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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE INC 8,126,693 +8,120,989 $1,564,632
     AAPL8,126,693+8,120,989$1,564,632
MICROSOFT CORP 3,864,725 +3,855,397 $1,453,291
     MSFT3,864,725+3,855,397$1,453,291
AMAZON.COM INC 6,100,858 +5,290,152 $926,964
     AMZN6,100,858+5,290,152$926,964
ALPHABET INC CL A 6,025,667 +6,010,548 $841,725
     GOOGL6,025,667+6,010,548$841,725
NVIDIA CORP 1,403,384 +1,300,125 $694,984
     NVDA1,403,384+1,300,125$694,984
UNITEDHEALTH GROUP INC 825,311 +802,160 $434,501
     UNH825,311+802,160$434,501
META PLATFORMS INC CL A 1,192,861 +1,095,773 $422,225
     META1,192,861+1,095,773$422,225
VISA INC CLASS A 1,500,270 +1,489,856 $390,595
     V1,500,270+1,489,856$390,595
COSTCO WHOLESALE CORP 567,641 +552,492 $374,688
     COST567,641+552,492$374,688
SALESFORCE.COM INC 1,199,924 +979,108 $315,748
     CRM1,199,924+979,108$315,748
ACCENTURE PLC 750,679 +750,679 $263,421
     COM750,679+750,679$263,421
MERCK & CO INC 2,410,732 +2,402,700 $262,818
     MRK2,410,732+2,402,700$262,818
JPMORGAN CHASE & CO 1,518,969 +1,480,379 $258,377
     JPM1,518,969+1,480,379$258,377
ZOETIS INC 1,229,958 +1,229,958 $242,757
     ZTS1,229,958+1,229,958$242,757
BLACKROCK INC 297,985 +282,543 $241,904
     BLK297,985+282,543$241,904
LINDE PLC NEW 558,395 +558,395 $229,338
     COM558,395+558,395$229,338
QUANTA SERVICES INC 1,057,681 +1,052,496 $228,248
     PWR1,057,681+1,052,496$228,248
ADOBE INC 374,127 -421,839 $223,204
     ADBE374,127-421,839$223,204
ORACLE CORPORATION 2,056,289 +2,049,618 $216,795
     ORCL2,056,289+2,049,618$216,795
WALMART INC 1,274,428 +1,265,412 $200,914
     WMT1,274,428+1,265,412$200,914
MASTERCARD INC CLASS A 436,948 +6,798 $186,363
     MA436,948+6,798$186,363
INTERCONTINENTAL EXCHANGE INC (ICE) 1,442,511 -2,606 $185,262
     ICE1,442,511-2,606$185,262
CHEVRON CORP 1,207,817 +1,206,059 $180,158
     CVX1,207,817+1,206,059$180,158
WASTE CONNECTIONS INC 1,188,703 +630,685 $177,438
     WCN1,188,703+630,685$177,438
HOME DEPOT INC 511,548 +493,259 $177,277
     HD511,548+493,259$177,277
VERTEX PHARMACEUTICALS INC 434,874 +416,545 $176,946
     VRTX434,874+416,545$176,946
PROCTER & GAMBLE CO 1,197,101 +165,275 $175,423
     PG1,197,101+165,275$175,423
NIKE INC CL B 1,563,253 +1,551,405 $169,722
     NKE1,563,253+1,551,405$169,722
SHERWIN WILLIAMS CO 534,121 +528,243 $166,592
     SHW534,121+528,243$166,592
NXP SEMICONDUCTORS NV 714,229 +714,229 $164,044
     NXPI714,229+714,229$164,044
THERMO FISHER SCIENTIFIC INC 296,833 +283,883 $157,556
     TMO296,833+283,883$157,556
ABBOTT LABORATORIES 1,387,115 +1,381,015 $152,680
     ABT1,387,115+1,381,015$152,680
MSCI INC CL A 253,636 +246,781 $143,469
     MSCI253,636+246,781$143,469
PROLOGIS INC NEW 1,027,075 +1,020,523 $136,909
     PLD1,027,075+1,020,523$136,909
DANAHER CORP 590,592 +579,444 $136,628
     DHR590,592+579,444$136,628
PHILLIPS 66 953,020 +932,552 $126,885
     PSX953,020+932,552$126,885
O REILLY AUTOMOTIVE INC 129,145 +126,382 $122,698
     ORLY129,145+126,382$122,698
LULULEMON ATHLETICA INC 238,664 +229,433 $122,027
     LULU238,664+229,433$122,027
EQUINIX INC 144,596 +108,099 $116,456
     EQIX144,596+108,099$116,456
STARBUCKS CORP 1,210,285 +1,196,234 $116,199
     SBUX1,210,285+1,196,234$116,199
SERVICENOW INC 159,118 +153,636 $112,415
     NOW159,118+153,636$112,415
MARRIOTT INTERNATIONAL CL A 496,505 +420,962 $111,967
     MAR496,505+420,962$111,967
TEXAS INSTRUMENTS INC 646,869 +636,013 $110,265
     TXN646,869+636,013$110,265
EOG RESOURCES INC 908,751 +181,759 $109,913
     EOG908,751+181,759$109,913
ALPHABET INC CL C 779,264 +738,161 $109,822
     GOOG779,264+738,161$109,822
NORFOLK SOUTHERN CORP 451,226 +429,288 $106,661
     NSC451,226+429,288$106,661
TESLA INC 425,373 +174,257 $105,697
     TSLA425,373+174,257$105,697
KLA CORP 173,740 +29,714 $100,995
     KLAC173,740+29,714$100,995
BOSTON SCIENTIFIC CORP 1,705,468 +1,690,746 $98,593
     BSX1,705,468+1,690,746$98,593
CHUBB LTD 430,121 +430,121 $97,207
     COM430,121+430,121$97,207
AMPHENOL CORP CL A 978,130 +962,902 $96,962
     APH978,130+962,902$96,962
FISERV INC 702,039 +702,039 $93,259
     FI702,039+702,039$93,259
MERCADOLIBRE INC 59,155 -11,273 $92,964
     MELI59,155+55,116$92,964
CINTAS CORP 152,516 +133,713 $91,915
     CTAS152,516+133,713$91,915
NORDSON CORP 347,371 +326,690 $91,762
     NDSN347,371+326,690$91,762
TAIWAN SEMICONDUCTOR SP A 862,000 +590,972 $89,648
     TSM862,000+590,972$89,648
MARVELL TECH 1,436,595 +1,430,720 $86,641
     MRVL1,436,595+1,430,720$86,641
ALCON INC 1,104,141 +1,104,141 $86,255
     ALC1,104,141+1,104,141$86,255
SYSCO CORP 1,165,545 +1,151,519 $85,236
     SYY1,165,545+1,151,519$85,236
ESTEE LAUDER COMPANIES CL A 566,180 +550,355 $82,804
     EL566,180+550,355$82,804
MICROCHIP TECHNOLOGY INC 882,903 -3,012,661 $79,620
     MCHP882,903-3,012,661$79,620
GENERAL MOTORS CO 2,203,771 +2,035,925 $79,159
     GM2,203,771+2,035,925$79,159
ROCKWELL AUTOMATION INC 246,217 +238,097 $76,445
     ROK246,217+238,097$76,445
VERISK ANALYTICS INC CL A 319,341 +204,657 $76,278
     VRSK319,341+204,657$76,278
BROADCOM INC 66,519 +57,252 $74,252
     AVGO66,519+57,252$74,252
JOHNSON CONTROLS INTERNATIONAL PLC 1,283,821 +1,283,821 $73,999
     COM1,283,821+1,283,821$73,999
CARLISLE COS INC 227,949 +198,191 $71,218
     CSL227,949+198,191$71,218
ELI LILLY & CO 120,655 +81,147 $70,332
     LLY120,655+81,147$70,332
DIAGEO PLC 482,713 +472,583 $70,312
     DEO482,713+472,583$70,312
BERKSHIRE HATHAWAY INC CL B      $68,987
     BRK.B193,425+150,255$68,987
IDEX CORP 313,725 +306,221 $68,113
     IEX313,725+306,221$68,113
PNC FINANCIAL SERVICES GROUP 406,058 +396,252 $62,878
     PNC406,058+396,252$62,878
EXXON MOBIL CORPORATION 594,830 +578,517 $59,471
     XOM594,830+578,517$59,471
JOHNSON & JOHNSON CO 358,924 +306,848 $56,258
     JNJ358,924+306,848$56,258
HDFC BANK LTD ADR 829,620 +798,194 $55,676
     HDB829,620+798,194$55,676
IQVIA HOLDINGS INC 227,430 -975 $52,623
     IQV227,430-975$52,623
REINSURANCE GROUP OF AMERICA INC 291,125 +255,326 $47,098
     RGA291,125+255,326$47,098
TERRENO REALTY CORP 713,076 +712,294 $44,688
     TRNO713,076+712,294$44,688
ABBVIE INC 263,262 -27,242 $40,798
     ABBV263,262+243,216$40,798
AMERICAN TOWER CORP 176,146 +157,586 $38,026
     AMT176,146+157,586$38,026
COCA COLA CO 610,572 +579,048 $35,981
     KO610,572+579,048$35,981
BANK OF AMERICA CORP 1,059,292 +1,054,673 $35,666
     BAC1,059,292+1,054,673$35,666
ADVANCED MICRO DEVICES INC 240,509 +234,155 $35,453
     AMD240,509+234,155$35,453
PEPSICO INC 203,503 -380,618 $34,563
     PEP203,503-380,618$34,563
RBC BEARINGS INC 118,830 +110,705 $33,853
     RBC118,830+110,705$33,853
CURTISS WRIGHT CORP 150,377 +142,863 $33,502
     CW150,377+142,863$33,502
NVENT ELECTRIC PLC 558,714 +537,020 $33,014
     NVT558,714+537,020$33,014
NETFLIX INC 66,217 +55,416 $32,240
     NFLX66,217+55,416$32,240
MCDONALDS CORP 108,423 -159,643 $32,149
     MCD108,423-159,643$32,149
OVINTIV INC 715,158 +688,690 $31,410
     OVV715,158+688,690$31,410
INTEL CORP 622,668 +614,822 $31,289
     INTC622,668+614,822$31,289
CISCO SYSTEMS INC 605,072 +469,294 $30,568
     CSCO605,072+469,294$30,568
INGERSOLL RAND INC 393,168 +362,924 $30,408
     IR393,168+362,924$30,408
CUBESMART 649,106 +634,237 $30,086
     CUBE649,106+634,237$30,086
MCGRATH RENTCORP 248,844 +241,340 $29,767
     MGRC248,844+241,340$29,767
AMETEK INC 179,597 +163,786 $29,614
     AME179,597+163,786$29,614
DIAMONDBACK ENERGY INC 190,294 +89,457 $29,511
     FANG190,294+89,457$29,511
BLACKBAUD INC 340,098 +316,992 $29,486
     BLKB340,098+316,992$29,486
VULCAN MATERIALS CO 128,804 -837,987 $29,240
     VMC128,804-837,987$29,240
GRACO INC 336,117 -95,570 $29,162
     GGG336,117-95,570$29,162
TAKE TWO INTERACTIVE SOFTWARE 179,635 +108,991 $28,912
     TTWO179,635+108,991$28,912
NOVANTA INC 170,575 +140,931 $28,727
     NOVT170,575+140,931$28,727
COMFORT SYSTEMS USA INC 138,690 -731,379 $28,524
     FIX138,690-731,379$28,524
INTEGER HOLDINGS CORP 285,439 +276,944 $28,281
     ITGR285,439+276,944$28,281
MAXIMUS INC 335,094 +319,015 $28,101
     MMS335,094+319,015$28,101
ACI WORLDWIDE INC 907,098 +897,757 $27,757
     ACIW907,098+897,757$27,757
BRIGHT HORIZONS FAMILY SOLUTIONS INC 294,024 +287,229 $27,709
     BFAM294,024+287,229$27,709
BROADRIDGE FINANCIAL SOLUTIONS LLC 133,909 +127,428 $27,552
     BR133,909+127,428$27,552
H B FULLER CO 335,119 +322,655 $27,282
     FUL335,119+322,655$27,282
FAIR ISAAC CORPORATION 23,076 +18,738 $26,861
     FICO23,076+18,738$26,861
WELLS FARGO & CO 543,352 +498,039 $26,744
     WFC543,352+498,039$26,744
MURPHY USA INC 74,770 +62,688 $26,660
     MUSA74,770+62,688$26,660
BRUKER CORP 362,035 +326,741 $26,602
     BRKR362,035+326,741$26,602
BLOCK INC 343,132 +44,318 $26,541
     SQ343,132+44,318$26,541
COMCAST CORP CL A 603,215 +585,571 $26,451
     CMCSA603,215+585,571$26,451
ANSYS INC 72,690 +66,466 $26,378
     ANSS72,690+66,466$26,378
QUAKER CHEM CORP 123,222 +117,857 $26,298
     KWR123,222+117,857$26,298
TELEDYNE TECHNOLOGIES INC 58,767 +43,395 $26,227
     TDY58,767+43,395$26,227
INTUIT 41,910 -1,140 $26,195
     INTU41,910-1,140$26,195
LITTELFUSE INC 97,607 -126,119 $26,116
     LFUS97,607-126,119$26,116
INSTALLED BUILDING PRODUCTS INC 142,723 +139,172 $26,093
     IBP142,723+139,172$26,093
FIRST MERCHANTS CORP 700,711 +685,758 $25,982
     FRME700,711+685,758$25,982
COCACOLA CNSLD INC 27,744 -28,068 $25,758
     COKE27,744-28,068$25,758
SELECTIVE INSURANCE GROUP 257,273 +246,063 $25,594
     SIGI257,273+246,063$25,594
TEXAS ROADHOUSE INC 208,471 +201,714 $25,481
     TXRH208,471+201,714$25,481
MONOLITHIC POWER SYSTEMS INC 40,170 +34,706 $25,338
     MPWR40,170+34,706$25,338
STERIS PLC 113,643 +110,320 $24,984
     STE113,643+110,320$24,984
ESCO TECHNOLOGIES INC 212,433 +208,843 $24,861
     ESE212,433+208,843$24,861
HUBSPOT INC 42,619 -236 $24,742
     HUBS42,619-236$24,742
RPM INTERNATIONAL INC 220,806 +170,369 $24,649
     RPM220,806+170,369$24,649
WALT DISNEY CO 271,447 +269,359 $24,509
     DIS271,447+269,359$24,509
MANHATTAN ASSOCIATES INC 113,297 +106,726 $24,395
     MANH113,297+106,726$24,395
MATADOR RESOURCES CO 427,520 +424,665 $24,309
     MTDR427,520+424,665$24,309
PFIZER INC 844,310 +836,058 $24,308
     PFE844,310+836,058$24,308
HUNT J B TRANSPORT SVCS INC 120,289 -623 $24,027
     JBHT120,289-623$24,027
QUALCOMM INC 165,643 +111,599 $23,957
     QCOM165,643+111,599$23,957
PTC INC 135,435 +102,210 $23,696
     PTC135,435+102,210$23,696
TARGA RESOURCES CORP 271,028 +214,091 $23,544
     TRGP271,028+214,091$23,544
VERIZON COMMUNICATIONS INC 623,990 +613,583 $23,524
     VZ623,990+613,583$23,524
COOPER COMPANIES INC 61,622 +57,126 $23,320
     COO61,622+57,126$23,320
CACTUS INC 513,417 +498,536 $23,309
     WHD513,417+498,536$23,309
COLUMBIA BANKING SYSTEM INC 864,604 +838,762 $23,068
     COLB864,604+838,762$23,068
DOMINO S PIZZA INC 55,832 +23,272 $23,016
     DPZ55,832+23,272$23,016
EXPONENT INC 261,007 +243,412 $22,979
     EXPO261,007+243,412$22,979
AMGEN INC 79,695 +70,770 $22,954
     AMGN79,695+70,770$22,954
LIVE NATION ENTERTAINMENT INC 244,105 +219,839 $22,848
     LYV244,105+219,839$22,848
CATERPILLAR INC 76,821 +72,253 $22,714
     CAT76,821+72,253$22,714
UNION PACIFIC CORP 90,929 +85,329 $22,334
     UNP90,929+85,329$22,334
BOEING CO 85,516 +73,853 $22,291
     BA85,516+73,853$22,291
INTERNATIONAL BUSINESS MACHINE CORP 135,347 +134,390 $22,136
     IBM135,347+134,390$22,136
ULTA BEAUTY INC 44,775 +39,087 $21,939
     ULTA44,775+39,087$21,939
TYLER TECHNOLOGIES INC 52,407 +7,389 $21,912
     TYL52,407+7,389$21,912
DESCARTES SYSTEMS GROUP INC 260,002 +253,334 $21,856
     DSGX260,002+253,334$21,856
PHILIP MORRIS INTERNATIONAL INC 230,925 +206,042 $21,725
     PM230,925+206,042$21,725
AMN HEALTHCARE SERVICES INC 289,066 +108,657 $21,645
     AMN289,066+108,657$21,645
S&P GLOBAL INC 48,956 +34,528 $21,566
     SPGI48,956+34,528$21,566
TRACTOR SUPPLY COMPANY 100,187 +90,532 $21,543
     TSCO100,187+90,532$21,543
ATMOS ENERGY CORP 185,063 +180,209 $21,449
     ATO185,063+180,209$21,449
POWER INTEGRATIONS INC 260,951 +248,591 $21,427
     POWI260,951+248,591$21,427
ROLLINS INC 485,068 +480,292 $21,183
     ROL485,068+480,292$21,183
CONOCOPHILLIPS 182,402 +177,261 $21,171
     COP182,402+177,261$21,171
WEST PHARMACEUTICAL SERVICES 60,020 +59,628 $21,134
     WST60,020+59,628$21,134
DARDEN RESTAURANTS INC 128,168 +90,645 $21,058
     DRI128,168+90,645$21,058
CBOE GLOBAL MARKETS INC 117,175 -114,610 $20,923
     CBOE117,175-114,610$20,923
GENERAL ELECTRIC CO 163,177 +72,445 $20,826
     GE163,177+72,445$20,826
TRADEWEB MARKETS INC 227,702 +216,906 $20,694
     TW227,702+216,906$20,694
GUIDEWIRE SOFTWARE INC 189,525 +183,964 $20,666
     GWRE189,525+183,964$20,666
HONEYWELL INTERNATIONAL INC 98,547 -417,582 $20,666
     HON98,547-417,582$20,666
ZSCALER INC 93,202 +93,202 $20,650
     ZS93,202+93,202$20,650
CHURCH & DWIGHT CO INC C 216,015 +215,684 $20,426
     CHD216,015+215,684$20,426
REPLIGEN CORP 112,863 +92,268 $20,293
     RGEN112,863+92,268$20,293
APPLIED MATERIALS INC 124,528 +120,243 $20,182
     AMAT124,528+120,243$20,182
VAIL RESORTS INC 94,467 +47,733 $20,166
     MTN94,467+47,733$20,166
COMMUNITY BANK SYSTEM INC 386,069 +225,685 $20,118
     CBU386,069+225,685$20,118
AVIENT CORP 482,399 +479,639 $20,053
     AVNT482,399+479,639$20,053
HOULIHAN LOKEY INC 165,791 +44,558 $19,880
     HLI165,791+44,558$19,880
HENRY JACK & ASSOCIATES 120,861 +105,533 $19,750
     JKHY120,861+105,533$19,750
ELEMENT SOLUTIONS 848,567 +840,653 $19,636
     ESI848,567+840,653$19,636
FRESHPET INC 226,316 +219,913 $19,635
     FRPT226,316+219,913$19,635
HELIX ENERGY SOLUTIONS GROUP 1,902,392 +1,896,753 $19,557
     HLX1,902,392+1,896,753$19,557
ARAMARK 680,235 +661,915 $19,115
     ARMK680,235+661,915$19,115
WR BERKLEY CORP 269,817 +257,353 $19,081
     WRB269,817+257,353$19,081
GOLDMAN SACHS GROUP INC 49,114 +31,918 $18,947
     GS49,114+31,918$18,947
PERRIGO CO PLC 582,216 +567,274 $18,736
     PRGO582,216+567,274$18,736
JOHN B. SANFILIPPO & SON 181,023 +176,498 $18,653
     JBSS181,023+176,498$18,653
BOOKING HOLDINGS INC 5,258 -2,162 $18,651
     BKNG5,258-2,162$18,651
NEXTERA ENERGY INC 304,283 +293,831 $18,482
     NEE304,283+293,831$18,482
DYNATRACE INC 337,475 +332,486 $18,457
     DT337,475+332,486$18,457
LOWES COMPANIES INC 81,949 +74,975 $18,238
     LOW81,949+74,975$18,238
AQUA AMERICA INC 482,253 +354,137 $18,012
     WTRG482,253+354,137$18,012
LATTICE SEMICONDUCTOR CORP 260,780 -1,500 $17,991
     LSCC260,780-1,500$17,991
AT&T INC 1,062,555 +1,056,280 $17,830
     T1,062,555+1,056,280$17,830
CBIZ INC 284,458 +284,458 $17,804
     CBZ284,458+284,458$17,804
INTUITIVE SURGICAL INC 52,258 -1,542 $17,630
     ISRG52,258-1,542$17,630
HANOVER INSURANCE GROUP INC 145,089 +134,685 $17,617
     THG145,089+134,685$17,617
AMERICAN EXPRESS CO 93,710 +90,456 $17,556
     AXP93,710+90,456$17,556
ENVISTA HOLDINGS CORP 723,841 +700,903 $17,416
     NVST723,841+700,903$17,416
BOISE CASCADE CO 133,961 +104,713 $17,329
     BCC133,961+104,713$17,329
MORGAN STANLEY 185,777 +182,990 $17,324
     MS185,777+182,990$17,324
PERKINELMER INC 158,309 +158,309 $17,305
     RVTY158,309+158,309$17,305
NASDAQ INC 296,250 -12,546 $17,224
     NDAQ296,250+285,824$17,224
ALLEGION PLC 133,413 +133,413 $16,902
     COM133,413+133,413$16,902
UBER TECHNOLOGIES INC 273,998 +270,782 $16,870
     UBER273,998+270,782$16,870
BIO TECHNE CORP 218,161 +215,338 $16,833
     TECH218,161+215,338$16,833
POOL CORP 42,209 -219,893 $16,829
     POOL42,209-219,893$16,829
UNITED PARCEL SERVICE CL B 106,857 +102,769 $16,801
     UPS106,857+102,769$16,801
PROSPERITY BANCSHARES INC (PB) 247,936 +193,953 $16,793
     PB247,936+193,953$16,793
MCCORMICK & CO NON VTG SHRS 243,687 +231,938 $16,673
     MKC243,687+231,938$16,673
FNB CORP 1,208,076 +1,058,293 $16,635
     FNB1,208,076+1,058,293$16,635
CULLEN FROST BANKERS INC 153,051 +146,963 $16,605
     CFR153,051+146,963$16,605
DEERE & CO 41,304 +34,313 $16,516
     DE41,304+34,313$16,516
ANTHEM INC 34,923 -12,684 $16,468
     ELV34,923-12,684$16,468
ASPEN TECH 74,199 +63,632 $16,335
     AZPN74,199+63,632$16,335
MEDTRONIC PLC 197,626 +197,626 $16,280
     COM197,626+197,626$16,280
TJX COMPANIES INC 169,867 +159,928 $15,935
     TJX169,867+159,928$15,935
MARKETAXESS HOLDINGS INC 53,789 -366,181 $15,752
     MKTX53,789-366,181$15,752
LAM RESEARCH CORP 19,889 -730 $15,578
     LRCX19,889-730$15,578
BRISTOL MYERS SQUIBB CO 303,487 +293,296 $15,572
     BMY303,487+293,296$15,572
