HoldingsChannel.com
All Stocks Held By Renaissance Technologies LLC
As of  03/31/2019
   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
VERISIGN INC 7,330,876 +299,876 $1,330,994
     VRSN7,330,876+299,876$1,330,994
NOVO NORDISK A S 21,344,916 +600,345 $1,116,553
     NVO21,344,916+600,345$1,116,553
PALO ALTO NETWORKS INC 4,484,150 +179,700 $1,089,110
     PANW4,484,150+179,700$1,089,110
CHIPOTLE MEXICAN GRILL INC 1,460,399 +219,940 $1,037,336
     CMG1,460,399+219,940$1,037,336
VERTEX PHARMACEUTICALS INC 5,078,717 +744,417 $934,230
     VRTX5,078,717+744,417$934,230
PEPSICO INC 7,188,514 -91,736 $880,952
     PEP7,188,514-91,736$880,952
HUMANA INC 3,111,000 -396,800 $827,526
     HUM3,111,000-396,800$827,526
VMWARE INC 4,582,800 -450,668 $827,241
     VMW4,582,800-450,668$827,241
STARBUCKS CORP 11,073,986 +8,988,102 $823,240
     SBUX11,073,986+8,988,102$823,240
DUKE ENERGY CORP NEW 8,156,229 -53,550 $734,061
     DUK8,156,229-53,550$734,061
DOMINOS PIZZA INC 2,773,500 -312,000 $715,840
     DPZ2,773,500-312,000$715,840
AMGEN INC 3,508,583 -70,017 $666,561
     AMGN3,508,583-70,017$666,561
FACEBOOK INC 3,858,696 -2,150,666 $643,206
     FB3,858,696-2,150,666$643,206
ALIGN TECHNOLOGY INC 2,260,000 -259,481 $642,586
     ALGN2,260,000-259,481$642,586
GLAXOSMITHKLINE PLC 14,272,600 +2,630,200 $596,452
     GSK14,272,600+2,630,200$596,452
PETROLEO BRASILEIRO SA PETRO      $594,519
     PBR34,718,800+8,429,500$552,723
     PBR.A2,922,800+2,256,200$41,796
BRISTOL MYERS SQUIBB CO 12,351,175 +5,404,300 $589,275
     BMY12,351,175+5,404,300$589,275
ABIOMED INC 2,060,923 +191,200 $588,579
     ABMD2,060,923+191,200$588,579
BP PLC 12,166,246 +803,600 $531,908
     BP12,166,246+803,600$531,908
GILEAD SCIENCES INC 8,120,248 +2,730,700 $527,897
     GILD8,120,248+2,730,700$527,897
MOLINA HEALTHCARE INC 3,695,205 -294,350 $524,571
     MOH3,695,205-294,350$524,571
PROGRESSIVE CORP OHIO 7,226,596 -604,800 $520,965
     PGR7,226,596-604,800$520,965
RALPH LAUREN CORP 3,934,994 +348,794 $510,290
     RL3,934,994+348,794$510,290
CROWN CASTLE INTL CORP NEW 3,903,300 -2,079,403 $499,622
     CCI3,903,300-2,079,403$499,622
MOMO INC 12,927,803 +1,482,100 $494,359
     MOMO12,927,803+1,482,100$494,359
NETAPP INC 6,835,540 +467,800 $473,976
     NTAP6,835,540+467,800$473,976
UDR INC 10,356,398 -530,200 $470,802
     UDR10,356,398-530,200$470,802
ETSY INC 6,938,000 +94,000 $466,372
     ETSY6,938,000+94,000$466,372
SOUTHERN CO 9,021,003 +683,100 $466,205
     SO9,021,003+683,100$466,205
AMERICAN TOWER CORP NEW 2,355,500 -741,700 $464,175
     AMT2,355,500-741,700$464,175
WAYFAIR INC 3,115,700 +1,397,000 $462,526
     W3,115,700+1,397,000$462,526
CELGENE CORP 4,813,100 +3,533,262 $454,068
     CELG4,813,100+3,533,262$454,068
HERBALIFE NUTRITION LTD 8,562,640 +362,500 $453,734
     HLF8,562,640+362,500$453,734
CBOE GLOBAL MARKETS INC 4,619,053 +379,400 $440,842
     CBOE4,619,053+379,400$440,842
ATLASSIAN CORP PLC 3,851,500 +1,183,900 $432,870
     TEAM3,851,500+1,183,900$432,870
FIRSTENERGY CORP 10,072,908 -2,108,192 $419,134
     FE10,072,908-2,108,192$419,134
AMERICAN ELEC PWR CO INC 4,967,500 -1,118,200 $416,028
     AEP4,967,500-1,118,200$416,028
F5 NETWORKS INC 2,609,774 +135,300 $409,552
     FFIV2,609,774+135,300$409,552
ENTERGY CORP NEW 4,264,833 +385,100 $407,846
     ETR4,264,833+385,100$407,846
MONSTER BEVERAGE CORP NEW 7,210,304 +2,558,573 $393,538
     MNST7,210,304+2,558,573$393,538
BIOGEN INC 1,631,814 +617,100 $385,728
     BIIB1,631,814+617,100$385,728
EVERGY INC 6,537,958 -359,300 $379,528
     EVRG6,537,958-359,300$379,528
VODAFONE GROUP PLC NEW 20,874,856 +5,594,800 $379,505
     VOD20,874,856+5,594,800$379,505
GAMING & LEISURE PPTYS INC 9,600,212 +107,300 $370,280
     GLPI9,600,212+107,300$370,280
PUBLIC STORAGE 1,662,338 +130,315 $362,024
     PSA1,662,338+130,315$362,024
COLGATE PALMOLIVE CO 5,252,402 -327,000 $360,000
     CL5,252,402-327,000$360,000
SBA COMMUNICATIONS CORP NEW 1,794,649 -154,300 $358,320
     SBAC1,794,649-154,300$358,320
ASPEN TECHNOLOGY INC 3,428,903 -548,400 $357,497
     AZPN3,428,903-548,400$357,497
VALE S A 27,332,549 +25,648,449 $356,963
     VALE27,332,549+25,648,449$356,963
CLOROX CO DEL 2,221,994 -110,500 $356,541
     CLX2,221,994-110,500$356,541
TAIWAN SEMICONDUCTOR MFG LTD 8,658,282 +3,619,080 $354,643
     TSM8,658,282+3,619,080$354,643
APARTMENT INVT & MGMT CO 6,977,095 -304,790 $350,878
     AIV6,977,095-304,790$350,878
LAUDER ESTEE COS INC 2,090,930 -145,097 $346,153
     EL2,090,930-145,097$346,153
EQUITY LIFESTYLE PPTYS INC 3,021,501 -480,800 $345,358
     ELS3,021,501-480,800$345,358
KOHLS CORP 4,839,144 +896,282 $332,788
     KSS4,839,144+896,282$332,788
HOME DEPOT INC 1,731,314 +135,414 $332,222
     HD1,731,314+135,414$332,222
ALLERGAN PLC 2,258,366 +448,231 $330,647
     AGN2,258,366+448,231$330,647
AMEREN CORP 4,491,800 -364,400 $330,372
     AEE4,491,800-364,400$330,372
WEC ENERGY GROUP INC 4,093,302 -367,500 $323,698
     WEC4,093,302-367,500$323,698
FORTINET INC 3,738,700 +1,061,600 $313,939
     FTNT3,738,700+1,061,600$313,939
AMAZON COM INC 174,155 +174,155 $310,127
     AMZN174,155+174,155$310,127
NOVARTIS A G 3,214,500 -281,998 $309,042
     NVS3,214,500-281,998$309,042
CME GROUP INC 1,868,208 +1,730,489 $307,470
     CME1,868,208+1,730,489$307,470
UNITEDHEALTH GROUP INC 1,240,126 +1,002,800 $306,634
     UNH1,240,126+1,002,800$306,634
HERSHEY CO 2,650,764 +297,800 $304,387
     HSY2,650,764+297,800$304,387
ICON PLC 2,221,160 +325,860 $303,366
     ICLR2,221,160+325,860$303,366
NATIONAL GRID PLC 5,310,326 +628,900 $296,529
     NGG5,310,326+628,900$296,529
AVALONBAY CMNTYS INC 1,468,914 -294,600 $294,855
     AVB1,468,914-294,600$294,855
BERKSHIRE HATHAWAY INC DEL      $292,366
     BRK.B1,336,900+1,336,900$268,570
     BRK.A79+14$23,796
JAZZ PHARMACEUTICALS PLC 1,993,101 +842,900 $284,914
     JAZZ1,993,101+842,900$284,914
TORONTO DOMINION BK ONT 5,176,258 -1,754,300 $281,206
     TD5,176,258-1,754,300$281,206
KELLOGG CO 4,900,283 +3,010,500 $281,178
     K4,900,283+3,010,500$281,178
EXPEDIA GROUP INC 2,349,391 -193,900 $279,578
     EXPE2,349,391-193,900$279,578
COSTCO WHSL CORP NEW 1,154,172 +431,987 $279,471
     COST1,154,172+431,987$279,471
XCEL ENERGY INC 4,900,130 -370,000 $275,436
     XEL4,900,130-370,000$275,436
SPRINT CORPORATION 48,569,462 +15,993,723 $274,417
     S48,569,462+15,993,723$274,417
CHARLES RIV LABS INTL INC 1,885,700 +8,591 $273,898
     CRL1,885,700+8,591$273,898
LOWES COS INC 2,493,390 +398,875 $272,951
     LOW2,493,390+398,875$272,951
CONSOLIDATED EDISON INC 3,186,400 -355,900 $270,239
     ED3,186,400-355,900$270,239
GODADDY INC 3,565,400 -204,600 $268,082
     GDDY3,565,400-204,600$268,082
CHINA MOBILE LIMITED 5,230,097 +332,500 $266,683
     CHL5,230,097+332,500$266,683
UNITED THERAPEUTICS CORP DEL 2,241,778 +45,000 $263,117
     UTHR2,241,778+45,000$263,117
DTE ENERGY CO 2,095,900 -757,800 $261,443
     DTE2,095,900-757,800$261,443
ZOETIS INC 2,589,375 +291,000 $260,672
     ZTS2,589,375+291,000$260,672
KINDER MORGAN INC DEL 12,891,100 +2,813,600 $257,951
     KMI12,891,100+2,813,600$257,951
PINNACLE WEST CAP CORP 2,695,350 -466,300 $257,622
     PNW2,695,350-466,300$257,622
RYANAIR HLDGS PLC 3,431,619 +263,000 $257,166
     RYAAY3,431,619+263,000$257,166
EOG RES INC 2,660,800 +1,575,770 $253,255
     EOG2,660,800+1,575,770$253,255
CATERPILLAR INC DEL 1,862,604 +1,843,304 $252,364
     CAT1,862,604+1,843,304$252,364
CABLE ONE INC 256,900 +29,400 $252,117
     CABO256,900+29,400$252,117
MICROSOFT CORP 2,122,784 +2,122,784 $250,361
     MSFT2,122,784+2,122,784$250,361
CONOCOPHILLIPS 3,731,213 +2,772,100 $249,021
     COP3,731,213+2,772,100$249,021
WORLD WRESTLING ENTMT INC 2,864,500 +272,200 $248,581
     WWE2,864,500+272,200$248,581
JOHNSON & JOHNSON 1,768,467 +1,358,665 $247,214
     JNJ1,768,467+1,358,665$247,214
EDISON INTL 3,970,590 +555,190 $245,859
     EIX3,970,590+555,190$245,859
IDEXX LABS INC 1,089,125 -427,204 $243,528
     IDXX1,089,125-427,204$243,528
VISA INC 1,535,147 -130,176 $239,775
     V1,535,147-130,176$239,775
AGILENT TECHNOLOGIES INC 2,957,000 +311,600 $237,684
     A2,957,000+311,600$237,684
UNION PACIFIC CORP 1,388,700 +1,388,700 $232,191
     UNP1,388,700+1,388,700$232,191
FRANCO NEVADA CORP 3,053,431 +195,400 $229,160
     FNV3,053,431+195,400$229,160
ESSEX PPTY TR INC 791,800 +9,874 $229,020
     ESS791,800+9,874$229,020
EXELIXIS INC 9,565,273 +3,645,546 $227,653
     EXEL9,565,273+3,645,546$227,653
MARKEL CORP 228,411 -1,210 $227,552
     MKL228,411-1,210$227,552
MONDELEZ INTL INC 4,521,053 +4,363,698 $225,691
     MDLZ4,521,053+4,363,698$225,691
EVERSOURCE ENERGY 3,179,347 -777,453 $225,575
     ES3,179,347-777,453$225,575
CHEVRON CORP NEW 1,830,284 +1,830,284 $225,454
     CVX1,830,284+1,830,284$225,454
ROYAL BK CDA MONTREAL QUE 2,972,279 +512,600 $224,534
     RY2,972,279+512,600$224,534
INTERNATIONAL BUSINESS MACHS 1,584,900 +1,584,900 $223,629
     IBM1,584,900+1,584,900$223,629
WIX COM LTD 1,837,700 +98,000 $222,049
     WIX1,837,700+98,000$222,049
FIDELITY NATL INFORMATION SV 1,938,001 +1,938,001 $219,188
     FIS1,938,001+1,938,001$219,188
WELLTOWER INC 2,811,922 -128,800 $218,205
     WELL2,811,922-128,800$218,205
FISERV INC 2,458,508 +2,451,108 $217,037
     FISV2,458,508+2,451,108$217,037
ACTIVISION BLIZZARD INC 4,702,798 +4,702,798 $214,118
     ATVI4,702,798+4,702,798$214,118
TELUS CORP 5,673,600 +141,900 $210,150
     TU5,673,600+141,900$210,150
MOBILE TELESYSTEMS PJSC 27,653,596 +2,038,500 $209,061
     MBT27,653,596+2,038,500$209,061
BANK N S HALIFAX 3,910,400 +795,900 $208,346
     BNS3,910,400+795,900$208,346
VENTAS INC 3,261,420 +313,800 $208,111
     VTR3,261,420+313,800$208,111
HAEMONETICS CORP 2,375,700 -43,900 $207,826
     HAE2,375,700-43,900$207,826
HORIZON PHARMA PLC 7,857,775 +1,791,500 $207,681
     HZNP7,857,775+1,791,500$207,681
WASTE CONNECTIONS INC 2,329,575 -298,675 $206,378
     WCN2,329,575-298,675$206,378
CITRIX SYS INC 2,033,690 +756,300 $202,678
     CTXS2,033,690+756,300$202,678
KINROSS GOLD CORP 58,708,656 +3,028,573 $201,958
     KGC58,708,656+3,028,573$201,958
ABBVIE INC 2,474,056 +2,374,556 $199,384
     ABBV2,474,056+2,374,556$199,384
EQUINOR ASA 9,003,623 -200,800 $197,810
     EQNR9,003,623-200,800$197,810
PHILIP MORRIS INTL INC 2,193,243 +403,843 $193,861
     PM2,193,243+403,843$193,861
ERICSSON 21,103,800 +5,617,800 $193,733
     ERIC21,103,800+5,617,800$193,733
NEWMONT MNG CORP 5,375,400 +5,174,700 $192,278
     NEM5,375,400+5,174,700$192,278
OLD REP INTL CORP 9,151,078 -131,100 $191,441
     ORI9,151,078-131,100$191,441
NRG ENERGY INC 4,489,500 -2,002,216 $190,714
     NRG4,489,500-2,002,216$190,714
ROGERS COMMUNICATIONS INC 3,532,683 +567,900 $190,130
     RCI3,532,683+567,900$190,130
GENERAL MLS INC 3,673,984 +2,581,564 $190,129
     GIS3,673,984+2,581,564$190,129
MSCI INC 946,367 +37,579 $188,176
     MSCI946,367+37,579$188,176
UNITED CONTL HLDGS INC 2,348,718 -430,959 $187,381
     UAL2,348,718-430,959$187,381
RENAISSANCERE HOLDINGS LTD 1,284,915 -39,400 $184,385
     RNR1,284,915-39,400$184,385
ROKU INC 2,855,600 +2,855,600 $184,215
     ROKU2,855,600+2,855,600$184,215
MCDONALDS CORP 965,700 +448,200 $183,386
     MCD965,700+448,200$183,386
COGENT COMMUNICATIONS HLDGS 3,376,400 -37,200 $183,170
     CCOI3,376,400-37,200$183,170
ROYAL DUTCH SHELL PLC      $182,480
     RDS.A1,608,059+1,608,059$100,648
     RDS.B1,279,627+654,800$81,832
ALTICE USA INC 8,484,000 +3,898,100 $182,236
     ATUS8,484,000+3,898,100$182,236
DELL TECHNOLOGIES INC 3,099,345 +262,890 $181,901
     DELL3,099,345+262,890$181,901
SANDERSON FARMS INC 1,358,700 -418,317 $179,131
     SAFM1,358,700-418,317$179,131
LIGAND PHARMACEUTICALS INC 1,415,708 -65,111 $177,969
     LGND1,415,708-65,111$177,969
TERADATA CORP DEL 4,058,100 +2,147,482 $177,136
     TDC4,058,100+2,147,482$177,136
LAMAR ADVERTISING CO NEW 2,205,812 +71,200 $174,833
