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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OMB Number:3235-0006
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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
1 800 FLOWERSCOM INC CL ACOMMON STOCK68243Q10693337,426SH SOLE 37,42600
1ST CONSTITUTION BANCORPCOMMON STOCK31986N10216313,687SH SOLE 13,68700
1ST SOURCE CORPCOMMON STOCK33690110376324,731SH SOLE 24,73100
2U INCCOMMON STOCK90214J1013,977117,450SH SOLE 117,45000
3D SYSTEMS CORPCOMMON STOCK88554D205864175,868SH SOLE 175,86800
3M COCOMMON STOCK88579Y101165,6681,034,262SH SOLE 1,034,26200
89BIO INCCOMMON STOCK2825591032539,855SH SOLE 9,85500
8X8 INCCOMMON STOCK2829141002,433156,461SH SOLE 156,46100
A10 NETWORKS INCCOMMON STOCK00212110159393,026SH SOLE 93,02600
AAON INCCOMMON STOCK0003602063,76162,421SH SOLE 62,42100
AAR CORPCOMMON STOCK00036110595350,712SH SOLE 50,71200
AARON S INCCOMMON STOCK0025353005,968105,355SH SOLE 105,35500
ABBOTT LABORATORIESCOMMON STOCK002824100357,2073,282,249SH SOLE 3,282,24900
ABBVIE INCCOMMON STOCK00287Y109300,8723,435,006SH SOLE 3,435,00600
ABEONA THERAPEUTICS INCCOMMON STOCK00289Y1079188,862SH SOLE 88,86200
ABERCROMBIE FITCH CO CL ACOMMON STOCK0028962071,491107,039SH SOLE 107,03900
ABIOMED INCCOMMON STOCK00365410022,50881,237SH SOLE 81,23700
ABM INDUSTRIES INCCOMMON STOCK0009571003,868105,510SH SOLE 105,51000
ACACIA COMMUNICATIONS INCCOMMON STOCK00401C1083,97058,900SH SOLE 58,90000
ACACIA RESEARCH CORPCOMMON STOCK00388130726877,346SH SOLE 77,34600
ACADIA HEALTHCARE CO INCCOMMON STOCK00404A1094,440150,621SH SOLE 150,62100
ACADIA PHARMACEUTICALS INCCOMMON STOCK0042251088,659209,916SH SOLE 209,91600
ACADIA REALTY TRUSTREIT0042391091,365130,030SH SOLE 130,03000
ACCELERATE DIAGNOSTICS INCCOMMON STOCK00430H10249946,799SH SOLE 46,79900
ACCELERON PHARMA INCCOMMON STOCK00434H10810,18490,499SH SOLE 90,49900
ACCENTURE PLC CL ACOMMON STOCKG1151C101285,8521,264,888SH SOLE 1,264,88800
ACCO BRANDS CORPCOMMON STOCK00081T108808139,270SH SOLE 139,27000
ACCURAY INCCOMMON STOCK004397105318132,704SH SOLE 132,70400
ACELRX PHARMACEUTICALS INCCOMMON STOCK00444T100173122,038SH SOLE 122,03800
ACI WORLDWIDE INCCOMMON STOCK0044981014,543173,879SH SOLE 173,87900
ACNB CORPCOMMON STOCK00086810926612,788SH SOLE 12,78800
ACTIVISION BLIZZARD INCCOMMON STOCK00507V109117,5861,452,578SH SOLE 1,452,57800
ACUITY BRANDS INCCOMMON STOCK00508Y1027,07169,082SH SOLE 69,08200
ACUSHNET HOLDINGS CORPCOMMON STOCK0050981081,74251,837SH SOLE 51,83700
ADAPTIVE BIOTECHNOLOGIESCOMMON STOCK00650F1096,538134,450SH SOLE 134,45000
ADDUS HOMECARE CORPCOMMON STOCK0067391061,96920,835SH SOLE 20,83500
ADIENT PLCCOMMON STOCKG0084W1012,614150,820SH SOLE 150,82000
ADMA BIOLOGICS INCCOMMON STOCK00089910421790,748SH SOLE 90,74800
ADOBE INCCOMMON STOCK00724F101457,705933,273SH SOLE 933,27300
ADT INCCOMMON STOCK00090Q1032,161264,449SH SOLE 264,44900
ADTALEM GLOBAL EDUCATION INCCOMMON STOCK00737L1031,92678,475SH SOLE 78,47500
ADTRAN INCCOMMON STOCK00738A10673871,995SH SOLE 71,99500
ADURO BIOTECH INCCOMMON STOCK00739L10124299,554SH SOLE 99,55400
ADVANCE AUTO PARTS INCCOMMON STOCK00751Y10618,323119,366SH SOLE 119,36600
ADVANCED DISPOSAL SERVICES ICOMMON STOCK00790X1013,381111,833SH SOLE 111,83300
ADVANCED DRAINAGE SYSTEMS INCOMMON STOCK00790R1045,25384,131SH SOLE 84,13100
ADVANCED EMISSIONS SOLUTIONSCOMMON STOCK00770C10110425,631SH SOLE 25,63100
ADVANCED ENERGY INDUSTRIESCOMMON STOCK0079731003,61957,503SH SOLE 57,50300
ADVANCED MICRO DEVICESCOMMON STOCK007903107174,0042,122,259SH SOLE 2,122,25900
ADVANSIX INCCOMMON STOCK00773T10153441,447SH SOLE 41,44700
ADVERUM BIOTECHNOLOGIES INCCOMMON STOCK00773U1081,355131,526SH SOLE 131,52600
AECOMCOMMON STOCK00766T10011,290269,828SH SOLE 269,82800
AEGION CORPCOMMON STOCK00770F10466547,077SH SOLE 47,07700
AEGLEA BIOTHERAPEUTICS INCCOMMON STOCK00773J10344963,313SH SOLE 63,31300
AERCAP HOLDINGS NVCOMMON STOCKN009851064,591182,266SH SOLE 182,26600
AERIE PHARMACEUTICALS INCCOMMON STOCK00771V10865155,344SH SOLE 55,34400
AEROJET ROCKETDYNE HOLDINGSCOMMON STOCK0078001054,426110,956SH SOLE 110,95600
AEROVIRONMENT INCCOMMON STOCK0080731081,96532,740SH SOLE 32,74000
AES CORPCOMMON STOCK00130H10521,2361,172,615SH SOLE 1,172,61500
AFFILIATED MANAGERS GROUPCOMMON STOCK0082521085,59881,867SH SOLE 81,86700
AFFIMED NVCOMMON STOCKN01045108417123,081SH SOLE 123,08100
AFLAC INCCOMMON STOCK00105510250,3851,386,106SH SOLE 1,386,10600
AGCO CORPCOMMON STOCK0010841028,182110,172SH SOLE 110,17200
AGENUS INCCOMMON STOCK00847G705918229,594SH SOLE 229,59400
AGILENT TECHNOLOGIES INCCOMMON STOCK00846U10156,326558,013SH SOLE 558,01300
AGILYSYS INCCOMMON STOCK00847J10566227,391SH SOLE 27,39100
AGIOS PHARMACEUTICALS INCCOMMON STOCK00847X1043,699105,691SH SOLE 105,69100
AGNC INVESTMENT CORPREIT00123Q10414,2051,021,237SH SOLE 1,021,23700
AGREE REALTY CORPREIT0084921005,14380,811SH SOLE 80,81100
AIMMUNE THERAPEUTICS INCCOMMON STOCK00900T1072,42170,264SH SOLE 70,26400
AIR LEASE CORPCOMMON STOCK00912X3025,369182,478SH SOLE 182,47800
AIR PRODUCTS CHEMICALS INCCOMMON STOCK009158106125,524421,421SH SOLE 421,42100
AIR TRANSPORT SERVICES GROUPCOMMON STOCK00922R1052,22788,880SH SOLE 88,88000
AKAMAI TECHNOLOGIES INCCOMMON STOCK00971T10138,091344,588SH SOLE 344,58800
AKCEA THERAPEUTICS INCCOMMON STOCK00972L10745224,900SH SOLE 24,90000
AKEBIA THERAPEUTICS INCCOMMON STOCK00972D105544216,794SH SOLE 216,79400
AKERO THERAPEUTICS INCCOMMON STOCK00973Y10863120,489SH SOLE 20,48900
AKOUSTIS TECHNOLOGIES INCCOMMON STOCK00973N10238246,779SH SOLE 46,77900
ALAMO GROUP INCCOMMON STOCK0113111071,61814,978SH SOLE 14,97800
ALARMCOM HOLDINGS INCCOMMON STOCK0116421053,97471,920SH SOLE 71,92000
ALASKA AIR GROUP INCCOMMON STOCK0116591097,828213,712SH SOLE 213,71200
ALBANY INTL CORP CL ACOMMON STOCK0123481082,30546,557SH SOLE 46,55700
ALBEMARLE CORPCOMMON STOCK01265310117,567196,762SH SOLE 196,76200
ALBIREO PHARMA INCCOMMON STOCK01345P10666920,033SH SOLE 20,03300
ALCOA CORPCOMMON STOCK0138721063,640312,968SH SOLE 312,96800
ALECTOR INCCOMMON STOCK01444210773870,048SH SOLE 70,04800
ALERUS FINANCIAL CORPCOMMON STOCK01446U10344222,539SH SOLE 22,53900
ALEXANDER BALDWIN INCREIT0144911041,218108,695SH SOLE 108,69500
ALEXANDER S INCREIT0147521097903,220SH SOLE 3,22000
ALEXANDRIA REAL ESTATE EQUITREIT01527110937,064231,648SH SOLE 231,64800
ALEXION PHARMACEUTICALS INCCOMMON STOCK01535110950,485441,186SH SOLE 441,18600
ALICO INCCOMMON STOCK0162301042267,912SH SOLE 7,91200
ALIGN TECHNOLOGY INCCOMMON STOCK01625510148,035146,734SH SOLE 146,73400
ALKERMES PLCCOMMON STOCKG017671054,484270,632SH SOLE 270,63200
ALLAKOS INCCOMMON STOCK01671P1003,00336,865SH SOLE 36,86500
ALLEGHANY CORPCOMMON STOCK01717510012,86824,725SH SOLE 24,72500
ALLEGHENY TECHNOLOGIES INCCOMMON STOCK01741R1021,680192,684SH SOLE 192,68400
ALLEGIANCE BANCSHARES INCCOMMON STOCK01748H10767028,670SH SOLE 28,67000
ALLEGIANT TRAVEL COCOMMON STOCK01748X1022,36619,746SH SOLE 19,74600
ALLEGION PLCCOMMON STOCKG0176J10916,703168,869SH SOLE 168,86900
ALLETE INCCOMMON STOCK0185223004,08478,933SH SOLE 78,93300
ALLIANCE DATA SYSTEMS CORPCOMMON STOCK0185811083,60185,770SH SOLE 85,77000
ALLIANT ENERGY CORPCOMMON STOCK01880210823,334451,765SH SOLE 451,76500
ALLIED MOTION TECHNOLOGIESCOMMON STOCK01933010945110,928SH SOLE 10,92800
ALLISON TRANSMISSION HOLDINGCOMMON STOCK01973R1017,101202,081SH SOLE 202,08100
ALLOGENE THERAPEUTICS INCCOMMON STOCK0197701063,07981,637SH SOLE 81,63700
ALLSCRIPTS HEALTHCARE SOLUTICOMMON STOCK01988P1082,006246,486SH SOLE 246,48600
ALLSTATE CORPCOMMON STOCK02000210163,359673,026SH SOLE 673,02600
ALLY FINANCIAL INCCOMMON STOCK02005N10017,131683,339SH SOLE 683,33900
ALNYLAM PHARMACEUTICALS INCCOMMON STOCK02043Q10730,672210,657SH SOLE 210,65700
ALPHA OMEGA SEMICONDUCTORCOMMON STOCKG6331P10440531,560SH SOLE 31,56000
ALPHABET INC CL ACOMMON STOCK02079K305947,430646,445SH SOLE 646,44500
ALPHABET INC CL CCOMMON STOCK02079K107760,597517,554SH SOLE 517,55400
ALPHATEC HOLDINGS INCCOMMON STOCK02081G20144967,637SH SOLE 67,63700
ALTAIR ENGINEERING INC ACOMMON STOCK0213691032,69564,189SH SOLE 64,18900
ALTERYX INC CLASS ACOMMON STOCK02156B10310,55592,958SH SOLE 92,95800
ALTICE USA INC ACOMMON STOCK02156K10314,693565,118SH SOLE 565,11800
ALTISOURCE PORTFOLIO SOLCOMMON STOCKL0175J104886,932SH SOLE 6,93200
ALTRA INDUSTRIAL MOTION CORPCOMMON STOCK02208R1063,62197,944SH SOLE 97,94400
AMAG PHARMACEUTICALS INCCOMMON STOCK00163U10643746,533SH SOLE 46,53300
AMALGAMATED BK OF NEW YORK ACOMMON STOCK02266310822721,409SH SOLE 21,40900
AMAZONCOM INCCOMMON STOCK0231351062,598,600825,285SH SOLE 825,28500
AMBAC FINANCIAL GROUP INCCOMMON STOCK02313988487268,260SH SOLE 68,26000
AMBARELLA INCCOMMON STOCKG037AX1012,61250,064SH SOLE 50,06400
AMC ENTERTAINMENT HLDS CL ACOMMON STOCK00165C10438381,309SH SOLE 81,30900
AMC NETWORKS INC ACOMMON STOCK00164V1031,44458,418SH SOLE 58,41800
AMCOR PLCCOMMON STOCKG0250X10731,4182,843,299SH SOLE 2,843,29900
AMDOCS LTDCOMMON STOCKG0260210314,094245,489SH SOLE 245,48900
AMEDISYS INCCOMMON STOCK02343610813,95059,002SH SOLE 59,00200
AMER NATL BNKSHSDANVILLE VACOMMON STOCK02774510834916,662SH SOLE 16,66200
AMERANT BANCORP INCCOMMON STOCK02357610131834,192SH SOLE 34,19200
AMERCOCOMMON STOCK0235861006,00916,881SH SOLE 16,88100
AMEREN CORPORATIONCOMMON STOCK02360810239,820503,541SH SOLE 503,54100
AMERESCO INC CL ACOMMON STOCK02361E1081,23036,831SH SOLE 36,83100
AMERICA S CAR MART INCCOMMON STOCK03062T1058009,428SH SOLE 9,42800
AMERICAN AIRLINES GROUP INCCOMMON STOCK02376R10210,945890,602SH SOLE 890,60200
AMERICAN ASSETS TRUST INCREIT0240131041,82875,885SH SOLE 75,88500
AMERICAN AXLE MFG HOLDINGSCOMMON STOCK0240611031,082187,594SH SOLE 187,59400
AMERICAN CAMPUS COMMUNITIESREIT0248351008,437241,620SH SOLE 241,62000
AMERICAN EAGLE OUTFITTERSCOMMON STOCK02553E1063,641245,826SH SOLE 245,82600
AMERICAN ELECTRIC POWERCOMMON STOCK02553710170,320860,393SH SOLE 860,39300
AMERICAN EQUITY INVT LIFE HLCOMMON STOCK0256762063,020137,344SH SOLE 137,34400
AMERICAN EXPRESS COCOMMON STOCK025816109123,5521,232,441SH SOLE 1,232,44100
AMERICAN FINANCE TRUST INCREIT02607T1091,035165,102SH SOLE 165,10200
AMERICAN FINANCIAL GROUP INCCOMMON STOCK0259321048,615128,617SH SOLE 128,61700
AMERICAN HOMES 4 RENT AREIT02665T30613,052458,279SH SOLE 458,27900
AMERICAN INTERNATIONAL GROUPCOMMON STOCK02687478445,1671,640,653SH SOLE 1,640,65300
AMERICAN PUBLIC EDUCATIONCOMMON STOCK02913V10361321,751SH SOLE 21,75100
AMERICAN REALTY INVESTORS INCOMMON STOCK029174109353,880SH SOLE 3,88000
AMERICAN RENAL ASSOCIATES HOCOMMON STOCK02922710514320,653SH SOLE 20,65300
AMERICAN SOFTWARE INC CL ACOMMON STOCK02968310963345,068SH SOLE 45,06800
AMERICAN STATES WATER COCOMMON STOCK0298991014,18855,873SH SOLE 55,87300
AMERICAN SUPERCONDUCTOR CORPCOMMON STOCK03011120748233,300SH SOLE 33,30000
AMERICAN TOWER CORPREIT03027X100195,219807,592SH SOLE 807,59200
AMERICAN VANGUARD CORPCOMMON STOCK03037110857343,570SH SOLE 43,57000
AMERICAN WATER WORKS CO INCCOMMON STOCK03042010351,050352,363SH SOLE 352,36300
AMERICAN WOODMARK CORPCOMMON STOCK0305061092,01625,673SH SOLE 25,67300
AMERICOLD REALTY TRUSTREIT03064D10812,516350,107SH SOLE 350,10700
AMERIPRISE FINANCIAL INCCOMMON STOCK03076C10634,009220,680SH SOLE 220,68000
AMERIS BANCORPCOMMON STOCK03076K1082,278100,009SH SOLE 100,00900
AMERISAFE INCCOMMON STOCK03071H1001,66629,046SH SOLE 29,04600
AMERISOURCEBERGEN CORPCOMMON STOCK03073E10526,021268,477SH SOLE 268,47700
AMES NATIONAL CORPCOMMON STOCK03100110023613,989SH SOLE 13,98900
AMETEK INCCOMMON STOCK03110010041,506417,564SH SOLE 417,56400
AMGEN INCCOMMON STOCK031162100293,7461,155,754SH SOLE 1,155,75400
AMICUS THERAPEUTICS INCCOMMON STOCK03152W1095,434384,863SH SOLE 384,86300
AMKOR TECHNOLOGY INCCOMMON STOCK0316521001,690150,855SH SOLE 150,85500
AMN HEALTHCARE SERVICES INCCOMMON STOCK0017441014,12970,638SH SOLE 70,63800
AMNEAL PHARMACEUTICALS INCCOMMON STOCK03168L105580149,539SH SOLE 149,53900
AMPHASTAR PHARMACEUTICALS INCOMMON STOCK03209R1031,03455,143SH SOLE 55,14300
AMPHENOL CORP CL ACOMMON STOCK03209510156,935525,862SH SOLE 525,86200
AMYRIS INCCOMMON STOCK03236M200471161,329SH SOLE 161,32900
ANALOG DEVICES INCCOMMON STOCK03265410577,011659,680SH SOLE 659,68000
ANAPLAN INCCOMMON STOCK03272L10815,130241,768SH SOLE 241,76800
ANAPTYSBIO INCCOMMON STOCK03272410647632,299SH SOLE 32,29900
ANAVEX LIFE SCIENCES CORPCOMMON STOCK03279730036079,027SH SOLE 79,02700
ANDERSONS INCTHECOMMON STOCK03416410391247,553SH SOLE 47,55300
ANGIODYNAMICS INCCOMMON STOCK03475V10167255,708SH SOLE 55,70800
ANI PHARMACEUTICALS INCCOMMON STOCK00182C10339714,072SH SOLE 14,07200
ANIKA THERAPEUTICS INCCOMMON STOCK03525510874220,974SH SOLE 20,97400
ANNALY CAPITAL MANAGEMENT INREIT03571040918,8552,648,111SH SOLE 2,648,11100
ANSYS INCCOMMON STOCK03662Q10551,005155,869SH SOLE 155,86900
ANTARES PHARMA INCCOMMON STOCK036642106673249,255SH SOLE 249,25500
ANTERIX INCCOMMON STOCK03676C10053816,454SH SOLE 16,45400
ANTERO MIDSTREAM CORPCOMMON STOCK03676B1022,636490,862SH SOLE 490,86200
ANTERO RESOURCES CORPCOMMON STOCK03674X1061,244452,491SH SOLE 452,49100
ANTHEM INCCOMMON STOCK036752103126,798472,088SH SOLE 472,08800
ANWORTH MORTGAGE ASSET CORPREIT037347101243148,359SH SOLE 148,35900
APACHE CORPCOMMON STOCK0374111056,379673,555SH SOLE 673,55500
APARTMENT INVT MGMT CO AREIT03748R7548,811261,299SH SOLE 261,29900
APELLIS PHARMACEUTICALS INCCOMMON STOCK03753U1062,74390,923SH SOLE 90,92300
APOGEE ENTERPRISES INCCOMMON STOCK03759810984539,523SH SOLE 39,52300
APOLLO COMMERCIAL REAL ESTATREIT03762U1052,023224,563SH SOLE 224,56300
APOLLO MEDICAL HOLDINGS INCCOMMON STOCK03763A20753829,967SH SOLE 29,96700
APPFOLIO INC ACOMMON STOCK03783C1003,50124,689SH SOLE 24,68900
APPIAN CORPCOMMON STOCK03782L1013,48753,852SH SOLE 53,85200
APPLE HOSPITALITY REIT INCREIT03784Y2003,561370,575SH SOLE 370,57500
APPLE INCCOMMON STOCK0378331003,700,44831,952,749SH SOLE 31,952,74900
APPLIED INDUSTRIAL TECH INCCOMMON STOCK03820C1053,21958,413SH SOLE 58,41300
APPLIED MATERIALS INCCOMMON STOCK038222105100,8901,697,061SH SOLE 1,697,06100
APPLIED OPTOELECTRONICS INCCOMMON STOCK03823U10236832,737SH SOLE 32,73700
APPLIED THERAPEUTICS INCCOMMON STOCK03828A10142720,549SH SOLE 20,54900
APREA THERAPEUTICS INCCOMMON STOCK03836J10226110,841SH SOLE 10,84100
APTARGROUP INCCOMMON STOCK03833610312,954114,433SH SOLE 114,43300
APTIV PLCCOMMON STOCKG6095L10944,451484,845SH SOLE 484,84500
APYX MEDICAL CORPCOMMON STOCK03837C10624451,862SH SOLE 51,86200
ARAMARKCOMMON STOCK03852U10610,907412,350SH SOLE 412,35000
ARCBEST CORPCOMMON STOCK03937C1051,18037,990SH SOLE 37,99000
ARCH CAPITAL GROUP LTDCOMMON STOCKG0450A10520,585703,746SH SOLE 703,74600
ARCHER DANIELS MIDLAND COCOMMON STOCK03948310250,7391,091,394SH SOLE 1,091,39400
ARCHROCK INCCOMMON STOCK03957W1061,047194,632SH SOLE 194,63200
ARCOSA INCCOMMON STOCK0396531003,23873,437SH SOLE 73,43700
ARCUS BIOSCIENCES INCCOMMON STOCK03969F1091,09363,790SH SOLE 63,79000
ARDAGH GROUP SACOMMON STOCKL0223L10145932,688SH SOLE 32,68800
ARDELYX INCCOMMON STOCK0396971071,130215,184SH SOLE 215,18400
ARDMORE SHIPPING CORPCOMMON STOCKY0207T10018451,594SH SOLE 51,59400
ARENA PHARMACEUTICALS INCCOMMON STOCK0400476076,58288,006SH SOLE 88,00600
ARES COMMERCIAL REAL ESTATEREIT04013V10843447,446SH SOLE 47,44600
ARES MANAGEMENT CORP ACOMMON STOCK03990B1016,994173,037SH SOLE 173,03700
ARGAN INCCOMMON STOCK04010E10993522,303SH SOLE 22,30300
ARGO GROUP INTERNATIONALCOMMON STOCKG0464B1071,70949,635SH SOLE 49,63500
ARISTA NETWORKS INCCOMMON STOCK04041310622,085106,725SH SOLE 106,72500
ARLINGTON ASSET INVESTMENT AREIT04135620516256,873SH SOLE 56,87300
ARLO TECHNOLOGIES INCCOMMON STOCK04206A101620117,816SH SOLE 117,81600
ARMADA HOFFLER PROPERTIES INREIT04208T10880687,067SH SOLE 87,06700
ARMOUR RESIDENTIAL REIT INCREIT04231550791896,514SH SOLE 96,51400
ARMSTRONG WORLD INDUSTRIESCOMMON STOCK04247X1025,67782,500SH SOLE 82,50000
