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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 3,445,036 -1,293,257 $1,295,471
     MSFT3,445,036-1,293,257$1,295,471
NVIDIA CORPORATION 1,406,866 -720,974 $696,708
     NVDA1,406,866-720,974$696,708
VISA INC 2,199,801 -807,966 $572,718
     V2,199,801-807,966$572,718
META PLATFORMS INC 1,108,979 -818,260 $392,534
     META1,108,979-818,260$392,534
UNITEDHEALTH GROUP INC 692,143 -207,856 $364,393
     UNH692,143-207,856$364,393
COSTCO WHSL CORP NEW 478,427 -186,104 $315,800
     COST478,427-186,104$315,800
JPMORGAN CHASE & CO 1,784,592 +477,616 $303,559
     JPM1,784,592+477,616$303,559
TESLA INC 1,026,786 -256,306 $255,136
     TSLA1,026,786-256,306$255,136
MARSH & MCLENNAN COS INC 1,310,685 -333,120 $248,335
     MMC1,310,685-333,120$248,335
LULULEMON ATHLETICA INC 477,219 -181,451 $243,997
     LULU477,219-181,451$243,997
ELI LILLY & CO 412,863 -414,209 $240,666
     LLY412,863-414,209$240,666
THERMO FISHER SCIENTIFIC INC 440,404 +1,617 $233,762
     TMO440,404+1,617$233,762
LINDE PLC 538,718 -166,985 $221,257
     LIN538,718-166,985$221,257
MASTERCARD INCORPORATED 486,340 -192,426 $207,429
     MA486,340-192,426$207,429
NETFLIX INC 419,136 -202,764 $204,069
     NFLX419,136-202,764$204,069
TRANE TECHNOLOGIES PLC 798,671 -616,902 $194,796
     TT798,671-616,902$194,796
NIKE INC 1,621,834 -420,552 $176,083
     NKE1,621,834-420,552$176,083
MERCK & CO INC 1,580,726 -1,568,082 $172,331
     MRK1,580,726-1,568,082$172,331
HOME DEPOT INC 483,389 +33,986 $167,518
     HD483,389+33,986$167,518
MERCADOLIBRE INC 106,366 -55,230 $167,158
     MELI106,366-55,230$167,158
ICICI BANK LIMITED 7,002,937 -5,351,915 $166,950
     IBN7,002,937-5,351,915$166,950
CISCO SYS INC 3,291,010 -3,914,624 $166,262
     CSCO3,291,010-3,914,624$166,262
SALESFORCE INC 630,583 -333,223 $165,932
     CRM630,583-333,223$165,932
S&P GLOBAL INC 372,592 -30,279 $164,134
     SPGI372,592-30,279$164,134
INTUIT 261,596 -86,878 $163,505
     INTU261,596-86,878$163,505
GILEAD SCIENCES INC 1,931,322 -1,813,174 $156,456
     GILD1,931,322-1,813,174$156,456
CHENIERE ENERGY INC 905,569 -234,779 $154,590
     LNG905,569-234,779$154,590
PDD HOLDINGS INC 1,029,439 -2,322,476 $150,617
     PDD1,029,439-2,322,476$150,617
VIPSHOP HLDGS LTD 7,741,771 -3,998,026 $137,494
     VIPS7,741,771-3,998,026$137,494
ITAU UNIBANCO HLDG S A 18,947,421 -10,340,549 $131,685
     ITUB18,947,421-10,340,549$131,685
FORTINET INC 2,166,994 -1,409,230 $126,834
     FTNT2,166,994-1,409,230$126,834
CHUBB LIMITED 550,719 -525,492 $124,462
     CB550,719-525,492$124,462
SCHLUMBERGER LTD 2,362,015 -612,972 $122,919
     SLB2,362,015-612,972$122,919
NU HLDGS LTD 14,730,382 -1,470,999 $122,704
     NU14,730,382-1,470,999$122,704
MCDONALDS CORP 412,352 -329,501 $122,266
     MCD412,352-329,501$122,266
EXXON MOBIL CORP 1,177,773 -843,572 $117,754
     XOM1,177,773-843,572$117,754
ORACLE CORP 1,085,077 -840,853 $114,400
     ORCL1,085,077-840,853$114,400
DEERE & CO 276,205 -90,908 $110,446
     DE276,205-90,908$110,446
TELEFONICA BRASIL SA 9,311,255 -4,681,358 $101,865
     VIV9,311,255-4,681,358$101,865
VERTEX PHARMACEUTICALS INC 245,188 -187,749 $99,765
     VRTX245,188-187,749$99,765
IDEXX LABS INC 179,029 -97,873 $99,370
     IDXX179,029-97,873$99,370
DR REDDYS LABS LTD 1,367,899 -305,227 $95,178
     RDY1,367,899-305,227$95,178
INTERNATIONAL BUSINESS MACHS 567,476 -515,076 $92,811
     IBM567,476-515,076$92,811
ZOETIS INC 464,407 -201,869 $91,660
     ZTS464,407-201,869$91,660
INFOSYS LTD 4,901,831 -4,903,338 $90,096
     INFY4,901,831-4,903,338$90,096
ELEVANCE HEALTH INC 187,750 -46,593 $88,535
     ELV187,750-46,593$88,535
ELECTRONIC ARTS INC 647,098 -189,743 $88,529
     EA647,098-189,743$88,529
PALO ALTO NETWORKS INC 288,435 -276,990 $85,054
     PANW288,435-276,990$85,054
CROWN HLDGS INC 842,540 -168,521 $77,590
     CCK842,540-168,521$77,590
COCA COLA CO 1,275,379 -881,478 $75,158
     KO1,275,379-881,478$75,158
COLGATE PALMOLIVE CO 931,074 -537,302 $74,216
     CL931,074-537,302$74,216
IQIYI INC 14,610,952 -2,745,787 $71,301
     IQ14,610,952-2,745,787$71,301
ROPER TECHNOLOGIES INC 130,180 +13,914 $70,970
     ROP130,180+13,914$70,970
MCKESSON CORP 150,951 -267,524 $69,887
     MCK150,951-267,524$69,887
THE CIGNA GROUP 225,017 -250,564 $67,381
     CI225,017-250,564$67,381
MOTOROLA SOLUTIONS INC 213,546 -195,957 $66,859
     MSI213,546-195,957$66,859
WATERS CORP 200,705 +183,916 $66,078
     WAT200,705+183,916$66,078
GRAINGER W W INC 78,026 -122,227 $64,659
     GWW78,026-122,227$64,659
CHEVRON CORP NEW 426,771 -379,887 $63,657
     CVX426,771-379,887$63,657
OREILLY AUTOMOTIVE INC 65,876 -101,910 $62,587
     ORLY65,876-101,910$62,587
COCA COLA FEMSA SAB DE CV 661,306 -312,244 $62,586
     KOF661,306-312,244$62,586
PACCAR INC 632,890 -917,840 $61,802
     PCAR632,890-917,840$61,802
SYNOPSYS INC 118,494 -161,846 $61,014
     SNPS118,494-161,846$61,014
PFIZER INC 2,109,572 -2,221,649 $60,735
     PFE2,109,572-2,221,649$60,735
INTUITIVE SURGICAL INC 179,299 -61,089 $60,488
     ISRG179,299-61,089$60,488
GOLDMAN SACHS GROUP INC 152,818 -126,528 $58,953
     GS152,818-126,528$58,953
MARATHON PETE CORP 389,638 -476,712 $57,807
     MPC389,638-476,712$57,807
EQUINIX INC 71,521 +13,015 $57,602
     EQIX71,521+13,015$57,602
PROLOGIS INC. 431,171 -49,351 $57,475
     PLD431,171-49,351$57,475
CITIGROUP INC 1,112,187 -922,491 $57,211
     C1,112,187-922,491$57,211
VERISK ANALYTICS INC 238,741 -49,064 $57,026
     VRSK238,741-49,064$57,026
INTERCONTINENTAL EXCHANGE IN (ICE) 439,759 -291,659 $56,478
     ICE439,759-291,659$56,478
REGENERON PHARMACEUTICALS 64,232 -51,301 $56,414
     REGN64,232-51,301$56,414
VERIZON COMMUNICATIONS INC 1,495,517 -626,434 $56,381
     VZ1,495,517-626,434$56,381
EBAY INC. 1,272,496 -1,031,819 $55,506
     EBAY1,272,496-1,031,819$55,506
SERVICENOW INC 77,289 -42,594 $54,604
     NOW77,289-42,594$54,604
PAYPAL HLDGS INC 873,149 -248,596 $53,620
     PYPL873,149-248,596$53,620
CHIPOTLE MEXICAN GRILL INC 23,175 -8,526 $53,000
     CMG23,175-8,526$53,000
FOMENTO ECONOMICO MEXICANO S 385,622 -350,254 $50,266
     FMX385,622-350,254$50,266
GENERAL MLS INC 764,622 -945,179 $49,807
     GIS764,622-945,179$49,807
COMCAST CORP NEW 1,122,645 -794,213 $49,228
     CMCSA1,122,645-794,213$49,228
LENNAR CORP 325,415 -505,067 $48,500
     LEN325,415-505,067$48,500
PAYCHEX INC 406,193 -330,672 $48,382
     PAYX406,193-330,672$48,382
HEWLETT PACKARD ENTERPRISE C 2,841,331 -3,612,095 $48,246
     HPE2,841,331-3,612,095$48,246
KROGER CO 1,023,318 -1,546,436 $46,776
     KR1,023,318-1,546,436$46,776
PETROLEO BRASILEIRO SA PETRO      $46,157
     PBR1,533,525-4,760,894$24,490
     PBR.A14,139,411-4,061,551$21,667
PULTE GROUP INC 446,340 -792,795 $46,071
     PHM446,340-792,795$46,071
DELL TECHNOLOGIES INC 599,333 +79,488 $45,849
     DELL599,333+79,488$45,849
HERSHEY CO 243,983 -251,592 $45,488
     HSY243,983-251,592$45,488
MSCI INC 80,320 -41,289 $45,433
     MSCI80,320-41,289$45,433
NASDAQ INC 763,705 +170,942 $44,402
     NDAQ763,705+170,942$44,402
SYNCHRONY FINANCIAL 1,154,510 -947,528 $44,091
     SYF1,154,510-947,528$44,091
LYONDELLBASELL INDUSTRIES N 459,403 -30,527 $43,680
     LYB459,403-30,527$43,680
QUALCOMM INC 300,973 -231,442 $43,530
     QCOM300,973-231,442$43,530
HUMANA INC 92,449 -100,323 $42,324
     HUM92,449-100,323$42,324
SMUCKER J M CO 334,819 -215,887 $42,314
     SJM334,819-215,887$42,314
INTEL CORP 836,574 -128,725 $42,038
     INTC836,574-128,725$42,038
NVR INC 5,860 -12,023 $41,023
     NVR5,860-12,023$41,023
FAIR ISAAC CORP 34,592 -60,880 $40,265
     FICO34,592-60,880$40,265
CONSOLIDATED EDISON INC 427,107 -363,257 $38,854
     ED427,107-363,257$38,854
QUEST DIAGNOSTICS INC 281,657 -223,894 $38,835
     DGX281,657-223,894$38,835
GENERAL ELECTRIC CO 302,037 -281,958 $38,549
     GE302,037-281,958$38,549
STATE STR CORP 491,556 -234,886 $38,076
     STT491,556-234,886$38,076
UBER TECHNOLOGIES INC 608,649 -426,682 $37,475
     UBER608,649-426,682$37,475
INCYTE CORP 586,653 -287,287 $36,836
     INCY586,653-287,287$36,836
JUNIPER NETWORKS INC 1,241,761 -1,336,390 $36,607
     JNPR1,241,761-1,336,390$36,607
DOORDASH INC 368,950 -62,085 $36,485
     DASH368,950-62,085$36,485
RELIANCE STEEL & ALUMINUM CO 128,999 -147,819 $36,078
     RS128,999-147,819$36,078
WORKDAY INC 130,252 -108,218 $35,957
     WDAY130,252-108,218$35,957
NUCOR CORP 205,756 -309,046 $35,810
     NUE205,756-309,046$35,810
DROPBOX INC 1,210,222 -1,045,106 $35,677
     DBX1,210,222-1,045,106$35,677
CENTENE CORP DEL 479,814 -115,432 $35,607
     CNC479,814-115,432$35,607
CEMEX SAB DE CV 4,575,877 -4,188,365 $35,463
     CX4,575,877-4,188,365$35,463
STONECO LTD 1,959,381 -1,010,082 $35,328
     STNE1,959,381-1,010,082$35,328
FLEETCOR TECHNOLOGIES INC 124,181 -1,948 $35,095
     FLT124,181-1,948$35,095
HARTFORD FINL SVCS GROUP INC 431,955 -340,226 $34,721
     HIG431,955-340,226$34,721
EVEREST GROUP LTD 98,180 +98,180 $34,714
     EG98,180+98,180$34,714
CROWDSTRIKE HLDGS INC 135,745 +19,739 $34,658
     CRWD135,745+19,739$34,658
KRAFT HEINZ CO 935,979 -696,600 $34,613
     KHC935,979-696,600$34,613
F5 INC 189,658 -24,828 $33,945
     FFIV189,658-24,828$33,945
HUBSPOT INC 58,335 -43,450 $33,866
     HUBS58,335-43,450$33,866
KIMBERLY CLARK CORP 278,437 -113,477 $33,833
     KMB278,437-113,477$33,833
