HoldingsChannel.com
All Stocks Held By Shell Asset Management Co.
As of  12/31/2023, we find all stocks held by Shell Asset Management Co. to be as follows, presented in the table below with each row detailing each Shell Asset Management Co. position, ordered by largest to smallest position size. The all-stocks-held-by-Shell Asset Management Co. 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 Shell Asset Management Co. as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 369,810 -100,858 $139,063
     MSFT369,810-100,858$139,063
APPLE INC 674,604 -183,552 $129,882
     AAPL674,604-183,552$129,882
AMAZON COM INC 476,650 -95,614 $72,422
     AMZN476,650-95,614$72,422
NVIDIA CORPORATION 122,200 -27,668 $60,516
     NVDA122,200-27,668$60,516
UNITEDHEALTH GROUP INC 80,150 -19,918 $42,197
     UNH80,150-19,918$42,197
ALPHABET INC 260,674 -49,434 $36,737
     GOOG260,674-49,434$36,737
META PLATFORMS INC 100,015 -26,592 $35,401
     META100,015-26,592$35,401
ALPHABET INC 213,414 -72,527 $29,812
     GOOGL213,414-72,527$29,812
VISA INC 111,031 -28,177 $28,907
     V111,031-28,177$28,907
TESLA INC 109,237 -25,340 $27,143
     TSLA109,237-25,340$27,143
ELI LILLY & CO 45,106 -12,465 $26,293
     LLY45,106-12,465$26,293
COSTCO WHSL CORP NEW 36,477 -9,280 $24,078
     COST36,477-9,280$24,078
MASTERCARD INCORPORATED 55,633 -17,843 $23,728
     MA55,633-17,843$23,728
BROADCOM INC 16,300 -3,053 $18,195
     AVGO16,300-3,053$18,195
BERKSHIRE HATHAWAY INC DEL      $17,039
     BRK.B47,775-13,812$17,039
ABBOTT LABS 148,186 -43,883 $16,311
     ABT148,186-43,883$16,311
ADOBE INC 26,781 -3,553 $15,978
     ADBE26,781-3,553$15,978
HOME DEPOT INC 45,539 -19,803 $15,782
     HD45,539-19,803$15,782
CADENCE DESIGN SYSTEM INC 50,891 -7,390 $13,861
     CDNS50,891-7,390$13,861
BOOKING HOLDINGS INC 3,810 -1,005 $13,515
     BKNG3,810-1,005$13,515
INTUIT 21,348 -5,589 $13,343
     INTU21,348-5,589$13,343
STONEX GROUP INC 175,631 +28,841 $12,967
     SNEX175,631+28,841$12,967
S&P GLOBAL INC 29,252 -2,845 $12,886
     SPGI29,252-2,845$12,886
SERVICENOW INC 18,082 -2,798 $12,775
     NOW18,082-2,798$12,775
MOODYS CORP 32,152 -8,460 $12,557
     MCO32,152-8,460$12,557
REGENERON PHARMACEUTICALS 14,181 -3,448 $12,455
     REGN14,181-3,448$12,455
ROPER TECHNOLOGIES INC 22,844 -6,470 $12,454
     ROP22,844-6,470$12,454
PEPSICO INC 71,194 -16,708 $12,092
     PEP71,194-16,708$12,092
CHIPOTLE MEXICAN GRILL INC 5,045 -1,875 $11,538
     CMG5,045-1,875$11,538
ISHARES TR (INDA) 230,291 +1,600 $11,241
     INDA230,291+1,600$11,241
JPMORGAN CHASE & CO 62,175 -16,275 $10,576
     JPM62,175-16,275$10,576
INTUITIVE SURGICAL INC 30,567 -13,419 $10,312
     ISRG30,567-13,419$10,312
INGREDION INC 94,679 -47,782 $10,276
     INGR94,679-47,782$10,276
DEERE & CO 25,127 -10,349 $10,048
     DE25,127-10,349$10,048
SALESFORCE INC 37,724 -6,486 $9,927
     CRM37,724-6,486$9,927
APPLIED MATLS INC 60,619 -15,746 $9,825
     AMAT60,619-15,746$9,825
TRANSDIGM GROUP INC 9,639 -2,523 $9,751
     TDG9,639-2,523$9,751
ADVANCED MICRO DEVICES INC 64,941 -21,591 $9,573
     AMD64,941-21,591$9,573
ZOETIS INC 48,474 -28,361 $9,567
     ZTS48,474-28,361$9,567
AGNICO EAGLE MINES LTD 167,426 -44,014 $9,197
     AEM167,426-44,014$9,197
ARCHER DANIELS MIDLAND CO 126,445 -44,798 $9,132
     ADM126,445-44,798$9,132
FISERV INC 68,580 +68,580 $9,110
     FI68,580+68,580$9,110
FIDELITY NATL INFORMATION SV 149,029 -21,224 $8,952
     FIS149,029-21,224$8,952
THERMO FISHER SCIENTIFIC INC 16,114 -8,494 $8,553
     TMO16,114-8,494$8,553
CARLISLE COS INC 27,326 -8,154 $8,537
     CSL27,326-8,154$8,537
FAIR ISAAC CORP 6,885 +3,897 $8,014
     FICO6,885+3,897$8,014
AMERICAN TOWER CORP NEW 35,768 +566 $7,722
     AMT35,768+566$7,722
DARLING INGREDIENTS INC 154,044 -48,151 $7,678
     DAR154,044-48,151$7,678
XYLEM INC 67,079 +14,906 $7,671
     XYL67,079+14,906$7,671
BROWN & BROWN INC 107,847 -19,700 $7,669
     BRO107,847-19,700$7,669
MSCI INC 13,477 -3,485 $7,623
     MSCI13,477-3,485$7,623
COSTAR GROUP INC 85,323 -22,563 $7,456
     CSGP85,323-22,563$7,456
PROGRESSIVE CORP 46,354 +6,663 $7,383
     PGR46,354+6,663$7,383
GILEAD SCIENCES INC 88,523 -20,006 $7,171
     GILD88,523-20,006$7,171
MERCK & CO INC 65,319 -16,617 $7,121
     MRK65,319-16,617$7,121
CHEVRON CORP NEW 47,350 -12,221 $7,063
     CVX47,350-12,221$7,063
PALO ALTO NETWORKS INC 23,617 -5,357 $6,964
     PANW23,617-5,357$6,964
UNITY SOFTWARE INC 170,039 -42,856 $6,953
     U170,039-42,856$6,953
FASTENAL CO 105,973 -27,404 $6,864
     FAST105,973-27,404$6,864
DANAHER CORPORATION 29,532 -6,765 $6,832
     DHR29,532-6,765$6,832
ARCH CAP GROUP LTD 90,783 -23,379 $6,742
     ACGL90,783-23,379$6,742
EXXON MOBIL CORP 67,092 -19,281 $6,708
     XOM67,092-19,281$6,708
VERIZON COMMUNICATIONS INC 175,476 -37,403 $6,615
     VZ175,476-37,403$6,615
VERTEX PHARMACEUTICALS INC 16,151 -2,817 $6,572
     VRTX16,151-2,817$6,572
CBOE GLOBAL MKTS INC 35,682 +4,339 $6,371
     CBOE35,682+4,339$6,371
ABBVIE INC 39,601 -9,507 $6,137
     ABBV39,601-9,507$6,137
PAYPAL HLDGS INC 99,747 -25,726 $6,125
     PYPL99,747-25,726$6,125
SILICON LABORATORIES INC 44,732 -11,323 $5,917
     SLAB44,732-11,323$5,917
DISNEY WALT CO 64,857 -16,601 $5,856
     DIS64,857-16,601$5,856
NETFLIX INC 11,930 -1,792 $5,808
     NFLX11,930-1,792$5,808
UNION PAC CORP 23,617 -4,394 $5,801
     UNP23,617-4,394$5,801
AMGEN INC 19,640 -5,287 $5,657
     AMGN19,640-5,287$5,657
ENBRIDGE INC 155,172 -21,494 $5,637
     ENB155,172-21,494$5,637
HONEYWELL INTL INC 26,779 -6,926 $5,616
     HON26,779-6,926$5,616
BROOKFIELD RENEWABLE CORP 193,667 +59,927 $5,602
     BEPC193,667+59,927$5,602
UNITED RENTALS INC 9,658 -2,844 $5,538
     URI9,658-2,844$5,538
SCHWAB CHARLES CORP 79,205 -18,392 $5,449
     SCHW79,205-18,392$5,449
BROADRIDGE FINL SOLUTIONS IN 26,461 -7,236 $5,444
     BR26,461-7,236$5,444
CELESTICA INC 185,427 +45,163 $5,431
     CLS185,427+45,163$5,431
DEVON ENERGY CORP NEW 118,464 +72,659 $5,366
     DVN118,464+72,659$5,366
LAM RESEARCH CORP 6,639 -2,854 $5,200
     LRCX6,639-2,854$5,200
CVS HEALTH CORP 64,781 -13,409 $5,115
     CVS64,781-13,409$5,115
COCA COLA CO 86,197 -16,451 $5,080
     KO86,197-16,451$5,080
CINTAS CORP 8,379 -2,266 $5,050
     CTAS8,379-2,266$5,050
THE CIGNA GROUP 16,833 -3,905 $5,041
     CI16,833-3,905$5,041
PROCTER AND GAMBLE CO 34,164 -37,239 $5,006
     PG34,164-37,239$5,006
ISHARES TR (SMIN) 71,614 -1,837 $4,998
     SMIN71,614-1,837$4,998
EOG RES INC 40,676 -17,973 $4,920
     EOG40,676-17,973$4,920
TORONTO DOMINION BK ONT 75,372 -16,249 $4,894
     TD75,372-16,249$4,894
PDD HOLDINGS INC 33,117 -4,267 $4,845
     PDD33,117-4,267$4,845
WASTE CONNECTIONS INC 32,149 -5,523 $4,799
     WCN32,149-5,523$4,799
TEXAS INSTRS INC 28,140 -5,605 $4,797
     TXN28,140-5,605$4,797
LOWES COS INC 21,109 -12,636 $4,698
     LOW21,109-12,636$4,698
STARBUCKS CORP 48,826 -9,120 $4,688
     SBUX48,826-9,120$4,688
DEXCOM INC 37,310 -9,727 $4,630
     DXCM37,310-9,727$4,630
ELEVANCE HEALTH INC 9,703 -2,142 $4,576
     ELV9,703-2,142$4,576
EXPEDITORS INTL WASH INC 35,573 -8,648 $4,525
     EXPD35,573-8,648$4,525
COPART INC 92,095 +56,930 $4,513
     CPRT92,095+56,930$4,513
INTERNATIONAL BUSINESS MACHS 27,477 +3,863 $4,494
     IBM27,477+3,863$4,494
AMERICAN WTR WKS CO INC NEW 33,978 -14,081 $4,485
     AWK33,978-14,081$4,485
CONSOLIDATED EDISON INC 48,683 -11,197 $4,429
     ED48,683-11,197$4,429
TRAVELERS COMPANIES INC 23,222 -3,596 $4,424
     TRV23,222-3,596$4,424
CISCO SYS INC 86,127 -16,292 $4,351
     CSCO86,127-16,292$4,351
MCDONALDS CORP 14,619 -2,568 $4,335
     MCD14,619-2,568$4,335
PURE STORAGE INC 116,681 -26,699 $4,161
     PSTG116,681-26,699$4,161
INTEL CORP 82,321 -22,100 $4,137
     INTC82,321-22,100$4,137
CANADIAN PACIFIC KANSAS CITY 52,074 -16,650 $4,124
     CP52,074-16,650$4,124
AGILENT TECHNOLOGIES INC 29,553 -8,515 $4,109
     A29,553-8,515$4,109
OREILLY AUTOMOTIVE INC 4,277 -1,044 $4,063
     ORLY4,277-1,044$4,063
BANK AMERICA CORP 120,213 -40,632 $4,048
     BAC120,213-40,632$4,048
QUALCOMM INC 27,971 -6,906 $4,045
     QCOM27,971-6,906$4,045
CBRE GROUP INC 42,392 -13,385 $3,946
     CBRE42,392-13,385$3,946
BLACKROCK INC 4,769 -1,537 $3,871
     BLK4,769-1,537$3,871
MARTIN MARIETTA MATLS INC 7,671 -2,018 $3,827
     MLM7,671-2,018$3,827
EDWARDS LIFESCIENCES CORP 50,020 -13,056 $3,814
     EW50,020-13,056$3,814
BRISTOL MYERS SQUIBB CO 73,926 -22,630 $3,793
     BMY73,926-22,630$3,793
THOMSON REUTERS CORP. 25,749 -6,008 $3,783
     TRI25,749-6,008$3,783
KROGER CO 82,157 +1,697 $3,755
     KR82,157+1,697$3,755
DARDEN RESTAURANTS INC 22,748 +5,982 $3,737
     DRI22,748+5,982$3,737
EVEREST GROUP LTD 10,377 +10,377 $3,669
     EG10,377+10,377$3,669
AUTOMATIC DATA PROCESSING IN 15,588 -3,659 $3,632
     ADP15,588-3,659$3,632
INTERCONTINENTAL EXCHANGE IN (ICE) 28,170 -6,355 $3,618
     ICE28,170-6,355$3,618
EDISON INTL 50,514 -13,379 $3,611
     EIX50,514-13,379$3,611
AUTODESK INC 14,819 -3,839 $3,608
     ADSK14,819-3,839$3,608
F5 INC 19,645 -4,662 $3,516
     FFIV19,645-4,662$3,516
AMERICAN EXPRESS CO 18,765 -4,702 $3,515
     AXP18,765-4,702$3,515
CENTENE CORP DEL 46,582 -9,892 $3,457
     CNC46,582-9,892$3,457
MP MATERIALS CORP 173,619 -43,857 $3,446
     MP173,619-43,857$3,446
CANADIAN NATL RY CO 26,847 -6,313 $3,391
     CNI26,847-6,313$3,391
STRYKER CORPORATION 11,210 -3,037 $3,357
     SYK11,210-3,037$3,357
PG&E CORP 185,016 -34,855 $3,336
     PCG185,016-34,855$3,336
AT&T INC 194,818 -90,261 $3,269
     T194,818-90,261$3,269
EQUINIX INC 4,019 -1,782 $3,237
     EQIX4,019-1,782$3,237
OLD DOMINION FREIGHT LINE IN 7,886 -4,398 $3,196
     ODFL7,886-4,398$3,196
WEYERHAEUSER CO MTN BE 91,742 -19,540 $3,190
     WY91,742-19,540$3,190
API GROUP CORP 92,073 -24,459 $3,186
     APG92,073-24,459$3,186
PROLOGIS INC. 23,792 -11,377 $3,171
     PLD23,792-11,377$3,171
SCHLUMBERGER LTD 60,358 -20,933 $3,141
     SLB60,358-20,933$3,141
ULTA BEAUTY INC 6,380 -2,560 $3,126
     ULTA6,380-2,560$3,126
TELUS CORPORATION 172,170 -41,067 $3,079
     TU172,170-41,067$3,079
SHOPIFY INC 39,130 -10,520 $3,061
     SHOP39,130-10,520$3,061
PHILIP MORRIS INTL INC 32,493 -8,545 $3,057
     PM32,493-8,545$3,057
NVR INC 434 -288 $3,038
