HoldingsChannel.com
All Stocks Held By Renaissance Technologies LLC
As of  06/30/2019
   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
VERISIGN INC 7,688,276 +357,400 $1,608,080
     VRSN7,688,276+357,400$1,608,080
CHIPOTLE MEXICAN GRILL INC 1,791,499 +331,100 $1,312,954
     CMG1,791,499+331,100$1,312,954
NOVO NORDISK A S 22,521,916 +1,177,000 $1,149,519
     NVO22,521,916+1,177,000$1,149,519
PALO ALTO NETWORKS INC 5,074,350 +590,200 $1,033,950
     PANW5,074,350+590,200$1,033,950
VERTEX PHARMACEUTICALS INC 5,555,817 +477,100 $1,018,826
     VRTX5,555,817+477,100$1,018,826
BRISTOL MYERS SQUIBB CO 20,698,607 +8,347,432 $938,682
     BMY20,698,607+8,347,432$938,682
GILEAD SCIENCES INC 12,740,248 +4,620,000 $860,731
     GILD12,740,248+4,620,000$860,731
CELGENE CORP 8,935,785 +4,122,685 $826,024
     CELG8,935,785+4,122,685$826,024
STARBUCKS CORP 9,403,002 -1,670,984 $788,254
     SBUX9,403,002-1,670,984$788,254
HUMANA INC 2,940,100 -170,900 $780,009
     HUM2,940,100-170,900$780,009
PEPSICO INC 5,900,214 -1,288,300 $773,695
     PEP5,900,214-1,288,300$773,695
DUKE ENERGY CORP NEW 8,419,329 +263,100 $742,922
     DUK8,419,329+263,100$742,922
PETROLEO BRASILEIRO SA PETRO      $698,894
     PBR40,251,000+5,532,200$626,708
     PBR.A5,083,500+2,160,700$72,186
ALIGN TECHNOLOGY INC 2,537,681 +277,681 $694,563
     ALGN2,537,681+277,681$694,563
FACEBOOK INC 3,423,861 -434,835 $660,805
     FB3,423,861-434,835$660,805
DOMINOS PIZZA INC 2,330,000 -443,500 $648,392
     DPZ2,330,000-443,500$648,392
VMWARE INC 3,850,311 -732,489 $643,811
     VMW3,850,311-732,489$643,811
ABIOMED INC 2,431,723 +370,800 $633,440
     ABMD2,431,723+370,800$633,440
GLAXOSMITHKLINE PLC 15,261,781 +989,181 $610,776
     GSK15,261,781+989,181$610,776
JOHNSON & JOHNSON 4,341,162 +2,572,695 $604,637
     JNJ4,341,162+2,572,695$604,637
ATLASSIAN CORP PLC 4,607,600 +756,100 $602,858
     TEAM4,607,600+756,100$602,858
BIOGEN INC 2,483,077 +851,263 $580,717
     BIIB2,483,077+851,263$580,717
HERSHEY CO 4,240,564 +1,589,800 $568,363
     HSY4,240,564+1,589,800$568,363
TAIWAN SEMICONDUCTOR MFG LTD 14,302,152 +5,643,870 $560,215
     TSM14,302,152+5,643,870$560,215
GENERAL ELECTRIC CO 53,270,354 +38,260,700 $559,339
     GE53,270,354+38,260,700$559,339
PROGRESSIVE CORP OHIO 6,942,496 -284,100 $554,914
     PGR6,942,496-284,100$554,914
MONSTER BEVERAGE CORP NEW 8,624,004 +1,413,700 $550,470
     MNST8,624,004+1,413,700$550,470
MOLINA HEALTHCARE INC 3,831,905 +136,700 $548,499
     MOH3,831,905+136,700$548,499
AMGEN INC 2,963,238 -545,345 $546,065
     AMGN2,963,238-545,345$546,065
VALE S A 39,881,949 +12,549,400 $536,013
     VALE39,881,949+12,549,400$536,013
WALMART INC 4,653,682 +3,015,931 $514,185
     WMT4,653,682+3,015,931$514,185
BP PLC 12,277,802 +111,556 $511,984
     BP12,277,802+111,556$511,984
SOUTHERN CO 9,159,803 +138,800 $506,354
     SO9,159,803+138,800$506,354
MOMO INC 13,356,003 +428,200 $478,145
     MOMO13,356,003+428,200$478,145
CBOE GLOBAL MARKETS INC 4,563,053 -56,000 $472,869
     CBOE4,563,053-56,000$472,869
RALPH LAUREN CORP 4,106,694 +171,700 $466,479
     RL4,106,694+171,700$466,479
EBAY INC 11,685,728 +8,322,388 $461,586
     EBAY11,685,728+8,322,388$461,586
APPLE INC 2,322,540 +2,322,540 $459,677
     AAPL2,322,540+2,322,540$459,677
SPRINT CORPORATION 69,952,504 +21,383,042 $459,588
     S69,952,504+21,383,042$459,588
ALLERGAN PLC 2,743,966 +485,600 $459,422
     AGN2,743,966+485,600$459,422
ENTERGY CORP NEW 4,318,733 +53,900 $444,527
     ETR4,318,733+53,900$444,527
AMERICAN ELEC PWR CO INC 4,836,800 -130,700 $425,687
     AEP4,836,800-130,700$425,687
ETSY INC 6,884,800 -53,200 $422,520
     ETSY6,884,800-53,200$422,520
NETAPP INC 6,688,840 -146,700 $412,701
     NTAP6,688,840-146,700$412,701
UDR INC 9,176,298 -1,180,100 $411,924
     UDR9,176,298-1,180,100$411,924
LAUDER ESTEE COS INC 2,215,730 +124,800 $405,722
     EL2,215,730+124,800$405,722
EVERGY INC 6,538,356 +398 $393,282
     EVRG6,538,356+398$393,282
VODAFONE GROUP PLC NEW 23,640,311 +2,765,455 $386,046
     VOD23,640,311+2,765,455$386,046
CROWN CASTLE INTL CORP NEW 2,892,100 -1,011,200 $376,985
     CCI2,892,100-1,011,200$376,985
MICRON TECHNOLOGY INC 9,735,914 +5,905,239 $375,709
     MU9,735,914+5,905,239$375,709
NOVARTIS A G 4,069,357 +854,857 $371,573
     NVS4,069,357+854,857$371,573
FIRSTENERGY CORP 8,576,000 -1,496,908 $367,139
     FE8,576,000-1,496,908$367,139
JAZZ PHARMACEUTICALS PLC 2,555,801 +562,700 $364,355
     JAZZ2,555,801+562,700$364,355
SBA COMMUNICATIONS CORP NEW 1,619,249 -175,400 $364,072
     SBAC1,619,249-175,400$364,072
AMERICAN TOWER CORP NEW 1,774,000 -581,500 $362,694
     AMT1,774,000-581,500$362,694
WAYFAIR INC 2,469,900 -645,800 $360,605
     W2,469,900-645,800$360,605
COLGATE PALMOLIVE CO 4,889,302 -363,100 $350,416
     CL4,889,302-363,100$350,416
PUBLIC STORAGE 1,468,123 -194,215 $349,663
     PSA1,468,123-194,215$349,663
F5 NETWORKS INC 2,397,274 -212,500 $349,115
     FFIV2,397,274-212,500$349,115
ICON PLC 2,264,260 +43,100 $348,628
     ICLR2,264,260+43,100$348,628
HERBALIFE NUTRITION LTD 8,143,340 -419,300 $348,209
     HLF8,143,340-419,300$348,209
MONDELEZ INTL INC 6,355,453 +1,834,400 $342,559
     MDLZ6,355,453+1,834,400$342,559
EQUITY LIFESTYLE PPTYS INC 2,807,401 -214,100 $340,650
     ELS2,807,401-214,100$340,650
ASPEN TECHNOLOGY INC 2,731,103 -697,800 $339,421
     AZPN2,731,103-697,800$339,421
AMEREN CORP 4,456,000 -35,800 $334,690
     AEE4,456,000-35,800$334,690
JPMORGAN CHASE & CO 2,965,786 +2,965,786 $331,575
     JPM2,965,786+2,965,786$331,575
ABBVIE INC 4,538,542 +2,064,486 $330,043
     ABBV4,538,542+2,064,486$330,043
CABLE ONE INC 278,600 +21,700 $326,238
     CABO278,600+21,700$326,238
APARTMENT INVT & MGMT CO 6,495,595 -481,500 $325,559
     AIV6,495,595-481,500$325,559
GAMING & LEISURE PPTYS INC 8,238,817 -1,361,395 $321,149
     GLPI8,238,817-1,361,395$321,149
NATIONAL GRID PLC 5,973,068 +662,742 $317,648
     NGG5,973,068+662,742$317,648
CONSOLIDATED EDISON INC 3,620,400 +434,000 $317,437
     ED3,620,400+434,000$317,437
XCEL ENERGY INC 5,311,630 +411,500 $315,989
     XEL5,311,630+411,500$315,989
FRANCO NEVADA CORP 3,675,031 +621,600 $311,948
     FNV3,675,031+621,600$311,948
TORONTO DOMINION BK ONT 5,144,555 -31,703 $300,501
     TD5,144,555-31,703$300,501
HAEMONETICS CORP 2,484,400 +108,700 $298,973
     HAE2,484,400+108,700$298,973
KELLOGG CO 5,523,983 +623,700 $295,920
     K5,523,983+623,700$295,920
WEC ENERGY GROUP INC 3,455,802 -637,500 $288,110
     WEC3,455,802-637,500$288,110
PHILIP MORRIS INTL INC 3,663,243 +1,470,000 $287,674
     PM3,663,243+1,470,000$287,674
EXELIXIS INC 13,454,473 +3,889,200 $287,522
     EXEL13,454,473+3,889,200$287,522
VENTAS INC 4,199,622 +938,202 $287,044
     VTR4,199,622+938,202$287,044
GENERAL MLS INC 5,313,884 +1,639,900 $279,085
     GIS5,313,884+1,639,900$279,085
MOBILE TELESYSTEMS PJSC 29,739,946 +2,086,350 $276,879
     MBT29,739,946+2,086,350$276,879
FORTINET INC 3,545,000 -193,700 $272,362
     FTNT3,545,000-193,700$272,362
TARGET CORP 3,129,200 +2,690,600 $271,020
     TGT3,129,200+2,690,600$271,020
KINDER MORGAN INC DEL 12,845,700 -45,400 $268,218
     KMI12,845,700-45,400$268,218
EDISON INTL 3,963,890 -6,700 $267,206
     EIX3,963,890-6,700$267,206
ZOETIS INC 2,351,975 -237,400 $266,926
     ZTS2,351,975-237,400$266,926
PINNACLE WEST CAP CORP 2,804,750 +109,400 $263,899
     PNW2,804,750+109,400$263,899
GODADDY INC 3,660,300 +94,900 $256,770
     GDDY3,660,300+94,900$256,770
ESSEX PPTY TR INC 878,226 +86,426 $256,381
     ESS878,226+86,426$256,381
TWITTER INC 7,337,600 +5,636,902 $256,082
     TWTR7,337,600+5,636,902$256,082
LILLY ELI & CO 2,308,601 +1,583,947 $255,770
     LLY2,308,601+1,583,947$255,770
CLOROX CO DEL 1,634,794 -587,200 $250,303
     CLX1,634,794-587,200$250,303
RED HAT INC 1,320,765 +1,198,200 $247,987
     RHT1,320,765+1,198,200$247,987
IDEXX LABS INC 893,025 -196,100 $245,877
     IDXX893,025-196,100$245,877
BERKSHIRE HATHAWAY INC DEL      $245,814
     BRK.B935,100-401,800$199,335
     BRK.A146+67$46,479
CHINA MOBILE LIMITED 5,420,097 +190,000 $245,476
     CHL5,420,097+190,000$245,476
TERADYNE INC 5,084,800 +985,600 $243,613
     TER5,084,800+985,600$243,613
MSCI INC 998,767 +52,400 $238,496
     MSCI998,767+52,400$238,496
UNITED THERAPEUTICS CORP DEL 3,040,978 +799,200 $237,379
     UTHR3,040,978+799,200$237,379
CHARLES RIV LABS INTL INC 1,664,500 -221,200 $236,193
     CRL1,664,500-221,200$236,193
MARKEL CORP 216,371 -12,040 $235,758
     MKL216,371-12,040$235,758
CSX CORP 3,036,900 +2,231,500 $234,965
     CSX3,036,900+2,231,500$234,965
WIX COM LTD 1,637,300 -200,400 $232,660
     WIX1,637,300-200,400$232,660
BANK N S HALIFAX 4,268,600 +358,200 $231,929
     BNS4,268,600+358,200$231,929
SINCLAIR BROADCAST GROUP INC 4,291,227 +1,072,664 $230,139
     SBGI4,291,227+1,072,664$230,139
ERICSSON 23,362,900 +2,259,100 $221,948
     ERIC23,362,900+2,259,100$221,948
WELLS FARGO CO NEW 4,661,211 +1,816,711 $220,569
     WFC4,661,211+1,816,711$220,569
KINROSS GOLD CORP 56,711,483 -1,997,173 $220,041
     KGC56,711,483-1,997,173$220,041
RYANAIR HLDGS PLC 3,396,619 -35,000 $217,859
     RYAAY3,396,619-35,000$217,859
ALEXION PHARMACEUTICALS INC 1,642,542 +840,742 $215,140
     ALXN1,642,542+840,742$215,140
MEDTRONIC PLC 2,206,541 +2,206,541 $214,895
     MDT2,206,541+2,206,541$214,895
HORIZON THERAPEUTICS PUB LTD 8,754,275 +896,500 $210,628
     HZNP8,754,275+896,500$210,628
NEWMONT GOLDCORP CORPORATION 5,403,498 +28,098 $207,873
     NEM5,403,498+28,098$207,873
COMCAST CORP NEW 4,902,776 +4,902,776 $207,289
     CMCSA4,902,776+4,902,776$207,289
COGENT COMMUNICATIONS HLDGS 3,423,700 +47,300 $203,231
     CCOI3,423,700+47,300$203,231
HSBC HLDGS PLC 4,866,027 +1,880,300 $203,108
     HSBC4,866,027+1,880,300$203,108
ALTICE USA INC 8,340,700 -143,300 $203,096
     ATUS8,340,700-143,300$203,096
TELUS CORP 5,398,100 -275,500 $199,281
     TU5,398,100-275,500$199,281
AVALONBAY CMNTYS INC 964,614 -504,300 $195,990
     AVB964,614-504,300$195,990
SONY CORP 3,712,000 +573,000 $194,472
     SNE3,712,000+573,000$194,472
CME GROUP INC 991,419 -876,789 $192,444
     CME991,419-876,789$192,444
ROKU INC 2,115,800 -739,800 $191,649
     ROKU2,115,800-739,800$191,649
DOUGLAS EMMETT INC 4,798,800 +706,200 $191,184
     DEI4,798,800+706,200$191,184
NETFLIX INC 518,400 +518,400 $190,419
     NFLX518,400+518,400$190,419
EXPEDIA GROUP INC 1,428,032 -921,359 $189,971
     EXPE1,428,032-921,359$189,971
MATCH GROUP INC 2,821,900 +665,600 $189,829
     MTCH2,821,900+665,600$189,829
BEST BUY INC 2,717,530 +727,800 $189,493
     BBY2,717,530+727,800$189,493
ARCH CAP GROUP LTD 5,083,600 +166,000 $188,500
     ACGL5,083,600+166,000$188,500
RENAISSANCERE HOLDINGS LTD 1,050,015 -234,900 $186,913
     RNR1,050,015-234,900$186,913
FIDELITY NATL INFORMATION SV 1,513,701 -424,300 $185,701
     FIS1,513,701-424,300$185,701
CONOCOPHILLIPS 3,031,213 -700,000 $184,904
     COP3,031,213-700,000$184,904
HOME DEPOT INC 888,265 -843,049 $184,732
     HD888,265-843,049$184,732
ROYAL BK CDA MONTREAL QUE 2,315,783 -656,496 $183,886
     RY2,315,783-656,496$183,886
EQUINOR ASA 9,164,223 +160,600 $181,268
     EQNR9,164,223+160,600$181,268
EVERSOURCE ENERGY 2,376,847 -802,500 $180,070
     ES2,376,847-802,500$180,070
ROGERS COMMUNICATIONS INC 3,351,183 -181,500 $179,367
     RCI3,351,183-181,500$179,367
WORLD WRESTLING ENTMT INC 2,460,401 -404,099 $177,666
     WWE2,460,401-404,099$177,666
BARRICK GOLD CORPORATION 11,248,725 +11,248,725 $177,415
     GOLD11,248,725+11,248,725$177,415
CATERPILLAR INC DEL 1,282,304 -580,300 $174,765
     CAT1,282,304-580,300$174,765
HEICO CORP NEW      $173,295
     HEI.A1,676,452-51,293$173,295
INTERNATIONAL BUSINESS MACHS 1,244,573 -340,327 $171,627
     IBM1,244,573-340,327$171,627
OLD REP INTL CORP 7,664,078 -1,487,000 $171,522
     ORI7,664,078-1,487,000$171,522
ORACLE CORP 2,970,032 +2,872,732 $169,203
     ORCL2,970,032+2,872,732$169,203