     LAMR2,205,812+71,200$174,833
DOLBY LABORATORIES INC 2,763,700 +308,300 $174,030
     DLB2,763,700+308,300$174,030
ANNALY CAP MGMT INC 17,177,762 +7,674,000 $171,606
     NLY17,177,762+7,674,000$171,606
MKS INSTRUMENT INC 1,832,500 -298,452 $170,514
     MKSI1,832,500-298,452$170,514
COCA COLA CO 3,604,800 +3,280,200 $168,921
     KO3,604,800+3,280,200$168,921
GENOMIC HEALTH INC 2,379,500 +432,400 $166,684
     GHDX2,379,500+432,400$166,684
DOUGLAS EMMETT INC 4,092,600 +398,400 $165,423
     DEI4,092,600+398,400$165,423
VEEVA SYS INC 1,292,304 +248,600 $163,942
     VEEV1,292,304+248,600$163,942
TERADYNE INC 4,099,200 +2,336,100 $163,312
     TER4,099,200+2,336,100$163,312
MID AMER APT CMNTYS INC 1,487,690 +10,540 $162,649
     MAA1,487,690+10,540$162,649
USANA HEALTH SCIENCES INC 1,907,366 +25,692 $159,971
     USNA1,907,366+25,692$159,971
WALMART INC 1,637,751 +1,612,351 $159,730
     WMT1,637,751+1,612,351$159,730
ARCH CAP GROUP LTD 4,917,600 -131,500 $158,937
     ACGL4,917,600-131,500$158,937
AT&T INC 5,052,986 +5,052,986 $158,462
     T5,052,986+5,052,986$158,462
MICRON TECHNOLOGY INC 3,830,675 -790,836 $158,322
     MU3,830,675-790,836$158,322
PVH CORP 1,295,845 -5,500 $158,028
     PVH1,295,845-5,500$158,028
PFIZER INC 3,706,141 +3,706,141 $157,400
     PFE3,706,141+3,706,141$157,400
CHARTER COMMUNICATIONS INC N 451,100 +451,100 $156,491
     CHTR451,100+451,100$156,491
LAMB WESTON HLDGS INC 2,053,200 +131,000 $153,867
     LW2,053,200+131,000$153,867
SUN CMNTYS INC 1,288,800 -271,000 $152,749
     SUI1,288,800-271,000$152,749
CMS ENERGY CORP 2,714,900 -729,500 $150,786
     CMS2,714,900-729,500$150,786
DEXCOM INC 1,262,141 +287,553 $150,321
     DXCM1,262,141+287,553$150,321
GENERAL ELECTRIC CO 15,009,654 +15,009,654 $149,946
     GE15,009,654+15,009,654$149,946
SHOPIFY INC 720,600 +714,800 $148,890
     SHOP720,600+714,800$148,890
HEICO CORP NEW      $148,521
     HEI.A1,727,745-107,900$145,234
     HEI34,646-242,326$3,287
WATERS CORP 584,725 -171,400 $147,181
     WAT584,725-171,400$147,181
FACTSET RESH SYS INC 591,600 +97,700 $146,877
     FDS591,600+97,700$146,877
ECOPETROL S A 6,796,100 -508,000 $145,708
     EC6,796,100-508,000$145,708
UGI CORP NEW 2,626,550 -116,900 $145,563
     UGI2,626,550-116,900$145,563
CHINA PETE & CHEM CORP 1,821,240 +201,740 $144,789
     SNP1,821,240+201,740$144,789
NATIONAL BEVERAGE CORP 2,483,500 +166,600 $143,372
     FIZZ2,483,500+166,600$143,372
MELLANOX TECHNOLOGIES LTD 1,210,783 +382,727 $143,308
     MLNX1,210,783+382,727$143,308
CHENIERE ENERGY INC 2,076,040 -753,348 $141,918
     LNG2,076,040-753,348$141,918
BEST BUY INC 1,989,730 +586,100 $141,390
     BBY1,989,730+586,100$141,390
ALLIANT ENERGY CORP 2,967,304 +285,000 $139,849
     LNT2,967,304+285,000$139,849
WESTERN DIGITAL CORP 2,883,149 +1,734,749 $138,564
     WDC2,883,149+1,734,749$138,564
WELLS FARGO CO NEW 2,844,500 +2,772,700 $137,446
     WFC2,844,500+2,772,700$137,446
AFFILIATED MANAGERS GROUP IN 1,280,000 +317,700 $137,101
     AMG1,280,000+317,700$137,101
PURE STORAGE INC 6,251,500 -696,300 $136,220
     PSTG6,251,500-696,300$136,220
SCHLUMBERGER LTD 3,107,004 -5,308,163 $135,372
     SLB3,107,004-5,308,163$135,372
ARISTA NETWORKS INC 430,400 -329,500 $135,344
     ANET430,400-329,500$135,344
REGENCY CTRS CORP 1,990,359 +425,300 $134,329
     REG1,990,359+425,300$134,329
CIGNA CORP NEW 828,559 +130,100 $133,249
     CI828,559+130,100$133,249
LYONDELLBASELL INDUSTRIES N 1,581,000 +346,700 $132,930
     LYB1,581,000+346,700$132,930
ANADARKO PETE CORP 2,920,800 +2,132,600 $132,838
     APC2,920,800+2,132,600$132,838
SONY CORP 3,139,000 +954,900 $132,591
     SNE3,139,000+954,900$132,591
DISNEY WALT CO 1,193,127 +1,055,720 $132,473
     DIS1,193,127+1,055,720$132,473
FIRSTCASH INC 1,528,924 -55,500 $132,252
     FCFS1,528,924-55,500$132,252
BROWN & BROWN INC 4,479,400 -873,200 $132,187
     BRO4,479,400-873,200$132,187
ENCOMPASS HEALTH CORP 2,238,000 +80,100 $130,699
     EHC2,238,000+80,100$130,699
TESLA INC 466,892 +189,800 $130,664
     TSLA466,892+189,800$130,664
BCE INC 2,941,098 -230,400 $130,555
     BCE2,941,098-230,400$130,555
CNOOC LTD 699,800 +8,800 $129,995
     CEO699,800+8,800$129,995
CABOT MICROELECTRONICS CORP 1,150,639 -173,427 $128,826
     CCMP1,150,639-173,427$128,826
COGNIZANT TECHNOLOGY SOLUTIO 1,777,352 +1,084,800 $128,769
     CTSH1,777,352+1,084,800$128,769
CTRIP COM INTL LTD 2,937,200 +2,260,600 $128,326
     CTRP2,937,200+2,260,600$128,326
RAYONIER INC 4,011,750 -28,900 $126,450
     RYN4,011,750-28,900$126,450
VARIAN MED SYS INC 889,793 -310,500 $126,101
     VAR889,793-310,500$126,101
EBAY INC 3,363,340 +3,363,340 $124,914
     EBAY3,363,340+3,363,340$124,914
MASTERCARD INC 526,549 -157,895 $123,976
     MA526,549-157,895$123,976
SINCLAIR BROADCAST GROUP INC 3,218,563 +1,651,692 $123,850
     SBGI3,218,563+1,651,692$123,850
PRICE T ROWE GROUP INC 1,221,400 +329,000 $122,287
     TROW1,221,400+329,000$122,287
THE CHARLES SCHWAB CORPORATI 2,856,300 +2,856,300 $122,135
     SCHW2,856,300+2,856,300$122,135
MATCH GROUP INC 2,156,300 +1,725,700 $122,068
     MTCH2,156,300+1,725,700$122,068
FIRST INDUSTRIAL REALTY TRUS 3,429,000 -193,400 $121,249
     FR3,429,000-193,400$121,249
HSBC HLDGS PLC 2,985,727 +1,749,927 $121,161
     HSBC2,985,727+1,749,927$121,161
MARKETAXESS HLDGS INC 491,200 +118,300 $120,874
     MKTX491,200+118,300$120,874
COMMVAULT SYSTEMS INC 1,860,087 +123,500 $120,422
     CVLT1,860,087+123,500$120,422
P T TELEKOMUNIKASI INDONESIA 4,375,300 +251,300 $120,146
     TLK4,375,300+251,300$120,146
ECHOSTAR CORP 3,281,080 +332,864 $119,595
     SATS3,281,080+332,864$119,595
PNM RES INC 2,525,800 -245,600 $119,571
     PNM2,525,800-245,600$119,571
MERCADOLIBRE INC 234,300 +234,300 $118,961
     MELI234,300+234,300$118,961
PORTLAND GEN ELEC CO 2,291,528 +8,800 $118,793
     POR2,291,528+8,800$118,793
UBIQUITI NETWORKS INC 779,695 +148,000 $116,728
     UBNT779,695+148,000$116,728
CLEAN HARBORS INC 1,631,602 -18,100 $116,708
     CLH1,631,602-18,100$116,708
SKYWEST INC 2,148,600 -136,868 $116,647
     SKYW2,148,600-136,868$116,647
CHUNGHWA TELECOM CO LTD 3,272,046 +31,354 $116,321
     CHT3,272,046+31,354$116,321
CORESITE RLTY CORP 1,078,600 +119,100 $115,432
     COR1,078,600+119,100$115,432
TELEPHONE & DATA SYS INC 3,748,692 -492,500 $115,197
     TDS3,748,692-492,500$115,197
IDACORP INC 1,156,900 -200 $115,158
     IDA1,156,900-200$115,158
AGNC INVT CORP 6,379,629 -602,300 $114,833
     AGNC6,379,629-602,300$114,833
CAPITOL FED FINL INC 8,526,197 -298,100 $113,825
     CFFN8,526,197-298,100$113,825
POST HLDGS INC 1,040,000 +47,200 $113,776
     POST1,040,000+47,200$113,776
LANCASTER COLONY CORP 725,162 +28,762 $113,626
     LANC725,162+28,762$113,626
GENERAL DYNAMICS CORP 667,900 +667,900 $113,062
     GD667,900+667,900$113,062
AES CORP 6,213,900 +2,802,900 $112,347
     AES6,213,900+2,802,900$112,347
BRASKEM S A 4,349,500 +120,200 $112,304
     BAK4,349,500+120,200$112,304
IAC INTERACTIVECORP 533,227 +302,250 $112,036
     IAC533,227+302,250$112,036
CASELLA WASTE SYS INC 3,147,142 -56,558 $111,912
     CWST3,147,142-56,558$111,912
BAIDU INC 676,800 -373,500 $111,570
     BIDU676,800-373,500$111,570
HCA HEALTHCARE INC 853,800 +647,600 $111,318
     HCA853,800+647,600$111,318
HERTZ GLOBAL HLDGS INC 6,289,708 +2,041,160 $109,252
     HTZ6,289,708+2,041,160$109,252
TFS FINL CORP 6,595,300 +129,400 $108,625
     TFSL6,595,300+129,400$108,625
MEDIFAST INC 850,400 -139,600 $108,469
     MED850,400-139,600$108,469
ALEXION PHARMACEUTICALS INC 801,800 +420,700 $108,387
     ALXN801,800+420,700$108,387
LULULEMON ATHLETICA INC 653,300 +653,300 $107,056
     LULU653,300+653,300$107,056
AXIS CAPITAL HOLDINGS LTD 1,936,930 +468,200 $106,105
     AXS1,936,930+468,200$106,105
MACK CALI RLTY CORP 4,759,000 +348,400 $105,650
     CLI4,759,000+348,400$105,650
CADENCE DESIGN SYSTEM INC 1,638,202 -647,900 $104,042
     CDNS1,638,202-647,900$104,042
TEXAS INSTRS INC 976,500 -77,800 $103,577
     TXN976,500-77,800$103,577
BRADY CORP 2,227,698 -59,400 $103,387
     BRC2,227,698-59,400$103,387
IQVIA HLDGS INC 718,047 +387,147 $103,291
     IQV718,047+387,147$103,291
SPROUTS FMRS MKT INC 4,781,500 -38,500 $102,994
     SFM4,781,500-38,500$102,994
TOYOTA MOTOR CORP 859,210 +88,200 $101,404
     TM859,210+88,200$101,404
VECTOR GROUP LTD 9,353,873 -413,354 $100,928
     VGR9,353,873-413,354$100,928
STRATEGIC ED INC 765,547 -213,997 $100,524
     STRA765,547-213,997$100,524
JETBLUE AWYS CORP 6,139,304 +580,000 $100,439
     JBLU6,139,304+580,000$100,439
POTLATCHDELTIC CORPORATION 2,650,713 -154,148 $100,170
     PCH2,650,713-154,148$100,170
LOGITECH INTL S A 2,540,686 -85,156 $99,951
     LOGI2,540,686-85,156$99,951
EMERGENT BIOSOLUTIONS INC 1,978,402 +382,391 $99,949
     EBS1,978,402+382,391$99,949
DECKERS OUTDOOR CORP 679,100 +90,700 $99,821
     DECK679,100+90,700$99,821
FIVE BELOW INC 800,403 +140,700 $99,450
     FIVE800,403+140,700$99,450
YUM CHINA HLDGS INC 2,208,800 +495,300 $99,197
     YUMC2,208,800+495,300$99,197
CARDINAL HEALTH INC 2,043,720 -112,700 $98,405
     CAH2,043,720-112,700$98,405
ADVANCE AUTO PARTS INC 576,850 +272,800 $98,370
     AAP576,850+272,800$98,370
LAM RESEARCH CORP 545,981 -230,708 $97,736
     LRCX545,981-230,708$97,736
BIO TECHNE CORP 490,320 -130,900 $97,353
     TECH490,320-130,900$97,353
BRIXMOR PPTY GROUP INC 5,280,300 +493,500 $96,999
     BRX5,280,300+493,500$96,999
KLA TENCOR CORP 810,775 +421,285 $96,815
     KLAC810,775+421,285$96,815
OKTA INC 1,166,900 +50,900 $96,538
     OKTA1,166,900+50,900$96,538
PAN AMERICAN SILVER CORP 7,271,618 +313,601 $96,349
     PAAS7,271,618+313,601$96,349
CSG SYS INTL INC 2,271,822 +18,523 $96,098
     CSGS2,271,822+18,523$96,098
INTERPUBLIC GROUP COS INC 4,572,000 +3,304,800 $96,058
     IPG4,572,000+3,304,800$96,058
TRIBUNE MEDIA CO 2,067,300 -456,800 $95,385
     TRCO2,067,300-456,800$95,385
CINEMARK HOLDINGS INC 2,384,000 +1,065,600 $95,336
     CNK2,384,000+1,065,600$95,336
MONGODB INC 645,100 +324,500 $94,843
     MDB645,100+324,500$94,843
MOTOROLA SOLUTIONS INC 674,515 +674,515 $94,715
     MSI674,515+674,515$94,715
WSFS FINL CORP 2,437,033 +1,182,419 $94,069
     WSFS2,437,033+1,182,419$94,069
LILLY ELI & CO 724,654 +713,854 $94,031
     LLY724,654+713,854$94,031
HIGHWOODS PPTYS INC 2,004,900 -265,300 $93,789
     HIW2,004,900-265,300$93,789
LOCKHEED MARTIN CORP 311,700 +32,299 $93,560
     LMT311,700+32,299$93,560
AVIS BUDGET GROUP INC 2,676,180 +1,258,200 $93,292
     CAR2,676,180+1,258,200$93,292
CDN IMPERIAL BK COMM TORONTO 1,167,464 -16,700 $92,311
     CM1,167,464-16,700$92,311
ALLETE INC 1,119,706 +40,399 $92,073
     ALE1,119,706+40,399$92,073
NVR INC 33,220 +16,640 $91,920
     NVR33,220+16,640$91,920
CORVEL CORP 1,404,410 -11,890 $91,624
     CRVL1,404,410-11,890$91,624
GRUPO TELEVISA SA 8,232,525 +3,885,101 $91,052
     TV8,232,525+3,885,101$91,052
OCCIDENTAL PETE CORP 1,373,548 +410,600 $90,929
     OXY1,373,548+410,600$90,929
THE TRADE DESK INC 459,200 +95,300 $90,899
     TTD459,200+95,300$90,899
SHAKE SHACK INC 1,529,100 +330,700 $90,446
     SHAK1,529,100+330,700$90,446
INNOVIVA INC 6,445,288 +332,580 $90,427
     INVA6,445,288+332,580$90,427
PREMIER INC 2,620,109 +485,000 $90,368
     PINC2,620,109+485,000$90,368
NOVOCURE LTD 1,856,270 +785,800 $89,417
     NVCR1,856,270+785,800$89,417
BLUCORA INC 2,678,700 +8,100 $89,415
     BCOR2,678,700+8,100$89,415
BED BATH & BEYOND INC 5,222,860 +4,434,800 $88,736
     BBBY5,222,860+4,434,800$88,736
ALLISON TRANSMISSION HLDGS I 1,968,900 +574,900 $88,443
     ALSN1,968,900+574,900$88,443
BOEING CO 230,200 +63,800 $87,803
     BA230,200+63,800$87,803
MORNINGSTAR INC 696,270 +4,700 $87,723
     MORN696,270+4,700$87,723
HUBSPOT INC 525,000 +273,900 $87,260
     HUBS525,000+273,900$87,260
MIMECAST LTD 1,840,500 +199,800 $87,148
     MIME1,840,500+199,800$87,148
PPL CORP 2,735,400 +1,025,600 $86,822
     PPL2,735,400+1,025,600$86,822