SCHWAB CHARLES CORP 225,767 +213,320 $15,533
     SCHW225,767+213,320$15,533
HOLOGIC INC 214,962 +205,844 $15,359
     HOLX214,962+205,844$15,359
STRYKER CORP 50,921 +37,070 $15,249
     SYK50,921+37,070$15,249
LOCKHEED MARTIN CORP 33,489 -55,488 $15,179
     LMT33,489-55,488$15,179
CVS HEALTH CORP 190,609 +39,493 $15,050
     CVS190,609+39,493$15,050
GILEAD SCIENCES INC 185,411 +179,200 $15,020
     GILD185,411+179,200$15,020
TELEFLEX INC 59,930 +48,326 $14,943
     TFX59,930+48,326$14,943
ANALOG DEVICES INC 74,543 +54,727 $14,801
     ADI74,543+54,727$14,801
MONDELEZ INTERNATIONAL INC 203,882 +195,507 $14,767
     MDLZ203,882+195,507$14,767
CITIGROUP INC 285,189 +269,018 $14,670
     C285,189+269,018$14,670
GENUINE PARTS CO 105,657 +100,938 $14,633
     GPC105,657+100,938$14,633
CVB FINANCIAL CORP 721,112 +567,321 $14,559
     CVBF721,112+567,321$14,559
BURLINGTON STORES INC 74,648 +65,747 $14,518
     BURL74,648+65,747$14,518
EATON CORP PLC 59,990 +59,990 $14,447
     COM59,990+59,990$14,447
ALEXANDRIA REAL ESTATE EQUITIES 113,624 +26,199 $14,404
     ARE113,624+44,789$14,404
AUTOMATIC DATA PROCESSING INC 61,667 +54,823 $14,367
     ADP61,667+54,823$14,367
LEXINGTON CORPORATE PROPERTIES TRUST 1,443,977 +1,413,377 $14,324
     LXP1,443,977+1,413,377$14,324
AMERISAFE INC 301,819 +12,433 $14,119
     AMSF301,819+12,433$14,119
REGENERON PHARMACEUTICALS 16,074 +2,220 $14,118
     REGN16,074+2,220$14,118
CINCINNATI FINANCIAL CORP 135,333 -80,682 $14,002
     CINF135,333-80,682$14,002
PROGRESSIVE CORP 87,787 -160,807 $13,983
     PGR87,787-160,807$13,983
MICRON TECH INC 163,756 +162,590 $13,975
     MU163,756+162,590$13,975
BLACKSTONE GROUP INC 106,425 +99,631 $13,933
     BX106,425+99,631$13,933
MARSH & MC LENNAN CO 73,253 -1,369,393 $13,879
     MMC73,253-1,369,393$13,879
OKTA INC 150,828 +125,671 $13,654
     OKTA150,828+125,671$13,654
PALO ALTO NETWORKS INC 45,897 +44,950 $13,534
     PANW45,897+44,950$13,534
NEOGEN CORP 663,112 -26,651 $13,335
     NEOG663,112+638,642$13,335
CIGNA CORP 44,382 +39,689 $13,290
     CI44,382+39,689$13,290
T MOBILE US INC 81,004 -19,261 $12,987
     TMUS81,004-19,261$12,987
SS&C TECHNOLOGIES HOLDINGS INC 209,476 +191,223 $12,801
     SSNC209,476+191,223$12,801
SPROUT SOCIAL INC 208,164 +201,307 $12,790
     SPT208,164+201,307$12,790
PINNACLE FINANCIAL PARTNERS INC 146,009 +116,183 $12,735
     PNFP146,009+116,183$12,735
CONAGRA BRANDS INC 436,698 +379,473 $12,516
     CAG436,698+379,473$12,516
ILLINOIS TOOL WORKS INC 44,734 +32,169 $11,718
     ITW44,734+32,169$11,718
SYNOPSYS INC 22,636 -142,776 $11,656
     SNPS22,636-142,776$11,656
HAYWARD HOLDINGS INC 853,267 +835,175 $11,604
     HAYW853,267+835,175$11,604
CME GROUP INC 54,157 +37,836 $11,405
     CME54,157+37,836$11,405
SOUTHERN COMPANY 162,385 +157,159 $11,386
     SO162,385+157,159$11,386
CHARLES RIVER LABORATORIES 47,323 -37,050 $11,187
     CRL47,323-37,050$11,187
SCHLUMBERGER LTD 213,732 +201,621 $11,123
     SLB213,732+201,621$11,123
CADENCE DESIGN SYS INC 40,680 +34,474 $11,080
     CDNS40,680+34,474$11,080
DUKE ENERGY CORP 113,048 +105,132 $10,970
     DUK113,048+105,132$10,970
HELEN OF TROY LTD 89,940 +83,744 $10,866
     HELE89,940+83,744$10,866
WASTE MANAGEMENT INC 60,297 -17,066 $10,799
     WM60,297-17,066$10,799
ALTRIA GROUP INC. 263,657 -5,789,797 $10,636
     MO263,657-5,789,797$10,636
CATALENT INC 231,785 +224,957 $10,414
     CTLT231,785+224,957$10,414
BECTON DICKINSON AND CO 42,327 -17,655 $10,321
     BDX42,327-17,655$10,321
NORTHROP GRUMMAN CORP 21,479 -51,613 $10,055
     NOC21,479-51,613$10,055
CSX CORP 287,062 +252,006 $9,952
     CSX287,062+252,006$9,952
U S BANCORP 227,307 +218,361 $9,838
     USB227,307+218,361$9,838
JONES LANG LASALLE INC 52,076 -1,480,516 $9,836
     JLL52,076-1,480,516$9,836
TARGET CORP 68,788 +63,776 $9,797
     TGT68,788+63,776$9,797
PAYPAL HOLDINGS INC. 158,079 +141,052 $9,708
     PYPL158,079+141,052$9,708
MOODY S CORPORATION 24,668 +19,660 $9,634
     MCO24,668+19,660$9,634
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 102,029 +97,669 $9,484
     MTSI102,029+97,669$9,484
COLGATE PALMOLIVE CO 118,885 +102,252 $9,476
     CL118,885+102,252$9,476
CHIPOTLE MEXICAN GRILL 4,138 -1,211,170 $9,463
     CMG4,138-1,211,170$9,463
MCKESSON HBOC INC 20,360 -30,207 $9,426
     MCK20,360-30,207$9,426
FMC CORP COM 149,373 +129,748 $9,418
     FMC149,373+129,748$9,418
LIONS GATE ENTERTAINMENT CORP CL A      $9,406
     LGF.A651,698+648,220$7,104
     LGF.B225,898+127,970$2,302
ARISTA NETWORKS INC 39,748 +32,530 $9,361
     ANET39,748+32,530$9,361
AIR PRODUCTS & CHEMICALS INC 33,251 -12,206 $9,104
     APD33,251-12,206$9,104
FEDEX CORP 35,793 -8,392 $9,055
     FDX35,793+28,422$9,055
GENERAL DYNAMICS CORP 34,735 -646 $9,020
     GD34,735-646$9,020
FREEPORT MCMORAN INC 211,840 +207,836 $9,018
     FCX211,840+207,836$9,018
PARKER HANNIFIN CORP 19,522 +10,209 $8,994
     PH19,522+10,209$8,994
3M CO 81,995 +66,327 $8,964
     MMM81,995+66,327$8,964
MARATHON PETROLEUM CORP 59,589 +52,097 $8,841
     MPC59,589+52,097$8,841
AON PLC 30,112 -42,934 $8,763
     AON30,112-42,934$8,763
ROPER TECHNOLOGIES INC 15,923 +3,459 $8,681
     ROP15,923+3,459$8,681
CROWDSTRIKE HOLDINGS INC 33,893 +33,029 $8,654
     CRWD33,893+33,029$8,654
WORKDAY INC 31,123 +18,778 $8,592
     WDAY31,123+18,778$8,592
SNOWFLAKE INC 42,880 +29,725 $8,533
     SNOW42,880+29,725$8,533
AIRBNB INC 62,529 -484,971 $8,513
     ABNB62,529-484,971$8,513
HUMANA INC 18,549 -513 $8,492
     HUM18,549-513$8,492
TRANE TECHNOLOGIES PLC 34,149 +34,149 $8,329
     COM34,149+34,149$8,329
EMERSON ELECTRIC CO 85,331 +80,399 $8,305
     EMR85,331+80,399$8,305
TRANSDIGM GROUP INC 8,175 -5,841 $8,270
     TDG8,175-5,841$8,270
HCA HEALTHCARE INC 30,501 -825,644 $8,256
     HCA30,501-825,644$8,256
PIONEER NATURAL RESOURCES CO 35,618 +30,534 $8,010
     PXD35,618+30,534$8,010
ELANCO ANIMAL HEALTH INC 536,875 +525,214 $7,999
     ELAN536,875+525,214$7,999
PACCAR INC 79,574 +67,291 $7,770
     PCAR79,574+67,291$7,770
MOTOROLA SOLUTIONS INC 24,814 +18,854 $7,769
     MSI24,814+18,854$7,769
AUTODESK INC 31,680 +7,999 $7,713
     ADSK31,680+7,999$7,713
ECOLAB INC 38,136 +33,499 $7,564
     ECL38,136+33,499$7,564
KKR & CO INC 90,833 -3,466 $7,526
     KKR90,833-3,466$7,526
CAPITAL ONE FINANCIAL CORP 56,798 +45,924 $7,447
     COF56,798+45,924$7,447
TRUIST FINANCIAL CORP 196,763 +162,144 $7,264
     TFC196,763+162,144$7,264
ARTHUR J GALLAGHER & CO 32,296 +30,242 $7,263
     AJG32,296+30,242$7,263
CROWN CASTLE INTL CORP 62,900 +50,909 $7,245
     CCI62,900+50,909$7,245
DEXCOM INC 58,272 -202,606 $7,231
     DXCM58,272-202,606$7,231
AMERICAN INTERNATIONAL GROUP INC 106,702 +78,126 $7,229
     AIG106,702+78,126$7,229
HILTON WORLDWIDE HOLDINGS INC 39,471 +27,406 $7,187
     HLT39,471+27,406$7,187
NEWMONT CORP 173,621 +128,434 $7,186
     NEM173,621+128,434$7,186
CARRIER GLOBAL CORP 124,807 +104,709 $7,170
     CARR124,807+104,709$7,170
PUBLIC STORAGE 23,440 +19,356 $7,149
     PSA23,440+19,356$7,149
VALERO ENERGY CORP 54,844 +46,055 $7,130
     VLO54,844+46,055$7,130
FORD MOTOR CO 584,823 -15,527 $7,129
     F584,823-15,527$7,129
AFLAC INC 85,402 +70,195 $7,046
     AFL85,402+70,195$7,046
SEMPRA ENERGY 93,910 +76,183 $7,018
     SRE93,910+76,183$7,018
SIMON PROPERTY GROUP INC 48,911 +19,450 $6,977
     SPG48,911+19,450$6,977
AUTOZONE INC 2,683 -29,809 $6,937
     AZO2,683-29,809$6,937
MONSTER BEVERAGE CORP 120,279 +94,995 $6,929
     MNST120,279+94,995$6,929
ROSS STORES INC 49,787 +37,335 $6,890
     ROST49,787+37,335$6,890
EDWARDS LIFESCIENCES CP 90,061 +42,838 $6,867
     EW90,061+42,838$6,867
WELLTOWER INC 76,025 +70,661 $6,855
     WELL76,025+70,661$6,855
IDEXX LABORATORIES INC 12,220 -301,864 $6,783
     IDXX12,220-301,864$6,783
NUCOR CORP 37,709 -1,450,293 $6,563
     NUE37,709-1,450,293$6,563
TE CONNECTIVITY LTD 45,606 +39,850 $6,408
     TEL45,606+39,850$6,408
WILLIAMS COMPANIES INC 183,516 +168,042 $6,392
     WMB183,516+168,042$6,392
METLIFE INC 94,658 +80,426 $6,260
     MET94,658+80,426$6,260
TRAVELERS COMPANIES INC 32,859 +20,007 $6,259
     TRV32,859+20,007$6,259
CHENIERE ENERGY INC 36,490 +6,670 $6,229
     LNG36,490+6,670$6,229
KIMBERLY CLARK CORP 50,778 -42 $6,170
     KMB50,778-42$6,170
HESS CORPORATION 42,535 +24,593 $6,132
     HES42,535+24,593$6,132
CENTENE CORP 82,377 -43,776 $6,113
     CNC82,377-43,776$6,113
AGILENT TECHNOLOGIES INC 43,914 +40,018 $6,105
     A43,914+40,018$6,105
AMER ELEC PWR CO INC 74,916 +60,834 $6,085
     AEP74,916+60,834$6,085
BANK OF NEW YORK MELLON CORP 116,589 +114,687 $6,068
     BK116,589+114,687$6,068
OLD DOMINION FREIGHT LINE 14,866 +463 $6,026
     ODFL14,866+463$6,026
OCCIDENTAL PETRO COR 100,533 +94,119 $6,003
     OXY100,533+94,119$6,003
L3HARRIS TECHNOLOGIES 28,210 -536 $5,942
     LHX28,210-536$5,942
DIGITAL REALTY TRUST INC 44,089 +609 $5,933
     DLR44,089+609$5,933
DOMINION ENERGY INC 125,867 +91,261 $5,916
     D125,867+91,261$5,916
FORTINET INC 101,056 -3,432 $5,915
     FTNT101,056-3,432$5,915
CONSTELLATION BRANDS INC CL A 24,403 -26,534 $5,899
     STZ24,403-26,534$5,899
AMERIPRIS FIN INC 15,395 -162,760 $5,847
     AMP15,395-162,760$5,847
ARCHER DANIELS MIDLAND CO 80,230 +56,767 $5,794
     ADM80,230+56,767$5,794
DOW INC 104,986 +85,277 $5,757
     DOW104,986+85,277$5,757
REALTY INCOME CORP 100,187 +94,147 $5,753
     O100,187+94,147$5,753
COGNIZANT TECH SOLUTIONS CORP CL A 76,159 +60,086 $5,752
     CTSH76,159+60,086$5,752
APOLLO GL MGMT 61,502 +51,753 $5,731
     APO61,502+51,753$5,731
PAYCHEX INC 47,600 -115,373 $5,670
     PAYX47,600-115,373$5,670
CHARTER COMMUNICATIONS INC CL A 14,459 -8,585 $5,620
     CHTR14,459-8,585$5,620
GENERAL MILLS INC 85,973 +78,213 $5,600
     GIS85,973+78,213$5,600
PRUDENTIAL FINANCIAL INC 53,674 +24,864 $5,567
     PRU53,674+24,864$5,567
BIOGEN INC 21,450 -26,914 $5,551
     BIIB21,450-26,914$5,551
ALLSTATE CORP 39,472 +30,477 $5,525
     ALL39,472+30,477$5,525
ATLASSIAN CORP 23,066 -1,067,666 $5,486
     TEAM23,066-1,067,666$5,486
REPUBLIC SERVICES INC 33,131 +25,443 $5,464
     RSG33,131+25,443$5,464
FIDELITY NATIONAL INFORMATION SVCS INC 90,206 +75,829 $5,419
     FIS90,206+75,829$5,419
D R HORTON INC 35,637 +30,581 $5,416
     DHI35,637+30,581$5,416
ON SEMICONDUCTOR CORP 64,309 +55,793 $5,372
     ON64,309+55,793$5,372
YUM BRANDS INC 40,987 +21,083 $5,355
     YUM40,987+21,083$5,355
KENVUE INC 247,553 +247,553 $5,330
     KVUE247,553+247,553$5,330
OTIS WORLDWIDE CORP 59,516 -656,977 $5,325
     OTIS59,516-656,977$5,325
KINDER MORGAN INC 299,943 -871 $5,291
     KMI299,943-871$5,291
ELECTRONIC ARTS INC 38,432 -498,443 $5,258
     EA38,432-498,443$5,258
EXELON CORP 145,306 +106,825 $5,216
     EXC145,306+106,825$5,216
PPG IND INC 34,681 +27,291 $5,187
     PPG34,681+27,291$5,187
DUPONT DE NEMOURS INC 66,976 +42,313 $5,152
     DD66,976+42,313$5,152
CUMMINS INC 21,315 -289,459 $5,106
     CMI21,315-289,459$5,106
CORTEVA INC 106,166 +97,755 $5,087
     CTVA106,166+97,755$5,087
EXTRA SPACE STORAGE INC 31,616 -230,800 $5,069
     EXR31,616-230,800$5,069
GLOBAL PAYMENTS INC 39,445 +33,199 $5,010
     GPN39,445+33,199$5,010
XCEL ENERGY INC 79,760 +70,331 $4,938
     XEL79,760+70,331$4,938
HALLIBURTON CO 136,558 +123,447 $4,937
     HAL136,558+123,447$4,937
MDRNA INC 48,967 -23,511 $4,870
     MRNA48,967-23,511$4,870
COPART INC 98,925 +84,930 $4,847
     CPRT98,925+84,930$4,847
KEURIG DR PEPPER INC 141,347 +4,844 $4,710
     KDP141,347+4,844$4,710
DATADOG INC 38,480 +17,780 $4,671
     DDOG38,480+17,780$4,671
GE HLTHCARE 60,397 +55,928 $4,670
     GEHC60,397+55,928$4,670
KROGER CO 100,967 -3,018 $4,615
     KR100,967-3,018$4,615
UNITED RENTALS INC 7,952 +2,043 $4,560
     URI7,952+2,043$4,560
CHECK POINT SOFTWARE TECH 29,720 +29,720 $4,541
     COM29,720+29,720$4,541
FERGUSON PLC 23,462 +23,462 $4,530
     COM23,462+23,462$4,530
KRAFT HEINZ CO 122,190 -157 $4,519
     KHC122,190-157$4,519
CONSOLIDATED EDISON INC 49,583 -138,609 $4,511
     ED49,583-138,609$4,511
AMERISOURCEBERGEN CORP 25,029 -10,859 $4,505
     ABC25,029-10,859$4,505
ONEOK INC 63,912 -8,478 $4,488
     OKE63,912-8,478$4,488
DOLLAR GENERAL CORP 32,933 +8,451 $4,477
     DG32,933+8,451$4,477
DOLLAR TREE INC 31,322 +25,800 $4,449
     DLTR31,322+25,800$4,449
DEVON ENERGY CORP 97,908 +74,197 $4,435
     DVN97,908+74,197$4,435
PUBLIC SERVICE ENTERPRISE GP 72,088 +65,694 $4,408
     PEG72,088+65,694$4,408
GRAINGER W W INC 5,197 -357,598 $4,307
     GWW5,197-357,598$4,307
CONSTELL ENE 36,758 +34,612 $4,297
     CEG36,758+34,612$4,297
VEEVA SYSTEMS INC 22,155 -414,080 $4,265
     VEEV22,155-414,080$4,265
FASTENAL CO 65,290 +60,784 $4,229
     FAST65,290+60,784$4,229
LENNAR CORP CL A      $4,160
     LEN27,204+26,410$4,054
     LEN.B794-9,636$106
COSTAR GROUP INC 46,430 -77,086 $4,058
     CSGP46,430-77,086$4,058
HERSHEY CO 21,605 -24,063 $4,028
     HSY21,605-24,063$4,028
WARNER BROS DIS 350,559 +343,854 $3,989
     WBD350,559+343,854$3,989
HP INC 131,884 -4,380 $3,968
     HPQ131,884-4,380$3,968
GARTNER INC 8,776 -8,310 $3,959
     IT8,776-8,310$3,959
PG & E CORP 217,128 +208,250 $3,915
     PCG217,128+208,250$3,915
BAKER HUGHES CO 114,031 +105,537 $3,898
     BKR114,031+105,537$3,898
FORTIVE CORP 52,662 -1,196 $3,878
     FTV52,662-1,196$3,878
WEC ENERGY GROUP INC 45,886 +5,929 $3,862
     WEC45,886+5,929$3,862
AVALONBAY COMMUNITIES INC 20,543 +17,143 $3,846
     AVB20,543+17,143$3,846
APTIV PLC 42,265 +42,265 $3,792
     COM42,265+42,265$3,792
WILLIS TOWERS WATSON PLC 15,467 +7,484 $3,731
     WTW15,467+7,484$3,731
ZIMMER BIOMET HOLDINGS INC 30,619 +30,619 $3,726
     ZBH30,619+30,619$3,726
AMERICAN WATER WORKS CO INC 27,840 -6,671 $3,675
     AWK27,840-6,671$3,675
CORNING INC 120,591 +17,915 $3,672
     GLW120,591+17,915$3,672
TRADE DESK INC A 50,282 +16,693 $3,618
     TTD50,282+16,693$3,618
DOORDASH INC 35,854 -20,197 $3,546
     DASH35,854-20,197$3,546
PALANTIR TECHNOLOGIES INC 206,024 +180,172 $3,537
     PLTR206,024+180,172$3,537
VICI PROPERTIES INC 110,857 +92,230 $3,534
     VICI110,857+92,230$3,534
EBAY INC 80,263 +66,798 $3,501
     EBAY80,263+66,798$3,501
CDW CORP 15,183 +13,218 $3,451
     CDW15,183+13,218$3,451
ROYAL CARIBBEAN CRUISES LTD 26,516 +26,516 $3,434
     COM26,516+26,516$3,434
EQUIFAX INC 13,677 +4,468 $3,382
     EFX13,677+4,468$3,382
MARTIN MARIETTA MATERIALS 6,668 -16,459 $3,327
     MLM6,668-16,459$3,327
MONGODB INC 8,007 -35,897 $3,274
     MDB8,007-35,897$3,274
LYONDELLBASELL INDUSTRIES 33,944 +29,010 $3,227
     LYB33,944+29,010$3,227
ARCH CAPITAL GROUP LTD 43,352 -440,424 $3,220
     ACGL43,352-440,424$3,220
DISCOVER FINANCIAL SERVICES 28,591 +26,012 $3,214
     DFS28,591+26,012$3,214
EDISON INTERNATIOAL 44,221 +5,003 $3,161
     EIX44,221+5,003$3,161
KEYSIGHT TECHNOLOGIES INC 19,828 -713 $3,154
     KEYS19,828-713$3,154
SEA LTD 77,723 +73,539 $3,148
     SE77,723+73,539$3,148
CBRE GROUP INC 33,808 -45,412 $3,147
     CBRE33,808-45,412$3,147
EQUITY RESIDENTIAL 50,918 +33,907 $3,114
     EQR50,918+33,907$3,114
XYLEM INC 26,901 -1,205,639 $3,076
     XYL26,901-1,205,639$3,076
COINBASE GLOBAL INC 17,644 +13,329 $3,069
     COIN17,644+13,329$3,069
SBA COMMUNICATIONS CORP 11,848 +7,139 $3,006
     SBAC11,848+7,139$3,006
DELL TECHNOLOGIES INC 39,142 +34,620 $2,994
     DELL39,142+34,620$2,994
STATE STREET CORP 37,888 +28,382 $2,935
     STT37,888+28,382$2,935
METTLER TOLEDO INTERNATIONAL 2,415 -4,825 $2,929
     MTD2,415-4,825$2,929
AERCAP HOLDINGS 39,318 +27,985 $2,922
     AER39,318+27,985$2,922
COCA COLA EUROPEAN PARTNERS PLC 43,507 +43,507 $2,904
     COM43,507+43,507$2,904
CARDINAL HEALTH INC 28,617 -11,986 $2,885
     CAH28,617-11,986$2,885
PULTEGROUP INC 27,882 +17,229 $2,878
     PHM27,882+17,229$2,878
RESMED INC 16,694 +6,352 $2,872
     RMD16,694+6,352$2,872
WEYERHAEUSER CO 79,850 +75,007 $2,776
     WY79,850+75,007$2,776
ALNYLAM PHARMACEUTICALS INC 14,397 +7,468 $2,756
     ALNY14,397+7,468$2,756
BROWN FORMAN INC CL B      $2,755
     BF.B48,242-85,667$2,755
SPLUNK INC 17,889 +10,349 $2,725
     SPLK17,889+10,349$2,725
T ROWE PRICE GROUP INC 25,154 -1,884 $2,709
     TROW25,154-1,884$2,709
TEVA PHARMACEUTICAL SP ADR 255,826 +238,573 $2,671
     TEVA255,826+238,573$2,671
WABTEC CORP 21,031 +14,221 $2,669
     WAB21,031+14,221$2,669
CLOUDFLARE INC 31,457 +26,679 $2,619
     NET31,457+26,679$2,619
LAS VEGAS SANDS CORP 52,110 -2,431 $2,564
     LVS52,110-2,431$2,564
HARTFORD FINANCIAL SVCS GRP 31,705 +15,729 $2,548
     HIG31,705+15,729$2,548
PINTEREST INC 68,486 +57,274 $2,537
     PINS68,486+57,274$2,537
RAYMOND JAMES FINANCIAL CORP 22,737 -76,272 $2,535
     RJF22,737-76,272$2,535
ILLUMINA INC 18,122 -27,682 $2,523
