HoldingsChannel.com
All Stocks Held By Swiss National Bank
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
APPLE INC 14,299,599 -967,600 $4,199,077
     AAPL14,299,599-967,600$4,199,077
MICROSOFT CORP 23,117,217 -1,164,000 $3,645,585
     MSFT23,117,217-1,164,000$3,645,585
AMAZON INC 1,325,851 -56,200 $2,449,961
     AMZN1,325,851-56,200$2,449,961
FACEBOOK INC 7,585,742 -348,200 $1,556,974
     FB7,585,742-348,200$1,556,974
JOHNSON & JOHNSON 9,143,866 -451,900 $1,333,816
     JNJ9,143,866-451,900$1,333,816
ALPHABET INC CAP STK 985,796 -49,300 $1,318,029
     GOOG985,796-49,300$1,318,029
ALPHABET INC CAP STK 944,522 -44,200 $1,265,083
     GOOGL944,522-44,200$1,265,083
VISA INC 6,135,994 -285,100 $1,152,953
     V6,135,994-285,100$1,152,953
PROCTER & GAMBLE CO 8,812,148 -380,600 $1,100,637
     PG8,812,148-380,600$1,100,637
AT&T INC 25,161,037 -1,132,400 $983,293
     T25,161,037-1,132,400$983,293
EXXON MOBIL CORP 14,081,792 -835,800 $982,627
     XOM14,081,792-835,800$982,627
UNITEDHEALTH GROUP INC 3,143,138 -164,600 $924,020
     UNH3,143,138-164,600$924,020
VERIZONMUNICATIONS INC 14,927,851 -582,600 $916,570
     VZ14,927,851-582,600$916,570
MASTERCARD INC 2,991,052 -185,300 $893,098
     MA2,991,052-185,300$893,098
ALIBABA GROUP HLDG LTD 4,067,122 -747,164 $862,637
     BABA4,067,122-747,164$862,637
INTEL CORP 13,968,704 -816,400 $836,027
     INTC13,968,704-816,400$836,027
DISNEY WALT CO 5,680,271 -263,100 $821,538
     DIS5,680,271-263,100$821,538
COCA COLA CO 14,681,544 -542,100 $812,623
     KO14,681,544-542,100$812,623
MERCK & CO INC 8,759,257 -417,600 $796,654
     MRK8,759,257-417,600$796,654
HOME DEPOT INC 3,612,664 -187,800 $788,934
     HD3,612,664-187,800$788,934
PFIZER INC 19,053,291 -1,032,000 $746,508
     PFE19,053,291-1,032,000$746,508
PEPSICO INC 5,355,679 -204,000 $732,282
     PEP5,355,679-204,000$732,282
CHEVRON CORP NEW 6,031,950 -303,800 $726,910
     CVX6,031,950-303,800$726,910
COMCAST CORP NEW 14,927,073 -645,400 $671,270
     CMCSA14,927,073-645,400$671,270
CISCO SYS INC 13,816,545 -634,700 $662,641
     CSCO13,816,545-634,700$662,641
WALMART INC 5,154,558 -222,400 $612,568
     WMT5,154,558-222,400$612,568
MCDONALDS CORP 3,002,682 -116,200 $593,360
     MCD3,002,682-116,200$593,360
BOEING CO 1,685,638 -79,500 $549,113
     BA1,685,638-79,500$549,113
MEDTRONIC PLC 4,806,954 -187,000 $545,349
     MDT4,806,954-187,000$545,349
ADOBE INC 1,530,639 -80,800 $504,820
     ADBE1,530,639-80,800$504,820
ABBOTT LABS 5,779,708 -249,400 $502,025
     ABT5,779,708-249,400$502,025
ACCENTURE PLC IRELAND 2,360,738 -91,500 $497,101
     ACN2,360,738-91,500$497,101
BRISTOL MYERS SQUIBB CO 7,494,688 +1,992,824 $481,084
     BMY7,494,688+1,992,824$481,084
AMGEN INC 1,891,118 -123,300 $455,892
     AMGN1,891,118-123,300$455,892
NEXTERA ENERGY INC 1,861,283 -65,100 $450,728
     NEE1,861,283-65,100$450,728
NETFLIX INC 1,380,623 -63,300 $446,728
     NFLX1,380,623-63,300$446,728
PHILIP MORRIS INTL INC 5,116,418 -247,500 $435,356
     PM5,116,418-247,500$435,356
NVIDIA CORP 1,824,430 -86,200 $429,288
     NVDA1,824,430-86,200$429,288
SALESFORCE INC 2,627,042 -118,800 $427,262
     CRM2,627,042-118,800$427,262
LILLY ELI & CO 3,238,598 -137,400 $425,649
     LLY3,238,598-137,400$425,649
COSTCO WHSL CORP NEW 1,440,218 -64,700 $423,309
     COST1,440,218-64,700$423,309
ABBVIE INC 4,661,961 -220,100 $412,770
     ABBV4,661,961-220,100$412,770
THERMO FISHER SCIENTIFIC INC 1,262,860 -58,100 $410,265
     TMO1,262,860-58,100$410,265
INTERNATIONAL BUSINESS MACHS 3,019,115 -130,900 $404,682
     IBM3,019,115-130,900$404,682
ORACLE CORP 7,614,163 -534,500 $403,398
     ORCL7,614,163-534,500$403,398
UNION PACIFIC CORP 2,221,610 -116,200 $401,645
     UNP2,221,610-116,200$401,645
HONEYWELL INTL INC 2,268,834 -134,500 $401,584
     HON2,268,834-134,500$401,584
BROADCOM INC 1,270,313 -40,400 $401,444
     AVGO1,270,313-40,400$401,444
NIKE INC 3,947,461 -202,800 $399,917
     NKE3,947,461-202,800$399,917
LINDE PLC 1,825,843 -85,900 $388,722
     LIN1,825,843-85,900$388,722
UNITED TECHNOLOGIES CORP 2,584,608 -120,700 $387,071
     UTX2,584,608-120,700$387,071
PAYPAL HLDGS INC 3,524,865 -161,300 $381,285
     PYPL3,524,865-161,300$381,285
STARBUCKS CORP 4,320,327 -216,600 $379,843
     SBUX4,320,327-216,600$379,843
TEXAS INSTRS INC 2,943,954 -154,300 $377,680
     TXN2,943,954-154,300$377,680
DANAHER CORPORATION 2,290,920 -152,492 $351,610
     DHR2,290,920-152,492$351,610
QUALCOMM INC 3,833,207 -181,500 $338,204
     QCOM3,833,207-181,500$338,204
ALTRIA GROUP INC 6,682,250 -274,600 $333,511
     MO6,682,250-274,600$333,511
AMERICAN TOWER CORP NEW 1,421,775 -63,200 $326,752
     AMT1,421,775-63,200$326,752
FIDELITY NATL INFORMATION SV 2,347,819 -85,000 $326,558
     FIS2,347,819-85,000$326,558
3M CO 1,814,076 -89,600 $320,039
     MMM1,814,076-89,600$320,039
GENERAL ELECTRIC CO 27,518,424 -1,281,200 $307,106
     GE27,518,424-1,281,200$307,106
CVS HEALTH CORP 4,100,901 -189,200 $304,656
     CVS4,100,901-189,200$304,656
LOWES COS INC 2,446,903 -178,500 $293,041
     LOW2,446,903-178,500$293,041
TJX COS INC NEW 4,792,284 -471,300 $292,617
     TJX4,792,284-471,300$292,617
SOUTHERN CO 4,541,519 -118,600 $289,295
     SO4,541,519-118,600$289,295
AUTOMATIC DATA PROCESSING IN 1,672,798 -63,700 $285,212
     ADP1,672,798-63,700$285,212
ENBRIDGE INC 7,108,231 -374,400 $282,274
     ENB7,108,231-374,400$282,274
FISERV INC 2,395,735 -205,618 $277,019
     FISV2,395,735-205,618$277,019
BOOKING HLDGS INC 134,043 -8,900 $275,288
     BKNG134,043-8,900$275,288
DUKE ENERGY CORP NEW 3,017,625 -94,500 $275,238
     DUK3,017,625-94,500$275,238
GILEAD SCIENCES INC 4,152,523 -203,100 $269,831
     GILD4,152,523-203,100$269,831
DOMINION ENERGY INC 3,221,036 -47,300 $266,766
     D3,221,036-47,300$266,766
STRYKER CORP 1,269,356 -52,100 $266,489
     SYK1,269,356-52,100$266,489
ANTHEM INC 873,507 -41,400 $263,825
     ANTM873,507-41,400$263,825
CATERPILLAR INC DEL 1,773,942 -114,600 $261,976
     CAT1,773,942-114,600$261,976
NEWMONT GOLDCORP CORPORATION 5,994,558 -64,500 $260,464
     NEM5,994,558-64,500$260,464
UNITED PARCEL SERVICE INC 2,202,104 -162,528 $257,778
     UPS2,202,104-162,528$257,778
CHUBB LIMITED 1,628,312 -71,800 $253,463
     CB1,628,312-71,800$253,463
WASTE MGMT INC DEL 2,221,710 -49,200 $253,186
     WM2,221,710-49,200$253,186
CHARTER COMMUNICATIONS INC N 518,171 -33,700 $251,354
     CHTR518,171-33,700$251,354
MONDELEZ INTL INC 4,547,423 -209,500 $250,472
     MDLZ4,547,423-209,500$250,472
BECTON DICKINSON & CO 909,021 -78,500 $247,226
     BDX909,021-78,500$247,226
CROWN CASTLE INTL CORP NEW 1,713,071 -101,700 $243,513
     CCI1,713,071-101,700$243,513
CIGNA CORP NEW 1,190,699 -62,500 $243,486
     CI1,190,699-62,500$243,486
INTUIT 881,439 -35,100 $230,875
     INTU881,439-35,100$230,875
CANADIAN NATL RY CO 2,522,100 -145,300 $227,875
     CNI2,522,100-145,300$227,875
CONOCOPHILLIPS 3,500,630 -231,800 $227,646
     COP3,500,630-231,800$227,646
INTUITIVE SURGICAL INC 363,429 -17,800 $214,841
     ISRG363,429-17,800$214,841
COLGATE PALMOLIVE CO 3,025,573 -115,500 $208,280
     CL3,025,573-115,500$208,280
BOSTON SCIENTIFIC CORP 4,577,825 -452,700 $207,009
     BSX4,577,825-452,700$207,009
RAYTHEON CO 940,423 -95,800 $206,649
     RTN940,423-95,800$206,649
TARGET CORP 1,611,169 -80,800 $206,568
     TGT1,611,169-80,800$206,568
ZOETIS INC 1,505,748 -75,100 $199,286
     ZTS1,505,748-75,100$199,286
CONSOLIDATED EDISON INC 2,196,308 -12,600 $198,700
     ED2,196,308-12,600$198,700
ALLERGAN PLC 1,034,349 -48,200 $197,736
     AGN1,034,349-48,200$197,736
KIMBERLY CLARK CORP 1,386,428 -44,800 $190,703
     KMB1,386,428-44,800$190,703
MARSH & MCLENNAN COS INC 1,696,832 -90,400 $189,044
     MMC1,696,832-90,400$189,044
MICRON TECHNOLOGY INC 3,480,672 -174,300 $187,191
     MU3,480,672-174,300$187,191
HUMANA INC 508,212 -18,500 $186,270
     HUM508,212-18,500$186,270
ILLINOIS TOOL WKS INC 1,020,042 -55,800 $183,230
     ITW1,020,042-55,800$183,230
VERTEX PHARMACEUTICALS INC 830,175 -34,800 $181,767
     VRTX830,175-34,800$181,767
AMERICAN ELEC PWR CO INC 1,906,642 -66,600 $180,197
     AEP1,906,642-66,600$180,197
XCEL ENERGY INC 2,824,515 -55,400 $179,357
     XEL2,824,515-55,400$179,357
SUNCOR ENERGY INC NEW 5,470,712 -338,000 $179,082
     SU5,470,712-338,000$179,082
APPLIED MATLS INC 2,912,735 -178,800 $177,793
     AMAT2,912,735-178,800$177,793
PROLOGIS INC 1,990,114 -93,000 $177,399
     PLD1,990,114-93,000$177,399
TESLA INC 423,553 -8,900 $177,185
     TSLA423,553-8,900$177,185
SCHLUMBERGER LTD 4,360,996 -213,200 $175,312
     SLB4,360,996-213,200$175,312
AON PLC 836,249 -48,900 $174,182
     AON836,249-48,900$174,182
TC ENERGY CORP 3,262,800 -164,800 $173,561
     TRP3,262,800-164,800$173,561
CSX CORP 2,390,999 -147,600 $173,013
     CSX2,390,999-147,600$173,013
GLOBAL PMTS INC 946,027 -41,900 $172,707
     GPN946,027-41,900$172,707
BIOGEN INC 581,558 -58,800 $172,566
     BIIB581,558-58,800$172,566
AVALONBAY CMNTYS INC 822,845 -13,500 $172,551
     AVB822,845-13,500$172,551
EQUINIX INC 293,709 -9,900 $171,438
     EQIX293,709-9,900$171,438
PROGRESSIVE CORP OHIO 2,360,806 -76,200 $170,899
     PGR2,360,806-76,200$170,899
ECOLAB INC 873,014 -39,100 $168,483
     ECL873,014-39,100$168,483
SERVICENOW INC 591,184 -18,800 $166,903
     NOW591,184-18,800$166,903
BAXTER INTL INC 1,984,225 -63,500 $165,921
     BAX1,984,225-63,500$165,921
DEERE & CO 943,182 -51,300 $163,416
     DE943,182-51,300$163,416
AIR PRODS & CHEMS INC 694,902 -32,100 $163,295
     APD694,902-32,100$163,295
NXP SEMICONDUCTORS N V 1,273,929 -94,400 $162,120
     NXPI1,273,929-94,400$162,120
ROSS STORES INC 1,392,298 -96,200 $162,091
     ROST1,392,298-96,200$162,091
NORFOLK SOUTHERN CORP 830,625 -47,700 $161,249
     NSC830,625-47,700$161,249
ALLSTATE CORP 1,430,161 -55,400 $160,822
     ALL1,430,161-55,400$160,822
YUM BRANDS INC 1,596,426 +20,900 $160,808
     YUM1,596,426+20,900$160,808
SYSCO CORP 1,853,293 -63,500 $158,531
     SYY1,853,293-63,500$158,531
PHILLIPS 66 1,414,330 -85,000 $157,571
     PSX1,414,330-85,000$157,571
PUBLIC STORAGE 737,194 -18,900 $156,993
     PSA737,194-18,900$156,993
AMPHENOL CORP NEW 1,441,774 -39,800 $156,043
     APH1,441,774-39,800$156,043
MOTOROLA SOLUTIONS INC 964,019 -14,400 $155,342
     MSI964,019-14,400$155,342
ILLUMINA INC 463,413 -22,000 $153,733
     ILMN463,413-22,000$153,733
EOG RES INC 1,830,038 -86,400 $153,284
     EOG1,830,038-86,400$153,284
EDWARDS LIFESCIENCES CORP 655,703 -32,800 $152,969
     EW655,703-32,800$152,969
SHERWIN WILLIAMS CO 261,789 -12,600 $152,764
     SHW261,789-12,600$152,764
SIMON PPTY GROUP INC NEW 1,020,022 -48,400 $151,942
     SPG1,020,022-48,400$151,942
DOLLAR GEN CORP NEW 968,272 -40,100 $151,031
     DG968,272-40,100$151,031
DUPONT DE NEMOURS INC 2,350,703 -131,200 $150,915
     DD2,350,703-131,200$150,915
WEC ENERGY GROUP INC 1,631,599 -30,300 $150,482
     WEC1,631,599-30,300$150,482
ADVANCED MICRO DEVICES INC 3,251,736 -140,700 $149,125
     AMD3,251,736-140,700$149,125
GENERAL MTRS CO 4,051,715 -163,900 $148,293
     GM4,051,715-163,900$148,293
