HoldingsChannel.com
All Stocks Held By Quarry LP
As of  06/30/2024, we find all stocks held by Quarry LP to be as follows, presented in the table below with each row detailing each Quarry LP position, ordered by largest to smallest position size. The all-stocks-held-by-Quarry LP 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 Quarry LP as of the latest filing.

   EntityAmountChange
 03/31/2024 to 06/30/2024
Position Size
($ in 1000's)
SOLAREDGE TECHNOLOGIES INC 1,450,000 +1,450,000 $36,627
     SEDG1,450,000+1,450,000$36,627
BILIBILI INC 1,900,000 +1,900,000 $29,336
     BILI1,900,000+1,900,000$29,336
IQIYI INC 4,925,000 +4,925,000 $18,075
     IQ4,925,000+4,925,000$18,075
ISHARES TR (TLT)      $9,178
     Call100,000+100,000$9,178
IRIS ENERGY LTD      $7,903
     Call700,000-500,000$7,903
SDCL EDGE ACQUISITION CORP      $7,332
     SEDA648,999-175,000$7,223
     SEDA.WT493,874UNCH$109
SWIFTMERGE ACQUISITION CORP 556,475 +556,475 $6,088
     IVCP556,475+556,475$6,088
ISHARES SILVER TR (SLV)      $5,314
     Call440,000+440,000$11,691
     Put240,000+240,000$6,377
IQIYI INC      $4,894
     NOTE 44,925,000UNCH$4,894
LEIDOS HOLDINGS INC 28,010 +14,343 $4,086
     LDOS28,010+14,343$4,086
LAVORO LTD 750,000 UNCH $4,072
     LVRO750,000UNCH$4,072
UNITED STATES STL CORP NEW      $3,780
     Call100,000UNCH$3,780
FIRST TR HIGH INCOME LONG (FSD) 302,446 +215,434 $3,732
     FSD302,446+215,434$3,732
CORNERSTONE STRATEGIC VALUE 470,246 +13,058 $3,621
     CLM470,246+13,058$3,621
METAL SKY STAR ACQUISITION C 300,000 UNCH $3,399
     MSSA300,000UNCH$3,399
DIAMONDBACK ENERGY INC 16,410 +7,637 $3,285
     FANG16,410+7,637$3,285
MARATHON OIL CORP 113,007 +60,146 $3,240
     MRO113,007+60,146$3,240
PHILLIPS 66 22,149 +11,820 $3,127
     PSX22,149+11,820$3,127
CHURCHILL CAPITAL CORP VII 286,573 +85,785 $3,086
     CVII286,573+250,000$3,086
NRG ENERGY INC 38,747 +9,775 $3,017
     NRG38,747+9,775$3,017
ABRDN LIFE SCIENCES INVESTOR 205,704 -19,081 $2,915
     HQL205,704-19,081$2,915
MURPHY OIL CORP 70,244 +35,621 $2,897
     MUR70,244+35,621$2,897
BLACKROCK INNOVATION AND GRW 397,934 +284,634 $2,877
     BIGZ397,934+284,634$2,877
TORTOISEECOFIN ACQUISITION C      $2,763
     TRTL250,000UNCH$2,732
     TRTL.WT183,398UNCH$31
TARGET GLOBAL ACQUISI I CORP 240,804 UNCH $2,743
     TGAA240,804UNCH$2,743
EDISON INTL 37,371 +22,658 $2,684
     EIX37,371+22,658$2,684
GORES HOLDINGS IX INC 250,000 UNCH $2,651
     GHIXU250,000UNCH$2,651
ALPHA STAR ACQUISITION CORP 219,462 -100,000 $2,535
     ALSA219,462-100,000$2,535
NEW YORK CMNTY BANCORP INC      $2,487
     NYCB642,017+642,017$2,067
     Call395,000+100,000$420
LOCKHEED MARTIN CORP 5,303 +3,753 $2,477
     LMT5,303+3,753$2,477
TECHNOLOGY & TELECOM ACQ COR 207,000 -17,208 $2,474
     TETE207,000-17,208$2,474
HAYMAKER ACQUISITION CORP IV      $2,459
     HYAC.U200,000UNCH$2,195
     HYAC24,700+24,700$260
     HYAC.WT24,700-300$4
VISTRA CORP 27,701 -2,094 $2,382
     VST27,701-2,094$2,382
ARCHER DANIELS MIDLAND CO 38,054 +13,412 $2,300
     ADM38,054+13,412$2,300
TENX KEANE ACQUISITION 200,200 +200 $2,274
     TENK200,200+200$2,274
APPLIED DIGITAL CORP      $2,261
     Call380,000+230,000$2,261
LEARN CW INVESTMENT COR 200,000 -100,000 $2,180
     LCW200,000-100,000$2,180
FIRST SOLAR INC 9,447 +5,095 $2,130
     FSLR9,447+5,095$2,130
BUNGE GLOBAL SA 19,865 +12,429 $2,121
     BG19,865+12,429$2,121
SILVERBOX CORP III 200,000 +200,000 $2,120
     SBXC200,000+200,000$2,120
ATLANTA BRAVES HLDGS INC 51,106 +50,937 $2,016
     BATRK51,106+50,937$2,016
TERAWULF INC      $2,002
     Call450,000+450,000$2,002
SUNCOR ENERGY INC NEW 51,678 +21,806 $1,969
     SU51,678+21,806$1,969
OVINTIV INC 40,902 +19,272 $1,917
     OVV40,902+19,272$1,917
AES CORP 107,425 +46,671 $1,887
     AES107,425+46,671$1,887
TMT ACQUISITION CORP 168,608 UNCH $1,854
     TMTC168,608UNCH$1,854
BILIBILI INC      $1,849
     NOTE 01,900,000+1,700,000$1,849
INFINT ACQUISITION CORP 155,000 UNCH $1,807
     IFIN155,000UNCH$1,807
LYONDELLBASELL INDUSTRIES N 17,324 +6,940 $1,657
     LYB17,324+6,940$1,657
ABRDN HEALTHCARE INVESTORS 94,547 -95,137 $1,651
     HQH94,547-95,137$1,651
ONYX ACQUISITION CO I 134,565 +134,565 $1,527
     ONYX134,565+134,565$1,527
BLACKROCK HEALTH SCIENCES TE 98,886 +74,463 $1,519
     BMEZ98,886+74,463$1,519
PLUM ACQUISITION CORP III 134,143 UNCH $1,449
     APTM134,143UNCH$1,449
DESTRA MULTI ALTERNATIVE FD 178,636 +9,762 $1,442
     DMA178,636+9,762$1,442
AURA FAT PROJS ACQUISITION C 124,954 UNCH $1,416
     AFAR124,954UNCH$1,416
PEGASYSTEMS INC      $1,383
     NOTE 01,350,000+1,350,000$1,300
     PEGA1,378+950$83
NUVEEN MULTI ASSET INCOME FU 110,350 +48,938 $1,363
     NMAI110,350+48,938$1,363
3M CO 12,673 +5,162 $1,295
     MMM12,673+5,162$1,295
FOUR LEAF ACQUISITION CORP 114,097 -25,840 $1,248
     FORL114,097-25,840$1,248
EASTMAN CHEM CO 12,702 +7,507 $1,244
     EMN12,702+7,507$1,244
BLACKROCK CAP ALLOCATION TER 69,034 +28,045 $1,133
     BCAT69,034+28,045$1,133
MOSAIC CO NEW 38,894 +22,084 $1,124
     MOS38,894+22,084$1,124
DENALI CAPITAL ACQUISITN COR 99,781 UNCH $1,117
     DECA99,781UNCH$1,117
BATTERY FUTURE ACQUISITION C 100,000 -2,844 $1,106
     BFAC100,000-2,844$1,106
HORIZON SPACE ACQUSTN I CORP 98,760 UNCH $1,090
     HSPO98,760UNCH$1,090
PERCEPTION CAPITAL CORP III 100,000 +100,000 $1,086
     PFTA100,000+100,000$1,086
GREEN PLAINS INC 68,208 +37,250 $1,082
     GPRE68,208+37,250$1,082
ZALATORIS II ACQUISITION COR 95,175 +54,802 $1,043
     ZLS95,175+54,802$1,043
CHURCHILL CAPITAL CORP IX 100,000 +100,000 $1,011
     CCIXU100,000+100,000$1,011
DT CLOUD ACQUISITION CORP 95,625 +95,625 $975
     DYCQ95,625+95,625$975
ADVANCE AUTO PARTS INC      $974
     Call15,000+15,000$950
     AAP380-192$24
SABRE GLBL INC      $952
     NOTE 41,000,000+1,000,000$952
MAINSTAY CBRE GBL INFRA MEG 73,889 +23,700 $947
     MEGI73,889+23,700$947
ZALATORIS ACQUISITION CORP 85,000 UNCH $939
     TCOA85,000UNCH$939
DOW INC 17,656 +16,561 $937
     DOW17,656+16,561$937
PAPAYA GRWT OPPORTUNITY CORP 79,200 +79,200 $931
     PPYA79,200+79,200$931
KENSINGTON CAPITAL ACQUISITI      $925
     KCGI83,258+83,258$923
     KCGI.WT83,258UNCH$2
SK GROWTH OPPORTUNITIES CORP 79,068 UNCH $879
     SKGR79,068UNCH$879
MOUNTAIN & CO I ACQUISITN CO 75,000 UNCH $874
     MCAA75,000UNCH$874
BLOCKCHAIN COINVSTRS ACQ CRP 74,500 +74,500 $833
     BCSA74,500+74,500$833
DP CAP ACQUISITION CORP I 70,254 UNCH $791
     DPCS70,254UNCH$791
CONCORD ACQUISITION CORP II      $782
     CNDA74,000UNCH$781
     CNDA.WT11,782UNCH$1
VIRTUS TOTAL RETURN FD INC 142,026 -152,228 $775
     ZTR142,026-152,228$775
EATON VANCE MUN BD FD 71,915 +12,900 $761
     EIM71,915+12,900$761
LIQUIDIA CORPORATION      $726
     Call40,000+40,000$480
     LQDA20,500+20,500$246
SPRING VALLEY ACQUISTN CORP 63,725 UNCH $709
     SVII63,725UNCH$709
BELLEVUE LIFE SCNCS AQSTN CO 65,000 +65,000 $701
     BLAC65,000+65,000$701
INVESTCORP INDIA ACQUISTN CO 61,667 +11,667 $700
     IVCA61,667+11,667$700
RIVERNORTH OPPORTUNITIES FD 53,170 -1,047 $651
     RIV53,170-1,047$651
INTEGRATED WELLNESS ACQ CORP 56,209 UNCH $651
     WEL56,209UNCH$651
INDIA FD INC 34,665 +34,665 $619
     IFN34,665+34,665$619
PROJECT ENERGY REIMAGINED AC 53,653 -1,319 $577
     PEGR53,653-1,319$577
ARES ACQUISITION CORP II      $572
     AACT.U53,238UNCH$572
ALPHATIME ACQUISITION CORP 50,000 UNCH $554
     ATMC50,000UNCH$554
GCT SEMICONDUCTOR HLDG INC      $544
     GCTS101,545+101,545$529
     GCTS.WT101,545UNCH$15
SABA CAPITAL INCOME & OPRNT 76,930 +33,397 $542
     BRW76,930+33,397$542
INVESCO VALUE MUN INCOME TR 43,700 +26,900 $539
     IIM43,700+26,900$539
BLUE OCEAN ACQUISITION CORP 47,400 -297,207 $530
     BOCN47,400-297,207$530
MELAR ACQUISITION CORP. I 50,000 +50,000 $500
     MACIU50,000+50,000$500
WESTERN ASSET HIGH INCOM FD 106,321 +38,761 $462
     HIX106,321+38,761$462
FIRST TR ABRDN GBL OPP INCM (FAM) 71,141 +5,309 $451
     FAM71,141+5,309$451
GABELLI MULTIMEDIA TR INC 81,633 +81,633 $438
     GGT81,633+81,633$438
FOCUS IMPACT BH3 ACQUISITION 39,505 UNCH $423
     BHAC39,505UNCH$423
BLACKROCK CALIF MUN INCOME T 34,536 UNCH $413
     BFZ34,536UNCH$413
OAK WOODS ACQUISITION CORP 36,900 +36,900 $401
     OAKU36,900+36,900$401
LEGEND BIOTECH CORP 9,000 +8,800 $399
     LEGN9,000+8,800$399
ABRDN GLOBAL INFRA INCOME FU 21,559 +2,593 $395
     ASGI21,559+2,593$395
EATON VANCE NEW YORK MUN BD 39,600 UNCH $390
     ENX39,600UNCH$390
AUTOMATIC DATA PROCESSING IN 1,447 +1,236 $345
     ADP1,447+1,236$345
ALLSTATE CORP 2,144 +2,077 $342
     ALL2,144+2,077$342
BROADCOM INC 213 +213 $342
     AVGO213+213$342
ASCENDIS PHARMA A S 2,500 +1,800 $341
     ASND2,500+1,800$341
PELOTON INTERACTIVE INC      $336
     Call60,000+60,000$203
     PTON39,436+39,436$133
INVESCO MUN OPPORTUNITY TR 32,500 +32,500 $328
     VMO32,500+32,500$328
INVESCO TR INVT GRADE MUNS 31,800 +31,800 $327
     VGM31,800+31,800$327
INVESCO ADVANTAGE MUN INCOME 36,900 +36,900 $327
     VKI36,900+36,900$327