ARROW ELECTRONICS INCCOMMON STOCK04273510012,102153,855SH SOLE 153,85500
ARROW FINANCIAL CORPCOMMON STOCK04274410249819,846SH SOLE 19,84600
ARROWHEAD PHARMACEUTICALS INCOMMON STOCK04280A1006,542151,921SH SOLE 151,92100
ARTESIAN RESOURCES CORP CL ACOMMON STOCK04311320842212,250SH SOLE 12,25000
ARTHUR J GALLAGHER COCOMMON STOCK36357610935,304334,379SH SOLE 334,37900
ARTISAN PARTNERS ASSET MA ACOMMON STOCK04316A1083,24583,225SH SOLE 83,22500
ARVINAS INCCOMMON STOCK04335A1051,04444,225SH SOLE 44,22500
ASBURY AUTOMOTIVE GROUPCOMMON STOCK0434361042,98330,609SH SOLE 30,60900
ASGN INCCOMMON STOCK00191U1024,91177,271SH SOLE 77,27100
ASHLAND GLOBAL HOLDINGS INCCOMMON STOCK0441861046,87396,914SH SOLE 96,91400
ASPEN TECHNOLOGY INCCOMMON STOCK04532710315,073119,067SH SOLE 119,06700
ASSEMBLY BIOSCIENCES INCCOMMON STOCK04539610876246,380SH SOLE 46,38000
ASSETMARK FINANCIAL HOLDINGSCOMMON STOCK04546L10653624,666SH SOLE 24,66600
ASSOCIATED BANC CORPCOMMON STOCK0454871053,283260,126SH SOLE 260,12600
ASSOCIATED CAPITAL GROUP ACOMMON STOCK0455281061093,027SH SOLE 3,02700
ASSURANT INCCOMMON STOCK04621X10813,402110,480SH SOLE 110,48000
ASSURED GUARANTY LTDCOMMON STOCKG0585R1063,161147,140SH SOLE 147,14000
ASTEC INDUSTRIES INCCOMMON STOCK0462241011,85334,152SH SOLE 34,15200
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BAXTER INTERNATIONAL INCCOMMON STOCK07181310977,325961,516SH SOLE 961,51600
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BEIGENE LTD ADRCOMMON STOCK07725L10217,01859,413SH SOLE 59,41300
BEL FUSE INC CL BCOMMON STOCK07734730016415,359SH SOLE 15,35900
BELDEN INCCOMMON STOCK0774541062,07266,580SH SOLE 66,58000
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BERKSHIRE HATHAWAY INC CL BCOMMON STOCK084670702762,3203,579,977SH SOLE 3,579,97700
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BIG LOTS INCCOMMON STOCK0893021032,95066,139SH SOLE 66,13900
BIGLARI HOLDINGS INC BCOMMON STOCK08986R3091321,478SH SOLE 1,47800
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BIOTELEMETRY INCCOMMON STOCK0906721062,31350,747SH SOLE 50,74700
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BLACKROCK INCCOMMON STOCK09247X101148,152262,891SH SOLE 262,89100
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BMC STOCK HOLDINGS INCCOMMON STOCK05591B1094,360101,799SH SOLE 101,79900
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BOINGO WIRELESS INCCOMMON STOCK09739C10267265,935SH SOLE 65,93500
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BOOKING HOLDINGS INCCOMMON STOCK09857L108129,23775,547SH SOLE 75,54700
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BOOZ ALLEN HAMILTON HOLDINGSCOMMON STOCK09950210621,574259,995SH SOLE 259,99500
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BOSTON BEER COMPANY INC ACOMMON STOCK10055710713,87415,706SH SOLE 15,70600
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BRIDGE BANCORP INCCOMMON STOCK10803510642924,627SH SOLE 24,62700
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BRIDGEWATER BANCSHARES INCCOMMON STOCK10862110333435,234SH SOLE 35,23400
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BRIGHAM MINERALS INC CL ACOMMON STOCK10918L10349855,865SH SOLE 55,86500
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BRIGHTCOVECOMMON STOCK10921T10161960,449SH SOLE 60,44900
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BRIGHTVIEW HOLDINGS INCCOMMON STOCK10948C10770661,897SH SOLE 61,89700
BRINK S COTHECOMMON STOCK1096961043,12776,102SH SOLE 76,10200
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BROOKLINE BANCORP INCCOMMON STOCK11373M1071,024118,456SH SOLE 118,45600
BROOKS AUTOMATION INCCOMMON STOCK1143401025,090110,023SH SOLE 110,02300
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BROWN FORMAN CORP CLASS ACOMMON STOCK1156371006,13189,270SH SOLE 89,27000
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BRP GROUP INC ACOMMON STOCK05589G1021,27251,067SH SOLE 51,06700
BRT APARTMENTS CORPREIT05564530317614,960SH SOLE 14,96000
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BRUNSWICK CORPCOMMON STOCK1170431098,149138,325SH SOLE 138,32500
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BUILDERS FIRSTSOURCE INCCOMMON STOCK12008R1075,704174,865SH SOLE 174,86500
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BWX TECHNOLOGIES INCCOMMON STOCK05605H1009,361166,244SH SOLE 166,24400
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CABLE ONE INCCOMMON STOCK12685J10518,0799,589SH SOLE 9,58900
CABOT CORPCOMMON STOCK1270551013,44495,574SH SOLE 95,57400
CABOT OIL GAS CORPCOMMON STOCK12709710312,746734,194SH SOLE 734,19400
CACI INTERNATIONAL INC CL ACOMMON STOCK1271903049,25143,400SH SOLE 43,40000
CACTUS INC ACOMMON STOCK1272031071,38171,953SH SOLE 71,95300
CADENCE BANCORPCOMMON STOCK12739A1001,603186,625SH SOLE 186,62500
CADENCE DESIGN SYS INCCOMMON STOCK12738710863,616596,605SH SOLE 596,60500
CADIZ INCCOMMON STOCK12753720729930,067SH SOLE 30,06700
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CAI INTERNATIONAL INCCOMMON STOCK12477X10669325,177SH SOLE 25,17700
CAL MAINE FOODS INCCOMMON STOCK1280302021,83747,886SH SOLE 47,88600
CALAMP CORPCOMMON STOCK12812610936650,914SH SOLE 50,91400
CALAVO GROWERS INCCOMMON STOCK1282461051,65024,891SH SOLE 24,89100
CALERES INCCOMMON STOCK12950010453555,961SH SOLE 55,96100
CALIFORNIA WATER SERVICE GRPCOMMON STOCK1307881023,25074,801SH SOLE 74,80100
CALITHERA BIOSCIENCES INCCOMMON STOCK13089P10134299,159SH SOLE 99,15900
CALIX INCCOMMON STOCK13100M5091,41679,655SH SOLE 79,65500
CALLAWAY GOLF COMPANYCOMMON STOCK1311931042,725142,393SH SOLE 142,39300
CALYXT INCCOMMON STOCK13173L1078014,523SH SOLE 14,52300
CAMBIUM NETWORKS CORPCOMMON STOCKG177661091428,436SH SOLE 8,43600
CAMBRIDGE BANCORPCOMMON STOCK1321521095129,624SH SOLE 9,62400
CAMDEN NATIONAL CORPCOMMON STOCK13303410868522,677SH SOLE 22,67700
CAMDEN PROPERTY TRUSTREIT13313110216,673187,374SH SOLE 187,37400
CAMPBELL SOUP COCOMMON STOCK13442910915,455319,520SH SOLE 319,52000
CAMPING WORLD HOLDINGS INC ACOMMON STOCK13462K1091,47749,652SH SOLE 49,65200
CANNAE HOLDINGS INCCOMMON STOCK13765N1074,863130,521SH SOLE 130,52100
CANTEL MEDICAL CORPCOMMON STOCK1380981082,52157,385SH SOLE 57,38500
CAPITAL BANCORP INCMDCOMMON STOCK13973710011712,388SH SOLE 12,38800
CAPITAL CITY BANK GROUP INCCOMMON STOCK13967410538820,634SH SOLE 20,63400
CAPITAL ONE FINANCIAL CORPCOMMON STOCK14040H10559,282824,964SH SOLE 824,96400
CAPITOL FEDERAL FINANCIAL INCOMMON STOCK14057J1011,860200,756SH SOLE 200,75600
CAPRI HOLDINGS LTDCOMMON STOCKG1890L1074,716261,983SH SOLE 261,98300
CAPSTAR FINANCIAL HOLDINGS ICOMMON STOCK14070T10223724,154SH SOLE 24,15400
CAPSTEAD MORTGAGE CORPREIT14067E506810144,137SH SOLE 144,13700
CARA THERAPEUTICS INCCOMMON STOCK14075510979162,170SH SOLE 62,17000
CARDINAL HEALTH INCCOMMON STOCK14149Y10826,301560,188SH SOLE 560,18800
CARDIOVASCULAR SYSTEMS INCCOMMON STOCK1416191062,30358,519SH SOLE 58,51900
CARDLYTICS INCCOMMON STOCK14161W1052,79539,608SH SOLE 39,60800
CARDTRONICS PLC ACOMMON STOCKG1991C1051,07454,262SH SOLE 54,26200
CAREDX INCCOMMON STOCK14167L1032,74972,461SH SOLE 72,46100
CARETRUST REIT INCREIT14174T1072,583145,148SH SOLE 145,14800
CARGURUS INCCOMMON STOCK1417881092,830130,817SH SOLE 130,81700
CARLISLE COS INCCOMMON STOCK14233910011,54594,346SH SOLE 94,34600
CARMAX INCCOMMON STOCK14313010226,819291,801SH SOLE 291,80100
CARNIVAL CORPCOMMON STOCK14365830012,126798,821SH SOLE 798,82100
CARNIVAL PLC ADRCOMMON STOCK14365C10364650,000SH SOLE 50,00000
CARPENTER TECHNOLOGYCOMMON STOCK1442851031,31172,178SH SOLE 72,17800
CARRIAGE SERVICES INCCOMMON STOCK14390510756325,235SH SOLE 25,23500
CARROLS RESTAURANT GROUP INCCOMMON STOCK14574X10436356,228SH SOLE 56,22800
CARSCOM INCCOMMON STOCK14575E105832102,978SH SOLE 102,97800
CARTER BANK TRUSTCOMMON STOCK14610210823334,996SH SOLE 34,99600
CARTER S INCCOMMON STOCK1462291096,54175,545SH SOLE 75,54500
CARVANA COCOMMON STOCK14686910221,52196,482SH SOLE 96,48200
CASA SYSTEMS INCCOMMON STOCK14713L10219949,306SH SOLE 49,30600
CASELLA WASTE SYSTEMS INC ACOMMON STOCK1474481043,89369,700SH SOLE 69,70000
CASEY S GENERAL STORES INCCOMMON STOCK14752810311,87766,854SH SOLE 66,85400
CASI PHARMACEUTICALS INCCOMMON STOCK14757U10911977,725SH SOLE 77,72500
CASS INFORMATION SYSTEMS INCCOMMON STOCK14808P10985621,271SH SOLE 21,27100
CASTLE BIOSCIENCES INCCOMMON STOCK14843C10591317,750SH SOLE 17,75000
CATALENT INCCOMMON STOCK14880610224,647287,730SH SOLE 287,73000
CATALYST PHARMACEUTICALS INCCOMMON STOCK14888U101433145,751SH SOLE 145,75100
CATCHMARK TIMBER TRUST INC AREIT14912Y20267175,086SH SOLE 75,08600
CATERPILLAR INCCOMMON STOCK149123101145,775977,374SH SOLE 977,37400
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DELUXE CORPCOMMON STOCK2480191011,62062,957SH SOLE 62,95700
DENALI THERAPEUTICS INCCOMMON STOCK24823R1053,41195,191SH SOLE 95,19100
DENNY S CORPCOMMON STOCK24869P10494094,002SH SOLE 94,00200
DENTSPLY SIRONA INCCOMMON STOCK24906P10917,374397,305SH SOLE 397,30500
DESIGNER BRANDS INC CLASS ACOMMON STOCK25056510851093,950SH SOLE 93,95000
DEVON ENERGY CORPCOMMON STOCK25179M1036,389675,383SH SOLE 675,38300
DEXCOM INCCOMMON STOCK25213110769,048167,498SH SOLE 167,49800
DHI GROUP INCCOMMON STOCK23331S10018079,632SH SOLE 79,63200
DHT HOLDINGS INCCOMMON STOCKY2065G121868168,160SH SOLE 168,16000
DIAMOND HILL INVESTMENT GRPCOMMON STOCK25264R2076134,854SH SOLE 4,85400
DIAMOND S SHIPPING INCCOMMON STOCKY2067610528441,411SH SOLE 41,41100
DIAMONDBACK ENERGY INCCOMMON STOCK25278X1098,509282,507SH SOLE 282,50700
DIAMONDROCK HOSPITALITY COREIT2527843011,527301,184SH SOLE 301,18400
DICERNA PHARMACEUTICALS INCCOMMON STOCK2530311081,78098,947SH SOLE 98,94700
DICK S SPORTING GOODS INCCOMMON STOCK2533931026,503112,361SH SOLE 112,36100
DIEBOLD NIXDORF INCCOMMON STOCK253651103809105,843SH SOLE 105,84300
DIGI INTERNATIONAL INCCOMMON STOCK25379810266642,637SH SOLE 42,63700
DIGIMARC CORPCOMMON STOCK25381B10140218,016SH SOLE 18,01600
DIGITAL REALTY TRUST INCREIT25386810370,630481,260SH SOLE 481,26000
DIGITAL TURBINE INCCOMMON STOCK25400W1024,077124,540SH SOLE 124,54000
DILLARDS INC CL ACOMMON STOCK25406710141611,379SH SOLE 11,37900
DIME COMMUNITY BANCSHARESCOMMON STOCK25392210849143,382SH SOLE 43,38200
DINE BRANDS GLOBAL INCCOMMON STOCK2544231061,28123,468SH SOLE 23,46800
DIODES INCCOMMON STOCK2545431013,62064,130SH SOLE 64,13000
DISCOVER FINANCIAL SERVICESCOMMON STOCK25470910832,125555,993SH SOLE 555,99300
DISCOVERY INC ACOMMON STOCK25470F1047,660351,883SH SOLE 351,88300
DISCOVERY INC CCOMMON STOCK25470F30213,211674,054SH SOLE 674,05400
DISH NETWORK CORP ACOMMON STOCK25470M10912,882443,732SH SOLE 443,73200
DIVERSIFIED HEALTHCARE TRUSTREIT25525P1071,385393,549SH SOLE 393,54900
DMC GLOBAL INCCOMMON STOCK23291C10372221,918SH SOLE 21,91800
DOCUSIGN INCCOMMON STOCK25616310669,990325,170SH SOLE 325,17000
DOLBY LABORATORIES INC CL ACOMMON STOCK25659T1077,189108,463SH SOLE 108,46300
DOLLAR GENERAL CORPCOMMON STOCK25667710599,764475,928SH SOLE 475,92800
DOLLAR TREE INCCOMMON STOCK25674610839,050427,525SH SOLE 427,52500
DOMINION ENERGY INCCOMMON STOCK25746U109119,5921,515,171SH SOLE 1,515,17100
DOMINO S PIZZA INCCOMMON STOCK25754A20130,62572,011SH SOLE 72,01100
DOMO INC CLASS BCOMMON STOCK2575541051,47838,557SH SOLE 38,55700
DOMTAR CORPCOMMON STOCK2575592032,39891,292SH SOLE 91,29200
DONALDSON CO INCCOMMON STOCK25765110910,296221,797SH SOLE 221,79700
DONEGAL GROUP INC CL ACOMMON STOCK25770120122616,083SH SOLE 16,08300
DONNELLEY FINANCIAL SOLUTIONCOMMON STOCK25787G10060745,452SH SOLE 45,45200
DORIAN LPG LTDCOMMON STOCKY2106R11045757,081SH SOLE 57,08100
DORMAN PRODUCTS INCCOMMON STOCK2582781003,65540,439SH SOLE 40,43900
DOUGLAS DYNAMICS INCCOMMON STOCK25960R1051,15733,841SH SOLE 33,84100
DOUGLAS EMMETT INCREIT25960P1097,375293,842SH SOLE 293,84200
DOVER CORPCOMMON STOCK26000310828,444262,547SH SOLE 262,54700
DOW INCCOMMON STOCK26055710364,5721,372,411SH SOLE 1,372,41100
DR HORTON INCCOMMON STOCK23331A10950,151663,112SH SOLE 663,11200
DRIL QUIP INCCOMMON STOCK2620371041,30452,684SH SOLE 52,68400
DROPBOX INC CLASS ACOMMON STOCK26210C1049,096472,300SH SOLE 472,30000
DSP GROUP INCCOMMON STOCK23332B10644733,932SH SOLE 33,93200
DTE ENERGY COMPANYCOMMON STOCK23333110738,534334,959SH SOLE 334,95900
DUCOMMUN INCCOMMON STOCK26414710953416,210SH SOLE 16,21000
DUKE ENERGY CORPCOMMON STOCK26441C204119,1731,345,678SH SOLE 1,345,67800
DUKE REALTY CORPREIT26441150524,901674,819SH SOLE 674,81900
DULUTH HOLDINGS INC CL BCOMMON STOCK26443V10120416,724SH SOLE 16,72400
DUNKIN BRANDS GROUP INCCOMMON STOCK26550410011,804144,110SH SOLE 144,11000
DUPONT DE NEMOURS INCCOMMON STOCK26614N10273,4111,323,196SH SOLE 1,323,19600
DXC TECHNOLOGY COCOMMON STOCK23355L1068,351467,857SH SOLE 467,85700
DXP ENTERPRISES INCCOMMON STOCK23337740740525,131SH SOLE 25,13100
DYCOM INDUSTRIES INCCOMMON STOCK2674751012,46246,610SH SOLE 46,61000
DYNATRACE INCCOMMON STOCK26815010913,407326,846SH SOLE 326,84600
DYNAVAX TECHNOLOGIES CORPCOMMON STOCK268158201696161,199SH SOLE 161,19900
DYNEX CAPITAL INCREIT26817Q88652634,567SH SOLE 34,56700
E TRADE FINANCIAL CORPCOMMON STOCK26924640125,057500,649SH SOLE 500,64900
EAGLE BANCORP INCCOMMON STOCK2689481061,29348,251SH SOLE 48,25100
EAGLE BULK SHIPPING INCCOMMON STOCKY2187A1501609,770SH SOLE 9,77000
EAGLE MATERIALS INCCOMMON STOCK26969P1086,10770,745SH SOLE 70,74500
EAGLE PHARMACEUTICALS INCCOMMON STOCK26979610869816,440SH SOLE 16,44000
EARTHSTONE ENERGY INC ACOMMON STOCK27032D3049135,182SH SOLE 35,18200
EAST WEST BANCORP INCCOMMON STOCK27579R1048,499259,586SH SOLE 259,58600
EASTERLY GOVERNMENT PROPERTIREIT27616P1032,714121,126SH SOLE 121,12600
EASTERN COTHECOMMON STOCK2763171041658,444SH SOLE 8,44400
EASTGROUP PROPERTIES INCREIT2772761017,57958,600SH SOLE 58,60000
EASTMAN CHEMICAL COCOMMON STOCK27743210022,199284,166SH SOLE 284,16600
EATON CORP PLCCOMMON STOCKG2918310389,649878,654SH SOLE 878,65400
EATON VANCE CORPCOMMON STOCK2782651037,238189,723SH SOLE 189,72300
EBAY INCCOMMON STOCK27864210376,8681,475,399SH SOLE 1,475,39900
EBIX INCCOMMON STOCK27871520681939,763SH SOLE 39,76300
ECHO GLOBAL LOGISTICS INCCOMMON STOCK27875T1011,01839,501SH SOLE 39,50100
ECHOSTAR CORP ACOMMON STOCK2787681062,04582,171SH SOLE 82,17100
ECOLAB INCCOMMON STOCK27886510090,793454,326SH SOLE 454,32600
EDGEWELL PERSONAL CARE COCOMMON STOCK28035Q1022,29882,426SH SOLE 82,42600
EDISON INTERNATIONALCOMMON STOCK28102010735,070689,818SH SOLE 689,81800
EDITAS MEDICINE INCCOMMON STOCK28106W1032,66795,048SH SOLE 95,04800
EDWARDS LIFESCIENCES CORPCOMMON STOCK28176E10890,1331,129,198SH SOLE 1,129,19800
EGAIN CORPCOMMON STOCK28225C80644431,323SH SOLE 31,32300
EHEALTH INCCOMMON STOCK28238P1093,04838,579SH SOLE 38,57900
EIDOS THERAPEUTICS INCCOMMON STOCK28249H10483616,552SH SOLE 16,55200
EIGER BIOPHARMACEUTICALS INCCOMMON STOCK28249U10533941,614SH SOLE 41,61400
EL POLLO LOCO HOLDINGS INCCOMMON STOCK26860310743827,022SH SOLE 27,02200
ELANCO ANIMAL HEALTH INCCOMMON STOCK28414H10320,131720,766SH SOLE 720,76600
ELASTIC NVCOMMON STOCKN1450610412,412115,043SH SOLE 115,04300
ELECTRONIC ARTS INCCOMMON STOCK28551210975,436578,455SH SOLE 578,45500
ELEMENT SOLUTIONS INCCOMMON STOCK28618M1063,908371,856SH SOLE 371,85600
ELF BEAUTY INCCOMMON STOCK26856L1031,25768,442SH SOLE 68,44200
ELI LILLY COCOMMON STOCK532457108243,9461,648,063SH SOLE 1,648,06300
ELLINGTON FINANCIAL INCREIT28852N10976662,459SH SOLE 62,45900
ELOXX PHARMACEUTICALS INCCOMMON STOCK29014R10310439,651SH SOLE 39,65100
EMCOR GROUP INCCOMMON STOCK29084Q1005,76185,088SH SOLE 85,08800
EMERGENT BIOSOLUTIONS INCCOMMON STOCK29089Q1056,98767,619SH SOLE 67,61900
EMERSON ELECTRIC COCOMMON STOCK29101110471,2131,086,058SH SOLE 1,086,05800
EMPIRE STATE REALTY TRUST AREIT2921041061,511246,957SH SOLE 246,95700
EMPLOYERS HOLDINGS INCCOMMON STOCK2922181041,31843,556SH SOLE 43,55600