     ILMN18,122-27,682$2,523
FIFTH THIRD BANCORP 73,033 -20,120 $2,519
     FITB73,033-20,120$2,519
M & T BANK CORPORATION 18,180 +2,187 $2,492
     MTB18,180+2,187$2,492
BUILDERS FIRSTSOURCE INC 14,903 -12,473 $2,488
     BLDR14,903-12,473$2,488
EXPEDIA GROUP INC 16,338 +7,270 $2,480
     EXPE16,338+7,270$2,480
INTL FLAVORS & FRAGR 30,420 -11,168 $2,463
     IFF30,420-11,168$2,463
HEWLETT PACKARD ENTERPRISE COMPANY 144,613 +100,633 $2,456
     HPE144,613+100,633$2,456
MOLINA HEALTHCARE INC 6,683 -16,404 $2,415
     MOH6,683-16,404$2,415
EVERSOURCE ENERGY 38,975 +11,467 $2,406
     ES38,975+11,467$2,406
NVR INC 339 -18,530 $2,373
     NVR339-18,530$2,373
HOWMET AEROSPACE INC 43,648 -863 $2,362
     HWM43,648-863$2,362
DTE ENERGY CO 21,143 -8,106 $2,331
     DTE21,143-8,106$2,331
DOVER CORP 14,897 +2,825 $2,291
     DOV14,897+2,825$2,291
LABORATORY CORP OF AMER HLDGS 10,023 -341 $2,278
     LH10,023-341$2,278
FLEETCOR TECHNOLOGIES INC 8,056 -2,337 $2,277
     FLT8,056-2,337$2,277
ARES MANAGEMENT CORP 19,142 -64,082 $2,276
     ARES19,142-64,082$2,276
ENTERGY CORP 22,442 +21,031 $2,271
     ETR22,442+21,031$2,271
FIRSTENERGY CORP 61,862 +56,145 $2,268
     FE61,862+56,145$2,268
ALIGN TECHNOLOGY INC 8,272 -15,455 $2,267
     ALGN8,272-15,455$2,267
INVITATION HOMES INC 66,363 -2,677 $2,264
     INVH66,363-2,677$2,264
COTERRA ENERGY INC 88,490 -21,555 $2,258
     CTRA88,490-21,555$2,258
IRON MOUNTAIN INC 32,025 -1,142 $2,241
     IRM32,025-1,142$2,241
BAXTER INTERNATIONAL INC 57,934 +45,268 $2,240
     BAX57,934+45,268$2,240
VENTAS INC 44,881 +5,988 $2,237
     VTR44,881+5,988$2,237
STEEL DYNAMICS INC 18,794 +6,381 $2,220
     STLD18,794+6,381$2,220
ROBLOX CORP 48,143 -436,925 $2,201
     RBLX48,143-436,925$2,201
MARKEL CORP 1,546 -55,745 $2,195
     MKL1,546-55,745$2,195
CARNIVAL CORP 117,630 +105,544 $2,181
     CCL117,630+105,544$2,181
VERALTO CRP 26,434 +26,434 $2,174
     VLTO26,434+26,434$2,174
WATERS CORPORATION 6,599 -13,312 $2,173
     WAT6,599-13,312$2,173
WALGREENS BOOTS ALLIANCE INC 83,176 +79,033 $2,172
     WBA83,176+79,033$2,172
EXPEDITORS INTL WASHINGTON INC 17,041 -96 $2,168
     EXPD17,041-96$2,168
CYBERARK SOFTWARE LTD 9,868 +9,868 $2,162
     COM9,868+9,868$2,162
BALL CORP 37,364 +23,667 $2,149
     BALL37,364+23,667$2,149
GARMIN LTD 16,717 +16,717 $2,149
     COM16,717+16,717$2,149
PRINCIPAL FINANCIAL GROUP 27,209 +19,640 $2,141
     PFG27,209+19,640$2,141
BIOMARIN PHARMACEUTICAL INC 22,011 +21,613 $2,122
     BMRN22,011+21,613$2,122
AXON ENTERPRISE INC 8,188 +5,651 $2,115
     AXON8,188+5,651$2,115
NETAPP INC 23,494 +18,680 $2,071
     NTAP23,494+18,680$2,071
HEICO CORP CLASS A      $2,064
     HEI.A10,073+5,791$1,435
     HEI3,518-72,418$629
NORTHERN TRUST CORP 24,449 +19,984 $2,063
     NTRS24,449+19,984$2,063
HUBBELL INC 6,262 -12 $2,060
     HUBB6,262-12$2,060
CLOROX CO 14,437 +7,682 $2,059
     CLX14,437+7,682$2,059
AMEREN CORPORATION 28,427 +24,230 $2,056
     AEE28,427+24,230$2,056
SNAP INC 121,368 +58,250 $2,055
     SNAP121,368+58,250$2,055
ENPHASE ENERGY INC 15,534 +15,166 $2,053
     ENPH15,534+15,166$2,053
ENTEGRIS INC 17,080 +9,703 $2,047
     ENTG17,080+9,703$2,047
AKAMAI TECHNOLOGIES INC 17,141 +6,450 $2,029
     AKAM17,141+6,450$2,029
FACTSET RESEARCH SYSTEMS INC 4,225 -1,063 $2,016
     FDS4,225-1,063$2,016
HUNTINGTON BANCSHARES (HBAN) 158,026 -8,625 $2,010
     HBAN158,026-8,625$2,010
WESTERN DIGITAL CORP 38,358 +30,791 $2,009
     WDC38,358+30,791$2,009
LPL FINANCIAL HOLDINGS INC 8,749 -45,954 $1,991
     LPLA8,749-45,954$1,991
FIRST SOLAR INC 11,507 -691,558 $1,982
     FSLR11,507-691,558$1,982
ZOOM VIDEO COMMUNICATIONS INC CL A 27,380 +27,380 $1,969
     ZM27,380+27,380$1,969
EPAM SYSTEMS INC 6,599 +483 $1,962
     EPAM6,599+483$1,962
CENTERPOINT ENERGY INC 68,559 +33,063 $1,959
     CNP68,559+33,063$1,959
SUN COMMUNITIES INC 14,518 +8,628 $1,940
     SUI14,518+8,628$1,940
VERISIGN INC 9,379 -20,875 $1,932
     VRSN9,379-20,875$1,932
JABIL INC 15,118 +1,609 $1,926
     JBL15,118+1,609$1,926
ALBEMARLE CORP 13,307 -20,885 $1,923
     ALB13,307-20,885$1,923
BROWN & BROWN INC 26,916 -36,246 $1,914
     BRO26,916-36,246$1,914
SKYWORKS SOLUTIONS INC 17,015 +3,461 $1,913
     SWKS17,015+3,461$1,913
OMNICOM GROUP INC 21,752 +10,542 $1,882
     OMC21,752+10,542$1,882
LAMB WESTON HOLDINGS INC 17,323 -774 $1,872
     LW17,323-774$1,872
AVERY DENNISON CORP 9,141 +5,568 $1,848
     AVY9,141+5,568$1,848
RIVIAN AUTOMOTIVE INC 78,467 +70,274 $1,841
     RIVN78,467+70,274$1,841
SEAGATE TECHNOLOGY HOLDINGS PLC 21,471 +21,471 $1,833
     COM21,471+21,471$1,833
CELANESE CORP SERIES A 11,721 +10,379 $1,821
     CE11,721+10,379$1,821
CMS ENERGY CORP 31,345 -29,927 $1,820
     CMS31,345-29,927$1,820
BOOZ ALLEN HAMILTON HOLDING CORP 14,215 -139,606 $1,818
     BAH14,215-139,606$1,818
DECKERS OUTDOOR CORP 2,718 -37,107 $1,817
     DECK2,718-37,107$1,817
REGIONS FINANCIAL CORP 93,711 +88,437 $1,816
     RF93,711+88,437$1,816
TERADYNE INC 16,683 +9,438 $1,810
     TER16,683+9,438$1,810
AVANTOR INC 79,153 +15,740 $1,807
     AVTR79,153+15,740$1,807
SYNCHRONY FINANCIAL 46,937 -1,121,094 $1,793
     SYF46,937-1,121,094$1,793
PACKAGING CORP OF AMERICA 10,966 +8,603 $1,786
     PKG10,966+8,603$1,786
MARATHON OIL CO 73,592 +58,081 $1,778
     MRO73,592+58,081$1,778
PPL CORPORATION 65,620 +61,853 $1,778
     PPL65,620+61,853$1,778
WATSCO INC 4,143 -123 $1,775
     WSO4,143-123$1,775
FIRST CITIZENS BCSHS 1,248 -9,521 $1,771
     FCNCA1,248-9,521$1,771
TYSON FOODS INC CL A 32,957 +25,136 $1,771
     TSN32,957+25,136$1,771
VERTIV HOLDINGS CO 36,842 +26,001 $1,770
     VRT36,842+26,001$1,770
CF INDUSTRIES HOLDINGS INC 22,217 +10,943 $1,766
     CF22,217+10,943$1,766
GODADDY INC 16,542 +10,371 $1,756
     GDDY16,542+10,371$1,756
JACB SOLU 13,509 +9,987 $1,753
     J13,509+9,987$1,753
INSULET CORP 8,078 -135,117 $1,753
     PODD8,078-135,117$1,753
AMCOR PLC US 181,234 -5,671,653 $1,747
     AMCR181,234-5,671,653$1,747
SNAP ON INC 6,034 +2,066 $1,743
     SNA6,034+2,066$1,743
BUNGE GLOBAL SA 17,087 +4,529 $1,725
     BG17,087+4,529$1,725
QUEST DIAGNOSTICS INC 12,476 +9,476 $1,720
     DGX12,476+9,476$1,720
STANLEY BLACK & DECKER INC 17,461 +1,637 $1,713
     SWK17,461+1,637$1,713
BEST BUY CO INC 21,791 +14,623 $1,706
     BBY21,791+14,623$1,706
TEXTRON INC 21,041 -41,553 $1,692
     TXT21,041-41,553$1,692
ESSEX PROPERTY TRUST INC 6,800 -2,812 $1,686
     ESS6,800-2,812$1,686
LENNOX INTERNATIONAL INC 3,732 -24,640 $1,670
     LII3,732-24,640$1,670
ZEBRA TECHNOLOGIES CORP CL A 6,005 +6,005 $1,641
     ZBRA6,005+6,005$1,641
FNF GROUP 31,784 -10,061 $1,622
     FNF31,784-10,061$1,622
LEIDOS HOLDINGS INC 14,927 -199 $1,616
     LDOS14,927-199$1,616
NORTONLIFELOCK INC 70,584 +62,711 $1,611
     GEN70,584+62,711$1,611
RELIANCE STEEL & ALUMINUM 5,671 -13,066 $1,586
     RS5,671-13,066$1,586
KELLOGG CO 28,234 +18,988 $1,579
     K28,234+18,988$1,579
DRAFTKINGS INC 44,623 -62,519 $1,573
     DKNG44,623-62,519$1,573
FLEX LTD 51,637 +43,346 $1,573
     FLEX51,637+43,346$1,573
SUPER MICRO COMPUTER INC 5,525 +1,495 $1,571
     SMCI5,525+1,495$1,571
VISTRA ENERGY CORP 40,472 -1,240,969 $1,559
     VST40,472-1,240,969$1,559
EXACT SCIENCES CORP 21,003 +7,724 $1,554
     EXAS21,003+7,724$1,554
TWILIO INC 20,459 -2,794 $1,552
     TWLO20,459-2,794$1,552
HOST HOTELS & RESORTS INC 79,644 -4,524 $1,551
     HST79,644-4,524$1,551
WIX.COM LTD 12,581 +12,581 $1,548
     COM12,581+12,581$1,548
NEUROCRINE BIOSCIENCES INC 11,684 +4,700 $1,539
     NBIX11,684+4,700$1,539
MASCO CORP 22,895 +20,092 $1,534
     MAS22,895+20,092$1,534
CITIZENS FINANCIAL GROUP INC 45,882 -107,056 $1,521
     CFG45,882-107,056$1,521
JM SMUCKER CO 12,000 -169,634 $1,517
     SJM12,000-169,634$1,517
CNH INDUSTRIAL NV 124,299 +124,299 $1,514
     COM124,299+124,299$1,514
OWENS CORNING 10,190 -116,626 $1,510
     OC10,190-116,626$1,510
KEYCORP COM 104,233 -8,928 $1,501
     KEY104,233-8,928$1,501
WILLIAMS SONOMA INC 7,430 -5,306 $1,499
     WSM7,430-5,306$1,499
TRANSUNION 21,786 -6,479 $1,497
     TRU21,786-6,479$1,497
TRIMBLE INC 27,852 +3,385 $1,482
     TRMB27,852+3,385$1,482
PENTAIR PLC 20,315 +431 $1,477
     PNR20,315+431$1,477
AES CORP 75,482 +69,333 $1,453
     AES75,482+69,333$1,453
EVEREST RE GROUP LTD 4,099 +4,099 $1,449
     EG4,099+4,099$1,449
INTERNATIONAL PAPER CO 40,091 -5,466 $1,449
     IP40,091-5,466$1,449
NRG ENERGY INC 27,756 -8,565 $1,435
     NRG27,756-8,565$1,435
CARMAX INC 18,683 +4,216 $1,434
     KMX18,683+4,216$1,434
MGM RESORTS INTERNATIONAL 32,022 -853,699 $1,431
     MGM32,022-853,699$1,431
KIMCO REALTY CORP 67,000 -3,935 $1,428
     KIM67,000-3,935$1,428
INCYTE CORP 22,688 +18,995 $1,425
     INCY22,688+18,995$1,425
LIBERTY MEDIA CORP LIBFORMONE 22,559 -858 $1,424
     FWONK22,559-858$1,424
GRAB HOLDINGS LTD 422,487 +408,701 $1,424
     GRAB422,487+408,701$1,424
TOPBUILD CORP 3,779 -4,576 $1,414
     BLD3,779-4,576$1,414
EQT CORP 36,497 +29,640 $1,411
     EQT36,497+29,640$1,411
EVERGY INC 27,038 +23,156 $1,411
     EVRG27,038+23,156$1,411
AECOM TECHNOLOGY CORP 15,207 +8,521 $1,406
     ACM15,207+8,521$1,406
EQUITY LIFESTYLE PROPERTIES 19,933 -38,949 $1,406
     ELS19,933-38,949$1,406
INTERPUBLIC GROUP OF COMPANIES INC 42,407 +10,423 $1,384
     IPG42,407+10,423$1,384
SAIA INC 3,155 -3,391 $1,383
     SAIA3,155-3,391$1,383
FIVE BELOW INC 6,475 -19,672 $1,380
     FIVE6,475-19,672$1,380
ALLIANT ENERGY CORP 26,850 +9,271 $1,377
     LNT26,850+9,271$1,377
DOCUSIGN INC 23,023 -9,800 $1,369
     DOCU23,023-9,800$1,369
WP CAREY INC 21,116 +14,096 $1,369
     WPC21,116+14,096$1,369
MOLSON COORS BEVERAGE CO B 22,190 +16,490 $1,358
     TAP22,190+16,490$1,358
FLOOR & DECOR HOLDINGS INC 12,109 -40,176 $1,351
     FND12,109-40,176$1,351
KARUNA THERAPEUTICS INC 4,240 -600 $1,342
     KRTX4,240-600$1,342
ROKU INC 14,636 -19,499 $1,342
     ROKU14,636-19,499$1,342
LINCOLN ELECTRIC HOLDINGS 6,136 -554,582 $1,334
     LECO6,136-554,582$1,334
UNITED STATES STEEL CORP 27,289 +23,157 $1,328
     X27,289+23,157$1,328
MOSAIC CO 37,113 +11,683 $1,326
     MOS37,113+11,683$1,326
APA CRP COM 36,932 -5,910 $1,325
     APA36,932-5,910$1,325
CROWN HOLDINGS INC 14,373 +6,552 $1,324
     CCK14,373+6,552$1,324
PERFORMANCE FOOD GROUP CO 19,019 -206,010 $1,315
     PFGC19,019-206,010$1,315
PAYCOM SOFTWARE INC 6,109 -8,616 $1,263
     PAYC6,109-8,616$1,263
MID AMERICA APARTMENT COMMUNITIES INC 9,328 +6,362 $1,254
     MAA9,328+6,362$1,254
CLEVELAND CLIFFS INC 61,272 +13,455 $1,251
     CLF61,272+13,455$1,251
ROYALTY PHARMA PLC 44,450 +32,009 $1,249
     RPRX44,450+32,009$1,249
BENTLEY SYSTEMS INC 23,912 +16,609 $1,248
     BSY23,912+16,609$1,248
NUTANIX INC 26,162 +25,823 $1,248
     NTNX26,162+25,823$1,248
WESTROCK CO 30,053 +26,156 $1,248
     WRK30,053+26,156$1,248
US FOODS HOLDING CORP 27,414 +4,418 $1,245
     USFD27,414+4,418$1,245
AMERICAN HOMES 4 RENT COMMON STOCK 34,511 +33,293 $1,241
     AMH34,511+33,293$1,241
TOLL BROS INC 12,074 -215,628 $1,241
     TOL12,074-215,628$1,241
GAMING AND LEISURE PROPERTIES INC 24,850 -5,330 $1,226
     GLPI24,850-5,330$1,226
CASEYS GENERAL STORES INC 4,422 -7,711 $1,215
     CASY4,422-7,711$1,215
RENAISSANCERE HOLDINGS LTD 6,120 -16,932 $1,200
     RNR6,120-16,932$1,200
CAESARS ENTERTAINMENT INC 25,506 +22,906 $1,196
     CZR25,506+22,906$1,196
SERVICE CORP INTERNATIONAL 17,434 +8,704 $1,193
     SCI17,434+8,704$1,193
HORMEL FOODS CORP 37,075 -675 $1,190
     HRL37,075-675$1,190
EASTMAN CHEMICAL CO 13,238 -10,927 $1,189
     EMN13,238-10,927$1,189
NISOURCE INC 44,784 +28,895 $1,189
     NI44,784+28,895$1,189
UDR INC 30,962 +10,603 $1,186
     UDR30,962+10,603$1,186
PURE STORAGE INC 33,225 -90,648 $1,185
     PSTG33,225-90,648$1,185
UNITED THERAPEUTICS CORP 5,375 -4,225 $1,182
     UTHR5,375-4,225$1,182
SIMPSON MANUFACTURING CO INC 5,962 +370 $1,180
     SSD5,962+370$1,180
DAYFORCE INC 17,519 +16,318 $1,176
     CDAY17,519+16,318$1,176
GLOBE LIFE INC 9,641 -31,095 $1,174
     GL9,641-31,095$1,174
QORVO INC 10,412 -7,117 $1,172
     QRVO10,412-7,117$1,172
BOSTON PROPERTIES INC 16,694 +12,713 $1,171
     BXP16,694+12,713$1,171
REGENCY CENTERS CORP 17,372 +9,958 $1,164
     REG17,372+9,958$1,164
C.H. ROBINSON WORLDWIDE INC 13,440 +1,821 $1,161
     CHRW13,440+1,821$1,161
REGAL BELOIT CORP 7,846 +1,726 $1,161
     RRX7,846+1,726$1,161
TORO CO 12,070 +7,751 $1,159
     TTC12,070+7,751$1,159
MATCH GROUP INC 31,724 +18,464 $1,158
     MTCH31,724+18,464$1,158
REXFORD INDUSTRIAL REALTY INC 20,595 +15,009 $1,155
     REXR20,595+15,009$1,155
LIBERTY BROADBAND C 14,317 -4,657 $1,154
     LBRDK14,317-4,657$1,154
TEXAS PACIF 731 -297,914 $1,149
     TPL731-297,914$1,149
ETSY INC 14,164 -611,992 $1,148
     ETSY14,164-611,992$1,148
UIPATH INC 46,221 -47,357 $1,148
     PATH46,221-47,357$1,148
HENRY SCHEIN INC 15,150 -105,934 $1,147
     HSIC15,150-105,934$1,147
ITT INC 9,615 UNCH $1,147
     ITT9,615UNCH$1,147
AFFIRM HOLDINGS INC 23,329 +17,788 $1,146
     AFRM23,329+17,788$1,146
EAST WEST BANKCORP 15,817 +11,792 $1,138
     EWBC15,817+11,792$1,138
F5 NETWORKS INC 6,334 +3,946 $1,134
     FFIV6,334+3,946$1,134
SMITH A O CORP 13,688 +7,116 $1,128
     AOS13,688+7,116$1,128
CHURCHILL DOWNS INC 8,332 +4,081 $1,124
     CHDN8,332+4,081$1,124
TREX COMPANY INC 13,540 +9,699 $1,121
     TREX13,540+9,699$1,121
UNITY SOFTWARE INC 27,400 +2,691 $1,120
     U27,400+2,691$1,120
HUNTINGTON INGALLS INDUSTRIES INC 4,276 UNCH $1,110
     HII4,276UNCH$1,110
DICK S SPORTING GOODS INC 7,547 -475,715 $1,109
     DKS7,547-475,715$1,109
PENUMBRA INC 4,367 -29,083 $1,098
     PEN4,367-29,083$1,098
WEBSTER FINANCIAL CORP 21,587 +8,879 $1,096
     WBS21,587+8,879$1,096
CLEAN HARBORS INC 6,264 -18,955 $1,093
     CLH6,264-18,955$1,093
XPO LOGISTICS INC 12,464 +1,058 $1,092
     XPO12,464+1,058$1,092
TECHNIPFMC PLC 54,187 -4,689 $1,091
     FTI54,187-4,689$1,091
LITHIA MOTORS INC 3,297 -4,167 $1,086
     LAD3,297-4,167$1,086
JUNIPER NETWORKS INC 36,784 +24,890 $1,084
     JNPR36,784+24,890$1,084
UNIVERSAL DISPLAY CORP 5,642 -21,772 $1,079
     OLED5,642-21,772$1,079
HF SINCLR 19,376 +7,807 $1,077
     DINO19,376+7,807$1,077
ERIE INDEMNITY COMPANY CL A 3,207 -16,825 $1,074
     ERIE3,207-16,825$1,074
FORTUNE BRANDS HOME & SECURITY INC 14,080 +2,647 $1,072
     FBIN14,080+2,647$1,072
NORWEGIAN CRUISE LINE HOLDINGS LTD 53,429 +41,572 $1,071
     NCLH53,429+41,572$1,071
ALLY FINANCIAL INC 30,651 +2,325 $1,070
     ALLY30,651+2,325$1,070
ROBERT HALF INTL INC 12,157 -2,479 $1,069
     RHI12,157-2,479$1,069
NEWS CORP CL A 43,385 +39,653 $1,065
     NWSA43,385+39,653$1,065
ONTO INNOVATION INC 6,959 -14,168 $1,064
     ONTO6,959-14,168$1,064
EMCOR GROUP INC 4,932 -30,901 $1,063
     EME4,932-30,901$1,063
WYNN RESORTS LTD 11,664 -905 $1,063
     WYNN11,664-905$1,063
ZILLOW GROUP INC CL C 18,370 +18,370 $1,063
     Z18,370+18,370$1,063
KNIGHT SWIFT TRANSPORTATION INC 18,336 UNCH $1,057
     KNX18,336UNCH$1,057
UNIVERSAL HLTH SVCS CL B 6,929 -87,944 $1,056
     UHS6,929-87,944$1,056
AUTOLIV INC 9,571 +5,639 $1,055
     ALV9,571+5,639$1,055
AMERICOLD REALTY TRUST 34,830 +29,146 $1,054
     COLD34,830+29,146$1,054
BATH & BODY WORKS INC 24,310 +19,664 $1,049
     BBWI24,310+19,664$1,049
ADVANCED DRAINAGE SYSTEMS INC 7,433 -4,430 $1,045
     WMS7,433-4,430$1,045
CAMDEN PROPERTY TRUST 10,479 +1,159 $1,040
     CPT10,479+1,159$1,040
ASSURANT INC 6,166 +2,118 $1,039
     AIZ6,166+2,118$1,039
TETRA TECH INC 6,215 -14,826 $1,037
     TTEK6,215-14,826$1,037
TEMPUR PEDIC INTERNATIONAL INC 20,115 +3,279 $1,025
     TPX20,115+3,279$1,025
BJ S WHOLESALE CLUB HOLDINGS INC 15,170 -12,543 $1,011
     BJ15,170-12,543$1,011
NOV INC 49,824 +32,504 $1,010
     NOV49,824+32,504$1,010
WILLSCOT MOBILE MINI HOLDINGS CORP 22,705 -9,268 $1,010
     WSC22,705-9,268$1,010
PINNACLE W CAP CORP 14,037 -8,485 $1,008
     PNW14,037-8,485$1,008
E.L.F. BEAUTY INC. 6,954 -300,304 $1,004
     ELF6,954-300,304$1,004
UNUM GROUP 22,145 -47,987 $1,001
     UNM22,145-47,987$1,001
FRANKLIN RESOURCES INC 33,448 +26,462 $996
     BEN33,448+26,462$996
HEALTHPEAK PROPERTIES INC 50,286 +39,941 $996
     PEAK50,286+39,941$996
WOODWARD INC 7,262 -1,124 $989
     WWD7,262-1,124$989
WEX INC 5,052 -106 $983
     WEX5,052-106$983
CHESAPEAKE ENERGY CORP 12,699 +4,362 $977
     CHK12,699+4,362$977
SAREPTA THERAPEUTICS INC 10,091 +1,060 $973
     SRPT10,091+1,060$973
LAMAR ADVERTISING CO 9,141 UNCH $972
     LAMR9,141UNCH$972
CAMPBELL SOUP CO 22,463 +15,178 $971
     CPB22,463+15,178$971
MONDAY.COM LTD 5,100 -202,684 $958
     MNDY5,100-202,684$958
CHEMED CORP 1,636 -3,282 $957
     CHE1,636-3,282$957
ROYAL GOLD INC 7,904 +511 $956
     RGLD7,904+511$956
GENERAC HOLDINGS INC 7,378 -54,965 $954
     GNRC7,378-54,965$954