COCA COLA EUROPACIFIC PARTNE 506,608 -59,598 $33,811
     CCEP506,608-59,598$33,811
INGERSOLL RAND INC 435,751 -330,691 $33,701
     IR435,751-330,691$33,701
WEYERHAEUSER CO MTN BE 955,531 -569,704 $33,224
     WY955,531-569,704$33,224
MOODYS CORP 84,992 -60,168 $33,194
     MCO84,992-60,168$33,194
RADIAN GROUP INC 1,162,068 -532,697 $33,177
     RDN1,162,068-532,697$33,177
PINTEREST INC 889,218 -326,691 $32,937
     PINS889,218-326,691$32,937
STEEL DYNAMICS INC 278,105 -380,755 $32,844
     STLD278,105-380,755$32,844
EXPEDIA GROUP INC 214,431 -300,860 $32,548
     EXPE214,431-300,860$32,548
EXELON CORP 905,200 -376,541 $32,497
     EXC905,200-376,541$32,497
QUANTA SVCS INC 149,552 -86,747 $32,273
     PWR149,552-86,747$32,273
TIM S A 1,706,125 -79,860 $31,512
     TIMB1,706,125-79,860$31,512
SK TELECOM LTD 1,457,228 -181,388 $31,185
     SKM1,457,228-181,388$31,185
LOCKHEED MARTIN CORP 67,740 -47,234 $30,702
     LMT67,740-47,234$30,702
IQVIA HLDGS INC 128,403 -107,217 $29,710
     IQV128,403-107,217$29,710
MORGAN STANLEY 314,765 -360,783 $29,352
     MS314,765-360,783$29,352
ZEBRA TECHNOLOGIES CORPORATI 105,970 -33,806 $28,965
     ZBRA105,970-33,806$28,965
CHURCH & DWIGHT CO INC 305,461 -232,723 $28,884
     CHD305,461-232,723$28,884
MOLSON COORS BEVERAGE CO 458,072 -73,622 $28,039
     TAP458,072-73,622$28,039
FERGUSON PLC NEW 143,011 -271,033 $27,611
     FERG143,011-271,033$27,611
ECOLAB INC 135,040 -33,939 $26,785
     ECL135,040-33,939$26,785
EDISON INTL 368,280 -159,418 $26,328
     EIX368,280-159,418$26,328
DECKERS OUTDOOR CORP 38,346 -18,191 $25,632
     DECK38,346-18,191$25,632
DOLBY LABORATORIES INC 295,985 -178,163 $25,508
     DLB295,985-178,163$25,508
SS&C TECHNOLOGIES HLDGS INC 410,380 -62,399 $25,078
     SSNC410,380-62,399$25,078
LAM RESEARCH CORP 31,987 -41,468 $25,054
     LRCX31,987-41,468$25,054
MURPHY USA INC 69,711 -86,479 $24,856
     MUSA69,711-86,479$24,856
TOPBUILD CORP 66,164 -48,053 $24,763
     BLD66,164-48,053$24,763
OWENS CORNING NEW 166,952 -159,070 $24,747
     OC166,952-159,070$24,747
DRAFTKINGS INC NEW 699,442 +651,420 $24,655
     DKNG699,442+651,420$24,655
SNAP ON INC 85,027 -145,870 $24,559
     SNA85,027-145,870$24,559
EXTRA SPACE STORAGE INC 151,756 -31,293 $24,331
     EXR151,756-31,293$24,331
KLA CORP 41,853 -52,567 $24,329
     KLAC41,853-52,567$24,329
ZIMMER BIOMET HOLDINGS INC 199,412 -219,991 $24,268
     ZBH199,412-219,991$24,268
TEXTRON INC 300,225 -81,320 $24,144
     TXT300,225-81,320$24,144
EDWARDS LIFESCIENCES CORP 309,870 -244,472 $23,628
     EW309,870-244,472$23,628
HP INC 781,429 -1,414,735 $23,513
     HPQ781,429-1,414,735$23,513
TJX COS INC NEW 249,771 +72,919 $23,431
     TJX249,771+72,919$23,431
CME GROUP INC 111,031 -44,502 $23,383
     CME111,031-44,502$23,383
MONDELEZ INTL INC 321,436 -651,892 $23,282
     MDLZ321,436-651,892$23,282
MEDTRONIC PLC 280,455 +9,038 $23,104
     MDT280,455+9,038$23,104
WILLIAMS COS INC 658,708 +491,488 $22,943
     WMB658,708+491,488$22,943
EQUITY COMWLTH 1,185,698 -819,447 $22,765
     EQC1,185,698-819,447$22,765
WELLTOWER INC 250,260 +194,824 $22,566
     WELL250,260+194,824$22,566
INTERDIGITAL INC 207,347 -167,001 $22,505
     IDCC207,347-167,001$22,505
GLOBE LIFE INC 182,419 -113,365 $22,204
     GL182,419-113,365$22,204
JAZZ PHARMACEUTICALS PLC 177,818 -106,234 $21,872
     JAZZ177,818-106,234$21,872
PAGSEGURO DIGITAL LTD 1,725,098 -128,486 $21,512
     PAGS1,725,098-128,486$21,512
MGIC INVT CORP WIS 1,106,691 +313,558 $21,348
     MTG1,106,691+313,558$21,348
VALERO ENERGY CORP 158,497 -319,325 $20,605
     VLO158,497-319,325$20,605
ZOOM VIDEO COMMUNICATIONS IN 285,232 +36,125 $20,511
     ZM285,232+36,125$20,511
ESSEX PPTY TR INC 82,445 -52,563 $20,441
     ESS82,445-52,563$20,441
ZILLOW GROUP INC 352,392 -281,216 $20,389
     Z352,392-281,216$20,389
DISCOVER FINL SVCS 181,270 -283,776 $20,375
     DFS181,270-283,776$20,375
GRAB HOLDINGS LIMITED 6,031,759 +5,328,992 $20,327
     GRAB6,031,759+5,328,992$20,327
NEWMARKET CORP 37,233 -12,794 $20,323
     NEU37,233-12,794$20,323
TRADEWEB MKTS INC 220,605 -91,489 $20,049
     TW220,605-91,489$20,049
WASTE CONNECTIONS INC 133,209 -55,260 $19,884
     WCN133,209-55,260$19,884
MSC INDL DIRECT INC 193,199 -150,709 $19,563
     MSM193,199-150,709$19,563
DOCUSIGN INC 327,100 -397,214 $19,446
     DOCU327,100-397,214$19,446
SHERWIN WILLIAMS CO 62,184 +15,304 $19,395
     SHW62,184+15,304$19,395
VERISIGN INC 94,154 -149,012 $19,392
     VRSN94,154-149,012$19,392
CVS HEALTH CORP 244,920 -365,396 $19,339
     CVS244,920-365,396$19,339
FORD MTR CO DEL 1,578,751 -2,917,652 $19,245
     F1,578,751-2,917,652$19,245
STRYKER CORPORATION 63,081 -71,463 $18,890
     SYK63,081-71,463$18,890
LOWES COS INC 84,383 -169,817 $18,779
     LOW84,383-169,817$18,779
COTERRA ENERGY INC 726,123 +459,713 $18,531
     CTRA726,123+459,713$18,531
TOLL BROTHERS INC 179,487 -188,921 $18,449
     TOL179,487-188,921$18,449
WABTEC 143,704 -18,169 $18,236
     WAB143,704-18,169$18,236
KIMCO RLTY CORP 848,986 -25,075 $18,092
     KIM848,986-25,075$18,092
CYBERARK SOFTWARE LTD 80,603 +20,580 $17,656
     CYBR80,603+20,580$17,656
MANPOWERGROUP INC WIS 218,059 -43,288 $17,329
     MAN218,059-43,288$17,329
DEXCOM INC 139,086 -94,126 $17,259
     DXCM139,086-94,126$17,259
KT CORP 1,225,823 +44,921 $16,475
     KT1,225,823+44,921$16,475
EMERSON ELEC CO 164,552 +66,534 $16,016
     EMR164,552+66,534$16,016
EATON CORP PLC 65,314 -39,919 $15,729
     ETN65,314-39,919$15,729
ROCKWELL AUTOMATION INC 50,345 -93,684 $15,631
     ROK50,345-93,684$15,631
CITY HLDG CO 141,372 -54,744 $15,588
     CHCO141,372-54,744$15,588
CINTAS CORP 25,771 -6,373 $15,531
     CTAS25,771-6,373$15,531
EPAM SYS INC 51,400 -9,950 $15,283
     EPAM51,400-9,950$15,283
EQUIFAX INC 61,719 -29,784 $15,262
     EFX61,719-29,784$15,262
UNITED PARCEL SERVICE INC 96,931 -113,177 $15,240
     UPS96,931-113,177$15,240
GRUPO AEROPORTUARIO DEL SURE 51,691 -71,938 $15,211
     ASR51,691-71,938$15,211
SHOPIFY INC 195,000 -5,000 $15,191
     SHOP195,000-5,000$15,191
VALE S A 956,210 -2,446,525 $15,165
     VALE956,210-2,446,525$15,165
HOLOGIC INC 211,786 -484,651 $15,132
     HOLX211,786-484,651$15,132
DATADOG INC 124,240 -24,210 $15,080
     DDOG124,240-24,210$15,080
LIBERTY GLOBAL LTD 808,734 -682,724 $15,075
     LBTYK808,734-682,724$15,075
FORTIVE CORP 203,355 -49,935 $14,973
     FTV203,355-49,935$14,973
EQUITY RESIDENTIAL 238,760 -135,299 $14,603
     EQR238,760-135,299$14,603
PUBLIC SVC ENTERPRISE GRP IN 238,018 -179,553 $14,555
     PEG238,018-179,553$14,555
HDFC BANK LTD 216,506 +9,658 $14,530
     HDB216,506+9,658$14,530
GENERAL MTRS CO 403,358 -526,454 $14,489
     GM403,358-526,454$14,489
CLOROX CO DEL 101,458 -219,761 $14,467
     CLX101,458-219,761$14,467
NEUROCRINE BIOSCIENCES INC 109,321 -44,746 $14,404
     NBIX109,321-44,746$14,404
LOEWS CORP 203,610 -265,496 $14,169
     L203,610-265,496$14,169
EQUITABLE HLDGS INC 424,756 -285,213 $14,144
     EQH424,756-285,213$14,144
HUBBELL INC 42,135 -91,060 $13,859
     HUBB42,135-91,060$13,859
EQUITY LIFESTYLE PPTYS INC 194,109 -22,121 $13,692
     ELS194,109-22,121$13,692
QORVO INC 120,865 -121,971 $13,611
     QRVO120,865-121,971$13,611
TERNIUM SA 317,900 -72,157 $13,501
     TX317,900-72,157$13,501
COPART INC 274,341 -314,660 $13,443
     CPRT274,341-314,660$13,443
ENTERGY CORP NEW 132,208 -4,719 $13,378
     ETR132,208-4,719$13,378
LENNOX INTL INC 29,669 +1,278 $13,277
     LII29,669+1,278$13,277
UNITED THERAPEUTICS CORP DEL 60,036 -27,012 $13,201
     UTHR60,036-27,012$13,201
YUM BRANDS INC 101,005 -74,226 $13,197
     YUM101,005-74,226$13,197
GALLAGHER ARTHUR J & CO 58,141 -32,367 $13,075
     AJG58,141-32,367$13,075
WILLIS TOWERS WATSON PLC LTD 54,165 -72,011 $13,065
     WTW54,165-72,011$13,065
PTC INC 73,648 +31,883 $12,885
     PTC73,648+31,883$12,885
FEDEX CORP 50,610 -1,606 $12,803
     FDX50,610-1,606$12,803
WESTERN UN CO 1,073,504 -395,748 $12,796
     WU1,073,504-395,748$12,796
FORTUNE BRANDS INNOVATIONS I 165,056 -72,172 $12,567
     FBIN165,056-72,172$12,567
MARTIN MARIETTA MATLS INC 24,932 -21,577 $12,439
     MLM24,932-21,577$12,439
NORTHROP GRUMMAN CORP 26,526 -22,026 $12,418
     NOC26,526-22,026$12,418
SBA COMMUNICATIONS CORP NEW 48,933 +7,401 $12,414
     SBAC48,933+7,401$12,414
EXPEDITORS INTL WASH INC 96,757 -362,639 $12,307
     EXPD96,757-362,639$12,307
NETAPP INC 138,380 -357,916 $12,200
     NTAP138,380-357,916$12,200
NETEASE INC 130,873 -405,624 $12,192
     NTES130,873-405,624$12,192
TRI POINTE HOMES INC 337,932 -462,778 $11,963
     TPH337,932-462,778$11,963
KKR & CO INC 143,836 -131,978 $11,917
     KKR143,836-131,978$11,917
JEFFERIES FINL GROUP INC 293,957 -88,990 $11,879
     JEF293,957-88,990$11,879
APPLE INC 6,021,277 -3,066,580 $11,593
     AAPL6,021,277-3,066,580$11,593
FIRST CTZNS BANCSHARES INC N (FCNCA) 8,151 +4,301 $11,566
     FCNCA8,151+4,301$11,566
HILTON WORLDWIDE HLDGS INC 63,263 -25,182 $11,520
     HLT63,263-25,182$11,520
MARKETAXESS HLDGS INC 39,322 +22,514 $11,515
     MKTX39,322+22,514$11,515
HEALTHPEAK PROPERTIES INC 580,247 -91,457 $11,489
     PEAK580,247-91,457$11,489
OTIS WORLDWIDE CORP 128,027 -128,509 $11,455
     OTIS128,027-128,509$11,455
SEMPRA 152,930 -102,514 $11,428
     SRE152,930-102,514$11,428
COINBASE GLOBAL INC 65,000 +23,628 $11,305
     COIN65,000+23,628$11,305
FULL TRUCK ALLIANCE CO LTD 1,606,695 -120,000 $11,263