COCA COLA FEMSA S A B DE C V 1,315,100 +80,300 $86,797
     KOF1,315,100+80,300$86,797
ZEBRA TECHNOLOGIES CORP 413,731 +315,500 $86,689
     ZBRA413,731+315,500$86,689
SQUARE INC 1,154,900 -387,900 $86,525
     SQ1,154,900-387,900$86,525
CHEMED CORP NEW 270,000 +10,300 $86,419
     CHE270,000+10,300$86,419
AMERICAN WTR WKS CO INC NEW 828,600 -315,602 $86,390
     AWK828,600-315,602$86,390
MACYS INC 3,593,264 +3,593,264 $86,346
     M3,593,264+3,593,264$86,346
ENDO INTL PLC 10,747,860 -956,311 $86,305
     ENDP10,747,860-956,311$86,305
CROCS INC 3,341,400 -384,900 $86,041
     CROX3,341,400-384,900$86,041
REGENERON PHARMACEUTICALS 208,262 -141,600 $85,517
     REGN208,262-141,600$85,517
WD 40 CO 503,638 -74,500 $85,336
     WDFC503,638-74,500$85,336
INSPERITY INC 682,246 +44,946 $84,367
     NSP682,246+44,946$84,367
BOSTON SCIENTIFIC CORP 2,190,929 +2,190,929 $84,088
     BSX2,190,929+2,190,929$84,088
FORD MTR CO DEL 9,533,809 +9,533,809 $83,707
     F9,533,809+9,533,809$83,707
KEYSIGHT TECHNOLOGIES INC 958,000 +231,100 $83,538
     KEYS958,000+231,100$83,538
SEAGATE TECHNOLOGY PLC 1,741,001 +835,007 $83,377
     STX1,741,001+835,007$83,377
CREDIT SUISSE GROUP 7,152,596 +1,738,108 $83,328
     CS7,152,596+1,738,108$83,328
WASHINGTON REAL ESTATE INVT 2,934,900 +503,100 $83,292
     WRE2,934,900+503,100$83,292
AMERICOLD RLTY TR 2,725,500 -58,800 $83,155
     COLD2,725,500-58,800$83,155
KB HOME 3,435,743 +725,553 $83,042
     KBH3,435,743+725,553$83,042
WORKIVA INC 1,634,402 +297,002 $82,864
     WK1,634,402+297,002$82,864
ORION ENGINEERED CARBONS S A 4,348,196 +329,000 $82,572
     OEC4,348,196+329,000$82,572
TAKE TWO INTERACTIVE SOFTWAR 874,950 +874,950 $82,569
     TTWO874,950+874,950$82,569
FIRSTSERVICE CORP NEW 922,293 -15,400 $82,398
     FSV922,293-15,400$82,398
GETTY RLTY CORP NEW 2,572,186 +30,300 $82,387
     GTY2,572,186+30,300$82,387
EATON CORP PLC 1,021,811 +636,800 $82,317
     ETN1,021,811+636,800$82,317
LOGMEIN INC 1,018,539 +80,500 $81,585
     LOGM1,018,539+80,500$81,585
WINGSTOP INC 1,065,900 +367,200 $81,040
     WING1,065,900+367,200$81,040
MARATHON OIL CORP 4,838,945 +2,156,599 $80,859
     MRO4,838,945+2,156,599$80,859
IAMGOLD CORP 23,141,496 +1,102,400 $80,301
     IAG23,141,496+1,102,400$80,301
MGIC INVT CORP WIS 6,087,900 +437,600 $80,299
     MTG6,087,900+437,600$80,299
NATIONAL HEALTH INVS INC 1,011,300 +55,700 $79,438
     NHI1,011,300+55,700$79,438
ANTHEM INC 275,973 +248,173 $79,199
     ANTM275,973+248,173$79,199
BUNGE LIMITED 1,486,900 +1,437,400 $78,910
     BG1,486,900+1,437,400$78,910
FORTIS INC 2,131,000 +458,600 $78,826
     FTS2,131,000+458,600$78,826
SYSCO CORP 1,180,500 -1,193,100 $78,810
     SYY1,180,500-1,193,100$78,810
WORKDAY INC 406,200 +116,900 $78,336
     WDAY406,200+116,900$78,336
LIFE STORAGE INC 804,366 +30,500 $78,241
     LSI804,366+30,500$78,241
NATIONAL OILWELL VARCO INC 2,933,510 +579,507 $78,149
     NOV2,933,510+579,507$78,149
COSAN LTD 6,727,094 +1,568,299 $77,967
     CZZ6,727,094+1,568,299$77,967
DIAGEO P L C 476,101 -365,799 $77,895
     DEO476,101-365,799$77,895
V F CORP 892,700 +144,500 $77,585
     VFC892,700+144,500$77,585
KEARNY FINL CORP MD 6,001,593 +11,900 $77,241
     KRNY6,001,593+11,900$77,241
EL PASO ELEC CO 1,312,700 +76,100 $77,213
     EE1,312,700+76,100$77,213
OGE ENERGY CORP 1,786,000 -569,500 $77,012
     OGE1,786,000-569,500$77,012
FIVE9 INC 1,457,400 -761,200 $76,994
     FIVN1,457,400-761,200$76,994
SIRIUS XM HLDGS INC 13,495,203 +7,794,103 $76,518
     SIRI13,495,203+7,794,103$76,518
SPIRE INC 925,800 -21,000 $76,184
     SR925,800-21,000$76,184
JUNIPER NETWORKS INC 2,876,491 +1,487,800 $76,141
     JNPR2,876,491+1,487,800$76,141
MERCURY GENL CORP NEW 1,517,300 +163,400 $75,971
     MCY1,517,300+163,400$75,971
IRIDIUM COMMUNICATIONS INC 2,864,499 +330,200 $75,737
     IRDM2,864,499+330,200$75,737
SHAW COMMUNICATIONS INC 3,626,098 +1,001,898 $75,562
     SJR3,626,098+1,001,898$75,562
GOLD FIELDS LTD NEW 20,223,400 +44,000 $75,433
     GFI20,223,400+44,000$75,433
GPO AEROPORTUARIO DEL PAC SA 846,200 +114,000 $75,286
     PAC846,200+114,000$75,286
SEA LTD 3,178,929 +3,178,929 $74,768
     SE3,178,929+3,178,929$74,768
EVERCORE INC 820,200 -39,700 $74,638
     EVR820,200-39,700$74,638
ASTRAZENECA PLC 1,844,300 +1,844,300 $74,565
     AZN1,844,300+1,844,300$74,565
SSR MNG INC 5,842,800 +64,400 $73,970
     SSRM5,842,800+64,400$73,970
EQUITY COMWLTH 2,259,965 -112,600 $73,878
     EQC2,259,965-112,600$73,878
INTERDIGITAL INC 1,114,267 +454,360 $73,519
     IDCC1,114,267+454,360$73,519
AGNICO EAGLE MINES LTD 1,683,500 -253,600 $73,232
     AEM1,683,500-253,600$73,232
NORWEGIAN CRUISE LINE HLDG L 1,331,200 +1,096,800 $73,163
     NCLH1,331,200+1,096,800$73,163
STURM RUGER & CO INC 1,375,276 +267,276 $72,917
     RGR1,375,276+267,276$72,917
INCYTE CORP 841,000 +744,600 $72,334
     INCY841,000+744,600$72,334
HEALTHCARE TR AMER INC 2,526,572 +50,500 $72,235
     HTA2,526,572+50,500$72,235
AMERICAN FINL GROUP INC OHIO 750,409 +158,900 $72,197
     AFG750,409+158,900$72,197
RETAIL PPTYS AMER INC 5,911,297 +284,745 $72,059
     RPAI5,911,297+284,745$72,059
ADVANCED ENERGY INDS 1,445,722 -129,898 $71,823
     AEIS1,445,722-129,898$71,823
LOUISIANA PAC CORP 2,946,000 +456,300 $71,823
     LPX2,946,000+456,300$71,823
NEW YORK TIMES CO 2,183,300 +1,620,700 $71,721
     NYT2,183,300+1,620,700$71,721
SEAWORLD ENTMT INC 2,774,900 -52,200 $71,481
     SEAS2,774,900-52,200$71,481
URBAN OUTFITTERS INC 2,408,400 +1,825,963 $71,385
     URBN2,408,400+1,825,963$71,385
OMEGA HEALTHCARE INVS INC 1,858,630 -704,800 $70,907
     OHI1,858,630-704,800$70,907
AVON PRODS INC 24,016,178 +9,887,700 $70,608
     AVP24,016,178+9,887,700$70,608
MANULIFE FINL CORP 4,157,800 +499,576 $70,308
     MFC4,157,800+499,576$70,308
ENTERPRISE PRODS PARTNERS L 2,415,949 -2,595,200 $70,304
     EPD2,415,949-2,595,200$70,304
WESTERN UN CO 3,800,300 +3,560,600 $70,192
     WU3,800,300+3,560,600$70,192
ITAU UNIBANCO HLDG SA 7,960,800 +5,656,200 $70,135
     ITUB7,960,800+5,656,200$70,135
CENTERPOINT ENERGY INC 2,280,600 +24,100 $70,014
     CNP2,280,600+24,100$70,014
BANCO SANTANDER CHILE NEW 2,348,827 +17,700 $69,878
     BSAC2,348,827+17,700$69,878
WNS HOLDINGS LTD 1,311,000 -76,200 $69,837
     WNS1,311,000-76,200$69,837
PUBLIC SVC ENTERPRISE GRP IN 1,170,084 -712,500 $69,515
     PEG1,170,084-712,500$69,515
BANCO BRADESCO S A 6,290,060 +6,290,060 $68,625
     BBD6,290,060+6,290,060$68,625
OUTFRONT MEDIA INC 2,925,969 +1,133,069 $68,468
     OUT2,925,969+1,133,069$68,468
BAUSCH HEALTH COS INC 2,765,200 +631,500 $68,300
     BHC2,765,200+631,500$68,300
PULTE GROUP INC 2,438,867 +1,189,501 $68,191
     PHM2,438,867+1,189,501$68,191
AXALTA COATING SYS LTD 2,704,700 +986,700 $68,185
     AXTA2,704,700+986,700$68,185
LIVE NATION ENTERTAINMENT IN 1,071,566 -1,162,701 $68,087
     LYV1,071,566-1,162,701$68,087
US BANCORP DEL 1,409,209 +1,013,709 $67,910
     USB1,409,209+1,013,709$67,910
PIEDMONT OFFICE REALTY TR IN 3,256,500 +89,600 $67,898
     PDM3,256,500+89,600$67,898
AON PLC 396,901 +340,500 $67,751
     AON396,901+340,500$67,751
CAREER EDUCATION CORP 4,095,276 -190,286 $67,654
     CECO4,095,276-190,286$67,654
ALCOA CORP 2,398,896 +2,398,896 $67,553
     AA2,398,896+2,398,896$67,553
SL GREEN RLTY CORP 750,710 +285,200 $67,504
     SLG750,710+285,200$67,504
GLOBUS MED INC 1,359,800 +137,400 $67,188
     GMED1,359,800+137,400$67,188
SPIRIT RLTY CAP INC NEW 1,688,802 +401,268 $67,096
     SRC1,688,802+401,268$67,096
GEOPARK LTD 3,877,900 +350,900 $67,049
     GPRK3,877,900+350,900$67,049
BOINGO WIRELESS INC 2,877,100 -85,600 $66,979
     WIFI2,877,100-85,600$66,979
CANADIAN NATL RY CO 742,800 -601,600 $66,466
     CNI742,800-601,600$66,466
TIM PARTICIPACOES S A 4,407,538 +178,600 $66,466
     TSU4,407,538+178,600$66,466
CORNING INC 2,008,000 +2,008,000 $66,465
     GLW2,008,000+2,008,000$66,465
EMPIRE ST RLTY TR INC 4,202,648 +344,500 $66,402
     ESRT4,202,648+344,500$66,402
HASBRO INC 780,000 +122,600 $66,316
     HAS780,000+122,600$66,316
DENNYS CORP 3,606,500 -150,400 $66,179
     DENN3,606,500-150,400$66,179
HUDSON PAC PPTYS INC 1,908,100 -96,400 $65,677
     HPP1,908,100-96,400$65,677
REXFORD INDL RLTY INC 1,824,900 -136,000 $65,350
     REXR1,824,900-136,000$65,350
SHENANDOAH TELECOMMUNICATION 1,468,800 +70,300 $65,156
     SHEN1,468,800+70,300$65,156
ABB LTD 3,448,600 +2,116,900 $65,075
     ABB3,448,600+2,116,900$65,075
COMPANHIA DE SANEAMENTO BASI 6,135,745 +1,644,895 $64,916
     SBS6,135,745+1,644,895$64,916
PROOFPOINT INC 529,900 +498,900 $64,346
     PFPT529,900+498,900$64,346
CANON INC 2,201,895 +683,595 $63,943
     CAJ2,201,895+683,595$63,943
PROLOGIS INC 885,607 +95,700 $63,719
     PLD885,607+95,700$63,719
PETROCHINA CO LTD 971,700 +43,800 $63,578
     PTR971,700+43,800$63,578
PROVIDENCE SVC CORP 951,299 -21,400 $63,376
     PRSC951,299-21,400$63,376
PLDT INC 2,923,954 +76,200 $63,362
     PHI2,923,954+76,200$63,362
CARGURUS INC 1,581,300 -800 $63,347
     CARG1,581,300-800$63,347
BROADCOM INC 209,896 +209,896 $63,118
     AVGO209,896+209,896$63,118
BLACK HILLS CORP 851,800 +307,249 $63,093
     BKH851,800+307,249$63,093
EVERTEC INC 2,261,301 +418,900 $62,887
     EVTC2,261,301+418,900$62,887
OMNICOM GROUP INC 860,100 +860,100 $62,779
     OMC860,100+860,100$62,779
J & J SNACK FOODS CORP 394,450 -14,350 $62,654
     JJSF394,450-14,350$62,654
COPA HOLDINGS SA 775,900 -49,600 $62,545
     CPA775,900-49,600$62,545
INTERNATIONAL SPEEDWAY CORP 1,430,113 +91,193 $62,396
     ISCA1,430,113+91,193$62,396
BOSTON BEER INC 210,800 +108,200 $62,129
     SAM210,800+108,200$62,129
AMERICAN EAGLE OUTFITTERS IN 2,799,954 +1,144,054 $62,075
     AEO2,799,954+1,144,054$62,075
TATA MTRS LTD 4,924,900 +829,800 $61,857
     TTM4,924,900+829,800$61,857
LABORATORY CORP AMER HLDGS 404,000 +165,595 $61,804
     LH404,000+165,595$61,804
C H ROBINSON WORLDWIDE INC 709,108 +170,500 $61,685
     CHRW709,108+170,500$61,685
ENANTA PHARMACEUTICALS INC 645,505 -151,695 $61,659
     ENTA645,505-151,695$61,659
BANCO DE CHILE 2,081,456 -719 $61,278
     BCH2,081,456-719$61,278
CSX CORP 805,400 -205,600 $60,260
     CSX805,400-205,600$60,260
ALKERMES PLC 1,647,986 +853,585 $60,135
     ALKS1,647,986+853,585$60,135
ILLUMINA INC 193,118 +168,600 $60,000
     ILMN193,118+168,600$60,000
NU SKIN ENTERPRISES INC 1,253,411 +554,011 $59,988
     NUS1,253,411+554,011$59,988
PHILLIPS 66 630,200 -894,700 $59,976
     PSX630,200-894,700$59,976
AMBEV SA 13,928,400 +7,022,400 $59,892
     ABEV13,928,400+7,022,400$59,892
3M CO 287,427 +287,427 $59,722
     MMM287,427+287,427$59,722
CIENA CORP 1,598,274 +1,318,400 $59,680
     CIEN1,598,274+1,318,400$59,680
NEW RELIC INC 603,400 -544,300 $59,556
     NEWR603,400-544,300$59,556
CHECK POINT SOFTWARE TECH LT 470,108 -26,700 $59,464
     CHKP470,108-26,700$59,464
CORCEPT THERAPEUTICS INC 5,057,809 +410,600 $59,379
     CORT5,057,809+410,600$59,379
ULTA BEAUTY INC 170,100 -275,900 $59,319
     ULTA170,100-275,900$59,319
ENOVA INTL INC 2,586,994 -315,626 $59,035
     ENVA2,586,994-315,626$59,035
ARTISAN PARTNERS ASSET MGMT 2,342,912 +1,124,997 $58,971
     APAM2,342,912+1,124,997$58,971
PEABODY ENERGY CORP NEW 2,073,945 +77,100 $58,755
     BTU2,073,945+77,100$58,755
PROGRESS SOFTWARE CORP 1,319,526 +154,968 $58,547
     PRGS1,319,526+154,968$58,547
ROCKWELL AUTOMATION INC 332,800 +214,400 $58,393
     ROK332,800+214,400$58,393
NAVIGATORS GROUP INC 834,192 +112,100 $58,285
     NAVG834,192+112,100$58,285
COLLIERS INTL GROUP INC 867,701 -126,299 $57,928
     CIGI867,701-126,299$57,928
CORECIVIC INC 2,977,100 +444,400 $57,905
     CXW2,977,100+444,400$57,905
NORDSTROM INC 1,304,000 +1,304,000 $57,872
     JWN1,304,000+1,304,000$57,872
SYMANTEC CORP 2,510,738 +2,176,700 $57,722
     SYMC2,510,738+2,176,700$57,722
MAXIM INTEGRATED PRODS INC 1,073,362 -612,526 $57,071
     MXIM1,073,362-612,526$57,071
PARAMOUNT GROUP INC 4,018,000 +536,800 $57,015
