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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE INC 3,018,490 -18,091 $581,150
     AAPL3,018,490-18,091$581,150
MICROSOFT CORP 1,534,658 -636 $577,093
     MSFT1,534,658-636$577,093
AMAZON COM INC 1,877,617 +1,551 $285,285
     AMZN1,877,617+1,551$285,285
NVIDIA CORPORATION 510,020 -383 $252,572
     NVDA510,020-383$252,572
ALPHABET INC 1,221,958 -4,016 $170,695
     GOOGL1,221,958-4,016$170,695
META PLATFORMS INC 458,396 -959 $162,254
     META458,396-959$162,254
ALPHABET INC 1,028,435 -14,434 $144,937
     GOOG1,028,435-14,434$144,937
TESLA INC 571,023 +457 $141,888
     TSLA571,023+457$141,888
BERKSHIRE HATHAWAY INC DEL      $133,993
     BRK.B375,689-1,158$133,993
JPMORGAN CHASE & CO 596,903 -3,564 $101,533
     JPM596,903-3,564$101,533
BROADCOM INC 90,628 +5,357 $101,164
     AVGO90,628+5,357$101,164
UNITEDHEALTH GROUP INC 190,968 -429 $100,539
     UNH190,968-429$100,539
ELI LILLY & CO 164,683 -121 $95,997
     LLY164,683-121$95,997
VISA INC 329,139 -2,890 $85,691
     V329,139-2,890$85,691
EXXON MOBIL CORP 827,356 -107 $82,719
     XOM827,356-107$82,719
JOHNSON & JOHNSON 497,061 -525 $77,909
     JNJ497,061-525$77,909
MASTERCARD INCORPORATED 171,182 -534 $73,011
     MA171,182-534$73,011
SPDR S&P 500 ETF TR (SPY) 152,631 +52,793 $72,547
     SPY152,631+52,793$72,547
HOME DEPOT INC 206,437 -1,252 $71,541
     HD206,437-1,252$71,541
PROCTER AND GAMBLE CO 486,664 -452 $71,316
     PG486,664-452$71,316
COSTCO WHSL CORP NEW 91,418 -153 $60,343
     COST91,418-153$60,343
MERCK & CO INC 523,386 -1,115 $57,060
     MRK523,386-1,115$57,060
ABBVIE INC 364,449 -172 $56,479
     ABBV364,449-172$56,479
ADOBE INC 94,011 -174 $56,087
     ADBE94,011-174$56,087
CHEVRON CORP NEW 362,570 -4,127 $54,081
     CVX362,570-4,127$54,081
SALESFORCE INC 200,911 -358 $52,868
     CRM200,911-358$52,868
ADVANCED MICRO DEVICES INC 333,613 -250 $49,178
     AMD333,613-250$49,178
PEPSICO INC 283,867 -568 $48,212
     PEP283,867-568$48,212
BANK AMERICA CORP 1,420,501 -6,934 $47,828
     BAC1,420,501-6,934$47,828
COCA COLA CO 803,386 -776 $47,344
     KO803,386-776$47,344
WALMART INC 294,558 -360 $46,437
     WMT294,558-360$46,437
ACCENTURE PLC IRELAND 129,590 -755 $45,474
     ACN129,590-755$45,474
MCDONALDS CORP 149,773 -819 $44,409
     MCD149,773-819$44,409
NETFLIX INC 90,373 -1,198 $44,001
     NFLX90,373-1,198$44,001
INTEL CORP 868,164 +5,132 $43,625
     INTC868,164+5,132$43,625
THERMO FISHER SCIENTIFIC INC 79,779 +28 $42,346
     TMO79,779+28$42,346
CISCO SYS INC 836,381 -5,693 $42,254
     CSCO836,381-5,693$42,254
LINDE PLC 100,140 -706 $41,128
     LIN100,140-706$41,128
ABBOTT LABS 358,319 -269 $39,440
     ABT358,319-269$39,440
WELLS FARGO CO NEW 749,649 -6,171 $36,898
     WFC749,649-6,171$36,898
COMCAST CORP NEW 829,104 -21,296 $36,356
     CMCSA829,104-21,296$36,356
INTUIT 57,869 -2 $36,170
     INTU57,869-2$36,170
ORACLE CORP 328,072 +2,764 $34,589
     ORCL328,072+2,764$34,589
DISNEY WALT CO 377,792 -284 $34,111
     DIS377,792-284$34,111
PFIZER INC 1,165,809 -781 $33,564
     PFE1,165,809-781$33,564
QUALCOMM INC 229,800 -792 $33,236
     QCOM229,800-792$33,236
S&P GLOBAL INC 74,434 +71 $32,790
     SPGI74,434+71$32,790
VERIZON COMMUNICATIONS INC 867,826 -639 $32,717
     VZ867,826-639$32,717
TEXAS INSTRS INC 188,048 -43 $32,055
     TXN188,048-43$32,055
AMGEN INC 110,505 -25 $31,828
     AMGN110,505-25$31,828
DANAHER CORPORATION 135,783 +4 $31,412
     DHR135,783+4$31,412
CATERPILLAR INC 105,329 -79 $31,143
     CAT105,329-79$31,143
UNION PAC CORP 125,773 -65 $30,892
     UNP125,773-65$30,892
INTERNATIONAL BUSINESS MACHS 188,531 +295 $30,834
     IBM188,531+295$30,834
BOEING CO 117,154 -4 $30,537
     BA117,154-4$30,537
PHILIP MORRIS INTL INC 320,524 +396 $30,155
     PM320,524+396$30,155
SERVICENOW INC 42,195 -100 $29,810
     NOW42,195-100$29,810
GOLDMAN SACHS GROUP INC 74,909 -567 $28,898
     GS74,909-567$28,898
GENERAL ELECTRIC CO 224,775 -167 $28,688
     GE224,775-167$28,688
HONEYWELL INTL INC 136,123 -1,075 $28,546
     HON136,123-1,075$28,546
CONOCOPHILLIPS 245,227 -2,267 $28,463
     COP245,227-2,267$28,463
APPLIED MATLS INC 172,732 -794 $27,995
     AMAT172,732-794$27,995
NIKE INC 252,737 -409 $27,440
     NKE252,737-409$27,440
MORGAN STANLEY 290,094 -2,599 $27,051
     MS290,094-2,599$27,051
LOWES COS INC 118,871 -2,207 $26,455
     LOW118,871-2,207$26,455
UBER TECHNOLOGIES INC 424,884 +424,884 $26,160
     UBER424,884+424,884$26,160
NEXTERA ENERGY INC 423,614 +5,466 $25,730
     NEE423,614+5,466$25,730
BOOKING HOLDINGS INC 7,202 -171 $25,547
     BKNG7,202-171$25,547
PROLOGIS INC. 190,771 -121 $25,430
     PLD190,771-121$25,430
RTX CORPORATION 296,900 -3,862 $24,981
     RTX296,900-3,862$24,981
AT&T INC 1,476,347 +2,988 $24,773
     T1,476,347+2,988$24,773
INTUITIVE SURGICAL INC 72,696 +94 $24,525
     ISRG72,696+94$24,525
UNITED PARCEL SERVICE INC 149,828 -116 $23,557
     UPS149,828-116$23,557
SCHWAB CHARLES CORP 342,259 +987 $23,547
     SCHW342,259+987$23,547
ELEVANCE HEALTH INC 48,515 -179 $22,878
     ELV48,515-179$22,878
STARBUCKS CORP 235,925 -126 $22,651
     SBUX235,925-126$22,651
MEDTRONIC PLC 274,714 -335 $22,631
     MDT274,714-335$22,631
AMERICAN EXPRESS CO 118,839 -1,348 $22,263
     AXP118,839-1,348$22,263
SPDR SER TR (SPMD) 456,560 +26,344 $22,244
     SPMD456,560+26,344$22,244
TJX COS INC NEW 236,303 -1,243 $22,168
     TJX236,303-1,243$22,168
DEERE & CO 55,301 -1,039 $22,113
     DE55,301-1,039$22,113
VERTEX PHARMACEUTICALS INC 53,223 -125 $21,656
     VRTX53,223-125$21,656
BRISTOL MYERS SQUIBB CO 420,114 -11,545 $21,556
     BMY420,114-11,545$21,556
LAM RESEARCH CORP 27,213 -331 $21,315
     LRCX27,213-331$21,315
CVS HEALTH CORP 265,188 -200 $20,939
     CVS265,188-200$20,939
STRYKER CORPORATION 69,814 -31 $20,906
     SYK69,814-31$20,906
GILEAD SCIENCES INC 257,362 -187 $20,849
     GILD257,362-187$20,849
AMERICAN TOWER CORP NEW 96,128 -25 $20,752
     AMT96,128-25$20,752
LOCKHEED MARTIN CORP 45,590 -721 $20,663
     LMT45,590-721$20,663
ANALOG DEVICES INC 102,923 -719 $20,436
     ADI102,923-719$20,436
MONDELEZ INTL INC 280,907 -211 $20,346
     MDLZ280,907-211$20,346
CITIGROUP INC 393,803 -2,799 $20,257
     C393,803-2,799$20,257
AUTOMATIC DATA PROCESSING IN 85,270 +144 $19,865
     ADP85,270+144$19,865
EATON CORP PLC 82,463 UNCH $19,859
     ETN82,463UNCH$19,859
REGENERON PHARMACEUTICALS 22,127 +64 $19,434
     REGN22,127+64$19,434
MICRON TECHNOLOGY INC 226,710 +394 $19,347
     MU226,710+394$19,347
MARSH & MCLENNAN COS INC 101,804 -259 $19,289
     MMC101,804-259$19,289
BLACKSTONE INC 147,165 +514 $19,267
     BX147,165+514$19,267
PROGRESSIVE CORP 120,836 -151 $19,247
     PGR120,836-151$19,247
CHUBB LIMITED 84,243 -632 $19,039
     CB84,243-632$19,039
PALO ALTO NETWORKS INC 64,174 +977 $18,924
     PANW64,174+977$18,924
ZOETIS INC 94,793 -319 $18,709
     ZTS94,793-319$18,709
THE CIGNA GROUP 60,422 -740 $18,093
     CI60,422-740$18,093
BOSTON SCIENTIFIC CORP 303,825 +2,721 $17,564
     BSX303,825+2,721$17,564
CME GROUP INC 82,591 +228 $17,394
     CME82,591+228$17,394
T MOBILE US INC 105,069 -1,895 $16,846
     TMUS105,069-1,895$16,846
INTERCONTINENTAL EXCHANGE IN (ICE) 130,994 +287 $16,824
     ICE130,994+287$16,824
SPDR SER TR (SPSM) 395,284 -35,465 $16,673
     SPSM395,284-35,465$16,673
FISERV INC 123,931 +123,931 $16,463
     FI123,931+123,931$16,463
KLA CORP 28,066 -184 $16,315
     KLAC28,066-184$16,315
SYNOPSYS INC 31,412 -39 $16,174
     SNPS31,412-39$16,174
SOUTHERN CO 225,179 -154 $15,790
     SO225,179-154$15,790
EQUINIX INC 19,384 +51 $15,612
     EQIX19,384+51$15,612
DUKE ENERGY CORP NEW 159,128 -119 $15,442
     DUK159,128-119$15,442
SCHLUMBERGER LTD 295,006 +1,281 $15,352
     SLB295,006+1,281$15,352
CADENCE DESIGN SYSTEM INC 56,192 +14 $15,305
     CDNS56,192+14$15,305
SHERWIN WILLIAMS CO 48,586 -261 $15,154
     SHW48,586-261$15,154
DECKERS OUTDOOR CORP 22,252 +57 $14,874
     DECK22,252+57$14,874
ILLINOIS TOOL WKS INC 56,532 -326 $14,808
     ITW56,532-326$14,808
ALTRIA GROUP INC 365,090 -117 $14,728
     MO365,090-117$14,728
BECTON DICKINSON & CO 59,902 -45 $14,606
     BDX59,902-45$14,606
EOG RES INC 120,432 +93 $14,566
     EOG120,432+93$14,566
MOODYS CORP 36,064 -11 $14,085
     MCO36,064-11$14,085
CSX CORP 405,322 -6,546 $14,053
     CSX405,322-6,546$14,053
US BANCORP DEL 321,409 -234 $13,911
     USB321,409-234$13,911
RELIANCE STEEL & ALUMINUM CO 49,690 -64 $13,897
     RS49,690-64$13,897
NORTHROP GRUMMAN CORP 29,268 -120 $13,702
     NOC29,268-120$13,702
PAYPAL HLDGS INC 222,602 -4,279 $13,670
     PYPL222,602-4,279$13,670
TARGET CORP 95,286 -62 $13,571
     TGT95,286-62$13,571
WASTE MGMT INC DEL 75,676 -486 $13,554
     WM75,676-486$13,554
COLGATE PALMOLIVE CO 169,784 -2 $13,533
     CL169,784-2$13,533
CARLISLE COS INC 42,056 -340 $13,140
     CSL42,056-340$13,140
CHIPOTLE MEXICAN GRILL INC 5,668 -33 $12,962
     CMG5,668-33$12,962
GODADDY INC 121,637 -3,032 $12,913
     GDDY121,637-3,032$12,913
PNC FINL SVCS GROUP INC 82,186 +241 $12,727
     PNC82,186+241$12,727
MCKESSON CORP 27,483 -401 $12,724
     MCK27,483-401$12,724
GRACO INC 145,809 +2,285 $12,650
     GGG145,809+2,285$12,650
FREEPORT MCMORAN INC 296,072 -151 $12,604
     FCX296,072-151$12,604
AIR PRODS & CHEMS INC 45,878 -34 $12,561
     APD45,878-34$12,561
WATSCO INC 29,264 +780 $12,539
     WSO29,264+780$12,539
3M CO 114,011 -19 $12,464
     MMM114,011-19$12,464
RPM INTL INC 111,289 +1,686 $12,423
     RPM111,289+1,686$12,423
LENNOX INTL INC 27,639 +505 $12,369
     LII27,639+505$12,369
ARISTA NETWORKS INC 52,046 +215 $12,257
     ANET52,046+215$12,257
AMPHENOL CORP NEW 123,542 +290 $12,247
     APH123,542+290$12,247
WP CAREY INC 188,877 +188,877 $12,241
     WPC188,877+188,877$12,241
PARKER HANNIFIN CORP 26,528 +17 $12,221
     PH26,528+17$12,221
AIRBNB INC 89,761 +1,665 $12,220
     ABNB89,761+1,665$12,220
LULULEMON ATHLETICA INC 23,775 +23,775 $12,156
     LULU23,775+23,775$12,156
GENERAL DYNAMICS CORP 46,769 -60 $12,145
     GD46,769-60$12,145
NXP SEMICONDUCTORS N V 52,822 -5 $12,132
     NXPI52,822-5$12,132
PHILLIPS 66 90,861 -1,170 $12,097
     PSX90,861-1,170$12,097
FEDEX CORP 47,758 -53 $12,081
     FDX47,758-53$12,081
AON PLC 41,341 -579 $12,031
     AON41,341-579$12,031
ROPER TECHNOLOGIES INC 22,056 +6 $12,024
     ROP22,056+6$12,024
HUMANA INC 25,421 -183 $11,638
     HUM25,421-183$11,638
MARATHON PETE CORP 78,429 -4,221 $11,636
     MPC78,429-4,221$11,636
OREILLY AUTOMOTIVE INC 12,218 -265 $11,608
     ORLY12,218-265$11,608
TRANSDIGM GROUP INC 11,421 +19 $11,553
     TDG11,421+19$11,553
TRANE TECHNOLOGIES PLC 47,169 -35 $11,505
     TT47,169-35$11,505
MARRIOTT INTL INC NEW 50,936 -828 $11,487
     MAR50,936-828$11,487
EMERSON ELEC CO 117,708 -378 $11,457
     EMR117,708-378$11,457
MANHATTAN ASSOCIATES INC 53,183 +808 $11,451
     MANH53,183+808$11,451
SUPER MICRO COMPUTER INC 40,091 +1,309 $11,396
     SMCI40,091+1,309$11,396
FIDELITY NATIONAL FINANCIAL 223,321 +3,754 $11,394
     FNF223,321+3,754$11,394
GAMING & LEISURE PPTYS INC 230,633 +7,605 $11,382
     GLPI230,633+7,605$11,382
OWENS CORNING NEW 76,776 +480 $11,381
     OC76,776+480$11,381
EQUITY LIFESTYLE PPTYS INC 160,996 +2,815 $11,357
     ELS160,996+2,815$11,357
DYNATRACE INC 206,190 +4,432 $11,277
     DT206,190+4,432$11,277
NEUROCRINE BIOSCIENCES INC 84,876 +1,941 $11,183
     NBIX84,876+1,941$11,183
VISTRA CORP 290,303 -3,101 $11,182
     VST290,303-3,101$11,182
WILLIAMS SONOMA INC 55,413 +869 $11,181
     WSM55,413+869$11,181
AECOM 119,841 +2,021 $11,077
     ACM119,841+2,021$11,077
NORFOLK SOUTHN CORP 46,680 -217 $11,034
     NSC46,680-217$11,034
HCA HEALTHCARE INC 40,611 -1,277 $10,993
     HCA40,611-1,277$10,993
BURLINGTON STORES INC 56,021 +56,021 $10,895
     BURL56,021+56,021$10,895
PIONEER NAT RES CO 48,174 -1 $10,833
     PXD48,174-1$10,833
CINTAS CORP 17,876 +6 $10,773
     CTAS17,876+6$10,773
AUTODESK INC 44,136 -25 $10,746
     ADSK44,136-25$10,746
LINCOLN ELEC HLDGS INC 49,413 +652 $10,745
     LECO49,413+652$10,745
MOTOROLA SOLUTIONS INC 34,259 -243 $10,726
     MSI34,259-243$10,726
PACCAR INC 108,026 -25 $10,549
     PCAR108,026-25$10,549
ECOLAB INC 52,397 -19 $10,393
     ECL52,397-19$10,393
CAPITAL ONE FINL CORP 78,633 -182 $10,310
     COF78,633-182$10,310
WELLTOWER INC 114,274 +7,092 $10,304
     WELL114,274+7,092$10,304
TOPBUILD CORP 27,449 +478 $10,273
     BLD27,449+478$10,273
FLOOR & DECOR HLDGS INC 92,049 +92,049 $10,269
     FND92,049+92,049$10,269
FIVE BELOW INC 48,104 +829 $10,254
     FIVE48,104+829$10,254