     YMM1,606,695-120,000$11,263
ROBERT HALF INC. 127,576 -211,855 $11,216
     RHI127,576-211,855$11,216
DANAHER CORPORATION 48,072 -30,448 $11,121
     DHR48,072-30,448$11,121
DYNATRACE INC 200,395 -27,350 $10,960
     DT200,395-27,350$10,960
VOYA FINANCIAL INC 150,000 -134,700 $10,944
     VOYA150,000-134,700$10,944
KINDER MORGAN INC DEL 608,626 -1,380,912 $10,736
     KMI608,626-1,380,912$10,736
GENUINE PARTS CO 77,353 -516,965 $10,713
     GPC77,353-516,965$10,713
PRICE T ROWE GROUP INC 99,307 -102,128 $10,694
     TROW99,307-102,128$10,694
D R HORTON INC 70,302 -225,667 $10,684
     DHI70,302-225,667$10,684
OSI SYSTEMS INC 81,952 -100,868 $10,576
     OSIS81,952-100,868$10,576
JOHNSON CTLS INTL PLC 181,025 -220,843 $10,434
     JCI181,025-220,843$10,434
ROYAL CARIBBEAN GROUP 79,784 -10,146 $10,331
     RCL79,784-10,146$10,331
LEIDOS HOLDINGS INC 94,317 +64,714 $10,209
     LDOS94,317+64,714$10,209
VERTIV HOLDINGS CO 212,071 +207,785 $10,186
     VRT212,071+207,785$10,186
QUALYS INC 51,082 -20,820 $10,026
     QLYS51,082-20,820$10,026
MARQETA INC 1,418,000 -452,000 $9,898
     MQ1,418,000-452,000$9,898
ENDAVA PLC 123,600 -67,900 $9,622
     DAVA123,600-67,900$9,622
DISNEY WALT CO 106,458 -146,515 $9,612
     DIS106,458-146,515$9,612
PACKAGING CORP AMER 58,882 +48,583 $9,592
     PKG58,882+48,583$9,592
TRIP COM GROUP LTD 265,494 -1,135,510 $9,560
     TCOM265,494-1,135,510$9,560
ERIE INDTY CO 28,509 +659 $9,548
     ERIE28,509+659$9,548
EOG RES INC 78,495 +19,154 $9,494
     EOG78,495+19,154$9,494
UNUM GROUP 206,922 -225,233 $9,357
     UNM206,922-225,233$9,357
CUBESMART 200,000 UNCH $9,270
     CUBE200,000UNCH$9,270
CENCORA INC 51,313 -68,255 $9,235
     ABC51,313-68,255$9,235
PRIMERICA INC 44,723 -5,722 $9,202
     PRI44,723-5,722$9,202
VISTA ENERGY S.A.B. DE C.V. 308,842 -93,774 $9,114
     VIST308,842-93,774$9,114
KE HLDGS INC 561,313 -1,463,521 $9,099
     BEKE561,313-1,463,521$9,099
KANZHUN LIMITED 544,564 -46,385 $9,045
     BZ544,564-46,385$9,045
VULCAN MATLS CO 38,718 -75,652 $8,789
     VMC38,718-75,652$8,789
HALLIBURTON CO 243,001 -215,839 $8,784
     HAL243,001-215,839$8,784
UNION PAC CORP 35,645 -28,302 $8,755
     UNP35,645-28,302$8,755
PRUDENTIAL FINL INC 84,258 -36,195 $8,738
     PRU84,258-36,195$8,738
WELLS FARGO CO NEW 174,832 -61,860 $8,605
     WFC174,832-61,860$8,605
NEWMONT CORP 205,770 -321,695 $8,517
     NEM205,770-321,695$8,517
WIX COM LTD 69,102 -32,028 $8,501
     WIX69,102-32,028$8,501
LUFAX HOLDING LTD 2,745,761 -11,823,625 $8,429
     LU2,745,761-11,823,625$8,429
REMITLY GLOBAL INC 433,000 -48,000 $8,409
     RELY433,000-48,000$8,409
WASTE MGMT INC DEL 46,717 -7,712 $8,367
     WM46,717-7,712$8,367
TELADOC HEALTH INC 387,674 -66,187 $8,354
     TDOC387,674-66,187$8,354
FLEX LTD 273,089 -343,870 $8,318
     FLEX273,089-343,870$8,318
OLD DOMINION FREIGHT LINE IN 20,212 +10,873 $8,193
     ODFL20,212+10,873$8,193
JD.COM INC 278,521 -670,196 $8,046
     JD278,521-670,196$8,046
COURSERA INC 412,345 -327,600 $7,987
     COUR412,345-327,600$7,987
SEA LTD 193,555 -118,668 $7,839
     SE193,555-118,668$7,839
ILLUMINA INC 55,954 -43,242 $7,791
     ILMN55,954-43,242$7,791
REXFORD INDL RLTY INC 138,000 -8,000 $7,742
     REXR138,000-8,000$7,742
NETSCOUT SYS INC 350,594 -129,934 $7,696
     NTCT350,594-129,934$7,696
SPLUNK INC 50,462 -394,422 $7,688
     SPLK50,462-394,422$7,688
INNOVIVA INC 478,623 -33,606 $7,677
     INVA478,623-33,606$7,677
PROGRESSIVE CORP 47,319 -21,315 $7,537
     PGR47,319-21,315$7,537
CREDICORP LTD 50,039 -37,779 $7,502
     BAP50,039-37,779$7,502
TENCENT MUSIC ENTMT GROUP 816,093 -1,395,031 $7,353
     TME816,093-1,395,031$7,353
SOUTHERN CO 103,064 -33,897 $7,227
     SO103,064-33,897$7,227
VICI PPTYS INC 226,402 -233,040 $7,218
     VICI226,402-233,040$7,218
AMAZON COM INC 5,105,675 -1,958,820 $7,200
     AMZN5,105,675-1,958,820$7,200
KILROY RLTY CORP 180,000 +33,000 $7,171
     KRC180,000+33,000$7,171
ON SEMICONDUCTOR CORP 85,158 -157,241 $7,113
     ON85,158-157,241$7,113
TEXAS INSTRS INC 41,627 -68,932 $7,096
     TXN41,627-68,932$7,096
ALPHABET INC 4,997,240 -2,726,049 $7,092
     GOOGL4,997,240-2,726,049$7,092
ROLLINS INC 161,009 -19,298 $7,031
     ROL161,009-19,298$7,031
VIATRIS INC 647,629 -623,077 $7,014
     VTRS647,629-623,077$7,014
LINCOLN ELEC HLDGS INC 32,186 -7,585 $6,999
     LECO32,186-7,585$6,999
OLD REP INTL CORP 235,352 -138,892 $6,919
     ORI235,352-138,892$6,919
ETHAN ALLEN INTERIORS INC 214,683 -368,347 $6,853
     ETD214,683-368,347$6,853
MODERNA INC 68,889 -71,939 $6,851
     MRNA68,889-71,939$6,851
XEROX HOLDINGS CORP 373,552 -115,402 $6,847
     XRX373,552-115,402$6,847
MICROCHIP TECHNOLOGY INC. 74,975 -121,979 $6,761
     MCHP74,975-121,979$6,761
FACTSET RESH SYS INC 14,042 -10,793 $6,699
     FDS14,042-10,793$6,699
EXACT SCIENCES CORP 88,352 -12,645 $6,536
     EXAS88,352-12,645$6,536
DOW INC 118,675 -255,355 $6,508
     DOW118,675-255,355$6,508
PALANTIR TECHNOLOGIES INC 369,392 -683,035 $6,342
     PLTR369,392-683,035$6,342
MARRIOTT INTL INC NEW 27,786 -12,965 $6,266
     MAR27,786-12,965$6,266
GENERAL DYNAMICS CORP 24,034 +8,432 $6,241
     GD24,034+8,432$6,241
PINNACLE WEST CAP CORP 85,931 -42,571 $6,173
     PNW85,931-42,571$6,173
Q2 HLDGS INC 140,000 -10,000 $6,077
     QTWO140,000-10,000$6,077
L3HARRIS TECHNOLOGIES INC 28,797 -31,188 $6,065
     LHX28,797-31,188$6,065
RAYONIER INC 181,000 +51,000 $6,047
     RYN181,000+51,000$6,047
METLIFE INC 91,333 -44,291 $6,040
     MET91,333-44,291$6,040
KENVUE INC 279,268 -890,439 $6,013
     KVUE279,268-890,439$6,013
TETRA TECH INC NEW 35,515 -456 $5,929
     TTEK35,515-456$5,929
EQT CORP 152,413 -112,813 $5,892
     EQT152,413-112,813$5,892
NCINO INC 175,000 -50,000 $5,885
     NCNO175,000-50,000$5,885
ETSY INC 72,475 -114,075 $5,874
     ETSY72,475-114,075$5,874
MONGODB INC 14,306 -19,026 $5,849
     MDB14,306-19,026$5,849
SPROUTS FMRS MKT INC 121,478 +3,207 $5,844
     SFM121,478+3,207$5,844
SAPIENS INTL CORP N V 200,000 -50,000 $5,788
     SPNS200,000-50,000$5,788
COLUMBIA SPORTSWEAR CO 72,685 -60,824 $5,781
     COLM72,685-60,824$5,781
COGNIZANT TECHNOLOGY SOLUTIO 76,429 -121,888 $5,773
     CTSH76,429-121,888$5,773
HEALTHCARE RLTY TR 335,000 -71,812 $5,772
     HR335,000-71,812$5,772
MARVELL TECHNOLOGY INC 95,589 +7,627 $5,765
     MRVL95,589+7,627$5,765
SEAGATE TECHNOLOGY HLDNGS PL 67,417 -187,466 $5,755
     STX67,417-187,466$5,755
MARKEL GROUP INC 4,004 +1,145 $5,685
     MKL4,004+1,145$5,685
SMITH A O CORP 68,477 -49,536 $5,645
     AOS68,477-49,536$5,645
EMPLOYERS HLDGS INC 142,392 -43,933 $5,610
     EIG142,392-43,933$5,610
GE HEALTHCARE TECHNOLOGIES I 70,286 -32,998 $5,435
     GEHC70,286-32,998$5,435
GXO LOGISTICS INCORPORATED 86,835 +60,618 $5,311
     GXO86,835+60,618$5,311
MOLINA HEALTHCARE INC 14,587 -251 $5,270
     MOH14,587-251$5,270
CENTERPOINT ENERGY INC 179,535 +88,976 $5,129
     CNP179,535+88,976$5,129
IMMUNOCORE HLDGS PLC 74,127 +74,127 $5,064
     IMCR74,127+74,127$5,064
MASCO CORP 75,461 -113,375 $5,054
     MAS75,461-113,375$5,054
TAKE TWO INTERACTIVE SOFTWAR 31,211 +4,006 $5,023
     TTWO31,211+4,006$5,023
DUKE ENERGY CORP NEW 50,989 -11,991 $4,948
     DUK50,989-11,991$4,948
GRACO INC 56,898 -2,796 $4,936
     GGG56,898-2,796$4,936
DARLING INGREDIENTS INC 98,418 -61,706 $4,905
     DAR98,418-61,706$4,905
PUBLIC STORAGE 15,929 -8,633 $4,858
     PSA15,929-8,633$4,858
METTLER TOLEDO INTERNATIONAL 3,978 -7,751 $4,825
     MTD3,978-7,751$4,825
STARBUCKS CORP 50,102 -68,613 $4,810
     SBUX50,102-68,613$4,810
PERDOCEO ED CORP 269,571 -64,508 $4,734
     PRDO269,571-64,508$4,734
PROGRESS SOFTWARE CORP 87,143 +7,248 $4,732
     PRGS87,143+7,248$4,732
WEIBO CORP 430,744 +78,160 $4,717
     WB430,744+78,160$4,717
PPL CORP 172,304 -173,410 $4,669
     PPL172,304-173,410$4,669
HONEYWELL INTL INC 22,237 -5,815 $4,663
     HON22,237-5,815$4,663
FIDELITY NATL INFORMATION SV 77,339 -34,770 $4,646
     FIS77,339-34,770$4,646
COSTAR GROUP INC 53,126 -43,544 $4,643
     CSGP53,126-43,544$4,643
ZSCALER INC 20,794 -42,645 $4,607
     ZS20,794-42,645$4,607
SKYWORKS SOLUTIONS INC 40,920 -120,235 $4,600
     SWKS40,920-120,235$4,600
EVERSOURCE ENERGY 74,491 -293,987 $4,598
     ES74,491-293,987$4,598
KEURIG DR PEPPER INC 137,101 -83,884 $4,568
     KDP137,101-83,884$4,568
NISOURCE INC 171,335 +100,457 $4,549
     NI171,335+100,457$4,549
INVESCO LTD 252,953 -985,772 $4,513
     IVZ252,953-985,772$4,513
VERALTO CORP 54,389 +54,389 $4,474
     VLTO54,389+54,389$4,474
GARTNER INC 9,899 -55,510 $4,466
     IT9,899-55,510$4,466
ESSENT GROUP LTD 83,723 -9,897 $4,416
     ESNT83,723-9,897$4,416
HASBRO INC 86,319 +33 $4,407
     HAS86,319+33$4,407
PHILLIPS 66 32,055 -205,042 $4,268
     PSX32,055-205,042$4,268
PATRIA INVESTMENTS LIMITED 275,000 -111,652 $4,265
     PAX275,000-111,652$4,265
TRUIST FINL CORP 114,672 -233,627 $4,234
     TFC114,672-233,627$4,234
GARMIN LTD 32,888 +8,889 $4,227
     GRMN32,888+8,889$4,227
NEXTERA ENERGY INC 68,669 -117,426 $4,171
     NEE68,669-117,426$4,171
DOMINOS PIZZA INC 10,070 -14,074 $4,151
     DPZ10,070-14,074$4,151
SUPER MICRO COMPUTER INC 14,600 -10,446 $4,150
     SMCI14,600-10,446$4,150
FIDELITY NATIONAL FINANCIAL 80,537 -8,039 $4,109
     FNF80,537-8,039$4,109
CHARTER COMMUNICATIONS INC N 10,555 -6,037 $4,103
     CHTR10,555-6,037$4,103
HCA HEALTHCARE INC 15,137 -134,755 $4,097
