGRA LIFESCIENCES HLDGS C 92,952 +2,913 $5,415
     IART92,952+2,913$5,415
OUTFRONT MEDIA INC 201,753 +7,911 $5,405
     OUT201,753+7,911$5,405
PATRICK INDS INC 103,391 +1,912 $5,402
     PATK103,391+1,912$5,402
MILLER HERMAN INC 129,366 +2,991 $5,397
     MLHR129,366+2,991$5,397
COMFORT SYS USA INC 107,294 -3,165 $5,394
     FIX107,294-3,165$5,394
CASELLA WASTE SYS INC 117,239 +2,604 $5,387
     CWST117,239+2,604$5,387
BRADY CORP 93,308 +1,771 $5,384
     BRC93,308+1,771$5,384
ROYAL CARIBBEAN CRUISES LTD 40,332 -101,593 $5,381
     RCL40,332-101,593$5,381
HUBSPOT INC 33,816 +625 $5,376
     HUBS33,816+625$5,376
PROOFPOINT INC 46,615 +771 $5,376
     PFPT46,615+771$5,376
BANK OZK 174,712 +6,947 $5,355
     OZK174,712+6,947$5,355
ENCOMPASS HEALTH CORP 77,262 +1,521 $5,348
     EHC77,262+1,521$5,348
EVERTEC INC 157,392 +3,425 $5,344
     EVTC157,392+3,425$5,344
MEDPACE HLDGS INC 63,795 +63,795 $5,344
     MEDP63,795+63,795$5,344
MGIC INVT CORP WIS 375,064 +15,846 $5,330
     MTG375,064+15,846$5,330
PARK HOTELS RESORTS INC 204,274 +105,315 $5,313
     PK204,274+105,315$5,313
IDACORP INC 49,631 +978 $5,306
     IDA49,631+978$5,306
VALVOLINE INC 246,592 +5,374 $5,295
     VVV246,592+5,374$5,295
MGP INGREDIENTS INC NEW 108,152 +108,152 $5,291
     MGPI108,152+108,152$5,291
JABIL INC 126,890 +126,890 $5,280
     JBL126,890+126,890$5,280
MUELLER WTR PRODS INC 437,018 +437,018 $5,253
     MWA437,018+437,018$5,253
SOUTH JERSEY INDS INC 159,232 +22,777 $5,236
     SJI159,232+22,777$5,236
LAMAR ADVERTISING CO NEW 58,393 -117 $5,226
     LAMR58,393-117$5,226
GREIF INC 116,558 +2,348 $5,213
     GEF116,558+2,348$5,213
MOELIS & CO 159,698 +54,015 $5,208
     MC159,698+54,015$5,208
SERVICE CORP INTL 112,406 +2,244 $5,207
     SCI112,406+2,244$5,207
INDUSTRIAL LOGISTICS PPTYS T 232,203 +9,136 $5,202
     ILPT232,203+9,136$5,202
EVEREST RE GROUP LTD 18,745 -15,728 $5,201
     RE18,745-15,728$5,201
WORKIVA INC 123,447 +46,399 $5,189
     WK123,447+46,399$5,189
GENWORTH FINL INC 1,191,343 -20,922 $5,188
     GNW1,191,343-20,922$5,188
PRESTIGE CONSMR HEALTHCARE I 125,212 +2,048 $5,168
     PBH125,212+2,048$5,168
HANCOCK WHITNEY CORPORATION 116,717 +2,459 $5,163
     HWC116,717+2,459$5,163
COMMERCIAL METALS CO 228,077 +4,630 $5,139
     CMC228,077+4,630$5,139
CAE INC 192,600 -700 $5,126
     CAE192,600-700$5,126
D R HORTON INC 97,071 -7,053 $5,122
     DHI97,071-7,053$5,122
FRESH DEL MONTE PRODUCE INC 146,058 +2,906 $5,110
     FDP146,058+2,906$5,110
LA Z BOY INC 161,284 +3,168 $5,106
     LZB161,284+3,168$5,106
SHUTTERSTOCK INC 119,190 +2,209 $5,091
     SSTK119,190+2,209$5,091
ICF INTL INC 55,640 -12,276 $5,086
     ICFI55,640-12,276$5,086
FIVE BELOW INC 39,405 +793 $5,072
     FIVE39,405+793$5,072
OLD NATL BANCORP IND 275,819 +7,665 $5,072
     ONB275,819+7,665$5,072
CALAVO GROWERS INC 55,213 +1,182 $5,069
     CVGW55,213+1,182$5,069
LIFE STORAGE INC 47,181 +896 $5,064
     LSI47,181+896$5,064
VISHAY INTERTECHNOLOGY INC 235,045 +439 $5,051
     VSH235,045+439$5,051
PREMIER INC 132,782 -398 $5,047
     PINC132,782-398$5,047
HILLTOP HOLDINGS INC 200,487 +200,487 $5,044
     HTH200,487+200,487$5,044
HEALTHCARE TR AMER INC 167,502 +3,988 $5,040
     HTA167,502+3,988$5,040
FIRST HORIZON NATL CORP 301,978 +11,632 $5,031
     FHN301,978+11,632$5,031
FIRST MERCHANTS CORP 119,874 +4,428 $5,012
     FRME119,874+4,428$5,012
WORLD FUEL SVCS CORP 114,370 +3,162 $5,008
     INT114,370+3,162$5,008
PHYSICIANS RLTY TR 263,918 +3,430 $4,983
     DOC263,918+3,430$4,983
STAG INDL INC 158,485 +1,639 $4,970
     STAG158,485+1,639$4,970
CUBESMART 159,114 +159,114 $4,958
     CUBE159,114+159,114$4,958
ENTEGRIS INC 98,841 +98,841 $4,956
     ENTG98,841+98,841$4,956
ENVESTNET INC 69,773 +1,607 $4,936
     ENV69,773+1,607$4,936
AMERICAN HOMES 4 RENT 189,077 +5,784 $4,924
     AMH189,077+5,784$4,924
HILLENBRAND INC 146,717 +3,721 $4,917
     HI146,717+3,721$4,917
WSFS FINL CORP 110,999 +110,999 $4,915
     WSFS110,999+110,999$4,915
GREAT WESTN BANCORP INC 140,112 -2,632 $4,908
     GWB140,112-2,632$4,908
MOBILE TELESYSTEMS PJSC 482,343 +6,267 $4,901
     MBT482,343+6,267$4,901
BRANDYWINE RLTY TR 311,342 +12,226 $4,891
     BDN311,342+12,226$4,891
MARATHON OIL CORP 363,970 +12,507 $4,889
     MRO363,970+12,507$4,889
PIPER JAFFRAY COS 60,893 +2,201 $4,884
     PJC60,893+2,201$4,884
ENCORE CAP GROUP INC 137,426 +4,734 $4,876
     ECPG137,426+4,734$4,876