PAYCHEX INC 1,743,009 -36,000 $148,260
     PAYX1,743,009-36,000$148,260
FRANCO NEVADA CORP 1,437,200 -19,800 $148,225
     FNV1,437,200-19,800$148,225
EMERSON ELEC CO 1,939,621 -90,000 $147,915
     EMR1,939,621-90,000$147,915
REPUBLIC SVCS INC 1,613,447 -22,800 $144,613
     RSG1,613,447-22,800$144,613
LAUDER ESTEE COS INC 697,589 -26,500 $144,080
     EL697,589-26,500$144,080
EQUITY RESIDENTIAL 1,776,978 -44,100 $143,793
     EQR1,776,978-44,100$143,793
ACTIVISION BLIZZARD INC 2,418,620 -110,900 $143,714
     ATVI2,418,620-110,900$143,714
WALGREENS BOOTS ALLIANCE INC 2,420,592 -146,100 $142,718
     WBA2,420,592-146,100$142,718
HERSHEY CO 959,891 +15,000 $141,085
     HSY959,891+15,000$141,085
AMERICAN INTL GROUP INC 2,742,970 -129,300 $140,797
     AIG2,742,970-129,300$140,797
SHOPIFY INC 352,400 -14,900 $139,941
     SHOP352,400-14,900$139,941
EXELON CORP 3,063,542 -142,900 $139,606
     EXC3,063,542-142,900$139,606
MANULIFE FINL CORP 6,874,700 -403,500 $139,382
     MFC6,874,700-403,500$139,382
L3HARRIS TECHNOLOGIES INC 704,106 -26,500 $139,321
     LHX704,106-26,500$139,321
ANALOG DEVICES INC 1,164,897 -56,300 $138,436
     ADI1,164,897-56,300$138,436
GENERAL MLS INC 2,568,252 -63,000 $137,556
     GIS2,568,252-63,000$137,556
GENERAL DYNAMICS CORP 774,118 -36,700 $136,516
     GD774,118-36,700$136,516
KINDER MORGAN INC DEL 6,424,433 -303,800 $136,005
     KMI6,424,433-303,800$136,005
CANADIAN NAT RES LTD 4,166,200 -262,100 $134,585
     CNQ4,166,200-262,100$134,585
MARRIOTT INTL INC NEW 882,670 -52,100 $133,663
     MAR882,670-52,100$133,663
LAM RESEARCH CORP 455,644 -39,500 $133,230
     LRCX455,644-39,500$133,230
SEMPRA ENERGY 865,748 -40,400 $131,144
     SRE865,748-40,400$131,144
CLOROX CO DEL 852,987 -16,200 $130,968
     CLX852,987-16,200$130,968
AFLAC INC 2,445,475 -125,300 $129,366
     AFL2,445,475-125,300$129,366
DOW INC 2,343,555 -129,500 $128,263
     DOW2,343,555-129,500$128,263
METLIFE INC 2,509,776 -158,000 $127,923
     MET2,509,776-158,000$127,923
HCA HEALTHCARE INC 860,176 -44,200 $127,143
     HCA860,176-44,200$127,143
AUTODESK INC 692,589 -34,500 $127,062
     ADSK692,589-34,500$127,062
MCCORMICK & CO INC 743,643 -10,300 $126,219
     MKC743,643-10,300$126,219
EATON CORP PLC 1,324,400 -72,900 $125,447
     ETN1,324,400-72,900$125,447
AUTOZONE INC 105,173 -3,500 $125,294
     AZO105,173-3,500$125,294
WELLTOWER INC 1,529,784 -55,000 $125,106
     WELL1,529,784-55,000$125,106
MARATHON PETE CORP 2,075,811 -112,700 $125,068
     MPC2,075,811-112,700$125,068
CANADIAN PAC RY LTD 486,700 -30,300 $123,918
     CP486,700-30,300$123,918
VALERO ENERGY CORP NEW 1,306,773 -71,200 $122,379
     VLO1,306,773-71,200$122,379
EVERSOURCE ENERGY 1,427,869 -21,000 $121,469
     ES1,427,869-21,000$121,469
OCCIDENTAL PETE CORP 2,940,451 -201,400 $121,176
     OXY2,940,451-201,400$121,176
PRUDENTIAL FINL INC 1,267,654 -73,200 $118,830
     PRU1,267,654-73,200$118,830
FEDEX CORP 781,449 -36,000 $118,163
     FDX781,449-36,000$118,163
TRAVELERSPANIES INC 856,997 -41,900 $117,366
     TRV856,997-41,900$117,366
ROPER TECHNOLOGIES INC 327,862 -15,000 $116,139
     ROP327,862-15,000$116,139
REALTY INCOME CORP 1,562,471 -31,900 $115,045
     O1,562,471-31,900$115,045
FORD MTR CO DEL 12,357,578 -583,500 $114,925
     F12,357,578-583,500$114,925
O REILLY AUTOMOTIVE INC NEW 259,063 -17,100 $113,537
     ORLY259,063-17,100$113,537
AGNICO EAGLE MINES LTD 1,813,053 -15,700 $111,532
     AEM1,813,053-15,700$111,532
COGNIZANT TECHNOLOGY SOLUTIO 1,795,786 -137,000 $111,375
     CTSH1,795,786-137,000$111,375
ENTERGY CORP NEW 913,148 +4,600 $109,395
     ETR913,148+4,600$109,395
ARCH CAP GROUP LTD 2,488,423 -36,000 $106,728
     ACGL2,488,423-36,000$106,728
V F CORP 1,067,226 -47,600 $106,360
     VFC1,067,226-47,600$106,360
WASTE CONNECTIONS INC 1,157,083 +127,167 $105,052
     WCN1,157,083+127,167$105,052
CHURCH & DWIGHT INC 1,477,891 -21,900 $103,955
     CHD1,477,891-21,900$103,955
T MOBILE US INC 1,306,400 -47,100 $102,448
     TMUS1,306,400-47,100$102,448
JOHNSON CTLS INTL PLC 2,508,918 -119,600 $102,138
     JCI2,508,918-119,600$102,138
WHEATON PRECIOUS METALS CORP 3,418,200 -50,500 $101,588
     WPM3,418,200-50,500$101,588
TE CONNECTIVITY LTD 1,059,130 -53,300 $101,507
     TEL1,059,130-53,300$101,507
INGERSOLL RAND PLC 761,854 -34,500 $101,266
     IR761,854-34,500$101,266
CONSTELLATION BRANDS INC 527,357 -56,600 $100,066
     STZ527,357-56,600$100,066
ELECTRONIC ARTS INC 929,215 -52,500 $99,900
     EA929,215-52,500$99,900
BROADRIDGE FINL SOLUTIONS IN 808,189 -15,600 $99,844
     BR808,189-15,600$99,844
PPG INDS INC 745,047 -34,700 $99,456
     PPG745,047-34,700$99,456
EBAY INC 2,753,524 -217,900 $99,430
     EBAY2,753,524-217,900$99,430
ONEOK INC NEW 1,302,225 -60,800 $98,539
     OKE1,302,225-60,800$98,539
CITRIX SYS INC 880,999 +142,500 $97,703
     CTXS880,999+142,500$97,703
AMEREN CORP 1,265,562 -27,700 $97,195
     AEE1,265,562-27,700$97,195
ZIMMER BIOMET HLDGS INC 647,427 -28,900 $96,907
     ZBH647,427-28,900$96,907
ESSEX PPTY TR INC 320,292 -7,900 $96,363
     ESS320,292-7,900$96,363
NUTRIEN LTD 2,012,052 -150,300 $96,211
     NTR2,012,052-150,300$96,211
HP INC 4,672,751 -302,000 $96,025
     HPQ4,672,751-302,000$96,025
REGENERON PHARMACEUTICALS 255,422 -11,400 $95,906
     REGN255,422-11,400$95,906
DTE ENERGY CO 738,145 -24,300 $95,863
     DTE738,145-24,300$95,863
HILTON WORLDWIDE HLDGS INC 859,217 -53,900 $95,296
     HLT859,217-53,900$95,296
KELLOGG CO 1,367,188 -28,000 $94,555
     K1,367,188-28,000$94,555
SUN LIFE FINL INC 2,075,800 -118,200 $94,534
     SLF2,075,800-118,200$94,534
PUBLIC SVC ENTERPRISE GRP IN 1,594,421 -74,800 $94,151
     PEG1,594,421-74,800$94,151
HORMEL FOODS CORP 2,063,424 +80,400 $93,081
     HRL2,063,424+80,400$93,081
EDISON INTL 1,212,446 -37,900 $91,431
     EIX1,212,446-37,900$91,431
FERRARI N V 550,752 -35,378 $91,402
     RACE550,752-35,378$91,402
TYSON FOODS INC 1,002,707 -43,000 $91,286
     TSN1,002,707-43,000$91,286
WILLIAMS COS INC DEL 3,821,837 -180,000 $90,654
     WMB3,821,837-180,000$90,654
IHS MARKIT LTD 1,201,612 -52,500 $90,541
     INFO1,201,612-52,500$90,541
PPL CORP 2,522,887 -101,700 $90,521
     PPL2,522,887-101,700$90,521
KLA CORPORATION 502,106 -31,600 $89,460
     KLAC502,106-31,600$89,460
MARKEL CORP 77,588 -1,560 $88,696
     MKL77,588-1,560$88,696
SBA COMMUNICATIONS CORP NEW 368,037 -17,100 $88,693
     SBAC368,037-17,100$88,693
BAIDU INC 699,694 -270,939 $88,441
     BIDU699,694-270,939$88,441
HARTFORD FINL SVCS GROUP INC 1,451,767 +16,000 $88,224
     HIG1,451,767+16,000$88,224
VERISIGN INC 450,337 -16,500 $86,771
     VRSN450,337-16,500$86,771
PACCAR INC 1,092,196 -51,900 $86,393
     PCAR1,092,196-51,900$86,393
FIRSTENERGY CORP 1,769,589 -51,000 $86,002
     FE1,769,589-51,000$86,002
WORKDAY INC 517,127 -17,700 $85,047
     WDAY517,127-17,700$85,047
TRANSDIGM GROUP INC 151,555 -6,500 $84,871
     TDG151,555-6,500$84,871
CUMMINS INC 472,684 -21,400 $84,592
     CMI472,684-21,400$84,592
SYNOPSYS INC 607,298 -94,500 $84,536
     SNPS607,298-94,500$84,536
VERISK ANALYTICS INC 565,302 -22,400 $84,422
     VRSK565,302-22,400$84,422
DIGITAL RLTY TR INC 697,986 -30,100 $83,577
     DLR697,986-30,100$83,577
WESTERN UN CO 3,114,294 +177,900 $83,401
     WU3,114,294+177,900$83,401
PARKER HANNIFIN CORP 405,030 -18,600 $83,363
     PH405,030-18,600$83,363
AGILENT TECHNOLOGIES INC 975,783 -67,700 $83,244
     A975,783-67,700$83,244
FLEETCOR TECHNOLOGIES INC 289,019 -11,300 $83,157
     FLT289,019-11,300$83,157
UDR INC 1,775,079 +7,600 $82,896
     UDR1,775,079+7,600$82,896
EVERGY INC 1,269,530 -20,600 $82,634
     EVRG1,269,530-20,600$82,634
WILLIS TOWERS WATSON PUB LTD 406,674 -20,000 $82,124
     WLTW406,674-20,000$82,124
CENTENE CORP DEL 1,304,253 -60,900 $81,998
     CNC1,304,253-60,900$81,998
MONSTER BEVERAGE CORP NEW 1,288,636 -57,700 $81,893
     MNST1,288,636-57,700$81,893
IQVIA HLDGS INC 527,675 -26,000 $81,531
     IQV527,675-26,000$81,531
ARCHER DANIELS MIDLAND CO 1,756,297 -93,700 $81,404
     ADM1,756,297-93,700$81,404
GALLAGHER ARTHUR J & CO 849,505 -20,500 $80,898
     AJG849,505-20,500$80,898
LULULEMON ATHLETICA INC 349,177 -16,500 $80,894
     LULU349,177-16,500$80,894
MERCADOLIBRE INC 141,146 -5,400 $80,727
     MELI141,146-5,400$80,727
MCKESSON CORP 582,941 -44,500 $80,632
     MCK582,941-44,500$80,632
DOLLAR TREE INC 850,340 -36,700 $79,974
     DLTR850,340-36,700$79,974
LYONDELLBASELL INDUSTRIES N 845,640 -39,900 $79,896
     LYB845,640-39,900$79,896
PIONEER NAT RES CO 527,002 -29,200 $79,772
     PXD527,002-29,200$79,772
HENRY JACK & ASSOC INC 547,128 -7,000 $79,700
     JKHY547,128-7,000$79,700
PALO ALTO NETWORKS INC 344,586 -13,600 $79,686
     PANW344,586-13,600$79,686
STANLEY BLACK & DECKER INC 478,526 -21,900 $79,311
     SWK478,526-21,900$79,311
MICROCHIP TECHNOLOGY INC 750,584 -35,200 $78,601
     MCHP750,584-35,200$78,601
XILINX INC 796,547 -41,900 $77,878
     XLNX796,547-41,900$77,878
BROWN FORMAN CORP      $77,633
     BF.B1,148,421-41,500$77,633
AMERICAN WTR WKS CO INC NEW 626,563 -25,600 $76,973
     AWK626,563-25,600$76,973
APTIV PLC 807,896 -43,500 $76,726
     APTV807,896-43,500$76,726
CINTAS CORP 285,067 -18,600 $76,706
     CTAS285,067-18,600$76,706
ALEXION PHARMACEUTICALS INC 707,031 -33,500 $76,465
     ALXN707,031-33,500$76,465
CMS ENERGY CORP 1,210,342 -22,700 $76,058
     CMS1,210,342-22,700$76,058
VENTAS INC 1,314,532 -6,400 $75,901
     VTR1,314,532-6,400$75,901
KRAFT HEINZ CO 2,360,860 -155,900 $75,854
     KHC2,360,860-155,900$75,854
EVEREST RE GROUP LTD 273,239 -3,600 $75,643
     RE273,239-3,600$75,643
LAS VEGAS SANDS CORP 1,092,336 -56,200 $75,415
     LVS1,092,336-56,200$75,415
ROYAL CARIBBEAN CRUISES LTD 561,673 -26,900 $74,989
     RCL561,673-26,900$74,989
VIACOMCBS INC 1,784,644 +680,527 $74,902
     CBS1,784,644+680,527$74,902
ROCKWELL AUTOMATION INC 368,846 -21,900 $74,754
     ROK368,846-21,900$74,754
W P CAREY INC 930,573 +161,846 $74,483
     WPC930,573+161,846$74,483
TWITTER INC 2,315,622 -95,800 $74,216
     TWTR2,315,622-95,800$74,216
CERNER CORP 1,003,969 -70,700 $73,681
     CERN1,003,969-70,700$73,681
FIAT CHRYSLER AUTOMOBILES N 4,960,406 -248,048 $73,439
     FCAU4,960,406-248,048$73,439
HEALTHPEAK PPTYS INC 2,129,586 +2,129,586 $73,407
     PEAK2,129,586+2,129,586$73,407
KROGER CO 2,518,665 -145,300 $73,016
     KR2,518,665-145,300$73,016
FORTIVE CORP 952,199 -43,700 $72,738
     FTV952,199-43,700$72,738
AMETEK INC NEW 719,983 -32,400 $71,811
     AME719,983-32,400$71,811
CORNING INC 2,462,228 -129,400 $71,675
     GLW2,462,228-129,400$71,675
WEYERHAEUSER CO 2,348,969 -110,600 $70,939
     WY2,348,969-110,600$70,939
SPLUNK INC 473,638 -22,200 $70,937
     SPLK473,638-22,200$70,937
IDEXX LABS INC 271,625 -12,300 $70,929
     IDXX271,625-12,300$70,929
CGI INC 844,700 -62,300 $70,602
     GIB844,700-62,300$70,602
PEMBINA PIPELINE CORP 1,906,848 +21,155 $70,589
     PBA1,906,848+21,155$70,589
RESMED INC 452,971 -20,500 $70,197
     RMD452,971-20,500$70,197
CORTEVA INC 2,361,503 -120,400 $69,806
     CTVA2,361,503-120,400$69,806
CHIPOTLE MEXICAN GRILL INC 83,063 -3,900 $69,533
     CMG83,063-3,900$69,533