     HCA15,137-134,755$4,097
LEAR CORP 28,901 -34,547 $4,081
     LEA28,901-34,547$4,081
INVITATION HOMES INC 119,461 +72,243 $4,075
     INVH119,461+72,243$4,075
SANMINA CORPORATION 79,131 -378,553 $4,065
     SANM79,131-378,553$4,065
H WORLD GROUP LTD 121,018 -272,225 $4,047
     HTHT121,018-272,225$4,047
MONSTER BEVERAGE CORP NEW 68,648 -15,628 $3,955
     MNST68,648-15,628$3,955
MINISO GROUP HLDG LTD 192,482 UNCH $3,927
     MNSO192,482UNCH$3,927
ILLINOIS TOOL WKS INC 14,909 -51,063 $3,905
     ITW14,909-51,063$3,905
FLOWERS FOODS INC 172,033 -394,963 $3,872
     FLO172,033-394,963$3,872
OKTA INC 42,163 -49,644 $3,817
     OKTA42,163-49,644$3,817
JACKSON FINANCIAL INC 73,960 -10,437 $3,787
     JXN73,960-10,437$3,787
RTX CORPORATION 43,340 -255,490 $3,647
     RTX43,340-255,490$3,647
TRANSUNION 52,232 +3,336 $3,589
     TRU52,232+3,336$3,589
HOST HOTELS & RESORTS INC 183,401 -385,954 $3,571
     HST183,401-385,954$3,571
HF SINCLAIR CORP 63,941 -156,708 $3,553
     DINO63,941-156,708$3,553
QIFU TECHNOLOGY INC 224,177 -42,359 $3,546
     QFIN224,177-42,359$3,546
CSX CORP 101,848 -124,615 $3,531
     CSX101,848-124,615$3,531
YUM CHINA HLDGS INC 81,809 -1,150,970 $3,471
     YUMC81,809-1,150,970$3,471
STURM RUGER & CO INC 76,356 -87,037 $3,470
     RGR76,356-87,037$3,470
XP INC 132,900 +107,514 $3,465
     XP132,900+107,514$3,465
SAFETY INS GROUP INC 45,281 -11,244 $3,441
     SAFT45,281-11,244$3,441
HIMAX TECHNOLOGIES INC 564,445 -192,898 $3,426
     HIMX564,445-192,898$3,426
TRANSDIGM GROUP INC 3,372 -5,511 $3,411
     TDG3,372-5,511$3,411
TAYLOR MORRISON HOME CORP 63,780 -35,568 $3,403
     TMHC63,780-35,568$3,403
NOMAD FOODS LTD 200,049 -22,478 $3,391
     NOMD200,049-22,478$3,391
ENACT HLDGS INC 115,188 +98,024 $3,328
     ACT115,188+98,024$3,328
GOLD FIELDS LTD 226,451 -544,746 $3,274
     GFI226,451-544,746$3,274
GENWORTH FINL INC 490,139 -76,219 $3,274
     GNW490,139-76,219$3,274
INTERNATIONAL PAPER CO 89,792 +7,636 $3,246
     IP89,792+7,636$3,246
HANNON ARMSTRONG SUST INFR C 117,355 +1,195 $3,237
     HASI117,355+1,195$3,237
WILLIAMS SONOMA INC 15,987 -4,638 $3,226
     WSM15,987-4,638$3,226
PRINCIPAL FINANCIAL GROUP IN 40,787 +15,277 $3,209
     PFG40,787+15,277$3,209
MATCH GROUP INC NEW 85,777 +30,229 $3,131
     MTCH85,777+30,229$3,131
REGIONS FINANCIAL CORP NEW 160,433 -53,880 $3,109
     RF160,433-53,880$3,109
TRIMBLE INC 57,879 +17,097 $3,079
     TRMB57,879+17,097$3,079
ROSS STORES INC 22,186 -15,094 $3,070
     ROST22,186-15,094$3,070
ONEMAIN HLDGS INC 61,363 -23,428 $3,019
     OMF61,363-23,428$3,019
FOX CORP 100,627 -148,359 $2,986
     FOXA100,627-148,359$2,986
SYSCO CORP 40,805 -27,633 $2,984
     SYY40,805-27,633$2,984
MOSAIC CO NEW 83,274 +21,182 $2,975
     MOS83,274+21,182$2,975
MCCORMICK & CO INC 43,056 -26,749 $2,946
     MKC43,056-26,749$2,946
HOWMET AEROSPACE INC 54,177 -1,509 $2,932
     HWM54,177-1,509$2,932
RPM INTL INC 26,183 +14,785 $2,923
     RPM26,183+14,785$2,923
WEST PHARMACEUTICAL SVSC INC 8,215 -1,591 $2,893
     WST8,215-1,591$2,893
PARKER HANNIFIN CORP 6,247 -10,968 $2,878
     PH6,247-10,968$2,878
LKQ CORP 60,017 -222,451 $2,868
     LKQ60,017-222,451$2,868
M D C HLDGS INC 51,783 UNCH $2,861
     MDC51,783UNCH$2,861
UNITED RENTALS INC 4,943 -5,332 $2,834
     URI4,943-5,332$2,834
PENTAIR PLC 38,854 -47,361 $2,825
     PNR38,854-47,361$2,825
CONSTELLATION ENERGY CORP 23,993 +9,429 $2,805
     CEG23,993+9,429$2,805
COMPANHIA PARANAENSE DE ENER 326,615 -1,443,545 $2,770
     ELP326,615-1,443,545$2,770
PAYLOCITY HLDG CORP 16,771 +12,165 $2,765
     PCTY16,771+12,165$2,765
CHUNGHWA TELECOM CO LTD 69,116 -30,704 $2,700
     CHT69,116-30,704$2,700
NORFOLK SOUTHN CORP 11,417 -3,393 $2,699
     NSC11,417-3,393$2,699
LATTICE SEMICONDUCTOR CORP 37,718 -29,594 $2,602
     LSCC37,718-29,594$2,602
PROCTER AND GAMBLE CO 1,702,455 -818,334 $2,597
     PG1,702,455-818,334$2,597
YELP INC 54,705 -18,419 $2,590
     YELP54,705-18,419$2,590
CHEGG INC 225,956 +84,617 $2,567
     CHGG225,956+84,617$2,567
LAS VEGAS SANDS CORP 51,560 -26,828 $2,537
     LVS51,560-26,828$2,537
CORNING INC 82,741 -27,236 $2,519
     GLW82,741-27,236$2,519
DUPONT DE NEMOURS INC 32,718 -122,267 $2,517
     DD32,718-122,267$2,517
ULTA BEAUTY INC 5,106 -15,981 $2,502
     ULTA5,106-15,981$2,502
HUDSON PAC PPTYS INC 261,746 UNCH $2,437
     HPP261,746UNCH$2,437
GAMING & LEISURE PPTYS INC 48,634 -176,150 $2,400
     GLPI48,634-176,150$2,400
MACYS INC 118,806 -26,120 $2,390
     M118,806-26,120$2,390
MEDIFAST INC 35,495 +615 $2,386
     MED35,495+615$2,386
UPSTART HLDGS INC 57,356 UNCH $2,344
     UPST57,356UNCH$2,344
WEC ENERGY GROUP INC 27,607 -11,000 $2,324
     WEC27,607-11,000$2,324
LIBERTY MEDIA CORP DEL 36,684 -14,384 $2,316
     FWONK36,684-14,384$2,316
XCEL ENERGY INC 37,351 -24,849 $2,312
     XEL37,351-24,849$2,312
SCHWAB CHARLES CORP 33,528 -97,548 $2,307
     SCHW33,528-97,548$2,307
ADOBE INC 386,430 -188,667 $2,305
     ADBE386,430-188,667$2,305
ONEOK INC NEW 32,373 -566,801 $2,273
     OKE32,373-566,801$2,273
PAYCOM SOFTWARE INC 10,947 -1,415 $2,263
     PAYC10,947-1,415$2,263
WARNER BROS DISCOVERY INC 198,898 -254,583 $2,263
     WBD198,898-254,583$2,263
REGENCY CTRS CORP 33,665 -95,797 $2,256
     REG33,665-95,797$2,256
BROADCOM INC 201,846 -96,918 $2,253
     AVGO201,846-96,918$2,253
FIFTH THIRD BANCORP 64,352 -66,208 $2,220
     FITB64,352-66,208$2,220
VISTRA CORP 57,548 -13,169 $2,217
     VST57,548-13,169$2,217
FIRST SOLAR INC 12,826 +3,239 $2,210
     FSLR12,826+3,239$2,210
NEWS CORP NEW 89,298 -65,508 $2,192
     NWSA89,298-65,508$2,192
COMPANIA DE MINAS BUENAVENTU 143,690 -80,528 $2,190
     BVN143,690-80,528$2,190
POWER INTEGRATIONS INC 26,623 -627 $2,186
     POWI26,623-627$2,186
ABBVIE INC 1,351,204 -181,086 $2,173
     ABBV1,351,204-181,086$2,173
COOPER COS INC 5,699 -6,545 $2,157
     COO5,699-6,545$2,157
INGREDION INC 19,856 -41,857 $2,155
     INGR19,856-41,857$2,155
NEW YORK TIMES CO 43,819 +2,369 $2,147
     NYT43,819+2,369$2,147
AUTOZONE INC 83,015 -39,582 $2,146
     AZO83,015-39,582$2,146
MEDICAL PPTYS TRUST INC 433,324 -287,449 $2,128
     MPW433,324-287,449$2,128
AMGEN INC 729,214 -272,540 $2,100
     AMGN729,214-272,540$2,100
HESS CORP 13,807 +8,538 $1,990
     HES13,807+8,538$1,990
SOUTHERN COPPER CORP 23,084 -73,187 $1,987
     SCCO23,084-73,187$1,987
E L F BEAUTY INC 13,451 -3,743 $1,942
     ELF13,451-3,743$1,942
PIEDMONT OFFICE REALTY TR IN 271,752 -34,262 $1,932
     PDM271,752-34,262$1,932
ROKU INC 20,565 +5,641 $1,885
     ROKU20,565+5,641$1,885
HESAI GROUP 211,404 UNCH $1,884
     HSAI211,404UNCH$1,884
VAIL RESORTS INC 8,695 +971 $1,856
     MTN8,695+971$1,856
KB HOME 29,621 -11,079 $1,850
     KBH29,621-11,079$1,850
SOCIEDAD QUIMICA Y MINERA DE 30,723 -131,067 $1,850
     SQM30,723-131,067$1,850
FASTENAL CO 28,499 -49,311 $1,846
     FAST28,499-49,311$1,846
THE TRADE DESK INC 25,465 -182,000 $1,832
     TTD25,465-182,000$1,832
MDU RES GROUP INC 92,214 -208 $1,826
     MDU92,214-208$1,826
CHESAPEAKE ENERGY CORP 23,506 -36,658 $1,809
     CHK23,506-36,658$1,809
OMNICOM GROUP INC 20,915 -625,629 $1,809
     OMC20,915-625,629$1,809
LIVE NATION ENTERTAINMENT IN 19,228 -2 $1,800
     LYV19,228-2$1,800
NEW ORIENTAL ED & TECHNOLOGY 24,278 -186,949 $1,779
     EDU24,278-186,949$1,779
OVINTIV INC 40,388 -9,838 $1,774
     OVV40,388-9,838$1,774
LIBERTY BROADBAND CORP 21,935 -7,689 $1,768
     LBRDK21,935-7,689$1,768
HUNTINGTON INGALLS INDS INC 6,806 +3,411 $1,767
     HII6,806+3,411$1,767
AIRBNB INC 1,195,765 -732,462 $1,764
     ABNB1,195,765-732,462$1,764
REALTY INCOME CORP 30,639 -85,318 $1,759
     O30,639-85,318$1,759
CBRE GROUP INC 1,885,685 +54,978 $1,755
     CBRE1,885,685+54,978$1,755
POOL CORP 4,374 +1,139 $1,744
     POOL4,374+1,139$1,744
HEIDRICK & STRUGGLES INTL IN 58,844 -50,447 $1,738
     HSII58,844-50,447$1,738
DOLLAR GEN CORP NEW 12,701 -4,530 $1,727
     DG12,701-4,530$1,727
VENTAS INC 34,283 -106,873 $1,709
     VTR34,283-106,873$1,709
MARATHON OIL CORP 70,448 -7,489 $1,702
     MRO70,448-7,489$1,702
ROBLOX CORP 37,227 +14,023 $1,702
     RBLX37,227+14,023$1,702
FRONTDOOR INC 47,578 +10,087 $1,676
     FTDR47,578+10,087$1,676
DOLE PLC 135,382 +16,588 $1,664
     DOLE135,382+16,588$1,664
ALPHABET INC 1,173,408 -871,171 $1,654
     GOOG1,173,408-871,171$1,654
DXC TECHNOLOGY CO 71,923 -76,042 $1,645
     DXC71,923-76,042$1,645
CF INDS HLDGS INC 20,664 -6,734 $1,643
     CF20,664-6,734$1,643
PROG HOLDINGS INC 53,112 -10,278 $1,642
     PRG53,112-10,278$1,642
JABIL INC 12,822 -215,575 $1,634
     JBL12,822-215,575$1,634
DOLLAR TREE INC 11,482 -15,412 $1,631
     DLTR11,482-15,412$1,631
ENOVA INTL INC 29,182 UNCH $1,616
     ENVA29,182UNCH$1,616
KELLANOVA 28,901 -34,268 $1,616
     K28,901-34,268$1,616
GETTY RLTY CORP NEW 54,959 UNCH $1,606
     GTY54,959UNCH$1,606
VERADIGM INC 152,725 +10,236 $1,602
     MDRX152,725+10,236$1,602
STANLEY BLACK & DECKER INC 15,537 -15,825 $1,524
     SWK15,537-15,825$1,524
GEN DIGITAL INC 66,464 -101,491 $1,517
     GEN66,464-101,491$1,517
CERIDIAN HCM HLDG INC 22,567 -2,782 $1,515
     CDAY22,567-2,782$1,515
LABORATORY CORP AMER HLDGS 6,607 -3,260 $1,502
     LH6,607-3,260$1,502
AT&T INC 8,781,258 -8,477,007 $1,474
     T8,781,258-8,477,007$1,474
IRON MTN INC DEL 20,993 -5,483 $1,469
     IRM20,993-5,483$1,469
JANUS HENDERSON GROUP PLC 48,682 -12,356 $1,468
     JHG48,682-12,356$1,468