     NVR434-288$3,038
RTX CORPORATION 35,742 -9,457 $3,007
     RTX35,742-9,457$3,007
LULULEMON ATHLETICA INC 5,851 -1,492 $2,992
     LULU5,851-1,492$2,992
ALLSTATE CORP 21,213 -4,764 $2,969
     ALL21,213-4,764$2,969
NEXGEN ENERGY LTD 424,092 -343,694 $2,967
     NXE424,092-343,694$2,967
SYNCHRONY FINANCIAL 77,463 -9,494 $2,958
     SYF77,463-9,494$2,958
NEXTERA ENERGY INC 48,649 -3,910 $2,955
     NEE48,649-3,910$2,955
NEWMONT CORP 70,973 +7,158 $2,938
     NEM70,973+7,158$2,938
PFIZER INC 101,642 -24,435 $2,926
     PFE101,642-24,435$2,926
RELIANCE STEEL & ALUMINUM CO 10,463 -3,898 $2,926
     RS10,463-3,898$2,926
HARTFORD FINL SVCS GROUP INC 36,203 -9,182 $2,910
     HIG36,203-9,182$2,910
MCKESSON CORP 6,277 -819 $2,906
     MCK6,277-819$2,906
PRICE T ROWE GROUP INC 26,931 -7,021 $2,900
     TROW26,931-7,021$2,900
SEMPRA 38,762 -51,793 $2,897
     SRE38,762-51,793$2,897
COMCAST CORP NEW 65,813 -56,106 $2,886
     CMCSA65,813-56,106$2,886
BANK NOVA SCOTIA HALIFAX 58,656 -15,600 $2,869
     BNS58,656-15,600$2,869
UNITED PARCEL SERVICE INC 18,216 -4,006 $2,864
     UPS18,216-4,006$2,864
EQUINOX GOLD CORP 581,232 -147,057 $2,839
     EQX581,232-147,057$2,839
LENDINGCLUB CORP 324,575 -82,163 $2,837
     LC324,575-82,163$2,837
BEST BUY INC 36,172 -9,452 $2,832
     BBY36,172-9,452$2,832
VICI PPTYS INC 87,664 -16,495 $2,795
     VICI87,664-16,495$2,795
CROWDSTRIKE HLDGS INC 10,849 -2,807 $2,770
     CRWD10,849-2,807$2,770
FACTSET RESH SYS INC 5,793 -554 $2,764
     FDS5,793-554$2,764
UBER TECHNOLOGIES INC 43,844 -11,412 $2,699
     UBER43,844-11,412$2,699
SUNCOR ENERGY INC NEW 83,249 -22,422 $2,681
     SU83,249-22,422$2,681
FORTINET INC 45,774 -11,892 $2,679
     FTNT45,774-11,892$2,679
MERCADOLIBRE INC 1,701 -368 $2,673
     MELI1,701-368$2,673
CONOCOPHILLIPS 22,844 -6,032 $2,652
     COP22,844-6,032$2,652
ROBERT HALF INC. 30,148 -8,155 $2,651
     RHI30,148-8,155$2,651
AVANTOR INC 115,869 -31,328 $2,645
     AVTR115,869-31,328$2,645
GENERAL ELECTRIC CO 20,722 +11,214 $2,645
     GE20,722+11,214$2,645
IRON MTN INC DEL 37,734 -9,812 $2,641
     IRM37,734-9,812$2,641
KRANESHARES TR (KBA) 127,364 +2,700 $2,638
     KBA127,364+2,700$2,638
POWER INTEGRATIONS INC 31,608 +3,572 $2,595
     POWI31,608+3,572$2,595
HUNTINGTON BANCSHARES INC (HBAN) 203,457 -54,365 $2,588
     HBAN203,457-54,365$2,588
BROOKFIELD CORP 63,888 -16,309 $2,575
     BN63,888-16,309$2,575
FORTIS INC 62,146 -16,400 $2,569
     FTS62,146-16,400$2,569
CDW CORP 11,297 -7,965 $2,568
     CDW11,297-7,965$2,568
HCA HEALTHCARE INC 9,489 -2,498 $2,568
     HCA9,489-2,498$2,568
CLOROX CO DEL 17,874 -4,663 $2,549
     CLX17,874-4,663$2,549
AVALONBAY CMNTYS INC 13,599 -3,679 $2,546
     AVB13,599-3,679$2,546
JOHNSON & JOHNSON 16,166 -8,928 $2,534
     JNJ16,166-8,928$2,534
FRANCO NEV CORP 22,515 -4,514 $2,506
     FNV22,515-4,514$2,506
ISHARES TR (KSA) 59,171 -200 $2,505
     KSA59,171-200$2,505
PNC FINL SVCS GROUP INC 15,937 -2,049 $2,468
     PNC15,937-2,049$2,468
AIR PRODS & CHEMS INC 8,989 -2,133 $2,461
     APD8,989-2,133$2,461
CHENIERE ENERGY INC 14,418 -3,345 $2,461
     LNG14,418-3,345$2,461
STANTEC INC 30,512 +6,350 $2,450
     STN30,512+6,350$2,450
COLGATE PALMOLIVE CO 30,660 -20,976 $2,444
     CL30,660-20,976$2,444
FEDEX CORP 9,487 -1,386 $2,400
     FDX9,487-1,386$2,400
FLUENCE ENERGY INC 100,475 -25,264 $2,396
     FLNC100,475-25,264$2,396
COGNIZANT TECHNOLOGY SOLUTIO 31,520 -2,558 $2,381
     CTSH31,520-2,558$2,381
TJX COS INC NEW 25,266 -1,690 $2,370
     TJX25,266-1,690$2,370
BANK MONTREAL QUE 23,491 -6,300 $2,361
     BMO23,491-6,300$2,361
ALTRIA GROUP INC 58,453 +34,641 $2,358
     MO58,453+34,641$2,358
BOEING CO 8,991 -2,418 $2,344
     BA8,991-2,418$2,344
PIONEER NAT RES CO 10,415 -2,853 $2,342
     PXD10,415-2,853$2,342
TREX CO INC 28,093 -7,512 $2,326
     TREX28,093-7,512$2,326
NASDAQ INC 39,320 -10,407 $2,286
     NDAQ39,320-10,407$2,286
ELECTRONIC ARTS INC 16,616 -3,915 $2,273
     EA16,616-3,915$2,273
MICRON TECHNOLOGY INC 26,568 -6,566 $2,267
     MU26,568-6,566$2,267
NUTRIEN LTD 39,930 -10,113 $2,257
     NTR39,930-10,113$2,257
WELLTOWER INC 24,670 -6,299 $2,224
     WELL24,670-6,299$2,224
CONAGRA BRANDS INC 77,139 -17,210 $2,211
     CAG77,139-17,210$2,211
MARKETAXESS HLDGS INC 7,513 -2,305 $2,200
     MKTX7,513-2,305$2,200
DECKERS OUTDOOR CORP 3,264 -197 $2,182
     DECK3,264-197$2,182
CSX CORP 62,219 -25,996 $2,157
     CSX62,219-25,996$2,157
DISCOVER FINL SVCS 19,036 -3,395 $2,140
     DFS19,036-3,395$2,140
OVINTIV INC 48,594 -16,496 $2,134
     OVV48,594-16,496$2,134
MARVELL TECHNOLOGY INC 35,245 -4,656 $2,126
     MRVL35,245-4,656$2,126
BADGER METER INC 13,754 -798 $2,123
     BMI13,754-798$2,123
PTC INC 12,098 -1,964 $2,117
     PTC12,098-1,964$2,117
HUNTINGTON INGALLS INDS INC 8,139 -2,172 $2,113
     HII8,139-2,172$2,113
HUMANA INC 4,583 -276 $2,098
     HUM4,583-276$2,098
ILLINOIS TOOL WKS INC 7,933 -3,034 $2,078
     ITW7,933-3,034$2,078
CANADIAN IMPERIAL BK COMM TO 42,392 +31,636 $2,050
     CM42,392+31,636$2,050
EQUIFAX INC 8,203 -8,557 $2,029
     EFX8,203-8,557$2,029
PUBLIC SVC ENTERPRISE GRP IN 32,573 -2,861 $1,992
     PEG32,573-2,861$1,992
METTLER TOLEDO INTERNATIONAL 1,627 -530 $1,973
     MTD1,627-530$1,973
INVITATION HOMES INC 57,666 -15,615 $1,967
     INVH57,666-15,615$1,967
EVERSOURCE ENERGY 31,742 -5,958 $1,959
     ES31,742-5,958$1,959
BATH & BODY WORKS INC 44,978 -11,366 $1,941
     BBWI44,978-11,366$1,941
BIOGEN INC 7,462 +2,430 $1,931
     BIIB7,462+2,430$1,931
CARRIER GLOBAL CORPORATION 33,157 -8,187 $1,905
     CARR33,157-8,187$1,905
ONEOK INC NEW 27,127 +642 $1,905
     OKE27,127+642$1,905
IDEXX LABS INC 3,403 -920 $1,889
     IDXX3,403-920$1,889
TRACTOR SUPPLY CO 8,541 -1,895 $1,837
     TSCO8,541-1,895$1,837
TARGET CORP 12,756 -3,458 $1,817
     TGT12,756-3,458$1,817
HP INC 60,313 -17,096 $1,815
     HPQ60,313-17,096$1,815
ASSURANT INC 10,720 -2,396 $1,806
     AIZ10,720-2,396$1,806
GENERAL MLS INC 27,342 -4,020 $1,781
     GIS27,342-4,020$1,781
KELLANOVA 31,769 -5,026 $1,776
     K31,769-5,026$1,776
OCCIDENTAL PETE CORP 29,044 -51 $1,734
     OXY29,044-51$1,734
SUN LIFE FINANCIAL INC. 33,072 -37,413 $1,724
     SLF33,072-37,413$1,724
WASTE MGMT INC DEL 9,499 -1,753 $1,701
     WM9,499-1,753$1,701
DIAMONDBACK ENERGY INC 10,785 -1,380 $1,673
     FANG10,785-1,380$1,673
NORTHROP GRUMMAN CORP 3,573 -867 $1,673
     NOC3,573-867$1,673
VEEVA SYS INC 8,659 -1,062 $1,667
     VEEV8,659-1,062$1,667
US BANCORP DEL 38,452 -9,766 $1,664
     USB38,452-9,766$1,664
DUPONT DE NEMOURS INC 21,485 +1,122 $1,653
     DD21,485+1,122$1,653
EVERGY INC 31,453 -7,677 $1,642
     EVRG31,453-7,677$1,642
CITIZENS FINL GROUP INC 49,399 -13,419 $1,637
     CFG49,399-13,419$1,637
XCEL ENERGY INC 26,386 -5,457 $1,634
     XEL26,386-5,457$1,634
ECOLAB INC 8,209 -903 $1,628
     ECL8,209-903$1,628
PHILLIPS 66 12,208 -3,087 $1,625
     PSX12,208-3,087$1,625
GODADDY INC 15,251 -3,618 $1,619
     GDDY15,251-3,618$1,619
MAGNA INTL INC 27,001 -20,175 $1,603
     MGA27,001-20,175$1,603
DOLLAR GEN CORP NEW 11,681 -6,472 $1,588
     DG11,681-6,472$1,588
ROCKWELL AUTOMATION INC 5,111 -1,326 $1,587
     ROK5,111-1,326$1,587
WATERS CORP 4,802 -1,396 $1,581
     WAT4,802-1,396$1,581
GRAINGER W W INC 1,887 -514 $1,564
     GWW1,887-514$1,564
OTIS WORLDWIDE CORP 17,388 -4,780 $1,556
     OTIS17,388-4,780$1,556
REGENCY CTRS CORP 23,222 +18,859 $1,556
     REG23,222+18,859$1,556
JUNIPER NETWORKS INC 52,312 +15,356 $1,542
     JNPR52,312+15,356$1,542
GE HEALTHCARE TECHNOLOGIES I 19,917 +7,500 $1,540
     GEHC19,917+7,500$1,540
SYNOPSYS INC 2,951 -729 $1,519
     SNPS2,951-729$1,519
SANDRIDGE ENERGY INC 110,597 -28,006 $1,512
     SD110,597-28,006$1,512
CMS ENERGY CORP 25,783 -14,903 $1,497
     CMS25,783-14,903$1,497
IDEX CORP 6,829 -529 $1,483
     IEX6,829-529$1,483
VITAL ENERGY INC 32,385 -11,869 $1,473
     VTLE32,385-11,869$1,473
TERADYNE INC 13,562 +10,760 $1,472
     TER13,562+10,760$1,472
RB GLOBAL INC 21,876 -17,710 $1,471
     RBA21,876-17,710$1,471
NIKE INC 13,492 -10,552 $1,465
     NKE13,492-10,552$1,465
KEURIG DR PEPPER INC 43,730 -8,039 $1,457
     KDP43,730-8,039$1,457
PAYCHEX INC 12,213 +10,217 $1,455
     PAYX12,213+10,217$1,455
CENCORA INC 8,059 -583 $1,450
     ABC8,059-583$1,450
REPUBLIC SVCS INC 8,729 -2,577 $1,439
     RSG8,729-2,577$1,439
FORTUNE BRANDS INNOVATIONS I 18,668 -12,940 $1,421
     FBIN18,668-12,940$1,421
NISOURCE INC 52,920 -6,646 $1,405
     NI52,920-6,646$1,405
INTERPUBLIC GROUP COS INC 42,799 -12,071 $1,397
     IPG42,799-12,071$1,397
SOLAREDGE TECHNOLOGIES INC 14,784 -5,194 $1,384
     SEDG14,784-5,194$1,384
CONSTELLATION ENERGY CORP 11,752 -3,374 $1,374
     CEG11,752-3,374$1,374
HORMEL FOODS CORP 42,708 -8,489 $1,371
     HRL42,708-8,489$1,371
ALBEMARLE CORP 9,407 -2,293 $1,359
     ALB9,407-2,293$1,359
FREEPORT MCMORAN INC 31,782 -7,707 $1,353
     FCX31,782-7,707$1,353
WALMART INC 8,517 -1,089 $1,343
     WMT8,517-1,089$1,343
QUANTA SVCS INC 6,215 -1,677 $1,341
     PWR6,215-1,677$1,341
VERISK ANALYTICS INC 5,603 +4,132 $1,338
     VRSK5,603+4,132$1,338
HENRY JACK & ASSOC INC 8,178 -2,789 $1,336
     JKHY8,178-2,789$1,336
TAKE TWO INTERACTIVE SOFTWAR 8,290 -2,337 $1,334
     TTWO8,290-2,337$1,334
WILLIAMS SONOMA INC 6,584 -1,972 $1,329
     WSM6,584-1,972$1,329
SOUTHERN CO 18,825 -9,881 $1,320
     SO18,825-9,881$1,320
AECOM 14,182 -1,186 $1,311
     ACM14,182-1,186$1,311
HESS CORP 9,063 -280 $1,307
     HES9,063-280$1,307
WESTROCK CO 31,365 -16,144 $1,302
     WRK31,365-16,144$1,302
WELLS FARGO CO NEW 26,096 -37,606 $1,284
     WFC26,096-37,606$1,284
DOMINOS PIZZA INC 3,112 -1,063 $1,283
     DPZ3,112-1,063$1,283
CAE INC 59,074 -16,914 $1,281
     CAE59,074-16,914$1,281
KRAFT HEINZ CO 33,829 +24,199 $1,251
     KHC33,829+24,199$1,251
PRUDENTIAL FINL INC 11,847 -3,234 $1,229
     PRU11,847-3,234$1,229
STATE STR CORP 15,701 -1,478 $1,216
     STT15,701-1,478$1,216
CF INDS HLDGS INC 15,268 -3,306 $1,214
     CF15,268-3,306$1,214
EQUITABLE HLDGS INC 36,304 -21,000 $1,209
     EQH36,304-21,000$1,209
T MOBILE US INC 7,481 +712 $1,199
     TMUS7,481+712$1,199
INCYTE CORP 19,022 -3,556 $1,194
     INCY19,022-3,556$1,194
CAPITAL ONE FINL CORP 9,095 -2,674 $1,193
