HoldingsChannel.com
All Stocks Held By State of Tennessee Treasury Department
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 4,359,081 +78,708 $687,470
     MSFT4,359,081+78,708$687,470
APPLE INC 2,420,852 +40,974 $615,598
     AAPL2,420,852+40,974$615,598
AMAZON COM INC 261,329 +4,231 $509,519
     AMZN261,329+4,231$509,519
ISHARES INC (EWT) 13,782,411 +14,652 $454,406
     EWT13,782,411+14,652$454,406
ISHARES INC (EWY) 9,363,547 +20,409 $439,337
     EWY9,363,547+20,409$439,337
FACEBOOK INC      $378,072
     FB1,473,311-59,951$245,748
     Common Stock793,311+793,311$132,324
SELECT SECTOR SPDR TR (XLK)      $347,404
     XLK4,118,505-139,760$331,004
     ETP295,983+295,983$16,400
PROCTER & GAMBLE CO      $277,968
     PG2,265,199+1,182,269$249,172
     Common Stock261,786+261,786$28,796
CNC33 802 15 30 596,000 +596,000 $270,027
     EXK596,000+596,000$270,027
ALPHABET INC CLASS C 223,138 +4,392 $259,467
     GOOG223,138+4,392$259,467
MASTERCARD INC      $248,531
     MA560,645+21,444$135,429
     Common Stock468,215+468,215$113,102
JP MORGAN CHASE & CO 2,543,484 +218,989 $228,990
     JPM2,543,484+218,989$228,990
BERKSHIRE HATHAWAY INC CL B      $219,641
     BRK.B1,201,342+200,233$219,641
JOHNSON & JOHNSON 1,604,885 +151,517 $210,449
     JNJ1,604,885+151,517$210,449
NEXTERA ENERGY INC.      $198,604
     NEE506,796+30,065$121,945
     Common Stock318,591+318,591$76,659
ISHARES INC (EWZ) 7,869,517 +24,483 $185,406
     EWZ7,869,517+24,483$185,406
ALPHABET INC CLASS A 154,304 +1,600 $179,294
     GOOGL154,304+1,600$179,294
UNITEDHEALTH GROUP INC      $177,986
     UNH508,714-15,876$126,863
     Common Stock205,000+205,000$51,123
VANGUARD INDEX FDS (VTI) 1,348,009 +103,109 $173,771
     VTI1,348,009+103,109$173,771
VISA INC 1,021,703 +69,650 $164,616
     V1,021,703+69,650$164,616
NORTHROP GRUMMAN CORP      $162,102
     NOC313,301+28,945$94,789
     Common Stock222,485+222,485$67,313
AT&T INC 5,192,683 +37,086 $151,367
     T5,192,683+37,086$151,367
WALMART INC 1,321,641 +446,979 $150,165
     WMT1,321,641+446,979$150,165
Vanguard S&P 500 ETF (VOO) 620,600 UNCH $146,970
     VOO620,600UNCH$146,970
BRISTOL MYERS SQUIBB CO      $143,526
     BMY2,023,765+246,576$112,805
     Common Stock551,144+551,144$30,721
PROLOGIS INC      $143,019
     PLD1,055,790+304,628$84,854
     REIT723,712+723,712$58,165
ISHARES TR (INDY) 5,522,943 UNCH $141,663
     INDY5,522,943UNCH$141,663
HOME DEPOT INC 720,873 +137,913 $134,595
     HD720,873+137,913$134,595
ISHARES TR (INDA) 5,556,338 +95,955 $133,963
     INDA5,556,338+95,955$133,963
VANGUARD SCOTTSDALE FDS (VCLT) 1,356,927 +4,627 $131,798
     VCLT1,356,927+4,627$131,798
BANK OF AMERICA CORPORATION 6,124,216 -89,005 $130,017
     BAC6,124,216-89,005$130,017
VANGUARD SCOTTSDALE FDS (VCIT) 1,438,723 -2,977 $125,299
     VCIT1,438,723-2,977$125,299
ISHARES (MBB)      $123,472
     MBB1,028,895+2,295$113,631
     ETP450,401+450,401$9,841
INTEL CORP 2,215,284 -222,034 $119,891
     INTC2,215,284-222,034$119,891
NETFLIX COM INC 318,441 +49,034 $119,575
     NFLX318,441+49,034$119,575
CISCO SYS INC      $118,002
     CSCO2,660,360+272,610$104,579
     Common Stock341,457+341,457$13,423
LOCKHEED MARTIN CORP 347,312 +89,958 $117,721
     LMT347,312+89,958$117,721
ADOBE INC 350,655 +82,892 $111,593
     ADBE350,655+82,892$111,593
AMERICAN TOWER REIT CLASS A 489,388 +134,521 $106,563
     AMT489,388+134,521$106,563
VANGUARD TAX MANAGED INTL FD (VEA) 3,127,502 +236,702 $104,271
     VEA3,127,502+236,702$104,271
VERIZON COMMUNICATIONS 1,924,177 +156,682 $103,386
     VZ1,924,177+156,682$103,386
COMCAST CORP NEW 2,983,804 +77,568 $102,583
     CMCSA2,983,804+77,568$102,583
NVIDIA CORP 387,929 +48,559 $102,258
     NVDA387,929+48,559$102,258
COCA COLA CO 2,234,781 -37,233 $98,889
     KO2,234,781-37,233$98,889
DISNEY WALT CO 1,003,764 -393,949 $96,964
     DIS1,003,764-393,949$96,964
iShares iBoxx High Yield Cor (HYG)      $94,377
     HYG977,933+643,233$75,369
     ETP246,633+246,633$19,008
AMGEN INC 460,708 +81,130 $93,400
     AMGN460,708+81,130$93,400
UNION PAC CORP 659,179 -12,862 $92,971
     UNP659,179-12,862$92,971
LILLY ELI & CO 657,428 +42,762 $91,199
     LLY657,428+42,762$91,199
CIGNA CORP 514,618 +222,439 $91,181
     CI514,618+222,439$91,181
L3HARRIS TECH INC 486,745 +113,273 $87,673
     LHX486,745+113,273$87,673
CVS HEALTH CORPORATION 1,442,612 +442,416 $85,590
     CVS1,442,612+442,416$85,590
COSTCO WHSL CORP NEW 290,561 -24,293 $82,848
     COST290,561-24,293$82,848
MCDONALDS CORP 491,008 +81,594 $81,189
     MCD491,008+81,594$81,189
CHEVRON CORP NEW      $78,693
     CVX641,459-47,545$46,480
     Common Stock444,565+444,565$32,213
ISHARES INC (EZA) 2,754,119 UNCH $78,162
     EZA2,754,119UNCH$78,162
ISHARES INC (EWM)      $75,947
     EWM3,181,687UNCH$73,815
     ETP289,641+289,641$2,132
MERCK AND CO      $75,373
     MRK789,117-553,893$60,714
     Common Stock190,528+190,528$14,659
NIKE INC 908,558 -5,899 $75,174
     NKE908,558-5,899$75,174
TEXAS INSTRS INC      $74,303
     TXN523,776+87,080$52,341
     Common Stock219,776+219,776$21,962
PAYPAL HLDGS INC 764,873 +116,331 $73,228
     PYPL764,873+116,331$73,228
SHOPIFY INC 169,514 -36,076 $70,675
     SHOP169,514-36,076$70,675
CITIGROUP INC. COM NEW 1,652,997 -237,582 $69,624
     C1,652,997-237,582$69,624
THERMO FISHER SCIENTIFIC INC 245,436 -1,253 $69,606
     TMO245,436-1,253$69,606
CORTEVA INC      $68,640
     CTVA2,411,887+113,315$56,680
     Common Stock508,930+508,930$11,960
ROYAL BANK OF CANADA 1,080,174 -11,633 $66,485
     RY1,080,174-11,633$66,485
CANADIAN PAC RY LTD 302,528 +15,770 $66,432
     CP302,528+15,770$66,432
SALESFORCE COM INC 459,142 +16,088 $66,107
     CRM459,142+16,088$66,107
PFIZER INC 2,001,133 +160,203 $65,317
     PFE2,001,133+160,203$65,317
NORFOLK SOUTHERN CORP 426,986 +2,680 $62,340
     NSC426,986+2,680$62,340
EDWARDS LIFESCIENCES CORP 322,554 +221,086 $60,840
     EW322,554+221,086$60,840
PEPSICO INC 503,644 +52,752 $60,487
     PEP503,644+52,752$60,487
BOSTON SCIENTIFIC CORP 1,827,703 +978,991 $59,638
     BSX1,827,703+978,991$59,638
AMERICAN WATER WORKS CO INC 496,215 +453,148 $59,328
     AWK496,215+453,148$59,328
CANADIAN NATIONAL RAILWAY CO 762,875 -19,989 $59,222
     CNI762,875-19,989$59,222
STARBUCKS CORP 883,186 -66,590 $58,061
     SBUX883,186-66,590$58,061
Toronto Dominion Bank 1,376,615 -13,105 $57,859
     TD1,376,615-13,105$57,859
CHARTER COMMUNICATIONS INC N 131,813 -9,604 $57,512
     CHTR131,813-9,604$57,512
PHILLIPS 66      $57,049
     PSX633,039+47,046$33,963
     Common Stock430,300+430,300$23,086
ORACLE CORP 1,180,207 -39,850 $57,040
     ORCL1,180,207-39,850$57,040
VERTEX PHARMACEUTICALS INC 236,150 +58,231 $56,192
     VRTX236,150+58,231$56,192
INTUITIVE SURGICAL INC 112,173 +41,121 $55,549
     ISRG112,173+41,121$55,549
PHILIP MORRIS INTL INC 759,603 -575,133 $55,421
     PM759,603-575,133$55,421
INTERCONTINENTAL EXCHANGE INC. (ICE)      $55,211
     ICE458,726+278,653$37,042
     Common Stock225,000+225,000$18,169
VANGUARD INDEX FDS (VNQ) 786,324 +179,324 $54,924
     VNQ786,324+179,324$54,924
KANSAS CITY SOUTHERN 431,219 +12,954 $54,842
     KSU431,219+12,954$54,842
QUALCOMM INC      $54,445
     QCOM622,493-64,182$42,112
     Common Stock182,300+182,300$12,333
ISHARES TR (EIDO) 3,627,975 UNCH $53,440
     EIDO3,627,975UNCH$53,440
CAMPBELL SOUP CO 1,145,502 +1,069,952 $52,876
     CPB1,145,502+1,069,952$52,876
SEMPRA ENERGY 453,167 +351,221 $51,204
     SRE453,167+351,221$51,204
TJX COS INC NEW 1,054,742 +67,006 $50,427
     TJX1,054,742+67,006$50,427
BAXTER INTL INC 620,037 +232,004 $50,341
     BAX620,037+232,004$50,341
GOLDMAN SACHS GROUP INC 319,663 +89,797 $49,417
     GS319,663+89,797$49,417
ABBVIE INC 642,053 -262,538 $48,918
     ABBV642,053-262,538$48,918
AMERICAN EXPRESS CO 566,735 +59,098 $48,518
     AXP566,735+59,098$48,518
ATMOS ENERGY CORP 475,570 +128,377 $47,191
     ATO475,570+128,377$47,191
DOLLAR GEN CORP NEW 308,349 -3,372 $46,563
     DG308,349-3,372$46,563
EXXON MOBIL CORP      $46,340
     XOM1,107,612-409,847$42,056
     Common Stock112,832+112,832$4,284
BOSTON PROPERTIES INC 502,051 +369,911 $46,304
     BXP502,051+369,911$46,304
MONDELEZ INTERNATIONAL INC      $46,203
     MDLZ584,066-649,628$29,250
     Common Stock338,518+338,518$16,953
ABBOTT LABS 576,463 -444,024 $45,489
     ABT576,463-444,024$45,489
INVESCO SENIOR LOAN ETF (BKLN) 2,204,200 -641,200 $45,098
     BKLN2,204,200-641,200$45,098
F M C CORP 548,633 +71,754 $44,817
     FMC548,633+71,754$44,817
PROGRESSIVE CORP OHIO 597,261 +146,821 $44,102
     PGR597,261+146,821$44,102
BROADCOM INC 185,467 -40,187 $43,973
     AVGO185,467-40,187$43,973
ENBRIDGE INC 1,520,288 -24,846 $43,766
     ENB1,520,288-24,846$43,766
AON PLC CLASS A ORD 262,873 +54,905 $43,384
     AON262,873+54,905$43,384
NEWMONT CORPORATION 939,462 +189,147 $42,539
     NEM939,462+189,147$42,539
HONEYWELL INTL INC 312,754 -39,655 $41,844
     HON312,754-39,655$41,844
EQUINIX INC 66,111 +10,795 $41,291
     EQIX66,111+10,795$41,291
ZOETIS INC 349,762 -34,920 $41,163
     ZTS349,762-34,920$41,163
ACTIVISION BLIZZARD INCE 654,246 +471,219 $38,915
     ATVI654,246+471,219$38,915
SSGA ACTIVE ETF TR (SRLN)      $38,702
     SRLN757,809-205,891$30,320
     ETP209,500+209,500$8,382
INCYTE CORP      $38,670
     INCY285,050+218,171$20,874
     Common Stock243,017+243,017$17,796
ALTRIA GROUP INC      $38,595
     MO718,641-878,347$27,790
     Common Stock279,424+279,424$10,805
UNITED TECHNOLOGIES CORP 402,861 -442,531 $38,002
     UTX402,861-442,531$38,002
MORGAN STANLEY      $37,730
     MS832,492-103,865$28,305
     Common Stock277,218+277,218$9,425
BANK OF NOVA SCOTIA 925,830 -3,615 $37,589
     BNS925,830-3,615$37,589
INTERNATIONAL BUSINESS MACHS 335,523 -107,767 $37,219
     IBM335,523-107,767$37,219
MARTIN MARIETTA MATLS INC 196,595 -20,967 $37,202
     MLM196,595-20,967$37,202
CHUBB LTD 322,117 +64,148 $35,978
     CB322,117+64,148$35,978
TARGET CORP 380,466 -131,754 $35,371
     TGT380,466-131,754$35,371
PNC FINL SVCS GROUP INC 368,175 +57,750 $35,241
     PNC368,175+57,750$35,241
GILEAD SCIENCES INC 469,835 -396,278 $35,125
     GILD469,835-396,278$35,125
MICRON TECHNOLOGY INC      $34,976
     MU571,312-33,459$24,029
     Common Stock260,280+260,280$10,947
SERVICENOW INC 121,608 +18,263 $34,851
     NOW121,608+18,263$34,851
CSX CORP 594,511 +332,400 $34,065
     CSX594,511+332,400$34,065
ASML HLDG NV NY REG SHS 130,095 +33,030 $34,038
     ASML130,095+33,030$34,038
EQUITY RESIDENTIAL      $34,021
     EQR316,680-34,676$19,543
     REIT234,609+234,609$14,478
INTUIT 142,301 +21,187 $32,729