     PGRE4,018,000+536,800$57,015
WYNN RESORTS LTD 472,800 +472,800 $56,414
     WYNN472,800+472,800$56,414
INGERSOLL RAND PLC 520,768 -363,300 $56,217
     IR520,768-363,300$56,217
AVANGRID INC 1,111,555 -105,900 $55,967
     AGR1,111,555-105,900$55,967
TWITTER INC 1,700,698 +1,700,698 $55,919
     TWTR1,700,698+1,700,698$55,919
L BRANDS INC 2,023,733 +1,993,033 $55,815
     LB2,023,733+1,993,033$55,815
COUPA SOFTWARE INC 610,900 +523,500 $55,580
     COUP610,900+523,500$55,580
APPLE HOSPITALITY REIT INC 3,408,088 +311,288 $55,552
     APLE3,408,088+311,288$55,552
PLANET FITNESS INC 808,300 -522,800 $55,546
     PLNT808,300-522,800$55,546
CVR ENERGY INC 1,343,441 +495,141 $55,350
     CVI1,343,441+495,141$55,350
TERRAFORM PWR INC 4,018,041 +1,707,125 $55,208
     TERP4,018,041+1,707,125$55,208
NEXSTAR MEDIA GROUP INC 509,105 +455,800 $55,172
     NXST509,105+455,800$55,172
CANADIAN PAC RY LTD 266,500 -33,001 $54,908
     CP266,500-33,001$54,908
HONEYWELL INTL INC 345,300 -819,700 $54,875
     HON345,300-819,700$54,875
RELX PLC 2,553,700 +377,993 $54,777
     RELX2,553,700+377,993$54,777
W & T OFFSHORE INC 7,933,100 +827,700 $54,738
     WTI7,933,100+827,700$54,738
XILINX INC 430,505 +145,900 $54,584
     XLNX430,505+145,900$54,584
U S PHYSICAL THERAPY INC 518,687 -86,600 $54,478
     USPH518,687-86,600$54,478
VISTRA ENERGY CORP 2,089,273 +250,100 $54,384
     VST2,089,273+250,100$54,384
LUMINEX CORP DEL 2,361,242 +151,900 $54,332
     LMNX2,361,242+151,900$54,332
BLACKROCK INC 127,000 +103,800 $54,276
     BLK127,000+103,800$54,276
TOTAL SYS SVCS INC 569,665 -117,300 $54,124
     TSS569,665-117,300$54,124
ARMADA HOFFLER PPTYS INC 3,468,109 +72,400 $54,068
     AHH3,468,109+72,400$54,068
K12 INC 1,583,400 -144,600 $54,041
     LRN1,583,400-144,600$54,041
NEW JERSEY RES 1,082,501 +139,700 $53,898
     NJR1,082,501+139,700$53,898
AKAMAI TECHNOLOGIES INC 750,300 +628,500 $53,804
     AKAM750,300+628,500$53,804
CYBERARK SOFTWARE LTD 449,700 +252,900 $53,537
     CYBR449,700+252,900$53,537
AVISTA CORP 1,317,842 +512,512 $53,531
     AVA1,317,842+512,512$53,531
TECK RESOURCES LTD 2,307,400 +1,267,700 $53,479
     TECK2,307,400+1,267,700$53,479
GREEN DOT CORP 881,200 -492,600 $53,445
     GDOT881,200-492,600$53,445
ACORDA THERAPEUTICS INC 4,011,300 +1,824,400 $53,310
     ACOR4,011,300+1,824,400$53,310
NIKE INC 630,514 -37,286 $53,096
     NKE630,514-37,286$53,096
ESSENT GROUP LTD 1,220,500 -176,100 $53,031
     ESNT1,220,500-176,100$53,031
KIMCO RLTY CORP 2,866,001 +9,600 $53,021
     KIM2,866,001+9,600$53,021
MERIDIAN BIOSCIENCE INC 3,004,048 +110,700 $52,901
     VIVO3,004,048+110,700$52,901
SEALED AIR CORP NEW 1,137,209 +793,000 $52,380
     SEE1,137,209+793,000$52,380
SJW GROUP 845,500 +80,800 $52,201
     SJW845,500+80,800$52,201
ATRION CORP 59,300 -2,500 $52,106
     ATRI59,300-2,500$52,106
QUALYS INC 628,900 -250,100 $52,035
     QLYS628,900-250,100$52,035
GLADSTONE COML CORP 2,501,700 +60,800 $51,960
     GOOD2,501,700+60,800$51,960
NMI HLDGS INC 1,999,300 +41,100 $51,722
     NMIH1,999,300+41,100$51,722
GARMIN LTD 594,742 +530,042 $51,356
     GRMN594,742+530,042$51,356
FLOWERS FOODS INC 2,408,400 -1,158,100 $51,347
     FLO2,408,400-1,158,100$51,347
RAYONIER ADVANCED MATLS INC 3,781,500 -52,500 $51,277
     RYAM3,781,500-52,500$51,277
SEMPRA ENERGY 407,300 +363,300 $51,263
     SRE407,300+363,300$51,263
MACERICH CO 1,181,269 +909,619 $51,208
     MAC1,181,269+909,619$51,208
ORMAT TECHNOLOGIES INC 924,500 -69,500 $50,986
     ORA924,500-69,500$50,986
AU OPTRONICS CORP 13,986,296 +1,083,800 $50,910
     AUO13,986,296+1,083,800$50,910
SKYWORKS SOLUTIONS INC 616,338 -216,946 $50,836
     SWKS616,338-216,946$50,836
SPS COMMERCE INC 479,130 +36,852 $50,817
     SPSC479,130+36,852$50,817
HANOVER INS GROUP INC 445,000 -172,000 $50,806
     THG445,000-172,000$50,806
SEI INVESTMENTS CO 970,326 +376,317 $50,700
     SEIC970,326+376,317$50,700
NATIONAL BK HLDGS CORP 1,523,400 +56,100 $50,668
     NBHC1,523,400+56,100$50,668
RYMAN HOSPITALITY PPTYS INC 615,700 -72,700 $50,635
     RHP615,700-72,700$50,635
NOVA MEASURING INSTRUMENTS L 2,007,300 -6,400 $50,544
     NVMI2,007,300-6,400$50,544
EXELON CORP 1,007,300 -2,051,600 $50,496
     EXC1,007,300-2,051,600$50,496
CLEARWAY ENERGY INC      $50,448
     CWEN2,299,678+19,400$34,748
     CWEN.A1,079,800-153,091$15,700
INVITATION HOMES INC 2,071,883 +1,686,383 $50,409
     INVH2,071,883+1,686,383$50,409
BERRY GLOBAL GROUP INC 933,737 +277,600 $50,300
     BERY933,737+277,600$50,300
NORTHROP GRUMMAN CORP 186,400 +186,400 $50,253
     NOC186,400+186,400$50,253
ACACIA COMMUNICATIONS INC 874,500 +573,400 $50,153
     ACIA874,500+573,400$50,153
SUZANO PAPEL E CELULOSE S A 2,105,319 +2,105,319 $49,875
     SUZ2,105,319+2,105,319$49,875
NEXPOINT RESIDENTIAL TR INC 1,300,500 -17,300 $49,861
     NXRT1,300,500-17,300$49,861
REGENXBIO INC 869,741 -15,202 $49,845
     RGNX869,741-15,202$49,845
HUNTINGTON INGALLS INDS INC 240,500 +224,900 $49,832
     HII240,500+224,900$49,832
PEOPLES UTD FINL INC 3,030,973 +69,396 $49,829
     PBCT3,030,973+69,396$49,829
B2GOLD CORP 17,724,795 +4,774,998 $49,807
     BTG17,724,795+4,774,998$49,807
SEACOR HOLDINGS INC 1,176,000 +5,600 $49,721
     CKH1,176,000+5,600$49,721
RAMBUS INC DEL 4,737,686 +953,300 $49,509
     RMBS4,737,686+953,300$49,509
BB&T CORP 1,062,562 +709,400 $49,441
     BBT1,062,562+709,400$49,441
COCA COLA EUROPEAN PARTNERS 952,693 +127,274 $49,282
     CCE952,693+127,274$49,282
PATTERSON UTI ENERGY INC 3,514,948 +3,232,295 $49,280
     PTEN3,514,948+3,232,295$49,280
TANDEM DIABETES CARE INC 774,427 -637,900 $49,176
     TNDM774,427-637,900$49,176
STORE CAP CORP 1,467,300 -646,200 $49,155
     STOR1,467,300-646,200$49,155
NATIONAL HEALTHCARE CORP 646,800 +44,100 $49,079
     NHC646,800+44,100$49,079
ALLSTATE CORP 517,300 +470,400 $48,719
     ALL517,300+470,400$48,719
VEREIT INC 5,816,854 +3,952,000 $48,687
     VER5,816,854+3,952,000$48,687
TIER REIT INC 1,697,500 +183,800 $48,650
     TIER1,697,500+183,800$48,650
HEALTHEQUITY INC 657,534 +1,500 $48,644
     HQY657,534+1,500$48,644
ORASURE TECHNOLOGIES INC 4,355,503 +205,700 $48,564
     OSUR4,355,503+205,700$48,564
BROOKDALE SR LIVING INC 7,362,616 +2,161,897 $48,446
     BKD7,362,616+2,161,897$48,446
EMERSON ELEC CO 707,300 -1,659,900 $48,429
     EMR707,300-1,659,900$48,429
BIO RAD LABS INC      $48,264
     BIO156,800+92,500$47,931
     BIO.B1,100UNCH$333
ASML HOLDING N V 256,349 -94,200 $48,206
     ASML256,349-94,200$48,206
SEMTECH CORP 944,313 +261,297 $48,075
     SMTC944,313+261,297$48,075
GENUINE PARTS CO 428,600 +71,900 $48,016
     GPC428,600+71,900$48,016
YUM BRANDS INC 479,600 +155,174 $47,869
     YUM479,600+155,174$47,869
MASIMO CORP 345,000 -193,300 $47,707
     MASI345,000-193,300$47,707
MACQUARIE INFRASTRUCTURE COR 1,154,500 +622,500 $47,588
     MIC1,154,500+622,500$47,588
PIONEER NAT RES CO 311,001 -494,121 $47,359
     PXD311,001-494,121$47,359
RINGCENTRAL INC 438,700 -205,116 $47,292
     RNG438,700-205,116$47,292
ITURAN LOCATION AND CONTROL 1,383,700 +20,579 $47,253
     ITRN1,383,700+20,579$47,253
NIELSEN HLDGS PLC 1,993,700 +1,993,700 $47,191
     NLSN1,993,700+1,993,700$47,191
VANDA PHARMACEUTICALS INC 2,564,750 +53,400 $47,191
     VNDA2,564,750+53,400$47,191
AUTOZONE INC 45,900 -29,700 $47,007
     AZO45,900-29,700$47,007
OTTER TAIL CORP 943,000 -11,000 $46,980
     OTTR943,000-11,000$46,980
UNITIL CORP 864,700 +13,700 $46,841
     UTL864,700+13,700$46,841
ULTRAPAR PARTICIPACOES S A 3,892,940 +731,940 $46,521
     UGP3,892,940+731,940$46,521
LIBERTY GLOBAL PLC 1,921,300 +992,585 $46,515
     LBTYK1,921,300+992,585$46,515
TRANSOCEAN LTD 5,338,928 -5,901,000 $46,502
     RIG5,338,928-5,901,000$46,502
EATON VANCE CORP 1,151,100 -387,000 $46,401
     EV1,151,100-387,000$46,401
WEST PHARMACEUTICAL SVSC INC 420,600 +281,000 $46,350
     WST420,600+281,000$46,350
ALTERYX INC 552,098 -145,500 $46,304
     AYX552,098-145,500$46,304
TRINSEO S A 1,019,100 -108,200 $46,165
     TSE1,019,100-108,200$46,165
TARO PHARMACEUTICAL INDS LTD 426,800 +46,500 $46,133
     TARO426,800+46,500$46,133
ULTIMATE SOFTWARE GROUP INC 139,614 +139,614 $46,091
     ULTI139,614+139,614$46,091
SURMODICS INC 1,059,038 -42,500 $46,047
     SRDX1,059,038-42,500$46,047
SYNCHRONY FINL 1,442,100 -1,502,200 $46,003
     SYF1,442,100-1,502,200$46,003
INDEPENDENCE RLTY TR INC 4,258,294 +910,795 $45,947
     IRT4,258,294+910,795$45,947
CAE INC 2,073,200 -5,600 $45,921
     CAE2,073,200-5,600$45,921
PGT INNOVATIONS INC 3,306,341 -678,588 $45,793
     PGTI3,306,341-678,588$45,793
RENT A CTR INC NEW 2,191,524 +2,191,524 $45,737
     RCII2,191,524+2,191,524$45,737
MAGELLAN HEALTH INC 689,699 -453,700 $45,465
     MGLN689,699-453,700$45,465
WHEATON PRECIOUS METALS CORP 1,903,600 +31,003 $45,344
     WPM1,903,600+31,003$45,344
RE MAX HLDGS INC 1,173,900 -28,100 $45,242
     RMAX1,173,900-28,100$45,242
ALLIANCE DATA SYSTEMS CORP 257,242 +58,500 $45,012
     ADS257,242+58,500$45,012
AUTODESK INC 288,268 +157,700 $44,918
     ADSK288,268+157,700$44,918
WATSCO INC 313,100 +102,598 $44,839
     WSO313,100+102,598$44,839
ANHEUSER BUSCH INBEV SA NV 533,300 -236,582 $44,781
     BUD533,300-236,582$44,781
GLOBAL BRASS & COPPR HLDGS I 1,298,900 +2,121 $44,734
     BRSS1,298,900+2,121$44,734
NORTHWEST NAT HLDG CO 680,600 -26,400 $44,668
     NWN680,600-26,400$44,668
CAMDEN PPTY TR 439,800 +111,400 $44,640
     CPT439,800+111,400$44,640
CERNER CORP 780,220 +213,416 $44,636
     CERN780,220+213,416$44,636
HEIDRICK & STRUGGLES INTL IN 1,163,302 +49,500 $44,589
     HSII1,163,302+49,500$44,589
HONDA MOTOR LTD 1,620,500 +332,100 $44,029
     HMC1,620,500+332,100$44,029
CONDUENT INC 3,176,346 -368,634 $43,929
     CNDT3,176,346-368,634$43,929
ZSCALER INC 619,300 +400,800 $43,927
     ZS619,300+400,800$43,927
CARDIOVASCULAR SYS INC DEL 1,134,900 +88,600 $43,875
     CSII1,134,900+88,600$43,875
SUNSTONE HOTEL INVS INC NEW 3,043,617 +2,399,321 $43,828
     SHO3,043,617+2,399,321$43,828
BANK MONTREAL QUE 584,450 -502,895 $43,734
     BMO584,450-502,895$43,734
HYATT HOTELS CORP 599,800 +74,000 $43,527
     H599,800+74,000$43,527
MALIBU BOATS INC 1,099,301 +20,200 $43,510
     MBUU1,099,301+20,200$43,510
SUNCOKE ENERGY INC 5,101,100 +87,937 $43,308
     SXC5,101,100+87,937$43,308
HALLIBURTON CO 1,471,495 +563,000 $43,115
     HAL1,471,495+563,000$43,115
DR REDDYS LABS LTD 1,064,000 +48,600 $43,092
     RDY1,064,000+48,600$43,092
GOL LINHAS AEREAS INTLG S A 3,289,220 +1,180,600 $42,924
     GOL3,289,220+1,180,600$42,924
SOUTHSIDE BANCSHARES INC (SBSI) 1,290,610 +17,100 $42,887
     SBSI1,290,610+17,100$42,887
BROWN FORMAN CORP      $42,824
     BF.B578,678+328,100$30,543
     BF.A240,000+20,200$12,281
UNITED STATES CELLULAR CORP 932,762 -24,900 $42,823
     USM932,762-24,900$42,823
BLACKBERRY LTD 4,239,043 +2,567,743 $42,771
     BB4,239,043+2,567,743$42,771
FLUOR CORP NEW 1,158,800 +1,158,800 $42,644
     FLR1,158,800+1,158,800$42,644
WHITING PETE CORP NEW 1,630,865 +709,300 $42,631
     WLL1,630,865+709,300$42,631
AMDOCS LTD 785,100 +471,500 $42,482
     DOX785,100+471,500$42,482
KIRKLAND LAKE GOLD LTD 1,392,400 +550,900 $42,354
     KL1,392,400+550,900$42,354
BARRICK GOLD CORPORATION 3,081,347 +895,335 $42,249
     ABX3,081,347+895,335$42,249
HUNT J B TRANS SVCS INC 416,044 -382,900 $42,141
     JBHT416,044-382,900$42,141
ALBANY INTL CORP 585,400 -15,800 $41,909
     AIN585,400-15,800$41,909
UNIVERSAL HEALTH RLTY INCM T 553,300 +18,500 $41,890
     UHT553,300+18,500$41,890
EXPONENT INC 722,900 -104,000 $41,726
     EXPO722,900-104,000$41,726
WAGEWORKS INC 1,101,535 +463,700 $41,594
     WAGE1,101,535+463,700$41,594
ARGAN INC 831,700 +66,200 $41,543
     AGX831,700+66,200$41,543
VICI PPTYS INC 1,895,300 +711,100 $41,469
     VICI1,895,300+711,100$41,469
NATIONAL STORAGE AFFILIATES 1,449,714 +50,500 $41,331
     NSA1,449,714+50,500$41,331
NEWELL BRANDS INC 2,694,067 +143,040 $41,327
     NWL2,694,067+143,040$41,327
