HoldingsChannel.com
All Stocks Held By Vanguard Group Inc.
As of  06/30/2020
   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MICROSOFT CORP 632,013,255 -8,159,317 $128,621,019
     MSFT632,013,255-8,159,317$128,621,019
APPLE INC 328,990,250 -7,738,358 $120,015,645
     AAPL328,990,250-7,738,358$120,015,645
AMAZON COM INC 32,974,031 -1,884 $90,969,417
     AMZN32,974,031-1,884$90,969,417
FACEBOOK INC 188,139,998 -688,726 $42,720,950
     FB188,139,998-688,726$42,720,950
ALPHABET INC 23,367,076 -185,993 $33,135,683
     GOOGL23,367,076-185,993$33,135,683
JOHNSON & JOHNSON 231,747,508 -2,068,630 $32,590,653
     JNJ231,747,508-2,068,630$32,590,653
ALPHABET INC 22,636,989 -525,961 $31,999,874
     GOOG22,636,989-525,961$31,999,874
VISA INC 147,219,771 -4,684,247 $28,438,444
     V147,219,771-4,684,247$28,438,444
PROCTER AND GAMBLE CO 223,118,903 -6,194,487 $26,678,327
     PG223,118,903-6,194,487$26,678,327
BERKSHIRE HATHAWAY INC DEL      $25,879,790
     BRK.B141,311,073-4,557,057$25,225,439
     BRK.A2,448-137$654,351
UNITEDHEALTH GROUP INC 80,727,140 +5,654,194 $23,810,470
     UNH80,727,140+5,654,194$23,810,470
HOME DEPOT INC 91,547,627 +5,714,595 $22,933,597
     HD91,547,627+5,714,595$22,933,597
JPMORGAN CHASE & CO 232,022,891 -12,874,549 $21,824,073
     JPM232,022,891-12,874,549$21,824,073
MASTERCARD INCORPORATED 72,924,831 -468,088 $21,563,871
     MA72,924,831-468,088$21,563,871
INTEL CORP 356,139,529 -13,685,927 $21,307,828
     INTC356,139,529-13,685,927$21,307,828
NVIDIA CORPORATION 49,018,971 +479,795 $18,622,797
     NVDA49,018,971+479,795$18,622,797
VERIZON COMMUNICATIONS INC 333,177,039 -5,345,767 $18,368,050
     VZ333,177,039-5,345,767$18,368,050
AT&T INC 570,726,802 -25,680,659 $17,253,070
     T570,726,802-25,680,659$17,253,070
ADOBE INC 39,545,776 -78,536 $17,214,671
     ADBE39,545,776-78,536$17,214,671
PAYPAL HLDGS INC 95,736,283 +30,667 $16,680,132
     PYPL95,736,283+30,667$16,680,132
DISNEY WALT CO 148,574,900 +10,757,398 $16,567,587
     DIS148,574,900+10,757,398$16,567,587
PEPSICO INC 124,559,499 +7,075,509 $16,474,240
     PEP124,559,499+7,075,509$16,474,240
MERCK & CO. INC 212,784,687 -4,210,785 $16,454,640
     MRK212,784,687-4,210,785$16,454,640
WALMART INC 135,308,543 -2,325,717 $16,207,258
     WMT135,308,543-2,325,717$16,207,258
EXXON MOBIL CORP 362,066,928 -4,880,636 $16,191,633
     XOM362,066,928-4,880,636$16,191,633
CISCO SYS INC 339,202,387 -23,147,247 $15,820,399
     CSCO339,202,387-23,147,247$15,820,399
COMCAST CORP NEW 398,703,950 -17,262,577 $15,541,479
     CMCSA398,703,950-17,262,577$15,541,479
NETFLIX INC 34,001,284 -118,696 $15,471,945
     NFLX34,001,284-118,696$15,471,945
PFIZER INC 456,893,858 -5,082,741 $14,940,428
     PFE456,893,858-5,082,741$14,940,428
BK OF AMERICA CORP 625,514,680 -5,582,592 $14,855,974
     BAC625,514,680-5,582,592$14,855,974
AMERICAN TOWER CORP NEW 57,389,318 -1,143,313 $14,837,435
     AMT57,389,318-1,143,313$14,837,435
ABBVIE INC 147,386,808 +21,786,239 $14,470,438
     ABBV147,386,808+21,786,239$14,470,438
CHEVRON CORP NEW 161,899,273 -3,947,342 $14,446,272
     CVX161,899,273-3,947,342$14,446,272
COCA COLA CO 322,605,462 -4,597,792 $14,414,011
     KO322,605,462-4,597,792$14,414,011
ALIBABA GROUP HLDG LTD 63,762,943 -2,163,908 $13,753,667
     BABA63,762,943-2,163,908$13,753,667
ABBOTT LABS 150,038,837 -5,754,916 $13,718,050
     ABT150,038,837-5,754,916$13,718,050
SALESFORCE COM INC 71,232,417 +1,349,434 $13,343,968
     CRM71,232,417+1,349,434$13,343,968
MCDONALDS CORP 66,203,469 -3,214,511 $12,212,555
     MCD66,203,469-3,214,511$12,212,555
ACCENTURE PLC IRELAND 56,601,256 -1,491,525 $12,153,420
     ACN56,601,256-1,491,525$12,153,420
BRISTOL MYERS SQUIBB CO 203,888,386 +4,984,471 $11,988,638
     BMY203,888,386+4,984,471$11,988,638
LILLY ELI & CO 71,605,087 -1,070,561 $11,756,122
     LLY71,605,087-1,070,561$11,756,122
AMGEN INC 48,866,168 -778,987 $11,525,575
     AMGN48,866,168-778,987$11,525,575
COSTCO WHSL CORP NEW 37,934,811 -1,267,595 $11,502,213
     COST37,934,811-1,267,595$11,502,213
THERMO FISHER SCIENTIFIC INC 31,536,018 -591,318 $11,426,760
     TMO31,536,018-591,318$11,426,760
TEXAS INSTRS INC 86,651,170 -4,350,405 $11,002,099
     TXN86,651,170-4,350,405$11,002,099
NEXTERA ENERGY INC 44,837,601 -1,679,774 $10,768,646
     NEE44,837,601-1,679,774$10,768,646
BROADCOM INC 33,450,598 +135,603 $10,557,343
     AVGO33,450,598+135,603$10,557,343
ORACLE CORP 189,431,168 +15,843,802 $10,469,860
     ORCL189,431,168+15,843,802$10,469,860
MEDTRONIC PLC 113,112,650 -4,622,375 $10,372,430
     MDT113,112,650-4,622,375$10,372,430
NIKE INC 105,170,585 -3,996,353 $10,311,975
     NKE105,170,585-3,996,353$10,311,975
UNION PAC CORP 57,917,351 -3,587,174 $9,792,086
     UNP57,917,351-3,587,174$9,792,086
TESLA INC 8,852,837 +190,056 $9,559,382
     TSLA8,852,837+190,056$9,559,382
QUALCOMM INC 104,166,567 +5,845,242 $9,501,032
     QCOM104,166,567+5,845,242$9,501,032
LINDE PLC 43,863,127 -1,319,785 $9,303,809
     LIN43,863,127-1,319,785$9,303,809
INTERNATIONAL BUSINESS MACHS 75,044,124 -903,312 $9,063,079
     IBM75,044,124-903,312$9,063,079
CROWN CASTLE INTL CORP NEW 53,866,149 -1,026,359 $9,014,500
     CCI53,866,149-1,026,359$9,014,500
PROLOGIS INC. 96,300,487 -1,912,100 $8,987,724
     PLD96,300,487-1,912,100$8,987,724
PHILIP MORRIS INTL INC 126,207,146 -1,762,142 $8,842,072
     PM126,207,146-1,762,142$8,842,072
CITIGROUP INC 172,455,150 -10,634,618 $8,812,457
     C172,455,150-10,634,618$8,812,457
DANAHER CORPORATION 49,729,454 -1,171,852 $8,793,659
     DHR49,729,454-1,171,852$8,793,659
LOWES COS INC 64,308,507 -3,472,357 $8,689,365
     LOW64,308,507-3,472,357$8,689,365
LOCKHEED MARTIN CORP 22,246,588 -1,011,428 $8,118,225
     LMT22,246,588-1,011,428$8,118,225
GILEAD SCIENCES INC 104,813,339 -2,280,076 $8,064,339
     GILD104,813,339-2,280,076$8,064,339
RAYTHEON TECHNOLOGIES CORP 128,685,385 +128,685,385 $7,929,593
     RTX128,685,385+128,685,385$7,929,593
EQUINIX INC 11,281,858 +69,141 $7,923,250
     EQIX11,281,858+69,141$7,923,250
WELLS FARGO CO NEW 303,977,610 -12,997,924 $7,781,827
     WFC303,977,610-12,997,924$7,781,827
HONEYWELL INTL INC 53,005,250 -1,965,852 $7,664,029
     HON53,005,250-1,965,852$7,664,029
BOEING CO 41,323,292 -433,313 $7,574,559
     BA41,323,292-433,313$7,574,559
3M CO 45,966,932 -5,891,596 $7,170,382
     MMM45,966,932-5,891,596$7,170,382
BLACKROCK INC 12,955,301 +3,714,710 $7,048,850
     BLK12,955,301+3,714,710$7,048,850
CVS HEALTH CORP 107,207,317 -531,433 $6,965,260
     CVS107,207,317-531,433$6,965,260
S&P GLOBAL INC 20,753,334 -978,713 $6,837,809
     SPGI20,753,334-978,713$6,837,809
FIDELITY NATL INFORMATION SV 50,020,585 +8,259 $6,707,260
     FIS50,020,585+8,259$6,707,260
STARBUCKS CORP 91,002,442 +493,961 $6,696,870
     SBUX91,002,442+493,961$6,696,870
UNITED PARCEL SERVICE INC 57,904,097 -58,456 $6,437,778
     UPS57,904,097-58,456$6,437,778
SERVICENOW INC 15,633,958 +164,302 $6,332,691
     NOW15,633,958+164,302$6,332,691
INTUIT 20,742,050 +32,536 $6,143,589
     INTU20,742,050+32,536$6,143,589
VERTEX PHARMACEUTICALS INC 20,873,157 +264,218 $6,059,687
     VRTX20,873,157+264,218$6,059,687
DIGITAL RLTY TR INC 42,288,336 +3,268,277 $6,009,595
     DLR42,288,336+3,268,277$6,009,595
BECTON DICKINSON & CO 25,098,916 +1,059,636 $6,005,418
     BDX25,098,916+1,059,636$6,005,418
ALTRIA GROUP INC 152,900,355 -1,035,984 $6,001,338
     MO152,900,355-1,035,984$6,001,338
CATERPILLAR INC DEL 46,935,970 -3,192,077 $5,937,401
     CAT46,935,970-3,192,077$5,937,401
CHARTER COMMUNICATIONS INC N 11,519,004 -485,538 $5,875,153
     CHTR11,519,004-485,538$5,875,153
DOMINION ENERGY INC 71,089,568 +541,649 $5,771,051
     D71,089,568+541,649$5,771,051
AUTOMATIC DATA PROCESSING IN 38,567,267 -640,513 $5,742,282
     ADP38,567,267-640,513$5,742,282
MONDELEZ INTL INC 111,672,468 -2,672,097 $5,709,814
     MDLZ111,672,468-2,672,097$5,709,814
COLGATE PALMOLIVE CO 77,127,380 -2,836,154 $5,650,352
     CL77,127,380-2,836,154$5,650,352
CIGNA CORP NEW 29,029,648 -557,638 $5,447,412
     CI29,029,648-557,638$5,447,412
SBA COMMUNICATIONS CORP NEW 17,994,289 -608,293 $5,360,858
     SBAC17,994,289-608,293$5,360,858
TARGET CORP 44,602,806 +2,041,534 $5,349,215
     TGT44,602,806+2,041,534$5,349,215
INTUITIVE SURGICAL INC 9,291,319 +48,562 $5,294,473
     ISRG9,291,319+48,562$5,294,473
ZOETIS INC 38,072,458 -260,627 $5,217,450
     ZTS38,072,458-260,627$5,217,450
STRYKER CORPORATION 28,869,432 -268,416 $5,201,982
     SYK28,869,432-268,416$5,201,982
ANTHEM INC 19,651,252 -354,942 $5,167,886
     ANTM19,651,252-354,942$5,167,886
BOOKING HOLDINGS INC 3,227,681 -97,324 $5,139,566
     BKNG3,227,681-97,324$5,139,566
ADVANCED MICRO DEVICES INC 96,918,854 -15,105,119 $5,098,902
     AMD96,918,854-15,105,119$5,098,902
DUKE ENERGY CORP NEW 63,331,530 -442,288 $5,059,558
     DUK63,331,530-442,288$5,059,558
GOLDMAN SACHS GROUP INC 25,234,037 -354,599 $4,986,751
     GS25,234,037-354,599$4,986,751
REGENERON PHARMACEUTICALS 7,844,995 +1,429,765 $4,892,530
     REGN7,844,995+1,429,765$4,892,530
TJX COS INC NEW 96,718,330 -4,668,047 $4,890,078
     TJX96,718,330-4,668,047$4,890,078
MORGAN STANLEY 98,750,435 -2,355,871 $4,769,646
     MS98,750,435-2,355,871$4,769,646
T MOBILE US INC 45,761,750 +21,476,777 $4,766,086
     TMUS45,761,750+21,476,777$4,766,086
SOUTHERN CO 91,777,552 -845,363 $4,758,666
     SO91,777,552-845,363$4,758,666
AIR PRODS & CHEMS INC 19,607,382 -776,991 $4,734,398
     APD19,607,382-776,991$4,734,398
CME GROUP INC 29,116,340 -252,801 $4,732,570
     CME29,116,340-252,801$4,732,570
NEWMONT CORP 76,372,555 -17,826,435 $4,715,241
     NEM76,372,555-17,826,435$4,715,241
MARSH & MCLENNAN COS INC 43,606,490 +3,571,837 $4,682,030
     MMC43,606,490+3,571,837$4,682,030
CHUBB LIMITED 36,709,552 -1,882,009 $4,648,163
     CB36,709,552-1,882,009$4,648,163
MICRON TECHNOLOGY INC 90,186,020 +125,746 $4,646,385
     MU90,186,020+125,746$4,646,385
AMERICAN EXPRESS CO 48,650,864 -1,778,721 $4,631,562
     AXP48,650,864-1,778,721$4,631,562
ACTIVISION BLIZZARD INC 60,472,825 +88,792 $4,589,887
     ATVI60,472,825+88,792$4,589,887
GENERAL ELECTRIC CO 670,114,421 -8,640,697 $4,576,883
     GE670,114,421-8,640,697$4,576,883
ILLINOIS TOOL WKS INC 26,045,722 -1,506,725 $4,554,093
     ITW26,045,722-1,506,725$4,554,093
APPLIED MATLS INC 75,073,023 -368,570 $4,538,163
     AMAT75,073,023-368,570$4,538,163
FISERV INC 46,248,072 -899,895 $4,514,737
     FISV46,248,072-899,895$4,514,737
CSX CORP 63,753,478 -2,628,583 $4,446,168
     CSX63,753,478-2,628,583$4,446,168
ECOLAB INC 21,878,338 -1,196,538 $4,352,696
     ECL21,878,338-1,196,538$4,352,696
ILLUMINA INC 11,713,173 -35,963 $4,337,974
     ILMN11,713,173-35,963$4,337,974
AUTODESK INC 18,044,503 -77,911 $4,316,065
     ADSK18,044,503-77,911$4,316,065
DEXCOM INC 10,275,598 +1,531,885 $4,165,728
     DXCM10,275,598+1,531,885$4,165,728
GLOBAL PMTS INC 24,353,523 -272,081 $4,130,846
     GPN24,353,523-272,081$4,130,846
SHERWIN WILLIAMS CO 7,134,844 -354,391 $4,122,869
     SHW7,134,844-354,391$4,122,869
TRUIST FINL CORP 109,305,212 -1,102,314 $4,104,411
     TFC109,305,212-1,102,314$4,104,411
US BANCORP DEL 111,111,834 -4,982,145 $4,091,139
     USB111,111,834-4,982,145$4,091,139
CENTENE CORP DEL 63,994,823 -1,783,200 $4,066,871
     CNC63,994,823-1,783,200$4,066,871
KIMBERLY CLARK CORP 28,740,118 -530,465 $4,062,415
     KMB28,740,118-530,465$4,062,415
HUMANA INC 10,372,420 -133,285 $4,021,906
     HUM10,372,420-133,285$4,021,906
INTERCONTINENTAL EXCHANGE IN (ICE) 43,402,982 -711,518 $3,975,714
     ICE43,402,982-711,518$3,975,714
BOSTON SCIENTIFIC CORP 113,120,042 +1,393,290 $3,971,645
     BSX113,120,042+1,393,290$3,971,645
ANALOG DEVICES INC 32,366,016 -951,304 $3,969,369
     ADI32,366,016-951,304$3,969,369
NORTHROP GRUMMAN CORP 12,868,659 -753,551 $3,956,340
     NOC12,868,659-753,551$3,956,340
PROGRESSIVE CORP OHIO 48,977,639 +6,797 $3,923,599
     PGR48,977,639+6,797$3,923,599
LAM RESEARCH CORP 12,083,759 -5,494 $3,908,613
     LRCX12,083,759-5,494$3,908,613
CONOCOPHILLIPS 91,744,102 +8,225 $3,855,086
     COP91,744,102+8,225$3,855,086
MOODYS CORP 14,002,878 +1,127,576 $3,847,011
     MCO14,002,878+1,127,576$3,847,011
DOLLAR GEN CORP NEW 20,048,746 -290,169 $3,819,487
     DG20,048,746-290,169$3,819,487
PUBLIC STORAGE 19,790,161 -619,567 $3,797,535
     PSA19,790,161-619,567$3,797,535
KLA CORP 19,454,169 +491,402 $3,783,446
     KLAC19,454,169+491,402$3,783,446
WASTE MGMT INC DEL 35,526,769 -1,817,416 $3,762,640
     WM35,526,769-1,817,416$3,762,640
DEERE & CO 23,680,065 -505,665 $3,721,322
     DE23,680,065-505,665$3,721,322
AMERICAN ELEC PWR CO INC 44,981,454 +2,807,179 $3,582,323
     AEP44,981,454+2,807,179$3,582,323
PNC FINL SVCS GROUP INC 33,790,009 -323,450 $3,555,047
     PNC33,790,009-323,450$3,555,047
AON PLC 18,325,482 -307,109 $3,529,489
     AON18,325,482-307,109$3,529,489