DOLBY LABORATORIES INC 2,618,000 -145,700 $169,123
     DLB2,618,000-145,700$169,123
DTE ENERGY CO 1,315,300 -780,600 $168,201
     DTE1,315,300-780,600$168,201
INCYTE CORP 1,962,310 +1,121,310 $166,718
     INCY1,962,310+1,121,310$166,718
AES CORP 9,930,500 +3,716,600 $166,435
     AES9,930,500+3,716,600$166,435
LAMAR ADVERTISING CO NEW 2,052,900 -152,912 $165,690
     LAMR2,052,900-152,912$165,690
AMAZON COM INC 87,455 -86,700 $165,607
     AMZN87,455-86,700$165,607
UNION PACIFIC CORP 968,900 -419,800 $163,851
     UNP968,900-419,800$163,851
DROPBOX INC 6,537,007 +5,838,601 $163,752
     DBX6,537,007+5,838,601$163,752
GENOMIC HEALTH INC 2,814,500 +435,000 $163,719
     GHDX2,814,500+435,000$163,719
MARKETAXESS HLDGS INC 494,000 +2,800 $158,781
     MKTX494,000+2,800$158,781
UNITED CONTL HLDGS INC 1,810,572 -538,146 $158,516
     UAL1,810,572-538,146$158,516
NORWEGIAN CRUISE LINE HLDG L 2,952,000 +1,620,800 $158,316
     NCLH2,952,000+1,620,800$158,316
ECHOSTAR CORP 3,551,580 +270,500 $157,406
     SATS3,551,580+270,500$157,406
JETBLUE AWYS CORP 8,464,904 +2,325,600 $156,516
     JBLU8,464,904+2,325,600$156,516
DOLLAR TREE INC 1,454,295 +1,445,592 $156,177
     DLTR1,454,295+1,445,592$156,177
ALPHABET INC 143,248 +111,000 $155,109
     GOOGL143,248+111,000$155,109
WASTE CONNECTIONS INC 1,608,075 -721,500 $153,700
     WCN1,608,075-721,500$153,700
AGILENT TECHNOLOGIES INC 2,036,500 -920,500 $152,065
     A2,036,500-920,500$152,065
AXIS CAPITAL HOLDINGS LTD 2,547,330 +610,400 $151,948
     AXS2,547,330+610,400$151,948
PFIZER INC 3,486,041 -220,100 $151,015
     PFE3,486,041-220,100$151,015
KOHLS CORP 3,147,244 -1,691,900 $149,651
     KSS3,147,244-1,691,900$149,651
VEEVA SYS INC 914,804 -377,500 $148,299
     VEEV914,804-377,500$148,299
NEW YORK TIMES CO 4,503,100 +2,319,800 $146,891
     NYT4,503,100+2,319,800$146,891
LIGAND PHARMACEUTICALS INC 1,280,808 -134,900 $146,204
     LGND1,280,808-134,900$146,204
DELL TECHNOLOGIES INC 2,855,345 -244,000 $145,052
     DELL2,855,345-244,000$145,052
LAS VEGAS SANDS CORP 2,431,354 +2,327,154 $143,669
     LVS2,431,354+2,327,154$143,669
CMS ENERGY CORP 2,467,900 -247,000 $142,916
     CMS2,467,900-247,000$142,916
USANA HEALTH SCIENCES INC 1,788,400 -118,966 $142,053
     USNA1,788,400-118,966$142,053
FIRSTCASH INC 1,409,624 -119,300 $140,991
     FCFS1,409,624-119,300$140,991
AXALTA COATING SYS LTD 4,691,100 +1,986,400 $139,654
     AXTA4,691,100+1,986,400$139,654
TERADATA CORP DEL 3,892,700 -165,400 $139,553
     TDC3,892,700-165,400$139,553
BCE INC 3,023,226 +82,128 $137,496
     BCE3,023,226+82,128$137,496
ENBRIDGE INC 3,784,001 +2,810,630 $136,566
     ENB3,784,001+2,810,630$136,566
WESTERN DIGITAL CORP 2,870,849 -12,300 $136,509
     WDC2,870,849-12,300$136,509
FISERV INC 1,483,108 -975,400 $135,200
     FISV1,483,108-975,400$135,200
MELLANOX TECHNOLOGIES LTD 1,221,383 +10,600 $135,170
     MLNX1,221,383+10,600$135,170
THE CHARLES SCHWAB CORPORATI 3,354,700 +498,400 $134,825
     SCHW3,354,700+498,400$134,825
REGENCY CTRS CORP 2,014,759 +24,400 $134,465
     REG2,014,759+24,400$134,465
IQVIA HLDGS INC 831,147 +113,100 $133,732
     IQV831,147+113,100$133,732
FACTSET RESH SYS INC 465,800 -125,800 $133,480
     FDS465,800-125,800$133,480
VERIZON COMMUNICATIONS INC 2,303,293 +2,303,293 $131,587
     VZ2,303,293+2,303,293$131,587
TOYOTA MOTOR CORP 1,058,010 +198,800 $131,183
     TM1,058,010+198,800$131,183
CORESITE RLTY CORP 1,131,000 +52,400 $130,257
     COR1,131,000+52,400$130,257
NOVOCURE LTD 2,055,470 +199,200 $129,967
     NVCR2,055,470+199,200$129,967
P T TELEKOMUNIKASI INDONESIA 4,424,000 +48,700 $129,358
     TLK4,424,000+48,700$129,358
PNM RES INC 2,532,700 +6,900 $128,940
     PNM2,532,700+6,900$128,940
CHINA PETE & CHEM CORP 1,889,600 +68,360 $128,871
     SNP1,889,600+68,360$128,871
CENTERPOINT ENERGY INC 4,486,500 +2,205,900 $128,448
     CNP4,486,500+2,205,900$128,448
SANDERSON FARMS INC 938,817 -419,883 $128,205
     SAFM938,817-419,883$128,205
ARISTA NETWORKS INC 492,000 +61,600 $127,733
     ANET492,000+61,600$127,733
SKYWEST INC 2,102,768 -45,832 $127,575
     SKYW2,102,768-45,832$127,575
FOX CORP 3,467,608 +2,550,808 $127,053
     FOXAV3,467,608+2,550,808$127,053
GOLD FIELDS LTD NEW 23,465,300 +3,241,900 $126,947
     GFI23,465,300+3,241,900$126,947
ALLSTATE CORP 1,246,700 +729,400 $126,777
     ALL1,246,700+729,400$126,777
PORTLAND GEN ELEC CO 2,331,028 +39,500 $126,272
     POR2,331,028+39,500$126,272
CISCO SYS INC 2,289,005 +2,289,005 $125,277
     CSCO2,289,005+2,289,005$125,277
MKS INSTRUMENT INC 1,597,752 -234,748 $124,449
     MKSI1,597,752-234,748$124,449
PREMIER INC 3,166,309 +546,200 $123,834
     PINC3,166,309+546,200$123,834
ECOPETROL S A 6,709,700 -86,400 $122,720
     EC6,709,700-86,400$122,720
BROWN & BROWN INC 3,650,100 -829,300 $122,278
     BRO3,650,100-829,300$122,278
BOSTON BEER INC 323,500 +112,700 $122,205
     SAM323,500+112,700$122,205
PPL CORP 3,936,000 +1,200,600 $122,055
     PPL3,936,000+1,200,600$122,055
RAYONIER INC 4,015,400 +3,650 $121,667
     RYN4,015,400+3,650$121,667
CNOOC LTD 711,600 +11,800 $121,221
     CEO711,600+11,800$121,221
ALLISON TRANSMISSION HLDGS I 2,611,400 +642,500 $121,038
     ALSN2,611,400+642,500$121,038
OKTA INC 979,000 -187,900 $120,916
     OKTA979,000-187,900$120,916
AVIS BUDGET GROUP INC 3,436,700 +760,520 $120,834
     CAR3,436,700+760,520$120,834
CASELLA WASTE SYS INC 3,038,042 -109,100 $120,398
     CWST3,038,042-109,100$120,398
NATIONAL BEVERAGE CORP 2,670,500 +187,000 $119,184
     FIZZ2,670,500+187,000$119,184
ZYNGA INC 19,411,800 +17,886,400 $118,994
     ZNGA19,411,800+17,886,400$118,994
TFS FINL CORP 6,561,800 -33,500 $118,572
     TFSL6,561,800-33,500$118,572
CHUNGHWA TELECOM CO LTD 3,242,230 -29,816 $118,471
     CHT3,242,230-29,816$118,471
FORTIS INC 2,994,900 +863,900 $118,209
     FTS2,994,900+863,900$118,209
CORVEL CORP 1,356,210 -48,200 $118,004
     CRVL1,356,210-48,200$118,004
FORD MTR CO DEL 11,469,759 +1,935,950 $117,336
     F11,469,759+1,935,950$117,336
CLEAN HARBORS INC 1,649,902 +18,300 $117,308
     CLH1,649,902+18,300$117,308
MID AMER APT CMNTYS INC 995,841 -491,849 $117,270
     MAA995,841-491,849$117,270
MACK CALI RLTY CORP 5,012,500 +253,500 $116,741
     CLI5,012,500+253,500$116,741
CADENCE DESIGN SYSTEM INC 1,647,502 +9,300 $116,660
     CDNS1,647,502+9,300$116,660
HERTZ GLOBAL HLDGS INC      $116,082
     HTZ6,642,808+353,100$106,019
     RIGHT 07 12 20195,160,735+5,160,735$10,063
TELEPHONE & DATA SYS INC 3,804,792 +56,100 $115,666
     TDS3,804,792+56,100$115,666
CAPITOL FED FINL INC 8,388,858 -137,339 $115,515
     CFFN8,388,858-137,339$115,515
L BRANDS INC 4,401,433 +2,377,700 $114,877
     LB4,401,433+2,377,700$114,877
IDACORP INC 1,143,200 -13,700 $114,812
     IDA1,143,200-13,700$114,812
ULTA BEAUTY INC 329,100 +159,000 $114,161
     ULTA329,100+159,000$114,161
PAN AMERICAN SILVER CORP 8,805,213 +1,533,595 $113,678
     PAAS8,805,213+1,533,595$113,678
LULULEMON ATHLETICA INC 629,500 -23,800 $113,442
     LULU629,500-23,800$113,442
CSG SYS INTL INC 2,322,670 +50,848 $113,416
     CSGS2,322,670+50,848$113,416
IONIS PHARMACEUTICALS INC 1,755,311 +1,755,311 $112,814
     IONS1,755,311+1,755,311$112,814
SPROUTS FMRS MKT INC 5,964,500 +1,183,000 $112,669
     SFM5,964,500+1,183,000$112,669
UGI CORP NEW 2,096,350 -530,200 $111,966
     UGI2,096,350-530,200$111,966
CREDIT SUISSE GROUP 9,349,796 +2,197,200 $111,917
     CS9,349,796+2,197,200$111,917
PVH CORP 1,180,475 -115,370 $111,720
     PVH1,180,475-115,370$111,720
WINGSTOP INC 1,179,100 +113,200 $111,720
     WING1,179,100+113,200$111,720
ASSURANT INC 1,050,000 +631,900 $111,699
     AIZ1,050,000+631,900$111,699
MERCK & CO INC 1,317,400 +1,317,400 $110,464
     MRK1,317,400+1,317,400$110,464
WELLTOWER INC 1,352,568 -1,459,354 $110,275
     WELL1,352,568-1,459,354$110,275
RENT A CTR INC NEW 4,123,524 +1,932,000 $109,809
     RCII4,123,524+1,932,000$109,809
NVR INC 32,360 -860 $109,061
     NVR32,360-860$109,061
MERCURY GENL CORP NEW 1,719,800 +202,500 $107,488
     MCY1,719,800+202,500$107,488
SIMON PPTY GROUP INC NEW 670,305 +576,200 $107,088
     SPG670,305+576,200$107,088
DOLLAR GEN CORP NEW 788,400 +779,300 $106,560
     DG788,400+779,300$106,560
CINEMARK HOLDINGS INC 2,932,900 +548,900 $105,878
     CNK2,932,900+548,900$105,878
REGENERON PHARMACEUTICALS 337,962 +129,700 $105,782
     REGN337,962+129,700$105,782
BRADY CORP 2,141,098 -86,600 $105,599
     BRC2,141,098-86,600$105,599
AGNICO EAGLE MINES LTD 2,055,700 +372,200 $105,334
     AEM2,055,700+372,200$105,334
TJX COS INC NEW 1,980,201 +1,917,501 $104,713
     TJX1,980,201+1,917,501$104,713
TRIBUNE MEDIA CO 2,242,200 +174,900 $103,634
     TRCO2,242,200+174,900$103,634
WATERS CORP 477,925 -106,800 $102,869
     WAT477,925-106,800$102,869
WORKIVA INC 1,767,400 +132,998 $102,668
     WK1,767,400+132,998$102,668
INNOVIVA INC 7,049,608 +604,320 $102,642
     INVA7,049,608+604,320$102,642
NVIDIA CORP 620,993 +620,993 $101,986
     NVDA620,993+620,993$101,986
CABOT MICROELECTRONICS CORP 926,266 -224,373 $101,963
     CCMP926,266-224,373$101,963
POTLATCHDELTIC CORPORATION 2,606,913 -43,800 $101,617
     PCH2,606,913-43,800$101,617
COSAN LTD 7,573,794 +846,700 $101,186
     CZZ7,573,794+846,700$101,186
COPA HOLDINGS SA 1,029,900 +254,000 $100,487
     CPA1,029,900+254,000$100,487
STRATEGIC ED INC 563,847 -201,700 $100,365
     STRA563,847-201,700$100,365
EL PASO ELEC CO 1,532,900 +220,200 $100,252
     EE1,532,900+220,200$100,252
LAMB WESTON HLDGS INC 1,575,100 -478,100 $99,798
     LW1,575,100-478,100$99,798
ALLIANT ENERGY CORP 2,026,004 -941,300 $99,436
     LNT2,026,004-941,300$99,436
NIELSEN HLDGS PLC 4,381,200 +2,387,500 $99,015
     NLSN4,381,200+2,387,500$99,015
AFFILIATED MANAGERS GROUP IN 1,073,900 -206,100 $98,949
     AMG1,073,900-206,100$98,949
WASHINGTON REAL ESTATE INVT 3,699,500 +764,600 $98,888
     WRE3,699,500+764,600$98,888
BIO TECHNE CORP 472,320 -18,000 $98,474
     TECH472,320-18,000$98,474
LOGITECH INTL S A 2,475,000 -65,686 $98,406
     LOGI2,475,000-65,686$98,406
WSFS FINL CORP 2,373,333 -63,700 $98,019
     WSFS2,373,333-63,700$98,019
KIRKLAND LAKE GOLD LTD 2,280,700 +888,300 $97,914
     KL2,280,700+888,300$97,914
SHAKE SHACK INC 1,354,100 -175,000 $97,766
     SHAK1,354,100-175,000$97,766
SUN CMNTYS INC 761,500 -527,300 $97,617
     SUI761,500-527,300$97,617
UBIQUITI NETWORKS INC 741,695 -38,000 $97,533
     UBNT741,695-38,000$97,533
BLACK HILLS CORP 1,233,100 +381,300 $96,391
     BKH1,233,100+381,300$96,391
SHOPIFY INC 320,599 -400,001 $96,228
     SHOP320,599-400,001$96,228
AVON PRODS INC 24,733,778 +717,600 $95,967
     AVP24,733,778+717,600$95,967
ANHEUSER BUSCH INBEV SA NV 1,083,800 +550,500 $95,927
     BUD1,083,800+550,500$95,927
ORION ENGINEERED CARBONS S A 4,438,196 +90,000 $95,022
     OEC4,438,196+90,000$95,022
AVALARA INC 1,313,200 +1,313,200 $94,813
     AVLR1,313,200+1,313,200$94,813
LANCASTER COLONY CORP 634,762 -90,400 $94,326
     LANC634,762-90,400$94,326
CDN IMPERIAL BK COMM TORONTO 1,198,000 +30,536 $94,115
     CM1,198,000+30,536$94,115
PURE STORAGE INC 6,157,500 -94,000 $94,025
     PSTG6,157,500-94,000$94,025
AMBEV SA 20,027,600 +6,099,200 $93,529
     ABEV20,027,600+6,099,200$93,529
MORNINGSTAR INC 643,770 -52,500 $93,115
     MORN643,770-52,500$93,115
OUTFRONT MEDIA INC 3,600,969 +675,000 $92,869
     OUT3,600,969+675,000$92,869
FIRST INDUSTRIAL REALTY TRUS 2,521,000 -908,000 $92,622
     FR2,521,000-908,000$92,622
COMMVAULT SYSTEMS INC 1,866,287 +6,200 $92,605
     CVLT1,866,287+6,200$92,605
GPO AEROPORTUARIO DEL PAC SA 884,650 +38,450 $92,278
     PAC884,650+38,450$92,278
BB&T CORP 1,875,562 +813,000 $92,146
     BBT1,875,562+813,000$92,146
ALLETE INC 1,094,706 -25,000 $91,090
     ALE1,094,706-25,000$91,090
SL GREEN RLTY CORP 1,133,210 +382,500 $91,076
     SLG1,133,210+382,500$91,076
CVR ENERGY INC 1,815,641 +472,200 $90,764
     CVI1,815,641+472,200$90,764
FIRSTSERVICE CORP NEW 942,593 +20,300 $90,415