ENANTA PHARMACEUTICALS INCCOMMON STOCK29251M1061,32428,921SH SOLE 28,92100
ENCOMPASS HEALTH CORPCOMMON STOCK29261A10011,254173,196SH SOLE 173,19600
ENCORE CAPITAL GROUP INCCOMMON STOCK2925541021,83547,559SH SOLE 47,55900
ENCORE WIRE CORPCOMMON STOCK2925621051,42830,756SH SOLE 30,75600
ENDO INTERNATIONAL PLCCOMMON STOCKG304011061,136344,348SH SOLE 344,34800
ENDURANCE INTERNATIONAL GROUCOMMON STOCK29272B10557299,700SH SOLE 99,70000
ENERGIZER HOLDINGS INCCOMMON STOCK29272W1094,406112,559SH SOLE 112,55900
ENERGY FUELS INCCOMMON STOCK292671708317188,592SH SOLE 188,59200
ENERGY RECOVERY INCCOMMON STOCK29270J10049860,767SH SOLE 60,76700
ENERSYSCOMMON STOCK29275Y1024,31564,291SH SOLE 64,29100
ENNIS INCCOMMON STOCK29338910267638,780SH SOLE 38,78000
ENOCHIAN BIOSCIENCES INCCOMMON STOCK29350E1047621,280SH SOLE 21,28000
ENOVA INTERNATIONAL INCCOMMON STOCK29357K10372644,274SH SOLE 44,27400
ENPHASE ENERGY INCCOMMON STOCK29355A10715,406186,537SH SOLE 186,53700
ENPRO INDUSTRIES INCCOMMON STOCK29355X1071,76831,335SH SOLE 31,33500
ENSIGN GROUP INCTHECOMMON STOCK29358P1014,42277,504SH SOLE 77,50400
ENSTAR GROUP LTDCOMMON STOCKG3075P1012,94118,209SH SOLE 18,20900
ENTEGRIS INCCOMMON STOCK29362U10417,550236,075SH SOLE 236,07500
ENTERCOM COMMUNICATIONS CL ACOMMON STOCK293639100286177,487SH SOLE 177,48700
ENTERGY CORPCOMMON STOCK29364G10334,515350,303SH SOLE 350,30300
ENTERPRISE BANCORP INCCOMMON STOCK29366810929113,852SH SOLE 13,85200
ENTERPRISE FINANCIAL SERVICECOMMON STOCK2937121051,00136,712SH SOLE 36,71200
ENTRAVISION COMMUNICATIONS ACOMMON STOCK29382R10714494,507SH SOLE 94,50700
ENVESTNET INCCOMMON STOCK29404K1066,19480,278SH SOLE 80,27800
ENZO BIOCHEM INCCOMMON STOCK29410010214367,821SH SOLE 67,82100
EOG RESOURCES INCCOMMON STOCK26875P10137,4131,040,975SH SOLE 1,040,97500
EPAM SYSTEMS INCCOMMON STOCK29414B10431,07596,123SH SOLE 96,12300
EPIZYME INCCOMMON STOCK29428V1042,568215,226SH SOLE 215,22600
EPLUS INCCOMMON STOCK2942681071,46720,037SH SOLE 20,03700
EPR PROPERTIESREIT26884U1093,490126,896SH SOLE 126,89600
EQT CORPCOMMON STOCK26884L1095,806448,995SH SOLE 448,99500
EQUIFAX INCCOMMON STOCK29442910536,057229,811SH SOLE 229,81100
EQUINIX INCREIT29444U700122,176160,730SH SOLE 160,73000
EQUITRANS MIDSTREAM CORPCOMMON STOCK2946001016,111722,330SH SOLE 722,33000
EQUITY BANCSHARES INC CL ACOMMON STOCK29460X10934822,453SH SOLE 22,45300
EQUITY COMMONWEALTHREIT2946281025,329200,111SH SOLE 200,11100
EQUITY LIFESTYLE PROPERTIESREIT29472R10819,259314,172SH SOLE 314,17200
EQUITY RESIDENTIALREIT29476L10734,252667,296SH SOLE 667,29600
ERIE INDEMNITY COMPANY CL ACOMMON STOCK29530P1029,69946,122SH SOLE 46,12200
ESCALADE INCCOMMON STOCK29605610430216,493SH SOLE 16,49300
ESCO TECHNOLOGIES INCCOMMON STOCK2963151043,12838,833SH SOLE 38,83300
ESPERION THERAPEUTICS INCCOMMON STOCK29664W1051,45739,190SH SOLE 39,19000
ESQUIRE FINANCIAL HOLDINGS ICOMMON STOCK29667J1011499,926SH SOLE 9,92600
ESSA BANCORP INCCOMMON STOCK29667D10418615,070SH SOLE 15,07000
ESSENT GROUP LTDCOMMON STOCKG3198U1026,178166,918SH SOLE 166,91800
ESSENTIAL PROPERTIES REALTYREIT29670E1072,550139,210SH SOLE 139,21000
ESSEX PROPERTY TRUST INCREIT29717810523,914119,102SH SOLE 119,10200
ESTEE LAUDER COMPANIES CL ACOMMON STOCK51843910492,143422,189SH SOLE 422,18900
ETHAN ALLEN INTERIORS INCCOMMON STOCK29760210446434,260SH SOLE 34,26000
ETSY INCCOMMON STOCK29786A10626,505217,913SH SOLE 217,91300
EURONET WORLDWIDE INCCOMMON STOCK2987361097,86586,332SH SOLE 86,33200
EVANS BANCORP INCCOMMON STOCK29911Q2081667,441SH SOLE 7,44100
EVELO BIOSCIENCES INCCOMMON STOCK29973410311521,824SH SOLE 21,82400
EVENTBRITE INC CLASS ACOMMON STOCK29975E1091,04496,212SH SOLE 96,21200
EVERBRIDGE INCCOMMON STOCK29978A1047,60860,507SH SOLE 60,50700
EVERCORE INC ACOMMON STOCK29977A1054,56169,679SH SOLE 69,67900
EVEREST RE GROUP LTDCOMMON STOCKG3223R10814,15271,639SH SOLE 71,63900
EVERGY INCCOMMON STOCK30034W10620,152396,538SH SOLE 396,53800
EVERI HOLDINGS INCCOMMON STOCK30034T1031,018123,357SH SOLE 123,35700
EVERQUOTE INC CLASS ACOMMON STOCK30041R10882121,254SH SOLE 21,25400
EVERSOURCE ENERGYCOMMON STOCK30040W10855,173660,362SH SOLE 660,36200
EVERTEC INCCOMMON STOCK30040P1033,16691,208SH SOLE 91,20800
EVI INDUSTRIES INCCOMMON STOCK26929N1021866,984SH SOLE 6,98400
EVO PAYMENTS INC CLASS ACOMMON STOCK26927E1041,53161,605SH SOLE 61,60500
EVOFEM BIOSCIENCES INCCOMMON STOCK30048L104274116,050SH SOLE 116,05000
EVOLENT HEALTH INC ACOMMON STOCK30050B1011,415114,010SH SOLE 114,01000
EVOLUS INCCOMMON STOCK30052C10712933,011SH SOLE 33,01100
EVOLUTION PETROLEUM CORPCOMMON STOCK30049A1079341,661SH SOLE 41,66100
EVOQUA WATER TECHNOLOGIES COCOMMON STOCK30057T1052,933138,200SH SOLE 138,20000
EW SCRIPPS COTHE ACOMMON STOCK81105440297084,750SH SOLE 84,75000
EXACT SCIENCES CORPCOMMON STOCK30063P10527,810272,781SH SOLE 272,78100
EXAGEN INCCOMMON STOCK30068X103787,219SH SOLE 7,21900
EXELIXIS INCCOMMON STOCK30161Q10412,870526,392SH SOLE 526,39200
EXELON CORPCOMMON STOCK30161N10174,6762,088,246SH SOLE 2,088,24600
EXLSERVICE HOLDINGS INCCOMMON STOCK3020811043,36250,959SH SOLE 50,95900
EXP WORLD HOLDINGS INCCOMMON STOCK30212W1001,48736,867SH SOLE 36,86700
EXPEDIA GROUP INCCOMMON STOCK30212P30322,538245,806SH SOLE 245,80600
EXPEDITORS INTL WASH INCCOMMON STOCK30213010933,290367,769SH SOLE 367,76900
EXPONENT INCCOMMON STOCK30214U1025,59377,653SH SOLE 77,65300
EXPRESS INCCOMMON STOCK30219E10362101,688SH SOLE 101,68800
EXTENDED STAY AMERICA INCCOMMON STOCK30224P2003,763314,893SH SOLE 314,89300
EXTERRAN CORPCOMMON STOCK30227H10616439,440SH SOLE 39,44000
EXTRA SPACE STORAGE INCREIT30225T10224,463228,643SH SOLE 228,64300
EXTREME NETWORKS INCCOMMON STOCK30226D106727180,764SH SOLE 180,76400
EXXON MOBIL CORPCOMMON STOCK30231G102272,4147,935,148SH SOLE 7,935,14800
EZCORP INC CL ACOMMON STOCK30230110636772,943SH SOLE 72,94300
F5 NETWORKS INCCOMMON STOCK31561610216,004130,357SH SOLE 130,35700
FABRINETCOMMON STOCKG3323L1003,50055,530SH SOLE 55,53000
FACEBOOK INC CLASS ACOMMON STOCK30303M1021,232,1504,704,659SH SOLE 4,704,65900
FACTSET RESEARCH SYSTEMS INCCOMMON STOCK30307510522,57767,418SH SOLE 67,41800
FAIR ISAAC CORPCOMMON STOCK30325010422,51352,924SH SOLE 52,92400
FALCON MINERALS CORPCOMMON STOCK30607B10914559,621SH SOLE 59,62100
FARMER BROS COCOMMON STOCK30767510810724,225SH SOLE 24,22500
FARMERS MERCHANTS BANCOOHCOMMON STOCK30779N10531415,702SH SOLE 15,70200
FARMERS NATL BANC CORPCOMMON STOCK30962710742538,924SH SOLE 38,92400
FARMLAND PARTNERS INCREIT31154R10926239,375SH SOLE 39,37500
FARO TECHNOLOGIES INCCOMMON STOCK3116421021,63226,761SH SOLE 26,76100
FASTENAL COCOMMON STOCK31190010450,1601,112,446SH SOLE 1,112,44600
FATE THERAPEUTICS INCCOMMON STOCK31189P1024,333108,407SH SOLE 108,40700
FB FINANCIAL CORPCOMMON STOCK30257X1041,18147,029SH SOLE 47,02900
FBL FINANCIAL GROUP INC CL ACOMMON STOCK30239F10671514,834SH SOLE 14,83400
FEDERAL AGRIC MTG CORP CL CCOMMON STOCK31314830686713,625SH SOLE 13,62500
FEDERAL REALTY INVS TRUSTREIT3137472069,831133,862SH SOLE 133,86200
FEDERAL SIGNAL CORPCOMMON STOCK3138551082,65790,825SH SOLE 90,82500
FEDEX CORPCOMMON STOCK31428X106108,918433,041SH SOLE 433,04100
FEDNAT HOLDING COCOMMON STOCK31431B10911518,208SH SOLE 18,20800
FERRO CORPCOMMON STOCK3154051001,529123,321SH SOLE 123,32100
FIBROGEN INCCOMMON STOCK31572Q8085,243127,497SH SOLE 127,49700
FIDELITY DD BANCORP INCCOMMON STOCK31609R1002895,941SH SOLE 5,94100
FIDELITY NATIONAL FINANCIALCOMMON STOCK31620R30318,641595,381SH SOLE 595,38100
FIDELITY NATIONAL INFO SERVCOMMON STOCK31620M106162,4251,103,356SH SOLE 1,103,35600
FIESTA RESTAURANT GROUPCOMMON STOCK31660B10125427,141SH SOLE 27,14100
FIFTH THIRD BANCORPCOMMON STOCK31677310028,3621,330,316SH SOLE 1,330,31600
FINANCIAL INSTITUTIONS INCCOMMON STOCK31758540436023,374SH SOLE 23,37400
FIREEYE INCCOMMON STOCK31816Q1014,726382,814SH SOLE 382,81400
FIRST AMERICAN FINANCIALCOMMON STOCK31847R1029,661189,766SH SOLE 189,76600
FIRST BANCORP INCMECOMMON STOCK31866P10233916,092SH SOLE 16,09200
FIRST BANCORP PUERTO RICOCOMMON STOCK3186727061,707327,033SH SOLE 327,03300
FIRST BANCORPNCCOMMON STOCK31891010692644,262SH SOLE 44,26200
FIRST BANCSHARES INCMSCOMMON STOCK31891610365431,178SH SOLE 31,17800
FIRST BANKHAMILTON NJCOMMON STOCK31931U10215925,663SH SOLE 25,66300
FIRST BUSEY CORPCOMMON STOCK3193832041,20775,980SH SOLE 75,98000
FIRST BUSINESS FINANCIAL SERCOMMON STOCK31939010018813,142SH SOLE 13,14200
FIRST CAPITAL INCCOMMON STOCK31942S1042815,007SH SOLE 5,00700
FIRST CHOICE BANCORPCOMMON STOCK31948P10420915,711SH SOLE 15,71100
FIRST CITIZENS BCSHS CL ACOMMON STOCK31946M1033,44410,804SH SOLE 10,80400
FIRST COMMONWEALTH FINL CORPCOMMON STOCK3198291071,144147,830SH SOLE 147,83000
FIRST COMMUNITY BANKSHARESCOMMON STOCK31983A10349127,213SH SOLE 27,21300
FIRST FINANCIAL BANCORPCOMMON STOCK3202091091,779148,172SH SOLE 148,17200
FIRST FINANCIAL CORPINDIANACOMMON STOCK32021810063820,333SH SOLE 20,33300
FIRST FINL BANKSHARES INCCOMMON STOCK32020R1095,447195,179SH SOLE 195,17900
FIRST FOUNDATION INCCOMMON STOCK32026V10477259,052SH SOLE 59,05200
FIRST GUARANTY BANCSHARES INCOMMON STOCK32043P106675,501SH SOLE 5,50100
FIRST HAWAIIAN INCCOMMON STOCK32051X1083,218222,420SH SOLE 222,42000
FIRST HORIZON NATIONAL CORPCOMMON STOCK3205171058,831936,509SH SOLE 936,50900
FIRST INDUSTRIAL REALTY TRREIT32054K1038,614216,422SH SOLE 216,42200
FIRST INTERNET BANCORPCOMMON STOCK32055710121014,281SH SOLE 14,28100
FIRST INTERSTATE BANCSYS ACOMMON STOCK32055Y2012,02163,454SH SOLE 63,45400
FIRST MERCHANTS CORPCOMMON STOCK3208171091,88581,371SH SOLE 81,37100
FIRST MID BANCSHARES INCCOMMON STOCK32086610654821,978SH SOLE 21,97800
FIRST MIDWEST BANCORP INCILCOMMON STOCK3208671041,853171,907SH SOLE 171,90700
FIRST NORTHWEST BANCORPCOMMON STOCK33583410713613,762SH SOLE 13,76200
FIRST OF LONG ISLAND CORPCOMMON STOCK32073410652135,153SH SOLE 35,15300
FIRST REPUBLIC BANKCACOMMON STOCK33616C10032,844301,151SH SOLE 301,15100
FIRST SOLAR INCCOMMON STOCK33643310710,423157,453SH SOLE 157,45300
FIRSTCASH INCCOMMON STOCK33767D1053,52661,638SH SOLE 61,63800
FIRSTENERGY CORPCOMMON STOCK33793210727,195947,224SH SOLE 947,22400
FISERV INCCOMMON STOCK337738108109,0981,058,690SH SOLE 1,058,69000
FITBIT INC ACOMMON STOCK33812L1022,911418,198SH SOLE 418,19800
FIVE BELOWCOMMON STOCK33829M10112,23996,369SH SOLE 96,36900
FIVE PRIME THERAPEUTICS INCCOMMON STOCK33830X10419040,381SH SOLE 40,38100
FIVE9 INCCOMMON STOCK33830710114,134108,991SH SOLE 108,99100
FLAGSTAR BANCORP INCCOMMON STOCK3379307051,91664,665SH SOLE 64,66500
FLEETCOR TECHNOLOGIES INCCOMMON STOCK33904110536,312152,508SH SOLE 152,50800
FLEX LTDCOMMON STOCKY2573F10243338,848SH SOLE 38,84800
FLEXION THERAPEUTICS INCCOMMON STOCK33938J10669066,251SH SOLE 66,25100
FLIR SYSTEMS INCCOMMON STOCK3024451018,967250,114SH SOLE 250,11400
FLOOR DECOR HOLDINGS INC ACOMMON STOCK33975010112,379165,501SH SOLE 165,50100
FLOWERS FOODS INCCOMMON STOCK3434981018,306341,399SH SOLE 341,39900
FLOWSERVE CORPCOMMON STOCK34354P1056,240228,660SH SOLE 228,66000
FLUENT INCCOMMON STOCK34380C10215763,290SH SOLE 63,29000
FLUIDIGM CORPCOMMON STOCK34385P108794106,834SH SOLE 106,83400
FLUOR CORPCOMMON STOCK3434121022,295260,512SH SOLE 260,51200
FLUSHING FINANCIAL CORPCOMMON STOCK34387310543040,831SH SOLE 40,83100
FMC CORPCOMMON STOCK30249130325,586241,584SH SOLE 241,58400
FNB CORPCOMMON STOCK3025201013,749553,019SH SOLE 553,01900
FNCB BANCORP INCCOMMON STOCK30257810913625,594SH SOLE 25,59400
FOCUS FINANCIAL PARTNERS ACOMMON STOCK34417P1001,55947,560SH SOLE 47,56000
FOOT LOCKER INCCOMMON STOCK3448491046,272189,879SH SOLE 189,87900
FORD MOTOR COCOMMON STOCK34537086049,2187,390,123SH SOLE 7,390,12300
FORESTAR GROUP INCCOMMON STOCK34623210144725,282SH SOLE 25,28200
FORMFACTOR INCCOMMON STOCK3463751082,913116,857SH SOLE 116,85700
FORRESTER RESEARCH INCCOMMON STOCK34656310954516,631SH SOLE 16,63100
FORTERRA INCCOMMON STOCK34960W10633728,470SH SOLE 28,47000
FORTINET INCCOMMON STOCK34959E10928,925245,521SH SOLE 245,52100
FORTIVE CORPCOMMON STOCK34959J10840,913536,848SH SOLE 536,84800
FORTUNE BRANDS HOME SECURICOMMON STOCK34964C10621,643250,147SH SOLE 250,14700
FORWARD AIR CORPCOMMON STOCK3498531012,40741,943SH SOLE 41,94300
FOSSIL GROUP INCCOMMON STOCK34988V10641371,922SH SOLE 71,92200
FOSTER LB CO ACOMMON STOCK35006010921115,711SH SOLE 15,71100
FOUNDATION BUILDING MATERIALCOMMON STOCK35039210649431,443SH SOLE 31,44300
FOUR CORNERS PROPERTY TRUSTREIT35086T1092,728106,595SH SOLE 106,59500
FOX CORP CLASS ACOMMON STOCK35137L10517,283621,006SH SOLE 621,00600
FOX CORP CLASS BCOMMON STOCK35137L2047,827279,843SH SOLE 279,84300
FOX FACTORY HOLDING CORPCOMMON STOCK35138V1024,65662,635SH SOLE 62,63500
FRANK S INTERNATIONAL NVCOMMON STOCKN33462107360233,642SH SOLE 233,64200
FRANKLIN COVEY COCOMMON STOCK35346910933518,885SH SOLE 18,88500
FRANKLIN ELECTRIC CO INCCOMMON STOCK3535141024,10169,706SH SOLE 69,70600
FRANKLIN FINANCIAL SERVICESCOMMON STOCK3535251081406,526SH SOLE 6,52600
FRANKLIN RESOURCES INCCOMMON STOCK35461310110,332507,714SH SOLE 507,71400
FRANKLIN STREET PROPERTIES CREIT35471R106574156,805SH SOLE 156,80500
FREEPORT MCMORAN INCCOMMON STOCK35671D85741,0292,623,339SH SOLE 2,623,33900
FREQUENCY THERAPEUTICS INCCOMMON STOCK35803L10873038,008SH SOLE 38,00800
FRESH DEL MONTE PRODUCE INCCOMMON STOCKG367381051,07646,926SH SOLE 46,92600
FRESHPET INCCOMMON STOCK3580391056,54058,575SH SOLE 58,57500
FRONT YARD RESIDENTIAL CORPREIT35904G10766075,470SH SOLE 75,47000
FRONTDOOR INCCOMMON STOCK35905A1095,734147,369SH SOLE 147,36900
FRP HOLDINGS INCCOMMON STOCK30292L10742310,144SH SOLE 10,14400
FS BANCORP INCCOMMON STOCK30263Y1042556,226SH SOLE 6,22600
FTI CONSULTING INCCOMMON STOCK3029411096,54661,771SH SOLE 61,77100
FULCRUM THERAPEUTICS INCCOMMON STOCK35961610916821,171SH SOLE 21,17100
FULTON FINANCIAL CORPCOMMON STOCK3602711002,242240,280SH SOLE 240,28000
FUNKO INC CLASS ACOMMON STOCK36100810521036,336SH SOLE 36,33600
FUTUREFUEL CORPCOMMON STOCK36116M10645439,899SH SOLE 39,89900
FVCBANKCORP INCCOMMON STOCK36120Q10118918,898SH SOLE 18,89800
G III APPAREL GROUP LTDCOMMON STOCK36237H10187366,587SH SOLE 66,58700
G1 THERAPEUTICS INCCOMMON STOCK3621LQ10959551,552SH SOLE 51,55200
GAIA INCCOMMON STOCK36269P10417317,614SH SOLE 17,61400
GALECTIN THERAPEUTICS INCCOMMON STOCK36322520216963,130SH SOLE 63,13000
GALERA THERAPEUTICS INCCOMMON STOCK36338D10811913,182SH SOLE 13,18200
GAMCO INVESTORS INC ACOMMON STOCK361438104958,175SH SOLE 8,17500
GAMESTOP CORP CLASS ACOMMON STOCK36467W1091,585155,377SH SOLE 155,37700
GAMING AND LEISURE PROPERTIEREIT36467J10813,053353,454SH SOLE 353,45400
GANNETT CO INCCOMMON STOCK36472T109254195,042SH SOLE 195,04200
GAP INCTHECOMMON STOCK3647601086,211364,700SH SOLE 364,70000
GARMIN LTDCOMMON STOCKH2906T10930,281319,218SH SOLE 319,21800
GARTNER INCCOMMON STOCK36665110720,027160,281SH SOLE 160,28100
GATES INDUSTRIAL CORP PLCCOMMON STOCKG3910810885076,474SH SOLE 76,47400
GATX CORPCOMMON STOCK3614481033,48354,634SH SOLE 54,63400
GCI LIBERTY INC CLASS ACOMMON STOCK36164V30513,871169,247SH SOLE 169,24700
GCP APPLIED TECHNOLOGIESCOMMON STOCK36164Y1011,54673,771SH SOLE 73,77100
GENCO SHIPPING TRADING LTDCOMMON STOCKY2685T13117825,868SH SOLE 25,86800
GENCOR INDUSTRIES INCCOMMON STOCK36867810815614,147SH SOLE 14,14700
GENERAC HOLDINGS INCCOMMON STOCK36873610420,836107,601SH SOLE 107,60100
GENERAL DYNAMICS CORPCOMMON STOCK36955010863,490458,644SH SOLE 458,64400
GENERAL ELECTRIC COCOMMON STOCK369604103100,14316,074,360SH SOLE 16,074,36000
GENERAL FINANCE CORPCOMMON STOCK36982210111618,301SH SOLE 18,30100
GENERAL MILLS INCCOMMON STOCK37033410467,4021,092,769SH SOLE 1,092,76900
GENERAL MOTORS COCOMMON STOCK37045V10070,8312,393,763SH SOLE 2,393,76300
GENESCO INCCOMMON STOCK37153210246221,449SH SOLE 21,44900
GENIE ENERGY LTD BCOMMON STOCK37228420815919,862SH SOLE 19,86200
GENMARK DIAGNOSTICS INCCOMMON STOCK3723091041,497105,390SH SOLE 105,39000