CATHAY GEN BANCORP 127,043 +51 $4,866
     CATY127,043+51$4,866
MDU RES GROUP INC 164,509 +3,095 $4,863
     MDU164,509+3,095$4,863
COLUMBIA SPORTSWEAR CO 48,260 +956 $4,851
     COLM48,260+956$4,851
AMPHASTAR PHARMACEUTICALS IN 250,892 +563 $4,847
     AMPH250,892+563$4,847
SYNOVUS FINL CORP 123,818 +724 $4,841
     SNV123,818+724$4,841
DUNKIN BRANDS GROUP INC 64,019 +64,019 $4,834
     DNKN64,019+64,019$4,834
COHERUS BIOSCIENCES INC 269,817 +269,817 $4,819
     CHRS269,817+269,817$4,819
SIMMONS 1ST NATL CORP 177,963 +7,795 $4,812
     SFNC177,963+7,795$4,812
FIRST FINL BANCORP OH 186,856 -2,262 $4,806
     FFBC186,856-2,262$4,806
OLD REP INTL CORP 214,287 +7,496 $4,802
     ORI214,287+7,496$4,802
WABASH NATL CORP 329,457 +7,454 $4,800
     WNC329,457+7,454$4,800
UMPQUA HLDGS CORP 270,420 +654 $4,795
     UMPQ270,420+654$4,795
QUALYS INC 57,360 +57,360 $4,794
     QLYS57,360+57,360$4,794
AMERICAN TOWER CORP NEW 20,911 -5,514 $4,763
     AMT20,911-5,514$4,763
CUSTOMERS BANCORP INC 199,056 +8,445 $4,758
     CUBI199,056+8,445$4,758
AMERICOLD RLTY TR 136,757 +5,084 $4,757
     COLD136,757+5,084$4,757
UNIVERSAL INS HLDGS INC 169,574 -2,981 $4,753
     UVE169,574-2,981$4,753
VERINT SYS INC 85,670 +1,645 $4,742
     VRNT85,670+1,645$4,742
FORWARD AIR CORP 67,804 -862 $4,731
     FWRD67,804-862$4,731
APPLE HOSPITALITY REIT INC 290,811 -16,344 $4,729
     APLE290,811-16,344$4,729
DMC GLOBAL INC 105,285 +1,728 $4,718
     BOOM105,285+1,728$4,718
GATX CORP 56,670 +1,523 $4,717
     GATX56,670+1,523$4,717
TTM TECHNOLOGIES INC 313,978 +8,997 $4,716
     TTMI313,978+8,997$4,716
WEIBO CORP 100,115 +4,304 $4,715
     WB100,115+4,304$4,715
AMERICAN AIRLS GROUP INC 165,347 +5,327 $4,713
     AAL165,347+5,327$4,713
SEMTECH CORP 89,070 +2,038 $4,712
     SMTC89,070+2,038$4,712
VIAD CORP 69,393 +1,254 $4,712
     VVI69,393+1,254$4,712
HUMANA INC 12,830 -90 $4,703
     HUM12,830-90$4,703
STERLING BANCORP DEL 222,147 -1,844 $4,703
     STL222,147-1,844$4,703
ONE GAS INC 50,466 +878 $4,702
     OGS50,466+878$4,702
IMAX CORP 226,368 +3,763 $4,688
     IMAX226,368+3,763$4,688
KROGER CO 160,845 -2,124,225 $4,680
     KR160,845-2,124,225$4,680
ESSENTIAL PPTYS RLTY TR INC 188,828 +188,828 $4,679
     EPRT188,828+188,828$4,679
SOUTHWEST GAS HOLDINGS INC 61,691 +1,299 $4,678
     SWX61,691+1,299$4,678
EXELIXIS INC 261,975 +5,429 $4,674
     EXEL261,975+5,429$4,674
MEDIFAST INC 42,992 +8,726 $4,652
     MED42,992+8,726$4,652
ACADIA HEALTHCARE COMPANY IN 139,651 +4,294 $4,642
     ACHC139,651+4,294$4,642
WELLTOWER INC 57,137 +2,348 $4,640
     WELL57,137+2,348$4,640
HNI CORP 123,431 -36,964 $4,637
     HNI123,431-36,964$4,637
JBG SMITH PPTYS 116,199 +116,199 $4,637
     JBGS116,199+116,199$4,637
AUTOHOME INC 57,011 UNCH $4,622
     ATHM57,011UNCH$4,622
VIACOMCBS INC 110,997 +7,927 $4,614
     CBS110,997+7,927$4,614
HOLOGIC INC 88,702 -6,950 $4,608
     HOLX88,702-6,950$4,608
BANNER CORP 80,571 +3,361 $4,585
     BANR80,571+3,361$4,585
EMCOR GROUP INC 52,532 +52,532 $4,574
     EME52,532+52,532$4,574
MATRIX SVC CO 199,532 +3,608 $4,547
     MTRX199,532+3,608$4,547
FIREEYE INC 273,332 +7,456 $4,546
     FEYE273,332+7,456$4,546
TEREX CORP NEW 150,684 +4,051 $4,543
     TEX150,684+4,051$4,543
EMPIRE ST RLTY TR INC 328,042 +328,042 $4,527
     ESRT328,042+328,042$4,527
REPLIGEN CORP 48,835 +919 $4,520
     RGEN48,835+919$4,520
COSTAR GROUP INC 7,621 +57 $4,518
     CSGP7,621+57$4,518
TCF FINANCIAL CORPORATION NE 95,984 +2,486 $4,503
     TCF95,984+2,486$4,503
AMERICAN ASSETS TR INC 98,895 +4,136 $4,496
     AAT98,895+4,136$4,496
BRUNSWICK CORP 74,404 +1,285 $4,489
     BC74,404+1,285$4,489
CINEMARK HOLDINGS INC 131,388 -18,118 $4,478
     CNK131,388-18,118$4,478
ALLOGENE THERAPEUTICS INC 171,131 +171,131 $4,470
     ALLO171,131+171,131$4,470
PARAMOUNT GROUP INC 322,630 -20,649 $4,456
     PGRE322,630-20,649$4,456
PLANET FITNESS INC 59,537 +1,147 $4,454
     PLNT59,537+1,147$4,454
GRANITE PT MTG TR INC 239,022 +11,249 $4,418
     GPMT239,022+11,249$4,418
CARGURUS INC 125,844 +1,951 $4,416
     CARG125,844+1,951$4,416
HUNTSMAN CORP 182,833 +3,682 $4,390
     HUN182,833+3,682$4,390
CHART INDS INC 64,496 +1,199 $4,362
     GTLS64,496+1,199$4,362
MONMOUTH REAL ESTATE INVT CO 301,081 -44,191 $4,362
     MNR301,081-44,191$4,362
BROADRIDGE FINL SOLUTIONS IN 35,434 +2,222 $4,359
     BR35,434+2,222$4,359
REGAL BELOIT CORP 50,651 -6,983 $4,351
     RBC50,651-6,983$4,351