     INTU142,301+21,187$32,729
ISHARES TR (EPHE) 1,396,618 UNCH $32,178
     EPHE1,396,618UNCH$32,178
ISHARES TR (PFF) 1,000,300 +739,000 $31,850
     PFF1,000,300+739,000$31,850
ALEXION PHARMACEUTICALS INC 352,028 +184,453 $31,609
     ALXN352,028+184,453$31,609
COLGATE PALMOLIVE CO      $31,595
     CL274,599+70,421$18,223
     Common Stock201,500+201,500$13,372
TC ENERGY CORP 716,939 +10,105 $31,503
     TRP716,939+10,105$31,503
ALLERGAN PLC 175,393 +61,821 $31,062
     AGN175,393+61,821$31,062
IHS MARKIT LTD 514,213 -48,897 $30,853
     INFO514,213-48,897$30,853
ADVANCED MICRO DEVICES INC 673,606 +112,170 $30,635
     AMD673,606+112,170$30,635
APPLIED MATLS INC 662,005 -141,490 $30,333
     AMAT662,005-141,490$30,333
BROOKFIELD ASSET MANAGEMENT INC 690,586 +20,603 $30,262
     BAM690,586+20,603$30,262
MARATHON PETE CORP 1,260,664 +654,405 $29,777
     MPC1,260,664+654,405$29,777
LINDE PLC 170,695 +42,720 $29,530
     LIN170,695+42,720$29,530
STRYKER CORP 175,702 -32,341 $29,253
     SYK175,702-32,341$29,253
MEDTRONIC PLC 315,138 -558,356 $28,419
     MDT315,138-558,356$28,419
ISHARES TR (EPOL) 2,043,300 UNCH $28,075
     EPOL2,043,300UNCH$28,075
FIDELITY NATL INFORMATION SVCS 228,399 +8,080 $27,783
     FIS228,399+8,080$27,783
ACCENTURE PLC COM STOCK 169,810 -126,984 $27,723
     ACN169,810-126,984$27,723
BCE INC NPV 679,369 -9,335 $27,551
     BCE679,369-9,335$27,551
WELLS FARGO & CO NEW 957,235 -1,212,619 $27,473
     WFC957,235-1,212,619$27,473
SCHWAB CHARLES CORP NEW      $27,357
     SCHW544,906-22,737$18,320
     Common Stock268,797+268,797$9,037
DANAHER CORP DEL 194,631 -221,839 $26,939
     DHR194,631-221,839$26,939
GALLAGHER ARTHUR J & CO 325,472 +84,418 $26,530
     AJG325,472+84,418$26,530
HUMANA INC 84,019 +34,506 $26,384
     HUM84,019+34,506$26,384
ONEOK INC NEW 1,171,486 +462,458 $25,550
     OKE1,171,486+462,458$25,550
VanEck Vectors Fallen Angel Hi 985,800 +985,800 $24,941
     ANGL985,800+985,800$24,941
BANK OF NEW YORK MELLON CORP 737,305 -54,272 $24,832
     BK737,305-54,272$24,832
T MOBILE US INC 294,969 +219,553 $24,747
     TMUS294,969+219,553$24,747
BARRICK GOLD CORP 1,355,965 +9,324 $24,633
     GOLD1,355,965+9,324$24,633
VALERO ENERGY CORP NEW 537,395 -2,755 $24,375
     VLO537,395-2,755$24,375
BANK OF MONTREAL 485,734 +51 $24,247
     BMO485,734+51$24,247
GENERAL ELECTRIC CO 2,999,874 +919,230 $23,819
     GE2,999,874+919,230$23,819
CBRE GROUP INC 629,577 +170,054 $23,741
     CBRE629,577+170,054$23,741
US BANCORP DEL      $23,024
     USB334,161-139,366$11,512
     Common Stock334,161+334,161$11,512
LEIDOS HOLDINGS INC 250,086 -8,829 $22,920
     LDOS250,086-8,829$22,920
LOWES COS INC 265,207 -400,166 $22,821
     LOW265,207-400,166$22,821
ISHARES INC (ECH) 1,042,280 UNCH $22,597
     ECH1,042,280UNCH$22,597
SPDR SERIES TRUST (CWB) 472,100 +339,600 $22,595
     CWB472,100+339,600$22,595
FISERV INC 233,775 -39,479 $22,207
     FISV233,775-39,479$22,207
AUTOMATIC DATA PROCESSING INC 161,032 -41,352 $22,010
     ADP161,032-41,352$22,010
GLOBAL PMTS INC 148,347 -105,693 $21,397
     GPN148,347-105,693$21,397
O REILLY AUTOMOTIVE NEW COMMON 70,788 -10,087 $21,311
     ORLY70,788-10,087$21,311
SYSCO CORP 460,360 +338,805 $21,006
     SYY460,360+338,805$21,006
KINDER MORGAN INC      $20,991
     KMI982,972+518,920$13,683
     Common Stock525,006+525,006$7,308
UNITED PARCEL SERVICE INC 222,666 +55,722 $20,801
     UPS222,666+55,722$20,801
CROWN CASTLE INTL CORP NEW 142,804 -111,856 $20,621
     CCI142,804-111,856$20,621
AIR PRODS & CHEMS INC 101,826 +18,593 $20,326
     APD101,826+18,593$20,326
EATON CORP PLC COM 260,196 +123,763 $20,215
     ETN260,196+123,763$20,215
ALEXANDRIA REAL ESTATE 146,674 +55,779 $20,103
     ARE146,674+55,779$20,103
MSCI INC 69,516 -50,664 $20,088
     MSCI69,516-50,664$20,088
BOOKING HOLDINGS INC 14,841 -13 $19,966
     BKNG14,841-13$19,966
S&P GLOBAL INC 80,344 -6,893 $19,688
     SPGI80,344-6,893$19,688
EXELON CORP      $19,566
     Common Stock228,554+228,554$11,153
     EXC228,554-3,037$8,413
SCHEIN HENRY INC 384,500 +349,541 $19,425
     HSIC384,500+349,541$19,425
CANADIAN IMPERIAL BANK OF 336,541 -1,560 $19,386
     CM336,541-1,560$19,386
CONAGRA FOODS INC 659,698 +543,760 $19,356
     CAG659,698+543,760$19,356
BLACKROCK INC 43,859 +15,764 $19,297
     BLK43,859+15,764$19,297
LAM RESEARCH CORP 79,911 -59,811 $19,178
     LRCX79,911-59,811$19,178
Waste Connections Inc 243,409 -5,125 $18,865
     WCN243,409-5,125$18,865
BOEING CO 125,702 -57,501 $18,747
     BA125,702-57,501$18,747
SBA COMMUNICATIONS CORP NEW 69,231 +42,405 $18,690
     SBAC69,231+42,405$18,690
MANULIFE FINANCIAL CORP 1,475,774 -20,557 $18,506
     MFC1,475,774-20,557$18,506
FIFTH THIRD BANCORP      $18,482
     FITB705,722-463,347$10,480
     Common Stock538,871+538,871$8,002
3M CO 135,201 -1,796 $18,456
     MMM135,201-1,796$18,456
BIOGEN IDEC INC 57,798 -8,764 $18,286
     BIIB57,798-8,764$18,286
RAYTHEON CO 137,620 -56,960 $18,049
     RTN137,620-56,960$18,049
KROGER CO      $17,915
     KR391,687+200,622$11,797
     Common Stock203,128+203,128$6,118
CARLISLE COS INC 142,878 +54,621 $17,900
     CSL142,878+54,621$17,900
DUKE RLTY CORP      $17,816
     DRE318,329-93,992$10,307
     REIT231,909+231,909$7,509
Suncor Energy Inc 1,122,596 -71,905 $17,712
     SU1,122,596-71,905$17,712
PIMCO DYNAMIC CREDIT AND MORTGAG 1,039,300 +860,200 $17,481
     PCI1,039,300+860,200$17,481
CONOCOPHILLIPS      $17,394
     COP306,754-149,650$9,448
     Common Stock257,980+257,980$7,946
AVALONBAY CMNTYS INC 117,360 +11,952 $17,271
     AVB117,360+11,952$17,271
LULULEMON ATHLETICA INC 90,000 -5,000 $17,060
     LULU90,000-5,000$17,060
DIGITAL RLTY TR INC 121,637 +71,913 $16,897
     DLR121,637+71,913$16,897
ICON PLC 123,857 +8,545 $16,845
     ICLR123,857+8,545$16,845
AMERICAN ELEC PWR INC 206,600 +22,895 $16,523
     AEP206,600+22,895$16,523
SELECT SECTOR SPDR TR (XLU) 295,983 +295,983 $16,400
     XLU295,983+295,983$16,400
ILLUMINA INC 59,561 +9,541 $16,267
     ILMN59,561+9,541$16,267
MYLAN N V      $15,957
     MYL595,783-1,612$8,883
     Common Stock474,434+474,434$7,074
SIMON PPTY GROUP INC NEW 290,025 -11,374 $15,911
     SPG290,025-11,374$15,911
ISHARES (EWC) 728,001 +88,501 $15,907
     EWC728,001+88,501$15,907
VORNADO RLTY TR      $15,855
     VNO237,555+83,929$8,602
     REIT200,312+200,312$7,253
GENERAL DYNAMICS CORP 116,813 +60,986 $15,456
     GD116,813+60,986$15,456
NATIONAL OILWELL VARCO INC 1,556,913 -1,206 $15,305
     NOV1,556,913-1,206$15,305
ILLINOIS TOOL WKS INC 106,641 +36,961 $15,156
     ITW106,641+36,961$15,156
CATERPILLAR INC DEL 129,936 -19,749 $15,078
     CAT129,936-19,749$15,078
MEDICAL PPTYS TRUST INC      $14,784
     MPW427,509+138,108$7,392
     REIT427,509+427,509$7,392
FRANCO NEVADA CORP 148,475 +3,418 $14,776
     FNV148,475+3,418$14,776
Telus Corp Registered 944,684 +487,842 $14,766
     TU944,684+487,842$14,766
BECTON DICKINSON & CO 63,588 -125,128 $14,611
     BDX63,588-125,128$14,611
CME GROUP INC 84,255 -1,119 $14,569
     CME84,255-1,119$14,569
KIMBERLY CLARK CORP 111,288 +29,619 $14,230
     KMB111,288+29,619$14,230
CAN NATURAL RES 1,049,345 -153,265 $14,196
     CNQ1,049,345-153,265$14,196
SUN LIFE FINANCIAL INC 440,964 -11,132 $14,023
     SLF440,964-11,132$14,023
EVERSOURCE ENERGY 178,748 +47,353 $13,980
     ES178,748+47,353$13,980
NUTRIEN LTD COMMON STOCK 413,501 -31,781 $13,975
     NTR413,501-31,781$13,975
DOMINION ENERGY INC 193,518 -99,009 $13,970
     D193,518-99,009$13,970
TRANE TECH PLC 169,138 +169,138 $13,969
     TT169,138+169,138$13,969
HENRY JACK & ASSOC INC 89,689 +53,760 $13,923
     JKHY89,689+53,760$13,923
DUKE ENERGY CORP NEW 171,404 -63,042 $13,863
     DUK171,404-63,042$13,863
NORTON LIFELOCK INC      $13,844
     NLOK437,350+159,649$8,183
     Common Stock302,540+302,540$5,661
ANTHEM INC 59,616 -94,865 $13,535
     ANTM59,616-94,865$13,535
ARES CAPITAL CORP 1,251,700 +1,009,500 $13,493
     ARCC1,251,700+1,009,500$13,493
SOUTHERN CO 246,569 -3,277 $13,349
     SO246,569-3,277$13,349
HCA HEALTHCARE INC 147,201 -124,385 $13,226
     HCA147,201-124,385$13,226
FORTIS INC 342,999 +9,588 $13,223
     FTS342,999+9,588$13,223
AUTODESK INC 83,832 -18,687 $13,086
     ADSK83,832-18,687$13,086
WEC ENERGY GROUP INC 148,393 +22,030 $13,078
     WEC148,393+22,030$13,078
MARRIOTT INTL INC NEW 173,799 +96,820 $13,002
     MAR173,799+96,820$13,002
CITRIX SYS INC 91,827 +34,165 $12,999
     CTXS91,827+34,165$12,999
MOODYS CORP 60,760 +8,694 $12,851
     MCO60,760+8,694$12,851
AMERISOURCEBERGEN CORP 145,091 +109,278 $12,841
     ABC145,091+109,278$12,841
CAMECO CORP 1,682,266 -8,750 $12,680
     CCJ1,682,266-8,750$12,680
ESSEX PPTY TR INC 57,489 +21,033 $12,662
     ESS57,489+21,033$12,662
REGENERON PHARMACEUTICALS 25,847 +6,817 $12,621
     REGN25,847+6,817$12,621
GENERAL MTRS CO      $12,286
     GM295,612-96,538$6,143
     Common Stock295,612+295,612$6,143
MOTOROLA SOLUTIONS INC 91,883 +13,465 $12,213
     MSI91,883+13,465$12,213
OLD DOMINION FREIGHT LINE 92,363 +48,618 $12,123
     ODFL92,363+48,618$12,123
HP INC 692,014 -130,759 $12,013
     HPQ692,014-130,759$12,013
ENTERGY CORP NEW 126,991 -276,183 $11,934
     ETR126,991-276,183$11,934
KEYSIGHT TECHNOLOGIES INC 142,002 +38,184 $11,882
     KEYS142,002+38,184$11,882
ISHARES TR (SHYG) 283,400 -244,800 $11,583
     SHYG283,400-244,800$11,583
PIONEER NAT RES CO 161,404 +105,523 $11,323
     PXD161,404+105,523$11,323
VANGUARD BD INDEX FD INC (BND) 132,280 -4,600 $11,290
     BND132,280-4,600$11,290
CENTENE CORP DEL 188,262 +89,681 $11,185
     CNC188,262+89,681$11,185
CMS ENERGY CORP 190,099 +122,478 $11,168
     CMS190,099+122,478$11,168
ULTA BEAUTY INC 63,439 +49,821 $11,146
     ULTA63,439+49,821$11,146
GENERAL MLS INC 207,744 +63,756 $10,963
     GIS207,744+63,756$10,963
Rogers Communications Inc 263,583 -12,311 $10,947
     RCI263,583-12,311$10,947
ISHARES TR (EPU) 471,893 UNCH $10,891
     EPU471,893UNCH$10,891
HIGHWOODS PPTYS INC      $10,857
     HIW205,297+113,064$7,271
     REIT101,250+101,250$3,586
ANALOG DEVICES INC 120,992 -51,150 $10,847
     ADI120,992-51,150$10,847
CAMDEN PPTY TR 136,852 +19,832 $10,844
     CPT136,852+19,832$10,844
TRACTOR SUPPLY CO 127,834 +99,630 $10,808
     TSCO127,834+99,630$10,808
DOUGLAS EMMETT INC 340,225 +145,823 $10,381
     DEI340,225+145,823$10,381
MARSH & MCLENNAN COS INC 118,653 -1,577 $10,259
     MMC118,653-1,577$10,259
DEERE & CO 74,030 -984 $10,228
     DE74,030-984$10,228
PIMCO 0 5 Year High Yield Corp 118,200 -114,500 $10,136
     HYS118,200-114,500$10,136
MID AMER APT CMNTYS INC 98,349 +27,761 $10,133
     MAA98,349+27,761$10,133