INVESCO MUNICIPAL TRUST 32,500 +32,500 $324
     VKQ32,500+32,500$324
INVESCO QUALITY MUN INCOME T 32,600 +32,600 $323
     IQI32,600+32,600$323
ABACUS LIFE INC 36,780 +36,780 $318
     ABL36,780+36,780$318
SMARTSHEET INC 7,218 +6,093 $318
     SMAR7,218+6,093$318
FOCUS IMPACT ACQUISITION COR 28,089 UNCH $313
     FIAC28,089UNCH$313
AMERIPRISE FINL INC 731 +726 $312
     AMP731+726$312
VOYA INFRASTRUCTURE INDLS & 30,500 +30,500 $312
     IDE30,500+30,500$312
WEYERHAEUSER CO MTN BE 10,948 +10,328 $311
     WY10,948+10,328$311
HCA HEALTHCARE INC 956 +817 $307
     HCA956+817$307
BLEUACACIA LTD 27,905 +27,905 $300
     BLEU27,905+27,905$300
RIVERNORTH FLEXIBLE MUNI INC 20,943 -5,931 $296
     RFMZ20,943-5,931$296
AMERICAN INTL GROUP INC 3,851 +3,638 $286
     AIG3,851+3,638$286
AIMFINITY INVESTMENT CORP I 25,000 -3,062 $284
     AIMBU25,000-3,062$284
EMBRACE CHANGE ACQUISITN COR 25,000 -131,489 $281
     EMCG25,000-131,489$281
AMAZON COM INC 1,414 +1,414 $273
     AMZN1,414+1,414$273
CANNA GLOBAL ACQUISITION COR 25,000 +25,000 $261
     CNGL25,000+25,000$261
DYNATRACE INC 5,784 +3,916 $259
     DT5,784+3,916$259
LAUDER ESTEE COS INC 2,433 +2,433 $259
     EL2,433+2,433$259
AXSOME THERAPEUTICS INC 3,200 +1,400 $258
     AXSM3,200+1,400$258
CATALYST PHARMACEUTICALS INC 16,334 +10,284 $253
     CPRX16,334+10,284$253
EDGEWISE THERAPEUTICS INC 14,000 +14,000 $252
     EWTX14,000+14,000$252
EATON VANCE CALIF MUN BD FD 26,135 UNCH $249
     EVM26,135UNCH$249
HERZFELD CARIBBEAN BASIN FD 104,344 +4,231 $245
     CUBA104,344+4,231$245
STARBUCKS CORP 3,145 +1,764 $245
     SBUX3,145+1,764$245
PAYPAL HLDGS INC 4,191 +3,740 $243
     PYPL4,191+3,740$243
FLOWERS FOODS INC 10,835 +10,835 $241
     FLO10,835+10,835$241
PINSTRIPES HOLDINGS INC      $241
     PNST84,236+84,236$232
     PNST.WT84,236+84,236$9
BECTON DICKINSON & CO 1,025 +1,025 $240
     BDX1,025+1,025$240
ESSEX PPTY TR INC 880 +818 $240
     ESS880+818$240
COOPER COS INC 2,718 +2,513 $237
     COO2,718+2,513$237
VERA THERAPEUTICS INC 6,500 +6,500 $235
     VERA6,500+6,500$235
THE CIGNA GROUP 704 +614 $233
     CI704+614$233
COMCAST CORP NEW 5,962 +4,773 $233
     CMCSA5,962+4,773$233
BLACKROCK ESG CAP ALLC TERM 13,207 -23,193 $232
     ECAT13,207-23,193$232
NVIDIA CORPORATION 1,860 +1,793 $230
     NVDA1,860+1,793$230
SONOCO PRODS CO 4,440 +3,446 $225
     SON4,440+3,446$225
ARROWHEAD PHARMACEUTICALS IN 8,500 +3,000 $221
     ARWR8,500+3,000$221
PARKER HANNIFIN CORP 437 +326 $221
     PH437+326$221
AMERICOLD REALTY TRUST INC 8,599 +7,941 $220
     COLD8,599+7,941$220
HEXCEL CORP NEW 3,496 +2,847 $218
     HXL3,496+2,847$218
IDEX CORP 1,071 +783 $215
     IEX1,071+783$215
NABORS ENERGY TRANSITION COR 20,000 UNCH $212
     NETDU20,000UNCH$212
MSCI INC 437 +418 $211
     MSCI437+418$211
DISNEY WALT CO 2,115 -57,885 $210
     DIS2,115+2,115$210
RIVERNORTH MANAGED DUR MUN I 12,877 -98 $209
     RMMZ12,877-98$209
INVESCO LTD 13,902 +12,365 $208
     IVZ13,902+12,365$208
WABTEC 1,314 +755 $208
     WAB1,314+755$208
ABBOTT LABS 1,996 +1,393 $207
     ABT1,996+1,393$207
STATE STR CORP 2,765 +2,548 $205
     STT2,765+2,548$205
DOMINOS PIZZA INC 395 +327 $204
     DPZ395+327$204
PVH CORPORATION 1,918 +1,826 $203
     PVH1,918+1,826$203
AIR PRODS & CHEMS INC 781 +781 $202
     APD781+781$202
NUVEEN MUN CR OPPORTUNITIES 18,300 UNCH $202
     NMCO18,300UNCH$202
CROWN HLDGS INC 2,700 +2,085 $201
     CCK2,700+2,085$201
IRIDIUM COMMUNICATIONS INC 7,533 +832 $201
     IRDM7,533+832$201
TWILIO INC 3,528 +3,000 $200
     TWLO3,528+3,000$200
YUM BRANDS INC 1,512 +993 $200
     YUM1,512+993$200
AMERICAN FINL GROUP INC OHIO 1,618 +1,618 $199
     AFG1,618+1,618$199
ACCENTURE PLC IRELAND 652 +504 $198
     ACN652+504$198
CMS ENERGY CORP 3,325 +1,800 $198
     CMS3,325+1,800$198
KURA ONCOLOGY INC 9,500 +9,500 $196
     KURA9,500+9,500$196
LOWES COS INC 884 +630 $195
     LOW884+630$195
WW INTL INC      $195
     Call167,000-265,000$195
OTIS WORLDWIDE CORP 2,001 +1,204 $193
     OTIS2,001+1,204$193
VERISIGN INC 1,080 +544 $192
     VRSN1,080+544$192
PG&E CORP 10,939 +6,501 $191
     PCG10,939+6,501$191
ASSURANT INC 1,143 +1,075 $190
     AIZ1,143+1,075$190
BRIDGEBIO PHARMA INC 7,500 +1,600 $190
     BBIO7,500+1,600$190
NORFOLK SOUTHN CORP 875 +692 $188
     NSC875+692$188
SPRINGWORKS THERAPEUTICS INC 5,000 +1,800 $188
     SWTX5,000+1,800$188
B. RILEY FINANCIAL INC      $187
     Call10,000+10,000$176
     RILY642+618$11
COTERRA ENERGY INC 6,987 +6,987 $186
     CTRA6,987+6,987$186
MARRIOTT INTL INC NEW 765 +444 $185
     MAR765+444$185
QUALCOMM INC 930 +566 $185
     QCOM930+566$185
HALLIBURTON CO 5,436 +5,436 $184
     HAL5,436+5,436$184
ADVANCED DRAIN SYS INC DEL 1,143 +860 $183
     WMS1,143+860$183
BOOZ ALLEN HAMILTON HLDG COR 1,185 +486 $182
     BAH1,185+486$182
EVERSOURCE ENERGY 3,204 +2,149 $182
     ES3,204+2,149$182
EXELON CORP 5,263 +4,561 $182
     EXC5,263+4,561$182
WYNN RESORTS LTD 2,034 +1,448 $182
     WYNN2,034+1,448$182
MCKESSON CORP 308 +222 $180
     MCK308+222$180
TRANSDIGM GROUP INC 140 +124 $179
     TDG140+124$179
CROWDSTRIKE HLDGS INC 465 +341 $178
     CRWD465+341$178
WELLTOWER INC 1,710 +1,137 $178
     WELL1,710+1,137$178
TRAVELERS COMPANIES INC 869 +620 $177
     TRV869+620$177
EPAM SYS INC 931 +624 $175
     EPAM931+624$175
BIOHAVEN LTD 5,000 +4,300 $174
     BHVN5,000+4,300$174
CHENIERE ENERGY INC 982 +91 $172
     LNG982+91$172
MOLINA HEALTHCARE INC 576 +576 $171
     MOH576+576$171
WOODWARD INC 980 +980 $171
     WWD980+980$171
QIAGEN NV 4,146 +2,501 $170
     QGEN4,146+2,501$170
TORO CO 1,790 +1,790 $167
     TTC1,790+1,790$167
PERFORMANCE FOOD GROUP CO 2,513 +1,341 $166
     PFGC2,513+1,341$166
US BANCORP DEL 4,186 +4,186 $166
     USB4,186+4,186$166
ADVANCED MICRO DEVICES INC 1,009 -99,301 $164
     AMD1,009+699$164
INSMED INC 2,400 -2,500 $161
     INSM2,400-2,500$161
LIVE NATION ENTERTAINMENT IN 1,714 +934 $161
     LYV1,714+934$161
MASIMO CORP 1,279 -2,246 $161
     MASI1,279-2,246$161
PHILIP MORRIS INTL INC 1,586 +700 $161
     PM1,586+700$161
TARGA RES CORP 1,253 +548 $161
     TRGP1,253+548$161
SPDR S&P 500 ETF TR (SPY) 294 +294 $160
     SPY294+294$160
ALTRIA GROUP INC 3,498 +1,313 $159
     MO3,498+1,313$159
QUANTA SVCS INC 615 +615 $156
     PWR615+615$156
XENON PHARMACEUTICALS INC 4,000 +2,700 $156
     XENE4,000+2,700$156
MCDONALDS CORP 609 +215 $155
     MCD609+215$155
HILTON WORLDWIDE HLDGS INC 706 +683 $154
     HLT706+683$154
RIVERNORTH CAP AND INCM FD I 10,010 -63,798 $154
     RSF10,010-63,798$154
PTC THERAPEUTICS INC 5,000 +2,500 $153
     PTCT5,000+2,500$153
SRH TOTAL RETURN FUND INC (STEW) 10,500 +10,500 $153
     STEW10,500+10,500$153
SILGAN HLDGS INC 3,589 +2,488 $152
     SLGN3,589+2,488$152
DENALI THERAPEUTICS INC 6,500 -500 $151
     DNLI6,500-500$151
FEDERAL RLTY INVT TR NEW 1,498 +1,093 $151
     FRT1,498+1,093$151
REALTY INCOME CORP 2,856 +2,856 $151
     O2,856+2,856$151
REINSURANCE GRP OF AMERICA I 736 +736 $151
     RGA736+736$151
LOUISIANA PAC CORP 1,821 +1,427 $150
     LPX1,821+1,427$150
MANPOWERGROUP INC WIS 2,149 +2,149 $150
     MAN2,149+2,149$150
CLEAN HARBORS INC 660 -49,637 $149
     CLH660+363$149
BATH & BODY WORKS INC 3,795 +2,893 $148
     BBWI3,795+2,893$148
VERALTO CORP 1,553 +617 $148
     VLTO1,553+617$148
MASTERCARD INCORPORATED 334 +334 $147
     MA334+334$147
METLIFE INC 2,088 +1,270 $147
     MET2,088+1,270$147
PEPSICO INC 892 +717 $147
     PEP892+717$147
HUBSPOT INC 248 +248 $146
     HUBS248+248$146
KKR & CO INC 1,391 +1,254 $146
     KKR1,391+1,254$146
WASTE MGMT INC DEL 683 +462 $146
     WM683+462$146
AFFILIATED MANAGERS GROUP IN 927 +927 $145
     AMG927+927$145
CONOCOPHILLIPS 1,264 +1,058 $145
     COP1,264+1,058$145
MONDELEZ INTL INC 2,223 +1,112 $145
     MDLZ2,223+1,112$145
HONEYWELL INTL INC 674 +607 $144
     HON674+607$144
LAMAR ADVERTISING CO NEW 1,207 +774 $144
     LAMR1,207+774$144
ATMOS ENERGY CORP 1,224 +532 $143
     ATO1,224+532$143
INVITATION HOMES INC 3,966 +3,696 $142
     INVH3,966+3,696$142
BERKSHIRE HATHAWAY INC DEL      $141
     BRK.B347+102$141
CHURCH & DWIGHT CO INC 1,351 +1,319 $140
     CHD1,351+1,319$140
CADENCE DESIGN SYSTEM INC 447 +412 $138
     CDNS447+412$138
ENTERGY CORP NEW 1,286 +911 $138
     ETR1,286+911$138
VIRTU FINL INC 6,130 +3,454 $138
     VIRT6,130+3,454$138
VENTAS INC 2,697 +2,166 $138
     VTR2,697+2,166$138
PPG INDS INC 1,089 +969 $137
     PPG1,089+969$137
SEI INVTS CO 2,105 +2,105 $136
     SEIC2,105+2,105$136
EXTRA SPACE STORAGE INC 869 +814 $135
     EXR869+814$135
PROCTER AND GAMBLE CO 820 +524 $135
     PG820+524$135
SHERWIN WILLIAMS CO 451 +367 $135
     SHW451+367$135
AVANTOR INC 6,333 +6,195 $134
     AVTR6,333+6,195$134
HOLOGIC INC 1,809 +1,382 $134
     HOLX1,809+1,382$134
WAYFAIR INC 2,548 +2,288 $134
     W2,548+2,288$134
EXXON MOBIL CORP 1,154 +1,154 $133
     XOM1,154+1,154$133
ECOLAB INC 556 +556 $132
     ECL556+556$132
MOONLAKE IMMUNOTHERAPEUTICS 3,000 +1,900 $132
     MLTX3,000+1,900$132
T MOBILE US INC 748 +83 $132
     TMUS748+83$132