BERKLEY W R CORP 1,005,382 -12,300 $69,472
     WRB1,005,382-12,300$69,472
CHECK POINT SOFTWARE TECH LT 623,900 -20,000 $69,228
     CHKP623,900-20,000$69,228
COSTAR GROUP INC 115,300 -5,500 $68,984
     CSGP115,300-5,500$68,984
ANSYS INC 265,200 -12,000 $68,265
     ANSS265,200-12,000$68,265
DARDEN RESTAURANTS INC 624,239 -14,700 $68,048
     DRI624,239-14,700$68,048
SQUARE INC 1,080,395 -30,000 $67,590
     SQ1,080,395-30,000$67,590
HALLIBURTON CO 2,761,993 -124,300 $67,586
     HAL2,761,993-124,300$67,586
CARNIVAL CORP 1,329,019 -105,300 $67,554
     CCL1,329,019-105,300$67,554
KIRKLAND LAKE GOLD LTD 1,531,405 -24,100 $67,421
     KL1,531,405-24,100$67,421
LABORATORY CORP AMER HLDGS 397,288 -15,800 $67,209
     LH397,288-15,800$67,209
BOSTON PROPERTIES INC 487,397 -22,800 $67,193
     BXP487,397-22,800$67,193
FASTENAL CO 1,808,238 -81,800 $66,814
     FAST1,808,238-81,800$66,814
ALIGN TECHNOLOGY INC 239,331 -11,700 $66,783
     ALGN239,331-11,700$66,783
BEST BUY INC 757,956 -38,300 $66,549
     BBY757,956-38,300$66,549
EXPEDITORS INTL WASH INC 849,647 -91,300 $66,289
     EXPD849,647-91,300$66,289
SKYWORKS SOLUTIONS INC 541,359 -29,000 $65,439
     SWKS541,359-29,000$65,439
C H ROBINSON WORLDWIDE INC 835,611 -16,900 $65,345
     CHRW835,611-16,900$65,345
HEWLETT PACKARD ENTERPRISE C 4,116,924 -306,000 $65,294
     HPE4,116,924-306,000$65,294
COOPER COS INC 203,055 -6,500 $65,240
     COO203,055-6,500$65,240
CDW CORP 456,283 -25,900 $65,175
     CDW456,283-25,900$65,175
BALL CORP 994,554 -55,600 $64,318
     BLL994,554-55,600$64,318
FORTIS INC 1,533,482 -59,800 $63,550
     FTS1,533,482-59,800$63,550
INVITATION HOMES INC 2,108,005 +114,600 $63,177
     INVH2,108,005+114,600$63,177
JD COM INC SPON ADR 1,790,252 -754,141 $63,071
     JD1,790,252-754,141$63,071
MID AMER APT CMNTYS INC 477,071 -14,800 $62,907
     MAA477,071-14,800$62,907
DEXCOM INC 287,507 -13,100 $62,889
     DXCM287,507-13,100$62,889
ROGERS COMMUNICATIONS INC 1,266,800 -69,300 $62,826
     RCI1,266,800-69,300$62,826
OMNICOM GROUP INC 763,321 -39,800 $61,844
     OMC763,321-39,800$61,844
CBRE GROUP INC 1,007,437 -47,600 $61,746
     CBRE1,007,437-47,600$61,746
IAC INTERACTIVECORP 247,525 -11,300 $61,661
     IAC247,525-11,300$61,661
METTLER TOLEDO INTERNATIONAL 77,576 -4,400 $61,539
     MTD77,576-4,400$61,539
CADENCE DESIGN SYSTEM INC 883,342 -44,600 $61,269
     CDNS883,342-44,600$61,269
RENAISSANCERE HOLDINGS LTD 311,912 -100 $61,141
     RNR311,912-100$61,141
LAMB WESTON HLDGS INC 708,871 -19,400 $60,984
     LW708,871-19,400$60,984
SMUCKER J M CO 584,694 +50,700 $60,884
     SJM584,694+50,700$60,884
KEYSIGHT TECHNOLOGIES INC 592,126 -29,300 $60,770
     KEYS592,126-29,300$60,770
AMCOR PLC 5,601,548 -231,600 $60,721
     AMCR5,601,548-231,600$60,721
EXTRA SPACE STORAGE INC 573,801 -2,700 $60,605
     EXR573,801-2,700$60,605
VULCAN MATLS CO 417,119 -19,100 $60,061
     VMC417,119-19,100$60,061
RESTAURANT BRANDS INTL INC 933,461 +41,600 $59,433
     QSR933,461+41,600$59,433
CONAGRA BRANDS INC 1,732,890 -97,400 $59,334
     CAG1,732,890-97,400$59,334
WESTERN DIGITAL CORP 933,375 -34,100 $59,241
     WDC933,375-34,100$59,241
COPART INC 650,105 -30,900 $59,121
     CPRT650,105-30,900$59,121
COCA COLA EUROPEAN PARTNERS 1,161,703 -69,800 $59,107
     CCEP1,161,703-69,800$59,107
D R HORTON INC 1,107,756 -63,100 $58,434
     DHI1,107,756-63,100$58,434
ALEXANDRIA REAL ESTATE EQ IN 357,695 -15,300 $57,796
     ARE357,695-15,300$57,796
HESS CORP 864,016 -37,800 $57,725
     HES864,016-37,800$57,725
VEEVA SYS INC CL A 410,156 -11,800 $57,693
     VEEV410,156-11,800$57,693
MAGNA INTL INC 1,041,500 -93,400 $57,036
     MGA1,041,500-93,400$57,036
ALLEGHANY CORP DEL 70,122 +7,734 $56,067
     Y70,122+7,734$56,067
CONCHO RES INC 634,209 -28,200 $55,538
     CXO634,209-28,200$55,538
FEDERAL REALTY INVT TR 430,150 -7,700 $55,373
     FRT430,150-7,700$55,373
BURLINGTON STORES INC 242,752 -17,200 $55,355
     BURL242,752-17,200$55,355
GENUINE PARTS CO 519,498 -20,300 $55,186
     GPC519,498-20,300$55,186
MARTIN MARIETTA MATLS INC 196,896 -9,400 $55,060
     MLM196,896-9,400$55,060
TELEFLEX INC 145,858 -6,600 $54,907
     TFX145,858-6,600$54,907
GARTNER INC 353,006 -11,700 $54,398
     IT353,006-11,700$54,398
PINNACLE WEST CAP CORP 604,146 +85,200 $54,331
     PNW604,146+85,200$54,331
NETEASE INC 176,978 -62,305 $54,269
     NTES176,978-62,305$54,269
INTL PAPER CO 1,176,809 -69,800 $54,192
     IP1,176,809-69,800$54,192
NUCOR CORP 955,897 -50,600 $53,798
     NUE955,897-50,600$53,798
CHENIERE ENERGY INC 875,293 -34,100 $53,454
     LNG875,293-34,100$53,454
EQUIFAX INC 381,037 -17,800 $53,391
     EFX381,037-17,800$53,391
QUEST DIAGNOSTICS INC 499,410 -17,800 $53,332
     DGX499,410-17,800$53,332
DOVER CORP 458,582 -21,300 $52,856
     DOV458,582-21,300$52,856
MAXIM INTEGRATED PRODS INC 855,337 -44,400 $52,612
     MXIM855,337-44,400$52,612
MARVELL TECHNOLOGY GROUP LTD 1,979,921 -87,900 $52,587
     MRVL1,979,921-87,900$52,587
WELLCARE HEALTH PLANS INC 158,652 -7,500 $52,388
     WCG158,652-7,500$52,388
MGM RESORTS INTERNATIONAL 1,561,985 -123,500 $51,967
     MGM1,561,985-123,500$51,967
CINCINNATI FINL CORP 489,291 -22,400 $51,449
     CINF489,291-22,400$51,449
NVR INC 13,507 +640 $51,440
     NVR13,507+640$51,440
F5 NETWORKS INC 365,707 -4,500 $51,071
     FFIV365,707-4,500$51,071
BAKER HUGHES COMPANY 1,990,739 +1,990,739 $51,023
     BHGE1,990,739+1,990,739$51,023
CNH INDL N V 4,629,966 -243,992 $50,862
     CNHI4,629,966-243,992$50,862
TRANSUNION 592,214 -26,400 $50,699
     TRU592,214-26,400$50,699
CAMDEN PPTY TR 477,013 -11,100 $50,611
     CPT477,013-11,100$50,611
CAMPBELL SOUP CO 1,022,603 -16,100 $50,537
     CPB1,022,603-16,100$50,537
INCYTE CORP 576,432 -25,600 $50,334
     INCY576,432-25,600$50,334
THOMSON REUTERS CORP 704,098 -36,100 $50,305
     TRI704,098-36,100$50,305
LENNAR CORP 896,848 -45,600 $50,035
     LEN896,848-45,600$50,035
BLACK KNIGHT INC 773,250 +505,350 $49,859
     BKI773,250+505,350$49,859
NORTONLIFELOCK INC 1,948,864 +1,948,864 $49,735
     NLOK1,948,864+1,948,864$49,735
GRAINGER W W INC 146,338 -9,300 $49,538
     GWW146,338-9,300$49,538
WATERS CORP 210,520 -19,000 $49,188
     WAT210,520-19,000$49,188
FORTINET INC 458,171 -21,100 $48,914
     FTNT458,171-21,100$48,914
GARMIN LTD 499,425 -17,600 $48,724
     GRMN499,425-17,600$48,724
TYLER TECHNOLOGIES INC 161,783 +89,725 $48,538
     TYL161,783+89,725$48,538
PRINCIPAL FINL GROUP INC 879,114 -40,600 $48,307
     PFG879,114-40,600$48,307
KANSAS CITY SOUTHERN 314,964 -17,200 $48,240
     KSU314,964-17,200$48,240
CELANESE CORP DEL 390,134 -28,000 $48,033
     CE390,134-28,000$48,033
BIOMARIN PHARMACEUTICAL INC 565,932 -25,400 $47,850
     BMRN565,932-25,400$47,850
EXPEDIA GROUP INC 441,920 -20,800 $47,789
     EXPE441,920-20,800$47,789
ULTA BEAUTY INC 187,961 -7,500 $47,580
     ULTA187,961-7,500$47,580
JUNIPER NETWORKS INC 1,931,000 +125,100 $47,561
     JNPR1,931,000+125,100$47,561
CARDINAL HEALTH INC 939,981 -44,300 $47,544
     CAH939,981-44,300$47,544
HASBRO INC 446,641 +12,200 $47,170
     HAS446,641+12,200$47,170
NETAPP INC 750,216 -65,400 $46,701
     NTAP750,216-65,400$46,701
FIDELITY NATIONAL FINANCIAL FNF GROUP 1,028,417 +120,800 $46,639
     FNF1,028,417+120,800$46,639
ALLIANT ENERGY CORP 850,385 -28,600 $46,550
     LNT850,385-28,600$46,550
INTERNATIONAL FLAVORS&FRAGRA 359,895 -13,900 $46,434
     IFF359,895-13,900$46,434
TIFFANY & CO NEW 342,855 -18,000 $45,823
     TIF342,855-18,000$45,823
CARMAX INC 522,098 -26,700 $45,772
     KMX522,098-26,700$45,772
KINROSS GOLD CORP 9,607,735 -145,900 $45,521
     KGC9,607,735-145,900$45,521
SEAGATE TECHNOLOGY PLC 763,542 -59,300 $45,431
     STX763,542-59,300$45,431
DIAMONDBACK ENERGY INC 488,460 -28,200 $45,358
     FANG488,460-28,200$45,358
VARIAN MED SYS INC 318,164 -39,600 $45,182
     VAR318,164-39,600$45,182
YUM CHINA HLDGS INC 940,178 -340,361 $45,138
     YUMC940,178-340,361$45,138
LOEWS CORP 858,039 -48,200 $45,038
     L858,039-48,200$45,038
AKAMAI TECHNOLOGIES INC 520,160 -21,700 $44,931
     AKAM520,160-21,700$44,931
UNIVERSAL HLTH SVCS INC 312,134 -16,400 $44,779
     UHS312,134-16,400$44,779
XYLEM INC 567,654 -26,600 $44,725
     XYL567,654-26,600$44,725
WABTEC CORP 574,135 -26,800 $44,668
     WAB574,135-26,800$44,668
NEW ORIENTAL ED & TECH GRP I SPON 367,532 -133,461 $44,563
     EDU367,532-133,461$44,563
SS&C TECHNOLOGIES HLDGS INC 720,175 -31,700 $44,219
     SSNC720,175-31,700$44,219
ATMOS ENERGY CORP 394,592 -13,400 $44,139
     ATO394,592-13,400$44,139
TAL EDUCATION GROUP 915,293 -370,317 $44,117
     TAL915,293-370,317$44,117
HOLOGIC INC 842,775 -42,400 $44,001
     HOLX842,775-42,400$44,001
MASCO CORP 912,589 -56,700 $43,795
     MAS912,589-56,700$43,795
TAKE TWO INTERACTIVE SOFTWAR 356,907 -14,700 $43,696
     TTWO356,907-14,700$43,696
ZEBRA TECHNOLOGIES CORP 170,652 -7,600 $43,591
     ZBRA170,652-7,600$43,591
CENTERPOINT ENERGY INC 1,583,557 -74,900 $43,184
     CNP1,583,557-74,900$43,184
QORVO INC 371,282 -22,200 $43,154
     QRVO371,282-22,200$43,154
SUN CMNTYS INC 285,928 -13,400 $42,918
     SUI285,928-13,400$42,918
DUKE REALTY CORP 1,237,362 -44,900 $42,899
     DRE1,237,362-44,900$42,899
HOST HOTELS & RESORTS INC 2,301,594 -145,200 $42,695
     HST2,301,594-145,200$42,695
EXACT SCIENCES CORP 460,924 +34,480 $42,626
     EXAS460,924+34,480$42,626
SEATTLE GENETICS INC 372,592 -300 $42,572
     SGEN372,592-300$42,572
HENRY SCHEIN INC 636,910 -21,700 $42,495
     HSIC636,910-21,700$42,495
WYNN RESORTS LTD 305,275 -14,700 $42,394
     WYNN305,275-14,700$42,394
LIBERTY BROADBAND CORP 337,104 -15,700 $42,391
     LBRDK337,104-15,700$42,391
LEIDOS HLDGS INC 430,801 -21,600 $42,171
     LDOS430,801-21,600$42,171
AMERISOURCEBERGEN CORP 492,784 -27,700 $41,896
     ABC492,784-27,700$41,896
AES CORP 2,093,293 -98,600 $41,657
     AES2,093,293-98,600$41,657
OPEN TEXT CORP 944,900 -51,500 $41,585
     OTEX944,900-51,500$41,585
PAYCOM SOFTWARE INC 156,655 -7,600 $41,476
     PAYC156,655-7,600$41,476
FOX CORP CL A 1,117,625 -52,600 $41,430
     FOXA1,117,625-52,600$41,430
IDEX CORP 239,234 -10,800 $41,148
     IEX239,234-10,800$41,148
F M C CORP 411,325 -23,400 $41,058
     FMC411,325-23,400$41,058
CENTURYLINK INC 3,095,550 -145,000 $40,892
     CTL3,095,550-145,000$40,892
STERIS PLC 266,985 -12,100 $40,694
     STE266,985-12,100$40,694
UNITED RENTALS INC 243,340 -16,400 $40,582
     URI243,340-16,400$40,582
ALNYLAM PHARMACEUTICALS INC 350,624 -14,800 $40,381
     ALNY350,624-14,800$40,381
DENTSPLY SIRONA INC 706,839 -65,700 $40,000
     XRAY706,839-65,700$40,000
TELEDYNE TECHNOLOGIES INC 114,700 +46,600 $39,748
     TDY114,700+46,600$39,748
NORWEGIAN CRUISE LINE HLDG L 679,935 -31,400 $39,715
     NCLH679,935-31,400$39,715
REGENCY CTRS CORP 623,832 -21,900 $39,351
     REG623,832-21,900$39,351
VMWARE INC CL A 258,289 -14,800 $39,206
     VMW258,289-14,800$39,206
JACOBS ENGR GROUP INC 431,756 -19,300 $38,785
     JEC431,756-19,300$38,785
OKTA INC 336,077 -7,100 $38,773
     OKTA336,077-7,100$38,773
ARCONIC INC 1,249,295 -65,300 $38,441
     ARNC1,249,295-65,300$38,441
