The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
ALIBABA GROUP HOLDING LTD. SPON ADRCOM01609W1023,19521,581SH SOLE 21,58100
AMBEV SA SPON ADRCOM02319V10320,9367,585,597SH SOLE 4,300,59703,285,000
AMDOCS LIMITEDCOMG02602103400,9765,296,210SH DFND14,556,4780739,732
AMERICAN EQUITY INVESTMENT LIFE HOLDING COMPANYCOM02567620661,2382,070,959SH SOLE 1,580,9680489,991
AMERICAN INTERNATIONAL GROUP INC.COM026874784923,74816,829,070SH DFND1,214,614,27402,214,796
AMERISOURCEBERGEN CORPORATIONCOM03073E1056235,212SH SOLE 5,21200
AMGEN INC.COM031162100113,400533,272SH SOLE 424,6380108,634
ANTHEM INC.COM03675210371,555191,940SH SOLE 191,94000
ARGO GROUP INTERNATIONAL HOLDINGS LTD.COMG0464B10747,976918,723SH SOLE 713,7360204,987
ARROW ELECTRONICS INC.COM04273510026,268233,933SH SOLE 233,93300
ASSOCIATED BANC-CORPCOM04548710574,4833,477,267SH SOLE 2,702,6470774,620
AUTOZONE INC.COM053332102535315SH SOLE 31500
AVNET INC.COM053807103452,01212,226,449SH DFND29,459,67502,766,774
AXIS CAPITAL HOLDINGS LIMITEDCOMG0692U109327,0037,102,578SH DFND1,26,417,3550685,223
BAIDU INC. SPON ADR CLASS ACOM05675210811,03771,785SH OTR 0071,785
BAIDU INC. SPON ADR CLASS ACOM056752108108,554706,040SH SOLE 478,2200227,820
BAKER HUGHES COMPANY CLASS ACOM05722G100598,65224,207,511SH DFND1,220,803,96203,403,549
BANK OF AMERICA CORPCOM060505104410,9669,681,180SH DFND18,573,61901,107,561
BELDEN INC.COM077454106114,1871,959,959SH SOLE 1,553,8500406,109
BOOKING HOLDINGS INC.COM09857L108117,83949,640SH DFND146,35003,290
BRISTOL-MYERS SQUIBB COMPANYCOM11012210869,6991,177,943SH SOLE 1,177,94300
C.H. ROBINSON WORLDWIDE INC.COM12541W2094575,258SH SOLE 5,25800
CACI INTERNATIONAL INC CLASS ACOM127190304248947SH SOLE 94700
CAPITAL ONE FINANCIAL CORPORATIONCOM14040H105616,9643,809,125SH DFND13,310,3520498,773
CARDINAL HEALTH INC.COM14149Y108146,2252,956,436SH DFND1,22,891,747064,689
CBRE GROUP INC. CLASS ACOM12504L10914,275146,621SH SOLE 146,62100
CELESTICA INC.COM15101Q10877,2958,704,408SH SOLE 6,684,91802,019,490
CENOVUS ENERGY INC.COM15135U109127,71212,695,023SH DFND1,212,324,7550370,268
CEZ AS UNSPON ADRCOM1572143052,837174,145SH SOLE 174,14500
CHECK POINT SOFTWARE TECHNOLOGIES LTD.COMM224651045695,030SH SOLE 5,03000
CHINA CONSTRUCTION BANK CORPORATION UNSPON ADRCOM1689191081,757123,360SH SOLE 123,36000
CIGNA CORPORATIONCOM12552310087,969439,491SH SOLE 391,428048,063
CISCO SYSTEMS INC.COM17275R10231,331575,623SH SOLE 575,62300
CITIGROUP INC.COM172967424733,85010,456,683SH DFND18,936,84101,519,842
CNO FINANCIAL GROUP INC.COM12621E103159,8106,788,861SH DFND25,947,9690840,892
COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION CLASS ACOM1924461021,047,17114,110,915SH DFND1,211,411,39202,699,523
COMPANHIA ENERGETICA DE MINAS GERAIS SA SPON ADRCOM2044096014,1311,639,365SH SOLE 1,639,36500
DANA INCORPORATEDCOM23582520568,4693,078,643SH SOLE 2,368,4610710,182
DIAMONDROCK HOSPITALITY COMPANYCOM25278430149,0715,192,684SH SOLE 4,270,4910922,193
DOLLAR TREE INC.COM2567461083043,176SH SOLE 3,17600
DONGFENG MOTOR GROUP CO. LTD. UNSPON ADR CLASS HCOM2577382031,12225,144SH SOLE 25,14400
DOVER CORPORATIONCOM2600031082161,388SH SOLE 1,38800