ACADIA PHARMACEUTICALS INC 8,055 +2,055 $131
     ACAD8,055+2,055$131
IQVIA HLDGS INC 619 +453 $131
     IQV619+453$131
META PLATFORMS INC 259 +175 $131
     META259+175$131
RLI CORP 929 +558 $131
     RLI929+558$131
COMPOSECURE INC 19,095 +12,927 $130
     CMPO19,095+12,927$130
HUNTINGTON BANCSHARES INC (HBAN) 9,836 +5,803 $130
     HBAN9,836+5,803$130
NORTHERN TR CORP 1,552 +1,552 $130
     NTRS1,552+1,552$130
SNOWFLAKE INC 949 +815 $128
     SNOW949+815$128
XCEL ENERGY INC 2,382 +2,382 $127
     XEL2,382+2,382$127
MAPLEBEAR INC 3,928 +2,865 $126
     CART3,928+2,865$126
FIRST CTZNS BANCSHARES INC N (FCNCA) 75 +75 $126
     FCNCA75+75$126
FIRST INDL RLTY TR INC 2,654 +625 $126
     FR2,654+625$126
TRANSOCEAN LTD 23,500 +23,500 $126
     RIG23,500+23,500$126
RALPH LAUREN CORP 717 +580 $126
     RL717+580$126
SYNDAX PHARMACEUTICALS INC 6,125 +2,625 $126
     SNDX6,125+2,625$126
AZEK CO INC 2,968 +2,612 $125
     AZEK2,968+2,612$125
CCC INTELLIGENT SOLUTIONS HL 11,219 +8,442 $125
     CCCS11,219+8,442$125
TRIMBLE INC 2,239 +2,195 $125
     TRMB2,239+2,195$125
SCHWAB CHARLES CORP 1,670 +1,122 $123
     SCHW1,670+1,122$123
VISA INC 468 +354 $123
     V468+354$123
AGILON HEALTH INC 18,254 +15,213 $119
     AGL18,254+15,213$119
AMPHENOL CORP NEW 1,768 +1,768 $119
     APH1,768+1,768$119
LAS VEGAS SANDS CORP 2,692 +2,089 $119
     LVS2,692+2,089$119
TEXAS ROADHOUSE INC 695 +8 $119
     TXRH695+8$119
COINBASE GLOBAL INC 532 +358 $118
     COIN532+358$118
DONALDSON INC 1,650 +1,049 $118
     DCI1,650+1,049$118
MEDTRONIC PLC 1,503 +1,503 $118
     MDT1,503+1,503$118
ROBERT HALF INC. 1,842 +1,377 $118
     RHI1,842+1,377$118
REGAL REXNORD CORPORATION 870 +768 $118
     RRX870+768$118
SEALED AIR CORP NEW 3,390 +2,363 $118
     SEE3,390+2,363$118
AVERY DENNISON CORP 536 +508 $117
     AVY536+508$117
HP INC 3,346 +2,743 $117
     HPQ3,346+2,743$117
EMCOR GROUP INC 317 +193 $116
     EME317+193$116
EQUITY COMWLTH 5,932 +5,119 $115
     EQC5,932+5,119$115
FIRSTCASH HOLDINGS INC 1,100 +920 $115
     FCFS1,100+920$115
SCOTTS MIRACLE GRO CO 1,770 +1,770 $115
     SMG1,770+1,770$115
NIKE INC 1,517 +543 $114
     NKE1,517+543$114
SILENCE THERAPEUTICS PLC 6,000 +6,000 $114
     SLN6,000+6,000$114
LIBERTY MEDIA CORP DEL 1,573 +764 $113
     FWONK1,573+764$113
KROGER CO 2,267 +1,086 $113
     KR2,267+1,086$113
NETAPP INC 876 +92 $113
     NTAP876+92$113
INTERNATIONAL GAME TECHNOLOG 5,460 +2,717 $112
     IGT5,460+2,717$112
LEGGETT & PLATT INC 9,737 +8,310 $112
     LEG9,737+8,310$112
BOEING CO 611 +248 $111
     BA611+248$111
CONSTELLATION ENERGY CORP 553 +553 $111
     CEG553+553$111
LEAR CORP 971 +728 $111
     LEA971+728$111
INTERPUBLIC GROUP COS INC 3,777 -599 $110
     IPG3,777-599$110
PROLOGIS INC. 983 +672 $110
     PLD983+672$110
AMEREN CORP 1,530 +1,310 $109
     AEE1,530+1,310$109
AFFIRM HLDGS INC 3,597 +3,597 $109
     AFRM3,597+3,597$109
GRAND CANYON ED INC 781 +781 $109
     LOPE781+781$109
CYTOKINETICS INC 2,000 +1,400 $108
     CYTK2,000+1,400$108
SCHLUMBERGER LTD 2,296 +421 $108
     SLB2,296+421$108
TE CONNECTIVITY LTD 720 +720 $108
     TEL720+720$108
ARES MANAGEMENT CORPORATION 806 +355 $107
     ARES806+355$107
ARROW ELECTRS INC 882 +882 $107
     ARW882+882$107
NORWEGIAN CRUISE LINE HLDG L 5,669 +4,577 $107
     NCLH5,669+4,577$107
TG THERAPEUTICS INC 6,003 +503 $107
     TGTX6,003+503$107
WEC ENERGY GROUP INC 1,361 +834 $107
     WEC1,361+834$107
CLEAR SECURE INC 5,719 +4,589 $107
     YOU5,719+4,589$107
CITIGROUP INC 1,674 -148,369 $106
     C1,674+1,631$106
EXLSERVICE HOLDINGS INC 3,380 UNCH $106
     EXLS3,380UNCH$106
FASTENAL CO 1,687 +1,687 $106
     FAST1,687+1,687$106
LULULEMON ATHLETICA INC 355 +263 $106
     LULU355+263$106
PALANTIR TECHNOLOGIES INC 4,200 +2,767 $106
     PLTR4,200+2,767$106
ZOOM VIDEO COMMUNICATIONS IN 1,798 +758 $106
     ZM1,798+758$106
BAXTER INTL INC 3,129 +574 $105
     BAX3,129+574$105
ORION S.A. 4,776 +2,076 $105
     OEC4,776+2,076$105
RIVIAN AUTOMOTIVE INC 7,809 +7,809 $105
     RIVN7,809+7,809$105
STANLEY BLACK & DECKER INC 1,310 +1,200 $105
     SWK1,310+1,200$105
WELLS FARGO CO NEW 1,768 +1,768 $105
     WFC1,768+1,768$105
AMERICAN WTR WKS CO INC NEW 808 +423 $104
     AWK808+423$104
APTARGROUP INC 735 +321 $103
     ATR735+321$103
CHEMED CORP NEW 189 +166 $103
     CHE189+166$103
CME GROUP INC 522 +201 $103
     CME522+201$103
RITHM CAPITAL CORP 9,316 +7,404 $102
     RITM9,316+7,404$102
VECTOR GROUP LTD 9,648 +5,110 $102
     VGR9,648+5,110$102
AON PLC 344 +344 $101
     AON344+344$101
MUELLER WTR PRODS INC 5,632 +4,355 $101
     MWA5,632+4,355$101
ROKU INC 1,682 +944 $101
     ROKU1,682+944$101
XYLEM INC 746 +613 $101
     XYL746+613$101
PAYCOM SOFTWARE INC 697 +697 $100
     PAYC697+697$100
GAMBLING COM GROUP LIMITED 12,019 +11,446 $99
     GAMB12,019+11,446$99
IMMATICS N.V 8,500 +8,500 $99
     IMTX8,500+8,500$99
INTERNATIONAL MNY EXPRESS IN 4,760 +2,533 $99
     IMXI4,760+2,533$99
INSPERITY INC 1,088 +732 $99
     NSP1,088+732$99
BLOCK INC 1,537 +1,348 $99
     SQ1,537+1,348$99
TANGO THERAPEUTICS INC 11,500 +11,500 $99
     TNGX11,500+11,500$99
METTLER TOLEDO INTERNATIONAL 70 +44 $98
     MTD70+44$98
NEUMORA THERAPEUTICS INC. 10,000 +10,000 $98
     NMRA10,000+10,000$98
SUPER MICRO COMPUTER INC 119 +117 $98
     SMCI119+117$98
EQUITABLE HLDGS INC 2,366 +2,039 $97
     EQH2,366+2,039$97
EQUINIX INC 128 +71 $97
     EQIX128+71$97
OREILLY AUTOMOTIVE INC 92 +48 $97
     ORLY92+48$97
SIMON PPTY GROUP INC NEW 641 +320 $97
     SPG641+320$97
TELADOC HEALTH INC 9,904 -32,520 $97
     TDOC9,904-32,520$97
XP INC 5,490 +4,556 $97
     XP5,490+4,556$97
APPLIED MATLS INC 408 -212 $96
     AMAT408-212$96
BORGWARNER INC 2,988 +2,988 $96
     BWA2,988+2,988$96
BLACKSTONE INC 770 +770 $95
     BX770+770$95
CROWN CASTLE INC 973 +65 $95
     CCI973+65$95
CONSTELLIUM SE 5,023 +3,735 $95
     CSTM5,023+3,735$95
DARLING INGREDIENTS INC 2,584 +2,324 $95
     DAR2,584+2,324$95
MRC GLOBAL INC 7,333 +4,543 $95
     MRC7,333+4,543$95
PACKAGING CORP AMER 521 +255 $95
     PKG521+255$95
VERIZON COMMUNICATIONS INC 2,303 +838 $95
     VZ2,303+838$95
LAM RESEARCH CORP 88 +56 $94
     LRCX88+56$94
EURONET WORLDWIDE INC 894 -44 $93
     EEFT894-44$93
GAP INC 3,910 +3,910 $93
     GPS3,910+3,910$93
KORN FERRY 1,380 +826 $93
     KFY1,380+826$93
NORTHROP GRUMMAN CORP 214 +201 $93
     NOC214+201$93
PALO ALTO NETWORKS INC 273 +232 $93
     PANW273+232$93
PINTEREST INC 2,105 +1,530 $93
     PINS2,105+1,530$93
WHITE MTNS INS GROUP LTD 51 +51 $93
     WTM51+51$93
ANALOG DEVICES INC 405 +405 $92
     ADI405+405$92
ROBINHOOD MKTS INC 4,042 +2,602 $92
     HOOD4,042+2,602$92
LANTHEUS HLDGS INC 1,145 +388 $92
     LNTH1,145+388$92
LPL FINL HLDGS INC 327 +102 $91
     LPLA327+102$91
PRINCIPAL FINANCIAL GROUP IN 1,157 +1,157 $91
     PFG1,157+1,157$91
TOLL BROTHERS INC 793 +793 $91
     TOL793+793$91
DOLE PLC 7,386 +2,013 $90
     DOLE7,386+2,013$90
ROSS STORES INC 620 -269 $90
     ROST620-269$90
WILLIS TOWERS WATSON PLC LTD 345 -113 $90
     WTW345-113$90
ACCEL ENTERTAINMENT INC 8,642 +6,296 $89
     ACEL8,642+6,296$89
BRIGHTHOUSE FINL INC 2,047 +2,047 $89
     BHF2,047+2,047$89
BANK NEW YORK MELLON CORP 1,489 -107 $89
     BK1,489-107$89
GITLAB INC 1,787 +1,502 $89
     GTLB1,787+1,502$89
LKQ CORP 2,145 +1,919 $89
     LKQ2,145+1,919$89
SYSCO CORP 1,248 +902 $89
     SYY1,248+902$89
TRI POINTE HOMES INC 2,401 +1,326 $89
     TPH2,401+1,326$89
TEXAS PACIFIC LAND CORPORATI 121 +111 $89
     TPL121+111$89
CUMMINS INC 318 +318 $88
     CMI318+318$88
GE VERNOVA INC 512 +512 $88
     GEV512+512$88
BRINKS CO 852 +150 $87
     BCO852+150$87
COPT DEFENSE PROPERTIES 3,481 +3,052 $87
     CDP3,481+3,052$87
CENTESSA PHARMACEUTICALS PLC 9,608 +3,108 $87
     CNTA9,608+3,108$87
DRAFTKINGS INC NEW 2,288 +2,288 $87
     DKNG2,288+2,288$87
DEVON ENERGY CORP NEW 1,832 +445 $87
     DVN1,832+445$87
KYNDRYL HLDGS INC 3,318 -608 $87
     KD3,318-608$87
KLA CORP 105 +89 $87
     KLAC105+89$87
ALEXANDER & BALDWIN INC NEW 5,047 +4,302 $86
     ALEX5,047+4,302$86
BLACKROCK SCIENCE & TECHNOLO 4,344 +4,344 $86
     BSTZ4,344+4,344$86
EVERI HLDGS INC 10,230 +2,864 $86
     EVRI10,230+2,864$86
IDEXX LABS INC 176 +111 $86
     IDXX176+111$86
INTERNATIONAL SEAWAYS INC 1,453 +1,167 $86
     INSW1,453+1,167$86
STERICYCLE INC 1,476 +809 $86
     SRCL1,476+809$86
PRICE T ROWE GROUP INC 748 +748 $86
     TROW748+748$86
BLOCK H & R INC 1,565 +1,565 $85
     HRB1,565+1,565$85
ECOFIN SUSTAINABLE AND SOCIA 7,400 UNCH $85
     TEAF7,400UNCH$85
TAPESTRY INC 1,998 +1,049 $85
     TPR1,998+1,049$85
AXOS FINANCIAL INC 1,462 +100 $84
     AX1,462+100$84
BEAM THERAPEUTICS INC 3,600 +2,800 $84
     BEAM3,600+2,800$84
EATON CORP PLC 268 +268 $84
     ETN268+268$84
FERROGLOBE PLC 15,746 +15,746 $84
     GSM15,746+15,746$84
RUSH STREET INTERACTIVE INC 8,762 +1,200 $84
     RSI8,762+1,200$84
SOFI TECHNOLOGIES INC 12,694 +12,694 $84
     SOFI12,694+12,694$84
DINE BRANDS GLOBAL INC 2,296 +567 $83
     DIN2,296+567$83
FIRST FINL BANKSHARES INC (FFIN) 2,798 +2,798 $83