CELSIUS HOLDINGS INC 17,415 -240,145 $949
     CELH17,415-240,145$949
PRIMERICA INC 4,562 -359,421 $939
     PRI4,562-359,421$939
TAPESTRY INC 25,426 +21,605 $936
     TPR25,426+21,605$936
WINGSTOP INC 3,648 -1,355 $936
     WING3,648-1,355$936
AMER FINANCIAL GROUP INC 7,865 +2,395 $935
     AFG7,865+2,395$935
WESCO INTERNATIONAL INC 5,371 -837 $934
     WCC5,371-837$934
CYTOKINETICS INC 11,148 -717,791 $931
     CYTK11,148-717,791$931
DARLING INGREDIENTS INC 18,586 +2,310 $926
     DAR18,586+2,310$926
EXELIXIS INC 38,481 +16,662 $923
     EXEL38,481+16,662$923
ANNALY CAP 47,607 -28,901 $922
     NLY47,607-28,901$922
UFP INDUSTRIES INC 7,341 -13,152 $922
     UFPI7,341-13,152$922
LEAR CORP 6,503 +3,004 $918
     LEA6,503+3,004$918
FABRINET 4,810 -1,524 $915
     FN4,810-1,524$915
EASTGRP PROP INC 4,980 -7,351 $914
     EGP4,980-7,351$914
BILL.COM HOLDINGS INC 11,159 -11,534 $910
     BILL11,159-11,534$910
SITEONE LANDSCAPE SUPPLY INC. 5,592 -1,267 $909
     SITE5,592-1,267$909
BORG WARNER INC 25,202 +21,028 $903
     BWA25,202+21,028$903
PVH CORP 7,396 -162,350 $903
     PVH7,396-162,350$903
GENTEX CORP 27,620 +24,201 $902
     GNTX27,620+24,201$902
EQUITABLE HOLDINGS INC 26,805 +12,574 $893
     EQH26,805+12,574$893
ELASTIC NV 7,914 -84,390 $892
     ESTC7,914-84,390$892
INTERACTIVE BROKERS CL A 10,765 +6,908 $892
     IBKR10,765+6,908$892
COGNEX CORP 21,333 -1,258 $890
     CGNX21,333-1,258$890
IMMUNOGEN INC 29,985 +20,299 $889
     IMGN29,985+20,299$889
KINSALE CAPITAL GROUP INC 2,653 -90 $889
     KNSL2,653-90$889
OGE ENERGY CORP 25,412 +7,553 $888
     OGE25,412+7,553$888
AGCO CORP 7,304 -25,014 $887
     AGCO7,304-25,014$887
RAMBUS INC 12,970 -114,312 $885
     RMBS12,970-114,312$885
GRAPHIC PACKAGING HOLDING CO 35,807 +20,212 $883
     GPK35,807+20,212$883
MIDDLEBY CORP 5,974 -3,423 $879
     MIDD5,974-3,423$879
KBR INC 15,799 -12,435 $875
     KBR15,799-12,435$875
QUALYS INC 4,433 -52,743 $870
     QLYS4,433-52,743$870
FIRST HORIZON CORP 61,309 +46,312 $868
     FHN61,309+46,312$868
SPS COMMERCE INC 4,476 -15,568 $868
     SPSC4,476-15,568$868
PAYLOCITY HOLDING CORP 5,256 -3,570 $866
     PCTY5,256-3,570$866
BWX TECHNOLOGIES INC 11,276 -4,516 $865
     BWXT11,276-4,516$865
COMERICA INC 15,494 -103,685 $865
     CMA15,494-103,685$865
BIO RAD LABORATORIES CL A 2,676 -9,102 $864
     BIO2,676-9,102$864
RANGE RESOURCES CORP 28,287 -169 $861
     RRC28,287-169$861
MURPHY OIL CORP 20,144 -62,774 $859
     MUR20,144-62,774$859
VIACOMCBS INC 58,074 +47,212 $859
     PARA58,074+47,212$859
TENET HEALTHCARE CORP 11,367 -425,468 $859
     THC11,367-425,468$859
DROPBOX INC 28,950 -15,673 $853
     DBX28,950-15,673$853
BLOCK H & R INC 17,620 +11,642 $852
     HRB17,620+11,642$852
DUOLINGO INC 3,734 -113,777 $847
     DUOL3,734-113,777$847
SENTINELONE INC 30,864 +25,727 $847
     S30,864+25,727$847
JAZZ PHARMACEUTICALS PLC 6,867 -6,209 $845
     JAZZ6,867-6,209$845
DENTSPLY SIRONA INC 23,711 -3,593 $844
     XRAY23,711-3,593$844
UHALB      $842
     UHAL.B10,962+8,606$772
     UHAL970-180,264$70
ACADIA HEALTHCARE CO INC 10,773 +5,128 $838
     ACHC10,773+5,128$838
IONIS PHARMACEUTICALS INC 16,574 -1,332 $838
     IONS16,574-1,332$838
CADENCE BANK 28,282 +20,670 $837
     CADE28,282+20,670$837
WESTERN ALLIANCE BANCORP 12,708 -171,153 $836
     WAL12,708-171,153$836
BERRY GLOBAL GROUP INC 12,384 +1,478 $835
     BERY12,384+1,478$835
STIFEL FINANCIAL CORP 12,072 +9,046 $835
     SF12,072+9,046$835
FTI CONSULTING INC 4,180 -18,409 $832
     FCN4,180-18,409$832
LKQ CORP 17,410 +10,513 $832
     LKQ17,410+10,513$832
MEDPACE HOLDINGS INC 2,695 -67,798 $826
     MEDP2,695-67,798$826
OLD REP INTL CORP 28,038 +960 $824
     ORI28,038+960$824
FEDERAL REALTY 7,953 +6,045 $820
     FRT7,953+6,045$820
NEW YORK TIMES CO 16,739 -7,025 $820
     NYT16,739-7,025$820
FIRST AMERICAN FINANCIAL CORP 12,712 -117,288 $819
     FAF12,712-117,288$819
CACI INTERNATIONAL 2,525 -11,296 $818
     CACI2,525-11,296$818
CARLYLE GROUP INC 20,098 +13,361 $818
     CG20,098+13,361$818
ENSIGN GROUP INC 7,288 -13,904 $818
     ENSG7,288-13,904$818
MERITAGE HOMES CORP 4,686 -1,196,017 $816
     MTH4,686-1,196,017$816
CONFLUENT INC 34,831 +34,831 $815
     CFLT34,831+34,831$815
CIENA CORP 18,099 +14,275 $815
     CIEN18,099+14,275$815
NATIONAL RETAIL PROPERTIES 18,840 UNCH $812
     NNN18,840UNCH$812
ENCOMPASS HEALTH GROUP 12,156 +4,568 $811
     EHC12,156+4,568$811
MSA SAFETY INC 4,799 +1,616 $810
     MSA4,799+1,616$810
BRUNSWICK CORP 8,318 -2,154 $805
     BC8,318-2,154$805
VOYA FINANCIAL INC 10,995 +1,997 $802
     VOYA10,995+1,997$802
OMEGA HEALTHCARE INVESTORS 26,113 +20,053 $801
     OHI26,113+20,053$801
VIATRIS INC 73,987 +63,820 $801
     VTRS73,987+63,820$801
MORNINGSTAR INC 2,787 -36,117 $798
     MORN2,787-36,117$798
ALBERTSONS COS INC 34,647 -29,017 $797
     ACI34,647-29,017$797
SHOCKWAVE MEDICAL INC 4,184 -5,524 $797
     SWAV4,184-5,524$797
HEXCEL CORP 10,767 -138,615 $794
     HXL10,767-138,615$794
AXALTA COATING SYSTEMS LTD 23,334 -60,304 $793
     AXTA23,334-60,304$793
ALLEGHENY TECHNOLOGIES INC 17,374 +2,307 $790
     ATI17,374+2,307$790
COMMERCIAL METALS CO 15,771 -617,446 $789
     CMC15,771-617,446$789
HASBRO INC 15,443 -16,985 $789
     HAS15,443-16,985$789
STAG INDUSTRIAL INC 20,044 -32,344 $787
     STAG20,044-32,344$787
MATTEL INC 41,521 +39,621 $784
     MAT41,521+39,621$784
VF CORP 41,702 +10,402 $784
     VFC41,702+10,402$784
CHORD ENERGY CORP 4,693 -11,124 $780
     CHRD4,693-11,124$780
SOUTHWESTERN ENERGY CO 119,086 +104,575 $780
     SWN119,086+104,575$780
ALCOA CORP 22,910 +5,298 $779
     AA22,910+5,298$779
DAVITA HEALTHCARE PARTNERS INC 7,354 -121,483 $770
     DVA7,354-121,483$770
SOUTH STATE CORP 9,091 +1,569 $768
     SSB9,091+1,569$768
EAGLE MATERIALS INC 3,769 -3,462 $765
     EXP3,769-3,462$765
LANDSTAR SYSTEM INC 3,942 -196 $763
     LSTR3,942-196$763
GXO LOGISTICS INC 12,464 -178,226 $762
     GXO12,464-178,226$762
HEALTHCR TRST 44,196 +33,291 $761
     HR44,196+33,291$761
SOFI TECHNOLOGIES INC 76,520 +56,058 $761
     SOFI76,520+56,058$761
ATKORE INTERNATIONAL GROUP INC 4,702 -2,481 $752
     ATKR4,702-2,481$752
STARWOOD PROPERTY TRUST INC 35,737 +32,029 $751
     STWD35,737+32,029$751
GLOBAL E ONLINE LTD 18,800 +18,800 $745
     COM18,800+18,800$745
DELTA AIR LINES INC 18,470 +15,752 $743
     DAL18,470+15,752$743
FLOWSERVE CORPORATION 17,997 -7,108 $742
     FLS17,997-7,108$742
INTRA CELLULAR THERAPIES INC 10,361 UNCH $742
     ITCI10,361UNCH$742
SCIENTIFIC GAMES CORP CL A 9,031 -13,008 $742
     LNW9,031-13,008$742
OLIN CORP 13,719 +7,672 $740
     OLN13,719+7,672$740
BRIXMOR PROPERTY GROUP INC 31,734 -230,197 $738
     BRX31,734-230,197$738
IDACORP INC 7,504 +4,646 $738
     IDA7,504+4,646$738
MICROSTRATEGY INC CL A 1,166 -4,808 $736
     MSTR1,166-4,808$736
JEFFERIES FINANCIAL GROUP INC 18,186 +7,641 $735
     JEF18,186+7,641$735
FLUOR CORP 18,736 +539 $734
     FLR18,736+539$734
SKECHERS USA INC CL A 11,771 -16,222 $734
     SKX11,771-16,222$734
HYATT HOTELS CORP 5,623 UNCH $733
     H5,623UNCH$733
PLANET FITNESS INC 10,041 +5,790 $733
     PLNT10,041+5,790$733
KITE REALTY GROUP TRUST 31,986 UNCH $731
     KRG31,986UNCH$731
SCIENCE APPLICATIONS INTERNATIONAL CORP 5,884 -16,298 $731
     SAIC5,884-16,298$731
FUTU HOLDINGS LTD 13,342 -28,815 $729
     FUTU13,342-28,815$729
RYMAN HOSPITALITY PROPERTIES 6,627 +3,272 $729
     RHP6,627+3,272$729
CRISPR THERAPEUTICS AG 11,634 +9,111 $728
     CRSP11,634+9,111$728
AAON INC 9,810 +557 $725
     AAON9,810+557$725
COHERENT CORP 16,633 -5,604 $724
     COHR16,633-5,604$724
FIRST INDUSTRIAL REALTY TRUST INC 13,727 -53,600 $723
     FR13,727-53,600$723
ANTERO RESOURCES CORP 31,848 +20,575 $722
     AR31,848+20,575$722
INSPIRE MEDICAL SYSTEMS INC. 3,551 -1,770 $722
     INSP3,551-1,770$722
WHIRLPOOL CORP 5,931 -23,294 $722
     WHR5,931-23,294$722
APPLIED INDUSTRIAL TECHNOLOGIES INC 4,177 +1,550 $721
     AIT4,177+1,550$721
CAPRI HOLDINGS LTD 14,324 +3,441 $720
     CPRI14,324+3,441$720
RLI CORP 5,383 -241,608 $717
     RLI5,383-241,608$717
TOAST INC 39,158 -12,957 $715
     TOST39,158-12,957$715
VALLEY NATIONAL BANCORP 65,852 +57,443 $715
     VLY65,852+57,443$715
OPTION CARE HEALTH INC 21,127 +14,596 $712
     OPCH21,127+14,596$712
FIVE9 INC 8,981 +1,894 $707
     FIVN8,981+1,894$707
MKS INSTRUMENTS INC 6,875 -516 $707
     MKSI6,875-516$707
THOR INDUSTRIES INC 5,976 -268 $707
     THO5,976-268$707
ACUITY BRANDS INC 3,436 -8,306 $704
     AYI3,436-8,306$704
APPLOVIN CORP 17,639 -2,965 $703
     APP17,639-2,965$703
AGNC INVESTMENT CORP 71,525 +48,196 $702
     AGNC71,525+48,196$702
MOOG INC CLASS A      $700
     MOG.A4,833-186,508$700
GLOBUS MEDICAL INC 13,123 +3,206 $699
     GMED13,123+3,206$699
WESTLAKE CHEMICAL CORP 4,991 -17,714 $699
     WLK4,991-17,714$699
INGREDION INC 6,406 -6,115 $695
     INGR6,406+291$695
FOX CORP A 23,244 +2,541 $690
     FOXA23,244+2,541$690
BALCHEM CORP 4,619 +882 $687
     BCPC4,619+882$687
CROCS INC 7,358 +3,490 $687
     CROX7,358+3,490$687
HEALTHEQUITY INC 10,345 -36,653 $686
     HQY10,345-36,653$686
BLUEPRINT MEDICINES CORP 7,420 -5,239 $684
     BPMC7,420-5,239$684
MASIMO CORP 5,825 -2,905 $683
     MASI5,825-2,905$683
TENABLE HOLDINGS INC 14,756 +4,983 $680
     TENB14,756+4,983$680
COMMERCE BANCSHARES INC (CBSH) 12,719 +7,880 $679
     CBSH12,719+7,880$679
RALPH LAUREN CORP 4,712 -2,028,810 $679
     RL4,712-2,028,810$679
SENSATA TECHNOLOGIES HOLDING PLC 18,001 -142,063 $676
     ST18,001-142,063$676
WYNDHAM HOTELS & RESORTS INC 8,386 -2,076 $674
     WH8,386-2,076$674
CHART INDUSTRIES INC 4,918 -1,825 $670
     GTLS4,918-1,825$670
SYNNEX CORP 6,205 -855,795 $668
     SNX6,205-855,795$668
INSIGHT ENTERPRISES INC 3,765 +721 $667
     NSIT3,765+721$667
EVERCORE PARTNERS INC 3,882 -2,362 $664
     EVR3,882-2,362$664
SPX CRP 6,545 +1,792 $661
     SPXC6,545+1,792$661
M I HOMES INC 4,762 -2,080 $656
     MHO4,762-2,080$656
WEATHERFORD INTERNATIONAL PLC 6,705 +2,649 $656
     WFRD6,705+2,649$656
WATTS WATER TECHNOLOGIES INC CL A 3,144 -7,806 $655
     WTS3,144-7,806$655
LIBRTY GLBL 35,052 +26,885 $653
     LBTYK35,052+26,885$653
NATERA INC 10,426 +8,083 $653
     NTRA10,426+8,083$653
WOLFSPEED 14,924 +3,996 $649
     WOLF14,924+3,996$649
SMARTSHEET INC 13,554 -27,129 $648
     SMAR13,554-27,129$648
PATTERSON UTI ENERGY INC 59,541 +5,308 $643
     PTEN59,541+5,308$643
VARONIS SYSTEMS INC 14,211 -305,869 $643
     VRNS14,211-305,869$643
SUMMIT MATERIALS INC 16,693 -26,636 $642
     SUM16,693-26,636$642
MUELLER INDUSTRIES 13,467 -18,126 $635
     MLI13,467-18,126$635
PBF ENERGY INC 14,447 +8,429 $635
     PBF14,447+8,429$635
HALOZYME THERAPEUTICS INC. 17,167 -124,531 $634
     HALO17,167-124,531$634
SPIRIT REALTY CAPITAL INC 14,511 +9,740 $634
     SRC14,511+9,740$634
GLACIER BANCORP INC 15,325 +5,877 $633
     GBCI15,325+5,877$633
NEW RESIDENTIAL INVESTMENT CORP 59,121 +33,018 $631
     RITM59,121+33,018$631
SM ENERGY CO 16,266 +10,157 $630
     SM16,266+10,157$630
VAXCYTE INC 10,015 +159 $629
     PCVX10,015+159$629
MACY S INC 31,223 +29,311 $628
     M31,223+29,311$628
RAYONIER INC 18,793 +6,644 $628
     RYN18,793+6,644$628
BADGER METER INC 4,061 -3,751 $627
     BMI4,061-3,751$627
MELCO RESORTS & ENTERTAINMENT LIMITED 70,493 -2,352,341 $625
     MLCO70,493-2,352,341$625
BEACON ROOFING SUPPLY INC 7,176 -2,717 $624
     BECN7,176-2,717$624
EXLSERVICE HOLDINGS INC 20,224 -128,333 $624
     EXLS20,224-128,333$624
MASTEC INC 8,244 -7,037 $624
     MTZ8,244-7,037$624
ADVANCED ENERGY INDUSTRIES 5,714 -370,520 $622
     AEIS5,714-370,520$622
DXC TECHNOLOGY CO 27,216 +23,399 $622
     DXC27,216+23,399$622
SPROUTS FARMERS MARKET INC 12,904 +7,303 $621
     SFM12,904+7,303$621
TAYLOR MORRISON HOME CORP 11,598 -11,195 $619
     TMHC11,598-11,195$619
INVESCO LTD 34,624 UNCH $618
     IVZ34,624UNCH$618
FRANKLIN ELECTRIC CO INC 6,359 -5,452 $615
     FELE6,359-5,452$615
SOLAREDGE TECHNOLOGIES INC 6,572 -3,088 $615
     SEDG6,572-3,088$615
MOHAWK INDUSTRIES INC 5,884 -973 $609
     MHK5,884-973$609
SEALED AIR CORP 16,656 +7,365 $608
     SEE16,656+7,365$608
BELLRNG BRNDS 10,906 +4,676 $605
     BRBR10,906+4,676$605
OLLIE S BARGAIN OUTLET HOLDINGS INC 7,969 -14,899 $605
     OLLI7,969-14,899$605
API GROUP CORP 17,452 -20,790 $604
     APG17,452-20,790$604
OSHKOSH CORP 5,570 -2,609 $604
     OSK5,570-2,609$604
VALMONT INDUSTRIES 2,574 -5,318 $601
     VMI2,574-5,318$601
ZOOMINFO TECHNOLOGIES INC 32,452 +32,452 $600
     ZI32,452+32,452$600
RYDER SYS INC 5,201 -3,737 $598
     R5,201-3,737$598
FIRST FINANCIAL BANKSHARES INC (FFIN) 19,697 +7,839 $597
     FFIN19,697+7,839$597
ACADEMY SPORTS & OUTDOORS INC 9,011 -1,491 $595
     ASO9,011-1,491$595
EURONET WORLDWIDE INC 5,862 +43 $595
     EEFT5,862+43$595
SIGNET JEWELERS LTD 5,530 -44,804 $593
     SIG5,530-44,804$593
VONTIER CORP 17,143 -346,105 $592
     VNT17,143-346,105$592
VALVOLINE INC 15,764 +2,471 $592
     VVV15,764+2,471$592
AXIS CAPITAL HOLDINGS LTD 10,654 -473,330 $590
     AXS10,654-473,330$590
BANK OZK 11,836 +978 $590
     OZK11,836+978$590
WHITE MOUNTAINS INSURANCE GP 392 -12,189 $590
     WTM392-12,189$590
GITLAB INC CL A 9,347 -107,795 $588
     GTLB9,347-107,795$588
NEXSTAR BROADCASTING GROUP INC 3,732 -1,470,281 $585
     NXST3,732-1,470,281$585
APELLIS PHARMACEUTICALS INC 9,749 -21,143 $584
     APLS9,749-21,143$584
CASELLA WASTE SYSTEMS INC CL A 6,828 -121,266 $584
     CWST6,828-121,266$584
CHEMOURS CO 18,462 +3,624 $582
     CC18,462+3,624$582
SIRIUS XM HOLDINGS INC 106,379 +96,096 $582
     SIRI106,379+96,096$582
ZURN WATER SOLUTIONS CORP 19,723 +19,723 $580
     ZWS19,723+19,723$580
EQUITRANS MIDSTREAM CORP 56,893 -88,228 $579
     ETRN56,893-88,228$579
TIMKEN CO 7,223 -5,958 $579
     TKR7,223-5,958$579
VORNADO REALTY TRUST 20,495 +3,265 $579
     VNO20,495+3,265$579
AFFILIATED MANAGERS GROUP 3,819 -243,235 $578
     AMG3,819-243,235$578
LINCOLN NATIONAL CORP 21,416 +19,278 $578
     LNC21,416+19,278$578
PROCORE TECHNOLOGIES INC 8,347 -1,378 $578
     PCOR8,347-1,378$578
ALKERMES PLC 20,793 +12,879 $577
     ALKS20,793+12,879$577
BROOKS AUTOMATION INC 8,858 -22,876 $577
     AZTA8,858-22,876$577
STERICYCLE INC 11,626 +2,748 $576
     SRCL11,626+2,748$576
HARLEY DAVIDSON INC 15,614 -171,447 $575
     HOG15,614-171,447$575
ENERSYS 5,690 -4,390 $574
     ENS5,690-4,390$574
INDEPENDENCE REALTY TRUST INC 37,519 +14,113 $574
     IRT37,519+14,113$574
APARTMENT INCOME REIT CORP 16,468 -16,252 $572
     AIRC16,468-16,252$572
FOX CORP 20,703 +7,575 $572
     FOX20,703+7,575$572
FRONTIER COMM PARENT INC 22,589 +10,505 $572
     FYBR22,589+10,505$572
UGI CORP 23,253 -10,306 $572
     UGI23,253-10,306$572
NOBLE COR 11,848 +11,848 $571
     COM11,848+11,848$571
RH 1,959 +614 $571
     RH1,959+614$571
ALPHA METALLURGICAL RESOURCE 1,683 -7,757 $570
     AMR1,683-7,757$570
FIRSTCASH HOLDINGS INC 5,252 -6,578 $569
     FCFS5,252-6,578$569
POLARIS INC 5,988 -5,331 $567
     PII5,988-5,331$567
FEDERAL SIGNAL CORP 7,371 -3,423 $566
     FSS7,371-3,423$566
JANUS HENDERSON GROUP PLC 18,750 +11,883 $565
     JHG18,750+11,883$565
PERMIAN RESOURCES CORP 41,488 +41,488 $564
     PR41,488+41,488$564
IRIDIUM COMMUNICATIONS INC 13,673 -1,038 $563
     IRDM13,673-1,038$563
ABERCROMBIE & FITCH CO 6,370 -77,697 $562
     ANF6,370-77,697$562
TEREX CORP 9,773 -640,927 $562
     TEX9,773-640,927$562
NEW JERSEY RES 12,584 -46,537 $561
     NJR12,584-46,537$561
GAP INC 26,622 +6,310 $557
     GPS26,622+6,310$557
ON ASSIGNMENT INC 5,785 -47,347 $556
     ASGN5,785-47,347$556
WAYFAIR INC 9,016 +3,645 $556
     W9,016+3,645$556
THE BRINK S CO 6,313 +1,140 $555
     BCO6,313+1,140$555
HELMERICH & PAYNE IN 15,328 -4,972 $555
     HP15,328-4,972$555
FLOWERS FOODS INC 24,546 +11,672 $553
     FLO24,546+11,672$553
ONEMAIN HOLDINGS INC 11,210 -2,075 $552
     OMF11,210-2,075$552
MERIT MEDICAL SYSTEMS INC 7,233 +5,726 $549
     MMSI7,233+5,726$549
CARVANA CO 10,343 +2,708 $548
     CVNA10,343+2,708$548
SOUTHWEST AIRLINES CO 18,938 +11,903 $547
     LUV18,938+11,903$547
ARCOSA INC 6,612 +4,256 $546
     ACA6,612+4,256$546
SIMPLY GOOD FOODS CO 13,678 -12,525 $542
     SMPL13,678-12,525$542
YETI HOLDINGS INC 10,462 -25,492 $542
     YETI10,462-25,492$542
UNITED BANKSHARES INC (UBSI) 14,420 +7,587 $541
     UBSI14,420+7,587$541
ANTERO MIDSTREAM CORP 42,842 +37,023 $537
     AM42,842+37,023$537
WESTERN UNION CO 45,060 +29,263 $537
     WU45,060+29,263$537
ASSURED GUARANTY LTD 7,157 -67,042 $536
     AGO7,157-67,042$536
HAEMONETICS CO 6,271 -330,465 $536
     HAE6,271-330,465$536
RYAN SPECIALTY GROUP HOLDINGS INC 12,452 +9,782 $536
     RYAN12,452+9,782$536
HAMILTON LANE INC 4,713 -13,350 $535