GENPACT LTDCOMMON STOCKG3922B10712,829329,377SH SOLE 329,37700
GENTEX CORPCOMMON STOCK37190110911,041428,790SH SOLE 428,79000
GENTHERM INCCOMMON STOCK37253A1032,02449,497SH SOLE 49,49700
GENUINE PARTS COCOMMON STOCK37246010524,451256,918SH SOLE 256,91800
GENWORTH FINANCIAL INC CL ACOMMON STOCK37247D1062,762824,581SH SOLE 824,58100
GERMAN AMERICAN BANCORPCOMMON STOCK3738651041,01537,410SH SOLE 37,41000
GERON CORPCOMMON STOCK374163103757434,782SH SOLE 434,78200
GETTY REALTY CORPREIT3742971091,34551,727SH SOLE 51,72700
GIBRALTAR INDUSTRIES INCCOMMON STOCK3746891073,21149,294SH SOLE 49,29400
GILEAD SCIENCES INCCOMMON STOCK375558103146,8762,324,357SH SOLE 2,324,35700
GLACIER BANCORP INCCOMMON STOCK37637Q1054,642144,845SH SOLE 144,84500
GLADSTONE COMMERCIAL CORPREIT37653610885750,859SH SOLE 50,85900
GLADSTONE LAND CORPREIT37654910142328,139SH SOLE 28,13900
GLAUKOS CORPCOMMON STOCK3773221023,20064,622SH SOLE 64,62200
GLOBAL BLOOD THERAPEUTICS INCOMMON STOCK37890U1085,979108,439SH SOLE 108,43900
GLOBAL MEDICAL REIT INCREIT37954A20486263,843SH SOLE 63,84300
GLOBAL NET LEASE INCREIT3793782012,181137,190SH SOLE 137,19000
GLOBAL PAYMENTS INCCOMMON STOCK37940X10294,161530,244SH SOLE 530,24400
GLOBAL WATER RESOURCES INCCOMMON STOCK37946310219818,369SH SOLE 18,36900
GLOBE LIFE INCCOMMON STOCK37959E10215,121189,250SH SOLE 189,25000
GLOBUS MEDICAL INC ACOMMON STOCK3795772086,289126,994SH SOLE 126,99400
GLU MOBILE INCCOMMON STOCK3798901061,697221,101SH SOLE 221,10100
GLYCOMIMETICS INCCOMMON STOCK38000Q10216854,668SH SOLE 54,66800
GMS INCCOMMON STOCK36251C1031,51362,788SH SOLE 62,78800
GODADDY INC CLASS ACOMMON STOCK38023710724,173318,185SH SOLE 318,18500
GOGO INCCOMMON STOCK38046C10977283,504SH SOLE 83,50400
GOLAR LNG LTDCOMMON STOCKG9456A100831137,257SH SOLE 137,25700
GOLD RESOURCE CORPCOMMON STOCK38068T10533798,752SH SOLE 98,75200
GOLDEN ENTERTAINMENT INCCOMMON STOCK38101310136826,638SH SOLE 26,63800
GOLDMAN SACHS GROUP INCCOMMON STOCK38141G104121,422604,179SH SOLE 604,17900
GOODRICH PETROLEUM CORPCOMMON STOCK38241084310814,052SH SOLE 14,05200
GOODYEAR TIRE RUBBER COCOMMON STOCK3825501013,149410,517SH SOLE 410,51700
GOOSEHEAD INSURANCE INC ACOMMON STOCK38267D1091,69019,513SH SOLE 19,51300
GOPRO INC CLASS ACOMMON STOCK38268T103884195,177SH SOLE 195,17700
GORMAN RUPP COCOMMON STOCK38308210479727,052SH SOLE 27,05200
GOSSAMER BIO INCCOMMON STOCK38341P1021,06485,747SH SOLE 85,74700
GP STRATEGIES CORPCOMMON STOCK36225V10419019,710SH SOLE 19,71000
GRACO INCCOMMON STOCK38410910417,783289,868SH SOLE 289,86800
GRAFTECH INTERNATIONAL LTDCOMMON STOCK384313508794116,102SH SOLE 116,10200
GRAHAM CORPCOMMON STOCK38455610619415,180SH SOLE 15,18000
GRAHAM HOLDINGS CO CLASS BCOMMON STOCK3846371042,7766,870SH SOLE 6,87000
GRAND CANYON EDUCATION INCCOMMON STOCK38526M1066,38879,912SH SOLE 79,91200
GRANITE CONSTRUCTION INCCOMMON STOCK3873281071,24870,847SH SOLE 70,84700
GRANITE POINT MORTGAGE TRUSTREIT38741L10758181,904SH SOLE 81,90400
GRAPHIC PACKAGING HOLDING COCOMMON STOCK3886891017,106504,348SH SOLE 504,34800
GRAY TELEVISION INCCOMMON STOCK3893751061,809131,408SH SOLE 131,40800
GREAT AJAX CORPREIT38983D30025931,284SH SOLE 31,28400
GREAT LAKES DREDGE DOCK COCOMMON STOCK39060710990695,249SH SOLE 95,24900
GREAT SOUTHERN BANCORP INCCOMMON STOCK39090510760616,725SH SOLE 16,72500
GREAT WESTERN BANCORP INCCOMMON STOCK3914161041,03883,407SH SOLE 83,40700
GREEN BRICK PARTNERS INCCOMMON STOCK39270910159637,040SH SOLE 37,04000
GREEN DOT CORP CLASS ACOMMON STOCK39304D1023,90277,092SH SOLE 77,09200
GREEN PLAINS INCCOMMON STOCK39322210482153,021SH SOLE 53,02100
GREENBRIER COMPANIES INCCOMMON STOCK3936571011,45149,363SH SOLE 49,36300
GREENE COUNTY BANCORP INCCOMMON STOCK3943571071125,152SH SOLE 5,15200
GREENHILL CO INCCOMMON STOCK39525910424321,452SH SOLE 21,45200
GREENLANE HOLDINGS INC ACOMMON STOCK3953301033515,563SH SOLE 15,56300
GREENLIGHT CAPITAL RE LTD ACOMMON STOCKG4095J10928342,115SH SOLE 42,11500
GREIF INC CL ACOMMON STOCK3976241071,41539,072SH SOLE 39,07200
GREIF INC CL BCOMMON STOCK3976242063719,388SH SOLE 9,38800
GRIFFIN INDUSTRIAL REALTY INCOMMON STOCK3982311002093,908SH SOLE 3,90800
GRIFFON CORPCOMMON STOCK3984331021,27365,162SH SOLE 65,16200
GRITSTONE ONCOLOGY INCCOMMON STOCK39868T10511944,805SH SOLE 44,80500
GROCERY OUTLET HOLDING CORPCOMMON STOCK39874R1015,084129,300SH SOLE 129,30000
GROUP 1 AUTOMOTIVE INCCOMMON STOCK3989051092,50728,365SH SOLE 28,36500
GROUPON INCCOMMON STOCK39947320671835,186SH SOLE 35,18600
GRUBHUB INCCOMMON STOCK40011010211,440158,158SH SOLE 158,15800
GSI TECHNOLOGY INCCOMMON STOCK36241U10613824,391SH SOLE 24,39100
GTT COMMUNICATIONS INCCOMMON STOCK36239310024848,030SH SOLE 48,03000
GTY TECHNOLOGY HOLDINGS INCCOMMON STOCK36240910417365,280SH SOLE 65,28000
GUARANTY BANCSHARES INCCOMMON STOCK40076410626210,528SH SOLE 10,52800
GUARDANT HEALTH INCCOMMON STOCK40131M10914,811132,503SH SOLE 132,50300
GUESS INCCOMMON STOCK40161710574363,939SH SOLE 63,93900
GUIDEWIRE SOFTWARE INCCOMMON STOCK40171V10015,092144,739SH SOLE 144,73900
GULFPORT ENERGY CORPCOMMON STOCK402635304133252,459SH SOLE 252,45900
GWG HOLDINGS INCCOMMON STOCK36192A109384,405SH SOLE 4,40500
HB FULLER COCOMMON STOCK3596941063,56377,825SH SOLE 77,82500
HE EQUIPMENT SERVICES INCCOMMON STOCK40403010894848,237SH SOLE 48,23700
HR BLOCK INCCOMMON STOCK0936711055,656347,178SH SOLE 347,17800
HACKETT GROUP INCTHECOMMON STOCK40460910942337,817SH SOLE 37,81700
HAEMONETICS CORPMASSCOMMON STOCK4050241007,65287,697SH SOLE 87,69700
HAIN CELESTIAL GROUP INCCOMMON STOCK4052171004,786139,542SH SOLE 139,54200
HALLIBURTON COCOMMON STOCK40621610121,4461,779,766SH SOLE 1,779,76600
HALOZYME THERAPEUTICS INCCOMMON STOCK40637H1095,402205,542SH SOLE 205,54200
HAMILTON BEACH BRAND ACOMMON STOCK40701T10419610,085SH SOLE 10,08500
HAMILTON LANE INC CLASS ACOMMON STOCK4074971062,94545,596SH SOLE 45,59600
HANCOCK WHITNEY CORPCOMMON STOCK4101201092,446130,049SH SOLE 130,04900
HANESBRANDS INCCOMMON STOCK4103451029,659613,265SH SOLE 613,26500
HANGER INCCOMMON STOCK41043F20888555,972SH SOLE 55,97200
HANMI FINANCIAL CORPORATIONCOMMON STOCK41049520438146,381SH SOLE 46,38100
HANNON ARMSTRONG SUSTAINABLEREIT41068X1004,642109,828SH SOLE 109,82800
HANOVER INSURANCE GROUP INCCOMMON STOCK4108671056,04464,865SH SOLE 64,86500
HARBORONE BANCORP INCCOMMON STOCK41165Y10064479,814SH SOLE 79,81400
HARLEY DAVIDSON INCCOMMON STOCK4128221086,674271,958SH SOLE 271,95800
HARMONIC INCCOMMON STOCK413160102799143,111SH SOLE 143,11100
HARPOON THERAPEUTICS INCCOMMON STOCK41358P10627115,942SH SOLE 15,94200
HARSCO CORPCOMMON STOCK4158641071,658119,184SH SOLE 119,18400
HARTFORD FINANCIAL SVCS GRPCOMMON STOCK41651510429,286794,533SH SOLE 794,53300
HASBRO INCCOMMON STOCK41805610719,216232,302SH SOLE 232,30200
HAVERTY FURNITURECOMMON STOCK41959610153425,520SH SOLE 25,52000
HAWAIIAN ELECTRIC INDSCOMMON STOCK4198701006,098183,454SH SOLE 183,45400
HAWAIIAN HOLDINGS INCCOMMON STOCK41987910190069,790SH SOLE 69,79000
HAWKINS INCCOMMON STOCK42026110967914,728SH SOLE 14,72800
HAWTHORN BANCSHARES INCCOMMON STOCK4204761031749,163SH SOLE 9,16300
HAYNES INTERNATIONAL INCCOMMON STOCK42087720132619,072SH SOLE 19,07200
HBT FINANCIAL INCDECOMMON STOCK40411110615814,051SH SOLE 14,05100
HCA HEALTHCARE INCCOMMON STOCK40412C10161,530493,504SH SOLE 493,50400
HCI GROUP INCCOMMON STOCK40416E1034679,470SH SOLE 9,47000
HD SUPPLY HOLDINGS INCCOMMON STOCK40416M10512,802310,420SH SOLE 310,42000
HEALTH CATALYST INCCOMMON STOCK42225T1071,86350,905SH SOLE 50,90500
HEALTHCARE REALTY TRUST INCREIT4219461046,348210,753SH SOLE 210,75300
HEALTHCARE SERVICES GROUPCOMMON STOCK4219061082,434113,053SH SOLE 113,05300
HEALTHCARE TRUST OF AME CL AREIT42225P5019,974383,629SH SOLE 383,62900
HEALTHEQUITY INCCOMMON STOCK42226A1075,858114,038SH SOLE 114,03800
HEALTHPEAK PROPERTIES INCREIT42250P10326,522976,869SH SOLE 976,86900
HEALTHSTREAM INCCOMMON STOCK42222N10380239,980SH SOLE 39,98000
HEARTLAND EXPRESS INCCOMMON STOCK4223471041,37173,694SH SOLE 73,69400
HEARTLAND FINANCIAL USA INCCOMMON STOCK42234Q1021,58552,851SH SOLE 52,85100
HECLA MINING COCOMMON STOCK4227041064,013790,003SH SOLE 790,00300
HEICO CORPCOMMON STOCK4228061098,66682,802SH SOLE 82,80200
HEICO CORP CLASS ACOMMON STOCK42280620812,342139,202SH SOLE 139,20200
HEIDRICK STRUGGLES INTLCOMMON STOCK42281910257229,085SH SOLE 29,08500
HELEN OF TROY LTDCOMMON STOCKG4388N1067,41038,291SH SOLE 38,29100
HELIOS TECHNOLOGIES INCCOMMON STOCK42328H1091,71247,030SH SOLE 47,03000
HELIX ENERGY SOLUTIONS GROUPCOMMON STOCK42330P107517214,348SH SOLE 214,34800
HELMERICH PAYNECOMMON STOCK4234521012,779189,687SH SOLE 189,68700
HEMISPHERE MEDIA GROUP INCCOMMON STOCK42365Q10323426,890SH SOLE 26,89000
HENRY SCHEIN INCCOMMON STOCK80640710216,088273,692SH SOLE 273,69200
HERBALIFE NUTRITION LTDCOMMON STOCKG4412G1017,220154,762SH SOLE 154,76200
HERC HOLDINGS INCCOMMON STOCK42704L1041,45736,785SH SOLE 36,78500
HERITAGE COMMERCE CORPCOMMON STOCK42692710958688,008SH SOLE 88,00800
HERITAGE CRYSTAL CLEAN INCCOMMON STOCK42726M10631023,212SH SOLE 23,21200
HERITAGE FINANCIAL CORPCOMMON STOCK42722X1061,01855,358SH SOLE 55,35800
HERITAGE INSURANCE HOLDINGSCOMMON STOCK42727J10238437,971SH SOLE 37,97100
HERMAN MILLER INCCOMMON STOCK6005441002,70189,570SH SOLE 89,57000
HERON THERAPEUTICS INCCOMMON STOCK4277461021,963132,486SH SOLE 132,48600
HERSHA HOSPITALITY TRUSTREIT42782550029453,094SH SOLE 53,09400
HERSHEY COTHECOMMON STOCK42786610839,202273,487SH SOLE 273,48700
HERTZ GLOBAL HOLDINGS INCCOMMON STOCK42806J106370333,045SH SOLE 333,04500
HESKA CORPCOMMON STOCK42805E3061,03710,499SH SOLE 10,49900
HESS CORPCOMMON STOCK42809H10720,155492,427SH SOLE 492,42700
HEWLETT PACKARD ENTERPRISECOMMON STOCK42824C10927,4032,924,506SH SOLE 2,924,50600
HEXCEL CORPCOMMON STOCK4282911085,091151,729SH SOLE 151,72900
HF FOODS GROUP INCCOMMON STOCK40417F10935453,602SH SOLE 53,60200
HIBBETT SPORTS INCCOMMON STOCK42856710197624,875SH SOLE 24,87500
HIGHWOODS PROPERTIES INCREIT4312841085,915176,209SH SOLE 176,20900
HILL ROM HOLDINGS INCCOMMON STOCK4314751029,580114,718SH SOLE 114,71800
HILLENBRAND INCCOMMON STOCK4315711083,177112,019SH SOLE 112,01900
HILLTOP HOLDINGS INCCOMMON STOCK4327481012,236108,665SH SOLE 108,66500
HILTON GRAND VACATIONS INCCOMMON STOCK43283X1052,700128,682SH SOLE 128,68200
HILTON WORLDWIDE HOLDINGS INCOMMON STOCK43300A20341,500486,405SH SOLE 486,40500
HINGHAM INSTITUTION FOR SVGSCOMMON STOCK4333231023982,162SH SOLE 2,16200
HMS HOLDINGS CORPCOMMON STOCK40425J1013,194133,364SH SOLE 133,36400
HNI CORPCOMMON STOCK4042511002,01864,300SH SOLE 64,30000
HOLLYFRONTIER CORPCOMMON STOCK4361061085,407274,343SH SOLE 274,34300
HOLOGIC INCCOMMON STOCK43644010131,507474,007SH SOLE 474,00700
HOME BANCORP INCCOMMON STOCK43689E10729312,115SH SOLE 12,11500
HOME BANCSHARES INCCOMMON STOCK4368932003,511231,597SH SOLE 231,59700
HOME DEPOT INCCOMMON STOCK437076102573,8892,066,505SH SOLE 2,066,50500
HOMESTREET INCCOMMON STOCK43785V10286733,666SH SOLE 33,66600
HOMETRUST BANCSHARES INCCOMMON STOCK43787210432824,184SH SOLE 24,18400
HOMOLOGY MEDICINES INCCOMMON STOCK43808310754951,348SH SOLE 51,34800
HONEYWELL INTERNATIONAL INCCOMMON STOCK438516106208,1701,264,623SH SOLE 1,264,62300
HOOKER FURNITURE CORPCOMMON STOCK43903810047318,323SH SOLE 18,32300
HOOKIPA PHARMA INCCOMMON STOCK43906K10017718,742SH SOLE 18,74200
HOPE BANCORP INCCOMMON STOCK43940T1091,349177,841SH SOLE 177,84100
HORACE MANN EDUCATORSCOMMON STOCK4403271042,10062,865SH SOLE 62,86500
HORIZON BANCORP INCINCOMMON STOCK44040710465164,476SH SOLE 64,47600
HORIZON THERAPEUTICS PLCCOMMON STOCKG4618810126,669343,320SH SOLE 343,32000
HORMEL FOODS CORPCOMMON STOCK44045210024,413499,350SH SOLE 499,35000
HOST HOTELS RESORTS INCREIT44107P10415,7491,459,619SH SOLE 1,459,61900
HOSTESS BRANDS INCCOMMON STOCK44109J1062,280184,950SH SOLE 184,95000
HOUGHTON MIFFLIN HARCOURT COCOMMON STOCK44157R109273157,700SH SOLE 157,70000
HOULIHAN LOKEY INCCOMMON STOCK4415931004,57377,449SH SOLE 77,44900
HOWARD BANCORP INCCOMMON STOCK44249610518220,235SH SOLE 20,23500
HOWARD HUGHES CORPTHECOMMON STOCK44267D1073,85266,878SH SOLE 66,87800
HP INCCOMMON STOCK40434L10558,5413,082,714SH SOLE 3,082,71400
HUB GROUP INC CL ACOMMON STOCK4433201062,48649,517SH SOLE 49,51700
HUBBELL INCCOMMON STOCK44351060713,39197,861SH SOLE 97,86100
HUBSPOT INCCOMMON STOCK44357310021,33573,007SH SOLE 73,00700
HUDSON LTD CLASS ACOMMON STOCKG4640810346260,842SH SOLE 60,84200
HUDSON PACIFIC PROPERTIES INREIT4440971095,645257,412SH SOLE 257,41200
HUMANA INCCOMMON STOCK444859102103,177249,287SH SOLE 249,28700
HUNT JB TRANSPRT SVCS INCCOMMON STOCK44565810719,139151,440SH SOLE 151,44000
HUNTINGTON BANCSHARES INCCOMMON STOCK44615010416,6301,813,470SH SOLE 1,813,47000
HUNTINGTON INGALLS INDUSTRIECOMMON STOCK44641310610,05871,460SH SOLE 71,46000
HUNTSMAN CORPCOMMON STOCK4470111077,946357,749SH SOLE 357,74900
HURCO COMPANIES INCCOMMON STOCK4473241042769,727SH SOLE 9,72700
HURON CONSULTING GROUP INCCOMMON STOCK4474621021,34734,242SH SOLE 34,24200
HYATT HOTELS CORP CL ACOMMON STOCK4485791023,19459,837SH SOLE 59,83700
HYSTER YALE MATERIALSCOMMON STOCK44917210556815,281SH SOLE 15,28100
I3 VERTICALS INC CLASS ACOMMON STOCK46571Y10757522,754SH SOLE 22,75400
IAA INCCOMMON STOCK44925310312,082232,034SH SOLE 232,03400
IACINTERACTIVECORPCOMMON STOCK44891N10917,615147,065SH SOLE 147,06500
ICF INTERNATIONAL INCCOMMON STOCK44925C1031,69727,585SH SOLE 27,58500
ICHOR HOLDINGS LTDCOMMON STOCKG4740B10573634,134SH SOLE 34,13400
ICON PLCCOMMON STOCKG4705A100158827SH SOLE 82700
ICU MEDICAL INCCOMMON STOCK44930G1076,14133,602SH SOLE 33,60200
IDACORP INCCOMMON STOCK4511071066,89586,294SH SOLE 86,29400
IDEX CORPCOMMON STOCK45167R10424,891136,456SH SOLE 136,45600
IDEXX LABORATORIES INCCOMMON STOCK45168D10460,561154,057SH SOLE 154,05700
IDT CORP CLASS BCOMMON STOCK44894750717125,935SH SOLE 25,93500
IES HOLDINGS INCCOMMON STOCK44951W10639112,310SH SOLE 12,31000
IGM BIOSCIENCES INCCOMMON STOCK44958510879210,734SH SOLE 10,73400
IHS MARKIT LTDCOMMON STOCKG4756710557,418731,347SH SOLE 731,34700
II VI INCCOMMON STOCK9021041086,188152,568SH SOLE 152,56800
ILLINOIS TOOL WORKSCOMMON STOCK452308109115,254596,524SH SOLE 596,52400
ILLUMINA INCCOMMON STOCK45232710987,236282,245SH SOLE 282,24500
IMAX CORPCOMMON STOCK45245E10989274,608SH SOLE 74,60800
IMMERSION CORPORATIONCOMMON STOCK45252110718926,754SH SOLE 26,75400
IMMUNOGEN INCCOMMON STOCK45253H101934259,545SH SOLE 259,54500
IMMUNOMEDICS INCCOMMON STOCK45290710830,897363,371SH SOLE 363,37100
IMPINJ INCCOMMON STOCK45320410968325,938SH SOLE 25,93800
INCYTE CORPCOMMON STOCK45337C10229,973334,003SH SOLE 334,00300
INDEPENDENCE HOLDING COCOMMON STOCK4534403072927,736SH SOLE 7,73600
INDEPENDENCE REALTY TRUST INREIT45378A1061,656142,912SH SOLE 142,91200
INDEPENDENT BANK CORP MICHCOMMON STOCK45383860941733,190SH SOLE 33,19000
INDEPENDENT BANK CORPMACOMMON STOCK4538361082,60949,810SH SOLE 49,81000
INDEPENDENT BANK GROUP INCCOMMON STOCK45384B1062,46755,835SH SOLE 55,83500
INDUSTRIAL LOGISTICS PROPERTREIT4562371062,16098,746SH SOLE 98,74600
INFINERA CORPCOMMON STOCK45667G1031,485240,998SH SOLE 240,99800
INFORMATION SERVICES GROUPCOMMON STOCK45675Y10411454,119SH SOLE 54,11900
INGEVITY CORPCOMMON STOCK45688C1073,10862,871SH SOLE 62,87100
INGLES MARKETS INC CLASS ACOMMON STOCK45703010481221,336SH SOLE 21,33600
INGREDION INCCOMMON STOCK45718710210,645140,662SH SOLE 140,66200
INNOSPEC INCCOMMON STOCK45768S1052,34036,949SH SOLE 36,94900
INNOVATIVE INDUSTRIAL PROPERREIT45781V1013,99432,179SH SOLE 32,17900
INNOVIVA INCCOMMON STOCK45781M1011,00095,651SH SOLE 95,65100
INOGEN INCCOMMON STOCK45780L10481528,101SH SOLE 28,10100
INOVALON HOLDINGS INC ACOMMON STOCK45781D1012,965112,096SH SOLE 112,09600
INOVIO PHARMACEUTICALS INCCOMMON STOCK45773H2012,753237,288SH SOLE 237,28800
INPHI CORPCOMMON STOCK45772F1079,47684,423SH SOLE 84,42300
INSEEGO CORPCOMMON STOCK45782B1041,064103,103SH SOLE 103,10300