BANK AMERICA CORP 4,335,138 -1,975,211 $1,460
     BAC4,335,138-1,975,211$1,460
PG&E CORP 79,103 -141,287 $1,426
     PCG79,103-141,287$1,426
SNAP INC 83,331 -178,868 $1,411
     SNAP83,331-178,868$1,411
HENRY JACK & ASSOC INC 8,626 +4,580 $1,410
     JKHY8,626+4,580$1,410
PLAINS GP HLDGS L P 88,415 -3,953 $1,410
     PAGP88,415-3,953$1,410
NORDSON CORP 5,303 -518 $1,401
     NDSN5,303-518$1,401
CHECK POINT SOFTWARE TECH LT 962,753 -370,557 $1,386
     CHKP962,753-370,557$1,386
WESTROCK CO 32,637 -74,394 $1,355
     WRK32,637-74,394$1,355
PEPSICO INC 828,288 -768,429 $1,352
     PEP828,288-768,429$1,352
MGM RESORTS INTERNATIONAL 30,176 -181,643 $1,348
     MGM30,176-181,643$1,348
FISERV INC 951,152 +951,152 $1,336
     FI951,152+951,152$1,336
FRANKLIN RESOURCES INC 44,718 -121,861 $1,332
     BEN44,718-121,861$1,332
WP CAREY INC 20,525 -57,085 $1,330
     WPC20,525-57,085$1,330
ZTO EXPRESS CAYMAN INC 62,448 -411,013 $1,329
     ZTO62,448-411,013$1,329
IDEX CORP 6,111 -833 $1,327
     IEX6,111-833$1,327
CIRRUS LOGIC INC 15,897 -8,606 $1,322
     CRUS15,897-8,606$1,322
GENTEX CORP 39,661 -22,769 $1,295
     GNTX39,661-22,769$1,295
NAVIENT CORPORATION 69,033 -27,403 $1,285
     NAVI69,033-27,403$1,285
USANA HEALTH SCIENCES INC 23,757 -62 $1,273
     USNA23,757-62$1,273
TOAST INC 69,386 +68,539 $1,267
     TOST69,386+68,539$1,267
TEGNA INC 82,274 -5,726 $1,259
     TGNA82,274-5,726$1,259
GRAHAM HLDGS CO 1,799 -4,325 $1,253
     GHC1,799-4,325$1,253
DONALDSON INC 19,151 -17,809 $1,252
     DCI19,151-17,809$1,252
HEALTHSTREAM INC 46,297 -28,914 $1,251
     HSTM46,297-28,914$1,251
DIGITAL RLTY TR INC 9,150 -10,661 $1,231
     DLR9,150-10,661$1,231
SILICON MOTION TECHNOLOGY CO 19,901 -13,825 $1,219
     SIMO19,901-13,825$1,219
JOHNSON & JOHNSON 723,071 -501,987 $1,193
     JNJ723,071-501,987$1,193
MID AMER APT CMNTYS INC 8,835 -96,846 $1,188
     MAA8,835-96,846$1,188
SNOWFLAKE INC 5,972 -6,255 $1,188
     SNOW5,972-6,255$1,188
V F CORP 62,420 +55,371 $1,173
     VFC62,420+55,371$1,173
BAIDU INC 976,050 -214,339 $1,162
     BIDU976,050-214,339$1,162
ENNIS INC 51,305 UNCH $1,124
     EBF51,305UNCH$1,124
PURE STORAGE INC 30,436 -146 $1,085
     PSTG30,436-146$1,085
CAPITAL ONE FINL CORP 825,195 -186,654 $1,082
     COF825,195-186,654$1,082
AFLAC INC 1,265,852 -1,444,003 $1,044
     AFL1,265,852-1,444,003$1,044
DUOLINGO INC 4,555 -991 $1,033
     DUOL4,555-991$1,033
VIRTU FINL INC 50,720 -19,300 $1,028
     VIRT50,720-19,300$1,028
BRISTOL MYERS SQUIBB CO 1,998,832 -1,929,827 $1,026
     BMY1,998,832-1,929,827$1,026
MASTERCRAFT BOAT HLDGS INC 45,283 -4,825 $1,025
     MCFT45,283-4,825$1,025
VONTIER CORPORATION 29,403 -16,815 $1,016
     VNT29,403-16,815$1,016
DICKS SPORTING GOODS INC 6,729 +2,183 $989
     DKS6,729+2,183$989
CADENCE DESIGN SYSTEM INC 362,671 -451,974 $988
     CDNS362,671-451,974$988
CELSIUS HLDGS INC 17,594 +17,594 $959
     CELH17,594+17,594$959
MICRON TECHNOLOGY INC 11,158 -69,920 $952
     MU11,158-69,920$952
EASTMAN CHEM CO 10,536 -17,480 $946
     EMN10,536-17,480$946
INTERNATIONAL GAME TECHNOLOG 34,506 UNCH $946
     IGT34,506UNCH$946
WALGREENS BOOTS ALLIANCE INC 35,820 -198,848 $935
     WBA35,820-198,848$935
PLAYTIKA HLDG CORP 107,146 +5,544 $934
     PLTK107,146+5,544$934
MAXIMUS INC 11,127 +2,483 $933
     MMS11,127+2,483$933
CORCEPT THERAPEUTICS INC 28,230 +7,768 $917
     CORT28,230+7,768$917
COMMVAULT SYS INC 11,442 -3,269 $914
     CVLT11,442-3,269$914
BOOKING HOLDINGS INC 25,653 -21,659 $910
     BKNG25,653-21,659$910
ADVANCED MICRO DEVICES INC 609,444 -149,817 $898
     AMD609,444-149,817$898
HENRY SCHEIN INC 11,847 -13,803 $897
     HSIC11,847-13,803$897
ENEL CHILE S.A. 269,343 -133,299 $873
     ENIC269,343-133,299$873
CNO FINL GROUP INC 30,908 UNCH $862
     CNO30,908UNCH$862
ACCENTURE PLC IRELAND 245,499 -69,876 $861
     ACN245,499-69,876$861
VALMONT INDS INC 3,675 +2,423 $858
     VMI3,675+2,423$858
DAVITA INC 8,022 -42,321 $840
     DVA8,022-42,321$840
ZIPRECRUITER INC 59,533 -8,999 $828
     ZIP59,533-8,999$828
EVERGY INC 15,775 -22,138 $823
     EVRG15,775-22,138$823
PREMIER INC 36,728 -111,671 $821
     PINC36,728-111,671$821
WESTERN DIGITAL CORP. 15,648 -2,161 $819
     WDC15,648-2,161$819
INTERPUBLIC GROUP COS INC 24,621 -93,724 $804
     IPG24,621-93,724$804
STEELCASE INC 59,398 +13,558 $803
     SCS59,398+13,558$803
GROUP 1 AUTOMOTIVE INC 2,569 -218 $783
     GPI2,569-218$783
INSULET CORP 3,597 -1,209 $780
     PODD3,597-1,209$780
HUNTINGTON BANCSHARES INC (HBAN) 61,142 -59,602 $778
     HBAN61,142-59,602$778
US FOODS HLDG CORP 16,758 -13,093 $761
     USFD16,758-13,093$761
TRINET GROUP INC 6,363 -388 $757
     TNET6,363-388$757
EMCOR GROUP INC 3,494 -970 $753
     EME3,494-970$753
CHARLES RIV LABS INTL INC 3,173 +2,523 $750
     CRL3,173+2,523$750
INTERNATIONAL FLAVORS&FRAGRA 9,124 -20,366 $739
     IFF9,124-20,366$739
KNIGHT SWIFT TRANSN HLDGS IN 12,694 -10,949 $732
     KNX12,694-10,949$732
VISHAY INTERTECHNOLOGY INC 30,407 -479,501 $729
     VSH30,407-479,501$729
CBOE GLOBAL MKTS INC 396,627 -55,714 $726
     CBOE396,627-55,714$726
MERITAGE HOMES CORP 4,115 UNCH $717
     MTH4,115UNCH$717
RE MAX HLDGS INC 53,798 UNCH $717
     RMAX53,798UNCH$717
MAKEMYTRIP LIMITED MAURITIUS 14,796 -58,341 $695
     MMYT14,796-58,341$695
ONTO INNOVATION INC 4,533 +4,533 $693
     ONTO4,533+4,533$693
PNM RES INC 16,568 UNCH $689
     PNM16,568UNCH$689
SEI INVTS CO 10,818 -62,638 $687
     SEIC10,818-62,638$687
SENSIENT TECHNOLOGIES CORP 10,245 +4,571 $676
     SXT10,245+4,571$676
INGLES MKTS INC 7,781 -5,928 $672
     IMKTA7,781-5,928$672
LANDSTAR SYS INC 3,430 +1,252 $664
     LSTR3,430+1,252$664
BANK NEW YORK MELLON CORP 1,254,437 -1,303,313 $653
     BK1,254,437-1,303,313$653
COMPANHIA PARANAENSE DE ENER 81,652 +81,652 $643
     ELPC81,652+81,652$643
CHEMED CORP NEW 1,085 UNCH $634
     CHE1,085UNCH$634
LAMB WESTON HLDGS INC 5,830 -98,697 $630
     LW5,830-98,697$630
MONOLITHIC PWR SYS INC 954 +586 $602
     MPWR954+586$602
JOYY INC 15,075 -40,440 $598
     YY15,075-40,440$598
JACOBS SOLUTIONS INC 4,597 -4,877 $597
     J4,597-4,877$597
WIPRO LTD 101,121 -469,364 $563
     WIT101,121-469,364$563
FREEPORT MCMORAN INC 13,115 -188,028 $558
     FCX13,115-188,028$558
LAUDER ESTEE COS INC 399,807 +367,503 $554
     EL399,807+367,503$554
AKAMAI TECHNOLOGIES INC 456,858 +121,092 $541
     AKAM456,858+121,092$541
WALMART INC 325,630 -25,084 $541
     WMT325,630-25,084$541
KELLY SVCS INC 25,000 UNCH $540
     KELYA25,000UNCH$540
LIVERAMP HLDGS INC 14,206 UNCH $538
     RAMP14,206UNCH$538
TEVA PHARMACEUTICAL INDS LTD 51,421 -24,139 $537
     TEVA51,421-24,139$537
RMR GROUP INC 18,919 -2,122 $534
     RMR18,919-2,122$534
PARAMOUNT GLOBAL 34,595 -20,352 $512
     PARA34,595-20,352$512
TERADATA CORP DEL 11,258 -5,702 $490
     TDC11,258-5,702$490
ESSENTIAL UTILS INC 12,802 -32,529 $478
     WTRG12,802-32,529$478
AVALONBAY CMNTYS INC 254,650 -63,376 $477
     AVB254,650-63,376$477
WATTS WATER TECHNOLOGIES INC 2,285 UNCH $476
     WTS2,285UNCH$476
CARDINAL HEALTH INC 469,447 -679,684 $473
     CAH469,447-679,684$473
WYNN RESORTS LTD 5,177 -65,931 $472
     WYNN5,177-65,931$472
ARCH CAP GROUP LTD 618,109 -504,558 $459
     ACGL618,109-504,558$459
APPLIED MATLS INC 281,381 -252,562 $456
     AMAT281,381-252,562$456
WINMARK CORP 1,084 -992 $453
     WINA1,084-992$453
EXELIXIS INC 18,560 -4,293 $445
     EXEL18,560-4,293$445
VISTA OUTDOOR INC 14,940 UNCH $442
     VSTO14,940UNCH$442
ICON PLC 1,539 +903 $436
     ICLR1,539+903$436
CIA ENERGETICA DE MINAS GERA 187,050 -52,261 $434
     CIG187,050-52,261$434
ROYALTY PHARMA PLC 15,328 +7,132 $431
     RPRX15,328+7,132$431
GLOBANT S A 1,800 +100 $428
     GLOB1,800+100$428
AMERICAN TOWER CORP NEW 197,232 +1,981 $426
     AMT197,232+1,981$426
MOHAWK INDS INC 4,117 +364 $426
     MHK4,117+364$426
AMDOCS LTD 479,569 -420,007 $421
     DOX479,569-420,007$421
BIOGEN INC 161,591 -180,219 $418
     BIIB161,591-180,219$418
NETGEAR INC 28,364 UNCH $414
     NTGR28,364UNCH$414
ROBINHOOD MKTS INC 32,382 +8,796 $413
     HOOD32,382+8,796$413
BROADRIDGE FINL SOLUTIONS IN 200,371 +134,911 $412
     BR200,371+134,911$412
ARCHER DANIELS MIDLAND CO 558,912 -330,502 $404
     ADM558,912-330,502$404
BUILDERS FIRSTSOURCE INC 242,245 -69,103 $404
     BLDR242,245-69,103$404
AMERICAN INTL GROUP INC 587,359 -842,587 $398
     AIG587,359-842,587$398
REPUBLIC SVCS INC 241,770 -196,719 $394
     RSG241,770-196,719$394
HAVERTY FURNITURE COS INC 10,880 -10,529 $386
     HVT10,880-10,529$386
AUTODESK INC 158,115 -148,021 $385
     ADSK158,115-148,021$385
SQUARESPACE INC 11,678 UNCH $385
     SQSP11,678UNCH$385
PREFERRED BK LOS ANGELES CA 4,990 UNCH $365
     PFBC4,990UNCH$365
SPS COMM INC 1,883 -1,494 $365
     SPSC1,883-1,494$365
VEEVA SYS INC 206,220 +50,868 $365
     VEEV206,220+50,868$365
NIO INC 40,150 -1,028,872 $364
     NIO40,150-1,028,872$364
FTI CONSULTING INC 1,809 UNCH $360
     FCN1,809UNCH$360
UNIVERSAL HLTH SVCS INC 2,331 -31,109 $355
     UHS2,331-31,109$355
BROWN & BROWN INC 496,310 +98,547 $353
     BRO496,310+98,547$353
HUNT J B TRANS SVCS INC 1,751 -2,718 $350
     JBHT1,751-2,718$350
KEYSIGHT TECHNOLOGIES INC 235,523 -299,935 $348
     KEYS235,523-299,935$348
BAKER HUGHES COMPANY 1,000,854 -134,181 $342
     BKR1,000,854-134,181$342
YETI HLDGS INC 6,527 +6,527 $338
     YETI6,527+6,527$338
ANALOG DEVICES INC 169,955 -109,491 $337