     FSV942,593+20,300$90,415
TEVA PHARMACEUTICAL INDS LTD 9,786,063 +7,159,900 $90,325
     TEVA9,786,063+7,159,900$90,325
YUM CHINA HLDGS INC 1,948,000 -260,800 $89,998
     YUMC1,948,000-260,800$89,998
COMPANHIA DE SANEAMENTO BASI 7,386,445 +1,250,700 $89,893
     SBS7,386,445+1,250,700$89,893
TERRAFORM PWR INC 6,270,441 +2,252,400 $89,667
     TERP6,270,441+2,252,400$89,667
KEYSIGHT TECHNOLOGIES INC 996,900 +38,900 $89,532
     KEYS996,900+38,900$89,532
POST HLDGS INC 859,400 -180,600 $89,352
     POST859,400-180,600$89,352
SEAGATE TECHNOLOGY PLC 1,893,201 +152,200 $89,208
     STX1,893,201+152,200$89,208
WESTERN UN CO 4,484,376 +684,076 $89,194
     WU4,484,376+684,076$89,194
ALKERMES PLC 3,950,586 +2,302,600 $89,046
     ALKS3,950,586+2,302,600$89,046
LAM RESEARCH CORP 472,071 -73,910 $88,674
     LRCX472,071-73,910$88,674
MEDIFAST INC 690,315 -160,085 $88,567
     MED690,315-160,085$88,567
VECTOR GROUP LTD 9,081,473 -272,400 $88,544
     VGR9,081,473-272,400$88,544
SEA LTD 2,623,400 -555,529 $87,149
     SE2,623,400-555,529$87,149
CHEMED CORP NEW 239,598 -30,402 $86,457
     CHE239,598-30,402$86,457
GRUPO TELEVISA SA 10,230,986 +1,998,461 $86,350
     TV10,230,986+1,998,461$86,350
COCA COLA FEMSA S A B DE C V 1,389,200 +74,100 $86,325
     KOF1,389,200+74,100$86,325
ACUITY BRANDS INC 624,600 +282,700 $86,139
     AYI624,600+282,700$86,139
ARTISAN PARTNERS ASSET MGMT 3,063,415 +720,503 $84,305
     APAM3,063,415+720,503$84,305
UNITED TECHNOLOGIES CORP 645,209 +645,209 $84,006
     UTX645,209+645,209$84,006
CTRIP COM INTL LTD 2,269,800 -667,400 $83,778
     CTRP2,269,800-667,400$83,778
CAREER EDUCATION CORP 4,374,762 +279,486 $83,427
     CECO4,374,762+279,486$83,427
MGIC INVT CORP WIS 6,338,100 +250,200 $83,283
     MTG6,338,100+250,200$83,283
CHENIERE ENERGY INC 1,213,440 -862,600 $83,060
     LNG1,213,440-862,600$83,060
BLUCORA INC 2,733,300 +54,600 $83,010
     BCOR2,733,300+54,600$83,010
SUNCOR ENERGY INC NEW 2,651,246 +1,552,600 $82,717
     SU2,651,246+1,552,600$82,717
KEARNY FINL CORP MD 6,205,363 +203,770 $82,469
     KRNY6,205,363+203,770$82,469
BROOKDALE SR LIVING INC 11,384,695 +4,022,079 $82,084
     BKD11,384,695+4,022,079$82,084
HIGHWOODS PPTYS INC 1,968,400 -36,500 $81,295
     HIW1,968,400-36,500$81,295
TD AMERITRADE HLDG CORP 1,624,326 +1,140,400 $81,086
     AMTD1,624,326+1,140,400$81,086
CORECIVIC INC 3,885,300 +908,200 $80,659
     CXW3,885,300+908,200$80,659
AVISTA CORP 1,790,430 +472,588 $79,853
     AVA1,790,430+472,588$79,853
INTERDIGITAL INC 1,236,967 +122,700 $79,661
     IDCC1,236,967+122,700$79,661
AUTOZONE INC 72,200 +26,300 $79,382
     AZO72,200+26,300$79,382
GETTY RLTY CORP NEW 2,564,394 -7,792 $78,881
     GTY2,564,394-7,792$78,881
AMERICAN FINL GROUP INC OHIO 762,109 +11,700 $78,093
     AFG762,109+11,700$78,093
SPOTIFY TECHNOLOGY S A 533,700 +480,600 $78,038
     SPOT533,700+480,600$78,038
GOLDMAN SACHS GROUP INC 380,500 +236,168 $77,850
     GS380,500+236,168$77,850
INVITATION HOMES INC 2,912,000 +840,117 $77,838
     INVH2,912,000+840,117$77,838
VARIAN MED SYS INC 570,693 -319,100 $77,688
     VAR570,693-319,100$77,688
SSR MNG INC 5,680,900 -161,900 $77,658
     SSRM5,680,900-161,900$77,658
BRIXMOR PPTY GROUP INC 4,339,600 -940,700 $77,592
     BRX4,339,600-940,700$77,592
GEOPARK LTD 4,180,700 +302,800 $77,510
     GPRK4,180,700+302,800$77,510
LOUISIANA PAC CORP 2,935,900 -10,100 $76,979
     LPX2,935,900-10,100$76,979
CARDINAL HEALTH INC 1,631,920 -411,800 $76,863
     CAH1,631,920-411,800$76,863
BAUSCH HEALTH COS INC 3,037,200 +272,000 $76,598
     BHC3,037,200+272,000$76,598
SHAW COMMUNICATIONS INC 3,755,000 +128,902 $76,527
     SJR3,755,000+128,902$76,527
STURM RUGER & CO INC 1,401,276 +26,000 $76,342
     RGR1,401,276+26,000$76,342
CROCS INC 3,855,300 +513,900 $76,142
     CROX3,855,300+513,900$76,142
HEALTHEQUITY INC 1,162,234 +504,700 $76,010
     HQY1,162,234+504,700$76,010
PLDT INC 3,048,554 +124,600 $75,665
     PHI3,048,554+124,600$75,665
OCCIDENTAL PETE CORP 1,500,448 +126,900 $75,443
     OXY1,500,448+126,900$75,443
AMERICAN EAGLE OUTFITTERS IN 4,462,954 +1,663,000 $75,424
     AEO4,462,954+1,663,000$75,424
IAMGOLD CORP 22,262,200 -879,296 $75,246
     IAG22,262,200-879,296$75,246
SPIRE INC 894,300 -31,500 $75,050
     SR894,300-31,500$75,050
HILTON WORLDWIDE HLDGS INC 766,200 +670,500 $74,888
     HLT766,200+670,500$74,888
PATTERSON UTI ENERGY INC 6,474,948 +2,960,000 $74,527
     PTEN6,474,948+2,960,000$74,527
NRG ENERGY INC 2,121,616 -2,367,884 $74,511
     NRG2,121,616-2,367,884$74,511
WNS HOLDINGS LTD 1,255,800 -55,200 $74,343
     WNS1,255,800-55,200$74,343
KB HOME 2,872,590 -563,153 $73,912
     KBH2,872,590-563,153$73,912
RETAIL PPTYS AMER INC 6,278,052 +366,755 $73,830
     RPAI6,278,052+366,755$73,830
NU SKIN ENTERPRISES INC 1,477,300 +223,889 $72,860
     NUS1,477,300+223,889$72,860
SALESFORCE COM INC 476,319 +476,319 $72,272
     CRM476,319+476,319$72,272
SUNSTONE HOTEL INVS INC NEW 5,259,517 +2,215,900 $72,108
     SHO5,259,517+2,215,900$72,108
EVERTEC INC 2,199,001 -62,300 $71,907
     EVTC2,199,001-62,300$71,907
MGM RESORTS INTERNATIONAL 2,516,870 +2,500,570 $71,907
     MGM2,516,870+2,500,570$71,907
PARAMOUNT GROUP INC 5,099,299 +1,081,299 $71,441
     PGRE5,099,299+1,081,299$71,441
CITRIX SYS INC 727,790 -1,305,900 $71,425
     CTXS727,790-1,305,900$71,425
MANULIFE FINL CORP 3,924,800 -233,000 $71,353
     MFC3,924,800-233,000$71,353
HUBSPOT INC 417,400 -107,600 $71,175
     HUBS417,400-107,600$71,175
B2GOLD CORP 23,432,515 +5,707,720 $71,015
     BTG23,432,515+5,707,720$71,015
ADVANCED ENERGY INDS 1,261,917 -183,805 $71,008
     AEIS1,261,917-183,805$71,008
EMPIRE ST RLTY TR INC 4,791,048 +588,400 $70,955
     ESRT4,791,048+588,400$70,955
YUM BRANDS INC 640,900 +161,300 $70,928
     YUM640,900+161,300$70,928
MIMECAST LTD 1,510,000 -330,500 $70,532
     MIME1,510,000-330,500$70,532
ENCOMPASS HEALTH CORP 1,105,500 -1,132,500 $70,044
     EHC1,105,500-1,132,500$70,044
DECKERS OUTDOOR CORP 397,600 -281,500 $69,966
     DECK397,600-281,500$69,966
EXELON CORP 1,457,936 +450,636 $69,893
     EXC1,457,936+450,636$69,893
SERVICENOW INC 254,000 +254,000 $69,741
     NOW254,000+254,000$69,741
NATIONAL HEALTH INVS INC 892,500 -118,800 $69,642
     NHI892,500-118,800$69,642
TECK RESOURCES LTD 3,019,800 +712,400 $69,639
     TECK3,019,800+712,400$69,639
DENNYS CORP 3,391,000 -215,500 $69,617
     DENN3,391,000-215,500$69,617
ALCOA CORP 2,948,496 +549,600 $69,024
     AA2,948,496+549,600$69,024
TIM PARTICIPACOES S A 4,590,338 +182,800 $68,717
     TSU4,590,338+182,800$68,717
ROPER TECHNOLOGIES INC 186,500 +186,500 $68,307
     ROP186,500+186,500$68,307
CANON INC 2,328,600 +126,705 $68,158
     CAJ2,328,600+126,705$68,158
HUDSON PAC PPTYS INC 2,019,400 +111,300 $67,185
     HPP2,019,400+111,300$67,185
MERCADOLIBRE INC 109,100 -125,200 $66,744
     MELI109,100-125,200$66,744
DINE BRANDS GLOBAL INC 698,500 +302,500 $66,686
     DIN698,500+302,500$66,686
ARMSTRONG WORLD INDS INC NEW 678,300 +285,900 $65,931
     AWI678,300+285,900$65,931
OMEGA HEALTHCARE INVS INC 1,787,178 -71,452 $65,679
     OHI1,787,178-71,452$65,679
EMERGENT BIOSOLUTIONS INC 1,350,511 -627,891 $65,243
     EBS1,350,511-627,891$65,243
FIVE BELOW INC 540,000 -260,403 $64,811
     FIVE540,000-260,403$64,811
INTERNATIONAL SPEEDWAY CORP 1,441,841 +11,728 $64,724
     ISCA1,441,841+11,728$64,724
FLUOR CORP NEW 1,919,600 +760,800 $64,671
     FLR1,919,600+760,800$64,671
APPLE HOSPITALITY REIT INC 4,076,488 +668,400 $64,653
     APLE4,076,488+668,400$64,653
NORFOLK SOUTHERN CORP 324,200 +324,200 $64,623
     NSC324,200+324,200$64,623
BANCO SANTANDER CHILE NEW 2,158,527 -190,300 $64,583
     BSAC2,158,527-190,300$64,583
DISH NETWORK CORP 1,676,400 +734,500 $64,391
     DISH1,676,400+734,500$64,391
COLLIERS INTL GROUP INC 895,900 +28,199 $64,164
     CIGI895,900+28,199$64,164
INTERPUBLIC GROUP COS INC 2,835,500 -1,736,500 $64,054
     IPG2,835,500-1,736,500$64,054
OMNICOM GROUP INC 775,400 -84,700 $63,544
     OMC775,400-84,700$63,544
TATA MTRS LTD 5,412,000 +487,100 $63,212
     TTM5,412,000+487,100$63,212
PROS HOLDINGS INC 997,000 +691,300 $63,070
     PRO997,000+691,300$63,070
SEI INVESTMENTS CO 1,120,226 +149,900 $62,845
     SEIC1,120,226+149,900$62,845
NIKE INC 747,400 +116,886 $62,744
     NKE747,400+116,886$62,744
BANCO DE CHILE 2,101,975 +20,519 $62,408
     BCH2,101,975+20,519$62,408
CORCEPT THERAPEUTICS INC 5,590,509 +532,700 $62,334
     CORT5,590,509+532,700$62,334
ARRAY BIOPHARMA INC 1,344,652 +1,047,084 $62,298
     ARRY1,344,652+1,047,084$62,298
VISA INC 358,522 -1,176,625 $62,221
     V358,522-1,176,625$62,221
RELX PLC 2,521,900 -31,800 $61,560
     RELX2,521,900-31,800$61,560
MACQUARIE INFRASTRUCTURE COR 1,511,700 +357,200 $61,284
     MIC1,511,700+357,200$61,284
WD 40 CO 384,238 -119,400 $61,109
     WDFC384,238-119,400$61,109
ELECTRONIC ARTS INC 596,164 +596,164 $60,368
     EA596,164+596,164$60,368
INSPERITY INC 494,246 -188,000 $60,367
     NSP494,246-188,000$60,367
SEALED AIR CORP NEW 1,408,334 +271,125 $60,249
     SEE1,408,334+271,125$60,249
INTERCONTINENTAL EXCHANGE IN (ICE) 697,890 +224,900 $59,977
     ICE697,890+224,900$59,977
PEABODY ENERGY CORP NEW 2,485,145 +411,200 $59,892
     BTU2,485,145+411,200$59,892
ENCANA CORP 11,666,200 +11,581,600 $59,848
     ECA11,666,200+11,581,600$59,848
PINDUODUO INC 2,880,474 +2,880,474 $59,424
     PDD2,880,474+2,880,474$59,424
MORGAN STANLEY 1,354,100 +1,354,100 $59,323
     MS1,354,100+1,354,100$59,323
PROGRESS SOFTWARE CORP 1,359,711 +40,185 $59,311
     PRGS1,359,711+40,185$59,311
SHENANDOAH TELECOMMUNICATION 1,537,600 +68,800 $59,228
     SHEN1,537,600+68,800$59,228
VIAVI SOLUTIONS INC 4,442,088 +1,230,200 $59,035
     VIAV4,442,088+1,230,200$59,035
ENOVA INTL INC 2,554,294 -32,700 $58,876
     ENVA2,554,294-32,700$58,876
UBS GROUP AG 4,960,600 +3,256,300 $58,783
     UBS4,960,600+3,256,300$58,783
IRIDIUM COMMUNICATIONS INC 2,526,999 -337,500 $58,778
     IRDM2,526,999-337,500$58,778
LEGG MASON INC 1,535,300 +103,700 $58,771
     LM1,535,300+103,700$58,771
GLOBAL BRASS & COPPR HLDGS I 1,337,300 +38,400 $58,480
     BRSS1,337,300+38,400$58,480
DUPONT DE NEMOURS INC 777,763 +777,763 $58,387
     DD777,763+777,763$58,387
ORMAT TECHNOLOGIES INC 916,557 -7,943 $58,101
     ORA916,557-7,943$58,101
FINISAR CORP 2,534,500 +1,881,900 $57,964
     FNSR2,534,500+1,881,900$57,964
UNIVERSAL CORP VA 953,410 +285,800 $57,939
     UVV953,410+285,800$57,939
TANDEM DIABETES CARE INC 897,927 +123,500 $57,934
     TNDM897,927+123,500$57,934
ARMADA HOFFLER PPTYS INC 3,500,509 +32,400 $57,933
     AHH3,500,509+32,400$57,933
ENTERPRISE PRODS PARTNERS L 2,003,749 -412,200 $57,848
     EPD2,003,749-412,200$57,848
ASTRAZENECA PLC 1,400,637 -443,663 $57,818
     AZN1,400,637-443,663$57,818
ASML HOLDING N V 276,937 +20,588 $57,743
     ASML276,937+20,588$57,743
SJW GROUP 949,200 +103,700 $57,683
     SJW949,200+103,700$57,683
SEACOR HOLDINGS INC 1,213,100 +37,100 $57,634
     CKH1,213,100+37,100$57,634
AKAMAI TECHNOLOGIES INC 718,600 -31,700 $57,589
     AKAM718,600-31,700$57,589
PIEDMONT OFFICE REALTY TR IN 2,881,700 -374,800 $57,432
     PDM2,881,700-374,800$57,432
LIFE STORAGE INC 601,566 -202,800 $57,197
     LSI601,566-202,800$57,197
STEEL DYNAMICS INC 1,891,700 +1,555,900 $57,129
     STLD1,891,700+1,555,900$57,129
SEAWORLD ENTMT INC 1,825,325 -949,575 $56,585
     SEAS1,825,325-949,575$56,585
AMPHENOL CORP NEW 588,400 +355,500 $56,451
     APH588,400+355,500$56,451
NEXSTAR MEDIA GROUP INC 558,205 +49,100 $56,379
     NXST558,205+49,100$56,379
ACACIA COMMUNICATIONS INC 1,195,100 +320,600 $56,361
     ACIA1,195,100+320,600$56,361
VEREIT INC 6,240,854 +424,000 $56,230
     VER6,240,854+424,000$56,230
WAGEWORKS INC 1,106,635 +5,100 $56,206
     WAGE1,106,635+5,100$56,206
MACERICH CO 1,677,869 +496,600 $56,192
     MAC1,677,869+496,600$56,192
PROOFPOINT INC 463,900 -66,000 $55,784
     PFPT463,900-66,000$55,784