     HLNE4,713-13,350$535
INSPERITY INC 4,568 -9,367 $535
     NSP4,568-9,367$535
VIPSHOP HOLDINGS LTD 30,100 +7,852 $535
     VIPS30,100+7,852$535
ASBURY AUTOMOTIVE GROUP INC 2,375 -6,328 $534
     ABG2,375-6,328$534
AXCELIS TECHNOLOGY 4,114 -5,234 $534
     ACLS4,114-5,234$534
CIVITAS RES 7,808 -286,017 $534
     CIVI7,808-286,017$534
COTY INC 42,910 +40,902 $533
     COTY42,910+40,902$533
CIRRUS LOGIC INC 6,401 +3,579 $532
     CRUS6,401+3,579$532
SLM CORP 27,748 -100,896 $531
     SLM27,748-100,896$531
GAMESTOP CORPORATION 30,180 +16,638 $529
     GME30,180+16,638$529
HERC HOLDINGS INC 3,529 -10,264 $525
     HRI3,529-10,264$525
AZEK CO INC 13,697 +3,000 $524
     AZEK13,697+3,000$524
LYFT INC 34,972 +15,877 $524
     LYFT34,972+15,877$524
MGE ENERGY INC 7,240 -26,631 $524
     MGEE7,240-26,631$524
HILLENBRAND INC 10,907 +2,586 $522
     HI10,907+2,586$522
NEW YORK COMMUNITY BANCORP INC 51,063 +33,363 $522
     NYCB51,063+33,363$522
UNITED COMMUNITY BANKS INC 17,807 -10,724 $521
     UCBI17,807-10,724$521
INTERACTIVECORP 9,900 -865 $519
     IAC9,900-865$519
10X GENOMICS INC 9,253 -109,113 $518
     TXG9,253-109,113$518
AUTONATION INC 3,430 -18,806 $515
     AN3,430-18,806$515
PACIFIC PREMIER BANCORP INC 17,678 -188,346 $515
     PPBI17,678-188,346$515
FINVOLUTION GROUP 104,900 +30,384 $514
     FINV104,900+30,384$514
BRAZE INC 9,647 +9,647 $513
     BRZE9,647+9,647$513
LGI HOMES INC 3,839 -1,444,866 $511
     LGIH3,839-1,444,866$511
LANTHEUS HOLDINGS INC 8,239 -406 $511
     LNTH8,239-406$511
SUNRUN INC 26,003 +22,961 $510
     RUN26,003+22,961$510
SKYLINE CORP 6,859 -9,553 $509
     SKY6,859-9,553$509
TRANSOCEAN LTD 79,988 +69,796 $508
     RIG79,988+69,796$508
WORKIVA INC 5,003 -75,338 $508
     WK5,003-75,338$508
ESSENT GROUP LTD 9,612 +5,066 $507
     ESNT9,612+5,066$507
POTLATCH CORP 10,324 -3,667 $507
     PCH10,324-3,667$507
CARPENTER TECH CORP 7,149 -217,021 $506
     CRS7,149-217,021$506
ENPRO INDUSTRIES INC 3,231 -1,315 $506
     NPO3,231-1,315$506
TRINET GROUP INC 4,254 -197,295 $506
     TNET4,254-197,295$506
CABOT CORP 6,037 -5,716 $504
     CBT6,037-5,716$504
FRESHWORKS INC 21,471 -169,107 $504
     FRSH21,471-169,107$504
PLEXUS CORP 4,654 -1,443 $503
     PLXS4,654-1,443$503
TERADATA CORP 11,565 -226,661 $503
     TDC11,565-226,661$503
ENDEAVOR GROUP HOLDINGS INC 21,171 +21,171 $502
     EDR21,171+21,171$502
PHILLIPS EDISON & CO INC 13,751 +5,224 $502
     PECO13,751+5,224$502
WSFS FINANCIAL CORP 10,928 -17,319 $502
     WSFS10,928-17,319$502
ORMAT TECHNOLOGIES INC 6,609 -11,532 $501
     ORA6,609-11,532$501
AMICUS THERAPEUTICS INC 35,251 -267,566 $500
     FOLD35,251-267,566$500
ZIONS BANCORPORATION 11,406 +11,406 $500
     ZION11,406+11,406$500
KYNDRYL HLD 24,015 UNCH $499
     KD24,015UNCH$499
AGREE REALTY CORP 7,909 -79,953 $498
     ADC7,909-79,953$498
ALLETE INC 8,140 -519 $498
     ALE8,140-519$498
ARMSTRONG WORLD INDUSTRIES INC 5,056 -36,103 $497
     AWI5,056-36,103$497
SILICON LABORATORIES INC 3,757 -2,317 $497
     SLAB3,757-2,317$497
WALKER & DUNLOP INC 4,476 +1,332 $497
     WD4,476+1,332$497
GLAUKOS CORP 6,246 -4,221 $496
     GKOS6,246-4,221$496
MDU RES GROUP 25,026 +23,577 $496
     MDU25,026+23,577$496
IPG PHOTONICS CORP 4,563 -530 $495
     IPGP4,563-530$495
GATX CORP 4,098 -4,837 $493
     GATX4,098-4,837$493
GOODYEAR TIRE & RUBBER CO 34,356 -16,168 $492
     GT34,356-16,168$492
PENN NATIONAL GAMING INC 18,909 +14,419 $492
     PENN18,909+14,419$492
XENON PHARMACEUTICALS INC 10,633 -7,737 $490
     XENE10,633-7,737$490
LOUISIANA PACIFIC CORP 6,897 -2,221 $489
     LPX6,897-2,221$489
BRIGHTHOUSE FINANCIAL INC 9,218 +2,043 $488
     BHF9,218+2,043$488
PENNYMAC FINANCIAL SERVICES INC 5,510 -203,608 $487
     PFSI5,510-203,608$487
ENCORE WIRE CORP 2,275 -10,558 $486
     WIRE2,275-10,558$486
ACADIA PHARMACEUTICALS INC 15,481 +10,437 $485
     ACAD15,481+10,437$485
HILTON GRAND VACATIONS INC 12,065 -33,739 $485
     HGV12,065-33,739$485
INTER PARFUMS INC 3,364 -6,396 $484
     IPAR3,364-6,396$484
AMERICAN EAGLE OUTFITTERS 22,744 +14,657 $481
     AEO22,744+14,657$481
ALBANY INTL CORP 4,870 -2,685 $478
     AIN4,870-2,685$478
ATLANTIC UNION BANKSHARES CORP (AUB) 13,064 +7,660 $477
     AUB13,064+7,660$477
GRANITE CONSTRUCTION INC 9,385 +6,124 $477
     GVA9,385+6,124$477
SOUTHWEST GAS CORP 7,522 -7,457 $477
     SWX7,522-7,457$477
COGENT COMMUNICATIONS HOLDINGS INC 6,256 -37,251 $476
     CCOI6,256-37,251$476
DOLBY LABORATORIES INC 5,522 -16,895 $476
     DLB5,522-16,895$476
GMS INC 5,772 -8,940 $476
     GMS5,772-8,940$476
MR COOPER GROUP INC 7,283 -9,957 $474
     COOP7,283-9,957$474
AMERIS BANCORP 8,925 -2,118 $473
     ABCB8,925-2,118$473
SYNDAX PHARMACEUTICALS INC 21,911 -12,425 $473
     SNDX21,911-12,425$473
MAGNOLIA OIL & GAS CORP 22,191 +15,217 $472
     MGY22,191+15,217$472
ORGANON & CO 32,744 -27,740 $472
     OGN32,744-27,740$472
ALTAIR ENGINEERING INC 5,588 -25,361 $470
     ALTR5,588-25,361$470
AMKOR TECHNOLOGY INC 14,064 -11,046 $468
     AMKR14,064-11,046$468
CONCENTRIX CORP 4,767 +128 $468
     CNXC4,767+128$468
DYCOM INDUSTRIES INC 4,063 -25,234 $468
     DY4,063-25,234$468
MANPOWER INC 5,884 -68,549 $468
     MAN5,884-68,549$468
TEXAS CAPITAL BANCSHARES INC (TCBI) 7,245 +3,789 $468
     TCBI7,245+3,789$468
WD 40 CO 1,959 -58,390 $468
     WDFC1,959-58,390$468
SILGAN HOLDINGS INC 10,326 -3,619 $467
     SLGN10,326-3,619$467
NEXTERA ENERGY PARTNERS LP 15,315 -1,554,789 $466
     NEP15,315-1,554,789$466
OTTER TAIL CORPORATION 5,473 -4,528 $465
     OTTR5,473-4,528$465
CEREVEL THERAPEUTICS HOLDINGS INC 10,955 +8,742 $464
     CERE10,955+8,742$464
HUNTSMAN CORP 18,477 UNCH $464
     HUN18,477UNCH$464
LUMENTUM HOLDINGS INC 8,843 -26,129 $464
     LITE8,843-26,129$464
AXONICS MODULATION TECHNOLOGIES INC 7,445 -1,842 $463
     AXNX7,445-1,842$463
CORCEPT THERAPEUTICS INC 14,268 -10,999 $463
     CORT14,268-10,999$463
HOME BANCSHARES INC (HOMB) 18,289 -197,091 $463
     HOMB18,289-197,091$463
ENLINK MIDSTREAM LLC 37,989 +31,667 $462
     ENLC37,989+31,667$462
SABRA HEALTHCARE REIT INC 32,298 +17,064 $461
     SBRA32,298+17,064$461
FIRST INTERSTATE BANCSYSTEM INC 14,953 +1,226 $460
     FIBK14,953+1,226$460
SYNAPTICS INC 4,030 -6,241 $460
     SYNA4,030-6,241$460
CHAMPIONX CORP 15,659 -2,882 $457
     CHX15,659-2,882$457
CRANE CO NEW COM 3,868 -89,082 $457
     CR3,868-89,082$457
KONTOOR BRANDS INC 7,320 UNCH $457
     KTB7,320UNCH$457
REMITLY GLOBAL INC 23,496 +23,496 $456
     RELY23,496+23,496$456
MUELLER WATER PRODUCTS INC 31,593 +10,066 $455
     MWA31,593+10,066$455
SPIRIT AEROSYSTEMS HOLDINGS CL A 14,282 +846 $454
     SPR14,282+846$454
PRESTIGE CONSUMER HEALTHCARE INC 7,390 -1,865 $452
     PBH7,390-1,865$452
JOHN BEAN TECHNOLOGIES CORP 4,525 -1,187,135 $450
     JBT4,525-1,187,135$450
TKO GRP HLD 5,499 +5,499 $449
     TKO5,499+5,499$449
WINTRUST FINANCIAL CORP 4,843 -4,938 $449
     WTFC4,843-4,938$449
CREDIT ACCEPTANCE CORP 841 -18,377 $448
     CACC841-18,377$448
COMMVAULT SYSTEMS INC 5,580 -24,526 $446
     CVLT5,580-24,526$446
KOSMOS ENERGY LTD 66,450 UNCH $446
     KOS66,450UNCH$446
NCR CORPORATION 16,468 +196 $446
     NCR16,468+196$446
ARROWHEAD PHARMACEUTICALS INC 14,553 -5,632 $445
     ARWR14,553-5,632$445
PENSKE AUTOMOTIVE GROUP INC 2,770 -1,592 $445
     PAG2,770-1,592$445
CLARIVATE PLC 47,817 +47,817 $443
     COM47,817+47,817$443
AEROVIRONMENT INC 3,510 -3,923 $442
     AVAV3,510-3,923$442
BELDEN INC 5,711 -1,965 $441
     BDC5,711-1,965$441
POST HLDINGS INC 5,009 -2,820 $441
     POST5,009-2,820$441
LCI INDUSTRIES 3,499 -1,778 $440
     LCII3,499-1,778$440
ONE GAS INC 6,899 -497 $440
     OGS6,899-497$440
EVOLENT HEALTH INC CLASS A 13,279 -38,748 $439
     EVH13,279-38,748$439
INNOSPEC INC 3,555 -19,407 $438
     IOSP3,555-19,407$438
RPT REALTY 34,135 +1,837 $438
     RPT34,135+1,837$438
ITRON INC 5,790 UNCH $437
     ITRI5,790UNCH$437
CONSOL ENERGY INC 4,333 +580 $436
     CEIX4,333+580$436
HERITAGE COMMERCE CORP 43,992 +40,463 $436
     HTBK43,992+40,463$436
BLUE OWL CAPITAL INC 29,248 -316,531 $436
     OWL29,248-316,531$436
APPFOLIO INC 2,509 -3,018 $435
     APPF2,509-3,018$435
HOWARDHUGH 5,088 +5,088 $435
     HHH5,088+5,088$435
DT MIDSTREAM INC 7,916 +2,106 $434
     DTM7,916+2,106$434
CHOICE HOTELS INTL INC 3,824 -7,438 $433
     CHH3,824-7,438$433
COUSINS PROPERTIES INC 17,798 -30,431 $433
     CUZ17,798-30,431$433
GIBRALTAR INDUSTRIES INC 5,480 -1,882 $433
     ROCK5,480-1,882$433
VISTEON CORP 3,469 -1,007 $433
     VC3,469-1,007$433
BOX INC 16,881 -8,321 $432
     BOX16,881-8,321$432
INSMED INC 13,935 +9,673 $432
     INSM13,935+9,673$432
GRAND CANYON EDUCATION INC 3,261 -2,087 $431
     LOPE3,261-2,087$431
BOSTON BEER COMPANY INC CL A 1,246 -4,408 $431
     SAM1,246-4,408$431
STONEX GROUP INC 5,842 +2,780 $431
     SNEX5,842+2,780$431
AVIS BUDGET GROUP INC 2,425 -18,804 $430
     CAR2,425-18,804$430
J & J SNACK FOODS CORP 2,575 -3,179 $430
     JJSF2,575-3,179$430
MOELIS & CO 7,648 +1,623 $429
     MC7,648+1,623$429
MODINE MANUFACTURING CO 7,188 -460 $429
     MOD7,188-460$429
NEWELL RUBBERMAID INC 49,293 -73,577 $428
     NWL49,293-73,577$428
ULTRAGENYX PHARMACEUTICAL INC 8,946 -5,474 $428
     RARE8,946-5,474$428
VISHAY INTERTECHNOLOGY INC 17,838 -3,387 $428
     VSH17,838-3,387$428
LANCASTER COLONY COR 2,566 -373 $427
     LANC2,566-373$427
BOYD GAMING CORP 6,795 +5,491 $425
     BYD6,795+5,491$425
CAVCO INDUSTRIES INC 1,226 -4,135 $425
     CVCO1,226-4,135$425
CALIFORNIA WATER SERVICE GRP 8,202 +4,902 $425
     CWT8,202+4,902$425
PORTLAND GENERAL ELECTRIC CO 9,806 -55,814 $425
     POR9,806-55,814$425
APTARGROUP INC 3,430 -8,203,880 $424
     ATR3,430-8,203,880$424
STEVEN MADDEN LTD 10,070 +6,039 $423
     SHOO10,070+6,039$423
ADVANCE AUTO PARTS INC 6,920 -10,630 $422
     AAP6,920-10,630$422
KILROY REALTY CORP 10,602 UNCH $422
     KRC10,602UNCH$422
YELP INC 8,918 -19,253 $422
     YELP8,918-19,253$422
INTERDIGITAL INC 3,882 -311 $421
     IDCC3,882-311$421
KOHLS CORP 14,690 -2,268 $421
     KSS14,690-2,268$421
ROIVANT SCIENCES LTD 37,398 -184,613 $420
     ROIV37,398-184,613$420
ARCBEST CORP 3,482 -39,510 $419
     ARCB3,482-39,510$419
BRADY CORPORATION CL A 7,139 -9,785 $419
     BRC7,139-9,785$419
EPR PROPERTIES 8,653 -82,882 $419
     EPR8,653-82,882$419
FIRST BANCORP PUERTO RICO 25,391 +12,679 $418
     FBP25,391+12,679$418
MYR GROUP INC 2,893 -9,918 $418
     MYRG2,893-9,918$418
CORVEL CORP 1,686 -18,018 $417
     CRVL1,686-18,018$417
CLEARWAY ENERGY INC      $417
     CWEN.A16,321+8,513$417
DIODES INC 5,178 -5,793 $417
     DIOD5,178-5,793$417
TRICO BANCSHARES (TCBK) 9,711 -5,906 $417
     TCBK9,711-5,906$417
TELADOC HEALTH INC 19,364 -21,246 $417
     TDOC19,364-1,882$417
URBAN EDGE PROPERTIES 22,762 +15,690 $417
     UE22,762+15,690$417
GENWORTH FINANCIAL INC CL A 62,208 -43,449 $416
     GNW62,208-43,449$416
ENSTAR GROUP LTD 1,411 -2,146 $415
     ESGR1,411-2,146$415
MDC HOLDINGS INC 7,504 -17,522 $415
     MDC7,504-17,522$415
KNIFE RIV 6,256 UNCH $414
     KNF6,256UNCH$414
NATIONAL STORAGE AFFILIATES TRUST 9,969 +8,978 $413
     NSA9,969+8,978$413
BRIDGEBIO PHARMA INC 10,191 -7,208 $411
     BBIO10,191-7,208$411
CONMED CORP 3,753 -124 $411
     CNMD3,753-124$411
LIBRTY MEDI C 14,255 -2,598 $410
     LSXMK14,255-2,598$410
PIPER SANDLER COS 2,346 -62,224 $410
     PIPR2,346-62,224$410
SHIFT4 PAYMENTS INC 5,482 -4,844 $408
     FOUR5,482-4,844$408
SENSIENT TECHNOLOGIES CORP 6,175 +2,372 $408
     SXT6,175+2,372$408
FRONTDOOR INC 11,531 -9,940 $406
     FTDR11,531-9,940$406
LIVENT CORP 22,594 +12,716 $406
     LTHM22,594+12,716$406
OFG BANCORP 10,824 -4,533 $406
     OFG10,824-4,533$406
AGILON HEALTH INC 32,309 -43,173 $405
     AGL32,309-43,173$405
IRHYTHM TECHNOLOGIES INC 3,787 -358 $405
     IRTC3,787-358$405
DIAMONDROCK HOSPITALITY CO 43,016 -17,103 $404
     DRH43,016-17,103$404
ESSENTIAL PROPERTIES REALTY TRUST INC 15,825 -197,309 $404
     EPRT15,825-197,309$404
ALLISON TRANSMISSION HOLDINGS INC 6,929 +6,356 $403
     ALSN6,929+6,356$403
NORTHWESTERN CORP 7,916 -163,492 $403
     NWE7,916-163,492$403
FORMFACTOR INC 9,635 UNCH $402
     FORM9,635UNCH$402
MARQETA INC 57,291 +53,672 $400
     MQ57,291+53,672$400
SL GREEN REALTY CORP 8,845 -2,018 $400
     SLG8,845-2,018$400
FORTREA HOLDINGS INC 11,433 +11,433 $399
     FTRE11,433+11,433$399
CALIFORNIA RESOURCES CORP 7,285 -19,373 $398
     CRC7,285-19,373$398
ADIENT PLC 10,917 -8,816 $397
     ADNT10,917-8,816$397
INDEPENDENT BANK CORP MASS 6,037 -36,538 $397
     INDB6,037-36,538$397
NORTHERN OIL AND GAS INC 10,721 +10,721 $397
     COM10,721+10,721$397
AMPHASTAR PHARMACEUTICALS INC 6,409 -31,645 $396
     AMPH6,409-31,645$396
AXOS FINANCIAL INC 7,253 -16,081 $396
     AX7,253-16,081$396
LEGGETT & PLATT INC 15,126 +8,135 $396
     LEG15,126+8,135$396
PARK HOTELS & RESORTS INC 25,852 -23,290 $396
     PK25,852-23,290$396
KRYSTAL BIOTECH INC 3,186 -448 $395
     KRYS3,186-448$395
ESAB CRP 4,546 -48,777 $394
     ESAB4,546-48,777$394
DOXIMITY INC 14,006 -891 $393
     DOCS14,006-891$393
KEMPER CORP 8,065 -4,601 $393
     KMPR8,065-4,601$393
REVOLUTION MEDICINES INC 13,686 -67,250 $393
     RVMD13,686-67,250$393
ARCH RESOURCES INC 2,356 -586,168 $391
     ARCH2,356-586,168$391
SPIRE INC 6,279 -203,093 $391
     SR6,279-203,093$391
VERRA MOBILITY CORP 16,996 +10,796 $391
     VRRM16,996+10,796$391
HUB GROUP INC 4,246 UNCH $390
     HUBG4,246UNCH$390
SPECTRUM BRANDS HOLDINGS INC 4,889 -13,752 $390
     SPB4,889-13,752$390
RADIAN GROUP INC 13,612 -9,125 $389
     RDN13,612-9,125$389
ST JOE COMPANY 6,448 -1,066,749 $388
     JOE6,448-1,066,749$388
NETSTREIT CORP 21,714 +16,991 $388
     NTST21,714+16,991$388
CORPORATE OFFICE PROPERTIES TRUST SBI M 15,149 +881 $388
     OFC15,149+881$388
WENDY S COMPANY 19,911 -10,142 $388
     WEN19,911-10,142$388
SYNOVUS FINANCIAL CORP 10,271 +2,166 $387
     SNV10,271+2,166$387
J2 GLOBAL INC 5,754 -10,124 $387
     ZD5,754-10,124$387
AMEDISYS INC 4,061 -1,381 $386
     AMED4,061-1,381$386
LIVANOVA PLC 7,464 +2,250 $386
     LIVN7,464+2,250$386
RED ROCK RESORTS INC 7,233 -270,244 $386
     RRR7,233-270,244$386
COLUMBIA SPORTSWEAR CO 4,839 -3,547 $385
     COLM4,839-3,547$385
GRIFFON CORP 6,321 +798 $385
     GFF6,321+798$385
ARTISAN PARTNERS ASSET MANAGEMENT INC 8,703 -4,909 $384
     APAM8,703-4,909$384
QUIDEL CORP 5,185 +473 $382
     QDEL5,185+473$382
BANCORP INC DE 9,907 +5,410 $382
     TBBK9,907+5,410$382
C3.AI INC 13,264 +12,368 $381
     AI13,264+12,368$381
SHAKE SHACK INC 5,137 +953 $381
     SHAK5,137+953$381
ARROW FINANCIAL CORP 13,612 +8,556 $380
     AROW13,612+8,556$380
AMERICAN STATES WATER CO 4,727 -11,313 $380
     AWR4,727-11,313$380
RAPID7 INC 6,647 -10,781 $380
     RPD6,647-10,781$380
TRAVEL & LEISURE CO 9,655 +5,037 $377
     TNL9,655+5,037$377
FB FINANCIAL CORP 9,408 -1,403 $375
     FBK9,408-1,403$375
LIVERAMP HOLDINGS INC 9,878 -24,682 $374
     RAMP9,878-24,682$374
UNIFIRST CORP 2,046 -6,257 $374
     UNF2,046-6,257$374
BLACKLINE INC 5,978 -82 $373
     BL5,978-82$373
CAL MAINE FOODS INC 6,493 +1,207 $373
     CALM6,493+1,207$373
INMODE LTD 16,762 +16,762 $373
     COM16,762+16,762$373
THE SCOTTS MIRACLE GRO COMPANY CL A 5,851 -137 $373
     SMG5,851-137$373
FIRST BANCORP INC 10,050 +4,336 $372
     FBNC10,050+4,336$372
HNI CORP 8,860 -31,469 $371
     HNI8,860-31,469$371
ALTERYX INC 7,821 -7,285 $369
     AYX7,821-7,285$369
CARTER S INC 4,912 -119,716 $368
     CRI4,912-119,716$368
FOX FACTORY HOLDING CORP 5,441 -19,637 $367
     FOXF5,441-19,637$367
NATIONAL FUEL GAS CO 7,322 -3,059 $367
     NFG7,322-3,059$367
BLACK HILLS CORP 6,782 -15,287 $366
     BKH6,782-15,287$366
STRIDE INC 6,159 -2,629 $366
     LRN6,159-2,629$366
OLD SECOND BANCORP INC 23,726 +9,462 $366
     OSBC23,726+9,462$366
ALARM.COM HOLDINGS INC 5,641 -65,884 $365
     ALRM5,641-65,884$365
HECLA MINING CO 75,936 +63,228 $365
     HL75,936+63,228$365
GUARDANT HEALTH INC 13,445 +12,294 $364
     GH13,445+12,294$364
HURON CONSULTING GROUP INC 3,539 -444 $364
     HURN3,539-444$364
YORK WATER CO 9,429 +3,540 $364
     YORW9,429+3,540$364
FEDERATED HERMES INC 10,726 +2,260 $363
     FHI10,726+2,260$363
PEAPACK GLADSTONE FINANCIAL CORP 12,136 +6,605 $362
     PGC12,136+6,605$362
PROGYNY INC 9,725 -31,096 $362
     PGNY9,725-31,096$362
HILLMAN SOLUTIONS CORP 39,176 +27,741 $361
     HLMN39,176+27,741$361
SELECT MEDICAL HOLDINGS CORP 15,306 -19,615 $360
     SEM15,306-19,615$360
ABM INDUSTRIES INC 8,018 -7,829 $359
     ABM8,018-7,829$359
PLAINS GP HOLDINGS LP 22,522 -385,434 $359
     PAGP22,522-385,434$359
SUNSTONE HOTEL INVESTORS INC 33,406 +28,913 $358
     SHO33,406+28,913$358