AVALONBAY CMNTYS INC 22,803,688 +1,890,718 $3,526,361
     AVB22,803,688+1,890,718$3,526,361
LAUDER ESTEE COS INC 18,638,647 +688,659 $3,516,738
     EL18,638,647+688,659$3,516,738
EVERSOURCE ENERGY 41,831,484 -320,073 $3,483,308
     ES41,831,484-320,073$3,483,308
WEC ENERGY GROUP INC 39,693,876 -1,666,474 $3,479,168
     WEC39,693,876-1,666,474$3,479,168
SYNOPSYS INC 17,804,142 -154,904 $3,471,808
     SNPS17,804,142-154,904$3,471,808
BIOGEN INC 12,876,107 -1,362,120 $3,445,001
     BIIB12,876,107-1,362,120$3,445,001
BAXTER INTL INC 39,980,621 -350,591 $3,442,332
     BAX39,980,621-350,591$3,442,332
ROPER TECHNOLOGIES INC 8,809,056 -272,824 $3,420,203
     ROP8,809,056-272,824$3,420,203
NORFOLK SOUTHERN CORP 19,479,766 -665,276 $3,420,063
     NSC19,479,766-665,276$3,420,063
EDWARDS LIFESCIENCES CORP 49,428,510 +32,751,525 $3,416,005
     EW49,428,510+32,751,525$3,416,005
CLOROX CO DEL 15,569,472 -385,285 $3,415,475
     CLX15,569,472-385,285$3,415,475
LULULEMON ATHLETICA INC 10,709,434 -184,537 $3,341,450
     LULU10,709,434-184,537$3,341,450
ALEXANDRIA REAL ESTATE EQ IN 20,193,034 +823,287 $3,276,320
     ARE20,193,034+823,287$3,276,320
REALTY INCOME CORP 54,878,773 +348,798 $3,265,287
     O54,878,773+348,798$3,265,287
CADENCE DESIGN SYSTEM INC 33,459,756 -702,905 $3,210,798
     CDNS33,459,756-702,905$3,210,798
DUPONT DE NEMOURS INC 60,191,195 -1,388,348 $3,197,958
     DD60,191,195-1,388,348$3,197,958
EMERSON ELEC CO 51,413,180 +2,332,236 $3,189,159
     EMR51,413,180+2,332,236$3,189,159
AMPHENOL CORP NEW 33,253,741 -549,762 $3,186,040
     APH33,253,741-549,762$3,186,040
CHIPOTLE MEXICAN GRILL INC 2,984,194 -21,315 $3,140,445
     CMG2,984,194-21,315$3,140,445
GENERAL DYNAMICS CORP 20,915,714 -219,133 $3,126,063
     GD20,915,714-219,133$3,126,063
IDEXX LABS INC 9,420,300 -261,986 $3,110,207
     IDXX9,420,300-261,986$3,110,207
EXELON CORP 85,221,362 -1,021,595 $3,092,683
     EXC85,221,362-1,021,595$3,092,683
L3HARRIS TECHNOLOGIES INC 18,156,436 -1,124,175 $3,080,602
     LHX18,156,436-1,124,175$3,080,602
MSCI INC 9,227,497 -259,757 $3,080,323
     MSCI9,227,497-259,757$3,080,323
MICROCHIP TECHNOLOGY INC. 29,170,294 -218,585 $3,071,923
     MCHP29,170,294-218,585$3,071,923
RESMED INC 15,992,847 -137,607 $3,070,626
     RMD15,992,847-137,607$3,070,626
GENERAL MLS INC 49,797,071 -481,129 $3,069,989
     GIS49,797,071-481,129$3,069,989
S&P 500 ETF SHS (VOO) 10,807,353 -117,189 $3,063,128
     VOO10,807,353-117,189$3,063,128
IHS MARKIT LTD 40,553,790 -2,389,191 $3,061,812
     INFO40,553,790-2,389,191$3,061,812
VERISK ANALYTICS INC 17,779,715 -476,726 $3,026,107
     VRSK17,779,715-476,726$3,026,107
SCHWAB CHARLES CORP 89,618,656 -1,494,194 $3,023,734
     SCHW89,618,656-1,494,194$3,023,734
VEEVA SYS INC 12,890,591 -192,584 $3,021,812
     VEEV12,890,591-192,584$3,021,812
SEMPRA ENERGY 25,752,635 +746,425 $3,018,982
     SRE25,752,635+746,425$3,018,982
ELECTRONIC ARTS INC 22,655,556 -498,036 $2,991,666
     EA22,655,556-498,036$2,991,666
XCEL ENERGY INC 47,710,445 -2,171,905 $2,981,902
     XEL47,710,445-2,171,905$2,981,902
FASTENAL CO 68,705,845 -2,400,973 $2,943,359
     FAST68,705,845-2,400,973$2,943,359
ROYAL BK CDA 43,394,541 -1,291,475 $2,942,149
     RY43,394,541-1,291,475$2,942,149
SPLUNK INC 14,770,516 +194,156 $2,934,901
     SPLK14,770,516+194,156$2,934,901
SHOPIFY INC 3,082,643 +78,602 $2,926,045
     SHOP3,082,643+78,602$2,926,045
IQVIA HLDGS INC 20,564,415 +832,837 $2,917,680
     IQV20,564,415+832,837$2,917,680
SQUARE INC 27,674,682 -245,129 $2,904,181
     SQ27,674,682-245,129$2,904,181
XILINX INC 29,118,471 -1,884,512 $2,864,967
     XLNX29,118,471-1,884,512$2,864,967
AMERICAN WTR WKS CO INC NEW 22,061,015 -944,568 $2,838,371
     AWK22,061,015-944,568$2,838,371
ANSYS INC 9,612,621 -3,869 $2,804,291
     ANSS9,612,621-3,869$2,804,291
WILLIS TOWERS WATSON PLC LTD 14,238,312 -324,587 $2,804,237
     WLTW14,238,312-324,587$2,804,237
FEDEX CORP 19,849,887 -883,724 $2,783,350
     FDX19,849,887-883,724$2,783,350
EQUITY RESIDENTIAL 47,183,807 -1,207,374 $2,775,351
     EQR47,183,807-1,207,374$2,775,351
EATON CORP PLC 31,633,681 -1,643,182 $2,767,315
     ETN31,633,681-1,643,182$2,767,315
EBAY INC. 52,599,487 -8,494,828 $2,758,842
     EBAY52,599,487-8,494,828$2,758,842
DOCUSIGN INC 15,953,838 +2,960,349 $2,747,410
     DOCU15,953,838+2,960,349$2,747,410
PHILLIPS 66 38,057,977 -1,109,925 $2,736,369
     PSX38,057,977-1,109,925$2,736,369
CINTAS CORP 10,266,398 -377,120 $2,734,558
     CTAS10,266,398-377,120$2,734,558
WELLTOWER INC 52,679,268 -294,639 $2,726,151
     WELL52,679,268-294,639$2,726,151
MOTOROLA SOLUTIONS INC 19,441,668 -595,725 $2,724,361
     MSI19,441,668-595,725$2,724,361
SIMON PPTY GROUP INC NEW 39,625,799 -713,549 $2,709,613
     SPG39,625,799-713,549$2,709,613
WEYERHAEUSER CO MTN BE 119,442,545 +9,300,683 $2,682,679
     WY119,442,545+9,300,683$2,682,679
MCCORMICK & CO INC 14,617,123 -525,165 $2,622,459
     MKC14,617,123-525,165$2,622,459
TWILIO INC 11,947,201 +239,252 $2,621,455
     TWLO11,947,201+239,252$2,621,455
ZOOM VIDEO COMMUNICATIONS IN 10,278,000 +6,390,753 $2,605,884
     ZM10,278,000+6,390,753$2,605,884
FIRSTENERGY CORP 66,725,523 -2,179,801 $2,587,615
     FE66,725,523-2,179,801$2,587,615
ROSS STORES INC 30,225,163 -1,637,185 $2,576,393
     ROST30,225,163-1,637,185$2,576,393
BALL CORP 37,070,373 -1,187,816 $2,576,021
     BLL37,070,373-1,187,816$2,576,021
KINDER MORGAN INC DEL 169,653,797 -2,087,481 $2,573,649
     KMI169,653,797-2,087,481$2,573,649
WALGREENS BOOTS ALLIANCE INC 60,619,758 -10,775,388 $2,569,671
     WBA60,619,758-10,775,388$2,569,671
BEST BUY INC 29,346,566 +1,662,640 $2,561,075
     BBY29,346,566+1,662,640$2,561,075
COSTAR GROUP INC 3,593,102 +181,091 $2,553,510
     CSGP3,593,102+181,091$2,553,510
ROCKWELL AUTOMATION INC 11,932,141 +571,279 $2,541,546
     ROK11,932,141+571,279$2,541,546
TRAVELERS COMPANIES INC 22,092,819 -909,090 $2,519,687
     TRV22,092,819-909,090$2,519,687
WASTE CONNECTIONS INC 26,843,929 -654,770 $2,517,693
     WCN26,843,929-654,770$2,517,693
AUTOZONE INC 2,220,274 -91,205 $2,504,736
     AZO2,220,274-91,205$2,504,736
BANK NEW YORK MELLON CORP 64,640,947 -242,913 $2,498,373
     BK64,640,947-242,913$2,498,373
DOW INC 61,273,462 -769,502 $2,497,507
     DOW61,273,462-769,502$2,497,507
SYSCO CORP 45,223,750 -2,642,785 $2,471,930
     SYY45,223,750-2,642,785$2,471,930
OREILLY AUTOMOTIVE INC 5,836,477 -169,553 $2,461,066
     ORLY5,836,477-169,553$2,461,066
TRANSDIGM GROUP INC 5,563,701 -54,160 $2,459,433
     TDG5,563,701-54,160$2,459,433
TWITTER INC 82,338,241 -629,924 $2,452,855
     TWTR82,338,241-629,924$2,452,855
TORONTO DOMINION BK ONT 54,931,678 -1,933,016 $2,450,503
     TD54,931,678-1,933,016$2,450,503
COGNIZANT TECHNOLOGY SOLUTIO 43,028,689 -908,535 $2,444,890
     CTSH43,028,689-908,535$2,444,890
DTE ENERGY CO 22,725,720 -519,594 $2,443,016
     DTE22,725,720-519,594$2,443,016
EOG RES INC 48,142,756 -184,642 $2,438,913
     EOG48,142,756-184,642$2,438,913
PRICE T ROWE GROUP INC 19,684,743 -1,379,369 $2,431,065
     TROW19,684,743-1,379,369$2,431,065
GENERAL MTRS CO 95,978,234 -8,403,707 $2,428,249
     GM95,978,234-8,403,707$2,428,249
ESSEX PPTY TR INC 10,571,053 -416,636 $2,422,569
     ESS10,571,053-416,636$2,422,569
VERISIGN INC 11,639,826 -345,730 $2,407,465
     VRSN11,639,826-345,730$2,407,465
DOLLAR TREE INC 25,876,109 -371,934 $2,398,198
     DLTR25,876,109-371,934$2,398,198
SKYWORKS SOLUTIONS INC 18,697,328 -651,499 $2,390,642
     SWKS18,697,328-651,499$2,390,642
ALLSTATE CORP 24,549,345 -1,044,980 $2,381,041
     ALL24,549,345-1,044,980$2,381,041
FLEETCOR TECHNOLOGIES INC 9,451,732 -450,925 $2,377,394
     FLT9,451,732-450,925$2,377,394
CBRE GROUP INC 52,400,254 -546,567 $2,369,541
     CBRE52,400,254-546,567$2,369,541
EMERGING MKTS ETF (VWO) 59,701,082 -479,955 $2,364,759
     VWO59,701,082-479,955$2,364,759
AMERIPRISE FINL INC 15,716,339 +2,264,040 $2,358,079
     AMP15,716,339+2,264,040$2,358,079
HEALTHPEAK PROPERTIES INC 85,552,035 +1,394,739 $2,357,815
     PEAK85,552,035+1,394,739$2,357,815
CERNER CORP 33,750,047 -405,073 $2,313,567
     CERN33,750,047-405,073$2,313,567
CUMMINS INC 13,302,243 +392,253 $2,304,748
     CMI13,302,243+392,253$2,304,748
TOTAL STOCK MARKET ETF (VTI) 14,625,647 -500,250 $2,289,352
     VTI14,625,647-500,250$2,289,352
EQUIFAX INC 13,283,109 -148,140 $2,283,101
     EFX13,283,109-148,140$2,283,101
ENTERGY CORP NEW 24,320,163 -592,390 $2,281,474
     ETR24,320,163-592,390$2,281,474
APTIV PLC 29,277,986 +5,157,205 $2,281,340
     APTV29,277,986+5,157,205$2,281,340
CHURCH & DWIGHT INC 29,421,623 -971,994 $2,274,291
     CHD29,421,623-971,994$2,274,291
FORTINET INC 16,536,004 -1,155,907 $2,269,898
     FTNT16,536,004-1,155,907$2,269,898
METLIFE INC 62,149,805 -1,496,048 $2,269,711
     MET62,149,805-1,496,048$2,269,711
AFLAC INC 62,565,773 -4,094,189 $2,254,246
     AFL62,565,773-4,094,189$2,254,246
AMETEK INC 24,945,197 -442,948 $2,229,352
     AME24,945,197-442,948$2,229,352
CONSTELLATION BRANDS INC 12,696,199 +99,076 $2,221,201
     STZ12,696,199+99,076$2,221,201
OTIS WORLDWIDE CORP 39,025,990 +39,025,990 $2,219,018
     OTIS39,025,990+39,025,990$2,219,018
OKTA INC 11,072,369 +721,025 $2,217,020
     OKTA11,072,369+721,025$2,217,020
INVITATION HOMES INC 80,501,022 -489,705 $2,216,193
     INVH80,501,022-489,705$2,216,193
BLACKSTONE GROUP INC 38,917,680 +310,661 $2,205,076
     BX38,917,680+310,661$2,205,076
ALIGN TECHNOLOGY INC 8,032,446 -181,707 $2,204,425
     ALGN8,032,446-181,707$2,204,425
HP INC 126,165,638 -5,899,635 $2,199,066
     HPQ126,165,638-5,899,635$2,199,066
SCHLUMBERGER LTD 119,576,024 -1,066,191 $2,199,003
     SLB119,576,024-1,066,191$2,199,003
MARVELL TECHNOLOGY GROUP LTD 62,569,448 -2,161,384 $2,193,685
     MRVL62,569,448-2,161,384$2,193,685
METTLER TOLEDO INTERNATIONAL 2,718,001 -116,997 $2,189,486
     MTD2,718,001-116,997$2,189,486
AGILENT TECHNOLOGIES INC 24,750,096 -534,088 $2,187,167
     A24,750,096-534,088$2,187,167
CAPITAL ONE FINL CORP 34,907,377 -1,701,036 $2,184,852
     COF34,907,377-1,701,036$2,184,852
MARKETAXESS HLDGS INC 4,344,355 +246,288 $2,176,175
     MKTX4,344,355+246,288$2,176,175
KEYSIGHT TECHNOLOGIES INC 21,550,440 -439,277 $2,171,853
     KEYS21,550,440-439,277$2,171,853
MID AMER APT CMNTYS INC 18,938,935 -580,846 $2,171,729
     MAA18,938,935-580,846$2,171,729
AMERICAN INTL GROUP INC 69,141,533 -2,018,555 $2,155,834
     AIG69,141,533-2,018,555$2,155,834
PACCAR INC 28,801,897 -758,350 $2,155,822
     PCAR28,801,897-758,350$2,155,822
INCYTE CORP 20,733,878 +149,924 $2,155,701
     INCY20,733,878+149,924$2,155,701
JOHNSON CTLS INTL PLC 63,125,562 -3,030,325 $2,155,107
     JCI63,125,562-3,030,325$2,155,107
MCKESSON CORP 14,044,260 -533,572 $2,154,669
     MCK14,044,260-533,572$2,154,669
AMEREN CORP 30,370,382 -723,101 $2,136,859
     AEE30,370,382-723,101$2,136,859
KROGER CO 63,059,118 -5,031,412 $2,134,551
     KR63,059,118-5,031,412$2,134,551
CITRIX SYS INC 14,419,084 -135,158 $2,132,726
     CTXS14,419,084-135,158$2,132,726
GALLAGHER ARTHUR J & CO 21,754,071 -165,243 $2,120,804
     AJG21,754,071-165,243$2,120,804
DUKE REALTY CORP 59,746,369 -1,912,933 $2,114,424
     DRE59,746,369-1,912,933$2,114,424
CMS ENERGY CORP 36,186,026 -1,348,254 $2,113,987
     CMS36,186,026-1,348,254$2,113,987
PUBLIC SVC ENTERPRISE GRP IN 42,947,751 -717,727 $2,111,311
     PEG42,947,751-717,727$2,111,311
TE CONNECTIVITY LTD 25,744,437 -584,280 $2,099,459
     TEL25,744,437-584,280$2,099,459
PAYCHEX INC 27,679,243 -220,531 $2,096,702
     PAYX27,679,243-220,531$2,096,702
PPG INDS INC 19,713,691 -904,596 $2,090,834
     PPG19,713,691-904,596$2,090,834
MONSTER BEVERAGE CORP NEW 30,106,935 -706,964 $2,087,014
     MNST30,106,935-706,964$2,087,014
BIOMARIN PHARMACEUTICAL INC 16,918,551 -37,499 $2,086,734
     BMRN16,918,551-37,499$2,086,734
D R HORTON INC 37,409,712 -2,000,073 $2,074,369
     DHI37,409,712-2,000,073$2,074,369
VALERO ENERGY CORP 35,146,099 -784,301 $2,067,293
     VLO35,146,099-784,301$2,067,293
EDISON INTL 38,055,337 +7,277,176 $2,066,786
     EIX38,055,337+7,277,176$2,066,786
RINGCENTRAL INC 7,240,211 +51,320 $2,063,532
     RNG7,240,211+51,320$2,063,532
CARRIER GLOBAL CORPORATION 92,805,369 +92,805,369 $2,062,136
     CARR92,805,369+92,805,369$2,062,136
MARATHON PETE CORP 55,016,539 -813,914 $2,056,519
     MPC55,016,539-813,914$2,056,519
YUM BRANDS INC 23,651,525 -216,492 $2,055,554
     YUM23,651,525-216,492$2,055,554
CONSOLIDATED EDISON INC 28,499,882 -256,253 $2,049,997
     ED28,499,882-256,253$2,049,997
ENBRIDGE INC 67,230,459 +292,697 $2,045,151
     ENB67,230,459+292,697$2,045,151
HCA HEALTHCARE INC 21,004,916 -405,682 $2,038,738
     HCA21,004,916-405,682$2,038,738
SNAP INC 86,564,035 +2,406,587 $2,033,390
     SNAP86,564,035+2,406,587$2,033,390
PALO ALTO NETWORKS INC 8,803,000 -232,366 $2,021,785