BURLINGTON STORES INC 18,855 +64 $4,341
     BURL18,855+64$4,341
HMS HLDGS CORP 147,294 +4,742 $4,322
     HMSY147,294+4,742$4,322
PEBBLEBROOK HOTEL TR 160,356 +5,410 $4,306
     PEB160,356+5,410$4,306
SPROUTS FMRS MKT INC 217,156 +4,460 $4,281
     SFM217,156+4,460$4,281
ETSY INC 96,466 +1,883 $4,280
     ETSY96,466+1,883$4,280
FIRST COMWLTH FINL CORP PA 291,684 -2,780 $4,270
     FCF291,684-2,780$4,270
CABOT OIL & GAS CORP 246,182 UNCH $4,242
     COG246,182UNCH$4,242
JAZZ PHARMACEUTICALS PLC 28,285 UNCH $4,210
     JAZZ28,285UNCH$4,210
CAMPBELL SOUP CO 85,178 +1,635 $4,193
     CPB85,178+1,635$4,193
CONSOLIDATED EDISON INC 46,256 -321 $4,172
     ED46,256-321$4,172
EVO PMTS INC 157,284 +3,515 $4,160
     EVOP157,284+3,515$4,160
FORD MTR CO DEL 446,631 -20,786 $4,154
     F446,631-20,786$4,154
ANALOG DEVICES INC 34,874 -444 $4,151
     ADI34,874-444$4,151
LIGAND PHARMACEUTICALS INC 39,419 +1,037 $4,139
     LGND39,419+1,037$4,139
TERRAFORM PWR INC 268,091 +3,757 $4,126
     TERP268,091+3,757$4,126
ALTRA INDL MOTION CORP 113,666 +2,643 $4,118
     AIMC113,666+2,643$4,118
TEXAS PAC LD TR 5,202 +92 $4,112
     TPL5,202+92$4,112
TANGER FACTORY OUTLET CTRS I 275,950 -14,146 $4,059
     SKT275,950-14,146$4,059
EVERCORE INC 53,827 +934 $4,046
     EVR53,827+934$4,046
GRAND CANYON ED INC 41,748 +807 $4,037
     LOPE41,748+807$4,037
II VI INC 118,454 +2,718 $4,032
     IIVI118,454+2,718$4,032
AMPHENOL CORP NEW 36,932 -148 $4,002
     APH36,932-148$4,002
KEYCORP NEW 196,620 -225,539 $4,000
     KEY196,620-225,539$4,000
BRIGHTSPHERE INVT GROUP INC 377,542 +7,463 $3,998
     BSIG377,542+7,463$3,998
US ECOLOGY INC 68,766 +1,910 $3,977
     ECOL68,766+1,910$3,977
FULLER H B CO 76,146 +1,364 $3,948
     FUL76,146+1,364$3,948
GLU MOBILE INC 654,560 +14,334 $3,944
     GLUU654,560+14,334$3,944
MARCUS CORP 125,121 +2,419 $3,944
     MCS125,121+2,419$3,944
ILLINOIS TOOL WKS INC 21,670 -2,009 $3,893
     ITW21,670-2,009$3,893
SRC ENERGY INC 951,476 -10,694 $3,863
     SRCI951,476-10,694$3,863
ACCO BRANDS CORP 410,725 +7,556 $3,853
     ACCO410,725+7,556$3,853
LENNAR CORP 68,601 -406 $3,839
     LEN68,601-406$3,839
CHARTER COMMUNICATIONS INC N 7,899 -245 $3,816
     CHTR7,899-245$3,816
HAWAIIAN HOLDINGS INC 129,816 +3,387 $3,808
     HA129,816+3,387$3,808
ALIGN TECHNOLOGY INC 13,668 +3,688 $3,801
     ALGN13,668+3,688$3,801
FIRSTENERGY CORP 77,440 -8,671 $3,750
     FE77,440-8,671$3,750
CLEVELAND CLIFFS INC 443,798 +8,778 $3,744
     CLF443,798+8,778$3,744
PUBLIC STORAGE 17,709 -2,905 $3,735
     PSA17,709-2,905$3,735
RYDER SYS INC 68,313 -564,977 $3,714
     R68,313-564,977$3,714
UNITED PARCEL SERVICE INC 31,716 -2,784 $3,691
     UPS31,716-2,784$3,691
EQUITY RESIDENTIAL 45,851 -3,858 $3,679
     EQR45,851-3,858$3,679
TWILIO INC 37,458 +24,447 $3,659
     TWLO37,458+24,447$3,659
FACTSET RESH SYS INC 13,494 +32 $3,634
     FDS13,494+32$3,634
MYRIAD GENETICS INC 135,091 +4,102 $3,627
     MYGN135,091+4,102$3,627
TRINSEO S A 97,480 +1,928 $3,614
     TSE97,480+1,928$3,614
EDISON INTL 47,943 -5,379 $3,606
     EIX47,943-5,379$3,606
NEW RELIC INC 54,822 +1,237 $3,604
     NEWR54,822+1,237$3,604
ANGIODYNAMICS INC 221,804 +9,267 $3,529
     ANGO221,804+9,267$3,529
SPIRIT AEROSYSTEMS HLDGS INC 48,061 -405,972 $3,524
     SPR48,061-405,972$3,524
PNC FINL SVCS GROUP INC 21,814 -681 $3,498
     PNC21,814-681$3,498
DAVE & BUSTERS ENTMT INC 85,554 +1,664 $3,479
     PLAY85,554+1,664$3,479
PVH CORP 32,866 UNCH $3,453
     PVH32,866UNCH$3,453
RAYMOND JAMES FINANCIAL INC 38,282 -2,069 $3,444
     RJF38,282-2,069$3,444
TECHNIPFMC PLC 161,605 +67,695 $3,440
     FTI161,605+67,695$3,440
BLACKBERRY LTD 525,747 +7,600 $3,408
     BB525,747+7,600$3,408
MEDNAX INC 123,238 -88,097 $3,395
     MD123,238-88,097$3,395
XEROX HOLDINGS CORP 91,288 +5,981 $3,383
     XRX91,288+5,981$3,383
NORTONLIFELOCK INC 132,661 +132,661 $3,377
     NLOK132,661+132,661$3,377
BUNGE LIMITED 57,499 UNCH $3,296
     BG57,499UNCH$3,296
OLIN CORP 190,462 +3,759 $3,287
     OLN190,462+3,759$3,287
EQUIFAX INC 23,518 UNCH $3,280
     EFX23,518UNCH$3,280
FOOT LOCKER INC 83,654 UNCH $3,263
     FL83,654UNCH$3,263
ALARM COM HLDGS INC 74,845 +2,010 $3,222
     ALRM74,845+2,010$3,222
DOMINION ENERGY INC 37,955 +544 $3,122
     D37,955+544$3,122
DUKE ENERGY CORP NEW 34,176 -1,766 $3,110
     DUK34,176-1,766$3,110
BOSTON PROPERTIES INC 22,494 -2,269 $3,076
     BXP22,494-2,269$3,076