CLOUDERA INC 3,774,866 -1,000,734 $41,297
     CLDR3,774,866-1,000,734$41,297
BOSTON PROPERTIES INC 308,300 +135,100 $41,275
     BXP308,300+135,100$41,275
TEVA PHARMACEUTICAL INDS LTD 2,626,163 -4,315,822 $41,178
     TEVA2,626,163-4,315,822$41,178
RIO TINTO PLC 699,332 +288,700 $41,156
     RIO699,332+288,700$41,156
TUCOWS INC 506,333 +69,282 $41,104
     TCX506,333+69,282$41,104
ACUITY BRANDS INC 341,900 +253,800 $41,031
     AYI341,900+253,800$41,031
HOLLYFRONTIER CORP 830,750 +99,618 $40,931
     HFC830,750+99,618$40,931
REGIS CORP MINN 2,072,800 +146,400 $40,772
     RGS2,072,800+146,400$40,772
PACIRA PHARMACEUTICALS INC 1,063,600 +708,300 $40,481
     PCRX1,063,600+708,300$40,481
HOSPITALITY PPTYS TR 1,533,600 +284,400 $40,349
     HPT1,533,600+284,400$40,349
SYNOPSYS INC 350,334 -277,450 $40,341
     SNPS350,334-277,450$40,341
NOVANTA INC 475,400 -50,700 $40,281
     NOVT475,400-50,700$40,281
YAMANA GOLD INC 15,427,165 +4,158,875 $40,265
     AUY15,427,165+4,158,875$40,265
SPIRIT AIRLS INC 761,000 +302,200 $40,226
     SAVE761,000+302,200$40,226
RESTAURANT BRANDS INTL INC 617,087 +617,087 $40,178
     QSR617,087+617,087$40,178
CARE COM INC 2,028,700 +393,000 $40,087
     CRCM2,028,700+393,000$40,087
GRAND CANYON ED INC 350,000 -707,100 $40,079
     LOPE350,000-707,100$40,079
CHINA UNICOM HONG KONG LTD 3,128,456 +669,650 $40,044
     CHU3,128,456+669,650$40,044
PARSLEY ENERGY INC 2,069,900 -2,543,200 $39,949
     PE2,069,900-2,543,200$39,949
POPULAR INC 765,570 +140,800 $39,909
     BPOP765,570+140,800$39,909
ASHLAND GLOBAL HLDGS INC 510,075 +158,500 $39,852
     ASH510,075+158,500$39,852
SHUTTERSTOCK INC 853,600 +102,800 $39,803
     SSTK853,600+102,800$39,803
VIAVI SOLUTIONS INC 3,211,888 +1,299,200 $39,763
     VIAV3,211,888+1,299,200$39,763
REX AMERICAN RESOURCES CORP 493,044 +2,364 $39,744
     REX493,044+2,364$39,744
INVESTORS BANCORP INC NEW 3,350,312 -168,700 $39,701
     ISBC3,350,312-168,700$39,701
ASSURANT INC 418,100 +392,300 $39,682
     AIZ418,100+392,300$39,682
HILL ROM HLDGS INC 372,500 -553,500 $39,433
     HRC372,500-553,500$39,433
STRYKER CORP 199,400 +76,800 $39,385
     SYK199,400+76,800$39,385
LEGG MASON INC 1,431,600 +751,100 $39,183
     LM1,431,600+751,100$39,183
ROSETTA STONE INC 1,792,900 +10,600 $39,175
     RST1,792,900+10,600$39,175
CRH PLC 1,259,000 +333,100 $39,029
     CRH1,259,000+333,100$39,029
GOPRO INC 6,003,800 +1,068,400 $39,025
     GPRO6,003,800+1,068,400$39,025
NORTHWEST BANCSHARES INC MD (NWBI) 2,290,746 -285,046 $38,874
     NWBI2,290,746-285,046$38,874
VERSUM MATLS INC 771,500 +711,500 $38,814
     VSM771,500+711,500$38,814
PLAINS ALL AMERN PIPELINE L 1,579,014 +538,254 $38,702
     PAA1,579,014+538,254$38,702
AMERICAN PUBLIC EDUCATION IN 1,284,793 -20,600 $38,698
     APEI1,284,793-20,600$38,698
EURONET WORLDWIDE INC 271,245 -2,300 $38,677
     EEFT271,245-2,300$38,677
WEIGHT WATCHERS INTL INC NEW 1,918,712 +1,918,712 $38,662
     WTW1,918,712+1,918,712$38,662
FORRESTER RESH INC 796,600 +31,800 $38,516
     FORR796,600+31,800$38,516
UNIVERSAL CORP VA 667,610 -42,700 $38,474
     UVV667,610-42,700$38,474
FITBIT INC 6,484,400 +740,706 $38,388
     FIT6,484,400+740,706$38,388
MFA FINL INC 5,272,000 -2,254,023 $38,327
     MFA5,272,000-2,254,023$38,327
CENTERSTATE BK CORP 1,607,237 +56,194 $38,268
     CSFL1,607,237+56,194$38,268
ALPHABET INC 32,248 -139,600 $37,952
     GOOGL32,248-139,600$37,952
JANUS HENDERSON GROUP PLC 1,518,300 +1,193,700 $37,927
     JHG1,518,300+1,193,700$37,927
MEDICAL PPTYS TRUST INC 2,046,700 -1,531,900 $37,884
     MPW2,046,700-1,531,900$37,884
PETMED EXPRESS INC 1,655,815 -128,800 $37,719
     PETS1,655,815-128,800$37,719
HOST HOTELS & RESORTS INC 1,986,365 +1,986,365 $37,542
     HST1,986,365+1,986,365$37,542
COUSINS PPTYS INC 3,872,871 +1,915,400 $37,412
     CUZ3,872,871+1,915,400$37,412
RADWARE LTD 1,428,400 +31,500 $37,324
     RDWR1,428,400+31,500$37,324
ADVANCED DISP SVCS INC DEL 1,330,500 -26,700 $37,254
     ADSW1,330,500-26,700$37,254
AMC ENTMT HLDGS INC 2,508,068 +680,167 $37,245
     AMC2,508,068+680,167$37,245
BANK HAWAII CORP 470,700 +300 $37,124
     BOH470,700+300$37,124
ORTHOFIX MED INC 657,583 +33,014 $37,094
     OFIX657,583+33,014$37,094
KAISER ALUMINUM CORP 354,000 +72,400 $37,074
     KALU354,000+72,400$37,074
HARRIS CORP DEL 231,459 -111,100 $36,966
     HRS231,459-111,100$36,966
DUKE REALTY CORP 1,198,300 +527,300 $36,644
     DRE1,198,300+527,300$36,644
STEWART INFORMATION SVCS COR 856,984 +181,800 $36,585
     STC856,984+181,800$36,585
ATN INTL INC 648,600 +42,800 $36,575
     ATNI648,600+42,800$36,575
LINDSAY CORP 376,800 -104,700 $36,470
     LNN376,800-104,700$36,470
OLIN CORP 1,573,500 +942,900 $36,411
     OLN1,573,500+942,900$36,411
RAPID7 INC 717,698 -104,102 $36,323
     RPD717,698-104,102$36,323
MARATHON PETE CORP 604,899 -133,530 $36,203
     MPC604,899-133,530$36,203
CONTINENTAL RESOURCES INC 807,900 +192,800 $36,170
     CLR807,900+192,800$36,170
DINE BRANDS GLOBAL INC 396,000 +114,100 $36,151
     DIN396,000+114,100$36,151
CNA FINL CORP 831,500 +18,800 $36,046
     CNA831,500+18,800$36,046
KULICKE & SOFFA INDS INC 1,629,528 -67,900 $36,029
     KLIC1,629,528-67,900$36,029
INTERCONTINENTAL EXCHANGE IN (ICE) 472,990 -145,675 $36,013
     ICE472,990-145,675$36,013
KIMBALL INTL INC 2,543,276 +97,900 $35,962
     KBAL2,543,276+97,900$35,962
YEXT INC 1,645,100 -1,036,800 $35,962
     YEXT1,645,100-1,036,800$35,962
AMERICAN EXPRESS CO 329,000 +218,400 $35,960
     AXP329,000+218,400$35,960
WATERSTONE FINL INC MD 2,180,352 -89,893 $35,889
     WSBF2,180,352-89,893$35,889
CARDTRONICS PLC 1,007,600 +275,000 $35,850
     CATM1,007,600+275,000$35,850
PDL BIOPHARMA INC 9,628,500 +553,000 $35,818
     PDLI9,628,500+553,000$35,818
WINMARK CORP 189,832 -193 $35,800
     WINA189,832-193$35,800
LIVANOVA PLC 367,822 +80,428 $35,771
     LIVN367,822+80,428$35,771
TREEHOUSE FOODS INC 553,800 -355,400 $35,748
     THS553,800-355,400$35,748
PROVIDENT FINL SVCS INC 1,378,600 -3,200 $35,692
     PFS1,378,600-3,200$35,692
BIOSPECIFICS TECHNOLOGIES CO 572,547 +64,200 $35,687
     BSTC572,547+64,200$35,687
SUNCOR ENERGY INC NEW 1,098,646 -2,913,100 $35,632
     SU1,098,646-2,913,100$35,632
APPFOLIO INC 448,594 -62,922 $35,618
     APPF448,594-62,922$35,618
UNUM GROUP 1,050,600 +547,100 $35,542
     UNM1,050,600+547,100$35,542
CHEFS WHSE INC 1,142,300 +110,494 $35,468
     CHEF1,142,300+110,494$35,468
ENBRIDGE INC 973,371 +35,823 $35,294
     ENB973,371+35,823$35,294
TARGET CORP 438,600 +438,600 $35,202
     TGT438,600+438,600$35,202
LANTHEUS HLDGS INC 1,435,600 +427,800 $35,143
     LNTH1,435,600+427,800$35,143
CDW CORP 364,498 +82,300 $35,127
     CDW364,498+82,300$35,127
CHASE CORP 377,900 +19,000 $34,971
     CCF377,900+19,000$34,971
RUSH ENTERPRISES INC 835,078 +91,400 $34,915
     RUSHA835,078+91,400$34,915
CAL MAINE FOODS INC 781,600 +15,800 $34,883
     CALM781,600+15,800$34,883
SIMPLY GOOD FOODS CO 1,687,800 +358,900 $34,752
     SMPL1,687,800+358,900$34,752
BERKLEY W R CORP 409,200 -347,900 $34,667
     WRB409,200-347,900$34,667
HARTFORD FINL SVCS GROUP INC 694,522 -339,100 $34,532
     HIG694,522-339,100$34,532
GRAINGER W W INC 114,700 +114,700 $34,517
     GWW114,700+114,700$34,517
SAFETY INS GROUP INC 396,000 +1,700 $34,507
     SAFT396,000+1,700$34,507
HAMILTON LANE INC 789,900 -18,000 $34,424
     HLNE789,900-18,000$34,424
UNILEVER N V 586,200 +472,937 $34,170
     UN586,200+472,937$34,170
ZIONS BANCORPORATION N A 752,479 +363,384 $34,170
     ZION752,479+363,384$34,170
PTC THERAPEUTICS INC 907,300 -115,400 $34,151
     PTCT907,300-115,400$34,151
SINA CORP 575,600 +214,700 $34,099
     SINA575,600+214,700$34,099
WESBANCO INC 856,677 +10,500 $34,053
     WSBC856,677+10,500$34,053
FOX CORP 916,800 +916,800 $33,656
     FOXAV916,800+916,800$33,656
CORNERSTONE ONDEMAND INC 612,800 +174,800 $33,569
     CSOD612,800+174,800$33,569
SANDY SPRING BANCORP INC 1,071,278 +61,300 $33,510
     SASR1,071,278+61,300$33,510
NEW SR INVT GROUP INC 6,143,686 +629,861 $33,483
     SNR6,143,686+629,861$33,483
BARRETT BUSINESS SERVICES IN 430,900 +24,300 $33,321
     BBSI430,900+24,300$33,321
CORENERGY INFRASTRUCTURE TR 905,800 -3,600 $33,288
     CORR905,800-3,600$33,288
MONMOUTH REAL ESTATE INVT CO 2,523,801 -418,208 $33,264
     MNR2,523,801-418,208$33,264
WPP PLC NEW 627,129 +160,448 $33,112
     WPP627,129+160,448$33,112
ORITANI FINL CORP DEL 1,990,800 +122,800 $33,107
     ORIT1,990,800+122,800$33,107
LLOYDS BANKING GROUP PLC 10,311,600 +1,648,390 $33,100
     LYG10,311,600+1,648,390$33,100
MIDDLESEX WATER CO 589,800 -9,700 $33,023
     MSEX589,800-9,700$33,023
WEIBO CORP 531,908 -170,100 $32,973
     WB531,908-170,100$32,973
ALEXANDERS INC 87,464 +4,864 $32,901
     ALX87,464+4,864$32,901
AEROJET ROCKETDYNE HLDGS INC 925,895 +39,000 $32,897
     AJRD925,895+39,000$32,897
CENTURYLINK INC 2,741,603 +2,172,500 $32,872
     CTL2,741,603+2,172,500$32,872
MCGRATH RENTCORP 580,695 -8,448 $32,850
     MGRC580,695-8,448$32,850
ROYAL BK SCOTLAND GROUP PLC 5,021,600 +364,700 $32,741
     RBS5,021,600+364,700$32,741
SHUTTERFLY INC 805,100 +375,000 $32,719
     SFLY805,100+375,000$32,719
PIPER JAFFRAY COS 448,700 -8,502 $32,679
     PJC448,700-8,502$32,679
FIREEYE INC 1,945,800 +358,800 $32,670
     FEYE1,945,800+358,800$32,670
ASHFORD HOSPITALITY TR INC 6,843,925 +322,450 $32,509
     AHT6,843,925+322,450$32,509
ALAMOS GOLD INC NEW 6,389,171 +1,043,740 $32,457
     AGI6,389,171+1,043,740$32,457
LENNOX INTL INC 122,600 +12,500 $32,415
     LII122,600+12,500$32,415
HAVERTY FURNITURE INC 1,474,900 +30,800 $32,271
     HVT1,474,900+30,800$32,271
MERIDIAN BANCORP INC MD 2,053,458 +53,600 $32,219
     EBSB2,053,458+53,600$32,219
CYPRESS SEMICONDUCTOR CORP 2,158,042 +2,088,542 $32,198
     CY2,158,042+2,088,542$32,198
NANOMETRICS INC 1,039,210 +88,342 $32,091
     NANO1,039,210+88,342$32,091
UNITED CMNTY BKS BLAIRSVLE G 1,287,168 -109,300 $32,089
     UCBI1,287,168-109,300$32,089
LINDE PLC 182,300 +120,000 $32,072
     LIN182,300+120,000$32,072
COTT CORP QUE 2,189,200 +796,110 $31,984
     COT2,189,200+796,110$31,984
CARNIVAL PLC 641,300 -53,400 $31,943
     CUK641,300-53,400$31,943
CAVCO INDS INC DEL 270,809 -75,405 $31,828
     CVCO270,809-75,405$31,828
CBS CORP NEW      $31,794
     CBS357,200+357,200$16,978
     CBS.A311,200+5,300$14,816
CIT GROUP INC 662,477 +98,100 $31,779
     CIT662,477+98,100$31,779
WESTERN ASSET MTG CAP CORP 3,092,710 +393,610 $31,638
     WMC3,092,710+393,610$31,638
MAXIMUS INC 445,100 -128,900 $31,593
     MMS445,100-128,900$31,593
CORPORATE OFFICE PPTYS TR 1,153,307 -59,200 $31,485
     OFC1,153,307-59,200$31,485
SOHU COM LTD 1,890,049 +133,549 $31,337
     SOHU1,890,049+133,549$31,337
TEXTRON INC 617,800 +122,300 $31,298
     TXT617,800+122,300$31,298
COLUMBIA SPORTSWEAR CO 299,702 +39,700 $31,223
     COLM299,702+39,700$31,223
FIRST AMERN FINL CORP 605,300 -31,600 $31,173
     FAF605,300-31,600$31,173
ARMSTRONG WORLD INDS INC NEW 392,400 +206,700 $31,164
     AWI392,400+206,700$31,164
INVESTORS REAL ESTATE TR 518,189 +87,400 $31,045
     IRET518,189+87,400$31,045
HAWAIIAN ELEC INDUSTRIES 760,400 -132,500 $31,002
     HE760,400-132,500$31,002
HD SUPPLY HLDGS INC 711,400 +159,143 $30,839
     HDS711,400+159,143$30,839
GRUPO AEROPORTUARIO CTR NORT 683,200 +86,800 $30,805
     OMAB683,200+86,800$30,805
ROBERT HALF INTL INC 472,200 +123,500 $30,769
     RHI472,200+123,500$30,769
ENNIS INC 1,480,200 +120,200 $30,729
     EBF1,480,200+120,200$30,729
GRACE W R & CO DEL NEW 393,200 -8,565 $30,685
     GRA393,200-8,565$30,685
NORTHFIELD BANCORP INC DEL 2,202,818 +99,250 $30,619
     NFBK2,202,818+99,250$30,619
GOLAR LNG LTD BERMUDA 1,440,292 +58,700 $30,376
     GLNG1,440,292+58,700$30,376
MGE ENERGY INC 445,950 +35,300 $30,311
     MGEE445,950+35,300$30,311
KITE RLTY GROUP TR 1,894,500 +557,100 $30,293
     KRG1,894,500+557,100$30,293
UNITED MICROELECTRONICS CORP 16,077,589 +416,648 $30,226