     COF9,095-2,674$1,193
LIVE NATION ENTERTAINMENT IN 12,711 +12,711 $1,190
     LYV12,711+12,711$1,190
BANK NEW YORK MELLON CORP 22,707 -5,845 $1,182
     BK22,707-5,845$1,182
PARKER HANNIFIN CORP 2,538 UNCH $1,169
     PH2,538UNCH$1,169
LAMB WESTON HLDGS INC 10,786 -264 $1,166
     LW10,786-264$1,166
HUBBELL INC 3,489 +1,812 $1,148
     HUBB3,489+1,812$1,148
HEWLETT PACKARD ENTERPRISE C 67,538 +18,687 $1,147
     HPE67,538+18,687$1,147
EMCOR GROUP INC 5,287 -1,569 $1,139
     EME5,287-1,569$1,139
LEIDOS HOLDINGS INC 10,496 -3,077 $1,136
     LDOS10,496-3,077$1,136
MID AMER APT CMNTYS INC 8,450 -1,123 $1,136
     MAA8,450-1,123$1,136
IQVIA HLDGS INC 4,904 +4,904 $1,135
     IQV4,904+4,904$1,135
AMETEK INC 6,864 -1,716 $1,132
     AME6,864-1,716$1,132
CORTEVA INC 23,443 -7,071 $1,123
     CTVA23,443-7,071$1,123
TYLER TECHNOLOGIES INC 2,685 +653 $1,123
     TYL2,685+653$1,123
ALLY FINL INC 32,121 -1,089 $1,122
     ALLY32,121-1,089$1,122
EBAY INC. 25,438 -5,604 $1,110
     EBAY25,438-5,604$1,110
MARSH & MCLENNAN COS INC 5,856 -142 $1,110
     MMC5,856-142$1,110
BEYOND INC 65,658 -16,919 $1,102
     OSTK65,658-16,919$1,102
ATMOS ENERGY CORP 9,470 -1,034 $1,098
     ATO9,470-1,034$1,098
CHURCH & DWIGHT CO INC 11,594 -1,521 $1,096
     CHD11,594-1,521$1,096
OWENS CORNING NEW 7,397 -2,003 $1,096
     OC7,397-2,003$1,096
LKQ CORP 22,699 -6,196 $1,085
     LKQ22,699-6,196$1,085
AUTOZONE INC 417 -96 $1,078
     AZO417-96$1,078
ON SEMICONDUCTOR CORP 12,720 -3,535 $1,063
     ON12,720-3,535$1,063
REPLIGEN CORP 5,772 -2,556 $1,038
     RGEN5,772-2,556$1,038
PEMBINA PIPELINE CORP 29,888 +17,740 $1,033
     PBA29,888+17,740$1,033
ANSYS INC 2,796 -830 $1,015
     ANSS2,796-830$1,015
GENERAL MTRS CO 28,135 -6,699 $1,011
     GM28,135-6,699$1,011
PUBLIC STORAGE 3,314 -569 $1,011
     PSA3,314-569$1,011
TOPBUILD CORP 2,698 -809 $1,010
     BLD2,698-809$1,010
ROSS STORES INC 7,287 -2,316 $1,008
     ROST7,287-2,316$1,008
BRIXMOR PPTY GROUP INC 43,219 -12,843 $1,006
     BRX43,219-12,843$1,006
DOVER CORP 6,524 -1,788 $1,003
     DOV6,524-1,788$1,003
WEST PHARMACEUTICAL SVSC INC 2,849 -984 $1,003
     WST2,849-984$1,003
AKAMAI TECHNOLOGIES INC 8,467 -1,333 $1,002
     AKAM8,467-1,333$1,002
SEALED AIR CORP NEW 27,408 -12,932 $1,001
     SEE27,408-12,932$1,001
CARDINAL HEALTH INC 9,830 +8,779 $991
     CAH9,830+8,779$991
KEYSIGHT TECHNOLOGIES INC 6,227 -3,070 $991
     KEYS6,227-3,070$991
CANADIAN NAT RES LTD 14,952 -12,180 $980
     CNQ14,952-12,180$980
SPLUNK INC 6,380 -1,948 $972
     SPLK6,380-1,948$972
URANIUM ENERGY CORP 151,785 -38,436 $971
     UEC151,785-38,436$971
MOSAIC CO NEW 27,142 -7,318 $970
     MOS27,142-7,318$970
ATKORE INC 6,045 -1,802 $967
     ATKR6,045-1,802$967
LEAR CORP 6,770 -3,007 $956
     LEA6,770-3,007$956
ITT INC 7,785 -2,337 $929
     ITT7,785-2,337$929
DESCARTES SYS GROUP INC 10,867 +10,867 $918
     DSGX10,867+10,867$918
WEC ENERGY GROUP INC 10,826 +54 $911
     WEC10,826+54$911
TRIMBLE INC 17,014 -18,204 $905
     TRMB17,014-18,204$905
WILLIAMS COS INC 25,477 +9,568 $887
     WMB25,477+9,568$887
SNOWFLAKE INC 4,441 -1,013 $884
     SNOW4,441-1,013$884
DOLLAR TREE INC 6,182 -1,716 $878
     DLTR6,182-1,716$878
FMC CORP 13,872 -3,437 $875
     FMC13,872-3,437$875
TENET HEALTHCARE CORP 11,530 -3,458 $871
     THC11,530-3,458$871
CATERPILLAR INC 2,927 -696 $865
     CAT2,927-696$865
INSIGHT ENTERPRISES INC 4,860 -1,431 $861
     NSIT4,860-1,431$861
YUM CHINA HLDGS INC 20,257 -2,772 $860
     YUMC20,257-2,772$860
COTERRA ENERGY INC 33,511 -9,194 $855
     CTRA33,511-9,194$855
GENERAL DYNAMICS CORP 3,286 -61 $853
     GD3,286-61$853
EPAM SYS INC 2,853 -1,348 $848
     EPAM2,853-1,348$848
C H ROBINSON WORLDWIDE INC 9,735 -1,921 $841
     CHRW9,735-1,921$841
CUBESMART 18,045 -1,683 $836
     CUBE18,045-1,683$836
REGIONS FINANCIAL CORP NEW 42,516 -1,480 $824
     RF42,516-1,480$824
ENPHASE ENERGY INC 6,216 -410 $821
     ENPH6,216-410$821
MUELLER WTR PRODS INC 57,046 UNCH $821
     MWA57,046UNCH$821
AXALTA COATING SYS LTD 23,649 -7,103 $803
     AXTA23,649-7,103$803
REINSURANCE GRP OF AMERICA I 4,937 +1,989 $799
     RGA4,937+1,989$799
VERALTO CORP 9,719 +9,719 $799
     VLTO9,719+9,719$799
GENUINE PARTS CO 5,753 -1,558 $797
     GPC5,753-1,558$797
NUCOR CORP 4,549 -1,362 $792
     NUE4,549-1,362$792
CROWN CASTLE INC 6,857 -2,099 $790
     CCI6,857-2,099$790
WHEATON PRECIOUS METALS CORP 15,902 +500 $788
     WPM15,902+500$788
PERFORMANCE FOOD GROUP CO 11,376 -3,410 $787
     PFGC11,376-3,410$787
EAST WEST BANCORP INC 10,859 +332 $781
     EWBC10,859+332$781
AMPHENOL CORP NEW 7,867 +4,423 $780
     APH7,867+4,423$780
INTERNATIONAL PAPER CO 21,587 -5,425 $780
     IP21,587-5,425$780
NETAPP INC 8,796 -1,082 $775
     NTAP8,796-1,082$775
LPL FINL HLDGS INC 3,392 -814 $772
     LPLA3,392-814$772
VALERO ENERGY CORP 5,929 -1,516 $771
     VLO5,929-1,516$771
AMERIPRISE FINL INC 2,023 -541 $768
     AMP2,023-541$768
ENERGY FUELS INC 106,432 -26,870 $765
     UUUU106,432-26,870$765
VERISIGN INC 3,705 -3,180 $763
     VRSN3,705-3,180$763
FIRSTSERVICE CORP NEW 4,665 -1,068 $759
     FSV4,665-1,068$759
HUBSPOT INC 1,303 -574 $756
     HUBS1,303-574$756
KLA CORP 1,287 -333 $748
     KLAC1,287-333$748
TERADATA CORP DEL 17,177 -5,152 $747
     TDC17,177-5,152$747
ENCOMPASS HEALTH CORP 11,184 -6,912 $746
     EHC11,184-6,912$746
LANDSTAR SYS INC 3,845 -1,151 $745
     LSTR3,845-1,151$745
MARKEL GROUP INC 524 -3,663 $744
     MKL524-3,663$744
VENTAS INC 14,892 -3,093 $742
     VTR14,892-3,093$742
KEYCORP 50,632 -15,804 $729
     KEY50,632-15,804$729
TC ENERGY CORP 18,584 -5,400 $729
     TRP18,584-5,400$729
ALNYLAM PHARMACEUTICALS INC 3,801 -1,031 $728
     ALNY3,801-1,031$728
GROUP 1 AUTOMOTIVE INC 2,389 -721 $728
     GPI2,389-721$728
ACUITY BRANDS INC 3,525 -1,057 $722
     AYI3,525-1,057$722
REVVITY INC 6,609 +6,609 $722
     RVTY6,609+6,609$722
WESCO INTL INC 4,153 -1,239 $722
     WCC4,153-1,239$722
ZSCALER INC 3,258 -811 $722
     ZS3,258-811$722
MERITAGE HOMES CORP 4,140 -1,249 $721
     MTH4,140-1,249$721
CRANE NXT CO 12,627 UNCH $718
     CXT12,627UNCH$718
PRIMERICA INC 3,458 -1,033 $712
     PRI3,458-1,033$712
EQT CORP 18,279 -7,501 $707
     EQT18,279-7,501$707
STERLING INFRASTRUCTURE INC 8,024 -3,989 $706
     STRL8,024-3,989$706
BECTON DICKINSON & CO 2,890 -1,077 $705
     BDX2,890-1,077$705
ONTO INNOVATION INC 4,612 -1,384 $705
     ONTO4,612-1,384$705
CUSTOMERS BANCORP INC 12,173 -3,650 $701
     CUBI12,173-3,650$701
SOCIEDAD QUIMICA Y MINERA DE 11,612 -2,753 $699
     SQM11,612-2,753$699
INGERSOLL RAND INC 9,027 -2,334 $698
     IR9,027-2,334$698
CREDICORP LTD 4,647 -440 $697
     BAP4,647-440$697
ANNALY CAPITAL MANAGEMENT IN 35,992 -9,370 $697
     NLY35,992-9,370$697
CGI INC 6,452 +4,612 $695
     GIB6,452+4,612$695
INTELLIA THERAPEUTICS INC 22,801 -1,620 $695
     NTLA22,801-1,620$695
BALLARD PWR SYS INC NEW 187,370 -46,967 $694
     BLDP187,370-46,967$694
CASEYS GEN STORES INC 2,523 -397 $693
     CASY2,523-397$693
BROOKDALE SR LIVING INC 118,037 -36,018 $687
     BKD118,037-36,018$687
QORVO INC 6,060 -1,619 $682
     QRVO6,060-1,619$682
BOSTON SCIENTIFIC CORP 11,715 -7,447 $677
     BSX11,715-7,447$677
HASBRO INC 13,243 +2,627 $676
     HAS13,243+2,627$676
YUM BRANDS INC 5,164 -6,721 $675
     YUM5,164-6,721$675
WALGREENS BOOTS ALLIANCE INC 25,751 -6,747 $672
     WBA25,751-6,747$672
INTERNATIONAL FLAVORS&FRAGRA 8,277 -2,116 $670
     IFF8,277-2,116$670
TETRA TECH INC NEW 4,011 UNCH $670
     TTEK4,011UNCH$670
EDITAS MEDICINE INC 65,884 -16,246 $667
     EDIT65,884-16,246$667
AGCO CORP 5,472 -429 $664
     AGCO5,472-429$664
KINSALE CAP GROUP INC 1,984 -423 $664
     KNSL1,984-423$664
ORACLE CORP 6,287 -7,782 $663
     ORCL6,287-7,782$663
XEROX HOLDINGS CORP 36,170 -10,882 $663
     XRX36,170-10,882$663
ALARM COM HLDGS INC 10,241 -3,069 $662
     ALRM10,241-3,069$662
SCIENCE APPLICATIONS INTL CO 5,288 -1,595 $657
     SAIC5,288-1,595$657
INTERDIGITAL INC 6,037 -1,849 $655
     IDCC6,037-1,849$655
ALGONQUIN PWR UTILS CORP 103,228 -60,117 $654
     AQN103,228-60,117$654
DAVE & BUSTERS ENTMT INC 12,121 -3,637 $653
     PLAY12,121-3,637$653
JONES LANG LASALLE INC 3,433 -1,030 $648
     JLL3,433-1,030$648
UNUM GROUP 14,316 +8,459 $647
     UNM14,316+8,459$647
SOUTHWESTERN ENERGY CO 98,653 -29,577 $646
     SWN98,653-29,577$646
MYR GROUP INC DEL 4,461 -1,337 $645
     MYRG4,461-1,337$645
BROOKFIELD ASSET MANAGMT LTD 15,971 -4,077 $644
     BAM15,971-4,077$644
BOSTON PROPERTIES INC 9,180 +6,571 $644
     BXP9,180+6,571$644
CELANESE CORP DEL 4,085 -1,099 $635
     CE4,085-1,099$635
NORFOLK SOUTHN CORP 2,686 -3,934 $635
     NSC2,686-3,934$635
JELD WEN HLDG INC 33,520 -10,813 $633
     JELD33,520-10,813$633
UGI CORP NEW 25,731 -6,620 $633
     UGI25,731-6,620$633
RYMAN HOSPITALITY PPTYS INC 5,744 -1,698 $632
     RHP5,744-1,698$632
TRANSUNION 9,123 -2,374 $627
     TRU9,123-2,374$627
CURTISS WRIGHT CORP 2,806 +154 $625
     CW2,806+154$625
SPIRIT RLTY CAP INC NEW 14,259 -4,254 $623
     SRC14,259-4,254$623
ADVANCED DRAIN SYS INC DEL 4,425 -283 $622
     WMS4,425-283$622
AMERICOLD REALTY TRUST INC 20,414 -7,743 $618
     COLD20,414-7,743$618
SYNOVUS FINL CORP 16,276 -4,892 $613
     SNV16,276-4,892$613
EVOLENT HEALTH INC 18,490 -4,965 $611
     EVH18,490-4,965$611
OSHKOSH CORP 5,617 -1,668 $609
     OSK5,617-1,668$609
WP CAREY INC 9,389 -2,449 $609
     WPC9,389-2,449$609
KB HOME 9,706 -2,929 $606
     KBH9,706-2,929$606
BERRY GLOBAL GROUP INC 8,983 -2,689 $605
     BERY8,983-2,689$605
US FOODS HLDG CORP 13,330 -1,607 $605
     USFD13,330-1,607$605
PVH CORPORATION 4,949 +660 $604
     PVH4,949+660$604
THE TRADE DESK INC 8,392 -91 $604
     TTD8,392-91$604
POPULAR INC 7,334 -2,183 $602
     BPOP7,334-2,183$602
REGAL REXNORD CORPORATION 4,050 +1,459 $599
     RRX4,050+1,459$599
MOTOROLA SOLUTIONS INC 1,911 -1,558 $598
     MSI1,911-1,558$598
VERTIV HOLDINGS CO 12,460 -5,168 $598
     VRT12,460-5,168$598
MANPOWERGROUP INC WIS 7,472 -2,240 $594
     MAN7,472-2,240$594
GRAPHIC PACKAGING HLDG CO 24,039 +2,193 $593
     GPK24,039+2,193$593
AXCELIS TECHNOLOGIES INC 4,551 -1,369 $590
     ACLS4,551-1,369$590
CLEAN ENERGY FUELS CORP 152,814 -39,571 $585