ALCOA CORP 143,109 +11,948 $3,075
     AA143,109+11,948$3,075
DUKE REALTY CORP 89,081 +784 $3,062
     DRE89,081+784$3,062
VOYA FINL INC 49,606 -6,192 $3,024
     VOYA49,606-6,192$3,024
GROUPON INC 1,253,877 +24,038 $3,022
     GRPN1,253,877+24,038$3,022
FORTIS INC 70,624 -8,800 $2,920
     FTS70,624-8,800$2,920
NETAPP INC 46,865 -736,815 $2,907
     NTAP46,865-736,815$2,907
AMC NETWORKS INC 73,020 +1,729 $2,891
     AMCX73,020+1,729$2,891
KEYSIGHT TECHNOLOGIES INC 27,918 +3,975 $2,866
     KEYS27,918+3,975$2,866
DENTSPLY SIRONA INC 50,748 -1,860 $2,865
     XRAY50,748-1,860$2,865
AFFILIATED MANAGERS GROUP IN 33,378 -27,051 $2,853
     AMG33,378-27,051$2,853
TAIWAN SEMICONDUCTOR MFG LTD 48,967 +2,694 $2,835
     TSM48,967+2,694$2,835
TENCENT MUSIC ENTMT GROUP 237,311 +34,429 $2,805
     TME237,311+34,429$2,805
JOHNSON CTLS INTL PLC 68,270 -3,330 $2,784
     JCI68,270-3,330$2,784
CANADIAN NATL RY CO 30,612 UNCH $2,764
     CNI30,612UNCH$2,764
SEI INVESTMENTS CO 41,352 UNCH $2,718
     SEIC41,352UNCH$2,718
KINDER MORGAN INC DEL 127,939 -10,035 $2,690
     KMI127,939-10,035$2,690
GLOBAL PMTS INC 14,746 -5,435 $2,685
     GPN14,746-5,435$2,685
BALL CORP 40,719 +15,801 $2,633
     BLL40,719+15,801$2,633
SANGAMO THERAPEUTICS INC 317,002 +16,609 $2,625
     SGMO317,002+16,609$2,625
FIDELITY NATIONAL FINANCIAL 56,828 -957 $2,564
     FNF56,828-957$2,564
SOUTHWEST AIRLS CO 46,749 -6,575 $2,527
     LUV46,749-6,575$2,527
MARSH & MCLENNAN COS INC 22,528 -1,662 $2,518
     MMC22,528-1,662$2,518
MICHAELS COS INC 305,657 +8,827 $2,451
     MIK305,657+8,827$2,451
GLOBE LIFE INC 23,055 -137,577 $2,433
     GL23,055-137,577$2,433
ELANCO ANIMAL HEALTH INC 82,844 -30,083 $2,425
     ELAN82,844-30,083$2,425
PEMBINA PIPELINE CORP 65,769 +18,800 $2,424
     PBA65,769+18,800$2,424
BAYTEX ENERGY CORP 1,650,191 +33,800 $2,420
     BTE1,650,191+33,800$2,420
BOINGO WIRELESS INC 222,112 +5,943 $2,408
     WIFI222,112+5,943$2,408
VIPSHOP HLDGS LTD 162,710 +162,710 $2,344
     VIPS162,710+162,710$2,344
ANNALY CAP MGMT INC 247,505 +2,610 $2,339
     NLY247,505+2,610$2,339
EQUINIX INC 3,967 -293 $2,302
     EQIX3,967-293$2,302
ALGONQUIN PWR UTILS CORP 161,100 -296,800 $2,291
     AQN161,100-296,800$2,291
AON PLC 10,898 -834 $2,270
     AON10,898-834$2,270
EOG RES INC 27,246 -316 $2,254
     EOG27,246-316$2,254
SKYWORKS SOLUTIONS INC 18,576 -164 $2,249
     SWKS18,576-164$2,249
HDFC BANK LTD 35,208 +24,476 $2,219
     HDB35,208+24,476$2,219
MARRIOTT INTL INC NEW 14,524 -719 $2,208
     MAR14,524-719$2,208
ATLAS AIR WORLDWIDE HLDGS IN 79,530 +2,325 $2,159
     AAWW79,530+2,325$2,159
GENERAL MTRS CO 58,300 -5,341 $2,139
     GM58,300-5,341$2,139
BROOKFIELD ASSET MGMT INC 36,719 +1,100 $2,123
     BAM36,719+1,100$2,123
CHINA PETE & CHEM CORP 33,972 -1,189 $2,042
     SNP33,972-1,189$2,042
ASHLAND GLOBAL HLDGS INC 26,379 UNCH $2,022
     ASH26,379UNCH$2,022
WESTERN DIGITAL CORP 31,553 -294 $1,989
     WDC31,553-294$1,989
MEREDITH CORP 60,632 -687 $1,909
     MDP60,632-687$1,909
ECOPETROL S A 93,279 UNCH $1,876
     EC93,279UNCH$1,876
CGI INC 22,100 UNCH $1,848
     GIB22,100UNCH$1,848
LAREDO PETROLEUM INC 636,205 -2,260 $1,807
     LPI636,205-2,260$1,807
NEW ORIENTAL ED & TECH GRP I 14,152 +14,152 $1,716
     EDU14,152+14,152$1,716
INCYTE CORP 19,328 +11,072 $1,694
     INCY19,328+11,072$1,694
LOGMEIN INC 18,448 -60,298 $1,584
     LOGM18,448-60,298$1,584
YUM BRANDS INC 15,559 +590 $1,568
     YUM15,559+590$1,568
SHOPIFY INC 3,900 +100 $1,557
     SHOP3,900+100$1,557
BLACKSTONE GROUP INC 27,708 +27,708 $1,556
     BX27,708+27,708$1,556
V F CORP 15,029 -694 $1,498
     VFC15,029-694$1,498
NATIONAL OILWELL VARCO INC 59,457 -973 $1,479
     NOV59,457-973$1,479
T MOBILE US INC 18,562 +1,497 $1,448
     TMUS18,562+1,497$1,448
CANADIAN PAC RY LTD 5,585 -600 $1,429
     CP5,585-600$1,429
WILLIAMS COS INC DEL 60,274 -10,426 $1,411
     WMB60,274-10,426$1,411
IHS MARKIT LTD 18,775 +1,275 $1,408
     INFO18,775+1,275$1,408
SBA COMMUNICATIONS CORP NEW 5,690 -206 $1,358
     SBAC5,690-206$1,358
WESTERN UN CO 50,229 -1,062 $1,349
     WU50,229-1,062$1,349
QORVO INC 11,430 +171 $1,331
     QRVO11,430+171$1,331
DOVER CORP 11,437 -1,342 $1,323
     DOV11,437-1,342$1,323
SUN LIFE FINL INC 28,774 +600 $1,314
     SLF28,774+600$1,314
GULFPORT ENERGY CORP 438,448 +4,109 $1,311
     GPOR438,448+4,109$1,311
MOTOROLA SOLUTIONS INC 7,946 -43,938 $1,280