     PANW8,803,000-232,366$2,021,785
CORTEVA INC 75,406,756 -811,832 $2,020,147
     CTVA75,406,756-811,832$2,020,147
WORKDAY INC 10,700,629 +430,636 $2,004,869
     WDAY10,700,629+430,636$2,004,869
FIRST REP BK SAN FRANCISCO C 18,892,177 +10,326 $2,002,382
     FRC18,892,177+10,326$2,002,382
PRUDENTIAL FINL INC 32,809,551 -1,114,130 $1,998,103
     PRU32,809,551-1,114,130$1,998,103
VENTAS INC 54,153,035 +5,038,308 $1,983,084
     VTR54,153,035+5,038,308$1,983,084
WILLIAMS COS INC 104,202,414 -1,109,368 $1,981,931
     WMB104,202,414-1,109,368$1,981,931
MAXIM INTEGRATED PRODS INC 32,467,063 -1,239,582 $1,967,829
     MXIM32,467,063-1,239,582$1,967,829
CORNING INC 75,624,176 +11,133,114 $1,958,666
     GLW75,624,176+11,133,114$1,958,666
WEST PHARMACEUTICAL SVSC INC 8,620,187 +938,852 $1,958,248
     WST8,620,187+938,852$1,958,248
AKAMAI TECHNOLOGIES INC 18,255,301 +443,974 $1,954,960
     AKAM18,255,301+443,974$1,954,960
CONAGRA BRANDS INC 55,533,428 -3,076,776 $1,953,111
     CAG55,533,428-3,076,776$1,953,111
COPART INC 23,196,409 -589,768 $1,931,567
     CPRT23,196,409-589,768$1,931,567
CDW CORP 16,620,890 -744,512 $1,931,014
     CDW16,620,890-744,512$1,931,014
ZIMMER BIOMET HOLDINGS INC 16,093,482 -198,780 $1,920,918
     ZBH16,093,482-198,780$1,920,918
OLD DOMINION FREIGHT LINE IN 11,322,904 -290,053 $1,920,252
     ODFL11,322,904-290,053$1,920,252
BOSTON PPTYS LTD PARTNERSHIP 21,192,241 +829,318 $1,915,354
     BXP21,192,241+829,318$1,915,354
EXTRA SPACE STORAGE INC 20,713,925 -342,016 $1,913,344
     EXR20,713,925-342,016$1,913,344
ALEXION PHARMACEUTICALS INC 17,012,022 -166,689 $1,909,429
     ALXN17,012,022-166,689$1,909,429
LENNAR CORP      $1,907,189
     LEN30,098,309-1,596,287$1,854,658
     LEN.B1,139,746-56,207$52,531
CANADIAN NATL RY CO 21,525,870 -380,816 $1,906,545
     CNI21,525,870-380,816$1,906,545
OCCIDENTAL PETE CORP 103,610,730 +29,287,765 $1,896,076
     OXY103,610,730+29,287,765$1,896,076
SEATTLE GENETICS INC 11,138,781 -169,772 $1,892,703
     SGEN11,138,781-169,772$1,892,703
CARDINAL HEALTH INC 36,206,679 -395,502 $1,889,627
     CAH36,206,679-395,502$1,889,627
TELEFLEX INCORPORATED 5,167,481 -68,423 $1,880,860
     TFX5,167,481-68,423$1,880,860
SUN CMNTYS INC 13,844,325 +74,206 $1,878,397
     SUI13,844,325+74,206$1,878,397
MARRIOTT INTL INC NEW 21,810,431 +931,386 $1,869,808
     MAR21,810,431+931,386$1,869,808
FREEPORT MCMORAN INC 160,397,605 +1,051,623 $1,855,800
     FCX160,397,605+1,051,623$1,855,800
TAKE TWO INTERACTIVE SOFTWAR 13,111,019 -236,191 $1,829,903
     TTWO13,111,019-236,191$1,829,903
JD.COM INC 30,378,477 +766,444 $1,828,177
     JD30,378,477+766,444$1,828,177
AMERISOURCEBERGEN CORP 18,089,019 -1,132,403 $1,822,830
     ABC18,089,019-1,132,403$1,822,830
KRAFT HEINZ CO 57,046,601 -1,001,590 $1,819,216
     KHC57,046,601-1,001,590$1,819,216
LABORATORY CORP AMER HLDGS 10,867,212 -278,014 $1,805,153
     LH10,867,212-278,014$1,805,153
PAYCOM SOFTWARE INC 5,820,334 -223,486 $1,802,732
     PAYC5,820,334-223,486$1,802,732
ARCHER DANIELS MIDLAND CO 45,172,365 -918,035 $1,802,377
     ADM45,172,365-918,035$1,802,377
STANLEY BLACK & DECKER INC 12,922,089 -151,491 $1,801,081
     SWK12,922,089-151,491$1,801,081
UDR INC 48,157,056 -1,389,673 $1,800,111
     UDR48,157,056-1,389,673$1,800,111
FORD MTR CO DEL 295,703,445 -17,923,993 $1,797,878
     F295,703,445-17,923,993$1,797,878
PARKER HANNIFIN CORP 9,701,349 -175,859 $1,777,965
     PH9,701,349-175,859$1,777,965
HERSHEY CO 13,654,697 +834,014 $1,769,923
     HSY13,654,697+834,014$1,769,923
STATE STR CORP 27,847,012 -1,313,367 $1,769,677
     STT27,847,012-1,313,367$1,769,677
GRAINGER W W INC 5,603,626 -332,073 $1,760,436
     GWW5,603,626-332,073$1,760,436
BROADRIDGE FINL SOLUTIONS IN 13,904,602 -429,687 $1,754,621
     BR13,904,602-429,687$1,754,621
QUEST DIAGNOSTICS INC 15,261,676 -496,159 $1,739,221
     DGX15,261,676-496,159$1,739,221
PPL CORP 67,229,400 +990,355 $1,737,208
     PPL67,229,400+990,355$1,737,208
HENRY JACK & ASSOC INC 9,407,243 -326,844 $1,731,214
     JKHY9,407,243-326,844$1,731,214
TYSON FOODS INC 28,970,125 +308,263 $1,729,806
     TSN28,970,125+308,263$1,729,806
ONEOK INC NEW 51,850,265 +2,370,633 $1,722,467
     OKE51,850,265+2,370,633$1,722,467
LIBERTY BROADBAND CORP 13,868,971 -328,029 $1,719,198
     LBRDK13,868,971-328,029$1,719,198
COUPA SOFTWARE INC 6,187,449 +315,468 $1,714,172
     COUP6,187,449+315,468$1,714,172
VULCAN MATLS CO 14,763,295 -321,590 $1,710,328
     VMC14,763,295-321,590$1,710,328
V F CORP 27,730,209 -2,785,789 $1,689,878
     VFC27,730,209-2,785,789$1,689,878
TRACTOR SUPPLY CO 12,783,872 -327,640 $1,684,787
     TSCO12,783,872-327,640$1,684,787
UBER TECHNOLOGIES INC 54,059,378 +6,577,482 $1,680,165
     UBER54,059,378+6,577,482$1,680,165
WP CAREY INC 24,810,290 -1,002,510 $1,678,416
     WPC24,810,290-1,002,510$1,678,416
KELLOGG CO 25,326,631 +4,401,039 $1,673,077
     K25,326,631+4,401,039$1,673,077
EVERGY INC 28,083,619 -2,993,537 $1,665,076
     EVRG28,083,619-2,993,537$1,665,076
HOLOGIC INC 28,888,180 -1,773,431 $1,646,626
     HOLX28,888,180-1,773,431$1,646,626
MODERNA INC 25,625,532 +5,045,279 $1,645,416
     MRNA25,625,532+5,045,279$1,645,416
COOPER COS INC 5,785,670 +111,127 $1,641,047
     COO5,785,670+111,127$1,641,047
INTL PAPER CO 46,517,638 -1,329,723 $1,637,886
     IP46,517,638-1,329,723$1,637,886
DOVER CORP 16,942,369 -983,484 $1,635,956
     DOV16,942,369-983,484$1,635,956
HORMEL FOODS CORP 33,754,526 -1,790,648 $1,629,332
     HRL33,754,526-1,790,648$1,629,332
DOMINOS PIZZA INC 4,396,998 +454,918 $1,624,427
     DPZ4,396,998+454,918$1,624,427
TAIWAN SEMICONDUCTOR MFG LTD 28,589,311 -2,801,097 $1,623,014
     TSM28,589,311-2,801,097$1,623,014
ALNYLAM PHARMACEUTICALS INC 10,901,184 +355,379 $1,614,574
     ALNY10,901,184+355,379$1,614,574
TRANE TECHNOLOGIES PLC 18,112,081 -357,665 $1,611,613
     TT18,112,081-357,665$1,611,613
CARMAX INC 17,978,073 -487,040 $1,609,936
     KMX17,978,073-487,040$1,609,936
HESS CORP 30,801,107 -398,667 $1,595,805
     HES30,801,107-398,667$1,595,805
PIONEER NAT RES CO 16,249,120 +2,409,725 $1,587,540
     PXD16,249,120+2,409,725$1,587,540
GARMIN LTD 16,249,942 -362,019 $1,584,368
     GRMN16,249,942-362,019$1,584,368
EQUITY LIFESTYLE PPTYS INC 25,314,776 -739,564 $1,581,666
     ELS25,314,776-739,564$1,581,666
ZEBRA TECHNOLOGIES CORPORATI 6,179,206 -171,687 $1,581,566
     ZBRA6,179,206-171,687$1,581,566
HARTFORD FINL SVCS GROUP INC 40,772,040 -100,314 $1,571,762
     HIG40,772,040-100,314$1,571,762
HILTON WORLDWIDE HLDGS INC 21,361,408 -575,261 $1,568,995
     HLT21,361,408-575,261$1,568,995
TIFFANY & CO NEW 12,837,693 -821,036 $1,565,428
     TIF12,837,693-821,036$1,565,428
TYLER TECHNOLOGIES INC 4,508,634 +670,800 $1,563,956
     TYL4,508,634+670,800$1,563,956
DELTA AIR LINES INC DEL 55,697,215 +10,213,027 $1,562,308
     DAL55,697,215+10,213,027$1,562,308
KANSAS CITY SOUTHERN 10,449,740 -548,776 $1,560,043
     KSU10,449,740-548,776$1,560,043
FORTIVE CORP 23,027,291 +253,327 $1,558,027
     FTV23,027,291+253,327$1,558,027
EXPEDITORS INTL WASH INC 20,413,831 -943,160 $1,552,267
     EXPD20,413,831-943,160$1,552,267
THE TRADE DESK INC 3,806,453 +78,004 $1,547,322
     TTD3,806,453+78,004$1,547,322
NORTHERN TR CORP 19,481,954 +3,501,094 $1,545,700
     NTRS19,481,954+3,501,094$1,545,700
NASDAQ INC 12,825,083 -255,263 $1,532,212
     NDAQ12,825,083-255,263$1,532,212
TRANSUNION 17,552,940 +1,201 $1,527,807
     TRU17,552,940+1,201$1,527,807
REPUBLIC SVCS INC 18,543,395 -1,111,672 $1,521,485
     RSG18,543,395-1,111,672$1,521,485
MASCO CORP 30,276,695 -3,080,493 $1,520,193
     MAS30,276,695-3,080,493$1,520,193
BANK NOVA SCOTIA B C 36,783,483 -951,057 $1,516,950
     BNS36,783,483-951,057$1,516,950
NUCOR CORP 36,544,529 -2,242,196 $1,513,309
     NUE36,544,529-2,242,196$1,513,309
DISCOVER FINL SVCS 30,108,121 +4,914,896 $1,508,116
     DFS30,108,121+4,914,896$1,508,116
ATMOS ENERGY CORP 15,112,005 -273,015 $1,504,854
     ATO15,112,005-273,015$1,504,854
KKR & CO INC 48,576,696 -379,386 $1,500,048
     KKR48,576,696-379,386$1,500,048
ALLIANT ENERGY CORP 31,134,627 -587,986 $1,489,481
     LNT31,134,627-587,986$1,489,481
LEIDOS HOLDINGS INC 15,870,529 -543,804 $1,486,592
     LDOS15,870,529-543,804$1,486,592
M & T BK CORP 14,277,307 -197,422 $1,484,413
     MTB14,277,307-197,422$1,484,413
WESTERN DIGITAL CORP. 33,300,482 -2,590,931 $1,470,216
     WDC33,300,482-2,590,931$1,470,216
STERIS PLC 9,510,441 -213,253 $1,459,282
     STE9,510,441-213,253$1,459,282
HEWLETT PACKARD ENTERPRISE C 149,925,198 +17,729,828 $1,458,772
     HPE149,925,198+17,729,828$1,458,772
SYNCHRONY FINANCIAL 65,754,244 +13,561,981 $1,457,115
     SYF65,754,244+13,561,981$1,457,115
GENUINE PARTS CO 16,727,085 -921,512 $1,454,587
     GPC16,727,085-921,512$1,454,587
QORVO INC 13,109,393 -496,503 $1,448,980
     QRVO13,109,393-496,503$1,448,980
INTERNATIONAL FLAVORS&FRAGRA 11,830,764 -570,771 $1,448,794
     IFF11,830,764-570,771$1,448,794
F M C CORP 14,518,923 -298,304 $1,446,375
     FMC14,518,923-298,304$1,446,375
FIFTH THIRD BANCORP 74,657,930 +10,973,839 $1,439,405
     FITB74,657,930+10,973,839$1,439,405
BROWN FORMAN CORP      $1,433,419
     BF.B22,447,943-378,004$1,429,036
     BF.A76,148+4,433$4,383
SOUTHWEST AIRLS CO 41,931,851 +5,959,290 $1,433,231
     LUV41,931,851+5,959,290$1,433,231
VIACOMCBS INC 61,443,187 +61,443,187 $1,432,855
     VIAC61,443,187+61,443,187$1,432,855
MEDICAL PPTYS TRUST INC 75,885,441 -2,370,562 $1,426,647
     MPW75,885,441-2,370,562$1,426,647
MARTIN MARIETTA MATLS INC 6,892,908 -172,104 $1,423,868
     MLM6,892,908-172,104$1,423,868
TERADYNE INC 16,623,291 -297,726 $1,404,834
     TER16,623,291-297,726$1,404,834
BARRICK GOLD CORPORATION 51,971,144 +685,494 $1,400,103
     GOLD51,971,144+685,494$1,400,103
SEAGATE TECHNOLOGY PLC 28,786,712 -1,203,269 $1,393,565
     STX28,786,712-1,203,269$1,393,565
OMNICOM GROUP INC 25,392,550 -893,371 $1,386,433
     OMC25,392,550-893,371$1,386,433
KEYCORP 113,504,181 -4,589,932 $1,382,480
     KEY113,504,181-4,589,932$1,382,480
IDEX CORP 8,716,437 +223,596 $1,377,545
     IEX8,716,437+223,596$1,377,545
SMUCKER J M CO 12,930,211 -172,773 $1,368,145
     SJM12,930,211-172,773$1,368,145
C H ROBINSON WORLDWIDE INC 17,300,733 -641,013 $1,367,796
     CHRW17,300,733-641,013$1,367,796
BROOKFIELD ASSET MGMT INC 41,371,120 +13,829,390 $1,361,110
     BAM41,371,120+13,829,390$1,361,110
LYONDELLBASELL INDUSTRIES N 20,601,508 -407,394 $1,353,932
     LYB20,601,508-407,394$1,353,932
REGIONS FINANCIAL CORP NEW 120,780,488 -3,867,114 $1,343,079
     RF120,780,488-3,867,114$1,343,079
TC ENERGY CORP 31,237,102 -143,046 $1,338,821
     TRP31,237,102-143,046$1,338,821
TELADOC HEALTH INC 6,922,160 +96,112 $1,321,026
     TDOC6,922,160+96,112$1,321,026
CAMDEN PPTY TR 14,431,244 -423,093 $1,316,418
     CPT14,431,244-423,093$1,316,418
CENTURYLINK INC 130,339,341 -1,676,590 $1,307,303
     CTL130,339,341-1,676,590$1,307,303
NVR INC 398,386 -12,919 $1,298,240
     NVR398,386-12,919$1,298,240
CITIZENS FINANCIAL GROUP INC 51,009,930 -2,576,220 $1,287,489
     CFG51,009,930-2,576,220$1,287,489
AES CORP 88,263,947 -2,301,806 $1,278,945
     AES88,263,947-2,301,806$1,278,945
IRON MTN INC NEW 48,830,323 +115,858 $1,274,471
     IRM48,830,323+115,858$1,274,471
XYLEM INC 19,606,367 -434,310 $1,273,630
     XYL19,606,367-434,310$1,273,630
EPAM SYS INC 5,051,005 -33,897 $1,272,905
     EPAM5,051,005-33,897$1,272,905
PRINCIPAL FINANCIAL GROUP IN 30,572,556 -1,334,323 $1,269,984
     PFG30,572,556-1,334,323$1,269,984
REGENCY CTRS CORP 27,646,646 -361,927 $1,268,703
     REG27,646,646-361,927$1,268,703
ARISTA NETWORKS INC 6,024,566 -108,314 $1,265,339
     ANET6,024,566-108,314$1,265,339
JACOBS ENGR GROUP INC 14,908,764 +14,908,764 $1,264,264
     J14,908,764+14,908,764$1,264,264
HALLIBURTON CO 97,057,511 -2,616,118 $1,259,805
     HAL97,057,511-2,616,118$1,259,805
FACTSET RESH SYS INC 3,833,925 -155,735 $1,259,330
     FDS3,833,925-155,735$1,259,330
WATERS CORP 6,927,049 -482,838 $1,249,639
     WAT6,927,049-482,838$1,249,639
CELANESE CORP DEL 14,423,077 +561,974 $1,245,288
     CE14,423,077+561,974$1,245,288
LAS VEGAS SANDS CORP 27,203,383 -2,711,857 $1,238,841
     LVS27,203,383-2,711,857$1,238,841
CYRUSONE INC 17,019,398 -61,458 $1,238,161
     CONE17,019,398-61,458$1,238,161
HOST HOTELS & RESORTS INC 114,469,155 -5,721,831 $1,235,124
     HST114,469,155-5,721,831$1,235,124
NORTONLIFELOCK INC 62,195,944 -3,522,304 $1,233,346
     NLOK62,195,944-3,522,304$1,233,346
EMERGING MKTS ETF (VAR) 10,059,317 -198,822 $1,232,468
     VAR10,059,317-198,822$1,232,468
UBS GROUP AG 106,599,843 -3,168,813 $1,230,162
     UBS106,599,843-3,168,813$1,230,162
TELEDYNE TECHNOLOGIES INC 3,951,752 +535,431 $1,228,797
     TDY3,951,752+535,431$1,228,797
E TRADE FINANCIAL CORP 24,656,755 -558,004 $1,226,180
     ETFC24,656,755-558,004$1,226,180