DOW INC.COM260557103357,5926,212,506SH DFND1,25,897,1770315,329
EDISON INTERNATIONALCOM281020107814,67414,686,755SH DFND1,212,614,58702,072,168
ENERPAC TOOL GROUP CORP CLASS ACOM29276510481,1133,912,847SH SOLE 3,399,4210513,426
ENTERGY CORPORATIONCOM29364G10318,926190,579SH SOLE 190,57900
EQUITABLE HOLDINGS INC.COM29452E101655,96822,131,172SH DFND1,219,458,61602,672,556
EXXON MOBIL CORPORATIONCOM30231G102336,8165,726,218SH DFND15,120,4230605,795
FACEBOOK INC. CLASS ACOM30303M1024521,333SH SOLE 1,33300
FIFTH THIRD BANCORPCOM31677310064,5071,519,955SH DFND21,519,95500
FIRST MIDWEST BANCORP INC.COM32086710468,8983,624,298SH SOLE 2,791,2720833,026
FLEX LTD.COMY2573F10212,198689,939SH OTR 00689,939
FLEX LTD.COMY2573F102124,3597,033,889SH SOLE 4,628,32502,405,564
FORD MOTOR COMPANYCOM345370860342,68924,201,219SH DFND1,223,106,19101,095,028
FRESENIUS MEDICAL CARE AG & CO. KGAA SPON ADRCOM358029106224,0806,407,774SH DFND1,26,230,1010177,673
GALAXY ENTERTAINMENT GROUP LIMITED UNSPON ADRCOM36318L2032,516101,459SH SOLE 101,45900
GAP INC.COM36476010830,8191,357,646SH DFND21,110,8140246,832
GENERAL DYNAMICS CORPORATIONCOM36955010867,585344,771SH SOLE 344,77100
GENERAL ELECTRIC COMPANYCOM3696043011,048,91210,180,643SH DFND18,603,98901,576,654
GENPACT LIMITEDCOMG3922B10724,038505,955SH SOLE 505,95500
GILDAN ACTIVEWEAR INC.COM375916103389,95610,680,800SH DFND1,210,435,7450245,055
GILEAD SCIENCES INC.COM3755581035678,124SH SOLE 8,12400
GLOBE LIFE INC.COM37959E10221,524241,764SH SOLE 241,76400
GOLDMAN SACHS GROUP INC.COM38141G104240,964637,421SH DFND1598,893038,528
HALLIBURTON COMPANYCOM406216101843,46739,013,261SH DFND1,233,277,28605,735,975
HEWLETT PACKARD ENTERPRISE CO.COM42824C109618,11443,376,456SH DFND1,236,792,07506,584,381
HON HAI PRECISION INDUSTRY CO. LTD. SPON GDR 144ACOM4380908884,176554,073SH SOLE 554,07300
HON HAI PRECISION INDUSTRY CO. LTD. SPON GDR REGSCOM43809080517623,319SH SOLE 23,31900
HONDA MOTOR CO. LTD. SPON ADRCOM43812830832210,511SH SOLE 10,51100
HOOKER FURNISHINGS CORPORATIONCOM43903810035,1181,301,132SH SOLE 996,1830304,949
HOPE BANCORP INC.COM43940T10950,9963,531,570SH SOLE 2,739,5640792,006
HP INC.COM40434L1051706,225SH SOLE 6,22500
HUMANA INC.COM4448591025611,441SH SOLE 1,44100
HUNTINGTON BANCSHARES INCORPORATEDCOM44615010452,3453,385,803SH SOLE 2,566,7110819,092
HYUNDAI MOTOR COMPANY SPON GDR 144ACOM4491877072,26726,847SH SOLE 26,84700
ICICI BANK LIMITED SPON ADRCOM45104G10412,069639,602SH OTR 00639,602
ICICI BANK LIMITED SPON ADRCOM45104G10425,6411,358,850SH SOLE 1,311,316047,534
INGREDION INCORPORATEDCOM4571871022552,864SH SOLE 2,86400
INTEL CORPORATIONCOM4581401004829,043SH SOLE 9,04300
INTERPUBLIC GROUP OF COMPANIES INC.COM46069010036,643999,274SH SOLE 599,5520399,722
INVESCO LTD.COMG491BT10864,8632,690,315SH DFND22,690,31500
ITAU UNIBANCO HOLDING S.A. SPON ADR PFDCOM4655621061,183224,429SH SOLE 224,42900
ITURAN LOCATION AND CONTROL LTD.COMM6158M10463525,006SH SOLE 25,00600
J2 GLOBAL INC.COM48123V1024573,342SH SOLE 3,34200
JAZZ PHARMACEUTICALS PLCCOMG508711052031,562SH SOLE 1,56200
JELD-WEN HOLDING INC.COM47580P103185,2537,401,245SH DFND26,256,05201,145,193