     ADI169,955-109,491$337
GENETRON HLDGS LTD 91,293 -182,589 $336
     GTH91,293-182,589$336
PRICESMART INC 4,424 +4,424 $335
     PSMT4,424+4,424$335
REVVITY INC 3,056 +3,056 $334
     RVTY3,056+3,056$334
WNS HLDGS LTD 5,271 -82,830 $333
     WNS5,271-82,830$333
AMERICAN HOMES 4 RENT 918,067 +419,385 $330
     AMH918,067+419,385$330
BERKSHIRE HATHAWAY INC DEL      $324
     BRK.B194,003-121,553$324
BLOCK INC 416,317 -154,610 $322
     SQ416,317-154,610$322
ALLY FINL INC 920,506 -697,039 $321
     ALLY920,506-697,039$321
WINGSTOP INC 1,226 UNCH $315
     WING1,226UNCH$315
IRONWOOD PHARMACEUTICALS INC 27,336 UNCH $313
     IRWD27,336UNCH$313
JFROG LTD 8,946 UNCH $310
     FROG8,946UNCH$310
NEOGENOMICS INC 18,885 -13,309 $306
     NEO18,885-13,309$306
CSG SYS INTL INC 5,728 UNCH $305
     CSGS5,728UNCH$305
TAIWAN SEMICONDUCTOR MFG LTD 295,873 -217,112 $305
     TSM295,873-217,112$305
CORE & MAIN INC 7,422 +5,203 $300
     CNM7,422+5,203$300
PLDT INC 12,660 +279 $297
     PHI12,660+279$297
MEDPACE HLDGS INC 957 UNCH $293
     MEDP957UNCH$293
MAXLINEAR INC 12,268 UNCH $292
     MXL12,268UNCH$292
STRIDE INC 4,888 +4,888 $290
     LRN4,888+4,888$290
CRITEO S A 11,350 +822 $287
     CRTO11,350+822$287
TEEKAY TANKERS LTD 5,663 -3,251 $283
     TNK5,663-3,251$283
AUTOMATIC DATA PROCESSING IN 121,192 -28,713 $282
     ADP121,192-28,713$282
CUMMINS INC 112,463 -175,155 $282
     CMI112,463-175,155$282
DELUXE CORP 13,038 UNCH $280
     DLX13,038UNCH$280
INTEGRAL AD SCIENCE HLDNG CO 19,289 -23,399 $278
     IAS19,289-23,399$278
LIBERTY GLOBAL LTD 15,635 -40,828 $278
     LBTYA15,635-40,828$278
XYLEM INC 240,337 -202,764 $271
     XYL240,337-202,764$271
GRAND CANYON ED INC 185,539 -82,371 $269
     LOPE185,539-82,371$269
LIGAND PHARMACEUTICALS INC 3,562 UNCH $254
     LGND3,562UNCH$254
CONOCOPHILLIPS 201,731 -36,997 $250
     COP201,731-36,997$250
PPG INDS INC 157,806 -97,655 $249
     PPG157,806-97,655$249
ENPHASE ENERGY INC 1,876 -3,311 $248
     ENPH1,876-3,311$248
SIMON PPTY GROUP INC NEW 188,079 -44,178 $245
     SPG188,079-44,178$245
SUNRUN INC 12,322 +12,322 $242
     RUN12,322+12,322$242
YANDEX N V 12,669 UNCH $240
     YNDX12,669UNCH$240
LANTHEUS HLDGS INC 3,845 -10,523 $238
     LNTH3,845-10,523$238
RADWARE LTD 14,139 +1,774 $236
     RDWR14,139+1,774$236
SENSATA TECHNOLOGIES HLDG PL 6,269 -311,076 $236
     ST6,269-311,076$236
CATERPILLAR INC 79,416 -49,900 $235
     CAT79,416-49,900$235
LIBERTY MEDIA CORP DEL 8,138 +8,138 $234
     LSXMA8,138+8,138$234
LPL FINL HLDGS INC 1,007 -6,708 $229
     LPLA1,007-6,708$229
NATIONAL PRESTO INDS INC 2,854 UNCH $229
     NPK2,854UNCH$229
INMODE LTD 10,273 -94 $228
     INMD10,273-94$228
UDR INC 5,949 +3,507 $228
     UDR5,949+3,507$228
AMERIPRISE FINL INC 59,779 -64,417 $227
     AMP59,779-64,417$227
EASTGROUP PPTYS INC 1,238 +1,238 $227
     EGP1,238+1,238$227
GLOBAL E ONLINE LTD 5,734 UNCH $227
     GLBE5,734UNCH$227
ALLISON TRANSMISSION HLDGS I 384,740 -168,810 $224
     ALSN384,740-168,810$224
AON PLC 76,853 +6,962 $224
     AON76,853+6,962$224
BLOCK H & R INC 461,386 -16,143 $223
     HRB461,386-16,143$223
RIVIAN AUTOMOTIVE INC 9,080 -5,154 $213
     RIVN9,080-5,154$213
BOSTON SCIENTIFIC CORP 365,204 -100,497 $211
     BSX365,204-100,497$211
AMERICAN EXPRESS CO 109,524 -31,430 $205
     AXP109,524-31,430$205
MODINE MFG CO 3,378 -3,834 $202
     MOD3,378-3,834$202
NXP SEMICONDUCTORS N V 90,388 -157,135 $201
     NXPI90,388-157,135$201
TRAVELERS COMPANIES INC 101,393 -215,472 $201
     TRV101,393-215,472$201
MR COOPER GROUP INC 3,078 -3,847 $200
     COOP3,078-3,847$200
WEIS MKTS INC 3,021 -40,894 $193
     WMK3,021-40,894$193
ARROW ELECTRS INC 140,025 -169,093 $188
     ARW140,025-169,093$188
AUTOHOME INC 669,619 -625,941 $188
     ATHM669,619-625,941$188
APTIV PLC 206,985 -123,023 $186
     APTV206,985-123,023$186
AMETEK INC 114,663 -62,709 $181
     AME114,663-62,709$181
BOOZ ALLEN HAMILTON HLDG COR 138,034 -83,768 $177
     BAH138,034-83,768$177
CRANE NXT CO 3,081 UNCH $175
     CXT3,081UNCH$175
ALIGN TECHNOLOGY INC 63,479 -8,423 $174
     ALGN63,479-8,423$174
KEYCORP 12,056 -225,124 $174
     KEY12,056-225,124$174
FIRST FINL CORP IND 4,001 -792 $172
     THFF4,001-792$172
EAGLE MATLS INC 841 -1,165 $171
     EXP841-1,165$171
WATERSTONE FINL INC MD 12,001 UNCH $170
     WSBF12,001UNCH$170
AGCO CORP 132,254 +27,657 $167
     AGCO132,254+27,657$167
BANCORP INC DEL 432,500 -152,500 $167
     TBBK432,500-152,500$167
M & T BK CORP 1,214 -11,157 $166
     MTB1,214-11,157$166
BLACKROCK INC 20,335 -23,037 $165
     BLK20,335-23,037$165
FOX CORP 5,891 -21,098 $163
     FOX5,891-21,098$163
NVE CORP 2,069 UNCH $162
     NVEC2,069UNCH$162
STERICYCLE INC 3,144 +3,144 $156
     SRCL3,144+3,144$156
AVNET INC 306,275 -89,453 $154
     AVT306,275-89,453$154
AXON ENTERPRISE INC 59,319 +54,160 $153
     AXON59,319+54,160$153
STERIS PLC 687 -74 $151
     STE687-74$151
ARISTA NETWORKS INC 62,174 -92,755 $146
     ANET62,174-92,755$146
NMI HLDGS INC 4,881 +4,881 $145
     NMIH4,881+4,881$145
BOSTON PROPERTIES INC 205,047 -95,467 $144
     BXP205,047-95,467$144
SPOTIFY TECHNOLOGY S A 75,125 +70,189 $143
     SPOT75,125+70,189$143
GUIDEWIRE SOFTWARE INC 138,965 -60,282 $142
     GWRE138,965-60,282$142
BANCOLOMBIA S A 458,489 -752,274 $141
     CIB458,489-752,274$141
GRUPO TELEVISA S A B 42,115 -255,674 $141
     TV42,115-255,674$141
GODADDY INC 1,279 -80,416 $136
     GDDY1,279-80,416$136
MANHATTAN ASSOCIATES INC 64,764 -20,964 $136
     MANH64,764-20,964$136
RLI CORP 1,013 UNCH $135
     RLI1,013UNCH$135
PENUMBRA INC 527 -420 $133
     PEN527-420$133
SIMPSON MFG INC 656 UNCH $130
     SSD656UNCH$130
ALTRIA GROUP INC 320,484 -111,348 $129
     MO320,484-111,348$129
TRACTOR SUPPLY CO 598 -17,836 $129
     TSCO598-17,836$129
HAEMONETICS CORP MASS 1,495 -2,557 $128
     HAE1,495-2,557$128
KINSALE CAP GROUP INC 377 +377 $126
     KNSL377+377$126
NORTHERN TR CORP 1,493 -14,704 $126
     NTRS1,493-14,704$126
BORGWARNER INC 348,738 -374,478 $125
     BWA348,738-374,478$125
BEST BUY INC 153,998 -448,442 $121
     BBY153,998-448,442$121
BIONTECH SE 110,790 -25,594 $117
     BNTX110,790-25,594$117
FEDERAL RLTY INVT TR NEW 117,011 +12,011 $117
     FRT117,011+12,011$117
HERBALIFE LTD 7,597 -15,558 $116
     HLF7,597-15,558$116
ALEXANDRIA REAL ESTATE EQ IN 84,171 -7,956 $107
     ARE84,171-7,956$107
ANSYS INC 29,306 -3,816 $106
     ANSS29,306-3,816$106
MIDLAND STATES BANCORP INC 3,809 UNCH $105
     MSBI3,809UNCH$105
N ABLE INC 7,958 UNCH $105
     NABL7,958UNCH$105
TARGET CORP 72,574 +16,276 $103
     TGT72,574+16,276$103
SOLAREDGE TECHNOLOGIES INC 1,088 -31,129 $102
     SEDG1,088-31,129$102
TWILIO INC 1,339 +167 $102
     TWLO1,339+167$102
APTARGROUP INC 80,774 -113,254 $100
     ATR80,774-113,254$100
CONSTELLATION BRANDS INC 405 -9,886 $98
     STZ405-9,886$98
YEXT INC 15,568 -17,093 $92
     YEXT15,568-17,093$92
AECOM 96,856 -641,113 $90
     ACM96,856-641,113$90
TE CONNECTIVITY LTD 66,098 -5,325 $90
     TEL66,098-5,325$90
ACUITY BRANDS INC 43,320 -20,332 $89
     AYI43,320-20,332$89
CROWN CASTLE INC 81,680 -12,770 $89
     CCI81,680-12,770$89
AGILENT TECHNOLOGIES INC 62,825 -14,693 $88
     A62,825-14,693$88
PIONEER NAT RES CO 38,822 -149,032 $86
     PXD38,822-149,032$86
TERADYNE INC 85,226 +37,526 $86
     TER85,226+37,526$86
BRIGHTHOUSE FINL INC 157,675 -100,095 $83
     BHF157,675-100,095$83
GENIUS SPORTS LIMITED 13,371 UNCH $83
     GENI13,371UNCH$83
KAROOOOO LTD 3,400 -600 $83
     KARO3,400-600$83
EXTREME NETWORKS 4,637 -7,531 $82
     EXTR4,637-7,531$82
BRADY CORP 137,876 -36,388 $81
     BRC137,876-36,388$81
T MOBILE US INC 47,586 -43,871 $81
     TMUS47,586-43,871$81
VANDA PHARMACEUTICALS INC 19,256 -30,294 $81
     VNDA19,256-30,294$81
TYLER TECHNOLOGIES INC 178 -3,605 $74
     TYL178-3,605$74
REINSURANCE GRP OF AMERICA I 45,817 -47,550 $73
     RGA45,817-47,550$73
ATLASSIAN CORPORATION 30,818 -14,192 $73
     TEAM30,818-14,192$73
ASPEN TECHNOLOGY INC 31,634 +735 $70
     AZPN31,634+735$70
REPLIGEN CORP 390 -680 $70
     RGEN390-680$70
PBF ENERGY INC 1,547 -5,335 $68
     PBF1,547-5,335$68
ASSURANT INC 39,615 +32,840 $67
     AIZ39,615+32,840$67
AVERY DENNISON CORP 32,250 -5,876 $65
     AVY32,250-5,876$65
MONDAY COM LTD 34,044 +691 $65
     MNDY34,044+691$65
PNC FINL SVCS GROUP INC 43,543 -20,193 $65
     PNC43,543-20,193$65
AERCAP HOLDINGS NV 83,931 +10,159 $62
     AER83,931+10,159$62
BRIXMOR PPTY GROUP INC 264,788 -12,365 $62
     BRX264,788-12,365$62
DILLARDS INC 154 -1,152 $62
     DDS154-1,152$62
BECTON DICKINSON & CO 24,507 -6,827 $60
     BDX24,507-6,827$60
VITA COCO CO INC 2,333 +2,333 $60
     COCO2,333+2,333$60
DIAMOND HILL INVT GROUP INC 363 UNCH $60
     DHIL363UNCH$60
GLOBAL SHIP LEASE INC NEW 3,036 UNCH $60
     GSL3,036UNCH$60
BLACKLINE INC 95,000 UNCH $59
     BL95,000UNCH$59
CARLYLE GROUP INC 145,297 -66,178 $59
     CG145,297-66,178$59
INTAPP INC 1,563 UNCH $59
     INTA1,563UNCH$59
LEGALZOOM COM INC 5,113 UNCH $58
     LZ5,113UNCH$58
CAMPBELL SOUP CO 130,651 -198,737 $56
     CPB130,651-198,737$56
APARTMENT INCOME REIT CORP 157,000 UNCH $55
     AIRC157,000UNCH$55
BGC GROUP INC 750,000 +50,000 $54
     BGC750,000+50,000$54
CITIZENS FINL GROUP INC 1,619 -460 $54
     CFG1,619-460$54
CINCINNATI FINL CORP 47,999 +23,477 $53
     CINF47,999+23,477$53
RAYMOND JAMES FINL INC 464 -1,281 $52
     RJF464-1,281$52
APOLLO GLOBAL MGMT INC 55,181 -131,405 $51