SVB FINANCIAL GROUP 5,658,195 -91,307 $1,219,511
     SIVB5,658,195-91,307$1,219,511
HUNT J B TRANS SVCS INC 10,079,265 -417,627 $1,212,939
     JBHT10,079,265-417,627$1,212,939
EXPEDIA GROUP INC 14,749,688 -1,090,151 $1,212,424
     EXPE14,749,688-1,090,151$1,212,424
PERKINELMER INC 12,314,247 -246,210 $1,207,904
     PKI12,314,247-246,210$1,207,904
ULTA BEAUTY INC 5,934,676 -300,173 $1,207,231
     ULTA5,934,676-300,173$1,207,231
CINCINNATI FINL CORP 18,795,251 -1,718,666 $1,203,461
     CINF18,795,251-1,718,666$1,203,461
EXACT SCIENCES CORP 13,762,220 -6,652 $1,196,488
     EXAS13,762,220-6,652$1,196,488
BAKER HUGHES COMPANY 77,483,935 +77,483,935 $1,192,479
     BKR77,483,935+77,483,935$1,192,479
FAIR ISAAC CORP 2,831,792 -27,800 $1,183,803
     FICO2,831,792-27,800$1,183,803
GARTNER INC 9,748,198 -193,492 $1,182,749
     IT9,748,198-193,492$1,182,749
ETSY INC 11,125,455 -310,345 $1,181,856
     ETSY11,125,455-310,345$1,181,856
UNITED RENTALS INC 7,923,265 -654,402 $1,180,883
     URI7,923,265-654,402$1,180,883
BAIDU INC 9,832,984 -503,034 $1,178,876
     BIDU9,832,984-503,034$1,178,876
BURLINGTON STORES INC 5,983,426 -156,295 $1,178,315
     BURL5,983,426-156,295$1,178,315
VICI PPTYS INC 58,319,238 -1,181,396 $1,177,466
     VICI58,319,238-1,181,396$1,177,466
GODADDY INC 15,941,919 -664,188 $1,169,022
     GDDY15,941,919-664,188$1,169,022
HASBRO INC 15,549,953 -583,480 $1,165,469
     HAS15,549,953-583,480$1,165,469
SS&C TECHNOLOGIES HLDGS INC 20,633,555 -61,273 $1,165,382
     SSNC20,633,555-61,273$1,165,382
ABIOMED INC 4,809,483 -88,652 $1,161,779
     ABMD4,809,483-88,652$1,161,779
NETEASE INC 2,705,105 +35,124 $1,161,517
     NTES2,705,105+35,124$1,161,517
INSULET CORP 5,954,153 +231,511 $1,156,653
     PODD5,954,153+231,511$1,156,653
CONCHO RES INC 22,450,524 -764,566 $1,156,203
     CXO22,450,524-764,566$1,156,203
NETAPP INC 25,893,981 -1,516,821 $1,148,917
     NTAP25,893,981-1,516,821$1,148,917
CAMPBELL SOUP CO 22,995,296 -439,623 $1,141,257
     CPB22,995,296-439,623$1,141,257
SAREPTA THERAPEUTICS INC 7,117,697 +572,908 $1,141,251
     SRPT7,117,697+572,908$1,141,251
CENTERPOINT ENERGY INC 60,739,432 -204,648 $1,134,006
     CNP60,739,432-204,648$1,134,006
MARKEL CORP 1,228,213 -23,348 $1,133,849
     MKL1,228,213-23,348$1,133,849
CBOE GLOBAL MARKETS INC 12,151,074 -212,114 $1,133,451
     CBOE12,151,074-212,114$1,133,451
WABTEC 19,681,275 -514,269 $1,133,049
     WAB19,681,275-514,269$1,133,049
CROWDSTRIKE HLDGS INC 11,256,037 +9,434,623 $1,128,867
     CRWD11,256,037+9,434,623$1,128,867
BOOZ ALLEN HAMILTON HLDG COR 14,442,242 -616,168 $1,123,461
     BAH14,442,242-616,168$1,123,461
CATALENT INC 15,141,788 +486,273 $1,109,894
     CTLT15,141,788+486,273$1,109,894
DENTSPLY SIRONA INC 25,114,918 -1,186,077 $1,106,563
     XRAY25,114,918-1,186,077$1,106,563
AVERY DENNISON CORP 9,682,075 -276,322 $1,104,627
     AVY9,682,075-276,322$1,104,627
PACKAGING CORP AMER 11,004,117 -296,605 $1,098,210
     PKG11,004,117-296,605$1,098,210
WAYFAIR INC 5,523,569 -143,146 $1,091,511
     W5,523,569-143,146$1,091,511
WESTERN UN CO 50,007,618 -2,986,528 $1,081,165
     WU50,007,618-2,986,528$1,081,165
EASTMAN CHEM CO 15,524,432 +531,777 $1,081,121
     EMN15,524,432+531,777$1,081,121
ESSENTIAL UTILS INC 25,515,898 +1,587,194 $1,077,791
     WTRG25,515,898+1,587,194$1,077,791
DARDEN RESTAURANTS INC 14,174,147 -148,306 $1,073,975
     DRI14,174,147-148,306$1,073,975
INGERSOLL RAND INC 38,098,911 +6,507,608 $1,071,340
     IR38,098,911+6,507,608$1,071,340
CHENIERE ENERGY INC 22,163,916 -384,288 $1,070,961
     LNG22,163,916-384,288$1,070,961
HUNTINGTON BANCSHARES INC (HBAN) 118,429,386 -5,362,973 $1,070,010
     HBAN118,429,386-5,362,973$1,070,010
AMERICAN HOMES 4 RENT 39,116,037 -626,936 $1,052,222
     AMH39,116,037-626,936$1,052,222
ARCH CAP GROUP LTD 36,534,133 -1,649,548 $1,046,704
     ACGL36,534,133-1,649,548$1,046,704
ADVANCE AUTO PARTS INC 7,345,726 -220,793 $1,046,399
     AAP7,345,726-220,793$1,046,399
MASIMO CORP 4,587,596 +15,330 $1,045,926
     MASI4,587,596+15,330$1,045,926
LAMB WESTON HLDGS INC 16,294,609 -592,242 $1,041,714
     LW16,294,609-592,242$1,041,714
BIO RAD LABS INC 2,306,181 +292,900 $1,041,218
     BIO2,306,181+292,900$1,041,218
TRIMBLE INC 24,062,197 -339,922 $1,039,246
     TRMB24,062,197-339,922$1,039,246
ALLEGION PLC 10,140,719 -218,317 $1,036,585
     ALLE10,140,719-218,317$1,036,585
WHIRLPOOL CORP 7,993,449 -479,242 $1,035,392
     WHR7,993,449-479,242$1,035,392
CANADIAN PAC RY LTD 4,054,763 -121,804 $1,035,344
     CP4,054,763-121,804$1,035,344
NEUROCRINE BIOSCIENCES INC 8,479,339 -24,349 $1,034,480
     NBIX8,479,339-24,349$1,034,480
BANK MONTREAL QUE 19,496,288 -276,733 $1,034,279
     BMO19,496,288-276,733$1,034,279
NISOURCE INC 45,321,865 -177,156 $1,030,620
     NI45,321,865-177,156$1,030,620
VORNADO RLTY TR 26,970,381 -1,267,359 $1,030,539
     VNO26,970,381-1,267,359$1,030,539
AMERICOLD RLTY TR 28,348,233 +1,016,852 $1,029,041
     COLD28,348,233+1,016,852$1,029,041
BROWN & BROWN INC 25,197,434 -1,187,613 $1,027,048
     BRO25,197,434-1,187,613$1,027,048
BLACK KNIGHT INC 14,118,218 -164,300 $1,024,419
     BKI14,118,218-164,300$1,024,419
GAMING & LEISURE PPTYS INC 29,454,055 -620,539 $1,019,110
     GLPI29,454,055-620,539$1,019,110
VEREIT INC 157,953,043 -5,185,664 $1,015,638
     VER157,953,043-5,185,664$1,015,638
FEDERAL REALTY INVT TR 11,887,969 -495,065 $1,012,974
     FRT11,887,969-495,065$1,012,974
SLACK TECHNOLOGIES INC 32,490,216 +14,718,317 $1,010,121
     WORK32,490,216+14,718,317$1,010,121
PULTE GROUP INC 29,679,596 -1,489,072 $1,009,997
     PHM29,679,596-1,489,072$1,009,997
MONGODB INC 4,444,358 +216,179 $1,005,936
     MDB4,444,358+216,179$1,005,936
UNITED AIRLS HLDGS INC 29,010,062 +8,726,268 $1,004,039
     UAL29,010,062+8,726,268$1,004,039
RPM INTL INC 13,347,099 -673,851 $1,001,833
     RPM13,347,099-673,851$1,001,833
PINNACLE WEST CAP CORP 13,658,486 -370,087 $1,001,031
     PNW13,658,486-370,087$1,001,031
HENRY SCHEIN INC 17,142,358 -902,112 $1,000,942
     HSIC17,142,358-902,112$1,000,942
ROKU INC 8,525,746 +806,132 $993,504
     ROKU8,525,746+806,132$993,504
OMEGA HEALTHCARE INVS INC 33,383,903 -46,611 $992,504
     OHI33,383,903-46,611$992,504
HORIZON THERAPEUTICS PUB LTD 17,754,535 +209,759 $986,797
     HZNP17,754,535+209,759$986,797
NORDSON CORP 5,185,055 -138,292 $983,656
     NDSN5,185,055-138,292$983,656
MOLINA HEALTHCARE INC 5,524,586 -461,071 $983,266
     MOH5,524,586-461,071$983,266
DATADOG INC 11,236,284 +8,806,553 $976,995
     DDOG11,236,284+8,806,553$976,995
ALBEMARLE CORP 12,648,436 -523,397 $976,586
     ALB12,648,436-523,397$976,586
FORTUNE BRANDS HOME & SEC IN 15,259,079 -443,849 $975,513
     FBHS15,259,079-443,849$975,513
POOL CORPORATION 3,577,811 -31,701 $972,700
     POOL3,577,811-31,701$972,700
BERKLEY W R CORP 16,712,362 -1,264,299 $957,450
     WRB16,712,362-1,264,299$957,450
BIO TECHNE CORP 3,617,289 -27,439 $955,217
     TECH3,617,289-27,439$955,217
HEICO CORP NEW      $953,401
     HEI.A7,327,196-786,728$595,262
     HEI3,593,970-199,262$358,139
MONOLITHIC PWR SYS INC 4,010,441 +78,686 $950,475
     MPWR4,010,441+78,686$950,475
NRG ENERGY INC 29,151,971 -1,508,958 $949,188
     NRG29,151,971-1,508,958$949,188
F5 NETWORKS INC 6,802,214 -152,143 $948,773
     FFIV6,802,214-152,143$948,773
COGNEX CORP 15,790,956 -98,806 $943,035
     CGNX15,790,956-98,806$943,035
DISH NETWORK CORPORATION 27,282,565 +27,282,565 $941,521
     DISH27,282,565+27,282,565$941,521
EVEREST RE GROUP LTD 4,559,306 -103,368 $940,129
     RE4,559,306-103,368$940,129
ROYAL CARIBBEAN CRUISES LTD 18,467,530 -567,227 $928,916
     RCL18,467,530-567,227$928,916
ZENDESK INC 10,476,570 +478,836 $927,491
     ZEN10,476,570+478,836$927,491
MYLAN NV 57,343,253 -1,438,233 $922,080
     MYL57,343,253-1,438,233$922,080
APOLLO GLOBAL MGMT INC 18,286,769 +543,457 $912,874
     APO18,286,769+543,457$912,874
TAL EDUCATION GROUP 13,342,346 +321,510 $912,350
     TAL13,342,346+321,510$912,350
LOEWS CORP 26,593,942 -2,253,754 $911,906
     L26,593,942-2,253,754$911,906
RAYMOND JAMES FINL INC 13,213,600 -223,456 $909,492
     RJF13,213,600-223,456$909,492
CANADIAN IMP BK COMM 13,576,240 -188,306 $909,201
     CM13,576,240-188,306$909,201
AVALARA INC 6,819,230 +976,041 $907,571
     AVLR6,819,230+976,041$907,571
KILROY RLTY CORP 15,377,007 -143,806 $902,630
     KRC15,377,007-143,806$902,630
SNAP ON INC 6,477,416 +119,075 $897,188
     SNA6,477,416+119,075$897,188
APARTMENT INVT & MGMT CO 23,800,452 -780,933 $895,848
     AIV23,800,452-780,933$895,848
CABLE ONE INC 504,664 +18,772 $895,703
     CABO504,664+18,772$895,703
CHARLES RIV LABS INTL INC 5,126,605 -235,189 $893,822
     CRL5,126,605-235,189$893,822
JUNIPER NETWORKS INC 38,861,864 -1,367,873 $888,381
     JNPR38,861,864-1,367,873$888,381
VISTRA ENERGY CORP 47,683,973 +5,954,933 $887,875
     VST47,683,973+5,954,933$887,875
KIMCO RLTY CORP 69,109,039 -1,585,042 $887,360
     KIM69,109,039-1,585,042$887,360
PERRIGO CO PLC 16,027,346 -158,652 $885,831
     PRGO16,027,346-158,652$885,831
ROYAL GOLD INC 7,078,920 -243,233 $880,051
     RGLD7,078,920-243,233$880,051
MGM RESORTS INTERNATIONAL 52,371,998 -3,245,236 $879,850
     MGM52,371,998-3,245,236$879,850
NATIONAL RETAIL PROPERTIES I 24,708,951 -842,206 $876,673
     NNN24,708,951-842,206$876,673
ANNALY CAPITAL MANAGEMENT IN 133,378,806 -5,193,635 $874,966
     NLY133,378,806-5,193,635$874,966
GLOBE LIFE INC 11,732,116 -863,392 $870,875
     GL11,732,116-863,392$870,875
RENAISSANCERE HOLDINGS LTD 5,067,358 +306,661 $866,670
     RNR5,067,358+306,661$866,670
HUBSPOT INC 3,846,160 -17,939 $862,886
     HUBS3,846,160-17,939$862,886
CERIDIAN HCM HLDG INC 10,854,441 +1,095,282 $860,432
     CDAY10,854,441+1,095,282$860,432
GUIDEWIRE SOFTWARE INC 7,721,869 -61,576 $855,970
     GWRE7,721,869-61,576$855,970
EQUITABLE HLDGS INC 44,326,045 -2,551,761 $855,050
     EQH44,326,045-2,551,761$855,050
CARNIVAL CORP 51,959,175 +20,161,674 $853,169
     CCL51,959,175+20,161,674$853,169
PELOTON INTERACTIVE INC 14,707,540 +11,185,667 $849,654
     PTON14,707,540+11,185,667$849,654
PINDUODUO INC 9,831,038 +5,552,397 $843,897
     PDD9,831,038+5,552,397$843,897
SUNCOR ENERGY INC NEW 49,825,805 -1,589,309 $840,063
     SU49,825,805-1,589,309$840,063
FOX CORP 31,306,616 +4,494,348 $839,644
     FOXA31,306,616+4,494,348$839,644
CHEMED CORP NEW 1,857,996 -93,307 $838,086
     CHE1,857,996-93,307$838,086
WESTROCK CO 29,560,211 -734,336 $835,372
     WRK29,560,211-734,336$835,372
LENNOX INTL INC 3,584,239 +166,851 $835,091
     LII3,584,239+166,851$835,091
FIDELITY NATIONAL FINANCIAL 27,185,502 +865,961 $833,508
     FNF27,185,502+865,961$833,508
ZYNGA INC 86,949,174 +875,414 $829,497
     ZNGA86,949,174+875,414$829,497
ALCON AG 14,414,623 -174,662 $826,246
     ALC14,414,623-174,662$826,246
HUNTINGTON INGALLS INDS INC 4,723,951 -210,370 $824,284
     HII4,723,951-210,370$824,284
LINCOLN NATL CORP IND 22,364,782 -520,065 $822,799
     LNC22,364,782-520,065$822,799
CROWN HLDGS INC 12,604,972 -476,237 $820,963
     CCK12,604,972-476,237$820,963
TEXTRON INC 24,907,508 -825,766 $819,706
     TXT24,907,508-825,766$819,706
LKQ CORP 31,265,105 -829,646 $819,145
     LKQ31,265,105-829,646$819,145
LAMAR ADVERTISING CO NEW 12,257,489 -371,684 $818,310
     LAMR12,257,489-371,684$818,310
HEALTHCARE TR AMER INC 30,838,296 +620,432 $817,831
     HTA30,838,296+620,432$817,831
BORGWARNER INC 23,043,746 -616,140 $813,443
     BWA23,043,746-616,140$813,443
UNIVERSAL HLTH SVCS INC 8,750,695 -548,128 $812,851
     UHS8,750,695-548,128$812,851
MANULIFE FINL CORP 59,021,312 -1,195,465 $803,870
     MFC59,021,312-1,195,465$803,870
FRANCO NEV CORP 5,740,017 -58,013 $801,536
     FNV5,740,017-58,013$801,536
QUIDEL CORP 3,579,887 -219,951 $800,964
     QDEL3,579,887-219,951$800,964
DAVITA INC 10,097,905 -672,923 $799,148
     DVA10,097,905-672,923$799,148
ELANCO ANIMAL HEALTH INC 37,125,269 -846,657 $796,336
     ELAN37,125,269-846,657$796,336
CIENA CORP 14,652,172 -167,592 $793,562
     CIEN14,652,172-167,592$793,562
GRACO INC 16,401,908 -686,701 $787,127
     GGG16,401,908-686,701$787,127
CABOT OIL & GAS CORP 45,677,604 -1,577,305 $784,741
     COG45,677,604-1,577,305$784,741
WYNN RESORTS LTD 10,526,953 +237,074 $784,153
     WYNN10,526,953+237,074$784,153
PTC INC 10,051,397 -76,980 $781,897
     PTC10,051,397-76,980$781,897
DIAMONDBACK ENERGY INC 18,569,235 -29,656 $776,566
     FANG18,569,235-29,656$776,566
VMWARE INC 4,987,643 +28,593 $772,387
     VMW4,987,643+28,593$772,387
INTERPUBLIC GROUP COS INC 44,780,281 -616,430 $768,429
     IPG44,780,281-616,430$768,429
STORE CAP CORP 32,253,047 +933,777 $767,946
     STOR32,253,047+933,777$767,946
ROLLINS INC 18,074,604 -1,045,204 $766,182
     ROL18,074,604-1,045,204$766,182
JONES LANG LASALLE INC 7,356,504 -297,738 $761,105
     JLL7,356,504-297,738$761,105