     FFIN2,798+2,798$83
HUNTSMAN CORP 3,664 +1,441 $83
     HUN3,664+1,441$83
KEURIG DR PEPPER INC 2,489 +1,224 $83
     KDP2,489+1,224$83
PENN ENTERTAINMENT INC 4,291 +1,862 $83
     PENN4,291+1,862$83
PRAXIS PRECISION MEDICINES I 2,000 +2,000 $83
     PRAX2,000+2,000$83
BOSTON BEER INC 271 +246 $83
     SAM271+246$83
TENET HEALTHCARE CORP 626 +170 $83
     THC626+170$83
UNIVERSAL HLTH SVCS INC 451 +235 $83
     UHS451+235$83
AMERICAN PUB ED INC 4,666 +2,261 $82
     APEI4,666+2,261$82
BYNORDIC ACQUISITION CORP 7,282 +7,282 $82
     BYNO7,282+7,282$82
GENERAL DYNAMICS CORP 283 +130 $82
     GD283+130$82
JANUS INTERNATIONAL GROUP IN 6,527 +4,464 $82
     JBI6,527+4,464$82
POTLATCHDELTIC CORPORATION 2,094 +2,094 $82
     PCH2,094+2,094$82
AVIDITY BIOSCIENCES INC 2,000 +1,700 $82
     RNA2,000+1,700$82
SKECHERS U S A INC 1,187 +366 $82
     SKX1,187+366$82
MONTANA TECHNOLOGIES CORP 7,840 +7,840 $81
     AIRJ7,840+7,840$81
CDW CORP 362 +362 $81
     CDW362+362$81
INTEL CORP 2,629 +2,629 $81
     INTC2,629+2,629$81
PNM RES INC 2,182 +1,990 $81
     PNM2,182+1,990$81
AMER STATES WTR CO 1,108 +1,108 $80
     AWR1,108+1,108$80
GENUINE PARTS CO 581 +518 $80
     GPC581+518$80
TIMKEN CO 999 +678 $80
     TKR999+678$80
VESTIS CORPORATION 6,556 +5,086 $80
     VSTS6,556+5,086$80
CONCENTRIX CORP 1,244 +1,101 $79
     CNXC1,244+1,101$79
STRUCTURE THERAPEUTICS INC 2,000 +2,000 $79
     GPCR2,000+2,000$79
HASBRO INC 1,353 +1,353 $79
     HAS1,353+1,353$79
MICRON TECHNOLOGY INC 604 +342 $79
     MU604+342$79
OLIN CORP 1,670 -532 $79
     OLN1,670-532$79
PURE STORAGE INC 1,223 -156 $79
     PSTG1,223-156$79
AMC ENTMT HLDGS INC 15,619 +15,458 $78
     AMC15,619+15,458$78
CARETRUST REIT INC 3,100 +2,613 $78
     CTRE3,100+2,613$78
HANOVER INS GROUP INC 621 +621 $78
     THG621+621$78
ENCOMPASS HEALTH CORP 900 +654 $77
     EHC900+654$77
GUIDEWIRE SOFTWARE INC 558 +558 $77
     GWRE558+558$77
MINERALS TECHNOLOGIES INC 920 +873 $77
     MTX920+873$77
VEEVA SYS INC 421 +119 $77
     VEEV421+119$77
CIENA CORP 1,572 +854 $76
     CIEN1,572+854$76
CENCORA INC 337 +95 $76
     COR337+95$76
CINTAS CORP 108 +90 $76
     CTAS108+90$76
ITT INC 591 +574 $76
     ITT591+574$76
KRAFT HEINZ CO 2,363 +2,363 $76
     KHC2,363+2,363$76
NEUBERGER BERMAN HIGH YIELD 9,579 -93,502 $75
     NHS9,579-93,502$75
OFG BANCORP 2,005 +996 $75
     OFG2,005+996$75
PROCORE TECHNOLOGIES INC 1,128 +1,024 $75
     PCOR1,128+1,024$75
SPIRIT AEROSYSTEMS HLDGS INC 2,285 +751 $75
     SPR2,285+751$75
TEEKAY CORPORATION 8,415 +4,000 $75
     TK8,415+4,000$75
ADECOAGRO S A 7,598 +5,484 $74
     AGRO7,598+5,484$74
COURSERA INC 10,356 +9,357 $74
     COUR10,356+9,357$74
QUEST DIAGNOSTICS INC 541 +541 $74
     DGX541+541$74
DANAHER CORPORATION 298 +213 $74
     DHR298+213$74
MUELLER INDS INC 1,301 +1,093 $74
     MLI1,301+1,093$74
ZSCALER INC 385 +331 $74
     ZS385+331$74
ABM INDS INC 1,450 -79 $73
     ABM1,450-79$73
AXALTA COATING SYS LTD 2,127 +2,127 $73
     AXTA2,127+2,127$73
CITIZENS FINL GROUP INC 2,035 +1,357 $73
     CFG2,035+1,357$73
ELEVANCE HEALTH INC 134 +134 $73
     ELV134+134$73
GOLAR LNG LTD 2,323 +2,183 $73
     GLNG2,323+2,183$73
PAGSEGURO DIGITAL LTD 6,242 +3,806 $73
     PAGS6,242+3,806$73
PLAYA HOTELS & RESORTS NV 8,686 +5,087 $73
     PLYA8,686+5,087$73
SURGERY PARTNERS INC 3,082 +1,760 $73
     SGRY3,082+1,760$73
UNITED PARCEL SERVICE INC 537 +440 $73
     UPS537+440$73
AGILENT TECHNOLOGIES INC 559 -2,938 $72
     A559-2,938$72
ARISTA NETWORKS INC 205 +55 $72
     ANET205+55$72
CASEYS GEN STORES INC 190 +190 $72
     CASY190+190$72
DTE ENERGY CO 649 -75 $72
     DTE649-75$72
TECHNIPFMC PLC 2,706 +1,142 $71
     FTI2,706+1,142$71
LINCOLN NATL CORP IND 2,267 +2,267 $71
     LNC2,267+2,267$71
PORTLAND GEN ELEC CO 1,636 +1,482 $71
     POR1,636+1,482$71
EXPEDITORS INTL WASH INC 561 +426 $70
     EXPD561+426$70
JABIL INC 640 +640 $70
     JBL640+640$70
BIO TECHNE CORP 974 +933 $70
     TECH974+933$70
AMN HEALTHCARE SVCS INC 1,352 -6,874 $69
     AMN1,352-6,874$69
CARNIVAL CORP 3,665 +2,332 $69
     CCL3,665+2,332$69
CSG SYS INTL INC 1,664 -540 $69
     CSGS1,664-540$69
GLOBE LIFE INC 838 +270 $69
     GL838+270$69
NORTHWEST NAT HLDG CO 1,923 +1,169 $69
     NWN1,923+1,169$69
NEWS CORP NEW 2,510 -3,694 $69
     NWSA2,510-3,694$69
BANK OZK LITTLE ROCK ARK 1,690 +1,333 $69
     OZK1,690+1,333$69
PAYCOR HCM INC 5,397 +5,397 $69
     PYCR5,397+5,397$69
UNITED AIRLS HLDGS INC 1,415 +1,415 $69
     UAL1,415+1,415$69
AGCO CORP 699 +522 $68
     AGCO699+522$68
CURTISS WRIGHT CORP 252 +161 $68
     CW252+161$68
FORTIVE CORP 917 -413 $68
     FTV917-413$68
HORMEL FOODS CORP 2,245 +186 $68
     HRL2,245+186$68
JPMORGAN CHASE & CO. 337 +308 $68
     JPM337+308$68
KELLANOVA 1,184 +1,184 $68
     K1,184+1,184$68
M I HOMES INC 558 +333 $68
     MHO558+333$68
PULTE GROUP INC 617 +617 $68
     PHM617+617$68
GIBRALTAR INDS INC 989 +802 $68
     ROCK989+802$68
REVOLVE GROUP INC 4,245 +4,245 $68
     RVLV4,245+4,245$68
XERIS BIOPHARMA HOLDINGS INC 30,000 +500 $68
     XERS30,000+500$68
THERMO FISHER SCIENTIFIC INC 121 +56 $67
     TMO121+56$67
ONESPAWORLD HOLDINGS LIMITED 4,306 +2,762 $66
     OSW4,306+2,762$66
ATLASSIAN CORPORATION 373 +220 $66
     TEAM373+220$66
ARMADA HOFFLER PPTYS INC 5,863 +4,790 $65
     AHH5,863+4,790$65
AUTONATION INC 407 +339 $65
     AN407+339$65
HIMS & HERS HEALTH INC 3,200 -35,768 $65
     HIMS3,200-35,768$65
MERCURY GENL CORP NEW 1,215 +642 $65
     MCY1,215+642$65
MOTOROLA SOLUTIONS INC 169 +108 $65
     MSI169+108$65
PHOTRONICS INC 2,629 +1,816 $65
     PLAB2,629+1,816$65
SYMBOTIC INC 1,847 +1,847 $65
     SYM1,847+1,847$65
TAKE TWO INTERACTIVE SOFTWAR 421 +257 $65
     TTWO421+257$65
BRADY CORP 962 +255 $64
     BRC962+255$64
CHEVRON CORP NEW 411 +260 $64
     CVX411+260$64
MADISON SQUARE GRDN SPRT COR 341 -129 $64
     MSGS341-129$64
SYNOPSYS INC 107 +107 $64
     SNPS107+107$64
TPG RE FIN TR INC 7,363 +6,961 $64
     TRTX7,363+6,961$64
ENACT HLDGS INC 2,046 +1,065 $63
     ACT2,046+1,065$63
ARTISAN PARTNERS ASSET MGMT 1,534 +1,534 $63
     APAM1,534+1,534$63
AVADEL PHARMACEUTICALS PLC 4,500 +4,500 $63
     AVDL4,500+4,500$63
BLUE BIRD CORP 1,174 +358 $63
     BLBD1,174+358$63
HEALTHCARE SVCS GROUP INC 5,922 -1,366 $63
     HCSG5,922-1,366$63
PROGRESSIVE CORP 303 -61 $63
     PGR303-61$63
RESMED INC 331 +242 $63
     RMD331+242$63
SEMTECH CORP 2,098 +2,098 $63
     SMTC2,098+2,098$63
BUILDERS FIRSTSOURCE INC 450 +15 $62
     BLDR450+15$62
BRIDGE INVT GROUP HLDGS INC 8,350 +1,535 $62
     BRDG8,350+1,535$62
FACTSET RESH SYS INC 152 +152 $62
     FDS152+152$62
HARMONY BIOSCIENCES HLDGS IN 2,052 +2,052 $62
     HRMY2,052+2,052$62
INTERNATIONAL FLAVORS&FRAGRA 649 +609 $62
     IFF649+609$62
JOHNSON CTLS INTL PLC 927 +600 $62
     JCI927+600$62
PEBBLEBROOK HOTEL TR 4,508 +4,326 $62
     PEB4,508+4,326$62
PARK HOTELS & RESORTS INC 4,118 +1,857 $62
     PK4,118+1,857$62
COHERENT CORP 842 -792 $61
     COHR842-792$61
DNOW INC 4,433 +1,908 $61
     DNOW4,433+1,908$61
GOLUB CAP BDC INC 3,868 +3,868 $61
     GBDC3,868+3,868$61
MASTEC INC 570 -364 $61
     MTZ570-364$61
NCR ATLEOS CORPORATION 2,273 +1,389 $61
     NATL2,273+1,389$61
PINNACLE FINL PARTNERS INC 756 +735 $61
     PNFP756+735$61
SITEONE LANDSCAPE SUPPLY INC 501 +501 $61
     SITE501+501$61
VOYA FINANCIAL INC 861 +861 $61
     VOYA861+861$61
WORKDAY INC 273 +106 $61
     WDAY273+106$61
ZILLOW GROUP INC 1,312 +1,312 $61
     Z1,312+1,312$61
ALLY FINL INC 1,510 +1,143 $60
     ALLY1,510+1,143$60
BALL CORP 999 +856 $60
     BALL999+856$60
CLEARWAY ENERGY INC 2,422 +843 $60
     CWEN2,422+843$60
DOORDASH INC 555 +555 $60
     DASH555+555$60
FORTUNE BRANDS INNOVATIONS I 919 +890 $60
     FBIN919+890$60
SHIFT4 PMTS INC 813 +813 $60
     FOUR813+813$60
HARTFORD FINL SVCS GROUP INC 600 +397 $60
     HIG600+397$60
OLD DOMINION FREIGHT LINE IN 342 +342 $60
     ODFL342+342$60
PAR PAC HOLDINGS INC 2,359 +2,027 $60
     PARR2,359+2,027$60
PUBLIC STORAGE OPER CO 209 +27 $60
     PSA209+27$60
ROCKET COS INC 4,353 +3,899 $60
     RKT4,353+3,899$60
VITAL FARMS INC 1,290 +830 $60
     VITL1,290+830$60
ZEBRA TECHNOLOGIES CORPORATI 193 +193 $60
     ZBRA193+193$60
BIO RAD LABS INC 215 +215 $59
     BIO215+215$59
AMDOCS LTD 745 -444 $59
     DOX745-444$59
ENSIGN GROUP INC 477 +356 $59
     ENSG477+356$59
HEWLETT PACKARD ENTERPRISE C 2,765 +2,765 $59
     HPE2,765+2,765$59
MAXIMUS INC 687 +87 $59
     MMS687+87$59
OTTER TAIL CORP 669 +634 $59
     OTTR669+634$59
APPFOLIO INC 238 +142 $58
     APPF238+142$58
LARIMAR THERAPEUTICS INC 8,000 +7,250 $58
     LRMR8,000+7,250$58
MEDIFAST INC 2,667 +2,282 $58
     MED2,667+2,282$58
UNION PAC CORP 257 -159 $58
     UNP257-159$58
WESTERN DIGITAL CORP. 760 +461 $58
     WDC760+461$58
XPONENTIAL FITNESS INC 3,692 +1,646 $58
     XPOF3,692+1,646$58
ATKORE INC 426 +426 $57
     ATKR426+426$57
FRESHPET INC 439 +322 $57
     FRPT439+322$57
GLOBAL SHIP LEASE INC NEW 1,997 -2,027 $57
     GSL1,997-2,027$57
HEALTHCARE RLTY TR 3,444 +154 $57