JOHNSON & JOHNSONCOM478160104143,076885,917SH SOLE 885,91700
JPMORGAN CHASE & CO.COM46625H100280,9311,716,239SH DFND11,614,3450101,894
JUNIPER NETWORKS INC.COM48203R10453,7391,952,720SH SOLE 1,952,72000
KB FINANCIAL GROUP INC. SPON ADRCOM48241A1051,55633,522SH SOLE 33,52200
KBR INC.COM48242W10613,434340,972SH SOLE 340,97200
KEYCORPCOM49326710864,1572,967,479SH DFND22,967,47900
LEAR CORPORATIONCOM521865204811,6385,186,846SH DFND1,24,559,4650627,381
LENOVO GROUP LIMITED SPON ADRCOM5262501052,992107,424SH SOLE 107,42400
MASTEC INC.COM57632310956,683656,960SH DFND2578,687078,273
MAXIMUS INC.COM5779331044215,066SH SOLE 5,06600
MCKESSON CORPORATIONCOM58155Q103593,9562,979,015SH DFND1,22,519,0010460,014
MERCK & CO. INC.COM58933Y1055727,619SH SOLE 7,61900
METLIFE INC.COM59156R108328,2075,316,817SH DFND14,904,3230412,494
MOHAWK INDUSTRIES INC.COM608190104282,0791,590,075SH DFND1,21,541,445048,630
MOOG INC. CLASS ACOM61539420241,286541,594SH SOLE 420,6510120,943
MORGAN STANLEYCOM617446448170,7361,754,556SH SOLE 1,423,4210331,135
MOTORCAR PARTS OF AMERICA INC.COM62007110034,4571,767,003SH SOLE 1,367,2270399,776
MRC GLOBAL INC.COM55345K10320,9562,855,063SH SOLE 2,148,3310706,732
MSC INDUSTRIAL DIRECT CO. INC. CLASS ACOM55353010620,972261,531SH SOLE 261,53100
MURPHY OIL CORPORATIONCOM62671710268,0202,724,072SH SOLE 2,363,7810360,291
N-ABLE INC.COM62878D10036829,690SH SOLE 29,69000
NEWELL BRANDS INCCOM651229106579,25526,163,291SH DFND1,222,469,14503,694,146
NEXTIER OILFIELD SOLUTIONS INC.COM65290C10560,42313,135,360SH SOLE 9,956,42603,178,934
NOKIA OYJ SPON ADRCOM65490220436466,750SH SOLE 66,75000
NOV INCCOM62955J103534,87740,799,160SH DFND1,234,711,34006,087,820
NRG ENERGY INC.COM629377508673,03216,483,758SH DFND1,215,417,73901,066,019
OIL COMPANY LUKOIL PJSC SPON ADRCOM69343P1055,87262,033SH SOLE 62,03300
OLIN CORPORATIONCOM680665205163,7293,393,354SH DFND23,079,7730313,581
ORACLE CORPORATIONCOM68389X105256,7582,946,834SH SOLE 2,494,8970451,937
ORION ENGINEERED CARBONS SACOML7296710952,2912,868,426SH SOLE 2,219,6290648,797
OTP BANK NYRT SPON ADR 144ACOM67106E1011,71158,286SH SOLE 58,28600
PACIFIC BASIN SHIPPING LIMITED UNSPON ADRCOM69402P1034,126449,465SH SOLE 449,46500
PFIZER INC.COM717081103215,9925,021,894SH DFND14,579,0480442,846
PHIBRO ANIMAL HEALTH CORPORATION CLASS ACOM71742Q10629,1411,352,886SH SOLE 1,043,6150309,271
POSCO SPON ADRCOM69348310966,072957,976SH SOLE 957,97600
PVH CORP.COM693656100773,3437,523,521SH DFND1,26,330,45701,193,064
QORVO INC.COM74736K1012701,612SH SOLE 1,61200
REGENERON PHARMACEUTICALS INC.COM75886F107591977SH SOLE 97700
REGIONS FINANCIAL CORPORATIONCOM7591EP10080,2463,765,633SH DFND23,765,63300
REINSURANCE GROUP OF AMERICA INCORPORATEDCOM75935160451,698464,660SH DFND2433,119031,541
REUNERT LIMITED UNSPON ADRCOM76131U105793127,975SH SOLE 127,97500
REV GROUP INC.COM74952710762,2363,626,812SH SOLE 2,745,0310881,781
ROYAL DUTCH SHELL PLC SPON ADR CLASS ACOM780259206179,6564,030,880SH DFND13,939,841091,039
RYDER SYSTEM INC.COM783549108140,5811,699,681SH DFND21,374,0220325,659
SAMSUNG ELECTRONICS CO. LTD. SPON GDRCOM7960508884,2592,722SH SOLE 2,72200
SASOL LIMITED SPON ADRCOM8038663002,883153,043SH SOLE 153,04300