DRAFTKINGS INC 22,640,839 +22,640,839 $753,034
     DKNG22,640,839+22,640,839$753,034
ON SEMICONDUCTOR CORP 37,988,459 -1,374,403 $752,930
     ON37,988,459-1,374,403$752,930
ALTERYX INC 4,574,283 +227,471 $751,463
     AYX4,574,283+227,471$751,463
DELL TECHNOLOGIES INC 13,674,841 +1,292,867 $751,296
     DELL13,674,841+1,292,867$751,296
APTARGROUP INC 6,652,269 -296,411 $744,921
     ATR6,652,269-296,411$744,921
NEWELL BRANDS INC 46,702,317 -779,254 $741,633
     NWL46,702,317-779,254$741,633
CUBESMART 27,451,566 -730,202 $740,917
     CUBE27,451,566-730,202$740,917
DOUGLAS EMMETT INC 24,087,493 -681,136 $738,523
     DEI24,087,493-681,136$738,523
SEI INVTS CO 13,398,839 -899,949 $736,669
     SEIC13,398,839-899,949$736,669
ENTEGRIS INC 12,442,175 -148,721 $734,710
     ENTG12,442,175-148,721$734,710
GENERAC HLDGS INC 6,017,200 -137,978 $733,678
     GNRC6,017,200-137,978$733,678
ZSCALER INC 6,688,304 +499,807 $732,370
     ZS6,688,304+499,807$732,370
CF INDS HLDGS INC 25,858,945 -1,467,325 $727,670
     CF25,858,945-1,467,325$727,670
SMITH A O CORP 15,415,898 -839,353 $726,398
     AOS15,415,898-839,353$726,398
IONIS PHARMACEUTICALS INC 12,306,251 +252,690 $725,576
     IONS12,306,251+252,690$725,576
ALLY FINL INC 36,285,968 -1,899,526 $719,550
     ALLY36,285,968-1,899,526$719,550
FIVE9 INC 6,495,532 -176,257 $718,861
     FIVN6,495,532-176,257$718,861
ASSURANT INC 6,949,129 -55,560 $717,776
     AIZ6,949,129-55,560$717,776
CARVANA CO 5,968,444 +1,412,588 $717,407
     CVNA5,968,444+1,412,588$717,407
DIVIDEND APPREC ETF (VIG) 6,103,062 +89,333 $715,157
     VIG6,103,062+89,333$715,157
HUBBELL INC 5,703,673 -341,872 $715,012
     HUBB5,703,673-341,872$715,012
PINTEREST INC 32,134,965 +7,469,357 $712,432
     PINS32,134,965+7,469,357$712,432
LPL FINL HLDGS INC 9,046,690 -533,979 $709,260
     LPLA9,046,690-533,979$709,260
TORO CO 10,630,729 -760,344 $705,243
     TTC10,630,729-760,344$705,243
CHEGG INC 10,475,090 -199,206 $704,554
     CHGG10,475,090-199,206$704,554
UGI CORP NEW 22,138,024 -1,224,057 $703,988
     UGI22,138,024-1,224,057$703,988
ROBERT HALF INTL INC 13,310,916 -956,929 $703,216
     RHI13,310,916-956,929$703,216
FIRST INDL RLTY TR INC 18,255,789 -957,666 $701,752
     FR18,255,789-957,666$701,752
REXFORD INDL RLTY INC 16,890,797 +459,542 $699,786
     REXR16,890,797+459,542$699,786
MOLSON COORS BEVERAGE CO 20,278,750 -1,943,168 $696,778
     TAP20,278,750-1,943,168$696,778
AMERICAN AIRLS GROUP INC 53,257,207 +9,732,371 $696,072
     AAL53,257,207+9,732,371$696,072
DISCOVERY INC 36,110,043 -2,924,706 $695,480
     DISCK36,110,043-2,924,706$695,480
EASTGROUP PPTY INC 5,848,771 -155,559 $693,722
     EGP5,848,771-155,559$693,722
NXP SEMICONDUCTORS N V 6,060,110 +5,042,268 $691,095
     NXPI6,060,110+5,042,268$691,095
AMERICAN CAMPUS CMNTYS INC 19,751,257 -500,499 $690,505
     ACC19,751,257-500,499$690,505
LIVE NATION ENTERTAINMENT IN 15,572,782 +17,363 $690,340
     LYV15,572,782+17,363$690,340
HILL ROM HLDGS INC 6,281,087 -152,480 $689,538
     HRC6,281,087-152,480$689,538
TREX CO INC 5,285,822 -274,882 $687,527
     TREX5,285,822-274,882$687,527
NIELSEN HLDGS PLC 46,208,678 -977,663 $686,661
     NLSN46,208,678-977,663$686,661
AGNC INVT CORP 53,223,588 -345,957 $686,583
     AGNC53,223,588-345,957$686,583
PENTAIR PLC 18,027,383 -789,054 $684,860
     PNR18,027,383-789,054$684,860
EXELIXIS INC 28,774,747 -127,840 $683,111
     EXEL28,774,747-127,840$683,111
WEX INC 4,111,768 -37,339 $678,483
     WEX4,111,768-37,339$678,483
MANHATTAN ASSOCS INC 7,174,782 -83,896 $675,865
     MANH7,174,782-83,896$675,865
ZIONS BANCORPORATION N A 19,747,987 -1,098,317 $671,431
     ZION19,747,987-1,098,317$671,431
LIFE STORAGE INC 7,059,427 -258,676 $670,293
     LSI7,059,427-258,676$670,293
RELIANCE STEEL & ALUMINUM CO 7,050,737 -407,112 $669,326
     RS7,050,737-407,112$669,326
IMMUNOMEDICS INC 18,864,135 +2,014,353 $668,546
     IMMU18,864,135+2,014,353$668,546
HOWMET AEROSPACE INC 41,991,394 +27,754,882 $665,563
     HWM41,991,394+27,754,882$665,563
PRA HEALTH SCIENCES INC 6,837,480 -164,873 $665,219
     PRAH6,837,480-164,873$665,219
NUANCE COMMUNICATIONS INC 26,284,980 -442,665 $665,140
     NUAN26,284,980-442,665$665,140
VAIL RESORTS INC 3,649,674 -229,650 $664,787
     MTN3,649,674-229,650$664,787
FERRARI N V 3,857,997 -115,384 $659,756
     RACE3,857,997-115,384$659,756
CANADIAN NAT RES LTD 37,826,968 -591,072 $659,323
     CNQ37,826,968-591,072$659,323
CARLISLE COS INC 5,506,665 -470,147 $658,983
     CSL5,506,665-470,147$658,983
SERVICE CORP INTL 16,940,967 -178,840 $658,834
     SCI16,940,967-178,840$658,834
SUN LIFE FINANCIAL INC. 17,879,649 -504,173 $657,076
     SLF17,879,649-504,173$657,076
CORESITE RLTY CORP 5,418,680 -61,739 $655,986
     COR5,418,680-61,739$655,986
XPO LOGISTICS INC 8,479,506 -275,857 $655,042
     XPO8,479,506-275,857$655,042
FRANKLIN RESOURCES INC 31,154,917 -5,861,657 $653,319
     BEN31,154,917-5,861,657$653,319
MOHAWK INDS INC 6,398,769 -167,409 $651,139
     MHK6,398,769-167,409$651,139
NEW ORIENTAL ED & TECHNOLOGY 4,987,837 -163,252 $649,567
     EDU4,987,837-163,252$649,567
NEWS CORP NEW 54,730,652 -1,182,062 $649,105
     NWSA54,730,652-1,182,062$649,105
BRIGHT HORIZONS FAM SOL IN D 5,532,140 +74,370 $648,367
     BFAM5,532,140+74,370$648,367
ASPEN TECHNOLOGY INC 6,252,202 -125,330 $647,790
     AZPN6,252,202-125,330$647,790
WILLIAMS SONOMA INC 7,867,032 +325,025 $645,175
     WSM7,867,032+325,025$645,175
ALLEGHANY CORP DEL 1,314,777 -66,964 $643,110
     Y1,314,777-66,964$643,110
TOTAL BOND MARKET ETF (BND) 7,256,874 +265,524 $641,072
     BND7,256,874+265,524$641,072
ZILLOW GROUP INC 11,122,489 +1,133,096 $640,767
     Z11,122,489+1,133,096$640,767
SL GREEN RLTY CORP 12,990,482 -680,189 $640,300
     SLG12,990,482-680,189$640,300
SCOTTS MIRACLE GRO CO 4,758,410 +194,885 $639,863
     SMG4,758,410+194,885$639,863
COUSINS PPTYS INC 21,180,132 -580,710 $631,803
     CUZ21,180,132-580,710$631,803
IPG PHOTONICS CORP 3,897,730 -65,697 $625,157
     IPGP3,897,730-65,697$625,157
STAG INDL INC 21,304,107 +1,430,397 $624,636
     STAG21,304,107+1,430,397$624,636
COMERICA INC 16,328,120 -1,487,015 $622,102
     CMA16,328,120-1,487,015$622,102
GENTEX CORP 24,090,711 -1,339,761 $620,818
     GNTX24,090,711-1,339,761$620,818
TD AMERITRADE HLDG CORP 16,978,017 +334,879 $617,661
     AMTD16,978,017+334,879$617,661
DEUTSCHE BANK A G 64,789,079 -1,210,750 $616,792
     DB64,789,079-1,210,750$616,792
AVANTOR INC 36,248,815 +4,696,303 $616,230
     AVTR36,248,815+4,696,303$616,230
LYFT INC 18,658,697 +527,550 $615,924
     LYFT18,658,697+527,550$615,924
GCI LIBERTY INC 8,653,647 -114,679 $615,447
     GLIBA8,653,647-114,679$615,447
GENPACT LIMITED 16,828,313 -326,236 $614,571
     G16,828,313-326,236$614,571
OGE ENERGY CORP 20,242,228 -751,379 $614,555
     OGE20,242,228-751,379$614,555
PG&E CORP 69,250,031 +29,260,854 $614,248
     PCG69,250,031+29,260,854$614,248
COMMERCE BANCSHARES INC (CBSH) 10,246,023 -720,349 $609,331
     CBSH10,246,023-720,349$609,331
MATCH GROUP INC 5,689,060 -41,491 $609,014
     MTCH5,689,060-41,491$609,014
CAESARS ENTMT CORP 50,205,847 -1,227,672 $608,996
     CZR50,205,847-1,227,672$608,996
AMEDISYS INC 3,065,150 -116,203 $608,554
     AMED3,065,150-116,203$608,554
LEAR CORP 5,573,142 -229,804 $607,584
     LEA5,573,142-229,804$607,584
NEW YORK TIMES CO 14,453,687 +174,809 $607,489
     NYT14,453,687+174,809$607,489
SEALED AIR CORP NEW 18,485,865 -328,745 $607,261
     SEE18,485,865-328,745$607,261
UNIVERSAL DISPLAY CORP 4,033,384 -34,586 $603,474
     OLED4,033,384-34,586$603,474
CREE INC 10,194,320 -78,541 $603,402
     CREE10,194,320-78,541$603,402
ENCOMPASS HEALTH CORP 9,691,671 -302,323 $600,206
     EHC9,691,671-302,323$600,206
FLIR SYS INC 14,653,359 -758,396 $594,487
     FLIR14,653,359-758,396$594,487
PROOFPOINT INC 5,342,347 +29,500 $593,642
     PFPT5,342,347+29,500$593,642
MKS INSTRS INC 5,236,090 +31,346 $592,935
     MKSI5,236,090+31,346$592,935
OWENS CORNING NEW 10,620,317 -354,743 $592,190
     OC10,620,317-354,743$592,190
APACHE CORP 43,803,337 -1,706,096 $591,345
     APA43,803,337-1,706,096$591,345
BUNGE LIMITED 14,372,648 -925,499 $591,147
     BG14,372,648-925,499$591,147
GRUBHUB INC 8,396,796 -102,736 $590,294
     GRUB8,396,796-102,736$590,294
AMCOR PLC 57,813,364 -976,333 $590,273
     AMCR57,813,364-976,333$590,273
WHEATON PRECIOUS METALS CORP 13,390,170 -166,131 $589,837
     WPM13,390,170-166,131$589,837
EQUITY COMWLTH 18,273,878 -561,148 $588,419
     EQC18,273,878-561,148$588,419
ALTICE USA INC 25,955,427 -2,929,333 $585,035
     ATUS25,955,427-2,929,333$585,035
CASEYS GEN STORES INC 3,912,184 -172,065 $584,950
     CASY3,912,184-172,065$584,950
DYNATRACE INC 14,381,727 +4,687,084 $583,897
     DT14,381,727+4,687,084$583,897
HEALTHCARE RLTY TR 19,766,723 -239,857 $578,967
     HR19,766,723-239,857$578,967
QUANTA SVCS INC 14,723,984 -889,261 $577,623
     PWR14,723,984-889,261$577,623
DONALDSON INC 12,414,846 -700,404 $577,539
     DCI12,414,846-700,404$577,539
BRIXMOR PPTY GROUP INC 45,035,902 -1,887,024 $577,360
     BRX45,035,902-1,887,024$577,360
CACI INTL INC 2,652,822 -80,560 $575,344
     CACI2,652,822-80,560$575,344
LUMENTUM HLDGS INC 7,064,106 -178,269 $575,229
     LITE7,064,106-178,269$575,229
LIBERTY MEDIA CORP DEL 18,019,773 -222,895 $571,407
     FWONK18,019,773-222,895$571,407
VOYA FINANCIAL INC 12,236,752 -1,469,370 $570,845
     VOYA12,236,752-1,469,370$570,845
PEOPLES UNITED FINANCIAL INC 49,075,456 -3,401,653 $567,803
     PBCT49,075,456-3,401,653$567,803
AXON ENTERPRISE INC 5,748,043 +101,026 $564,056
     AAXN5,748,043+101,026$564,056
HUDSON PAC PPTYS INC 22,177,938 -427,121 $557,996
     HPP22,177,938-427,121$557,996
HIGHWOODS PPTYS INC 14,932,045 -662,826 $557,413
     HIW14,932,045-662,826$557,413
NATIONAL OILWELL VARCO INC 45,485,414 -153,334 $557,196
     NOV45,485,414-153,334$557,196
POLARIS INC 6,020,392 -429,804 $557,187
     PII6,020,392-429,804$557,187
NUTRIEN LTD 17,336,729 -305,845 $556,509
     NTR17,336,729-305,845$556,509
INPHI CORP 4,714,666 +184,860 $553,974
     IPHI4,714,666+184,860$553,974
QTS RLTY TR INC 8,639,180 +53,831 $553,685
     QTS8,639,180+53,831$553,685
PENUMBRA INC 3,092,387 +178,998 $552,982
     PEN3,092,387+178,998$552,982
KEURIG DR PEPPER INC 19,405,068 +4,050,421 $551,105
     KDP19,405,068+4,050,421$551,105
SPIRIT RLTY CAP INC NEW 15,775,368 -155,261 $549,930
     SRC15,775,368-155,261$549,930
PROSPERITY BANCSHARES INC (PB) 9,261,078 +80,522 $549,923
     PB9,261,078+80,522$549,923
REINSURANCE GRP OF AMERICA I 7,002,279 +908,747 $549,258
     RGA7,002,279+908,747$549,258
FIRST AMERN FINL CORP 11,422,123 -467,868 $548,491
     FAF11,422,123-467,868$548,491
WATSCO INC 3,083,179 -47,295 $547,881
     WSO3,083,179-47,295$547,881
FIVE BELOW INC 5,106,660 -40,600 $545,953
     FIVE5,106,660-40,600$545,953
SONOCO PRODS CO 10,436,227 -507,107 $545,710
     SON10,436,227-507,107$545,710
JAZZ PHARMACEUTICALS PLC 4,931,058 -219,029 $544,093
     JAZZ4,931,058-219,029$544,093
ZTO EXPRESS CAYMAN INC 14,794,746 -256,115 $543,115
     ZTO14,794,746-256,115$543,115
REPLIGEN CORP 4,385,752 -164,533 $542,122
     RGEN4,385,752-164,533$542,122
MARATHON OIL CORP 88,120,268 -6,268,300 $539,295
     MRO88,120,268-6,268,300$539,295
DEVON ENERGY CORP NEW 47,357,479 +1,857,571 $537,033
     DVN47,357,479+1,857,571$537,033
BERRY GLOBAL GROUP INC 12,033,820 -141,769 $533,338
     BERY12,033,820-141,769$533,338
HD SUPPLY HLDGS INC 15,377,442 -928,009 $532,828
     HDS15,377,442-928,009$532,828
FORTIS INC 13,981,321 -302,383 $532,408
     FTS13,981,321-302,383$532,408
AECOM 14,166,463 +12,820 $532,375
     ACM14,166,463+12,820$532,375
SENSATA TECHNOLOGIES HLDNG P 14,248,266 -777,218 $530,462
     ST14,248,266-777,218$530,462
INGREDION INC 6,379,720 -170,775 $529,517
     INGR6,379,720-170,775$529,517
ARROW ELECTRS INC 7,683,309 -412,251 $527,767
     ARW7,683,309-412,251$527,767
JBG SMITH PPTYS 17,838,264 -907,920 $527,477
     JBGS17,838,264-907,920$527,477
PRIMERICA INC 4,466,041 -159,747 $520,740
     PRI4,466,041-159,747$520,740
INVESCO LTD 48,389,114 +5,514,052 $520,667
     IVZ48,389,114+5,514,052$520,667
AGREE REALTY CORP 7,908,551 +818,313 $519,671
     ADC7,908,551+818,313$519,671
DECKERS OUTDOOR CORP 2,643,909 -59,747 $519,237
     DECK2,643,909-59,747$519,237
PAYLOCITY HLDG CORP 3,554,747 +46,269 $518,602
     PCTY3,554,747+46,269$518,602
HOLLYFRONTIER CORP 17,759,836 -239,788 $518,587
     HFC17,759,836-239,788$518,587
REALPAGE INC 7,974,048 +451,288 $518,393
     RP7,974,048+451,288$518,393
TERRENO RLTY CORP 9,839,651 -185,932 $517,957
     TRNO9,839,651-185,932$517,957
FASTLY INC 6,076,049 +4,148,788 $517,254
     FSLY6,076,049+4,148,788$517,254
DROPBOX INC 23,754,147 +3,086,573 $517,127
     DBX23,754,147+3,086,573$517,127
ACADIA PHARMACEUTICALS INC 10,661,419 -321,618 $516,759