EQUITY LIFESTYLE PPTYS INC 545,444 +263,322 $38,394
     ELS545,444+263,322$38,394
TRIP COM GROUP LTD 1,142,294 +1,142,294 $38,313
     TCOM1,142,294+1,142,294$38,313
OLD DOMINION FREIGHT LINE IN 201,843 -12,100 $38,306
     ODFL201,843-12,100$38,306
RINGCENTRAL INC 226,300 +93,900 $38,170
     RNG226,300+93,900$38,170
GODADDY INC 558,017 -21,900 $37,901
     GDDY558,017-21,900$37,901
NOBLE ENERGY INC 1,508,012 -71,400 $37,459
     NBL1,508,012-71,400$37,459
TEVA PHARMACEUTICAL INDS LTD 3,821,499 -207,600 $37,451
     TEVA3,821,499-207,600$37,451
BROWN & BROWN INC 945,200 +494,100 $37,316
     BRO945,200+494,100$37,316
ARAMARK 859,375 -32,900 $37,297
     ARMK859,375-32,900$37,297
LINCOLN NATL CORP IND 631,305 -36,900 $37,253
     LNC631,305-36,900$37,253
CENOVUS ENERGY INC 3,668,400 -193,500 $37,244
     CVE3,668,400-193,500$37,244
VICI PPTYS INC 1,453,600 +680,300 $37,139
     VICI1,453,600+680,300$37,139
HEICO CORP NEW      $37,049
     HEI.A240,720-10,400$21,552
     HEI135,758-6,400$15,497
SNAP INC 2,262,326 -23,600 $36,944
     SNAP2,262,326-23,600$36,944
EPAM SYS INC 173,049 -7,300 $36,714
     EPAM173,049-7,300$36,714
NISOURCE INC 1,318,055 -52,400 $36,695
     NI1,318,055-52,400$36,695
ALLEGION PUB LTD CO 294,419 -15,800 $36,667
     ALLE294,419-15,800$36,667
TERADYNE INC 535,800 +213,400 $36,542
     TER535,800+213,400$36,542
DOMINOS PIZZA INC 123,464 -5,500 $36,271
     DPZ123,464-5,500$36,271
ROKU INC 269,474 -300 $36,083
     ROKU269,474-300$36,083
ADVANCE AUTO PARTS INC 225,252 -11,700 $36,076
     AAP225,252-11,700$36,076
AMERICAN FINL GROUP INC OHIO 328,817 -9,100 $36,055
     AFG328,817-9,100$36,055
VORNADO RLTY TR 541,487 -25,500 $36,009
     VNO541,487-25,500$36,009
DISCOVERY INC 1,176,427 -14,300 $35,869
     DISCK1,176,427-14,300$35,869
CREDICORP LTD 168,285 -68,860 $35,867
     BAP168,285-68,860$35,867
TWILIO INC 364,198 -3,800 $35,793
     TWLO364,198-3,800$35,793
QIAGEN NV 1,037,231 -51,923 $35,452
     QGEN1,037,231-51,923$35,452
TRACTOR SUPPLY CO 375,901 -22,400 $35,124
     TSCO375,901-22,400$35,124
SIRIUS XM HLDGS INC 4,910,833 -414,900 $35,112
     SIRI4,910,833-414,900$35,112
WEST PHARMACEUTICAL SVSC INC 232,700 +94,400 $34,982
     WST232,700+94,400$34,982
WESTROCK CO 811,452 -37,400 $34,819
     WRK811,452-37,400$34,819
AVERY DENNISON CORP 265,575 -13,100 $34,743
     AVY265,575-13,100$34,743
LKQ CORP 971,745 -65,200 $34,691
     LKQ971,745-65,200$34,691
AERCAP HOLDINGS NV 561,833 -41,000 $34,536
     AER561,833-41,000$34,536
MARATHON OIL CORP 2,535,265 -165,900 $34,429
     MRO2,535,265-165,900$34,429
ARISTA NETWORKS INC 169,146 -8,000 $34,404
     ANET169,146-8,000$34,404
GLOBE LIFE INC 326,750 -18,200 $34,390
     GL326,750-18,200$34,390
EASTMAN CHEMICAL CO 432,027 -25,600 $34,242
     EMN432,027-25,600$34,242
PERKINELMER INC 350,201 -16,000 $34,005
     PKI350,201-16,000$34,005
MEDICAL PPTYS TRUST INC 1,608,000 +780,800 $33,945
     MPW1,608,000+780,800$33,945
LIVE NATION ENTERTAINMENT IN 470,462 -18,700 $33,624
     LYV470,462-18,700$33,624
PACKAGING CORP AMER 298,413 -13,600 $33,419
     PKG298,413-13,600$33,419
BAUSCH HEALTH COS INC 1,113,560 -57,400 $33,292
     BHC1,113,560-57,400$33,292
SHAW COMMUNICATIONS INC 1,642,200 -80,900 $33,282
     SJR1,642,200-80,900$33,282
CDK GLOBAL INC 605,928 -15,800 $33,132
     CDK605,928-15,800$33,132
TRIMBLE INC 794,075 -36,800 $33,105
     TRMB794,075-36,800$33,105
DEVON ENERGY CORP NEW 1,274,626 -93,400 $33,102
     DVN1,274,626-93,400$33,102
VAIL RESORTS INC 137,667 -5,800 $33,017
     MTN137,667-5,800$33,017
ELANCO ANIMAL HEALTH INC 1,117,321 -51,700 $32,905
     ELAN1,117,321-51,700$32,905
CF INDS HLDGS INC 688,466 -41,600 $32,867
     CF688,466-41,600$32,867
ZAYO GROUP HLDGS INC 946,981 -2,300 $32,813
     ZAYO946,981-2,300$32,813
HUNTINGTON INGALLS INDS INC 130,364 -6,900 $32,706
     HII130,364-6,900$32,706
MYLAN N V 1,626,680 -75,600 $32,696
     MYL1,626,680-75,600$32,696
INSULET CORP 190,000 +77,700 $32,528
     PODD190,000+77,700$32,528
NATIONAL RETAIL PPTYS INC 604,941 -19,200 $32,437
     NNN604,941-19,200$32,437
MOLSON COORS BREWING CO 599,057 -28,100 $32,289
     TAP599,057-28,100$32,289
REINSURANCE GRP OF AMERICA I 197,949 -8,600 $32,278
     RGA197,949-8,600$32,278
AQUA AMERICA INC 680,500 +274,527 $31,943
     WTR680,500+274,527$31,943
PULTE GROUP INC 821,463 -48,000 $31,873
     PHM821,463-48,000$31,873
NRG ENERGY INC 797,800 -82,000 $31,713
     NRG797,800-82,000$31,713
ON SEMICONDUCTOR CORP 1,294,495 -67,400 $31,560
     ON1,294,495-67,400$31,560
HUNT J B TRANS SVCS INC 269,380 -17,900 $31,458
     JBHT269,380-17,900$31,458
BOOZ ALLEN HAMILTON HLDG COR 442,100 +178,643 $31,447
     BAH442,100+178,643$31,447
RPM INTL INC 408,900 +162,197 $31,387
     RPM408,900+162,197$31,387
BUNGE LIMITED 543,003 -18,300 $31,250
     BG543,003-18,300$31,250
DELL TECHNOLOGIES INC 606,975 -6,100 $31,192
     DELL606,975-6,100$31,192
DXC TECHNOLOGY CO 826,022 -59,900 $31,050
     DXC826,022-59,900$31,050
CROWN HOLDINGS INC 427,313 -19,600 $30,997
     CCK427,313-19,600$30,997
VEREIT INC 3,327,839 -121,400 $30,749
     VER3,327,839-121,400$30,749
WABCO HLDGS INC 226,158 +57,000 $30,644
     WBC226,158+57,000$30,644
NATIONAL OILWELL VARCO INC 1,216,872 -57,600 $30,483
     NOV1,216,872-57,600$30,483
APACHE CORP 1,185,484 -56,000 $30,337
     APA1,185,484-56,000$30,337
CABOT OIL & GAS CORP 1,742,332 -71,800 $30,334
     COG1,742,332-71,800$30,334
SAREPTA THERAPEUTICS INC 234,373 -9,700 $30,243
     SRPT234,373-9,700$30,243
COGNEX CORP 538,038 -28,500 $30,152
     CGNX538,038-28,500$30,152
TECK RESOURCES LTD 1,740,379 -112,900 $30,145
     TECK1,740,379-112,900$30,145
TELUS CORP 778,300 +22,800 $30,099
     TU778,300+22,800$30,099
DELTA AIR LINES INC DEL 512,529 -28,000 $29,973
     DAL512,529-28,000$29,973
TARGA RES CORP 734,057 -33,600 $29,972
     TRGP734,057-33,600$29,972
ATHENE HLDG LTD 635,453 -199,400 $29,885
     ATH635,453-199,400$29,885
UGI CORP NEW 658,438 -16,800 $29,735
     UGI658,438-16,800$29,735
LIBERTY PPTY TR 493,313 -19,400 $29,623
     LPT493,313-19,400$29,623
FLIR SYS INC 567,709 +28,400 $29,561
     FLIR567,709+28,400$29,561
WHIRLPOOL CORP 200,311 -8,900 $29,552
     WHR200,311-8,900$29,552
NEUROCRINE BIOSCIENCES INC 274,300 +102,500 $29,485
     NBIX274,300+102,500$29,485
SNAP ON INC 174,052 -9,000 $29,484
     SNA174,052-9,000$29,484
LIBERTY MEDIA CORP DELAWARE 639,620 -30,400 $29,400
     FWONK639,620-30,400$29,400
OMEGA HEALTHCARE INVS INC 688,400 +284,742 $29,154
     OHI688,400+284,742$29,154
IRON MTN INC NEW 905,200 -42,100 $28,849
     IRM905,200-42,100$28,849
FORTUNE BRANDS HOME & SEC IN 441,083 -20,800 $28,820
     FBHS441,083-20,800$28,820
TECHNIPFMC PLC 1,337,641 -68,200 $28,679
     FTI1,337,641-68,200$28,679
LIBERTY GLOBAL PLC 1,311,369 -94,900 $28,581
     LBTYK1,311,369-94,900$28,581
DISH NETWORK CORP 802,274 +7,769 $28,457
     DISHV802,274+7,769$28,457
GUIDEWIRE SOFTWARE INC 259,000 +105,782 $28,430
     GWRE259,000+105,782$28,430
JONES LANG LASALLE INC 162,666 -7,800 $28,319
     JLL162,666-7,800$28,319
BORGWARNER INC 651,222 -33,200 $28,250
     BWA651,222-33,200$28,250
INTERPUBLIC GROUP COS INC 1,221,118 -57,100 $28,208
     IPG1,221,118-57,100$28,208
OGE ENERGY CORP 631,317 -29,700 $28,075
     OGE631,317-29,700$28,075
KIMCO RLTY CORP 1,331,031 -62,700 $27,566
     KIM1,331,031-62,700$27,566
SENSATA TECHNOLOGIES HLDNG P 508,036 -25,700 $27,368
     ST508,036-25,700$27,368
LENNOX INTL INC 109,876 -6,700 $26,806
     LII109,876-6,700$26,806
VISTRA ENERGY CORP 1,162,776 -32,600 $26,732
     VST1,162,776-32,600$26,732
JAZZ PHARMACEUTICALS PLC 178,555 -8,600 $26,655
     JAZZ178,555-8,600$26,655
MOHAWK INDS INC 193,420 -9,800 $26,379
     MHK193,420-9,800$26,379
KOHLS CORP 510,860 -28,000 $26,028
     KSS510,860-28,000$26,028
BIO RAD LABS INC 70,100 +30,593 $25,939
     BIO70,100+30,593$25,939
PTC INC 345,040 -15,900 $25,840
     PTC345,040-15,900$25,840
ALGONQUIN PWR UTILS CORP 1,824,900 +890,900 $25,784
     AQN1,824,900+890,900$25,784
IONIS PHARMACEUTICALS INC 420,859 -19,300 $25,424
     IONS420,859-19,300$25,424
ASSURANT INC 192,807 -10,200 $25,273
     AIZ192,807-10,200$25,273
LEAR CORP 182,952 -12,400 $25,101
     LEA182,952-12,400$25,101
MOSAIC CO NEW 1,155,929 -54,500 $25,014
     MOS1,155,929-54,500$25,014
HOLLYFRONTIER CORP 493,060 -42,700 $25,003
     HFC493,060-42,700$25,003
LIBERTY MEDIA CORP DELAWARE 516,590 -30,300 $24,869
     LSXMK516,590-30,300$24,869
BCE INC 537,354 -27,600 $24,864
     BCE537,354-27,600$24,864
PVH CORP 236,140 -11,800 $24,830
     PVH236,140-11,800$24,830
IMPERIAL OIL LTD 937,600 -62,200 $24,771
     IMO937,600-62,200$24,771
CAE INC 935,000 -46,500 $24,724
     CAE935,000-46,500$24,724
DAVITA INC 327,007 -24,200 $24,535
     DVA327,007-24,200$24,535
ALBEMARLE CORP 334,207 -15,700 $24,410
     ALB334,207-15,700$24,410
ABIOMED INC 143,058 -6,000 $24,404
     ABMD143,058-6,000$24,404
TAPESTRY INC 904,412 -53,700 $24,392
     TPR904,412-53,700$24,392
NEWELL BRANDS INC 1,268,353 -63,400 $24,378
     NWL1,268,353-63,400$24,378
DOCUSIGN INC 328,717 -14,500 $24,361
     DOCU328,717-14,500$24,361
SL GREEN RLTY CORP 259,919 -18,500 $23,881
     SLG259,919-18,500$23,881
SPIRIT AEROSYSTEMS HLDGS INC 326,231 -15,400 $23,776
     SPR326,231-15,400$23,776
STEEL DYNAMICS INC 692,523 -41,500 $23,573
     STLD692,523-41,500$23,573
ROBERT HALF INTL INC 370,539 -20,900 $23,400
     RHI370,539-20,900$23,400
XPO LOGISTICS INC 290,617 -13,200 $23,162
     XPO290,617-13,200$23,162
XEROX HOLDINGS CORP 628,085 -39,600 $23,157
     XRX628,085-39,600$23,157
PENTAIR PLC 503,404 -35,900 $23,091
     PNR503,404-35,900$23,091
SOUTHWEST AIRLS CO 423,719 -24,600 $22,872
     LUV423,719-24,600$22,872
NIELSEN HLDGS PLC 1,121,440 -52,600 $22,765
     NLSN1,121,440-52,600$22,765
FOX CORP CL B 619,046 -24,300 $22,533
     FOX619,046-24,300$22,533
OWENS CORNING NEW 343,013 -15,600 $22,337
     OC343,013-15,600$22,337
ARROW ELECTRS INC 262,173 -17,600 $22,217
     ARW262,173-17,600$22,217
AUTOLIV INC 261,386 -12,200 $22,064
     ALV261,386-12,200$22,064
HD SUPPLY HLDGS INC 538,800 -23,000 $21,671
     HDS538,800-23,000$21,671
ENCANA CORP 4,562,737 -291,600 $21,337
     ECA4,562,737-291,600$21,337
GILDAN ACTIVEWEAR INC 715,400 -47,100 $21,124
     GIL715,400-47,100$21,124
LEGGETT & PLATT INC 414,616 -18,800 $21,075
     LEG414,616-18,800$21,075
STARS GROUP INC 808,400 -42,600 $21,072
     TSG808,400-42,600$21,072
PERRIGO CO PLC 407,548 -19,000 $21,054
     PRGO407,548-19,000$21,054
BEIGENE LTD 126,100 -6,400 $20,902
     BGNE126,100-6,400$20,902
SMITH A O CORP 436,180 -29,900 $20,780
     AOS436,180-29,900$20,780
FAIR ISAAC CORP 55,300 +800 $20,720
     FICO55,300+800$20,720
AMERCO 54,970 -400 $20,659
     UHAL54,970-400$20,659
FLOWSERVE CORP 413,602 -19,400 $20,585
     FLS413,602-19,400$20,585
FLEX LTD 1,623,001 -74,600 $20,482
     FLEX1,623,001-74,600$20,482
WIX COM LTD 165,500 -9,100 $20,254
     WIX165,500-9,100$20,254
AXALTA COATING SYS LTD 662,008 -35,200 $20,125
     AXTA662,008-35,200$20,125
INGREDION INC 210,440 -9,800 $19,560
     INGR210,440-9,800$19,560
SEALED AIR CORP NEW 487,285 -26,900 $19,409