GERMAN AMERICAN BANCORP INC 11,015 -9,076 $357
     GABC11,015-9,076$357
KULICKE & SOFFA IND 6,531 UNCH $357
     KLIC6,531UNCH$357
OSI SYSTEMS INC 2,763 -2,690 $357
     OSIS2,763-2,690$357
QUANTUMSCAPE CORP 51,341 +30,655 $357
     QS51,341+30,655$357
SITE CENTERS CORP 26,203 +14,432 $357
     SITC26,203+14,432$357
ARBOR REALTY TRUST INC 23,463 +20,033 $356
     ABR23,463+20,033$356
DOUBLEVERIFY HOLDINGS INC 9,686 -26,095 $356
     DV9,686-26,095$356
DIGITBDRG GR 20,157 +8,490 $354
     DBRG20,157+8,490$354
SEACOAST BANKING CORP OF FLORIDA 12,447 -2,859 $354
     SBCF12,447-2,859$354
FIRST FINANCIAL BANCORP 14,843 +4,621 $353
     FFBC14,843+4,621$353
RESIDEO TECHNOLOGIES INC 18,737 -27,377 $353
     REZI18,737-27,377$353
FEDERAL AGRIC MORTGAGE CORP CL C 1,843 -7,565 $352
     AGM1,843-7,565$352
AAR CORP 5,645 +2,740 $352
     AIR5,645+2,740$352
OCEANEERING INTL INC 16,560 +5,142 $352
     OII16,560+5,142$352
ALIGHT INC 41,196 +6,549 $351
     ALIT41,196+6,549$351
GROUP ONE AUTOMOTIVE INC 1,151 -8,382 $351
     GPI1,151-8,382$351
MATERION CORP 2,698 -7,892 $351
     MTRN2,698-7,892$351
RINGCENTRAL INC 10,342 -7,734 $351
     RNG10,342-7,734$351
STEPAN CO 3,708 -798 $351
     SCL3,708-798$351
MEDICAL PROPERTIES TRUST INC 71,192 +57,735 $350
     MPW71,192+57,735$350
BGCGRP 48,364 +48,364 $349
     BGC48,364+48,364$349
ADTALEM GLOBAL EDUCATION INC 5,891 -6,431 $347
     ATGE5,891-6,431$347
TOWNE BANK 11,658 -68,330 $347
     TOWN11,658-68,330$347
BOK FINANCIAL CORP 4,036 -4,679 $346
     BOKF4,036-4,679$346
LIBERTY ENERGY INC 18,974 -16,855 $344
     LBRT18,974-16,855$344
TANGER FACTORY OUTLET CENTER 12,396 -33,321 $344
     SKT12,396-33,321$344
WESBANCO INC 10,950 -99,547 $344
     WSBC10,950-99,547$344
EASTERN BANKSHARES INC (EBC) 24,165 +7,096 $343
     EBC24,165+7,096$343
FIRST HAWAIIAN INC 14,997 -5,775 $343
     FHB14,997-5,775$343
ACADIA REALTY TRUST 20,144 -1,374,001 $342
     AKR20,144-1,374,001$342
APPLE HOSPITALITY REIT INC 20,604 -42,581 $342
     APLE20,604-42,581$342
INTEGRA LIFESCIENCES HOLDING 7,846 -279,130 $342
     IART7,846-279,130$342
O I GLASS INC 20,900 -7,138 $342
     OI20,900-7,138$342
TRINITY INDS INC 12,852 +8,174 $342
     TRN12,852+8,174$342
ASHLAND GLOBAL HOLDINGS INC 4,048 +522 $341
     ASH4,048+522$341
TRANSMEDICS GROUP INC 4,319 +3,210 $341
     TMDX4,319+3,210$341
VIPER ENRGY 10,841 -6,302 $340
     VNOM10,841-6,302$340
XEROX HOLDINGS CORP 18,536 -164 $340
     XRX18,536-164$340
KORNIT DIGITAL LTD 17,678 UNCH $339
     KRNT17,678UNCH$339
CENTRAL GARDEN & PET CO 6,742 -5,204 $338
     CENT6,742-5,204$338
PAPA JOHNS INTL INC 4,435 -143 $338
     PZZA4,435-143$338
BROADSTONE NET LEASE INC 19,590 +12,461 $337
     BNL19,590+12,461$337
BANK OF HAWAII CORP 4,646 -34,108 $337
     BOH4,646-34,108$337
PATTERSON COS INC 11,856 +6,595 $337
     PDCO11,856+6,595$337
PREMIER FINANCIAL CORP 13,991 -14,801 $337
     PFC13,991-14,801$337
BLOOMIN BRANDS INC 11,897 -2,447 $335
     BLMN11,897-2,447$335
PLYMOUTH INDUSTRIAL REIT INC 13,902 +12,685 $335
     PLYM13,902+12,685$335
TEGNA INC 21,851 +10,137 $334
     TGNA21,851+10,137$334
FOUR CORNERS PROPERTY TRUST INC 13,128 +8,905 $332
     FCPT13,128+8,905$332
MADRIGAL PHARMACEUTICALS INC 1,433 -20,758 $332
     MDGL1,433-20,758$332
PROGRESS SOFTWARE CORP 6,107 +197 $332
     PRGS6,107+197$332
COMPASS DIVERSIFIED HOLDINGS 14,739 -372,608 $331
     CODI14,739-372,608$331
PHYSICIANS REALTY TRUST 24,883 -45,321 $331
     DOC24,883-45,321$331
ARRAY TECHNOLOGIES INC 19,567 +11,033 $329
     ARRY19,567+11,033$329
FIRST COMMUNITY BANCSHARES INC (FCBC) 8,877 +7,566 $329
     FCBC8,877+7,566$329
COHEN & STEERS INC 4,315 -2,589 $327
     CNS4,315-2,589$327
EQUITY COMMONWEALTH 17,011 -27,256 $327
     EQC17,011-27,256$327
MARATHON DIGITAL HOLDINGS INC 13,937 -52,161 $327
     MARA13,937-52,161$327
DORMAN PRODUCTS INC 3,906 -843 $326
     DORM3,906-843$326
GORMAN RUPP CO 9,173 -10,680 $326
     GRC9,173-10,680$326
TREEHOUSE FOODS INC 7,841 -15,579 $325
     THS7,841-7,324$325
AVISTA CORPORATION 9,063 +936 $324
     AVA9,063+936$324
CARETRUST REIT INC 14,467 -13,704 $324
     CTRE14,467-13,704$324
LA Z BOY CHAIR CO CO 8,783 -97 $324
     LZB8,783-97$324
NATIONAL WESTERN LIFE INS 670 -9,933 $324
     NWLI670-9,933$324
QUANEX BUILDING PRODUCTS CORP 10,606 -2,442 $324
     NX10,606-2,442$324
OPENDOOR TECHNOLOGIES INC 72,390 +55,914 $324
     OPEN72,390+55,914$324
FREEDOM HOLDING CORP NV 4,004 -33,837 $323
     FRHC4,004-33,837$323
KIMBALL ELECTRONICS INC 11,981 -518 $323
     KE11,981-518$323
MSC INDUSTRIAL DIRECT CO A 3,183 -250,949 $322
     MSM3,183-250,949$322
BANKUNITED INC 9,893 +7,210 $321
     BKU9,893+7,210$321
AMERICAN EQUITY INVESTMENT LIFE HOLDING 5,734 -433 $320
     AEL5,734-433$320
CALIX INC 7,314 +821 $320
     CALX7,314+821$320
S & T BANCORP INC 9,567 -1,129,704 $320
     STBA9,567-1,129,704$320
ENERGIZER HOLDINGS INC 10,080 +6,113 $319
     ENR10,080+6,113$319
IMPINJ INC 3,545 -3,153 $319
     PI3,545-3,153$319
LEMAITRE VASCULAR INC 5,609 -10,042 $318
     LMAT5,609-10,042$318
HELLO GROUP INC 45,700 -1,862,995 $318
     MOMO45,700-1,862,995$318
RHYTHM PHARMACEUTICALS INC 6,911 -5,589 $318
     RYTM6,911-5,589$318
AIR LEASE CORP 7,555 -215 $317
     AL7,555-215$317
INNOVATIVE INDUSTRIAL PROPERTIES INC 3,149 -406 $317
     IIPR3,149-406$317
AMBARELLA INC 5,156 -432 $316
     AMBA5,156-432$316
FIRST BANCSHARES INC (FBMS) 10,769 +719 $316
     FBMS10,769+719$316
WINNEBAGO INDUSTRIES INC 4,332 +3,309 $316
     WGO4,332+3,309$316
NCINO INC 9,352 +9,352 $315
     NCNO9,352+9,352$315
SIMMONS FIRST NATIONAL CORP CL A 15,890 -97,475 $315
     SFNC15,890-97,475$315
MADISON SQUARE GARDEN SPORTS C 1,727 -13,259 $314
     MSGS1,727-13,259$314
UMH PROPERTIES INC 20,359 +12,047 $312
     UMH20,359+12,047$312
TENNANT COMPANY 3,360 -3,220 $311
     TNC3,360-3,220$311
GREIF INC 4,723 -11,034 $310
     GEF4,723-11,034$310
TRIPADVISOR INC 14,380 +3,663 $310
     TRIP14,380+3,663$310
PAGERDUTY INC 13,349 +4,395 $309
     PD13,349+4,395$309
ENVESTNET INC 6,217 -11,506 $308
     ENV6,217-11,506$308
ENERPAC TOOL GROUP CORP 9,911 +7,520 $308
     EPAC9,911+7,520$308
MARRIOTT VACATIONS WORLDWIDE CORP 3,619 -3,291 $307
     VAC3,619-3,291$307
BOOT BARN HOLDINGS INC 3,981 -83,995 $306
     BOOT3,981-83,995$306
KORN FERRY 5,154 UNCH $306
     KFY5,154UNCH$306
SANDY SPRING BANCORP INC 11,219 +5,320 $306
     SASR11,219+5,320$306
BLACKSTONE MORTGAGE TRUST INC 14,344 -327,516 $305
     BXMT14,344-327,516$305
VIAVI SOLUTIONS INC 30,254 -1,480,496 $305
     VIAV30,254-1,480,496$305
VESTIS CRP 14,389 +14,389 $304
     VSTS14,389+14,389$304
PRIVIA HEALTH GROUP INC 13,174 +6,888 $303
     PRVA13,174+6,888$303
STEPSTONE GROUP INC 9,506 -2,804 $303
     STEP9,506-2,804$303
ANDERSONS INC 5,256 -976,202 $302
     ANDE5,256-976,202$302
KB HOME 4,840 -11,350 $302
     KBH4,840-11,350$302
OLD NATIONAL BANCORP 17,859 +9,401 $302
     ONB17,859+9,401$302
DAVE & BUSTER S ENTERTAINMENT INC 5,605 -587,742 $302
     PLAY5,605-587,742$302
SOTERA HEALTH CO 17,909 -101,177 $302
     SHC17,909-101,177$302
NATIONAL HEALTH INVESTORS INC 5,387 -1,935 $301
     NHI5,387-1,935$301
EVERTEC INC 7,337 -5,416 $300
     EVTC7,337-5,416$300
DANA HOLDING CORP 20,434 +10,466 $299
     DAN20,434+10,466$299
HORACE MANN EDUCATORS 9,132 -13,017 $299
     HMN9,132-13,017$299
TRUSTMARK CORP 10,717 -270,697 $299
     TRMK10,717-270,697$299
ARCHROCK INC 19,371 +15,482 $298
     AROC19,371+15,482$298
INTELLIA THERAPEUTICS INC 9,760 -629,359 $298
     NTLA9,760-629,359$298
ROGERS CORP 2,258 -42,192 $298
     ROG2,258-42,192$298
TRIUMPH BANCORP INC 3,720 -6,745 $298
     TFIN3,720-6,745$298
AXSOME THERAPEUTICS INC 3,737 -827 $297
     AXSM3,737-827$297
COHU INC 8,386 -6,376 $297
     COHU8,386-6,376$297
CABLE ONE INC 531 -74,482 $296
     CABO531-74,482$296
ELLINGTON FINANCIAL INC 23,274 -828,084 $296
     EFC23,274-828,084$296
HANCOCK WHITNEY CORP 6,093 +1,380 $296
     HWC6,093+1,380$296
CTS CORP 6,751 -58,389 $295
     CTS6,751-58,389$295
DIME CMTY BANC 10,971 -9,186 $295
     DCOM10,971-9,186$295
TG THERAPEUTICS INC 17,253 +10,030 $295
     TGTX17,253+10,030$295
DELEK US HOLDINGS INC 11,392 +3,792 $294
     DK11,392+3,792$294
PEGASYSTEMS INC 6,018 +3,248 $294
     PEGA6,018+3,248$294
KENNAMETAL INC CAP 11,360 +926 $293
     KMT11,360+926$293
CHEESECAKE FACTORY INC 8,337 -20,444 $292
     CAKE8,337-20,444$292
CARGURUS INC 12,069 -3,600 $292
     CARG12,069-3,600$292
READY CAP 28,456 +11,084 $292
     RC28,456+11,084$292
INTERNATIONAL SEAWAYS INC 6,396 -132,393 $291
     INSW6,396-132,393$291
PLUG POWER INC 64,570 +22,147 $291
     PLUG64,570+22,147$291
WASHINGTON TRUST BANCORP INC 8,998 -38,801 $291
     WASH8,998-38,801$291
HORIZON BANCORP INC. 20,238 +11,021 $290
     HBNC20,238+11,021$290
RXO Inc 12,464 +5,680 $290
     RXO12,464+5,680$290
STELLAR BANCORP INC 10,405 -138 $290
     STEL10,405-138$290
DUN & BRADSTREET HOLDINGS INC 24,663 +3,520 $289
     DNB24,663+3,520$289
DYNAVAX TECHNOLOGIES CORP 20,611 +16,347 $288
     DVAX20,611+16,347$288
EXTREME NETWORKS INC 16,313 -16,410 $288
     EXTR16,313-16,410$288
INGEVITY CORP 6,101 -417,042 $288
     NGVT6,101-417,042$288
ALEXANDER & BALDWIN INC 15,067 +7,833 $287
     ALEX15,067+7,833$287
HANNON ARMSTRONG SUSTAINABLE INFRASTRUC 10,404 -36,738 $287
     HASI10,404-36,738$287
PERFICIENT INC 4,362 -863,688 $287
     PRFT4,362-863,688$287
PARCONS CORP 4,578 -7,278 $287
     PSN4,578-7,278$287
ADDUS HOMECARE CORP 3,085 -17,059 $286
     ADUS3,085-17,059$286
DOUGLAS EMMETT INC 19,709 +10,023 $286
     DEI19,709+10,023$286
URBAN OUTFITTERS INC 8,015 -6,196 $286
     URBN8,015-6,196$286
ATLA BRAVS C 7,212 +5,502 $285
     BATRK7,212+5,502$285
IRONWOOD PHARMACEUTICALS INC 24,883 UNCH $285
     IRWD24,883UNCH$285
PRICESMART INC 3,767 -4,580 $285
     PSMT3,767-4,580$285
UTZ BRANDS INC 17,495 -5,018 $284
     UTZ17,495-5,018$284
APOLLO COMMERCIAL REAL ESTATE FINANCE I 24,117 +8,826 $283
     ARI24,117+8,826$283
FIVERR INTERNATIONAL LTD 10,393 +10,393 $283
     COM10,393+10,393$283
KAR AUCTION SERVICES INC 19,096 +14,856 $283
     KAR19,096+14,856$283
UNITIL CORP 5,391 -7,963 $283
     UTL5,391-7,963$283
BRP GROUP INC 11,734 -7,856 $282
     BRP11,734-7,856$282
ICU MEDICAL INC 2,829 -7,895 $282
     ICUI2,829-7,895$282
IMMUNOVANT INC 6,698 -25,462 $282
     IMVT6,698-25,462$282
KRATOS DEFENSE & SECURITY SOLUTIONS INC 13,869 UNCH $281
     KTOS13,869UNCH$281
EDGEWELL PERSONAL CARE CO 7,649 -499 $280
     EPC7,649-499$280
INVENTRUST PROPERTIES CORP 11,066 UNCH $280
     IVT11,066UNCH$280
STRATEGIC EDUCATION INC 3,026 -11,612 $280
     STRA3,026-11,612$280
UNDER ARMOUR CL C 33,559 +24,887 $280
     UA33,559+24,887$280
CENTRAL PACIFIC FINANCIAL CORP 14,185 -70,703 $279
     CPF14,185-70,703$279
CERTARA INC 15,831 +9,089 $278
     CERT15,831+9,089$278
Q2 HOLDINGS INC 6,394 +1,927 $278
     QTWO6,394+1,927$278
SHOALS TECHNOLOGIES GROUP INC 17,912 +13,992 $278
     SHLS17,912+13,992$278
CROSSFIRST BANKSHARES INC (CFB) 20,312 +16,444 $276
     CFB20,312+16,444$276
PREMIER INC 12,360 -1,080 $276
     PINC12,360-1,080$276
SJW GROUP 4,227 -14 $276
     SJW4,227-14$276
ALASKA AIR GROUP INC 7,046 -863 $275
     ALK7,046-863$275
UNIVERSAL CORP 4,088 +2,688 $275
     UVV4,088+2,688$275
MERCURY SYSTEMS INC 7,486 +2,800 $274
     MRCY7,486+2,800$274
CNO FINANCIAL GROUP INC 9,792 -4,992 $273
     CNO9,792-4,992$273
MINERALS TECHNOLOGIES INC 3,818 -329 $272
     MTX3,818-329$272
PEBBLEBROOK HOTEL TRUST 17,027 +1,762 $272
     PEB17,027+1,762$272
DONNELLEY FINANCIAL SOLUTIONS INC 4,346 -125,037 $271
     DFIN4,346-125,037$271
BRINKER INTL INC 6,244 +178 $270
     EAT6,244+178$270
MGP INGREDIENTS INC 2,742 -165,844 $270
     MGPI2,742-165,844$270
UMB FINANCIAL CORP 3,216 -14,591 $269
     UMBF3,216-14,591$269
HOPE BANCORP INC 22,149 -78,929 $268
     HOPE22,149-78,929$268
PEOPLES BANCORP INC 7,943 -150,978 $268
     PEBO7,943-150,978$268
ULTRA CLEAN HOLDINGS INC 7,821 -4,494 $267
     UCTT7,821-4,494$267
CHEWY INC 11,262 -8,228 $266
     CHWY11,262-8,228$266
KFORCE INC 3,943 -72 $266
     KFRC3,943-72$266
VERICEL CORP 7,475 -55,508 $266
     VCEL7,475-55,508$266
STEWART INFO SVCS 4,506 +1,964 $265
     STC4,506+1,964$265
TTM TECHNOLOGIES INC 16,744 -17,297 $265
     TTMI16,744-17,297$265
AMERICAN WOODMARK CORP 2,848 -106,468 $264
     AMWD2,848-106,468$264
NEW FORTRESS ENERGY INC 6,984 +50 $264
     NFE6,984+50$264
DENALI THERAPEUTICS INC 12,238 +846 $263
     DNLI12,238+846$263
NEOGENOMICS INC 16,272 -51,816 $263
     NEO16,272-51,816$263
SEI INVESTMENTS CO 4,145 -2,030 $263
     SEIC4,145-2,030$263
ROCKET COS INC 18,076 +1,763 $262
     RKT18,076+1,763$262
JOYY INC 6,600 +6,600 $262
     YY6,600+6,600$262
NORTHFIELD BANCORP INC 20,681 +12,086 $260
     NFBK20,681+12,086$260
NEWMARK GROUP INC 23,764 -2,564 $260
     NMRK23,764-2,564$260
PACIFIC BIOSCIENCES OF CALIFORNIA INC 26,468 +12,659 $260
     PACB26,468+12,659$260
CONNECTONE BANCORP INC 11,289 -429,885 $259
     CNOB11,289-429,885$259
LINDSAY CORP 2,007 -878,458 $259
     LNN2,007-224,581$259
SCANSOURCE INC 6,546 +695 $259
     SCSC6,546+695$259
VECTOR GROUP LTD 22,996 -616,105 $259
     VGR22,996-616,105$259
PROVIDENT FINANCIAL SERVICES 14,282 -58,814 $258
     PFS14,282-58,814$258
SIX FLAGS ENTERTAINMENT CORP 10,283 +1,438 $258
     SIX10,283+1,438$258
VEECO INSTRUMENTS INC 8,307 -9,936 $258
     VECO8,307-9,936$258
CASS INFORMATION SYSTEMS INC 5,702 +790 $257
     CASS5,702+790$257
GROCERY OUTLET HOLDING CORP 9,533 +2,304 $257
     GO9,533+2,304$257
HAWAIIAN ELEC IND IN 18,092 +12,162 $257
     HE18,092+12,162$257
HELIOS TECHNOLOGIES INC 5,639 -84,777 $256
     HLIO5,639-84,777$256
LAKELAND FINANCIAL CORP 3,930 -644 $256
     LKFN3,930-644$256
SIRIUSPOINT LTD 22,037 +16,755 $256
     SPNT22,037+16,755$256
SUPERNUS PHARMACEUTICALS INC 8,835 -39,076 $256
     SUPN8,835-39,076$256
PC CONNECTION INC 3,800 -29,821 $255
     CNXN3,800-29,821$255
ENOVIS CORP 4,546 -37,613 $255
     ENOV4,546-37,613$255
GREENBRIER COMPANIES INC 5,767 -3,493 $255
     GBX5,767-3,493$255
JACK IN THE BOX INC 3,121 -5,314 $255
     JACK3,121-5,314$255
PTC THERAPEUTICS INC 9,200 +1,043 $254
     PTCT9,200+1,043$254
REPUBLIC BANCORP INC CL A 4,605 +3,261 $254
     RBCAA4,605+3,261$254
OUTFRONT MEDIA INC 18,141 +7,896 $253
     OUT18,141+7,896$253
RUSH ENT INC B 4,776 -37,527 $253
     RUSHB4,776-37,527$253
SERVISFIRST BANCSHARES INC (SFBS) 3,803 -14,109 $253
     SFBS3,803-14,109$253
WASHINGTON REIT 17,230 -6,125 $252
     ELME17,230-6,125$252
ARROW ELECTRONICS INC 2,054 -58,845 $251
     ARW2,054-58,845$251
MILLER HERMAN INC CO 9,397 +8,397 $251
     MLKN9,397+8,397$251
SANMINA CORP 4,879 -1,382 $251
     SANM4,879-1,382$251
SITIME CORP 2,055 -15,160 $251
     SITM2,055-15,160$251
NORDSTROM INC 13,546 -11,887 $250
     JWN13,546-11,887$250
KADANT INC 893 -1,990 $250
     KAI893-1,990$250
FORWARD AIR CORPORATION 3,959 -11,139 $249
     FWRD3,959-11,139$249
WABASH NATL CORP 9,672 -52,141 $248
     WNC9,672-52,141$248
MACERICH COMPANY 15,993 -18,351 $247
     MAC15,993-18,351$247
KNOWLES CORP 13,742 UNCH $246
     KN13,742UNCH$246
MAXLINEAR INC 10,349 -234,992 $246
     MXL10,349-234,992$246
ROCKET PHARMACEUTICALS INC 8,193 -19,655 $246
     RCKT8,193-19,655$246
FIRST FINANCIAL CORP INDIANA 5,714 -9,129 $246
     THFF5,714-9,129$246
MYRIAD GENETICS INC 12,811 -7,389 $245
     MYGN12,811-7,389$245
VICTORIA S SEC 9,229 +5,564 $245
     VSCO9,229+5,564$245
XENIA HOTELS & RESORTS INC 17,975 +11,663 $245
     XHR17,975+11,663$245
ATRICURE INC 6,844 -368 $244
     ATRC6,844-368$244
LADDER CAPITAL CORP 21,178 -9,391 $244
     LADR21,178-9,391$244
MIRATI THERAPEUTICS INC 4,147 -13,408 $244
     MRTX4,147-13,408$244
BARNES GROUP INC 7,412 -1,080,367 $242
     B7,412-1,080,367$242
VERACYTE INC 8,789 -33,472 $242
     VCYT8,789-33,472$242
COMMUNITY HEALTHCARE TRUST INC. 9,044 -16,759 $241
     CHCT9,044-7,715$241
INNOVIVA INC 15,034 +11,885 $241
     INVA15,034+11,885$241
INARI MEDICAL INC 3,693 -317 $240
     NARI3,693-317$240
TANDEM DIABETES CARE INC 8,105 -4,460 $240
     TNDM8,105-4,460$240
PHOTRONICS INC 7,603 -139,934 $239
     PLAB7,603-139,934$239
AGIOS PHARMACEUTICALS INC 10,691 +6,872 $238
     AGIO10,691+6,872$238
ODP CORP 4,227 -21,185 $238
     ODP4,227-21,185$238
PAYONEER GLOBAL INC 45,632 +33,496 $238
     PAYO45,632+33,496$238
PROTHENA CORP PLC 6,552 -2,648 $238
     PRTA6,552-2,648$238
QCR HOLDINGS INC 4,084 -6,522 $238
     QCRH4,084-6,522$238
BEAZER HOMES USA INC 7,023 -18,272 $237
     BZH7,023-18,272$237
MASONITE INTERNATIONAL CORP 2,803 -488,197 $237
     DOOR2,803-488,197$237
LIVE OAK BANCSHARES INC (LOB) 5,214 -4,675 $237