PETROCHINA CO LTD 1,012,300 +40,600 $55,747
     PTR1,012,300+40,600$55,747
GOL LINHAS AEREAS INTLG S A 3,297,320 +8,100 $55,659
     GOL3,297,320+8,100$55,659
ESSENT GROUP LTD 1,184,300 -36,200 $55,650
     ESNT1,184,300-36,200$55,650
INDEPENDENCE RLTY TR INC 4,792,513 +534,219 $55,449
     IRT4,792,513+534,219$55,449
NATIONAL BK HLDGS CORP 1,522,400 -1,000 $55,263
     NBHC1,522,400-1,000$55,263
HCA HEALTHCARE INC 408,800 -445,000 $55,257
     HCA408,800-445,000$55,257
CDW CORP 497,498 +133,000 $55,222
     CDW497,498+133,000$55,222
EQUINIX INC 109,500 +48,400 $55,220
     EQIX109,500+48,400$55,220
CLEARWAY ENERGY INC      $55,126
     CWEN2,183,578-116,100$36,815
     CWEN.A1,131,676+51,876$18,311
LOGMEIN INC 744,139 -274,400 $54,828
     LOGM744,139-274,400$54,828
RAMBUS INC DEL 4,549,886 -187,800 $54,781
     RMBS4,549,886-187,800$54,781
ZSCALER INC 711,900 +92,600 $54,560
     ZS711,900+92,600$54,560
HONDA MOTOR LTD 2,109,100 +488,600 $54,499
     HMC2,109,100+488,600$54,499
GLADSTONE COML CORP 2,562,300 +60,600 $54,372
     GOOD2,562,300+60,600$54,372
CARGURUS INC 1,502,900 -78,400 $54,270
     CARG1,502,900-78,400$54,270
EQUITY COMWLTH 1,665,765 -594,200 $54,171
     EQC1,665,765-594,200$54,171
OGE ENERGY CORP 1,256,900 -529,100 $53,494
     OGE1,256,900-529,100$53,494
GLOBUS MED INC 1,264,600 -95,200 $53,493
     GMED1,264,600-95,200$53,493
NOVA MEASURING INSTRUMENTS L 2,086,200 +78,900 $53,386
     NVMI2,086,200+78,900$53,386
FEDEX CORP 324,800 +324,800 $53,329
     FDX324,800+324,800$53,329
UNITIL CORP 889,800 +25,100 $53,290
     UTL889,800+25,100$53,290
HONEYWELL INTL INC 303,500 -41,800 $52,988
     HON303,500-41,800$52,988
JUNIPER NETWORKS INC 1,984,491 -892,000 $52,847
     JNPR1,984,491-892,000$52,847
CAE INC 1,961,800 -111,400 $52,694
     CAE1,961,800-111,400$52,694
ZIONS BANCORPORATION N A 1,145,579 +393,100 $52,674
     ZION1,145,579+393,100$52,674
NATIONAL HEALTHCARE CORP 648,300 +1,500 $52,610
     NHC648,300+1,500$52,610
MADISON SQUARE GARDEN CO NEW 187,752 +140,052 $52,559
     MSG187,752+140,052$52,559
VERSUM MATLS INC 1,011,200 +239,700 $52,158
     VSM1,011,200+239,700$52,158
BOINGO WIRELESS INC 2,900,700 +23,600 $52,126
     WIFI2,900,700+23,600$52,126
EOG RES INC 559,500 -2,101,300 $52,123
     EOG559,500-2,101,300$52,123
PROVIDENCE SVC CORP 907,099 -44,200 $52,013
     PRSC907,099-44,200$52,013
ATRION CORP 60,900 +1,600 $51,932
     ATRI60,900+1,600$51,932
LINDE PLC 257,800 +75,500 $51,766
     LIN257,800+75,500$51,766
BED BATH & BEYOND INC 4,446,560 -776,300 $51,669
     BBBY4,446,560-776,300$51,669
CRH PLC 1,575,500 +316,500 $51,598
     CRH1,575,500+316,500$51,598
J & J SNACK FOODS CORP 319,800 -74,650 $51,472
     JJSF319,800-74,650$51,472
ALLEGHANY CORP DEL 74,788 +27,500 $50,939
     Y74,788+27,500$50,939
PEOPLES UTD FINL INC 3,034,673 +3,700 $50,922
     PBCT3,034,673+3,700$50,922
NEXPOINT RESIDENTIAL TR INC 1,229,600 -70,900 $50,905
     NXRT1,229,600-70,900$50,905
ABB LTD 2,532,900 -915,700 $50,734
     ABB2,532,900-915,700$50,734
AMERICOLD RLTY TR 1,563,100 -1,162,400 $50,676
     COLD1,563,100-1,162,400$50,676
CARDIOVASCULAR SYS INC DEL 1,180,100 +45,200 $50,662
     CSII1,180,100+45,200$50,662
ALLIANCE DATA SYSTEMS CORP 360,742 +103,500 $50,551
     ADS360,742+103,500$50,551
LANTHEUS HLDGS INC 1,784,300 +348,700 $50,496
     LNTH1,784,300+348,700$50,496
COUSINS PPTYS INC 1,394,957 -2,477,914 $50,456
     CUZ1,394,957-2,477,914$50,456
BUNGE LIMITED 902,200 -584,700 $50,262
     BG902,200-584,700$50,262
CORPORATE OFFICE PPTYS TR 1,901,607 +748,300 $50,145
     OFC1,901,607+748,300$50,145
UNUM GROUP 1,488,200 +437,600 $49,929
     UNM1,488,200+437,600$49,929
ENERGY TRANSFER LP 3,541,385 +2,742,100 $49,863
     ET3,541,385+2,742,100$49,863
PRUDENTIAL FINL INC 493,500 +176,300 $49,844
     PRU493,500+176,300$49,844
ALAMOS GOLD INC NEW 8,214,071 +1,824,900 $49,695
     AGI8,214,071+1,824,900$49,695
K12 INC 1,633,300 +49,900 $49,669
     LRN1,633,300+49,900$49,669
NMI HLDGS INC 1,739,100 -260,200 $49,373
     NMIH1,739,100-260,200$49,373
BLOCK H & R INC 1,676,000 +1,676,000 $49,107
     HRB1,676,000+1,676,000$49,107
OTTER TAIL CORP 929,400 -13,600 $49,082
     OTTR929,400-13,600$49,082
ALBANY INTL CORP 591,600 +6,200 $49,050
     AIN591,600+6,200$49,050
AVANGRID INC 965,855 -145,700 $48,776
     AGR965,855-145,700$48,776
VICI PPTYS INC 2,211,500 +316,200 $48,741
     VICI2,211,500+316,200$48,741
PGT INNOVATIONS INC 2,908,029 -398,312 $48,622
     PGTI2,908,029-398,312$48,622
GENERAL DYNAMICS CORP 267,300 -400,600 $48,600
     GD267,300-400,600$48,600
EVERCORE INC 548,000 -272,200 $48,536
     EVR548,000-272,200$48,536
ENDO INTL PLC 11,706,200 +958,340 $48,230
     ENDP11,706,200+958,340$48,230
NEW JERSEY RES 964,301 -118,200 $47,993
     NJR964,301-118,200$47,993
UNIVERSAL HEALTH RLTY INCM T 562,800 +9,500 $47,799
     UHT562,800+9,500$47,799
CANADIAN NATL RY CO 514,600 -228,200 $47,608
     CNI514,600-228,200$47,608
HAMILTON LANE INC 833,200 +43,300 $47,542
     HLNE833,200+43,300$47,542
ROSS STORES INC 479,528 +479,528 $47,531
     ROST479,528+479,528$47,531
PACIRA BIOSCIENCES 1,092,200 +28,600 $47,500
     PCRX1,092,200+28,600$47,500
CNA FINL CORP 1,006,400 +174,900 $47,371
     CNA1,006,400+174,900$47,371
LUMINEX CORP DEL 2,292,642 -68,600 $47,320
     LMNX2,292,642-68,600$47,320
TARO PHARMACEUTICAL INDS LTD 552,964 +126,164 $47,234
     TARO552,964+126,164$47,234
HENRY SCHEIN INC 671,912 +292,800 $46,967
     HSIC671,912+292,800$46,967
LLOYDS BANKING GROUP PLC 16,428,100 +6,116,500 $46,656
     LYG16,428,100+6,116,500$46,656
SPIRIT RLTY CAP INC NEW 1,092,834 -595,968 $46,620
     SRC1,092,834-595,968$46,620
JANUS HENDERSON GROUP PLC 2,176,700 +658,400 $46,581
     JHG2,176,700+658,400$46,581
SEMTECH CORP 968,500 +24,187 $46,536
     SMTC968,500+24,187$46,536
ENANTA PHARMACEUTICALS INC 550,300 -95,205 $46,434
     ENTA550,300-95,205$46,434
CAL MAINE FOODS INC 1,112,808 +331,208 $46,426
     CALM1,112,808+331,208$46,426
MIRATI THERAPEUTICS INC 449,000 +398,700 $46,247
     MRTX449,000+398,700$46,247
EXACT SCIENCES CORP 391,560 +265,360 $46,220
     EXAS391,560+265,360$46,220
ORASURE TECHNOLOGIES INC 4,965,803 +610,300 $46,083
     OSUR4,965,803+610,300$46,083
BIOMARIN PHARMACEUTICAL INC 537,371 +215,400 $46,026
     BMRN537,371+215,400$46,026
ADVERUM BIOTECHNOLOGIES INC 3,857,500 +63,200 $45,866
     ADVM3,857,500+63,200$45,866
SELECT SECTOR SPDR TR (XLF) 1,661,700 +1,661,700 $45,863
     XLF1,661,700+1,661,700$45,863
ROCKWELL AUTOMATION INC 279,300 -53,500 $45,758
     ROK279,300-53,500$45,758
KIMBALL INTL INC 2,618,985 +75,709 $45,649
     KBAL2,618,985+75,709$45,649
BLACKBERRY LTD 6,099,087 +1,860,044 $45,499
     BB6,099,087+1,860,044$45,499
SUNCOKE ENERGY INC 5,109,458 +8,358 $45,372
     SXC5,109,458+8,358$45,372
SURMODICS INC 1,050,538 -8,500 $45,352
     SRDX1,050,538-8,500$45,352
MASCO CORP 1,155,400 +555,800 $45,338
     MAS1,155,400+555,800$45,338
BANCO BRADESCO S A 4,598,092 -1,691,968 $45,153
     BBD4,598,092-1,691,968$45,153
DEXCOM INC 300,943 -961,198 $45,093
     DXCM300,943-961,198$45,093
FLEX LTD 4,708,854 +2,883,300 $45,064
     FLEX4,708,854+2,883,300$45,064
AU OPTRONICS CORP 15,216,596 +1,230,300 $45,041
     AUO15,216,596+1,230,300$45,041
ADVANCED DISP SVCS INC DEL 1,408,000 +77,500 $44,929
     ADSW1,408,000+77,500$44,929
DR REDDYS LABS LTD 1,198,600 +134,600 $44,912
     RDY1,198,600+134,600$44,912
U S PHYSICAL THERAPY INC 365,736 -152,951 $44,828
     USPH365,736-152,951$44,828
CHEFS WHSE INC 1,269,300 +127,000 $44,514
     CHEF1,269,300+127,000$44,514
HOST HOTELS & RESORTS INC 2,428,365 +442,000 $44,245
     HST2,428,365+442,000$44,245
NATIONAL STORAGE AFFILIATES 1,527,814 +78,100 $44,215
     NSA1,527,814+78,100$44,215
AKORN INC 8,548,170 +1,476,534 $44,023
     AKRX8,548,170+1,476,534$44,023
SPS COMMERCE INC 428,930 -50,200 $43,841
     SPSC428,930-50,200$43,841
CHEGG INC 1,129,600 +772,200 $43,591
     CHGG1,129,600+772,200$43,591
ITURAN LOCATION AND CONTROL 1,441,800 +58,100 $43,384
     ITRN1,441,800+58,100$43,384
THE TRADE DESK INC 190,400 -268,800 $43,369
     TTD190,400-268,800$43,369
WILLIS TOWERS WATSON PUB LTD 225,220 +113,600 $43,139
     WLTW225,220+113,600$43,139
DOVER CORP 428,500 +161,700 $42,936
     DOV428,500+161,700$42,936
TRINSEO S A 1,012,900 -6,200 $42,886
     TSE1,012,900-6,200$42,886
MAGELLAN HEALTH INC 577,399 -112,300 $42,860
     MGLN577,399-112,300$42,860
ZIMMER BIOMET HLDGS INC 363,300 +363,300 $42,775
     ZBH363,300+363,300$42,775
ULTRAPAR PARTICIPACOES S A 8,162,100 +4,269,160 $42,769
     UGP8,162,100+4,269,160$42,769
ALTERYX INC 391,298 -160,800 $42,698
     AYX391,298-160,800$42,698
NEW SR INVT GROUP INC 6,332,786 +189,100 $42,556
     SNR6,332,786+189,100$42,556
MALIBU BOATS INC 1,095,201 -4,100 $42,549
     MBUU1,095,201-4,100$42,549
ARCELORMITTAL SA LUXEMBOURG 2,349,300 +1,545,029 $42,358
     MT2,349,300+1,545,029$42,358
GRACE W R & CO DEL NEW 555,000 +161,800 $42,241
     GRA555,000+161,800$42,241
INGERSOLL RAND PLC 330,068 -190,700 $41,810
     IR330,068-190,700$41,810
MICROSOFT CORP 310,584 -1,812,200 $41,606
     MSFT310,584-1,812,200$41,606
BIO RAD LABS INC      $41,568
     BIO131,900-24,900$41,231
     BIO.B1,100UNCH$337
DHT HOLDINGS INC 7,029,887 +1,822,717 $41,547
     DHT7,029,887+1,822,717$41,547
FLOWERS FOODS INC 1,783,782 -624,618 $41,509
     FLO1,783,782-624,618$41,509
FLEETCOR TECHNOLOGIES INC 146,900 +121,700 $41,257
     FLT146,900+121,700$41,257
DUKE REALTY CORP 1,304,900 +106,600 $41,248
     DRE1,304,900+106,600$41,248
MARSH & MCLENNAN COS INC 413,200 +129,800 $41,217
     MMC413,200+129,800$41,217
PIONEER NAT RES CO 266,188 -44,813 $40,956
     PXD266,188-44,813$40,956
TRANSOCEAN LTD 6,368,700 +1,029,772 $40,823
     RIG6,368,700+1,029,772$40,823
WORLD ACCEP CORP DEL 248,600 -1,000 $40,798
     WRLD248,600-1,000$40,798
ROSETTA STONE INC 1,782,300 -10,600 $40,779
     RST1,782,300-10,600$40,779
MASIMO CORP 274,000 -71,000 $40,777
     MASI274,000-71,000$40,777
CHINA UNICOM HONG KONG LTD 3,739,030 +610,574 $40,755
     CHU3,739,030+610,574$40,755
CHASE CORP 378,400 +500 $40,731
     CCF378,400+500$40,731
KIMCO RLTY CORP 2,197,701 -668,300 $40,614
     KIM2,197,701-668,300$40,614
CYBERARK SOFTWARE LTD 316,600 -133,100 $40,474
     CYBR316,600-133,100$40,474
EVERI HLDGS INC 3,378,700 +565,500 $40,308
     EVRI3,378,700+565,500$40,308
BANCO SANTANDER BRASIL S A 3,382,500 +709,000 $40,150
     BSBR3,382,500+709,000$40,150
SPARK THERAPEUTICS INC 389,700 +389,700 $39,897
     ONCE389,700+389,700$39,897
SOUTHSIDE BANCSHARES INC (SBSI) 1,232,110 -58,500 $39,896
     SBSI1,232,110-58,500$39,896
HEALTHCARE TR AMER INC 1,451,672 -1,074,900 $39,819
     HTA1,451,672-1,074,900$39,819
NORTHWEST NAT HLDG CO 572,100 -108,500 $39,761
     NWN572,100-108,500$39,761
CENTERSTATE BK CORP 1,724,442 +117,205 $39,714
     CSFL1,724,442+117,205$39,714
RINGCENTRAL INC 345,100 -93,600 $39,659
     RNG345,100-93,600$39,659
ATN INTL INC 684,300 +35,700 $39,505
     ATNI684,300+35,700$39,505
FORRESTER RESH INC 839,018 +42,418 $39,459
     FORR839,018+42,418$39,459
VANDA PHARMACEUTICALS INC 2,798,050 +233,300 $39,425
     VNDA2,798,050+233,300$39,425
CBS CORP NEW      $39,391
     CBS471,700+114,500$23,538
     CBS.A316,800+5,600$15,853
W & T OFFSHORE INC 7,924,377 -8,723 $39,305
     WTI7,924,377-8,723$39,305
PARK HOTELS RESORTS INC 1,425,400 +570,900 $39,284
     PK1,425,400+570,900$39,284
CORENERGY INFRASTRUCTURE TR 988,000 +82,200 $39,184
     CORR988,000+82,200$39,184
ALLY FINL INC 1,263,800 +574,700 $39,165
     ALLY1,263,800+574,700$39,165
WEST PHARMACEUTICAL SVSC INC 309,000 -111,600 $38,671
     WST309,000-111,600$38,671
RE MAX HLDGS INC 1,255,000 +81,100 $38,604
     RMAX1,255,000+81,100$38,604
BANK HAWAII CORP 461,200 -9,500 $38,238
     BOH461,200-9,500$38,238
YAMANA GOLD INC 15,152,290 -274,875 $38,184
     AUY15,152,290-274,875$38,184
BROOKFIELD ASSET MGMT INC 792,375 +702,675 $37,906
     BAM792,375+702,675$37,906