INSIGHT ENTERPRISES INCCOMMON STOCK45765U1033,10854,931SH SOLE 54,93100
INSMED INCCOMMON STOCK4576693074,926153,263SH SOLE 153,26300
INSPERITY INCCOMMON STOCK45778Q1073,59754,925SH SOLE 54,92500
INSPIRE MEDICAL SYSTEMS INCCOMMON STOCK4577301095,11439,627SH SOLE 39,62700
INSTALLED BUILDING PRODUCTSCOMMON STOCK45780R1013,53934,784SH SOLE 34,78400
INSTEEL INDUSTRIES INCCOMMON STOCK45774W10852127,862SH SOLE 27,86200
INSULET CORPCOMMON STOCK45784P10128,270119,491SH SOLE 119,49100
INTEGER HOLDINGS CORPCOMMON STOCK45826H1092,91949,460SH SOLE 49,46000
INTEGRA LIFESCIENCES HOLDINGCOMMON STOCK4579852085,772122,240SH SOLE 122,24000
INTEL CORPCOMMON STOCK458140100434,7108,395,321SH SOLE 8,395,32100
INTELLIA THERAPEUTICS INCCOMMON STOCK45826J1051,50875,834SH SOLE 75,83400
INTELLIGENT SYSTEMS CORPCOMMON STOCK45816D10043111,050SH SOLE 11,05000
INTER PARFUMS INCCOMMON STOCK45833410999526,641SH SOLE 26,64100
INTERACTIVE BROKERS GRO CL ACOMMON STOCK45841N1076,078125,764SH SOLE 125,76400
INTERCEPT PHARMACEUTICALS INCOMMON STOCK45845P1081,62839,262SH SOLE 39,26200
INTERCONTINENTAL EXCHANGE INCOMMON STOCK45866F10497,188971,396SH SOLE 971,39600
INTERDIGITAL INCCOMMON STOCK45867G1012,65046,438SH SOLE 46,43800
INTERFACE INCCOMMON STOCK45866530453587,404SH SOLE 87,40400
INTERNATIONAL BANCSHARES CRPCOMMON STOCK4590441032,09780,472SH SOLE 80,47200
INTERNATIONAL GAME TECHNOLOGCOMMON STOCKG4863A1081,673150,327SH SOLE 150,32700
INTERNATIONAL MONEY EXPRESSCOMMON STOCK46005L10151435,777SH SOLE 35,77700
INTERNATIONAL PAPER COCOMMON STOCK46014610328,296697,985SH SOLE 697,98500
INTERNATIONAL SEAWAYS INCCOMMON STOCKY4105310253136,343SH SOLE 36,34300
INTERPUBLIC GROUP OF COS INCCOMMON STOCK46069010011,865711,775SH SOLE 711,77500
INTERSECT ENT INCCOMMON STOCK46071F10380149,126SH SOLE 49,12600
INTL BUSINESS MACHINES CORPCOMMON STOCK459200101201,1821,653,507SH SOLE 1,653,50700
INTL FLAVORS FRAGRANCESCOMMON STOCK45950610123,839194,680SH SOLE 194,68000
INTRA CELLULAR THERAPIES INCCOMMON STOCK46116X1012,53898,925SH SOLE 98,92500
INTREPID POTASH INCCOMMON STOCK46121Y20112414,731SH SOLE 14,73100
INTRICON CORPCOMMON STOCK46121H10915412,604SH SOLE 12,60400
INTUIT INCCOMMON STOCK461202103179,857551,353SH SOLE 551,35300
INTUITIVE SURGICAL INCCOMMON STOCK46120E602150,725212,426SH SOLE 212,42600
INVACARE CORPCOMMON STOCK46120310139953,002SH SOLE 53,00200
INVESCO LTDCOMMON STOCKG491BT1088,300727,472SH SOLE 727,47200
INVESCO MORTGAGE CAPITALREIT46131B100750276,930SH SOLE 276,93000
INVESTAR HOLDING CORPCOMMON STOCK46134L10519715,385SH SOLE 15,38500
INVESTORS BANCORP INCCOMMON STOCK46146L1012,532348,704SH SOLE 348,70400
INVESTORS REAL ESTATE TRUSTREIT4617305091,26819,461SH SOLE 19,46100
INVESTORS TITLE COCOMMON STOCK4618041062652,040SH SOLE 2,04000
INVITAE CORPCOMMON STOCK46185L1037,576174,759SH SOLE 174,75900
INVITATION HOMES INCREIT46187W10727,576985,208SH SOLE 985,20800
IONIS PHARMACEUTICALS INCCOMMON STOCK46222210011,304238,239SH SOLE 238,23900
IOVANCE BIOTHERAPEUTICS INCCOMMON STOCK4622601008,000243,022SH SOLE 243,02200
IPG PHOTONICS CORPCOMMON STOCK44980X10910,51361,852SH SOLE 61,85200
IQVIA HOLDINGS INCCOMMON STOCK46266C10555,002348,932SH SOLE 348,93200
IRADIMED CORPCOMMON STOCK46266A1091878,734SH SOLE 8,73400
IRHYTHM TECHNOLOGIES INCCOMMON STOCK4500561069,88541,514SH SOLE 41,51400
IRIDIUM COMMUNICATIONS INCCOMMON STOCK46269C1024,549177,820SH SOLE 177,82000
IROBOT CORPCOMMON STOCK4627261003,17041,770SH SOLE 41,77000
IRON MOUNTAIN INCREIT46284V10114,283533,155SH SOLE 533,15500
IRONWOOD PHARMACEUTICALS INCCOMMON STOCK46333X1082,170241,259SH SOLE 241,25900
ISHARES RUSSELL 1000 VALUE ETFCOMMON STOCK4642875985554,700SH SOLE 4,70000
ISTAR INCREIT45031U1011,322111,922SH SOLE 111,92200
ITERIS INCCOMMON STOCK46564T10725963,270SH SOLE 63,27000
ITRON INCCOMMON STOCK4657411063,68960,727SH SOLE 60,72700
ITT INCCOMMON STOCK45073V1088,888150,512SH SOLE 150,51200
ITURAN LOCATION AND CONTROLCOMMON STOCKM6158M10428820,707SH SOLE 20,70700
J J SNACK FOODS CORPCOMMON STOCK4660321092,95822,682SH SOLE 22,68200
J2 GLOBAL INCCOMMON STOCK48123V1024,74468,531SH SOLE 68,53100
JABIL INCCOMMON STOCK4663131039,080265,046SH SOLE 265,04600
JACK HENRY ASSOCIATES INCCOMMON STOCK42628110126,697164,200SH SOLE 164,20000
JACK IN THE BOX INCCOMMON STOCK4663671092,71534,232SH SOLE 34,23200
JACOBS ENGINEERING GROUP INCCOMMON STOCK46981410721,289229,483SH SOLE 229,48300
JAMES RIVER GROUP HOLDINGS LCOMMON STOCKG5005R1072,00945,109SH SOLE 45,10900
JAZZ PHARMACEUTICALS PLCCOMMON STOCKG5087110517,137120,181SH SOLE 120,18100
JBG SMITH PROPERTIESREIT46590V1005,771215,817SH SOLE 215,81700
JEFFERIES FINANCIAL GROUP INCOMMON STOCK47233W1097,189399,376SH SOLE 399,37600
JELD WEN HOLDING INCCOMMON STOCK47580P1032,320102,673SH SOLE 102,67300
JERNIGAN CAPITAL INCREIT47640510558133,884SH SOLE 33,88400
JETBLUE AIRWAYS CORPCOMMON STOCK4771431015,288466,758SH SOLE 466,75800
JM SMUCKER COTHECOMMON STOCK83269640528,301244,991SH SOLE 244,99100
JOHN B SANFILIPPO SON INCCOMMON STOCK8004221071,00313,304SH SOLE 13,30400
JOHN BEAN TECHNOLOGIES CORPCOMMON STOCK4778391044,35747,415SH SOLE 47,41500
JOHNSON JOHNSONCOMMON STOCK478160104784,2595,267,726SH SOLE 5,267,72600
JOHNSON CONTROLS INTERNATIONCOMMON STOCKG5150210555,7211,364,030SH SOLE 1,364,03000
JOHNSON OUTDOORS INC ACOMMON STOCK4791671086678,139SH SOLE 8,13900
JOINT CORPTHECOMMON STOCK47973J10235120,177SH SOLE 20,17700
JONES LANG LASALLE INCCOMMON STOCK48020Q10710,682111,670SH SOLE 111,67000
JOUNCE THERAPEUTICS INCCOMMON STOCK48111610121326,139SH SOLE 26,13900
JPMORGAN CHASE COCOMMON STOCK46625H100552,6665,740,795SH SOLE 5,740,79500
JUNIPER NETWORKS INCCOMMON STOCK48203R10415,234708,544SH SOLE 708,54400
K12 INCCOMMON STOCK48273U1021,58960,336SH SOLE 60,33600
KADANT INCCOMMON STOCK48282T1041,88917,235SH SOLE 17,23500
KADMON HOLDINGS INCCOMMON STOCK48283N1061,023261,074SH SOLE 261,07400
KAISER ALUMINUM CORPCOMMON STOCK4830077041,27023,701SH SOLE 23,70100
KALA PHARMACEUTICALS INCCOMMON STOCK48311910344859,677SH SOLE 59,67700
KALEIDO BIOSCIENCES INCCOMMON STOCK48334710019417,554SH SOLE 17,55400
KALVISTA PHARMACEUTICALS INCCOMMON STOCK48349710325720,406SH SOLE 20,40600
KAMAN CORPCOMMON STOCK4835481031,63942,069SH SOLE 42,06900
KANSAS CITY SOUTHERNCOMMON STOCK48517030233,022182,612SH SOLE 182,61200
KAR AUCTION SERVICES INCCOMMON STOCK48238T1092,822195,999SH SOLE 195,99900
KARUNA THERAPEUTICS INCCOMMON STOCK48576A1001,84923,916SH SOLE 23,91600
KARYOPHARM THERAPEUTICS INCCOMMON STOCK48576U1061,549106,130SH SOLE 106,13000
KB HOMECOMMON STOCK48666K1095,127133,559SH SOLE 133,55900
KBR INCCOMMON STOCK48242W1064,821215,596SH SOLE 215,59600
KEARNY FINANCIAL CORPMDCOMMON STOCK48716P108871120,817SH SOLE 120,81700
KELLOGG COCOMMON STOCK48783610830,863477,832SH SOLE 477,83200
KELLY SERVICES INC ACOMMON STOCK48815220886850,910SH SOLE 50,91000
KEMPER CORPCOMMON STOCK4884011007,078105,913SH SOLE 105,91300
KENNAMETAL INCCOMMON STOCK4891701003,634125,562SH SOLE 125,56200
KENNEDY WILSON HOLDINGS INCCOMMON STOCK4893981072,677184,357SH SOLE 184,35700
KEURIG DR PEPPER INCCOMMON STOCK49271V10019,122692,827SH SOLE 692,82700
KEYCORPCOMMON STOCK49326710821,6161,811,879SH SOLE 1,811,87900
KEYSIGHT TECHNOLOGIES INCOMMON STOCK49338L10333,010334,178SH SOLE 334,17800
KEZAR LIFE SCIENCES INCCOMMON STOCK49372L10022947,371SH SOLE 47,37100
KFORCE INCCOMMON STOCK49373210196129,869SH SOLE 29,86900
KILROY REALTY CORPREIT49427F10810,245197,177SH SOLE 197,17700
KIMBALL ELECTRONICS INCCOMMON STOCK49428J10943837,916SH SOLE 37,91600
KIMBALL INTERNATIONAL BCOMMON STOCK49427410356853,870SH SOLE 53,87000
KIMBERLY CLARK CORPCOMMON STOCK49436810389,585606,699SH SOLE 606,69900
KIMCO REALTY CORPREIT49446R1098,112720,437SH SOLE 720,43700
KINDER MORGAN INCCOMMON STOCK49456B10145,9723,728,433SH SOLE 3,728,43300
KINDRED BIOSCIENCES INCCOMMON STOCK49457710924757,689SH SOLE 57,68900
KINIKSA PHARMACEUTICALS ACOMMON STOCKG5269C10162040,456SH SOLE 40,45600
KINSALE CAPITAL GROUP INCCOMMON STOCK49714P1086,08832,013SH SOLE 32,01300
KIRBY CORPCOMMON STOCK4972661063,783104,596SH SOLE 104,59600
KITE REALTY GROUP TRUSTREIT49803T3001,457125,825SH SOLE 125,82500
KKR REAL ESTATE FINANCE TRUSREIT48251K10071243,079SH SOLE 43,07900
KLA CORPCOMMON STOCK48248010055,370285,794SH SOLE 285,79400
KNIGHT SWIFT TRANSPORTATIONCOMMON STOCK4990491049,284228,110SH SOLE 228,11000
KNOLL INCCOMMON STOCK49890420091375,735SH SOLE 75,73500
KNOWLES CORPCOMMON STOCK49926D1091,990133,544SH SOLE 133,54400
KODIAK SCIENCES INCCOMMON STOCK50015M1092,58643,682SH SOLE 43,68200
KOHLS CORPCOMMON STOCK5002551045,665305,711SH SOLE 305,71100
KONTOOR BRANDS INCCOMMON STOCK50050N1031,88377,790SH SOLE 77,79000
KOPPERS HOLDINGS INCCOMMON STOCK50060P10664931,035SH SOLE 31,03500
KORN FERRYCOMMON STOCK5006432002,46184,861SH SOLE 84,86100
KORNIT DIGITAL LTDCOMMON STOCKM6372Q1132,77342,753SH SOLE 42,75300
KOSMOS ENERGY LTDCOMMON STOCK500688106593607,959SH SOLE 607,95900
KRAFT HEINZ COTHECOMMON STOCK50075410635,4601,183,958SH SOLE 1,183,95800
KRATON CORPCOMMON STOCK50077C10684247,223SH SOLE 47,22300
KRATOS DEFENSE SECURITYCOMMON STOCK50077B2073,542183,731SH SOLE 183,73100
KROGER COCOMMON STOCK50104410153,7141,584,029SH SOLE 1,584,02900
KRONOS WORLDWIDE INCCOMMON STOCK50105F10543533,860SH SOLE 33,86000
KRYSTAL BIOTECH INCCOMMON STOCK50114710288120,462SH SOLE 20,46200
KURA ONCOLOGY INCCOMMON STOCK50127T1092,45880,217SH SOLE 80,21700
KURA SUSHI USA INC CLASS ACOMMON STOCK501270102685,194SH SOLE 5,19400
KVH INDUSTRIES INCCOMMON STOCK48273810123025,562SH SOLE 25,56200
L BRANDS INCCOMMON STOCK50179710413,651429,132SH SOLE 429,13200
L3HARRIS TECHNOLOGIES INCCOMMON STOCK50243110965,380384,950SH SOLE 384,95000
LA JOLLA PHARMACEUTICAL COCOMMON STOCK50345960411027,276SH SOLE 27,27600
LA Z BOY INCCOMMON STOCK5053361072,12567,187SH SOLE 67,18700
LABORATORY CRP OF AMER HLDGSCOMMON STOCK50540R40933,184176,260SH SOLE 176,26000
LADDER CAPITAL CORP REITREIT5057431041,136159,511SH SOLE 159,51100
LAKELAND BANCORP INCCOMMON STOCK51163710073273,610SH SOLE 73,61000
LAKELAND FINANCIAL CORPCOMMON STOCK5116561001,54137,415SH SOLE 37,41500
LAM RESEARCH CORPCOMMON STOCK51280710890,387272,456SH SOLE 272,45600
LAMAR ADVERTISING CO AREIT5128161099,895149,537SH SOLE 149,53700
LAMB WESTON HOLDINGS INCCOMMON STOCK51327210418,147273,835SH SOLE 273,83500
LANCASTER COLONY CORPCOMMON STOCK5138471035,13828,735SH SOLE 28,73500
LANDEC CORPCOMMON STOCK51476610438940,017SH SOLE 40,01700
LANDS END INCCOMMON STOCK51509F10522917,595SH SOLE 17,59500
LANDSTAR SYSTEM INCCOMMON STOCK5150981018,57068,294SH SOLE 68,29400
LANNETT CO INCCOMMON STOCK51601210130549,846SH SOLE 49,84600
LANTHEUS HOLDINGS INCCOMMON STOCK5165441031,271100,352SH SOLE 100,35200
LAS VEGAS SANDS CORPCOMMON STOCK51783410728,590612,730SH SOLE 612,73000
LATTICE SEMICONDUCTOR CORPCOMMON STOCK5184151045,896203,588SH SOLE 203,58800
LAUREATE EDUCATION INC ACOMMON STOCK5186132032,175163,780SH SOLE 163,78000
LAWSON PRODUCTS INCCOMMON STOCK5207761052676,504SH SOLE 6,50400
LAZARD LTD CL ACOMMON STOCKG540501025,891178,244SH SOLE 178,24400
LCI INDUSTRIESCOMMON STOCK50189K1033,98137,450SH SOLE 37,45000
LCNB CORPORATIONCOMMON STOCK50181P10025618,720SH SOLE 18,72000
LEAR CORPCOMMON STOCK52186520412,097110,933SH SOLE 110,93300
LEGACY HOUSING CORPCOMMON STOCK52472M10117112,502SH SOLE 12,50200
LEGGETT PLATT INCCOMMON STOCK5246601079,552232,019SH SOLE 232,01900
LEIDOS HOLDINGS INCCOMMON STOCK52532710221,922245,895SH SOLE 245,89500
LEMAITRE VASCULAR INCCOMMON STOCK52555820180824,838SH SOLE 24,83800
LENDINGCLUB CORPCOMMON STOCK52603A208492104,509SH SOLE 104,50900
LENDINGTREE INCCOMMON STOCK52603B1074,44414,480SH SOLE 14,48000
LENNAR CORP B SHSCOMMON STOCK5260573021,76726,911SH SOLE 26,91100
LENNAR CORP ACOMMON STOCK52605710439,590484,691SH SOLE 484,69100
LENNOX INTERNATIONAL INCCOMMON STOCK52610710717,08662,674SH SOLE 62,67400
LEVEL ONE BANCORP INCCOMMON STOCK52730D2081278,171SH SOLE 8,17100
LEXICON PHARMACEUTICALS INCCOMMON STOCK5288723029364,639SH SOLE 64,63900
LEXINGTON REALTY TRUSTREIT5290431014,326413,996SH SOLE 413,99600
LGI HOMES INCCOMMON STOCK50187T1063,91733,717SH SOLE 33,71700
LHC GROUP INCCOMMON STOCK50187A10710,42849,058SH SOLE 49,05800
LIBERTY BROADBAND ACOMMON STOCK5303071078,23658,078SH SOLE 58,07800
LIBERTY BROADBAND CCOMMON STOCK53030730524,297170,061SH SOLE 170,06100
LIBERTY GLOBAL PLC CCOMMON STOCKG5480U12061429,913SH SOLE 29,91300
LIBERTY GLOBAL PLC ACOMMON STOCKG5480U10486441,131SH SOLE 41,13100
LIBERTY LATIN AMERIC CL ACOMMON STOCKG9001E10257669,853SH SOLE 69,85300
LIBERTY LATIN AMERIC CL CCOMMON STOCKG9001E1281,397171,563SH SOLE 171,56300
LIBERTY MEDIA COR SIRIUSXM ACOMMON STOCK5312294095,295159,642SH SOLE 159,64200
LIBERTY MEDIA COR SIRIUSXM CCOMMON STOCK53122960710,189308,015SH SOLE 308,01500
LIBERTY MEDIA CORP BRAVES ACOMMON STOCK53122970631915,288SH SOLE 15,28800
LIBERTY MEDIA CORP BRAVES CCOMMON STOCK5312298881,15554,957SH SOLE 54,95700
LIBERTY MEDIA CORP LIBERTY ACOMMON STOCK5312298702,11963,223SH SOLE 63,22300
LIBERTY MEDIA CORP LIBERTY CCOMMON STOCK53122985412,050332,224SH SOLE 332,22400
LIBERTY OILFIELD SERVICES ACOMMON STOCK53115L10478598,253SH SOLE 98,25300
LIBERTY TRIPADVISOR HDG ACOMMON STOCK531465102193111,543SH SOLE 111,54300
LIFE STORAGE INCREIT53223X1078,42580,036SH SOLE 80,03600
LIFETIME BRANDS INCCOMMON STOCK53222Q10317218,231SH SOLE 18,23100
LIFEVANTAGE CORPCOMMON STOCK53222K20526321,760SH SOLE 21,76000
LIGAND PHARMACEUTICALSCOMMON STOCK53220K5042,07521,771SH SOLE 21,77100
LIMELIGHT NETWORKS INCCOMMON STOCK53261M1041,032179,197SH SOLE 179,19700
LIMONEIRA COCOMMON STOCK53274610434223,939SH SOLE 23,93900
LINCOLN ELECTRIC HOLDINGSCOMMON STOCK5339001069,310101,150SH SOLE 101,15000
LINCOLN NATIONAL CORPCOMMON STOCK53418710911,834377,735SH SOLE 377,73500
LINDBLAD EXPEDITIONS HOLDINGCOMMON STOCK53521910932838,600SH SOLE 38,60000
LINDE PLCCOMMON STOCKG5494J103224,014940,720SH SOLE 940,72000
LINDSAY CORPCOMMON STOCK5355551061,59316,473SH SOLE 16,47300
LIONS GATE ENTERTAINMENT ACOMMON STOCK535919401965101,822SH SOLE 101,82200
LIONS GATE ENTERTAINMENT BCOMMON STOCK5359195001,719197,099SH SOLE 197,09900
LIQUIDIA TECHNOLOGIES INCCOMMON STOCK53635D20220240,998SH SOLE 40,99800
LIQUIDITY SERVICES INCCOMMON STOCK53635B10732243,171SH SOLE 43,17100
LITHIA MOTORS INC CL ACOMMON STOCK5367971037,94334,847SH SOLE 34,84700
LITTELFUSE INCCOMMON STOCK5370081047,15440,341SH SOLE 40,34100
LIVANOVA PLCCOMMON STOCKG5509L1013,34473,961SH SOLE 73,96100
LIVE NATION ENTERTAINMENT INCOMMON STOCK53803410913,967259,229SH SOLE 259,22900
LIVE OAK BANCSHARES INCCOMMON STOCK53803X1051,07442,405SH SOLE 42,40500
LIVENT CORPCOMMON STOCK53814L1081,992222,031SH SOLE 222,03100
LIVEPERSON INCCOMMON STOCK5381461014,85393,348SH SOLE 93,34800
LIVERAMP HOLDINGS INCCOMMON STOCK53815P1085,02497,051SH SOLE 97,05100
LIVEXLIVE MEDIA INCCOMMON STOCK53839L20818169,646SH SOLE 69,64600
LIVONGO HEALTH INCCOMMON STOCK53918310313,65497,494SH SOLE 97,49400
LKQ CORPCOMMON STOCK50188920815,202548,229SH SOLE 548,22900
LOCKHEED MARTIN CORPCOMMON STOCK539830109174,750455,934SH SOLE 455,93400
LOEWS CORPCOMMON STOCK54042410816,135464,327SH SOLE 464,32700
LOGICBIO THERAPEUTICS INCCOMMON STOCK54142F10216518,143SH SOLE 18,14300
LORAL SPACE COMMUNICATIONSCOMMON STOCK54388110635519,388SH SOLE 19,38800
LOUISIANA PACIFIC CORPCOMMON STOCK5463471055,040170,777SH SOLE 170,77700
LOVESAC COTHECOMMON STOCK54738L10941114,839SH SOLE 14,83900
LOWE S COS INCCOMMON STOCK548661107231,8211,397,691SH SOLE 1,397,69100
LPL FINANCIAL HOLDINGS INCCOMMON STOCK50212V10010,530137,339SH SOLE 137,33900
LTC PROPERTIES INCREIT5021751022,04458,634SH SOLE 58,63400
LULULEMON ATHLETICA INCCOMMON STOCK55002110981,430247,231SH SOLE 247,23100
LUMBER LIQUIDATORS HOLDINGSCOMMON STOCK55003T10796643,817SH SOLE 43,81700
LUMENTUM HOLDINGS INCCOMMON STOCK55024U1099,674128,761SH SOLE 128,76100
LUMINEX CORPCOMMON STOCK55027E1021,70865,073SH SOLE 65,07300