Trust Financial 315,299 -4,190 $9,724
     TFC315,299-4,190$9,724
KILROY RLTY CORP 151,830 +18,664 $9,672
     KRC151,830+18,664$9,672
EBAY INC 320,488 +71,127 $9,634
     EBAY320,488+71,127$9,634
GCI INC 179,103 -10,532 $9,586
     GIB179,103-10,532$9,586
AMERICAN INTL GROUP INC      $9,573
     AIG393,649+72,282$9,546
     AIG.WT34,045UNCH$27
UDR INC 261,581 +99,226 $9,559
     UDR261,581+99,226$9,559
KIMCO REALTY CORP      $9,516
     KIM541,708+28,415$5,238
     REIT442,436+442,436$4,278
MDU RES GROUP INC      $9,509
     MDU225,869+69,699$4,856
     Common Stock216,407+216,407$4,653
WHEATON PRECIOUS METAL 342,518 +3,702 $9,430
     WPM342,518+3,702$9,430
TERADYNE INC 171,453 +16,033 $9,288
     TER171,453+16,033$9,288
ECOLAB INC 58,959 -783 $9,188
     ECL58,959-783$9,188
ELECTRONIC ARTS INC 91,651 -11,822 $9,180
     EA91,651-11,822$9,180
RESTAURANT BRANDS INTERNATIONAL 230,036 +33,714 $9,164
     QSR230,036+33,714$9,164
FOX CORP CLASS A 383,349 +298,892 $9,059
     FOXA383,349+298,892$9,059
PPL CORP      $8,910
     PPL180,522-53,435$4,455
     Common Stock180,522+180,522$4,455
ISHARES TR (SCZ) 198,507 +22,607 $8,899
     SCZ198,507+22,607$8,899
SHERWIN WILLIAMS CO 19,316 -38,897 $8,876
     SHW19,316-38,897$8,876
SCHLUMBERGER LTD      $8,782
     SLB325,485-264,071$4,391
     Common Stock325,485+325,485$4,391
MELCO CROWN ENTERTAINMENT 702,278 +328,397 $8,708
     MLCO702,278+328,397$8,708
REPUBLIC SVCS INC 114,685 +44,774 $8,608
     RSG114,685+44,774$8,608
AMPHENOL CORP NEW 117,809 -20,926 $8,586
     APH117,809-20,926$8,586
SPROUTS FMRS MKT INC      $8,545
     SFM236,237-29,787$4,391
     Common Stock223,468+223,468$4,154
WEST PHARMACEUTICAL SVSC INC 55,944 +5,232 $8,517
     WST55,944+5,232$8,517
AGNICO EAGLE MINES LTD 214,008 +4,874 $8,515
     AEM214,008+4,874$8,515
WASTE MGMT INC DEL 91,764 -33,562 $8,494
     WM91,764-33,562$8,494
THOMSON REUTERS CORP 125,092 -22,578 $8,489
     TRI125,092-22,578$8,489
DIAMONDBACK ENERGY INC 323,144 +232,378 $8,467
     FANG323,144+232,378$8,467
GLOBAL X FDS 1,570,452 UNCH $8,418
     GXG1,570,452UNCH$8,418
FACTSET RESH SYS INC 32,160 +3,007 $8,383
     FDS32,160+3,007$8,383
LAUDER ESTEE COS INC 52,324 -289,720 $8,337
     EL52,324-289,720$8,337
REGENCY CTRS CORP 214,907 +78,807 $8,259
     REG214,907+78,807$8,259
CLOROX CO DEL 47,535 +17,636 $8,235
     CLX47,535+17,636$8,235
CHEMED CORP NEW 18,977 +7,316 $8,221
     CHE18,977+7,316$8,221
TRAVELERS COS INC 81,759 +20,267 $8,123
     TRV81,759+20,267$8,123
ARISTA NETWORKS INC 39,853 +14,831 $8,072
     ANET39,853+14,831$8,072
WALGREENS BOOTS ALLIANCE INC 176,271 -2,343 $8,064
     WBA176,271-2,343$8,064
GLOBAL X FDS 1,404,813 UNCH $7,993
     GREK1,404,813UNCH$7,993
MOHAWK INDS INC 103,976 +89,813 $7,928
     MHK103,976+89,813$7,928
KEYCORP NEW 761,859 -1,103,723 $7,900
     KEY761,859-1,103,723$7,900
KEYCORP NEW      $7,900
     Common Stock761,859+761,859$7,900
TECHNIPFMC PLC 1,162,265 -1,313 $7,834
     FTI1,162,265-1,313$7,834
BALL CORP 120,093 -6,470 $7,765
     BLL120,093-6,470$7,765
PAYCHEX INC 122,899 -25,996 $7,733
     PAYX122,899-25,996$7,733
MASIMO CORP 43,549 +9,511 $7,713
     MASI43,549+9,511$7,713
CIENA CORP 192,453 +39,727 $7,662
     CIEN192,453+39,727$7,662
VERISK ANALYTICS INC 54,756 +15,717 $7,632
     VRSK54,756+15,717$7,632
ROPER TECHNOLOGIES INC 24,465 -325 $7,628
     ROP24,465-325$7,628
AMEDISYS INC 40,956 -2,939 $7,517
     AMED40,956-2,939$7,517
JACOBS ENGR GROUP INC DEL 94,756 -32,945 $7,511
     JEC94,756-32,945$7,511
FAIR ISAAC CORP 24,348 -2,723 $7,492
     FICO24,348-2,723$7,492
Pembina Pipeline Corp 401,684 +13,199 $7,449
     PBA401,684+13,199$7,449
XCEL ENERGY INC 123,289 -10,281 $7,434
     XEL123,289-10,281$7,434
MCKESSON CORP 54,751 -19,181 $7,406
     MCK54,751-19,181$7,406
ROSS STORES INC 85,047 -39,550 $7,397
     ROST85,047-39,550$7,397
CROWN HOLDINGS INC 127,356 +127,356 $7,392
     CCK127,356+127,356$7,392
BROADRIDGE FINL SOLUTIONS INC 76,955 +23,143 $7,298
     BR76,955+23,143$7,298
HILL ROM HOLDINGS INC 71,367 +16,674 $7,180
     HRC71,367+16,674$7,180
CHARLES RIV LABS INTL INC 56,863 +22,569 $7,177
     CRL56,863+22,569$7,177
FEDERAL RLTY INVT TR 95,892 +36,191 $7,154
     FRT95,892+36,191$7,154
BROWN & BROWN INC 196,933 +18,416 $7,133
     BRO196,933+18,416$7,133
COUSINS PROPERTIES INC 239,673 +69,353 $7,015
     CUZ239,673+69,353$7,015
PUBLIC STORAGE INC 35,320 -468 $7,015
     PSA35,320-468$7,015
JBG SMITH PPTYS 219,183 +67,947 $6,977
     JBGS219,183+67,947$6,977
TYLER TECHNOLOGIES INC 23,452 +2,193 $6,955
     TYL23,452+2,193$6,955
WILLIS TOWERS WATSON PUB LTD 40,691 -68,594 $6,911
     WLTW40,691-68,594$6,911
AKAMAI TECHNOLOGIES INC 75,394 -506 $6,898
     AKAM75,394-506$6,898
OPEN TEXT CORPORATION 199,359 -11,015 $6,892
     OTEX199,359-11,015$6,892
FEDEX CORP 56,435 -20,716 $6,843
     FDX56,435-20,716$6,843
PACCAR INC 111,655 -37,557 $6,825
     PCAR111,655-37,557$6,825
EMERSON ELEC CO 143,219 -1,904 $6,824
     EMR143,219-1,904$6,824
HAEMONETICS CORP 68,436 +32,659 $6,820
     HAE68,436+32,659$6,820
LUMENTUM HLDGS INC 91,479 +18,555 $6,742
     LITE91,479+18,555$6,742
MARKETAXESS HLDGS INC 20,269 +11,235 $6,741
     MKTX20,269+11,235$6,741
Magna International Inc 213,553 -14,395 $6,737
     MGA213,553-14,395$6,737
CERNER CORP 106,563 -982 $6,713
     CERN106,563-982$6,713
EQUIFAX INC 55,019 +26,173 $6,573
     EFX55,019+26,173$6,573
ROYAL GOLD INC 73,506 +6,874 $6,447
     RGLD73,506+6,874$6,447
PTC INC 104,265 +79,750 $6,382
     PTC104,265+79,750$6,382
KIRKLAND LAKE GOLD LTD 213,088 +143,512 $6,307
     KL213,088+143,512$6,307
CHURCH & DWIGHT INC 98,094 -98,078 $6,296
     CHD98,094-98,078$6,296
RENAISSANCE RE HLDGS LTD 42,158 +5,728 $6,295
     RNR42,158+5,728$6,295
HERSHEY CO 47,412 +12,079 $6,282
     HSY47,412+12,079$6,282
CDW CORP 66,621 -13,950 $6,214
     CDW66,621-13,950$6,214
CONSOLIDATED EDISON INC 78,158 -3,631 $6,096
     ED78,158-3,631$6,096
CABOT OIL & GAS CORP 352,506 +43,641 $6,060
     COG352,506+43,641$6,060
COGNIZANT TECHNOLOGY SOLUTIONS 128,739 -131,511 $5,983
     CTSH128,739-131,511$5,983
DUPONT DE NEMOURS INC 174,171 -2,315 $5,939
     DD174,171-2,315$5,939
AFLAC INC 172,576 -105,050 $5,909
     AFL172,576-105,050$5,909
CATALENT INC 112,627 +50,532 $5,851
     CTLT112,627+50,532$5,851
MOLINA HEALTHCARE INC 41,771 +3,906 $5,836
     MOH41,771+3,906$5,836
AUDIOCODES LTD 242,259 +84,636 $5,788
     AUDC242,259+84,636$5,788
GRACO INC 118,491 +20,253 $5,774
     GGG118,491+20,253$5,774
SYNOPSYS INC 44,544 -25,470 $5,737
     SNPS44,544-25,470$5,737
ENCOMPASS HEALTH CORP 89,054 -11,672 $5,702
     EHC89,054-11,672$5,702
CONSTELLATION BRANDS INC 39,381 -523 $5,646
     STZ39,381-523$5,646
POOL CORPORATION 28,643 +11,743 $5,636
     POOL28,643+11,743$5,636
METLIFE INC 183,783 -451,708 $5,618
     MET183,783-451,708$5,618
PRA HEALTH SCIENCES INC 67,337 +16,297 $5,592
     PRAH67,337+16,297$5,592
CACI INTL INC 26,475 +9,481 $5,590
     CACI26,475+9,481$5,590
NATIONAL INSTRS CORP 168,492 +107,655 $5,574
     NATI168,492+107,655$5,574
CAPITAL ONE FINL CORP 109,496 -108,730 $5,521
     COF109,496-108,730$5,521
SEI INVESTMENTS CO 118,697 -8,900 $5,500
     SEIC118,697-8,900$5,500
IDEX CORP 39,377 +1,773 $5,439
     IEX39,377+1,773$5,439
TYSON FOODS INC 93,995 -76,946 $5,439
     TSN93,995-76,946$5,439
SHAW COMMUNICATIONS B 338,364 -1,586 $5,427
     SJR338,364-1,586$5,427
PRICE T ROWE GROUP INC 54,940 -53,787 $5,365
     TROW54,940-53,787$5,365
PUBLIC SVC ENTERPRISE GROUP 118,902 -656,564 $5,340
     PEG118,902-656,564$5,340
KLA CORPORATION 37,099 -98,656 $5,333
     KLAC37,099-98,656$5,333
GUARDANT HEALTH INC 75,201 +17,699 $5,234
     GH75,201+17,699$5,234
AGILENT TECHNOLOGIES INC 72,759 -106,085 $5,211
     A72,759-106,085$5,211
KEMPER CORP DEL 69,363 +8,591 $5,158
     KMPR69,363+8,591$5,158
PACKAGING CORP AMER 59,039 +3,145 $5,126
     PKG59,039+3,145$5,126
TAKE TWO INTERACTIVE SOFTWARE 43,187 -33,776 $5,122
     TTWO43,187-33,776$5,122
DOW INC 174,334 -190,063 $5,098
     DOW174,334-190,063$5,098
FIRSTENERGY CORP 127,033 -23,880 $5,090
     FE127,033-23,880$5,090
ISHARES TR (IEFA) 102,000 UNCH $5,089
     IEFA102,000UNCH$5,089
M & T BK CORP 49,013 +17,575 $5,070
     MTB49,013+17,575$5,070
BALCHEM CORP 51,283 +3,495 $5,062
     BCPC51,283+3,495$5,062
WABTEC CORP 105,071 +5,253 $5,057
     WAB105,071+5,253$5,057
J2 GLOBAL INC 67,473 +16,310 $5,050
     JCOM67,473+16,310$5,050
MONSTER BEVERAGE CORP NEW 89,755 -1,193 $5,050
     MNST89,755-1,193$5,050
SYNAPTICS INC 87,221 +37,221 $5,047
     SYNA87,221+37,221$5,047
RESMED INC 33,806 -448 $4,979
     RMD33,806-448$4,979
CYRUSONE INC 80,594 +7,537 $4,977
     CONE80,594+7,537$4,977
TE CONNECTIVITY LTD 78,639 -77,845 $4,953
     TEL78,639-77,845$4,953
AMERICAN FINL GROUP INC OHIO 70,564 +15,599 $4,945
     AFG70,564+15,599$4,945
PRUDENTIAL FINL INC 94,515 -154,180 $4,928
     PRU94,515-154,180$4,928
LIFE STORAGE INC 52,113 +13,938 $4,927
     LSI52,113+13,938$4,927
EOG RES INC 136,779 -64,018 $4,913
     EOG136,779-64,018$4,913
QUEST DIAGNOSTICS INC 61,140 +29,051 $4,910
     DGX61,140+29,051$4,910
ESSENTIAL UTILITIES INC 120,554 +120,554 $4,907
     WTRG120,554+120,554$4,907
JOHNSON CTLS INTL PLC 181,369 -2,411 $4,890
     JCI181,369-2,411$4,890
ZIMMER BIOMET HOLDINGS INC 48,359 -115,358 $4,888
     ZBH48,359-115,358$4,888
IDEXX LABS INC 20,169 -267 $4,886
     IDXX20,169-267$4,886
SMUCKER J M CO 44,017 +16,845 $4,886
     SJM44,017+16,845$4,886
CUMMINS INC 36,020 -13,677 $4,874
     CMI36,020-13,677$4,874
YUM BRANDS INC 71,112 -946 $4,873
     YUM71,112-946$4,873
HORMEL FOODS CORP 104,441 +38,197 $4,871
     HRL104,441+38,197$4,871
SIGNATURE BANK 60,514 +14,937 $4,865
     SBNY60,514+14,937$4,865
CABOT MICROELECTRONICS CORP 42,404 +42,404 $4,840
     CCMP42,404+42,404$4,840
FIRST INDUSTRIAL REALTY TRUST 145,642 +33,620 $4,840
     FR145,642+33,620$4,840
AUTOZONE INC 5,602 -4,036 $4,739
     AZO5,602-4,036$4,739
LAMAR ADVERTISING CO NEW 91,370 +18,544 $4,685
     LAMR91,370+18,544$4,685
ANSYS INC 20,121 -19,467 $4,678
     ANSS20,121-19,467$4,678
WYNN RESORTS LTD 77,716 -65,302 $4,677
     WYNN77,716-65,302$4,677
DOVER CORP 55,472 -130,168 $4,656
     DOV55,472-130,168$4,656
PPG INDS INC 55,595 -738 $4,648
     PPG55,595-738$4,648
BIO RAD LABORATORIES INC 13,228 -1,482 $4,637
     BIO13,228-1,482$4,637
ICU MED INC 22,941 +5,771 $4,629
     ICUI22,941+5,771$4,629
EDISON INTL 84,311 -31,471 $4,619
     EIX84,311-31,471$4,619
EASTGROUP PPTY INC 44,184 +13,197 $4,616
     EGP44,184+13,197$4,616
XILINX INC 59,123 -58,686 $4,608
     XLNX59,123-58,686$4,608