     SEE487,285-26,900$19,409
SABRE CORP 862,860 -44,400 $19,363
     SABR862,860-44,400$19,363
MIDDLEBY CORP 175,549 -8,300 $19,226
     MIDD175,549-8,300$19,226
UNUM GROUP 657,908 -41,800 $19,185
     UNM657,908-41,800$19,185
RALPH LAUREN CORP 163,535 -8,800 $19,170
     RL163,535-8,800$19,170
PINDUODUO INC 503,488 -195,477 $19,042
     PDD503,488-195,477$19,042
POLARIS INC 183,149 -8,400 $18,626
     PII183,149-8,400$18,626
ZILLOW GROUP INC 402,617 -15,300 $18,496
     Z402,617-15,300$18,496
THE TRADE DESK INC 71,000 +2,200 $18,444
     TTD71,000+2,200$18,444
HARLEY DAVIDSON INC 494,258 -31,100 $18,381
     HOG494,258-31,100$18,381
MANPOWERGROUP INC 188,719 -8,800 $18,325
     MAN188,719-8,800$18,325
CAPRI HOLDINGS LIMITED 478,062 -20,400 $18,238
     CPRI478,062-20,400$18,238
UNITED AIRLINES HLDGS INC 202,514 -14,700 $17,844
     UAL202,514-14,700$17,844
MELCO RESORTS AND ENTMT LTD 734,547 -40,200 $17,754
     MLCO734,547-40,200$17,754
US FOODS HLDG CORP 419,655 +8,500 $17,579
     USFD419,655+8,500$17,579
WAYFAIR INC 194,237 -6,700 $17,553
     W194,237-6,700$17,553
UBER TECHNOLOGIES INC 589,629 -21,600 $17,536
     UBER589,629-21,600$17,536
CARLISLE COS INC 108,300 +1,000 $17,527
     CSL108,300+1,000$17,527
MONGODB INC 132,244 -6,100 $17,405
     MDB132,244-6,100$17,405
ACUITY BRANDS INC 125,864 -5,900 $17,369
     AYI125,864-5,900$17,369
WEX INC 82,726 +1,300 $17,328
     WEX82,726+1,300$17,328
ZTO EXPRESS CAYMAN INC 739,252 -287,016 $17,262
     ZTO739,252-287,016$17,262
NEWS CORP NEW 1,216,048 -57,200 $17,195
     NWSA1,216,048-57,200$17,195
IPG PHOTONICS CORP 117,464 -5,400 $17,023
     IPGP117,464-5,400$17,023
HANESBRANDS INC 1,140,076 -53,600 $16,930
     HBI1,140,076-53,600$16,930
GAMING & LEISURE PPTYS INC 390,399 +6,600 $16,807
     GLPI390,399+6,600$16,807
BRIGHT HORIZONS FAM SOL IN D 111,379 +2,100 $16,739
     BFAM111,379+2,100$16,739
UNIVERSAL DISPLAY CORP 81,200 +1,200 $16,733
     OLED81,200+1,200$16,733
GRACO INC 319,300 +5,900 $16,604
     GGG319,300+5,900$16,604
CYPRESS SEMICONDUCTOR CORP 706,945 +19,600 $16,493
     CY706,945+19,600$16,493
COUPA SOFTWARE INC 112,300 +2,700 $16,424
     COUP112,300+2,700$16,424
EURONET WORLDWIDE INC 104,200 +6,400 $16,418
     EEFT104,200+6,400$16,418
DISCOVERY INC 498,438 -22,800 $16,319
     DISCA498,438-22,800$16,319
ZENDESK INC 212,452 +6,300 $16,280
     ZEN212,452+6,300$16,280
POOL CORPORATION 76,483 +1,600 $16,243
     POOL76,483+1,600$16,243
TORO CO 203,700 +4,100 $16,229
     TTC203,700+4,100$16,229
KILROY RLTY CORP 193,311 +3,400 $16,219
     KRC193,311+3,400$16,219
NORDSON CORP 98,927 +1,600 $16,109
     NDSN98,927+1,600$16,109
SERVICE CORP INTL 349,100 +6,200 $16,069
     SCI349,100+6,200$16,069
SPRINT CORPORATION 3,083,986 -106,700 $16,068
     S3,083,986-106,700$16,068
BIO TECHNE CORP 72,811 +1,600 $15,983
     TECH72,811+1,600$15,983
ASPEN TECHNOLOGY INC 132,100 +2,300 $15,975
     AZPN132,100+2,300$15,975
CATALENT INC 279,470 +5,300 $15,734
     CTLT279,470+5,300$15,734
STORE CAP CORP 420,040 +35,400 $15,642
     STOR420,040+35,400$15,642
58 COM INC 240,597 -98,490 $15,574
     WUBA240,597-98,490$15,574
ERIE INDTY CO 93,496 -1,700 $15,520
     ERIE93,496-1,700$15,520
MOLINA HEALTHCARE INC 114,000 +2,100 $15,469
     MOH114,000+2,100$15,469
ALLIANCE DATA SYSTEMS CORP 137,865 -7,900 $15,468
     ADS137,865-7,900$15,468
ROLLINS INC 464,618 -22,000 $15,407
     ROL464,618-22,000$15,407
CYBERARK SOFTWARE LTD 132,100 -6,700 $15,400
     CYBR132,100-6,700$15,400
CANOPY GROWTH CORP 733,100 -33,400 $15,399
     CGC733,100-33,400$15,399
HUBBELL INC 104,100 +1,500 $15,388
     HUBB104,100+1,500$15,388
ROYAL GOLD INC 125,500 +2,200 $15,342
     RGLD125,500+2,200$15,342
MASIMO CORP 97,000 +1,600 $15,332
     MASI97,000+1,600$15,332
RELIANCE STEEL & ALUMINUM CO 127,700 +1,200 $15,293
     RS127,700+1,200$15,293
APARTMENT INVT & MGMT CO 284,939 +4,900 $14,717
     AIV284,939+4,900$14,717
MATCH GROUP INC 179,200 +179,200 $14,714
     MTCH179,200+179,200$14,714
LAMAR ADVERTISING CO NEW 164,538 +3,500 $14,687
     LAMR164,538+3,500$14,687
LPL FINL HLDGS INC 157,600 +500 $14,539
     LPLA157,600+500$14,539
HILL ROM HLDGS INC 128,000 +2,400 $14,532
     HRC128,000+2,400$14,532
POST HLDGS INC 132,900 +1,900 $14,499
     POST132,900+1,900$14,499
KNIGHT SWIFT TRANSN HLDGS IN 403,179 -25,600 $14,450
     KNX403,179-25,600$14,450
CHARLES RIV LABS INTL INC 93,400 +1,600 $14,268
     CRL93,400+1,600$14,268
APTARGROUP INC 122,700 +3,800 $14,187
     ATR122,700+3,800$14,187
CYRUSONE INC 216,699 +3,800 $14,179
     CONE216,699+3,800$14,179
GRUBHUB INC 290,713 -10,400 $14,140
     GRUB290,713-10,400$14,140
GENTEX CORP 487,700 +6,800 $14,134
     GNTX487,700+6,800$14,134
CAESARS ENTMT CORP 1,037,960 +25,300 $14,116
     CZR1,037,960+25,300$14,116
DONALDSON INC 244,100 +3,800 $14,065
     DCI244,100+3,800$14,065
NORDSTROM INC 341,925 -82,500 $13,995
     JWN341,925-82,500$13,995
MONOLITHIC PWR SYS INC 78,600 +1,600 $13,992
     MPWR78,600+1,600$13,992
DOUGLAS EMMETT INC 318,700 +14,300 $13,991
     DEI318,700+14,300$13,991
TCF FINANCIAL CORPORATION NE 293,701 +2,300 $13,745
     TCF293,701+2,300$13,745
VIPSHOP HLDGS LTD 968,946 -437,579 $13,730
     VIPS968,946-437,579$13,730
MOMO INC 407,019 -130,623 $13,635
     MOMO407,019-130,623$13,635
FIVE BELOW INC 106,559 +1,200 $13,625
     FIVE106,559+1,200$13,625
AMERICAN HOMES 4 RENT 516,517 +10,100 $13,538
     AMH516,517+10,100$13,538
DROPBOX INC 753,996 +116,300 $13,504
     DBX753,996+116,300$13,504
COMMERCE BANCSHARES INC (CBSH) 198,551 +11,455 $13,490
     CBSH198,551+11,455$13,490
STARWOOD PPTY TR INC 538,765 +11,300 $13,394
     STWD538,765+11,300$13,394
CHEMED CORP NEW 30,400 +400 $13,354
     CHE30,400+400$13,354
LIBERTY MEDIA CORP DELAWARE 275,771 -12,900 $13,331
     LSXMA275,771-12,900$13,331
PRA HEALTH SCIENCES INC 119,858 +2,100 $13,322
     PRAH119,858+2,100$13,322
ENCOMPASS HEALTH CORP 188,800 +2,900 $13,078
     EHC188,800+2,900$13,078
GCI LIBERTY INC COM 184,004 +3,400 $13,037
     GLIBA184,004+3,400$13,037
AECOM 301,880 +5,800 $13,020
     ACM301,880+5,800$13,020
PROSPERITY BANCSHARES INC (PB) 180,667 +55,817 $12,988
     PB180,667+55,817$12,988
ENTEGRIS INC 258,700 +3,700 $12,958
     ENTG258,700+3,700$12,958
UNDER ARMOUR INC 598,926 -22,000 $12,937
     UAA598,926-22,000$12,937
HORIZON THERAPEUTICS PUB LTD 356,956 +9,100 $12,922
     HZNP356,956+9,100$12,922
CABLE ONE INC 8,677 +100 $12,915
     CABO8,677+100$12,915
MEDICINES CO 151,950 +13,100 $12,907
     MDCO151,950+13,100$12,907
NEW RESIDENTIAL INVT CORP 795,305 +13,600 $12,812
     NRZ795,305+13,600$12,812
CIENA CORP 296,900 +3,400 $12,675
     CIEN296,900+3,400$12,675
NOVOCURE LTD 150,400 +6,200 $12,674
     NVCR150,400+6,200$12,674
WOODWARD INC 106,500 +1,200 $12,614
     WWD106,500+1,200$12,614
SOUTHERN COPPER CORP 296,200 -163,297 $12,583
     SCCO296,200-163,297$12,583
GAP INC 710,931 -32,300 $12,569
     GPS710,931-32,300$12,569
FIRST AMERN FINL CORP 214,600 +3,700 $12,515
     FAF214,600+3,700$12,515
ITT INC 168,500 +3,300 $12,454
     ITT168,500+3,300$12,454
OSHKOSH CORP 130,900 -700 $12,390
     OSK130,900-700$12,390
AMERICAN CAMPUS CMNTYS INC 262,952 +4,700 $12,367
     ACC262,952+4,700$12,367
CAMECO CORP 1,390,000 -73,500 $12,337
     CCJ1,390,000-73,500$12,337
OLD REP INTL CORP 551,400 +9,900 $12,335
     ORI551,400+9,900$12,335
PROOFPOINT INC 107,352 +2,500 $12,322
     PFPT107,352+2,500$12,322
BRIXMOR PPTY GROUP INC 570,100 +9,400 $12,320
     BRX570,100+9,400$12,320
INTERXION HOLDING N.V 146,415 +11,200 $12,271
     INXN146,415+11,200$12,271
HUBSPOT INC 77,200 +1,900 $12,236
     HUBS77,200+1,900$12,236
AMERICOLD RLTY TR 348,600 +6,300 $12,222
     COLD348,600+6,300$12,222
ALTICE USA INC 442,680 -43,600 $12,103
     ATUS442,680-43,600$12,103
IAA INC 255,500 +5,400 $12,024
     IAA255,500+5,400$12,024
PLANET FITNESS INC 160,885 +1,900 $12,015
     PLNT160,885+1,900$12,015
GENERAC HLDGS INC 119,400 +2,200 $12,010
     GNRC119,400+2,200$12,010
BERRY GLOBAL GROUP INC 252,818 +5,100 $12,006
     BERY252,818+5,100$12,006
DUNKIN BRANDS GROUP INC 158,400 +2,900 $11,966
     DNKN158,400+2,900$11,966
HEXCEL CORP NEW 162,900 +3,200 $11,942
     HXL162,900+3,200$11,942
CACI INTL INC 47,600 +900 $11,900
     CACI47,600+900$11,900
HEALTHCARE TR AMER INC 392,786 +6,800 $11,894
     HTA392,786+6,800$11,894
PARK HOTELS RESORTS INC 458,997 +8,000 $11,874
     PK458,997+8,000$11,874
UNDER ARMOUR INC 618,814 -22,800 $11,869
     UA618,814-22,800$11,869
AUTOHOME INC SP ADR RP 147,963 -61,193 $11,839
     ATHM147,963-61,193$11,839
SONOCO PRODS CO 191,600 +3,400 $11,826
     SON191,600+3,400$11,826
BLACKBERRY LTD 1,828,450 -94,200 $11,743
     BB1,828,450-94,200$11,743
LIBERTY GLOBAL PLC 514,504 -32,900 $11,700
     LBTYA514,504-32,900$11,700
LUMENTUM HLDGS INC 147,215 +3,500 $11,674
     LITE147,215+3,500$11,674
CUBESMART 368,400 +13,800 $11,597
     CUBE368,400+13,800$11,597
WYNDHAM HOTELS & RESORTS INC 184,600 +1,600 $11,595
     WH184,600+1,600$11,595
SYNOVUS FINL CORP 295,419 -1,000 $11,580
     SNV295,419-1,000$11,580
ISRAEL CHEMICALS LTD 2,461,768 -120,560 $11,571
     ICL2,461,768-120,560$11,571
COUSINS PPTYS INC 278,233 +4,700 $11,463
     CUZ278,233+4,700$11,463
MKS INSTRUMENT INC 104,200 +1,800 $11,463
     MKSI104,200+1,800$11,463
MELLANOX TECHNOLOGIES LTD 96,921 +2,600 $11,357
     MLNX96,921+2,600$11,357
MDU RES GROUP INC 381,090 +8,300 $11,322
     MDU381,090+8,300$11,322
BWX TECHNOLOGIES INC 182,300 +3,300 $11,317
     BWXT182,300+3,300$11,317
WATSCO INC 62,344 +1,800 $11,231
     WSO62,344+1,800$11,231
CASEYS GEN STORES INC 70,387 +1,500 $11,191
     CASY70,387+1,500$11,191
HAEMONETICS CORP 97,200 +800 $11,168
     HAE97,200+800$11,168
CULLEN FROST BANKERS INC 113,900 +1,100 $11,137
     CFR113,900+1,100$11,137
STERICYCLE INC 174,500 +3,200 $11,135
     SRCL174,500+3,200$11,135
HUDSON PAC PPTYS INC 295,550 +5,100 $11,127
     HPP295,550+5,100$11,127
HUAZHU GROUP LTD 277,494 -133,600 $11,119
     HTHT277,494-133,600$11,119
WPX ENERGY INC 808,600 +14,100 $11,110
     WPX808,600+14,100$11,110
QUANTA SVCS INC 272,135 +4,700 $11,079
     PWR272,135+4,700$11,079
SKECHERS U S A INC 256,100 +3,300 $11,061
     SKX256,100+3,300$11,061
WILLIAMS SONOMA INC 149,800 +1,500 $11,001
     WSM149,800+1,500$11,001
TELADOC HEALTH INC 131,000 +3,000 $10,967
     TDOC131,000+3,000$10,967
CURTISS WRIGHT CORP 77,600 +1,100 $10,933
     CW77,600+1,100$10,933
JABIL INC 263,400 +4,400 $10,886
     JBL263,400+4,400$10,886
POPULAR INC 185,000 +3,200 $10,869
     BPOP185,000+3,200$10,869
LINCOLN ELEC HLDGS INC 112,200 UNCH $10,853
     LECO112,200UNCH$10,853
NEW YORK CMNTY BANCORP INC 894,700 +13,600 $10,754
     NYCB894,700+13,600$10,754
WESTERN ALLIANCE BANCORP 188,400 +1,700 $10,739
     WAL188,400+1,700$10,739
COTY INC 951,229 -42,100 $10,701
     COTY951,229-42,100$10,701
SYNNEX CORP 83,085 +1,100 $10,701
     SNX83,085+1,100$10,701
ALLISON TRANSMISSION HLDGS I 219,200 +4,200 $10,592
     ALSN219,200+4,200$10,592
BRUKER CORP 207,300 +800 $10,566
     BRKR207,300+800$10,566
EPR PPTYS 148,488 +6,400 $10,489
     EPR148,488+6,400$10,489