CROWN CASTLE INC 88,964 -453 $10,248
     CCI88,964-453$10,248
REXFORD INDL RLTY INC 182,355 +7,028 $10,230
     REXR182,355+7,028$10,230
MSCI INC 18,044 +44 $10,207
     MSCI18,044+44$10,207
MICROCHIP TECHNOLOGY INC. 112,698 -763 $10,163
     MCHP112,698-763$10,163
TRUIST FINL CORP 275,166 +396 $10,159
     TFC275,166+396$10,159
GENERAL MTRS CO 282,755 -1,540 $10,157
     GM282,755-1,540$10,157
GALLAGHER ARTHUR J & CO 44,940 +758 $10,106
     AJG44,940+758$10,106
SAIA INC 22,934 +398 $10,050
     SAIA22,934+398$10,050
PUBLIC STORAGE 32,674 -23 $9,966
     PSA32,674-23$9,966
CARRIER GLOBAL CORPORATION 173,237 +163 $9,952
     CARR173,237+163$9,952
DEXCOM INC 79,779 -370 $9,900
     DXCM79,779-370$9,900
FORD MTR CO DEL 811,282 -459 $9,890
     F811,282-459$9,890
NEWMONT CORP 237,954 +73,743 $9,849
     NEM237,954+73,743$9,849
AMERICAN INTL GROUP INC 144,949 -2,147 $9,820
     AIG144,949-2,147$9,820
SEMPRA 129,937 -93 $9,710
     SRE129,937-93$9,710
ROSS STORES INC 69,935 -471 $9,678
     ROST69,935-471$9,678
HILTON WORLDWIDE HLDGS INC 52,947 -1,088 $9,641
     HLT52,947-1,088$9,641
OVINTIV INC 219,217 +3,769 $9,628
     OVV219,217+3,769$9,628
SIMON PPTY GROUP INC NEW 67,273 -247 $9,596
     SPG67,273-247$9,596
CROWN HLDGS INC 103,833 +1,758 $9,562
     CCK103,833+1,758$9,562
EDWARDS LIFESCIENCES CORP 125,223 -387 $9,548
     EW125,223-387$9,548
TOLL BROTHERS INC 92,846 -17 $9,544
     TOL92,846-17$9,544
IDEXX LABS INC 17,158 +5 $9,524
     IDXX17,158+5$9,524
D R HORTON INC 62,245 -688 $9,460
     DHI62,245-688$9,460
AUTOZONE INC 3,641 -110 $9,414
     AZO3,641-110$9,414
UNITED STATES STL CORP NEW 192,675 +3,313 $9,374
     X192,675+3,313$9,374
PERFORMANCE FOOD GROUP CO 134,417 +1,804 $9,295
     PFGC134,417+1,804$9,295
REINSURANCE GRP OF AMERICA I 56,934 +700 $9,211
     RGA56,934+700$9,211
EQUITABLE HLDGS INC 274,824 +274,824 $9,152
     EQH274,824+274,824$9,152
BANK NEW YORK MELLON CORP 175,630 -1,627 $9,142
     BK175,630-1,627$9,142
VALERO ENERGY CORP 70,321 -2,673 $9,142
     VLO70,321-2,673$9,142
AFLAC INC 109,807 -1,903 $9,059
     AFL109,807-1,903$9,059
TE CONNECTIVITY LTD 64,171 -701 $9,016
     TEL64,171-701$9,016
CUBESMART 194,247 +3,320 $9,003
     CUBE194,247+3,320$9,003
TRAVELERS COMPANIES INC 47,161 -148 $8,984
     TRV47,161-148$8,984
UNITED THERAPEUTICS CORP DEL 40,543 +684 $8,915
     UTHR40,543+684$8,915
CLEVELAND CLIFFS INC NEW 435,928 +4,111 $8,902
     CLF435,928+4,111$8,902
RENAISSANCERE HLDGS LTD 45,347 +1,879 $8,888
     RNR45,347+1,879$8,888
US FOODS HLDG CORP 195,388 +2,474 $8,873
     USFD195,388+2,474$8,873
AMERIPRISE FINL INC 23,314 -245 $8,855
     AMP23,314-245$8,855
CASEYS GEN STORES INC 32,193 +438 $8,845
     CASY32,193+438$8,845
COPART INC 180,470 +862 $8,843
     CPRT180,470+862$8,843
NUCOR CORP 50,771 -634 $8,836
     NUE50,771-634$8,836
AMERICAN ELEC PWR CO INC 108,577 +2,129 $8,819
     AEP108,577+2,129$8,819
MONSTER BEVERAGE CORP NEW 152,577 -1,153 $8,790
     MNST152,577-1,153$8,790
XPO INC 100,141 +1,695 $8,771
     XPO100,141+1,695$8,771
EAST WEST BANCORP INC 121,743 +1,582 $8,759
     EWBC121,743+1,582$8,759
EMCOR GROUP INC 40,639 +608 $8,755
     EME40,639+608$8,755
IQVIA HLDGS INC 37,801 -28 $8,746
     IQV37,801-28$8,746
WILLIAMS COS INC 251,114 -173 $8,746
     WMB251,114-173$8,746
SERVICE CORP INTL 127,574 -490 $8,732
     SCI127,574-490$8,732
TORO CO 89,707 +1,461 $8,611
     TTC89,707+1,461$8,611
REALTY INCOME CORP 149,476 +3,015 $8,583
     O149,476+3,015$8,583
METLIFE INC 128,374 -2,150 $8,489
     MET128,374-2,150$8,489
REGAL REXNORD CORPORATION 57,316 +999 $8,484
     RRX57,316+999$8,484
KIMBERLY CLARK CORP 69,759 +370 $8,476
     KMB69,759+370$8,476
NVENT ELECTRIC PLC 143,324 +2,533 $8,469
     NVT143,324+2,533$8,469
ITT INC 70,922 +1,196 $8,462
     ITT70,922+1,196$8,462
ONEOK INC NEW 120,259 -98 $8,445
     OKE120,259-98$8,445
DIGITAL RLTY TR INC 62,517 -17 $8,414
     DLR62,517-17$8,414
AGILENT TECHNOLOGIES INC 60,415 -622 $8,399
     A60,415-622$8,399
PENUMBRA INC 33,341 +697 $8,387
     PEN33,341+697$8,387
ANNALY CAPITAL MANAGEMENT IN 431,231 +13,188 $8,353
     NLY431,231+13,188$8,353
ADVANCED DRAIN SYS INC DEL 59,201 +412 $8,326
     WMS59,201+412$8,326
FORTUNE BRANDS INNOVATIONS I 108,928 +1,161 $8,294
     FBIN108,928+1,161$8,294
L3HARRIS TECHNOLOGIES INC 39,134 +55 $8,242
     LHX39,134+55$8,242
HESS CORP 57,091 -23 $8,230
     HES57,091-23$8,230
LATTICE SEMICONDUCTOR CORP 119,236 +2,173 $8,226
     LSCC119,236+2,173$8,226
ALLY FINL INC 234,478 +3,963 $8,188
     ALLY234,478+3,963$8,188
CENTENE CORP DEL 110,296 -1,586 $8,185
     CNC110,296-1,586$8,185
OCCIDENTAL PETE CORP 136,364 -770 $8,142
     OXY136,364-770$8,142
DOMINION ENERGY INC 172,651 -1,622 $8,115
     D172,651-1,622$8,115
ESSENTIAL UTILS INC 217,008 +10,427 $8,105
     WTRG217,008+10,427$8,105
JOHNSON CTLS INTL PLC 140,474 -105 $8,097
     JCI140,474-105$8,097
CONSTELLATION BRANDS INC 33,370 +41 $8,067
     STZ33,370+41$8,067
REPLIGEN CORP 44,855 +817 $8,065
     RGEN44,855+817$8,065
LAMAR ADVERTISING CO NEW 75,622 +1,308 $8,037
     LAMR75,622+1,308$8,037
KNIGHT SWIFT TRANSN HLDGS IN 139,335 +2,350 $8,033
     KNX139,335+2,350$8,033
UNITED RENTALS INC 13,996 -114 $8,026
     URI13,996-114$8,026
CHARTER COMMUNICATIONS INC N 20,614 -128 $8,012
     CHTR20,614-128$8,012
ARCHER DANIELS MIDLAND CO 110,134 -644 $7,954
     ADM110,134-644$7,954
PG&E CORP 440,523 +8,403 $7,943
     PCG440,523+8,403$7,943
DOW INC 144,817 -455 $7,942
     DOW144,817-455$7,942
CHURCHILL DOWNS INC 58,640 +777 $7,912
     CHDN58,640+777$7,912
PAYCHEX INC 66,383 +76 $7,907
     PAYX66,383+76$7,907
AMETEK INC 47,665 -18 $7,859
     AME47,665-18$7,859
LITHIA MTRS INC 23,763 +365 $7,825
     LAD23,763+365$7,825
GENERAL MLS INC 120,046 -897 $7,820
     GIS120,046-897$7,820
COGNIZANT TECHNOLOGY SOLUTIO 103,526 -828 $7,819
     CTSH103,526-828$7,819
DICKS SPORTING GOODS INC 53,087 -130 $7,801
     DKS53,087-130$7,801
TREX CO INC 93,810 +1,609 $7,767
     TREX93,810+1,609$7,767
JONES LANG LASALLE INC 41,079 +601 $7,759
     JLL41,079+601$7,759
BIOGEN INC 29,928 -7 $7,744
     BIIB29,928-7$7,744
PRUDENTIAL FINL INC 74,481 -469 $7,724
     PRU74,481-469$7,724
CONSTELLATION ENERGY CORP 65,966 -507 $7,711
     CEG65,966-507$7,711
FORTINET INC 131,604 -3,088 $7,703
     FTNT131,604-3,088$7,703
BJS WHSL CLUB HLDGS INC 115,525 +1,407 $7,701
     BJ115,525+1,407$7,701
LENNAR CORP 51,668 -529 $7,701
     LEN51,668-529$7,701
TETRA TECH INC NEW 45,997 +776 $7,678
     TTEK45,997+776$7,678
INTERACTIVE BROKERS GROUP IN 92,446 +1,596 $7,664
     IBKR92,446+1,596$7,664
KENVUE INC 355,848 -249 $7,661
     KVUE355,848-249$7,661
FASTENAL CO 117,989 -72 $7,642
     FAST117,989-72$7,642
CHEMED CORP NEW 13,012 +207 $7,609
     CHE13,012+207$7,609
CARLYLE GROUP INC 186,981 +186,981 $7,608
     CG186,981+186,981$7,608
SYSCO CORP 103,970 -266 $7,603
     SYY103,970-266$7,603
CLEAN HARBORS INC 43,505 +734 $7,592
     CLH43,505+734$7,592
TEMPUR SEALY INTL INC 148,820 +2,609 $7,585
     TPX148,820+2,609$7,585
ALLSTATE CORP 54,030 -17 $7,563
     ALL54,030-17$7,563
GRAINGER W W INC 9,124 -74 $7,561
     GWW9,124-74$7,561
WEBSTER FINL CORP 148,549 +1,470 $7,540
     WBS148,549+1,470$7,540
HF SINCLAIR CORP 135,238 +11,711 $7,515
     DINO135,238+11,711$7,515
YUM BRANDS INC 57,414 -3 $7,502
     YUM57,414-3$7,502
OTIS WORLDWIDE CORP 83,809 -526 $7,498
     OTIS83,809-526$7,498
OLD DOMINION FREIGHT LINE IN 18,480 -40 $7,490
     ODFL18,480-40$7,490
ON SEMICONDUCTOR CORP 88,958 -238 $7,431
     ON88,958-238$7,431
CHESAPEAKE ENERGY CORP 96,231 +697 $7,404
     CHK96,231+697$7,404
EXELON CORP 205,482 -109 $7,377
     EXC205,482-109$7,377
COSTAR GROUP INC 84,335 -58 $7,370
     CSGP84,335-58$7,370
CURTISS WRIGHT CORP 33,034 +502 $7,360
     CW33,034+502$7,360
ROCKWELL AUTOMATION INC 23,677 -57 $7,351
     ROK23,677-57$7,351
EASTGROUP PPTYS INC 40,006 +1,465 $7,343
     EGP40,006+1,465$7,343
FIDELITY NATL INFORMATION SV 122,243 -87 $7,343
     FIS122,243-87$7,343
SIMPSON MFG INC 36,864 +622 $7,298
     SSD36,864+622$7,298
PPG INDS INC 48,685 +22 $7,281
     PPG48,685+22$7,281
GARTNER INC 16,094 -193 $7,260
     IT16,094-193$7,260
ERIE INDTY CO 21,544 +364 $7,216
     ERIE21,544+364$7,216
UNIVERSAL DISPLAY CORP 37,638 +644 $7,199
     OLED37,638+644$7,199
SKECHERS U S A INC 115,408 +1,291 $7,195
     SKX115,408+1,291$7,195
WEX INC 36,919 +439 $7,183
     WEX36,919+439$7,183
UNUM GROUP 158,383 +2,209 $7,162
     UNM158,383+2,209$7,162
RBC BEARINGS INC 25,122 +448 $7,157
     RBC25,122+448$7,157
VERISK ANALYTICS INC 29,944 -22 $7,152
     VRSK29,944-22$7,152
AUTOLIV INC 64,696 +162 $7,129
     ALV64,696+162$7,129
LEAR CORP 50,329 +435 $7,107
     LEA50,329+435$7,107
WOODWARD INC 52,193 +880 $7,105
     WWD52,193+880$7,105
BAKER HUGHES COMPANY 207,756 -863 $7,101
     BKR207,756-863$7,101
CYTOKINETICS INC 84,705 +4,262 $7,072
     CYTK84,705+4,262$7,072
XCEL ENERGY INC 113,933 -27 $7,054
     XEL113,933-27$7,054
TEXAS ROADHOUSE INC 57,691 +1,002 $7,052
     TXRH57,691+1,002$7,052
KINDER MORGAN INC DEL 399,297 -1,269 $7,044
     KMI399,297-1,269$7,044
APTARGROUP INC 56,825 +1,081 $7,025
     ATR56,825+1,081$7,025
VAIL RESORTS INC 32,900 +161 $7,023
     MTN32,900+161$7,023
CUMMINS INC 29,273 -2 $7,013
     CMI29,273-2$7,013
EXTRA SPACE STORAGE INC 43,616 -33 $6,993
     EXR43,616-33$6,993
CELSIUS HLDGS INC 128,084 +86,291 $6,983
     CELH128,084+86,291$6,983
CORTEVA INC 145,542 -1,149 $6,974
     CTVA145,542-1,149$6,974
REPUBLIC SVCS INC 42,226 -258 $6,963
     RSG42,226-258$6,963
LAUDER ESTEE COS INC 47,499 -361 $6,947
     EL47,499-361$6,947
KEURIG DR PEPPER INC 207,884 +4 $6,927
     KDP207,884+4$6,927
NEW YORK TIMES CO 141,350 +2,442 $6,925
     NYT141,350+2,442$6,925
ELECTRONIC ARTS INC 50,539 -404 $6,914
     EA50,539-404$6,914
E L F BEAUTY INC 47,684 +1,434 $6,883
     ELF47,684+1,434$6,883
DARLING INGREDIENTS INC 137,753 +2,359 $6,866
     DAR137,753+2,359$6,866
ROYAL GOLD INC 56,748 +959 $6,864
     RGLD56,748+959$6,864
BERRY GLOBAL GROUP INC 101,734 +1,446 $6,856
     BERY101,734+1,446$6,856
FIRST HORIZON CORPORATION 482,695 +8,198 $6,835
     FHN482,695+8,198$6,835
DUPONT DE NEMOURS INC 88,798 -6,063 $6,831
     DD88,798-6,063$6,831
GLOBAL PMTS INC 53,762 +41 $6,828
     GPN53,762+41$6,828
NOV INC 336,363 -1,994 $6,821
     NOV336,363-1,994$6,821
MIDDLEBY CORP 46,305 +781 $6,815
     MIDD46,305+781$6,815
DONALDSON INC 104,256 +1,286 $6,813
     DCI104,256+1,286$6,813
VICI PPTYS INC 213,652 +4,201 $6,811
     VICI213,652+4,201$6,811
MODERNA INC 68,404 -18 $6,803
     MRNA68,404-18$6,803
NNN REIT INC 157,601 +2,682 $6,793
     NNN157,601+2,682$6,793
AMERICAN FINL GROUP INC OHIO 56,451 +233 $6,711
     AFG56,451+233$6,711
UFP INDUSTRIES INC 53,398 +857 $6,704
     UFPI53,398+857$6,704
JAZZ PHARMACEUTICALS PLC 54,363 +766 $6,687
     JAZZ54,363+766$6,687
HALLIBURTON CO 184,800 -861 $6,681
     HAL184,800-861$6,681
OLD REP INTL CORP 225,254 +431 $6,622
     ORI225,254+431$6,622
WESCO INTL INC 37,940 +407 $6,597
     WCC37,940+407$6,597
VOYA FINANCIAL INC 90,245 +408 $6,584
     VOYA90,245+408$6,584
GENTEX CORP 201,497 +3,243 $6,581
     GNTX201,497+3,243$6,581
DROPBOX INC 221,276 +2,295 $6,523
     DBX221,276+2,295$6,523
WINGSTOP INC 25,410 +139 $6,520
     WING25,410+139$6,520
AGCO CORP 53,689 +905 $6,518
     AGCO53,689+905$6,518
GRAPHIC PACKAGING HLDG CO 264,351 +3,475 $6,516
     GPK264,351+3,475$6,516
TENET HEALTHCARE CORP 86,200 +1,043 $6,514
     THC86,200+1,043$6,514
ANSYS INC 17,924 -13 $6,504
     ANSS17,924-13$6,504
OMEGA HEALTHCARE INVS INC 211,551 +3,673 $6,486
     OHI211,551+3,673$6,486
CONSOLIDATED EDISON INC 71,281 +7 $6,484
     ED71,281+7$6,484
ONTO INNOVATION INC 42,399 +727 $6,483
     ONTO42,399+727$6,483
QUANTA SVCS INC 30,004 -5 $6,475
     PWR30,004-5$6,475
INGERSOLL RAND INC 83,608 +20 $6,466
     IR83,608+20$6,466
KBR INC 116,624 +3,392 $6,462
     KBR116,624+3,392$6,462
AXALTA COATING SYS LTD 190,120 +1,831 $6,458
     AXTA190,120+1,831$6,458
EXELIXIS INC 268,639 -1,759 $6,445
     EXEL268,639-1,759$6,445
MORNINGSTAR INC 22,498 +403 $6,440
     MORN22,498+403$6,440
LIGHT & WONDER INC 77,754 +403 $6,384
     LNW77,754+403$6,384
NEW YORK CMNTY BANCORP INC 623,858 +10,537 $6,382
     NYCB623,858+10,537$6,382
PVH CORPORATION 52,199 -1,066 $6,375
     PVH52,199-1,066$6,375
KINSALE CAP GROUP INC 19,017 +330 $6,369
     KNSL19,017+330$6,369
MARTIN MARIETTA MATLS INC 12,761 -9 $6,367
     MLM12,761-9$6,367
COMFORT SYS USA INC 30,853 +474 $6,346
     FIX30,853+474$6,346
RANGE RES CORP 208,453 +3,476 $6,345