ARCHER DANIELS MIDLAND CO 130,883 -1,739 $4,604
     ADM130,883-1,739$4,604
DOMINOS PIZZA INC 14,205 +1,328 $4,603
     DPZ14,205+1,328$4,603
IQVIA HOLDINGS INC 42,427 -30,739 $4,576
     IQV42,427-30,739$4,576
MSA SAFETY INC 45,155 +4,223 $4,570
     MSA45,155+4,223$4,570
APARTMENT INVT & MGT CO A 129,927 -194,626 $4,567
     AIV129,927-194,626$4,567
STATE STR CORP 85,492 -45,209 $4,554
     STT85,492-45,209$4,554
UNIVERSAL DISPLAY CORP 34,547 +979 $4,553
     OLED34,547+979$4,553
KNIGHT SWIFT TRANSN HLDGS INC 138,269 +12,930 $4,535
     KNX138,269+12,930$4,535
HILTON INC 66,340 -25,958 $4,527
     HLT66,340-25,958$4,527
CABLE ONE INC 2,735 +256 $4,496
     CABO2,735+256$4,496
POST HLDGS INC COM STOCK 54,187 +5,067 $4,496
     POST54,187+5,067$4,496
MKS INSTRUMENT INC 55,125 +5,155 $4,490
     MKSI55,125+5,155$4,490
TWITTER INC 182,530 -2,426 $4,483
     TWTR182,530-2,426$4,483
RELIANCE STEEL & ALUMINUM CO 51,158 +4,784 $4,481
     RS51,158+4,784$4,481
AECOM TECHNOLOGY CORP DELAWARE 148,719 -21,093 $4,439
     ACM148,719-21,093$4,439
HUNTINGTON INGALLS INDS INC COM 24,359 -11,410 $4,438
     HII24,359-11,410$4,438
FORD MTR CO DEL 915,533 -252,459 $4,422
     F915,533-252,459$4,422
VERISIGN INC 24,292 -24,223 $4,375
     VRSN24,292-24,223$4,375
WELLTOWER INC 95,398 -1,268 $4,367
     WELL95,398-1,268$4,367
NASDAQ INC 45,959 +18,623 $4,363
     NDAQ45,959+18,623$4,363
CADENCE DESIGN SYSTEM INC 65,970 -64,977 $4,357
     CDNS65,970-64,977$4,357
COMMERCE BANCSHARES INC (CBSH) 85,850 -1,972 $4,323
     CBSH85,850-1,972$4,323
DTE ENERGY CO 45,166 -600 $4,289
     DTE45,166-600$4,289
TRIMBLE INC 134,233 -17,447 $4,273
     TRMB134,233-17,447$4,273
CIRRUS LOGIC INC 64,257 -2,826 $4,217
     CRUS64,257-2,826$4,217
FASTENAL CO 134,842 -1,792 $4,214
     FAST134,842-1,792$4,214
AMEREN CORP 57,844 -769 $4,213
     AEE57,844-769$4,213
EXELIXIS INC 244,173 +102,834 $4,205
     EXEL244,173+102,834$4,205
EXELIXIS INC 244,173 +244,173 $4,205
     HNP244,173+244,173$4,205
MCCORMICK & CO INC 29,653 +215 $4,187
     MKC29,653+215$4,187
NVR INC 1,629 -420 $4,185
     NVR1,629-420$4,185
LENNAR CORP 109,240 -53,626 $4,173
     LEN109,240-53,626$4,173
V F CORP 76,996 -27,440 $4,164
     VFC76,996-27,440$4,164
NOVA MEASURING INSTRUMENTS LTD 127,447 -4,663 $4,161
     NVMI127,447-4,663$4,161
MONOLITHIC PWR SYS INC 24,692 -14,691 $4,135
     MPWR24,692-14,691$4,135
PRIMERICA INC 46,589 -6,141 $4,122
     PRI46,589-6,141$4,122
ALLEGHANY CORP DEL 7,436 +695 $4,107
     Y7,436+695$4,107
ROCKWELL AUTOMATION INC 27,166 -362 $4,100
     ROK27,166-362$4,100
DOLLAR TREE INC 55,642 -19,865 $4,088
     DLTR55,642-19,865$4,088
ROCK TENN CO 143,232 -19,272 $4,048
     WRK143,232-19,272$4,048
INTEGRA LIFESCIENCES HLDGS CP 90,527 +18,466 $4,044
     IART90,527+18,466$4,044
SYNNEX CORP 55,198 +5,162 $4,035
     SNX55,198+5,162$4,035
WILLIAMS COS INC DEL      $4,032
     Common Stock284,966+284,966$4,032
WILLIAMS COS INC DEL 284,966 -168,885 $4,032
     WMB284,966-168,885$4,032
CORESITE RLTY CORP 34,686 -16,756 $4,020
     COR34,686-16,756$4,020
REALTY INCOME CORP 80,427 +2,782 $4,010
     O80,427+2,782$4,010
KINROSS GOLD CORP 1,007,342 +55,158 $3,998
     KGC1,007,342+55,158$3,998
HEALTHEQUITY INC 78,886 +17,377 $3,991
     HQY78,886+17,377$3,991
SERVICE CORP INTL 101,933 +9,532 $3,987
     SCI101,933+9,532$3,987
HUNTINGTON BANCSHARES INC (HBAN)      $3,986
     HBAN242,812-3,228$1,993
     Common Stock242,812+242,812$1,993
LAMB WESTON HLDGS INC 69,540 -7,164 $3,971
     LW69,540-7,164$3,971
SOUTHWEST AIRLS CO 111,360 -85,388 $3,966
     LUV111,360-85,388$3,966
METTLER TOLEDO INTL INC 5,726 -76 $3,954
     MTD5,726-76$3,954
CHIPOTLE MEXICAN GRILL INC 6,012 -19,461 $3,934
     CMG6,012-19,461$3,934
SLM CORP 545,429 -38,041 $3,922
     SLM545,429-38,041$3,922
PARKER HANNIFIN CORP 30,204 -400 $3,918
     PH30,204-400$3,918
LINCOLN ELEC HLDGS INC 56,534 +5,287 $3,901
     LECO56,534+5,287$3,901
INGREDION INC 51,546 +4,820 $3,892
     INGR51,546+4,820$3,892
SMITH A O 102,651 +6,157 $3,881
     AOS102,651+6,157$3,881
AMETEK INC NEW 53,745 -150,370 $3,871
     AME53,745-150,370$3,871
DELTA AIR LINES INC 135,330 -543,488 $3,861
     DAL135,330-543,488$3,861
FIRST FINL BANKSHARES (FFIN) 143,177 -16,611 $3,843
     FFIN143,177-16,611$3,843
FORTIVE CORP 69,477 -923 $3,834
     FTV69,477-923$3,834
QORVO INC 47,314 -172,565 $3,815
     QRVO47,314-172,565$3,815
MICROCHIP TECHNOLOGY INC 56,186 -55,047 $3,809
     MCHP56,186-55,047$3,809
FLEETCOR TECHNOLOGIES INC 20,403 -28,603 $3,806
     FLT20,403-28,603$3,806
WPX ENERGY INC      $3,800
     WPX623,031+58,263$1,900
     Common Stock623,031+623,031$1,900
NEWELL BRANDS INC 285,327 +17,113 $3,789
     NWL285,327+17,113$3,789
NORTHERN TR CORP 49,816 -662 $3,759
     NTRS49,816-662$3,759
TRANSDIGM GROUP INC 11,708 -156 $3,749
     TDG11,708-156$3,749
FORTUNE BRANDS HOME AND SECURITY 86,472 +4,592 $3,740
     FBHS86,472+4,592$3,740
FIRSTCASH INC 52,036 +34,866 $3,733
     FCFS52,036+34,866$3,733
GRAPHIC PACKAGING HLDG CO 305,054 +28,527 $3,722
     GPK305,054+28,527$3,722
CORNING INC 180,826 -181,404 $3,714
     GLW180,826-181,404$3,714
NATIONAL RETAIL PROPERTIES 115,034 +40,757 $3,703
     NNN115,034+40,757$3,703
PROSPERITY BANCSHARES INC (PB) 75,262 +15,168 $3,631
     PB75,262+15,168$3,631
KRAFT HEINZ CO 146,425 -1,946 $3,623
     KHC146,425-1,946$3,623
SKYWORKS SOLUTIONS INC 40,057 -55,263 $3,580
     SWKS40,057-55,263$3,580
STANLEY BLACK & DECKER INC 35,740 -14,441 $3,574
     SWK35,740-14,441$3,574
EVERCORE INC 77,272 +48,112 $3,559
     EVR77,272+48,112$3,559
DONALDSON INC 92,109 +8,614 $3,558
     DCI92,109+8,614$3,558
BAUSCH HEALTH COS INC 228,914 -5,112 $3,548
     BHC228,914-5,112$3,548
KELLOGG CO 58,542 -778 $3,512
     K58,542-778$3,512
OSHKOSH TRUCK CORP 54,187 +5,067 $3,486
     OSK54,187+5,067$3,486
CASEYS GEN STORES INC 26,142 +2,445 $3,464
     CASY26,142+2,445$3,464
LANDSTAR SYS INC 36,124 +3,378 $3,463
     LSTR36,124+3,378$3,463
AES CORP 254,558 -80,060 $3,462
     AES254,558-80,060$3,462
FTI CONSULTING INC 28,901 +2,703 $3,461
     FCN28,901+2,703$3,461
KBR INC 167,222 -4,362 $3,458
     KBR167,222-4,362$3,458
WOODWARD GOVERNOR CO 57,972 +5,421 $3,446
     WWD57,972+5,421$3,446
NORTHWESTERN CORP 57,408 +12,563 $3,435
     NWE57,408+12,563$3,435
CINTAS CORP 19,711 -261 $3,414
     CTAS19,711-261$3,414
FORTINET INC 33,376 -33,543 $3,377
     FTNT33,376-33,543$3,377
LAS VEGAS SANDS CORP 79,453 -27,194 $3,374
     LVS79,453-27,194$3,374
VULCAN MATLS CO 31,118 -136,513 $3,363
     VMC31,118-136,513$3,363
WEX INC 31,587 -6,111 $3,302
     WEX31,587-6,111$3,302
CARDINAL HEALTH INC 68,767 -67,340 $3,297
     CAH68,767-67,340$3,297
COPART INC 48,094 -639 $3,295
     CPRT48,094-639$3,295
TIFFANY & CO NEW 25,380 -338 $3,287
     TIF25,380-338$3,287
FIRST REP BK SAN FRANCISCO CAL 39,621 -526 $3,260
     FRC39,621-526$3,260
UMPQUA HLDGS CORP 295,203 +129,294 $3,218
     UMPQ295,203+129,294$3,218
COOPER COS INC 11,655 -155 $3,213
     COO11,655-155$3,213
CAESARS ENTMT CORP 473,520 +44,281 $3,201
     CZR473,520+44,281$3,201
PULTE HOMES INC 143,387 -72,382 $3,201
     PHM143,387-72,382$3,201
REPLIGEN CORP 33,095 +33,095 $3,195
     RGEN33,095+33,095$3,195
TELEFLEX INC 10,885 -144 $3,188
     TFX10,885-144$3,188
QUANTA SVCS INC 100,375 +5,814 $3,185
     PWR100,375+5,814$3,185
GARTNER INC 31,631 -10,280 $3,149
     IT31,631-10,280$3,149
NEXGEN ENERGY LT 4,080,859 UNCH $3,096
     NXE4,080,859UNCH$3,096
AMCOR PLC 380,913 -5,062 $3,093
     AMCR380,913-5,062$3,093
MAXIM INTEGRATED PRODS INC 63,623 -63,045 $3,093
     MXIM63,623-63,045$3,093
BRUNSWICK CORP 86,518 +8,091 $3,060
     BC86,518+8,091$3,060
PENUMBRA INC 18,941 +1,771 $3,056
     PEN18,941+1,771$3,056
NEW JERSEY RES 89,889 +21,211 $3,054
     NJR89,889+21,211$3,054
AMERIPRISE FINL INC 29,788 -93,025 $3,053
     AMP29,788-93,025$3,053
BEST BUY INC 53,540 -41,097 $3,052
     BBY53,540-41,097$3,052
REINSURANCE GROUP AMER INC 36,121 -6,622 $3,039
     RGA36,121-6,622$3,039
MURPHY USA 35,955 +3,362 $3,033
     MUSA35,955+3,362$3,033
MANHATTAN ASSOCS INC 60,446 -14,347 $3,011
     MANH60,446-14,347$3,011
PHILLIPS 66 PARTNERS LP 82,269 +7,693 $2,997
     PSXP82,269+7,693$2,997
LYONDELLBASELL INDUSTRIES N V 60,359 -803 $2,996
     LYB60,359-803$2,996
HARTFORD FINL SVCS GROUP INC 84,739 -139,146 $2,986
     HIG84,739-139,146$2,986
JONES LANG LASALLE INC 29,491 -48,426 $2,978
     JLL29,491-48,426$2,978
EAST WEST BANCORP INC 115,605 +3,616 $2,976
     EWBC115,605+3,616$2,976
WEYERHAEUSER CO 175,191 -2,328 $2,969
     WY175,191-2,328$2,969
PINNACLE FINL PARTNERS INC 78,861 -23,787 $2,960
     PNFP78,861-23,787$2,960
APTIV PLC 60,021 -120,797 $2,955
     APTV60,021-120,797$2,955
HEWLETT PACKARD ENTERPRISE C 304,234 -455,123 $2,954
     HPE304,234-455,123$2,954
EVERGY INC 53,583 -20,533 $2,950
     EVRG53,583-20,533$2,950
ALIGN TECHNOLOGY INC 16,862 -225 $2,933
     ALGN16,862-225$2,933
LKQ CORP 142,983 -147,190 $2,933
     LKQ142,983-147,190$2,933
EXTRA SPACE STORAGE INC 30,449 -405 $2,916
     EXR30,449-405$2,916
EVEREST RE GROUP LTD 15,129 +5,414 $2,911
     RE15,129+5,414$2,911
WESTERN DIGITAL CORP 69,923 -67,729 $2,910
     WDC69,923-67,729$2,910
PRESTIGE CONSUMER HEALTHCARE INC 79,184 +16,470 $2,904
     PBH79,184+16,470$2,904
FIRST HORIZON NATL CORP 359,582 +63,626 $2,898
     FHN359,582+63,626$2,898
LABORATORY CORP AMER HLDGS 22,829 -304 $2,885
     LH22,829-304$2,885
INTL PAPER CO 92,191 -1,225 $2,870
     IP92,191-1,225$2,870
INTERACTIVE BROKERS GRO CL A 66,190 +66,190 $2,857
     IBKR66,190+66,190$2,857
HUNT J B TRANS SVCS INC 30,883 +747 $2,849
     JBHT30,883+747$2,849
CORELOGIC INC 93,143 -31,290 $2,845
     CLGX93,143-31,290$2,845
UNITED THERAPEUTICS CORP DEL 30,000 -12,924 $2,845
     UTHR30,000-12,924$2,845
OMNICOM GROUP INC 51,191 -680 $2,810
     OMC51,191-680$2,810
AMERICAN CAMPUS CMNTYS INC 100,862 +9,432 $2,799
     ACC100,862+9,432$2,799
STERIS PLC 19,933 -265 $2,790
     STE19,933-265$2,790
SOUTHWEST GAS HOLDINGS INC 40,000 -5,179 $2,782
     SWX40,000-5,179$2,782
HEALTHPEAK PROPS 116,369 -58,646 $2,775
     PEAK116,369-58,646$2,775
WATERS CORP 15,149 -202 $2,758
     WAT15,149-202$2,758
XYLEM INC W I 42,339 -562 $2,758
     XYL42,339-562$2,758
LEGGETT & PLATT INC 103,189 +6,345 $2,754
     LEG103,189+6,345$2,754
MAXIMUS INC 47,251 +9,077 $2,750
     MMS47,251+9,077$2,750
JETBLUE AWYS CORP 307,056 +28,714 $2,748
     JBLU307,056+28,714$2,748
TECK COMINCO B 362,842 -14,542 $2,743
     TECK362,842-14,542$2,743
FEDERATED HERMES INC. 143,894 +30,206 $2,741
     FII143,894+30,206$2,741
ISHARES TR (LQD) 22,100 -201,400 $2,730
     LQD22,100-201,400$2,730