     UMC16,077,589+416,648$30,226
CHATHAM LODGING TR 1,568,800 +243,500 $30,184
     CLDT1,568,800+243,500$30,184
INGREDION INC 317,700 +131,012 $30,083
     INGR317,700+131,012$30,083
WRIGHT MED GROUP N V 955,907 +955,907 $30,063
     WMGI955,907+955,907$30,063
BANCO SANTANDER BRASIL S A 2,673,500 +812,600 $30,023
     BSBR2,673,500+812,600$30,023
TRIPADVISOR INC 583,300 -1,515,900 $30,011
     TRIP583,300-1,515,900$30,011
WESTPAC BKG CORP 1,620,800 +189,004 $29,985
     WBK1,620,800+189,004$29,985
EXLSERVICE HOLDINGS INC 498,600 -46,600 $29,926
     EXLS498,600-46,600$29,926
DISH NETWORK CORP 941,900 +664,100 $29,849
     DISH941,900+664,100$29,849
STEPAN CO 340,900 +31,400 $29,836
     SCL340,900+31,400$29,836
OCEANFIRST FINL CORP 1,230,591 +22,050 $29,608
     OCFC1,230,591+22,050$29,608
EVERI HLDGS INC 2,813,200 -123,100 $29,595
     EVRI2,813,200-123,100$29,595
L3 TECHNOLOGIES INC 143,400 +41,400 $29,593
     LLL143,400+41,400$29,593
WORLD ACCEP CORP DEL 249,600 +26,600 $29,236
     WRLD249,600+26,600$29,236
MAGELLAN MIDSTREAM PRTNRS LP 481,016 -176,600 $29,164
     MMP481,016-176,600$29,164
PRUDENTIAL FINL INC 317,200 +250,600 $29,144
     PRU317,200+250,600$29,144
SLM CORP 2,934,200 +1,177,500 $29,078
     SLM2,934,200+1,177,500$29,078
INDUSTRIAS BACHOCO S A B DE 629,900 -96 $29,038
     IBA629,900-96$29,038
ALLEGHANY CORP DEL 47,288 +34,400 $28,959
     Y47,288+34,400$28,959
FRESH DEL MONTE PRODUCE INC 1,066,500 +279,200 $28,827
     FDP1,066,500+279,200$28,827
ZIX CORP 4,189,805 +253,905 $28,826
     ZIXI4,189,805+253,905$28,826
GALLAGHER ARTHUR J & CO 367,400 +367,400 $28,694
     AJG367,400+367,400$28,694
FUTUREFUEL CORPORATION 2,140,800 +121,200 $28,687
     FF2,140,800+121,200$28,687
FLUIDIGM CORP DEL 2,155,082 +914,200 $28,641
     FLDM2,155,082+914,200$28,641
STRATASYS LTD 1,202,398 +856,866 $28,641
     SSYS1,202,398+856,866$28,641
BIOMARIN PHARMACEUTICAL INC 321,971 +278,400 $28,601
     BMRN321,971+278,400$28,601
FIRST MERCHANTS CORP 775,878 -36,300 $28,591
     FRME775,878-36,300$28,591
BRYN MAWR BK CORP 791,120 -20,700 $28,583
     BMTC791,120-20,700$28,583
INVESCO MORTGAGE CAPITAL INC 1,804,202 +1,014,602 $28,506
     IVR1,804,202+1,014,602$28,506
QAD INC 661,548 -8,698 $28,493
     QADA661,548-8,698$28,493
EASTERLY GOVT PPTYS INC 1,580,070 -577,430 $28,457
     DEA1,580,070-577,430$28,457
UNITED FINL BANCORP INC NEW 1,982,112 +190,273 $28,443
     UBNK1,982,112+190,273$28,443
MCKESSON CORP 242,910 -700,700 $28,435
     MCK242,910-700,700$28,435
LIBERTY MEDIA CORP DELAWARE 1,023,719 +362,500 $28,429
     BATRK1,023,719+362,500$28,429
GLOBAL NET LEASE INC 1,502,900 +299,902 $28,405
     GNL1,502,900+299,902$28,405
AMERICAN OUTDOOR BRANDS CORP 3,040,390 -341,610 $28,397
     AOBC3,040,390-341,610$28,397
METHANEX CORP 499,348 -184,500 $28,393
     MEOH499,348-184,500$28,393
TUPPERWARE BRANDS CORP 1,105,755 +682,200 $28,285
     TUP1,105,755+682,200$28,285
PBF ENERGY INC 907,800 -299,800 $28,269
     PBF907,800-299,800$28,269
AMERICAN STS WTR CO 396,018 -84,600 $28,236
     AWR396,018-84,600$28,236
MERCER INTL INC 2,057,441 -560,400 $27,796
     MERC2,057,441-560,400$27,796
SANMINA CORPORATION 961,541 +365,200 $27,740
     SANM961,541+365,200$27,740
FOSSIL GROUP INC 2,020,874 +733,524 $27,726
     FOSL2,020,874+733,524$27,726
GOLDMAN SACHS GROUP INC 144,332 +28,532 $27,710
     GS144,332+28,532$27,710
EQUINIX INC 61,100 -79,670 $27,688
     EQIX61,100-79,670$27,688
ANWORTH MORTGAGE ASSET CP 6,843,010 +710,320 $27,646
     ANH6,843,010+710,320$27,646
EAGLE MATERIALS INC 323,900 -332,700 $27,305
     EXP323,900-332,700$27,305
GAP INC 1,042,900 +850,400 $27,303
     GPS1,042,900+850,400$27,303
RAYMOND JAMES FINANCIAL INC 337,775 +23,600 $27,160
     RJF337,775+23,600$27,160
PROASSURANCE CORP 784,000 +71,300 $27,134
     PRA784,000+71,300$27,134
CURTISS WRIGHT CORP 238,900 -75,000 $27,077
     CW238,900-75,000$27,077
SERVICE CORP INTL 673,230 +74,600 $27,030
     SCI673,230+74,600$27,030
DUCOMMUN INC DEL 620,997 +24,997 $27,026
     DCO620,997+24,997$27,026
XEROX CORP 844,349 +844,349 $27,002
     XRX844,349+844,349$27,002
LIVEPERSON INC 929,995 -386,505 $26,988
     LPSN929,995-386,505$26,988
COLUMBIA PPTY TR INC 1,194,500 +583,300 $26,888
     CXP1,194,500+583,300$26,888
CHICOS FAS INC 6,292,200 -333,300 $26,868
     CHS6,292,200-333,300$26,868
SEABOARD CORP 6,268 +519 $26,856
     SEB6,268+519$26,856
CHESAPEAKE UTILS CORP 293,150 -3,600 $26,738
     CPK293,150-3,600$26,738
TOWNEBANK PORTSMOUTH VA 1,078,442 +57,859 $26,691
     TOWN1,078,442+57,859$26,691
SELECT SECTOR SPDR TR (XLU) 458,000 +418,800 $26,642
     XLU458,000+418,800$26,642
AMERICAN NATL INS CO 220,500 +28,700 $26,641
     ANAT220,500+28,700$26,641
MARSH & MCLENNAN COS INC 283,400 +283,400 $26,611
     MMC283,400+283,400$26,611
PARK HOTELS RESORTS INC 854,500 -41,900 $26,558
     PK854,500-41,900$26,558
ADTRAN INC 1,937,028 +391,200 $26,537
     ADTN1,937,028+391,200$26,537
HMS HLDGS CORP 891,512 -4,900 $26,398
     HMSY891,512-4,900$26,398
STERLING CONSTRUCTION CO INC 2,103,800 +160,000 $26,340
     STRL2,103,800+160,000$26,340
DENTSPLY SIRONA INC 531,158 +273,500 $26,340
     XRAY531,158+273,500$26,340
ASSERTIO THERAPEUTICS INC 5,181,427 +512,836 $26,270
     ASRT5,181,427+512,836$26,270
CARNIVAL CORP 517,100 -311,500 $26,227
     CCL517,100-311,500$26,227
ONE LIBERTY PPTYS INC 902,736 +47,400 $26,179
     OLP902,736+47,400$26,179
CATCHMARK TIMBER TR INC 2,665,432 +164,800 $26,175
     CTT2,665,432+164,800$26,175
GRAY TELEVISION INC      $26,170
     GTN1,204,050+568,100$25,719
     GTN.A21,500+900$451
UNIVEST FINANCIAL CORPORATIO 1,062,669 +146,100 $25,993
     UVSP1,062,669+146,100$25,993
ENEL AMERICAS S A 2,903,700 +472,103 $25,930
     ENIA2,903,700+472,103$25,930
SLEEP NUMBER CORP 551,200 +523,700 $25,906
     SNBR551,200+523,700$25,906
CIMAREX ENERGY CO 370,597 +235,699 $25,905
     XEC370,597+235,699$25,905
PHYSICIANS RLTY TR 1,373,797 +198,200 $25,841
     DOC1,373,797+198,200$25,841
CLEAN ENERGY FUELS CORP 8,360,932 +254,600 $25,835
     CLNE8,360,932+254,600$25,835
TARGA RES CORP 621,586 -772,700 $25,827
     TRGP621,586-772,700$25,827
NEW ORIENTAL ED & TECH GRP I 286,300 -1,295,100 $25,793
     EDU286,300-1,295,100$25,793
MERCANTILE BANK CORP 787,815 +16,400 $25,777
     MBWM787,815+16,400$25,777
NAVISTAR INTL CORP NEW 796,800 +56,400 $25,737
     NAV796,800+56,400$25,737
PHIBRO ANIMAL HEALTH CORP 779,100 -51,800 $25,710
     PAHC779,100-51,800$25,710
EVEREST RE GROUP LTD 119,038 -51,900 $25,707
     RE119,038-51,900$25,707
INOGEN INC 269,200 -265,800 $25,674
     INGN269,200-265,800$25,674
ACCURAY INC 5,371,623 -135,500 $25,623
     ARAY5,371,623-135,500$25,623
BOX INC 1,326,512 -257,900 $25,615
     BOX1,326,512-257,900$25,615
ADDUS HOMECARE CORP 402,300 -16,900 $25,582
     ADUS402,300-16,900$25,582
U S G CORP 589,500 +589,500 $25,525
     USG589,500+589,500$25,525
STAAR SURGICAL CO 745,900 -529,900 $25,502
     STAA745,900-529,900$25,502
NUTANIX INC 675,226 -560,000 $25,483
     NTNX675,226-560,000$25,483
LIBERTY GLOBAL PLC 1,021,287 -9,500 $25,450
     LBTYA1,021,287-9,500$25,450
VIRTUSA CORP 474,800 +12,500 $25,378
     VRTU474,800+12,500$25,378
TRICO BANCSHARES (TCBK) 643,614 +36,700 $25,288
     TCBK643,614+36,700$25,288
R1 RCM INC 2,612,168 -760,300 $25,260
     RCM2,612,168-760,300$25,260
ARCH COAL INC 276,400 -39,900 $25,227
     ARCH276,400-39,900$25,227
AMAG PHARMACEUTICALS INC 1,946,700 +292,100 $25,073
     AMAG1,946,700+292,100$25,073
DOVER CORP 266,800 +266,800 $25,026
     DOV266,800+266,800$25,026
EHEALTH INC 401,400 +115,920 $25,023
     EHTH401,400+115,920$25,023
BALCHEM CORP 269,608 -18,600 $25,020
     BCPC269,608-18,600$25,020
ANDERSONS INC 774,276 +209,976 $24,955
     ANDE774,276+209,976$24,955
CRA INTL INC 492,731 -10,378 $24,903
     CRAI492,731-10,378$24,903
AKORN INC 7,071,636 +2,801,592 $24,892
     AKRX7,071,636+2,801,592$24,892
JOHNSON OUTDOORS INC 348,747 +21,547 $24,887
     JOUT348,747+21,547$24,887
MOMENTA PHARMACEUTICALS INC 1,711,090 +227,500 $24,862
     MNTA1,711,090+227,500$24,862
KRATON CORPORATION 771,300 UNCH $24,820
     KRA771,300UNCH$24,820
RUDOLPH TECHNOLOGIES INC 1,088,087 -71,336 $24,808
     RTEC1,088,087-71,336$24,808
CNH INDL N V 2,431,033 +2,431,033 $24,745
     CNHI2,431,033+2,431,033$24,745
CHIPMOS TECHNOLOGIES INC 1,462,667 +22,901 $24,690
     IMOS1,462,667+22,901$24,690
PHOTRONICS INC 2,611,595 +704,795 $24,680
     PLAB2,611,595+704,795$24,680
GILAT SATELLITE NETWORKS LTD 2,937,870 -535 $24,678
     GILT2,937,870-535$24,678
KEMPER CORP DEL 321,946 -61,998 $24,513
     KMPR321,946-61,998$24,513
ON DECK CAP INC 4,504,875 +625,333 $24,416
     ONDK4,504,875+625,333$24,416
AMERICAN SOFTWARE INC 2,042,200 -50,100 $24,404
     AMSWA2,042,200-50,100$24,404
PARK ELECTROCHEMICAL CORP 1,550,600 -63,430 $24,344
     PKE1,550,600-63,430$24,344
VISHAY PRECISION GROUP INC 710,700 -21,938 $24,313
     VPG710,700-21,938$24,313
TD AMERITRADE HLDG CORP 483,926 -404,200 $24,191
     AMTD483,926-404,200$24,191
YY INC 287,800 -21,292 $24,178
     YY287,800-21,292$24,178
SAUL CTRS INC 469,674 +48,460 $24,127
     BFS469,674+48,460$24,127
FIRST INTST BANCSYSTEM INC 605,583 +93,000 $24,114
     FIBK605,583+93,000$24,114
US FOODS HLDG CORP 688,700 -600,900 $24,043
     USFD688,700-600,900$24,043
UNIFIRST CORP MASS 156,500 -51,600 $24,023
     UNF156,500-51,600$24,023
CHILDRENS PL INC 246,360 +89,000 $23,966
     PLCE246,360+89,000$23,966
OWENS CORNING NEW 508,600 +268,600 $23,965
     OC508,600+268,600$23,965
NEW YORK CMNTY BANCORP INC 2,066,625 +394,900 $23,911
     NYCB2,066,625+394,900$23,911
BROOKLINE BANCORP INC DEL 1,660,040 -41,200 $23,905
     BRKL1,660,040-41,200$23,905
WASHINGTON TR BANCORP 494,700 +13,500 $23,820
     WASH494,700+13,500$23,820
PRICESMART INC 403,700 +1,100 $23,770
     PSMT403,700+1,100$23,770
MASTERCRAFT BOAT HLDGS INC 1,052,900 -413,426 $23,764
     MCFT1,052,900-413,426$23,764
CARRIAGE SVCS INC 1,230,900 +94,500 $23,695
     CSV1,230,900+94,500$23,695
KILROY RLTY CORP 311,539 -435,661 $23,665
     KRC311,539-435,661$23,665
INDEPENDENT BANK CORP MICH 1,098,700 +60,200 $23,622
     IBCP1,098,700+60,200$23,622
CENTRAL GARDEN & PET CO 1,015,600 -67,500 $23,613
     CENTA1,015,600-67,500$23,613
MATTEL INC 1,813,275 +1,813,275 $23,573
     MAT1,813,275+1,813,275$23,573
MASCO CORP 599,600 -174,600 $23,570
     MAS599,600-174,600$23,570
ANGLOGOLD ASHANTI LTD 1,796,085 -1,638,615 $23,529
     AU1,796,085-1,638,615$23,529
LIBERTY TRIPADVISOR HLDGS IN 1,651,621 +87,100 $23,437
     LTRPA1,651,621+87,100$23,437
FIRST BUSEY CORP 960,002 +64,477 $23,424
     BUSE960,002+64,477$23,424
CARETRUST REIT INC 997,700 +86,200 $23,406
     CTRE997,700+86,200$23,406
BANKUNITED INC 700,200 +457,500 $23,387
     BKU700,200+457,500$23,387
AMEDISYS INC 189,101 -93,000 $23,309
     AMED189,101-93,000$23,309
URSTADT BIDDLE PPTYS INC 1,125,417 +90,600 $23,229
     UBA1,125,417+90,600$23,229
TEGNA INC 1,647,400 +1,647,400 $23,228
     TGNA1,647,400+1,647,400$23,228
DHT HOLDINGS INC 5,207,170 +237,589 $23,224
     DHT5,207,170+237,589$23,224
ARCHER DANIELS MIDLAND CO 538,000 -377,200 $23,204
     ADM538,000-377,200$23,204
ERIE INDTY CO 129,471 -51,229 $23,113
     ERIE129,471-51,229$23,113
FIRST DEFIANCE FINL CORP 803,300 -4,800 $23,087
     FDEF803,300-4,800$23,087
HUBBELL INC 195,400 +175,400 $23,053
     HUBB195,400+175,400$23,053
WESTLAKE CHEM CORP 339,200 -368,100 $23,018
     WLK339,200-368,100$23,018
E TRADE FINANCIAL CORP 495,640 -775,500 $23,013
     ETFC495,640-775,500$23,013
CALIX INC 2,982,818 +76,900 $22,968
     CALX2,982,818+76,900$22,968
RADNET INC 1,848,003 +3,900 $22,897
     RDNT1,848,003+3,900$22,897
FLIR SYS INC 479,460 -47,900 $22,813
     FLIR479,460-47,900$22,813
HENRY SCHEIN INC 379,112 +379,112 $22,788
     HSIC379,112+379,112$22,788
METHODE ELECTRS INC 791,800 -81,680 $22,788
     MEI791,800-81,680$22,788