     ACAD10,661,419-321,618$516,759
LEGGETT & PLATT INC 14,684,449 -340,768 $516,158
     LEG14,684,449-340,768$516,158
SIGNATURE BK NEW YORK N Y 4,822,446 -132,320 $515,616
     SBNY4,822,446-132,320$515,616
ANAPLAN INC 11,371,518 +1,911,348 $515,243
     PLAN11,371,518+1,911,348$515,243
THOR INDS INC 4,824,045 -133,415 $513,905
     THO4,824,045-133,415$513,905
MOSAIC CO NEW 41,043,639 +1,771,913 $513,455
     MOS41,043,639+1,771,913$513,455
GUARDANT HEALTH INC 6,319,265 +2,144,771 $512,681
     GH6,319,265+2,144,771$512,681
POST HLDGS INC 5,846,989 -294,871 $512,313
     POST5,846,989-294,871$512,313
STEEL DYNAMICS INC 19,631,244 -267,305 $512,179
     STLD19,631,244-267,305$512,179
TANDEM DIABETES CARE INC 5,174,656 -118,670 $511,877
     TNDM5,174,656-118,670$511,877
PHYSICIANS RLTY TR 29,110,748 +1,398,656 $510,019
     DOC29,110,748+1,398,656$510,019
FTSE DEVELOPED MKTS ETF (VEA) 13,069,785 -1,243,259 $506,977
     VEA13,069,785-1,243,259$506,977
LIBERTY MEDIA CORP DEL 14,638,973 +138,121 $504,313
     LSXMK14,638,973+138,121$504,313
WINGSTOP INC 3,621,057 -67,578 $503,219
     WING3,621,057-67,578$503,219
AMERICAN FINL GROUP INC OHIO 7,925,881 +98,991 $502,975
     AFG7,925,881+98,991$502,975
REDFIN CORP 11,995,447 +1,390,802 $502,729
     RDFN11,995,447+1,390,802$502,729
CORELOGIC INC 7,476,465 -270,163 $502,568
     CLGX7,476,465-270,163$502,568
BWX TECHNOLOGIES INC 8,859,830 -61,698 $501,822
     BWXT8,859,830-61,698$501,822
LHC GROUP INC 2,877,427 -216,825 $501,593
     LHCG2,877,427-216,825$501,593
ATHENE HLDG LTD 16,004,839 +1,065,904 $499,190
     ATH16,004,839+1,065,904$499,190
ITT INC 8,496,512 -569,909 $499,085
     ITT8,496,512-569,909$499,085
BJS WHSL CLUB HLDGS INC 13,379,221 +326,480 $498,643
     BJ13,379,221+326,480$498,643
IDACORP INC 5,701,561 -222,384 $498,146
     IDA5,701,561-222,384$498,146
JABIL INC 15,411,433 -668,473 $494,399
     JBL15,411,433-668,473$494,399
SMARTSHEET INC 9,705,920 +638,896 $494,227
     SMAR9,705,920+638,896$494,227
EAST WEST BANCORP INC 13,618,556 -300,898 $493,537
     EWBC13,618,556-300,898$493,537
CDK GLOBAL INC 11,905,074 -443,225 $493,109
     CDK11,905,074-443,225$493,109
ERIE INDTY CO 2,569,022 -137,833 $492,996
     ERIE2,569,022-137,833$492,996
PLANET FITNESS INC 8,139,180 -456,984 $492,990
     PLNT8,139,180-456,984$492,990
DUNKIN BRANDS GROUP INC 7,513,123 -154,004 $490,082
     DNKN7,513,123-154,004$490,082
MDU RES GROUP INC 22,066,444 +584,040 $489,433
     MDU22,066,444+584,040$489,433
UNITED THERAPEUTICS CORP DEL 4,031,812 -111,830 $487,849
     UTHR4,031,812-111,830$487,849
LINCOLN ELEC HLDGS INC 5,789,795 -509,328 $487,734
     LECO5,789,795-509,328$487,734
ARAMARK 21,602,727 -2,267,805 $487,574
     ARMK21,602,727-2,267,805$487,574
ENPHASE ENERGY INC 10,177,968 +1,387,245 $484,165
     ENPH10,177,968+1,387,245$484,165
KNIGHT SWIFT TRANSN HLDGS IN 11,591,072 +311,348 $483,464
     KNX11,591,072+311,348$483,464
MAXIMUS INC 6,827,880 -381,410 $481,023
     MMS6,827,880-381,410$481,023
BRUNSWICK CORP 7,510,926 -365,093 $480,775
     BC7,510,926-365,093$480,775
CULLEN FROST BANKERS INC 6,424,131 +6,401 $479,948
     CFR6,424,131+6,401$479,948
NOBLE ENERGY INC 53,293,910 -3,001,315 $477,514
     NBL53,293,910-3,001,315$477,514
OSHKOSH CORP 6,659,580 -240,731 $476,958
     OSK6,659,580-240,731$476,958
SABRA HEALTH CARE REIT INC 33,046,966 +648,716 $476,868
     SBRA33,046,966+648,716$476,868
LEXINGTON REALTY TRUST 45,116,024 +3,083,120 $475,974
     LXP45,116,024+3,083,120$475,974
HANESBRANDS INC 42,063,680 -3,724,117 $474,899
     HBI42,063,680-3,724,117$474,899
HAEMONETICS CORP 5,301,013 -222,475 $474,758
     HAE5,301,013-222,475$474,758
ALASKA AIR GROUP INC 13,045,741 -1,466,992 $473,039
     ALK13,045,741-1,466,992$473,039
DXC TECHNOLOGY CO 28,461,445 -1,191,094 $469,613
     DXC28,461,445-1,191,094$469,613
LANDSTAR SYS INC 4,158,948 -30,528 $467,092
     LSTR4,158,948-30,528$467,092
STERICYCLE INC 8,340,810 -214,831 $466,919
     SRCL8,340,810-214,831$466,919
SYNEOS HEALTH INC 7,970,225 -248,693 $464,265
     SYNH7,970,225-248,693$464,265
RESTAURANT BRANDS INTL INC 8,476,672 +50,407 $463,081
     QSR8,476,672+50,407$463,081
RAYONIER INC 18,649,819 -564,159 $462,330
     RYN18,649,819-564,159$462,330
IAA INC 11,980,806 -669,344 $462,100
     IAA11,980,806-669,344$462,100
AGNICO EAGLE MINES LTD 7,204,303 -93,992 $461,508
     AEM7,204,303-93,992$461,508
FLOOR & DECOR HLDGS INC 7,948,503 +785,012 $458,230
     FND7,948,503+785,012$458,230
BEYOND MEAT INC 3,419,863 +282,024 $458,193
     BYND3,419,863+282,024$458,193
NORWEGIAN CRUISE LINE HLDG L 27,861,270 +3,481,322 $457,760
     NCLH27,861,270+3,481,322$457,760
PEMBINA PIPELINE CORP 18,214,648 -177,365 $455,366
     PBA18,214,648-177,365$455,366
HELEN OF TROY CORP LTD 2,405,313 -40,415 $453,547
     HELE2,405,313-40,415$453,547
EVERBRIDGE INC 3,268,077 -17,156 $452,171
     EVBG3,268,077-17,156$452,171
TOT INTL BOND ETF (BNDX) 7,827,648 +158,089 $451,891
     BNDX7,827,648+158,089$451,891
OLD REP INTL CORP 27,685,305 -778,905 $451,548
     ORI27,685,305-778,905$451,548
BOSTON BEER INC 839,661 +5,083 $450,605
     SAM839,661+5,083$450,605
BCE INC 10,781,772 +662,858 $450,355
     BCE10,781,772+662,858$450,355
AXALTA COATING SYS LTD 19,880,026 -1,082,628 $448,294
     AXTA19,880,026-1,082,628$448,294
NATIONAL INSTRS CORP 11,569,224 -683,282 $447,845
     NATI11,569,224-683,282$447,845
EURONET WORLDWIDE INC 4,651,813 -474,382 $445,736
     EEFT4,651,813-474,382$445,736
EXPONENT INC 5,498,875 -25,790 $445,024
     EXPO5,498,875-25,790$445,024
BRUKER CORP 10,918,102 -314,198 $444,148
     BRKR10,918,102-314,198$444,148
SYNNEX CORP 3,703,054 -455,347 $443,514
     SNX3,703,054-455,347$443,514
NOVOCURE LTD 7,474,620 +56,364 $443,244
     NVCR7,474,620+56,364$443,244
LATTICE SEMICONDUCTOR CORP 15,590,802 -814,113 $442,624
     LSCC15,590,802-814,113$442,624
MYOKARDIA INC 4,564,674 +532,583 $441,039
     MYOK4,564,674+532,583$441,039
TARGA RES CORP 21,905,041 -1,740,529 $439,634
     TRGP21,905,041-1,740,529$439,634
OLLIES BARGAIN OUTLET HLDGS 4,500,753 -25,505 $439,498
     OLLI4,500,753-25,505$439,498
SITEONE LANDSCAPE SUPPLY INC 3,846,783 +3,369 $438,417
     SITE3,846,783+3,369$438,417
NEOGEN CORP 5,611,926 -25,947 $435,486
     NEOG5,611,926-25,947$435,486
SILICON LABORATORIES INC 4,330,201 +73,305 $434,189
     SLAB4,330,201+73,305$434,189
UNUM GROUP 26,150,179 -708,763 $433,830
     UNM26,150,179-708,763$433,830
NEW YORK CMNTY BANCORP INC 42,403,871 -1,591,136 $432,518
     NYCB42,403,871-1,591,136$432,518
CGI INC 6,849,575 -428,527 $431,524
     GIB6,849,575-428,527$431,524
TETRA TECH INC NEW 5,444,114 -186,734 $430,738
     TTEK5,444,114-186,734$430,738
TRIP COM GROUP LTD 16,573,311 -44,631 $429,581
     TCOM16,573,311-44,631$429,581
CHURCHILL DOWNS INC 3,219,170 -35,663 $428,632
     CHDN3,219,170-35,663$428,632
FTI CONSULTING INC 3,738,057 -222,393 $428,195
     FCN3,738,057-222,393$428,195
SERVICEMASTER GLOBAL HLDGS I 11,964,110 -455,900 $427,000
     SERV11,964,110-455,900$427,000
TCF FINANCIAL CORPORATION NE 14,442,063 -635,526 $424,885
     TCF14,442,063-635,526$424,885
HAWAIIAN ELEC INDUSTRIES 11,745,796 -262,831 $423,552
     HE11,745,796-262,831$423,552
PS BUSINESS PKS INC CALIF 3,194,613 +36,229 $422,967
     PSB3,194,613+36,229$422,967
ROGERS COMMUNICATIONS INC 10,490,618 -133,640 $421,617
     RCI10,490,618-133,640$421,617
MOMENTA PHARMACEUTICALS INC 12,654,956 +412,626 $421,030
     MNTA12,654,956+412,626$421,030
HERBALIFE NUTRITION LTD 9,344,451 -336,313 $420,313
     HLF9,344,451-336,313$420,313
ARROWHEAD PHARMACEUTICALS IN 9,719,363 +90,837 $419,779
     ARWR9,719,363+90,837$419,779
MSA SAFETY INC 3,661,942 -137,700 $419,073
     MSA3,661,942-137,700$419,073
RH 1,682,914 -135,639 $418,876
     RH1,682,914-135,639$418,876
LEGG MASON INC 8,387,482 +164,047 $417,277
     LM8,387,482+164,047$417,277
ALLISON TRANSMISSION HLDGS I 11,314,338 -1,200,931 $416,141
     ALSN11,314,338-1,200,931$416,141
ONE GAS INC 5,359,914 -96,952 $412,982
     OGS5,359,914-96,952$412,982
ACCELERON PHARMA INC 4,334,313 +73,145 $412,930
     XLRN4,334,313+73,145$412,930
WOODWARD INC 5,319,553 -72,727 $412,531
     WWD5,319,553-72,727$412,531
ASHLAND GLOBAL HLDGS INC 5,965,578 +267,884 $412,222
     ASH5,965,578+267,884$412,222
SCIENCE APPLICATIONS INTL CO 5,299,113 -296,205 $411,635
     SAIC5,299,113-296,205$411,635
FLOWSERVE CORP 14,429,203 -43,495 $411,520
     FLS14,429,203-43,495$411,520
KEMPER CORP DEL 5,671,866 -266,460 $411,323
     KMPR5,671,866-266,460$411,323
NATIONAL HEALTH INVS INC 6,767,920 -218,081 $410,948
     NHI6,767,920-218,081$410,948
FOX CORP 15,291,602 +2,459,358 $410,427
     FOX15,291,602+2,459,358$410,427
CORPORATE OFFICE PPTYS TR 16,088,923 -515,925 $407,693
     OFC16,088,923-515,925$407,693
PORTLAND GEN ELEC CO 9,726,710 -445,816 $406,673
     POR9,726,710-445,816$406,673
FLOWERS FOODS INC 18,183,467 -511,039 $406,581
     FLO18,183,467-511,039$406,581
EATON VANCE CORP 10,490,755 -281,378 $404,943
     EV10,490,755-281,378$404,943
CARLYLE GROUP INC 14,504,167 +14,504,167 $404,666
     CG14,504,167+14,504,167$404,666
ELASTIC N V 4,374,864 +783,292 $403,406
     ESTC4,374,864+783,292$403,406
HANOVER INS GROUP INC 3,980,952 -542,772 $403,390
     THG3,980,952-542,772$403,390
ULTRAGENYX PHARMACEUTICAL IN 5,138,257 +169,418 $401,915
     RARE5,138,257+169,418$401,915
II VI INC 8,495,682 +41,696 $401,166
     IIVI8,495,682+41,696$401,166
DISCOVERY INC 18,953,769 -573,737 $399,925
     DISCA18,953,769-573,737$399,925
MIDDLEBY CORP 5,052,945 -63,544 $398,878
     MIDD5,052,945-63,544$398,878
US FOODS HLDG CORP 20,224,647 -380,718 $398,830
     USFD20,224,647-380,718$398,830
MERCURY SYS INC 5,064,225 -218,828 $398,352
     MRCY5,064,225-218,828$398,352
TAPESTRY INC 29,950,828 -2,105,836 $397,748
     TPR29,950,828-2,105,836$397,748
CABOT MICROELECTRONICS CORP 2,841,899 -15,728 $396,557
     CCMP2,841,899-15,728$396,557
LOGMEIN INC 4,668,652 -69,553 $395,762
     LOGM4,668,652-69,553$395,762
MIRATI THERAPEUTICS INC 3,449,202 +45,764 $393,796
     MRTX3,449,202+45,764$393,796
BLOCK H & R INC 27,568,955 -476,194 $393,684
     HRB27,568,955-476,194$393,684
SOUTHWEST GAS HOLDINGS INC 5,694,830 -123,954 $393,227
     SWX5,694,830-123,954$393,227
Q2 HLDGS INC 4,579,478 +413,446 $392,873
     QTWO4,579,478+413,446$392,873
SIRIUS XM HOLDINGS INC 66,764,791 -1,662,658 $391,909
     SIRI66,764,791-1,662,658$391,909
GRAND CANYON ED INC 4,328,006 -123,454 $391,815
     LOPE4,328,006-123,454$391,815
SKECHERS U S A INC 12,454,258 +20,893 $390,815
     SKX12,454,258+20,893$390,815
HUNTSMAN CORP 21,731,018 -1,184,651 $390,507
     HUN21,731,018-1,184,651$390,507
DARLING INGREDIENTS INC 15,841,946 -573,535 $390,029
     DAR15,841,946-573,535$390,029
WENDYS CO 17,894,533 +653,505 $389,744
     WEN17,894,533+653,505$389,744
DOLBY LABORATORIES INC 5,895,499 -59,184 $388,337
     DLB5,895,499-59,184$388,337
NUTANIX INC 16,379,873 +478,219 $388,285
     NTNX16,379,873+478,219$388,285
TOPBUILD CORP 3,408,126 -424,929 $387,742
     BLD3,408,126-424,929$387,742
MANPOWERGROUP INC 5,637,292 -47,832 $387,564
     MAN5,637,292-47,832$387,564
CREDIT ACCEP CORP MICH 924,739 -75,817 $387,474
     CACC924,739-75,817$387,474
HEALTHEQUITY INC 6,600,393 -221,826 $387,245
     HQY6,600,393-221,826$387,245
NOVAVAX INC 4,637,637 +2,579,671 $386,547
     NVAX4,637,637+2,579,671$386,547
BLUEPRINT MEDICINES CORP 4,929,210 +52,550 $384,479
     BPMC4,929,210+52,550$384,479
BLACK HILLS CORP 6,782,543 -172,319 $384,299
     BKH6,782,543-172,319$384,299
FIRST FINL BANKSHARES (FFIN) 13,281,549 +529,140 $383,704
     FFIN13,281,549+529,140$383,704
SIMPSON MANUFACTURING CO INC 4,545,377 +173,419 $383,449
     SSD4,545,377+173,419$383,449
NEKTAR THERAPEUTICS 16,500,862 -20,322 $382,160
     NKTR16,500,862-20,322$382,160
PURE STORAGE INC 21,926,902 +383,168 $379,993
     PSTG21,926,902+383,168$379,993
TRADEWEB MKTS INC 6,521,075 +656,421 $379,136
     TW6,521,075+656,421$379,136
PVH CORPORATION 7,843,139 -548,168 $376,863
     PVH7,843,139-548,168$376,863
LITTELFUSE INC 2,202,312 -33,020 $375,780
     LFUS2,202,312-33,020$375,780
EMERGENT BIOSOLUTIONS INC 4,749,596 +10,190 $375,600
     EBS4,749,596+10,190$375,600
BLACKLINE INC 4,518,635 +310,114 $374,640
     BL4,518,635+310,114$374,640
MAGNA INTL INC 8,399,227 -511,478 $374,017
     MGA8,399,227-511,478$374,017
BLUEBIRD BIO INC 6,097,060 +2,221,018 $372,164
     BLUE6,097,060+2,221,018$372,164
PEGASYSTEMS INC 3,667,822 -13,945 $371,073
     PEGA3,667,822-13,945$371,073
ESSENT GROUP LTD 10,228,672 +958,615 $370,993
     ESNT10,228,672+958,615$370,993
EPR PPTYS 11,185,248 -495,749 $370,567
     EPR11,185,248-495,749$370,567
PENN NATL GAMING INC 12,072,067 +1,628,758 $368,681
     PENN12,072,067+1,628,758$368,681
RALPH LAUREN CORP 5,065,774 -361,798 $367,370
     RL5,065,774-361,798$367,370