     APO55,181-131,405$51
NRG ENERGY INC 979 +979 $51
     NRG979+979$51
ATMOS ENERGY CORP 42,938 -12,143 $50
     ATO42,938-12,143$50
SCIENCE APPLICATIONS INTL CO 42,067 -7,731 $50
     SAIC42,067-7,731$50
US BANCORP DEL 1,132 -50,829 $49
     USB1,132-50,829$49
GLOBAL PMTS INC 34,922 +7,369 $48
     GPN34,922+7,369$48
BUCKLE INC 98,713 -122,371 $47
     BKE98,713-122,371$47
HURON CONSULTING GROUP INC 42,511 -2,066 $46
     HURN42,511-2,066$46
TARGA RES CORP 526 -45,888 $46
     TRGP526-45,888$46
AMERICAN WTR WKS CO INC NEW 33,604 -10,178 $44
     AWK33,604-10,178$44
COMPANIA CERVECERIAS UNIDAS 3,515 -156,973 $44
     CCU3,515-156,973$44
EXP WORLD HLDGS INC 2,816 -2,620 $44
     EXPI2,816-2,620$44
CARLISLE COS INC 13,841 +3,815 $43
     CSL13,841+3,815$43
ZHIHU INC 42,000 -3,000 $42
     ZH42,000-3,000$42
ALNYLAM PHARMACEUTICALS INC 20,549 +12,513 $39
     ALNY20,549+12,513$39
DIAMONDBACK ENERGY INC 242 UNCH $38
     FANG242UNCH$38
WHIRLPOOL CORP 27,135 -59,208 $36
     WHR27,135-59,208$36
FMC CORP 522 -33,511 $33
     FMC522-33,511$33
PHILIP MORRIS INTL INC 33,240 -28,416 $33
     PM33,240-28,416$33
COMPANHIA DE SANEAMENTO BASI 2,140 -655,689 $33
     SBS2,140-655,689$33
AMERICA MOVIL SAB DE CV 172,498 -965,597 $32
     AMX172,498-965,597$32
AVANGRID INC 96,754 +92,698 $31
     AGR96,754+92,698$31
DARDEN RESTAURANTS INC 189 -37,178 $31
     DRI189-37,178$31
POSCO HOLDINGS INC 30,214 -47,719 $31
     PKX30,214-47,719$31
ALLEGION PLC 23,634 +3,823 $30
     ALLE23,634+3,823$30
REGAL REXNORD CORPORATION 21,495 -2,331 $30
     RRX21,495-2,331$30
WHITE MTNS INS GROUP LTD 19,435 -12,477 $30
     WTM19,435-12,477$30
CARRIER GLOBAL CORPORATION 50,978 -13,736 $29
     CARR50,978-13,736$29
LIBERTY MEDIA CORP DEL 1,010 -66 $29
     LSXMK1,010-66$29
ATLANTICA SUSTAINABLE INFR P 125,842 +125,842 $27
     AY125,842+125,842$27
BUNGE GLOBAL SA 26,461 -10,227 $27
     BG26,461-10,227$27
CLEVELAND CLIFFS INC NEW 1,337 -75,631 $27
     CLF1,337-75,631$27
BOEING CO 10,095 -21,822 $26
     BA10,095-21,822$26
BERKLEY W R CORP 36,324 -2,167 $26
     WRB36,324-2,167$26
ALBEMARLE CORP 16,313 -10,144 $24
     ALB16,313-10,144$24
APA CORPORATION 67,412 -79,033 $24
     APA67,412-79,033$24
UIPATH INC 962 -331,753 $24
     PATH962-331,753$24
BATH & BODY WORKS INC 53,627 -630,917 $23
     BBWI53,627-630,917$23
CAMDEN PPTY TR 23,267 -4,965 $23
     CPT23,267-4,965$23
STAR BULK CARRIERS CORP. 1,037 UNCH $22
     SBLK1,037UNCH$22
BOISE CASCADE CO DEL 16,434 -3,032 $21
     BCC16,434-3,032$21
LUCID GROUP INC 4,590 -8,671 $19
     LCID4,590-8,671$19
TEXAS PACIFIC LAND CORPORATI 12 -704 $19
     TPL12-704$19
ZENVIA INC 15,683 UNCH $19
     ZENV15,683UNCH$19
ABBOTT LABS 159,477 -79,780 $18
     ABT159,477-79,780$18
ASSURED GUARANTY LTD 24,485 -8,324 $18
     AGO24,485-8,324$18
CARGURUS INC 75,136 -35,310 $18
     CARG75,136-35,310$18
IHS HOLDING LIMITED 4,000 -144,000 $18
     IHS4,000-144,000$18
MCGRATH RENTCORP 16,057 -1,883 $18
     MGRC16,057-1,883$18
ACCO BRANDS CORP 264,159 -53,117 $16
     ACCO264,159-53,117$16
CAESARS ENTERTAINMENT INC NE 34,114 -2,207 $16
     CZR34,114-2,207$16
RESMED INC 93 -8,349 $16
     RMD93-8,349$16
BADGER METER INC 9,885 -349 $15
     BMI9,885-349$15
U HAUL HOLDING COMPANY      $15
     UHAL.B12,969-1,902$15
AMERISAFE INC 29,564 -33,909 $14
     AMSF29,564-33,909$14
BIOMARIN PHARMACEUTICAL INC 13,875 -11,292 $14
     BMRN13,875-11,292$14
DEVON ENERGY CORP NEW 303 -38,826 $14
     DVN303-38,826$14
AXCELIS TECHNOLOGIES INC 10,249 -1,074 $13
     ACLS10,249-1,074$13
BELLRING BRANDS INC 22,755 +13,404 $13
     BRBR22,755+13,404$13
AIR PRODS & CHEMS INC 4,336 -4,379 $12
     APD4,336-4,379$12
ANGLOGOLD ASHANTI PLC 61,829 -292,638 $12
     AU61,829-292,638$12
BURLINGTON STORES INC 6,318 -2,381 $12
     BURL6,318-2,381$12
BRANDYWINE RLTY TR 209,784 +87,583 $11
     BDN209,784+87,583$11
3M CO 96,423 -113,088 $11
     MMM96,423-113,088$11
WEATHERFORD INTL PLC 11,319 -1,733 $11
     WFRD11,319-1,733$11
ALKERMES PLC 37,463 +23,661 $10
     ALKS37,463+23,661$10
ENTEGRIS INC 86 -4,450 $10
     ENTG86-4,450$10
ARM HOLDINGS PLC 11,938 +11,938 $9
     ARM11,938+11,938$9
AVANTOR INC 37,824 +18,809 $9
     AVTR37,824+18,809$9
CDW CORP 4,155 -5,392 $9
     CDW4,155-5,392$9
BROWN FORMAN CORP      $8
     BF.B0-23,198$8
BENTLEY SYS INC 14,772 -13,349 $8
     BSY14,772-13,349$8
CNH INDL N V 629 +629 $8
     CNHI629+629$8
ADEIA INC 54,107 -37,370 $7
     ADEA54,107-37,370$7
BANCO SANTANDER CHILE NEW 33,419 -16,186 $7
     BSAC33,419-16,186$7
BENCHMARK ELECTRS INC 20,976 -5,642 $6
     BHE20,976-5,642$6
CLOUDFLARE INC 73 -7,961 $6
     NET73-7,961$6
NATIONAL HEALTHCARE CORP 5,811 -1,694 $6
     NHC5,811-1,694$6
TENNANT CO 6,037 +6,037 $6
     TNC6,037+6,037$6
ALCON AG 6,756 +3,012 $5
     ALC6,756+3,012$5
C H ROBINSON WORLDWIDE INC 5,444 -41,181 $5
     CHRW5,444-41,181$5
INTER PARFUMS INC 3,232 -1,494 $5
     IPAR3,232-1,494$5
TORO CO 52 -6,520 $5
     TTC52-6,520$5
ARCTURUS THERAPEUTICS HLDGS 11,842 UNCH $4
     ARCT11,842UNCH$4
BIO RAD LABS INC 1,242 -744 $4
     BIO1,242-744$4
DOVER CORP 24 -4,727 $4
     DOV24-4,727$4
ALBERTSONS COS INC 11,627 -3,060 $3
     ACI11,627-3,060$3
ALLSTATE CORP 1,819 -9,938 $3
     ALL1,819-9,938$3
AMPHENOL CORP NEW 2,571 -12,976 $3
     APH2,571-12,976$3
APPLOVIN CORP 8,309 +7,186 $3
     APP8,309+7,186$3
APPFOLIO INC 1,830 +1,830 $3
     APPF1,830+1,830$3
ARES MANAGEMENT CORPORATION 2,089 +1,380 $3
     ARES2,089+1,380$3
AXIS CAP HLDGS LTD 4,661 UNCH $3
     AXS4,661UNCH$3
BANCO DE CHILE 11,895 -11,154 $3
     BCH11,895-11,154$3
BRIGHTSPHERE INVT GROUP INC 16,232 -4,190 $3
     BSIG16,232-4,190$3
CCC INTELLIGENT SOLUTIONS HL 26,995 +26,995 $3
     CCCS26,995+26,995$3
HEICO CORP NEW 2,056 -1,353 $3
     HEI2,056-1,353$3
WATSCO INC 8 -43 $3
     WSO8-43$3
AMEREN CORP 3,027 UNCH $2
     AEE3,027UNCH$2
BAXTER INTL INC 5,573 -49,388 $2
     BAX5,573-49,388$2
BANCO SANTANDER BRASIL S A 25,170 -184,870 $2
     BSBR25,170-184,870$2
CELANESE CORP DEL 16 -32,431 $2
     CE16-32,431$2
BIO TECHNE CORP 2,826 -450 $2
     TECH2,826-450$2
TELEFLEX INCORPORATED 9 UNCH $2
     TFX9UNCH$2
ADTALEM GLOBAL ED INC 1,405 UNCH $1
     ATGE1,405UNCH$1
ALIBABA GROUP HLDG LTD 1,576 -53,360 $1
     BABA1,576-53,360$1
BALL CORP 2,244 -35,975 $1
     BALL2,244-35,975$1
BREAD FINANCIAL HOLDINGS INC 3,007 -4,615 $1
     BFH3,007-4,615$1
ENSTAR GROUP LIMITED 392 -655 $1
     ESGR392-655$1
ANNALY CAPITAL MANAGEMENT IN 7,651 -9,712 $1
     NLY7,651-9,712$1
ATRENEW INC 28,000 -2,000 $1
     RERE28,000-2,000$1
ADDUS HOMECARE CORP 0 UNCH $0
     ADUS0UNCH$0
AFYA LTD 2,000 +2,000 <$1
     AFYA2,000+2,000$0
AIR LEASE CORP 0 UNCH $0
     AL0UNCH$0
ALARM COM HLDGS INC 0 UNCH $0
     ALRM0UNCH$0
AUTOLIV INC 0 UNCH $0
     ALV0UNCH$0
AMBAC FINL GROUP INC 0 UNCH $0
     AMBC0UNCH$0
AMCOR PLC 2,843 -409,898 <$1
     AMCR2,843-409,898$0
AMERICAN WOODMARK CORPORATIO 0 UNCH $0
     AMWD0UNCH$0
ANDERSONS INC 701 +701 <$1
     ANDE701+701$0
ABERCROMBIE & FITCH CO 0 -114 $0
     ANF0-114$0
ANI PHARMACEUTICALS INC 0 -3,254 $0
     ANIP0-3,254$0
APOGEE ENTERPRISES INC 0 UNCH $0
     APOG0UNCH$0
ARRAY TECHNOLOGIES INC 0 -2,621 $0
     ARRY0-2,621$0
ATKORE INC 0 -1,741 $0
     ATKR0-1,741$0
ATRICURE INC 0 UNCH $0
     ATRC0UNCH$0
ARMSTRONG WORLD INDS INC NEW 0 UNCH $0
     AWI0UNCH$0
BANCO BRADESCO S A 0 -1,056,293 $0
     BBD0-1,056,293$0
BEACON ROOFING SUPPLY INC 0 UNCH $0
     BECN0UNCH$0
BERRY GLOBAL GROUP INC 0 UNCH $0
     BERY0UNCH$0
BEIGENE LTD 0 -5,928 $0
     BGNE0-5,928$0
BILIBILI INC 0 -168,521 $0
     BILI0-168,521$0
BILL HOLDINGS INC 267 -30,936 <$1
     BILL267-30,936$0
BLUEPRINT MEDICINES CORP 0 UNCH $0
     BPMC0UNCH$0
BLACKSTONE INC 246 -25,558 <$1
     BX246-25,558$0
BLUELINX HLDGS INC 0 -544 $0
     BXC0-544$0
BEAZER HOMES USA INC 0 UNCH $0
     BZH0UNCH$0
CONAGRA BRANDS INC 0 -463,495 $0
     CAG0-463,495$0
CARNIVAL CORP 0 -1,189 $0
     CCL0-1,189$0
CENTURY CMNTYS INC 0 UNCH $0
     CCS0UNCH$0
CLEAN HARBORS INC 0 -1,850 $0
     CLH0-1,850$0
COMERICA INC 0 -4,967 $0
     CMA0-4,967$0
COUPANG INC 0 UNCH $0
     CPNG0UNCH$0
COREBRIDGE FINL INC 0 UNCH $0
     CRBG0UNCH$0
CALIFORNIA RES CORP 0 UNCH $0
     CRC0UNCH$0
CARTERS INC 0 UNCH $0
     CRI0UNCH$0
CARPENTER TECHNOLOGY CORP 0 UNCH $0
     CRS0UNCH$0
CENTERSPACE 0 UNCH $0
     CSR0UNCH$0
CATALENT INC 0 -3,581 $0
     CTLT0-3,581$0
CORTEVA INC 0 -113,299 $0
     CTVA0-113,299$0
CAVCO INDS INC DEL 0 -220 $0
     CVCO0-220$0
COVENANT LOGISTICS GROUP INC 0 UNCH $0
     CVLG0UNCH$0
SPRINKLR INC 0 -13,493 $0
     CXM0-13,493$0
DOMINION ENERGY INC 0 -14,390 $0
     D0-14,390$0
EASTERLY GOVT PPTYS INC 0 -4,542 $0
     DEA0-4,542$0
DREAM FINDERS HOMES INC 0 UNCH $0
     DFH0UNCH$0
DONNELLEY FINL SOLUTIONS INC 0 UNCH $0
     DFIN0UNCH$0
DT MIDSTREAM INC 1 UNCH <$1
     DTM1UNCH$0
DYNAVAX TECHNOLOGIES CORP 0 UNCH $0
     DVAX0UNCH$0
EASTERN BANKSHARES INC (EBC) 0 UNCH $0
     EBC0UNCH$0
ECOPETROL S A 0 -490,047 $0
     EC0-490,047$0
ENCOMPASS HEALTH CORP 0 UNCH $0
     EHC0UNCH$0
ENOVIS CORPORATION 0 UNCH $0
     ENOV0UNCH$0
EPR PPTYS 0 UNCH $0
     EPR0UNCH$0
ELASTIC N V 0 UNCH $0
     ESTC0UNCH$0
EVERTEC INC 0 UNCH $0
     EVTC0UNCH$0
FB FINL CORP 0 UNCH $0
     FBK0UNCH$0
FRANKLIN COVEY CO 0 -1,226 $0
     FC0-1,226$0
FIRSTCASH HOLDINGS INC 0 UNCH $0
     FCFS0UNCH$0
FRESH DEL MONTE PRODUCE INC 0 UNCH $0
     FDP0UNCH$0
FEDERATED HERMES INC 0 UNCH $0