PRIMERICA INC 80,200 +500 $10,471
     PRI80,200+500$10,471
ARROWHEAD PHARMACEUTICALS IN 164,200 +3,600 $10,415
     ARWR164,200+3,600$10,415
TRIPADVISOR INC 342,123 -12,100 $10,394
     TRIP342,123-12,100$10,394
PERFORMANCE FOOD GROUP CO 201,400 +3,500 $10,368
     PFGC201,400+3,500$10,368
HANOVER INS GROUP INC 75,700 -900 $10,346
     THG75,700-900$10,346
NEXSTAR MEDIA GROUP INC 88,160 +1,400 $10,337
     NXST88,160+1,400$10,337
TOLL BROTHERS INC 261,600 +700 $10,336
     TOL261,600+700$10,336
IDACORP INC 96,500 +1,600 $10,306
     IDA96,500+1,600$10,306
AMEDISYS INC 61,500 +1,300 $10,266
     AMED61,500+1,300$10,266
CONTINENTAL RESOURCES INC 298,256 -9,900 $10,230
     CLR298,256-9,900$10,230
CIMAREX ENERGY CO 194,900 -140,071 $10,230
     XEC194,900-140,071$10,230
PARSLEY ENERGY INC 540,436 -387,800 $10,220
     PE540,436-387,800$10,220
EXELIXIS INC 579,900 +12,100 $10,218
     EXEL579,900+12,100$10,218
ETSY INC 230,600 +4,400 $10,216
     ETSY230,600+4,400$10,216
AMERICAN AIRLS GROUP INC 354,600 -9,800 $10,170
     AAL354,600-9,800$10,170
NATIONAL INSTRS CORP 239,900 +4,100 $10,157
     NATI239,900+4,100$10,157
MACYS INC 593,518 -426,600 $10,090
     M593,518-426,600$10,090
SERVICEMASTER GLOBAL HLDGS I 260,107 +4,300 $10,056
     SERV260,107+4,300$10,056
FIRST INDUSTRIAL REALTY TRUS 242,100 +4,000 $10,050
     FR242,100+4,000$10,050
TREX CO INC 111,800 +1,700 $10,049
     TREX111,800+1,700$10,049
TECH DATA CORP 69,800 +300 $10,023
     TECD69,800+300$10,023
HEALTHEQUITY INC 134,900 +4,200 $9,992
     HQY134,900+4,200$9,992
HOWARD HUGHES CORP 78,400 +1,200 $9,941
     HHC78,400+1,200$9,941
ZYNGA INC 1,622,253 +38,300 $9,928
     ZNGA1,622,253+38,300$9,928
ANAPLAN INC 189,300 +189,300 $9,919
     PLAN189,300+189,300$9,919
FIRST HORIZON NATL CORP 598,249 +4,800 $9,907
     FHN598,249+4,800$9,907
PENUMBRA INC 60,000 +1,200 $9,856
     PEN60,000+1,200$9,856
BRUNSWICK CORP 163,900 UNCH $9,831
     BC163,900UNCH$9,831
MANHATTAN ASSOCS INC 123,220 +1,700 $9,827
     MANH123,220+1,700$9,827
RADIAN GROUP INC 389,150 -2,300 $9,791
     RDN389,150-2,300$9,791
HAWAIIAN ELEC INDUSTRIES 208,700 +3,800 $9,780
     HE208,700+3,800$9,780
NUANCEMUNICATIONS INC 546,700 +700 $9,748
     NUAN546,700+700$9,748
JBG SMITH PPTYS 243,958 +4,200 $9,731
     JBGS243,958+4,200$9,731
HIGHWOODS PPTYS INC 198,502 +3,400 $9,709
     HIW198,502+3,400$9,709
LIFE STORAGE INC 89,255 +1,400 $9,665
     LSI89,255+1,400$9,665
HERBALIFE NUTRITION LTD COM 202,672 +3,500 $9,661
     HLF202,672+3,500$9,661
AIR LEASE CORP 203,100 +4,500 $9,651
     AL203,100+4,500$9,651
SILICON LABORATORIES INC 82,900 +1,300 $9,615
     SLAB82,900+1,300$9,615
MGIC INVT CORP WIS 678,000 +8,100 $9,607
     MTG678,000+8,100$9,607
REXFORD INDL RLTY INC 210,116 +14,400 $9,596
     REXR210,116+14,400$9,596
AGCO CORP 124,100 +1,300 $9,587
     AGCO124,100+1,300$9,587
AXIS CAPITAL HOLDINGS LTD 160,800 +2,800 $9,558
     AXS160,800+2,800$9,558
HELMERICH & PAYNE INC 210,300 -151,053 $9,554
     HP210,300-151,053$9,554
PORTLAND GEN ELEC CO 171,100 +2,900 $9,546
     POR171,100+2,900$9,546
HUNTSMAN CORP 394,874 UNCH $9,540
     HUN394,874UNCH$9,540
EASTGROUP PPTY INC 71,787 +2,700 $9,524
     EGP71,787+2,700$9,524
PAN AMERICAN SILVER CORP 402,300 +5,500 $9,518
     PAAS402,300+5,500$9,518
ALTERYX INC 94,800 +11,600 $9,487
     AYX94,800+11,600$9,487
CHURCHILL DOWNS INC 69,000 +1,000 $9,467
     CHDN69,000+1,000$9,467
CREE INC 204,741 +6,800 $9,449
     CREE204,741+6,800$9,449
ONE GAS INC 100,913 +1,700 $9,442
     OGS100,913+1,700$9,442
NUTANIX INC 301,300 +34,700 $9,419
     NTNX301,300+34,700$9,419
WEBSTER FINL CORP CONN 176,500 +3,100 $9,418
     WBS176,500+3,100$9,418
GRAPHIC PACKAGING HLDG CO 562,600 +7,000 $9,367
     GPK562,600+7,000$9,367
CARTERS INC 85,600 +500 $9,360
     CRI85,600+500$9,360
DECKERS OUTDOOR CORP 55,300 +500 $9,338
     DECK55,300+500$9,338
GARDNER DENVER HLDGS INC 254,000 +6,900 $9,317
     GDI254,000+6,900$9,317
TEXAS PAC LD TR 11,917 +200 $9,310
     TPL11,917+200$9,310
ESSENT GROUP LTD 178,900 +3,000 $9,301
     ESNT178,900+3,000$9,301
BLUEBIRD BIO INC 105,707 +1,900 $9,276
     BLUE105,707+1,900$9,276
EMCOR GROUP INC 107,400 +1,800 $9,269
     EME107,400+1,800$9,269
ASSURED GUARANTY LTD 188,900 -2,100 $9,260
     AGO188,900-2,100$9,260
BLACK HILLS CORP 116,979 +3,400 $9,188
     BKH116,979+3,400$9,188
CIRRUS LOGIC INC 111,300 +1,600 $9,172
     CRUS111,300+1,600$9,172
COMPANIA DE MINAS BUENAVENTU 606,755 -254,203 $9,162
     BVN606,755-254,203$9,162
NEW YORK TIMES CO 284,600 +4,800 $9,156
     NYT284,600+4,800$9,156
WYNDHAM DESTINATIONS INC 177,000 +800 $9,149
     WYND177,000+800$9,149
MARRIOTT VACTINS WORLDWID CO 70,836 -800 $9,121
     VAC70,836-800$9,121
GLOBAL BLOOD THERAPEUTICS IN 114,700 +8,500 $9,118
     GBT114,700+8,500$9,118
MAXIMUS INC 122,207 +2,100 $9,091
     MMS122,207+2,100$9,091
BLACKSTONE MTG TR INC 244,200 +19,500 $9,089
     BXMT244,200+19,500$9,089
BLOCK H & R INC 385,709 -372,401 $9,056
     HRB385,709-372,401$9,056
TETRA TECH INC NEW 104,500 +1,200 $9,004
     TTEK104,500+1,200$9,004
LITTELFUSE INC 47,048 +600 $9,000
     LFUS47,048+600$9,000
PINNACLE FINL PARTNERS INC 140,061 +2,500 $8,964
     PNFP140,061+2,500$8,964
MATTEL INC 661,500 +11,600 $8,963
     MAT661,500+11,600$8,963
MSA SAFETY INC 70,400 +1,300 $8,896
     MSA70,400+1,300$8,896
ACADIA PHARMACEUTICALS INC 207,504 +4,100 $8,877
     ACAD207,504+4,100$8,877
ASHLAND GLOBAL HLDGS INC 115,900 -2,100 $8,870
     ASH115,900-2,100$8,870
DARLING INGREDIENTS INC 315,300 +5,300 $8,854
     DAR315,300+5,300$8,854
GRAND CANYON ED INC 92,400 +1,500 $8,851
     LOPE92,400+1,500$8,851
RITCHIE BROS AUCTIONEERS 206,500 UNCH $8,850
     RBA206,500UNCH$8,850
METHANEX CORP 227,500 -14,600 $8,775
     MEOH227,500-14,600$8,775
CREDIT ACCEP CORP MICH 19,777 +300 $8,748
     CACC19,777+300$8,748
PINTEREST INC 467,700 +467,700 $8,718
     PINS467,700+467,700$8,718
CLEAN HARBORS INC 101,600 +1,700 $8,712
     CLH101,600+1,700$8,712
BRINKS CO 95,700 +1,800 $8,678
     BCO95,700+1,800$8,678
SCIENCE APPLICATNS INTL CP N 99,615 -700 $8,668
     SAIC99,615-700$8,668
MADISON SQUARE GARDEN CO NEW 29,433 +500 $8,659
     MSG29,433+500$8,659
PACWEST BANCORP DEL 226,273 +2,600 $8,659
     PACW226,273+2,600$8,659
LANDSTAR SYS INC 75,900 +300 $8,643
     LSTR75,900+300$8,643
GLOBUS MED INC 146,700 +2,700 $8,638
     GMED146,700+2,700$8,638
HELEN OF TROY CORP LTD 48,000 +1,000 $8,630
     HELE48,000+1,000$8,630
WESTLAKE CHEM CORP 122,616 -6,300 $8,602
     WLK122,616-6,300$8,602
DOLBY LABORATORIES INC 123,500 +2,600 $8,497
     DLB123,500+2,600$8,497
SPIRIT RLTY CAP INC NEW 172,454 -13,500 $8,481
     SRC172,454-13,500$8,481
ACI WORLDWIDE INC 223,500 +15,500 $8,467
     ACIW223,500+15,500$8,467
FIRST SOLAR INC 151,300 +2,600 $8,467
     FSLR151,300+2,600$8,467
VALLEY NATL BANCORP 739,260 +115,060 $8,465
     VLY739,260+115,060$8,465
SCOTTS MIRACLE GRO CO 79,700 +1,400 $8,463
     SMG79,700+1,400$8,463
AVNET INC 198,300 -1,700 $8,414
     AVT198,300-1,700$8,414
BRIGHTHOUSE FINL INC 214,148 -127,310 $8,401
     BHF214,148-127,310$8,401
KEMPER CORP DEL 108,324 +4,400 $8,395
     KMPR108,324+4,400$8,395
NEWMARKET CORP 17,200 +300 $8,368
     NEU17,200+300$8,368
J2 GLOBAL INC 88,931 +1,400 $8,334
     JCOM88,931+1,400$8,334
CARVANA CO 90,500 +3,000 $8,331
     CVNA90,500+3,000$8,331
ARMSTRONG WORLD INDS INC NEW 88,500 +900 $8,316
     AWI88,500+900$8,316
AXON ENTERPRISE INC 113,400 +2,200 $8,310
     AAXN113,400+2,200$8,310
CIT GROUP INC 181,900 +181,900 $8,300
     CIT181,900+181,900$8,300
REALPAGE INC 154,200 +2,900 $8,288
     RP154,200+2,900$8,288
STERLING BANCORP DEL 392,864 -1,400 $8,282
     STL392,864-1,400$8,282
KBR INC 270,941 +4,800 $8,264
     KBR270,941+4,800$8,264
HEALTHCARE RLTY TR 247,400 +4,200 $8,256
     HR247,400+4,200$8,256
AFFILIATED MANAGERS GROUP IN 97,300 +97,300 $8,245
     AMG97,300+97,300$8,245
FIRST FINL BANKSHARES (FFIN) 234,000 +4,100 $8,213
     FFIN234,000+4,100$8,213
REPLIGEN CORP 88,700 +7,300 $8,205
     RGEN88,700+7,300$8,205
FOOT LOCKER INC 210,000 -1,300 $8,188
     FL210,000-1,300$8,188
L BRANDS INC 451,400 -321,176 $8,179
     LB451,400-321,176$8,179
RAYONIER INC 248,100 +4,100 $8,128
     RYN248,100+4,100$8,128
INTEGRA LIFESCIENCES HLDGS C 139,294 +2,600 $8,118
     IART139,294+2,600$8,118
LOGMEIN INC 94,600 +800 $8,111
     LOGM94,600+800$8,111
NCR CORP NEW 230,459 +4,400 $8,103
     NCR230,459+4,400$8,103
RYMAN HOSPITALITY PPTYS INC 93,500 +1,500 $8,103
     RHP93,500+1,500$8,103
SPIRE INC 97,250 +1,700 $8,102
     SR97,250+1,700$8,102
STIFEL FINL CORP 133,142 UNCH $8,075
     SF133,142UNCH$8,075
GRACE W R & CO DEL NEW 114,900 +1,600 $8,026
     GRA114,900+1,600$8,026
ALLETE INC 98,800 +1,600 $8,020
     ALE98,800+1,600$8,020
CABOT MICROELECTRONICS CORP 55,560 +900 $8,018
     CCMP55,560+900$8,018
PAYLOCITY HLDG CORP 65,950 +1,200 $7,968
     PCTY65,950+1,200$7,968
FTI CONSULTING INC 71,800 +300 $7,945
     FCN71,800+300$7,945
CRANE CO 91,800 +1,600 $7,930
     CR91,800+1,600$7,930
FLOWERS FOODS INC 364,463 +6,400 $7,923
     FLO364,463+6,400$7,923
CORESITE RLTY CORP 70,600 +1,200 $7,916
     COR70,600+1,200$7,916
MURPHY OIL CORP 295,000 -15,400 $7,906
     MUR295,000-15,400$7,906
FNB CORP PA 621,915 +10,900 $7,898
     FNB621,915+10,900$7,898
SOUTHWEST GAS HOLDINGS INC 103,900 +3,400 $7,893
     SWX103,900+3,400$7,893
LHC GROUP INC 57,266 +1,100 $7,889
     LHCG57,266+1,100$7,889
SOLAREDGE TECHNOLOGIES INC 82,600 +2,000 $7,854
     SEDG82,600+2,000$7,854
WENDYS CO 353,200 +6,000 $7,845
     WEN353,200+6,000$7,845
THOR INDS INC 105,400 +1,900 $7,830
     THO105,400+1,900$7,830
CHEGG INC 206,200 +5,500 $7,817
     CHGG206,200+5,500$7,817
B2GOLD CORP 1,946,529 +36,900 $7,800
     BTG1,946,529+36,900$7,800
TEMPUR SEALY INTL INC 89,100 +1,500 $7,757
     TPX89,100+1,500$7,757
SABRA HEALTH CARE REIT INC 362,841 +25,100 $7,743
     SBRA362,841+25,100$7,743
PNM RES INC 152,500 +2,600 $7,733
     PNM152,500+2,600$7,733
VALVOLINE INC 360,265 +6,200 $7,713
     VVV360,265+6,200$7,713
NUVASIVE INC 99,569 +1,900 $7,701
     NUVA99,569+1,900$7,701
WINTRUST FINL CORP 108,467 +1,800 $7,690
     WTFC108,467+1,800$7,690
STAG INDL INC 243,400 +6,900 $7,684
     STAG243,400+6,900$7,684
FRONTDOOR INC 162,003 +2,700 $7,682
     FTDR162,003+2,700$7,682
NEW JERSEY RES 172,200 +4,300 $7,675
     NJR172,200+4,300$7,675
REATA PHARMACEUTICALS INC 37,500 +800 $7,666
     RETA37,500+800$7,666
EQUITY COMWLTH 233,400 +4,000 $7,663
     EQC233,400+4,000$7,663
SERVICE PPTYS TR 314,688 +5,200 $7,656
     SVC314,688+5,200$7,656
SMARTSHEET INC 170,400 +5,900 $7,654
     SMAR170,400+5,900$7,654
ALCOA CORP 355,294 +6,200 $7,642
     AA355,294+6,200$7,642
TWO HBRS INVT CORP 522,352 +8,900 $7,637
     TWO522,352+8,900$7,637
COHERENT INC 45,888 +400 $7,633
     COHR45,888+400$7,633
JANUS HENDERSON GROUP PLC 312,205 UNCH $7,633
     JHG312,205UNCH$7,633
GLACIER BANCORP INC NEW 165,900 +6,700 $7,630
     GBCI165,900+6,700$7,630
HANCOCK WHITNEY CORPORATION 173,700 +3,100 $7,622
     HWC173,700+3,100$7,622
FIVE9 INC 116,100 +3,800 $7,614
     FIVN116,100+3,800$7,614