ENERGIZER HLDGS INC NEW 89,497 +8,369 $2,707
     ENR89,497+8,369$2,707
CINCINNATI FINL CORP 35,722 -475 $2,695
     CINF35,722-475$2,695
VISHAY INTERTECHNOLOGY INC 186,331 +7,425 $2,685
     VSH186,331+7,425$2,685
TELEDYNE TECHNOLOGIES INC 9,030 +844 $2,684
     TDY9,030+844$2,684
D R HORTON INC 78,839 -87,065 $2,681
     DHI78,839-87,065$2,681
ALLETE INC 44,126 +14,126 $2,678
     ALE44,126+14,126$2,678
EXPEDITORS INTL WASH INC 40,040 -531 $2,671
     EXPD40,040-531$2,671
NEKTAR THERAPEUTICS 149,285 +149,285 $2,665
     NKTR149,285+149,285$2,665
OGE ENERGY CORP 86,701 -37,216 $2,664
     OGE86,701-37,216$2,664
CDK GLOBAL INC 80,907 +7,566 $2,658
     CDK80,907+7,566$2,658
EAGLE MATERIALS INC 45,425 +4,248 $2,654
     EXP45,425+4,248$2,654
Seagate Technology PLC 54,354 -76,871 $2,652
     STX54,354-76,871$2,652
HOLLY CORP 108,046 +6,375 $2,649
     HFC108,046+6,375$2,649
NEWMARKET CORP 6,920 +647 $2,649
     NEU6,920+647$2,649
DESCARTES SYSTEMS GROUP 77,829 -7,920 $2,647
     DSGX77,829-7,920$2,647
RAYONIER INC 111,981 +60,472 $2,637
     RYN111,981+60,472$2,637
DELUXE CORP 101,603 +9,501 $2,635
     DLX101,603+9,501$2,635
DISCOVER FINL SVCS 73,700 -310,767 $2,629
     DFS73,700-310,767$2,629
SYNEOS HEALTH INC 66,190 +6,190 $2,609
     SYNH66,190+6,190$2,609
ASHLAND GLOBAL HLDGS INC 52,076 +4,870 $2,607
     ASH52,076+4,870$2,607
NEW YORK CMNTY BANCORP INC 276,616 -24,132 $2,597
     NYCB276,616-24,132$2,597
NUCOR CORP 71,289 -947 $2,568
     NUE71,289-947$2,568
PS BUSINESS PKS INC CALIF 18,941 +1,771 $2,567
     PSB18,941+1,771$2,567
INTERNATIONAL FLAVORS FRAGRANC 25,105 -333 $2,563
     IFF25,105-333$2,563
COLLIERS INTERNATIONAL 53,332 +8,761 $2,560
     CIGI53,332+8,761$2,560
FIRSTSERVICE CORP COMMON STOCK 33,188 +3,409 $2,559
     FSV33,188+3,409$2,559
LHC GROUP INC 18,188 -90 $2,550
     LHCG18,188-90$2,550
GRAINGER W W INC 10,258 -137 $2,549
     GWW10,258-137$2,549
ONE GAS INC 30,485 +2,851 $2,549
     OGS30,485+2,851$2,549
Garmin Ltd 33,968 -451 $2,546
     GRMN33,968-451$2,546
FLOWERS FOODS INC 122,026 +15,600 $2,504
     FLO122,026+15,600$2,504
TCF FINANCIAL CORPORATION NEW 110,420 +20,326 $2,502
     TCF110,420+20,326$2,502
UGI CORP NEW 93,707 +8,763 $2,499
     UGI93,707+8,763$2,499
JABIL INC 100,412 -123,102 $2,468
     JBL100,412-123,102$2,468
SPIRE INC 33,095 +33,095 $2,465
     SR33,095+33,095$2,465
FNB CORP PA 334,132 -7,978 $2,463
     FNB334,132-7,978$2,463
CORPORATE OFFICE PPTYS TR 111,101 +46,575 $2,459
     OFC111,101+46,575$2,459
NOMAD FOODS LTD 131,758 -40,216 $2,445
     NOMD131,758-40,216$2,445
OCCIDENTAL PETE CORP DEL 210,029 -2,791 $2,432
     OXY210,029-2,791$2,432
BLACK HILLS CORP 37,881 -2,232 $2,426
     BKH37,881-2,232$2,426
STEEL DYNAMICS INC 106,592 +3,058 $2,402
     STLD106,592+3,058$2,402
SCIENCE APPLICATIONS 32,144 +3,006 $2,399
     SAIC32,144+3,006$2,399
EXPONENT INC 33,260 -280 $2,392
     EXPO33,260-280$2,392
FIRST SOLAR INC 66,190 +6,190 $2,387
     FSLR66,190+6,190$2,387
WESTLAKE CHEM CORP 62,388 -9,166 $2,381
     WLK62,388-9,166$2,381
BROWN FORMAN CORP      $2,378
     BF.B42,836-385,569$2,378
FLOOR & DECOR HLDGS INC 73,884 +4,909 $2,371
     FND73,884+4,909$2,371
IDACORP INC 27,000 +2,525 $2,370
     IDA27,000+2,525$2,370
NCR CORP NEW 133,693 -11,887 $2,366
     NCR133,693-11,887$2,366
SABRA HEALTH CARE REIT INC      $2,362
     REIT216,278+216,278$2,362
SABRA HEALTH CARE REIT INC 216,278 +60,225 $2,362
     SBRA216,278+60,225$2,362
VENTAS INC 87,634 -1,165 $2,349
     VTR87,634-1,165$2,349
COHERENT INC 22,063 +22,063 $2,348
     COHR22,063+22,063$2,348
HANOVER INS GROUP INC 25,896 +2,422 $2,346
     THG25,896+2,422$2,346
EATON VANCE CORP 72,652 +36,794 $2,343
     EV72,652+36,794$2,343
KIRBY CORP 53,811 +5,032 $2,339
     KEX53,811+5,032$2,339
PAYCOM SOFTWARE INC 11,533 +11,533 $2,330
     PAYC11,533+11,533$2,330
ZEBRA TECHNOLOGIES CORP 12,677 -24,268 $2,328
     ZBRA12,677-24,268$2,328
CBOE GLOBAL MARKETS INC 26,065 -347 $2,326
     CBOE26,065-347$2,326
GLOBUS MED INC 54,658 -22,083 $2,325
     GMED54,658-22,083$2,325
COGENT COMMUNICATIONS HLDGS IN 28,180 -3,495 $2,310
     CCOI28,180-3,495$2,310
MASCO CORP 66,795 -162,295 $2,309
     MAS66,795-162,295$2,309
FREEPORT MCMORAN INC. 341,126 -4,533 $2,303
     FCX341,126-4,533$2,303
GENUINE PARTS CO 34,160 -455 $2,300
     GPC34,160-455$2,300
SILGAN HOLDINGS INC 79,177 +7,404 $2,298
     SLGN79,177+7,404$2,298
OMEGA HEALTHCARE INVS INC 86,552 -40,036 $2,297
     OHI86,552-40,036$2,297
WILEY JOHN & SONS INC      $2,290
     JW.A61,082+11,201$2,290
TREX CO INC 28,412 +2,657 $2,277
     TREX28,412+2,657$2,277
HANESBRANDS INC 288,359 +17,883 $2,269
     HBI288,359+17,883$2,269
CULLEN FROST BANKERS INC 40,649 +3,801 $2,268
     CFR40,649+3,801$2,268
NORDSON CORP 16,707 +1,562 $2,257
     NDSN16,707+1,562$2,257
BRIXMOR PPTY GROUP INC 236,510 +12,117 $2,247
     BRX236,510+12,117$2,247
VALLEY NATL BANCORP 307,059 +22,890 $2,245
     VLY307,059+22,890$2,245
EHEALTH INC 15,920 +5,503 $2,242
     EHTH15,920+5,503$2,242
NETTAPP INC 53,658 -57,114 $2,237
     NTAP53,658-57,114$2,237
PNM RES INC 58,357 -1,737 $2,218
     PNM58,357-1,737$2,218
BRIGHTHOUSE FINANCIAL INC 91,552 +7,150 $2,213
     BHF91,552+7,150$2,213
HOLOGIC INC 63,044 -23,180 $2,213
     HOLX63,044-23,180$2,213
CYBERARK SOFTWARE LTD 25,819 -20,176 $2,209
     CYBR25,819-20,176$2,209
MINERALS TECHNOLOGIES INC 60,598 +5,667 $2,197
     MTX60,598+5,667$2,197
VARIAN MED SYS INC 21,371 -284 $2,194
     VAR21,371-284$2,194
NISOURCE INC 87,824 -1,167 $2,193
     NI87,824-1,167$2,193
HELEN OF TROY CORP LTD 15,220 +1,423 $2,192
     HELE15,220+1,423$2,192
CENTURYTEL INC 230,692 -353,066 $2,182
     CTL230,692-353,066$2,182
CALLAWAY GOLF CO 212,488 +13,713 $2,172
     ELY212,488+13,713$2,172
FIRST AMERICAN FINL CORP 50,696 -49,543 $2,150
     FAF50,696-49,543$2,150
HASBRO INC 29,919 -11,120 $2,141
     HAS29,919-11,120$2,141
SYNCHRONY FINL 132,696 -489,688 $2,135
     SYF132,696-489,688$2,135
ISHARES INC (ICOL) 289,641 UNCH $2,132
     ICOL289,641UNCH$2,132
WILLIAMS SONOMA INC 50,122 +2,184 $2,131
     WSM50,122+2,184$2,131
C H ROBINSON WORLDWIDE INC 31,799 -422 $2,105
     CHRW31,799-422$2,105
LOEWS CORP 60,141 -800 $2,095
     L60,141-800$2,095
COGNEX CORP 49,606 -85,361 $2,094
     CGNX49,606-85,361$2,094
CELANESE CORP DEL 28,419 -62,481 $2,086
     CE28,419-62,481$2,086
CURTISS WRIGHT CORP 22,577 +2,111 $2,086
     CW22,577+2,111$2,086
CARMAX INC 38,659 -515 $2,081
     KMX38,659-515$2,081
OMNICELL INC 31,644 +1,351 $2,075
     OMCL31,644+1,351$2,075
LENNOX INTL INC 11,365 +1,063 $2,066
     LII11,365+1,063$2,066
RPM INTL INC 34,699 +3,245 $2,065
     RPM34,699+3,245$2,065
STRATEGIC EDUCATION INC 14,750 -539 $2,062
     STRA14,750-539$2,062
CIT GROUP INC 118,639 +118,639 $2,048
     CIT118,639+118,639$2,048
REGIONS FINANCIAL CORP NEW 226,797 -3,015 $2,034
     RF226,797-3,015$2,034
TORO CO 31,253 +2,923 $2,034
     TTC31,253+2,923$2,034
DENTSPLY SIRONA INC 52,292 -60,669 $2,031
     XRAY52,292-60,669$2,031
HESS CORP 60,894 -809 $2,028
     HES60,894-809$2,028
CONCHO RES INC 47,264 -38,958 $2,025
     CXO47,264-38,958$2,025
INGERSOLL RAND INC 81,363 -14,100 $2,018
     IR81,363-14,100$2,018
AXON ENTERPRISE INC 28,412 +2,657 $2,011
     AAXN28,412+2,657$2,011
ALLEGION PLC 21,846 -291 $2,010
     ALLE21,846-291$2,010
TENET HEALTHCARE CORP 139,285 +139,285 $2,006
     THC139,285+139,285$2,006
PINNACLE WEST CAP CORP 26,429 -351 $2,003
     PNW26,429-351$2,003
POWER INTEGRATIONS INC 22,664 +7,398 $2,002
     POWI22,664+7,398$2,002
AVERY DENNISON CORP 19,632 -262 $2,000
     AVY19,632-262$2,000
QUALYS INC 22,891 -3,974 $1,991
     QLYS22,891-3,974$1,991
AMERICAN STS WTR CO 24,272 -5,479 $1,984
     AWR24,272-5,479$1,984
CERIDIAN HCM HLDG INC 39,444 -16,311 $1,975
     CDAY39,444-16,311$1,975
MOMENTA PHARMACEUTICALS INC 72,302 +9,519 $1,967
     MNTA72,302+9,519$1,967
PERKINELMER INC 26,121 -347 $1,966
     PKI26,121-347$1,966
DICKS SPORTING GOODS INC 92,229 +8,625 $1,961
     DKS92,229+8,625$1,961
GILDAN ACTIVEWEAR INC 155,413 -13,134 $1,959
     GIL155,413-13,134$1,959
AFFILIATED MANAGERS GROUP INC 33,095 +33,095 $1,957
     AMG33,095+33,095$1,957
CHURCHILL DOWNS INC 18,941 +1,771 $1,950
     CHDN18,941+1,771$1,950
SKECHERS U S A INC 81,675 +7,638 $1,939
     SKX81,675+7,638$1,939
SYNOVUS FINANCIAL CORP 110,175 -29,697 $1,935
     SNV110,175-29,697$1,935
CITIZENS FINL GROUP INC 102,207 -233,350 $1,923
     CFG102,207-233,350$1,923
ITRON INC      $1,921
     ITRI22,672-2,903$1,266
     Common Stock11,726+11,726$655
NEOGEN CORP 28,659 +173 $1,920
     NEOG28,659+173$1,920
OLD REP INTL CORP 125,475 +61,734 $1,913
     ORI125,475+61,734$1,913
AMN HEALTHCARE SERVICES INC 33,039 -942 $1,910
     AMN33,039-942$1,910
PRINCIPAL FINANCIAL GROUP INC 60,714 -807 $1,903
     PFG60,714-807$1,903
BANK OZK 113,644 +10,627 $1,898
     OZK113,644+10,627$1,898
Imperial Oil Ltd 169,106 -7,126 $1,890
     IMO169,106-7,126$1,890
LANCASTER COLONY CORP 12,981 +1,214 $1,878
     LANC12,981+1,214$1,878
UNIVERSAL HLTH SVCS INC 18,885 -252 $1,871
     UHS18,885-252$1,871
WATTS WATER TECHNOLOGIES INC 22,029 -4,855 $1,865
     WTS22,029-4,855$1,865
HOST HOTELS & RESORTS INC 168,616 -2,242 $1,862
     HST168,616-2,242$1,862
HOME BANCSHARES INC (HOMB) 154,443 +154,443 $1,852
     HOMB154,443+154,443$1,852
EXPEDIA GROUP INC 32,856 -436 $1,849
     EXPE32,856-436$1,849
AVISTA CORP 43,344 +16,706 $1,841
     AVA43,344+16,706$1,841
RAYMOND JAMES FINL INC 29,028 -85,528 $1,835
     RJF29,028-85,528$1,835
JDS Uniphase Corp 163,735 +21,579 $1,835
     VIAV163,735+21,579$1,835
SVB FINL GROUP 12,124 -161 $1,832
     SIVB12,124-161$1,832
CENTERPOINT ENERGY INC 118,083 -1,569 $1,824
     CNP118,083-1,569$1,824
E TRADE FINANCIAL CORP 53,115 -35,919 $1,823
     ETFC53,115-35,919$1,823
NEW YORK TIMES CO 59,310 +5,546 $1,821
     NYT59,310+5,546$1,821
TELEPHONE & DATA SYS INC COMMON 108,589 +10,155 $1,820
     TDS108,589+10,155$1,820
UNITED RENTALS INC 17,670 -106,665 $1,818
     URI17,670-106,665$1,818
REGAL BELOIT CORP 28,658 +2,680 $1,804
     RBC28,658+2,680$1,804
AMERICAN EAGLE OUTFITTERS NEW 226,267 +62,536 $1,799
     AEO226,267+62,536$1,799
WATSCO INC 11,365 +1,063 $1,796
     WSO11,365+1,063$1,796
AGREE REALTY CORP 28,983 +3,222 $1,794
     ADC28,983+3,222$1,794
AEROJET ROCKETDYNE HLDGS INC 42,835 +12,648 $1,792
     AJRD42,835+12,648$1,792
WD 40 CO 8,906 +2,377 $1,789
     WDFC8,906+2,377$1,789
WESTERN UN CO 98,572 -134,919 $1,787
     WU98,572-134,919$1,787
CVB FINL CORP 88,981 +44,198 $1,784
     CVBF88,981+44,198$1,784
BRADY CORP 39,475 -1,203 $1,781
     BRC39,475-1,203$1,781