ARMSTRONG WORLD INDS INC 4,708,100 -487,558 $367,044
     AWI4,708,100-487,558$367,044
WRIGHT MED GROUP N V 12,343,206 +85,527 $366,840
     WMGI12,343,206+85,527$366,840
COGENT COMMUNICATIONS HLDGS 4,728,972 -23,387 $365,833
     CCOI4,728,972-23,387$365,833
PNM RES INC 9,512,607 -175,325 $365,664
     PNM9,512,607-175,325$365,664
POWER INTEGRATIONS INC 3,092,401 +7,146 $365,305
     POWI3,092,401+7,146$365,305
NEVRO CORP 3,056,650 +245,043 $365,177
     NVRO3,056,650+245,043$365,177
ACUITY BRANDS INC 3,798,686 -215,652 $363,686
     AYI3,798,686-215,652$363,686
AMICUS THERAPEUTICS INC 24,112,736 -5,850 $363,620
     FOLD24,112,736-5,850$363,620
LITHIA MTRS INC 2,401,814 -170,586 $363,467
     LAD2,401,814-170,586$363,467
RLI CORP 4,424,431 -225,689 $363,246
     RLI4,424,431-225,689$363,246
WYNDHAM HOTELS & RESORTS INC 8,510,885 -761,538 $362,734
     WH8,510,885-761,538$362,734
CIRRUS LOGIC INC 5,869,990 -310,810 $362,648
     CRUS5,869,990-310,810$362,648
STARWOOD PPTY TR INC 24,234,525 -1,420,865 $362,549
     STWD24,234,525-1,420,865$362,549
ENVESTNET INC 4,917,575 +91,710 $361,639
     ENV4,917,575+91,710$361,639
FIAT CHRYSLER AUTOMOBILES N 35,304,759 -513,591 $361,522
     FCAU35,304,759-513,591$361,522
L BRANDS INC 24,008,867 -2,438,161 $359,413
     LB24,008,867-2,438,161$359,413
FRONTDOOR INC 8,081,590 -100,332 $358,257
     FTDR8,081,590-100,332$358,257
PERFORMANCE FOOD GROUP CO 12,222,280 +777,563 $356,156
     PFGC12,222,280+777,563$356,156
EMCOR GROUP INC 5,381,047 -390,097 $355,903
     EME5,381,047-390,097$355,903
FOX FACTORY HLDG CORP 4,304,965 +370,192 $355,633
     FOXF4,304,965+370,192$355,633
POTLATCHDELTIC CORPORATION 9,345,368 -344,044 $355,405
     PCH9,345,368-344,044$355,405
NATIONAL FUEL GAS CO N J 8,472,786 -3,757 $355,263
     NFG8,472,786-3,757$355,263
BROOKS AUTOMATION INC NEW 8,000,185 +398,462 $353,929
     BRKS8,000,185+398,462$353,929
10X GENOMICS INC 3,957,771 +2,873,055 $353,469
     TXG3,957,771+2,873,055$353,469
AMER STATES WTR CO 4,491,474 +23,480 $353,164
     AWR4,491,474+23,480$353,164
GRAPHIC PACKAGING HLDG CO 25,200,901 -1,639,816 $352,562
     GPK25,200,901-1,639,816$352,562
ESG U.S. STOCK ETF (ESGV) 6,250,623 +1,049,901 $352,473
     ESGV6,250,623+1,049,901$352,473
KOHLS CORP 16,940,819 -1,831,256 $351,860
     KSS16,940,819-1,831,256$351,860
FIRST SOLAR INC 7,107,387 -94,990 $351,815
     FSLR7,107,387-94,990$351,815
TOLL BROTHERS INC 10,761,712 -1,441,333 $350,724
     TOL10,761,712-1,441,333$350,724
HALOZYME THERAPEUTICS INC 13,047,599 -850,615 $349,806
     HALO13,047,599-850,615$349,806
AEROJET ROCKETDYNE HLDGS INC 8,808,378 +260,533 $349,164
     AJRD8,808,378+260,533$349,164
GAP INC 27,662,778 -1,714,699 $349,105
     GPS27,662,778-1,714,699$349,105
GLOBAL BLOOD THERAPEUTICS IN 5,519,586 -8,609 $348,451
     GBT5,519,586-8,609$348,451
NEOGENOMICS INC 11,240,602 +462,957 $348,234
     NEO11,240,602+462,957$348,234
MURPHY USA INC 3,087,701 -21,740 $347,644
     MUSA3,087,701-21,740$347,644
NATERA INC 6,935,167 +185,551 $345,788
     NTRA6,935,167+185,551$345,788
REGAL BELOIT CORP 3,955,210 -256,550 $345,369
     RBC3,955,210-256,550$345,369
HEXCEL CORP NEW 7,621,934 -4,850 $344,664
     HXL7,621,934-4,850$344,664
KINSALE CAP GROUP INC 2,219,669 +420,112 $344,514
     KNSL2,219,669+420,112$344,514
BALCHEM CORP 3,629,719 -110,486 $344,315
     BCPC3,629,719-110,486$344,315
NOVANTA INC 3,222,266 -10,544 $344,042
     NOVT3,222,266-10,544$344,042
UNITED BANKSHARES INC WEST V (UBSI) 12,433,537 +2,350,710 $343,911
     UBSI12,433,537+2,350,710$343,911
REATA PHARMACEUTICALS INC 2,203,551 -36,177 $343,798
     RETA2,203,551-36,177$343,798
QUALYS INC 3,287,477 -310,102 $341,964
     QLYS3,287,477-310,102$341,964
THOMSON REUTERS CORP. 5,021,395 -906,634 $341,304
     TRI5,021,395-906,634$341,304
COMMUNITY BK SYS INC 5,972,113 -170,005 $340,530
     CBU5,972,113-170,005$340,530
QURATE RETAIL INC 35,751,821 -992,401 $339,643
     QRTEA35,751,821-992,401$339,643
NEW RELIC INC 4,917,545 +41,606 $338,820
     NEWR4,917,545+41,606$338,820
ICU MED INC 1,837,318 -11,852 $338,636
     ICUI1,837,318-11,852$338,636
MEDPACE HLDGS INC 3,633,884 -82,538 $338,023
     MEDP3,633,884-82,538$338,023
PARK HOTELS RESORTS INC 34,160,253 -3,291,863 $337,845
     PK34,160,253-3,291,863$337,845
CURTISS WRIGHT CORP 3,775,393 -210,948 $337,066
     CW3,775,393-210,948$337,066
IOVANCE BIOTHERAPEUTICS INC 12,228,470 +1,099,259 $335,670
     IOVA12,228,470+1,099,259$335,670
HARLEY DAVIDSON INC 14,098,600 -3,567,143 $335,124
     HOG14,098,600-3,567,143$335,124
VALVOLINE INC 17,333,657 -891,268 $335,060
     VVV17,333,657-891,268$335,060
STAMPS COM INC 1,819,059 +42,105 $334,143
     STMP1,819,059+42,105$334,143
GLOBUS MED INC 6,992,414 -476,078 $333,608
     GMED6,992,414-476,078$333,608
ARES MANAGEMENT CORPORATION 8,392,865 +1,289,571 $333,197
     ARES8,392,865+1,289,571$333,197
NEW JERSEY RES 10,204,039 -398,727 $333,162
     NJR10,204,039-398,727$333,162
YETI HLDGS INC 7,789,599 +2,658,665 $332,849
     YETI7,789,599+2,658,665$332,849
AXIS CAPITAL HOLDINGS LTD 8,203,829 -405,180 $332,748
     AXS8,203,829-405,180$332,748
KIRKLAND LAKE GOLD LTD 8,062,350 +71,405 $332,491
     KL8,062,350+71,405$332,491
SEMTECH CORP 6,361,064 -147,983 $332,174
     SMTC6,361,064-147,983$332,174
OPEN TEXT CORP 7,807,044 -37,314 $331,642
     OTEX7,807,044-37,314$331,642
CLOUDFLARE INC 9,213,102 +5,795,087 $331,210
     NET9,213,102+5,795,087$331,210
WEINGARTEN RLTY INVS 17,462,357 -598,356 $330,563
     WRI17,462,357-598,356$330,563
LARGE CAP ETF (VV) 2,311,407 -81,458 $330,531
     VV2,311,407-81,458$330,531
NEXSTAR MEDIA GROUP INC 3,944,500 -84,009 $330,114
     NXST3,944,500-84,009$330,114
PERSPECTA INC 14,202,426 -402,674 $329,923
     PRSP14,202,426-402,674$329,923
STRATEGIC ED INC 2,139,583 -112,156 $328,747
     STRA2,139,583-112,156$328,747
BLACKSTONE MTG TR INC 13,613,581 +437,094 $327,951
     BXMT13,613,581+437,094$327,951
TAUBMAN CTRS INC 8,683,847 -326,938 $327,902
     TCO8,683,847-326,938$327,902
BOX INC 15,780,227 -216,969 $327,597
     BOX15,780,227-216,969$327,597
BILL COM HLDGS INC 3,626,139 +2,848,966 $327,113
     BILL3,626,139+2,848,966$327,113
SPIRE INC 4,975,928 -568,037 $326,968
     SR4,975,928-568,037$326,968
TEXAS ROADHOUSE INC 6,210,132 -81,526 $326,467
     TXRH6,210,132-81,526$326,467
LANCASTER COLONY CORP 2,104,833 -88,643 $326,229
     LANC2,104,833-88,643$326,229
MERITAGE HOMES CORP 4,285,224 -159,773 $326,191
     MTH4,285,224-159,773$326,191
OMNICELL INC 4,594,856 +34,725 $324,489
     OMCL4,594,856+34,725$324,489
ARENA PHARMACEUTICALS INC 5,147,706 +432,071 $324,048
     ARNA5,147,706+432,071$324,048
TEMPUR SEALY INTL INC 4,485,086 -74,335 $322,701
     TPX4,485,086-74,335$322,701
GLACIER BANCORP INC NEW 9,136,779 -793,416 $322,438
     GBCI9,136,779-793,416$322,438
XEROX HOLDINGS CORP 21,026,606 -1,207,607 $321,498
     XRX21,026,606-1,207,607$321,498
CANNAE HLDGS INC 7,808,750 +895,105 $320,939
     CNNE7,808,750+895,105$320,939
CARTERS INC 3,965,984 -109,261 $320,054
     CRI3,965,984-109,261$320,054
NEWMARKET CORP 798,611 -56,337 $319,827
     NEU798,611-56,337$319,827
UFP INDUSTRIES INC 6,433,839 -129,911 $318,540
     UFPI6,433,839-129,911$318,540
SOUTH ST CORP 6,680,014 +3,527,568 $318,369
     SSB6,680,014+3,527,568$318,369
VIAVI SOLUTIONS INC 24,864,235 -591,303 $316,770
     VIAV24,864,235-591,303$316,770
LIVONGO HEALTH INC 4,210,399 +2,120,427 $316,579
     LVGO4,210,399+2,120,427$316,579
QIAGEN NV 7,389,458 -113,766 $316,343
     QGEN7,389,458-113,766$316,343
ASGN INC 4,738,462 -77,640 $315,961
     ASGN4,738,462-77,640$315,961
FIRST HORIZON NATL CORP 31,533,350 -674,834 $314,072
     FHN31,533,350-674,834$314,072
INTEGRA LIFESCIENCES HLDGS C 6,682,658 -150,929 $314,018
     IART6,682,658-150,929$314,018
WD 40 CO 1,579,730 +68,144 $313,260
     WDFC1,579,730+68,144$313,260
AVNET INC 11,216,397 -165,527 $312,769
     AVT11,216,397-165,527$312,769
ELDORADO RESORTS INC 7,789,597 +1,806,640 $312,052
     ERI7,789,597+1,806,640$312,052
WESTERN ALLIANCE BANCORP 8,238,241 -284,298 $311,983
     WAL8,238,241-284,298$311,983
AGCO CORP 5,599,942 -227,678 $310,573
     AGCO5,599,942-227,678$310,573
MATTEL INC 32,115,742 -741,940 $310,559
     MAT32,115,742-741,940$310,559
AFFILIATED MANAGERS GROUP IN 4,164,915 -295,788 $310,536
     AMG4,164,915-295,788$310,536
AARONS INC 6,834,705 -437,064 $310,295
     AAN6,834,705-437,064$310,295
PIEDMONT OFFICE REALTY TR IN 18,602,715 -468,542 $308,991
     PDM18,602,715-468,542$308,991
HMS HLDGS CORP 9,508,014 -59,536 $307,965
     HMSY9,508,014-59,536$307,965
REXNORD CORP 10,559,343 +563,528 $307,805
     RXN10,559,343+563,528$307,805
KBR INC 13,640,691 -241,637 $307,597
     KBR13,640,691-241,637$307,597
AGIOS PHARMACEUTICALS INC 5,744,910 +59,106 $307,237
     AGIO5,744,910+59,106$307,237
HOWARD HUGHES CORP 5,900,769 -72,862 $306,544
     HHC5,900,769-72,862$306,544
VIPSHOP HOLDINGS LIMITED 15,365,442 -797,454 $305,926
     VIPS15,365,442-797,454$305,926
FIBROGEN INC 7,548,004 +419,060 $305,921
     FGEN7,548,004+419,060$305,921
POPULAR INC 8,223,183 -1,383,633 $305,656
     BPOP8,223,183-1,383,633$305,656
EL PASO ELEC CO 4,552,390 -200,711 $305,010
     EE4,552,390-200,711$305,010
LCI INDS 2,646,807 -10,272 $304,330
     LCII2,646,807-10,272$304,330
PROTO LABS INC 2,703,903 -39,901 $304,108
     PRLB2,703,903-39,901$304,108
ENVISTA HOLDINGS CORPORATION 14,388,256 +4,055,356 $303,449
     NVST14,388,256+4,055,356$303,449
SAIA INC 2,727,175 -6,606 $303,207
     SAIA2,727,175-6,606$303,207
ALARM COM HLDGS INC 4,665,265 +674,339 $302,356
     ALRM4,665,265+674,339$302,356
BRANDYWINE RLTY TR 27,758,501 +458,412 $302,289
     BDN27,758,501+458,412$302,289
JEFFERIES FINL GROUP INC 19,433,710 -3,599,358 $302,194
     JEF19,433,710-3,599,358$302,194
KENNEDY WILSON HOLDINGS INC 19,843,619 +929,332 $302,020
     KW19,843,619+929,332$302,020
LOGITECH INTL S A 4,625,282 +74,459 $301,661
     LOGI4,625,282+74,459$301,661
COHERENT INC 2,298,718 -15,931 $301,086
     COHR2,298,718-15,931$301,086
PARSLEY ENERGY INC 28,144,088 -233,347 $300,579
     PE28,144,088-233,347$300,579
JANUS HENDERSON GROUP PLC 14,144,153 -1,367,624 $299,290
     JHG14,144,153-1,367,624$299,290
ALKERMES PLC 15,418,310 +166,782 $299,193
     ALKS15,418,310+166,782$299,193
IRIDIUM COMMUNICATIONS INC 11,723,054 +121,511 $298,233
     IRDM11,723,054+121,511$298,233
STIFEL FINL CORP 6,285,008 -152,726 $298,097
     SF6,285,008-152,726$298,097
MGIC INVT CORP WIS 36,271,336 -535,280 $297,063
     MTG36,271,336-535,280$297,063
RBC BEARINGS INC 2,215,074 -17,031 $296,909
     ROLL2,215,074-17,031$296,909
LOUISIANA PAC CORP 11,472,419 -622,634 $294,267
     LPX11,472,419-622,634$294,267
ACI WORLDWIDE INC 10,893,759 -60,289 $294,022
     ACIW10,893,759-60,289$294,022
IRHYTHM TECHNOLOGIES INC 2,536,731 +44,791 $293,982
     IRTC2,536,731+44,791$293,982
INTERACTIVE BROKERS GROUP IN 7,027,313 +1,102,809 $293,530
     IBKR7,027,313+1,102,809$293,530
GRACE W R & CO DEL NEW 5,776,780 -297,826 $293,518
     GRA5,776,780-297,826$293,518
NVENT ELECTRIC PLC 15,660,322 +810,848 $293,319
     NVT15,660,322+810,848$293,319
VERINT SYS INC 6,485,296 -478,049 $293,005
     VRNT6,485,296-478,049$293,005
EQT CORP 24,613,953 -263,463 $292,905
     EQT24,613,953-263,463$292,905
SPROUTS FMRS MKT INC 11,427,258 -58,451 $292,423
     SFM11,427,258-58,451$292,423
SELECTIVE INS GROUP INC 5,544,158 -170,374 $292,399
     SIGI5,544,158-170,374$292,399
ALLETE INC 5,352,234 -170,899 $292,285
     ALE5,352,234-170,899$292,285
VALLEY NATL BANCORP 37,310,640 -1,090,558 $291,769
     VLY37,310,640-1,090,558$291,769
NORTHWESTERN CORP 5,343,057 -167,630 $291,304
     NWE5,343,057-167,630$291,304
ENERGIZER HLDGS INC NEW 6,120,715 +11,170 $290,673
     ENR6,120,715+11,170$290,673
APPLE HOSPITALITY REIT INC 30,020,515 -1,508,322 $289,998
     APLE30,020,515-1,508,322$289,998
TIMKEN CO 6,345,199 -238,004 $288,644
     TKR6,345,199-238,004$288,644
UNITI GROUP INC 30,870,000 +824,207 $288,634
     UNIT30,870,000+824,207$288,634
PTC THERAPEUTICS INC 5,672,336 +93,165 $287,815
     PTCT5,672,336+93,165$287,815
MSC INDL DIRECT INC 3,941,388 -870,941 $286,972
     MSM3,941,388-870,941$286,972
INTEGER HLDGS CORP 3,926,247 -64,771 $286,812
     ITGR3,926,247-64,771$286,812
WASHINGTON REAL ESTATE INVT 12,873,109 -7,377 $285,783
     WRE12,873,109-7,377$285,783
JOHN BEAN TECHNOLOGIES CORP 3,317,821 -24,116 $285,400
     JBT3,317,821-24,116$285,400
QUAKER CHEM CORP 1,535,213 -60,525 $285,012
     KWR1,535,213-60,525$285,012
OUTFRONT MEDIA INC 20,048,218 -608,237 $284,083
     OUT20,048,218-608,237$284,083
ZILLOW GROUP INC 4,913,604 -281,357 $282,434
     ZG4,913,604-281,357$282,434
MASTEC INC 6,283,227 -1,011,189 $281,929
     MTZ6,283,227-1,011,189$281,929
J2 GLOBAL INC 4,459,650 -98,241 $281,894
     JCOM4,459,650-98,241$281,894