     RRC208,453+3,476$6,345
RAMBUS INC DEL 92,872 +189 $6,339
     RMBS92,872+189$6,339
ARAMARK 225,412 +3,803 $6,334
     ARMK225,412+3,803$6,334
ROYAL CARIBBEAN GROUP 48,615 -25 $6,295
     RCL48,615-25$6,295
BELLRING BRANDS INC 113,551 +1,915 $6,294
     BRBR113,551+1,915$6,294
EQUIFAX INC 25,440 +83 $6,291
     EFX25,440+83$6,291
PUBLIC SVC ENTERPRISE GRP IN 102,886 -242 $6,291
     PEG102,886-242$6,291
CDW CORP 27,653 -39 $6,286
     CDW27,653-39$6,286
GXO LOGISTICS INCORPORATED 102,716 +1,749 $6,282
     GXO102,716+1,749$6,282
GE HEALTHCARE TECHNOLOGIES I 80,834 +11 $6,250
     GEHC80,834+11$6,250
KROGER CO 136,635 +196 $6,246
     KR136,635+196$6,246
MONOLITHIC PWR SYS INC 9,894 +20 $6,241
     MPWR9,894+20$6,241
QUALYS INC 31,777 +598 $6,237
     QLYS31,777+598$6,237
CACI INTL INC 19,245 -375 $6,233
     CACI19,245-375$6,233
SOUTHWESTERN ENERGY CO 951,084 +16,046 $6,230
     SWN951,084+16,046$6,230
VULCAN MATLS CO 27,436 -19 $6,228
     VMC27,436-19$6,228
PRIMERICA INC 30,264 -112 $6,227
     PRI30,264-112$6,227
COGNEX CORP 148,707 +2,380 $6,207
     CGNX148,707+2,380$6,207
CENCORA INC 34,432 -26 $6,197
     ABC34,432-26$6,197
ACADIA HEALTHCARE COMPANY IN 79,661 +1,381 $6,194
     ACHC79,661+1,381$6,194
MEDPACE HLDGS INC 20,145 +417 $6,175
     MEDP20,145+417$6,175
PAYLOCITY HLDG CORP 37,367 +797 $6,160
     PCTY37,367+797$6,160
STAG INDL INC 156,831 +4,265 $6,157
     STAG156,831+4,265$6,157
SPS COMM INC 31,702 +575 $6,145
     SPSC31,702+575$6,145
DOLLAR TREE INC 43,153 -107 $6,130
     DLTR43,153-107$6,130
OSHKOSH CORP 56,508 +1,049 $6,126
     OSK56,508+1,049$6,126
EAGLE MATLS INC 30,137 +45 $6,113
     EXP30,137+45$6,113
INGREDION INC 56,316 +145 $6,112
     INGR56,316+145$6,112
FTI CONSULTING INC 30,676 +1,775 $6,109
     FCN30,676+1,775$6,109
DOLLAR GEN CORP NEW 44,861 -393 $6,099
     DG44,861-393$6,099
WEATHERFORD INTL PLC 62,292 +1,053 $6,094
     WFRD62,292+1,053$6,094
STIFEL FINL CORP 88,110 -598 $6,093
     SF88,110-598$6,093
KRAFT HEINZ CO 164,621 -360 $6,088
     KHC164,621-360$6,088
SHOCKWAVE MED INC 31,874 +663 $6,074
     SWAV31,874+663$6,074
BWX TECHNOLOGIES INC 79,003 +1,332 $6,062
     BWXT79,003+1,332$6,062
OGE ENERGY CORP 173,020 +2,918 $6,044
     OGE173,020+2,918$6,044
BRIXMOR PPTY GROUP INC 259,560 +4,382 $6,040
     BRX259,560+4,382$6,040
FIRST INDL RLTY TR INC 114,267 +1,945 $6,018
     FR114,267+1,945$6,018
BLOCK H & R INC 124,337 -4,996 $6,014
     HRB124,337-4,996$6,014
LANDSTAR SYS INC 31,052 +524 $6,013
     LSTR31,052+524$6,013
CULLEN FROST BANKERS INC 55,303 +868 $6,000
     CFR55,303+868$6,000
DEVON ENERGY CORP NEW 132,293 -99 $5,993
     DVN132,293-99$5,993
FABRINET 31,385 +558 $5,974
     FN31,385+558$5,974
MURPHY USA INC 16,726 +146 $5,964
     MUSA16,726+146$5,964
FAIR ISAAC CORP 5,105 -33 $5,942
     FICO5,105-33$5,942
CHORD ENERGY CORPORATION 35,659 +387 $5,928
     CHRD35,659+387$5,928
BRUKER CORP 80,111 -3,452 $5,887
     BRKR80,111-3,452$5,887
JEFFERIES FINL GROUP INC 145,425 -4,673 $5,877
     JEF145,425-4,673$5,877
APPLIED INDL TECHNOLOGIES IN 33,967 +1,684 $5,866
     AIT33,967+1,684$5,866
CBRE GROUP INC 62,934 -1,090 $5,859
     CBRE62,934-1,090$5,859
KEYSIGHT TECHNOLOGIES INC 36,667 -191 $5,833
     KEYS36,667-191$5,833
DISCOVER FINL SVCS 51,629 -779 $5,803
     DFS51,629-779$5,803
PINNACLE FINL PARTNERS INC 66,293 +1,131 $5,782
     PNFP66,293+1,131$5,782
ENCOMPASS HEALTH CORP 86,585 +1,460 $5,777
     EHC86,585+1,460$5,777
HERSHEY CO 30,950 -16 $5,770
     HSY30,950-16$5,770
FLUOR CORP NEW 147,176 +25,415 $5,765
     FLR147,176+25,415$5,765
WYNDHAM HOTELS & RESORTS INC 71,635 +109 $5,760
     WH71,635+109$5,760
MATTEL INC 305,010 +4,377 $5,759
     MAT305,010+4,377$5,759
LITTELFUSE INC 21,503 +362 $5,753
     LFUS21,503+362$5,753
BRUNSWICK CORP 59,445 +136 $5,751
     BC59,445+136$5,751
CIENA CORP 127,715 +747 $5,748
     CIEN127,715+747$5,748
FIRST AMERN FINL CORP 89,134 +1,584 $5,744
     FAF89,134+1,584$5,744
DIAMONDBACK ENERGY INC 36,958 +7 $5,731
     FANG36,958+7$5,731
ARCH CAP GROUP LTD 77,075 -13 $5,724
     ACGL77,075-13$5,724
ARROW ELECTRS INC 46,787 -488 $5,720
     ARW46,787-488$5,720
OLIN CORP 105,866 -996 $5,711
     OLN105,866-996$5,711
XYLEM INC 49,784 +14 $5,693
     XYL49,784+14$5,693
SCIENCE APPLICATIONS INTL CO 45,728 -592 $5,685
     SAIC45,728-592$5,685
HEALTHCARE RLTY TR 329,021 +5,563 $5,669
     HR329,021+5,563$5,669
EDISON INTL 79,137 -60 $5,658
     EIX79,137-60$5,658
SBA COMMUNICATIONS CORP NEW 22,007 -323 $5,583
     SBAC22,007-323$5,583
MKS INSTRS INC 54,237 +880 $5,579
     MKSI54,237+880$5,579
STATE STR CORP 71,748 -1,926 $5,558
     STT71,748-1,926$5,558
SOUTHSTATE CORPORATION 65,710 +1,159 $5,549
     SSB65,710+1,159$5,549
ANTERO RESOURCES CORP 244,048 +4,243 $5,535
     AR244,048+4,243$5,535
MERITAGE HOMES CORP 31,760 +536 $5,533
     MTH31,760+536$5,533
PRICE T ROWE GROUP INC 51,294 -60 $5,524
     TROW51,294-60$5,524
AVALONBAY CMNTYS INC 29,322 -22 $5,490
     AVB29,322-22$5,490
SEI INVTS CO 86,392 +960 $5,490
     SEIC86,392+960$5,490
PROSPERITY BANCSHARES INC (PB) 80,956 +1,360 $5,483
     PB80,956+1,360$5,483
WEC ENERGY GROUP INC 65,128 -48 $5,482
     WEC65,128-48$5,482
COMMERCE BANCSHARES INC (CBSH) 102,589 +2,924 $5,479
     CBSH102,589+2,924$5,479
ACUITY BRANDS INC 26,735 +244 $5,476
     AYI26,735+244$5,476
ENSIGN GROUP INC 48,766 +1,035 $5,472
     ENSG48,766+1,035$5,472
AGREE RLTY CORP 86,834 +5,075 $5,466
     ADC86,834+5,075$5,466
MATADOR RES CO 95,712 +1,604 $5,442
     MTDR95,712+1,604$5,442
THOR INDS INC 46,025 +751 $5,442
     THO46,025+751$5,442
MURPHY OIL CORP 126,770 +781 $5,408
     MUR126,770+781$5,408
HP INC 179,561 +286 $5,403
     HPQ179,561+286$5,403
STARWOOD PPTY TR INC 256,939 +4,697 $5,401
     STWD256,939+4,697$5,401
MSA SAFETY INC 31,921 +546 $5,389
     MSA31,921+546$5,389
PLANET FITNESS INC 73,726 +2,010 $5,382
     PLNT73,726+2,010$5,382
WEST PHARMACEUTICAL SVSC INC 15,278 +16 $5,380
     WST15,278+16$5,380
METTLER TOLEDO INTERNATIONAL 4,425 -41 $5,367
     MTD4,425-41$5,367
HEXCEL CORP NEW 72,660 +924 $5,359
     HXL72,660+924$5,359
HOULIHAN LOKEY INC 44,581 +44,581 $5,346
     HLI44,581+44,581$5,346
FORTIVE CORP 72,578 -177 $5,344
     FTV72,578-177$5,344
DELTA AIR LINES INC DEL 132,761 -91 $5,341
     DAL132,761-91$5,341
SPIRIT RLTY CAP INC NEW 122,090 +2,059 $5,334
     SRC122,090+2,059$5,334
ASPEN TECHNOLOGY INC 24,212 +122 $5,330
     AZPN24,212+122$5,330
GLOBUS MED INC 99,653 -21 $5,311
     GMED99,653-21$5,311
AMERICAN WTR WKS CO INC NEW 40,201 -22 $5,306
     AWK40,201-22$5,306
TAKE TWO INTERACTIVE SOFTWAR 32,658 +21 $5,256
     TTWO32,658+21$5,256
ZIMMER BIOMET HOLDINGS INC 43,151 -29 $5,251
     ZBH43,151-29$5,251
WEYERHAEUSER CO MTN BE 150,732 -267 $5,241
     WY150,732-267$5,241
ALCOA CORP 154,108 +2,619 $5,240
     AA154,108+2,619$5,240
APTIV PLC 58,405 -36 $5,240
     APTV58,405-36$5,240
RESMED INC 30,372 +11 $5,225
     RMD30,372+11$5,225
NOVANTA INC 30,935 +524 $5,210
     NOVT30,935+524$5,210
SELECTIVE INS GROUP INC 52,340 +901 $5,207
     SIGI52,340+901$5,207
OPTION CARE HEALTH INC 153,015 +249 $5,155
     OPCH153,015+249$5,155
WARNER BROS DISCOVERY INC 452,552 -5,419 $5,150
     WBD452,552-5,419$5,150
WILLIS TOWERS WATSON PLC LTD 21,322 -339 $5,143
     WTW21,322-339$5,143
CARDINAL HEALTH INC 50,907 -1,718 $5,131
     CAH50,907-1,718$5,131
EVERCORE INC 29,941 +336 $5,121
     EVR29,941+336$5,121
COMMERCIAL METALS CO 100,989 +1,804 $5,053
     CMC100,989+1,804$5,053
CAPRI HOLDINGS LIMITED 100,399 +1,824 $5,044
     CPRI100,399+1,824$5,044
CIVITAS RESOURCES INC 73,713 +1,253 $5,040
     CIVI73,713+1,253$5,040
LYONDELLBASELL INDUSTRIES N 52,907 -13 $5,030
     LYB52,907-13$5,030
ATI INC 110,209 +1,003 $5,011
     ATI110,209+1,003$5,011
GENPACT LIMITED 144,177 +2,505 $5,004
     G144,177+2,505$5,004
BROADRIDGE FINL SOLUTIONS IN 24,285 -116 $4,997
     BR24,285-116$4,997
HARTFORD FINL SVCS GROUP INC 62,105 -1,089 $4,992
     HIG62,105-1,089$4,992
CRANE COMPANY 42,196 +730 $4,985
     CR42,196+730$4,985
ULTA BEAUTY INC 10,168 -126 $4,982
     ULTA10,168-126$4,982
HYATT HOTELS CORP 38,196 +38,196 $4,981
     H38,196+38,196$4,981
COHERENT CORP 113,796 +3,453 $4,954
     COHR113,796+3,453$4,954
TAYLOR MORRISON HOME CORP 92,820 -133 $4,952
     TMHC92,820-133$4,952
CHART INDS INC 36,257 +626 $4,943
     GTLS36,257+626$4,943
WATTS WATER TECHNOLOGIES INC 23,642 +387 $4,926
     WTS23,642+387$4,926
CHAMPIONX CORPORATION 168,279 +1,324 $4,915
     CHX168,279+1,324$4,915
SENSATA TECHNOLOGIES HLDG PL 130,732 +1,299 $4,912
     ST130,732+1,299$4,912
HEALTHEQUITY INC 73,971 +1,381 $4,904
     HQY73,971+1,381$4,904
WINTRUST FINL CORP 52,876 +912 $4,904
     WTFC52,876+912$4,904
CORNING INC 160,965 -83 $4,901
     GLW160,965-83$4,901
CROCS INC 52,321 -33 $4,887
     CROX52,321-33$4,887
PERMIAN RESOURCES CORP 359,046 +123,315 $4,883
     PR359,046+123,315$4,883
ESSENT GROUP LTD 92,225 +1,361 $4,864
     ESNT92,225+1,361$4,864
FIFTH THIRD BANCORP 140,578 -79 $4,849
     FITB140,578-79$4,849
FRONTIER COMMUNICATIONS PARE 190,803 +3,307 $4,835
     FYBR190,803+3,307$4,835
RAYMOND JAMES FINL INC 43,246 +85 $4,822
     RJF43,246+85$4,822
CHURCH & DWIGHT CO INC 50,870 +31 $4,810
     CHD50,870+31$4,810
COLUMBIA BKG SYS INC 179,924 +3,073 $4,800
     COLB179,924+3,073$4,800
TRACTOR SUPPLY CO 22,324 -160 $4,800
     TSCO22,324-160$4,800
CORE & MAIN INC 118,048 +118,048 $4,770
     CNM118,048+118,048$4,770
TD SYNNEX CORPORATION 44,309 +3,701 $4,768
     SNX44,309+3,701$4,768
SYNOVUS FINL CORP 126,149 +2,066 $4,750
     SNV126,149+2,066$4,750
MACYS INC 236,019 +5,034 $4,749
     M236,019+5,034$4,749
ZOOMINFO TECHNOLOGIES INC 255,871 -2,971 $4,731
     ZI255,871-2,971$4,731
SONOCO PRODS CO 84,584 +1,427 $4,726
     SON84,584+1,427$4,726
WOLFSPEED INC 108,103 +2,537 $4,704
     WOLF108,103+2,537$4,704
M & T BK CORP 34,266 -12 $4,697
     MTB34,266-12$4,697
WABTEC 36,994 -22 $4,695
     WAB36,994-22$4,695
EBAY INC. 107,132 -2,799 $4,673
     EBAY107,132-2,799$4,673
FLOWSERVE CORP 113,346 +1,913 $4,672
     FLS113,346+1,913$4,672
CADENCE BANK 157,728 +2,699 $4,667
     CADE157,728+2,699$4,667
MUELLER INDS INC 98,072 +49,851 $4,624
     MLI98,072+49,851$4,624
MGIC INVT CORP WIS 239,559 -214 $4,621
     MTG239,559-214$4,621
RLI CORP 34,685 +607 $4,617
     RLI34,685+607$4,617
DTE ENERGY CO 41,801 -791 $4,609
     DTE41,801-791$4,609
VONTIER CORPORATION 133,259 +1,900 $4,604
     VNT133,259+1,900$4,604
PULTE GROUP INC 44,531 -829 $4,596
     PHM44,531-829$4,596
SOLAREDGE TECHNOLOGIES INC 49,070 +37,826 $4,593
     SEDG49,070+37,826$4,593
NVR INC 656 -18 $4,592
     NVR656-18$4,592
DT MIDSTREAM INC 83,710 +1,412 $4,587
     DTM83,710+1,412$4,587
SEALED AIR CORP NEW 124,756 +95,357 $4,556
     SEE124,756+95,357$4,556
ILLUMINA INC 32,704 +447 $4,554
     ILMN32,704+447$4,554
NASDAQ INC 78,069 +458 $4,539
     NDAQ78,069+458$4,539
BANK OZK LITTLE ROCK ARK 90,892 +1,526 $4,529
     OZK90,892+1,526$4,529
HEWLETT PACKARD ENTERPRISE C 264,888 -1,986 $4,498
     HPE264,888-1,986$4,498
TIMKEN CO 56,070 +563 $4,494
     TKR56,070+563$4,494
MASIMO CORP 38,300 +677 $4,489
     MASI38,300+677$4,489
STERIS PLC 20,399 +15 $4,485
     STE20,399+15$4,485
VALVOLINE INC 118,837 +1,133 $4,466
     VVV118,837+1,133$4,466
SPDR SER TR (SPYV) 95,746 UNCH $4,465
     SPYV95,746UNCH$4,465
EVERSOURCE ENERGY 72,125 -5 $4,452
     ES72,125-5$4,452
UGI CORP NEW 180,785 +3,045 $4,447
     UGI180,785+3,045$4,447
DOVER CORP 28,885 -18 $4,443
     DOV28,885-18$4,443
DOLBY LABORATORIES INC 51,440 +867 $4,433
     DLB51,440+867$4,433
DOUBLEVERIFY HLDGS INC 120,406 +13,780 $4,429
     DV120,406+13,780$4,429
BOISE CASCADE CO DEL 34,200 +577 $4,424
     BCC34,200+577$4,424
AFFILIATED MANAGERS GROUP IN 29,206 -559 $4,422
     AMG29,206-559$4,422
ENTERGY CORP NEW 43,654 -29 $4,417
     ETR43,654-29$4,417
RYDER SYS INC 38,289 -377 $4,406
     R38,289-377$4,406
IRIDIUM COMMUNICATIONS INC 106,990 +786 $4,404
     IRDM106,990+786$4,404
MAXIMUS INC 52,509 +886 $4,403
     MMS52,509+886$4,403
EXLSERVICE HOLDINGS INC 142,471 +1,724 $4,395
     EXLS142,471+1,724$4,395
UNITED BANKSHARES INC WEST V (UBSI) 116,563 -591 $4,377
     UBSI116,563-591$4,377
APARTMENT INCOME REIT CORP 125,911 -767 $4,373
     AIRC125,911-767$4,373
HOWMET AEROSPACE INC 80,768 -151 $4,371
     HWM80,768-151$4,371
EQUITY RESIDENTIAL 71,345 +76 $4,363
     EQR71,345+76$4,363
NEXSTAR MEDIA GROUP INC 27,832 -460 $4,363
     NXST27,832-460$4,363
MOLINA HEALTHCARE INC 12,037 -9 $4,349
     MOH12,037-9$4,349
TELEDYNE TECHNOLOGIES INC 9,743 +15 $4,348