INNOPHOS HOLDINGS INC 755,800 -29,200 $22,780
     IPHS755,800-29,200$22,780
T MOBILE US INC 329,550 -1,040,900 $22,772
     TMUS329,550-1,040,900$22,772
FIRST BANCORP N C 650,814 -12,356 $22,622
     FBNC650,814-12,356$22,622
CAPITAL ONE FINL CORP 276,899 -653,700 $22,620
     COF276,899-653,700$22,620
RAYTHEON CO 123,900 -720,700 $22,560
     RTN123,900-720,700$22,560
FORTUNA SILVER MINES INC 6,732,831 +1,272,228 $22,554
     FSM6,732,831+1,272,228$22,554
GASLOG LTD 1,291,000 +198,200 $22,541
     GLOG1,291,000+198,200$22,541
TOWER SEMICONDUCTOR LTD 1,356,286 +888,186 $22,460
     TSEM1,356,286+888,186$22,460
RED HAT INC 122,565 +113,265 $22,393
     RHT122,565+113,265$22,393
JAMES RIV GROUP LTD 555,800 +41,800 $22,276
     JRVR555,800+41,800$22,276
CHERRY HILL MTG INVT CORP 1,292,500 +6,000 $22,257
     CHMI1,292,500+6,000$22,257
ENDURANCE INTL GROUP HLDGS I 3,051,479 -212,700 $22,123
     EIGI3,051,479-212,700$22,123
AMPHENOL CORP NEW 232,900 -449,500 $21,995
     APH232,900-449,500$21,995
HOMETRUST BANCSHARES INC (HTBI) 866,915 +132,500 $21,846
     HTBI866,915+132,500$21,846
PAPA JOHNS INTL INC 411,900 +411,900 $21,810
     PZZA411,900+411,900$21,810
CHIMERA INVT CORP 1,160,760 -74,993 $21,753
     CIM1,160,760-74,993$21,753
OFFICE DEPOT INC 5,990,694 +4,531,265 $21,746
     ODP5,990,694+4,531,265$21,746
ROLLINS INC 520,350 -150,400 $21,657
     ROL520,350-150,400$21,657
TENARIS S A 766,300 -1,567,900 $21,648
     TS766,300-1,567,900$21,648
CELANESE CORP DEL 219,000 -221,700 $21,596
     CE219,000-221,700$21,596
DMC GLOBAL INC 434,668 +30,268 $21,577
     BOOM434,668+30,268$21,577
COMFORT SYS USA INC 410,880 -206,100 $21,526
     FIX410,880-206,100$21,526
TURNING PT BRANDS INC 466,343 -197,900 $21,494
     TPB466,343-197,900$21,494
TANGER FACTORY OUTLET CTRS I 1,020,016 +515,900 $21,400
     SKT1,020,016+515,900$21,400
MGM GROWTH PPTYS LLC 662,000 +147,500 $21,350
     MGP662,000+147,500$21,350
INFRAREIT INC 1,017,596 +387,600 $21,339
     HIFR1,017,596+387,600$21,339
KRONOS WORLDWIDE INC 1,513,800 -142,900 $21,223
     KRO1,513,800-142,900$21,223
WILLIS LEASE FINANCE CORP 500,032 -7,068 $21,196
     WLFC500,032-7,068$21,196
LUXFER HOLDINGS PLC 841,700 -35,100 $21,026
     LXFR841,700-35,100$21,026
UTAH MED PRODS INC 238,248 -966 $21,025
     UTMD238,248-966$21,025
ANGI HOMESERVICES INC 1,358,500 +1,088,000 $20,975
     ANGI1,358,500+1,088,000$20,975
SPOK HLDGS INC 1,536,384 +32,184 $20,926
     SPOK1,536,384+32,184$20,926
UNION BANKSHARES CORP NEW (UBSH) 646,902 +106,429 $20,914
     UBSH646,902+106,429$20,914
SM ENERGY CO 1,192,900 -715,400 $20,864
     SM1,192,900-715,400$20,864
CONNECTONE BANCORP INC NEW 1,057,576 +10,900 $20,834
     CNOB1,057,576+10,900$20,834
BANDWIDTH INC 309,900 -73,700 $20,751
     BAND309,900-73,700$20,751
RITCHIE BROS AUCTIONEERS 609,100 +455,600 $20,709
     RBA609,100+455,600$20,709
XPERI CORP 883,914 +688,714 $20,684
     XPER883,914+688,714$20,684
UBS GROUP AG 1,704,300 +1,335,100 $20,639
     UBS1,704,300+1,335,100$20,639
UNILEVER PLC 357,340 +121,500 $20,626
     UL357,340+121,500$20,626
UMPQUA HLDGS CORP 1,247,688 -552,200 $20,587
     UMPQ1,247,688-552,200$20,587
JBG SMITH PPTYS 496,800 -543,600 $20,543
     JBGS496,800-543,600$20,543
FRANKLIN STREET PPTYS CORP 2,844,600 +290,600 $20,453
     FSP2,844,600+290,600$20,453
FIRST COMWLTH FINL CORP PA 1,621,500 -108,900 $20,431
     FCF1,621,500-108,900$20,431
CAMDEN NATL CORP 487,949 +14,200 $20,357
     CAC487,949+14,200$20,357
COLFAX CORP 683,700 +342,500 $20,292
     CFX683,700+342,500$20,292
EXTRA SPACE STORAGE INC 198,704 -140,400 $20,250
     EXR198,704-140,400$20,250
HANMI FINL CORP 947,957 +2,100 $20,163
     HAFC947,957+2,100$20,163
TRINET GROUP INC 336,300 +249,500 $20,091
     TNET336,300+249,500$20,091
NEUROCRINE BIOSCIENCES INC 227,941 +152,100 $20,082
     NBIX227,941+152,100$20,082
LATTICE SEMICONDUCTOR CORP 1,683,000 +1,514,700 $20,078
     LSCC1,683,000+1,514,700$20,078
PRUDENTIAL PLC 498,400 +37,000 $20,046
     PUK498,400+37,000$20,046
WESTWOOD HLDGS GROUP INC 568,126 +73,734 $20,038
     WHG568,126+73,734$20,038
ENTERPRISE FINL SVCS CORP 491,400 -9,300 $20,034
     EFSC491,400-9,300$20,034
MONOTYPE IMAGING HOLDINGS IN 1,006,551 +93,300 $20,020
     TYPE1,006,551+93,300$20,020
TEXAS ROADHOUSE INC 321,772 +77,784 $20,011
     TXRH321,772+77,784$20,011
VORNADO RLTY TR 295,999 +295,999 $19,962
     VNO295,999+295,999$19,962
CENTRAL PAC FINL CORP 691,700 +30,347 $19,949
     CPF691,700+30,347$19,949
UFP TECHNOLOGIES INC 533,256 -18,544 $19,944
     UFPT533,256-18,544$19,944
WATTS WATER TECHNOLOGIES INC 246,600 +9,288 $19,930
     WTS246,600+9,288$19,930
ADVERUM BIOTECHNOLOGIES INC 3,794,300 +76,533 $19,882
     ADVM3,794,300+76,533$19,882
CARBONITE INC 801,189 -468,900 $19,877
     CARB801,189-468,900$19,877
FLOWSERVE CORP 440,200 +440,200 $19,871
     FLS440,200+440,200$19,871
SIX FLAGS ENTMT CORP NEW 401,898 +388,398 $19,834
     SIX401,898+388,398$19,834
FEDERAL AGRIC MTG CORP 272,900 +18,200 $19,766
     AGM272,900+18,200$19,766
FNB CORP PA 1,861,827 +1,013,100 $19,735
     FNB1,861,827+1,013,100$19,735
GLOBAL CORD BLOOD CORPORATIO 2,797,500 +212,100 $19,638
     CO2,797,500+212,100$19,638
APTARGROUP INC 184,400 -8,740 $19,618
     ATR184,400-8,740$19,618
WILLIS TOWERS WATSON PUB LTD 111,620 +84,600 $19,606
     WLTW111,620+84,600$19,606
VEDANTA LTD 1,853,200 +39,700 $19,570
     VEDL1,853,200+39,700$19,570
CITY OFFICE REIT INC 1,728,696 +8,200 $19,552
     CIO1,728,696+8,200$19,552
EXTENDED STAY AMER INC 1,087,200 -121,700 $19,515
     STAY1,087,200-121,700$19,515
ALARM COM HLDGS INC 300,452 +300,452 $19,499
     ALRM300,452+300,452$19,499
P A M TRANSN SVCS INC 397,474 +1,400 $19,452
     PTSI397,474+1,400$19,452
NEW RESIDENTIAL INVT CORP 1,150,005 -2,296,100 $19,447
     NRZ1,150,005-2,296,100$19,447
VOCERA COMMUNICATIONS INC 613,600 -496,600 $19,408
     VCRA613,600-496,600$19,408
UNITED CMNTY FINL CORP OHIO 2,071,804 -20,300 $19,371
     UCFC2,071,804-20,300$19,371
RENASANT CORP 571,739 -710 $19,353
     RNST571,739-710$19,353
FEDERAL REALTY INVT TR 140,300 -14,700 $19,340
     FRT140,300-14,700$19,340
STARS GROUP INC 1,100,200 +103,100 $19,265
     TSG1,100,200+103,100$19,265
ON SEMICONDUCTOR CORP 935,796 -962 $19,249
     ON935,796-962$19,249
HIBBETT SPORTS INC 843,544 -340,800 $19,241
     HIBB843,544-340,800$19,241
BLACKSTONE MTG TR INC 556,280 -326,400 $19,225
     BXMT556,280-326,400$19,225
MEDNAX INC 706,700 +214,500 $19,201
     MD706,700+214,500$19,201
MOLSON COORS BREWING CO 321,800 -587,200 $19,195
     TAP321,800-587,200$19,195
TWO HBRS INVT CORP 1,414,485 +696,827 $19,138
     TWO1,414,485+696,827$19,138
IMMUNOGEN INC 7,043,640 +861,500 $19,088
     IMGN7,043,640+861,500$19,088
BANCOLOMBIA S A 373,700 +203,700 $19,081
     CIB373,700+203,700$19,081
EXTREME NETWORKS INC 2,546,063 +1,724,502 $19,070
     EXTR2,546,063+1,724,502$19,070
NATIONAL RESH CORP 492,700 +20,100 $19,018
     NRC492,700+20,100$19,018
BRANDYWINE RLTY TR 1,198,998 +851,898 $19,016
     BDN1,198,998+851,898$19,016
HANCOCK WHITNEY CORPORATION 470,250 -3,400 $18,998
     HWC470,250-3,400$18,998
ALLY FINL INC 689,100 +517,900 $18,943
     ALLY689,100+517,900$18,943
TITAN INTL INC ILL 3,171,200 +224,200 $18,932
     TWI3,171,200+224,200$18,932
RMR GROUP INC 310,400 -1,900 $18,928
     RMR310,400-1,900$18,928
DANA INCORPORATED 1,065,500 +319,800 $18,902
     DAN1,065,500+319,800$18,902
CUBESMART 587,830 -499,400 $18,834
     CUBE587,830-499,400$18,834
EPR PPTYS 244,871 -84,229 $18,831
     EPR244,871-84,229$18,831
DESCARTES SYS GROUP INC 516,100 -177,100 $18,776
     DSGX516,100-177,100$18,776
NATIONAL INSTRS CORP 422,866 +234,500 $18,758
     NATI422,866+234,500$18,758
MODEL N INC 1,067,300 +172,200 $18,720
     MODN1,067,300+172,200$18,720
INVESCO LTD 968,600 -1,885,400 $18,704
     IVZ968,600-1,885,400$18,704
LEAR CORP 137,100 -94,400 $18,606
     LEA137,100-94,400$18,606
QUIDEL CORP 284,187 -175,113 $18,606
     QDEL284,187-175,113$18,606
ALGONQUIN PWR UTILS CORP 1,650,000 +400,500 $18,595
     AQN1,650,000+400,500$18,595
AMERICA MOVIL SAB DE CV 1,299,674 +132,074 $18,559
     AMX1,299,674+132,074$18,559
SWITCH INC 1,798,600 +1,354,400 $18,544
     SWCH1,798,600+1,354,400$18,544
QCR HOLDINGS INC 546,600 +26,328 $18,541
     QCRH546,600+26,328$18,541
AEROHIVE NETWORKS INC 4,081,820 +816,110 $18,491
     HIVE4,081,820+816,110$18,491
CIVEO CORP CDA 8,747,900 -995,420 $18,371
     CVEO8,747,900-995,420$18,371
CAPSTEAD MTG CORP 2,129,000 -406,000 $18,288
     CMO2,129,000-406,000$18,288
BRIGHTCOVE INC 2,171,051 +142,700 $18,259
     BCOV2,171,051+142,700$18,259
FLEX LTD 1,825,554 -465,600 $18,256
     FLEX1,825,554-465,600$18,256
HUDBAY MINERALS INC 2,554,809 +1,031,218 $18,241
     HBM2,554,809+1,031,218$18,241
SP PLUS CORP 534,211 +43,168 $18,227
     SP534,211+43,168$18,227
WILLIAMS SONOMA INC 323,600 +323,600 $18,209
     WSM323,600+323,600$18,209
SYKES ENTERPRISES INC 641,573 +35,173 $18,144
     SYKE641,573+35,173$18,144
STONERIDGE INC 627,319 -22,100 $18,104
     SRI627,319-22,100$18,104
SPECTRUM PHARMACEUTICALS INC 1,692,182 +692,582 $18,089
     SPPI1,692,182+692,582$18,089
PRIMO WTR CORP 1,168,155 -58,400 $18,060
     PRMW1,168,155-58,400$18,060
ENERGIZER HLDGS INC NEW 401,020 -256,600 $18,018
     ENR401,020-256,600$18,018
CHINA SOUTHN AIRLS LTD 412,100 -11,700 $17,935
     ZNH412,100-11,700$17,935
MURPHY USA INC 208,900 +201,600 $17,886
     MUSA208,900+201,600$17,886
HIGHPOINT RES CORP 8,090,305 -854,500 $17,880
     HPR8,090,305-854,500$17,880
MURPHY OIL CORP 608,200 +580,800 $17,820
     MUR608,200+580,800$17,820
TEXAS CAPITAL BANCSHARES INC (TCBI) 326,200 -98,700 $17,807
     TCBI326,200-98,700$17,807
COVANTA HLDG CORP 1,027,600 +23,184 $17,788
     CVA1,027,600+23,184$17,788
LIQUIDITY SERVICES INC 2,302,339 +72,700 $17,751
     LQDT2,302,339+72,700$17,751
GENERAC HLDGS INC 345,700 +163,100 $17,710
     GNRC345,700+163,100$17,710
YELP INC 513,100 +212,300 $17,702
     YELP513,100+212,300$17,702
TERRITORIAL BANCORP INC 654,400 +27,000 $17,610
     TBNK654,400+27,000$17,610
POTBELLY CORP 2,067,600 +96,900 $17,595
     PBPB2,067,600+96,900$17,595
URBAN EDGE PPTYS 925,200 +62,200 $17,579
     UE925,200+62,200$17,579
NATHANS FAMOUS INC NEW 256,900 -5,900 $17,572
     NATH256,900-5,900$17,572
KKR & CO INC 747,350 -4,483 $17,555
     KKR747,350-4,483$17,555
SPDR SERIES TRUST (JNK) 486,000 +486,000 $17,481
     JNK486,000+486,000$17,481
CAROLINA FINL CORP NEW 503,116 -27,157 $17,403
     CARO503,116-27,157$17,403
ETHAN ALLEN INTERIORS INC 908,200 +55,700 $17,374
     ETH908,200+55,700$17,374
QUANTENNA COMMUNICATIONS INC 712,742 +341,600 $17,341
     QTNA712,742+341,600$17,341
MUELLER WTR PRODS INC 1,725,200 +133,900 $17,321
     MWA1,725,200+133,900$17,321
UNITED STATES LIME & MINERAL 224,345 +585 $17,301
     USLM224,345+585$17,301
DOMTAR CORP 348,142 -108,400 $17,285
     UFS348,142-108,400$17,285
CORE LABORATORIES N V 250,700 -186,600 $17,281
     CLB250,700-186,600$17,281
NCI BUILDING SYS INC 2,803,720 -701,532 $17,271
     NCS2,803,720-701,532$17,271
GRANITE REAL ESTATE INVT TR      $17,237
     GRP.U360,347+93,238$17,237
EGAIN CORP 1,648,400 -89,200 $17,226
     EGAN1,648,400-89,200$17,226
VERA BRADLEY INC 1,300,000 -329,000 $17,225
     VRA1,300,000-329,000$17,225
SIMON PPTY GROUP INC NEW 94,105 +52,205 $17,147
     SPG94,105+52,205$17,147
WEBSTER FINL CORP CONN 338,331 -45,600 $17,143
     WBS338,331-45,600$17,143
HORMEL FOODS CORP 382,400 +382,400 $17,116
     HRL382,400+382,400$17,116
BT GROUP PLC 1,156,200 +734,400 $17,100
     BT1,156,200+734,400$17,100
DIAMOND HILL INVESTMENT GROU 121,733 +13,522 $17,043
     DHIL121,733+13,522$17,043
CONNECTICUT WTR SVC INC 248,200 -700 $17,039
     CTWS248,200-700$17,039
GLU MOBILE INC 1,557,200 +617,200 $17,036
     GLUU1,557,200+617,200$17,036
CULLEN FROST BANKERS INC 175,400 -83,400 $17,026
     CFR175,400-83,400$17,026
CBIZ INC 839,426 +67,000 $16,990