VIACOMCBS INC 127,054 -1,688 $1,780
     CBS127,054-1,688$1,780
BERKLEY W R CORP 34,115 -453 $1,780
     WRB34,115-453$1,780
NORDSTROM INC 115,563 +8,118 $1,772
     JWN115,563+8,118$1,772
CALIFORNIA WTR SVC GROUP 35,168 +1,789 $1,770
     CWT35,168+1,789$1,770
SUMMIT MATLS INC 117,610 +10,998 $1,764
     SUM117,610+10,998$1,764
DUNKIN BRANDS GROUP INC 33,146 +3,100 $1,760
     DNKN33,146+3,100$1,760
SONOCO PRODS CO 37,841 +3,539 $1,754
     SON37,841+3,539$1,754
SELECTIVE INS GROUP INC 35,158 +35,158 $1,747
     SIGI35,158+35,158$1,747
HUBBELL INC 15,173 +1,419 $1,741
     HUBB15,173+1,419$1,741
MOLSON COORS BEVERAGE COMPANY 44,167 -587 $1,723
     TAP44,167-587$1,723
ITT INC 37,881 +3,542 $1,718
     ITT37,881+3,542$1,718
FOOT LOCKER INC 77,317 +476 $1,705
     FL77,317+476$1,705
PETROLEUM DEV CORP 273,621 +151,475 $1,700
     PDCE273,621+151,475$1,700
GLOBE LIFE INC 23,423 -312 $1,686
     GL23,423-312$1,686
SIMMONS 1ST NATL CORP 91,503 +15,524 $1,683
     SFNC91,503+15,524$1,683
XEROX HOLDINGS CORP 88,212 -22,507 $1,671
     XRX88,212-22,507$1,671
EMCOR GROUP INC 27,093 +2,534 $1,661
     EME27,093+2,534$1,661
NEOGENOMICS INC 60,051 +6,556 $1,658
     NEO60,051+6,556$1,658
TFI INTERNATIONAL INC 75,883 +75,883 $1,655
     TFII75,883+75,883$1,655
EMERGENT BIOSOLUTIONS INC 28,008 -518 $1,621
     EBS28,008-518$1,621
UNITED AIRLINES HOLDINGS INC. 51,164 -64,001 $1,614
     UAL51,164-64,001$1,614
NRG ENERGY INC 59,153 -69,054 $1,613
     NRG59,153-69,054$1,613
SIMPSON MANUFACTURING CO INC 26,021 -10,913 $1,613
     SSD26,021-10,913$1,613
GLACIER BANCORP INC NEW 47,401 +17,361 $1,612
     GBCI47,401+17,361$1,612
INDEPENDENT BANK CORP MASS 24,992 -4,090 $1,608
     INDB24,992-4,090$1,608
IRON MTN INC NEW 67,510 -897 $1,607
     IRM67,510-897$1,607
BAKER HUGHES COMPANY 152,791 -93,749 $1,604
     BHGE152,791-93,749$1,604
TOPBUILD CORP 22,380 +1,261 $1,604
     BLD22,380+1,261$1,604
DAVITA INC 21,084 -38,568 $1,604
     DVA21,084-38,568$1,604
NVENT Electric PLC 94,704 +8,856 $1,598
     NVT94,704+8,856$1,598
DECKERS OUTDOOR CORP 11,854 +321 $1,588
     DECK11,854+321$1,588
SANDERSON FARMS INC 12,866 +1,203 $1,587
     SAFM12,866+1,203$1,587
TOLL BROTHERS INC 82,291 +7,695 $1,584
     TOL82,291+7,695$1,584
BIG LOTS INC 111,273 +5,557 $1,582
     BIG111,273+5,557$1,582
WEBSTER FINL CORP CONN 68,834 -23,563 $1,576
     WBS68,834-23,563$1,576
DARDEN RESTAURANTS INC 28,825 -383 $1,570
     DRI28,825-383$1,570
LEXINGTON REALTY TRUST 158,022 +10,498 $1,569
     LXP158,022+10,498$1,569
NATIONAL FUEL GAS CO N J 42,063 +27,425 $1,569
     NFG42,063+27,425$1,569
FABRINET 28,665 -264 $1,564
     FN28,665-264$1,564
WINGSTOP INC 19,566 -1,823 $1,560
     WING19,566-1,823$1,560
OWENS CORNING NEW 40,000 +40,000 $1,552
     OC40,000+40,000$1,552
FRANKLIN ELEC INC 32,845 +14,134 $1,548
     FELE32,845+14,134$1,548
BANK HAWAII CORP 27,951 +12,614 $1,544
     BOH27,951+12,614$1,544
ABIOMED INC 10,616 -142 $1,541
     ABMD10,616-142$1,541
PERRIGO CO PLC 32,001 -425 $1,539
     PRGO32,001-425$1,539
ANIXTER INTL INC 17,346 -3,884 $1,524
     AXE17,346-3,884$1,524
F5 NETWORKS INC 14,293 -13,790 $1,524
     FFIV14,293-13,790$1,524
TRINITY INDS INC 94,704 +8,856 $1,522
     TRN94,704+8,856$1,522
UNIVERSAL FST PRODS INC 40,927 -809 $1,522
     UFPI40,927-809$1,522
ADVANCE AUTO PARTS INC 16,284 -216 $1,520
     AAP16,284-216$1,520
MEDPACE HLDGS INC 20,611 +985 $1,513
     MEDP20,611+985$1,513
JUNIPER NETWORKS INC 78,693 -79,547 $1,506
     JNPR78,693-79,547$1,506
LIVE NATION INC 33,131 -440 $1,506
     LYV33,131-440$1,506
CENOVUS ENERGY INC 753,867 -21,556 $1,504
     CVE753,867-21,556$1,504
SHENANDOAH TELECOMMUNICATIONS 30,387 -5,865 $1,496
     SHEN30,387-5,865$1,496
BLACKBERRY LTD NPV 368,361 -6,559 $1,493
     BB368,361-6,559$1,493
KORNIT DIGITAL LTD 59,861 -50,034 $1,490
     KRNT59,861-50,034$1,490
EASTMAN CHEM CO 31,970 -426 $1,489
     EMN31,970-426$1,489
ASSURANT INC 14,256 -190 $1,484
     AIZ14,256-190$1,484
HANCOCK WHITNEY CORPORATION 75,708 -27,309 $1,478
     HWC75,708-27,309$1,478
INTERPUBLIC GROUP COS INC 91,160 -1,211 $1,476
     IPG91,160-1,211$1,476
American Equity Investment Lif 78,342 -15,448 $1,472
     AEL78,342-15,448$1,472
STEPAN CO 16,627 +746 $1,471
     SCL16,627+746$1,471
ENSIGN GROUP INC 38,974 +1,346 $1,465
     ENSG38,974+1,346$1,465
INTEGER HLDGS CORP 23,193 -4,912 $1,458
     ITGR23,193-4,912$1,458
PERSPECTA INC 78,724 +43,621 $1,436
     PRSP78,724+43,621$1,436
TEXTRON INC 53,667 -714 $1,431
     TXT53,667-714$1,431
MGM MIRAGE 121,078 -1,610 $1,429
     MGM121,078-1,610$1,429
DRIL QUIP INC 46,708 +10,233 $1,424
     DRQ46,708+10,233$1,424
SOLAREDGE TECHNOLOGIES INC 17,380 -8,375 $1,423
     SEDG17,380-8,375$1,423
ARCOSA INC 35,603 -1,314 $1,415
     ACA35,603-1,314$1,415
HALLIBURTON CO 206,381 -120,053 $1,414
     HAL206,381-120,053$1,414
COCA COLA EUROPEAN PARTNERS P 37,628 +1,658 $1,412
     CCEP37,628+1,658$1,412
ALBEMARLE CORP 24,930 -330 $1,405
     ALB24,930-330$1,405
SNAP ON INC 12,895 -172 $1,403
     SNA12,895-172$1,403
EXLSERVICE HOLDINGS INC 26,934 -6,047 $1,402
     EXLS26,934-6,047$1,402
AAON INC 28,944 +15,461 $1,399
     AAON28,944+15,461$1,399
STAMPS COM INC 10,718 -3,519 $1,394
     STMP10,718-3,519$1,394
ARROW ELECTRS INC 26,850 -7,489 $1,393
     ARW26,850-7,489$1,393
CF INDS HLDGS INC 51,121 -680 $1,390
     CF51,121-680$1,390
MANTECH INTL CORP 19,118 +166 $1,389
     MANT19,118+166$1,389
MADDEN STEVEN LTD 59,741 -2,026 $1,388
     SHOO59,741-2,026$1,388
XPO LOGISTICS INC 28,412 +2,657 $1,385
     XPO28,412+2,657$1,385
COMFORT SYS USA INC 37,871 -208 $1,384
     FIX37,871-208$1,384
DISCOVERY INC 78,860 -37,829 $1,383
     DISCK78,860-37,829$1,383
STERICYCLE INC 28,412 +2,657 $1,380
     SRCL28,412+2,657$1,380
HMS HLDGS CORP 54,460 -8,714 $1,376
     HMSY54,460-8,714$1,376
SPIRIT RLTY CAP INC NEW 52,510 -10,414 $1,373
     SRC52,510-10,414$1,373
ARCONIC INC 91,074 -534,778 $1,358
     ARNC91,074-534,778$1,358
JOHN BEAN TECHNOLOGIES 18,263 +1,871 $1,356
     JBT18,263+1,871$1,356
SABRE CORP 228,297 +21,349 $1,354
     SABR228,297+21,349$1,354
OLD NATL BANCORP IND 101,824 +23,021 $1,343
     ONB101,824+23,021$1,343
SANMINA CORPORATION 49,228 +7,052 $1,343
     SANM49,228+7,052$1,343
ESCO TECHNOLOGIES INC 17,592 +8,860 $1,336
     ESE17,592+8,860$1,336
TEXAS ROADHOUSE INC 31,813 +2,975 $1,314
     TXRH31,813+2,975$1,314
WERNER ENTERPRISES INC 36,124 +3,378 $1,310
     WERN36,124+3,378$1,310
PACWEST BANCORP DEL 72,568 +6,786 $1,300
     PACW72,568+6,786$1,300
ROYAL CARIBBEAN CRUISES LTD 40,415 -537 $1,300
     RCL40,415-537$1,300
UNIFIRST CORP MASS 8,562 -118 $1,294
     UNF8,562-118$1,294
HAWAIIAN ELEC INDUSTRIES 29,655 +2,773 $1,277
     HE29,655+2,773$1,277
WHIRLPOOL CORP 14,859 -7,811 $1,275
     WHR14,859-7,811$1,275
ARROWHEAD PHARMACEUTICALS INC 44,126 +14,126 $1,270
     ARWR44,126+14,126$1,270
PROGRESS SOFTWARE CORP 39,596 -4,951 $1,268
     PRGS39,596-4,951$1,268
STERLING BANCORP DE 121,348 +121,348 $1,268
     STL121,348+121,348$1,268
COLUMBIA BKG SYS INC 47,163 +10,367 $1,264
     COLB47,163+10,367$1,264
PROTO LABS INC 16,415 +3,926 $1,249
     PRLB16,415+3,926$1,249
CARNIVAL CORP 94,176 -1,252 $1,240
     CCL94,176-1,252$1,240
LINCOLN NATL CORP IND 46,630 -52,917 $1,227
     LNC46,630-52,917$1,227
WASHINGTON REAL ESTATE INVT 51,325 +827 $1,226
     WRE51,325+827$1,226
ROBERT HALF INTL INC 32,371 +4,364 $1,222
     RHI32,371+4,364$1,222
IRIDIUM COMMUNICATIONS INC 54,462 +14,251 $1,216
     IRDM54,462+14,251$1,216
HILLENBRAND INC 63,404 -8,772 $1,211
     HI63,404-8,772$1,211
BRINKS CO 23,116 +2,162 $1,203
     BCO23,116+2,162$1,203
DISH NETWORK CORP 60,192 -555 $1,203
     DISHV60,192-555$1,203
ROLLINS INC 33,104 -439 $1,196
     ROL33,104-439$1,196
EL PASO ELEC CO 17,555 -2,186 $1,193
     EE17,555-2,186$1,193
INNOSPEC INC 17,028 -6,700 $1,184
     IOSP17,028-6,700$1,184
BORG WARNER INC 48,549 -68,529 $1,183
     BWA48,549-68,529$1,183
MSC INDL DIRECT INC 21,460 +5,087 $1,180
     MSM21,460+5,087$1,180
PENTAIR PLC 39,521 -524 $1,176
     PNR39,521-524$1,176
HAIN CELESTIAL GROUP INC 45,155 +4,223 $1,173
     HAIN45,155+4,223$1,173
KINSALE CAP GROUP INC 11,223 -958 $1,173
     KNSL11,223-958$1,173
PARK HOTELS RESORTS INC 148,198 +83,859 $1,172
     PK148,198+83,859$1,172
EASTERLY GOVT PPTYS INC 47,340 +2,696 $1,166
     DEA47,340+2,696$1,166
GRUBHUB INC 28,412 +2,657 $1,157
     GRUB28,412+2,657$1,157
PEOPLES UNITED FINANCIAL 104,418 -1,388 $1,154
     PBCT104,418-1,388$1,154
CIMAREX ENERGY CO 68,492 +27,475 $1,153
     XEC68,492+27,475$1,153
LCI INDS 17,172 -95 $1,148
     LCII17,172-95$1,148
FULTON FINL CORP PA 99,407 -72,288 $1,142
     FULT99,407-72,288$1,142
ROGERS CORP 12,055 +1,666 $1,138
     ROG12,055+1,666$1,138
FIRST BANCORP P R 212,644 -5,731 $1,132
     FBP212,644-5,731$1,132
SPDR Bloomberg Barclays Short (SJNK) 48,000 -700 $1,131
     SJNK48,000-700$1,131
FORMFACTOR INC 56,262 -18,039 $1,130
     FORM56,262-18,039$1,130
NATIONAL STORAGE AFFILIATES TR 38,142 +1,064 $1,129
     NSA38,142+1,064$1,129
HEXCEL CORP NEW 30,336 +2,837 $1,128
     HXL30,336+2,837$1,128
SPS COMM INC 24,156 -11,010 $1,123
     SPSC24,156-11,010$1,123
BROOKS AUTOMATION INC 36,736 +676 $1,121
     BRKS36,736+676$1,121
ATLANTICA YIELD PLC 50,203 UNCH $1,120
     AY50,203UNCH$1,120
AMERICAN AIRLINES GROUP INC 91,663 -1,219 $1,117
     AAL91,663-1,219$1,117
RAMBUS INC DEL 100,150 -11,733 $1,112
     RMBS100,150-11,733$1,112
QUAKER CHEM CORP 8,783 +29 $1,109
     KWR8,783+29$1,109
VISTEON CORP 23,116 +2,162 $1,109
     VC23,116+2,162$1,109
APPLIED INDL TECHNOLOGIES INC 24,123 -13,605 $1,103
     AIT24,123-13,605$1,103
RADWARE LTD 52,233 -22,062 $1,101
     RDWR52,233-22,062$1,101
APTARGROUP INC 11,032 +11,032 $1,098
     ATR11,032+11,032$1,098
FRANKLIN RES INC 65,577 -872 $1,094
     BEN65,577-872$1,094
FEDERAL SIGNAL CORP 40,061 -1,770 $1,093
     FSS40,061-1,770$1,093
FIRST FINL BANCORP OH 73,116 +40,078 $1,091
     FFBC73,116+40,078$1,091
PACIRA BIOSCIENCES INC 32,427 +2,417 $1,087
     PCRX32,427+2,417$1,087
GENTEX CORP 48,976 +9,238 $1,085
     GNTX48,976+9,238$1,085
AARONS INC 47,352 +4,428 $1,079
     AAN47,352+4,428$1,079
FOX FACTORY HLDG CORP 25,680 +3,418 $1,079
     FOXF25,680+3,418$1,079
MOOG INC      $1,072
     MOG.A21,216-1,513$1,072
ZIONS BANCORPORATION NA 40,078 -533 $1,072
     ZION40,078-533$1,072
BANNER CORP 32,102 -4,703 $1,061
     BANR32,102-4,703$1,061
MERIT MED SYS INC 33,956 +1,100 $1,061
     MMSI33,956+1,100$1,061
United Community Banks Inc GA 57,544 -18,071 $1,054
     UCBI57,544-18,071$1,054
NIELSEN HLDGS NV 83,655 -1,111 $1,049
     NLSN83,655-1,111$1,049