     TDY9,743+15$4,348
POLARIS INC 45,858 +601 $4,346
     PII45,858+601$4,346
MACOM TECH SOLUTIONS HLDGS I 46,750 +930 $4,345
     MTSI46,750+930$4,345
KITE RLTY GROUP TR 189,519 +3,208 $4,332
     KRG189,519+3,208$4,332
CBOE GLOBAL MKTS INC 24,235 +60 $4,327
     CBOE24,235+60$4,327
ALASKA AIR GROUP INC 110,605 +84,218 $4,321
     ALK110,605+84,218$4,321
AAON INC 58,252 +726 $4,303
     AAON58,252+726$4,303
IDACORP INC 43,724 +737 $4,299
     IDA43,724+737$4,299
PTC INC 24,543 -19 $4,294
     PTC24,543-19$4,294
F N B CORP 309,977 +5,234 $4,268
     FNB309,977+5,234$4,268
INTERNATIONAL FLAVORS&FRAGRA 52,695 +73 $4,267
     IFF52,695+73$4,267
BUILDERS FIRSTSOURCE INC 25,478 -80,812 $4,253
     BLDR25,478-80,812$4,253
ACADEMY SPORTS & OUTDOORS IN 64,388 -545 $4,250
     ASO64,388-545$4,250
ESAB CORPORATION 48,941 +835 $4,239
     ESAB48,941+835$4,239
INSIGHT ENTERPRISES INC 23,920 -1,760 $4,238
     NSIT23,920-1,760$4,238
OLD NATL BANCORP IND 250,546 +2,162 $4,232
     ONB250,546+2,162$4,232
TKO GROUP HOLDINGS INC 51,829 +7,334 $4,228
     TKO51,829+7,334$4,228
SPROUTS FMRS MKT INC 87,735 +1,102 $4,221
     SFM87,735+1,102$4,221
HALOZYME THERAPEUTICS INC 114,114 +2,075 $4,218
     HALO114,114+2,075$4,218
IRON MTN INC DEL 60,211 +857 $4,214
     IRM60,211+857$4,214
VALMONT INDS INC 18,046 +200 $4,214
     VMI18,046+200$4,214
EXPEDIA GROUP INC 27,489 -954 $4,173
     EXPE27,489-954$4,173
FACTSET RESH SYS INC 8,722 -14 $4,161
     FDS8,722-14$4,161
SIGNET JEWELERS LIMITED 38,775 +210 $4,159
     SIG38,775+210$4,159
BALCHEM CORP 27,852 +471 $4,143
     BCPC27,852+471$4,143
VENTAS INC 83,061 -62 $4,140
     VTR83,061-62$4,140
KB HOME 66,138 +139 $4,131
     KBH66,138+139$4,131
PBF ENERGY INC 93,953 +531 $4,130
     PBF93,953+531$4,130
PPL CORP 152,202 +3,010 $4,125
     PPL152,202+3,010$4,125
FLEETCOR TECHNOLOGIES INC 14,585 -685 $4,122
     FLT14,585-685$4,122
HOME BANCSHARES INC (HOMB) 162,100 +2,094 $4,106
     HOMB162,100+2,094$4,106
KYNDRYL HLDGS INC 197,083 +2,690 $4,095
     KD197,083+2,690$4,095
ALEXANDRIA REAL ESTATE EQ IN 32,291 +114 $4,094
     ARE32,291+114$4,094
DARDEN RESTAURANTS INC 24,847 -134 $4,082
     DRI24,847-134$4,082
GARMIN LTD 31,606 -44 $4,063
     GRMN31,606-44$4,063
GAMESTOP CORP NEW 231,622 +3,955 $4,060
     GME231,622+3,955$4,060
MSC INDL DIRECT INC 40,053 -201 $4,056
     MSM40,053-201$4,056
INVITATION HOMES INC 118,769 -89 $4,051
     INVH118,769-89$4,051
OLLIES BARGAIN OUTLET HLDGS 53,303 +819 $4,045
     OLLI53,303+819$4,045
FEDERAL SIGNAL CORP 52,634 +833 $4,039
     FSS52,634+833$4,039
CHEMOURS CO 128,026 +2,322 $4,038
     CC128,026+2,322$4,038
POWER INTEGRATIONS INC 49,117 +373 $4,033
     POWI49,117+373$4,033
ALIGN TECHNOLOGY INC 14,706 -1 $4,029
     ALGN14,706-1$4,029
HARLEY DAVIDSON INC 109,355 -149 $4,029
     HOG109,355-149$4,029
WATERS CORP 12,208 -4 $4,019
     WAT12,208-4$4,019
COTY INC 323,515 +19,321 $4,018
     COTY323,515+19,321$4,018
BAXTER INTL INC 103,752 +808 $4,011
     BAX103,752+808$4,011
NORTHERN TR CORP 47,532 +953 $4,011
     NTRS47,532+953$4,011
GENUINE PARTS CO 28,956 -72 $4,010
     GPC28,956-72$4,010
KIRBY CORP 51,054 +521 $4,007
     KEX51,054+521$4,007
AMEREN CORP 55,326 +1,036 $4,002
     AEE55,326+1,036$4,002
VALLEY NATL BANCORP 368,395 +6,248 $4,001
     VLY368,395+6,248$4,001
ASBURY AUTOMOTIVE GROUP INC 17,775 +301 $3,999
     ABG17,775+301$3,999
ALKERMES PLC 144,142 +144,142 $3,998
     ALKS144,142+144,142$3,998
TARGA RES CORP 46,028 -186 $3,998
     TRGP46,028-186$3,998
LABORATORY CORP AMER HLDGS 17,529 -778 $3,984
     LH17,529-778$3,984
SPX TECHNOLOGIES INC 39,433 +714 $3,983
     SPXC39,433+714$3,983
NATIONAL FUEL GAS CO 79,318 +1,338 $3,979
     NFG79,318+1,338$3,979
CONCENTRIX CORP 40,504 +4,000 $3,978
     CNXC40,504+4,000$3,978
SM ENERGY CO 102,582 +1,800 $3,972
     SM102,582+1,800$3,972
COTERRA ENERGY INC 155,345 -1,204 $3,964
     CTRA155,345-1,204$3,964
STERICYCLE INC 79,892 +1,349 $3,959
     SRCL79,892+1,349$3,959
GLACIER BANCORP INC NEW 95,623 +1,644 $3,951
     GBCI95,623+1,644$3,951
LINCOLN NATL CORP IND 146,384 +2,497 $3,948
     LNC146,384+2,497$3,948
AVNET INC 78,166 +542 $3,940
     AVT78,166+542$3,940
MASTEC INC 51,989 +654 $3,937
     MTZ51,989+654$3,937
RAYONIER INC 117,802 +2,006 $3,936
     RYN117,802+2,006$3,936
ASGN INC 40,756 -331 $3,920
     ASGN40,756-331$3,920
BADGER METER INC 25,351 +452 $3,913
     BMI25,351+452$3,913
FIRSTENERGY CORP 106,602 +4 $3,908
     FE106,602+4$3,908
VORNADO RLTY TR 137,867 +2,178 $3,895
     VNO137,867+2,178$3,895
CABOT CORP 46,590 +217 $3,890
     CBT46,590+217$3,890
RH 13,331 +215 $3,886
     RH13,331+215$3,886
YETI HLDGS INC 75,029 +1,365 $3,885
     YETI75,029+1,365$3,885
WESTLAKE CORPORATION 27,752 +603 $3,884
     WLK27,752+603$3,884
CIRRUS LOGIC INC 46,560 +96 $3,873
     CRUS46,560+96$3,873
GAP INC 185,245 +4,024 $3,873
     GPS185,245+4,024$3,873
COOPER COS INC 10,226 -5 $3,870
     COO10,226-5$3,870
POST HLDGS INC 43,894 +740 $3,865
     POST43,894+740$3,865
EXPONENT INC 43,730 +544 $3,850
     EXPO43,730+544$3,850
SYNAPTICS INC 33,751 +325 $3,850
     SYNA33,751+325$3,850
ABERCROMBIE & FITCH CO 43,502 +982 $3,838
     ANF43,502+982$3,838
LOUISIANA PAC CORP 54,088 -1,780 $3,831
     LPX54,088-1,780$3,831
DXC TECHNOLOGY CO 167,259 +127,718 $3,825
     DXC167,259+127,718$3,825
CARNIVAL CORP 206,066 -610 $3,820
     CCL206,066-610$3,820
EXPEDITORS INTL WASH INC 30,030 -541 $3,820
     EXPD30,030-541$3,820
EURONET WORLDWIDE INC 37,480 -2,569 $3,804
     EEFT37,480-2,569$3,804
HUNTINGTON BANCSHARES INC (HBAN) 298,982 -185 $3,803
     HBAN298,982-185$3,803
FIRST SOLAR INC 22,067 -14 $3,802
     FSLR22,067-14$3,802
FULLER H B CO 46,666 +915 $3,799
     FUL46,666+915$3,799
NETAPP INC 43,077 -450 $3,798
     NTAP43,077-450$3,798
WALGREENS BOOTS ALLIANCE INC 145,209 -2,496 $3,791
     WBA145,209-2,496$3,791
MERIT MED SYS INC 49,887 +939 $3,789
     MMSI49,887+939$3,789
PORTLAND GEN ELEC CO 87,229 +1,405 $3,781
     POR87,229+1,405$3,781
RADIAN GROUP INC 132,309 -1,391 $3,777
     RDN132,309-1,391$3,777
EQUITRANS MIDSTREAM CORP 370,378 +2,923 $3,770
     ETRN370,378+2,923$3,770
PHILLIPS EDISON & CO INC 103,304 +3,611 $3,769
     PECO103,304+3,611$3,769
SPDR S&P MIDCAP 400 ETF TR (MDY) 7,424 +3,687 $3,767
     MDY7,424+3,687$3,767
COCA COLA CONS INC 4,049 +68 $3,759
     COKE4,049+68$3,759
BOYD GAMING CORP 60,024 -284 $3,758
     BYD60,024-284$3,758
AXON ENTERPRISE INC 14,543 +23 $3,757
     AXON14,543+23$3,757
NEW JERSEY RES CORP 84,280 +1,422 $3,757
     NJR84,280+1,422$3,757
ARMSTRONG WORLD INDS INC NEW 38,160 +38,160 $3,752
     AWI38,160+38,160$3,752
LAS VEGAS SANDS CORP 76,222 +8,298 $3,751
     LVS76,222+8,298$3,751
HANOVER INS GROUP INC 30,893 +528 $3,751
     THG30,893+528$3,751
HAEMONETICS CORP MASS 43,834 +765 $3,748
     HAE43,834+765$3,748
WESTERN UN CO 314,316 -833 $3,747
     WU314,316-833$3,747
FLOWERS FOODS INC 165,964 +2,644 $3,736
     FLO165,964+2,644$3,736
PERRIGO CO PLC 116,053 +1,062 $3,735
     PRGO116,053+1,062$3,735
ASHLAND INC 44,265 +746 $3,732
     ASH44,265+746$3,732
CENTERPOINT ENERGY INC 130,336 -90 $3,724
     CNP130,336-90$3,724
INSTALLED BLDG PRODS INC 20,370 +342 $3,724
     IBP20,370+342$3,724
SLM CORP 194,728 +4,649 $3,723
     SLM194,728+4,649$3,723
VERALTO CORP 45,261 +45,261 $3,723
     VLTO45,261+45,261$3,723
REGIONS FINANCIAL CORP NEW 192,046 -1,861 $3,722
     RF192,046-1,861$3,722
VERISIGN INC 18,060 -176 $3,720
     VRSN18,060-176$3,720
VALARIS LTD 54,155 +115 $3,713
     VAL54,155+115$3,713
STEEL DYNAMICS INC 31,417 -767 $3,710
     STLD31,417-767$3,710
MR COOPER GROUP INC 56,894 +119 $3,705
     COOP56,894+119$3,705
SKYWORKS SOLUTIONS INC 32,912 -24 $3,700
     SWKS32,912-24$3,700
AKAMAI TECHNOLOGIES INC 31,135 -265 $3,685
     AKAM31,135-265$3,685
BALL CORP 63,964 -905 $3,679
     BALL63,964-905$3,679
SUNRUN INC 187,188 +3,139 $3,674
     RUN187,188+3,139$3,674
TERADATA CORP DEL 84,447 -359 $3,674
     TDC84,447-359$3,674
AXCELIS TECHNOLOGIES INC 28,289 +418 $3,669
     ACLS28,289+418$3,669
LANTHEUS HLDGS INC 59,165 +1,047 $3,668
     LNTH59,165+1,047$3,668
KILROY RLTY CORP 91,996 +1,604 $3,665
     KRC91,996+1,604$3,665
ENVISTA HOLDINGS CORPORATION 151,773 +10,118 $3,652
     NVST151,773+10,118$3,652
GATX CORP 30,370 +318 $3,651
     GATX30,370+318$3,651
ENPHASE ENERGY INC 27,613 -563 $3,649
     ENPH27,613-563$3,649
HUBBELL INC 11,073 -34,497 $3,642
     HUBB11,073-34,497$3,642
GROUP 1 AUTOMOTIVE INC 11,942 +8 $3,639
     GPI11,942+8$3,639
TYLER TECHNOLOGIES INC 8,688 -6 $3,633
     TYL8,688-6$3,633
HANCOCK WHITNEY CORPORATION 74,390 +1,276 $3,615
     HWC74,390+1,276$3,615
HOLOGIC INC 50,577 -38 $3,614
     HOLX50,577-38$3,614
ANTERO MIDSTREAM CORP 287,492 -1,751 $3,602
     AM287,492-1,751$3,602
MOOG INC      $3,596
     MOG.A24,836+443$3,596
CLOROX CO DEL 25,181 +57 $3,591
     CLX25,181+57$3,591
SILICON LABORATORIES INC 27,148 +86 $3,591
     SLAB27,148+86$3,591
INSPERITY INC 30,582 -179 $3,585
     NSP30,582-179$3,585
ATMOS ENERGY CORP 30,662 -16 $3,554
     ATO30,662-16$3,554
SOUTHWEST AIRLS CO 123,052 +2,400 $3,554
     LUV123,052+2,400$3,554
MCCORMICK & CO INC 51,884 +1 $3,550
     MKC51,884+1$3,550
EPAM SYS INC 11,916 -63 $3,543
     EPAM11,916-63$3,543
OMNICOM GROUP INC 40,870 +44 $3,536
     OMC40,870+44$3,536
ENERSYS 34,899 +44 $3,523
     ENS34,899+44$3,523
ASSURED GUARANTY LTD 46,935 -300 $3,512
     AGO46,935-300$3,512
ORMAT TECHNOLOGIES INC 46,344 +796 $3,512
     ORA46,344+796$3,512
ADVANCED ENERGY INDS 32,205 +911 $3,508
     AEIS32,205+911$3,508
GOODYEAR TIRE & RUBR CO 244,564 +3,916 $3,502
     GT244,564+3,916$3,502
ALBEMARLE CORP 24,232 -17 $3,501
     ALB24,232-17$3,501
CMS ENERGY CORP 60,227 -38 $3,497
     CMS60,227-38$3,497
MDU RES GROUP INC 175,914 +2,967 $3,483
     MDU175,914+2,967$3,483
PRINCIPAL FINANCIAL GROUP IN 44,272 -2,729 $3,483
     PFG44,272-2,729$3,483
ARCOSA INC 42,121 +708 $3,481
     ACA42,121+708$3,481
BROWN & BROWN INC 48,771 +132 $3,468
     BRO48,771+132$3,468
FIRSTCASH HOLDINGS INC 31,953 +539 $3,463
     FCFS31,953+539$3,463
ALPHA METALLURGICAL RESOUR I 10,212 +10,212 $3,461
     AMR10,212+10,212$3,461
JANUS HENDERSON GROUP PLC 114,484 +1,931 $3,452
     JHG114,484+1,931$3,452
ESSENTIAL PPTYS RLTY TR INC 134,781 +2,286 $3,445
     EPRT134,781+2,286$3,445
TERADYNE INC 31,568 -258 $3,426
     TER31,568-258$3,426
SEAGATE TECHNOLOGY HLDNGS PL 40,117 +1,222 $3,425
     STX40,117+1,222$3,425
NEOGEN CORP 169,966 +2,918 $3,418
     NEOG169,966+2,918$3,418
WESTERN DIGITAL CORP. 65,105 +839 $3,410
     WDC65,105+839$3,410
PENN ENTERTAINMENT INC 130,894 +2,863 $3,406
     PENN130,894+2,863$3,406
AMERICAN EAGLE OUTFITTERS IN 160,361 +2,731 $3,393
     AEO160,361+2,731$3,393
IDEX CORP 15,618 -7 $3,391
     IEX15,618-7$3,391
BRINKS CO 38,508 -452 $3,387
     BCO38,508-452$3,387
AZENTA INC 51,940 +877 $3,383
     AZTA51,940+877$3,383
JACOBS SOLUTIONS INC 25,998 -20 $3,375
     J25,998-20$3,375
GRAND CANYON ED INC 25,533 +207 $3,371
     LOPE25,533+207$3,371
JABIL INC 26,417 -84,739 $3,366
     JBL26,417-84,739$3,366
POTLATCHDELTIC CORPORATION 68,559 +692 $3,366
     PCH68,559+692$3,366
AUTONATION INC 22,407 -414 $3,365
     AN22,407-414$3,365
FIRST FINL BANKSHARES INC (FFIN) 110,953 +1,847 $3,362
     FFIN110,953+1,847$3,362
AVERY DENNISON CORP 16,627 +293 $3,361
     AVY16,627+293$3,361
HUNT J B TRANS SVCS INC 16,825 -45 $3,361
     JBHT16,825-45$3,361
CINCINNATI FINL CORP 32,400 -13 $3,352
     CINF32,400-13$3,352
MANPOWERGROUP INC WIS 42,164 +55 $3,351
     MAN42,164+55$3,351
GLAUKOS CORP 42,087 +770 $3,345
     GKOS42,087+770$3,345
TEREX CORP NEW 58,138 +896 $3,341
     TEX58,138+896$3,341
M I HOMES INC 24,057 +448 $3,314
     MHO24,057+448$3,314
FRANKLIN ELEC INC 34,269 +481 $3,312
     FELE34,269+481$3,312
VERRA MOBILITY CORP 143,617 -428 $3,308
     VRRM143,617-428$3,308
MATSON INC 30,165 +208 $3,306
     MATX30,165+208$3,306
ESSEX PPTY TR INC 13,249 -10 $3,285
     ESS13,249-10$3,285
EQT CORP 84,932 +10,200 $3,283
     EQT84,932+10,200$3,283
SOUTHWEST GAS HLDGS INC 51,809 +841 $3,282
     SWX51,809+841$3,282
AVIENT CORPORATION 78,606 +1,284 $3,268
     AVNT78,606+1,284$3,268
NEWMARKET CORP 5,965 +101 $3,256
     NEU5,965+101$3,256
TEXTRON INC 40,472 -457 $3,255
     TXT40,472-457$3,255
MID AMER APT CMNTYS INC 24,092 -16 $3,239
     MAA24,092-16$3,239
LAMB WESTON HLDGS INC 29,925 -202 $3,235
     LW29,925-202$3,235
KNIFE RIVER CORP 48,864 +5,628 $3,234
     KNF48,864+5,628$3,234
MOELIS & CO 57,581 +1,049 $3,232
     MC57,581+1,049$3,232
BLACKBAUD INC 37,217 +626 $3,227