     HR3,444+154$57
LINCOLN ELEC HLDGS INC 300 +88 $57
     LECO300+88$57
INSULET CORP 280 -431 $57
     PODD280-431$57
RESIDEO TECHNOLOGIES INC 2,892 +1,283 $57
     REZI2,892+1,283$57
SOLARIS OILFIELD INFRASTRUCT 6,659 +4,320 $57
     SOI6,659+4,320$57
TRAILBLAZER MERGER CORP I 5,301 +5,301 $57
     TBMC5,301+5,301$57
VERTIV HOLDINGS CO 653 +653 $57
     VRT653+653$57
APPLE INC 265 -100,029 $56
     AAPL265-29$56
BAKER HUGHES COMPANY 1,594 +714 $56
     BKR1,594+714$56
JUNIPER NETWORKS INC 1,546 +644 $56
     JNPR1,546+644$56
LEVI STRAUSS & CO NEW 2,917 +2,917 $56
     LEVI2,917+2,917$56
STRIDE INC 788 -102 $56
     LRN788-102$56
BLUE OWL CAPITAL INC 3,133 -438 $56
     OWL3,133-438$56
SERVICE CORP INTL 789 +569 $56
     SCI789+569$56
TPG INC 1,355 +167 $56
     TPG1,355+167$56
VICTORIAS SECRET AND CO 3,157 +1,764 $56
     VSCO3,157+1,764$56
WHIRLPOOL CORP 549 +95 $56
     WHR549+95$56
ZIONS BANCORPORATION N A 1,300 -595 $56
     ZION1,300-595$56
AMERICAN AXLE & MFG HLDGS IN 7,899 +4,851 $55
     AXL7,899+4,851$55
BELLRING BRANDS INC 957 +378 $55
     BRBR957+378$55
DOUGLAS EMMETT INC 4,121 +2,505 $55
     DEI4,121+2,505$55
ENOVA INTL INC 881 +453 $55
     ENVA881+453$55
FRESHWORKS INC 4,323 +2,645 $55
     FRSH4,323+2,645$55
HERSHEY CO 300 +166 $55
     HSY300+166$55
KILROY RLTY CORP 1,754 +1,754 $55
     KRC1,754+1,754$55
PIONEER FLOATING RATE FUND I (PHD) 5,659 -50,105 $55
     PHD5,659-50,105$55
ALNYLAM PHARMACEUTICALS INC 224 -776 $54
     ALNY224-776$54
BENCHMARK ELECTRS INC 1,379 +873 $54
     BHE1,379+873$54
CHEFS WHSE INC 1,382 +1,382 $54
     CHEF1,382+1,382$54
COSTAR GROUP INC 728 +728 $54
     CSGP728+728$54
EVOLUS INC 5,000 +5,000 $54
     EOLS5,000+5,000$54
HUNTINGTON INGALLS INDS INC 218 -71 $54
     HII218-71$54
NATIONAL RESH CORP 2,353 +2,353 $54
     NRC2,353+2,353$54
SCORPIO TANKERS INC 663 +229 $54
     STNG663+229$54
MOLSON COORS BEVERAGE CO 1,063 +1,063 $54
     TAP1,063+1,063$54
TETRA TECH INC NEW 264 +264 $54
     TTEK264+264$54
CHUBB LIMITED 209 -19 $53
     CB209-19$53
CRESCENT ENERGY COMPANY 4,453 -1,938 $53
     CRGY4,453-1,938$53
COUSINS PPTYS INC 2,279 -617 $53
     CUZ2,279-617$53
DOCUSIGN INC 989 +989 $53
     DOCU989+989$53
ALPHABET INC 292 +292 $53
     GOOGL292+292$53
KBR INC 821 +673 $53
     KBR821+673$53
RB GLOBAL INC 694 +694 $53
     RBA694+694$53
RLJ LODGING TR 5,465 +3,627 $53
     RLJ5,465+3,627$53
ROIVANT SCIENCES LTD 5,000 +5,000 $53
     ROIV5,000+5,000$53
RUNWAY GROWTH FINANCE CORP 4,518 +4,518 $53
     RWAY4,518+4,518$53
ZIMMER BIOMET HOLDINGS INC 485 +485 $53
     ZBH485+485$53
ARCHROCK INC 2,594 +2,594 $52
     AROC2,594+2,594$52
CUBESMART 1,144 +757 $52
     CUBE1,144+757$52
ETSY INC 886 +143 $52
     ETSY886+143$52
GOLDEN ENTMT INC 1,666 +1,666 $52
     GDEN1,666+1,666$52
KINDER MORGAN INC DEL 2,621 +2,621 $52
     KMI2,621+2,621$52
MONOLITHIC PWR SYS INC 63 -51 $52
     MPWR63-51$52
ASHLAND INC 541 -269 $51
     ASH541-269$51
BEST BUY INC 606 -83 $51
     BBY606-83$51
INTUITIVE SURGICAL INC 115 +66 $51
     ISRG115+66$51
LA Z BOY INC 1,378 +1,326 $51
     LZB1,378+1,326$51
NEWELL BRANDS INC 7,941 +4,056 $51
     NWL7,941+4,056$51
TKO GROUP HOLDINGS INC 476 +476 $51
     TKO476+476$51
AGNC INVT CORP 5,285 +2,275 $50
     AGNC5,285+2,275$50
ABERCROMBIE & FITCH CO 279 +170 $50
     ANF279+170$50
AUTOZONE INC 17 -10 $50
     AZO17-10$50
BRAZE INC 1,286 +1,286 $50
     BRZE1,286+1,286$50
DOLBY LABORATORIES INC 633 +95 $50
     DLB633+95$50
EZCORP INC 4,736 +2,976 $50
     EZPW4,736+2,976$50
GRIFFON CORP 777 +386 $50
     GFF777+386$50
KITE RLTY GROUP TR 2,244 +1,167 $50
     KRG2,244+1,167$50
LAUREATE EDUCATION INC 3,347 +3,347 $50
     LAUR3,347+3,347$50
LYFT INC 3,554 +3,468 $50
     LYFT3,554+3,468$50
NOMAD FOODS LTD 3,004 +2,360 $50
     NOMD3,004+2,360$50
NU HLDGS LTD 3,853 -5,183 $50
     NU3,853-5,183$50
RPM INTL INC 468 +374 $50
     RPM468+374$50
SITE CTRS CORP 3,424 +2,857 $50
     SITC3,424+2,857$50
TELEDYNE TECHNOLOGIES INC 129 +113 $50
     TDY129+113$50
VIAVI SOLUTIONS INC 7,229 +5,838 $50
     VIAV7,229+5,838$50
VALMONT INDS INC 184 +134 $50
     VMI184+134$50
WILLIAMS SONOMA INC 176 +54 $50
     WSM176+54$50
BAIN CAP SPECIALTY FIN INC 2,976 +1,268 $49
     BCSF2,976+1,268$49
CRH PLC 647 +647 $49
     CRH647+647$49
GLOBAL PMTS INC 511 +293 $49
     GPN511+293$49
HUBBELL INC 135 +135 $49
     HUBB135+135$49
HANCOCK WHITNEY CORPORATION 1,027 +116 $49
     HWC1,027+116$49
INTERNATIONAL PAPER CO 1,147 -291 $49
     IP1,147-291$49
JOHNSON & JOHNSON 335 +335 $49
     JNJ335+335$49
MCCORMICK & CO INC 689 -320 $49
     MKC689-320$49
MONRO INC 2,047 +1,603 $49
     MNRO2,047+1,603$49
NEW FORTRESS ENERGY INC 2,250 +1,253 $49
     NFE2,250+1,253$49
NVENT ELECTRIC PLC 644 +498 $49
     NVT644+498$49
NEXSTAR MEDIA GROUP INC 297 +130 $49
     NXST297+130$49
NEW YORK TIMES CO 959 -490 $49
     NYT959-490$49
SPECTRUM BRANDS HLDGS INC NE 570 +450 $49
     SPB570+450$49
YELP INC 1,323 +801 $49
     YELP1,323+801$49
ALAMO GROUP INC 277 +277 $48
     ALG277+277$48
BRIGHT HORIZONS FAM SOL IN D 436 +177 $48
     BFAM436+177$48
POPULAR INC 540 +53 $48
     BPOP540+53$48
NAVIGATOR HLDGS LTD 2,722 +2,722 $48
     NVGS2,722+2,722$48
OXFORD INDS INC 475 +465 $48
     OXM475+465$48
POWELL INDS INC 333 +333 $48
     POWL333+333$48
TELEFLEX INCORPORATED 228 +228 $48
     TFX228+228$48
TESLA INC 242 +242 $48
     TSLA242+242$48
U S PHYSICAL THERAPY 515 +478 $48
     USPH515+478$48
VERIS RESIDENTIAL INC 3,172 +3,172 $48
     VRE3,172+3,172$48
AKERO THERAPEUTICS INC 2,000 -950 $47
     AKRO2,000-950$47
A10 NETWORKS INC 3,391 +3,391 $47
     ATEN3,391+3,391$47
BERRY GLOBAL GROUP INC 795 -229 $47
     BERY795-229$47
BRISTOL MYERS SQUIBB CO 1,123 +1,123 $47
     BMY1,123+1,123$47
CHATHAM LODGING TR 5,515 +4,149 $47
     CLDT5,515+4,149$47
CNO FINL GROUP INC 1,694 +935 $47
     CNO1,694+935$47
ESSENT GROUP LTD 836 +523 $47
     ESNT836+523$47
FIRST AMERN FINL CORP 864 +668 $47
     FAF864+668$47
GOOSEHEAD INS INC 815 +787 $47
     GSHD815+787$47
HOME DEPOT INC 136 +36 $47
     HD136+36$47
STEELCASE INC 3,619 +148 $47
     SCS3,619+148$47
SSR MINING IN 10,368 +5,649 $47
     SSRM10,368+5,649$47
UPWORK INC 4,350 +2,220 $47
     UPWK4,350+2,220$47
WARNER BROS DISCOVERY INC 6,307 +6,031 $47
     WBD6,307+6,031$47
APOGEE ENTERPRISES INC 731 +662 $46
     APOG731+662$46
BLACK HILLS CORP 841 +515 $46
     BKH841+515$46
CBRE GROUP INC 521 +38 $46
     CBRE521+38$46
CORECIVIC INC 3,552 -254 $46
     CXW3,552-254$46
DOLLAR GEN CORP NEW 345 +345 $46
     DG345+345$46
GE HEALTHCARE TECHNOLOGIES I 594 +131 $46
     GEHC594+131$46
INSPIRE MED SYS INC 343 +176 $46
     INSP343+176$46
MATADOR RES CO 779 +251 $46
     MTDR779+251$46
TACTILE SYS TECHNOLOGY INC 3,850 +3,850 $46
     TCMD3,850+3,850$46
UBER TECHNOLOGIES INC 632 -303 $46
     UBER632-303$46
U HAUL HOLDING COMPANY      $46
     UHAL.B769+552$46
ALLEGION PLC 379 +136 $45
     ALLE379+136$45
ARDAGH METAL PACKAGING S A 13,159 +13,159 $45
     AMBP13,159+13,159$45
CIRRUS LOGIC INC 356 -225 $45
     CRUS356-225$45
DONNELLEY FINL SOLUTIONS INC 747 +621 $45
     DFIN747+621$45
DEFINITIVE HEALTHCARE CORP 8,181 -23,068 $45
     DH8,181-23,068$45
DHT HOLDINGS INC 3,866 +3,717 $45
     DHT3,866+3,717$45
DOXIMITY INC 1,616 +131,253 $45
     DOCS1,616-1,147$45
GAMING & LEISURE PPTYS INC 988 -577 $45
     GLPI988-577$45
HEALTH CATALYST INC 7,002 +2,610 $45
     HCAT7,002+2,610$45
KENNEDY WILSON HOLDINGS INC 4,608 +4,608 $45
     KW4,608+4,608$45
MICROSOFT CORP 100 +100 $45
     MSFT100+100$45
NETSTREIT CORP 2,820 +2,820 $45
     NTST2,820+2,820$45
PNC FINL SVCS GROUP INC 290 +170 $45
     PNC290+170$45
SUNSTONE HOTEL INVS INC NEW 4,310 +3,680 $45
     SHO4,310+3,680$45
TREX CO INC 602 +513 $45
     TREX602+513$45
AMER SOFTWARE INC 4,813 +2,640 $44
     AMSWA4,813+2,640$44
APPLOVIN CORP 523 -380 $44
     APP523-380$44
DROPBOX INC 1,965 +880 $44
     DBX1,965+880$44
GUARDANT HEALTH INC 1,527 +1,527 $44
     GH1,527+1,527$44
GRAY TELEVISION INC 8,442 -1,776 $44
     GTN8,442-1,776$44
GARRETT MOTION INC 5,170 +1,830 $44
     GTX5,170+1,830$44
HEIDRICK & STRUGGLES INTL IN 1,395 +1,395 $44
     HSII1,395+1,395$44
HOWMET AEROSPACE INC 564 -395 $44
     HWM564-395$44
ADTALEM GLOBAL ED INC 625 +625 $43
     ATGE625+625$43
DUTCH BROS INC 1,036 +1,036 $43
     BROS1,036+1,036$43
DELEK US HLDGS INC NEW 1,752 +1,752 $43
     DK1,752+1,752$43
FLEX LTD 1,471 +1,471 $43
     FLEX1,471+1,471$43
GILEAD SCIENCES INC 625 +625 $43
     GILD625+625$43
GENERAC HLDGS INC 323 +162 $43
     GNRC323+162$43
KELLY SVCS INC 2,000 -1,386 $43
     KELYA2,000-1,386$43
MERCADOLIBRE INC 26 +26 $43
     MELI26+26$43
THE ODP CORP 1,092 +688 $43
     ODP1,092+688$43
SLEEP NUMBER CORP 4,481 +4,481 $43
     SNBR4,481+4,481$43
SHUTTERSTOCK INC 1,111 +842 $43
     SSTK1,111+842$43
TEEKAY TANKERS LTD 632 +632 $43
     TNK632+632$43
TRANSUNION 574 +520 $43
     TRU574+520$43
WESCO INTL INC 269 +52 $43
     WCC269+52$43
FIRST ADVANTAGE CORP NEW 2,607 +865 $42
     FA2,607+865$42