SCANSOURCE INC.COM80603710755,6571,599,803SH SOLE 1,214,2950385,508
SHINHAN FINANCIAL GROUP CO. LTD. SPON ADRCOM82459610023,049684,566SH SOLE 684,56600
SIAM COMMERCIAL BANK PUBLIC COMPANY LTD UNSPON ADRCOM8257151052,571180,465SH SOLE 180,46500
SKECHERS U.S.A. INC. CLASS ACOM830566105196,0164,653,758SH DFND1,24,282,7220371,036
SNAP-ON INCORPORATEDCOM83303410111,77956,373SH SOLE 56,37300
SPECTRUM BRANDS HOLDINGS INC.COM84790A10596,3911,007,541SH SOLE 869,5920137,949
SS&C TECHNOLOGIES HOLDINGS INC.COM78467J1004736,812SH SOLE 6,81200
STANDARD CHARTERED PLC UNSPON ADRCOM8532541002,525216,586SH SOLE 216,58600
STANLEY BLACK & DECKER INC.COM854502101177,5001,012,492SH SOLE 903,8600108,632
STEELCASE INC. CLASS ACOM85815520376,0856,000,369SH SOLE 4,734,87001,265,499
SUMITOMO MITSUI FINANCIAL GROUP INC. SPON ADRCOM86562M20912718,154SH SOLE 18,15400
SUPER MICRO COMPUTER INC.COM86800U10451,3661,404,606SH SOLE 1,079,6330324,973
TAIWAN SEMICONDUCTOR MANUFACTURING SPON ADRCOM87403910015,849141,954SH SOLE 141,95400
TAIWAN SEMICONDUCTOR MANUFACTURING SPON ADRCOM87403910022,231199,110SH OTR 00199,110
TECHNIP ENERGIES NV ADRCOM87854Y10947,6433,040,379SH SOLE 2,089,5750950,804
TECHNIPFMC PLCCOMG87110105157,71020,944,215SH DFND215,974,83304,969,382
TEREX CORPORATIONCOM880779103136,9033,251,860SH DFND22,726,4990525,361
TEXTRON INC.COM883203101355,7045,095,312SH DFND1,24,455,8010639,511
T-MOBILE US INC.COM8725901045534,331SH SOLE 4,33100
TRIMAS CORPORATIONCOM89621520955,6561,719,905SH SOLE 1,358,5080361,397
TRIP.COM GROUP LTD. SPON ADRCOM89677Q10717,209559,638SH OTR 00559,638
TRIP.COM GROUP LTD. SPON ADRCOM89677Q107199,4746,486,951SH SOLE 4,107,13102,379,820
TRIPLE-S MANAGEMENT CORPORATION CLASS BCOM89674910859,1241,671,580SH SOLE 1,269,2460402,334
TRUEBLUE INC.COM89785X10147,7841,764,551SH SOLE 1,357,3480407,203
UBS GROUP AGCOMH42097107105,5936,624,379SH DFND16,262,9750361,404
UMPQUA HOLDINGS CORPORATIONCOM90421410354,5452,693,596SH SOLE 2,057,9370635,659
UNITED THERAPEUTICS CORPORATIONCOM91307C1025162,796SH SOLE 2,79600
UNITEDHEALTH GROUP INCORPORATEDCOM91324P1026121,565SH SOLE 1,56500
UNIVERSAL CORPCOM91345610941,668862,152SH SOLE 696,2770165,875
UNIVEST FINANCIAL CORPORATIONCOM91527110046,8501,710,469SH SOLE 1,302,4830407,986
USANA HEALTH SCIENCES INC.COM90328M1078,82495,708SH SOLE 74,337021,371
VAREX IMAGING CORPORATIONCOM92214X10634,5641,225,670SH SOLE 940,7910284,879
VERIZON COMMUNICATIONS INC.COM92343V10412,770236,442SH SOLE 236,44200
VORNADO REALTY TRUSTCOM92904210913,491321,149SH SOLE 321,14900
VOYA FINANCIAL INC.COM929089100295,2914,810,089SH DFND1,24,539,2070270,882
VTECH HOLDINGS LIMITED UNSPON ADRCOM9289292071,027139,730SH SOLE 139,73000
WEBSTER FINANCIAL CORPORATIONCOM947890109123,6722,270,870SH SOLE 1,933,4820337,388
WELLS FARGO & COMPANYCOM949746101876,21818,879,940SH DFND116,497,36402,382,576
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORPORATIONCOM929740108878,29410,187,842SH DFND1,28,745,81101,442,031
WILMAR INTERNATIONAL LIMITED UNSPON ADRCOM9714331072,66286,694SH SOLE 86,69400
WSFS FINANCIAL CORPORATIONCOM92932810235,698695,741SH SOLE 542,8820152,859