     MSI7,946-43,938$1,280
IDEX CORP 7,239 +1,063 $1,248
     IEX7,239+1,063$1,248
AXIS CAPITAL HOLDINGS LTD 20,988 UNCH $1,246
     AXS20,988UNCH$1,246
DOLLAR TREE INC 13,088 -45,449 $1,232
     DLTR13,088-45,449$1,232
ENTERGY CORP NEW 10,312 -925 $1,230
     ETR10,312-925$1,230
COOPER COS INC 3,841 +1,432 $1,229
     COO3,841+1,432$1,229
FORTIVE CORP 15,983 -5,505 $1,223
     FTV15,983-5,505$1,223
MICROCHIP TECHNOLOGY INC 11,598 -29,427 $1,216
     MCHP11,598-29,427$1,216
FLEETCOR TECHNOLOGIES INC 4,223 -159 $1,209
     FLT4,223-159$1,209
AMERIPRISE FINL INC 7,166 -200 $1,201
     AMP7,166-200$1,201
GOODYEAR TIRE & RUBR CO 76,523 UNCH $1,197
     GT76,523UNCH$1,197
BEST BUY INC 13,508 -300 $1,186
     BBY13,508-300$1,186
NUTRIEN LTD 24,900 -400 $1,182
     NTR24,900-400$1,182
LAS VEGAS SANDS CORP 16,823 +1,922 $1,165
     LVS16,823+1,922$1,165
ALLIANCE DATA SYSTEMS CORP 10,429 +120 $1,162
     ADS10,429+120$1,162
PIONEER NAT RES CO 7,536 -380 $1,135
     PXD7,536-380$1,135
STANLEY BLACK & DECKER INC 6,798 -124 $1,130
     SWK6,798-124$1,130
APTIV PLC 11,536 -599 $1,105
     APTV11,536-599$1,105
M & T BK CORP 6,430 -114 $1,094
     MTB6,430-114$1,094
NORTHERN TR CORP 9,972 -291 $1,065
     NTRS9,972-291$1,065
IDEXX LABS INC 4,046 UNCH $1,058
     IDXX4,046UNCH$1,058
OMNICOM GROUP INC 12,903 -509 $1,042
     OMC12,903-509$1,042
DR REDDYS LABS LTD 25,647 +979 $1,039
     RDY25,647+979$1,039
RESMED INC 6,733 -207 $1,039
     RMD6,733-207$1,039
REALTY INCOME CORP 14,029 +1,081 $1,023
     O14,029+1,081$1,023
WASTE CONNECTIONS INC 11,210 +872 $1,015
     WCN11,210+872$1,015
TEVA PHARMACEUTICAL INDS LTD 99,509 UNCH $990
     TEVA99,509UNCH$990
TWITTER INC 30,286 -1,299 $972
     TWTR30,286-1,299$972
CHIPOTLE MEXICAN GRILL INC 1,160 +28 $971
     CMG1,160+28$971
CDW CORP 6,752 -1,740 $965
     CDW6,752-1,740$965
CHURCH & DWIGHT INC 13,534 -2,175 $951
     CHD13,534-2,175$951
VENTAS INC 16,341 -177 $938
     VTR16,341-177$938
HALLIBURTON CO 38,343 -278,019 $931
     HAL38,343-278,019$931
CLOROX CO DEL 6,007 -174 $919
     CLX6,007-174$919
COPART INC 9,944 +1,135 $906
     CPRT9,944+1,135$906
BANCO MACRO SA 24,673 -4,384 $904
     BMA24,673-4,384$904
ESSEX PPTY TR INC 2,974 -69 $886
     ESS2,974-69$886
BROWN FORMAN CORP      $884
     BF.B13,112UNCH$884
KRAFT HEINZ CO 27,686 -1,034 $880
     KHC27,686-1,034$880
VULCAN MATLS CO 6,061 -173 $873
     VMC6,061-173$873
HESS CORP 12,663 -6,778 $834
     HES12,663-6,778$834
CARMAX INC 9,428 -285 $827
     KMX9,428-285$827
FREEPORT MCMORAN INC 63,144 -117 $826
     FCX63,144-117$826
TIFFANY & CO NEW 6,111 -10,652 $817
     TIF6,111-10,652$817
ALEXANDRIA REAL ESTATE EQ IN 5,082 -283,338 $812
     ARE5,082-283,338$812
AMEREN CORP 10,511 -3,064 $808
     AEE10,511-3,064$808
DEXCOM INC 3,679 UNCH $807
     DXCM3,679UNCH$807
MELCO RESORTS AND ENTMT LTD 32,650 -4,690 $795
     MLCO32,650-4,690$795
CINCINNATI FINL CORP 7,513 -191 $789
     CINF7,513-191$789
TELEFLEX INC 2,113 -78 $784
     TFX2,113-78$784
CONCHO RES INC 9,087 -222 $783
     CXO9,087-222$783
EVERGY INC 12,048 -253 $777
     EVRG12,048-253$777
FRANCO NEVADA CORP 7,500 -41,402 $772
     FNV7,500-41,402$772
MARTIN MARIETTA MATLS INC 2,773 -2 $769
     MLM2,773-2$769
WELLCARE HEALTH PLANS INC 2,327 -85 $769
     WCG2,327-85$769
CMS ENERGY CORP 12,213 -887 $766
     CMS12,213-887$766
EPAM SYS INC 3,594 -325 $763
     EPAM3,594-325$763
CHENIERE ENERGY INC 12,306 UNCH $751
     LNG12,306UNCH$751
MARKETAXESS HLDGS INC 1,982 -61 $745
     MKTX1,982-61$745
MGM RESORTS INTERNATIONAL 22,189 UNCH $744
     MGM22,189UNCH$744
CONDUENT INC 120,256 +8,920 $741
     CNDT120,256+8,920$741
ARCH CAP GROUP LTD 17,007 UNCH $731
     ACGL17,007UNCH$731
HEALTHPEAK PPTYS INC 21,149 +21,149 $723
     PEAK21,149+21,149$723
PAYCOM SOFTWARE INC 2,715 -69 $715
     PAYC2,715-69$715
GENUINE PARTS CO 6,649 -337,665 $706
     GPC6,649-337,665$706
AERCAP HOLDINGS NV 11,448 +2,561 $704
     AER11,448+2,561$704
ABIOMED INC 4,103 +885 $701
     ABMD4,103+885$701
CACI INTL INC 2,774 -171 $693
     CACI2,774-171$693
MID AMER APT CMNTYS INC 5,301 -302 $690
     MAA5,301-302$690
HORMEL FOODS CORP 15,150 -406 $683
     HRL15,150-406$683
KANSAS CITY SOUTHERN 4,375 -1,229 $672
     KSU4,375-1,229$672
MARKEL CORP 582 -11 $666
     MKL582-11$666
AES CORP 32,976 -2,303 $659
     AES32,976-2,303$659
GARTNER INC 4,292 -22 $659
     IT4,292-22$659
MACERICH CO 24,504 -5,814 $658