MERCK & CO INC 339 +339 $42
     MRK339+339$42
MORGAN STANLEY 433 +433 $42
     MS433+433$42
NORTHERN OIL & GAS INC 1,132 +874 $42
     NOG1,132+874$42
SNAP ON INC 162 +115 $42
     SNA162+115$42
TRACTOR SUPPLY CO 156 +154 $42
     TSCO156+154$42
UDR INC 1,020 -560 $42
     UDR1,020-560$42
BERKLEY W R CORP 530 +530 $42
     WRB530+530$42
AMC NETWORKS INC 4,295 +2,336 $41
     AMCX4,295+2,336$41
BROADSTONE NET LEASE INC 2,556 +1,232 $41
     BNL2,556+1,232$41
DELTA AIR LINES INC DEL 857 +857 $41
     DAL857+857$41
ECOVYST INC 4,533 +1,721 $41
     ECVT4,533+1,721$41
GENPACT LIMITED 1,266 -1,810 $41
     G1,266-1,810$41
MONSTER BEVERAGE CORP NEW 824 +497 $41
     MNST824+497$41
SAIA INC 86 +86 $41
     SAIA86+86$41
STAR BULK CARRIERS CORP. 1,692 -436 $41
     SBLK1,692-436$41
THE TRADE DESK INC 415 +415 $41
     TTD415+415$41
CUSHMAN WAKEFIELD PLC 3,858 -1,399 $40
     CWK3,858-1,399$40
ELANCO ANIMAL HEALTH INC 2,794 +2,794 $40
     ELAN2,794+2,794$40
ELASTIC N V 354 +354 $40
     ESTC354+354$40
EXPEDIA GROUP INC 321 -136 $40
     EXPE321-136$40
HYATT HOTELS CORP 263 -125 $40
     H263-125$40
DORIAN LPG LTD 942 +345 $40
     LPG942+345$40
MATCH GROUP INC NEW 1,307 +461 $40
     MTCH1,307+461$40
NEW MTN FIN CORP 3,307 +1,342 $40
     NMFC3,307+1,342$40
OWENS CORNING NEW 231 +144 $40
     OC231+144$40
PROPETRO HLDG CORP 4,666 +4,666 $40
     PUMP4,666+4,666$40
QUALYS INC 281 +281 $40
     QLYS281+281$40
SPROUTS FMRS MKT INC 473 +442 $40
     SFM473+442$40
SENSATA TECHNOLOGIES HLDG PL 1,063 +738 $40
     ST1,063+738$40
TELEPHONE & DATA SYS INC 1,951 +1,951 $40
     TDS1,951+1,951$40
APPLIED INDL TECHNOLOGIES IN 203 +203 $39
     AIT203+203$39
APARTMENT INVT & MGMT CO 4,750 +4,750 $39
     AIV4,750+4,750$39
AUTOLIV INC 362 +207 $39
     ALV362+207$39
COLUMBUS MCKINNON CORP N Y 1,117 +1,117 $39
     CMCO1,117+1,117$39
DICKS SPORTING GOODS INC 180 -34 $39
     DKS180-34$39
HAEMONETICS CORP MASS 471 +471 $39
     HAE471+471$39
OPENLANE INC 2,375 +1,587 $39
     KAR2,375+1,587$39
KNOWLES CORP 2,242 +2,242 $39
     KN2,242+2,242$39
MKS INSTRS INC 299 +299 $39
     MKSI299+299$39
SKYWEST INC 479 +75 $39
     SKYW479+75$39
TASKUS INC 2,966 -6,497 $39
     TASK2,966-6,497$39
TRANE TECHNOLOGIES PLC 119 +119 $39
     TT119+119$39
MARRIOTT VACATIONS WORLDWIDE 445 +350 $39
     VAC445+350$39
WALMART INC 582 -751 $39
     WMT582-751$39
ASBURY AUTOMOTIVE GROUP INC 166 +166 $38
     ABG166+166$38
CORPORACION AMER ARPTS S A 2,274 +2,274 $38
     CAAP2,274+2,274$38
FRANKLIN LTD DURATION INCOME 5,933 -49,404 $38
     FTF5,933-49,404$38
HAMILTON LANE INC 308 +234 $38
     HLNE308+234$38
ICU MED INC 317 -26 $38
     ICUI317-26$38
KEMPER CORP 642 +329 $38
     KMPR642+329$38
LEGALZOOM COM INC 4,474 +3,406 $38
     LZ4,474+3,406$38
PROS HOLDINGS INC 1,328 +1,328 $38
     PRO1,328+1,328$38
QUINSTREET INC 2,286 +2,266 $38
     QNST2,286+2,266$38
RAMBUS INC DEL 655 +655 $38
     RMBS655+655$38
UFP INDUSTRIES INC 342 -27 $38
     UFPI342-27$38
URBAN OUTFITTERS INC 924 +876 $38
     URBN924+876$38
WEBSTER FINL CORP 881 -15 $38
     WBS881-15$38
ANGIODYNAMICS INC 6,047 +2,594 $37
     ANGO6,047+2,594$37
ASGN INC 420 +420 $37
     ASGN420+420$37
AEROVATE THERAPEUTICS INC      $37
     Call22,500+22,500$37
BOX INC 1,418 +1,084 $37
     BOX1,418+1,084$37
CHIPOTLE MEXICAN GRILL INC 585 +585 $37
     CMG585+585$37
DUPONT DE NEMOURS INC 462 +462 $37
     DD462+462$37
FRONTDOOR INC 1,085 +894 $37
     FTDR1,085+894$37
GATX CORP 282 +282 $37
     GATX282+282$37
OKTA INC 395 -851 $37
     OKTA395-851$37
PENUMBRA INC 207 -13 $37
     PEN207-13$37
PLANET FITNESS INC 500 +318 $37
     PLNT500+318$37
WESBANCO INC 1,337 +913 $37
     WSBC1,337+913$37
ZOOMINFO TECHNOLOGIES INC 2,861 -925 $37
     ZI2,861-925$37
A MARK PRECIOUS METALS INC 1,112 +539 $36
     AMRK1,112+539$36
CAL MAINE FOODS INC 581 +553 $36
     CALM581+553$36
CHUYS HLDGS INC 1,399 +1,399 $36
     CHUY1,399+1,399$36
ANNALY CAPITAL MANAGEMENT IN 1,893 +1,893 $36
     NLY1,893+1,893$36
RUSH ENTERPRISES INC 863 +863 $36
     RUSHA863+863$36
STIFEL FINL CORP 424 -373 $36
     SF424-373$36
STARWOOD PPTY TR INC 1,918 +1,918 $36
     STWD1,918+1,918$36
XENCOR INC 1,892 +1,892 $36
     XNCR1,892+1,892$36
ZOETIS INC 209 +153 $36
     ZTS209+153$36
BILL HOLDINGS INC 656 -327 $35
     BILL656-327$35
DUET ACQUISITION CORP 3,170 UNCH $35
     DUET3,170UNCH$35
ICF INTL INC 236 +184 $35
     ICFI236+184$35
INGREDION INC 309 UNCH $35
     INGR309UNCH$35
ITRON INC 352 +122 $35
     ITRI352+122$35
KNIGHT SWIFT TRANSN HLDGS IN 702 +54 $35
     KNX702+54$35
PAYCHEX INC 293 +177 $35
     PAYX293+177$35
REXFORD INDL RLTY INC 780 -311 $35
     REXR780-311$35
SMUCKER J M CO 322 +219 $35
     SJM322+219$35
TERADYNE INC 235 +169 $35
     TER235+169$35
TRIPLEPOINT VENTURE GROWTH B 4,349 +4,349 $35
     TPVG4,349+4,349$35
WILLIAMS COS INC 823 +823 $35
     WMB823+823$35
CATERPILLAR INC 103 -52 $34
     CAT103-52$34
INTRA CELLULAR THERAPIES INC 500 -1,000 $34
     ITCI500-1,000$34
NAPCO SEC TECHNOLOGIES INC 654 +312 $34
     NSSC654+312$34
NATERA INC 318 +190 $34
     NTRA318+190$34
PENNANTPARK FLOATING RATE CA 2,920 +2,920 $34
     PFLT2,920+2,920$34
TJX COS INC NEW 305 -11 $34
     TJX305-11$34
TRADEWEB MKTS INC 325 +325 $34
     TW325+325$34
WEATHERFORD INTL PLC 281 -136 $34
     WFRD281-136$34
AMERISAFE INC 756 +689 $33
     AMSF756+689$33
APPLE HOSPITALITY REIT INC 2,302 +1,290 $33
     APLE2,302+1,290$33
BLACKROCK INC 42 -22 $33
     BLK42-22$33
BOSTON SCIENTIFIC CORP 430 +430 $33
     BSX430+430$33
DANA INC 2,710 +2,710 $33
     DAN2,710+2,710$33
DIAMONDROCK HOSPITALITY CO 3,949 +3,769 $33
     DRH3,949+3,769$33
ENHABIT INC 3,703 +2,621 $33
     EHAB3,703+2,621$33
ENERSYS 322 -257 $33
     ENS322-257$33
ESSENTIAL PPTYS RLTY TR INC 1,195 +1,027 $33
     EPRT1,195+1,027$33
NATIONAL BEVERAGE CORP 637 +544 $33
     FIZZ637+544$33
HANMI FINL CORP 1,967 -588 $33
     HAFC1,967-588$33
ICHOR HOLDINGS 868 +433 $33
     ICHR868+433$33
MONGODB INC 134 +129 $33
     MDB134+129$33
OLAPLEX HLDGS INC 21,416 +21,416 $33
     OLPX21,416+21,416$33
PARAMOUNT GLOBAL 3,204 +273 $33
     PARA3,204+273$33
UNIFIRST CORP MASS 190 +179 $33
     UNF190+179$33
UNITEDHEALTH GROUP INC 65 +37 $33
     UNH65+37$33
WEX INC 188 +165 $33
     WEX188+165$33
WORKIVA INC 453 +166 $33
     WK453+166$33
BLACKLINE INC 666 +666 $32
     BL666+666$32
CARLYLE GROUP INC 786 -326 $32
     CG786-326$32
COLGATE PALMOLIVE CO 330 -24 $32
     CL330-24$32
DLOCAL LTD 3,919 +3,599 $32
     DLO3,919+3,599$32
EVOLENT HEALTH INC 1,651 +1,651 $32
     EVH1,651+1,651$32
FIVERR INTL LTD 1,359 -38 $32
     FVRR1,359-38$32
GREEN DOT CORP 3,370 +3,370 $32
     GDOT3,370+3,370$32
GMS INC 403 +109 $32
     GMS403+109$32
MARSH & MCLENNAN COS INC 154 -64 $32
     MMC154-64$32
MARVELL TECHNOLOGY INC 464 +464 $32
     MRVL464+464$32
NEXTRACKER INC 693 +22 $32
     NXT693+22$32
ON HLDG AG 830 +830 $32
     ONON830+830$32
PAGERDUTY INC 1,408 +1,322 $32
     PD1,408+1,322$32
UNITED RENTALS INC 49 -3 $32
     URI49-3$32
VICI PPTYS INC 1,127 +999 $32
     VICI1,127+999$32
WESTERN UN CO 2,588 +895 $32
     WU2,588+895$32
ALIGN TECHNOLOGY INC 127 +44 $31
     ALGN127+44$31
CHEWY INC 1,153 -1,004 $31
     CHWY1,153-1,004$31
CLOROX CO DEL 229 +114 $31
     CLX229+114$31
CISCO SYS INC 661 +456 $31
     CSCO661+456$31
CANADIAN SOLAR INC 2,070 +2,070 $31
     CSIQ2,070+2,070$31
CARLISLE COS INC 76 -8 $31
     CSL76-8$31
ELEMENT SOLUTIONS INC 1,132 +1,132 $31
     ESI1,132+1,132$31
FIRST FINL BANCORP OH 1,387 +282 $31
     FFBC1,387+282$31
FOOT LOCKER INC 1,242 +1,242 $31
     FL1,242+1,242$31
GREIF INC 545 +228 $31
     GEF545+228$31
HORACE MANN EDUCATORS CORP N 949 +899 $31
     HMN949+899$31
CARMAX INC 418 +184 $31
     KMX418+184$31
NERDWALLET INC 2,094 +2,094 $31
     NRDS2,094+2,094$31
PATRIA INVESTMENTS LIMITED 2,564 -487 $31
     PAX2,564-487$31
PFIZER INC 1,099 +1,099 $31
     PFE1,099+1,099$31
RETAIL OPPORTUNITY INVTS COR 2,473 -328 $31
     ROIC2,473-328$31
REPUBLIC SVCS INC 159 -383 $31
     RSG159-383$31
TUTOR PERINI CORP 1,433 -672 $31
     TPC1,433-672$31
WP CAREY INC 560 +357 $31
     WPC560+357$31
AMBAC FINL GROUP INC 2,364 +2,110 $30
     AMBC2,364+2,110$30
CHORD ENERGY CORPORATION 176 -92 $30
     CHRD176-92$30
DENNYS CORP 4,237 +2,617 $30
     DENN4,237+2,617$30
EQUITY LIFESTYLE PPTYS INC 462 -619 $30
     ELS462-619$30
EVERQUOTE INC 1,442 +985 $30
     EVER1,442+985$30
FIRST BANCORP P R 1,639 +321 $30
     FBP1,639+321$30
GLOBANT S A 170 +143 $30
     GLOB170+143$30
HELIOS TECHNOLOGIES INC 622 -147 $30
     HLIO622-147$30
EL POLLO LOCO HLDGS INC 2,664 +2,664 $30
     LOCO2,664+2,664$30
RAMACO RES INC 2,374 -904 $30
     METC2,374-904$30
MARKETAXESS HLDGS INC 151 +23 $30
     MKTX151+23$30
PROSPERITY BANCSHARES INC (PB) 494 +416 $30
     PB494+416$30
SLM CORP 1,441 -573 $30
     SLM1,441-573$30
SIMPLY GOOD FOODS CO 824 +824 $30
     SMPL824+824$30
SPORTRADAR GROUP AG 2,690 +1,754 $30
     SRAD2,690+1,754$30
SMITH & WESSON BRANDS INC 2,126 +2,052 $30
     SWBI2,126+2,052$30