DMC GLOBAL INC 598,196 +163,528 $37,896
     BOOM598,196+163,528$37,896
UNITED STATES CELLULAR CORP 843,462 -89,300 $37,677
     USM843,462-89,300$37,677
UNITED MICROELECTRONICS CORP 17,024,189 +946,600 $37,623
     UMC17,024,189+946,600$37,623
CHURCH & DWIGHT INC 514,200 +350,800 $37,567
     CHD514,200+350,800$37,567
AMERICAN PUBLIC EDUCATION IN 1,269,593 -15,200 $37,555
     APEI1,269,593-15,200$37,555
TENARIS S A 1,424,900 +658,600 $37,489
     TS1,424,900+658,600$37,489
VERISK ANALYTICS INC 255,800 +255,800 $37,464
     VRSK255,800+255,800$37,464
KITE RLTY GROUP TR 2,475,200 +580,700 $37,450
     KRG2,475,200+580,700$37,450
BOX INC 2,108,812 +782,300 $37,136
     BOX2,108,812+782,300$37,136
REX AMERICAN RESOURCES CORP 509,014 +15,970 $37,107
     REX509,014+15,970$37,107
AECOM 980,177 +571,777 $37,100
     ACM980,177+571,777$37,100
MELCO RESORTS AND ENTMT LTD 1,707,500 +1,203,100 $37,087
     MLCO1,707,500+1,203,100$37,087
NORTHWEST BANCSHARES INC MD (NWBI) 2,105,846 -184,900 $37,084
     NWBI2,105,846-184,900$37,084
VISTRA ENERGY CORP 1,637,633 -451,640 $37,076
     VST1,637,633-451,640$37,076
FIVE9 INC 722,500 -734,900 $37,057
     FIVN722,500-734,900$37,057
SWITCH INC 2,822,400 +1,023,800 $36,945
     SWCH2,822,400+1,023,800$36,945
RYMAN HOSPITALITY PPTYS INC 453,600 -162,100 $36,782
     RHP453,600-162,100$36,782
SANDY SPRING BANCORP INC 1,052,441 -18,837 $36,709
     SASR1,052,441-18,837$36,709
M & T BK CORP 215,542 +175,500 $36,657
     MTB215,542+175,500$36,657
HEIDRICK & STRUGGLES INTL IN 1,222,502 +59,200 $36,638
     HSII1,222,502+59,200$36,638
CARNIVAL PLC 806,700 +165,400 $36,519
     CUK806,700+165,400$36,519
CORNERSTONE ONDEMAND INC 629,900 +17,100 $36,490
     CSOD629,900+17,100$36,490
OAKTREE CAP GROUP LLC 736,570 +721,881 $36,490
     OAK736,570+721,881$36,490
WATERSTONE FINL INC MD 2,130,600 -49,752 $36,348
     WSBF2,130,600-49,752$36,348
NOVANTA INC 385,400 -90,000 $36,343
     NOVT385,400-90,000$36,343
US FOODS HLDG CORP 1,016,300 +327,600 $36,343
     USFD1,016,300+327,600$36,343
SIMPLY GOOD FOODS CO 1,509,000 -178,800 $36,337
     SMPL1,509,000-178,800$36,337
NANOMETRICS INC 1,046,300 +7,090 $36,317
     NANO1,046,300+7,090$36,317
WESTPAC BKG CORP 1,820,600 +199,800 $36,285
     WBK1,820,600+199,800$36,285
ALEXANDERS INC 97,964 +10,500 $36,276
     ALX97,964+10,500$36,276
MERIDIAN BANCORP INC MD 2,024,444 -29,014 $36,217
     EBSB2,024,444-29,014$36,217
ARCONIC INC 1,399,800 +1,145,700 $36,143
     ARNC1,399,800+1,145,700$36,143
FNB CORP PA 3,067,328 +1,205,501 $36,102
     FNB3,067,328+1,205,501$36,102
ZIX CORP 3,957,800 -232,005 $35,976
     ZIXI3,957,800-232,005$35,976
SAFETY INS GROUP INC 376,186 -19,814 $35,787
     SAFT376,186-19,814$35,787
BOSTON PROPERTIES INC 277,400 -30,900 $35,785
     BXP277,400-30,900$35,785
SUZANO SA 2,100,019 -5,300 $35,763
     SUZ2,100,019-5,300$35,763
YY INC 512,600 +224,800 $35,723
     YY512,600+224,800$35,723
NAVISTAR INTL CORP NEW 1,035,300 +238,500 $35,666
     NAV1,035,300+238,500$35,666
REGIS CORP MINN 2,145,800 +73,000 $35,620
     RGS2,145,800+73,000$35,620
MONMOUTH REAL ESTATE INVT CO 2,616,303 +92,502 $35,451
     MNR2,616,303+92,502$35,451
QORVO INC 529,306 +467,406 $35,257
     QRVO529,306+467,406$35,257
WESBANCO INC 914,564 +57,887 $35,256
     WSBC914,564+57,887$35,256
PROASSURANCE CORP 974,100 +190,100 $35,175
     PRA974,100+190,100$35,175
MERIDIAN BIOSCIENCE INC 2,953,000 -51,048 $35,082
     VIVO2,953,000-51,048$35,082
KROGER CO 1,615,100 +1,615,100 $35,064
     KR1,615,100+1,615,100$35,064
SEMPRA ENERGY 254,930 -152,370 $35,038
     SRE254,930-152,370$35,038
ORITANI FINL CORP DEL 1,972,000 -18,800 $34,983
     ORIT1,972,000-18,800$34,983
ACORDA THERAPEUTICS INC 4,558,000 +546,700 $34,960
     ACOR4,558,000+546,700$34,960
ANTERO RES CORP 6,312,201 +5,132,465 $34,906
     AR6,312,201+5,132,465$34,906
STRATASYS LTD 1,187,432 -14,966 $34,875
     SSYS1,187,432-14,966$34,875
METHANEX CORP 765,548 +266,200 $34,801
     MEOH765,548+266,200$34,801
XPERI CORP 1,687,914 +804,000 $34,754
     XPER1,687,914+804,000$34,754
QUALYS INC 398,900 -230,000 $34,736
     QLYS398,900-230,000$34,736
ADIENT PLC 1,430,700 +544,700 $34,723
     ADNT1,430,700+544,700$34,723
RADWARE LTD 1,404,100 -24,300 $34,723
     RDWR1,404,100-24,300$34,723
NORTHFIELD BANCORP INC DEL 2,224,168 +21,350 $34,719
     NFBK2,224,168+21,350$34,719
ALTRIA GROUP INC 733,000 +733,000 $34,708
     MO733,000+733,000$34,708
CANADIAN PAC RY LTD 147,100 -119,400 $34,649
     CP147,100-119,400$34,649
VIASAT INC 428,293 +354,400 $34,615
     VSAT428,293+354,400$34,615
ADTRAN INC 2,265,928 +328,900 $34,555
     ADTN2,265,928+328,900$34,555
BROWN FORMAN CORP      $34,535
     BF.B393,434-185,244$21,808
     BF.A231,400-8,600$12,727
F M C CORP 415,900 +415,900 $34,499
     FMC415,900+415,900$34,499
CIMAREX ENERGY CO 580,932 +210,335 $34,467
     XEC580,932+210,335$34,467
GRUPO AEROPORTUARIO CTR NORT 704,500 +21,300 $34,436
     OMAB704,500+21,300$34,436
EXPONENT INC 587,600 -135,300 $34,398
     EXPO587,600-135,300$34,398
MCGRATH RENTCORP 552,995 -27,700 $34,369
     MGRC552,995-27,700$34,369
AMETEK INC NEW 376,150 +376,150 $34,169
     AME376,150+376,150$34,169
SILGAN HOLDINGS INC 1,110,280 +720,400 $33,975
     SLGN1,110,280+720,400$33,975
SNAP INC 2,375,000 +2,099,200 $33,963
     SNAP2,375,000+2,099,200$33,963
BANK MONTREAL QUE 448,950 -135,500 $33,900
     BMO448,950-135,500$33,900
MIDDLESEX WATER CO 567,900 -21,900 $33,648
     MSEX567,900-21,900$33,648
BIOSPECIFICS TECHNOLOGIES CO 563,207 -9,340 $33,629
     BSTC563,207-9,340$33,629
APPFOLIO INC 327,894 -120,700 $33,534
     APPF327,894-120,700$33,534
RUSH ENTERPRISES INC 916,778 +81,700 $33,481
     RUSHA916,778+81,700$33,481
FITBIT INC 7,607,110 +1,122,710 $33,471
     FIT7,607,110+1,122,710$33,471
MGE ENERGY INC 455,350 +9,400 $33,277
     MGEE455,350+9,400$33,277
INVESTORS BANCORP INC NEW 2,981,712 -368,600 $33,246
     ISBC2,981,712-368,600$33,246
BARRETT BUSINESS SERVICES IN 402,400 -28,500 $33,238
     BBSI402,400-28,500$33,238
AMERICAN OUTDOOR BRANDS CORP 3,682,400 +642,010 $33,178
     AOBC3,682,400+642,010$33,178
LIBERTY GLOBAL PLC 1,227,987 +206,700 $33,143
     LBTYA1,227,987+206,700$33,143
FIAT CHRYSLER AUTOMOBILES N 2,378,694 +2,361,894 $32,972
     FCAU2,378,694+2,361,894$32,972
SANMINA CORPORATION 1,088,341 +126,800 $32,955
     SANM1,088,341+126,800$32,955
COTT CORP QUE 2,459,700 +270,500 $32,837
     COT2,459,700+270,500$32,837
AEROJET ROCKETDYNE HLDGS INC 733,195 -192,700 $32,825
     AJRD733,195-192,700$32,825
STEWART INFORMATION SVCS COR 810,084 -46,900 $32,800
     STC810,084-46,900$32,800
NORDSTROM INC 1,027,500 -276,500 $32,736
     JWN1,027,500-276,500$32,736
WINMARK CORP 189,000 -832 $32,725
     WINA189,000-832$32,725
ARGAN INC 806,700 -25,000 $32,720
     AGX806,700-25,000$32,720
CIT GROUP INC 621,800 -40,677 $32,669
     CIT621,800-40,677$32,669
SHUTTERSTOCK INC 832,400 -21,200 $32,622
     SSTK832,400-21,200$32,622
ENNIS INC 1,589,700 +109,500 $32,621
     EBF1,589,700+109,500$32,621
TRACTOR SUPPLY CO 299,700 +299,700 $32,607
     TSCO299,700+299,700$32,607
CHATHAM LODGING TR 1,727,300 +158,500 $32,594
     CLDT1,727,300+158,500$32,594
AMC ENTMT HLDGS INC 3,493,168 +985,100 $32,591
     AMC3,493,168+985,100$32,591
PUBLIC SVC ENTERPRISE GRP IN 553,084 -617,000 $32,532
     PEG553,084-617,000$32,532
PROVIDENT FINL SVCS INC 1,338,700 -39,900 $32,463
     PFS1,338,700-39,900$32,463
YEXT INC 1,612,500 -32,600 $32,395
     YEXT1,612,500-32,600$32,395
INVESTORS REAL ESTATE TR 550,889 +32,700 $32,321
     IRET550,889+32,700$32,321
KULICKE & SOFFA INDS INC 1,432,500 -197,028 $32,303
     KLIC1,432,500-197,028$32,303
KAISER ALUMINUM CORP 329,000 -25,000 $32,114
     KALU329,000-25,000$32,114
INDUSTRIAS BACHOCO S A B DE 633,200 +3,300 $32,084
     IBA633,200+3,300$32,084
RIO TINTO PLC 514,432 -184,900 $32,070
     RIO514,432-184,900$32,070
STORE CAP CORP 963,800 -503,500 $31,989
     STOR963,800-503,500$31,989
PIPER JAFFRAY COS 430,100 -18,600 $31,944
     PJC430,100-18,600$31,944
UNITED CMNTY BKS BLAIRSVLE G 1,117,868 -169,300 $31,926
     UCBI1,117,868-169,300$31,926
WPP PLC NEW 507,100 -120,029 $31,902
     WPP507,100-120,029$31,902
ADVANCE AUTO PARTS INC 206,750 -370,100 $31,868
     AAP206,750-370,100$31,868
SLM CORP 3,274,700 +340,500 $31,830
     SLM3,274,700+340,500$31,830
CONDUENT INC 3,307,272 +130,926 $31,717
     CNDT3,307,272+130,926$31,717
PLANET FITNESS INC 436,700 -371,600 $31,635
     PLNT436,700-371,600$31,635
GOPRO INC 5,793,500 -210,300 $31,633
     GPRO5,793,500-210,300$31,633
OCEANFIRST FINL CORP 1,270,241 +39,650 $31,565
     OCFC1,270,241+39,650$31,565
OPEN TEXT CORP 765,916 +401,216 $31,556
     OTEX765,916+401,216$31,556
CABOT OIL & GAS CORP 1,373,800 +1,373,800 $31,542
     COG1,373,800+1,373,800$31,542
NETEASE INC 122,900 +122,900 $31,434
     NTES122,900+122,900$31,434
ATMOS ENERGY CORP 297,400 +216,300 $31,394
     ATO297,400+216,300$31,394
TUCOWS INC 513,451 +7,118 $31,331
     TCX513,451+7,118$31,331
FIREEYE INC 2,112,600 +166,800 $31,288
     FEYE2,112,600+166,800$31,288
WESTERN ASSET MTG CAP CORP 3,127,946 +35,236 $31,217
     WMC3,127,946+35,236$31,217
CARDTRONICS PLC 1,141,100 +133,500 $31,175
     CATM1,141,100+133,500$31,175
SERVICE CORP INTL 666,230 -7,000 $31,166
     SCI666,230-7,000$31,166
SYNNEX CORP 316,428 +173,200 $31,137
     SNX316,428+173,200$31,137
LIBERTY MEDIA CORP DELAWARE 1,111,914 +88,195 $31,100
     BATRK1,111,914+88,195$31,100
FLUIDIGM CORP DEL 2,522,800 +367,718 $31,081
     FLDM2,522,800+367,718$31,081
SOUTHWEST AIRLS CO 611,780 +333,900 $31,066
     LUV611,780+333,900$31,066
ENEL AMERICAS S A 3,500,900 +597,200 $31,053
     ENIA3,500,900+597,200$31,053
FLOWSERVE CORP 588,400 +148,200 $31,003
     FLS588,400+148,200$31,003
SYNCHRONY FINL 894,100 -548,000 $30,998
     SYF894,100-548,000$30,998
C H ROBINSON WORLDWIDE INC 364,408 -344,700 $30,738
     CHRW364,408-344,700$30,738
WEYERHAEUSER CO 1,164,540 +1,027,340 $30,674
     WY1,164,540+1,027,340$30,674
WEIGHT WATCHERS INTL INC NEW 1,605,200 -313,512 $30,659
     WTW1,605,200-313,512$30,659
ROYAL BK SCOTLAND GROUP PLC 5,387,700 +366,100 $30,602
     RBS5,387,700+366,100$30,602
GARMIN LTD 382,442 -212,300 $30,519
     GRMN382,442-212,300$30,519
VISHAY PRECISION GROUP INC 750,900 +40,200 $30,509
     VPG750,900+40,200$30,509
STEPAN CO 331,800 -9,100 $30,496
     SCL331,800-9,100$30,496
FRESH DEL MONTE PRODUCE INC 1,131,300 +64,800 $30,489
     FDP1,131,300+64,800$30,489
MFA FINL INC 4,238,300 -1,033,700 $30,431
     MFA4,238,300-1,033,700$30,431
TOWNEBANK PORTSMOUTH VA 1,114,142 +35,700 $30,394
     TOWN1,114,142+35,700$30,394
ANGI HOMESERVICES INC 2,334,500 +976,000 $30,372
     ANGI2,334,500+976,000$30,372
CATCHMARK TIMBER TR INC 2,906,432 +241,000 $30,372
     CTT2,906,432+241,000$30,372
SMARTSHEET INC 625,900 +625,900 $30,294
     SMAR625,900+625,900$30,294
SUMITOMO MITSUI FINL GROUP I 4,281,900 +2,750,900 $30,230
     SMFG4,281,900+2,750,900$30,230
ORTHOFIX MED INC 571,469 -86,114 $30,219
     OFIX571,469-86,114$30,219
RUDOLPH TECHNOLOGIES INC 1,090,787 +2,700 $30,138
     RTEC1,090,787+2,700$30,138
REXFORD INDL RLTY INC 746,400 -1,078,500 $30,132
     REXR746,400-1,078,500$30,132
INVESCO MORTGAGE CAPITAL INC 1,861,900 +57,698 $30,014
     IVR1,861,900+57,698$30,014
PETMED EXPRESS INC 1,914,915 +259,100 $30,007
     PETS1,914,915+259,100$30,007
EXLSERVICE HOLDINGS INC 453,200 -45,400 $29,970
     EXLS453,200-45,400$29,970
BUILDERS FIRSTSOURCE INC 1,768,800 +807,400 $29,822
     BLDR1,768,800+807,400$29,822
GENUINE PARTS CO 286,800 -141,800 $29,707
     GPC286,800-141,800$29,707
TUPPERWARE BRANDS CORP 1,560,955 +455,200 $29,705
     TUP1,560,955+455,200$29,705
NATIONAL RESH CORP 513,800 +21,100 $29,590
     NRC513,800+21,100$29,590
WABCO HLDGS INC 222,795 +222,795 $29,543
     WBC222,795+222,795$29,543
UNIVEST FINANCIAL CORPORATIO 1,122,469 +59,800 $29,476
     UVSP1,122,469+59,800$29,476