     CLNE152,814-39,571$585
MERIT MED SYS INC 7,689 -2,313 $584
     MMSI7,689-2,313$584
LABORATORY CORP AMER HLDGS 2,547 -566 $579
     LH2,547-566$579
DOW INC 10,496 -2,770 $576
     DOW10,496-2,770$576
VIPSHOP HLDGS LTD 32,425 -27,565 $576
     VIPS32,425-27,565$576
ALLISON TRANSMISSION HLDGS I 9,838 -3,694 $572
     ALSN9,838-3,694$572
D R HORTON INC 3,756 -750 $571
     DHI3,756-750$571
WESTERN ALLIANCE BANCORP 8,663 -2,600 $570
     WAL8,663-2,600$570
BOOZ ALLEN HAMILTON HLDG COR 4,446 -12,220 $569
     BAH4,446-12,220$569
KITE RLTY GROUP TR 24,824 -13,981 $567
     KRG24,824-13,981$567
HOWMET AEROSPACE INC 10,380 +9,228 $562
     HWM10,380+9,228$562
JABIL INC 4,410 -6,603 $562
     JBL4,410-6,603$562
ARCBEST CORP 4,665 -2,047 $561
     ARCB4,665-2,047$561
TEMPUR SEALY INTL INC 10,978 -3,283 $560
     TPX10,978-3,283$560
TAYLOR MORRISON HOME CORP 10,466 -3,093 $558
     TMHC10,466-3,093$558
CENOVUS ENERGY INC 33,283 -8,800 $557
     CVE33,283-8,800$557
BANK OZK LITTLE ROCK ARK 11,184 -3,365 $557
     OZK11,184-3,365$557
ICF INTL INC 4,139 -1,229 $555
     ICFI4,139-1,229$555
FORTIVE CORP 7,495 -2,112 $552
     FTV7,495-2,112$552
RLI CORP 4,144 -1,238 $552
     RLI4,144-1,238$552
ASSURED GUARANTY LTD 7,367 -2,223 $551
     AGO7,367-2,223$551
MONDELEZ INTL INC 7,609 -14,875 $551
     MDLZ7,609-14,875$551
ZIMMER BIOMET HOLDINGS INC 4,525 +4,525 $551
     ZBH4,525+4,525$551
ASBURY AUTOMOTIVE GROUP INC 2,441 -736 $549
     ABG2,441-736$549
EVERCORE INC 3,198 -930 $547
     EVR3,198-930$547
QUEST DIAGNOSTICS INC 3,961 -202 $546
     DGX3,961-202$546
HF SINCLAIR CORP 9,804 -5,540 $545
     DINO9,804-5,540$545
ESSENTIAL UTILS INC 14,581 -3,685 $545
     WTRG14,581-3,685$545
KYNDRYL HLDGS INC 26,082 -7,763 $542
     KD26,082-7,763$542
EXELIXIS INC 22,562 -13,469 $541
     EXEL22,562-13,469$541
DYNATRACE INC 9,845 -6,166 $538
     DT9,845-6,166$538
IPG PHOTONICS CORP 4,937 -1,218 $536
     IPGP4,937-1,218$536
CATALYST PHARMACEUTICALS INC 31,780 -9,540 $534
     CPRX31,780-9,540$534
WEX INC 2,733 -818 $532
     WEX2,733-818$532
JACOBS SOLUTIONS INC 4,082 UNCH $530
     J4,082UNCH$530
ARCTURUS THERAPEUTICS HLDGS 16,774 -5,030 $529
     ARCT16,774-5,030$529
BOISE CASCADE CO DEL 4,085 -1,210 $528
     BCC4,085-1,210$528
BARRICK GOLD CORP 28,813 +5,655 $523
     GOLD28,813+5,655$523
ALAMO GROUP INC 2,476 -728 $520
     ALG2,476-728$520
CONCENTRIX CORP 5,295 -1,592 $520
     CNXC5,295-1,592$520
EXTRA SPACE STORAGE INC 3,229 -1,902 $518
     EXR3,229-1,902$518
NNN REIT INC 12,008 +6,652 $518
     NNN12,008+6,652$518
XENIA HOTELS & RESORTS INC 37,980 -11,376 $517
     XHR37,980-11,376$517
APTARGROUP INC 4,161 +70 $514
     ATR4,161+70$514
HIGHWOODS PPTYS INC 22,341 -6,689 $513
     HIW22,341-6,689$513
RUSH ENTERPRISES INC 10,193 -3,077 $513
     RUSHA10,193-3,077$513
CBIZ INC 8,178 -2,451 $512
     CBZ8,178-2,451$512
REXFORD INDL RLTY INC 9,124 +4,584 $512
     REXR9,124+4,584$512
DAVITA INC 4,878 -1,283 $511
     DVA4,878-1,283$511
KBR INC 9,220 -2,758 $511
     KBR9,220-2,758$511
BORGWARNER INC 14,192 -3,913 $509
     BWA14,192-3,913$509
OWENS & MINOR INC NEW 26,308 -7,889 $507
     OMI26,308-7,889$507
SPROUTS FMRS MKT INC 10,513 -4,557 $506
     SFM10,513-4,557$506
HANCOCK WHITNEY CORPORATION 10,291 -3,071 $500
     HWC10,291-3,071$500
INFINERA CORP 104,366 -31,370 $496
     INFN104,366-31,370$496
GENTEX CORP 15,114 -4,557 $494
     GNTX15,114-4,557$494
CATALENT INC 10,950 -8,651 $492
     CTLT10,950-8,651$492
BRP INC 6,838 -1,722 $492
     DOOO6,838-1,722$492
H & E EQUIPMENT SERVICES INC 9,280 -2,815 $486
     HEES9,280-2,815$486
OGE ENERGY CORP 13,908 +1,910 $486
     OGE13,908+1,910$486
TEXAS ROADHOUSE INC 3,976 -263 $486
     TXRH3,976-263$486
BARRETT BUSINESS SVCS INC 4,185 -1,266 $485
     BBSI4,185-1,266$485
GEN DIGITAL INC 21,237 -1,475 $485
     GEN21,237-1,475$485
ENTEGRIS INC 4,038 +2,474 $484
     ENTG4,038+2,474$484
FIDELITY NATIONAL FINANCIAL 9,463 -2,488 $483
     FNF9,463-2,488$483
BRUKER CORP 6,556 -1,977 $482
     BRKR6,556-1,977$482
EAGLE MATLS INC 2,378 -721 $482
     EXP2,378-721$482
VOYA FINANCIAL INC 6,574 +3,507 $480
     VOYA6,574+3,507$480
PENNANT GROUP INC 34,366 -10,302 $478
     PNTG34,366-10,302$478
LATTICE SEMICONDUCTOR CORP 6,894 -1,834 $476
     LSCC6,894-1,834$476
TANGER INC 17,168 -5,102 $476
     SKT17,168-5,102$476
LOUISIANA PAC CORP 6,696 -2,026 $474
     LPX6,696-2,026$474
HUNTSMAN CORP 18,733 -5,648 $471
     HUN18,733-5,648$471
THOR INDS INC 3,951 -1,193 $467
     THO3,951-1,193$467
TAPESTRY INC 12,667 -3,774 $466
     TPR12,667-3,774$466
NUTANIX INC 9,755 -5,447 $465
     NTNX9,755-5,447$465
SERVICE CORP INTL 6,765 -2,023 $463
     SCI6,765-2,023$463
GALLAGHER ARTHUR J & CO 2,051 UNCH $461
     AJG2,051UNCH$461
CLEAR CHANNEL OUTDOOR HLDGS 253,444 -76,047 $461
     CCO253,444-76,047$461
GOODYEAR TIRE & RUBR CO 32,161 -9,614 $461
     GT32,161-9,614$461
MEDPACE HLDGS INC 1,497 -451 $459
     MEDP1,497-451$459
SJW GROUP 7,004 UNCH $458
     SJW7,004UNCH$458
ENOVA INTL INC 8,256 -2,806 $457
     ENVA8,256-2,806$457
JEFFERIES FINL GROUP INC 11,297 -3,412 $457
     JEF11,297-3,412$457
CARMAX INC 5,952 -2,041 $457
     KMX5,952-2,041$457
WINGSTOP INC 1,776 -541 $456
     WING1,776-541$456
BURLINGTON STORES INC 2,327 +492 $453
     BURL2,327+492$453
MARATHON PETE CORP 3,055 -696 $453
     MPC3,055-696$453
TEREX CORP NEW 7,880 -2,370 $453
     TEX7,880-2,370$453
TANDEM DIABETES CARE INC 15,270 -4,579 $452
     TNDM15,270-4,579$452
CACI INTL INC 1,393 -360 $451
     CACI1,393-360$451
TOLL BROTHERS INC 4,387 -1,319 $451
     TOL4,387-1,319$451
FABRINET 2,364 -1,328 $450
     FN2,364-1,328$450
ANALOG DEVICES INC 2,263 +131 $449
     ADI2,263+131$449
SIGNET JEWELERS LIMITED 4,190 -1,266 $449
     SIG4,190-1,266$449
RADIAN GROUP INC 15,645 -4,736 $447
     RDN15,645-4,736$447
HOLOGIC INC 6,238 -1,869 $446
     HOLX6,238-1,869$446
ESSENT GROUP LTD 8,438 -2,531 $445
     ESNT8,438-2,531$445
TENCENT MUSIC ENTMT GROUP 49,401 -5,943 $445
     TME49,401-5,943$445
KARUNA THERAPEUTICS INC 1,404 +1,404 $444
     KRTX1,404+1,404$444
RAYONIER INC 13,148 -3,877 $439
     RYN13,148-3,877$439
UFP INDUSTRIES INC 3,478 -1,036 $437
     UFPI3,478-1,036$437
TECK RESOURCES LTD 10,249 -3,400 $435
     TECK10,249-3,400$435
FIVE BELOW INC 2,029 -614 $433
     FIVE2,029-614$433
KENVUE INC 20,046 +17,554 $432
     KVUE20,046+17,554$432
FIRST INDL RLTY TR INC 8,177 +3,765 $431
     FR8,177+3,765$431
FEDERAL SIGNAL CORP 5,608 -6,545 $430
     FSS5,608-6,545$430
PRESTIGE CONSMR HEALTHCARE I 7,018 -2,094 $430
     PBH7,018-2,094$430
MURPHY USA INC 1,202 -353 $429
     MUSA1,202-353$429
ALEXANDER & BALDWIN INC NEW 22,515 -7,466 $428
     ALEX22,515-7,466$428
CHAMPIONX CORPORATION 14,660 -1,876 $428
     CHX14,660-1,876$428
RYDER SYS INC 3,718 -1,117 $428
     R3,718-1,117$428
RENAISSANCERE HLDGS LTD 2,182 -652 $428
     RNR2,182-652$428
CAESARS ENTERTAINMENT INC NE 9,107 -3,010 $427
     CZR9,107-3,010$427
MGIC INVT CORP WIS 22,141 +4,920 $427
     MTG22,141+4,920$427
MATSON INC 3,883 -1,172 $426
     MATX3,883-1,172$426
MONGODB INC 1,043 -307 $426
     MDB1,043-307$426
PLEXUS CORP 3,922 -1,179 $424
     PLXS3,922-1,179$424
TRUIST FINL CORP 11,487 -3,034 $424
     TFC11,487-3,034$424
CHURCHILL DOWNS INC 3,132 -944 $423
     CHDN3,132-944$423
STRIDE INC 7,118 -2,155 $423
     LRN7,118-2,155$423
BOYD GAMING CORP 6,748 -1,999 $422
     BYD6,748-1,999$422
UNITED THERAPEUTICS CORP DEL 1,920 -574 $422
     UTHR1,920-574$422
BAKER HUGHES COMPANY 12,311 -3,127 $421
     BKR12,311-3,127$421
OLIN CORP 7,758 -2,352 $419
     OLN7,758-2,352$419
PIPER SANDLER COMPANIES 2,397 -724 $419
     PIPR2,397-724$419
APARTMENT INCOME REIT CORP 12,038 -3,576 $418
     AIRC12,038-3,576$418
SANMINA CORPORATION 8,135 -2,458 $418
     SANM8,135-2,458$418
EMERSON ELEC CO 4,289 -6,879 $417
     EMR4,289-6,879$417
SUNCOKE ENERGY INC 38,442 -11,617 $413
     SXC38,442-11,617$413
BJS WHSL CLUB HLDGS INC 6,186 -1,838 $412
     BJ6,186-1,838$412
SAIA INC 937 +937 $411
     SAIA937+937$411
SNAP ON INC 1,417 -353 $409
     SNA1,417-353$409
AMERICAN AXLE & MFG HLDGS IN 46,058 -13,824 $406
     AXL46,058-13,824$406
QUALYS INC 2,069 -624 $406
     QLYS2,069-624$406
EXLSERVICE HOLDINGS INC 13,080 -3,925 $404
     EXLS13,080-3,925$404
BRUNSWICK CORP 4,163 -1,263 $403
     BC4,163-1,263$403
SMITH A O CORP 4,880 -1,491 $402
     AOS4,880-1,491$402
CATHAY GEN BANCORP 9,012 -2,670 $402
     CATY9,012-2,670$402
UR ENERGY INC 260,914 -66,070 $402
     URG260,914-66,070$402
SAREPTA THERAPEUTICS INC 4,115 -1,232 $397
     SRPT4,115-1,232$397
POLARIS INC 4,181 -1,252 $396
     PII4,181-1,252$396
PINNACLE WEST CAP CORP 5,518 -1,677 $396
     PNW5,518-1,677$396
ACI WORLDWIDE INC 12,924 -3,893 $395
     ACIW12,924-3,893$395
AMERIS BANCORP 7,412 -2,185 $393
     ABCB7,412-2,185$393
GAMING & LEISURE PPTYS INC 7,938 -2,337 $392
     GLPI7,938-2,337$392
PAYCOM SOFTWARE INC 1,894 -1,079 $392
     PAYC1,894-1,079$392
APPLE HOSPITALITY REIT INC 23,542 -7,087 $391
     APLE23,542-7,087$391
PULTE GROUP INC 3,792 +3,792 $391
     PHM3,792+3,792$391
INDEPENDENCE RLTY TR INC 25,508 -303 $390
     IRT25,508-303$390
CRANE COMPANY 3,291 -976 $389
     CR3,291-976$389
STIFEL FINL CORP 5,626 -1,663 $389
     SF5,626-1,663$389
DONNELLEY FINL SOLUTIONS INC 6,217 -1,838 $388
     DFIN6,217-1,838$388
MATADOR RES CO 6,788 -2,005 $386
     MTDR6,788-2,005$386
NEUROCRINE BIOSCIENCES INC 2,933 -681 $386
     NBIX2,933-681$386
CIENA CORP 8,557 -2,533 $385
     CIEN8,557-2,533$385
SNAP INC 22,746 -9,040 $385
     SNAP22,746-9,040$385
WABASH NATL CORP 15,039 -4,546 $385
     WNC15,039-4,546$385
FIRST AMERN FINL CORP 5,932 -1,770 $382
     FAF5,932-1,770$382
MOLINA HEALTHCARE INC 1,057 -2,579 $382
     MOH1,057-2,579$382
NORDSON CORP 1,446 -355 $382
     NDSN1,446-355$382
INSPERITY INC 3,209 -965 $376
     NSP3,209-965$376
ASSOCIATED BANC CORP 17,516 -5,202 $375
     ASB17,516-5,202$375
MANHATTAN ASSOCIATES INC 1,735 -2,115 $374
     MANH1,735-2,115$374
CERENCE INC 18,946 -5,680 $372
     CRNC18,946-5,680$372
OFG BANCORP 9,934 -2,995 $372
     OFG9,934-2,995$372
ATLASSIAN CORPORATION 1,562 +1,562 $372
     TEAM1,562+1,562$372
WINTRUST FINL CORP 3,996 -1,198 $371