TENABLE HLDGS INC 699 -76 $30
     TENB699-76$30
WENDYS CO 1,779 +1,779 $30
     WEN1,779+1,779$30
WOLVERINE WORLD WIDE INC 2,187 -963 $30
     WWW2,187-963$30
ZIMVIE INC 1,655 +1,277 $30
     ZIMV1,655+1,277$30
GALLAGHER ARTHUR J & CO 110 +110 $29
     AJG110+110$29
SMITH A O CORP 359 +245 $29
     AOS359+245$29
ARCOS DORADOS HOLDINGS INC 3,239 +2,629 $29
     ARCO3,239+2,629$29
ATMUS FILTRATION TECHNOLOGIE 1,024 +1,024 $29
     ATMU1,024+1,024$29
PATHWARD FINANCIAL INC 519 +419 $29
     CASH519+419$29
CATHAY GEN BANCORP 765 +331 $29
     CATY765+331$29
CAVA GROUP INC 308 +1 $29
     CAVA308+1$29
MR COOPER GROUP INC 351 +351 $29
     COOP351+351$29
FARO TECHNOLOGIES INC 1,832 +1,651 $29
     FARO1,832+1,651$29
LENDINGCLUB CORP 3,373 -1,834 $29
     LC3,373-1,834$29
CLOUDFLARE INC 345 +146 $29
     NET345+146$29
NMI HLDGS INC 858 +493 $29
     NMIH858+493$29
PAYONEER GLOBAL INC 5,190 +5,190 $29
     PAYO5,190+5,190$29
PHINIA INC 725 -75 $29
     PHIN725-75$29
PERDOCEO ED CORP 1,350 +1,254 $29
     PRDO1,350+1,254$29
LIVERAMP HLDGS INC 935 +915 $29
     RAMP935+915$29
RAYMOND JAMES FINL INC 233 +233 $29
     RJF233+233$29
RENASANT CORP 934 +817 $29
     RNST934+817$29
RTX CORPORATION 284 -27 $29
     RTX284-27$29
REVVITY INC 274 -406 $29
     RVTY274-406$29
RAYONIER ADVANCED MATLS INC 5,258 +5,258 $29
     RYAM5,258+5,258$29
STAGWELL INC 4,205 +4,205 $29
     STGW4,205+4,205$29
SENSIENT TECHNOLOGIES CORP 386 +386 $29
     SXT386+386$29
VERONA PHARMA PLC 2,000 -3,500 $29
     VRNA2,000-3,500$29
CHIMERA INVT CORP 2,203 +2,032 $28
     CIM2,203+2,032$28
SALESFORCE INC 108 -152 $28
     CRM108-152$28
DUOLINGO INC 133 +14 $28
     DUOL133+14$28
LIBERTY MEDIA CORP DEL 726 +726 $28
     LLYVK726+726$28
MIDDLEBY CORP 231 +132 $28
     MIDD231+132$28
BANK OF NT BUTTERFIELD&SON L 792 -605 $28
     NTB792-605$28
OWENS & MINOR INC NEW 2,099 +1,561 $28
     OMI2,099+1,561$28
ONESPAN INC 2,161 +1,936 $28
     OSPN2,161+1,936$28
PRIMORIS SVCS CORP 555 -409 $28
     PRIM555-409$28
SPROUT SOCIAL INC 783 +751 $28
     SPT783+751$28
THOR INDS INC 297 +297 $28
     THO297+297$28
AUTODESK INC 108 -154 $27
     ADSK108-154$27
ENTEGRIS INC 199 +199 $27
     ENTG199+199$27
FORD MTR CO DEL 2,169 +2,169 $27
     F2,169+2,169$27
GENESCO INC 1,028 +1,028 $27
     GCO1,028+1,028$27
GREAT LAKES DREDGE & DOCK CO 3,097 +1,259 $27
     GLDD3,097+1,259$27
INMODE LTD 1,487 -934 $27
     INMD1,487-934$27
COCA COLA CO 418 +418 $27
     KO418+418$27
REGIONS FINANCIAL CORP NEW 1,335 +816 $27
     RF1,335+816$27
SEAGATE TECHNOLOGY HLDNGS PL 262 +262 $27
     STX262+262$27
TIDEWATER INC NEW 283 +283 $27
     TDW283+283$27
APA CORPORATION 883 -965 $26
     APA883-965$26
ARCBEST CORP 245 +134 $26
     ARCB245+134$26
ATI INC 477 +477 $26
     ATI477+477$26
AMERICAN VANGUARD CORP (AVD) 3,066 +1,317 $26
     AVD3,066+1,317$26
EXCELERATE ENERGY INC 1,413 -1,657 $26
     EE1,413-1,657$26
FLYWIRE CORPORATION 1,561 +1,561 $26
     FLYW1,561+1,561$26
IMMERSION CORP 2,786 +2,786 $26
     IMMR2,786+2,786$26
GARTNER INC 59 +15 $26
     IT59+15$26
KEYCORP 1,837 -1,126 $26
     KEY1,837-1,126$26
ON24 INC 4,275 +1,316 $26
     ONTF4,275+1,316$26
OUTFRONT MEDIA INC 1,837 +1,325 $26
     OUT1,837+1,325$26
PACCAR INC 257 +257 $26
     PCAR257+257$26
RYDER SYS INC 210 +55 $26
     R210+55$26
RINGCENTRAL INC 920 +167 $26
     RNG920+167$26
SITIO ROYALTIES CORP 1,088 +259 $26
     STR1,088+259$26
UNITED NAT FOODS INC 2,007 -891 $26
     UNFI2,007-891$26
UNIVERSAL INS HLDGS INC 1,395 +1,129 $26
     UVE1,395+1,129$26
VERINT SYS INC 793 +489 $26
     VRNT793+489$26
WATSCO INC 57 +57 $26
     WSO57+57$26
CENTRAL GARDEN & PET CO 754 +629 $25
     CENTA754+629$25
EXPONENT INC 265 +265 $25
     EXPO265+265$25
GLOBAL E ONLINE LTD 701 +75 $25
     GLBE701+75$25
KENNAMETAL INC 1,058 +704 $25
     KMT1,058+704$25
ONTO INNOVATION INC 113 +79 $25
     ONTO113+79$25
PROGYNY INC 880 +836 $25
     PGNY880+836$25
QUIDELORTHO CORP 747 -112 $25
     QDEL747-112$25
REYNOLDS CONSUMER PRODS INC 894 -375 $25
     REYN894-375$25
RED ROBIN GOURMET BURGERS IN 3,333 +3,333 $25
     RRGB3,333+3,333$25
SANDRIDGE ENERGY INC 1,933 +1,933 $25
     SD1,933+1,933$25
ZURN ELKAY WATER SOLNS CORP 836 +536 $25
     ZWS836+536$25
ADMA BIOLOGICS INC 2,156 +2,156 $24
     ADMA2,156+2,156$24
AMKOR TECHNOLOGY INC 601 +77 $24
     AMKR601+77$24
ANTERO RESOURCES CORP 733 +733 $24
     AR733+733$24
BOOKING HOLDINGS INC 6 UNCH $24
     BKNG6UNCH$24
CELANESE CORP DEL 178 +178 $24
     CE178+178$24
DOUBLEVERIFY HLDGS INC 1,246 +1,246 $24
     DV1,246+1,246$24
ENOVIX CORPORATION 1,523 +1,523 $24
     ENVX1,523+1,523$24
FORMFACTOR INC 397 +397 $24
     FORM397+397$24
FORTINET INC 396 -407 $24
     FTNT396-407$24
GRID DYNAMICS HLDGS INC 2,262 +1,399 $24
     GDYN2,262+1,399$24
HELIX ENERGY SOLUTIONS GRP I 2,015 +2,015 $24
     HLX2,015+2,015$24
IRON MTN INC DEL 266 -121 $24
     IRM266-121$24
MONEYLION INC 333 +333 $24
     ML333+333$24
MONDAY COM LTD 99 +53 $24
     MNDY99+53$24
RADIAN GROUP INC 756 +493 $24
     RDN756+493$24
YETI HLDGS INC 622 -598 $24
     YETI622-598$24
ADOBE INC 42 +42 $23
     ADBE42+42$23
AMCOR PLC 2,314 +2,314 $23
     AMCR2,314+2,314$23
BRIXMOR PPTY GROUP INC 1,004 -871 $23
     BRX1,004-871$23
CULLEN FROST BANKERS INC 231 +98 $23
     CFR231+98$23
CONMED CORP 331 +331 $23
     CNMD331+331$23
FIGS INC 4,263 +273 $23
     FIGS4,263+273$23
FLOWSERVE CORP 478 -1,546 $23
     FLS478-1,546$23
FABRINET 92 +49 $23
     FN92+49$23
FIRST MERCHANTS CORP 690 +536 $23
     FRME690+536$23
GRACO INC 294 +114 $23
     GGG294+114$23
HELEN OF TROY LTD 253 +115 $23
     HELE253+115$23
HENRY SCHEIN INC 357 +37 $23
     HSIC357+37$23
INTEGER HLDGS CORP 197 +197 $23
     ITGR197+197$23
JASPER THERAPEUTICS INC 1,000 +1,000 $23
     JSPR1,000+1,000$23
LOEWS CORP 312 +271 $23
     L312+271$23
LINDBLAD EXPEDITIONS HLDGS I 2,343 +2,343 $23
     LIND2,343+2,343$23
LIVANOVA PLC 412 +331 $23
     LIVN412+331$23
PEDIATRIX MEDICAL GROUP INC 3,073 +786 $23
     MD3,073+786$23
PATTERSON COS INC 944 +944 $23
     PDCO944+944$23
PENNYMAC FINL SVCS INC NEW 238 +238 $23
     PFSI238+238$23
PROASSURANCE CORP 1,901 +1,901 $23
     PRA1,901+1,901$23
SPS COMM INC 123 -19 $23
     SPSC123-19$23
SPARTANNASH CO 1,221 +1,221 $23
     SPTN1,221+1,221$23
SOLARWINDS CORP 1,936 +499 $23
     SWI1,936+499$23
STRYKER CORPORATION 67 -50 $23
     SYK67-50$23
TARGET CORP 156 -5 $23
     TGT156-5$23
WORTHINGTON ENTERPRISES INC 486 +394 $23
     WOR486+394$23
WILLSCOT MOBIL MINI HLDNG CO 603 +484 $23
     WSC603+484$23
ASSURED GUARANTY LTD 291 -1,536 $22
     AGO291-1,536$22
BUCKLE INC 583 +583 $22
     BKE583+583$22
COMPASS MINERALS INTL INC 2,137 +1,998 $22
     CMP2,137+1,998$22
COUPANG INC 1,058 -686 $22
     CPNG1,058-686$22
CSX CORP 648 -2,032 $22
     CSX648-2,032$22
EMERSON ELEC CO 204 -295 $22
     EMR204-295$22
FISERV INC 146 +116 $22
     FI146+116$22
FLUENCE ENERGY INC 1,248 +1,248 $22
     FLNC1,248+1,248$22
GUESS INC 1,060 +1,060 $22
     GES1,060+1,060$22
HEALTHEQUITY INC 260 +260 $22
     HQY260+260$22
INTERNATIONAL BUSINESS MACHS 128 -66 $22
     IBM128-66$22
NLIGHT INC 2,042 +1,882 $22
     LASR2,042+1,882$22
MASTERBRAND INC 1,530 +101 $22
     MBC1,530+101$22
MERITAGE HOMES CORP 139 +139 $22
     MTH139+139$22
OPTION CARE HEALTH INC 802 -958 $22
     OPCH802-958$22
ROYAL GOLD INC 173 -313 $22
     RGLD173-313$22
RYAN SPECIALTY HOLDINGS INC 386 -387 $22
     RYAN386-387$22
SOUTHSTATE CORPORATION 282 +282 $22
     SSB282+282$22
UNITY SOFTWARE INC 1,332 +1,332 $22
     U1,332+1,332$22
AMERICAN ASSETS TR INC 935 -966 $21
     AAT935-966$21
ALEXANDRIA REAL ESTATE EQ IN 176 +176 $21
     ARE176+176$21
ARRAY TECHNOLOGIES INC 2,011 +2,011 $21
     ARRY2,011+2,011$21
BROADRIDGE FINL SOLUTIONS IN 106 -18 $21
     BR106-18$21
BRIGHTSPIRE CAPITAL INC 3,708 -2,778 $21
     BRSP3,708-2,778$21
BEAZER HOMES USA INC 775 +775 $21
     BZH775+775$21
COMMERCE BANCSHARES INC (CBSH) 373 -522 $21
     CBSH373-522$21
COSTAMARE INC 1,272 -1,836 $21
     CMRE1,272-1,836$21
DOLLAR TREE INC 195 -33 $21
     DLTR195-33$21
FIRSTENERGY CORP 541 +541 $21
     FE541+541$21
FEDERAL SIGNAL CORP 249 +202 $21
     FSS249+202$21
GLOBAL BUSINESS TRAVEL GROUP 3,169 +3,169 $21
     GBTG3,169+3,169$21
GLOBALFOUNDRIES INC 407 +407 $21
     GFS407+407$21
GOLDEN OCEAN GROUP LTD 1,498 -2,181 $21
     GOGL1,498-2,181$21
GOODYEAR TIRE & RUBR CO 1,829 +1,294 $21
     GT1,829+1,294$21
KORRO BIO INC 632 +232 $21
     KRRO632+232$21
TOPGOLF CALLAWAY BRANDS CORP 1,344 +1,344 $21
     MODG1,344+1,344$21
NEWMARK GROUP INC 2,026 +2,015 $21
     NMRK2,026+2,015$21
ENVISTA HOLDINGS CORPORATION 1,267 +1,034 $21
     NVST1,267+1,034$21
PLYMOUTH INDL REIT INC 973 +702 $21
     PLYM973+702$21
RXSIGHT INC 350 +350 $21
     RXST350+350$21
MADDEN STEVEN LTD 498 +154 $21
     SHOO498+154$21
TITAN MACHY INC 1,336 +1,336 $21
     TITN1,336+1,336$21
UPBOUND GROUP INC 692 +398 $21
     UPBD692+398$21
ASPEN AEROGELS INC 819 +819 $20
     ASPN819+819$20
TOPBUILD CORP 52 +31 $20
     BLD52+31$20