ELDORADO RESORTS INC 126,544 +2,600 $7,547
     ERI126,544+2,600$7,547
UNITED BANKSHARES INC WEST V (UBSI) 194,982 +2,900 $7,538
     UBSI194,982+2,900$7,538
IBERIABANK CORP 100,723 -1,700 $7,537
     IBKC100,723-1,700$7,537
RBC BEARINGS INC 47,590 +1,000 $7,535
     ROLL47,590+1,000$7,535
BANK OZK 246,133 +4,100 $7,508
     OZK246,133+4,100$7,508
MASTEC INC 116,900 +2,100 $7,500
     MTZ116,900+2,100$7,500
BLACKBAUD INC 94,053 +1,400 $7,487
     BLKB94,053+1,400$7,487
UMPQUA HLDGS CORP 421,525 +6,600 $7,461
     UMPQ421,525+6,600$7,461
PURE STORAGE INC 436,000 +7,800 $7,460
     PSTG436,000+7,800$7,460
NVENT ELECTRIC PLC 291,387 -4,400 $7,454
     NVT291,387-4,400$7,454
SELECTIVE INS GROUP INC 113,600 +2,200 $7,406
     SIGI113,600+2,200$7,406
BANK HAWAII CORP 77,737 +500 $7,397
     BOH77,737+500$7,397
PERSPECTA INC 279,600 +2,700 $7,393
     PRSP279,600+2,700$7,393
AARONS INC 129,400 +2,100 $7,390
     AAN129,400+2,100$7,390
UNITED THERAPEUTICS CORP DEL 83,900 +1,400 $7,390
     UTHR83,900+1,400$7,390
TIMKEN CO 131,000 +2,100 $7,377
     TKR131,000+2,100$7,377
CHIMERA INVT CORP 358,280 +6,200 $7,366
     CIM358,280+6,200$7,366
FIRST HAWAIIAN INC 255,167 +1,100 $7,362
     FHB255,167+1,100$7,362
OUTFRONT MEDIA INC 274,354 +7,900 $7,358
     OUT274,354+7,900$7,358
MERCURY SYS INC 106,100 +1,900 $7,333
     MRCY106,100+1,900$7,333
WEINGARTEN RLTY INVS 234,000 +4,000 $7,310
     WRI234,000+4,000$7,310
EAGLE MATERIALS INC 80,400 -2,700 $7,289
     EXP80,400-2,700$7,289
SLM CORP 816,592 +3,100 $7,276
     SLM816,592+3,100$7,276
NEKTAR THERAPEUTICS 336,829 -238,800 $7,270
     NKTR336,829-238,800$7,270
YAMANA GOLD INC 1,825,200 +24,700 $7,216
     AUY1,825,200+24,700$7,216
CINEMARK HOLDINGS INC 213,100 +3,800 $7,213
     CNK213,100+3,800$7,213
ASGN INC 101,200 +1,800 $7,182
     ASGN101,200+1,800$7,182
CHOICE HOTELS INTL INC 69,267 +1,300 $7,164
     CHH69,267+1,300$7,164
BLUEPRINT MEDICINES CORP 89,300 +1,900 $7,154
     BPMC89,300+1,900$7,154
OLLIES BARGAIN OUTLT HLDGS I 109,300 +1,800 $7,138
     OLLI109,300+1,800$7,138
SAGE THERAPEUTICS INC 98,800 +2,500 $7,132
     SAGE98,800+2,500$7,132
TEXAS ROADHOUSE INC 126,600 -1,800 $7,130
     TXRH126,600-1,800$7,130
SYNEOS HEALTH INC 118,877 +1,800 $7,070
     SYNH118,877+1,800$7,070
ICU MED INC 37,619 +800 $7,039
     ICUI37,619+800$7,039
LOUISIANA PAC CORP 236,600 +4,300 $7,020
     LPX236,600+4,300$7,020
WRIGHT MED GROUP N V 230,294 +4,800 $7,019
     WMGI230,294+4,800$7,019
COMMUNITY BK SYS INC 98,700 +1,700 $7,002
     CBU98,700+1,700$7,002
INGEVITY CORP 80,090 +1,300 $6,998
     NGVT80,090+1,300$6,998
LIVANOVA PLC 92,519 +1,500 $6,979
     LIVN92,519+1,500$6,979
VERINT SYS INC 125,900 +2,100 $6,970
     VRNT125,900+2,100$6,970
ENVESTNET INC 99,800 +2,300 $6,949
     ENV99,800+2,300$6,949
NEVRO CORP 59,100 +1,700 $6,947
     NVRO59,100+1,700$6,947
NATIONAL FUEL GAS CO N J 148,800 +2,600 $6,925
     NFG148,800+2,600$6,925
GOODYEAR TIRE & RUBR CO 445,100 +7,700 $6,924
     GT445,100+7,700$6,924
NORTHWESTERN CORP 96,583 +1,600 $6,922
     NWE96,583+1,600$6,922
TEGNA INC 414,700 +7,600 $6,921
     TGNA414,700+7,600$6,921
DESCARTES SYS GROUP INC 161,600 +15,300 $6,898
     DSGX161,600+15,300$6,898
REGAL BELOIT CORP 80,222 -400 $6,868
     RBC80,222-400$6,868
WHITE MTNS INS GROUP LTD 6,146 +200 $6,856
     WTM6,146+200$6,856
EXPONENT INC 99,300 +1,600 $6,853
     EXPO99,300+1,600$6,853
TRANSOCEAN LTD 995,530 +17,300 $6,849
     RIG995,530+17,300$6,849
PBF ENERGY INC 218,100 +3,900 $6,842
     PBF218,100+3,900$6,842
ASSOCIATED BANC CORP 310,340 +1,900 $6,840
     ASB310,340+1,900$6,840
RH 32,030 +900 $6,838
     RH32,030+900$6,838
TALLGRASS ENERGY LP CLASS A 308,700 +5,200 $6,828
     TGE308,700+5,200$6,828
JOHN BEAN TECHNOLOGIES CORP 60,600 +1,100 $6,827
     JBT60,600+1,100$6,827
MGM GROWTH PPTYS LLC CL A 219,701 +49,500 $6,804
     MGP219,701+49,500$6,804
FIREEYE INC 411,100 +25,100 $6,795
     FEYE411,100+25,100$6,795
TERRENO RLTY CORP 125,500 +6,700 $6,795
     TRNO125,500+6,700$6,795
MURPHY USA INC 58,067 +600 $6,794
     MUSA58,067+600$6,794
SITEONE LANDSCAPE SUPPLY INC 74,900 +1,500 $6,790
     SITE74,900+1,500$6,790
ENVISTA HLDGS CORP 229,000 +229,000 $6,788
     NVST229,000+229,000$6,788
FLOOR & DECOR HLDGS INC 133,500 +4,100 $6,783
     FND133,500+4,100$6,783
TOPBUILD CORP 65,621 +900 $6,764
     BLD65,621+900$6,764
MSC INDL DIRECT INC 86,200 +1,500 $6,764
     MSM86,200+1,500$6,764
NATIONAL HEALTH INVS INC 82,920 +1,600 $6,756
     NHI82,920+1,600$6,756
SEMTECH CORP 127,400 +1,900 $6,739
     SMTC127,400+1,900$6,739
SANDERSON FARMS INC 38,200 +800 $6,732
     SAFM38,200+800$6,732
PHYSICIANS RLTY TR 354,806 +6,200 $6,720
     DOC354,806+6,200$6,720
FIRST CTZNS BANCSHARES INC N (FCNCA) 12,600 -100 $6,706
     FCNCA12,600-100$6,706
PEBBLEBROOK HOTEL TR 250,112 +4,200 $6,706
     PEB250,112+4,200$6,706
CORELOGIC INC 153,400 +1,600 $6,705
     CLGX153,400+1,600$6,705
STRATEGIC ED INC 42,038 +800 $6,680
     STRA42,038+800$6,680
BANKUNITED INC 182,100 -2,900 $6,658
     BKU182,100-2,900$6,658
Q2 HLDGS INC 82,000 +7,100 $6,649
     QTWO82,000+7,100$6,649
FIRSTSERVICE CORP NEW 71,500 +1,200 $6,648
     FSV71,500+1,200$6,648
MADDEN STEVEN LTD 154,425 +1,000 $6,642
     SHOO154,425+1,000$6,642
FIRSTCASH INC 82,212 +1,100 $6,630
     FCFS82,212+1,100$6,630
APPLE HOSPITALITY REIT INC 407,110 +6,900 $6,616
     APLE407,110+6,900$6,616
REXNORD CORP NEW 202,700 +5,400 $6,612
     RXN202,700+5,400$6,612
MFA FINL INC 862,500 +14,700 $6,598
     MFA862,500+14,700$6,598
ONEMAIN HLDGS INC 156,300 +2,600 $6,588
     OMF156,300+2,600$6,588
VIAVI SOLUTIONS INC 438,100 +7,800 $6,572
     VIAV438,100+7,800$6,572
WEIBO CORP 141,528 -71,158 $6,560
     WB141,528-71,158$6,560
SIX FLAGS ENTMT CORP NEW 145,300 +2,600 $6,554
     SIX145,300+2,600$6,554
RLI CORP 72,800 +1,600 $6,553
     RLI72,800+1,600$6,553
NEOGEN CORP 100,266 +2,100 $6,543
     NEOG100,266+2,100$6,543
INTERACTIVE BROKERS GROUP IN 139,700 +5,500 $6,523
     IBKR139,700+5,500$6,523
OMNICELL INC 79,700 +2,100 $6,513
     OMCL79,700+2,100$6,513
PS BUSINESS PKS INC CALIF 39,408 +800 $6,497
     PSB39,408+800$6,497
INSPERITY INC 74,900 +1,100 $6,444
     NSP74,900+1,100$6,444
FIBROGEN INC 149,800 +3,900 $6,425
     FGEN149,800+3,900$6,425
TENET HEALTHCARE CORP 168,300 +3,800 $6,400
     THC168,300+3,800$6,400
GDS HLDGS LTD 123,009 -69,400 $6,345
     GDS123,009-69,400$6,345
BOSTON BEER INC 16,700 +1,100 $6,310
     SAM16,700+1,100$6,310
LITHIA MTRS INC 42,900 +900 $6,306
     LAD42,900+900$6,306
MIRATI THERAPEUTICS INC 48,900 +5,000 $6,301
     MRTX48,900+5,000$6,301
CORPORATE OFFICE PPTYS TR 214,300 +3,800 $6,296
     OFC214,300+3,800$6,296
PLAINS GP HLDGS L P 332,200 -369,480 $6,295
     PAGP332,200-369,480$6,295
ENERGIZER HLDGS INC NEW 125,325 +400 $6,294
     ENR125,325+400$6,294
QURATE RETAIL INC 746,648 -575,400 $6,294
     QRTEA746,648-575,400$6,294
BALCHEM CORP 61,900 +1,100 $6,291
     BCPC61,900+1,100$6,291
UNIVAR SOLUTIONS INC 258,138 +2,700 $6,257
     UNVR258,138+2,700$6,257
DICKS SPORTING GOODS INC 126,200 -900 $6,246
     DKS126,200-900$6,246
NEW RELIC INC 94,997 +2,000 $6,242
     NEWR94,997+2,000$6,242
IMMUNOMEDICS INC 293,950 +5,600 $6,220
     IMMU293,950+5,600$6,220
INTERCEPT PHARMACEUTICALS IN 50,100 +1,700 $6,208
     ICPT50,100+1,700$6,208
VALMONT INDS INC 41,400 +300 $6,201
     VMI41,400+300$6,201
AEROJET ROCKETDYNE HLDGS INC 135,600 +2,400 $6,191
     AJRD135,600+2,400$6,191
SIMPSON MANUFACTURING CO INC 76,900 +1,200 $6,170
     SSD76,900+1,200$6,170
ALKERMES PLC 301,947 -216,200 $6,160
     ALKS301,947-216,200$6,160
COLFAX CORP 169,000 +3,100 $6,148
     CFX169,000+3,100$6,148
UMB FINL CORP 89,200 +1,400 $6,123
     UMBF89,200+1,400$6,123
BANCORPSOUTH BK TUPELO MISS 194,600 +3,400 $6,112
     BXS194,600+3,400$6,112
AMERICAN STS WTR CO 70,500 +1,300 $6,108
     AWR70,500+1,300$6,108
MYOKARDIA INC 83,790 +1,400 $6,107
     MYOK83,790+1,400$6,107
AVISTA CORP 126,600 +2,900 $6,088
     AVA126,600+2,900$6,088
ENERSYS 81,300 +600 $6,084
     ENS81,300+600$6,084
CONMED CORP 54,200 +1,100 $6,061
     CNMD54,200+1,100$6,061
STANTEC INC 214,570 +3,900 $6,057
     STN214,570+3,900$6,057
PEGASYSTEMS INC 75,700 +1,400 $6,030
     PEGA75,700+1,400$6,030
TANDEM DIABETES CARE INC 101,000 +2,600 $6,021
     TNDM101,000+2,600$6,021
CRACKER BARREL OLD CTRY STOR 39,150 +800 $6,019
     CBRL39,150+800$6,019
MACQUARIE INFRASTRUCTURE COR 140,400 -5,300 $6,015
     MIC140,400-5,300$6,015
FEDERATED INVS INC PA 184,017 +3,200 $5,997
     FII184,017+3,200$5,997
SUNSTONE HOTEL INVS INC NEW 430,249 UNCH $5,989
     SHO430,249UNCH$5,989
HOME BANCSHARES INC (HOMB) 304,507 +4,200 $5,987
     HOMB304,507+4,200$5,987
LEGG MASON INC 166,147 +3,200 $5,966
     LM166,147+3,200$5,966
NOVANTA INC 67,200 +1,400 $5,943
     NOVT67,200+1,400$5,943
LIVERAMP HLDGS INC 123,300 UNCH $5,927
     RAMP123,300UNCH$5,927
51JOB INC 69,772 -30,766 $5,924
     JOBS69,772-30,766$5,924
UNIFIRST CORP MASS 29,300 +400 $5,918
     UNF29,300+400$5,918
WORLD WRESTLING ENTMT INC 91,000 +2,600 $5,903
     WWE91,000+2,600$5,903
IQIYI INC 279,585 -158,304 $5,902
     IQ279,585-158,304$5,902
LANCASTER COLONY CORP 36,826 +700 $5,896
     LANC36,826+700$5,896
TERADATA CORP DEL 218,459 -1,900 $5,848
     TDC218,459-1,900$5,848
MACERICH CO 217,100 -155,961 $5,844
     MAC217,100-155,961$5,844
RLJ LODGING TR 329,458 +3,400 $5,838
     RLJ329,458+3,400$5,838
SOUTH JERSEY INDS INC 176,909 +3,000 $5,834
     SJI176,909+3,000$5,834
COLUMBIA SPORTSWEAR CO 58,200 +400 $5,831
     COLM58,200+400$5,831
KENNAMETAL INC 157,900 +2,900 $5,825
     KMT157,900+2,900$5,825
BROOKS AUTOMATION INC 138,300 +2,900 $5,803
     BRKS138,300+2,900$5,803
INPHI CORP 78,200 +1,500 $5,788
     IPHI78,200+1,500$5,788
CORNERSTONE ONDEMAND INC 98,700 +3,200 $5,779
     CSOD98,700+3,200$5,779
QTS RLTY TR INC 105,783 +1,600 $5,741
     QTS105,783+1,600$5,741
BARNES GROUP INC 92,100 +400 $5,707
     B92,100+400$5,707
EVERCORE INC 76,300 -900 $5,704
     EVR76,300-900$5,704
ITRON INC 67,900 +1,300 $5,700
     ITRI67,900+1,300$5,700
COLUMBIA BKG SYS INC 139,707 +1,500 $5,684
     COLB139,707+1,500$5,684
SOUTH ST CORP 65,402 -1,000 $5,674
     SSB65,402-1,000$5,674
CHEMOURS CO 312,900 +4,400 $5,660
     CC312,900+4,400$5,660
NEXTERA ENERGY PARTNERS LP 107,500 +1,800 $5,660
     NEP107,500+1,800$5,660
HILTON GRAND VACATIONS INC 164,460 -6,400 $5,656
     HGV164,460-6,400$5,656
ANIXTER INTL INC 61,300 +1,300 $5,646
     AXE61,300+1,300$5,646
AGREE REALTY CORP 80,282 +7,900 $5,633
     ADC80,282+7,900$5,633
YPF SOCIEDAD ANONIMA 486,314 -156,700 $5,632
     YPF486,314-156,700$5,632
ACADIA HEALTHCAREPANY IN 169,468 +2,500 $5,630
     ACHC169,468+2,500$5,630
BUILDERS FIRSTSOURCE INC 221,100 +3,600 $5,618
     BLDR221,100+3,600$5,618
TRADEWEB MKTS INC 121,200 +121,200 $5,618
     TW121,200+121,200$5,618
UNIVERSAL FST PRODS INC 117,550 +2,100 $5,607
     UFPI117,550+2,100$5,607
COGENT COMMUNICATIONS HLDGS 85,100 +2,200 $5,600
     CCOI85,100+2,200$5,600
ZSCALER INC 120,300 +3,500 $5,594
     ZS120,300+3,500$5,594
VIASAT INC 76,324 +2,200 $5,587
     VSAT76,324+2,200$5,587
IOVANCE BIOTHERAPEUTICS INC 201,500 +4,400 $5,578