     BLKB37,217+626$3,227
SILGAN HLDGS INC 70,993 -1,790 $3,212
     SLGN70,993-1,790$3,212
CELANESE CORP DEL 20,662 -3 $3,210
     CE20,662-3$3,210
WALKER & DUNLOP INC 28,884 +576 $3,206
     WD28,884+576$3,206
QUEST DIAGNOSTICS INC 23,216 +24 $3,201
     DGX23,216+24$3,201
DIODES INC 39,684 +830 $3,195
     DIOD39,684+830$3,195
SYNCHRONY FINANCIAL 83,496 -1,050 $3,189
     SYF83,496-1,050$3,189
COUSINS PPTYS INC 130,858 +2,215 $3,186
     CUZ130,858+2,215$3,186
POOL CORP 7,986 -83 $3,184
     POOL7,986-83$3,184
CITIZENS FINL GROUP INC 95,968 -1,323 $3,180
     CFG95,968-1,323$3,180
ORGANON & CO 220,441 +168,045 $3,179
     OGN220,441+168,045$3,179
EVEREST GROUP LTD 8,964 +8,964 $3,169
     EG8,964+8,964$3,169
TYSON FOODS INC 58,891 -110 $3,165
     TSN58,891-110$3,165
BLACK HILLS CORP 58,636 +1,664 $3,163
     BKH58,636+1,664$3,163
BLACKSTONE MTG TR INC 148,645 +2,506 $3,162
     BXMT148,645+2,506$3,162
EPR PPTYS 65,045 +1,876 $3,151
     EPR65,045+1,876$3,151
UMB FINL CORP 37,716 +712 $3,151
     UMBF37,716+712$3,151
SNAP ON INC 10,901 -37 $3,149
     SNA10,901-37$3,149
QUIDELORTHO CORP 42,715 +738 $3,148
     QDEL42,715+738$3,148
CF INDS HLDGS INC 39,447 -421 $3,136
     CF39,447-421$3,136
BEST BUY INC 39,995 -135 $3,131
     BBY39,995-135$3,131
ADVANCE AUTO PARTS INC 51,292 +886 $3,130
     AAP51,292+886$3,130
JACKSON FINANCIAL INC 61,114 -792 $3,129
     JXN61,114-792$3,129
NCR VOYIX CORPORATION 115,476 +6,179 $3,127
     NCR115,476+6,179$3,127
INSULET CORP 14,378 +243 $3,120
     PODD14,378+243$3,120
HELMERICH & PAYNE INC 85,891 +1,448 $3,111
     HP85,891+1,448$3,111
MASCO CORP 46,352 +975 $3,105
     MAS46,352+975$3,105
STANLEY BLACK & DECKER INC 31,647 -7 $3,105
     SWK31,647-7$3,105
SIMPLY GOOD FOODS CO 78,299 +1,363 $3,101
     SMPL78,299+1,363$3,101
LEIDOS HOLDINGS INC 28,391 +11 $3,073
     LDOS28,391+11$3,073
OTTER TAIL CORP 36,033 +608 $3,062
     OTTR36,033+608$3,062
APPLE HOSPITALITY REIT INC 183,796 +3,106 $3,053
     APLE183,796+3,106$3,053
PNM RES INC 73,391 +524 $3,053
     PNM73,391+524$3,053
ONE GAS INC 47,904 +812 $3,052
     OGS47,904+812$3,052
CALIFORNIA RES CORP 55,714 +667 $3,046
     CRC55,714+667$3,046
KELLANOVA 54,454 -14 $3,045
     K54,454-14$3,045
ALLETE INC 49,651 +904 $3,037
     ALE49,651+904$3,037
BUNGE GLOBAL SA 29,999 -1,129 $3,028
     BG29,999-1,129$3,028
LUMENTUM HLDGS INC 57,763 -360 $3,028
     LITE57,763-360$3,028
COMMVAULT SYS INC 37,830 +567 $3,021
     CVLT37,830+567$3,021
CARPENTER TECHNOLOGY CORP 42,593 +1,361 $3,016
     CRS42,593+1,361$3,016
PACKAGING CORP AMER 18,505 -74 $3,015
     PKG18,505-74$3,015
UNITED CMNTY BKS BLAIRSVLE G 102,781 +1,841 $3,007
     UCBI102,781+1,841$3,007
VISTEON CORP 24,025 +76 $3,001
     VC24,025+76$3,001
PATTERSON UTI ENERGY INC 277,552 +5,345 $2,998
     PTEN277,552+5,345$2,998
LEGGETT & PLATT INC 113,826 +706 $2,979
     LEG113,826+706$2,979
AMERIS BANCORP 56,072 +877 $2,975
     ABCB56,072+877$2,975
BERKLEY W R CORP 42,065 +26 $2,975
     WRB42,065+26$2,975
TRI POINTE HOMES INC 83,839 -235 $2,968
     TPH83,839-235$2,968
AMKOR TECHNOLOGY INC 89,167 +1,515 $2,967
     AMKR89,167+1,515$2,967
ITRON INC 39,299 +690 $2,967
     ITRI39,299+690$2,967
INDEPENDENCE RLTY TR INC 193,747 +3,237 $2,964
     IRT193,747+3,237$2,964
NORDSON CORP 11,184 -4 $2,954
     NDSN11,184-4$2,954
ADIENT PLC 80,907 +1,365 $2,942
     ADNT80,907+1,365$2,942
BRIGHTHOUSE FINL INC 55,465 -166 $2,935
     BHF55,465-166$2,935
NORTHERN OIL & GAS INC 79,008 +7,906 $2,929
     NOG79,008+7,906$2,929
AMERICAN EQTY INVT LIFE HLD 52,469 +1,843 $2,928
     AEL52,469+1,843$2,928
LANCASTER COLONY CORP 17,590 +293 $2,927
     LANC17,590+293$2,927
MARATHON OIL CORP 120,846 -4,314 $2,920
     MRO120,846-4,314$2,920
DYCOM INDS INC 25,339 +434 $2,916
     DY25,339+434$2,916
ENCORE WIRE CORP 13,628 -644 $2,911
     WIRE13,628-644$2,911
CONMED CORP 26,554 +458 $2,908
     CNMD26,554+458$2,908
DOMINOS PIZZA INC 7,045 -44 $2,904
     DPZ7,045-44$2,904
ZEBRA TECHNOLOGIES CORPORATI 10,604 -4 $2,898
     ZBRA10,604-4$2,898
GMS INC 35,067 +438 $2,891
     GMS35,067+438$2,891
HILLENBRAND INC 60,397 +1,019 $2,890
     HI60,397+1,019$2,890
AMCOR PLC 298,418 -5,617 $2,877
     AMCR298,418-5,617$2,877
ACI WORLDWIDE INC 93,922 +3,123 $2,874
     ACIW93,922+3,123$2,874
MACERICH CO 186,092 +3,302 $2,871
     MAC186,092+3,302$2,871
INARI MED INC 44,194 +862 $2,869
     NARI44,194+862$2,869
AEROVIRONMENT INC 22,711 +447 $2,862
     AVAV22,711+447$2,862
DOXIMITY INC 101,897 -4,482 $2,857
     DOCS101,897-4,482$2,857
INTEGER HLDGS CORP 28,790 +502 $2,853
     ITGR28,790+502$2,853
NEWELL BRANDS INC 328,623 +5,501 $2,852
     NWL328,623+5,501$2,852
M D C HLDGS INC 51,597 +948 $2,851
     MDC51,597+948$2,851
SABRA HEALTH CARE REIT INC 199,655 +3,369 $2,849
     SBRA199,655+3,369$2,849
COGENT COMMUNICATIONS HLDGS 37,368 +434 $2,842
     CCOI37,368+434$2,842
HOST HOTELS & RESORTS INC 145,651 -1,384 $2,836
     HST145,651-1,384$2,836
ENPRO INC 18,060 +307 $2,831
     NPO18,060+307$2,831
CONAGRA BRANDS INC 98,694 +831 $2,829
     CAG98,694+831$2,829
SPIRE INC 45,378 +774 $2,829
     SR45,378+774$2,829
ARROWHEAD PHARMACEUTICALS IN 92,425 +1,427 $2,828
     ARWR92,425+1,427$2,828
AVIS BUDGET GROUP 15,907 -864 $2,820
     CAR15,907-864$2,820
SERVISFIRST BANCSHARES INC (SFBS) 42,303 +723 $2,819
     SFBS42,303+723$2,819
BOSTON BEER INC 8,130 +102 $2,810
     SAM8,130+102$2,810
FORMFACTOR INC 67,245 +1,292 $2,805
     FORM67,245+1,292$2,805
WD 40 CO 11,712 +193 $2,800
     WDFC11,712+193$2,800
YELP INC 59,151 +793 $2,800
     YELP59,151+793$2,800
CATHAY GEN BANCORP 62,758 +1,154 $2,797
     CATY62,758+1,154$2,797
LIVENT CORP 155,260 +2,630 $2,792
     LTHM155,260+2,630$2,792
ALARM COM HLDGS INC 43,164 +798 $2,789
     ALRM43,164+798$2,789
BELDEN INC 36,008 +85 $2,782
     BDC36,008+85$2,782
WENDYS CO 142,661 -1,250 $2,779
     WEN142,661-1,250$2,779
IPG PHOTONICS CORP 25,537 -410 $2,772
     IPGP25,537-410$2,772
KEYCORP 192,460 +7 $2,771
     KEY192,460+7$2,771
PARK HOTELS & RESORTS INC 181,046 -1,747 $2,770
     PK181,046-1,747$2,770
SMUCKER J M CO 21,918 +815 $2,770
     SJM21,918+815$2,770
UNITED AIRLS HLDGS INC 67,050 +518 $2,766
     UAL67,050+518$2,766
NATIONAL STORAGE AFFILIATES 66,597 -3,729 $2,762
     NSA66,597-3,729$2,762
LCI INDS 21,877 +369 $2,750
     LCII21,877+369$2,750
CNX RES CORP 137,164 +96 $2,743
     CNX137,164+96$2,743
KOHLS CORP 95,578 +1,896 $2,741
     KSS95,578+1,896$2,741
ASSOCIATED BANC CORP 128,104 +222 $2,740
     ASB128,104+222$2,740
WARRIOR MET COAL INC 44,937 +759 $2,740
     HCC44,937+759$2,740
LIVE NATION ENTERTAINMENT IN 29,274 UNCH $2,740
     LYV29,274UNCH$2,740
PHYSICIANS RLTY TR 205,677 +4,443 $2,738
     DOC205,677+4,443$2,738
JOHN BEAN TECHNOLOGIES CORP 27,505 +465 $2,735
     JBT27,505+465$2,735
TRIMBLE INC 51,363 +54 $2,733
     TRMB51,363+54$2,733
CLEARWAY ENERGY INC      $2,717
     CWEN71,164+71,164$1,952
     CWEN.A29,898+29,898$765
REVVITY INC 24,833 +24,833 $2,714
     RVTY24,833+24,833$2,714
ALLIANT ENERGY CORP 52,687 +1,615 $2,703
     LNT52,687+1,615$2,703
CNO FINL GROUP INC 96,857 +2,291 $2,702
     CNO96,857+2,291$2,702
KORN FERRY 45,530 +21 $2,702
     KFY45,530+21$2,702
PENSKE AUTOMOTIVE GRP INC 16,836 +263 $2,702
     PAG16,836+263$2,702
KONTOOR BRANDS INC 43,193 +770 $2,696
     KTB43,193+770$2,696
NORTHWESTERN ENERGY GROUP IN 52,904 +2,564 $2,692
     NWE52,904+2,564$2,692
TEXAS CAP BANCSHARES INC (TCBI) 41,482 +716 $2,681
     TCBI41,482+716$2,681
AMEDISYS INC 28,179 +476 $2,679
     AMED28,179+476$2,679
FORTREA HLDGS INC 76,700 +76,700 $2,677
     FTRE76,700+76,700$2,677
PROGYNY INC 71,997 +1,533 $2,677
     PGNY71,997+1,533$2,677
RUSH ENTERPRISES INC 53,206 +53,206 $2,676
     RUSHA53,206+53,206$2,676
VIATRIS INC 246,931 -921 $2,674
     VTRS246,931-921$2,674
KULICKE & SOFFA INDS INC 48,784 +822 $2,669
     KLIC48,784+822$2,669
ZIFF DAVIS INC 39,724 +310 $2,669
     ZD39,724+310$2,669
KIMCO RLTY CORP 124,963 -2,707 $2,663
     KIM124,963-2,707$2,663
ALBANY INTL CORP 26,948 +468 $2,647
     AIN26,948+468$2,647
INNOSPEC INC 21,481 +362 $2,647
     IOSP21,481+362$2,647
HANNON ARMSTRONG SUST INFR C 95,854 +5,057 $2,644
     HASI95,854+5,057$2,644
LKQ CORP 55,270 -32 $2,641
     LKQ55,270-32$2,641
GEN DIGITAL INC 115,582 +3,273 $2,638
     GEN115,582+3,273$2,638
LOEWS CORP 37,797 -411 $2,630
     L37,797-411$2,630
PRESTIGE CONSMR HEALTHCARE I 42,864 +791 $2,624
     PBH42,864+791$2,624
MADISON SQUARE GRDN SPRT COR 14,392 +273 $2,617
     MSGS14,392+273$2,617
VISHAY INTERTECHNOLOGY INC 109,053 +1,238 $2,614
     VSH109,053+1,238$2,614
ARTISAN PARTNERS ASSET MGMT 59,148 +1,007 $2,613
     APAM59,148+1,007$2,613
ESCO TECHNOLOGIES INC 22,273 +376 $2,607
     ESE22,273+376$2,607
GENWORTH FINL INC 389,609 -3,689 $2,603
     GNW389,609-3,689$2,603
TEGNA INC 169,827 -961 $2,598
     TGNA169,827-961$2,598
CALIFORNIA WTR SVC GROUP 49,854 +849 $2,586
     CWT49,854+849$2,586
INTERNATIONAL PAPER CO 71,442 -50 $2,583
     IP71,442-50$2,583
INTERPUBLIC GROUP COS INC 79,083 -459 $2,581
     IPG79,083-459$2,581
AES CORP 133,906 -3,029 $2,578
     AES133,906-3,029$2,578
AMER STATES WTR CO 31,946 +542 $2,569
     AWR31,946+542$2,569
PLEXUS CORP 23,740 +401 $2,567
     PLXS23,740+401$2,567
MP MATERIALS CORP 129,008 +10,383 $2,561
     MP129,008+10,383$2,561
INTEGRA LIFESCIENCES HLDGS C 58,654 -985 $2,554
     IART58,654-985$2,554
QUAKER HOUGHTON 11,964 +194 $2,553
     KWR11,964+194$2,553
MARKETAXESS HLDGS INC 8,694 +66 $2,546
     MKTX8,694+66$2,546
MADDEN STEVEN LTD 60,584 +458 $2,545
     SHOO60,584+458$2,545
SANMINA CORPORATION 49,436 +833 $2,540
     SANM49,436+833$2,540
ABM INDS INC 56,610 +433 $2,538
     ABM56,610+433$2,538
MEDICAL PPTYS TRUST INC 516,418 +9,215 $2,536
     MPW516,418+9,215$2,536
KEMPER CORP 52,040 +902 $2,533
     KMPR52,040+902$2,533
CORCEPT THERAPEUTICS INC 77,955 +1,314 $2,532
     CORT77,955+1,314$2,532
ROLLINS INC 57,977 -4,060 $2,532
     ROL57,977-4,060$2,532
FEDERATED HERMES INC 74,504 -476 $2,523
     FHI74,504-476$2,523
TANGER INC 90,971 +1,682 $2,522
     SKT90,971+1,682$2,522
FIRST HAWAIIAN INC 110,238 +1,861 $2,520
     FHB110,238+1,861$2,520
MGM RESORTS INTERNATIONAL 56,242 -1,378 $2,513
     MGM56,242-1,378$2,513
LXP INDUSTRIAL TRUST 252,690 +4,288 $2,507
     LXP252,690+4,288$2,507
INTERNATIONAL BANCSHARES COR (IBOC) 46,104 +784 $2,504
     IBOC46,104+784$2,504
CARMAX INC 32,608 +54 $2,502
     KMX32,608+54$2,502
INDEPENDENT BK CORP MASS 37,883 +400 $2,493
     INDB37,883+400$2,493
COPT DEFENSE PROPERTIES 97,182 +1,649 $2,491
     OFC97,182+1,649$2,491
BANK HAWAII CORP 34,325 +599 $2,487
     BOH34,325+599$2,487
PENTAIR PLC 34,131 +13 $2,482
     PNR34,131+13$2,482
HELEN OF TROY LTD 20,502 +44 $2,477
     HELE20,502+44$2,477
HUB GROUP INC 26,946 +265 $2,477
     HUBG26,946+265$2,477
FOX FACTORY HLDG CORP 36,611 +628 $2,471
     FOXF36,611+628$2,471
HILTON GRAND VACATIONS INC 61,429 -227 $2,468
     HGV61,429-227$2,468
ARBOR REALTY TRUST INC 162,497 +4,124 $2,467
     ABR162,497+4,124$2,467
ARCBEST CORP 20,441 +37 $2,457
     ARCB20,441+37$2,457
HENRY JACK & ASSOC INC 15,038 -21 $2,457
     JKHY15,038-21$2,457
FIRST BANCORP P R 149,062 -2,365 $2,452
     FBP149,062-2,365$2,452
COLUMBIA SPORTSWEAR CO 30,796 +2,163 $2,450
     COLM30,796+2,163$2,450
BIO TECHNE CORP 31,736 -794 $2,449
     TECH31,736-794$2,449
AMN HEALTHCARE SVCS INC 32,645 +382 $2,444
     AMN32,645+382$2,444
INNOVATIVE INDL PPTYS INC 24,212 +408 $2,441
     IIPR24,212+408$2,441
TRAVEL PLUS LEISURE CO 62,427 -212 $2,440
     TNL62,427-212$2,440
CHOICE HOTELS INTL INC 21,500 +117 $2,436
     CHH21,500+117$2,436
CHARLES RIV LABS INTL INC 10,295 -1 $2,434
     CRL10,295-1$2,434
CONSOL ENERGY INC NEW 24,110 -339 $2,424
     CEIX24,110-339$2,424
AXOS FINANCIAL INC 44,386 -167 $2,423
     AX44,386-167$2,423
FRONTDOOR INC 68,779 +549 $2,422
     FTDR68,779+549$2,422
EVERGY INC 46,305 -60 $2,417
     EVRG46,305-60$2,417
MARRIOTT VACATIONS WORLDWIDE 28,469 -280 $2,417
     VAC28,469-280$2,417
INCYTE CORP 38,407 -26 $2,412
     INCY38,407-26$2,412
MOSAIC CO NEW 67,481 -1,176 $2,411
     MOS67,481-1,176$2,411
PACIFIC PREMIER BANCORP 82,808 +1,396 $2,411
     PPBI82,808+1,396$2,411
INTERDIGITAL INC 22,204 -1,088 $2,410
     IDCC22,204-1,088$2,410
WSFS FINL CORP 52,464 +609 $2,410
     WSFS52,464+609$2,410
NRG ENERGY INC 46,603 -541 $2,409
     NRG46,603-541$2,409
SENSIENT TECHNOLOGIES CORP 36,498 +615 $2,409
     SXT36,498+615$2,409
LIVANOVA PLC 46,527 +785 $2,407
     LIVN46,527+785$2,407
LIBERTY ENERGY INC 132,527 +856 $2,404
     LBRT132,527+856$2,404