     WTFC3,996-1,198$371
DIODES INC 4,599 -1,381 $370
     DIOD4,599-1,381$370
NORTHERN TR CORP 4,378 -1,669 $369
     NTRS4,378-1,669$369
HANOVER INS GROUP INC 3,013 -897 $366
     THG3,013-897$366
LA Z BOY INC 9,890 -2,981 $365
     LZB9,890-2,981$365
APA CORPORATION 10,122 -3,111 $363
     APA10,122-3,111$363
BILL HOLDINGS INC 4,454 -1,434 $363
     BILL4,454-1,434$363
PARK HOTELS & RESORTS INC 23,674 -7,021 $362
     PK23,674-7,021$362
VEECO INSTRS INC DEL 11,650 -3,495 $362
     VECO11,650-3,495$362
DANA INC 24,723 -7,422 $361
     DAN24,723-7,422$361
GRAND CANYON ED INC 2,727 -820 $360
     LOPE2,727-820$360
MORGAN STANLEY 3,865 -17,984 $360
     MS3,865-17,984$360
IRONWOOD PHARMACEUTICALS INC 31,352 -9,478 $359
     IRWD31,352-9,478$359
GARTNER INC 796 +285 $359
     IT796+285$359
VALVOLINE INC 9,505 -2,858 $357
     VVV9,505-2,858$357
DONALDSON INC 5,448 -1,642 $356
     DCI5,448-1,642$356
PROGRESS SOFTWARE CORP 6,560 -1,971 $356
     PRGS6,560-1,971$356
DOMINION ENERGY INC 7,546 -1,794 $355
     D7,546-1,794$355
CME GROUP INC 1,679 +923 $354
     CME1,679+923$354
ENERPAC TOOL GROUP CORP 11,293 -3,576 $351
     EPAC11,293-3,576$351
OMNICELL COM 9,289 -2,782 $350
     OMCL9,289-2,782$350
RANGE RES CORP 11,485 +4,195 $350
     RRC11,485+4,195$350
AMPHASTAR PHARMACEUTICALS IN 5,642 -1,697 $349
     AMPH5,642-1,697$349
SP PLUS CORP 6,782 -2,022 $348
     SP6,782-2,022$348
NEW YORK TIMES CO 7,075 -2,136 $347
     NYT7,075-2,136$347
AUTONATION INC 2,294 -693 $345
     AN2,294-693$345
JACKSON FINANCIAL INC 6,745 -1,995 $345
     JXN6,745-1,995$345
SUPER MICRO COMPUTER INC 1,212 -2,463 $345
     SMCI1,212-2,463$345
ALAMOS GOLD INC NEW 25,454 -6,200 $344
     AGI25,454-6,200$344
BLOCK H & R INC 7,120 -2,136 $344
     HRB7,120-2,136$344
SYSCO CORP 4,690 -8,440 $343
     SYY4,690-8,440$343
HELMERICH & PAYNE INC 9,429 -2,790 $342
     HP9,429-2,790$342
MIDDLEBY CORP 2,327 -703 $342
     MIDD2,327-703$342
DYNAVAX TECHNOLOGIES CORP 24,374 -7,304 $341
     DVAX24,374-7,304$341
DOORDASH INC 3,434 +3,434 $340
     DASH3,434+3,434$340
HERC HLDGS INC 2,282 -691 $340
     HRI2,282-691$340
BRINKER INTL INC 7,842 -2,359 $339
     EAT7,842-2,359$339
LINCOLN ELEC HLDGS INC 1,557 -465 $339
     LECO1,557-465$339
MKS INSTRS INC 3,293 -966 $339
     MKSI3,293-966$339
SM ENERGY CO 8,767 -2,657 $339
     SM8,767-2,657$339
STAG INDL INC 8,636 +1,462 $339
     STAG8,636+1,462$339
BREAD FINANCIAL HOLDINGS INC 10,267 -3,077 $338
     BFH10,267-3,077$338
SIMON PPTY GROUP INC NEW 2,373 -592 $338
     SPG2,373-592$338
ACADIA HEALTHCARE COMPANY IN 4,340 +18 $337
     ACHC4,340+18$337
APPLIED INDL TECHNOLOGIES IN 1,949 -585 $337
     AIT1,949-585$337
CLEAN HARBORS INC 1,930 -583 $337
     CLH1,930-583$337
STARWOOD PPTY TR INC 15,968 -4,838 $336
     STWD15,968-4,838$336
MOLSON COORS BEVERAGE CO 5,484 -1,761 $336
     TAP5,484-1,761$336
BLOOMIN BRANDS INC 11,917 -3,582 $335
     BLMN11,917-3,582$335
DIAMONDROCK HOSPITALITY CO 35,630 -10,510 $335
     DRH35,630-10,510$335
COLLIERS INTL GROUP INC 2,631 -800 $334
     CIGI2,631-800$334
OLD REP INTL CORP 11,261 -11,274 $331
     ORI11,261-11,274$331
NOW INC 29,108 -8,778 $330
     DNOW29,108-8,778$330
PEOPLES BANCORP INC 9,787 -2,872 $330
     PEBO9,787-2,872$330
TEXAS PACIFIC LAND CORPORATI 210 -134 $330
     TPL210-134$330
BENCHMARK ELECTRS INC 11,821 -3,558 $327
     BHE11,821-3,558$327
ENSIGN GROUP INC 2,916 -878 $327
     ENSG2,916-878$327
BEACON ROOFING SUPPLY INC 3,746 -1,135 $326
     BECN3,746-1,135$326
CENTURY CMNTYS INC 3,581 -1,077 $326
     CCS3,581-1,077$326
UNITED STATES STL CORP NEW 6,699 -20,623 $326
     X6,699-20,623$326
QCR HOLDINGS INC 5,531 -1,676 $323
     QCRH5,531-1,676$323
CORCEPT THERAPEUTICS INC 9,912 -2,964 $322
     CORT9,912-2,964$322
MACYS INC 15,882 -4,795 $320
     M15,882-4,795$320
GIBRALTAR INDS INC 4,048 -1,213 $320
     ROCK4,048-1,213$320
AXIS CAP HLDGS LTD 5,727 -1,721 $317
     AXS5,727-1,721$317
CIVITAS RESOURCES INC 4,642 -1,386 $317
     CIVI4,642-1,386$317
COMERICA INC 5,674 -1,684 $317
     CMA5,674-1,684$317
CSG SYS INTL INC 5,959 -1,752 $317
     CSGS5,959-1,752$317
HALOZYME THERAPEUTICS INC 8,588 -2,568 $317
     HALO8,588-2,568$317
BANKUNITED INC 9,677 -2,938 $314
     BKU9,677-2,938$314
SUPERNUS PHARMACEUTICALS INC 10,866 -3,281 $314
     SUPN10,866-3,281$314
OPENDOOR TECHNOLOGIES INC 69,761 +69,761 $313
     OPEN69,761+69,761$313
SCHOLASTIC CORP 8,314 -2,511 $313
     SCHL8,314-2,511$313
FULGENT GENETICS INC 10,797 -3,235 $312
     FLGT10,797-3,235$312
UPBOUND GROUP INC 9,158 -2,749 $311
     UPBD9,158-2,749$311
RAMBUS INC DEL 4,548 -1,364 $310
     RMBS4,548-1,364$310
CLOUDFLARE INC 3,696 -1,040 $308
     NET3,696-1,040$308
NATIONAL FUEL GAS CO 6,125 -25 $307
     NFG6,125-25$307
OCEANEERING INTL INC 14,337 -4,306 $305
     OII14,337-4,306$305
CLEARWAY ENERGY INC 11,070 -3,356 $304
     CWEN11,070-3,356$304
HANMI FINL CORP 15,640 -4,720 $303
     HAFC15,640-4,720$303
ORTHOFIX MED INC 22,499 -6,744 $303
     OFIX22,499-6,744$303
CAMPBELL SOUP CO 6,992 -675 $302
     CPB6,992-675$302
MONOLITHIC PWR SYS INC 478 -144 $302
     MPWR478-144$302
LIONS GATE ENTMNT CORP      $301
     LGF.B19,007-5,702$194
     LGF.A9,815-2,970$107
MRC GLOBAL INC 27,244 -8,106 $300
     MRC27,244-8,106$300
TRINET GROUP INC 2,518 -764 $299
     TNET2,518-764$299
LIBERTY ENERGY INC 16,401 -4,958 $298
     LBRT16,401-4,958$298
PENUMBRA INC 1,175 -1,666 $296
     PEN1,175-1,666$296
BUILDERS FIRSTSOURCE INC 1,763 -2,644 $294
     BLDR1,763-2,644$294
KULICKE & SOFFA INDS INC 5,374 -1,611 $294
     KLIC5,374-1,611$294
LITHIA MTRS INC 890 -269 $293
     LAD890-269$293
MANITOWOC CO INC 17,461 -5,312 $291
     MTW17,461-5,312$291
MAGNOLIA OIL & GAS CORP 13,618 -4,105 $290
     MGY13,618-4,105$290
TRI POINTE HOMES INC 8,187 -2,467 $290
     TPH8,187-2,467$290
AXON ENTERPRISE INC 1,110 -326 $287
     AXON1,110-326$287
WESTERN DIGITAL CORP. 5,455 -1,513 $286
     WDC5,455-1,513$286
PATTERSON UTI ENERGY INC 26,433 -7,824 $285
     PTEN26,433-7,824$285
WEST FRASER TIMBER CO LTD 3,288 -857 $283
     WFG3,288-857$283
INTEGER HLDGS CORP 2,845 -859 $282
     ITGR2,845-859$282
BRINKS CO 3,194 -953 $281
     BCO3,194-953$281
B2GOLD CORP 88,472 -11,600 $281
     BTG88,472-11,600$281
GUIDEWIRE SOFTWARE INC 2,578 -771 $281
     GWRE2,578-771$281
GXO LOGISTICS INCORPORATED 4,589 +2,962 $281
     GXO4,589+2,962$281
KE HLDGS INC 17,273 -2,783 $280
     BEKE17,273-2,783$280
INTERNATIONAL SEAWAYS INC 6,152 -3,115 $280
     INSW6,152-3,115$280
COMPANIA DE MINAS BUENAVENTU 18,284 -2,000 $279
     BVN18,284-2,000$279
LYELL IMMUNOPHARMA INC 143,991 -43,172 $279
     LYEL143,991-43,172$279
MORNINGSTAR INC 976 -294 $279
     MORN976-294$279
MURPHY OIL CORP 6,546 -1,979 $279
     MUR6,546-1,979$279
ROKU INC 3,043 -1,003 $279
     ROKU3,043-1,003$279
HAEMONETICS CORP MASS 3,254 -979 $278
     HAE3,254-979$278
STEPAN CO 2,942 -872 $278
     SCL2,942-872$278
ARVINAS INC 6,733 +6,733 $277
     ARVN6,733+6,733$277
AVIENT CORPORATION 6,671 -2,005 $277
     AVNT6,671-2,005$277
ONEMAIN HLDGS INC 5,605 -1,692 $276
     OMF5,605-1,692$276
SMUCKER J M CO 2,183 UNCH $276
     SJM2,183UNCH$276
AMN HEALTHCARE SVCS INC 3,671 -1,099 $275
     AMN3,671-1,099$275
ACADEMY SPORTS & OUTDOORS IN 4,132 -1,237 $273
     ASO4,132-1,237$273
GLOBAL PMTS INC 2,138 -587 $272
     GPN2,138-587$272
INTERNATIONAL MNY EXPRESS IN 12,317 -3,719 $272
     IMXI12,317-3,719$272
RLJ LODGING TR 23,138 -6,867 $271
     RLJ23,138-6,867$271
BROOKFIELD INFRASTRUCTURE CO 7,631 -315 $270
     BIPC7,631-315$270
HUB GROUP INC 2,938 -889 $270
     HUBG2,938-889$270
PAYLOCITY HLDG CORP 1,636 -880 $270
     PCTY1,636-880$270
FOOT LOCKER INC 8,588 -2,539 $268
     FL8,588-2,539$268
SELECTIVE INS GROUP INC 2,689 +184 $268
     SIGI2,689+184$268
ENTERPRISE FINL SVCS CORP 5,987 -1,801 $267
     EFSC5,987-1,801$267
KIMBERLY CLARK CORP 2,199 +157 $267
     KMB2,199+157$267
AFFILIATED MANAGERS GROUP IN 1,755 +384 $266
     AMG1,755+384$266
COGNEX CORP 6,375 -1,600 $266
     CGNX6,375-1,600$266
OUTFRONT MEDIA INC 19,087 -5,628 $266
     OUT19,087-5,628$266
QUIDELORTHO CORP 3,593 -1,084 $265
     QDEL3,593-1,084$265
ROYAL BK CDA 2,611 UNCH $265
     RY2,611UNCH$265
NCR VOYIX CORPORATION 9,764 -2,951 $264
     NCR9,764-2,951$264
KIMCO RLTY CORP 12,360 -3,634 $263
     KIM12,360-3,634$263
ETHAN ALLEN INTERIORS INC 8,132 -2,445 $260
     ETD8,132-2,445$260
PATTERSON COS INC 9,154 -6,530 $260
     PDCO9,154-6,530$260
HERBALIFE LTD 16,942 -5,077 $259
     HLF16,942-5,077$259
HELLO GROUP INC 37,290 -10,138 $259
     MOMO37,290-10,138$259
CSW INDUSTRIALS INC 1,243 -375 $258
     CSWI1,243-375$258
OPTION CARE HEALTH INC 7,644 -2,300 $258
     OPCH7,644-2,300$258
A10 NETWORKS INC 19,530 -5,895 $257
     ATEN19,530-5,895$257
BLACKBAUD INC 2,962 -898 $257
     BLKB2,962-898$257
BIOMARIN PHARMACEUTICAL INC 2,660 -1,187 $256
     BMRN2,660-1,187$256
HEARTLAND FINL USA INC 6,727 -2,021 $253
     HTLF6,727-2,021$253
SHOCKWAVE MED INC 1,315 -395 $251
     SWAV1,315-395$251
VALLEY NATL BANCORP 23,073 +13,837 $251
     VLY23,073+13,837$251
DXC TECHNOLOGY CO 10,894 -3,289 $249
     DXC10,894-3,289$249
SUMMIT THERAPEUTICS INC 94,910 -222,330 $248
     SMMT94,910-222,330$248
TEGNA INC 16,237 -4,917 $248
     TGNA16,237-4,917$248
KOPPERS HOLDINGS INC 4,774 -1,455 $245
     KOP4,774-1,455$245
MACERICH CO 15,846 -4,649 $245
     MAC15,846-4,649$245
FRESH DEL MONTE PRODUCE INC 9,307 -2,796 $244
     FDP9,307-2,796$244
CRESCENT PT ENERGY CORP 34,845 -8,800 $243
     CPG34,845-8,800$243
FRONTDOOR INC 6,887 -2,089 $243
     FTDR6,887-2,089$243
IDACORP INC 2,465 -743 $242
     IDA2,465-743$242
MASTEC INC 3,190 -960 $242
     MTZ3,190-960$242
DYCOM INDS INC 2,087 -631 $240
     DY2,087-631$240
CACTUS INC 5,293 +1,958 $240
     WHD5,293+1,958$240
BOX INC 9,319 -2,819 $239
     BOX9,319-2,819$239
DELEK US HLDGS INC NEW 9,262 -2,800 $239
     DK9,262-2,800$239
DIGITALBRIDGE GROUP INC 13,589 +3,308 $238
     DBRG13,589+3,308$238
COMFORT SYS USA INC 1,155 +1,155 $238
     FIX1,155+1,155$238
CHOICE HOTELS INTL INC 2,091 -613 $237
     CHH2,091-613$237
CIRRUS LOGIC INC 2,843 +2,843 $237
     CRUS2,843+2,843$237
DAQO NEW ENERGY CORP 8,900 +8,300 $237