LUTHER BURBANK CORPCOMMON STOCK55055010723327,940SH SOLE 27,94000
LUXFER HOLDINGS PLCCOMMON STOCKG5698W11653542,635SH SOLE 42,63500
LYDALL INCCOMMON STOCK55081910642625,755SH SOLE 25,75500
LYFT INC ACOMMON STOCK55087P10411,817428,934SH SOLE 428,93400
LYONDELLBASELL INDU CL ACOMMON STOCKN5374510038,623547,919SH SOLE 547,91900
M T BANK CORPCOMMON STOCK55261F10421,450232,924SH SOLE 232,92400
MI HOMES INCCOMMON STOCK55305B1011,94142,147SH SOLE 42,14700
MACATAWA BANK CORPCOMMON STOCK55422510226540,508SH SOLE 40,50800
MACERICH COTHEREIT5543821011,642241,894SH SOLE 241,89400
MACK CALI REALTY CORPREIT5544891041,658131,404SH SOLE 131,40400
MACKINAC FINANCIAL CORPCOMMON STOCK55457110913914,357SH SOLE 14,35700
MACOM TECHNOLOGY SOLUTIONS HCOMMON STOCK55405Y1002,42171,185SH SOLE 71,18500
MACQUARIE INFRASTRUCTURE CORCOMMON STOCK55608B1053,504130,314SH SOLE 130,31400
MACROGENICS INCCOMMON STOCK5560991092,01379,898SH SOLE 79,89800
MACY S INCCOMMON STOCK55616P1043,317581,875SH SOLE 581,87500
MADRIGAL PHARMACEUTICALS INCCOMMON STOCK5588681051,56913,217SH SOLE 13,21700
MAGELLAN HEALTH INCCOMMON STOCK5590792072,87337,910SH SOLE 37,91000
MAGENTA THERAPEUTICS INCCOMMON STOCK55910K10821331,328SH SOLE 31,32800
MAGNOLIA OIL GAS CORP ACOMMON STOCK559663109977189,017SH SOLE 189,01700
MAINSTREET BANCSHARES INCCOMMON STOCK56064Y10013511,058SH SOLE 11,05800
MALIBU BOATS INC ACOMMON STOCK56117J1001,53931,049SH SOLE 31,04900
MALLINCKRODT PLCCOMMON STOCKG5785G107194199,250SH SOLE 199,25000
MANHATTAN ASSOCIATES INCCOMMON STOCK56275010910,638111,409SH SOLE 111,40900
MANITOWOC COMPANY INCCOMMON STOCK56357140543051,117SH SOLE 51,11700
MANNKIND CORPCOMMON STOCK56400P706627333,381SH SOLE 333,38100
MANPOWERGROUP INCCOMMON STOCK56418H1008,042109,673SH SOLE 109,67300
MANTECH INTERNATIONAL CORP ACOMMON STOCK5645631042,83341,131SH SOLE 41,13100
MARATHON OIL CORPCOMMON STOCK5658491065,8321,425,904SH SOLE 1,425,90400
MARATHON PETROLEUM CORPCOMMON STOCK56585A10235,2961,202,994SH SOLE 1,202,99400
MARCUS MILLICHAP INCCOMMON STOCK56632410997635,452SH SOLE 35,45200
MARCUS CORPORATIONCOMMON STOCK56633010626634,361SH SOLE 34,36100
MARINE PRODUCTS CORPCOMMON STOCK56842710818211,639SH SOLE 11,63900
MARINEMAX INCCOMMON STOCK56790810881731,842SH SOLE 31,84200
MARINUS PHARMACEUTICALS INCCOMMON STOCK56854Q20048637,854SH SOLE 37,85400
MARKEL CORPCOMMON STOCK57053510423,36323,994SH SOLE 23,99400
MARKER THERAPEUTICS INCCOMMON STOCK57055L1076342,203SH SOLE 42,20300
MARKETAXESS HOLDINGS INCCOMMON STOCK57060D10838,41179,758SH SOLE 79,75800
MARLIN BUSINESS SERVICES INCCOMMON STOCK5711571069713,745SH SOLE 13,74500
MARRIOTT INTERNATIONAL CL ACOMMON STOCK57190320243,917474,367SH SOLE 474,36700
MARRIOTT VACATIONS WORLDCOMMON STOCK57164Y1075,56661,298SH SOLE 61,29800
MARRONE BIO INNOVATIONS INCCOMMON STOCK57165B106124101,773SH SOLE 101,77300
MARSH MCLENNAN COSCOMMON STOCK571748102106,469928,239SH SOLE 928,23900
MARTEN TRANSPORT LTDCOMMON STOCK5730751081,46389,666SH SOLE 89,66600
MARTIN MARIETTA MATERIALSCOMMON STOCK57328410626,701113,448SH SOLE 113,44800
MARVELL TECHNOLOGY GROUP LTDCOMMON STOCKG5876H10546,9901,183,630SH SOLE 1,183,63000
MASCO CORPCOMMON STOCK57459910626,805486,212SH SOLE 486,21200
MASIMO CORPCOMMON STOCK57479510020,86388,381SH SOLE 88,38100
MASONITE INTERNATIONAL CORPCOMMON STOCK5753851093,61936,775SH SOLE 36,77500
MASTEC INCCOMMON STOCK5763231093,62285,831SH SOLE 85,83100
MASTERCARD INC ACOMMON STOCK57636Q104576,5861,705,019SH SOLE 1,705,01900
MASTERCRAFT BOAT HOLDINGS INCOMMON STOCK57637H10350328,767SH SOLE 28,76700
MATADOR RESOURCES COCOMMON STOCK5764852051,385167,735SH SOLE 167,73500
MATCH GROUP INCCOMMON STOCK57667L10745,714413,144SH SOLE 413,14400
MATERION CORPCOMMON STOCK5766901011,59530,654SH SOLE 30,65400
MATRIX SERVICE COCOMMON STOCK57685310534741,545SH SOLE 41,54500
MATSON INCCOMMON STOCK57686G1052,59164,628SH SOLE 64,62800
MATTEL INCCOMMON STOCK5770811027,512642,060SH SOLE 642,06000
MATTHEWS INTL CORP CLASS ACOMMON STOCK5771281011,04146,573SH SOLE 46,57300
MAUI LAND PINEAPPLE COCOMMON STOCK57734510111610,703SH SOLE 10,70300
MAXAR TECHNOLOGIES INCCOMMON STOCK57778K1052,30692,467SH SOLE 92,46700
MAXIM INTEGRATED PRODUCTSCOMMON STOCK57772K10132,521481,013SH SOLE 481,01300
MAXIMUS INCCOMMON STOCK5779331046,45394,326SH SOLE 94,32600
MAXLINEAR INCCOMMON STOCK57776J1002,377102,278SH SOLE 102,27800
MAYVILLE ENGINEERING CO INCCOMMON STOCK5786051079310,164SH SOLE 10,16400
MBIA INCCOMMON STOCK55262C10048880,459SH SOLE 80,45900
MCCORMICK CO NON VTG SHRSCOMMON STOCK57978020645,688235,384SH SOLE 235,38400
MCDONALD S CORPCOMMON STOCK580135101310,1561,413,078SH SOLE 1,413,07800
MCGRATH RENTCORPCOMMON STOCK5805891092,19336,799SH SOLE 36,79900
MDC HOLDINGS INCCOMMON STOCK5526761083,62777,015SH SOLE 77,01500
MDU RESOURCES GROUP INCCOMMON STOCK5526901097,875350,000SH SOLE 350,00000
MEDALLIA INCCOMMON STOCK5840211094,045147,511SH SOLE 147,51100
MEDICAL PROPERTIES TRUST INCREIT58463J30416,769951,187SH SOLE 951,18700
MEDICINOVA INCCOMMON STOCK58468P20633864,507SH SOLE 64,50700
MEDIFAST INCCOMMON STOCK58470H1012,81917,140SH SOLE 17,14000
MEDNAX INCCOMMON STOCK58502B1062,009123,419SH SOLE 123,41900
MEDPACE HOLDINGS INCCOMMON STOCK58506Q1094,61341,283SH SOLE 41,28300
MEDTRONIC PLCCOMMON STOCKG5960L103272,7592,624,705SH SOLE 2,624,70500
MEI PHARMA INCCOMMON STOCK55279B202484155,004SH SOLE 155,00400
MEIRAGTX HOLDINGS PLCCOMMON STOCKG5966510241030,956SH SOLE 30,95600
MELCO RESORTS ENTERT ADRCOMMON STOCK5854641005,444326,995SH SOLE 326,99500
MERCADOLIBRE INCCOMMON STOCK58733R1023,5583,287SH SOLE 3,28700
MERCANTILE BANK CORPCOMMON STOCK58737610444224,552SH SOLE 24,55200
MERCHANTS BANCORPINCOMMON STOCK58844R10825713,019SH SOLE 13,01900
MERCK CO INCCOMMON STOCK58933Y105424,0495,112,100SH SOLE 5,112,10000
MERCURY GENERAL CORPCOMMON STOCK5894001001,93046,658SH SOLE 46,65800
MERCURY SYSTEMS INCCOMMON STOCK5893781087,43796,007SH SOLE 96,00700
MEREDITH CORPCOMMON STOCK58943310178960,131SH SOLE 60,13100
MERIDIAN BANCORP INCCOMMON STOCK58958U10375072,465SH SOLE 72,46500
MERIDIAN BIOSCIENCE INCCOMMON STOCK5895841011,08764,040SH SOLE 64,04000
MERIT MEDICAL SYSTEMS INCCOMMON STOCK5898891043,56681,986SH SOLE 81,98600
MERITAGE HOMES CORPCOMMON STOCK59001A1026,20756,225SH SOLE 56,22500
MERITOR INCCOMMON STOCK59001K1002,194104,774SH SOLE 104,77400
MERSANA THERAPEUTICS INCCOMMON STOCK59045L1063,092166,060SH SOLE 166,06000
MESA AIR GROUP INCCOMMON STOCK59047913513244,595SH SOLE 44,59500
MESA LABORATORIES INCCOMMON STOCK59064R1091,8267,167SH SOLE 7,16700
META FINANCIAL GROUP INCCOMMON STOCK59100U10896950,431SH SOLE 50,43100
METHODE ELECTRONICS INCCOMMON STOCK5915202001,58355,551SH SOLE 55,55100
METLIFE INCCOMMON STOCK59156R10857,4761,546,306SH SOLE 1,546,30600
METROCITY BANKSHARES INCCOMMON STOCK59165J10534526,176SH SOLE 26,17600
METROPOLITAN BANK HOLDING COCOMMON STOCK59177410430410,840SH SOLE 10,84000
METTLER TOLEDO INTERNATIONALCOMMON STOCK59268810541,82643,309SH SOLE 43,30900
MFA FINANCIAL INCREIT55272X1021,838685,789SH SOLE 685,78900
MGE ENERGY INCCOMMON STOCK55277P1043,45655,156SH SOLE 55,15600
MGIC INVESTMENT CORPCOMMON STOCK5528481035,136579,649SH SOLE 579,64900
MGM RESORTS INTERNATIONALCOMMON STOCK55295310118,682858,957SH SOLE 858,95700
MGP INGREDIENTS INCCOMMON STOCK55303J10677619,522SH SOLE 19,52200
MICHAELS COS INCTHECOMMON STOCK59408Q1061,085112,339SH SOLE 112,33900
MICROCHIP TECHNOLOGY INCCOMMON STOCK59501710445,622443,968SH SOLE 443,96800
MICRON TECHNOLOGY INCCOMMON STOCK595112103101,6792,165,222SH SOLE 2,165,22200
MICROSOFT CORPCOMMON STOCK5949181043,077,21114,630,394SH SOLE 14,630,39400
MICROSTRATEGY INC CL ACOMMON STOCK5949724081,77011,753SH SOLE 11,75300
MID AMERICA APARTMENT COMMREIT59522J10323,631203,801SH SOLE 203,80100
MID PENN BANCORP INCCOMMON STOCK59540G10718610,736SH SOLE 10,73600
MIDDLEBY CORPCOMMON STOCK5962781018,47294,443SH SOLE 94,44300
MIDDLESEX WATER COCOMMON STOCK5966801081,60325,793SH SOLE 25,79300
MIDLAND STATES BANCORP INCCOMMON STOCK59774210543233,583SH SOLE 33,58300
MIDWESTONE FINANCIAL GROUP ICOMMON STOCK59851110339622,135SH SOLE 22,13500
MILLER INDUSTRIES INCTENNCOMMON STOCK60055120451016,689SH SOLE 16,68900
MINERALS TECHNOLOGIES INCCOMMON STOCK6031581062,62551,376SH SOLE 51,37600
MINERVA NEUROSCIENCES INCCOMMON STOCK60338010616050,290SH SOLE 50,29000
MIRATI THERAPEUTICS INCCOMMON STOCK60468T10510,13861,052SH SOLE 61,05200
MIRUM PHARMACEUTICALS INCCOMMON STOCK6047491011537,916SH SOLE 7,91600
MISONIX INCCOMMON STOCK60487110325621,797SH SOLE 21,79700
MISTRAS GROUP INCCOMMON STOCK60649T10710927,812SH SOLE 27,81200
MITEK SYSTEMS INCCOMMON STOCK60671020077060,417SH SOLE 60,41700
MKS INSTRUMENTS INCCOMMON STOCK55306N10410,44995,660SH SOLE 95,66000
MMA CAPITAL HOLDINGS INCCOMMON STOCK55315D1051727,644SH SOLE 7,64400
MOBILEIRON INCCOMMON STOCK60739U2041,022145,774SH SOLE 145,77400
MODEL N INCCOMMON STOCK6075251021,81951,547SH SOLE 51,54700
MODERNA INCCOMMON STOCK60770K10736,887521,365SH SOLE 521,36500
MODINE MANUFACTURING COCOMMON STOCK60782810046874,804SH SOLE 74,80400
MOELIS CO CLASS ACOMMON STOCK60786M1052,80579,818SH SOLE 79,81800
MOHAWK INDUSTRIES INCCOMMON STOCK60819010411,269115,468SH SOLE 115,46800
MOLECULAR TEMPLATES INCCOMMON STOCK60855010943840,071SH SOLE 40,07100
MOLINA HEALTHCARE INCCOMMON STOCK60855R10019,628107,231SH SOLE 107,23100
MOLSON COORS BEVERAGE CO BCOMMON STOCK60871R20910,797321,737SH SOLE 321,73700
MOMENTA PHARMACEUTICALS INCCOMMON STOCK60877T1009,886188,380SH SOLE 188,38000
MONARCH CASINO RESORT INCCOMMON STOCK60902710784819,020SH SOLE 19,02000
MONDELEZ INTERNATIONAL INC ACOMMON STOCK609207105146,9412,557,718SH SOLE 2,557,71800
MONGODB INCCOMMON STOCK60937P10621,08191,060SH SOLE 91,06000
MONMOUTH REAL ESTATE INV CORREIT6097201071,993143,923SH SOLE 143,92300
MONOLITHIC POWER SYSTEMS INCCOMMON STOCK60983910521,46676,772SH SOLE 76,77200
MONRO INCCOMMON STOCK6102361012,02349,869SH SOLE 49,86900
MONSTER BEVERAGE CORPCOMMON STOCK61174X10956,799708,217SH SOLE 708,21700
MONTAGE RESOURCES CORPCOMMON STOCK61179L10014432,881SH SOLE 32,88100
MOODY S CORPCOMMON STOCK61536910586,276297,657SH SOLE 297,65700
MOOG INC CLASS ACOMMON STOCK6153942022,84944,849SH SOLE 44,84900
MORGAN STANLEYCOMMON STOCK61744644891,3451,889,249SH SOLE 1,889,24900
MORNINGSTAR INCCOMMON STOCK6177001096,09437,941SH SOLE 37,94100
MORPHIC HOLDING INCCOMMON STOCK61775R10556520,649SH SOLE 20,64900
MOSAIC COTHECOMMON STOCK61945C10311,542631,753SH SOLE 631,75300
MOTORCAR PARTS OF AMERICA INCOMMON STOCK62007110045028,889SH SOLE 28,88900
MOTOROLA SOLUTIONS INCCOMMON STOCK62007630748,391308,598SH SOLE 308,59800
MOVADO GROUP INCCOMMON STOCK62458010623623,774SH SOLE 23,77400
MR COOPER GROUP INCCOMMON STOCK62482R1072,583115,723SH SOLE 115,72300
MRC GLOBAL INCCOMMON STOCK55345K103509118,843SH SOLE 118,84300
MSA SAFETY INCCOMMON STOCK5534981068,43162,841SH SOLE 62,84100
MSC INDUSTRIAL DIRECT CO ACOMMON STOCK5535301064,98578,779SH SOLE 78,77900
MSCI INCCOMMON STOCK55354G10053,475149,881SH SOLE 149,88100
MSG NETWORKS INC ACOMMON STOCK55357310657560,053SH SOLE 60,05300
MTS SYSTEMS CORPCOMMON STOCK55377710356329,470SH SOLE 29,47000
MUELLER INDUSTRIES INCCOMMON STOCK6247561022,28184,312SH SOLE 84,31200
MUELLER WATER PRODUCTS INC ACOMMON STOCK6247581082,479238,583SH SOLE 238,58300
MURPHY OIL CORPCOMMON STOCK6267171022,378266,574SH SOLE 266,57400
MURPHY USA INCCOMMON STOCK6267551025,65644,097SH SOLE 44,09700
MUSTANG BIO INCCOMMON STOCK62818Q10413743,356SH SOLE 43,35600
MVB FINANCIAL CORPCOMMON STOCK55381010223514,700SH SOLE 14,70000
MYERS INDUSTRIES INCCOMMON STOCK62846410972154,492SH SOLE 54,49200
MYLAN NVCOMMON STOCKN5946510916,3121,099,952SH SOLE 1,099,95200
MYOKARDIA INCCOMMON STOCK62857M10510,46976,789SH SOLE 76,78900
MYR GROUP INCDELAWARECOMMON STOCK55405W10491624,630SH SOLE 24,63000
MYRIAD GENETICS INCCOMMON STOCK62855J1041,419108,819SH SOLE 108,81900
N B T BANCORP INCCOMMON STOCK6287781021,74064,893SH SOLE 64,89300
NABORS INDUSTRIES LTDCOMMON STOCKG6359F13735114,349SH SOLE 14,34900
NANOSTRING TECHNOLOGIES INCCOMMON STOCK63009R1092,55557,159SH SOLE 57,15900
NAPCO SECURITY TECHNOLOGIESCOMMON STOCK63040210541817,779SH SOLE 17,77900
NASDAQ INCCOMMON STOCK63110310824,711201,374SH SOLE 201,37400
NATERA INCCOMMON STOCK6323071047,742107,172SH SOLE 107,17200
NATHAN S FAMOUS INCCOMMON STOCK6323471002374,617SH SOLE 4,61700
NATIONAL BANK HOLD CL ACOMMON STOCK6337071041,17044,558SH SOLE 44,55800
NATIONAL BANKSHARES INCVACOMMON STOCK6348651092499,838SH SOLE 9,83800
NATIONAL BEVERAGE CORPCOMMON STOCK6350171061,22518,018SH SOLE 18,01800
NATIONAL CINEMEDIA INCCOMMON STOCK63530910725694,215SH SOLE 94,21500
NATIONAL ENERGY SERVICES REUCOMMON STOCKG6375R10719931,151SH SOLE 31,15100
NATIONAL FUEL GAS COCOMMON STOCK6361801016,048148,992SH SOLE 148,99200
NATIONAL GENERAL HLDGSCOMMON STOCK6362203033,486103,276SH SOLE 103,27600
NATIONAL HEALTHCARE CORPCOMMON STOCK6359061001,18218,966SH SOLE 18,96600
NATIONAL INSTRUMENTS CORPCOMMON STOCK6365181027,885220,869SH SOLE 220,86900
NATIONAL OILWELL VARCO INCCOMMON STOCK6370711018,151899,652SH SOLE 899,65200
NATIONAL PRESTO INDS INCCOMMON STOCK6372151046267,642SH SOLE 7,64200
NATIONAL RESEARCH CORPCOMMON STOCK6373722021,00120,344SH SOLE 20,34400
NATIONAL RETAIL PROPERTIESREIT63741710612,587364,739SH SOLE 364,73900
NATIONAL STORAGE AFFILIATESREIT6378701063,10194,800SH SOLE 94,80000
NATIONAL VISION HOLDINGS INCCOMMON STOCK63845R1074,658121,797SH SOLE 121,79700
NATIONAL WESTERN LIFE GROU ACOMMON STOCK6385171027083,871SH SOLE 3,87100
NATL HEALTH INVESTORS INCREIT63633D1043,92165,064SH SOLE 65,06400
NATURAL GROCERS BY VITAMIN CCOMMON STOCK63888U10813813,971SH SOLE 13,97100
NATURES SUNSHINE PRODS INCCOMMON STOCK63902710115313,203SH SOLE 13,20300
NATUS MEDICAL INCCOMMON STOCK63905010386950,726SH SOLE 50,72600
NAVIENT CORPCOMMON STOCK63938C1082,708320,505SH SOLE 320,50500
NAVISTAR INTERNATIONAL CORPCOMMON STOCK63934E1083,29975,770SH SOLE 75,77000
NCR CORPORATIONCOMMON STOCK62886E1084,983225,066SH SOLE 225,06600
NEENAH INCCOMMON STOCK64007910994725,284SH SOLE 25,28400
NEKTAR THERAPEUTICSCOMMON STOCK6402681084,933297,328SH SOLE 297,32800
NELNET INC CL ACOMMON STOCK64031N1081,57126,067SH SOLE 26,06700
NEOGEN CORPCOMMON STOCK6404911066,24479,795SH SOLE 79,79500
NEOGENOMICS INCCOMMON STOCK64049M2095,781156,720SH SOLE 156,72000
NEOPHOTONICS CORPCOMMON STOCK64051T10044372,787SH SOLE 72,78700
NETAPP INCCOMMON STOCK64110D10417,973409,970SH SOLE 409,97000
NETFLIX INCCOMMON STOCK64110L106423,800847,549SH SOLE 847,54900
NETGEAR INCCOMMON STOCK64111Q1041,38745,002SH SOLE 45,00200
NETSCOUT SYSTEMS INCCOMMON STOCK64115T1042,297105,205SH SOLE 105,20500
NEUROCRINE BIOSCIENCES INCCOMMON STOCK64125C10916,201168,482SH SOLE 168,48200
NEVRO CORPCOMMON STOCK64157F1037,08050,825SH SOLE 50,82500
NEW JERSEY RESOURCES CORPCOMMON STOCK6460251063,907144,588SH SOLE 144,58800
NEW RELIC INCCOMMON STOCK64829B1005,08990,300SH SOLE 90,30000
NEW RESIDENTIAL INVESTMENTREIT64828T2015,809730,686SH SOLE 730,68600
NEW SENIOR INVESTMENT GROUPREIT648691103496124,036SH SOLE 124,03600
NEW YORK COMMUNITY BANCORPCOMMON STOCK6494451036,518788,132SH SOLE 788,13200
NEW YORK MORTGAGE TRUST INCREIT6496045011,466574,956SH SOLE 574,95600
NEW YORK TIMES CO ACOMMON STOCK65011110712,290287,224SH SOLE 287,22400
NEWELL BRANDS INCCOMMON STOCK65122910612,384721,684SH SOLE 721,68400
NEWMARK GROUP INC CLASS ACOMMON STOCK65158N102937216,911SH SOLE 216,91100
NEWMARKET CORPCOMMON STOCK6515871074,13412,076SH SOLE 12,07600
NEWMONT CORPCOMMON STOCK65163910690,8211,431,379SH SOLE 1,431,37900
NEWPARK RESOURCES INCCOMMON STOCK651718504144137,477SH SOLE 137,47700
NEWS CORP CLASS ACOMMON STOCK65249B10910,034715,706SH SOLE 715,70600
NEWS CORP CLASS BCOMMON STOCK65249B2082,999214,553SH SOLE 214,55300
NEXPOINT RESIDENTIALREIT65341D1021,45132,708SH SOLE 32,70800
NEXSTAR MEDIA GROUP INC CL ACOMMON STOCK65336K1036,86976,381SH SOLE 76,38100