COMMUNITY BK SYS INC 46,098 +658 $2,402
     CBU46,098+658$2,402
SHAKE SHACK INC 32,376 +551 $2,400
     SHAK32,376+551$2,400
AVISTA CORP 66,834 +1,843 $2,389
     AVA66,834+1,843$2,389
UNIFIRST CORP MASS 13,049 +221 $2,387
     UNF13,049+221$2,387
VESTIS CORPORATION 112,913 +112,913 $2,387
     VSTS112,913+112,913$2,387
ENOVIS CORPORATION 42,548 +397 $2,384
     ENOV42,548+397$2,384
TELEFLEX INCORPORATED 9,562 +139 $2,384
     TFX9,562+139$2,384
CARTERS INC 31,797 +168 $2,381
     CRI31,797+168$2,381
RESIDEO TECHNOLOGIES INC 126,069 +724 $2,373
     REZI126,069+724$2,373
CRANE NXT CO 41,704 +703 $2,372
     CXT41,704+703$2,372
ATLANTIC UN BANKSHARES CORP (AUB) 64,803 +1,103 $2,368
     AUB64,803+1,103$2,368
LGI HOMES INC 17,709 +312 $2,358
     LGIH17,709+312$2,358
RXO INC 101,072 +1,721 $2,351
     RXO101,072+1,721$2,351
SL GREEN RLTY CORP 51,963 UNCH $2,347
     SLG51,963UNCH$2,347
MOLSON COORS BEVERAGE CO 38,233 -121 $2,340
     TAP38,233-121$2,340
FULTON FINL CORP PA 141,819 +2,530 $2,334
     FULT141,819+2,530$2,334
EVERTEC INC 56,838 +1,948 $2,327
     EVTC56,838+1,948$2,327
UDR INC 60,751 -1,664 $2,326
     UDR60,751-1,664$2,326
MATERION CORP 17,827 +301 $2,320
     MTRN17,827+301$2,320
WERNER ENTERPRISES INC 54,764 +928 $2,320
     WERN54,764+928$2,320
CAVCO INDS INC DEL 6,688 -166 $2,318
     CVCO6,688-166$2,318
GROCERY OUTLET HLDG CORP 85,753 +1,864 $2,312
     GO85,753+1,864$2,312
PREMIER INC 103,366 +2,248 $2,311
     PINC103,366+2,248$2,311
CVB FINL CORP 114,301 +1,924 $2,308
     CVBF114,301+1,924$2,308
CARETRUST REIT INC 102,893 +18,409 $2,303
     CTRE102,893+18,409$2,303
ALLEGION PLC 18,125 -12 $2,296
     ALLE18,125-12$2,296
SCOTTS MIRACLE GRO CO 35,781 +615 $2,281
     SMG35,781+615$2,281
BRADY CORP 38,722 -270 $2,273
     BRC38,722-270$2,273
PIPER SANDLER COMPANIES 12,996 +244 $2,273
     PIPR12,996+244$2,273
REGENCY CTRS CORP 33,918 -34 $2,273
     REG33,918-34$2,273
APA CORPORATION 63,244 -160 $2,269
     APA63,244-160$2,269
QORVO INC 20,099 -132 $2,263
     QRVO20,099-132$2,263
INTER PARFUMS INC 15,471 +279 $2,228
     IPAR15,471+279$2,228
J & J SNACK FOODS CORP 13,331 +225 $2,228
     JJSF13,331+225$2,228
CENTURY CMNTYS INC 24,429 +226 $2,226
     CCS24,429+226$2,226
NISOURCE INC 83,144 -53 $2,207
     NI83,144-53$2,207
F5 INC 12,328 +74 $2,206
     FFIV12,328+74$2,206
FOOT LOCKER INC 70,765 +1,602 $2,204
     FL70,765+1,602$2,204
CALIX INC 50,305 +177 $2,198
     CALX50,305+177$2,198
WESTROCK CO 52,927 +190 $2,198
     WRK52,927+190$2,198
O I GLASS INC 133,689 +1,999 $2,190
     OI133,689+1,999$2,190
CAMDEN PPTY TR 22,040 -16 $2,188
     CPT22,040-16$2,188
CABLE ONE INC 3,922 +63 $2,183
     CABO3,922+63$2,183
HEALTHPEAK PROPERTIES INC 109,522 -3,097 $2,169
     PEAK109,522-3,097$2,169
CERIDIAN HCM HLDG INC 32,208 +52 $2,162
     CDAY32,208+52$2,162
BROWN FORMAN CORP      $2,157
     BF.B37,782-25$2,157
GRIFFON CORP 35,378 +597 $2,156
     GFF35,378+597$2,156
GRAHAM HLDGS CO 3,092 -37 $2,154
     GHC3,092-37$2,154
GLOBE LIFE INC 17,689 -283 $2,153
     GL17,689-283$2,153
SIMMONS 1ST NATL CORP 108,081 +895 $2,144
     SFNC108,081+895$2,144
LIVERAMP HLDGS INC 56,570 +380 $2,143
     RAMP56,570+380$2,143
EASTMAN CHEM CO 23,779 -618 $2,136
     EMN23,779-618$2,136
SELECT MED HLDGS CORP 90,783 +2,277 $2,133
     SEM90,783+2,277$2,133
HUNTINGTON INGALLS INDS INC 8,203 -36 $2,130
     HII8,203-36$2,130
ENVESTNET INC 42,841 +1,411 $2,121
     ENV42,841+1,411$2,121
PAPA JOHNS INTL INC 27,822 +506 $2,121
     PZZA27,822+506$2,121
SITE CTRS CORP 155,437 +2,654 $2,119
     SITC155,437+2,654$2,119
BLOOMIN BRANDS INC 74,962 +1,024 $2,110
     BLMN74,962+1,024$2,110
PAYCOM SOFTWARE INC 10,127 -52 $2,093
     PAYC10,127-52$2,093
SEACOAST BKG CORP FLA 73,557 +1,295 $2,093
     SBCF73,557+1,295$2,093
SMITH A O CORP 25,367 -383 $2,091
     AOS25,367-383$2,091
HIGHWOODS PPTYS INC 91,050 +1,339 $2,091
     HIW91,050+1,339$2,091
PATTERSON COS INC 73,512 +1,240 $2,091
     PDCO73,512+1,240$2,091
MYR GROUP INC DEL 14,435 +243 $2,088
     MYRG14,435+243$2,088
DOUGLAS EMMETT INC 143,679 +2,412 $2,083
     DEI143,679+2,412$2,083
BANKUNITED INC 64,194 +1,083 $2,082
     BKU64,194+1,083$2,082
C H ROBINSON WORLDWIDE INC 24,085 +28 $2,081
     CHRW24,085+28$2,081
NMI HLDGS INC 70,042 +162 $2,079
     NMIH70,042+162$2,079
CAESARS ENTERTAINMENT INC NE 44,326 +57 $2,078
     CZR44,326+57$2,078
GIBRALTAR INDS INC 26,292 +454 $2,077
     ROCK26,292+454$2,077
BOSTON PROPERTIES INC 29,415 -244 $2,064
     BXP29,415-244$2,064
PROGRESS SOFTWARE CORP 37,634 +804 $2,044
     PRGS37,634+804$2,044
PRIVIA HEALTH GROUP INC 88,720 +2,014 $2,043
     PRVA88,720+2,014$2,043
DORMAN PRODS INC 24,481 +413 $2,042
     DORM24,481+413$2,042
HENRY SCHEIN INC 26,964 -20 $2,041
     HSIC26,964-20$2,041
STRIDE INC 34,335 -24 $2,038
     LRN34,335-24$2,038
ADTALEM GLOBAL ED INC 34,406 -877 $2,028
     ATGE34,406-877$2,028
BATH & BODY WORKS INC 46,701 +1 $2,016
     BBWI46,701+1$2,016
CAL MAINE FOODS INC 35,114 +592 $2,015
     CALM35,114+592$2,015
TRIPADVISOR INC 93,357 +1,960 $2,010
     TRIP93,357+1,960$2,010
BOOT BARN HLDGS INC 26,161 +690 $2,008
     BOOT26,161+690$2,008
PGT INNOVATIONS INC 49,284 -273 $2,006
     PGTI49,284-273$2,006
MINERALS TECHNOLOGIES INC 28,114 +474 $2,005
     MTX28,114+474$2,005
AMPHASTAR PHARMACEUTICALS IN 32,280 -84 $1,997
     AMPH32,280-84$1,997
ETSY INC 24,629 -496 $1,996
     ETSY24,629-496$1,996
SUNSTONE HOTEL INVS INC NEW 184,979 +1,051 $1,985
     SHO184,979+1,051$1,985
MATCH GROUP INC NEW 54,244 -1,733 $1,980
     MTCH54,244-1,733$1,980
FOUR CORNERS PPTY TR INC 78,234 +1,319 $1,979
     FCPT78,234+1,319$1,979
CHESAPEAKE UTILS CORP 18,708 +3,593 $1,976
     CPK18,708+3,593$1,976
PERFICIENT INC 30,025 +470 $1,976
     PRFT30,025+470$1,976
EXTREME NETWORKS 111,968 +3,450 $1,975
     EXTR111,968+3,450$1,975
PJT PARTNERS INC 19,262 +19,262 $1,962
     PJT19,262+19,262$1,962
FIRST FINL BANCORP OH 82,172 +1,383 $1,952
     FFBC82,172+1,383$1,952
JUNIPER NETWORKS INC 65,840 -565 $1,941
     JNPR65,840-565$1,941
CORVEL CORP 7,832 +129 $1,936
     CRVL7,832+129$1,936
VIAVI SOLUTIONS INC 192,033 +3,194 $1,934
     VIAV192,033+3,194$1,934
GRANITE CONSTR INC 37,952 +651 $1,930
     GVA37,952+651$1,930
NEWS CORP NEW 78,578 -135 $1,929
     NWSA78,578-135$1,929
ROBERT HALF INC. 21,865 -262 $1,922
     RHI21,865-262$1,922
HORMEL FOODS CORP 59,801 -21 $1,920
     HRL59,801-21$1,920
UNIVERSAL HLTH SVCS INC 12,596 -244 $1,920
     UHS12,596-244$1,920
ROGERS CORP 14,467 +245 $1,911
     ROG14,467+245$1,911
WINNEBAGO INDS INC 25,833 +176 $1,883
     WGO25,833+176$1,883
ALAMO GROUP INC 8,924 +151 $1,876
     ALG8,924+151$1,876
ALLEGRO MICROSYSTEMS INC 61,519 +1,068 $1,862
     ALGM61,519+1,068$1,862
URBAN EDGE PPTYS 101,582 +1,716 $1,859
     UE101,582+1,716$1,859
FRANKLIN RESOURCES INC 62,346 -440 $1,857
     BEN62,346-440$1,857
EPLUS INC 23,265 +387 $1,857
     PLUS23,265+387$1,857
OCEANEERING INTL INC 87,012 +1,421 $1,852
     OII87,012+1,421$1,852
TRINITY INDS INC 69,669 +1,544 $1,852
     TRN69,669+1,544$1,852
ST JOE CO 30,746 +518 $1,850
     JOE30,746+518$1,850
SKYWEST INC 35,352 -354 $1,845
     SKYW35,352-354$1,845
WAFD INC 55,899 +949 $1,842
     WAFD55,899+949$1,842
OSI SYSTEMS INC 14,219 +1,788 $1,835
     OSIS14,219+1,788$1,835
ASSURANT INC 10,858 -98 $1,829
     AIZ10,858-98$1,829
ARCHROCK INC 118,584 +1,671 $1,826
     AROC118,584+1,671$1,826
SITIME CORP 14,935 +413 $1,823
     SITM14,935+413$1,823
RADNET INC 52,199 +972 $1,815
     RDNT52,199+972$1,815
SONOS INC 105,691 -8,984 $1,812
     SONO105,691-8,984$1,812
AAR CORP 28,966 +736 $1,807
     AIR28,966+736$1,807
PATRICK INDS INC 17,973 +241 $1,804
     PATK17,973+241$1,804
TREEHOUSE FOODS INC 43,472 -101 $1,802
     THS43,472-101$1,802
VIASAT INC 64,318 +1,348 $1,798
     VSAT64,318+1,348$1,798
R1 RCM INC 170,044 +2,868 $1,797
     RCM170,044+2,868$1,797
XEROX HOLDINGS CORP 97,638 +1,603 $1,790
     XRX97,638+1,603$1,790
AMERICAN AIRLS GROUP INC 130,219 -4,186 $1,789
     AAL130,219-4,186$1,789
CARGURUS INC 74,006 +320 $1,788
     CARG74,006+320$1,788
ENERGIZER HLDGS INC NEW 56,417 +987 $1,787
     ENR56,417+987$1,787
BANCORP INC DEL 46,351 +250 $1,787
     TBBK46,351+250$1,787
NEOGENOMICS INC 110,112 +1,762 $1,781
     NEO110,112+1,762$1,781
KENNAMETAL INC 68,766 +1,068 $1,773
     KMT68,766+1,068$1,773
INVESCO LTD 99,122 -1,023 $1,768
     IVZ99,122-1,023$1,768
VICTORIAS SECRET AND CO 66,565 +1,292 $1,767
     VSCO66,565+1,292$1,767
TOPGOLF CALLAWAY BRANDS CORP 122,410 +1,327 $1,755
     MODG122,410+1,327$1,755
CAMPBELL SOUP CO 40,560 +1,299 $1,753
     CPB40,560+1,299$1,753
STRATEGIC ED INC 18,983 +289 $1,753
     STRA18,983+289$1,753
WYNN RESORTS LTD 19,175 -741 $1,747
     WYNN19,175-741$1,747
OUTFRONT MEDIA INC 125,103 +2,208 $1,746
     OUT125,103+2,208$1,746
URBAN OUTFITTERS INC 48,888 +864 $1,745
     URBN48,888+864$1,745
ICU MED INC 17,465 +289 $1,742
     ICUI17,465+289$1,742
BORGWARNER INC 48,549 -38 $1,740
     BWA48,549-38$1,740
NORWEGIAN CRUISE LINE HLDG L 86,725 -80 $1,738
     NCLH86,725-80$1,738
STEPAN CO 18,355 +322 $1,735
     SCL18,355+322$1,735
STONEX GROUP INC 23,174 +7,986 $1,711
     SNEX23,174+7,986$1,711
NBT BANCORP INC 40,677 +565 $1,705
     NBTB40,677+565$1,705
PHOTRONICS INC 54,032 +936 $1,695
     PLAB54,032+936$1,695
MILLERKNOLL INC 63,450 -813 $1,693
     MLKN63,450-813$1,693
SCHRODINGER INC 47,243 +909 $1,691
     SDGR47,243+909$1,691
HNI CORP 40,221 +704 $1,682
     HNI40,221+704$1,682
PINNACLE WEST CAP CORP 23,413 UNCH $1,682
     PNW23,413UNCH$1,682
GLOBAL NET LEASE INC 168,639 +3,638 $1,678
     GNL168,639+3,638$1,678
TAPESTRY INC 45,486 -975 $1,674
     TPR45,486-975$1,674
CATALENT INC 37,213 +179 $1,672
     CTLT37,213+179$1,672
PAR PAC HOLDINGS INC 45,792 -1,922 $1,665
     PARR45,792-1,922$1,665
PEBBLEBROOK HOTEL TR 104,049 +1,756 $1,663
     PEB104,049+1,756$1,663
TANDEM DIABETES CARE INC 55,995 +961 $1,656
     TNDM55,995+961$1,656
MERCURY SYS INC 45,063 +1,572 $1,648
     MRCY45,063+1,572$1,648
PARK NATL CORP 12,391 +181 $1,646
     PRK12,391+181$1,646
SJW GROUP 25,103 +551 $1,640
     SJW25,103+551$1,640
PRICESMART INC 21,626 -261 $1,639
     PSMT21,626-261$1,639
RENASANT CORP 48,498 +822 $1,633
     RNST48,498+822$1,633
STANDEX INTL CORP 10,280 +217 $1,628
     SXI10,280+217$1,628
CERTARA INC 92,516 +1,600 $1,627
     CERT92,516+1,600$1,627
MASTERBRAND INC 109,504 +1,065 $1,626
     MBC109,504+1,065$1,626
DANA INC 110,957 +1,872 $1,621
     DAN110,957+1,872$1,621
THE ODP CORP 28,739 -22 $1,618
     ODP28,739-22$1,618
BRINKER INTL INC 37,443 -39 $1,617
     EAT37,443-39$1,617
DIAMONDROCK HOSPITALITY CO 171,320 -16,802 $1,609
     DRH171,320-16,802$1,609
EDGEWELL PERS CARE CO 43,895 +741 $1,608
     EPC43,895+741$1,608
GENERAC HLDGS INC 12,403 +95 $1,603
     GNRC12,403+95$1,603
GOOSEHEAD INS INC 21,119 +825 $1,601
     GSHD21,119+825$1,601
DAVE & BUSTERS ENTMT INC 29,664 +517 $1,597
     PLAY29,664+517$1,597
JETBLUE AWYS CORP 286,864 +4,886 $1,592
     JBLU286,864+4,886$1,592
BANNER CORP 29,672 +503 $1,589
     BANR29,672+503$1,589
LUMEN TECHNOLOGIES INC 867,313 +15,294 $1,587
     LUMN867,313+15,294$1,587
INDEPENDENT BANK GROUP INC 31,013 +521 $1,578
     IBTX31,013+521$1,578
ANDERSONS INC 27,408 +663 $1,577
     ANDE27,408+663$1,577
CUSHMAN WAKEFIELD PLC 144,750 +2,592 $1,563
     CWK144,750+2,592$1,563
TELEPHONE & DATA SYS INC 85,122 +2,009 $1,562
     TDS85,122+2,009$1,562
DYNAVAX TECHNOLOGIES CORP 111,661 +2,277 $1,561
     DVAX111,661+2,277$1,561
CENTRAL GARDEN & PET CO 35,415 +597 $1,560
     CENTA35,415+597$1,560
CALLON PETE CO DEL 47,989 +543 $1,555
     CPE47,989+543$1,555
FMC CORP 24,661 -1,005 $1,555
     FMC24,661-1,005$1,555
SIX FLAGS ENTMT CORP NEW 61,877 +1,247 $1,552
     SIX61,877+1,247$1,552
NORDSTROM INC 83,416 +1,253 $1,539
     JWN83,416+1,253$1,539
RETAIL OPPORTUNITY INVTS COR 108,800 +1,833 $1,526
     ROIC108,800+1,833$1,526
OFG BANCORP 40,651 +623 $1,524
     OFG40,651+623$1,524
MAXLINEAR INC 63,873 +1,287 $1,518
     MXL63,873+1,287$1,518
FOX CORP 51,045 -1,372 $1,515
     FOXA51,045-1,372$1,515
WORTHINGTON ENTERPRISES INC 26,329 +456 $1,515
     WOR26,329+456$1,515
BANC OF CALIFORNIA INC 112,635 +68,492 $1,513
     BANC112,635+68,492$1,513
VEECO INSTRS INC DEL 48,671 +817 $1,510
     VECO48,671+817$1,510
COMERICA INC 27,044 +11 $1,509
     CMA27,044+11$1,509
FEDERAL RLTY INVT TR NEW 14,555 -523 $1,500
     FRT14,555-523$1,500
TRIUMPH FINANCIAL INC 18,713 +328 $1,500
     TFIN18,713+328$1,500
SYLVAMO CORP 30,512 +290 $1,498
     SLVM30,512+290$1,498