E TRADE FINANCIAL CORP 660,540 +164,900 $29,460
     ETFC660,540+164,900$29,460
LATTICE SEMICONDUCTOR CORP 2,010,600 +327,600 $29,335
     LSCC2,010,600+327,600$29,335
DUCOMMUN INC DEL 650,800 +29,803 $29,332
     DCO650,800+29,803$29,332
LIBERTY GLOBAL PLC 1,104,200 -817,100 $29,294
     LBTYK1,104,200-817,100$29,294
NEW YORK CMNTY BANCORP INC 2,926,625 +860,000 $29,208
     NYCB2,926,625+860,000$29,208
MGM GROWTH PPTYS LLC 949,000 +287,000 $29,087
     MGP949,000+287,000$29,087
COLUMBIA PPTY TR INC 1,397,402 +202,902 $28,982
     CXP1,397,402+202,902$28,982
SEABOARD CORP 6,993 +725 $28,928
     SEB6,993+725$28,928
CAMPBELL SOUP CO 720,800 +354,700 $28,882
     CPB720,800+354,700$28,882
BRYN MAWR BK CORP 772,720 -18,400 $28,838
     BMTC772,720-18,400$28,838
STRYKER CORP 140,200 -59,200 $28,822
     SYK140,200-59,200$28,822
PRICESMART INC 560,400 +156,700 $28,648
     PSMT560,400+156,700$28,648
HOSPITALITY PPTYS TR 1,145,000 -388,600 $28,625
     HPT1,145,000-388,600$28,625
DARDEN RESTAURANTS INC 233,892 +136,492 $28,472
     DRI233,892+136,492$28,472
PRUDENTIAL PLC 648,000 +149,600 $28,395
     PUK648,000+149,600$28,395
PDL BIOPHARMA INC 9,021,082 -607,418 $28,326
     PDLI9,021,082-607,418$28,326
WILLIS LEASE FINANCE CORP 485,032 -15,000 $28,287
     WLFC485,032-15,000$28,287
COUPA SOFTWARE INC 223,300 -387,600 $28,272
     COUP223,300-387,600$28,272
NATIONAL OILWELL VARCO INC 1,271,810 -1,661,700 $28,272
     NOV1,271,810-1,661,700$28,272
AGCO CORP 364,400 +359,800 $28,267
     AGCO364,400+359,800$28,267
TOTAL SYS SVCS INC 219,865 -349,800 $28,202
     TSS219,865-349,800$28,202
SOHU COM LTD 2,014,100 +124,051 $28,197
     SOHU2,014,100+124,051$28,197
SYSCO CORP 398,200 -782,300 $28,161
     SYY398,200-782,300$28,161
WEBSTER FINL CORP CONN 589,131 +250,800 $28,143
     WBS589,131+250,800$28,143
SAUL CTRS INC 501,374 +31,700 $28,142
     BFS501,374+31,700$28,142
ANGLOGOLD ASHANTI LTD 1,578,700 -217,385 $28,117
     AU1,578,700-217,385$28,117
BT GROUP PLC 2,196,400 +1,040,200 $28,048
     BT2,196,400+1,040,200$28,048
GAMESTOP CORP NEW 5,127,146 +4,617,446 $28,045
     GME5,127,146+4,617,446$28,045
PAR PACIFIC HOLDINGS INC 1,365,300 +677,400 $28,016
     PARR1,365,300+677,400$28,016
DIAGEO P L C 162,501 -313,600 $28,002
     DEO162,501-313,600$28,002
ONE LIBERTY PPTYS INC 966,909 +64,173 $28,002
     OLP966,909+64,173$28,002
GLOBAL NET LEASE INC 1,423,900 -79,000 $27,937
     GNL1,423,900-79,000$27,937
PPG INDS INC 238,500 +230,400 $27,835
     PPG238,500+230,400$27,835
CHESAPEAKE UTILS CORP 292,400 -750 $27,784
     CPK292,400-750$27,784
JOHNSON OUTDOORS INC 370,900 +22,153 $27,658
     JOUT370,900+22,153$27,658
CORELOGIC INC 659,300 +333,380 $27,579
     CLGX659,300+333,380$27,579
STERLING CONSTRUCTION CO INC 2,050,300 -53,500 $27,515
     STRL2,050,300-53,500$27,515
MIDDLEBY CORP 201,270 +201,270 $27,312
     MIDD201,270+201,270$27,312
FEDERAL REALTY INVT TR 212,100 +71,800 $27,310
     FRT212,100+71,800$27,310
PARK ELECTROCHEMICAL CORP 1,634,500 +83,900 $27,280
     PKE1,634,500+83,900$27,280
WHEATON PRECIOUS METALS CORP 1,127,197 -776,403 $27,257
     WPM1,127,197-776,403$27,257
HYATT HOTELS CORP 357,000 -242,800 $27,178
     H357,000-242,800$27,178
UNIVERSAL HLTH SVCS INC 208,100 +136,500 $27,134
     UHS208,100+136,500$27,134
CREE INC 481,242 +481,242 $27,036
     CREE481,242+481,242$27,036
CHARTER COMMUNICATIONS INC N 67,900 -383,200 $26,833
     CHTR67,900-383,200$26,833
TRIUMPH GROUP INC NEW 1,169,100 +632,700 $26,772
     TGI1,169,100+632,700$26,772
TRINET GROUP INC 394,600 +58,300 $26,754
     TNET394,600+58,300$26,754
FIRST BUSEY CORP 1,009,633 +49,631 $26,664
     BUSE1,009,633+49,631$26,664
MERCER INTL INC 1,714,041 -343,400 $26,516
     MERC1,714,041-343,400$26,516
JD COM INC 875,200 +875,200 $26,510
     JD875,200+875,200$26,510
DXC TECHNOLOGY CO 478,200 +478,200 $26,373
     DXC478,200+478,200$26,373
PLAINS ALL AMERN PIPELINE L 1,080,214 -498,800 $26,303
     PAA1,080,214-498,800$26,303
CONTINENTAL RESOURCES INC 623,800 -184,100 $26,256
     CLR623,800-184,100$26,256
ZENDESK INC 294,800 +101,500 $26,246
     ZEN294,800+101,500$26,246
AUTOMATIC DATA PROCESSING IN 158,499 +158,499 $26,205
     ADP158,499+158,499$26,205
CARE COM INC 2,386,200 +357,500 $26,200
     CRCM2,386,200+357,500$26,200
ARCHER DANIELS MIDLAND CO 641,634 +103,634 $26,179
     ADM641,634+103,634$26,179
AMERICAN SOFTWARE INC 1,987,400 -54,800 $26,134
     AMSWA1,987,400-54,800$26,134
WASHINGTON TR BANCORP 500,500 +5,800 $26,116
     WASH500,500+5,800$26,116
IAC INTERACTIVECORP 120,027 -413,200 $26,109
     IAC120,027-413,200$26,109
CLEAN ENERGY FUELS CORP 9,760,232 +1,399,300 $26,060
     CLNE9,760,232+1,399,300$26,060
TEGNA INC 1,719,600 +72,200 $26,052
     TGNA1,719,600+72,200$26,052
JAMES RIV GROUP LTD 555,200 -600 $26,039
     JRVR555,200-600$26,039
EMERSON ELEC CO 389,600 -317,700 $25,994
     EMR389,600-317,700$25,994
FUTUREFUEL CORPORATION 2,221,100 +80,300 $25,965
     FF2,221,100+80,300$25,965
MERCANTILE BANK CORP 794,415 +6,600 $25,882
     MBWM794,415+6,600$25,882
ROBERT HALF INTL INC 450,800 -21,400 $25,700
     RHI450,800-21,400$25,700
MAXIM INTEGRATED PRODS INC 427,529 -645,833 $25,575
     MXIM427,529-645,833$25,575
FRONTDOOR INC 587,195 +587,195 $25,572
     FTDR587,195+587,195$25,572
NICE LTD 185,844 +66,200 $25,461
     NICE185,844+66,200$25,461
INNOPHOS HOLDINGS INC 867,700 +111,900 $25,259
     IPHS867,700+111,900$25,259
GENTEX CORP 1,023,596 +582,996 $25,191
     GNTX1,023,596+582,996$25,191
CENTENE CORP DEL 479,732 +332,132 $25,157
     CNC479,732+332,132$25,157
BROOKFIELD PROPERTY PARTRS L 1,328,871 +714,518 $25,145
     BPY1,328,871+714,518$25,145
TRICO BANCSHARES (TCBK) 664,638 +21,024 $25,123
     TCBK664,638+21,024$25,123
PAPA JOHNS INTL INC 561,300 +149,400 $25,101
     PZZA561,300+149,400$25,101
RAYONIER ADVANCED MATLS INC 3,864,400 +82,900 $25,080
     RYAM3,864,400+82,900$25,080
UNITED FINL BANCORP INC NEW 1,762,939 -219,173 $24,998
     UBNK1,762,939-219,173$24,998
AMERICAN NATL INS CO 214,500 -6,000 $24,983
     ANAT214,500-6,000$24,983
FORTUNA SILVER MINES INC 8,748,331 +2,015,500 $24,933
     FSM8,748,331+2,015,500$24,933
QIWI PLC 1,271,138 +486,758 $24,876
     QIWI1,271,138+486,758$24,876
GILAT SATELLITE NETWORKS LTD 2,939,977 +2,107 $24,872
     GILT2,939,977+2,107$24,872
QUANTA SVCS INC 650,699 +383,400 $24,850
     PWR650,699+383,400$24,850
BROOKLINE BANCORP INC DEL 1,615,200 -44,840 $24,842
     BRKL1,615,200-44,840$24,842
MURPHY USA INC 295,400 +86,500 $24,822
     MUSA295,400+86,500$24,822
CAVCO INDS INC DEL 157,400 -113,409 $24,797
     CVCO157,400-113,409$24,797
FIRST MERCHANTS CORP 654,229 -121,649 $24,795
     FRME654,229-121,649$24,795
BRANDYWINE RLTY TR 1,731,098 +532,100 $24,789
     BDN1,731,098+532,100$24,789
URSTADT BIDDLE PPTYS INC 1,177,717 +52,300 $24,732
     UBA1,177,717+52,300$24,732
PULTE GROUP INC 780,267 -1,658,600 $24,672
     PHM780,267-1,658,600$24,672
CDK GLOBAL INC 498,400 +498,400 $24,641
     CDK498,400+498,400$24,641
QAD INC 611,277 -50,271 $24,579
     QADA611,277-50,271$24,579
CONNECTONE BANCORP INC NEW 1,084,516 +26,940 $24,575
     CNOB1,084,516+26,940$24,575
P A M TRANSN SVCS INC 395,974 -1,500 $24,550
     PTSI395,974-1,500$24,550
WESTWOOD HLDGS GROUP INC 697,222 +129,096 $24,542
     WHG697,222+129,096$24,542
ANWORTH MORTGAGE ASSET CP 6,470,890 -372,120 $24,525
     ANH6,470,890-372,120$24,525
TOWER SEMICONDUCTOR LTD 1,553,786 +197,500 $24,503
     TSEM1,553,786+197,500$24,503
HAVERTY FURNITURE INC 1,437,400 -37,500 $24,479
     HVT1,437,400-37,500$24,479
EVEREST RE GROUP LTD 98,638 -20,400 $24,381
     RE98,638-20,400$24,381
LABORATORY CORP AMER HLDGS 140,900 -263,100 $24,362
     LH140,900-263,100$24,362
EHEALTH INC 282,700 -118,700 $24,340
     EHTH282,700-118,700$24,340
BALCHEM CORP 243,108 -26,500 $24,304
     BCPC243,108-26,500$24,304
MDU RES GROUP INC 941,050 +319,400 $24,279
     MDU941,050+319,400$24,279
ADDUS HOMECARE CORP 323,600 -78,700 $24,254
     ADUS323,600-78,700$24,254
COVANTA HLDG CORP 1,351,016 +323,416 $24,197
     CVA1,351,016+323,416$24,197
THOR INDS INC 412,500 +245,200 $24,111
     THO412,500+245,200$24,111
STATE STR CORP 429,031 +229,000 $24,051
     STT429,031+229,000$24,051
PHIBRO ANIMAL HEALTH CORP 756,500 -22,600 $24,034
     PAHC756,500-22,600$24,034
CARRIAGE SVCS INC 1,259,600 +28,700 $23,945
     CSV1,259,600+28,700$23,945
CENTRAL GARDEN & PET CO 971,300 -44,300 $23,933
     CENTA971,300-44,300$23,933
BHP GROUP PLC 468,100 +395,300 $23,925
     BBL468,100+395,300$23,925
FIRST DEFIANCE FINL CORP 836,700 +33,400 $23,905
     FDEF836,700+33,400$23,905
EATON CORP PLC 286,911 -734,900 $23,894
     ETN286,911-734,900$23,894
TANGER FACTORY OUTLET CTRS I 1,473,816 +453,800 $23,891
     SKT1,473,816+453,800$23,891
UTAH MED PRODS INC 248,514 +10,266 $23,783
     UTMD248,514+10,266$23,783
FIRST BANCORP N C 652,114 +1,300 $23,750
     FBNC652,114+1,300$23,750
FRANKLIN STREET PPTYS CORP 3,216,800 +372,200 $23,740
     FSP3,216,800+372,200$23,740
ANI PHARMACEUTICALS INC 288,100 +88,900 $23,682
     ANIP288,100+88,900$23,682
CARNIVAL CORP 507,900 -9,200 $23,643
     CCL507,900-9,200$23,643
EAST WEST BANCORP INC 505,133 +181,900 $23,625
     EWBC505,133+181,900$23,625
SPECTRUM PHARMACEUTICALS INC 2,726,317 +1,034,135 $23,474
     SPPI2,726,317+1,034,135$23,474
RANGE RES CORP 3,362,229 +3,362,229 $23,468
     RRC3,362,229+3,362,229$23,468
CAMDEN NATL CORP 511,400 +23,451 $23,458
     CAC511,400+23,451$23,458
METHODE ELECTRS INC 816,680 +24,880 $23,333
     MEI816,680+24,880$23,333
MONGODB INC 153,400 -491,700 $23,331
     MDB153,400-491,700$23,331
HUYA INC 942,500 +942,500 $23,289
     HUYA942,500+942,500$23,289
CONFORMIS INC 5,326,383 +1,065,255 $23,223
     CFMS5,326,383+1,065,255$23,223
MODEL N INC 1,189,000 +121,700 $23,186
     MODN1,189,000+121,700$23,186
ENPHASE ENERGY INC 1,270,628 +1,010,100 $23,164
     ENPH1,270,628+1,010,100$23,164
ALGONQUIN PWR UTILS CORP 1,909,751 +259,751 $23,127
     AQN1,909,751+259,751$23,127
INDEPENDENT BANK CORP MICH 1,060,500 -38,200 $23,108
     IBCP1,060,500-38,200$23,108
ON SEMICONDUCTOR CORP 1,142,796 +207,000 $23,096
     ON1,142,796+207,000$23,096
AXA EQUITABLE HLDGS INC 1,099,400 +1,099,400 $22,977
     EQH1,099,400+1,099,400$22,977
TESLA INC 102,675 -364,217 $22,944
     TSLA102,675-364,217$22,944
LINDBLAD EXPEDITIONS HLDGS I 1,276,479 +340,800 $22,913
     LIND1,276,479+340,800$22,913
CHIPMOS TECHNOLOGIES INC 1,487,676 +25,009 $22,880
     IMOS1,487,676+25,009$22,880
CHICOS FAS INC 6,785,100 +492,900 $22,866
     CHS6,785,100+492,900$22,866
BLACKSTONE MTG TR INC 639,280 +83,000 $22,746
     BXMT639,280+83,000$22,746
EPAM SYS INC 131,400 +131,400 $22,745
     EPAM131,400+131,400$22,745
CREDIT ACCEP CORP MICH 47,003 +45,315 $22,741
     CACC47,003+45,315$22,741
AMDOCS LTD 365,800 -419,300 $22,713
     DOX365,800-419,300$22,713
RADNET INC 1,644,703 -203,300 $22,680
     RDNT1,644,703-203,300$22,680
EXTREME NETWORKS INC 3,503,673 +957,610 $22,669
     EXTR3,503,673+957,610$22,669
HAWAIIAN ELEC INDUSTRIES 520,500 -239,900 $22,668
     HE520,500-239,900$22,668
SPOK HLDGS INC 1,506,984 -29,400 $22,665
     SPOK1,506,984-29,400$22,665
HUDBAY MINERALS INC 4,183,209 +1,628,400 $22,631
     HBM4,183,209+1,628,400$22,631
BRIGHTCOVE INC 2,190,351 +19,300 $22,626
     BCOV2,190,351+19,300$22,626
TEXAS INSTRS INC 196,800 -779,700 $22,585
     TXN196,800-779,700$22,585
RESTAURANT BRANDS INTL INC 324,187 -292,900 $22,554
     QSR324,187-292,900$22,554
AMERICA MOVIL SAB DE CV 1,546,974 +247,300 $22,524
     AMX1,546,974+247,300$22,524
MEDPACE HLDGS INC 343,100 +101,000 $22,446
     MEDP343,100+101,000$22,446
BANK OZK 745,497 +224,997 $22,432
     OZK745,497+224,997$22,432
ON DECK CAP INC 5,382,975 +878,100 $22,339
     ONDK5,382,975+878,100$22,339
NIC INC 1,387,732 +549,000 $22,259
     EGOV1,387,732+549,000$22,259
HIBBETT SPORTS INC 1,222,844 +379,300 $22,256
     HIBB1,222,844+379,300$22,256