     LOB5,214-4,675$237
NETSCOUT SYSTEMS INC 10,801 -1,119 $237
     NTCT10,801-1,119$237
MYERS INDS INC 12,082 +9,189 $236
     MYE12,082+9,189$236
GENTHERM INC 4,514 -23,266 $236
     THRM4,514-23,266$236
ARMOUR RESIDENTIAL REIT INC 12,179 +7,213 $235
     ARR12,179+7,213$235
CORECIVIC INC 16,184 -45,538 $235
     CXW16,184-45,538$235
GREEN PLAINS INC 9,260 +1,251 $234
     GPRE9,260+1,251$234
APOGEE ENTERPRISES INC 4,367 -12,101 $233
     APOG4,367-12,101$233
RENT A CENTER INC 6,832 -8,420 $232
     UPBD6,832-8,420$232
ALLEGRO MICROSYSTEMS INC 7,635 -33,561 $231
     ALGM7,635-33,561$231
LUCID GROUP INC 54,703 -61,405 $230
     LCID54,703-61,405$230
PACIRA BIOSCIENCES INC 6,816 -40,393 $230
     PCRX6,816-40,393$230
PROS HOLDINGS INC 5,910 -12,334 $229
     PRO5,910-12,334$229
VERITEX HOLDINGS INC 9,856 +5,767 $229
     VBTX9,856+5,767$229
WESTAMERICA BANCORPORATION 4,056 -2,011 $229
     WABC4,056-2,011$229
OMNICELL INC 6,047 -852 $228
     OMCL6,047-852$228
PENNYMAC MORTGAGE INVESTMENT TRUST 15,265 +4,381 $228
     PMT15,265+4,381$228
MASTRBRND 15,281 -17,890 $227
     MBC15,281-17,890$227
SURGERY PARTNERS INC 7,083 -17,662 $227
     SGRY7,083-17,662$227
AMPLITUDE INC 17,737 -272,286 $226
     AMPL17,737-272,286$226
CIMPRESS PLC 2,822 -429,495 $226
     CMPR2,822-429,495$226
UPSTART HOLDINGS INC 5,524 +2,950 $226
     UPST5,524+2,950$226
SONOS INC 13,155 -5,783 $225
     SONO13,155-5,783$225
NEW YORK MORTGAGE TRUST INC 26,103 -23,190 $223
     NYMT26,103-23,190$223
OXFORD INDS INC 2,228 -9,190 $223
     OXM2,228-9,190$223
SOUTHSIDE BANCSHARES INC (SBSI) 7,116 +2,756 $223
     SBSI7,116+2,756$223
WORLD FUEL SERVICES CORP 9,781 +9,781 $223
     WKC9,781+9,781$223
JBG SMITH PROPERTIES 13,076 -5,110 $222
     JBGS13,076-5,110$222
BLOOM ENERGY CORP 14,944 -94,242 $221
     BE14,944-94,242$221
BERKSHIRE HILLS BANCORP INC 8,909 +3,198 $221
     BHLB8,909+3,198$221
LAUREATE EDUCATION INC 16,143 UNCH $221
     LAUR16,143UNCH$221
SEAWORLD ENTERTAINMENT INC 4,184 -14,784 $221
     SEAS4,184-14,784$221
SYLVAMO CORP 4,493 -18,742 $221
     SLVM4,493-18,742$221
TRONOX HOLDINGS PLC 15,617 +4,724 $221
     TROX15,617+4,724$221
ZUORA INC 23,541 +23,541 $221
     ZUO23,541+23,541$221
AMERICAN AIRLINES GROUP INC 16,040 -60,706 $220
     AAL16,040-60,706$220
CRANE HLDG 3,868 -39,042 $220
     CXT3,868-39,042$220
EMPLOYERS HOLDINGS INC 5,555 -1,571 $219
     EIG5,555-1,571$219
R1 RCM 20,686 +14,039 $219
     RCM20,686+14,039$219
APOLLO MEDICAL HOLDINGS INC 5,704 -11,748 $218
     AMEH5,704-11,748$218
BJ S RESTURANTS INC 6,060 -213,539 $218
     BJRI6,060-213,539$218
ADEIA INC 17,550 -736,233 $217
     ADEA17,550-736,233$217
CHESAPEAKE UTILITIES CORP 2,050 -13,488 $217
     CPK2,050-13,488$217
NATIONAL VISION HOLDINGS INC 10,381 +189 $217
     EYE10,381+189$217
PEABODY ENERGY CORP 8,826 +4,228 $215
     BTU8,826+4,228$215
COMPASS INC 57,225 +57,225 $215
     COM57,225+57,225$215
GETTY REALTY CORP 7,362 -82,360 $215
     GTY7,362-82,360$215
TELEPHONE & DATA SYSTEMS INC 11,714 +7,936 $215
     TDS11,714+7,936$215
STEELCASE INC CL A 15,824 -98,230 $214
     SCS15,824-98,230$214
VERINT SYSTEMS INC 7,892 +2,176 $213
     VRNT7,892+2,176$213
CANNAE HOLDINGS INC 10,883 +3,189 $212
     CNNE10,883+3,189$212
LUMEN TECHNOLOGIES INC 116,108 +88,749 $212
     LUMN116,108+88,749$212
SCHRODINGER INC 5,899 +5,882 $211
     SDGR5,899+5,882$211
UNIVEST FINANCIAL CORP 9,600 -46,767 $211
     UVSP9,600-46,767$211
HANESBRANDS INC 47,142 +41,049 $210
     HBI47,142+41,049$210
HERBALIFE NUTRITION LTD 13,793 -1,805 $210
     HLF13,793-1,805$210
ALLIANCE DATA SYSTEMS CORP 6,354 -15,687 $209
     BFH6,354-15,687$209
CINEMARK HOLDINGS INC 14,850 +6,496 $209
     CNK14,850+6,496$209
VERIS RESIDENTIAL INC 13,293 -135,070 $209
     VRE13,293-135,070$209
LIGAND PHARMACEUTICALS CL B 2,911 -18,505 $208
     LGND2,911-18,505$208
PROG HOLDINGS INC 6,733 -13,537 $208
     PRG6,733-13,537$208
CALLAWAY GOLF CO 14,373 +10,578 $206
     MODG14,373+10,578$206
PHREESIA INC 8,878 -6,044 $206
     PHR8,878-6,044$206
VIRTU FINANCIAL INC 10,167 -10,949 $206
     VIRT10,167-10,949$206
KAISER ALUMINUM CORP 2,883 -3,203 $205
     KALU2,883-3,203$205
LTC PROPERTIES INC 6,391 -157,026 $205
     LTC6,391-157,026$205
PRA GROUP INC 7,829 +2,879 $205
     PRAA7,829+2,879$205
PELOTON INTERACTIVE INC 33,621 +13,048 $205
     PTON33,621+13,048$205
SEMTECH CORP 9,291 -8,637 $204
     SMTC9,291-8,637$204
CARS.COM INC 10,722 -8,960 $203
     CARS10,722-8,960$203
PILGRIM S PRIDE CORP 7,334 +4,988 $203
     PPC7,334+4,988$203
WISDOMTREE INVESTMENTS INC 29,225 +27,515 $203
     WT29,225+27,515$203
DILLARDS INC CL A 501 -4,569 $202
     DDS501-4,569$202
LIBERTY MED CORP LIBLIVEC 5,396 +5,396 $202
     LLYVK5,396+5,396$202
ASANA INC 10,567 -22,613 $201
     ASAN10,567-22,613$201
PAYCOR HCM INC 9,313 +4,480 $201
     PYCR9,313+4,480$201
AURINIA PHARMA INC 22,236 +9,102 $200
     AUPH22,236+9,102$200
KELLY SERVICES INC 9,246 +1,181 $200
     KELYA9,246+1,181$200
NCR ATL CRP 8,234 +8,234 $200
     NATL8,234+8,234$200
NATIONAL BEVERAGE CORP 4,010 -5,959 $199
     FIZZ4,010-5,959$199
HAVERTY FURNITURE 5,611 -9,900 $199
     HVT5,611-9,900$199
MODEL N INC 7,391 -629 $199
     MODN7,391-629$199
UPWORK INC 13,354 -3,379 $199
     UPWK13,354-3,379$199
BENCHMARK ELECTRONICS INC 7,168 -9,781 $198
     BHE7,168-9,781$198
GINKGO BIOWORKS HOLDINGS INC 117,142 -73,488 $198
     DNA117,142-73,488$198
BROOKDALE SENIOR LIVING INC 33,825 -289,703 $197
     BKD33,825-289,703$197
ENCORE CAPITAL GROUP INC 3,873 -785 $197
     ECPG3,873-785$197
XENCOR INC 9,276 -32,104 $197
     XNCR9,276-32,104$197
NOW INC 17,320 -8,842 $196
     DNOW17,320-8,842$196
NEXPOINT RESIDENTIAL TRUST INC 5,691 -10,806 $196
     NXRT5,691-10,806$196
REDWOOD TRUST INC 26,479 +20,808 $196
     RWT26,479+20,808$196
MIDDLESEX WATER CO 2,966 -852 $195
     MSEX2,966-852$195
CRACKER BARREL OLD COUNTRY STORE INC 2,523 -601,669 $194
     CBRL2,523-601,669$194
SAGE THERAPEUTICS INC 8,938 -7,441 $194
     SAGE8,938-7,441$194
OWENS & MINOR INC 10,001 -7,677 $193
     OMI10,001-7,677$193
SAFETY INSURANCE GROUP INC 2,540 -8,133 $193
     SAFT2,540-8,133$193
SHUTTERSTOCK INC 3,988 -11,902 $193
     SSTK3,988-11,902$193
JOHN WILEY & SONS 6,067 -1,281,757 $193
     WLY6,067-1,281,757$193
RIOT BLOCKCHAIN INC 12,435 -14,148 $192
     RIOT12,435-14,148$192
GOOSEHEAD INSURANCE INC 2,526 -34,706 $191
     GSHD2,526-34,706$191
HIGHWOODS PROPERTIES INC 8,321 +5,444 $191
     HIW8,321+5,444$191
PERDOCEO EDICATION CORP 10,884 +6,962 $191
     PRDO10,884+6,962$191
MATSON INC 1,730 -3,329 $190
     MATX1,730-3,329$190
NAVIENT CORP 10,192 -6,276 $190
     NAVI10,192-6,276$190
DISH NETWORK CORP CL A 32,823 +27,611 $189
     DISH32,823+27,611$189
GERON CORP 89,722 +78,707 $189
     GERN89,722+78,707$189
SHENANDOAH TELECOM CO 8,730 +4,742 $189
     SHEN8,730+4,742$189
STANDARD MOTOR PRODS 4,753 -15,205 $189
     SMP4,753-15,205$189
FASTLY INC 10,541 -56,561 $188
     FSLY10,541-56,561$188
GEO GROUP INC 17,322 -49,657 $188
     GEO17,322-49,657$188
DIGITALOCEAN HOLDINGS INC 5,070 -40,027 $186
     DOCN5,070-40,027$186
ETHAN ALLEN INTERIORS INC 5,819 -1,363 $186
     ETD5,819-1,363$186
HERTZ GLOBAL HOLDINGS INC 17,942 -4,139 $186
     HTZ17,942-4,139$186
SABRE CORP 42,303 +20,779 $186
     SABR42,303+20,779$186
TWIST BIOSCIENCE CORP 5,056 -5,906 $186
     TWST5,056-5,906$186
BANCFIRST CORP 1,902 -8,272 $185
     BANF1,902-8,272$185
MATTHEWS INTL CORP CL A 5,059 -331,658 $185
     MATW5,059-331,658$185
ZIM INTEGRATED SHIPPING SERVICES LTD 18,700 +18,700 $185
     ZIM18,700+18,700$185
VICOR CORP 4,089 -1,234 $184
     VICR4,089-1,234$184
HEIDRICK & STRUGGLES INTL 6,196 -3,877 $183
     HSII6,196-3,877$183
SALLY BEAUTY CO INC 13,780 +9,008 $183
     SBH13,780+9,008$183
TOOTSIE ROLL INDS 5,505 -29,646 $183
     TR5,505-29,646$183
AVANOS MEDICAL INC 8,127 -1,984 $182
     AVNS8,127-1,984$182
CERUS CORP 84,373 +70,188 $182
     CERS84,373+70,188$182
CAPITOL FEDERAL FINANCIAL INC 28,171 +5,279 $182
     CFFN28,171+5,279$182
MARINEMAX INC 4,667 -49,609 $182
     HZO4,667-49,609$182
HIBBETT SPORTS INC 2,507 -17,155 $181
     HIBB2,507-17,155$181
HEARTLAND EXPRESS INC 12,708 -40,630 $181
     HTLD12,708-40,630$181
WERNER ENTERPRISES INC 4,266 -932 $181
     WERN4,266-932$181
GREENLIGHT CAPITAL RE LTD 15,757 +8,791 $180
     GLRE15,757+8,791$180
MATIV INC 11,746 +10,016 $180
     MATV11,746+10,016$180
SONIC AUTOMOTIVE INC CL A 3,202 -3,914 $180
     SAH3,202-3,914$180
IQIYI INC 36,600 -500 $179
     IQ36,600-500$179
RLJ LODGING TRUST 15,279 +12,920 $179
     RLJ15,279+12,920$179
UNIVERSAL HLTH REALTY INCOME TRUST 4,133 -13,362 $179
     UHT4,133-13,362$179
CHEGG INC 15,538 -32,187 $177
     CHGG15,538-32,187$177
MP MATERIALS CORP 8,898 +1,316 $177
     MP8,898+1,316$177
NOVOCURE LTD 11,857 -27,109 $177
     NVCR11,857-27,109$177
PNM RESOURCES INC 4,251 -758 $177
     PNM4,251-758$177
AMERESCO INC 5,549 -18,853 $176
     AMRC5,549-18,853$176
TECHTARGET 5,012 -55,326 $175
     TTGT5,012-55,326$175
MRC GLOBAL INC 15,780 +10,446 $174
     MRC15,780+10,446$174
MGIC INVESTMENT CORP 9,007 +6,097 $174
     MTG9,007+6,097$174
NORTHWEST NATURAL HOLDING CO 4,465 -45,661 $174
     NWN4,465-45,661$174
CLEARWATER PAPER CORP 4,778 +3,458 $173
     CLW4,778+3,458$173
E2OPEN PARENT HOLDINGS INC 39,316 +17,775 $173
     ETWO39,316+17,775$173
FOOT LOCKER INC 5,553 UNCH $173
     FL5,553UNCH$173
CHIMERA INVESTMENT CORP 34,532 +21,562 $172
     CIM34,532+21,562$172
UNDER ARMOUR INC CLASS A 19,522 -90,355 $172
     UAA19,522-90,355$172
BUMBLE INC 11,619 -38,694 $171
     BMBL11,619-38,694$171
GLADSTONE COMMERCIAL CORP 12,930 -2,572 $171
     GOOD12,930-2,572$171
STOCK YARDS BANCORP INC 3,323 -48,772 $171
     SYBT3,323-48,772$171
INTERFACE INC 13,582 UNCH $171
     TILE13,582UNCH$171
BEAM THERAPEUTICS INC 6,230 +5,484 $170
     BEAM6,230+5,484$170
FRESH DEL MONTE PRODUCE INC 6,403 -212,698 $168
     FDP6,403-212,698$168
PROPETRO HOLDING CORP 20,058 +16,211 $168
     PUMP20,058+16,211$168
SPRINGWORKS THERAPEUTICS INC 4,575 -205,451 $167
     SWTX4,575-205,451$167
ADVANSIX INC 5,541 -12,415 $166
     ASIX5,541-12,415$166
BIOCRYST PHARMACEUTICALS INC 27,713 +18,832 $166
     BCRX27,713+18,832$166
EASTERLY GOVERNMENT PROPERTIES INC 12,331 +9,608 $166
     DEA12,331+9,608$166
STAAR SURGICAL CO 5,290 -30,447 $165
     STAA5,290-30,447$165
AMERICAN AXLE & MANUFACTURING HOLDINGS 18,560 -78,157 $164
     AXL18,560-78,157$164
THE BUCKLE INC 3,456 -170,373 $164
     BKE3,456-170,373$164
SCHOLASTIC CORP 4,339 -75,284 $164
     SCHL4,339-75,284$164
UNITI GROUP INC 28,458 +22,934 $164
     UNIT28,458+22,934$164
KURA ONCOLOGY INC 11,295 UNCH $162
     KURA11,295UNCH$162
NU SKIN ASIA PACIFIC INC A 8,320 -553,664 $162
     NUS8,320-553,664$162
TRIUMPH GROUP INC 9,788 +4,732 $162
     TGI9,788+4,732$162
APPIAN CORP 4,285 -19,832 $161
     APPN4,285-19,832$161
IROBOT CORP 4,160 UNCH $161
     IRBT4,160UNCH$161
FRANKLIN BSP 11,811 +6,047 $160
     FBRT11,811+6,047$160
MFA FIN 14,232 +5,225 $160
     MFA14,232+5,225$160
MONRO INC 5,464 -118,480 $160
     MNRO5,464-118,480$160
VIASAT INC 5,716 -13,229 $160
     VSAT5,716-13,229$160
LIBERTY LATIN AMERICA LTD CL C 21,729 +16,333 $159
     LILAK21,729+16,333$159
SOMALOGIC INC 62,846 -105,142 $159
     SLGC62,846-105,142$159
FIRST COMMONWEALTH FINANCIAL CORP 10,222 -12,805 $158
     FCF10,222-12,805$158
VISTA OUTDOOR INC 5,323 -112,556 $157
     VSTO5,323-112,556$157
BIOHVN LTD 3,634 -2,543 $156
     BHVN3,634-2,543$156
DXP ENTERPRISES INC 4,642 -63,548 $156
     DXPE4,642-63,548$156
HEALTH CATALYST INC 16,882 -812,738 $156
     HCAT16,882-812,738$156
CUSHMAN & WAKEFIELD PLC 14,298 -638,422 $154
     CWK14,298-638,422$154
METHODE ELECTRONICS INC 6,768 +3,453 $154
     MEI6,768+3,453$154
PERIMETER SOLUTIONS SA 33,450 +33,450 $154
     COM33,450+33,450$154
ATN INTERNATIONAL INC 3,932 +1,275 $153
     ATNI3,932+1,275$153
CEVA INC 6,743 +1,023 $153
     CEVA6,743+1,023$153
CVR ENERGY INC 5,056 -16,903 $153
     CVI5,056-16,903$153
PHINIA INC 5,040 +5,040 $153
     PHIN5,040+5,040$153
SERVICE PROPERTIES TRUST 17,928 -517,551 $153
     SVC17,928-517,551$153
UNITED FIRE GROUP INC 7,622 +3,489 $153
     UFCS7,622+3,489$153
KIRBY CORP 1,942 UNCH $152
     KEX1,942UNCH$152
MISTER CAR WASH 17,555 +10,680 $152
     MCW17,555+10,680$152
MESA LABORATORIES INC 1,452 -5,316 $152
     MLAB1,452-5,316$152
TWO HRBS 10,893 -38,840 $152
     TWO10,893-38,840$152
CALERES INC 4,916 -36,955 $151
     CAL4,916-36,955$151
MERCURY GENERAL CORP 4,039 -3,194 $151
     MCY4,039-3,194$151
MOVADO GROUP INC 4,962 -3,936 $150
     MOV4,962-3,936$150
PROTO LABS INC 3,847 -20,197 $150
     PRLB3,847-20,197$150
CORE LABS 8,411 -29,808 $149
     CLB8,411-29,808$149
CONDUENT INC 40,514 +35,714 $148
     CNDT40,514+35,714$148
SPHERE ENTERTAINMENT CL A 4,360 -215 $148
     SPHR4,360-215$148
360 DIGITECH INC 9,300 +3,614 $147
     QFIN9,300+3,614$147
QUANTERIX CORP 5,365 +3,579 $147
     QTRX5,365+3,579$147
ROCKET LAB USA INC 26,583 -24,088 $147
     RKLB26,583-24,088$147
SMITH & WESSON 10,863 +10,863 $147
     COM10,863+10,863$147
CITY HOLDING CO 1,320 -620,795 $146
     CHCO1,320-620,795$146
KAMAN CORPORATION 6,086 -13,031 $146
     KAMN6,086-13,031$146
PIEDMONT OFFICE REALTY TRUST INC 20,468 -454,176 $146
     PDM20,468-454,176$146
ARVINAS INC 3,526 -11,461 $145
     ARVN3,526-11,461$145
IMAX CORP COM 9,686 -15,268 $145
     IMAX9,686-15,268$145
VAREX IMAGING CORP 7,072 -5,812 $145
     VREX7,072-5,812$145
EVERI HOLDINGS INC 12,753 +8,654 $144
     EVRI12,753+8,654$144
HAIN CELESTIAL GROUP INC 13,111 +6,430 $144
     HAIN13,111+6,430$144
INFINERA CORP 30,244 +24,207 $144
     INFN30,244+24,207$144
HARSCO CORP 15,976 +15,976 $144
     NVRI15,976+15,976$144
TILRAY INC 62,594 +58,589 $144
     TLRY62,594+58,589$144
DELUXE CORP 6,668 -36,020 $143
     DLX6,668-36,020$143
HUDSON PACIFIC PROPERTIES INC 15,405 UNCH $143
     HPP15,405UNCH$143
SAFEHLD 6,110 +1,231 $143
     SAFE6,110+1,231$143
TRUPANION INC. 4,678 -228,711 $143
     TRUP4,678-228,711$143
EXP WORLD HOLDINGS INC 9,068 -11,156 $141
     EXPI9,068-11,156$141
REALOGY HOLDINGS CORP 17,428 +827 $141
     HOUS17,428+827$141
UNITED NATURAL FOODS INC 8,672 +1,556 $141
     UNFI8,672+1,556$141
MAGNITE INC 14,986 -114,468 $140
     MGNI14,986-114,468$140
ALLSCRIPTS HEALTHCARE SOLUTIONS INC 13,235 +5,600 $139
     MDRX13,235+5,600$139
MAD SQ GRD ENT 4,360 +2,927 $139
     MSGE4,360+2,927$139
STURM RUGER & CO 3,062 -22,941 $139
     RGR3,062-22,941$139
GRAY TELEVISION INC 15,126 -20,681 $136
     GTN15,126-20,681$136
IOVANCE BIOTHERAPEUTICS INC 16,764 UNCH $136
     IOVA16,764UNCH$136
DRIL QUIP 5,810 -9,519 $135
     DRQ5,810-9,519$135
ORASURE TECHNOLOGIES INC 16,476 +10,906 $135
     OSUR16,476+10,906$135
ECHOSTAR CORP CL A 8,148 -73,227 $135
     SATS8,148-73,227$135
FORESTAR GROUP INC 4,040 UNCH $134
     FOR4,040UNCH$134
LAKELAND BANCORP INC 9,093 UNCH $134
     LBAI9,093UNCH$134
SUNNOVA ENERGY INTERNATIONAL INC 8,788 -47 $134
     NOVA8,788-47$134
REVANCE THERAPEUTICS INC 15,252 +2,817 $134
     RVNC15,252+2,817$134
ANAPTYSBIO INC 6,224 -1,169 $133
     ANAB6,224-1,169$133
EMBECTA CRP 7,041 -117,183 $133
     EMBC7,041-117,183$133
PARK AEROSPACE CORP 8,954 -51,911 $132
     PKE8,954-51,911$132
COEUR MINING INC 40,226 -585,167 $131
     CDE40,226-585,167$131
LESLIE S INC 18,970 +15,220 $131
     LESL18,970+15,220$131
PITNEY BOWES INC 29,826 +7,436 $131
     PBI29,826+7,436$131
PALOMAR HOLDINGS INC 2,363 -17,709 $131
     PLMR2,363-17,709$131
LBRTY MED C 4,507 +1,596 $130
     LSXMA4,507+1,596$130
CENTERSPACE 2,213 -13,472 $129
     CSR2,213-13,472$129
KENNEDY WILSON HOLDINGS INC 10,434 -46,883 $129
     KW10,434-46,883$129
DINEEQUITY INC 2,579 +2,023 $128
     DIN2,579+2,023$128
GUESS INC 5,561 -7,884 $128
     GES5,561-7,884$128
PROASSURANCE CORP 9,255 -81,728 $128
     PRA9,255-81,728$128
3D SYSTEMS CORP 20,046 -5,275 $127
     DDD20,046-5,275$127
PARK NATIONAL CORP 947 -57,089 $126
     PRK947-57,089$126
MEDNAX INC 13,457 -189,053 $125
     MD13,457-189,053$125
REDFIN CORP 12,149 +6,261 $125
     RDFN12,149+6,261$125
ADT INC 17,956 +14,316 $122
     ADT17,956+14,316$122
THERAVANCE BIOPHARMA INC 10,856 -30,903 $122
     TBPH10,856-30,903$122
AMERICAN VANGUARD CORP (AVD) 11,043 +5,309 $121
     AVD11,043+5,309$121
CASSAVA SCIENCES INC 5,361 -4,982 $121
     SAVA5,361-4,982$121
TIMKENSTEEL CORP 5,173 -6,485 $121
     TMST5,173-6,485$121
ACCO BRANDS CORP 19,733 +12,725 $120
     ACCO19,733+12,725$120
APARTMENT INVESTMENT AND MANAGEMENT CO 15,291 -20,856 $120
     AIV15,291-20,856$120
AMNEAL PHARMACEUTICALS INC 19,816 -61,982 $120