INGEVITY CORP 29,655 +2,773 $1,044
     NGVT29,655+2,773$1,044
PBF ENERGY INC 146,468 +13,697 $1,037
     PBF146,468+13,697$1,037
GENTHERM INC 33,021 -2,162 $1,037
     THRM33,021-2,162$1,037
HEALTHCARE RLTY TR 36,445 -36,592 $1,018
     HR36,445-36,592$1,018
SAIA INC 13,824 +4,080 $1,017
     SAIA13,824+4,080$1,017
JANUS HENDERSON GROUP PLC 66,190 +66,190 $1,014
     JHG66,190+66,190$1,014
COMMUNITY BK SYS INC 17,220 +425 $1,013
     CBU17,220+425$1,013
SELECT MEDICAL HOLDINGS CORP 67,318 -9,248 $1,010
     SEM67,318-9,248$1,010
FLIR SYS INC 31,541 -31,320 $1,006
     FLIR31,541-31,320$1,006
BARNES GROUP INC 23,941 -14,018 $1,001
     B23,941-14,018$1,001
ADVANCED ENERGY INDS 20,638 +1,842 $1,000
     AEIS20,638+1,842$1,000
CABOT CORP 38,111 +3,564 $995
     CBT38,111+3,564$995
COMERICA INC 33,892 -451 $994
     CMA33,892-451$994
INSIGHT ENTERPRISES INC 23,578 -1,865 $994
     NSIT23,578-1,865$994
POLARIS INC 20,620 +7,110 $993
     PII20,620+7,110$993
AUTONATION INC 35,246 +3,296 $989
     AN35,246+3,296$989
GEO GROUP INC NEW 81,279 +7,601 $988
     GEO81,279+7,601$988
KULICKE & SOFFA INDS INC      $988
     KLIC34,287-3,733$715
     Common Stock13,090+13,090$273
WENDYS CO COM 66,293 +6,199 $986
     WEN66,293+6,199$986
BADGER METER INC 18,195 -4,490 $976
     BMI18,195-4,490$976
FIRST MIDWEST BANCORP DEL 73,157 -34,739 $968
     FMBI73,157-34,739$968
LA Z BOY INC 46,988 +14,423 $966
     LZB46,988+14,423$966
WEINGARTEN RLTY INVS 66,892 -73,745 $965
     WRI66,892-73,745$965
MANPOWER INC 18,062 +1,689 $957
     MAN18,062+1,689$957
VONAGE HLDGS CORP 132,895 +9,236 $953
     VG132,895+9,236$953
EDGEWELL PERS CARE CO 39,372 +3,682 $948
     EPC39,372+3,682$948
HUB GROUP INC 20,765 +4,662 $944
     HUBG20,765+4,662$944
CARTER INC 14,205 +1,328 $934
     CRI14,205+1,328$934
XENCOR INC 31,150 -369 $931
     XNCR31,150-369$931
MUELLER INDS INC 38,839 -3,003 $930
     MLI38,839-3,003$930
HOPE BANCORP INC 113,019 -2,677 $929
     HOPE113,019-2,677$929
CLEAN HARBORS INC 18,062 +1,689 $927
     CLH18,062+1,689$927
IPG PHOTONICS CORP 8,360 -8,210 $922
     IPGP8,360-8,210$922
J & J SNACK FOODS CORP 7,617 +574 $922
     JJSF7,617+574$922
WALKER & DUNLOP INC 22,872 -4,418 $921
     WD22,872-4,418$921
FGL HLDGS 93,551 +10,343 $916
     FG93,551+10,343$916
TRANSOCEAN INC 786,201 +168,785 $912
     RIG786,201+168,785$912
NIC INC 39,609 -9,151 $911
     EGOV39,609-9,151$911
CARETRUST REIT INC 61,155 -1,175 $905
     CTRE61,155-1,175$905
ALARM COM HLDGS INC 23,140 +2,416 $900
     ALRM23,140+2,416$900
SEALED AIR CORP NEW 36,328 -483 $898
     SEE36,328-483$898
LEAR CORP 11,032 +11,032 $896
     LEA11,032+11,032$896
AGCO CORP 18,941 +18,941 $895
     AGCO18,941+18,941$895
MOSAIC CO NEW 82,205 -1,093 $889
     MOS82,205-1,093$889
AEROVIRONMENT INC 14,563 +1,103 $888
     AVAV14,563+1,103$888
ASGN INC 25,112 +7,942 $887
     ASGN25,112+7,942$887
LITHIA MTRS INC 10,813 -1,511 $884
     LAD10,813-1,511$884
ADMINISTAFF INC 23,676 +2,214 $883
     NSP23,676+2,214$883
BIOTELEMETRY INC 22,843 +864 $879
     BEAT22,843+864$879
DORMAN PRODUCTS INC 15,885 +4,363 $878
     DORM15,885+4,363$878
SKYWEST INC 33,497 -7,284 $877
     SKYW33,497-7,284$877
FOX CORP CLASS B 38,174 -20,646 $873
     FOX38,174-20,646$873
INNOVIVA INC 73,501 +3,907 $864
     INVA73,501+3,907$864
KORN FERRY 35,335 -7,809 $860
     KFY35,335-7,809$860
TENNANT CO 14,854 -360 $860
     TNC14,854-360$860
MOBILE MINI INC 32,744 -14,171 $859
     MINI32,744-14,171$859
FORWARD AIR CORP 16,932 -7,129 $858
     FWRD16,932-7,129$858
PERDOCEO EDUCATION 79,535 +8,693 $858
     PRDO79,535+8,693$858
CARDIOVASCULAR SYS INC DEL 24,127 -81 $849
     CSII24,127-81$849
SPX CORP 25,936 -6,806 $847
     SPXC25,936-6,806$847
LUMINEX CORP DEL 30,684 +11,537 $845
     LMNX30,684+11,537$845
ABM INDS INC 34,650 +8,225 $844
     ABM34,650+8,225$844
ENERSYS 17,047 +1,594 $844
     ENS17,047+1,594$844
CENTRAL GARDEN & PET CO 32,928 -4,701 $842
     CENTA32,928-4,701$842
OFFICE PROPERTIES INCOME TRU 30,871 -2,179 $841
     OPI30,871-2,179$841
TAPESTRY INC 64,876 -862 $840
     TPR64,876-862$840
KB HOME 46,230 +4,323 $837
     KBH46,230+4,323$837
MATTEL INC 94,704 +8,856 $834
     MAT94,704+8,856$834
GIBRALTAR INDS INC 19,385 -159 $832
     ROCK19,385-159$832
CORECIVIC INC 73,921 +6,913 $826
     CXW73,921+6,913$826
SL GREEN RLTY CORP 19,165 -49,964 $826
     SLG19,165-49,964$826
CORE MARK HOLDING CO INC 28,835 +8,347 $824
     CORE28,835+8,347$824
FOUR CORNERS PPTY TR INC 43,952 +914 $822
     FCPT43,952+914$822
ONTO INNOVATION INC 27,636 +1,174 $820
     NANO27,636+1,174$820
NEWS CORP CLASS A 91,354 -1,214 $820
     NWSA91,354-1,214$820
DIODES INC 20,109 +3,322 $817
     DIOD20,109+3,322$817
DAVE & BUSTERS ENTMT INC 62,036 -28,131 $812
     PLAY62,036-28,131$812
ACUITY BRANDS INC 9,471 +886 $811
     AYI9,471+886$811
CAVCO INDS INC DEL 5,568 +287 $807
     CVCO5,568+287$807
UNIVERSAL HEALTH RLTY INCM TR 8,011 -257 $807
     UHT8,011-257$807
BOYD GAMING CORP 55,477 +5,188 $800
     BYD55,477+5,188$800
JAMES RIV GROUP LTD 22,052 +11,793 $799
     JRVR22,052+11,793$799
Northwest Natural Holding CO 12,925 +3,167 $798
     NWN12,925+3,167$798
INVESCO LTD COM STK USD0.10 87,507 -1,163 $795
     IVZ87,507-1,163$795
BOTTOMLINE TECH DEL INC 21,636 -2,736 $793
     EPAY21,636-2,736$793
MARRIOTT VACATIONS WRLDWDE COM 14,205 +1,328 $790
     VAC14,205+1,328$790
CRACKER BARREL GROUP 9,471 +886 $788
     CBRL9,471+886$788
CORCEPT THERAPEUTICS INC 66,160 -14,717 $787
     CORT66,160-14,717$787
DXC TECHNOLOGY CO 60,188 -62,000 $785
     DXC60,188-62,000$785
SPX FLOW INC 27,620 -2,993 $785
     FLOW27,620-2,993$785
LTC PPTYS INC 25,381 -292 $784
     LTC25,381-292$784
WORTHINGTON INDS INC 29,803 +2,787 $782
     WOR29,803+2,787$782
RALPH LAUREN CORP NEW 11,693 -4,568 $781
     RL11,693-4,568$781
SJI INC 30,987 UNCH $775
     SJI30,987UNCH$775
BROOKFIELD INF A 23,603 +23,603 $768
     BIPC23,603+23,603$768
CSG SYS INTL INC 18,287 -4,613 $765
     CSGS18,287-4,613$765
KONTOOR BRANDS INC 39,799 +7,872 $763
     KTB39,799+7,872$763
CROCS INC 44,799 -14,929 $762
     CROX44,799-14,929$762
GLOBAL NET LEASE INC 56,922 +4,747 $761
     GNL56,922+4,747$761
AMERICAN ASSETS TR INC 30,330 -335 $758
     AAT30,330-335$758
HORACE MANN EDUCATORS CORP NEW 20,642 +6,679 $755
     HMN20,642+6,679$755
CAMTEK LTD 89,647 -3,801 $754
     CAMT89,647-3,801$754
HELMERICH & PAYNE INC 48,074 +1,772 $752
     HP48,074+1,772$752
GLAUKOS CORP 24,092 +24,092 $743
     GKOS24,092+24,092$743
XENIA HOTELS & RESORTS INC 72,112 -300 $742
     XHR72,112-300$742
UNITI GROUP INC 122,793 +99,093 $741
     UNIT122,793+99,093$741
MERITAGE HOMES CORP 20,274 -4,881 $740
     MTH20,274-4,881$740
IROBOT CORP 18,036 +3,462 $738
     IRBT18,036+3,462$738
FLOWSERVE CORP 30,767 -408 $735
     FLS30,767-408$735
ALEXANDER & BALDWIN HLDGS INC 23,921 +9,494 $733
     MATX23,921+9,494$733
INDUSTRIAL LOGISTICS PPTYS TR 41,650 +24,276 $730
     ILPT41,650+24,276$730
ESSENTIAL PPTYS RLTY TR INC 55,820 +3,677 $729
     EPRT55,820+3,677$729
UNUMPROVIDENT CORP 48,496 -645 $728
     UNM48,496-645$728
EVERTEC INC 31,912 -17,816 $725
     EVTC31,912-17,816$725
DISCOVERY INC 37,180 -380,654 $723
     DISCA37,180-380,654$723
AMERIS BANCORP 30,236 -19,512 $718
     ABCB30,236-19,512$718
BOISE CASCADE CO DEL 30,071 +7,395 $715
     BCC30,071+7,395$715
CREE INC 20,000 +20,000 $709
     CREE20,000+20,000$709
CONMED CORP 12,336 -586 $707
     CNMD12,336-586$707
GREEN DOT CORP 27,707 +27,707 $703
     GDOT27,707+27,707$703
VALMONT INDS INC 6,629 +620 $703
     VMI6,629+620$703
ALBANY INTL CORP 14,794 -11,864 $700
     AIN14,794-11,864$700
SEACOAST BKG CORP FLA 38,221 -9,549 $699
     SBCF38,221-9,549$699
KEMET CORP 28,831 +9,680 $697
     KEM28,831+9,680$697
PLAINS GP HLDGS L P 123,383 +11,538 $692
     PAGP123,383+11,538$692
DIAMONDROCK HOSPITALITY 135,833 +6,330 $690
     DRH135,833+6,330$690
METHODE ELECTRS INC 26,023 +3,376 $688
     MEI26,023+3,376$688
HARLEY DAVIDSON INC 36,276 -482 $687
     HOG36,276-482$687
VAREX IMAGING CORP 30,239 +7,787 $687
     VREX30,239+7,787$687
SAFETY INS GROUP INC 8,103 -3,345 $684
     SAFT8,103-3,345$684
KNOWLES CORP 50,990 +20,753 $683
     KN50,990+20,753$683
SHUTTERSTOCK INC 21,236 -1,240 $683
     SSTK21,236-1,240$683
APOLLO COML REAL EST FIN INC 91,761 +2,217 $681
     ARI91,761+2,217$681
NOBLE ENERGY INC 112,453 -63,139 $679
     NBL112,453-63,139$679
SYKES ENTERPRISES INC 25,014 +3,970 $678
     SYKE25,014+3,970$678
ACADIA RLTY TR 54,676 +1,072 $677
     AKR54,676+1,072$677
MYRIAD GENETICS INC 47,258 -432 $676
     MYGN47,258-432$676
PENNYMAC MTG INVT TR 63,205 +2,132 $671
     PMT63,205+2,132$671
TETRA TECH INC NEW 9,471 +886 $669
     TTEK9,471+886$669
INTER PARFUMS INC 14,407 -3,756 $668
     IPAR14,407-3,756$668
FIVE BELOW INC 9,471 +886 $667
     FIVE9,471+886$667
PACIFIC PREMIER BANCORP 35,294 -21,143 $665
     PPBI35,294-21,143$665
OFG BANCORP 59,396 +15,481 $664
     OFG59,396+15,481$664
PLEXUS CORP 12,042 -3,353 $657
     PLXS12,042-3,353$657
PVH CORP 17,432 -231 $656
     PVH17,432-231$656
CRITEO S A 82,133 UNCH $653
     CRTO82,133UNCH$653
WARRIOR MET COAL INC 60,846 +9,153 $647
     HCC60,846+9,153$647
BLOCK H & R INC 45,904 -611 $646
     HRB45,904-611$646
LIVEPERSON INC 28,335 +6,535 $644
     LPSN28,335+6,535$644
REGENXBIO INC 19,793 -15 $641
     RGNX19,793-15$641
KAISER ALUMINUM CORP 9,239 -1,340 $640
     KALU9,239-1,340$640
COCA COLA CONSOLIDATED INC 3,064 +90 $639
     COKE3,064+90$639
VECTOR GROUP LTD 67,522 -21,857 $636
     VGR67,522-21,857$636
ADTALEM GLOBAL ED INC 23,676 +2,214 $634
     ATGE23,676+2,214$634
SUPERNUS PHARMACEUTICALS INC 35,216 -4,469 $633
     SUPN35,216-4,469$633
L BRANDS INC 54,602 -725 $631
     LB54,602-725$631
DEVON ENERGY CORP NEW 90,988 -58,304 $629
     DVN90,988-58,304$629
PRICESMART INC 11,891 -5,518 $625
     PSMT11,891-5,518$625
CITY OF LAKELAND 98,894 -24,752 $622
     GLUU98,894-24,752$622
TTEC HOLDINGS INC 16,888 +284 $620
     TTEC16,888+284$620
MARATHON OIL CORP 188,072 -90,692 $619
     MRO188,072-90,692$619
INSTALLED BLDG PRODS INC 15,471 -4,079 $617
     IBP15,471-4,079$617
KENNAMETAL INC 33,146 +3,100 $617
     KMT33,146+3,100$617
WYNDHAM DESTINATIONS INC 28,412 +2,657 $617
     WYND28,412+2,657$617
CHART INDS INC 21,204 +3,196 $615
     GTLS21,204+3,196$615
RETAIL OPPORTUNITY INVTS CORP 74,079 +1,932 $614
     ROIC74,079+1,932$614
OFFICE DEPOT INC 373,411 -24,706 $612
     ODP373,411-24,706$612
B&G FOODS INC CLASS A 33,545 +11,596 $607
     BGS33,545+11,596$607
ASBURY AUTOMOTIVE GROUP INC 10,933 -125 $604
     ABG10,933-125$604
INOGEN INC 11,634 -1,499 $601