     FHI0UNCH$0
FORESTAR GROUP INC 0 UNCH $0
     FOR0UNCH$0
GOODRX HLDGS INC 0 UNCH $0
     GDRX0UNCH$0
GDS HLDGS LTD 0 -48,553 $0
     GDS0-48,553$0
GREIF INC 0 UNCH $0
     GEF0UNCH$0
GRIFFON CORP 0 UNCH $0
     GFF0UNCH$0
GERDAU SA 0 -223,881 $0
     GGB0-223,881$0
G III APPAREL GROUP LTD 0 UNCH $0
     GIII0UNCH$0
GMS INC 0 UNCH $0
     GMS0UNCH$0
GULFPORT ENERGY CORP 0 UNCH $0
     GPOR0UNCH$0
GAP INC 0 UNCH $0
     GPS0UNCH$0
GREEN BRICK PARTNERS INC 0 UNCH $0
     GRBK0UNCH$0
HALOZYME THERAPEUTICS INC 0 UNCH $0
     HALO0UNCH$0
HEALTH CATALYST INC 0 UNCH $0
     HCAT0UNCH$0
WARRIOR MET COAL INC 0 UNCH $0
     HCC0UNCH$0
HACKETT GROUP INC 0 UNCH $0
     HCKT0UNCH$0
HAMILTON LANE INC 0 UNCH $0
     HLNE0UNCH$0
HEALTHEQUITY INC 0 UNCH $0
     HQY0UNCH$0
HILLTOP HOLDINGS INC 0 UNCH $0
     HTH0UNCH$0
INSTALLED BLDG PRODS INC 0 UNCH $0
     IBP0UNCH$0
IMAX CORP 0 UNCH $0
     IMAX0UNCH$0
INTERNATIONAL SEAWAYS INC 0 UNCH $0
     INSW0UNCH$0
INTEGER HLDGS CORP 0 UNCH $0
     ITGR0UNCH$0
ITRON INC 0 -893 $0
     ITRI0-893$0
JELD WEN HLDG INC 0 UNCH $0
     JELD0UNCH$0
KINGSOFT CLOUD HLDGS LTD 0 -137,179 $0
     KC0-137,179$0
CARMAX INC 106 -403 <$1
     KMX106-403$0
KINIKSA PHARMACEUTICALS LTD 0 UNCH $0
     KNSA0UNCH$0
KITE RLTY GROUP TR 0 UNCH $0
     KRG0UNCH$0
KEARNY FINL CORP MD 0 -9,091 $0
     KRNY0-9,091$0
LIBERTY ENERGY INC 0 UNCH $0
     LBRT0UNCH$0
LI AUTO INC 0 -690,063 $0
     LI0-690,063$0
LIVANOVA PLC 0 UNCH $0
     LIVN0UNCH$0
LEMAITRE VASCULAR INC 0 UNCH $0
     LMAT0UNCH$0
LINCOLN NATL CORP IND 0 -2,961 $0
     LNC0-2,961$0
LSB INDS INC 0 UNCH $0
     LXU0UNCH$0
MATSON INC 0 UNCH $0
     MATX0UNCH$0
MIMEDX GROUP INC 0 -10,131 $0
     MDXG0-10,131$0
M I HOMES INC 0 UNCH $0
     MHO0UNCH$0
MERIT MED SYS INC 0 UNCH $0
     MMSI0UNCH$0
MOVADO GROUP INC 0 -8,604 $0
     MOV0-8,604$0
MANITOWOC CO INC 0 UNCH $0
     MTW0UNCH$0
MURPHY OIL CORP 0 UNCH $0
     MUR0UNCH$0
MURAL ONCOLOGY PUB LTD CO 2,556 +2,556 <$1
     MURAV2,556+2,556$0
NCR VOYIX CORPORATION 0 UNCH $0
     NCR0UNCH$0
NATIONAL FUEL GAS CO 0 UNCH $0
     NFG0UNCH$0
NET LEASE OFFICE PROPERTIES 16 +16 <$1
     NLOP16+16$0
NEWMARK GROUP INC 0 UNCH $0
     NMRK0UNCH$0
NATIONAL RESH CORP 0 UNCH $0
     NRC0UNCH$0
NVENT ELECTRIC PLC 0 -2,892 $0
     NVT0-2,892$0
ORASURE TECHNOLOGIES INC 0 UNCH $0
     OSUR0UNCH$0
OCCIDENTAL PETE CORP 0 -12,911 $0
     OXY0-12,911$0
GRUPO AEROPUERTO DEL PACIFIC 0 -20,283 $0
     PAC0-20,283$0
PROCORE TECHNOLOGIES INC 0 -1,202 $0
     PCOR0-1,202$0
PEGASYSTEMS INC 0 UNCH $0
     PEGA0UNCH$0
PROGYNY INC 0 UNCH $0
     PGNY0UNCH$0
POST HLDGS INC 0 -22,711 $0
     POST0-22,711$0
PERRIGO CO PLC 0 UNCH $0
     PRGO0UNCH$0
PVH CORPORATION 0 -2,491 $0
     PVH0-2,491$0
QUANTERIX CORP 0 -2,470 $0
     QTRX0-2,470$0
RYDER SYS INC 0 UNCH $0
     R0UNCH$0
REV GROUP INC 0 UNCH $0
     REVG0UNCH$0
RITHM CAPITAL CORP 0 UNCH $0
     RITM0UNCH$0
RALPH LAUREN CORP 0 -4,614 $0
     RL0-4,614$0
RENAISSANCERE HLDGS LTD 0 UNCH $0
     RNR0UNCH$0
GIBRALTAR INDS INC 0 UNCH $0
     ROCK0UNCH$0
RUSH ENTERPRISES INC 0 UNCH $0
     RUSHA0UNCH$0
SABRA HEALTH CARE REIT INC 0 UNCH $0
     SBRA0UNCH$0
SEABOARD CORP DEL 0 UNCH $0
     SEB0UNCH$0
SELECT MED HLDGS CORP 0 UNCH $0
     SEM0UNCH$0
SURGERY PARTNERS INC 0 UNCH $0
     SGRY0UNCH$0
SHOALS TECHNOLOGIES GROUP IN 0 -5,704 $0
     SHLS0-5,704$0
SITE CTRS CORP 0 UNCH $0
     SITC0UNCH$0
TANGER INC 0 UNCH $0
     SKT0UNCH$0
SKYWEST INC 0 UNCH $0
     SKYW0UNCH$0
TD SYNNEX CORPORATION 0 UNCH $0
     SNX0UNCH$0
SPECTRUM BRANDS HLDGS INC NE 0 UNCH $0
     SPB0UNCH$0
SHUTTERSTOCK INC 0 -2,171 $0
     SSTK0-2,171$0
STAG INDL INC 0 UNCH $0
     STAG0UNCH$0
STMICROELECTRONICS N V 0 -3,138 $0
     STM0-3,138$0
SOUTHWEST GAS HLDGS INC 0 UNCH $0
     SWX0UNCH$0
TELEPHONE & DATA SYS INC 0 UNCH $0
     TDS0UNCH$0
TENABLE HLDGS INC 0 UNCH $0
     TENB0UNCH$0
TENET HEALTHCARE CORP 0 UNCH $0
     THC0UNCH$0
INTERFACE INC 0 UNCH $0
     TILE0UNCH$0
P T TELEKOMUNIKASI INDONESIA 0 -28,407 $0
     TLK0-28,407$0
TAPESTRY INC 0 -27,516 $0
     TPR0-27,516$0
TTM TECHNOLOGIES INC 0 -16,201 $0
     TTMI0-16,201$0
TITAN INTL INC ILL 0 UNCH $0
     TWI0UNCH$0
UNITY SOFTWARE INC 0 -411 $0
     U0-411$0
UFP TECHNOLOGIES INC 0 -19 $0
     UFPT0-19$0
UPBOUND GROUP INC 0 UNCH $0
     UPBD0UNCH$0
UNITED STATES CELLULAR CORP 0 UNCH $0
     USM0UNCH$0
VIMEO INC 0 UNCH $0
     VMEO0UNCH$0
VIPER ENERGY INC 0 UNCH $0
     VNOM0UNCH$0
VARONIS SYS INC 0 UNCH $0
     VRNS0UNCH$0
VICTORIAS SECRET AND CO 2 UNCH <$1
     VSCO2UNCH$0
WESTAMERICA BANCORPORATION 0 UNCH $0
     WABC0UNCH$0
WENDYS CO 0 UNCH $0
     WEN0UNCH$0
WHITESTONE REIT 0 UNCH $0
     COM0UNCH$0
WINTRUST FINL CORP 0 UNCH $0
     WTFC0UNCH$0
XPENG INC 0 -224,464 $0
     XPEV0-224,464$0
XPO INC 0 UNCH $0
     XPO0UNCH$0
DENTSPLY SIRONA INC 0 -838,117 $0
     XRAY0-838,117$0
OLYMPIC STEEL INC 0 UNCH $0
     ZEUS0UNCH$0
ZIM INTEGRATED SHIPPING SERV 0 -176 $0
     ZIM0-176$0
ZAI LAB LTD 0 -58,998 $0
     ZLAB0-58,998$0
ZYMEWORKS INC 0 +0 $0
     ZYME0UNCH$0
ABCAM PLC $0 (exited)
     ABCM0-85,781$0
AMERICAN ELEC PWR CO INC $0 (exited)
     AEP0-10,226$0
AES CORP $0 (exited)
     AES0-321$0
ALLEGRO MICROSYSTEMS INC $0 (exited)
     ALGM0-14,963$0
AMKOR TECHNOLOGY INC $0 (exited)
     AMKR0-12,076$0
ARAMARK $0 (exited)
     ARMK0-7,846$0
A10 NETWORKS INC $0 (exited)
     ATEN0-10,419$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-215,634$0
AVANOS MED INC $0 (exited)
     AVNS0-9,917$0
BELDEN INC $0 (exited)
     BDC0-8,157$0
CAL MAINE FOODS INC $0 (exited)
     CALM0-28,336$0
COGNEX CORP $0 (exited)
     CGNX0-28,993$0
CHEWY INC $0 (exited)
     CHWY0-170$0
CLARIVATE PLC $0 (exited)
     CLVT0-260,702$0
COTY INC $0 (exited)
     COTY0-82,334$0
CANADIAN PACIFIC KANSAS CITY $0 (exited)
     CP0-1,195$0
CRESCENT ENERGY COMPANY $0 (exited)
     CRGY0-31,909$0
DELTA AIR LINES INC DEL $0 (exited)
     DAL0-1,318$0
GRAFTECH INTL LTD $0 (exited)
     EAF0-8,194$0
ENVESTNET INC $0 (exited)
     ENV0-90,000$0
FISERV INC $0 (exited)
     FISV0-1,498,394$0
GLOBAL NET LEASE INC $0 (exited)
     GNL0-8,560$0
GENERAC HLDGS INC $0 (exited)
     GNRC0-10,522$0
GOPRO INC $0 (exited)
     GPRO0-67,387$0
HIMS & HERS HEALTH INC $0 (exited)
     HIMS0-6,745$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-33,021$0
SANFILIPPO JOHN B & SON INC $0 (exited)
     JBSS0-1,009$0
KULICKE & SOFFA INDS INC $0 (exited)
     KLIC0-12,528$0
LEGEND BIOTECH CORP $0 (exited)
     LEGN0-1,903$0
LTC PPTYS INC $0 (exited)
     LTC0-26,827$0
NNN REIT INC $0 (exited)
     NNN0-209,301$0
INSPERITY INC $0 (exited)
     NSP0-708$0
O I GLASS INC $0 (exited)
     OI0-54,414$0
OFFICE PPTYS INCOME TR $0 (exited)
     OPI0-67,554$0
PAR PAC HOLDINGS INC $0 (exited)
     PARR0-3,615$0
PDF SOLUTIONS INC $0 (exited)
     PDFS0-4,083$0
REVVITY INC $0 (exited)
     PKI0-4,168$0
PHOTRONICS INC $0 (exited)
     PLAB0-3,641$0
EVEREST GROUP LTD $0 (exited)
     RE0-140,990$0
RAMBUS INC DEL $0 (exited)
     RMBS0-7,187$0
SINCLAIR INC $0 (exited)
     SBGI0-38,428$0
SEALED AIR CORP NEW $0 (exited)
     SEE0-11,797$0
SEAGEN INC $0 (exited)
     SGEN0-36,576$0
SLM CORP $0 (exited)
     SLM0-13,384$0
SMARTSHEET INC $0 (exited)
     SMAR0-2,953$0
SCHNEIDER NATIONAL INC $0 (exited)
     SNDR0-18,999$0
S & T BANCORP INC $0 (exited)
     STBA0-7,600$0
TRUEBLUE INC $0 (exited)
     TBI0-4,928$0
VECTOR GROUP LTD $0 (exited)
     VGR0-20,978$0
VIR BIOTECHNOLOGY INC $0 (exited)
     VIR0-93,752$0
VMWARE INC $0 (exited)
     VMW0-72,733$0
WAFD INC $0 (exited)
     WAFD0-283,373$0
WEBSTER FINL CORP $0 (exited)
     WBS0-5,342$0
WESTLAKE CORPORATION $0 (exited)
     WLK0-2,200$0
WOLFSPEED INC $0 (exited)
     WOLF0-1,636$0
ZOOMINFO TECHNOLOGIES INC $0 (exited)
     ZI0-93,376$0

See Summary: Robeco Institutional Asset Management B.V. Top Holdings
See Details: Top 10 Stocks Held By Robeco Institutional Asset Management B.V.

EntityShares/Amount
Change
Position Value
Change
EG +98,180+$34,714
IMCR +74,127+$5,064
VLTO +54,389+$4,474
FI +951,152+$1,336
CELH +17,594+$959
ONTO +4,533+$693
ELPC +81,652+$643
YETI +6,527+$338
PSMT +4,424+$335
RVTY +3,056+$334
EntityShares/Amount
Change
Position Value
Change
FISV -1,498,394-$169,259
RE -140,990-$52,402
ATVI -215,634-$20,190
VMW -72,733-$12,109
SGEN -36,576-$7,760
NNN -209,301-$7,397
WAFD -283,373-$7,260
ENV -90,000-$3,963
HZNP -33,021-$3,820
ABCM -85,781-$1,941
EntityShares/Amount
Change
Position Value
Change
GRAB +5,328,992+$17,839
DKNG +651,420+$23,241
WMB +491,488+$17,309
JPM +477,616+$114,021
CTRA +459,713+$11,325
AMH +419,385-$16,471
EL +367,503-$4,116
MTG +313,558+$8,111
VRT +207,785+$10,027
WELL +194,824+$18,025
EntityShares/Amount
Change
Position Value
Change
LU -11,823,625-$7,015
ITUB -10,340,549-$25,591
PBR -8,822,445-$297,731
T -8,477,007-$257,745
IBN -5,351,915-$118,694
INFY -4,903,338-$77,670
VIV -4,681,358-$17,772
CX -4,188,365-$21,505
VIPS -3,998,026-$50,460
Size ($ in 1000's)
At 12/31/2023: $17,710,116
At 09/30/2023: $37,419,648

Combined Holding Report Includes:
Robeco Institutional Asset Management B.V.
Boston Partners
Robeco Schweiz AG
HARBOR CAPITAL ADVISORS INC.
ORIX CORP
ORIX Corp Europe N.V.

Robeco Institutional Asset Management B.V. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Robeco Institutional Asset Management B.V. 13F filings. Link to 13F filings: SEC filings

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