TENNANT CO 16,137 +355 $1,496
     TNC16,137+355$1,496
DENTSPLY SIRONA INC 41,930 -1,816 $1,492
     XRAY41,930-1,816$1,492
AGILYSYS INC 17,535 +309 $1,487
     AGYS17,535+309$1,487
GENTHERM INC 28,331 +312 $1,483
     THRM28,331+312$1,483
VISTA OUTDOOR INC 50,165 +903 $1,483
     VSTO50,165+903$1,483
HAYWARD HLDGS INC 108,903 +52,628 $1,481
     HAYW108,903+52,628$1,481
CRACKER BARREL OLD CTRY STOR 19,142 +328 $1,475
     CBRL19,142+328$1,475
OMNICELL COM 39,151 +770 $1,473
     OMCL39,151+770$1,473
TRUSTMARK CORP 52,733 +890 $1,470
     TRMK52,733+890$1,470
VERICEL CORP 41,227 +766 $1,468
     VCEL41,227+766$1,468
MYRIAD GENETICS INC 76,596 +7,054 $1,466
     MYGN76,596+7,054$1,466
ENERPAC TOOL GROUP CORP 46,944 -704 $1,459
     EPAC46,944-704$1,459
CATALYST PHARMACEUTICALS INC 86,571 +1,483 $1,455
     CPRX86,571+1,483$1,455
COHU INC 41,037 +612 $1,452
     COHU41,037+612$1,452
GREIF INC 22,006 +372 $1,443
     GEF22,006+372$1,443
SABRE CORP 326,651 +45,448 $1,437
     SABR326,651+45,448$1,437
UNDER ARMOUR INC 163,014 +3,448 $1,433
     UAA163,014+3,448$1,433
LAKELAND FINL CORP 21,970 +370 $1,432
     LKFN21,970+370$1,432
BARNES GROUP INC 43,776 +779 $1,428
     B43,776+779$1,428
ENOVA INTL INC 25,803 -345 $1,428
     ENVA25,803-345$1,428
UNIVERSAL CORP VA 21,216 +292 $1,428
     UVV21,216+292$1,428
CORECIVIC INC 98,096 +1,655 $1,425
     CXW98,096+1,655$1,425
SOTERA HEALTH CO 84,498 +527 $1,424
     SHC84,498+527$1,424
CITY HLDG CO 12,813 +67 $1,413
     CHCO12,813+67$1,413
PARAMOUNT GLOBAL 95,553 +560 $1,413
     PARA95,553+560$1,413
CHEESECAKE FACTORY INC 40,334 +287 $1,412
     CAKE40,334+287$1,412
VIRTUS INVT PARTNERS INC 5,835 +43 $1,411
     VRTS5,835+43$1,411
NATIONAL VISION HLDGS INC 67,363 +1,265 $1,410
     EYE67,363+1,265$1,410
JACK IN THE BOX INC 17,271 +667 $1,410
     JACK17,271+667$1,410
CUSTOMERS BANCORP INC 24,412 +506 $1,407
     CUBI24,412+506$1,407
HILLTOP HOLDINGS INC 39,971 +721 $1,407
     HTH39,971+721$1,407
NCR ATLEOS CORPORATION 57,789 +57,789 $1,404
     NATL57,789+57,789$1,404
ACADIA RLTY TR 82,325 +1,519 $1,399
     AKR82,325+1,519$1,399
BREAD FINANCIAL HOLDINGS INC 42,453 -63 $1,398
     BFH42,453-63$1,398
READY CAPITAL CORP 136,367 +2,612 $1,398
     RC136,367+2,612$1,398
BIO RAD LABS INC 4,322 +7 $1,396
     BIO4,322+7$1,396
KNOWLES CORP 77,969 +562 $1,396
     KN77,969+562$1,396
UNDER ARMOUR INC 167,021 -2,737 $1,395
     UA167,021-2,737$1,395
FORWARD AIR CORP 22,168 +450 $1,394
     FWRD22,168+450$1,394
STEWART INFORMATION SVCS COR 23,637 +412 $1,389
     STC23,637+412$1,389
OPENLANE INC 93,272 +353 $1,381
     KAR93,272+353$1,381
APOLLO MED HLDGS INC 35,877 +167 $1,374
     AMEH35,877+167$1,374
LA Z BOY INC 37,191 +431 $1,373
     LZB37,191+431$1,373
INGEVITY CORP 29,005 +485 $1,370
     NGVT29,005+485$1,370
NORTHWEST BANCSHARES INC MD (NWBI) 109,799 +16,714 $1,370
     NWBI109,799+16,714$1,370
WHIRLPOOL CORP 11,251 +375 $1,370
     WHR11,251+375$1,370
SUPERNUS PHARMACEUTICALS INC 47,195 +830 $1,366
     SUPN47,195+830$1,366
FIRST COMWLTH FINL CORP PA 88,210 +1,237 $1,362
     FCF88,210+1,237$1,362
HASBRO INC 26,658 -283 $1,361
     HAS26,658-283$1,361
IRONWOOD PHARMACEUTICALS INC 118,688 +2,076 $1,358
     IRWD118,688+2,076$1,358
NAVIENT CORPORATION 72,886 -1,178 $1,357
     NAVI72,886-1,178$1,357
PACIRA BIOSCIENCES INC 40,099 +695 $1,353
     PCRX40,099+695$1,353
NETSCOUT SYS INC 61,330 +56 $1,346
     NTCT61,330+56$1,346
HANESBRANDS INC 301,204 +5,228 $1,343
     HBI301,204+5,228$1,343
DONNELLEY FINL SOLUTIONS INC 21,368 +198 $1,333
     DFIN21,368+198$1,333
MGP INGREDIENTS INC NEW 13,503 +228 $1,330
     MGPI13,503+228$1,330
ULTRA CLEAN HLDGS INC 38,711 +767 $1,322
     UCTT38,711+767$1,322
APOLLO COML REAL EST FIN INC 112,296 +2,293 $1,318
     ARI112,296+2,293$1,318
AMERICAN WOODMARK CORPORATIO 14,186 +277 $1,317
     AMWD14,186+277$1,317
STAAR SURGICAL CO 42,170 +1,079 $1,316
     STAA42,170+1,079$1,316
FIRST BANCORP N C 35,497 +605 $1,314
     FBNC35,497+605$1,314
ZIONS BANCORPORATION N A 29,865 -314 $1,310
     ZION29,865-314$1,310
TTM TECHNOLOGIES INC 82,708 -11,705 $1,308
     TTMI82,708-11,705$1,308
UPBOUND GROUP INC 38,443 -524 $1,306
     UPBD38,443-524$1,306
CSG SYS INTL INC 24,524 -1,296 $1,305
     CSGS24,524-1,296$1,305
ADDUS HOMECARE CORP 14,008 +237 $1,301
     ADUS14,008+237$1,301
WESTAMERICA BANCORPORATION 23,021 +2,337 $1,299
     WABC23,021+2,337$1,299
GREEN PLAINS INC 51,409 +852 $1,297
     GPRE51,409+852$1,297
DORIAN LPG LTD 29,467 +651 $1,293
     LPG29,467+651$1,293
CINEMARK HLDGS INC 91,246 -339 $1,286
     CNK91,246-339$1,286
V F CORP 67,732 -55 $1,273
     VFC67,732-55$1,273
OWENS & MINOR INC NEW 65,797 +1,148 $1,268
     OMI65,797+1,148$1,268
OXFORD INDS INC 12,684 +133 $1,268
     OXM12,684+133$1,268
HARMONIC INC 96,915 +1,867 $1,264
     HLIT96,915+1,867$1,264
KENNEDY WILSON HOLDINGS INC 101,876 +1,660 $1,261
     KW101,876+1,660$1,261
VECTOR GROUP LTD 111,672 -52 $1,260
     VGR111,672-52$1,260
AZZ INC 21,663 +420 $1,258
     AZZ21,663+420$1,258
HELIX ENERGY SOLUTIONS GRP I 122,381 +1,978 $1,258
     HLX122,381+1,978$1,258
HOPE BANCORP INC 103,712 +1,827 $1,253
     HOPE103,712+1,827$1,253
XENIA HOTELS & RESORTS INC 91,571 +871 $1,247
     XHR91,571+871$1,247
NORTHWEST NAT HLDG CO 31,771 +1,141 $1,237
     NWN31,771+1,141$1,237
TALOS ENERGY INC 86,817 +1,480 $1,235
     TALO86,817+1,480$1,235
DISH NETWORK CORPORATION 213,686 +3,623 $1,233
     DISH213,686+3,623$1,233
SALLY BEAUTY HLDGS INC 92,664 +1,670 $1,231
     SBH92,664+1,670$1,231
LINDSAY CORP 9,511 +161 $1,228
     LNN9,511+161$1,228
BUCKLE INC 25,711 +429 $1,222
     BKE25,711+429$1,222
NV5 GLOBAL INC 10,985 +189 $1,221
     NVEE10,985+189$1,221
PHINIA INC 40,324 +401 $1,221
     PHIN40,324+401$1,221
BANCFIRST CORP 12,514 +204 $1,218
     BANF12,514+204$1,218
SERVICE PPTYS TR 142,604 +2,677 $1,218
     SVC142,604+2,677$1,218
SPDR SER TR (MDYV) 16,551 UNCH $1,215
     MDYV16,551UNCH$1,215
NATIONAL BK HLDGS CORP 32,620 +585 $1,213
     NBHC32,620+585$1,213
GETTY RLTY CORP NEW 41,429 +2,399 $1,211
     GTY41,429+2,399$1,211
FB FINL CORP 30,349 +540 $1,209
     FBK30,349+540$1,209
SEMTECH CORP 55,178 +1,042 $1,209
     SMTC55,178+1,042$1,209
U S PHYSICAL THERAPY 12,946 +218 $1,206
     USPH12,946+218$1,206
PATHWARD FINANCIAL INC 22,619 +346 $1,197
     CASH22,619+346$1,197
G III APPAREL GROUP LTD 35,136 +689 $1,194
     GIII35,136+689$1,194
PROG HOLDINGS INC 38,615 -188 $1,194
     PRG38,615-188$1,194
ALEXANDER & BALDWIN INC NEW 62,661 +982 $1,192
     ALEX62,661+982$1,192
JBG SMITH PPTYS 70,021 -4,480 $1,191
     JBGS70,021-4,480$1,191
GREENBRIER COS INC 26,855 +639 $1,186
     GBX26,855+639$1,186
PALOMAR HLDGS INC 21,364 +351 $1,186
     PLMR21,364+351$1,186
UNITI GROUP INC 205,195 +3,665 $1,186
     UNIT205,195+3,665$1,186
WORLD KINECT CORPORATION 52,006 +52,006 $1,185
     WKC52,006+52,006$1,185
RALPH LAUREN CORP 8,209 -137 $1,184
     RL8,209-137$1,184
HERTZ GLOBAL HLDGS INC 113,813 +515 $1,183
     HTZ113,813+515$1,183
CTS CORP 26,917 +287 $1,177
     CTS26,917+287$1,177
PROVIDENT FINL SVCS INC 65,228 +1,102 $1,176
     PFS65,228+1,102$1,176
PAYONEER GLOBAL INC 225,030 +5,407 $1,172
     PAYO225,030+5,407$1,172
WILEY JOHN & SONS INC 36,701 +565 $1,165
     WLY36,701+565$1,165
HORACE MANN EDUCATORS CORP N 35,276 +589 $1,154
     HMN35,276+589$1,154
TWO HBRS INVT CORP 82,774 +1,444 $1,153
     TWO82,774+1,444$1,153
HAWKINS INC 16,342 +34 $1,151
     HWKN16,342+34$1,151
LTC PPTYS INC 35,774 +605 $1,149
     LTC35,774+605$1,149
ADEIA INC 92,582 +1,918 $1,147
     ADEA92,582+1,918$1,147
GEO GROUP INC NEW 105,424 -307 $1,142
     GEO105,424-307$1,142
GREEN BRICK PARTNERS INC 21,952 +370 $1,140
     GRBK21,952+370$1,140
STELLAR BANCORP INC 40,489 +648 $1,127
     STEL40,489+648$1,127
MOHAWK INDS INC 10,829 -8 $1,121
     MHK10,829-8$1,121
PENNYMAC MTG INVT TR 74,633 +1,317 $1,116
     PMT74,633+1,317$1,116
XENCOR INC 52,587 +1,109 $1,116
     XNCR52,587+1,109$1,116
ELME COMMUNITIES 75,842 +1,288 $1,107
     ELME75,842+1,288$1,107
EASTERLY GOVT PPTYS INC 82,205 +2,902 $1,105
     DEA82,205+2,902$1,105
DAVITA INC 10,545 +13 $1,105
     DVA10,545+13$1,105
S & T BANCORP INC 33,029 +551 $1,104
     STBA33,029+551$1,104
TRIUMPH GROUP INC NEW 65,961 +1,433 $1,094
     TGI65,961+1,433$1,094
LESLIES INC 158,218 +2,789 $1,093
     LESL158,218+2,789$1,093
VERITEX HLDGS INC 46,906 +1,072 $1,092
     VBTX46,906+1,072$1,092
VERIS RESIDENTIAL INC 69,280 +1,285 $1,090
     VRE69,280+1,285$1,090
NATIONAL HEALTHCARE CORP 11,648 +11,648 $1,077
     NHC11,648+11,648$1,077
ALLEGIANT TRAVEL CO 12,973 +132 $1,072
     ALGT12,973+132$1,072
RPT REALTY 83,586 +15,821 $1,072
     RPT83,586+15,821$1,072
VITAL ENERGY INC 23,094 +8,885 $1,051
     VTLE23,094+8,885$1,051
MARTEN TRANS LTD 49,869 +845 $1,046
     MRTN49,869+845$1,046
UFP TECHNOLOGIES INC 6,070 +102 $1,044
     UFPT6,070+102$1,044
NOW INC 91,855 +1,220 $1,040
     DNOW91,855+1,220$1,040
EXP WORLD HLDGS INC 66,421 +1,209 $1,031
     EXPI66,421+1,209$1,031
ENCORE CAP GROUP INC 20,229 +453 $1,027
     ECPG20,229+453$1,027
WABASH NATL CORP 39,812 -103 $1,020
     WNC39,812-103$1,020
APOGEE ENTERPRISES INC 19,068 +317 $1,018
     APOG19,068+317$1,018
HUDSON PAC PPTYS INC 108,699 +1,745 $1,012
     HPP108,699+1,745$1,012
LIGAND PHARMACEUTICALS INC 14,159 +304 $1,011
     LGND14,159+304$1,011
CARS COM INC 53,208 +709 $1,009
     CARS53,208+709$1,009
MIDDLESEX WTR CO 15,376 +310 $1,009
     MSEX15,376+310$1,009
NATIONAL BEVERAGE CORP 20,161 +340 $1,002
     FIZZ20,161+340$1,002
SHUTTERSTOCK INC 20,670 +140 $998
     SSTK20,670+140$998
PERDOCEO ED CORP 56,746 +1,024 $996
     PRDO56,746+1,024$996
VERADIGM INC 94,344 +1,592 $990
     MDRX94,344+1,592$990
XPEL INC 18,378 +314 $990
     XPEL18,378+314$990
KAISER ALUMINUM CORP 13,763 +169 $980
     KALU13,763+169$980
LEMAITRE VASCULAR INC 17,116 +288 $972
     LMAT17,116+288$972
SAFETY INS GROUP INC 12,778 +215 $971
     SAFT12,778+215$971
MATTHEWS INTL CORP 26,320 +444 $965
     MATW26,320+444$965
PILGRIMS PRIDE CORP 34,774 +586 $962
     PPC34,774+586$962
FRANKLIN BSP RLTY TR INC 70,868 +1,078 $957
     FBRT70,868+1,078$957
AMERICAN ASSETS TR INC 41,947 +708 $944
     AAT41,947+708$944
SHENANDOAH TELECOMMUNICATION 43,421 +732 $939
     SHEN43,421+732$939
TRUPANION INC 30,708 +653 $937
     TRUP30,708+653$937
EMBECTA CORP 49,279 +880 $933
     EMBC49,279+880$933
IROBOT CORP 24,072 +637 $932
     IRBT24,072+637$932
KOPPERS HOLDINGS INC 17,988 +262 $921
     KOP17,988+262$921
BERKSHIRE HILLS BANCORP INC 37,037 -339 $920
     BHLB37,037-339$920
HARMONY BIOSCIENCES HLDGS IN 28,189 -335 $911
     HRMY28,189-335$911
AVANOS MED INC 40,428 +620 $907
     AVNS40,428+620$907
SIRIUSPOINT LTD 78,173 +3,028 $907
     SPNT78,173+3,028$907
SAFEHOLD INC 38,464 +677 $900
     SAFE38,464+677$900
MARCUS & MILLICHAP INC 20,559 +307 $898
     MMI20,559+307$898
CHEFS WHSE INC 30,353 +371 $893
     CHEF30,353+371$893
AMERICAN AXLE & MFG HLDGS IN 101,081 +1,708 $891
     AXL101,081+1,708$891
ARCUS BIOSCIENCES INC 46,539 +1,001 $889
     RCUS46,539+1,001$889
SCHOLASTIC CORP 23,587 -90 $889
     SCHL23,587-90$889
CALERES INC 28,859 -98 $887
     CAL28,859-98$887
PRA GROUP INC 33,672 +581 $882
     PRAA33,672+581$882
VICOR CORP 19,496 +443 $876
     VICR19,496+443$876
EMPLOYERS HLDGS INC 22,219 +83 $875
     EIG22,219+83$875
QUANEX BLDG PRODS CORP 28,495 +508 $871
     NX28,495+508$871
COLLEGIUM PHARMACEUTICAL INC 28,172 -1,327 $867
     COLL28,172-1,327$867
PROTO LABS INC 22,034 -118 $858
     PRLB22,034-118$858
ELLINGTON FINANCIAL INC 67,439 +10,067 $857
     EFC67,439+10,067$857
MERCURY GENL CORP NEW 22,950 +388 $856
     MCY22,950+388$856
ICHOR HOLDINGS 25,380 +537 $854
     ICHR25,380+537$854
SCANSOURCE INC 21,568 +421 $854
     SCSC21,568+421$854
BENCHMARK ELECTRS INC 30,824 +529 $852
     BHE30,824+529$852
AMERISAFE INC 18,177 +387 $850
     AMSF18,177+387$850
PDF SOLUTIONS INC 26,441 +537 $850
     PDFS26,441+537$850
HAIN CELESTIAL GROUP INC 77,104 +1,580 $844
     HAIN77,104+1,580$844
SMART GLOBAL HLDGS INC 44,600 +2,096 $844
     SGH44,600+2,096$844
BROOKLINE BANCORP INC DEL 76,734 +1,925 $837
     BRKL76,734+1,925$837
UNITED NAT FOODS INC 51,040 +1,511 $828
     UNFI51,040+1,511$828
NU SKIN ENTERPRISES INC 42,452 +202 $824
     NUS42,452+202$824
ARMOUR RESIDENTIAL REIT INC 42,093 -150,824 $813
     ARR42,093-150,824$813
DIME CMNTY BANCSHARES INC (DCOM) 30,170 +713 $812
     DCOM30,170+713$812
DELUXE CORP 37,694 +1,713 $809
     DLX37,694+1,713$809
CHICOS FAS INC 106,651 +1,801 $808
     CHS106,651+1,801$808