CHEMOURS CO 885 +885 $20
     CC885+885$20
C H ROBINSON WORLDWIDE INC 223 +223 $20
     CHRW223+223$20
TRUMP MEDIA & TECHNOLOGY GRO      $20
     DWAC2,354+2,354$118
     Put3,000UNCH$98
EAGLE BANCORP INC MD 1,033 +24 $20
     EGBN1,033+24$20
FRESH DEL MONTE PRODUCE INC 932 +932 $20
     FDP932+932$20
GETTY RLTY CORP NEW 750 +750 $20
     GTY750+750$20
NETFLIX INC 30 -199 $20
     NFLX30-199$20
NOVOCURE LTD 1,172 -808 $20
     NVCR1,172-808$20
OSCAR HEALTH INC 1,284 -38,721 $20
     OSCR1,284-38,721$20
PROG HOLDINGS INC 577 +390 $20
     PRG577+390$20
RADNET INC 335 +61 $20
     RDNT335+61$20
STONEX GROUP INC 269 +230 $20
     SNEX269+230$20
SPOTIFY TECHNOLOGY S A 63 -10 $20
     SPOT63-10$20
XPO INC 185 -189 $20
     XPO185-189$20
ALLISON TRANSMISSION HLDGS I 244 -106 $19
     ALSN244-106$19
ARLO TECHNOLOGIES INC 1,466 +363 $19
     ARLO1,466+363$19
BOYD GAMING CORP 349 -397 $19
     BYD349-397$19
CARVANA CO 144 +137 $19
     CVNA144+137$19
HERITAGE INSURANCE HLDGS INC 2,710 +2,710 $19
     HRTG2,710+2,710$19
KEYSIGHT TECHNOLOGIES INC 137 +137 $19
     KEYS137+137$19
KRATOS DEFENSE & SEC SOLUTIO 939 +939 $19
     KTOS939+939$19
PAGAYA TECHNOLOGIES LTD 1,493 +1,493 $19
     PGY1,493+1,493$19
EPLUS INC 260 +237 $19
     PLUS260+237$19
RISKIFIED LTD 2,945 -1,149 $19
     RSKD2,945-1,149$19
SUN CTRY AIRLS HLDGS INC 1,536 -828 $19
     SNCY1,536-828$19
SPIRE INC 306 -535 $19
     SR306-535$19
AMPLITUDE INC 2,030 +2,030 $18
     AMPL2,030+2,030$18
ACUITY BRANDS INC 74 +54 $18
     AYI74+54$18
BOOT BARN HLDGS INC 136 +114 $18
     BOOT136+114$18
COSTCO WHSL CORP NEW 21 +7 $18
     COST21+7$18
CORBUS PHARMACEUTICALS HLDGS 400 -300 $18
     CRBP400-300$18
DAKTRONICS INC 1,308 +1,308 $18
     DAKT1,308+1,308$18
DESPEGAR COM CORP 1,337 +1,337 $18
     DESP1,337+1,337$18
EPR PPTYS 424 -65 $18
     EPR424-65$18
GIGACLOUD TECHNOLOGY INC 591 +591 $18
     GCT591+591$18
HARLEY DAVIDSON INC 537 +537 $18
     HOG537+537$18
INTEGRAL AD SCIENCE HLDNG CO 1,820 +1,820 $18
     IAS1,820+1,820$18
ICON PLC 56 -11 $18
     ICLR56-11$18
JAMF HLDG CORP 1,073 +973 $18
     JAMF1,073+973$18
KAISER ALUMINUM CORP 204 +204 $18
     KALU204+204$18
KLAVIYO INC 731 +552 $18
     KVYO731+552$18
MSA SAFETY INC 95 +95 $18
     MSA95+95$18
ONE GAS INC 284 +207 $18
     OGS284+207$18
RENAISSANCERE HLDGS LTD 79 +62 $18
     RNR79+62$18
SUNRUN INC 1,510 -26,397 $18
     RUN1,510-26,397$18
SKYWARD SPECIALTY INS GROUP 497 +174 $18
     SKWD497+174$18
TERADATA CORP DEL 509 -1,125 $18
     TDC509-1,125$18
TOWNEBANK PORTSMOUTH VA 647 +647 $18
     TOWN647+647$18
SIXTH STREET SPECIALTY LENDI 856 +365 $18
     TSLX856+365$18
ARCOSA INC 200 +148 $17
     ACA200+148$17
ARGAN INC 238 +238 $17
     AGX238+238$17
ANSYS INC 54 +29 $17
     ANSS54+29$17
BOISE CASCADE CO DEL 139 +28 $17
     BCC139+28$17
BRUKER CORP 272 +272 $17
     BRKR272+272$17
BERRY CORP 2,577 -2,441 $17
     BRY2,577-2,441$17
CALERES INC 497 -243 $17
     CAL497-243$17
FEDERATED HERMES INC 524 +109 $17
     FHI524+109$17
FIRST INTST BANCSYSTEM INC 596 -134 $17
     FIBK596-134$17
FLUOR CORP NEW 385 +202 $17
     FLR385+202$17
FASTLY INC 2,320 +2,054 $17
     FSLY2,320+2,054$17
GOODRX HLDGS INC 2,223 -48,246 $17
     GDRX2,223-48,246$17
GRANITE CONSTR INC 269 +269 $17
     GVA269+269$17
KIMBERLY CLARK CORP 125 +125 $17
     KMB125+125$17
MONTAUK RENEWABLES INC 2,994 +2,994 $17
     MNTK2,994+2,994$17
NETGEAR INC 1,115 -781 $17
     NTGR1,115-781$17
OAKTREE SPECIALTY LENDING CO 903 +903 $17
     OCSL903+903$17
ROCKWELL AUTOMATION INC 62 +62 $17
     ROK62+62$17
SEANERGY MARITIME HLDGS CORP 1,696 +1,696 $17
     SHIP1,696+1,696$17
SONOS INC 1,119 +428 $17
     SONO1,119+428$17
TENNANT CO 172 +172 $17
     TNC172+172$17
AMERICAN COASTAL INS CORP 1,559 +1,559 $16
     ACIC1,559+1,559$16
ACM RESH INC 696 +149 $16
     ACMR696+149$16
ACADEMY SPORTS & OUTDOORS IN 292 +292 $16
     ASO292+292$16
AVALONBAY CMNTYS INC 77 +44 $16
     AVB77+44$16
CONAGRA BRANDS INC 552 +552 $16
     CAG552+552$16
BRINKER INTL INC 219 +219 $16
     EAT219+219$16
CONSOLIDATED EDISON INC 184 +184 $16
     ED184+184$16
STEALTHGAS INC 2,118 +2,118 $16
     GASS2,118+2,118$16
GLAUKOS CORP 131 +131 $16
     GKOS131+131$16
GRANITE PT MTG TR INC 5,420 +4,413 $16
     GPMT5,420+4,413$16
HAWAIIAN ELEC INDUSTRIES 1,755 -4,971 $16
     HE1,755-4,971$16
KOSMOS ENERGY LTD 2,967 +2,829 $16
     KOS2,967+2,829$16
MATTEL INC 979 -330 $16
     MAT979-330$16
ON SEMICONDUCTOR CORP 240 +8 $16
     ON240+8$16
PAYLOCITY HLDG CORP 124 +124 $16
     PCTY124+124$16
IMPINJ INC 104 +104 $16
     PI104+104$16
XENIA HOTELS & RESORTS INC 1,144 +970 $16
     XHR1,144+970$16
C3 AI INC 512 +376 $15
     AI512+376$15
ANTERO MIDSTREAM CORP 1,007 +1,007 $15
     AM1,007+1,007$15
AMETEK INC 92 -238 $15
     AME92-238$15
AST SPACEMOBILE INC 1,297 +1,297 $15
     ASTS1,297+1,297$15
AXOGEN INC 2,005 +314 $15
     AXGN2,005+314$15
CARGURUS INC 586 +586 $15
     CARG586+586$15
CARPENTER TECHNOLOGY CORP 135 +105 $15
     CRS135+105$15
ELME COMMUNITIES 918 +381 $15
     ELME918+381$15
ENERPAC TOOL GROUP CORP 394 +394 $15
     EPAC394+394$15
FIVE BELOW INC 142 +16 $15
     FIVE142+16$15
HOME BANCSHARES INC (HOMB) 645 +454 $15
     HOMB645+454$15
HUNT J B TRANS SVCS INC 94 +14 $15
     JBHT94+14$15
LENNAR CORP 98 -166 $15
     LEN98-166$15
PIEDMONT OFFICE REALTY TR IN 2,013 +2,013 $15
     PDM2,013+2,013$15
PETIQ INC 670 +464 $15
     PETQ670+464$15
SHOALS TECHNOLOGIES GROUP IN 2,356 +2,033 $15
     SHLS2,356+2,033$15
SM ENERGY CO 349 +349 $15
     SM349+349$15
TD SYNNEX CORPORATION 127 -19 $15
     SNX127-19$15
TAYLOR MORRISON HOME CORP 270 +270 $15
     TMHC270+270$15
URBAN EDGE PPTYS 834 +834 $15
     UE834+834$15
VIR BIOTECHNOLOGY INC 1,697 +1,697 $15
     VIR1,697+1,697$15
WYNDHAM HOTELS & RESORTS INC 197 -734 $15
     WH197-734$15
ALVOTECH 1,184 +1,184 $14
     ALVO1,184+1,184$14
AMBARELLA INC 263 -61 $14
     AMBA263-61$14
CENTERSPACE 205 +205 $14
     CSR205+205$14
FOX FACTORY HLDG CORP 295 -21 $14
     FOXF295-21$14
FORWARD AIR CORP 746 +746 $14
     FWRD746+746$14
GLOBAL INDUSTRIAL COMPANY 458 +458 $14
     GIC458+458$14
GENCO SHIPPING & TRADING LTD 671 +671 $14
     GNK671+671$14
KOHLS CORP 617 +617 $14
     KSS617+617$14
KONTOOR BRANDS INC 217 -61 $14
     KTB217-61$14
KENVUE INC 788 +788 $14
     KVUE788+788$14
LCI INDS 139 +139 $14
     LCII139+139$14
MEDIAALPHA INC 1,094 +1,094 $14
     MAX1,094+1,094$14
MGM RESORTS INTERNATIONAL 315 +315 $14
     MGM315+315$14
MADISON SQUARE GARDEN ENTMT 401 +361 $14
     MSGE401+361$14
INSIGHT ENTERPRISES INC 69 +56 $14
     NSIT69+56$14
ONEMAIN HLDGS INC 285 -142 $14
     OMF285-142$14
PPL CORP 522 +450 $14
     PPL522+450$14
PROGRESS SOFTWARE CORP 252 +199 $14
     PRGS252+199$14
TEMPUR SEALY INTL INC 286 +286 $14
     TPX286+286$14
TRUPANION INC 467 +418 $14
     TRUP467+418$14
VITESSE ENERGY INC 595 +595 $14
     VTS595+595$14
DENTSPLY SIRONA INC 547 -644 $14
     XRAY547-644$14
ALASKA AIR GROUP INC 327 +327 $13
     ALK327+327$13
AVNET INC 250 +250 $13
     AVT250+250$13
ARMSTRONG WORLD INDS INC NEW 114 -289 $13
     AWI114-289$13
BANDWIDTH INC 790 -1,894 $13
     BAND790-1,894$13
BWX TECHNOLOGIES INC 140 -456 $13
     BWXT140-456$13
CECO ENVIRONMENTAL CORP 451 -386 $13
     CECO451-386$13
CREDO TECHNOLOGY GROUP HOLDI 410 +410 $13
     CRDO410+410$13
FIDUS INVT CORP 664 -791 $13
     FDUS664-791$13
GLOBAL MED REIT INC 1,457 -1,277 $13
     GMRE1,457-1,277$13
HUMANA INC 35 -161 $13
     HUM35-161$13
INDEPENDENT BK CORP MASS 261 +75 $13
     INDB261+75$13
LIVE OAK BANCSHARES INC (LOB) 359 +359 $13
     LOB359+359$13
MALIBU BOATS INC 366 -515 $13
     MBUU366-515$13
MAGNITE INC 1,009 -5,075 $13
     MGNI1,009-5,075$13
VAIL RESORTS INC 70 +70 $13
     MTN70+70$13
NASDAQ INC 209 -389 $13
     NDAQ209-389$13
NU SKIN ENTERPRISES INC 1,198 +1,198 $13
     NUS1,198+1,198$13
NEXPOINT DIVERSIFIED REL ET 2,303 +2,303 $13
     NXDT2,303+2,303$13
NXP SEMICONDUCTORS N V 48 -25 $13
     NXPI48-25$13
OMNICELL COM 494 -16,194 $13
     OMCL494-16,194$13
PREFERRED BK LOS ANGELES CA 175 +175 $13
     PFBC175+175$13
PRIVIA HEALTH GROUP INC 735 -23,154 $13
     PRVA735-23,154$13
REV GROUP INC 541 -672 $13
     REVG541-672$13
RANGE RES CORP 399 +399 $13
     RRC399+399$13
SELECTIVE INS GROUP INC 135 +135 $13
     SIGI135+135$13
UNIVERSAL TECHNICAL INST INC 803 -957 $13
     UTI803-957$13
VERITEX HLDGS INC 634 +634 $13
     VBTX634+634$13
VTEX 1,768 +1,768 $13
     VTEX1,768+1,768$13
WEST PHARMACEUTICAL SVSC INC 38 +38 $13
     WST38+38$13
AMERICAN AIRLS GROUP INC 1,059 -775 $12
     AAL1,059-775$12
CABLE ONE INC 33 +33 $12
     CABO33+33$12
CIVITAS RESOURCES INC 179 -33 $12
     CIVI179-33$12
CNA FINL CORP 250 +250 $12
     CNA250+250$12
EQT CORP 313 +313 $12
     EQT313+313$12
FRANKLIN ELEC INC 121 -16 $12
     FELE121-16$12
COMFORT SYS USA INC 38 -28 $12
     FIX38-28$12
HAIN CELESTIAL GROUP INC 1,727 +1,524 $12
     HAIN1,727+1,524$12
INTEGRA LIFESCIENCES HLDGS C 425 -382 $12
     IART425-382$12
LIBERTY ENERGY INC 590