     MAC24,504-5,814$658
CENTURYLINK INC 49,391 +1,550 $648
     CTL49,391+1,550$648
KKR & CO INC 22,118 +884 $647
     KKR22,118+884$647
WABTEC CORP 8,274 +510 $647
     WAB8,274+510$647
ICICI BK LTD 42,564 +4,972 $641
     IBN42,564+4,972$641
MARVELL TECHNOLOGY GROUP LTD 23,826 UNCH $634
     MRVL23,826UNCH$634
CBOE GLOBAL MARKETS INC 5,270 UNCH $628
     CBOE5,270UNCH$628
DIAMONDBACK ENERGY INC 6,792 -337 $624
     FANG6,792-337$624
SVB FINL GROUP 2,472 -56 $622
     SIVB2,472-56$622
UGI CORP NEW 13,779 +7,508 $621
     UGI13,779+7,508$621
TAKE TWO INTERACTIVE SOFTWAR 5,051 UNCH $616
     TTWO5,051UNCH$616
BIOMARIN PHARMACEUTICAL INC 7,297 UNCH $615
     BMRN7,297UNCH$615
F M C CORP 6,167 -168 $613
     FMC6,167-168$613
EXTRA SPACE STORAGE INC 5,814 -1,505 $607
     EXR5,814-1,505$607
NEKTAR THERAPEUTICS 28,625 -6,786 $605
     NKTR28,625-6,786$605
PERKINELMER INC 6,234 -304 $605
     PKI6,234-304$605
CENTERPOINT ENERGY INC 22,333 -530 $603
     CNP22,333-530$603
ATMOS ENERGY CORP 5,393 -160 $597
     ATO5,393-160$597
NORWEGIAN CRUISE LINE HLDG L 10,190 +433 $596
     NCLH10,190+433$596
AGNICO EAGLE MINES LTD 9,542 -50,550 $592
     AEM9,542-50,550$592
TD AMERITRADE HLDG CORP 11,855 -116,103 $592
     AMTD11,855-116,103$592
RESTAURANT BRANDS INTL INC 9,200 UNCH $591
     QSR9,200UNCH$591
WYNN RESORTS LTD 4,212 UNCH $589
     WYNN4,212UNCH$589
DEVON ENERGY CORP NEW 22,634 UNCH $584
     DVN22,634UNCH$584
GARMIN LTD 5,947 -563 $582
     GRMN5,947-563$582
FOX CORP 15,563 -851 $575
     FOXA15,563-851$575
ALLIANT ENERGY CORP 10,547 -239 $575
     LNT10,547-239$575
GLOBANT S A 5,435 -2,241 $574
     GLOB5,435-2,241$574
OLD DOMINION FREIGHT LINE IN 3,019 -127,540 $571
     ODFL3,019-127,540$571
SUN CMNTYS INC 3,856 -119 $571
     SUI3,856-119$571
ARISTA NETWORKS INC 2,773 -18 $566
     ANET2,773-18$566
VICI PPTYS INC 22,224 +22,224 $564
     VICI22,224+22,224$564
WEST PHARMACEUTICAL SVSC INC 3,721 +3,721 $564
     WST3,721+3,721$564
HASBRO INC 5,287 UNCH $560
     HAS5,287UNCH$560
NRG ENERGY INC 14,152 -24,705 $560
     NRG14,152-24,705$560
TELEDYNE TECHNOLOGIES INC 1,596 -16,931 $556
     TDY1,596-16,931$556
ALNYLAM PHARMACEUTICALS INC 4,765 +1,314 $549
     ALNY4,765+1,314$549
WHEATON PRECIOUS METALS CORP 18,222 -105,867 $544
     WPM18,222-105,867$544
AVERY DENNISON CORP 4,110 -43 $539
     AVY4,110-43$539
NOBLE ENERGY INC 21,860 UNCH $536
     NBL21,860UNCH$536
RINGCENTRAL INC 3,194 +3,194 $535
     RNG3,194+3,194$535
C H ROBINSON WORLDWIDE INC 6,874 UNCH $534
     CHRW6,874UNCH$534
ADVANCE AUTO PARTS INC 3,335 UNCH $533
     AAP3,335UNCH$533
EQUITY LIFESTYLE PPTYS INC 7,655 +4,880 $532
     ELS7,655+4,880$532
LIBERTY GLOBAL PLC 24,504 UNCH $531
     LBTYK24,504UNCH$531
NVR INC 137 -8 $524
     NVR137-8$524
DOMINOS PIZZA INC 1,759 UNCH $519
     DPZ1,759UNCH$519
DXC TECHNOLOGY CO 13,845 -113,577 $511
     DXC13,845-113,577$511
BERKLEY W R CORP 7,396 +1,598 $509
     WRB7,396+1,598$509
HOLLYFRONTIER CORP 9,989 -957 $504
     HFC9,989-957$504
OKTA INC 4,414 -160 $501
     OKTA4,414-160$501
CF INDS HLDGS INC 10,495 -277 $498
     CF10,495-277$498
W P CAREY INC 6,283 +30 $497
     WPC6,283+30$497
ARAMARK 11,357 -508 $496
     ARMK11,357-508$496
HUNT J B TRANS SVCS INC 4,194 -162 $490
     JBHT4,194-162$490
SEATTLE GENETICS INC 4,284 UNCH $486
     SGEN4,284UNCH$486
PG&E CORP 44,388 UNCH $483
     PCG44,388UNCH$483
FEDERAL REALTY INVT TR 3,752 -75 $479
     FRT3,752-75$479
EXACT SCIENCES CORP 5,175 UNCH $478
     EXAS5,175UNCH$478
LIBERTY BROADBAND CORP 3,797 UNCH $475
     LBRDK3,797UNCH$475
FORTUNE BRANDS HOME & SEC IN 7,185 -2,892 $472
     FBHS7,185-2,892$472
PACKAGING CORP AMER 4,200 -220 $470
     PKG4,200-220$470
SNAP INC 28,868 UNCH $466
     SNAP28,868UNCH$466
LENNOX INTL INC 1,906 UNCH $465
     LII1,906UNCH$465
KIRKLAND LAKE GOLD LTD 10,500 -400 $463
     KL10,500-400$463
GODADDY INC 6,778 UNCH $458
     GDDY6,778UNCH$458
JUNIPER NETWORKS INC 18,529 UNCH $457
     JNPR18,529UNCH$457
UNITED AIRLINES HLDGS INC 5,161 -369 $456
     UAL5,161-369$456
APACHE CORP 17,737 UNCH $453
     APA17,737UNCH$453
NISOURCE INC 16,256 UNCH $451
     NI16,256UNCH$451
BCE INC 9,689 UNCH $449
     BCE9,689UNCH$449
MYLAN N V 22,843 UNCH $448
     MYL22,843UNCH$448
SL GREEN RLTY CORP 4,853 -108 $443
     SLG4,853-108$443
KIMCO RLTY CORP 20,921 +1,233 $431
     KIM20,921+1,233$431
XPO LOGISTICS INC 5,324 +1,116 $424