TEXAS ROADHOUSE INC 414,172 +92,400 $22,229
     TXRH414,172+92,400$22,229
INTUIT 84,748 +84,748 $22,147
     INTU84,748+84,748$22,147
KRATON CORPORATION 712,300 -59,000 $22,131
     KRA712,300-59,000$22,131
LIVE NATION ENTERTAINMENT IN 333,666 -737,900 $22,105
     LYV333,666-737,900$22,105
CITY OFFICE REIT INC 1,839,796 +111,100 $22,059
     CIO1,839,796+111,100$22,059
PHOTRONICS INC 2,686,995 +75,400 $22,033
     PLAB2,686,995+75,400$22,033
UFP TECHNOLOGIES INC 528,256 -5,000 $21,981
     UFPT528,256-5,000$21,981
EASTERLY GOVT PPTYS INC 1,213,587 -366,483 $21,978
     DEA1,213,587-366,483$21,978
FOSSIL GROUP INC 1,910,450 -110,424 $21,970
     FOSL1,910,450-110,424$21,970
RMR GROUP INC 467,116 +156,716 $21,945
     RMR467,116+156,716$21,945
MYERS INDS INC 1,136,200 +221,700 $21,895
     MYE1,136,200+221,700$21,895
WATTS WATER TECHNOLOGIES INC 232,400 -14,200 $21,655
     WTS232,400-14,200$21,655
BANCOLOMBIA S A 423,500 +49,800 $21,615
     CIB423,500+49,800$21,615
VISHAY INTERTECHNOLOGY INC 1,306,300 +440,900 $21,580
     VSH1,306,300+440,900$21,580
MOBILEIRON INC 3,442,940 +687,700 $21,346
     MOBL3,442,940+687,700$21,346
HANESBRANDS INC 1,238,700 +347,900 $21,330
     HBI1,238,700+347,900$21,330
TORCHMARK CORP 238,100 +238,100 $21,300
     TMK238,100+238,100$21,300
CUBESMART 633,600 +45,770 $21,188
     CUBE633,600+45,770$21,188
HOMETRUST BANCSHARES INC (HTBI) 839,515 -27,400 $21,105
     HTBI839,515-27,400$21,105
CENTRAL PAC FINL CORP 703,200 +11,500 $21,068
     CPF703,200+11,500$21,068
LINDSAY CORP 255,600 -121,200 $21,013
     LNN255,600-121,200$21,013
KRONOS WORLDWIDE INC 1,369,500 -144,300 $20,981
     KRO1,369,500-144,300$20,981
ELDORADO GOLD CORP NEW 3,600,533 +1,579,544 $20,955
     EGO3,600,533+1,579,544$20,955
ARROWHEAD PHARMACEUTICALS IN 788,800 +618,400 $20,903
     ARWR788,800+618,400$20,903
VERINT SYS INC 387,270 +301,400 $20,827
     VRNT387,270+301,400$20,827
WESCO INTL INC 411,200 +331,400 $20,827
     WCC411,200+331,400$20,827
ASHFORD HOSPITALITY TR INC 7,010,925 +167,000 $20,822
     AHT7,010,925+167,000$20,822
ATHENE HLDG LTD 483,000 +322,500 $20,798
     ATH483,000+322,500$20,798
DYCOM INDS INC 352,700 +201,100 $20,763
     DY352,700+201,100$20,763
GALLAGHER ARTHUR J & CO 236,700 -130,700 $20,733
     AJG236,700-130,700$20,733
EPR PPTYS 277,600 +32,729 $20,706
     EPR277,600+32,729$20,706
ASCENDIS PHARMA A S 179,799 +91,000 $20,704
     ASND179,799+91,000$20,704
AMERICAN STS WTR CO 275,118 -120,900 $20,700
     AWR275,118-120,900$20,700
C&J ENERGY SVCS INC NEW 1,757,200 +1,051,000 $20,700
     CJ1,757,200+1,051,000$20,700
SOLAREDGE TECHNOLOGIES INC 330,478 -63,222 $20,642
     SEDG330,478-63,222$20,642
KONINKLIJKE PHILIPS N V 474,248 +336,968 $20,613
     PHG474,248+336,968$20,613
CINCINNATI FINL CORP 198,500 +11,000 $20,578
     CINF198,500+11,000$20,578
NEW RELIC INC 236,600 -366,800 $20,468
     NEWR236,600-366,800$20,468
OLIN CORP 932,600 -640,900 $20,433
     OLN932,600-640,900$20,433
CUMMINS INC 119,000 +119,000 $20,389
     CMI119,000+119,000$20,389
TERRITORIAL BANCORP INC 657,700 +3,300 $20,323
     TBNK657,700+3,300$20,323
AMAG PHARMACEUTICALS INC 2,034,200 +87,500 $20,322
     AMAG2,034,200+87,500$20,322
CAESARS ENTMT CORP 1,718,585 +1,718,585 $20,314
     CZR1,718,585+1,718,585$20,314
COLONY CAP INC NEW 4,051,311 +1,309,719 $20,257
     CLNY4,051,311+1,309,719$20,257
LIBERTY TRIPADVISOR HLDGS IN 1,632,021 -19,600 $20,237
     LTRPA1,632,021-19,600$20,237
ATLANTIC UN BANKSHARES CORP (AUB) 572,302 +572,302 $20,219
     AUB572,302+572,302$20,219
SYNOPSYS INC 156,734 -193,600 $20,170
     SNPS156,734-193,600$20,170
VEDANTA LTD 1,980,300 +127,100 $20,140
     VEDL1,980,300+127,100$20,140
MOMENTA PHARMACEUTICALS INC 1,617,290 -93,800 $20,135
     MNTA1,617,290-93,800$20,135
TAPESTRY INC 631,400 +366,900 $20,034
     TPR631,400+366,900$20,034
VIRTUSA CORP 450,800 -24,000 $20,029
     VRTU450,800-24,000$20,029
SUPERNUS PHARMACEUTICALS INC 604,200 +141,900 $19,993
     SUPN604,200+141,900$19,993
NATHANS FAMOUS INC NEW 255,700 -1,200 $19,975
     NATH255,700-1,200$19,975
LUXFER HOLDINGS PLC 813,400 -28,300 $19,945
     LXFR813,400-28,300$19,945
BJS WHSL CLUB HLDGS INC 755,200 +755,200 $19,937
     BJ755,200+755,200$19,937
HANMI FINL CORP 894,557 -53,400 $19,922
     HAFC894,557-53,400$19,922
PLURALSIGHT INC 656,100 +656,100 $19,893
     PS656,100+656,100$19,893
VOYAGER THERAPEUTICS INC 729,801 +237,500 $19,865
     VYGR729,801+237,500$19,865
FIRST INTST BANCSYSTEM INC 500,783 -104,800 $19,836
     FIBK500,783-104,800$19,836
CALIX INC 3,020,718 +37,900 $19,816
     CALX3,020,718+37,900$19,816
CNO FINL GROUP INC 1,187,600 +230,700 $19,809
     CNO1,187,600+230,700$19,809
WENDYS CO 1,010,382 +1,010,382 $19,783
     WEN1,010,382+1,010,382$19,783
ACCURAY INC 5,096,900 -274,723 $19,725
     ARAY5,096,900-274,723$19,725
ENTERPRISE FINL SVCS CORP 473,100 -18,300 $19,681
     EFSC473,100-18,300$19,681
WASHINGTON FED INC 563,000 +29,824 $19,666
     WAFD563,000+29,824$19,666
UMPQUA HLDGS CORP 1,179,988 -67,700 $19,576
     UMPQ1,179,988-67,700$19,576
SANTANDER CONSUMER USA HDG I 816,900 +749,600 $19,573
     SC816,900+749,600$19,573
ANDERSONS INC 716,800 -57,476 $19,526
     ANDE716,800-57,476$19,526
FOSTER L B CO 713,500 +137,100 $19,507
     FSTR713,500+137,100$19,507
PEMBINA PIPELINE CORP 522,064 +126,200 $19,449
     PBA522,064+126,200$19,449
RENASANT CORP 539,439 -32,300 $19,387
     RNST539,439-32,300$19,387
STAR BULK CARRIERS CORP 1,993,426 +145,000 $19,237
     SBLK1,993,426+145,000$19,237
DELUXE CORP 472,505 +120,800 $19,212
     DLX472,505+120,800$19,212
HANOVER INS GROUP INC 148,900 -296,100 $19,104
     THG148,900-296,100$19,104
MEDNAX INC 756,400 +49,700 $19,084
     MD756,400+49,700$19,084
CARETRUST REIT INC 802,100 -195,600 $19,074
     CTRE802,100-195,600$19,074
FEDERAL AGRIC MTG CORP 261,800 -11,100 $19,022
     AGM261,800-11,100$19,022
UNITED CMNTY FINL CORP OHIO 1,983,104 -88,700 $18,978
     UCFC1,983,104-88,700$18,978
ARCH COAL INC 201,300 -75,100 $18,964
     ARCH201,300-75,100$18,964
EMBRAER S A 940,200 +215,700 $18,926
     ERJ940,200+215,700$18,926
FIRST COMWLTH FINL CORP PA 1,403,200 -218,300 $18,901
     FCF1,403,200-218,300$18,901
GASLOG LTD 1,312,500 +21,500 $18,900
     GLOG1,312,500+21,500$18,900
AEROHIVE NETWORKS INC 4,265,120 +183,300 $18,894
     HIVE4,265,120+183,300$18,894
QCR HOLDINGS INC 539,900 -6,700 $18,826
     QCRH539,900-6,700$18,826
FOMENTO ECONOMICO MEXICANO S 194,400 +18,700 $18,808
     FMX194,400+18,700$18,808
UNILEVER N V 309,600 -276,600 $18,799
     UN309,600-276,600$18,799
PERSPECTA INC 803,000 +803,000 $18,798
     PRSP803,000+803,000$18,798
WALGREENS BOOTS ALLIANCE INC 343,500 +82,800 $18,779
     WBA343,500+82,800$18,779
HANCOCK WHITNEY CORPORATION 466,750 -3,500 $18,698
     HWC466,750-3,500$18,698
HEXCEL CORP NEW 230,700 +96,000 $18,659
     HXL230,700+96,000$18,659
NISOURCE INC 647,200 +464,600 $18,639
     NI647,200+464,600$18,639
SP PLUS CORP 583,700 +49,489 $18,638
     SP583,700+49,489$18,638
R1 RCM INC 1,477,146 -1,135,022 $18,582
     RCM1,477,146-1,135,022$18,582
BARCLAYS PLC 2,436,400 +1,394,500 $18,541
     BCS2,436,400+1,394,500$18,541
CONNECTICUT WTR SVC INC 265,400 +17,200 $18,504
     CTWS265,400+17,200$18,504
AUTODESK INC 113,368 -174,900 $18,468
     ADSK113,368-174,900$18,468
URBAN EDGE PPTYS 1,063,300 +138,100 $18,427
     UE1,063,300+138,100$18,427
HACKETT GROUP INC 1,094,244 +38,800 $18,372
     HCKT1,094,244+38,800$18,372
DIAMOND HILL INVESTMENT GROU 129,486 +7,753 $18,351
     DHIL129,486+7,753$18,351
SCHNEIDER NATIONAL INC 1,003,600 +281,700 $18,306
     SNDR1,003,600+281,700$18,306
DESCARTES SYS GROUP INC 494,800 -21,300 $18,284
     DSGX494,800-21,300$18,284
PREFERRED BK LOS ANGELES CA 384,455 +9,200 $18,165
     PFBC384,455+9,200$18,165
SUN LIFE FINL INC 438,500 +145,900 $18,136
     SLF438,500+145,900$18,136
STONERIDGE INC 572,919 -54,400 $18,076
     SRI572,919-54,400$18,076
TTEC HLDGS INC 387,900 +4,800 $18,072
     TTEC387,900+4,800$18,072
LIBERTY PPTY TR 361,000 +154,100 $18,064
     LPT361,000+154,100$18,064
CAPSTEAD MTG CORP 2,162,900 +33,900 $18,060
     CMO2,162,900+33,900$18,060
WARRIOR MET COAL INC 691,300 +531,600 $18,057
     HCC691,300+531,600$18,057
BOEING CO 49,600 -180,600 $18,055
     BA49,600-180,600$18,055
ANIKA THERAPEUTICS INC 444,222 +78,812 $18,044
     ANIK444,222+78,812$18,044
QURATE RETAIL INC 1,456,261 +787,000 $18,043
     QRTEA1,456,261+787,000$18,043
UNITED STATES LIME & MINERAL 225,260 +915 $18,021
     USLM225,260+915$18,021
POPULAR INC 331,895 -433,675 $18,002
     BPOP331,895-433,675$18,002
REGENXBIO INC 350,441 -519,300 $18,002
     RGNX350,441-519,300$18,002
HORIZON BANCORP INC 1,101,104 +66,595 $17,992
     HBNC1,101,104+66,595$17,992
MATERION CORP 264,800 +93,300 $17,956
     MTRN264,800+93,300$17,956
SS&C TECHNOLOGIES HLDGS INC 311,600 +311,600 $17,951
     SSNC311,600+311,600$17,951
V F CORP 205,500 -687,200 $17,950
     VFC205,500-687,200$17,950
KEMPER CORP DEL 207,846 -114,100 $17,935
     KMPR207,846-114,100$17,935
AMERICAN WTR WKS CO INC NEW 154,200 -674,400 $17,887
     AWK154,200-674,400$17,887
INTERNATIONAL GAME TECHNOLOG 1,376,700 +1,356,400 $17,856
     IGT1,376,700+1,356,400$17,856
CRA INTL INC 465,731 -27,000 $17,851
     CRAI465,731-27,000$17,851
INOGEN INC 266,423 -2,777 $17,786
     INGN266,423-2,777$17,786
FLAGSTAR BANCORP INC 536,161 +38,812 $17,768
     FBC536,161+38,812$17,768
AMKOR TECHNOLOGY INC 2,380,300 +1,107,105 $17,757
     AMKR2,380,300+1,107,105$17,757
SYKES ENTERPRISES INC 644,077 +2,504 $17,686
     SYKE644,077+2,504$17,686
POWELL INDS INC 464,334 +53,734 $17,645
     POWL464,334+53,734$17,645
CAROLINA FINL CORP NEW 501,816 -1,300 $17,609
     CARO501,816-1,300$17,609
EMPLOYERS HOLDINGS INC 416,300 +81,400 $17,597
     EIG416,300+81,400$17,597
HILLTOP HOLDINGS INC 826,584 +259,600 $17,581
     HTH826,584+259,600$17,581
RETAIL OPPORTUNITY INVTS COR 1,025,200 +634,000 $17,562
     ROIC1,025,200+634,000$17,562
ASSERTIO THERAPEUTICS INC 5,088,689 -92,738 $17,556
     ASRT5,088,689-92,738$17,556
BANCO MACRO SA 239,700 +239,700 $17,462
     BMA239,700+239,700$17,462
TURNING PT BRANDS INC 355,843 -110,500 $17,429
     TPB355,843-110,500$17,429
LEXINFINTECH HLDGS LTD 1,558,528 +1,146,514 $17,393
     LX1,558,528+1,146,514$17,393
HABIT RESTAURANTS INC 1,657,516 +185,157 $17,387
     HABT1,657,516+185,157$17,387
TOMPKINS FINANCIAL CORPORATI 212,922 +24,930 $17,374
     TMP212,922+24,930$17,374
MONOTYPE IMAGING HOLDINGS IN 1,030,951 +24,400 $17,361
     TYPE1,030,951+24,400$17,361
REVANCE THERAPEUTICS INC 1,330,973 +428,900 $17,263
     RVNC1,330,973+428,900$17,263
PACKAGING CORP AMER 181,100 +181,100 $17,262
     PKG181,100+181,100$17,262
WABASH NATL CORP 1,060,200 +391,900 $17,249
     WNC1,060,200+391,900$17,249
EVERBRIDGE INC 192,000 +67,500 $17,169
     EVBG192,000+67,500$17,169
INTL PAPER CO 395,800 +386,900 $17,146
     IP395,800+386,900$17,146
INSULET CORP 143,400 +143,400 $17,119
     PODD143,400+143,400$17,119
EXTENDED STAY AMER INC 1,012,600 -74,600 $17,103
     STAY1,012,600-74,600$17,103
ETHAN ALLEN INTERIORS INC 810,300 -97,900 $17,065
     ETH810,300-97,900$17,065
SCHWEITZER MAUDUIT INTL INC 512,600 +125,300 $17,008
     SWM512,600+125,300$17,008
WYNN RESORTS LTD 137,175 -335,625 $17,008
     WYNN137,175-335,625$17,008
EZCORP INC 1,794,921 +554,121 $16,998
     EZPW1,794,921+554,121$16,998
LIBERTY EXPEDIA HLDGS INC 355,600 +32,300 $16,994
     LEXEA355,600+32,300$16,994
EMBOTELLADORA ANDINA S A      $16,972
     AKO.B653,300+6,400$14,046
     AKO.A154,800+300$2,926
GREAT SOUTHN BANCORP INC 283,400 +5,000 $16,961
     GSBC283,400+5,000$16,961
COMMERCIAL VEH GROUP INC 2,109,700 +279,300 $16,920
     CVGI2,109,700+279,300$16,920
HUBBELL INC 129,700 -65,700 $16,913
     HUBB129,700-65,700$16,913
MASTERCRAFT BOAT HLDGS INC 863,100 -189,800 $16,908
     MCFT863,100-189,800$16,908
CHERRY HILL MTG INVT CORP 1,056,052 -236,448 $16,897