     INGN11,634-1,499$601
SHAKE SHACK INC 15,895 +696 $600
     SHAK15,895+696$600
WYNDHAM HOTELS & RESORTS INC 18,941 -248,229 $597
     WH18,941-248,229$597
XPERI CORP 42,683 -13,010 $594
     XPER42,683-13,010$594
GATX CORP 9,471 +886 $593
     GATX9,471+886$593
SANFILIPPO JOHN B & SON INC 6,631 -3,340 $593
     JBSS6,631-3,340$593
SOUTHWESTERN ENERGY CO 348,352 +189,437 $588
     SWN348,352+189,437$588
CINEMARK HOLDINGS INC 57,603 +5,387 $587
     CNK57,603+5,387$587
ENERPAC TOOL GROUP CORP 35,314 +1,742 $584
     EPAC35,314+1,742$584
RENT A CTR INC NEW 41,168 +6,712 $582
     RCII41,168+6,712$582
BLOOMIN BRANDS INC 80,125 +33,019 $572
     BLMN80,125+33,019$572
NATUS MEDICAL INC DEL 24,720 -2,551 $571
     NTUS24,720-2,551$571
CUBIC CORP 13,692 +1,569 $566
     CUB13,692+1,569$566
POLYONE CORP 29,803 +2,787 $565
     POL29,803+2,787$565
EAGLE BANCORP INC MD 18,614 -13,035 $563
     EGBN18,614-13,035$563
VIRTUSA CORP 19,832 +1,292 $563
     VRTU19,832+1,292$563
RAVEN INDS INC 26,322 +551 $559
     RAVN26,322+551$559
CHILDRENS PLACE INC. 28,525 +376 $558
     PLCE28,525+376$558
STANDARD MTR PRODS INC 13,422 -5,848 $558
     SMP13,422-5,848$558
MURPHY OIL CORP 90,310 +8,445 $554
     MUR90,310+8,445$554
LIONS GATE ENTMNT CORP      $553
     LGF.A47,413+4,434$288
     LGF.B47,413+4,434$265
S & T BANCORP INC 20,197 -394 $552
     STBA20,197-394$552
BLUCORA INC 45,728 +6,371 $551
     BCOR45,728+6,371$551
NORWEGIAN CRUISE LINE HLDGS LT 50,022 -107,647 $548
     NCLH50,022-107,647$548
NMI HLDGS INC 47,162 -10,314 $548
     NMIH47,162-10,314$548
INTL FCSTONE INC 15,033 +2,992 $545
     INTL15,033+2,992$545
ENOVA INTL INC 37,518 -6,733 $543
     ENVA37,518-6,733$543
VICOR CORP 12,180 +219 $543
     VICR12,180+219$543
PATRICK INDS INC 19,219 +8,811 $541
     PATK19,219+8,811$541
KOHLS CORP 36,811 -490 $537
     KSS36,811-490$537
LANTHEUS HLDGS INC 42,024 +13,303 $537
     LNTH42,024+13,303$537
FARO TECHNOLOGIES INC 12,047 +6,387 $536
     FARO12,047+6,387$536
INTERFACE INC 70,067 +26,196 $530
     TILE70,067+26,196$530
COMMERCIAL METALS CO 33,505 +3,133 $529
     CMC33,505+3,133$529
ENANTA PHARMACEUTICALS INC 10,232 -170 $526
     ENTA10,232-170$526
CLEVELAND CLIFFS INC 132,646 +39,215 $524
     CLF132,646+39,215$524
WESTAMERICA BANCORPORATION 8,870 UNCH $521
     WABC8,870UNCH$521
PRA GROUP INC 18,710 +3,313 $519
     PRAA18,710+3,313$519
SPARTANNASH CO 36,251 +1,274 $519
     SPTN36,251+1,274$519
INDEPENDENCE RLTY TR INC 57,527 +615 $514
     IRT57,527+615$514
KITE REALTY GROUP TRUST 53,962 +2,281 $511
     KRG53,962+2,281$511
GETTY RLTY CORP NEW 21,462 -563 $510
     GTY21,462-563$510
SAFEHOLD INC 8,007 -52 $506
     SAFE8,007-52$506
ISTAR INC 47,546 +5,506 $504
     STAR47,546+5,506$504
TREDEGAR CORP 32,196 +5,049 $503
     TG32,196+5,049$503
TECHTARGET INC 24,426 +8,917 $503
     TTGT24,426+8,917$503
WINNEBAGO INDS INC 17,963 -2,506 $500
     WGO17,963-2,506$500
COMMUNITY HEALTHCARE TR INC 13,013 +1,388 $498
     CHCT13,013+1,388$498
OPUS BK IRVINE CALIF 28,676 +16,497 $496
     OPB28,676+16,497$496
GROUP 1 AUTOMOTIVE INC 11,155 +932 $494
     GPI11,155+932$494
LGI HOMES INC 10,942 +4,656 $494
     LGIH10,942+4,656$494
NEXTGEN HEALTHCARE INC 46,910 -1,234 $490
     NXGN46,910-1,234$490
CHEMOURS CO 55,169 +5,159 $489
     CC55,169+5,159$489
ALEXANDER & BALDWIN INC NEW 43,423 +43,423 $487
     ALEX43,423+43,423$487
MAXLINEAR INC 41,632 +9,735 $486
     MXL41,632+9,735$486
NEENAH INC 11,285 -921 $486
     NP11,285-921$486
GRAHAM HOLDINGS CO 1,420 +133 $484
     GHC1,420+133$484
FULLER H B CO 17,214 UNCH $481
     FUL17,214UNCH$481
PROASSURANCE CORP 19,240 -3,436 $481
     PRA19,240-3,436$481
STANDEX INTL CORP 9,824 -2,373 $481
     SXI9,824-2,373$481
BROOKLINE BANCORP INC DEL 42,466 -28,778 $479
     BRKL42,466-28,778$479
MONRO INC 10,935 -4,638 $479
     MNRO10,935-4,638$479
SLEEP NUMBER CORP 24,954 +1,169 $478
     SNBR24,954+1,169$478
GMS INC 30,313 -408 $477
     GMS30,313-408$477
NBT BANCORP INC 14,708 UNCH $476
     NBTB14,708UNCH$476
ZUMIEZ INC 27,422 +3,674 $475
     ZUMZ27,422+3,674$475
SEACOR HOLDINGS INC 17,506 -319 $472
     CKH17,506-319$472
MELLANOX TECHNOLOGIES LTD 3,891 -351 $472
     MLNX3,891-351$472
UNITED NAT FOODS INC      $472
     UNFI34,462+1,608$317
     Common Stock16,858+16,858$155
TIVO CORP 66,345 -28,497 $469
     TIVO66,345-28,497$469
ANDERSONS INC 24,878 +3,183 $467
     ANDE24,878+3,183$467
8X8 INC NEW 33,669 +2,145 $467
     EGHT33,669+2,145$467
NOW INC 90,310 +8,445 $466
     DNOW90,310+8,445$466
BRP INC 28,871 -58,010 $466
     DOOO28,871-58,010$466
CALAVO GROWERS INC 8,064 +2,882 $465
     CVGW8,064+2,882$465
ENDO INTL PLC 125,400 -27,422 $464
     ENDP125,400-27,422$464
MEDIFAST INC 7,410 -2,107 $464
     MED7,410-2,107$464
SIX FLAGS ENTMT CORP NEW 36,985 +3,459 $464
     SIX36,985+3,459$464
POPULAR INC 13,158 +1,045 $461
     BPOP13,158+1,045$461
ATLAS AIR WORLDWIDE HLDGS INC 17,944 +9,513 $460
     AAWW17,944+9,513$460
ARCBEST CORP 26,205 -2,944 $459
     ARCB26,205-2,944$459
CEVA INC 18,287 -8,641 $456
     CEVA18,287-8,641$456
RENEWABLE ENERGY GROUP INC 22,197 +9,631 $455
     REGI22,197+9,631$455
WOLVERINE WORLD WIDE INC 29,942 -8,553 $455
     WWW29,942-8,553$455
VISTRA ENERGY CORP 28,436 +28,436 $454
     VST28,436+28,436$454
AZZ INC 16,021 -8,031 $451
     AZZ16,021-8,031$451
GCP APPLIED TECHNOLOGIES INC 25,230 +2,174 $449
     GCP25,230+2,174$449
MGIC INVT CORP WIS 70,748 +21,382 $449
     MTG70,748+21,382$449
CINCINNATI BELL INC NEW 30,628 +13,659 $448
     CBB30,628+13,659$448
CAL MAINE FOODS INC 10,134 UNCH $446
     CALM10,134UNCH$446
EPLUS INC 7,118 -5,505 $445
     PLUS7,118-5,505$445
CRANE CO 9,030 +844 $444
     CR9,030+844$444
USANA HEALTH SCIENCES INC 7,670 -4,551 $443
     USNA7,670-4,551$443
CYTOKINETICS INC 37,548 +1,490 $442
     CYTK37,548+1,490$442
CENTRAL PAC FINL CORP 27,729 +11,233 $441
     CPF27,729+11,233$441
EMPLOYERS HOLDINGS INC 10,802 UNCH $438
     EIG10,802UNCH$438
PROVIDENCE SVC CORP 7,983 +1,823 $438
     PRSC7,983+1,823$438
SERVISFIRST BANCSHARES INC (SFBS) 14,896 UNCH $437
     SFBS14,896UNCH$437
O I GLASS INC 61,321 +5,734 $436
     OI61,321+5,734$436
SCANSOURCE INC 20,390 +7,345 $436
     SCSC20,390+7,345$436
ENCORE CAP GROUP INC 18,585 +10,546 $434
     ECPG18,585+10,546$434
GLATFELTER 35,457 +20,747 $434
     GLT35,457+20,747$434
Slack Technologies Inc CL A 16,127 UNCH $433
     WORK16,127UNCH$433
LINDSAY CORP 4,701 +1,013 $431
     LNN4,701+1,013$431
FRESH DEL MONTE PRODUCE INC 15,539 -5,317 $429
     FDP15,539-5,317$429
ALLEGIANT TRAVEL CO 5,234 -485 $428
     ALGT5,234-485$428
RADIAN GROUP INC 32,829 +5,403 $425
     RDN32,829+5,403$425
AMERISAFE INC 6,572 UNCH $424
     AMSF6,572UNCH$424
CTS CORP 17,001 +5,748 $423
     CTS17,001+5,748$423
UNIVERSAL ELECTRS INC 10,999 -15 $422
     UEIC10,999-15$422
INVESTORS REAL ESTATE TR 7,650 +7,650 $421
     IRET7,650+7,650$421
MARTEN TRANS LTD 20,540 -11,102 $421
     MRTN20,540-11,102$421
ADDUS HOMECARE CORP 6,202 +1,757 $419
     ADUS6,202+1,757$419
APERGY CORP 72,248 +6,756 $415
     APY72,248+6,756$415
AMERICOLD RLTY TR 12,200 +1,765 $415
     COLD12,200+1,765$415
ORASURE TECHNOLOGIES INC 38,453 -24,856 $413
     OSUR38,453-24,856$413
INTERNATIONAL BANCSHARES COR (IBOC) 15,226 +15,226 $409
     IBOC15,226+15,226$409
MATTHEWS INTL CORP 16,884 +6,106 $409
     MATW16,884+6,106$409
COVETRUS INC 50,158 -16,785 $408
     CVET50,158-16,785$408
UNDER ARMOUR INC 44,248 -588 $408
     UAA44,248-588$408
TRI POINTE GROUP INC 46,230 +4,323 $405
     TPH46,230+4,323$405
FIRST COMWLTH FINL CORP PA 44,068 +10,197 $403
     FCF44,068+10,197$403
CITY HLDG CO 6,049 +736 $402
     CHCO6,049+736$402
NORTHWEST BANCSHARES INC MD (NWBI) 34,601 UNCH $400
     NWBI34,601UNCH$400
AMERICAN WOODMARK CORP 8,767 -3,476 $399
     AMWD8,767-3,476$399
CARDTRONICS PLC 19,034 +554 $398
     CATM19,034+554$398
NEXPOINT RESIDENTIAL TR INC 15,782 +11,790 $398
     NXRT15,782+11,790$398
JACK IN THE BOX INC 11,289 +1,056 $396
     JACK11,289+1,056$396
ORTHOFIX MEDICAL INC 14,142 -387 $396
     OFIX14,142-387$396
UNISYS CORP 32,036 -8,612 $396
     UIS32,036-8,612$396
FRANKLIN STREET PPTYS CORP 68,871 +700 $395
     FSP68,871+700$395
OSI SYSTEMS INC 5,722 UNCH $394
     OSIS5,722UNCH$394
GREAT WESTN BANCORP INC 19,160 UNCH $392
     GWB19,160UNCH$392
DSP GROUP INC 29,150 +10,762 $391
     DSPG29,150+10,762$391
HEIDRICK & STRUGGLES INTL IN 17,366 -6,054 $391
     HSII17,366-6,054$391
INVESTORS BANCORP INC NEW 48,812 +48,812 $390
     ISBC48,812+48,812$390
M D C HLDGS INC 16,826 +405 $390
     MDC16,826+405$390
RE MAX HLDGS INC 17,669 -2,922 $387
     RMAX17,669-2,922$387
ABERCROMBIE & FITCH CO 42,431 +3,212 $386
     ANF42,431+3,212$386
CAPRI HOLDINGS LTD 35,651 -473 $385
     CPRI35,651-473$385
BERKSHIRE HILLS BANCORP INC 25,841 -20,742 $384
     BHLB25,841-20,742$384
SURMODICS INC 11,497 -804 $383
     SRDX11,497-804$383
MYERS INDS INC 35,565 -10 $382
     MYE35,565-10$382
TACTILE SYS TECHNOLOGY INC 9,514 -577 $382
     TCMD9,514-577$382
WESTERN ALLIANCE BANCORP 12,468 -187 $382
     WAL12,468-187$382
FORRESTER RESH INC 13,051 -2,523 $381
     FORR13,051-2,523$381
ARMADA HOFFLER PPTYS INC 35,400 +4,384 $379
     AHH35,400+4,384$379
3 D SYS CORP DEL 49,142 +10,839 $379
     DDD49,142+10,839$379
OWENS & MINOR INC NEW 41,175 +20,297 $377
     OMI41,175+20,297$377
U S SILICA HLDGS INC 209,335 +17,293 $377
     SLCA209,335+17,293$377
NATIONAL BEVERAGE CORP 8,828 +776 $376
     FIZZ8,828+776$376
TRITON INTL LTD 14,546 +14,546 $376
     TRTN14,546+14,546$376
UNIVERSAL CORP VA 8,483 UNCH $375
     UVV8,483UNCH$375
JEFFERIES FINL GROUP 27,221 -62,779 $372
     JEF27,221-62,779$372
APACHE CORP 88,410 -1,175 $370
     APA88,410-1,175$370
CORVEL CORP 6,758 -2,125 $369
     CRVL6,758-2,125$369
UNDER ARMOUR INC 45,747 -608 $369
     UA45,747-608$369
NEW YORK MTG TR INC 236,457 +85,873 $367
     NYMT236,457+85,873$367
TREEHOUSE FOODS 8,294 +776 $366
     THS8,294+776$366
TOOTSIE ROLL INDS INC 10,181 +1,221 $366
     TR10,181+1,221$366
REAL REAL THE INC 52,083 +52,083 $365
     REAL52,083+52,083$365
BENCHMARK ELECTRS INC 18,157 -2,621 $363
     BHE18,157-2,621$363
COTY INC 69,494 -923 $359
     COTY69,494-923$359
KAMAN CORP 9,310 UNCH $358
     KAMN9,310UNCH$358
REDWOOD TR INC 70,723 -843 $358
     RWT70,723-843$358
MACY S INC. 72,649 -965 $357
     M72,649-965$357
INVESCO MORTGAGE CAPITAL INC 104,101 +17,695 $355
     IVR104,101+17,695$355
VISTA OUTDOOR INC 40,383 +20,960 $355
     VSTO40,383+20,960$355
ENPRO INDS INC 8,911 +1,966 $353
     NPO8,911+1,966$353
EXTREME NETWORKS INC 113,622 -29,817 $352
     EXTR113,622-29,817<