     AMRX19,816-61,982$120
CHICO S FAS INC 15,817 -20,943 $120
     CHS15,817-20,943$120
ZUMIEZ INC 5,889 +5,889 $120
     ZUMZ5,889+5,889$120
EVERBRIDGE INC 4,911 -10,071 $119
     EVBG4,911-10,071$119
SILK ROAD MEDICAL INC 9,708 -565 $119
     SILK9,708-565$119
EDITAS MEDICINE INC 11,661 +4,012 $118
     EDIT11,661+4,012$118
REPAY HOLDINGS CORP 13,854 -1,185 $118
     RPAY13,854-1,185$118
COMPASS MINERALS INTERNATIONAL INC 4,577 -14,236 $116
     CMP4,577-14,236$116
MANITOWOC CO INC 6,974 -6,963 $116
     MTW6,974-6,963$116
WORLD ACCEPTANCE CORP 887 -8,389 $116
     WRLD887-8,389$116
ATL BRAVES A 2,657 -1,182 $114
     BATRA2,657-1,182$114
GENESCO INC 3,242 -2,207,676 $114
     GCO3,242-2,207,676$114
NEWPARK RESOURCES INC 17,237 +11,546 $114
     NR17,237+11,546$114
HEALTHCARE SERVICES GROUP INC 10,905 -8,988 $113
     HCSG10,905-8,988$113
OPEN LENDING CORP 13,285 -2,293,561 $113
     LPRO13,285-2,293,561$113
WOLVERINE WORLD WIDE INC 12,736 +5,914 $113
     WWW12,736+5,914$113
CERENCE INC 5,720 -65,834 $112
     CRNC5,720-65,834$112
CALAVO GROWERS INC 3,795 -24,733 $112
     CVGW3,795-24,733$112
F&G ANNY 2,388 -617,936 $110
     FG2,388-617,936$110
SINCLR INC 8,428 +6,373 $110
     SBGI8,428+6,373$110
MARCUS CORPORATION 7,492 +5,903 $109
     MCS7,492+5,903$109
VIR BIOTECHNOLOGY INC 10,862 -271 $109
     VIR10,862-271$109
BANC OF CALIFORNIA INC. 8,068 +8,068 $108
     BANC8,068+8,068$108
MINISO GROUP HOLDING LTD 5,300 +5,300 $108
     MNSO5,300+5,300$108
REGENXBIO INC 6,040 -107,480 $108
     RGNX6,040-107,480$108
B&G FOODS INC 10,174 +1,521 $107
     BGS10,174+1,521$107
US SILICA HOLDINGS INC 9,488 +1,181 $107
     SLCA9,488+1,181$107
ARMADA HOFFLER PROPERTIES INC 8,534 -11,044 $106
     AHH8,534-11,044$106
HOVNANIAN ENTERPRISES CL A 667 UNCH $104
     HOV667UNCH$104
AMC NETWORKS INC CL A 5,470 -265,433 $103
     AMCX5,470-265,433$103
FARO TECHNOLOGIES INC 4,506 -22,947 $102
     FARO4,506-22,947$102
MARAVAI LIFESCIENCES HOLDINGS INC 15,511 +10,844 $102
     MRVI15,511+10,844$102
NEVRO CORP 4,723 -7,861 $102
     NVRO4,723-7,861$102
POPULAR INC 1,217 -34,572 $100
     BPOP1,217-34,572$100
ALEXANDER S INC 462 -4,408 $99
     ALX462-4,408$99
TEJON RANCH CO 5,756 -64,579 $99
     TRC5,756-64,579$99
MBIA INC 16,079 -94,877 $98
     MBI16,079-94,877$98
WORTHINGTON INDUSTRIES INC 1,710 -18,447 $98
     WOR1,710-18,447$98
MEDIFAST INC 1,449 -1,246 $97
     MED1,449-1,246$97
EW SCRIPPS CO 12,111 +4,774 $97
     SSP12,111+4,774$97
TRAVERE THERA 10,796 +4,940 $97
     TVTX10,796+4,940$97
COGNYTE SOFTWR 14,762 -25,464 $95
     CGNT14,762-25,464$95
FRANKLIN STREET PROPERTIES CORP 37,187 +2,907 $95
     FSP37,187+2,907$95
TUTOR PERINI CORP 10,465 +3,124 $95
     TPC10,465+3,124$95
ASTRONICS CORP 5,404 +3,309 $94
     ATRO5,404+3,309$94
CRYOPORT INC 6,088 -20,567 $94
     CYRX6,088-20,567$94
GRANITE POINT MORTGAGE TRUST INC 15,595 +5,779 $93
     GPMT15,595+5,779$93
WK KELLOGG 7,058 +7,058 $93
     KLG7,058+7,058$93
OPKO HEALTH INC 61,502 +28,758 $93
     OPK61,502+28,758$93
LUMINAR TECHNOLOGIES INC 27,359 -13,777 $92
     LAZR27,359-13,777$92
OVERSTOCK.COM INC 5,453 -77,064 $92
     OSTK5,453-77,064$92
LENDINGCLUB CORP 10,430 +5,230 $91
     LC10,430+5,230$91
ONESPAN INC 8,516 -52,986 $91
     OSPN8,516-52,986$91
ANGIODYNAMICS INC 11,273 -8,192 $88
     ANGO11,273-8,192$88
CATHAY BANCORP INC 1,965 -3,737 $88
     CATY1,965-3,737$88
DAKTRONICS INC 10,360 -185,395 $88
     DAKT10,360-185,395$88
GREAT SOUTHERN BANCORP INC 1,475 -13,651 $88
     GSBC1,475-13,651$88
OMNIAB 14,264 -51,834 $88
     OABI14,264-51,834$88
ALTICE A USA INC 26,896 +25,213 $87
     ATUS26,896+25,213$87
KRONOS WORLDWIDE INC 8,756 UNCH $87
     KRO8,756UNCH$87
NATIONAL BANK HOLDINGS CORP 2,343 -1,729 $87
     NBHC2,343-1,729$87
AMC ENTERTAINMENT HOLDINGS INC 14,082 +6,261 $86
     AMC14,082+6,261$86
COHERUS BIOSCIENCES INC 25,842 -52,171 $86
     CHRS25,842-52,171$86
COMMSCOPE HOLDING CO INC 30,106 +14,612 $85
     COMM30,106+14,612$85
TRUECAR INC 24,467 -27,940 $85
     TRUE24,467-27,940$85
DIVERSIFIED HEALTHCARE TRUST 22,417 -6,637 $84
     DHC22,417-6,637$84
LEMONADE INC 5,200 -409 $84
     LMND5,200-409$84
ADTRAN HLD 11,333 +8,248 $83
     ADTN11,333+8,248$83
CAREDX INC 6,737 -51,718 $81
     CDNA6,737-51,718$81
DIGITAL TURBINE INC 11,667 +4,114 $80
     APPS11,667+4,114$80
DESIGNER BRANDS INC 8,992 -3,246 $80
     DBI8,992-3,246$80
TRUSTCO BANK CORP 2,565 -24,724 $80
     TRST2,565-24,724$80
BEYOND MEAT INC 8,881 -15,031 $79
     BYND8,881-15,031$79
GREEN DOT CORP 8,009 +6,534 $79
     GDOT8,009+6,534$79
JAMES RIVER GROUP HOLDINGS LTD 8,435 -10,315 $78
     JRVR8,435-10,315$78
SURMODICS INC 2,138 -4,074 $78
     SRDX2,138-4,074$78
XPER INC 7,020 -23,978 $77
     XPER7,020-23,978$77
YEXT INC 12,569 -71,449 $74
     YEXT12,569-71,449$74
DECIPHERA PHARMACEUTICALS INC 4,522 -14,666 $73
     DCPH4,522-14,666$73
VIMEO INC 18,329 -20,096 $72
     VMEO18,329-20,096$72
NETGEAR INC 4,814 -16,900 $70
     NTGR4,814-16,900$70
ENHABIT INC 6,705 -5,872 $69
     EHAB6,705-5,872$69
GOPRO INC 19,853 +19,853 $69
     COM19,853+19,853$69
UNISYS CORP 12,315 -16,143 $69
     UIS12,315-16,143$69
CHARGEPOINT HOLDINGS INC 28,781 +12,950 $67
     CHPT28,781+12,950$67
FUELCELL ENERGY INC 42,157 +37,763 $67
     FCEL42,157+37,763$67
MATRIX SERVICE CO 6,834 -36,131 $67
     MTRX6,834-36,131$67
RIGEL PHARMACEUTICALS INC 46,114 -2,029 $67
     RIGL46,114-2,029$67
SUNPOWER CORP 13,851 +6,768 $67
     SPWR13,851+6,768$67
BIGLARI HOLDINGS INC B SHARES (BH) 398 -11,986 $66
     BH398-11,986$66
RELAY THERAPEUTICS INC 5,888 -28,175 $65
     RLAY5,888-28,175$65
MCEWEN MING 8,909 -12,073 $64
     MUX8,909-12,073$64
PENNANT GROUP INC 4,598 -3,345 $64
     PNTG4,598-3,345$64
QURATE RETAIL PFD 1,786 -28,354 $64
     QRTEP1,786-28,354$64
ALECTOR INC 7,914 +2,273 $63
     ALEC7,914+2,273$63
SLEEP NUMBER CORP 4,241 -10,006 $63
     SNBR4,241-10,006$63
CONSOLIDATED COMMUNICATIONS HOLDINGS IN 13,995 +2,706 $61
     CNSL13,995+2,706$61
SEABOARD INC 17 -4,128 $61
     SEB17-4,128$61
ADAPTIVE BIOTECHNOLOGIES CORP 12,322 -5,012 $60
     ADPT12,322-5,012$60
8X8 INC 15,847 +9,778 $60
     EGHT15,847+9,778$60
LIBERTY LATIN AMERICA LTD A 8,167 -13,562 $60
     LILA8,167-13,562$60
WW INTERNATIONAL INC 6,822 -3,218 $60
     WW6,822-3,218$60
COMMUNITY HEALTH SYSTEMS INC 18,813 +6,700 $59
     CYH18,813+6,700$59
JETBLUE AIRWAYS CORP 10,545 -915 $59
     JBLU10,545-915$59
CONSENSUS CLD 2,146 -38,368 $56
     CCSI2,146-38,368$56
AARON S CO INC 5,044 -4,778 $55
     AAN5,044-4,778$55
AMERICAN PUBLIC EDUCATION INC 5,684 +135 $55
     APEI5,684+135$55
NUVATION BIO INC 36,321 -93,205 $55
     NUVB36,321-93,205$55
CENTRAL GARDEN & PET CO CL A 1,201 -4,604 $53
     CENTA1,201-4,604$53
BEAUTY HEALTH CO 16,949 -278,563 $53
     SKIN16,949-278,563$53
TELLURIAN INC 70,335 +58,260 $53
     TELL70,335+58,260$53
INTERNATIONAL BANCSHARES CORP (IBOC) 957 -5,730 $52
     IBOC957-5,730$52
QUARTE RETAIL INC 57,176 +43,564 $50
     QRTEA57,176+43,564$50
RADWARE LTD 3,000 -15,793 $50
     RDWR3,000-15,793$50
CODEXIS INC 16,073 +15,070 $49
     CDXS16,073+15,070$49
TRINSEO PLC 5,856 +3,291 $49
     TSE5,856+3,291$49
BIG LOTS INC 6,177 -2,732 $48
     BIG6,177-2,732$48
LANDS END INC 5,020 UNCH $48
     LE5,020UNCH$48
NANO DIMENSION LTD 20,200 +16,045 $48
     NNDM20,200+16,045$48
WORTHNGTN STL 1,710 +1,710 $48
     WS1,710+1,710$48
ALLEGIANT TRAVEL CO 573 +111 $47
     ALGT573+111$47
OFFICE PROPERTIES INCOME TRUST 6,414 -145,196 $47
     OPI6,414-145,196$47
FISKER INC 26,147 -679,414 $46
     FSR26,147-679,414$46
VIRGIN GALACTIC HOLDINGS INC 18,945 -110,534 $46
     SPCE18,945-110,534$46
ASSOCIATED BANC CORP 2,095 -320 $45
     ASB2,095-320$45
GANNETT CO INC 19,560 -5,290 $45
     GCI19,560-5,290$45
NORTHWEST BANCSHARES INC (NWBI) 3,585 -52,118 $45
     NWBI3,585-52,118$45
ENANTA PHARMACEUTICALS INC 4,658 -82,967 $44
     ENTA4,658-82,967$44
OUTSET MEDICAL INC 8,179 +5,774 $44
     OM8,179+5,774$44
COMPUTER PROGRAMS & SYSTEMS INC 3,877 -10,862 $43
     CPSI3,877-10,862$43
ODDITY TECH LTD 900 +900 $42
     COM900+900$42
CITIZENS INC 15,165 +8,764 $41
     CIA15,165+8,764$41
BANNER CORP 746 -120,386 $40
     BANR746-120,386$40
FATE THERAPEUTICS INC 10,811 +270 $40
     FATE10,811+270$40
BANDWIDTH INC 2,683 -115,651 $39
     BAND2,683-115,651$39
UNIQURE NV 5,688 -816,825 $39
     QURE5,688-816,825$39
TRI POINTE GROUP INC 1,109 -8,679 $39
     TPH1,109-8,679$39
UNIVERSAL ELECTRONICS INC 4,132 -5,356 $39
     UEIC4,132-5,356$39
LIBERTY BRD 7 PFD 1,710 -12,607 $38
     LBRDP1,710-12,607$38
NOVAVAX INC 7,873 -447 $38
     NVAX7,873-447$38
RMR GROUP INC A 1,345 -40,812 $38
     RMR1,345-40,812$38
STR HLDG 2,542 -14,151 $38
     STHO2,542-14,151$38
LIVEPERSON INC 9,889 -7,521 $37
     LPSN9,889-7,521$37
ORION OFFICE REIT INC 6,531 +247 $37
     ONL6,531+247$37
JUST EAT TKWY 11,894 +11,894 $36
     COM11,894+11,894$36
REYNOLDS CONSR PROD 1,344 -13,935 $36
     REYN1,344-13,935$36
ITURAN LOCATION AND CONTROL LTD 1,273 UNCH $35
     ITRN1,273UNCH$35
RAYONIER ADVANCED MATERIALS INC 8,545 +832 $35
     RYAM8,545+832$35
BRANDYWINE REALTY TRUST 6,066 -1,416,581 $33
     BDN6,066-1,416,581$33
STITCH FIX INC 8,878 +2,474 $32
     SFIX8,878+2,474$32
ALLOGENE THERAPEUTICS INC 9,440 -124,419 $30
     ALLO9,440-124,419$30
PETMED EXPRESS INC 3,922 -1,118 $30
     PETS3,922-1,118$30
NET LEASE OP 1,407 +1,407 $26
     NLOP1,407+1,407$26
NANO X IMAGING LTD 4,155 +4,155 $26
     NNOX4,155+4,155$26
AUTOHOME INC 900 -184,163 $25
     ATHM900-184,163$25
INVESCO MORT 2,875 UNCH $25
     IVR2,875UNCH$25
INNOVIZ TECHNOLOGIES LTD 8,400 +8,400 $21
     COM8,400+8,400$21
UROGEN PHARMA LTD 1,400 -9,859 $21
     URGN1,400-9,859$21
CNX RESOURCES CORP 1,003 -31,091 $20
     CNX1,003-31,091$20
LEXINFINTECH HOLDINGS LTD 9,100 -9,870 $17
     LX9,100-9,870$17
NIKOLA CORP 18,806 -328,983 $16
     NKLA18,806-328,983$16
BURFORD CAPITAL US 896 -363,183 $14
     BUR896-363,183$14
MAXEON SLR TE 1,900 -8,449 $14
     MAXN1,900-8,449$14
BLUEBIRD BIO INC 8,715 -6,229 $12
     BLUE8,715-6,229$12
CAESARSTONE SDOT YAM LTD 3,300 -512,306 $12
     CSTE3,300-512,306$12
MURAL ONCOLGY 2,079 +2,079 $12
     COM2,079+2,079$12
COMPUGEN LTD 4,800 +4,800 $10
     COM4,800+4,800$10
SCILEX HLDG 4,709 -11,947 $10
     SCLX4,709-11,947$10
UDEMY INC 704 +704 $10
     UDMY704+704$10
ENNIS INC 368 -6,337 $8
     EBF368-6,337$8
ENVIVA INC 6,116 -191 $6
     EVA6,116-191$6
VILLAGE FARMS INTL 6,200 -36,006 $5
     VFF6,200-36,006$5
CHINA YUCHAI INTERNATIONAL LTD 331 -1,719 $3
     CYD331-1,719$3
REPUBLIC FIRST BANCORP INC 35,799 +33,840 $1
     FRBK35,799+33,840$1
ADVANCE AUTO PARTS INC $0 (exited)
     AJRD0-6,920$0
ALTICE A USA INC $0 (exited)
     APE0-26,896$0
APPLIED INDUSTRIAL TECHNOLOGIES INC $0 (exited)
     COM0-4,177$0
ARCHROCK INC $0 (exited)
     ARGO0-19,371$0
ARCH CAPITAL GROUP LTD $0 (exited)
     ARNC0-45,477$0
ACADEMY SPORTS & OUTDOORS INC $0 (exited)
     ATVI0-9,584$0
BLOCK H & R INC $0 (exited)
     AVTA0-17,679$0
BERKSHIRE HATHAWAY INC CL B $0 (exited)
     BGCP0-198,047$0
BIOHVN LTD $0 (exited)
     BKI0-3,634$0
FIRST BANCORP PUERTO RICO $0 (exited)
     BUSE0-29,727$0
CALLAWAY GOLF CO $0 (exited)
     CANO0-14,373$0
CHAMPIONX CORP $0 (exited)
     COM0-15,659$0
CHIMERA INVESTMENT CORP $0 (exited)
     COM0-34,532$0
CIGNA CORP $0 (exited)
     CIR0-45,663$0
CITIZENS FINANCIAL GROUP INC $0 (exited)
     COM0-49,462$0
CNO FINANCIAL GROUP INC $0 (exited)
     COM0-9,792$0
COMMVAULT SYSTEMS INC $0 (exited)
     COM0-5,928$0
CUSHMAN & WAKEFIELD PLC $0 (exited)
     COM0-14,298$0
DIAMONDBACK ENERGY INC $0 (exited)
     DBD0-190,874$0
DELL TECHNOLOGIES INC $0 (exited)
     DEN0-40,210$0
DORMAN PRODUCTS INC $0 (exited)
     DOUG0-3,981$0
EASTGRP PROP INC $0 (exited)
     COM0-5,027$0
EATON CORP PLC $0 (exited)
     EBIX0-61,846$0
EMBECTA CRP $0 (exited)
     EBS0-7,041$0
E2OPEN PARENT HOLDINGS INC $0 (exited)
     EGRX0-39,316$0
FERGUSON PLC $0 (exited)
     FGEN0-24,257$0
FIRSTENERGY CORP $0 (exited)
     FISV0-63,062$0
FIVE9 INC $0 (exited)
     COM0-8,981$0
FNF GROUP $0 (exited)
     FOCS0-33,400$0
GAP INC $0 (exited)
     COM0-31,267$0
GREENBRIER COMPANIES INC $0 (exited)
     GHL0-6,350$0
GLADSTONE COMMERCIAL CORP $0 (exited)
     GLT0-13,788$0
GOOSEHEAD INSURANCE INC $0 (exited)
     COM0-2,526$0
HOWARDHUGH $0 (exited)
     HHC0-5,307$0
HORIZON BANCORP INC. $0 (exited)
     COM0-20,238$0
HARLEY DAVIDSON INC $0 (exited)
     HSC0-16,159$0
INTERCEPT PHARMACEUTICALS INC $0 (exited)
     ICPT0-4,290$0
INNOVIZ TECHNOLOGIES LTD $0 (exited)
     INGN0-8,400$0
INNOVIVA INC $0 (exited)
     COM0-15,034$0
XENIA HOTELS & RESORTS INC $0 (exited)
     INT0-22,713$0
J & J SNACK FOODS CORP $0 (exited)
     ISEE0-2,575$0
JOYY INC $0 (exited)
     COM0-1,500$0
KADANT INC $0 (exited)
     COM0-893$0
LINCOLN ELECTRIC HOLDINGS $0 (exited)
     LSI0-6,136$0
SHARKNINJA $0 (exited)
     MCRB0-3,880$0
NATIONAL HEALTH INVESTORS INC $0 (exited)
     NATI0-5,387$0
NEW YORK COMMUNITY BANCORP INC $0 (exited)
     NEWR0-51,063$0
NISOURCE INC $0 (exited)
     NEX0-44,784$0
NORFOLK SOUTHERN CORP $0 (exited)
     NOAH0-452,474$0
NORTHERN OIL AND GAS INC $0 (exited)
     COM0-10,721$0
NORTHWEST BANCSHARES INC $0 (exited)
     COM0-3,585$0
NANOSTRING TECHNOLOGIES INC $0 (exited)
     NSTG0-6,245$0
NXP SEMICONDUCTORS NV $0 (exited)
     NUVA0-715,394$0
INVITAE CORP $0 (exited)
     NVTA0-26,483$0
NIKOLA CORP $0 (exited)
     NXGN0-18,806$0
ODP CORP $0 (exited)
     COM0-4,798$0
PAPA JOHNS INTL INC $0 (exited)
     PACW0-4,766$0
PENN NATIONAL GAMING INC $0 (exited)
     PDCE0-19,078$0
PHILIP MORRIS INTERNATIONAL INC $0 (exited)
     COM0-237,684$0
PHILLIPS 66 $0 (exited)
     PKI0-959,928$0
PTC INC $0 (exited)
     PTRA0-152,318$0
RAMBUS INC $0 (exited)
     QUOT0-14,171$0
RAYONIER ADVANCED MATERIALS INC $0 (exited)
     RADI0-8,545$0
EVERBRIDGE INC $0 (exited)
     RE0-4,911$0
REGIONS FINANCIAL CORP $0 (exited)
     RETA0-93,711$0
REDWOOD TRUST INC $0 (exited)
     RTX0-26,479$0
RYDER SYS INC $0 (exited)
     COM0-5,201$0
SELECTIVE INSURANCE GROUP $0 (exited)
     COM0-302,262$0
SEMPRA ENERGY $0 (exited)
     SGEN0-96,416$0
SCHWAB CHARLES CORP $0 (exited)
     SGMO0-232,733$0
SOFI TECHNOLOGIES INC $0 (exited)
     COM0-76,520$0
T MOBILE US INC $0 (exited)
     SYNH0-84,168$0
TERRENO REALTY CORP $0 (exited)
     TME0-714,652$0
TRANSUNION $0 (exited)
     TPIC0-22,080$0
TTM TECHNOLOGIES INC $0 (exited)
     TRTN0-16,744$0
BUNGE LTD $0 (exited)
     TSVT0-17,666$0
TWILIO INC $0 (exited)
     COM0-21,598$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-18,006$0
CIRCOR INTERNATIONAL INC $0 (exited)
     TWOU0-3,553$0
URBAN OUTFITTERS INC $0 (exited)
     UNVR0-9,316$0
WALT DISNEY CO $0 (exited)
     VMW0-278,809$0
WR BERKLEY CORP $0 (exited)
     COM0-269,817$0
XENON PHARMACEUTICALS INC $0 (exited)
     WWE0-10,633$0
ZUORA INC 0 -23,541 $0 (exited)
     YUMC0-23,541$0

See Summary: Public Employees Retirement Association of Colorado Top Holdings
See Details: Top 10 Stocks Held By Public Employees Retirement Association of Colorado

EntityShares/Amount
Change
Position Value
Change
ACN +750,679+$263,421
ZTS +1,229,958+$242,757
LINDE PLC NEW +558,395+$229,338
NXPI +714,229+$164,044
CB +430,121+$97,207
FI +702,039+$93,259
ALC +1,104,141+$86,255
JCI +1,283,821+$73,999
ZS +93,202+$20,650
CBZ +284,458+$17,804
EntityShares/Amount
Change
Position Value
Change
PKI -959,928-$115,335
VMW -278,809-$46,416
SELECTIVE INSURANCE GROUP -302,262-$31,184
NUVA -715,394-$28,437
PHILIP MORRIS INTERNATIONAL INC -237,684-$22,005
SGEN -96,416-$20,455
WR BERKLEY CORP -269,817-$17,131
RETA -93,711-$16,152
ATVI -9,584-$8,970
FISV -63,062-$7,204
EntityShares/Amount
Change
Position Value
Change
AAPL +8,120,989+$1,563,655
GOOGL +6,010,548+$839,747
AMZN +5,290,152+$820,072
MSFT +3,855,397+$1,450,346
MRK +2,402,700+$261,991
ORCL +2,049,618+$216,088
GM +2,035,925+$73,625
HLX +1,896,753+$19,494
BSX +1,690,746+$97,816
NKE +1,551,405+$168,589
EntityShares/Amount
Change
Position Value
Change
ATR -8,203,880-$1,025,818
MO -5,789,797-$243,912
AMCR -5,671,653-$51,865
MCHP -3,012,661-$224,429
MLCO -2,352,341-$248,806
LPRO -2,293,561-$16,773
GCO -2,207,676-$72,780
RL -2,028,810-$235,393
MOMO -1,862,995-$13,005
Size ($ in 1000's)
At 12/31/2023: $21,784,331
At 09/30/2023: $20,597,432

Public Employees Retirement Association of Colorado holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Public Employees Retirement Association of Colorado 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Public Employees Retirement Association of Colorado | www.HoldingsChannel.com

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