     XPO5,324+1,116$424
WABCO HLDGS INC 3,116 UNCH $422
     WBC3,116UNCH$422
SAREPTA THERAPEUTICS INC 3,193 -2,146 $415
     SRPT3,193-2,146$415
DISCOVERY INC 13,607 -794 $414
     DISCK13,607-794$414
KOHLS CORP 8,041 UNCH $410
     KSS8,041UNCH$410
LIVE NATION ENTERTAINMENT IN 5,722 +1,063 $410
     LYV5,722+1,063$410
PINNACLE WEST CAP CORP 4,523 -2,183 $405
     PNW4,523-2,183$405
FLIR SYS INC 7,702 +237 $402
     FLIR7,702+237$402
REGENCY CTRS CORP 6,410 -126 $401
     REG6,410-126$401
OGE ENERGY CORP 8,980 +1,092 $399
     OGE8,980+1,092$399
NEWELL BRANDS INC 20,463 UNCH $396
     NWL20,463UNCH$396
AQUA AMERICA INC 8,294 -524,135 $392
     WTR8,294-524,135$392
TERADYNE INC 5,694 -122,418 $390
     TER5,694-122,418$390
CAMDEN PPTY TR 3,673 UNCH $387
     CPT3,673UNCH$387
AGNC INVT CORP 21,761 UNCH $386
     AGNC21,761UNCH$386
MEDICAL PPTYS TRUST INC 18,122 +18,122 $380
     MPW18,122+18,122$380
BLACK KNIGHT INC 5,856 -229,638 $377
     BKI5,856-229,638$377
BROWN & BROWN INC 9,539 +9,539 $377
     BRO9,539+9,539$377
MIDDLEBY CORP 3,413 UNCH $376
     MIDD3,413UNCH$376
RPM INTL INC 4,908 +4,908 $374
     RPM4,908+4,908$374
TYLER TECHNOLOGIES INC 1,252 +1,252 $372
     TYL1,252+1,252$372
ALBEMARLE CORP 5,040 -612 $366
     ALB5,040-612$366
PERRIGO CO PLC 7,051 UNCH $365
     PRGO7,051UNCH$365
TARGA RES CORP 9,002 UNCH $365
     TRGP9,002UNCH$365
ASSURANT INC 2,771 -386 $364
     AIZ2,771-386$364
BIO RAD LABS INC 982 +982 $364
     BIO982+982$364
OMEGA HEALTHCARE INVS INC 8,696 +8,696 $364
     OHI8,696+8,696$364
SENSATA TECHNOLOGIES HLDNG P 6,606 UNCH $358
     ST6,606UNCH$358
LEAR CORP 2,546 UNCH $354
     LEA2,546UNCH$354
DISH NETWORK CORP 9,875 UNCH $348
     DISHV9,875UNCH$348
INVESCO LTD 19,087 UNCH $345
     IVZ19,087UNCH$345
NIELSEN HLDGS PLC 16,927 -803 $342
     NLSN16,927-803$342
INSULET CORP 2,009 +2,009 $341
     PODD2,009+2,009$341
DELL TECHNOLOGIES INC 6,607 UNCH $340
     DELL6,607UNCH$340
MANPOWERGROUP INC 3,446 UNCH $337
     MAN3,446UNCH$337
SMITH A O CORP 6,987 -857,965 $336
     AOS6,987-857,965$336
MOHAWK INDS INC 2,461 UNCH $336
     MHK2,461UNCH$336
VEREIT INC 36,753 -9,900 $336
     VER36,753-9,900$336
INTERPUBLIC GROUP COS INC 14,516 -1,387 $335
     IPG14,516-1,387$335
NATIONAL RETAIL PPTYS INC 6,256 UNCH $333
     NNN6,256UNCH$333
TAPESTRY INC 12,309 -662 $330
     TPR12,309-662$330
GUIDEWIRE SOFTWARE INC 3,007 +3,007 $329
     GWRE3,007+3,007$329
ROKU INC 2,511 +183 $329
     ROKU2,511+183$329
LIBERTY PPTY TR 5,493 UNCH $328
     LPT5,493UNCH$328
RENAISSANCERE HOLDINGS LTD 1,607 UNCH $317
     RNR1,607UNCH$317
IONIS PHARMACEUTICALS INC 5,156 UNCH $311
     IONS5,156UNCH$311
HARLEY DAVIDSON INC 8,249 UNCH $310
     HOG8,249UNCH$310
LIBERTY MEDIA CORP DELAWARE 6,786 UNCH $309
     FWONK6,786UNCH$309
VISTRA ENERGY CORP 13,151 UNCH $303
     VST13,151UNCH$303
BAUSCH HEALTH COS INC 9,971 -5,500 $295
     BHC9,971-5,500$295
OWENS CORNING NEW 4,503 -3,163 $293
     OC4,503-3,163$293
DISCOVERY INC 8,960 UNCH $292
     DISCA8,960UNCH$292
NORDSTROM INC 7,105 UNCH $291
     JWN7,105UNCH$291
COTY INC 26,017 -2,135 $290
     COTY26,017-2,135$290
EAST WEST BANCORP INC 5,746 -304 $284
     EWBC5,746-304$284
ZAYO GROUP HLDGS INC 8,176 UNCH $283
     ZAYO8,176UNCH$283
LIBERTY MEDIA CORP DELAWARE 5,630 UNCH $270
     LSXMK5,630UNCH$270
AXA EQUITABLE HLDGS INC 10,594 UNCH $264
     EQH10,594UNCH$264
HANESBRANDS INC 17,714 +1,469 $264
     HBI17,714+1,469$264
JEFFERIES FINL GROUP INC 12,178 UNCH $261
     JEF12,178UNCH$261
RALPH LAUREN CORP 2,205 -246 $259
     RL2,205-246$259
FOX CORP 6,814 -617 $248
     FOX6,814-617$248
JIANPU TECHNOLOGY INC 175,344 -2,226 $248
     JT175,344-2,226$248
UBER TECHNOLOGIES INC 8,040 UNCH $238
     UBER8,040UNCH$238
LEGGETT & PLATT INC 4,499 +4,499 $230
     LEG4,499+4,499$230
ARROW ELECTRS INC 2,680 +2,680 $228
     ARW2,680+2,680$228
COVETRUS INC 17,461 -152,859 $226
     CVET17,461-152,859$226
CDK GLOBAL INC 4,096 -176,795 $225
     CDK4,096-176,795$225
GILDAN ACTIVEWEAR INC 7,500 UNCH $223
     GIL7,500UNCH$223
DOCUSIGN INC 2,981 +2,981 $220
     DOCU2,981+2,981$220
BEIGENE LTD 1,305 +1,305 $219
     BGNE1,305+1,305$219
FLEX LTD 17,162 +962 $218
     FLEX17,162+962$218
MATCH GROUP INC 2,626 +2,626 $217
     MTCH2,626+2,626$217
MALLINCKRODT PUB LTD CO 57,918 UNCH $215
     MNK57,918UNCH$215
STARS GROUP INC 8,200 +8,200 $214
     TSG8,200+8,200$214
LIBERTY MEDIA CORP DELAWARE 4,389 UNCH $211