     CBZ839,426+67,000$16,990
EMBOTELLADORA ANDINA S A      $16,938
     AKO.B646,900-3,991$13,992
     AKO.A154,500+300$2,946
PREFERRED BK LOS ANGELES CA 375,255 +41,600 $16,875
     PFBC375,255+41,600$16,875
CHANGYOU COM LTD 976,015 +134,500 $16,690
     CYOU976,015+134,500$16,690
HACKETT GROUP INC 1,055,444 -50,151 $16,676
     HCKT1,055,444-50,151$16,676
HORIZON BANCORP INC 1,034,509 +94,194 $16,645
     HBNC1,034,509+94,194$16,645
WISDOMTREE INVTS INC 2,344,100 +1,443,620 $16,549
     WETF2,344,100+1,443,620$16,549
WALGREENS BOOTS ALLIANCE INC 260,700 +260,700 $16,494
     WBA260,700+260,700$16,494
DSW INC 741,580 -818,000 $16,478
     DSW741,580-818,000$16,478
TOLL BROTHERS INC 453,900 -1,317,100 $16,431
     TOL453,900-1,317,100$16,431
ZENDESK INC 193,300 +143,200 $16,431
     ZEN193,300+143,200$16,431
BILIBILI INC 866,600 +866,600 $16,422
     BILI866,600+866,600$16,422
ARCELORMITTAL SA LUXEMBOURG 804,271 -156,900 $16,391
     MT804,271-156,900$16,391
FLAGSTAR BANCORP INC 497,349 -130,512 $16,373
     FBC497,349-130,512$16,373
CVS HEALTH CORP 303,553 -1,019,821 $16,371
     CVS303,553-1,019,821$16,371
CAMTEK LTD 1,828,100 +219,000 $16,307
     CAMT1,828,100+219,000$16,307
PEOPLES BANCORP INC 524,479 +57,900 $16,243
     PEBO524,479+57,900$16,243
SIBANYE STILLWATER 3,933,007 +2,516,051 $16,243
     SBGL3,933,007+2,516,051$16,243
FOMENTO ECONOMICO MEXICANO S 175,700 +12,800 $16,214
     FMX175,700+12,800$16,214
SUPERNUS PHARMACEUTICALS INC 462,300 +118,800 $16,199
     SUPN462,300+118,800$16,199
FRESHPET INC 381,100 +219,900 $16,117
     FRPT381,100+219,900$16,117
CINCINNATI FINL CORP 187,500 +63,800 $16,106
     CINF187,500+63,800$16,106
CPFL ENERGIA S A 1,035,186 +9,600 $16,066
     CPL1,035,186+9,600$16,066
MDU RES GROUP INC 621,650 -34,100 $16,057
     MDU621,650-34,100$16,057
SERVICEMASTER GLOBAL HLDGS I 343,800 +187,900 $16,055
     SERV343,800+187,900$16,055
FOX FACTORY HLDG CORP 229,193 -107,600 $16,018
     FOXF229,193-107,600$16,018
BLUE HILLS BANCORP INC 669,800 +73,300 $16,008
     BHBK669,800+73,300$16,008
VISHAY INTERTECHNOLOGY INC 865,400 +35,375 $15,984
     VSH865,400+35,375$15,984
HOULIHAN LOKEY INC 348,100 -247,700 $15,960
     HLI348,100-247,700$15,960
HABIT RESTAURANTS INC 1,472,359 +45,259 $15,931
     HABT1,472,359+45,259$15,931
HANESBRANDS INC 890,800 +890,800 $15,928
     HBI890,800+890,800$15,928
NATERA INC 772,404 -563,200 $15,927
     NTRA772,404-563,200$15,927
ACI WORLDWIDE INC 483,933 +446,499 $15,907
     ACIW483,933+446,499$15,907
CONCHO RES INC 143,042 -306,400 $15,872
     CXO143,042-306,400$15,872
VARONIS SYS INC 266,000 -4,900 $15,862
     VRNS266,000-4,900$15,862
LIFEVANTAGE CORP 1,105,405 +24,257 $15,796
     LFVN1,105,405+24,257$15,796
CHEMOCENTRYX INC 1,133,254 +249,873 $15,741
     CCXI1,133,254+249,873$15,741
VILLAGE SUPER MKT INC 575,200 +7,148 $15,720
     VLGEA575,200+7,148$15,720
CENTRAL GARDEN & PET CO 614,900 -27,700 $15,717
     CENT614,900-27,700$15,717
TORO CO 228,000 +94,300 $15,696
     TTC228,000+94,300$15,696
MYERS INDS INC 914,500 +121,000 $15,647
     MYE914,500+121,000$15,647
WESTERN NEW ENG BANCORP INC 1,685,209 +51,482 $15,554
     WNEB1,685,209+51,482$15,554
ENTEGRIS INC 434,888 -822,810 $15,521
     ENTG434,888-822,810$15,521
DSP GROUP INC 1,102,294 +105,594 $15,509
     DSPG1,102,294+105,594$15,509
MANHATTAN ASSOCS INC 281,360 -31,500 $15,506
     MANH281,360-31,500$15,506
EAST WEST BANCORP INC 323,233 -434,000 $15,505
     EWBC323,233-434,000$15,505
CNO FINL GROUP INC 956,900 -267,200 $15,483
     CNO956,900-267,200$15,483
58 COM INC 234,863 +146,863 $15,426
     WUBA234,863+146,863$15,426
CERAGON NETWORKS LTD 4,295,100 +242,442 $15,419
     CRNT4,295,100+242,442$15,419
WINTRUST FINL CORP 228,900 -130,500 $15,412
     WTFC228,900-130,500$15,412
WASHINGTON FED INC 533,176 -249,400 $15,403
     WAFD533,176-249,400$15,403
DELUXE CORP 351,705 -44,800 $15,377
     DLX351,705-44,800$15,377
SINOVAC BIOTECH LTD 2,375,841 -12,732 $15,372
     SVA2,375,841-12,732$15,372
TIVITY HEALTH INC 874,424 +733,735 $15,355
     TVTY874,424+733,735$15,355
BANCFIRST CORP 293,488 +59,100 $15,305
     BANF293,488+59,100$15,305
REGAL BELOIT CORP 186,005 +175,005 $15,228
     RBC186,005+175,005$15,228
MOVADO GROUP INC 418,534 +138,200 $15,226
     MOV418,534+138,200$15,226
DROPBOX INC 698,406 +698,406 $15,225
     DBX698,406+698,406$15,225
FABRINET 290,700 -79,335 $15,221
     FN290,700-79,335$15,221
SCHNEIDER NATIONAL INC 721,900 +364,000 $15,196
     SNDR721,900+364,000$15,196
FINISAR CORP 652,600 +638,500 $15,121
     FNSR652,600+638,500$15,121
BANK OZK 520,500 +225,500 $15,084
     OZK520,500+225,500$15,084
INDEPENDENT BK GROUP INC 294,066 +294,066 $15,083
     IBTX294,066+294,066$15,083
A10 NETWORKS INC 2,126,500 -48,900 $15,077
     ATEN2,126,500-48,900$15,077
SHERWIN WILLIAMS CO 35,000 +35,000 $15,075
     SHW35,000+35,000$15,075
MOBILEIRON INC 2,755,240 +500,340 $15,071
     MOBL2,755,240+500,340$15,071
SCHWEITZER MAUDUIT INTL INC 387,300 -102,400 $14,996
     SWM387,300-102,400$14,996
WHITE MTNS INS GROUP LTD 16,200 +1,000 $14,993
     WTM16,200+1,000$14,993
NATIONAL PRESTO INDS INC 137,400 +26,500 $14,915
     NPK137,400+26,500$14,915
SOLAREDGE TECHNOLOGIES INC 393,700 -32,300 $14,835
     SEDG393,700-32,300$14,835
MACROGENICS INC 823,723 +627,623 $14,811
     MGNX823,723+627,623$14,811
LINCOLN ELEC HLDGS INC 176,138 +150,000 $14,773
     LECO176,138+150,000$14,773
FIRST LONG IS CORP 670,181 +92,531 $14,697
     FLIC670,181+92,531$14,697
NICE LTD 119,644 +110,800 $14,658
     NICE119,644+110,800$14,658
OOMA INC 1,107,003 -15,000 $14,657
     OOMA1,107,003-15,000$14,657
BANKFINANCIAL CORP 982,600 +90,700 $14,611
     BFIN982,600+90,700$14,611
RADIAN GROUP INC 703,700 +274,500 $14,595
     RDN703,700+274,500$14,595
COLONY CAP INC NEW 2,741,592 +1,277,029 $14,585
     CLNY2,741,592+1,277,029$14,585
OSISKO GOLD ROYALTIES LTD 1,295,100 +266,900 $14,557
     OR1,295,100+266,900$14,557
PEMBINA PIPELINE CORP 395,864 +395,864 $14,553
     PBA395,864+395,864$14,553
ALLEGIANT TRAVEL CO 112,300 -92,100 $14,539
     ALGT112,300-92,100$14,539
COMPANHIA SIDERURGICA NACION 3,536,700 +2,424,100 $14,536
     SID3,536,700+2,424,100$14,536
LEXINGTON REALTY TRUST 1,601,682 +1,392,900 $14,511
     LXP1,601,682+1,392,900$14,511
ALLOT LTD 1,820,008 +309,362 $14,451
     ALLT1,820,008+309,362$14,451
GREAT SOUTHN BANCORP INC 278,400 +32,090 $14,449
     GSBC278,400+32,090$14,449
LATAM AIRLS GROUP S A 1,364,590 +279,300 $14,437
     LTM1,364,590+279,300$14,437
LTC PPTYS INC 315,100 -53,300 $14,432
     LTC315,100-53,300$14,432
SOUTHWEST AIRLS CO 277,880 +277,880 $14,425
     LUV277,880+277,880$14,425
RCI HOSPITALITY HLDGS INC 627,600 -76,100 $14,416
     RICK627,600-76,100$14,416
NIC INC 838,732 +652,660 $14,334
     EGOV838,732+652,660$14,334
CONSOL ENERGY INC NEW 418,600 +205,700 $14,324
     CEIX418,600+205,700$14,324
BANCO SANTANDER MEXICO S A 2,115,432 -96,877 $14,321
     BSMX2,115,432-96,877$14,321
TOMPKINS FINANCIAL CORPORATI 187,992 +24,200 $14,301
     TMP187,992+24,200$14,301
WHITESTONE REIT 1,188,000 +164,000 $14,280
     COM1,188,000+164,000$14,280
MEDPACE HLDGS INC 242,100 -246,400 $14,277
     MEDP242,100-246,400$14,277
LINDBLAD EXPEDITIONS HLDGS I 935,679 +120,700 $14,269
     LIND935,679+120,700$14,269
CSW INDUSTRIALS INC 248,700 +3,200 $14,248
     CSWI248,700+3,200$14,248
HELEN OF TROY CORP LTD 122,710 +122,710 $14,229
     HELE122,710+122,710$14,229
ENDEAVOUR SILVER CORP 5,645,225 +558,900 $14,226
     EXK5,645,225+558,900$14,226
REVANCE THERAPEUTICS INC 902,073 +330,200 $14,217
     RVNC902,073+330,200$14,217
BJS RESTAURANTS INC 300,029 +74,700 $14,185
     BJRI300,029+74,700$14,185
PEGASYSTEMS INC 218,029 +218,029 $14,172
     PEGA218,029+218,029$14,172
KENNAMETAL INC 385,458 -474,200 $14,166
     KMT385,458-474,200$14,166
QEP RES INC 1,815,258 +798,233 $14,141
     QEP1,815,258+798,233$14,141
EVOLUTION PETROLEUM CORP 2,090,488 +115,800 $14,111
     EPM2,090,488+115,800$14,111
SOUTH JERSEY INDS INC 439,500 -349,400 $14,095
     SJI439,500-349,400$14,095
GRANITE CONSTR INC 326,565 -38,581 $14,091
     GVA326,565-38,581$14,091
ANI PHARMACEUTICALS INC 199,200 +29,800 $14,052
     ANIP199,200+29,800$14,052
COMMERCIAL VEH GROUP INC 1,830,400 +110,374 $14,039
     CVGI1,830,400+110,374$14,039
BOK FINL CORP 171,879 +18,600 $14,017
     BOKF171,879+18,600$14,017
OPEN TEXT CORP 364,700 -66,016 $14,015
     OTEX364,700-66,016$14,015
MADISON SQUARE GARDEN CO NEW 47,700 -223,300 $13,982
     MSG47,700-223,300$13,982
CAMPBELL SOUP CO 366,100 +366,100 $13,959
     CPB366,100+366,100$13,959
CONTINENTAL BLDG PRODS INC 562,972 -310,600 $13,956
     CBPX562,972-310,600$13,956
CHEMOURS CO 374,500 +374,500 $13,916
     CC374,500+374,500$13,916
ARTESIAN RESOURCES CORP 372,700 +10,700 $13,891
     ARTNA372,700+10,700$13,891
TTEC HLDGS INC 383,100 +19,300 $13,880
     TTEC383,100+19,300$13,880
CYTOMX THERAPEUTICS INC 1,290,600 -27,200 $13,874
     CTMX1,290,600-27,200$13,874
CULP INC 721,500 +30,700 $13,874
     CULP721,500+30,700$13,874
OLD SECOND BANCORP INC ILL 1,101,925 +87,200 $13,873
     OSBC1,101,925+87,200$13,873
OMNOVA SOLUTIONS INC 1,975,421 +230,400 $13,867
     OMN1,975,421+230,400$13,867
O REILLY AUTOMOTIVE INC NEW 35,694 +35,694 $13,860
     ORLY35,694+35,694$13,860
HERITAGE CRYSTAL CLEAN INC 504,200 +7,850 $13,840
     HCCI504,200+7,850$13,840
LIBERTY EXPEDIA HLDGS INC 323,300 +209,200 $13,837
     LEXEA323,300+209,200$13,837
LAREDO PETROLEUM INC 4,476,200 +4,364,500 $13,831
     LPI4,476,200+4,364,500$13,831
ASGN INC 217,394 -114,700 $13,802
     ASGN217,394-114,700$13,802
CHINA LIFE INS CO LTD 1,026,635 +62,900 $13,777
     LFC1,026,635+62,900$13,777
EMBRAER S A 724,500 +337,200 $13,773
     ERJ724,500+337,200$13,773
CGI INC 200,200 +125,000 $13,773
     GIB200,200+125,000$13,773
SPDR SER TR (BIL) 150,350 -7,900 $13,772
     BIL150,350-7,900$13,772
NOW INC 984,200 +126,000 $13,739
     DNOW984,200+126,000$13,739
MICROSTRATEGY INC 95,200 +62,100 $13,733
     MSTR95,200+62,100$13,733
TRIMAS CORP 452,500 +101,200 $13,679
     TRS452,500+101,200$13,679
SYNNEX CORP 143,228 +143,228 $13,663
     SNX143,228+143,228$13,663
CHEGG INC 357,400 +357,400 $13,624
     CHGG357,400+357,400$13,624
PRGX GLOBAL INC 1,714,900 +35,200 $13,582
     PRGX1,714,900+35,200$13,582
CELLCOM ISRAEL LTD 3,739,277 +8,200 $13,461
     CEL3,739,277+8,200$13,461
BERKSHIRE HILLS BANCORP INC 494,000 -201,281 $13,457
     BHLB494,000-201,281$13,457
CANNAE HLDGS INC 553,800 -138,800 $13,435
     CNNE553,800-138,800$13,435
EMPLOYERS HOLDINGS INC 334,900 +33,000 $13,433
     EIG334,900+33,000$13,433
READING INTERNATIONAL INC 836,990 -6,500 $13,358
     RDI836,990-6,500$13,358
TEMPUR SEALY INTL INC 231,600 +72,900 $13,356
     TPX231,600+72,900$13,356
MARCUS CORP 332,594 -115,500 $13,320
     MCS332,594-115,500$13,320
AMERICAN HOMES 4 RENT 586,057 +170,973 $13,315
     AMH586,057+170,973$13,315
PLAINS GP HLDGS L P 533,761 +114,300 $13,301
     PAGP533,761+114,300$13,301
TOOTSIE ROLL INDS INC 355,297 +65,019 $13,231
     TR355,297+65,019$13,231
PAYCOM SOFTWARE INC 69,950 +69,950 $13,230
     PAYC69,950+69,950$13,230
COMMUNITY TR BANCORP INC 321,582 +35,540 $13,204
     CTBI321,582+35,540$13,204
BEL FUSE INC 522,223 +76 $13,202
     BELFB522,223+76$13,202
RPC INC 1,155,800 +1,086,300 $13,188
     RES1,155,800+1,086,300$13,188
XENIA HOTELS & RESORTS INC 601,060 -225,600 $13,169
     XHR601,060-225,600$13,169
STATE STR CORP 200,031 -168,600 $13,164
     STT200,031-168,600$13,164
BSB BANCORP INC MD 397,700 +79,600 $13,060
     BLMT397,700+79,600$13,060
AGILYSYS INC 615,752 +41,752 $13,035
     AGYS615,752+41,752$13,035
PLANTRONICS INC NEW 280,200 -1,088,800 $12,920
     PLT280,200-1,088,800$12,920
PROS HOLDINGS INC 305,700 +188,767 $12,913
     PRO305,700+188,767$12,913
CHINA TELECOM CORP LTD 229,900 +32,600 $12,877
     CHA229,900+32,600$12,877
TRUSTCO BK CORP N Y 1,657,100 +37,700