     DQ8,900+8,300$237
COLLEGIUM PHARMACEUTICAL INC 7,652 -2,327 $236
     COLL7,652-2,327$236
ANYWHERE REAL ESTATE INC 29,161 -8,773 $236
     HOUS29,161-8,773$236
MATTEL INC 12,442 +3,541 $235
     MAT12,442+3,541$235
MARRIOTT VACATIONS WORLDWIDE 2,767 -821 $235
     VAC2,767-821$235
SHYFT GROUP INC 19,124 -5,756 $234
     SHYF19,124-5,756$234
VIRTUS INVT PARTNERS INC 958 -301 $232
     VRTS958-301$232
ATS CORPORATION 5,331 -1,400 $231
     ATS5,331-1,400$231
MASONITE INTL CORP 2,727 -820 $231
     DOOR2,727-820$231
PNM RES INC 5,562 +5,562 $231
     PNM5,562+5,562$231
FIRST BANCORP P R 13,986 -4,240 $230
     FBP13,986-4,240$230
PLANET FITNESS INC 3,155 -957 $230
     PLNT3,155-957$230
TOPGOLF CALLAWAY BRANDS CORP 15,900 -4,696 $228
     MODG15,900-4,696$228
PORTLAND GEN ELEC CO 5,265 -1,586 $228
     POR5,265-1,586$228
ASGN INC 2,352 -711 $226
     ASGN2,352-711$226
BROOKLINE BANCORP INC DEL 20,751 -6,258 $226
     BRKL20,751-6,258$226
DROPBOX INC 7,661 +5,018 $226
     DBX7,661+5,018$226
HAWAIIAN ELEC INDUSTRIES 15,933 -4,724 $226
     HE15,933-4,724$226
STEELCASE INC 16,717 -5,062 $226
     SCS16,717-5,062$226
CABOT CORP 2,677 -808 $224
     CBT2,677-808$224
HIBBETT INC 3,106 -932 $224
     HIBB3,106-932$224
CREDIT ACCEP CORP MICH 418 -126 $223
     CACC418-126$223
EXACT SCIENCES CORP 3,017 -640 $223
     EXAS3,017-640$223
FATE THERAPEUTICS INC 59,302 -17,897 $222
     FATE59,302-17,897$222
NEXPOINT RESIDENTIAL TR INC 6,419 -1,928 $221
     NXRT6,419-1,928$221
PAN AMERN SILVER CORP 13,467 -11,333 $221
     PAAS13,467-11,333$221
ROIVANT SCIENCES LTD 19,675 +19,675 $221
     ROIV19,675+19,675$221
MR COOPER GROUP INC 3,380 -1,014 $220
     COOP3,380-1,014$220
HOPE BANCORP INC 18,174 -5,501 $220
     HOPE18,174-5,501$220
HEALTHSTREAM INC 8,155 -2,453 $220
     HSTM8,155-2,453$220
GENWORTH FINL INC 32,759 -9,834 $219
     GNW32,759-9,834$219
ZIFF DAVIS INC 3,257 -980 $219
     ZD3,257-980$219
CONNECTONE BANCORP INC 9,511 -2,853 $218
     CNOB9,511-2,853$218
MAXLINEAR INC 9,149 -2,763 $217
     MXL9,149-2,763$217
ZIONS BANCORPORATION N A 4,950 -1,497 $217
     ZION4,950-1,497$217
MOELIS & CO 3,852 -1,165 $216
     MC3,852-1,165$216
SIMPSON MFG INC 1,089 +1,089 $216
     SSD1,089+1,089$216
VICTORIAS SECRET AND CO 8,157 -2,446 $216
     VSCO8,157-2,446$216
AZZ INC 3,701 -1,116 $215
     AZZ3,701-1,116$215
ADVANCED ENERGY INDS 1,967 -580 $214
     AEIS1,967-580$214
KNIFE RIVER CORP 3,198 -962 $212
     KNF3,198-962$212
ENERPLUS CORP 13,697 -3,500 $211
     ERF13,697-3,500$211
MIDWESTONE FINL GROUP INC NE 7,825 -2,352 $211
     MOFG7,825-2,352$211
WORKIVA INC 2,078 -624 $211
     WK2,078-624$211
ATN INTL INC 5,382 -1,623 $210
     ATNI5,382-1,623$210
EVERI HLDGS INC 18,674 -5,613 $210
     EVRI18,674-5,613$210
UNIVERSAL DISPLAY CORP 1,096 -327 $210
     OLED1,096-327$210
ANDERSONS INC 3,629 -1,092 $209
     ANDE3,629-1,092$209
CABLE ONE INC 375 -113 $209
     CABO375-113$209
TRAVEL PLUS LEISURE CO 5,346 -1,621 $209
     TNL5,346-1,621$209
SIMPLY GOOD FOODS CO 5,255 +5,255 $208
     SMPL5,255+5,255$208
MAXIMUS INC 2,474 -744 $207
     MMS2,474-744$207
INSULET CORP 955 -1,931 $207
     PODD955-1,931$207
ARCHROCK INC 13,338 -4,003 $205
     AROC13,338-4,003$205
MGM RESORTS INTERNATIONAL 4,578 -768 $205
     MGM4,578-768$205
LI AUTO INC 5,447 -1,333 $204
     LI5,447-1,333$204
BJS RESTAURANTS INC 5,625 -1,692 $203
     BJRI5,625-1,692$203
MINISO GROUP HLDG LTD 9,949 -5,758 $203
     MNSO9,949-5,758$203
SONOCO PRODS CO 3,633 -1,095 $203
     SON3,633-1,095$203
WORLD KINECT CORPORATION 8,917 +8,917 $203
     WKC8,917+8,917$203
LUMENTUM HLDGS INC 3,859 -1,170 $202
     LITE3,859-1,170$202
VAIL RESORTS INC 944 -256 $202
     MTN944-256$202
ADDUS HOMECARE CORP 2,149 -654 $200
     ADUS2,149-654$200
ELEMENT SOLUTIONS INC 8,648 +8,648 $200
     ESI8,648+8,648$200
AMERICAN EAGLE OUTFITTERS IN 9,392 -2,794 $199
     AEO9,392-2,794$199
BLACK HILLS CORP 3,693 +3,693 $199
     BKH3,693+3,693$199
PAPA JOHNS INTL INC 2,605 -785 $199
     PZZA2,605-785$199
TTEC HLDGS INC 9,168 -2,753 $199
     TTEC9,168-2,753$199
SUMMIT HOTEL PPTYS INC 29,513 -8,742 $198
     INN29,513-8,742$198
O I GLASS INC 12,082 -3,635 $198
     OI12,082-3,635$198
TRUEBLUE INC 12,812 -3,848 $197
     TBI12,812-3,848$197
UNITIL CORP 3,755 -1,128 $197
     UTL3,755-1,128$197
COUSINS PPTYS INC 8,047 -2,413 $196
     CUZ8,047-2,413$196
METHANEX CORP 4,129 -1,000 $196
     MEOH4,129-1,000$196
AMEREN CORP 2,697 -762 $195
     AEE2,697-762$195
ILLUMINA INC 1,402 -3,039 $195
     ILMN1,402-3,039$195
DELL TECHNOLOGIES INC 2,535 -1,558 $194
     DELL2,535-1,558$194
INNOSPEC INC 1,573 +1,573 $194
     IOSP1,573+1,573$194
ALECTOR INC 24,191 -7,312 $193
     ALEC24,191-7,312$193
CADENCE BANK 6,535 -1,914 $193
     CADE6,535-1,914$193
GMS INC 2,326 -715 $192
     GMS2,326-715$192
NELNET INC 2,164 -646 $191
     NNI2,164-646$191
TRINITY INDS INC 7,201 -2,143 $191
     TRN7,201-2,143$191
VISTEON CORP 1,519 -453 $190
     VC1,519-453$190
APOLLO COML REAL EST FIN INC 16,058 -4,919 $189
     ARI16,058-4,919$189
OSCAR HEALTH INC 20,688 +2,404 $189
     OSCR20,688+2,404$189
COMMERCIAL METALS CO 3,766 +3,766 $188
     CMC3,766+3,766$188
HILTON GRAND VACATIONS INC 4,681 -1,404 $188
     HGV4,681-1,404$188
PINNACLE FINL PARTNERS INC 2,156 -668 $188
     PNFP2,156-668$188
CHEMED CORP NEW 320 -705 $187
     CHE320-705$187
HEIDRICK & STRUGGLES INTL IN 6,316 -1,900 $187
     HSII6,316-1,900$187
FIRST SOLAR INC 1,071 -269 $185
     FSLR1,071-269$185
LIGHTSPEED COMMERCE INC 8,783 -2,222 $185
     LSPD8,783-2,222$185
OMEGA HEALTHCARE INVS INC 6,030 -1,787 $185
     OHI6,030-1,787$185
SKYLINE CHAMPION CORPORATION 2,495 +2,495 $185
     SKY2,495+2,495$185
TORO CO 1,919 -3,357 $184
     TTC1,919-3,357$184
GRACO INC 2,093 -3,571 $182
     GGG2,093-3,571$182
SMART GLOBAL HLDGS INC 9,440 -2,855 $179
     SGH9,440-2,855$179
COMMERCE BANCSHARES INC (CBSH) 3,330 -793 $178
     CBSH3,330-793$178
CARPENTER TECHNOLOGY CORP 2,513 -749 $178
     CRS2,513-749$178
NICOLET BANKSHARES INC (NIC) 2,217 -664 $178
     NIC2,217-664$178
FULLER H B CO 2,171 -651 $177
     FUL2,171-651$177
GREEN PLAINS INC 7,029 -2,107 $177
     GPRE7,029-2,107$177
VERADIGM INC 16,842 -5,095 $177
     MDRX16,842-5,095$177
PARAMOUNT GLOBAL 11,882 -3,353 $176
     PARA11,882-3,353$176
BAYTEX ENERGY CORP 50,900 -4,000 $175
     BTE50,900-4,000$175
CAPRI HOLDINGS LIMITED 3,479 -1,048 $175
     CPRI3,479-1,048$175
UNIVEST FINANCIAL CORPORATIO 7,933 -2,459 $175
     UVSP7,933-2,459$175
GAP INC 8,308 -2,495 $174
     GPS8,308-2,495$174
VERRA MOBILITY CORP 7,544 -2,256 $174
     VRRM7,544-2,256$174
CALIFORNIA RES CORP 3,158 +33 $173
     CRC3,158+33$173
GORMAN RUPP CO 4,846 -1,453 $172
     GRC4,846-1,453$172
TELEPHONE & DATA SYS INC 9,354 -2,739 $172
     TDS9,354-2,739$172
FIRST BANCORP N C 4,632 -1,393 $171
     FBNC4,632-1,393$171
FIVE9 INC 2,168 -650 $171
     FIVN2,168-650$171
MEDIFAST INC 2,547 -763 $171
     MED2,547-763$171
SPARTANNASH CO 7,456 -2,256 $171
     SPTN7,456-2,256$171
NORTHWESTERN ENERGY GROUP IN 3,340 -963 $170
     NWE3,340-963$170
OLD NATL BANCORP IND 10,081 +3,534 $170
     ONB10,081+3,534$170
FINVOLUTION GROUP 34,466 -8,712 $169
     FINV34,466-8,712$169
BALLYS CORPORATION 12,064 -3,629 $168
     BALY12,064-3,629$168
MODERNA INC 1,689 -4,160 $168
     MRNA1,689-4,160$168
SILGAN HLDGS INC 3,709 -1,103 $168
     SLGN3,709-1,103$168
AIRBNB INC 1,225 +1,225 $167
     ABNB1,225+1,225$167
LANTHEUS HLDGS INC 2,689 -807 $167
     LNTH2,689-807$167
ELDORADO GOLD CORP NEW 12,700 -3,200 $166
     EGO12,700-3,200$166
EVERTEC INC 4,062 -1,210 $166
     EVTC4,062-1,210$166
OSISKO GOLD ROYALTIES LTD 11,587 -2,954 $166
     OR11,587-2,954$166
WORLD ACCEP CORPORATION 1,275 -384 $166
     WRLD1,275-384$166
CAVCO INDS INC DEL 477 -143 $165
     CVCO477-143$165
MEDICAL PPTYS TRUST INC 33,516 +4,917 $165
     MPW33,516+4,917$165
SONOS INC 9,605 -2,898 $165
     SONO9,605-2,898$165
ORASURE TECHNOLOGIES INC 20,053 -6,011 $164
     OSUR20,053-6,011$164
CALLON PETE CO DEL 5,043 -1,515 $163
     CPE5,043-1,515$163
TELEDYNE TECHNOLOGIES INC 365 +124 $163
     TDY365+124$163
V2X INC 3,519 -1,062 $163
     VVX3,519-1,062$163
EXELON CORP 4,506 -1,078 $162
     EXC4,506-1,078$162
ZUMIEZ INC 7,978 -2,406 $162
     ZUMZ7,978-2,406$162
ASPEN TECHNOLOGY INC 728 +728 $160
     AZPN728+728$160
VONTIER CORPORATION 4,631 -1,384 $160
     VNT4,631-1,384$160
HELEN OF TROY LTD 1,315 -393 $159
     HELE1,315-393$159
ZEBRA TECHNOLOGIES CORPORATI 581 -175 $159
     ZBRA581-175$159
ZAI LAB LTD 5,819 -2,656 $159
     ZLAB5,819-2,656$159
DUKE ENERGY CORP NEW 1,632 UNCH $158
     DUK1,632UNCH$158
HERSHEY CO 840 UNCH $157
     HSY840UNCH$157
CHATHAM LODGING TR 14,544 -4,221 $156
     CLDT14,544-4,221$156
NEWMARKET CORP 286 -198 $156
     NEU286-198$156
SCANSOURCE INC 3,935 -1,183 $156
     SCSC3,935-1,183$156
RAYMOND JAMES FINL INC 1,393 -4,089 $155
     RJF1,393-4,089$155
CENTRAL PAC FINL CORP 7,833 -2,374 $154
     CPF7,833-2,374$154
TRICON RESIDENTIAL INC 16,791 -4,200 $154
     TCN16,791-4,200$154
PRIMO WATER CORPORATION 10,085 -2,600 $153
     PRMW10,085-2,600$153
TEXAS CAP BANCSHARES INC (TCBI) 2,346 -713 $152
     TCBI2,346-713$152
SELECT WATER SOLUTIONS INC 20,022 -6,019 $152
     WTTR20,022-6,019$152
LEGGETT & PLATT INC 5,778 -1,736 $151
     LEG5,778-1,736$151
TELEFLEX INCORPORATED 604 -133 $151
     TFX604-133$151
PJT PARTNERS INC 1,471 -439 $150
     PJT1,471-439$150
Q2 HLDGS INC 3,448 +2,523 $150
     QTWO3,448+2,523$150
WEIS MKTS INC 2,339 -702 $150
     WMK2,339-702$150
ZYMEWORKS INC 14,392 +6,092 $150
     ZYME14,392+6,092$150
APPLOVIN CORP 3,732 -1,120 $149
     APP3,732-1,120$149
SUNNOVA ENERGY INTL INC. 9,794 -2,967 $149
     NOVA9,794-2,967$149
BIO TECHNE CORP 1,935 -1,415 $149
     TECH1,935-1,415$149
INGEVITY CORP 3,128 -937 $148
     NGVT3,128-937$148
NEW JERSEY RES CORP 3,325 -1,000 $148
     NJR3,325-1,000$148
TRANSALTA CORP 17,684 -700 $148
     TAC17,684-700$148
CHARTER COMMUNICATIONS INC N 377 -29 $147
     CHTR377-29$147
SSR MINING IN 13,595 -3,500 $147
     SSRM13,595-3,500$147
SOUTHWEST GAS HLDGS INC 2,321 -699 $147
     SWX2,321-699$147
FOX FACTORY HLDG CORP 2,161 -646 $146