NEXTCURE INCCOMMON STOCK65343E10821924,844SH SOLE 24,84400
NEXTDECADE CORPCOMMON STOCK65342K1059531,775SH SOLE 31,77500
NEXTERA ENERGY INCCOMMON STOCK65339F101256,532924,240SH SOLE 924,24000
NEXTGEN HEALTHCARE INCCOMMON STOCK65343C1021,07083,992SH SOLE 83,99200
NEXTIER OILFIELD SOLUTIONS ICOMMON STOCK65290C105446241,252SH SOLE 241,25200
NGM BIOPHARMACEUTICALS INCCOMMON STOCK62921N10557035,834SH SOLE 35,83400
NI HOLDINGS INCCOMMON STOCK65342T10625114,860SH SOLE 14,86000
NIC INCCOMMON STOCK62914B1001,977100,365SH SOLE 100,36500
NICOLET BANKSHARES INCCOMMON STOCK65406E10277114,124SH SOLE 14,12400
NIELSEN HOLDINGS PLCCOMMON STOCKG6518L1089,861695,433SH SOLE 695,43300
NIKE INC CL BCOMMON STOCK654106103306,6922,442,983SH SOLE 2,442,98300
NISOURCE INCCOMMON STOCK65473P10514,663666,502SH SOLE 666,50200
NL INDUSTRIESCOMMON STOCK6291564075613,059SH SOLE 13,05900
NLIGHT INCCOMMON STOCK65487K1001,23252,457SH SOLE 52,45700
NMI HOLDINGS INC CLASS ACOMMON STOCK6292093052,215124,461SH SOLE 124,46100
NN INCCOMMON STOCK62933710633364,481SH SOLE 64,48100
NOBLE ENERGY INCCOMMON STOCK6550441057,392864,553SH SOLE 864,55300
NOODLES COCOMMON STOCK65540B10532547,238SH SOLE 47,23800
NORDIC AMERICAN TANKERS LTDCOMMON STOCKG65773106758217,083SH SOLE 217,08300
NORDSON CORPCOMMON STOCK65566310220,146105,025SH SOLE 105,02500
NORDSTROM INCCOMMON STOCK6556641002,432204,023SH SOLE 204,02300
NORFOLK SOUTHERN CORPCOMMON STOCK65584410898,955462,426SH SOLE 462,42600
NORTHEAST BANKCOMMON STOCK66405S10023512,762SH SOLE 12,76200
NORTHERN TRUST CORPCOMMON STOCK66585910427,960358,596SH SOLE 358,59600
NORTHFIELD BANCORP INCCOMMON STOCK66611T10865671,914SH SOLE 71,91400
NORTHRIM BANCORP INCCOMMON STOCK66676210925710,102SH SOLE 10,10200
NORTHROP GRUMMAN CORPCOMMON STOCK66680710294,279298,832SH SOLE 298,83200
NORTHWEST BANCSHARES INCCOMMON STOCK6673401031,634177,590SH SOLE 177,59000
NORTHWEST NATURAL HOLDING COCOMMON STOCK66765N1052,08845,994SH SOLE 45,99400
NORTHWEST PIPE COCOMMON STOCK66774610139114,785SH SOLE 14,78500
NORTHWESTERN CORPCOMMON STOCK6680743053,74577,004SH SOLE 77,00400
NORTONLIFELOCK INCCOMMON STOCK66877110825,2181,210,057SH SOLE 1,210,05700
NORWEGIAN CRUISE LINE HOLDINCOMMON STOCKG667211048,301485,130SH SOLE 485,13000
NORWOOD FINANCIAL CORPCOMMON STOCK6695491072229,108SH SOLE 9,10800
NOVAGOLD RESOURCES INCCOMMON STOCK66987E2064,272359,294SH SOLE 359,29400
NOVANTA INCCOMMON STOCK67000B1045,45751,804SH SOLE 51,80400
NOVAVAX INCCOMMON STOCK67000240110,11393,339SH SOLE 93,33900
NOVOCURE LTDCOMMON STOCKG6674U10819,519175,358SH SOLE 175,35800
NOW INCCOMMON STOCK67011P100752165,622SH SOLE 165,62200
NRG ENERGY INCCOMMON STOCK62937750815,535505,359SH SOLE 505,35900
NU SKIN ENTERPRISES INC ACOMMON STOCK67018T1054,60992,021SH SOLE 92,02100
NUANCE COMMUNICATIONS INCCOMMON STOCK67020Y10016,006482,263SH SOLE 482,26300
NUCOR CORPCOMMON STOCK67034610524,163538,631SH SOLE 538,63100
NUTANIX INC ACOMMON STOCK67059N1087,161322,873SH SOLE 322,87300
NUVASIVE INCCOMMON STOCK6707041053,77977,803SH SOLE 77,80300
NV5 GLOBAL INCCOMMON STOCK62945V10987016,494SH SOLE 16,49400
NVE CORPCOMMON STOCK6294452063657,444SH SOLE 7,44400
NVENT ELECTRIC PLCCOMMON STOCKG6700G1074,709266,198SH SOLE 266,19800
NVIDIA CORPCOMMON STOCK67066G104624,3541,153,604SH SOLE 1,153,60400
NVR INCCOMMON STOCK62944T10526,7736,557SH SOLE 6,55700
NXP SEMICONDUCTORS NVCOMMON STOCKN6596X1093,36226,938SH SOLE 26,93800
O I GLASS INCCOMMON STOCK67098H1042,724257,250SH SOLE 257,25000
O REILLY AUTOMOTIVE INCCOMMON STOCK67103H10762,318135,157SH SOLE 135,15700
OAK VALLEY BANCORPCOMMON STOCK67180710512310,734SH SOLE 10,73400
OCCIDENTAL PETROLEUM CORPCOMMON STOCK67459910515,2561,524,058SH SOLE 1,524,05800
OCEANEERING INTL INCCOMMON STOCK675232102605171,741SH SOLE 171,74100
OCEANFIRST FINANCIAL CORPCOMMON STOCK6752341081,20087,646SH SOLE 87,64600
OCULAR THERAPEUTIX INCCOMMON STOCK67576A10069791,539SH SOLE 91,53900
ODONATE THERAPEUTICS INCCOMMON STOCK67607910626519,716SH SOLE 19,71600
OFFICE PROPERTIES INCOME TRUREIT67623C1091,50372,521SH SOLE 72,52100
OFG BANCORPCOMMON STOCK67103X10295276,397SH SOLE 76,39700
OGE ENERGY CORPCOMMON STOCK67083710310,458348,727SH SOLE 348,72700
OHIO VALLEY BANC CORPCOMMON STOCK6777191061346,502SH SOLE 6,50200
OIL DRI CORP OF AMERICACOMMON STOCK6778641002857,961SH SOLE 7,96100
OIL STATES INTERNATIONAL INCCOMMON STOCK67802610525191,995SH SOLE 91,99500
OKTA INCCOMMON STOCK67929510544,801209,498SH SOLE 209,49800
OLD DOMINION FREIGHT LINECOMMON STOCK67958010038,562213,143SH SOLE 213,14300
OLD NATIONAL BANCORPCOMMON STOCK6800331073,120248,435SH SOLE 248,43500
OLD REPUBLIC INTL CORPCOMMON STOCK6802231047,318496,461SH SOLE 496,46100
OLD SECOND BANCORP INCCOMMON STOCK68027710033945,171SH SOLE 45,17100
OLIN CORPCOMMON STOCK6806652053,194258,025SH SOLE 258,02500
OLLIE S BARGAIN OUTLET HOLDICOMMON STOCK6811161098,40796,250SH SOLE 96,25000
OLYMPIC STEEL INCCOMMON STOCK68162K10616114,166SH SOLE 14,16600
OMEGA FLEX INCCOMMON STOCK6820951046894,396SH SOLE 4,39600
OMEGA HEALTHCARE INVESTORSREIT68193610012,162406,197SH SOLE 406,19700
OMEROS CORPCOMMON STOCK68214310290489,439SH SOLE 89,43900
OMNICELL INCCOMMON STOCK68213N1094,79564,225SH SOLE 64,22500
OMNICOM GROUPCOMMON STOCK68191910618,879381,384SH SOLE 381,38400
ON SEMICONDUCTOR CORPCOMMON STOCK68218910515,336707,046SH SOLE 707,04600
ONCOCYTE CORPCOMMON STOCK68235C10713295,193SH SOLE 95,19300
ONE GAS INCCOMMON STOCK68235P1085,47179,277SH SOLE 79,27700
ONE LIBERTY PROPERTIES INCREIT68240610339424,075SH SOLE 24,07500
ONEMAIN HOLDINGS INCCOMMON STOCK68268W1033,483111,443SH SOLE 111,44300
ONEOK INCCOMMON STOCK68268010321,057810,497SH SOLE 810,49700
ONESPAN INCCOMMON STOCK68287N1001,05950,521SH SOLE 50,52100
ONESPAWORLD HOLDINGS LTDCOMMON STOCKP7368411344668,597SH SOLE 68,59700
ONTO INNOVATION INCCOMMON STOCK6833441052,13671,723SH SOLE 71,72300
OOMA INCCOMMON STOCK68341610140731,150SH SOLE 31,15000
OP BANCORPCOMMON STOCK67109R10911520,018SH SOLE 20,01800
OPKO HEALTH INCCOMMON STOCK68375N1032,222602,167SH SOLE 602,16700
OPORTUN FINANCIAL CORPCOMMON STOCK68376D10434629,313SH SOLE 29,31300
OPPENHEIMER HOLDINGS CL ACOMMON STOCK68379710431314,044SH SOLE 14,04400
OPTIMIZERX CORPCOMMON STOCK68401U20445321,746SH SOLE 21,74600
OPTINOSE INCCOMMON STOCK68404V10020251,807SH SOLE 51,80700
OPTION CARE HEALTH INCCOMMON STOCK68404L20188966,516SH SOLE 66,51600
ORACLE CORPCOMMON STOCK68389X105224,0753,753,358SH SOLE 3,753,35800
ORASURE TECHNOLOGIES INCCOMMON STOCK68554V1081,309107,581SH SOLE 107,58100
ORBCOMM INCCOMMON STOCK68555P100384112,974SH SOLE 112,97400
ORCHID ISLAND CAPITAL INCREIT68571X103504100,599SH SOLE 100,59900
ORGANOGENESIS HOLDINGS INCCOMMON STOCK68621F10211730,517SH SOLE 30,51700
ORIGIN BANCORP INCCOMMON STOCK68621T10270833,146SH SOLE 33,14600
ORION ENGINEERED CARBONS SACOMMON STOCKL729671091,13991,031SH SOLE 91,03100
ORMAT TECHNOLOGIES INCCOMMON STOCK6866881023,58260,593SH SOLE 60,59300
ORRSTOWN FINL SERVICES INCCOMMON STOCK68738010520415,948SH SOLE 15,94800
ORTHOFIX MEDICAL INCCOMMON STOCK68752M10887928,226SH SOLE 28,22600
ORTHOPEDIATRICS CORPCOMMON STOCK68752L10091119,843SH SOLE 19,84300
OSHKOSH CORPCOMMON STOCK6882392018,786119,535SH SOLE 119,53500
OSI SYSTEMS INCCOMMON STOCK6710441051,99125,658SH SOLE 25,65800
OSMOTICA PHARMACEUTICALS PLCCOMMON STOCKG6S41R10110018,404SH SOLE 18,40400
OTTER TAIL CORPCOMMON STOCK6896481032,21961,363SH SOLE 61,36300
OUTFRONT MEDIA INCREIT69007J1063,695253,968SH SOLE 253,96800
OVERSEAS SHIPHOLDING GROUP ACOMMON STOCK69036R863216100,778SH SOLE 100,77800
OVERSTOCKCOM INCCOMMON STOCK6903701014,69264,583SH SOLE 64,58300
OWENS MINOR INCCOMMON STOCK6907321022,893115,232SH SOLE 115,23200
OWENS CORNINGCOMMON STOCK69074210114,336208,347SH SOLE 208,34700
OXFORD INDUSTRIES INCCOMMON STOCK6914973091,01425,130SH SOLE 25,13000
OYSTER POINT PHARMA INCCOMMON STOCK69242L1061607,576SH SOLE 7,57600
P G E CORPCOMMON STOCK69331C10821,4852,288,119SH SOLE 2,288,11900
PAM TRANSPORTATION SVCSCOMMON STOCK6931491061112,946SH SOLE 2,94600
PACCAR INCCOMMON STOCK69371810852,281613,054SH SOLE 613,05400
PACIFIC BIOSCIENCES OF CALIFCOMMON STOCK69404D1082,492252,504SH SOLE 252,50400
PACIFIC PREMIER BANCORP INCCOMMON STOCK69478X1052,437121,022SH SOLE 121,02200
PACIRA BIOSCIENCES INCCOMMON STOCK6951271003,81763,487SH SOLE 63,48700
PACKAGING CORP OF AMERICACOMMON STOCK69515610919,848182,009SH SOLE 182,00900
PACWEST BANCORPCOMMON STOCK6952631033,516205,877SH SOLE 205,87700
PAGERDUTY INCCOMMON STOCK69553P1003,275120,818SH SOLE 120,81800
PALO ALTO NETWORKS INCCOMMON STOCK69743510542,598174,048SH SOLE 174,04800
PALOMAR HOLDINGS INCCOMMON STOCK69753M1053,19730,673SH SOLE 30,67300
PAPA JOHN S INTL INCCOMMON STOCK6988131024,07549,527SH SOLE 49,52700
PAR PACIFIC HOLDINGS INCCOMMON STOCK69888T20740860,334SH SOLE 60,33400
PAR TECHNOLOGY CORPDELCOMMON STOCK69888410398324,260SH SOLE 24,26000
PARAMOUNT GROUP INCREIT69924R1082,299324,743SH SOLE 324,74300
PARATEK PHARMACEUTICALS INCCOMMON STOCK69937430235766,002SH SOLE 66,00200
PARK AEROSPACE CORPCOMMON STOCK70014A10432129,439SH SOLE 29,43900
PARK HOTELS RESORTS INCREIT7005171054,206421,055SH SOLE 421,05500
PARK NATIONAL CORPCOMMON STOCK7006581071,77221,617SH SOLE 21,61700
PARK OHIO HOLDINGS CORPCOMMON STOCK70066610022313,852SH SOLE 13,85200
PARKE BANCORP INCCOMMON STOCK70088510618415,425SH SOLE 15,42500
PARKER HANNIFIN CORPCOMMON STOCK70109410447,129232,920SH SOLE 232,92000
PARSLEY ENERGY INC CLASS ACOMMON STOCK7018771024,827515,747SH SOLE 515,74700
PARSONS CORPCOMMON STOCK70202L1021,15934,568SH SOLE 34,56800
PATRICK INDUSTRIES INCCOMMON STOCK7033431031,93833,688SH SOLE 33,68800
PATTERSON COS INCCOMMON STOCK7033951033,295136,708SH SOLE 136,70800
PATTERSON UTI ENERGY INCCOMMON STOCK703481101878307,905SH SOLE 307,90500
PAYCHEX INCCOMMON STOCK70432610750,120628,301SH SOLE 628,30100
PAYCOM SOFTWARE INCCOMMON STOCK70432V10227,89389,602SH SOLE 89,60200
PAYLOCITY HOLDING CORPCOMMON STOCK70438V1069,85161,026SH SOLE 61,02600
PAYPAL HOLDINGS INCCOMMON STOCK70450Y103458,9272,329,223SH SOLE 2,329,22300
PAYSIGN INCCOMMON STOCK70451A10426346,369SH SOLE 46,36900
PBF ENERGY INC CLASS ACOMMON STOCK69318G106993174,468SH SOLE 174,46800
PC CONNECTION INCCOMMON STOCK69318J10068316,636SH SOLE 16,63600
PCB BANCORPCOMMON STOCK69320M10916919,278SH SOLE 19,27800
PCSB FINANCIAL CORPCOMMON STOCK69324R10428623,661SH SOLE 23,66100
PDC ENERGY INCCOMMON STOCK69327R1011,868150,719SH SOLE 150,71900
PDF SOLUTIONS INCCOMMON STOCK69328210581743,678SH SOLE 43,67800
PDL BIOPHARMA INCCOMMON STOCK69329Y104536170,156SH SOLE 170,15600
PDL COMMUNITY BANCORPCOMMON STOCK69290X10112013,599SH SOLE 13,59900
PEAPACK GLADSTONE FINL CORPCOMMON STOCK70469910743428,616SH SOLE 28,61600
PEBBLEBROOK HOTEL TRUSTREIT70509V1002,483198,152SH SOLE 198,15200
PEGASYSTEMS INCCOMMON STOCK7055731038,41169,490SH SOLE 69,49000
PENN NATIONAL GAMING INCCOMMON STOCK70756910916,739230,254SH SOLE 230,25400
PENN VIRGINIA CORPCOMMON STOCK70788V10221021,361SH SOLE 21,36100
PENNANT GROUP INCTHECOMMON STOCK70805E1091,48738,576SH SOLE 38,57600
PENNS WOODS BANCORP INCCOMMON STOCK70843010321010,598SH SOLE 10,59800
PENNYMAC FINANCIAL SERVICESCOMMON STOCK70932M1073,73364,236SH SOLE 64,23600
PENNYMAC MORTGAGE INVESTMENTREIT70931T1032,414150,240SH SOLE 150,24000
PENSKE AUTOMOTIVE GROUP INCCOMMON STOCK70959W1032,75157,720SH SOLE 57,72000
PENTAIR PLCCOMMON STOCKG7S00T10414,368313,907SH SOLE 313,90700
PENUMBRA INCCOMMON STOCK70975L10711,93361,390SH SOLE 61,39000
PEOPLE S UNITED FINANCIALCOMMON STOCK7127041057,661743,026SH SOLE 743,02600
PEOPLES BANCORP INCCOMMON STOCK70978910153327,942SH SOLE 27,94200
PEOPLES BANCORP OF NCCOMMON STOCK7105771071117,186SH SOLE 7,18600
PEOPLES FINANCIAL SERVICESCOMMON STOCK71104010536910,623SH SOLE 10,62300
PEPSICO INCCOMMON STOCK713448108370,6632,674,335SH SOLE 2,674,33500
PERFICIENT INCCOMMON STOCK71375U1012,10549,251SH SOLE 49,25100
PERFORMANCE FOOD GROUP COCOMMON STOCK71377A1037,099205,056SH SOLE 205,05600
PERKINELMER INCCOMMON STOCK71404610925,044199,538SH SOLE 199,53800
PERRIGO CO PLCCOMMON STOCKG9782210311,294245,998SH SOLE 245,99800
PERSONALIS INCCOMMON STOCK71535D10677735,875SH SOLE 35,87500
PERSPECTA INCCOMMON STOCK7153471004,216216,767SH SOLE 216,76700
PETIQ INCCOMMON STOCK71639T1061,05031,881SH SOLE 31,88100
PETMED EXPRESS INCCOMMON STOCK71638210693629,598SH SOLE 29,59800
PFIZER INCCOMMON STOCK717081103393,83610,731,232SH SOLE 10,731,23200
PGT INNOVATIONS INCCOMMON STOCK69336V1011,51286,308SH SOLE 86,30800
PHASEBIO PHARMACEUTICALS INCCOMMON STOCK7172241097721,999SH SOLE 21,99900
PHATHOM PHARMACEUTICALS INCCOMMON STOCK71722W10761016,629SH SOLE 16,62900
PHIBRO ANIMAL HEALTH CORP ACOMMON STOCK71742Q10653630,803SH SOLE 30,80300
PHILLIPS 66COMMON STOCK71854610444,345855,428SH SOLE 855,42800
PHOTRONICS INCCOMMON STOCK71940510295095,336SH SOLE 95,33600
PHREESIA INCCOMMON STOCK71944F1061,38543,104SH SOLE 43,10400
PHYSICIANS REALTY TRUSTREIT71943U1045,658315,919SH SOLE 315,91900
PICO HOLDINGS INCCOMMON STOCK69336620525228,084SH SOLE 28,08400
PIEDMONT OFFICE REALTY TRU AREIT7201902062,589190,788SH SOLE 190,78800
PIERIS PHARMACEUTICALS INCCOMMON STOCK72079510315775,873SH SOLE 75,87300
PILGRIM S PRIDE CORPCOMMON STOCK72147K1081,36991,458SH SOLE 91,45800
PING IDENTITY HOLDING CORPCOMMON STOCK72341T1031,73055,438SH SOLE 55,43800
PINNACLE FINANCIAL PARTNERSCOMMON STOCK72346Q1044,504126,557SH SOLE 126,55700
PINNACLE WEST CAPITALCOMMON STOCK72348410117,962240,937SH SOLE 240,93700
PINTEREST INC CLASS ACOMMON STOCK72352L10630,247728,663SH SOLE 728,66300
PIONEER BANCORP INCNYCOMMON STOCK72356110615116,958SH SOLE 16,95800
PIONEER NATURAL RESOURCES COCOMMON STOCK72378710728,626332,894SH SOLE 332,89400
PIPER SANDLER COSCOMMON STOCK7240781001,91826,272SH SOLE 26,27200
PITNEY BOWES INCCOMMON STOCK7244791001,601301,435SH SOLE 301,43500
PJT PARTNERS INC ACOMMON STOCK69343T1072,15435,534SH SOLE 35,53400
PLANET FITNESS INC CL ACOMMON STOCK72703H1018,610139,724SH SOLE 139,72400
PLANTRONICS INCCOMMON STOCK72749310861051,502SH SOLE 51,50200
PLAYAGS INCCOMMON STOCK72814N10414540,852SH SOLE 40,85200
PLEXUS CORPCOMMON STOCK7291321003,06243,346SH SOLE 43,34600
PLUG POWER INCCOMMON STOCK72919P2026,918515,902SH SOLE 515,90200
PLURALSIGHT INC ACOMMON STOCK72941B1063,154184,124SH SOLE 184,12400
PNC FINANCIAL SERVICES GROUPCOMMON STOCK69347510584,605769,768SH SOLE 769,76800
PNM RESOURCES INCCOMMON STOCK69349H1074,966120,144SH SOLE 120,14400
POLARIS INCCOMMON STOCK7310681029,654102,330SH SOLE 102,33000
POOL CORPCOMMON STOCK73278L10522,88468,403SH SOLE 68,40300
POPULAR INCCOMMON STOCK7331747005,159142,235SH SOLE 142,23500
PORTLAND GENERAL ELECTRIC COCOMMON STOCK7365088475,154145,179SH SOLE 145,17900
POST HOLDINGS INCCOMMON STOCK7374461049,749113,355SH SOLE 113,35500
POTLATCHDELTIC CORPREIT7376301034,17799,218SH SOLE 99,21800
POWELL INDUSTRIES INCCOMMON STOCK73912810633013,693SH SOLE 13,69300
POWER INTEGRATIONS INCCOMMON STOCK7392761034,94889,316SH SOLE 89,31600
PPG INDUSTRIES INCCOMMON STOCK69350610753,507438,293SH SOLE 438,29300
PPL CORPCOMMON STOCK69351T10642,3541,556,565SH SOLE 1,556,56500
PQ GROUP HOLDINGS INCCOMMON STOCK73943T10359157,576SH SOLE 57,57600
PRA GROUP INCCOMMON STOCK69354N1062,73368,417SH SOLE 68,41700
PRA HEALTH SCIENCES INCCOMMON STOCK69354M10811,253110,930SH SOLE 110,93000
PRECISION BIOSCIENCES INCCOMMON STOCK74019P10843270,079SH SOLE 70,07900
PREFERRED APARTMENT COMMUN AREIT74039L10338270,826SH SOLE 70,82600
PREFERRED BANKLOS ANGELESCOMMON STOCK74036740467220,934SH SOLE 20,93400
PREFORMED LINE PRODUCTS COCOMMON STOCK7404441042324,770SH SOLE 4,77000
PREMIER FINANCIAL BANCORPCOMMON STOCK74050M10521419,792SH SOLE 19,79200
PREMIER INC CLASS ACOMMON STOCK74051N1023,470105,705SH SOLE 105,70500
PRESTIGE CONSUMER HEALTHCARECOMMON STOCK74112D1012,77676,232SH SOLE 76,23200
PREVAIL THERAPEUTICS INCCOMMON STOCK74140Y10121721,336SH SOLE 21,33600