     CHMI1,056,052-236,448$16,897
IMAX CORP 835,600 +379,000 $16,879
     IMAX835,600+379,000$16,879
GRANITE REAL ESTATE INVT TR      $16,866
     GRP.U366,700+6,353$16,866
AEROVIRONMENT INC 296,336 +136,700 $16,823
     AVAV296,336+136,700$16,823
AMBARELLA INC 380,000 +116,600 $16,769
     AMBA380,000+116,600$16,769
SMUCKER J M CO 145,403 +145,403 $16,749
     SJM145,403+145,403$16,749
IDT CORP 1,765,406 +116,209 $16,718
     IDT1,765,406+116,209$16,718
PEOPLES BANCORP INC 518,179 -6,300 $16,716
     PEBO518,179-6,300$16,716
CORE MARK HOLDING CO INC 420,402 +149,402 $16,698
     CORE420,402+149,402$16,698
DOMTAR CORP 374,942 +26,800 $16,695
     UFS374,942+26,800$16,695
UNIVAR INC 756,702 +625,169 $16,678
     UNVR756,702+625,169$16,678
CBIZ INC 848,226 +8,800 $16,617
     CBZ848,226+8,800$16,617
PTC THERAPEUTICS INC 369,060 -538,240 $16,608
     PTCT369,060-538,240$16,608
LANDSTAR SYS INC 152,840 +140,400 $16,505
     LSTR152,840+140,400$16,505
CPFL ENERGIA S A 1,056,311 +21,125 $16,500
     CPL1,056,311+21,125$16,500
CORNERSTONE BLDG BRANDS INC 2,824,600 +2,824,600 $16,467
     CNR2,824,600+2,824,600$16,467
DSP GROUP INC 1,143,494 +41,200 $16,421
     DSPG1,143,494+41,200$16,421
AGNC INVT CORP 975,629 -5,404,000 $16,410
     AGNC975,629-5,404,000$16,410
QUANEX BUILDING PRODUCTS COR 868,200 +75,600 $16,400
     NX868,200+75,600$16,400
GLOBAL CORD BLOOD CORPORATIO 2,826,896 +29,396 $16,339
     CO2,826,896+29,396$16,339
CAMTEK LTD 1,933,465 +105,365 $16,338
     CAMT1,933,465+105,365$16,338
OSISKO GOLD ROYALTIES LTD 1,564,085 +268,985 $16,329
     OR1,564,085+268,985$16,329
TRIMAS CORP 523,900 +71,400 $16,225
     TRS523,900+71,400$16,225
VILLAGE SUPER MKT INC 611,900 +36,700 $16,221
     VLGEA611,900+36,700$16,221
BOOT BARN HLDGS INC 454,200 +425,100 $16,188
     BOOT454,200+425,100$16,188
CONSOL ENERGY INC NEW 608,200 +189,600 $16,184
     CEIX608,200+189,600$16,184
COMERICA INC 222,042 +173,895 $16,129
     CMA222,042+173,895$16,129
CIENA CORP 390,074 -1,208,200 $16,044
     CIEN390,074-1,208,200$16,044
TITAN INTL INC ILL 3,280,300 +109,100 $16,041
     TWI3,280,300+109,100$16,041
NEWMARKET CORP 40,000 +13,200 $16,038
     NEU40,000+13,200$16,038
WESTERN NEW ENG BANCORP INC 1,713,327 +28,118 $16,002
     WNEB1,713,327+28,118$16,002
BANKUNITED INC 473,900 -226,300 $15,989
     BKU473,900-226,300$15,989
ICICI BK LTD 1,269,950 +1,269,950 $15,989
     IBN1,269,950+1,269,950$15,989
SIMULATIONS PLUS INC 558,100 -46,400 $15,939
     SLP558,100-46,400$15,939
BERKSHIRE HILLS BANCORP INC 506,823 +12,823 $15,909
     BHLB506,823+12,823$15,909
IDEX CORP 92,225 +92,225 $15,876
     IEX92,225+92,225$15,876
EVOLUTION PETROLEUM CORP 2,211,488 +121,000 $15,812
     EPM2,211,488+121,000$15,812
RITCHIE BROS AUCTIONEERS 475,700 -133,400 $15,803
     RBA475,700-133,400$15,803
REALTY INCOME CORP 229,069 +131,469 $15,799
     O229,069+131,469$15,799
CYTOMX THERAPEUTICS INC 1,407,000 +116,400 $15,787
     CTMX1,407,000+116,400$15,787
BERRY GLOBAL GROUP INC 299,937 -633,800 $15,774
     BERY299,937-633,800$15,774
MITSUBISHI UFJ FINL GROUP IN 3,315,700 +2,534,800 $15,750
     MUFG3,315,700+2,534,800$15,750
KILROY RLTY CORP 212,900 -98,639 $15,714
     KRC212,900-98,639$15,714
HARTFORD FINL SVCS GROUP INC 281,022 -413,500 $15,659
     HIG281,022-413,500$15,659
ENDURANCE INTL GROUP HLDGS I 3,252,979 +201,500 $15,614
     EIGI3,252,979+201,500$15,614
NEXTERA ENERGY INC 76,100 +68,500 $15,590
     NEE76,100+68,500$15,590
BELDEN INC 261,593 +243,993 $15,583
     BDC261,593+243,993$15,583
SERVICEMASTER GLOBAL HLDGS I 298,400 -45,400 $15,544
     SERV298,400-45,400$15,544
WHITESTONE REIT 1,219,100 +31,100 $15,470
     COM1,219,100+31,100$15,470
INGREDION INC 187,500 -130,200 $15,467
     INGR187,500-130,200$15,467
GRUPO AEROPORTUARIO DEL SURE 95,399 +20,744 $15,465
     ASR95,399+20,744$15,465
RAFAEL HLDGS INC 537,547 -38,780 $15,454
     RFL537,547-38,780$15,454
COLLECTORS UNIVERSE INC 722,038 -4,825 $15,408
     CLCT722,038-4,825$15,408
SINOVAC BIOTECH LTD 2,375,841 UNCH $15,372
     SVA2,375,841UNCH$15,372
MUELLER WTR PRODS INC 1,564,300 -160,900 $15,361
     MWA1,564,300-160,900$15,361
MANHATTAN ASSOCS INC 221,260 -60,100 $15,340
     MANH221,260-60,100$15,340
FRESHPET INC 336,200 -44,900 $15,300
     FRPT336,200-44,900$15,300
GREAT WESTN BANCORP INC 427,711 +67,156 $15,278
     GWB427,711+67,156$15,278
FIRST BANCORP P R 1,383,413 +378,300 $15,273
     FBP1,383,413+378,300$15,273
COHU INC 988,254 +296,300 $15,249
     COHU988,254+296,300$15,249
REGAL BELOIT CORP 186,600 +595 $15,247
     RBC186,600+595$15,247
SPIRIT AEROSYSTEMS HLDGS INC 187,300 +187,300 $15,241
     SPR187,300+187,300$15,241
COCA COLA CO 299,000 -3,305,800 $15,225
     KO299,000-3,305,800$15,225
EURONAV NV ANTWERPEN 1,615,704 +1,153,365 $15,202
     EURN1,615,704+1,153,365$15,202
NACCO INDS INC 292,490 +28,544 $15,192
     NC292,490+28,544$15,192
ELBIT SYS LTD 101,400 +2,700 $15,160
     ESLT101,400+2,700$15,160
QUDIAN INC 2,017,900 +1,527,000 $15,134
     QD2,017,900+1,527,000$15,134
WISDOMTREE INVTS INC 2,452,602 +108,502 $15,133
     WETF2,452,602+108,502$15,133
A10 NETWORKS INC 2,218,700 +92,200 $15,132
     ATEN2,218,700+92,200$15,132
COEUR MNG INC 3,484,428 +976,400 $15,122
     CDE3,484,428+976,400$15,122
SIBANYE STILLWATER 3,168,130 -764,877 $15,049
     SBGL3,168,130-764,877$15,049
JACK IN THE BOX INC 184,700 +30,300 $15,033
     JACK184,700+30,300$15,033
PRICE T ROWE GROUP INC 136,961 -1,084,439 $15,026
     TROW136,961-1,084,439$15,026
IMMUNOGEN INC 6,922,640 -121,000 $15,022
     IMGN6,922,640-121,000$15,022
AMBER RD INC 1,149,600 +110,500 $15,014
     AMBR1,149,600+110,500$15,014
TECHTARGET INC 706,400 +30,996 $15,011
     TTGT706,400+30,996$15,011
CHINA LIFE INS CO LTD 1,212,835 +186,200 $15,003
     LFC1,212,835+186,200$15,003
SEASPAN CORP 1,528,600 +642,800 $14,996
     SSW1,528,600+642,800$14,996
VERACYTE INC 525,500 +70,700 $14,982
     VCYT525,500+70,700$14,982
FRONTLINE LTD 1,865,252 +668,023 $14,971
     FRO1,865,252+668,023$14,971
INDEPENDENT BK GROUP INC 271,009 -23,057 $14,895
     IBTX271,009-23,057$14,895
CIVEO CORP CDA 8,650,000 -97,900 $14,878
     CVEO8,650,000-97,900$14,878
1ST SOURCE CORP 319,214 +33,500 $14,812
     SRCE319,214+33,500$14,812
CONTROL4 CORP 619,900 +7,200 $14,723
     CTRL619,900+7,200$14,723
WRIGHT MED GROUP N V 493,207 -462,700 $14,707
     WMGI493,207-462,700$14,707
LIVERAMP HLDGS INC 302,078 +302,078 $14,645
     RAMP302,078+302,078$14,645
GOLAR LNG LTD BERMUDA 791,492 -648,800 $14,627
     GLNG791,492-648,800$14,627
LIFEVANTAGE CORP 1,123,748 +18,343 $14,586
     LFVN1,123,748+18,343$14,586
BHP GROUP LTD 250,800 +250,800 $14,574
     BHP250,800+250,800$14,574
HIGHPOINT RES CORP 8,001,405 -88,900 $14,563
     HPR8,001,405-88,900$14,563
BOK FINL CORP 191,679 +19,800 $14,468
     BOKF191,679+19,800$14,468
BANCFIRST CORP 259,888 -33,600 $14,465
     BANF259,888-33,600$14,465
TENNECO INC 1,303,600 +1,079,777 $14,457
     TEN1,303,600+1,079,777$14,457
BANK AMER CORP 498,066 +498,066 $14,444
     BAC498,066+498,066$14,444
POLYONE CORP 460,158 +262,700 $14,444
     POL460,158+262,700$14,444
GREAT LAKES DREDGE & DOCK CO 1,302,200 +629,700 $14,376
     GLDD1,302,200+629,700$14,376
GROUPON INC 4,005,605 +4,005,605 $14,340
     GRPN4,005,605+4,005,605$14,340
TC ENERGY CORP 289,400 +284,500 $14,331
     TRP289,400+284,500$14,331
OLD SECOND BANCORP INC ILL 1,120,425 +18,500 $14,308
     OSBC1,120,425+18,500$14,308
CHINA SOUTHN AIRLS LTD 417,000 +4,900 $14,307
     ZNH417,000+4,900$14,307
ASHLAND GLOBAL HLDGS INC 178,775 -331,300 $14,297
     ASH178,775-331,300$14,297
BANKFINANCIAL CORP 1,021,800 +39,200 $14,295
     BFIN1,021,800+39,200$14,295
LIQUIDITY SERVICES INC 2,344,854 +42,515 $14,280
     LQDT2,344,854+42,515$14,280
ARTESIAN RESOURCES CORP 383,300 +10,600 $14,247
     ARTNA383,300+10,600$14,247
LAKELAND BANCORP INC 881,600 +54,200 $14,238
     LBAI881,600+54,200$14,238
EMC INS GROUP INC 394,865 +41,892 $14,227
     EMCI394,865+41,892$14,227
ITRON INC 226,861 +31,861 $14,195
     ITRI226,861+31,861$14,195
MASONITE INTL CORP NEW 269,300 +61,000 $14,187
     DOOR269,300+61,000$14,187
CLARUS CORP NEW 980,941 +28,900 $14,165
     CLAR980,941+28,900$14,165
SAREPTA THERAPEUTICS INC 92,878 +92,878 $14,113
     SRPT92,878+92,878$14,113
FIRST LONG IS CORP 701,681 +31,500 $14,090
     FLIC701,681+31,500$14,090
COMMUNITY TR BANCORP INC 330,782 +9,200 $13,989
     CTBI330,782+9,200$13,989
PAYLOCITY HLDG CORP 148,900 +95,100 $13,970
     PCTY148,900+95,100$13,970
TPG RE FIN TR INC 723,400 +189,600 $13,954
     TRTX723,400+189,600$13,954
NABORS INDUSTRIES LTD 4,798,418 +4,770,018 $13,915
     NBR4,798,418+4,770,018$13,915
HOLOGIC INC 289,318 +289,318 $13,893
     HOLX289,318+289,318$13,893
US BANCORP DEL 265,100 -1,144,109 $13,891
     USB265,100-1,144,109$13,891
CEMEX SAB DE CV 3,271,300 +1,526,100 $13,870
     CX3,271,300+1,526,100$13,870
CULP INC 729,600 +8,100 $13,862
     CULP729,600+8,100$13,862
SVMK INC 839,600 +839,600 $13,862
     SVMK839,600+839,600$13,862
HERITAGE CRYSTAL CLEAN INC 526,708 +22,508 $13,858
     HCCI526,708+22,508$13,858
HUNTINGTON INGALLS INDS INC 61,600 -178,900 $13,844
     HII61,600-178,900$13,844
COMPANHIA SIDERURGICA NACION 3,203,700 -333,000 $13,808
     SID3,203,700-333,000$13,808
VIPSHOP HLDGS LTD 1,599,400 +1,599,400 $13,803
     VIPS1,599,400+1,599,400$13,803
RAVEN INDS INC 384,116 +102,716 $13,782
     RAVN384,116+102,716$13,782
FIRST CTZNS BANCSHARES INC N (FCNCA) 30,600 +23,900 $13,778
     FCNCA30,600+23,900$13,778
LINCOLN ELEC HLDGS INC 167,138 -9,000 $13,759
     LECO167,138-9,000$13,759
ENDEAVOUR SILVER CORP 6,685,225 +1,040,000 $13,705
     EXK6,685,225+1,040,000$13,705
TAKEDA PHARMACEUTICAL CO LTD 773,800 +773,800 $13,696
     TAK773,800+773,800$13,696
HARMONY GOLD MNG LTD 6,029,521 +1,073,121 $13,687
     HMY6,029,521+1,073,121$13,687
RELIANCE STEEL & ALUMINUM CO 144,512 +144,512 $13,674
     RS144,512+144,512$13,674
LIBERTY MEDIA CORP DELAWARE 380,225 +112,700 $13,635
     FWONA380,225+112,700$13,635
CHEMOCENTRYX INC 1,465,381 +332,127 $13,628
     CCXI1,465,381+332,127$13,628
HERC HLDGS INC 296,600 +135,800 $13,593
     HRI296,600+135,800$13,593
VERA BRADLEY INC 1,132,300 -167,700 $13,588
     VRA1,132,300-167,700$13,588
CRAWFORD & CO      $13,586
     CRD.B804,617+27,800$7,491
     CRD.A578,805+36,285$6,095
ISHARES TR (IYR) 155,600 +135,000 $13,585
     IYR155,600+135,000$13,585
UNIQURE NV 173,700 +99,300 $13,575
     QURE173,700+99,300$13,575
ZAI LAB LTD 388,531 +220,731 $13,548
     ZLAB388,531+220,731$13,548
RADIAN GROUP INC 592,200 -111,500 $13,532
     RDN592,200-111,500$13,532
LATAM AIRLS GROUP S A 1,443,090 +78,500 $13,522
     LTM1,443,090+78,500$13,522
CINTAS CORP 56,868 +56,868 $13,494
     CTAS56,868+56,868$13,494
CULLEN FROST BANKERS INC 144,000 -31,400 $13,487
     CFR144,000-31,400$13,487
CUTERA INC 648,600 +44,600 $13,478
     CUTR648,600+44,600$13,478
ANAPLAN INC 266,900 +266,900 $13,470
     PLAN266,900+266,900$13,470
BRITISH AMERN TOB PLC 385,334 +196,100 $13,437
     BTI385,334+196,100$13,437
VEON LTD 4,765,370 +3,940,770 $13,343
     VEON4,765,370+3,940,770$13,343
PIMCO ETF TR (MINT) 130,500 +31,000 $13,278
     MINT130,500+31,000$13,278
AURORA CANNABIS INC 1,693,900 +905,305 $13,271
     ACB1,693,900+905,305$13,271
OFFICE DEPOT INC 6,434,065 +443,371 $13,254
     ODP6,434,065+443,371$13,254
ASGN INC 218,394 +1,000 $13,235
     ASGN218,394+1,000$13,235
NEW GOLD INC CDA 13,764,730 +4,249,390 $13,232
     NGD13,764,730+4,249,390$13,232
CENTRAL GARDEN & PET CO 490,500 -124,400 $13,219
     CENT490,500-124,400$13,219
OIL DRI CORP AMER 388,204 +2,100 $13,214
     ODC388,204+2,100$13,214
NUTANIX INC 508,696 -166,530 $13,196
     NTNX508,696-166,530$13,196
FLUSHING FINL CORP 593,860 +25,200 $13,184
     FFIC593,860+25,200$13,184
GLAUKOS CORP 174,400 +86,405 $13,150
     GKOS174,400+86,405$13,150
TRUSTCO BK CORP N Y 1,659,300 +2,200 $13,142
   &nbs