NUVASIVE INC 5,058,076 -202,720 $281,532
     NUVA5,058,076-202,720$281,532
AVISTA CORP 7,728,580 -73,796 $281,243
     AVA7,728,580-73,796$281,243
UNIFIRST CORP MASS 1,570,682 -47,520 $281,073
     UNF1,570,682-47,520$281,073
LAZARD LTD 9,812,696 -881,995 $280,937
     LAZ9,812,696-881,995$280,937
PINNACLE FINL PARTNERS INC 6,668,598 -101,492 $280,013
     PNFP6,668,598-101,492$280,013
ADVANCED ENERGY INDS 4,129,696 -29,607 $279,952
     AEIS4,129,696-29,607$279,952
ELEMENT SOLUTIONS INC 25,786,564 -273,198 $279,784
     ESI25,786,564-273,198$279,784
AIR LEASE CORP 9,552,059 -82,933 $279,780
     AL9,552,059-82,933$279,780
KIRBY CORP 5,203,839 -130,024 $278,717
     KEX5,203,839-130,024$278,717
FOOT LOCKER INC 9,546,800 -513,840 $278,385
     FL9,546,800-513,840$278,385
NEW RESIDENTIAL INVT CORP 37,462,585 -489,142 $278,348
     NRZ37,462,585-489,142$278,348
EAGLE MATERIALS INC 3,951,870 -21,544 $277,500
     EXP3,951,870-21,544$277,500
BLACKBAUD INC 4,852,369 +21,050 $276,974
     BLKB4,852,369+21,050$276,974
ABM INDS INC 7,625,953 -354,014 $276,823
     ABM7,625,953-354,014$276,823
CLEAN HARBORS INC 4,612,636 -96,622 $276,666
     CLH4,612,636-96,622$276,666
SYNOVUS FINL CORP 13,463,382 -332,197 $276,403
     SNV13,463,382-332,197$276,403
RADIAN GROUP INC 17,794,216 -1,461,890 $275,988
     RDN17,794,216-1,461,890$275,988
CRANE CO 4,636,333 -110,065 $275,677
     CR4,636,333-110,065$275,677
CIMAREX ENERGY CO 10,016,672 +173,844 $275,358
     XEC10,016,672+173,844$275,358
LIBERTY MEDIA CORP DEL 7,933,172 -676,326 $273,852
     LSXMA7,933,172-676,326$273,852
ADAPTIVE BIOTECHNOLOGIES COR 5,641,434 +1,169,653 $272,933
     ADPT5,641,434+1,169,653$272,933
BANK OZK 11,605,063 +138,730 $272,370
     OZK11,605,063+138,730$272,370
ITRON INC 4,110,648 +86,433 $272,332
     ITRI4,110,648+86,433$272,332
CALIFORNIA WTR SVC GROUP 5,704,197 -86,267 $272,091
     CWT5,704,197-86,267$272,091
MARRIOTT VACTINS WORLDWID CO 3,303,081 -99,016 $271,547
     VAC3,303,081-99,016$271,547
LIVEPERSON INC 6,544,617 -9,685 $271,144
     LPSN6,544,617-9,685$271,144
TRINET GROUP INC 4,426,258 -141,019 $269,735
     TNET4,426,258-141,019$269,735
MORNINGSTAR INC 1,911,823 -26,072 $269,509
     MORN1,911,823-26,072$269,509
APPLIED INDL TECHNOLOGIES IN 4,308,711 +172,907 $268,820
     AIT4,308,711+172,907$268,820
KINROSS GOLD CORP 36,952,017 -943,138 $266,794
     KGC36,952,017-943,138$266,794
AUTONATION INC 7,096,368 -312,633 $266,681
     AN7,096,368-312,633$266,681
SYNAPTICS INC 4,397,763 +101,754 $264,394
     SYNA4,397,763+101,754$264,394
JETBLUE AWYS CORP 24,213,621 -5,870,323 $263,928
     JBLU24,213,621-5,870,323$263,928
SILGAN HOLDINGS INC 8,136,614 -463,440 $263,544
     SLGN8,136,614-463,440$263,544
CLOUDERA INC 20,700,028 +2,141,511 $263,305
     CLDR20,700,028+2,141,511$263,305
ORMAT TECHNOLOGIES INC 4,141,636 +79,447 $262,952
     ORA4,141,636+79,447$262,952
GROCERY OUTLET HLDG CORP 6,429,555 +2,004,975 $262,325
     GO6,429,555+2,004,975$262,325
NATIONAL STORAGE AFFILIATES 9,144,962 +779,794 $262,095
     NSA9,144,962+779,794$262,095
SOUTH JERSEY INDS INC 10,476,689 -199,832 $261,812
     SJI10,476,689-199,832$261,812
CVB FINL CORP 13,948,795 -662,550 $261,401
     CVBF13,948,795-662,550$261,401
MERIT MED SYS INC 5,721,891 -38,417 $261,203
     MMSI5,721,891-38,417$261,203
WHITE MTNS INS GROUP LTD 293,864 -26,999 $260,942
     WTM293,864-26,999$260,942
LIVERAMP HLDGS INC 6,141,503 -231,266 $260,831
     RAMP6,141,503-231,266$260,831
CLEARWAY ENERGY INC      $260,117
     CWEN7,906,147-197,451$182,317
     CWEN.A3,710,083-15,194$77,800
TERADATA CORP DEL 12,486,620 -787,284 $259,721
     TDC12,486,620-787,284$259,721
AMERICAN EQTY INVT LIFE HLD 10,499,739 -356,916 $259,449
     AEL10,499,739-356,916$259,449
PEBBLEBROOK HOTEL TR 18,967,589 -501,839 $259,097
     PEB18,967,589-501,839$259,097
INSMED INC 9,396,749 +959,588 $258,786
     INSM9,396,749+959,588$258,786
TELUS CORPORATION 15,425,258 +1,771,956 $258,682
     TU15,425,258+1,771,956$258,682
ESG INTERNATIONAL STK ETF (VSGX) 5,376,757 +588,535 $258,622
     VSGX5,376,757+588,535$258,622
INOVIO PHARMACEUTICALS INC 9,585,288 +3,991,177 $258,323
     INO9,585,288+3,991,177$258,323
FULLER H B CO 5,772,223 -231,235 $257,442
     FUL5,772,223-231,235$257,442
CARETRUST REIT INC 14,966,307 -281,855 $256,821
     CTRE14,966,307-281,855$256,821
FABRINET 4,103,886 +720,417 $256,164
     FN4,103,886+720,417$256,164
TAX EXEMPT BOND ETF (VRNS) 2,894,506 +86,497 $256,106
     VRNS2,894,506+86,497$256,106
FIRSTCASH INC 3,794,939 -142,660 $256,082
     FCFS3,794,939-142,660$256,082
RYMAN HOSPITALITY PPTYS INC 7,382,537 +57,863 $255,436
     RHP7,382,537+57,863$255,436
SUNSTONE HOTEL INVS INC NEW 31,267,463 -1,920,162 $254,829
     SHO31,267,463-1,920,162$254,829
COLFAX CORP 9,119,207 +914,221 $254,426
     CFX9,119,207+914,221$254,426
PAPA JOHNS INTL INC 3,203,346 +862,838 $254,378
     PZZA3,203,346+862,838$254,378
WEBSTER FINL CORP CONN 8,880,737 -126,920 $254,078
     WBS8,880,737-126,920$254,078
COLUMBIA SPORTSWEAR CO 3,152,818 -255,059 $254,054
     COLM3,152,818-255,059$254,054
BRIGHTHOUSE FINL INC 9,130,635 -1,398,166 $254,015
     BHF9,130,635-1,398,166$254,015
BRADY CORP 5,417,814 -182,738 $253,661
     BRC5,417,814-182,738$253,661
CROCS INC 6,881,201 -117,118 $253,366
     CROX6,881,201-117,118$253,366
AVANGRID INC 6,031,540 -202,749 $253,205
     AGR6,031,540-202,749$253,205
TREEHOUSE FOODS INC 5,774,919 +113,038 $252,940
     THS5,774,919+113,038$252,940
HOULIHAN LOKEY INC 4,545,038 +585,827 $252,886
     HLI4,545,038+585,827$252,886
ENERSYS 3,913,682 -122,173 $251,963
     ENS3,913,682-122,173$251,963
ALLOGENE THERAPEUTICS INC 5,881,314 +1,781,863 $251,839
     ALLO5,881,314+1,781,863$251,839
CHOICE HOTELS INTL INC 3,191,155 -82,490 $251,782
     CHH3,191,155-82,490$251,782
COMMERCIAL METALS CO 12,336,688 -234,486 $251,669
     CMC12,336,688-234,486$251,669
SLM CORP 35,779,251 -4,671,632 $251,528
     SLM35,779,251-4,671,632$251,528
KB HOME 8,189,162 -273,452 $251,243
     KBH8,189,162-273,452$251,243
SHENANDOAH TELECOMMUNICATION 5,071,544 +513 $249,977
     SHEN5,071,544+513$249,977
ACACIA COMMUNICATIONS INC 3,719,267 +50,128 $249,897
     ACIA3,719,267+50,128$249,897
UNIVAR SOLUTIONS INC 14,809,764 +4,681 $249,693
     UNVR14,809,764+4,681$249,693
BUILDERS FIRSTSOURCE INC 12,037,399 -1,009,903 $249,175
     BLDR12,037,399-1,009,903$249,175
VONAGE HLDGS CORP 24,762,434 -187,664 $249,111
     VG24,762,434-187,664$249,111
GREEN DOT CORP 5,055,580 +5,179 $248,128
     GDOT5,055,580+5,179$248,128
ROGERS CORP 1,991,131 -35,749 $248,094
     ROG1,991,131-35,749$248,094
CRACKER BARREL OLD CTRY STOR 2,230,764 -374,985 $247,414
     CBRL2,230,764-374,985$247,414
HAIN CELESTIAL GROUP INC 7,841,189 +78,759 $247,075
     HAIN7,841,189+78,759$247,075
OLD NATL BANCORP IND 17,948,983 -764,344 $246,978
     ONB17,948,983-764,344$246,978
ENSIGN GROUP INC 5,897,594 -123,600 $246,814
     ENSG5,897,594-123,600$246,814
MADISON SQUARE GRDN SPRT COR 1,679,219 +1,679,219 $246,660
     MSG1,679,219+1,679,219$246,660
TEGNA INC 22,047,254 -1,577,541 $245,607
     TGNA22,047,254-1,577,541$245,607
F N B CORP 32,714,766 -1,125,260 $245,361
     FNB32,714,766-1,125,260$245,361
SVMK INC 10,405,635 +601,950 $244,949
     SVMK10,405,635+601,950$244,949
FORMFACTOR INC 8,347,061 +181,245 $244,819
     FORM8,347,061+181,245$244,819
SHORT TERM CORP BOND ETF (VCSH) 2,960,016 +1,444,120 $244,674
     VCSH2,960,016+1,444,120$244,674
FRESHPET INC 2,913,207 +775,811 $243,719
     FRPT2,913,207+775,811$243,719
FIREEYE INC 20,006,077 +315,794 $243,575
     FEYE20,006,077+315,794$243,575
POLYONE CORP 9,285,749 +203,542 $243,566
     POL9,285,749+203,542$243,566
PACWEST BANCORP DEL 12,319,714 -565,194 $242,822
     PACW12,319,714-565,194$242,822
BANK HAWAII CORP 3,951,553 -130,884 $242,664
     BOH3,951,553-130,884$242,664
WERNER ENTERPRISES INC 5,565,668 +1,301,513 $242,273
     WERN5,565,668+1,301,513$242,273
CHEMOURS CO 15,775,032 +277,042 $242,147
     CC15,775,032+277,042$242,147
WPX ENERGY INC 37,934,004 -2,225,796 $242,019
     WPX37,934,004-2,225,796$242,019
SPS COMMERCE INC 3,211,857 +699,749 $241,275
     SPSC3,211,857+699,749$241,275
RETAIL PPTYS AMER INC 32,942,160 +1,177,959 $241,137
     RPAI32,942,160+1,177,959$241,137
IROBOT CORP 2,871,474 -149,959 $240,916
     IRBT2,871,474-149,959$240,916
SHAW COMMUNICATIONS INC 14,687,227 -248,785 $240,283
     SJR14,687,227-248,785$240,283
BILIBILI INC 5,169,129 +3,294,246 $239,433
     BILI5,169,129+3,294,246$239,433
DIODES INC 4,709,014 +11,835 $238,747
     DIOD4,709,014+11,835$238,747
AMERCO 785,622 -24,186 $237,407
     UHAL785,622-24,186$237,407
OVINTIV INC 24,858,427 +23,621,796 $237,398
     OVV24,858,427+23,621,796$237,398
GLOBAL NET LEASE INC 14,140,729 -206,272 $236,575
     GNL14,140,729-206,272$236,575
MGE ENERGY INC 3,666,634 -55,589 $236,535
     MGEE3,666,634-55,589$236,535
AAON INC 4,354,529 -29,506 $236,408
     AAON4,354,529-29,506$236,408
DICKS SPORTING GOODS INC 5,674,516 -40,624 $234,130
     DKS5,674,516-40,624$234,130
UMB FINL CORP 4,540,447 -332,685 $234,059
     UMBF4,540,447-332,685$234,059
LIBERTY BROADBAND CORP 1,914,782 -94,165 $233,966
     LBRDA1,914,782-94,165$233,966
UMPQUA HLDGS CORP 21,987,117 -906,175 $233,944
     UMPQ21,987,117-906,175$233,944
CORNERSTONE ONDEMAND INC 6,057,748 +232,901 $233,586
     CSOD6,057,748+232,901$233,586
FRANKLIN ELEC INC 4,444,568 -147,128 $233,428
     FELE4,444,568-147,128$233,428
CLEVELAND CLIFFS INC 42,211,833 -858,756 $233,009
     CLF42,211,833-858,756$233,009
BOTTOMLINE TECH DEL INC 4,588,143 -14,678 $232,939
     EPAY4,588,143-14,678$232,939
CAPRI HOLDINGS LIMITED 14,900,196 -1,293,339 $232,890
     CPRI14,900,196-1,293,339$232,890
WINTRUST FINL CORP 5,325,516 -63,855 $232,299
     WTFC5,325,516-63,855$232,299
LTC PPTYS INC 6,151,605 -234,519 $231,731
     LTC6,151,605-234,519$231,731
GATX CORP 3,792,510 -111,730 $231,267
     GATX3,792,510-111,730$231,267
SENSIENT TECHNOLOGIES CORP 4,430,518 -62,235 $231,096
     SXT4,430,518-62,235$231,096
CHANGE HEALTHCARE INC 20,618,877 -818,543 $230,931
     CHNGV20,618,877-818,543$230,931
TAYLOR MORRISON HOME CORP 11,970,560 -2,486,332 $230,911
     TMHC11,970,560-2,486,332$230,911
CNO FINL GROUP INC 14,811,606 -434,540 $230,616
     CNO14,811,606-434,540$230,616
INDEPENDENT BANK CORP MASS 3,436,513 -230,134 $230,557
     INDB3,436,513-230,134$230,557
GDS HLDGS LTD 2,892,845 +825,460 $230,444
     GDS2,892,845+825,460$230,444
MANTECH INTL CORP 3,353,317 -45,911 $229,669
     MANT3,353,317-45,911$229,669
PACIRA BIOSCIENCES 4,375,979 +9,160 $229,609
     PCRX4,375,979+9,160$229,609
WATTS WATER TECHNOLOGIES INC 2,833,549 -90,153 $229,518
     WTS2,833,549-90,153$229,518
EXLSERVICE HOLDINGS INC 3,616,452 +2,381 $229,283
     EXLS3,616,452+2,381$229,283
ESCO TECHNOLOGIES INC 2,706,985 +39,556 $228,821
     ESE2,706,985+39,556$228,821
AMN HEALTHCARE SVCS INC 5,024,947 -1,287 $227,329
     AMN5,024,947-1,287$227,329
CHEWY INC 5,083,587 +1,085,663 $227,185
     CHWY5,083,587+1,085,663$227,185
GEO GROUP INC NEW 19,195,729 -780,339 $227,085
     GEO19,195,729-780,339$227,085
KENNAMETAL INC 7,907,688 -260,483 $227,030
     KMT7,907,688-260,483$227,030
WYNDHAM DESTINATIONS INC 8,051,488 -864,695 $226,890
     WYND8,051,488-864,695$226,890
IBERIABANK CORP 4,959,389 -100,428 $225,851
     IBKC4,959,389-100,428$225,851
SANDERSON FARMS INC 1,948,209 -33,477 $225,779
     SAFM1,948,209-33,477$225,779
SPIRIT AEROSYSTEMS HLDGS INC 9,416,180 -1,300,109 $225,423
     SPR9,416,180-1,300,109$225,423
MACYS INC 32,739,372 -2,643,066 $225,247
     M32,739,372-2,643,066$225,247
NATIONAL VISION HLDGS INC 7,372,516 +35,852 $225,009
     EYE7,372,516+35,852$225,009
MURPHY OIL CORP 16,241,210 -899,405 $224,129
     MUR16,241,210-899,405$224,129
RAPID7 INC 4,384,279 +118,577 $223,686
     RPD4,384,279+118,577$223,686
ADVANCED DRAIN SYS INC DEL 4,527,619 +269,088 $223,665
     WMS4,527,619+269,088$223,665
PREMIER INC 6,520,552 +213,197 $223,524
     PINC6,520,552+213,197$223,524
APPFOLIO INC 1,373,181 -150,893 $223,430
     APPF1,373,181-150,893$223,430
RLJ LODGING TR 23,656,168 -1,502,496 $223,314
     RLJ23,656,168-1,502,496$223,314
HOME BANCSHARES INC (HOMB) 14,496,171 -40,140 $222,951
     HOMB14,496,171-40,140$222,951
RENT A CTR INC NEW 8,013,595 -256,714 $222,938
     RCII8,013,595-256,714$222,938
FEDERATED HERMES INC 9,370,199 +9,370,199 $222,073
     FHI9,370,199+9,370,199$222,073
J & J SNACK FOODS CORP 1,742,957 -91,033 $221,582
     JJSF1,742,957-91,033$221,582
INSPERITY INC 3,419,759 -181,361 $221,362
     NSP3,419,759-181,361$221,362
COLUMBIA BKG SYS INC 7,792,360 -302,528 $220,874
     COLB7,792,360-302,528$220,874
NIO INC 28,585,399 +1,093,756 $220,680
     NIO28,585,399+1,093,756$220,680
AMERICAN ASSETS TR INC 7,926,096 +72,683 $220,664
     AAT7,926,096+72,683$220,664