     IOVA201,500+4,400$5,578
WASHINGTON FED INC 152,000 +600 $5,571
     WAFD152,000+600$5,571
POTLATCHDELTIC CORPORATION 128,722 +1,600 $5,570
     PCH128,722+1,600$5,570
MORNINGSTAR INC 36,800 +800 $5,568
     MORN36,800+800$5,568
KAR AUCTION SVCS INC 255,500 +4,700 $5,567
     KAR255,500+4,700$5,567
AMN HEALTHCARE SERVICES INC 89,300 +1,700 $5,564
     AMN89,300+1,700$5,564
GUARDANT HEALTH INC 71,200 +2,600 $5,564
     GH71,200+2,600$5,564
IRIDIUMMUNICATIONS INC 225,400 +5,500 $5,554
     IRDM225,400+5,500$5,554
CENTERSTATE BK CORP 222,291 +1,100 $5,553
     CSFL222,291+1,100$5,553
POWER INTEGRATIONS INC 56,100 +1,200 $5,549
     POWI56,100+1,200$5,549
CERIDIAN HCM HLDG INC 81,700 +2,100 $5,546
     CDAY81,700+2,100$5,546
EQUITRANS MIDSTREAM CORPORAT 414,987 +7,100 $5,544
     ETRN414,987+7,100$5,544
RYDER SYS INC 102,038 +1,700 $5,542
     R102,038+1,700$5,542
FULTON FINL CORP PA 317,700 UNCH $5,538
     FULT317,700UNCH$5,538
CATHAY GEN BANCORP 145,200 +1,800 $5,525
     CATY145,200+1,800$5,525
NEOGENOMICS INC 188,900 +5,800 $5,525
     NEO188,900+5,800$5,525
AGIOS PHARMACEUTICALS INC 115,460 +16,000 $5,513
     AGIO115,460+16,000$5,513
ARES MANAGEMENT CORPORATION 154,366 +8,500 $5,509
     ARES154,366+8,500$5,509
WOLVERINE WORLD WIDE INC 163,200 -3,400 $5,506
     WWW163,200-3,400$5,506
II VI INC 163,224 -42,900 $5,496
     IIVI163,224-42,900$5,496
RETAIL PPTYS AMER INC 409,074 +7,900 $5,482
     RPAI409,074+7,900$5,482
INDEPENDENT BANK CORP MASS 65,778 +1,300 $5,476
     INDB65,778+1,300$5,476
KENNEDY WILSON HLDGS INC 245,568 +4,100 $5,476
     KW245,568+4,100$5,476
TEXAS CAPITAL BANCSHARES INC (TCBI) 96,250 +1,600 $5,464
     TCBI96,250+1,600$5,464
ORMAT TECHNOLOGIES INC 73,134 +1,600 $5,450
     ORA73,134+1,600$5,450
WORLD FUEL SVCS CORP 125,200 -1,300 $5,436
     INT125,200-1,300$5,436
NAVIENT CORPORATION 397,100 -8,200 $5,432
     NAVI397,100-8,200$5,432
COLLIERS INTL GROUP INC SUB VTG 69,800 +1,100 $5,428
     CIGI69,800+1,100$5,428
OLD NATL BANCORP IND 296,684 +2,000 $5,426
     ONB296,684+2,000$5,426
OLIN CORP 314,432 +4,200 $5,424
     OLN314,432+4,200$5,424
POLYONE CORP 147,200 +800 $5,415
     POL147,200+800$5,415
CNO FINL GROUP INC 298,500 -2,600 $5,412
     CNO298,500-2,600$5,412
BRADY CORP 94,300 +1,500 $5,400
     BRC94,300+1,500$5,400
SPECTRUM BRANDS HLDGS INC NE 83,999 +15,200 $5,400
     SPB83,999+15,200$5,400
VISHAY INTERTECHNOLOGY INC 253,300 +4,800 $5,393
     VSH253,300+4,800$5,393
PENN NATL GAMING INC 210,710 +1,900 $5,386
     PENN210,710+1,900$5,386
AURORA CANNABIS INC 2,507,865 -124,000 $5,382
     ACB2,507,865-124,000$5,382
AMERIS BANCORP 126,444 +2,400 $5,379
     ABCB126,444+2,400$5,379
GATX CORP 64,900 +200 $5,377
     GATX64,900+200$5,377
INVESTORS BANCORP INC NEW 450,276 +4,500 $5,365
     ISBC450,276+4,500$5,365
EXTENDED STAY AMER INC 360,786 +6,300 $5,365
     STAY360,786+6,300$5,365
BOK FINL CORP 61,274 +800 $5,355
     BOKF61,274+800$5,355
PIEDMONT OFFICE REALTY TR IN 240,700 +4,300 $5,353
     PDM240,700+4,300$5,353
SENSIENT TECHNOLOGIES CORP 81,000 +1,300 $5,353
     SXT81,000+1,300$5,353
QUIDEL CORP 71,300 +4,100 $5,350
     QDEL71,300+4,100$5,350
EQT CORP 489,059 +8,300 $5,331
     EQT489,059+8,300$5,331
J & J SNACK FOODS CORP 28,900 +600 $5,325
     JJSF28,900+600$5,325
QUALYS INC 63,800 +1,200 $5,319
     QLYS63,800+1,200$5,319
ATLANTIC UN BANKSHARES CORP (AUB) 141,447 +2,700 $5,311
     AUB141,447+2,700$5,311
BRANDYWINE RLTY TR 337,200 +5,800 $5,311
     BDN337,200+5,800$5,311
MOOG INC      $5,308
     MOG.A62,200+1,100$5,308
GRAHAM HLDGS CO 8,300 +100 $5,304
     GHC8,300+100$5,304
EL PASO ELEC CO 78,000 +1,400 $5,295
     EE78,000+1,400$5,295
WATTS WATER TECHNOLOGIES INC 52,900 +900 $5,277
     WTS52,900+900$5,277
COMMSCOPE HLDG CO INC 371,600 +7,300 $5,273
     COMM371,600+7,300$5,273
CABOT CORP 110,600 +600 $5,256
     CBT110,600+600$5,256
MGE ENERGY INC 66,250 +1,100 $5,222
     MGEE66,250+1,100$5,222
ADVANCED ENERGY INDS 73,300 +1,600 $5,219
     AEIS73,300+1,600$5,219
TREEHOUSE FOODS INC 107,551 +1,800 $5,216
     THS107,551+1,800$5,216
AMERICAN EQTY INVT LIFE HLD 174,200 +3,500 $5,214
     AEL174,200+3,500$5,214
KB HOME 152,000 +4,400 $5,209
     KBH152,000+4,400$5,209
CARGURUS INC 147,900 +3,400 $5,203
     CARG147,900+3,400$5,203
ELEMENT SOLUTIONS INC 442,189 +6,000 $5,165
     ESI442,189+6,000$5,165
SELECT MED HLDGS CORP 220,700 +4,700 $5,151
     SEM220,700+4,700$5,151
LCI INDS 47,900 +1,000 $5,132
     LCII47,900+1,000$5,132
SUMMIT MATLS INC 214,459 +4,100 $5,126
     SUM214,459+4,100$5,126
CIMPRESS PLC 40,700 +300 $5,119
     CMPR40,700+300$5,119
FOX FACTORY HLDG CORP 73,500 +1,700 $5,113
     FOXF73,500+1,700$5,113
WD 40 CO 26,300 +300 $5,106
     WDFC26,300+300$5,106
APOLLOL REAL EST FIN INC 279,139 +4,700 $5,105
     ARI279,139+4,700$5,105
CANTEL MEDICAL CORP 71,850 +1,200 $5,094
     CMD71,850+1,200$5,094
BJS WHSL CLUB HLDGS INC 222,600 UNCH $5,062
     BJ222,600UNCH$5,062
FULLER H B CO 97,500 +1,900 $5,028
     FUL97,500+1,900$5,028
CROCS INC 120,000 -1,300 $5,027
     CROX120,000-1,300$5,027
COMMERCIAL METALS CO 225,700 +3,800 $5,026
     CMC225,700+3,800$5,026
INTEGER HLDGS CORP 62,400 +1,100 $5,019
     ITGR62,400+1,100$5,019
DANA INCORPORATED 275,500 +4,700 $5,014
     DAN275,500+4,700$5,014
APERGY CORP 148,300 +2,900 $5,010
     APY148,300+2,900$5,010
PARAMOUNT GROUP INC 358,543 +5,600 $4,991
     PGRE358,543+5,600$4,991
ALLEGHENY TECHNOLOGIES INC 241,300 +4,100 $4,985
     ATI241,300+4,100$4,985
CRONOS GROUP INC 649,400 -31,900 $4,980
     CRON649,400-31,900$4,980
AUTONATION INC 102,300 +1,700 $4,975
     AN102,300+1,700$4,975
MONRO INC 63,542 +1,200 $4,969
     MNRO63,542+1,200$4,969
PROTO LABS INC 48,900 +1,000 $4,966
     PRLB48,900+1,000$4,966
TELEPHONE & DATA SYS INC 195,000 +4,200 $4,959
     TDS195,000+4,200$4,959
SIMMONS 1ST NATL CORP 184,986 +5,000 $4,956
     SFNC184,986+5,000$4,956
NIO INC SPON 1,232,625 -589,400 $4,955
     NIO1,232,625-589,400$4,955
HMS HLDGS CORP 167,200 +3,300 $4,949
     HMSY167,200+3,300$4,949
APPLIED INDL TECHNOLOGIES IN 73,900 +1,300 $4,928
     AIT73,900+1,300$4,928
TRINET GROUP INC 87,000 +1,300 $4,925
     TNET87,000+1,300$4,925
CLOUDERA INC 419,913 +8,400 $4,884
     CLDR419,913+8,400$4,884
PTC THERAPEUTICS INC 101,565 +2,500 $4,878
     PTCT101,565+2,500$4,878
FIRST MIDWEST BANCORP DEL 211,500 +2,100 $4,877
     FMBI211,500+2,100$4,877
VERMILION ENERGY INC 298,167 -268,400 $4,869
     VET298,167-268,400$4,869
WINGSTOP INC 56,300 +1,000 $4,855
     WING56,300+1,000$4,855
INNOSPEC INC 46,803 +800 $4,841
     IOSP46,803+800$4,841
DELEK US HLDGS INC NEW 144,319 UNCH $4,839
     DK144,319UNCH$4,839
FLUOR CORP NEW 255,422 -202,500 $4,822
     FLR255,422-202,500$4,822
INSIGHT ENTERPRISES INC 68,500 +1,400 $4,815
     NSIT68,500+1,400$4,815
NATIONAL VISION HLDGS INC 148,200 +2,600 $4,806
     EYE148,200+2,600$4,806
FIRST FINL BANCORP OH 188,643 +3,200 $4,799
     FFBC188,643+3,200$4,799
ABM INDS INC 127,100 +2,500 $4,793
     ABM127,100+2,500$4,793
AVON PRODS INC 848,700 +17,300 $4,787
     AVP848,700+17,300$4,787
BELDEN INC 87,000 +12,900 $4,785
     BDC87,000+12,900$4,785
BOYD GAMING CORP 159,600 +3,000 $4,778
     BYD159,600+3,000$4,778
AXSOME THERAPEUTICS INC 46,100 +2,800 $4,765
     AXSM46,100+2,800$4,765
EVERBRIDGE INC 61,000 +2,200 $4,763
     EVBG61,000+2,200$4,763
ADVANCED DISP SVCS INC DEL 144,800 +2,700 $4,760
     ADSW144,800+2,700$4,760
CALIFORNIA WTR SVC GROUP 92,200 +1,600 $4,754
     CWT92,200+1,600$4,754
WESBANCO INC 125,745 +23,145 $4,752
     WSBC125,745+23,145$4,752
AMICUS THERAPEUTICS INC 487,400 +53,300 $4,747
     FOLD487,400+53,300$4,747
YELP INC 135,964 -9,400 $4,736
     YELP135,964-9,400$4,736
HILLENBRAND INC 141,759 +24,259 $4,722
     HI141,759+24,259$4,722
MILLER HERMAN INC 113,000 +2,400 $4,706
     MLHR113,000+2,400$4,706
UNIQURE NV 65,500 +1,400 $4,694
     QURE65,500+1,400$4,694
SIMPLY GOOD FOODS CO 164,200 +33,400 $4,686
     SMPL164,200+33,400$4,686
COLUMBIA PPTY TR INC 223,845 +4,000 $4,681
     CXP223,845+4,000$4,681
CRESCENT PT ENERGY CORP 1,050,900 +19,500 $4,680
     CPG1,050,900+19,500$4,680
UNITED CMNTY BKS BLAIRSVLE G 151,400 +3,000 $4,675
     UCBI151,400+3,000$4,675
DIODES INC 82,900 +1,900 $4,673
     DIOD82,900+1,900$4,673
HAIN CELESTIAL GROUP INC 179,614 +3,500 $4,662
     HAIN179,614+3,500$4,662
XENIA HOTELS & RESORTS INC 215,580 +3,900 $4,659
     XHR215,580+3,900$4,659
ENSTAR GROUP LIMITED 22,400 +400 $4,634
     ESGR22,400+400$4,634
CVB FINL CORP 214,600 +4,100 $4,631
     CVBF214,600+4,100$4,631
SILGAN HOLDINGS INC 149,000 +2,600 $4,631
     SLGN149,000+2,600$4,631
VISTEON CORP 53,500 +500 $4,630
     VC53,500+500$4,630
KORN FERRY 109,100 +2,800 $4,626
     KFY109,100+2,800$4,626
TOWER SEMICONDUCTOR LTD 193,552 +3,678 $4,623
     TSEM193,552+3,678$4,623
SAIA INC 49,600 +900 $4,619
     SAIA49,600+900$4,619
BIOHAVEN PHARMACTL HLDG CO L 84,800 +2,600 $4,617
     BHVN84,800+2,600$4,617
LATTICE SEMICONDUCTOR CORP 241,200 +5,100 $4,617
     LSCC241,200+5,100$4,617
TRINITY INDS INC 208,100 +1,100 $4,609
     TRN208,100+1,100$4,609
ESCO TECHNOLOGIES INC 49,800 +1,000 $4,607
     ESE49,800+1,000$4,607
AMERICAN EAGLE OUTFITTERS IN 313,200 +5,900 $4,604
     AEO313,200+5,900$4,604
INTERNATIONAL BANCSHARES COR (IBOC) 106,800 +1,700 $4,600
     IBOC106,800+1,700$4,600
MEDPACE HLDGS INC 54,700 +800 $4,598
     MEDP54,700+800$4,598
PREMIER INC 121,212 +4,900 $4,592
     PINC121,212+4,900$4,592
WESCO INTL INC 77,200 -2,700 $4,585
     WCC77,200-2,700$4,585
DOMTAR CORP 119,800 +1,100 $4,581
     UFS119,800+1,100$4,581
FABRINET 70,540 +1,300 $4,574
     FN70,540+1,300$4,574
SANMINA CORPORATION 133,300 +3,800 $4,564
     SANM133,300+3,800$4,564
ACCELERON PHARMA INC 86,000 +1,700 $4,560
     XLRN86,000+1,700$4,560
EXLSERVICE HOLDINGS INC 65,468 +900 $4,547
     EXLS65,468+900$4,547
INVESCO MORTGAGE CAPITAL INC 272,900 +4,600 $4,544
     IVR272,900+4,600$4,544
CARPENTER TECHNOLOGY CORP 91,200 +2,200 $4,540
     CRS91,200+2,200$4,540
PATTERN ENERGY GROUP INC 169,249 +2,800 $4,528
     PEGI169,249+2,800$4,528
EMERGENT BIOSOLUTIONS INC 83,900 +1,600 $4,526
     EBS83,900+1,600$4,526
ALAMOS GOLD INC NEW 748,836 +11,800 $4,510
     AGI748,836+11,800$4,510
VARONIS SYS INC 58,018 +1,200 $4,509
     VRNS58,018+1,200$4,509
BOX INC 268,600 +7,400 $4,507
     BOX268,600+7,400$4,507
LENDINGTREE INC NEW 14,850 +300 $4,506
     TREE14,850+300$4,506
BOTTOMLINE TECH DEL INC 83,900 +2,000 $4,497
     EPAY83,900+2,000$4,497
SSR MNG INC 233,211 +3,600 $4,483
     SSRM233,211+3,600$4,483
MEDNAX INC 161,200 -1,200 $4,480
     MD161,200-1,200$4,480
ULTRAGENYX PHARMACEUTICAL IN 104,852 +2,000 $4,478
     RARE104,852+2,000$4,478
ALTRA INDL MOTION CORP 123,600 +2,600 $4,476
     AIMC123,600+2,600$4,476
WASHINGTON REAL ESTATE INVT 153,300 +3,000 $4,473
     WRE153,300+3,000$4,473
HALOZYME THERAPEUTICS INC 252,000 +5,500 $4,468
     HALO252,000+5,500$4,468
CADENCE BANCORPORATION 246,305 +4,500 $4,466
     CADE246,305+4,500$4,466
ALBANY INTL CORP 58,800 +4,300 $4,464
     AIN58,800+4,300$4,464
AMERICAN ASSETS TR INC 97,200 +5,200 $4,461
     AAT97,200+5,200$4,461
RAPID7 INC