     FOXF2,161-646$146
HEALTHCARE RLTY TR 8,459 -16,169 $146
     HR8,459-16,169$146
RADNET INC 4,162 -1,254 $145
     RDNT4,162-1,254$145
MARATHON DIGITAL HOLDINGS IN 6,080 -1,807 $143
     MARA6,080-1,807$143
V F CORP 7,626 -2,533 $143
     VFC7,626-2,533$143
UNITI GROUP INC 24,606 -7,240 $142
     UNIT24,606-7,240$142
ASTEC INDS INC 3,761 -1,131 $140
     ASTE3,761-1,131$140
BAUSCH HEALTH COS INC 17,400 -4,400 $140
     BHC17,400-4,400$140
JINKOSOLAR HLDG CO LTD 3,798 -987 $140
     JKS3,798-987$140
NMI HLDGS INC 4,731 -1,392 $140
     NMIH4,731-1,392$140
ACADIA PHARMACEUTICALS INC 4,430 -1,351 $139
     ACAD4,430-1,351$139
ONE GAS INC 2,181 +904 $139
     OGS2,181+904$139
TIMKENSTEEL CORPORATION 5,911 -1,757 $139
     TMST5,911-1,757$139
KOHLS CORP 4,828 -1,450 $138
     KSS4,828-1,450$138
BRIGHT HORIZONS FAM SOL IN D 1,459 -439 $137
     BFAM1,459-439$137
HEALTH CATALYST INC 14,807 -4,462 $137
     HCAT14,807-4,462$137
KANZHUN LIMITED 8,200 +5,900 $136
     BZ8,200+5,900$136
CHESAPEAKE ENERGY CORP 1,770 -1,243 $136
     CHK1,770-1,243$136
AMERICAN FINL GROUP INC OHIO 1,133 -444 $135
     AFG1,133-444$135
BANCORP INC DEL 3,508 -3,027 $135
     TBBK3,508-3,027$135
SCHNITZER STEEL INDS INC 4,025 -1,182 $134
     SCHN4,025-1,182$134
AIR LEASE CORP 3,172 -957 $133
     AL3,172-957$133
DREAM FINDERS HOMES INC 3,723 -1,105 $132
     DFH3,723-1,105$132
A MARK PRECIOUS METALS INC 4,320 -1,271 $131
     AMRK4,320-1,271$131
ADVANSIX INC 4,357 -1,339 $131
     ASIX4,357-1,339$131
CORE & MAIN INC 3,246 -975 $131
     CNM3,246-975$131
FIRST FINL BANKSHARES INC (FFIN) 4,332 -1,305 $131
     FFIN4,332-1,305$131
PRIMORIS SVCS CORP 3,944 -1,188 $131
     PRIM3,944-1,188$131
RH 451 -136 $131
     RH451-136$131
COLUMBIA BKG SYS INC 4,881 -1,473 $130
     COLB4,881-1,473$130
NAVIENT CORPORATION 6,977 -2,108 $130
     NAVI6,977-2,108$130
PIEDMONT OFFICE REALTY TR IN 18,318 -5,892 $130
     PDM18,318-5,892$130
WEBSTER FINL CORP 2,564 -6,170 $130
     WBS2,564-6,170$130
WOODWARD INC 954 -274 $130
     WWD954-274$130
THE ODP CORP 2,285 -670 $129
     ODP2,285-670$129
USANA HEALTH SCIENCES INC 2,405 -718 $129
     USNA2,405-718$129
XENCOR INC 6,056 -1,819 $129
     XNCR6,056-1,819$129
GENESCO INC 3,648 -1,096 $128
     GCO3,648-1,096$128
AMERICAN EQTY INVT LIFE HLD 2,283 -688 $127
     AEL2,283-688$127
VERINT SYS INC 4,699 -1,419 $127
     VRNT4,699-1,419$127
DOCUSIGN INC 2,122 -6,474 $126
     DOCU2,122-6,474$126
ULTRAGENYX PHARMACEUTICAL IN 2,633 -792 $126
     RARE2,633-792$126
VERMILION ENERGY INC 10,392 -2,600 $126
     VET10,392-2,600$126
BLACKBERRY LTD 35,500 -9,000 $124
     BB35,500-9,000$124
MONTAUK RENEWABLES INC 13,906 -4,205 $124
     MNTK13,906-4,205$124
KYMERA THERAPEUTICS INC 4,767 +4,767 $121
     KYMR4,767+4,767$121
HAWKINS INC 1,711 -512 $120
     HWKN1,711-512$120
MERCER INTL INC 12,683 -3,866 $120
     MERC12,683-3,866$120
OLD SECOND BANCORP INC ILL 7,740 -2,323 $120
     OSBC7,740-2,323$120
KINDER MORGAN INC DEL 6,730 -1,869 $119
     KMI6,730-1,869$119
NCR ATLEOS CORPORATION 4,881 +4,881 $119
     NATL4,881+4,881$119
FIFTH THIRD BANCORP 3,408 -7 $118
     FITB3,408-7$118
ENPRO INC 756 -219 $118
     NPO756-219$118
TELADOC HEALTH INC 5,482 +5,482 $118
     TDOC5,482+5,482$118
XPO INC 1,349 -339 $118
     XPO1,349-339$118
BCE INC 2,927 UNCH $116
     BCE2,927UNCH$116
BRIGHTSPHERE INVT GROUP INC 6,041 -1,848 $116
     BSIG6,041-1,848$116
HUDBAY MINERALS INC 20,889 -5,300 $116
     HBM20,889-5,300$116
NIO INC 12,759 -31,253 $116
     NIO12,759-31,253$116
QIFU TECHNOLOGY INC 7,304 -20,382 $116
     QFIN7,304-20,382$116
VERACYTE INC 4,202 -1,206 $116
     VCYT4,202-1,206$116
CHESAPEAKE UTILS CORP 1,087 +505 $115
     CPK1,087+505$115
SIX FLAGS ENTMT CORP NEW 4,545 -1,366 $114
     SIX4,545-1,366$114
DOUGLAS EMMETT INC 7,822 -1,235 $113
     DEI7,822-1,235$113
GREEN DOT CORP 11,434 -3,451 $113
     GDOT11,434-3,451$113
PERFICIENT INC 1,714 -515 $113
     PRFT1,714-515$113
SUMMIT MATLS INC 2,928 -881 $113
     SUM2,928-881$113
FIRST MAJESTIC SILVER CORP 18,200 -4,100 $112
     AG18,200-4,100$112
SEA LTD 2,777 -9,527 $112
     SE2,777-9,527$112
AMER STATES WTR CO 1,383 -417 $111
     AWR1,383-417$111
GRIFFON CORP 1,828 -532 $111
     GFF1,828-532$111
UNITED BANKSHARES INC WEST V (UBSI) 2,969 -890 $111
     UBSI2,969-890$111
CHEGG INC 9,701 -1,722 $110
     CHGG9,701-1,722$110
NUVEI CORPORATION 4,110 +4,110 $109
     NVEI4,110+4,110$109
TENABLE HLDGS INC 2,372 -718 $109
     TENB2,372-718$109
CARTERS INC 1,448 -436 $108
     CRI1,448-436$108
ALPHA & OMEGA SEMICONDUCTOR 4,087 -1,231 $107
     AOSL4,087-1,231$107
QUINSTREET INC 8,382 -2,512 $107
     QNST8,382-2,512$107
R1 RCM INC 10,116 -2,986 $107
     RCM10,116-2,986$107
COLUMBIA SPORTSWEAR CO 1,334 -395 $106
     COLM1,334-395$106
HAVERTY FURNITURE COS INC 2,987 -892 $106
     HVT2,987-892$106
PATHWARD FINANCIAL INC 1,983 -595 $105
     CASH1,983-595$105
WINNEBAGO INDS INC 1,443 -434 $105
     WGO1,443-434$105
FIRST CTZNS BANCSHARES INC N (FCNCA) 73 -103 $104
     FCNCA73-103$104
PREMIER INC 4,643 -1,361 $104
     PINC4,643-1,361$104
BIO RAD LABS INC 318 -94 $103
     BIO318-94$103
SHUTTERSTOCK INC 2,141 -643 $103
     SSTK2,141-643$103
BERKSHIRE HILLS BANCORP INC 4,093 -1,246 $102
     BHLB4,093-1,246$102
OPENLANE INC 6,862 -2,050 $102
     KAR6,862-2,050$102
REV GROUP INC 5,611 -1,661 $102
     REVG5,611-1,661$102
DOUBLEVERIFY HLDGS INC 2,740 -820 $101
     DV2,740-820$101
RINGCENTRAL INC 2,972 -888 $101
     RNG2,972-888$101
H WORLD GROUP LTD 2,987 -869 $100
     HTHT2,987-869$100
M & T BK CORP 733 -220 $100
     MTB733-220$100
PROG HOLDINGS INC 3,242 -978 $100
     PRG3,242-978$100
TRIUMPH FINANCIAL INC 1,242 -375 $100
     TFIN1,242-375$100
AZENTA INC 1,522 -457 $99
     AZTA1,522-457$99
MIDLAND STATES BANCORP INC 3,608 -1,083 $99
     MSBI3,608-1,083$99
ANGIODYNAMICS INC 12,550 -3,807 $98
     ANGO12,550-3,807$98
LAUREATE EDUCATION INC 7,173 -2,152 $98
     LAUR7,173-2,152$98
VISTA OUTDOOR INC 3,302 -1,000 $98
     VSTO3,302-1,000$98
WENDYS CO 5,051 -1,487 $98
     WEN5,051-1,487$98
INDUSTRIAL LOGISTICS PPTYS T 20,626 -6,130 $97
     ILPT20,626-6,130$97
RITHM CAPITAL CORP 9,075 -2,723 $97
     RITM9,075-2,723$97
AERSALE CORPORATION 7,452 -2,249 $95
     ASLE7,452-2,249$95
DENISON MINES CORP 54,071 -13,900 $95
     DNN54,071-13,900$95
LEXINFINTECH HLDGS LTD 51,781 -13,070 $95
     LX51,781-13,070$95
PRIVIA HEALTH GROUP INC 4,141 -1,259 $95
     PRVA4,141-1,259$95
PAYCOR HCM INC 4,412 -1,331 $95
     PYCR4,412-1,331$95
TARGA RES CORP 1,089 -321 $95
     TRGP1,089-321$95
ENCORE CAP GROUP INC 1,856 -555 $94
     ECPG1,856-555$94
ETSY INC 1,162 -348 $94
     ETSY1,162-348$94
INNOVATIVE INDL PPTYS INC 934 -357 $94
     IIPR934-357$94
VALMONT INDS INC 404 -119 $94
     VMI404-119$94
APOGEE ENTERPRISES INC 1,733 -564 $93
     APOG1,733-564$93
CALIFORNIA WTR SVC GROUP 1,797 -526 $93
     CWT1,797-526$93
COMMUNITY HEALTH SYS INC NEW 29,601 -8,920 $93
     CYH29,601-8,920$93
AMEDISYS INC 970 -290 $92
     AMED970-290$92
GRANITE REAL ESTATE INVT TR      $92
     GRP.U1,597-500$92
KONTOOR BRANDS INC 1,472 -433 $92
     KTB1,472-433$92
OTTER TAIL CORP 1,084 -301 $92
     OTTR1,084-301$92
POOL CORP 230 -69 $92
     POOL230-69$92
TKO GROUP HOLDINGS INC 1,126 -340 $92
     TKO1,126-340$92
BLACKLINE INC 1,464 -441 $91
     BL1,464-441$91
F N B CORP 6,630 -2,090 $91
     FNB6,630-2,090$91
GUARDANT HEALTH INC 3,364 -1,012 $91
     GH3,364-1,012$91
GAMESTOP CORP NEW 5,204 -1,549 $91
     GME5,204-1,549$91
SCOTTS MIRACLE GRO CO 1,426 -430 $91
     SMG1,426-430$91
THRYV HLDGS INC 4,417 -1,343 $90
     THRY4,417-1,343$90
VERVE THERAPEUTICS INC 6,416 +6,416 $89
     VERV6,416+6,416$89
DOLBY LABORATORIES INC 1,023 -299 $88
     DLB1,023-299$88
KIMBALL ELECTRONICS INC 3,224 -993 $87
     KE3,224-993$87
ORGANON & CO 5,934 -1,790 $86
     OGN5,934-1,790$86
COMMSCOPE HLDG CO INC 30,075 -8,954 $85
     COMM30,075-8,954$85
ERO COPPER CORP 5,320 -1,351 $85
     ERO5,320-1,351$85
FIRST ADVANTAGE CORP NEW 5,136 -1,516 $85
     FA5,136-1,516$85
RAPID7 INC 1,496 -451 $85
     RPD1,496-451$85
CENTERRA GOLD INC 14,077 -3,500 $84
     CGAU14,077-3,500$84
MARQETA INC 12,098 -3,577 $84
     MQ12,098-3,577$84
NEOGENOMICS INC 5,179 -1,504 $84
     NEO5,179-1,504$84
SOLENO THERAPEUTICS INC 2,096 +2,096 $84
     SLNO2,096+2,096$84
SELECT MED HLDGS CORP 3,526 -1,008 $83
     SEM3,526-1,008$83
RELAY THERAPEUTICS INC 7,484 +7,484 $82
     RLAY7,484+7,484$82
RYAN SPECIALTY HOLDINGS INC 1,913 -574 $82
     RYAN1,913-574$82
CRACKER BARREL OLD CTRY STOR 1,054 -320 $81
     CBRL1,054-320$81
METHODE ELECTRS INC 3,556 -1,053 $81
     MEI3,556-1,053$81
SANDSTORM GOLD LTD 16,000 -4,100 $81
     SAND16,000-4,100$81
LEGALZOOM COM INC 7,071 -2,120 $80
     LZ7,071-2,120$80
RLX TECHNOLOGY INC 39,769 -10,129 $80
     RLX39,769-10,129$80
MIRATI THERAPEUTICS INC 1,331 -401 $78
     MRTX1,331-401$78
U S PHYSICAL THERAPY 829 -236 $77
     USPH829-236$77
NEXTRACKER INC 1,617 -479 $76
     NXT1,617-479$76
EMBECTA CORP 3,967 -1,174 $75
     EMBC3,967-1,174$75
MFA FINL INC 6,578 -1,935 $74
     MFA6,578-1,935$74
OPKO HEALTH INC 48,941 -14,773 $74
     OPK48,941-14,773$74
VERICEL CORP 2,071 +2,071 $74
     VCEL2,071+2,071$74
AGENUS INC 87,711 +87,711 $73
     AGEN87,711+87,711$73
AVNET INC 1,451 -417 $73
     AVT1,451-417$73
HARMONIC INC 5,611 -1,682 $73
     HLIT5,611-1,682$73
IAMGOLD CORP 28,882 -7,200 $73
     IAG28,882-7,200$73
FORTUNA SILVER MINES INC 18,490 -4,624 $72
     FSM18,490-4,624$72
LEGEND BIOTECH CORP 1,200 UNCH $72
     LEGN1,200UNCH$72
PACIRA BIOSCIENCES INC 2,104 -635 $71
     PCRX2,104-635$71
VIASAT INC 2,556 -149,147 $71
     VSAT2,556-149,147$71
COASTAL FINL CORP WA 1,579 -478 $70
     CCB1,579-478$70
VAREX IMAGING CORP 3,349 -1,032 $69
     VREX3,349-1,032$69
VIZIO HLDG CORP 8,979 -2,685 $69
     VZIO8,979-2,685$69
ZTO EXPRESS CAYMAN INC 3,244 UNCH $69
     ZTO3,244UNCH$69
ALCOA CORP 1,970 -599 $67
     AA1,970-599$67
PROCEPT BIOROBOTICS CORP 1,582 -473 $66
     PRCT1,582-473$66
ALASKA AIR GROUP INC 1,661 -485 $65
     ALK1,661-485$65
MAG SILVER CORP 6,171 -1,600 $65
     MAG6,171-1,600$65
GOODRX HLDGS INC 9,608 -2,827 $64
     GDRX9,608-2,827$64