DIGI INTL INC 31,072 +524 $808
     DGII31,072+524$808
SANFILIPPO JOHN B & SON INC 7,751 +143 $799
     JBSS7,751+143$799
BRANDYWINE RLTY TR 147,656 +2,506 $797
     BDN147,656+2,506$797
MONARCH CASINO & RESORT INC 11,530 +149 $797
     MCRI11,530+149$797
MONRO INC 27,165 +482 $797
     MNRO27,165+482$797
N ABLE INC 60,049 +1,145 $796
     NABL60,049+1,145$796
A10 NETWORKS INC 60,201 +1,037 $793
     ATEN60,201+1,037$793
PREFERRED BK LOS ANGELES CA 10,795 -313 $789
     PFBC10,795-313$789
INNOVIVA INC 48,696 +66 $781
     INVA48,696+66$781
ARLO TECHNOLOGIES INC 81,712 +1,866 $778
     ARLO81,712+1,866$778
TIMKENSTEEL CORPORATION 33,179 +333 $778
     TMST33,179+333$778
SUNCOKE ENERGY INC 72,353 +1,220 $777
     SXC72,353+1,220$777
SOUTHSIDE BANCSHARES INC (SBSI) 24,781 +147 $776
     SBSI24,781+147$776
CYTEK BIOSCIENCES INC 84,899 +379 $774
     CTKB84,899+379$774
EAGLE BANCORP INC MD 25,676 +479 $774
     EGBN25,676+479$774
TECHTARGET INC 22,174 +834 $773
     TTGT22,174+834$773
HIBBETT INC 10,706 -23 $771
     HIBB10,706-23$771
FRESH DEL MONTE PRODUCE INC 29,097 +490 $764
     FDP29,097+490$764
CVR ENERGY INC 25,185 +425 $763
     CVI25,185+425$763
CENTERSPACE 12,998 +308 $756
     CSR12,998+308$756
REDWOOD TRUST INC 101,786 +5,522 $754
     RWT101,786+5,522$754
FOX CORP 27,238 -21 $753
     FOX27,238-21$753
U S SILICA HLDGS INC 66,621 +1,155 $753
     SLCA66,621+1,155$753
WK KELLOGG CO 56,952 +56,952 $748
     KLG56,952+56,952$748
VIR BIOTECHNOLOGY INC 73,965 +1,440 $744
     VIR73,965+1,440$744
GOLDEN ENTMT INC 18,532 +155 $740
     GDEN18,532+155$740
WORTHINGTON STL INC 26,317 +26,317 $740
     WS26,317+26,317$740
COMPASS MINERALS INTL INC 28,983 +498 $734
     CMP28,983+498$734
ASTEC INDS INC 19,644 +333 $731
     ASTE19,644+333$731
UNITIL CORP 13,907 +643 $731
     UTL13,907+643$731
3 D SYS CORP DEL 114,492 +2,111 $727
     DDD114,492+2,111$727
SONIC AUTOMOTIVE INC 12,840 -682 $722
     SAH12,840-682$722
ARMADA HOFFLER PPTYS INC 58,199 +518 $720
     AHH58,199+518$720
ANI PHARMACEUTICALS INC 13,022 -584 $718
     ANIP13,022-584$718
BJS RESTAURANTS INC 19,947 -74 $718
     BJRI19,947-74$718
VAREX IMAGING CORP 34,998 +701 $717
     VREX34,998+701$717
CORE LABORATORIES INC 40,358 +718 $713
     CLB40,358+718$713
MATIV HOLDINGS INC 46,488 +319 $712
     MATV46,488+319$712
B & G FOODS INC NEW 67,473 +6,501 $708
     BGS67,473+6,501$708
METHODE ELECTRS INC 31,107 +523 $707
     MEI31,107+523$707
COMSTOCK RES INC 79,372 +1,324 $702
     CRK79,372+1,324$702
CAPITOL FED FINL INC 108,421 +1,739 $699
     CFFN108,421+1,739$699
ADVANSIX INC 23,284 +172 $698
     ASIX23,284+172$698
POWELL INDS INC 7,890 +134 $697
     POWL7,890+134$697
STURM RUGER & CO INC 15,310 +258 $696
     RGR15,310+258$696
DRIL QUIP INC 29,522 +497 $687
     DRQ29,522+497$687
SPARTANNASH CO 29,897 +1,886 $686
     SPTN29,897+1,886$686
CERENCE INC 34,600 +360 $680
     CRNC34,600+360$680
ANYWHERE REAL ESTATE INC 83,731 +1,482 $679
     HOUS83,731+1,482$679
MISTER CAR WASH INC 78,131 +1,929 $675
     MCW78,131+1,929$675
NEXPOINT RESIDENTIAL TR INC 19,587 +332 $674
     NXRT19,587+332$674
MARINEMAX INC 17,092 +159 $665
     HZO17,092+159$665
PEDIATRIX MEDICAL GROUP INC 71,522 +1,277 $665
     MD71,522+1,277$665
NABORS INDUSTRIES LTD 8,132 +1,428 $664
     NBR8,132+1,428$664
NEW YORK MTG TR INC 77,856 +869 $664
     NYMT77,856+869$664
HEALTHCARE SVCS GROUP INC 63,795 +782 $662
     HCSG63,795+782$662
WISDOMTREE INC 95,391 -1,638 $661
     WT95,391-1,638$661
DINE BRANDS GLOBAL INC 13,298 +177 $660
     DIN13,298+177$660
KKR REAL ESTATE FIN TR INC 49,907 +1,008 $660
     KREF49,907+1,008$660
PC CONNECTION INC 9,759 +1,973 $656
     CNXN9,759+1,973$656
TOMPKINS FINL CORP 10,784 +256 $650
     TMP10,784+256$650
TITAN INTL INC ILL 43,687 +22 $650
     TWI43,687+22$650
VIAD CORP 17,894 +702 $648
     VVI17,894+702$648
CROSS CTRY HEALTHCARE INC 28,544 -39 $646
     CCRN28,544-39$646
HERITAGE FINL CORP WASH 30,150 +640 $645
     HFWA30,150+640$645
INSTEEL INDS INC 16,805 +301 $643
     IIIN16,805+301$643
STANDARD MTR PRODS INC 16,143 +275 $643
     SMP16,143+275$643
AMBAC FINL GROUP INC 38,784 +633 $639
     AMBC38,784+633$639
MEDIFAST INC 9,410 +162 $633
     MED9,410+162$633
ETHAN ALLEN INTERIORS INC 19,747 +365 $630
     ETD19,747+365$630
HAYNES INTL INC 10,998 +185 $627
     HAYN10,998+185$627
REGENXBIO INC 34,747 +414 $624
     RGNX34,747+414$624
MYERS INDS INC 31,798 +536 $622
     MYE31,798+536$622
REX AMERICAN RES CORP 13,156 +307 $622
     REX13,156+307$622
SUMMIT HOTEL PPTYS INC 92,274 +1,679 $620
     INN92,274+1,679$620
SIMULATIONS PLUS INC 13,779 +240 $617
     SLP13,779+240$617
ENVIRI CORP 68,267 +68,267 $614
     NVRI68,267+68,267$614
PROPETRO HLDG CORP 73,292 -421 $614
     PUMP73,292-421$614
NEWS CORP NEW 23,704 -163 $610
     NWS23,704-163$610
PROASSURANCE CORP 44,010 -188 $607
     PRA44,010-188$607
WOLVERINE WORLD WIDE INC 68,222 +1,205 $606
     WWW68,222+1,205$606
ARTIVION INC 33,452 +355 $598
     AORT33,452+355$598
KELLY SVCS INC 27,604 +4,756 $597
     KELYA27,604+4,756$597
INTERFACE INC 47,084 +1,104 $594
     TILE47,084+1,104$594
BRISTOW GROUP INC 20,732 +401 $586
     VTOL20,732+401$586
COMMUNITY HEALTHCARE TR INC 21,904 +926 $584
     CHCT21,904+926$584
PITNEY BOWES INC 131,377 +2,875 $578
     PBI131,377+2,875$578
QUINSTREET INC 44,791 +1,127 $574
     QNST44,791+1,127$574
CHUYS HLDGS INC 14,991 -329 $573
     CHUY14,991-329$573
HEARTLAND EXPRESS INC 39,595 +667 $565
     HTLD39,595+667$565
OLYMPIC STEEL INC 8,463 +143 $564
     ZEUS8,463+143$564
HEALTHSTREAM INC 20,668 +79 $559
     HSTM20,668+79$559
GUESS INC 23,598 +422 $544
     GES23,598+422$544
CHATHAM LODGING TR 50,629 +17,919 $543
     CLDT50,629+17,919$543
THRYV HLDGS INC 26,519 +881 $540
     THRY26,519+881$540
GOGO INC 53,017 +920 $537
     GOGO53,017+920$537
CENTURY ALUM CO 44,186 +894 $536
     CENX44,186+894$536
DIGITAL TURBINE INC 77,946 +1,812 $535
     APPS77,946+1,812$535
RPC INC 73,494 +1,193 $535
     RES73,494+1,193$535
UNIVERSAL HEALTH RLTY INCOME 12,334 -121 $533
     UHT12,334-121$533
SUN CTRY AIRLS HLDGS INC 33,657 -294 $529
     SNCY33,657-294$529
CORSAIR GAMING INC 37,363 -4,030 $527
     CRSR37,363-4,030$527
BRIGHTSPHERE INVT GROUP INC 27,411 +1,578 $525
     BSIG27,411+1,578$525
ORASURE TECHNOLOGIES INC 63,479 +1,129 $521
     OSUR63,479+1,129$521
CLEARWATER PAPER CORP 14,308 +114 $517
     CLW14,308+114$517
USANA HEALTH SCIENCES INC 9,585 +77 $514
     USNA9,585+77$514
HEIDRICK & STRUGGLES INTL IN 17,382 +390 $513
     HSII17,382+390$513
ADAPTHEALTH CORP 70,222 +1,362 $512
     AHCO70,222+1,362$512
SPDR SER TR (SLYV) 6,136 UNCH $511
     SLYV6,136UNCH$511
TRUSTCO BK CORP N Y 16,434 +277 $510
     TRST16,434+277$510
ALPHA & OMEGA SEMICONDUCTOR 19,433 +418 $506
     AOSL19,433+418$506
HANMI FINL CORP 26,006 +377 $505
     HAFC26,006+377$505
FULGENT GENETICS INC 17,400 +124 $503
     FLGT17,400+124$503
WHITESTONE REIT 40,675 +1,164 $500
     COM40,675+1,164$500
TOOTSIE ROLL INDS INC 14,922 +135 $496
     TR14,922+135$496
KAMAN CORP 20,652 -6,613 $495
     KAMN20,652-6,613$495
AMC NETWORKS INC 26,034 +594 $489
     AMCX26,034+594$489
BIOLIFE SOLUTIONS INC 29,761 +891 $484
     BLFS29,761+891$484
ECHOSTAR CORP 29,014 +29,014 $481
     SATS29,014+29,014$481
SHOE CARNIVAL INC 15,599 +276 $471
     SCVL15,599+276$471
MODIVCARE INC 10,558 +201 $464
     MODV10,558+201$464
CENTRAL PAC FINL CORP 23,351 +395 $460
     CPF23,351+395$460
MESA LABS INC 4,378 +253 $459
     MLAB4,378+253$459
CEVA INC 20,182 +321 $458
     CEVA20,182+321$458
HCI GROUP INC 5,190 +83 $454
     HCI5,190+83$454
CALAVO GROWERS INC 15,343 +239 $451
     CVGW15,343+239$451
ADTRAN HOLDINGS INC 60,458 +827 $444
     ADTN60,458+827$444
ENHABIT INC 42,935 +729 $444
     EHAB42,935+729$444
SAUL CTRS INC 11,165 +302 $438
     BFS11,165+302$438
NORTHFIELD BANCORP INC DEL 33,759 +598 $425
     NFBK33,759+598$425
CENTRAL GARDEN & PET CO 8,230 +139 $412
     CENT8,230+139$412
XPERI INC 37,192 +833 $410
     XPER37,192+833$410
HAVERTY FURNITURE COS INC 11,522 +116 $409
     HVT11,522+116$409
MOVADO GROUP INC 13,531 +267 $408
     MOV13,531+267$408
SCRIPPS E W CO OHIO 50,316 +1,130 $402
     SSP50,316+1,130$402
CONSENSUS CLOUD SOLUTIONS IN 15,202 -144 $398
     CCSI15,202-144$398
EZCORP INC 45,009 +759 $393
     EZPW45,009+759$393
RESOURCES CONNECTION INC 27,655 +486 $392
     RGP27,655+486$392
DXP ENTERPRISES INC 11,459 -190 $386
     DXPE11,459-190$386
WORLD ACCEP CORPORATION 2,931 +39 $383
     WRLD2,931+39$383
GREEN DOT CORP 38,489 +260 $381
     GDOT38,489+260$381
TRUEBLUE INC 24,764 +273 $380
     TBI24,764+273$380
AMERICAS CAR MART INC 4,967 -105 $376
     CRMT4,967-105$376
OIL STS INTL INC 55,191 +919 $375
     OIS55,191+919$375
SELECT SECTOR SPDR TR (XLV) 2,738 UNCH $373
     XLV2,738UNCH$373
UNITED FIRE GROUP INC 18,333 +1,502 $369
     UFCS18,333+1,502$369
NATIONAL PRESTO INDS INC 4,528 +80 $364
     NPK4,528+80$364
MERCER INTL INC 37,512 +726 $356
     MERC37,512+726$356
SUNPOWER CORP 73,187 +964 $353
     SPWR73,187+964$353
TTEC HLDGS INC 16,167 +222 $350
     TTEC16,167+222$350
ATN INTL INC 8,932 +48 $348
     ATNI8,932+48$348
LIQUIDITY SVCS INC 19,355 +327 $333
     LQDT19,355+327$333
DESIGNER BRANDS INC 37,502 -3,960 $332
     DBI37,502-3,960$332
SPDR SER TR (XAR) 2,424 UNCH $328
     XAR2,424UNCH$328
MARCUS CORP DEL 21,266 +363 $310
     MCS21,266+363$310
B. RILEY FINANCIAL INC 14,047 +45 $295
     RILY14,047+45$295
SPDR SER TR (KIE) 6,355 UNCH $287
     KIE6,355UNCH$287
CONSOLIDATED COMM HLDGS INC 63,407 +1,299 $276
     CNSL63,407+1,299$276
FORRESTER RESH INC 9,968 +1,242 $267
     FORR9,968+1,242$267
AGILITI INC 29,798 +608 $236
     AGTI29,798+608$236
PHIBRO ANIMAL HEALTH CORP 17,189 +2,184 $199
     PAHC17,189+2,184$199
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-147,857$0
AMERICAN VANGUARD CORP $0 (exited)
     AVD0-20,899$0
AVID TECHNOLOGY INC $0 (exited)
     AVID0-27,561$0
AVANTAX INC $0 (exited)
     AVTA0-31,220$0
AVID BIOSERVICES INC $0 (exited)
     CDMO0-52,850$0
CIRCOR INTL INC $0 (exited)
     CIR0-17,310$0
CLEARFIELD INC $0 (exited)
     CLFD0-10,875$0
COMMUNITY HEALTH SYS INC NEW $0 (exited)
     CYH0-106,550$0
EBIX INC $0 (exited)
     EBIX0-20,378$0
FISERV INC $0 (exited)
     FISV0-125,972$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-75,237$0
HAWAIIAN HOLDINGS INC $0 (exited)
     HA0-43,163$0
ENVIRI CORP $0 (exited)
     HSC0-67,159$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-51,125$0
ITEOS THERAPEUTICS INC $0 (exited)
     ITOS0-22,109$0
JAMES RIV GROUP LTD $0 (exited)
     JRVR0-31,688$0
NATIONAL INSTRS CORP $0 (exited)
     NATI0-111,680$0
NEXTGEN HEALTHCARE INC $0 (exited)
     NXGN0-46,083$0
ORTHOFIX MED INC $0 (exited)
     OFIX0-30,860$0
ONESPAN INC $0 (exited)
     OSPN0-30,187$0
PACWEST BANCORP DEL $0 (exited)
     PACW0-100,105$0
REVVITY INC $0 (exited)
     PKI0-25,122$0
EVEREST GROUP LTD $0 (exited)
     RE0-8,971$0
SLEEP NUMBER CORP $0 (exited)
     SNBR0-17,748$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-112,836$0
VERITIV CORP 0 -11,509 $0 (exited)
     VRTV0-11,509$0

See Summary: Texas Permanent School Fund Corp Top Holdings
See Details: Top 10 Stocks Held By Texas Permanent School Fund Corp

EntityShares/Amount
Change
Position Value
Change
UBER +424,884+$26,160
FI +123,931+$16,463
WPC +188,877+$12,241
LULU +23,775+$12,156
BURL +56,021+$10,895
FND +92,049+$10,269
EQH +274,824+$9,152
CG +186,981+$7,608
HLI +44,581+$5,346
H +38,196+$4,981
EntityShares/Amount
Change
Position Value
Change
FISV -125,972-$14,230
ATVI -147,857-$13,844
NATI -111,680-$6,658
TWNK -112,836-$3,759
RE -8,971-$3,334
PKI -25,122-$2,781
FTREV -75,237-$2,559
VRTV -11,509-$1,944
INT -51,125-$1,147
NXGN -46,083-$1,094
EntityShares/Amount
Change
Position Value
Change
OGN +168,045+$2,269
DXC +127,718+$3,001
PR +123,315+$1,592
SEE +95,357+$3,590
CELH +86,291-$189
ALK +84,218+$3,343
NEM +73,743+$3,781
BANC +68,492+$967
SPY +52,793+$29,868
HAYW +52,628+$688
EntityShares/Amount
Change
Position Value
Change
ARR -150,824-$7
JBL -84,739-$10,739
BLDR -80,812-$8,979
SPSM -35,465+$778
HUBB -34,497-$10,640
CMCSA -21,296-$1,351
AAPL -18,091+$61,257
DRH -16,802+$98
GOOG -14,434+$7,435
Size ($ in 1000's)
At 12/31/2023: $11,551,556
At 09/30/2023: $10,257,486

Texas Permanent School Fund Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Texas Permanent School Fund Corp 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Texas Permanent School Fund | www.HoldingsChannel.com

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