     LSXMA4,389UNCH$211
WAYFAIR INC 2,308 UNCH $209
     W2,308UNCH$209
EATON VANCE CORP 4,396 +4,396 $207
     EV4,396+4,396$207
ROLLINS INC 6,153 -522 $203
     ROL6,153-522$203
FLOWSERVE CORP 4,032 -3,610 $202
     FLS4,032-3,610$202
MICRO FOCUS INTERNATIONAL PL 12,710 +318 $178
     MFGP12,710+318$178
TATA MTRS LTD 13,691 +1,635 $177
     TTM13,691+1,635$177
LIBERTY GLOBAL PLC 7,648 UNCH $174
     LBTYA7,648UNCH$174
VEDANTA LTD 19,052 +2,753 $165
     VEDL19,052+2,753$165
CAMECO CORP 16,665 +2,800 $149
     CCJ16,665+2,800$149
NEWS CORP NEW 10,426 UNCH $146
     NWSA10,426UNCH$146
SPRINT CORPORATION 23,738 UNCH $124
     S23,738UNCH$124
UNDER ARMOUR INC 4,881 UNCH $104
     UAA4,881UNCH$104
UNDER ARMOUR INC 5,273 UNCH $101
     UA5,273UNCH$101
TURKCELL ILETISIM HIZMETLERI 12,473 UNCH $72
     TKC12,473UNCH$72
AURORA CANNABIS INC 31,300 UNCH $63
     ACB31,300UNCH$63
NEWS CORP NEW 757 -943 $11
     NWS757-943$11
ASSERTIO THERAPEUTICS INC $0 (exited)
     ASRT0-825,168$0
ALTICE USA INC $0 (exited)
     ATUS0-14,814$0
BB&T CORP $0 (exited)
     BBT0-336,682$0
BAKER HUGHES A GE CO $0 (exited)
     BKR0-569,782$0
CARBONITE INC $0 (exited)
     CARB0-171,267$0
CELGENE CORP $0 (exited)
     CELG0-363,632$0
CENTRAL GARDEN & PET CO $0 (exited)
     CENTA0-181,106$0
CHOICE HOTELS INTL INC $0 (exited)
     CHH0-67,333$0
CIT GROUP INC $0 (exited)
     CIT0-445,396$0
COLONY CAP INC NEW $0 (exited)
     CLNY0-887,601$0
CENTERSTATE BK CORP $0 (exited)
     CSFL0-188,385$0
DIODES INC $0 (exited)
     DIOD0-146,870$0
ELDORADO RESORTS INC $0 (exited)
     ERI0-94,899$0
FORESCOUT TECHNOLOGIES INC $0 (exited)
     FSCT0-107,146$0
GEO GROUP INC NEW $0 (exited)
     GEO0-590,711$0
GRUBHUB INC $0 (exited)
     GRUB0-3,969$0
HCP INC $0 (exited)
     HCP0-21,706$0
HAWAIIAN ELEC INDUSTRIES $0 (exited)
     HE0-529,359$0
BLOCK H & R INC $0 (exited)
     HRB0-9,096$0
KEMET CORP $0 (exited)
     KEM0-257,607$0
L BRANDS INC $0 (exited)
     LB0-14,159$0
MACYS INC $0 (exited)
     M0-11,606$0
NUTANIX INC $0 (exited)
     NTNX0-110,047$0
PLAINS GP HLDGS L P $0 (exited)
     PAGP0-12,441$0
PLANTRONICS INC NEW $0 (exited)
     PLT0-67,176$0
QURATE RETAIL INC $0 (exited)
     QRTEA0-20,997$0
RENEWABLE ENERGY GROUP INC $0 (exited)
     REGI0-318,596$0
REALOGY HLDGS CORP $0 (exited)
     RLGY0-771,271$0
SOUTHERN COPPER CORP $0 (exited)
     SCCO0-123,019$0
SERVICEMASTER GLOBAL HLDGS I $0 (exited)
     SERV0-79,974$0
SUNTRUST BKS INC $0 (exited)
     STI0-253,413$0
SYMANTEC CORP $0 (exited)
     SYMC0-194,254$0
TAL EDUCATION GROUP $0 (exited)
     TAL0-129,071$0
TRANSPORTADORA DE GAS SUR $0 (exited)
     TGS0-120,794$0
VERMILION ENERGY INC $0 (exited)
     VET0-28,118$0
VIACOM INC NEW $0 (exited)
     VIAB0-14,173$0
WEINGARTEN RLTY INVS $0 (exited)
     WRI0-159,041$0
CIMAREX ENERGY CO $0 (exited)
     XEC0-161,796$0
YPF SOCIEDAD ANONIMA 0 -88,705 $0 (exited)
     YPF0-88,705$0

See Summary: Nordea Investment Management AB Top Holdings
See Details: Top 10 Stocks Held By Nordea Investment Management AB

EntityShares/Amount
Change
Position Value
Change
MPWR +174,010+$31,131
TFC +476,467+$26,913
LK +550,000+$21,495
BHGE +693,786+$17,638
ENPH +266,713+$6,775
ERF +815,400+$5,794
MEDP +63,795+$5,344
MGPI +108,152+$5,291
JBL +126,890+$5,280
MWA +437,018+$5,253
EntityShares/Amount
Change
Position Value
Change
CELG -363,632-$36,299
HE -529,359-$24,263
CIT -445,396-$20,202
BBT -336,682-$17,994
STI -253,413-$17,471
BKR -569,782-$13,323
GEO -590,711-$10,124
XEC -161,796-$7,712
CHH -67,333-$5,988
DIOD -146,870-$5,897
EntityShares/Amount
Change
Position Value
Change
INFY +13,209,296+$129,736
CMCSA +4,593,197+$205,282
CSCO +1,969,730+$67,095
EBAY +1,589,435+$20,086
SJR +1,581,400+$32,086
ALLY +1,365,997+$41,045
IRM +1,293,629+$41,109
T +1,212,442+$75,733
CDNS +1,167,731+$82,005
PHM +1,155,590+$45,037
EntityShares/Amount
Change
Position Value
Change
KR -2,124,225-$54,166
BMY -1,949,835+$20,969
DVA -1,946,728-$98,570
TJX -1,776,200-$85,777
PPG -1,658,490-$189,897
PPL -1,552,937-$29,069
CTXS -1,414,585-$113,381
WBA -1,349,890-$59,323
SBH -1,333,056-$9,564
Size ($ in 1000's)
At 12/31/2019: $50,141,539
At 09/30/2019: $45,890,261

Nordea Investment Management AB holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Nordea Investment Management AB 13F filings. Link to 13F filings: SEC filings

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