NEW GOLD INC CDA 43,720 -11,200 $64
     NGD43,720-11,200$64
TRAVERE THERAPEUTICS INC 7,156 -2,151 $64
     TVTX7,156-2,151$64
ANIKA THERAPEUTICS INC 2,721 -779 $62
     ANIK2,721-779$62
FUTU HLDGS LTD 1,143 -263 $62
     FUTU1,143-263$62
AMERICAN AIRLS GROUP INC 4,446 -1,338 $61
     AAL4,446-1,338$61
AGILITI INC 7,724 -2,331 $61
     AGTI7,724-2,331$61
AVISTA CORP 1,715 -491 $61
     AVA1,715-491$61
MGE ENERGY INC 838 -270 $61
     MGEE838-270$61
MARATHON OIL CORP 2,514 -774 $61
     MRO2,514-774$61
MATTERPORT INC 22,706 +22,706 $61
     MTTR22,706+22,706$61
PACKAGING CORP AMER 376 UNCH $61
     PKG376UNCH$61
SILVERCREST METALS INC 9,307 -2,312 $61
     SILV9,307-2,312$61
TITAN INTL INC ILL 4,131 -1,217 $61
     TWI4,131-1,217$61
WILEY JOHN & SONS INC 1,914 -552 $61
     WLY1,914-552$61
HERTZ GLOBAL HLDGS INC 5,795 -1,765 $60
     HTZ5,795-1,765$60
LIFESTANCE HEALTH GROUP INC 7,600 -2,289 $60
     LFST7,600-2,289$60
NOVAGOLD RES INC 15,689 -4,000 $59
     NG15,689-4,000$59
ALGOMA STL GROUP INC 5,659 -1,384 $57
     ASTL5,659-1,384$57
ENTRAVISION COMMUNICATIONS C 13,689 -4,132 $57
     EVC13,689-4,132$57
IOVANCE BIOTHERAPEUTICS INC 6,961 -2,091 $57
     IOVA6,961-2,091$57
UNITED NAT FOODS INC 3,443 -1,041 $56
     UNFI3,443-1,041$56
VIR BIOTECHNOLOGY INC 5,555 -1,676 $56
     VIR5,555-1,676$56
ERASCA INC 25,996 +25,996 $55
     ERAS25,996+25,996$55
EVERBRIDGE INC 2,247 -674 $55
     EVBG2,247-674$55
PARAGON 28 INC 4,395 -1,296 $55
     FNA4,395-1,296$55
NETGEAR INC 3,740 -1,100 $55
     NTGR3,740-1,100$55
COHERUS BIOSCIENCES INC 16,084 -4,830 $54
     CHRS16,084-4,830$54
HIGHPEAK ENERGY INC 3,822 +3,822 $54
     HPK3,822+3,822$54
REVOLUTION MEDICINES INC 1,871 +1,871 $54
     RVMD1,871+1,871$54
SEABRIDGE GOLD INC 4,412 -1,100 $54
     SA4,412-1,100$54
TRADEWEB MKTS INC 595 UNCH $54
     TW595UNCH$54
ALLETE INC 864 -250 $53
     ALE864-250$53
ENHABIT INC 5,058 -1,490 $52
     EHAB5,058-1,490$52
BUMBLE INC 3,485 -1,026 $51
     BMBL3,485-1,026$51
SPROTT INC 1,500 -400 $51
     SII1,500-400$51
DOCEBO INC 1,019 -411 $49
     DCBO1,019-411$49
GINKGO BIOWORKS HOLDINGS INC 29,007 -8,691 $49
     DNA29,007-8,691$49
HUNT J B TRANS SVCS INC 243 UNCH $49
     JBHT243UNCH$49
WK KELLOGG CO 3,746 +3,746 $49
     KLG3,746+3,746$49
PRECISION DRILLING CORP 900 -200 $49
     PDS900-200$49
ERIE INDTY CO 137 -777 $46
     ERIE137-777$46
TD SYNNEX CORPORATION 426 -124 $46
     SNX426-124$46
TAL EDUCATION GROUP 3,655 +396 $46
     TAL3,655+396$46
DIGITAL TURBINE INC 6,530 -1,969 $45
     APPS6,530-1,969$45
ORLA MNG LTD NEW 13,828 -3,495 $45
     ORLA13,828-3,495$45
CORNING INC 1,410 UNCH $43
     GLW1,410UNCH$43
GRAY TELEVISION INC 4,783 -1,424 $43
     GTN4,783-1,424$43
KELLY SVCS INC 1,977 -583 $43
     KELYA1,977-583$43
LITHIUM AMERS CORP NEW 6,654 -1,679 $43
     LAC6,654-1,679$43
TRIPLE FLAG PRECIOUS METAL 3,230 -850 $43
     TFPM3,230-850$43
UPWORK INC 2,919 -856 $43
     UPWK2,919-856$43
CONSENSUS CLOUD SOLUTIONS IN 1,618 -472 $42
     CCSI1,618-472$42
GRAFTECH INTL LTD 19,131 -5,775 $42
     EAF19,131-5,775$42
LITHIUM AMERICAS ARGENTINA C 6,654 +6,654 $42
     LAAC6,654+6,654$42
N ABLE INC 3,159 -1,016 $42
     NABL3,159-1,016$42
PEBBLEBROOK HOTEL TR 2,649 -705 $42
     PEB2,649-705$42
XPERI INC 3,790 -1,108 $42
     XPER3,790-1,108$42
ZIPRECRUITER INC 3,017 -875 $42
     ZIP3,017-875$42
DOXIMITY INC 1,460 -428 $41
     DOCS1,460-428$41
EASTERN BANKSHARES INC (EBC) 2,888 -855 $41
     EBC2,888-855$41
CANADA GOOSE HLDGS INC 3,437 -845 $41
     GOOS3,437-845$41
PTC THERAPEUTICS INC 1,482 -445 $41
     PTCT1,482-445$41
TELUS INTL CDA INC 4,702 -1,189 $41
     TIXT4,702-1,189$41
HANESBRANDS INC 8,994 -2,704 $40
     HBI8,994-2,704$40
ADAPTHEALTH CORP 5,367 -1,618 $39
     AHCO5,367-1,618$39
HUT 8 CORP 2,863 -14,863 $38
     HUT2,863-14,863$38
SABRE CORP 8,665 -2,552 $38
     SABR8,665-2,552$38
UPSTART HLDGS INC 929 -215 $38
     UPST929-215$38
BROOKFIELD BUSINESS CORP 1,599 -406 $37
     BBUC1,599-406$37
ESTABLISHMENT LABS HLDGS INC 1,411 -413 $37
     ESTA1,411-413$37
WOLFSPEED INC 822 -8,870 $36
     WOLF822-8,870$36
ICHOR HOLDINGS 1,038 -305 $35
     ICHR1,038-305$35
ENERFLEX LTD 7,244 -1,900 $34
     EFXT7,244-1,900$34
ALLIENT INC 972 -288 $33
     AMOT972-288$33
OBSIDIAN ENERGY LTD 4,900 -1,300 $33
     OBE4,900-1,300$33
SOMALOGIC INC 12,914 -3,834 $33
     SLGC12,914-3,834$33
GENERAC HLDGS INC 248 -74 $32
     GNRC248-74$32
NORTH AMERN CONSTR GROUP LTD 1,529 -400 $32
     NOA1,529-400$32
ACCO BRANDS CORP 5,081 -1,506 $31
     ACCO5,081-1,506$31
HARROW INC 2,747 -818 $31
     HROW2,747-818$31
SUNOPTA INC 5,703 -1,465 $31
     STKL5,703-1,465$31
PREMIER FINANCIAL CORP 1,254 -407 $30
     PFC1,254-407$30
NCINO INC 856 -280 $29
     NCNO856-280$29
CRONOS GROUP INC 13,249 -3,389 $28
     CRON13,249-3,389$28
GRAB HOLDINGS LIMITED 8,318 -29,125 $28
     GRAB8,318-29,125$28
SILVERCORP METALS INC 10,876 -2,900 $28
     SVM10,876-2,900$28
MATIV HOLDINGS INC 1,745 -509 $27
     MATV1,745-509$27
TASEKO MINES LTD 19,400 -4,500 $27
     TGB19,400-4,500$27
BROOKFIELD REINS LTD 626 -146 $25
     BNRE626-146$25
SKEENA RES LTD NEW 5,124 -1,251 $25
     SKE5,124-1,251$25
FEDERAL AGRIC MTG CORP 125 -29 $24
     AGM125-29$24
ENDEAVOUR SILVER CORP 11,994 -3,000 $24
     EXK11,994-3,000$24
OLO INC 4,141 -1,244 $24
     OLO4,141-1,244$24
I 80 GOLD CORP 12,124 -3,034 $21
     IAUX12,124-3,034$21
MAGNITE INC 2,256 -598 $21
     MGNI2,256-598$21
AUTOHOME INC 700 UNCH $20
     ATHM700UNCH$20
EXCELERATE ENERGY INC 1,242 -408 $19
     EE1,242-408$19
MAGNACHIP SEMICONDUCTOR CORP 2,253 -731 $17
     MX2,253-731$17
JETBLUE AWYS CORP 2,867 -777 $16
     JBLU2,867-777$16
THE LION ELECTRIC COMPANY 8,386 -2,043 $15
     LEV8,386-2,043$15
PROFRAC HLDG CORP 1,414 -417 $12
     ACDC1,414-417$12
NEW PAC METALS CORP 5,714 -1,391 $11
     NEWP5,714-1,391$11
FISKER INC 5,705 -1,668 $10
     FSR5,705-1,668$10
BIOVENTUS INC 1,687 -414 $9
     BVS1,687-414$9
SKYWEST INC 163 -28 $9
     SKYW163-28$9
TWILIO INC 115 -4,145 $9
     TWLO115-4,145$9
VILLAGE FARMS INTL INC 6,720 -1,491 $5
     VFF6,720-1,491$5
VIATRIS INC 432 UNCH $5
     VTRS432UNCH$5
WEIBO CORP 470 UNCH $5
     WB470UNCH$5
JOYY INC 63 -35 $3
     YY63-35$3
NANOSTRING TECHNOLOGIES INC 1,405 -413 $1
     NSTG1,405-413$1
FRANKLIN RESOURCES INC 4 -113 <$1
     BEN4-113$0
CINCINNATI FINL CORP 4 -2,122 $0
     CINF4-2,122$0
THE AARONS COMPANY INC $0 (exited)
     AAN0-36,486$0
ALLAKOS INC $0 (exited)
     ALLK0-9,541$0
ARGO GROUP INTL HLDGS LTD $0 (exited)
     ARGO0-21,695$0
ARAMARK $0 (exited)
     ARMK0-19,400$0
ARROW ELECTRS INC $0 (exited)
     ARW0-2,267$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-17,548$0
BAXTER INTL INC $0 (exited)
     BAX0-4,295$0
BUNGE LIMITED $0 (exited)
     BG0-37,900$0
CITIGROUP INC $0 (exited)
     C0-37,291$0
CHINDATA GROUP HLDGS LTD $0 (exited)
     CD0-30,390$0
CAREDX INC $0 (exited)
     CDNA0-4,805$0
COMPUTER PROGRAMS & SYS INC $0 (exited)
     CPSI0-22,034$0
DENBURY INC $0 (exited)
     DEN0-4,044$0
EMERGENT BIOSOLUTIONS INC $0 (exited)
     EBS0-46,970$0
8X8 INC NEW $0 (exited)
     EGHT0-124,660$0
ENANTA PHARMACEUTICALS INC $0 (exited)
     ENTA0-4,784$0
EQRX INC $0 (exited)
     EQRX0-21,806$0
FIRST FNDTN INC $0 (exited)
     FFWM0-32,864$0
FISERV INC $0 (exited)
     FISV0-85,847$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-1,979$0
HILTON WORLDWIDE HLDGS INC $0 (exited)
     HLT0-1,151$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-11,614$0
INTREPID POTASH INC $0 (exited)
     IPI0-2,989$0
INVESCO LTD $0 (exited)
     IVZ0-54,055$0
KINGSOFT CLOUD HLDGS LTD $0 (exited)
     KC0-10,517$0
LIBERTY BROADBAND CORP $0 (exited)
     LBRDK0-819$0
MELCO RESORTS AND ENTMNT LTD $0 (exited)
     MLCO0-6,779$0
3M CO $0 (exited)
     MMM0-1,999$0
MATCH GROUP INC NEW $0 (exited)
     MTCH0-2,952$0
OUTSET MED INC $0 (exited)
     OM0-4,077$0
PHINIA INC $0 (exited)
     PHIN0-2,562$0
REVVITY INC $0 (exited)
     PKI0-8,439$0
QURATE RETAIL INC $0 (exited)
     QRTEA0-273,455$0
EVEREST GROUP LTD $0 (exited)
     RE0-12,855$0
RE MAX HLDGS INC $0 (exited)
     RMAX0-6,599$0
ROLLINS INC $0 (exited)
     ROL0-118,184$0
RACKSPACE TECHNOLOGY INC $0 (exited)
     RXT0-109,374$0
SEAGEN INC $0 (exited)
     SGEN0-5,397$0
SHERWIN WILLIAMS CO $0 (exited)
     SHW0-5,643$0
SOLID POWER INC $0 (exited)
     SLDP0-11,026$0
STANLEY BLACK & DECKER INC $0 (exited)
     SWK0-1,900$0
TRIP COM GROUP LTD $0 (exited)
     TCOM0-3,780$0
2SEVENTY BIO INC $0 (exited)
     TSVT0-44,436$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-6,716$0
2U INC $0 (exited)
     TWOU0-4,341$0
VMWARE INC $0 (exited)
     VMW0-6,285$0
VANDA PHARMACEUTICALS INC $0 (exited)
     VNDA0-23,262$0
VERITIV CORP $0 (exited)
     VRTV0-5,268$0
WHIRLPOOL CORP $0 (exited)
     WHR0-1,130$0
ZOOMINFO TECHNOLOGIES INC $0 (exited)
     ZI0-34,486$0
ZOOM VIDEO COMMUNICATIONS IN 0 -5,532 $0 (exited)
     ZM0-5,532$0

See Summary: Shell Asset Management Co. Top Holdings
See Details: Top 10 Stocks Held By Shell Asset Management Co.

EntityShares/Amount
Change
Position Value
Change
FI +68,580+$9,110
EG +10,377+$3,669
LYV +12,711+$1,190
IQV +4,904+$1,135
DSGX +10,867+$918
VLTO +9,719+$799
RVTY +6,609+$722
ZBH +4,525+$551
KRTX +1,404+$444
SAIA +937+$411
EntityShares/Amount
Change
Position Value
Change
FISV -85,847-$9,697
RE -12,855-$4,778
ROL -118,184-$4,412
BG -37,900-$4,103
ATVI -17,548-$1,643
C -37,291-$1,534
SHW -5,643-$1,439
SGEN -5,397-$1,145
VMW -6,285-$1,046
PKI -8,439-$934
EntityShares/Amount
Change
Position Value
Change
DVN +72,659+$3,181
BEPC +59,927+$2,386
CPRT +56,930+$2,998
CLS +45,163+$1,991
MO +34,641+$1,357
CM +31,636+$1,633
SNEX +28,841-$1,260
KHC +24,199+$927
REG +18,859+$1,297
HPE +18,687+$298
EntityShares/Amount
Change
Position Value
Change
NXE -343,694-$1,618
SMMT -222,330-$345
AAPL -183,552-$17,043
VSAT -149,147-$2,729
EQX -147,057-$237
MSFT -100,858-$9,550
AMZN -95,614-$324
T -90,261-$1,013
LC -82,163+$356
Size ($ in 1000's)
At 12/31/2023: $2,164,376
At 09/30/2023: $2,420,117

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

All Stocks Held By Shell Asset Management Co. | www.HoldingsChannel.com

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