PRICESMART INCCOMMON STOCK7415111092,28534,388SH SOLE 34,38800
PRIMEENERGY RESOURCES CORPCOMMON STOCK74158E10454809SH SOLE 80900
PRIMERICA INCCOMMON STOCK74164M1088,19772,449SH SOLE 72,44900
PRIMORIS SERVICES CORPCOMMON STOCK74164F1031,30572,351SH SOLE 72,35100
PRINCIPAL FINANCIAL GROUPCOMMON STOCK74251V10220,818516,969SH SOLE 516,96900
PRIORITY TECHNOLOGY HOLDINGSCOMMON STOCK74275G1073210,074SH SOLE 10,07400
PROASSURANCE CORPCOMMON STOCK74267C1061,26781,017SH SOLE 81,01700
PROCTER GAMBLE COTHECOMMON STOCK742718109647,8794,661,336SH SOLE 4,661,33600
PROGRESS SOFTWARE CORPCOMMON STOCK7433121002,48267,656SH SOLE 67,65600
PROGRESSIVE CORPCOMMON STOCK743315103100,0131,056,433SH SOLE 1,056,43300
PROGYNY INCCOMMON STOCK74340E1031,18940,413SH SOLE 40,41300
PROLOGIS INCREIT74340W103132,3201,315,044SH SOLE 1,315,04400
PROOFPOINT INCCOMMON STOCK74342410310,54899,931SH SOLE 99,93100
PROPETRO HOLDING CORPCOMMON STOCK74347M108490120,719SH SOLE 120,71900
PROS HOLDINGS INCCOMMON STOCK74346Y1031,89859,409SH SOLE 59,40900
PROSIGHT GLOBAL INCCOMMON STOCK74349J10316314,361SH SOLE 14,36100
PROSPERITY BANCSHARES INCCOMMON STOCK7436061058,239158,969SH SOLE 158,96900
PROTAGONIST THERAPEUTICS INCCOMMON STOCK74366E10289645,846SH SOLE 45,84600
PROTECTIVE INSURANCE CORP BCOMMON STOCK74368L20318514,074SH SOLE 14,07400
PROTHENA CORP PLCCOMMON STOCKG7280010846346,386SH SOLE 46,38600
PROTO LABS INCCOMMON STOCK7437131095,23940,454SH SOLE 40,45400
PROVIDENCE SERVICE CORPCOMMON STOCK7438151021,69318,227SH SOLE 18,22700
PROVIDENT BANCORP INCCOMMON STOCK74383L10510213,102SH SOLE 13,10200
PROVIDENT FINANCIAL HLDGSCOMMON STOCK7438681011099,122SH SOLE 9,12200
PROVIDENT FINANCIAL SERVICESCOMMON STOCK74386T1051,336109,504SH SOLE 109,50400
PRUDENTIAL BANCORP INCCOMMON STOCK74431A10114413,624SH SOLE 13,62400
PRUDENTIAL FINANCIAL INCCOMMON STOCK74432010249,009771,549SH SOLE 771,54900
PS BUSINESS PARKS INCCAREIT69360J1073,73330,504SH SOLE 30,50400
PTC INCCOMMON STOCK69370C10015,708189,891SH SOLE 189,89100
PTC THERAPEUTICS INCCOMMON STOCK69366J2004,37893,637SH SOLE 93,63700
PUBLIC SERVICE ENTERPRISE GPCOMMON STOCK74457310657,2771,043,114SH SOLE 1,043,11400
PUBLIC STORAGEREIT74460D10972,351324,853SH SOLE 324,85300
PULSE BIOSCIENCES INCCOMMON STOCK74587B10124921,103SH SOLE 21,10300
PULTEGROUP INCCOMMON STOCK74586710126,284567,809SH SOLE 567,80900
PUMA BIOTECHNOLOGY INCCOMMON STOCK74587V10747747,260SH SOLE 47,26000
PURE CYCLE CORPCOMMON STOCK74622830326529,428SH SOLE 29,42800
PURE STORAGE INC CLASS ACOMMON STOCK74624M1026,478420,894SH SOLE 420,89400
PURPLE INNOVATION INCCOMMON STOCK74640Y10683433,545SH SOLE 33,54500
PVH CORPCOMMON STOCK6936561007,544126,498SH SOLE 126,49800
PZENA INVESTMENT MANAGM CL ACOMMON STOCK74731Q10314827,519SH SOLE 27,51900
Q2 HOLDINGS INCCOMMON STOCK74736L1096,84675,017SH SOLE 75,01700
QAD INC ACOMMON STOCK74727D30674717,713SH SOLE 17,71300
QCR HOLDINGS INCCOMMON STOCK74727A10462522,801SH SOLE 22,80100
QIAGEN NVCOMMON STOCKN7248212320,161385,790SH SOLE 385,79000
QORVO INCCOMMON STOCK74736K10131,381243,247SH SOLE 243,24700
QTS REALTY TRUST INC CL AREIT74736A1035,84092,676SH SOLE 92,67600
QUAD GRAPHICS INCCOMMON STOCK74730110915450,673SH SOLE 50,67300
QUAKER CHEMICAL CORPCOMMON STOCK7473161073,61720,126SH SOLE 20,12600
QUALCOMM INCCOMMON STOCK747525103245,9802,090,241SH SOLE 2,090,24100
QUALYS INCCOMMON STOCK74758T3035,04851,510SH SOLE 51,51000
QUANEX BUILDING PRODUCTSCOMMON STOCK74761910493150,486SH SOLE 50,48600
QUANTA SERVICES INCCOMMON STOCK74762E10212,899244,013SH SOLE 244,01300
QUANTERIX CORPCOMMON STOCK74766Q1011,07431,831SH SOLE 31,83100
QUEST DIAGNOSTICS INCCOMMON STOCK74834L10032,309282,198SH SOLE 282,19800
QUIDEL CORPCOMMON STOCK74838J10114,38865,586SH SOLE 65,58600
QUINSTREET INCCOMMON STOCK74874Q1001,13371,498SH SOLE 71,49800
QUOTIENT TECHNOLOGY INCCOMMON STOCK749119103956129,539SH SOLE 129,53900
QURATE RETAIL INC SERIES ACOMMON STOCK74915M1005,172720,314SH SOLE 720,31400
R1 RCM INCCOMMON STOCK7493971052,771161,596SH SOLE 161,59600
RADIAN GROUP INCCOMMON STOCK7502361014,238290,048SH SOLE 290,04800
RADIANT LOGISTICS INCCOMMON STOCK75025X10030960,037SH SOLE 60,03700
RADIUS HEALTH INCCOMMON STOCK75046920777868,605SH SOLE 68,60500
RADNET INCCOMMON STOCK7504911021,00365,341SH SOLE 65,34100
RADWARE LTDCOMMON STOCKM818731071,07544,347SH SOLE 44,34700
RAFAEL HOLDINGS INC CLASS BCOMMON STOCK75062E10621513,845SH SOLE 13,84500
RALPH LAUREN CORPCOMMON STOCK7512121016,27792,355SH SOLE 92,35500
RAMBUS INCCOMMON STOCK7509171062,348171,479SH SOLE 171,47900
RANGE RESOURCES CORPCOMMON STOCK75281A1092,145324,053SH SOLE 324,05300
RAPID7 INCCOMMON STOCK7534221044,66976,238SH SOLE 76,23800
RAPT THERAPEUTICS INCCOMMON STOCK75382E10953316,542SH SOLE 16,54200
RAVEN INDUSTRIES INCCOMMON STOCK7542121081,16654,184SH SOLE 54,18400
RAYMOND JAMES FINANCIAL INCCOMMON STOCK75473010915,690215,647SH SOLE 215,64700
RAYONIER ADVANCED MATERIALSCOMMON STOCK75508B10429993,408SH SOLE 93,40800
RAYONIER INCREIT7549071036,169233,318SH SOLE 233,31800
RBB BANCORPCOMMON STOCK74930B10528425,083SH SOLE 25,08300
RBC BEARINGS INCCOMMON STOCK75524B1044,51637,258SH SOLE 37,25800
RCI HOSPITALITY HOLDINGS INCCOMMON STOCK74934Q10826412,955SH SOLE 12,95500
REMAX HOLDINGS INC CL ACOMMON STOCK75524W10888326,990SH SOLE 26,99000
READY CAPITAL CORPREIT75574U10170963,325SH SOLE 63,32500
REALOGY HOLDINGS CORPCOMMON STOCK75605Y1061,896200,881SH SOLE 200,88100
REALPAGE INCCOMMON STOCK75606N1098,915154,671SH SOLE 154,67100
REALREAL INCTHECOMMON STOCK88339P1011,37294,784SH SOLE 94,78400
REALTY INCOME CORPREIT75610910438,319630,758SH SOLE 630,75800
REATA PHARMACEUTICALS INC ACOMMON STOCK75615P1034,11942,284SH SOLE 42,28400
RECRO PHARMA INCCOMMON STOCK75629F1096229,644SH SOLE 29,64400
RED RIVER BANCSHARES INCCOMMON STOCK75686R2023267,590SH SOLE 7,59000
RED ROBIN GOURMET BURGERSCOMMON STOCK75689M10130823,407SH SOLE 23,40700
RED ROCK RESORTS INC CLASS ACOMMON STOCK75700L1081,70099,404SH SOLE 99,40400
REDFIN CORPCOMMON STOCK75737F1087,601152,232SH SOLE 152,23200
REDWOOD TRUST INCREIT7580754021,305173,472SH SOLE 173,47200
REGAL BELOIT CORPCOMMON STOCK7587501036,69071,273SH SOLE 71,27300
REGENCY CENTERS CORPREIT75884910311,412300,147SH SOLE 300,14700
REGENERON PHARMACEUTICALSCOMMON STOCK75886F107101,086180,581SH SOLE 180,58100
REGENXBIO INCCOMMON STOCK75901B1071,41651,457SH SOLE 51,45700
REGIONAL MANAGEMENT CORPCOMMON STOCK75902K10622013,233SH SOLE 13,23300
REGIONS FINANCIAL CORPCOMMON STOCK7591EP10020,7261,797,580SH SOLE 1,797,58000
REGIS CORPCOMMON STOCK75893210722136,060SH SOLE 36,06000
REINSURANCE GROUP OF AMERICACOMMON STOCK75935160411,793123,892SH SOLE 123,89200
RELIANCE STEEL ALUMINUMCOMMON STOCK75950910211,551113,201SH SOLE 113,20100
RELIANT BANCORP INCCOMMON STOCK75956B10133623,147SH SOLE 23,14700
RENAISSANCERE HOLDINGS LTDCOMMON STOCKG7496G10315,15289,264SH SOLE 89,26400
RENASANT CORPCOMMON STOCK75970E1071,86682,116SH SOLE 82,11600
RENEWABLE ENERGY GROUP INCCOMMON STOCK75972A3013,08457,729SH SOLE 57,72900
RENT A CENTER INCCOMMON STOCK76009N1002,18573,103SH SOLE 73,10300
REPLIGEN CORPCOMMON STOCK75991610913,59392,131SH SOLE 92,13100
REPLIMUNE GROUP INCCOMMON STOCK76029N10672731,560SH SOLE 31,56000
REPUBLIC BANCORP INC CLASS ACOMMON STOCK76028120441214,639SH SOLE 14,63900
REPUBLIC FIRST BANCORP INCCOMMON STOCK76041610713568,022SH SOLE 68,02200
REPUBLIC SERVICES INCCOMMON STOCK76075910034,060364,866SH SOLE 364,86600
RESIDEO TECHNOLOGIES INCCOMMON STOCK76118Y1042,240203,661SH SOLE 203,66100
RESMED INCCOMMON STOCK76115210747,293275,872SH SOLE 275,87200
RESOURCES CONNECTION INCCOMMON STOCK76122Q10553346,187SH SOLE 46,18700
RETAIL OPPORTUNITY INVESTMENREIT76131N1011,813174,094SH SOLE 174,09400
RETAIL PROPERTIES OF AME AREIT76131V2021,881323,727SH SOLE 323,72700
RETAIL VALUE INCREIT76133Q10231224,812SH SOLE 24,81200
RETROPHIN INCCOMMON STOCK7612991061,36774,039SH SOLE 74,03900
REV GROUP INCCOMMON STOCK74952710733141,969SH SOLE 41,96900
REVANCE THERAPEUTICS INCCOMMON STOCK7613301092,39495,235SH SOLE 95,23500
REVLON INC CLASS ACOMMON STOCK7615256096710,667SH SOLE 10,66700
REX AMERICAN RESOURCES CORPCOMMON STOCK7616241055688,664SH SOLE 8,66400
REXFORD INDUSTRIAL REALTY INREIT76169C1009,692211,790SH SOLE 211,79000
REXNORD CORPCOMMON STOCK76169B1025,508184,595SH SOLE 184,59500
RGC RESOURCES INCCOMMON STOCK74955L10327211,620SH SOLE 11,62000
RHCOMMON STOCK74967X1039,00623,537SH SOLE 23,53700
RHYTHM PHARMACEUTICALS INCCOMMON STOCK76243J1051,09850,685SH SOLE 50,68500
RIBBON COMMUNICATIONS INCCOMMON STOCK762544104394101,882SH SOLE 101,88200
RICHMOND MUTUAL BANCORPORATICOMMON STOCK76525P10021920,711SH SOLE 20,71100
RIGEL PHARMACEUTICALS INCCOMMON STOCK766559603613255,259SH SOLE 255,25900
RIMINI STREET INCCOMMON STOCK76674Q1079930,729SH SOLE 30,72900
RINGCENTRAL INC CLASS ACOMMON STOCK76680R20638,740141,072SH SOLE 141,07200
RITE AID CORPCOMMON STOCK767754872995104,886SH SOLE 104,88600
RIVERVIEW BANCORP INCCOMMON STOCK76939710013732,951SH SOLE 32,95100
RLI CORPCOMMON STOCK7496071075,01159,847SH SOLE 59,84700
RLJ LODGING TRUSTREIT74965L1012,147247,891SH SOLE 247,89100
RMR GROUP INCTHE ACOMMON STOCK74967R10662922,897SH SOLE 22,89700
ROBERT HALF INTL INCCOMMON STOCK77032310313,487254,764SH SOLE 254,76400
ROCKET PHARMACEUTICALS INCCOMMON STOCK77313F1061,17751,486SH SOLE 51,48600
ROCKWELL AUTOMATION INCCOMMON STOCK77390310946,511210,762SH SOLE 210,76200
ROCKWELL MEDICAL INCCOMMON STOCK774374102109101,694SH SOLE 101,69400
ROCKY BRANDS INCCOMMON STOCK77451510026910,829SH SOLE 10,82900
ROGERS CORPCOMMON STOCK7751331012,76528,201SH SOLE 28,20100
ROKU INCCOMMON STOCK77543R10236,270192,110SH SOLE 192,11000
ROLLINS INCCOMMON STOCK77571110415,183280,180SH SOLE 280,18000
ROPER TECHNOLOGIES INCCOMMON STOCK77669610673,836186,875SH SOLE 186,87500
ROSETTA STONE INCCOMMON STOCK7777801071,05835,296SH SOLE 35,29600
ROSS STORES INCCOMMON STOCK77829610359,597638,630SH SOLE 638,63000
ROYAL CARIBBEAN CRUISES LTDCOMMON STOCKV7780T10320,185311,829SH SOLE 311,82900
ROYAL GOLD INCCOMMON STOCK78028710813,788114,736SH SOLE 114,73600
RPC INCCOMMON STOCK74966010623789,750SH SOLE 89,75000
RPM INTERNATIONAL INCCOMMON STOCK74968510319,479235,141SH SOLE 235,14100
RPT REALTYREIT74971D101664122,002SH SOLE 122,00200
RUBIUS THERAPEUTICS INCCOMMON STOCK78116T10327153,993SH SOLE 53,99300
RUSH ENTERPRISES INC CL BCOMMON STOCK7818463083187,185SH SOLE 7,18500
RUSH ENTERPRISES INC CL ACOMMON STOCK7818462092,08741,301SH SOLE 41,30100
RUTH S HOSPITALITY GROUP INCCOMMON STOCK78333210954249,047SH SOLE 49,04700
RYDER SYSTEM INCCOMMON STOCK7835491084,15198,263SH SOLE 98,26300
RYERSON HOLDING CORPCOMMON STOCK78375410415226,491SH SOLE 26,49100
RYMAN HOSPITALITY PROPERTIESREIT78377T1072,80976,324SH SOLE 76,32400
S T BANCORP INCCOMMON STOCK7838591011,03358,420SH SOLE 58,42000
SP GLOBAL INCCOMMON STOCK78409V104157,553436,920SH SOLE 436,92000
SABRA HEALTH CARE REIT INCREIT78573L1064,284310,783SH SOLE 310,78300
SABRE CORPCOMMON STOCK78573M1043,189489,935SH SOLE 489,93500
SAFE BULKERS INCCOMMON STOCKY7388L1038380,278SH SOLE 80,27800
SAFEGUARD SCIENTIFICS INCCOMMON STOCK78644920716630,357SH SOLE 30,35700
SAFEHOLD INCREIT78645L1001,62626,183SH SOLE 26,18300
SAFETY INSURANCE GROUP INCCOMMON STOCK78648T1001,51221,889SH SOLE 21,88900
SAGA COMMUNICATIONS INC CL ACOMMON STOCK7865983001165,824SH SOLE 5,82400
SAGE THERAPEUTICS INCCOMMON STOCK78667J1085,38788,132SH SOLE 88,13200
SAIA INCCOMMON STOCK78709Y1055,01739,776SH SOLE 39,77600
SAILPOINT TECHNOLOGIES HOLDICOMMON STOCK78781P1055,274133,277SH SOLE 133,27700
SALESFORCECOM INCCOMMON STOCK79466L302416,1281,655,771SH SOLE 1,655,77100
SALLY BEAUTY HOLDINGS INCCOMMON STOCK79546E1041,481170,413SH SOLE 170,41300
SANDERSON FARMS INCCOMMON STOCK8000131043,75031,787SH SOLE 31,78700
SANDY SPRING BANCORP INCCOMMON STOCK8003631031,60369,459SH SOLE 69,45900
SANGAMO THERAPEUTICS INCCOMMON STOCK8006771061,654174,976SH SOLE 174,97600
SANMINA CORPCOMMON STOCK8010561022,928108,228SH SOLE 108,22800
SANTANDER CONSUMER USA HOLDICOMMON STOCK80283M1012,545139,934SH SOLE 139,93400
SAREPTA THERAPEUTICS INCCOMMON STOCK80360710019,197136,702SH SOLE 136,70200
SATSUMA PHARMACEUTICALS INCCOMMON STOCK80405P1075413,858SH SOLE 13,85800
SAUL CENTERS INCREIT80439510149518,606SH SOLE 18,60600
SAVARA INCCOMMON STOCK8051111017669,994SH SOLE 69,99400
SBA COMMUNICATIONS CORPREIT78410G10462,771197,095SH SOLE 197,09500
SCANSOURCE INCCOMMON STOCK80603710776038,312SH SOLE 38,31200
SCHLUMBERGER LTDCOMMON STOCK80685710847,6023,059,249SH SOLE 3,059,24900
SCHNEIDER NATIONAL INC CL BCOMMON STOCK80689H1022,494100,862SH SOLE 100,86200
SCHNITZER STEEL INDS INC ACOMMON STOCK80688210676339,677SH SOLE 39,67700
SCHOLAR ROCK HOLDING CORPCOMMON STOCK80706P10360634,247SH SOLE 34,24700
SCHOLASTIC CORPCOMMON STOCK80706610593644,582SH SOLE 44,58200
SCHWAB CHARLES CORPCOMMON STOCK80851310567,0511,850,711SH SOLE 1,850,71100
SCHWEITZER MAUDUIT INTL INCCOMMON STOCK8085411061,43947,358SH SOLE 47,35800
SCIENCE APPLICATIONS INTECOMMON STOCK8086251077,960101,501SH SOLE 101,50100
SCIENTIFIC GAMES CORPCOMMON STOCK80874P1093,01586,372SH SOLE 86,37200
SCORPIO BULKERS INCCOMMON STOCKY7546A13019213,554SH SOLE 13,55400
SCORPIO TANKERS INCCOMMON STOCKY7542C13085777,442SH SOLE 77,44200
SCOTTS MIRACLE GRO COCOMMON STOCK81018610610,90671,320SH SOLE 71,32000
SCULPTOR CAPITAL MANAGEMENTCOMMON STOCK81124610732227,399SH SOLE 27,39900
SEABOARD CORPCOMMON STOCK8115431071,251441SH SOLE 44100
SEACOAST BANKING CORPFLCOMMON STOCK8117078011,40878,074SH SOLE 78,07400
SEACOR HOLDINGS INCCOMMON STOCK81190410184228,939SH SOLE 28,93900
SEAGATE TECHNOLOGYCOMMON STOCKG7945M1074,979101,064SH SOLE 101,06400
SEALED AIR CORPCOMMON STOCK81211K10011,421294,282SH SOLE 294,28200
SEASPINE HOLDINGS CORPCOMMON STOCK81255T10856739,666SH SOLE 39,66600
SEAWORLD ENTERTAINMENT INCCOMMON STOCK81282V1001,51476,766SH SOLE 76,76600
SECUREWORKS CORP ACOMMON STOCK81374A10515213,343SH SOLE 13,34300
SEI INVESTMENTS COMPANYCOMMON STOCK78411710312,231241,157SH SOLE 241,15700
SELECT BANCORP INCCOMMON STOCK81617L10818325,520SH SOLE 25,52000
SELECT ENERGY SERVICES INC ACOMMON STOCK81617J30134489,501SH SOLE 89,50100
SELECT MEDICAL HOLDINGS CORPCOMMON STOCK81619Q1053,427164,587SH SOLE 164,58700
SELECTIVE INSURANCE GROUPCOMMON STOCK8163001074,60389,397SH SOLE 89,39700
SEMPRA ENERGYCOMMON STOCK81685110962,626529,114SH SOLE 529,11400
SEMTECH CORPCOMMON STOCK8168501015,18297,848SH SOLE 97,84800
SENECA FOODS CORP CL ACOMMON STOCK8170705013559,928SH SOLE 9,92800
SENSATA TECHNOLOGIES HOLDINGCOMMON STOCKG8060N10212,183282,415SH SOLE 282,41500
SENSIENT TECHNOLOGIES CORPCOMMON STOCK81725T1003,71964,402SH SOLE 64,40200
SERES THERAPEUTICS INCCOMMON STOCK81750R1022,27580,349SH SOLE 80,34900
SERITAGE GROWTH PROP A REITREIT81752R10068951,259SH SOLE 51,25900
SERVICE CORP INTERNATIONALCOMMON STOCK81756510412,581298,265SH SOLE 298,26500
SERVICE PROPERTIES TRUSTREIT81761L1022,136268,710SH SOLE 268,71000
SERVICENOW INCCOMMON STOCK81762P102169,527349,541SH SOLE 349,54100
SERVISFIRST BANCSHARES INCCOMMON STOCK81768T1082,49973,448SH SOLE 73,44800
SFL CORP LTDCOMMON STOCKG7738W1061,094146,095SH SOLE 146,09500
SHAKE SHACK INC CLASS ACOMMON STOCK8190471013,42553,111SH SOLE 53,11100
SHENANDOAH TELECOMMUNICATIONCOMMON STOCK82312B1063,23872,881SH SOLE 72,88100
SHERWIN WILLIAMS COTHECOMMON STOCK824348106106,034152,186SH SOLE 152,18600
SHOCKWAVE MEDICAL INCCOMMON STOCK82489T1043,26343,047SH SOLE 43,04700
SHOE CARNIVAL INCCOMMON STOCK82488910947614,187SH SOLE 14,18700
SHORE BANCSHARES INCCOMMON STOCK82510710521919,958SH SOLE 19,95800
SHOTSPOTTER INCCOMMON STOCK82536T10738012,249SH SOLE 12,24900
SHUTTERSTOCK INCCOMMON STOCK8256901001,72433,120SH SOLE 33,12000
SI BONE INCCOMMON STOCK82570410990738,258SH SOLE 38,25800
SIEBERT FINANCIAL CORPCOMMON STOCK8261761094212,932SH SOLE 12,93200
SIENTRA INCCOMMON STOCK82621J10523869,976SH SOLE 69,97600
SIERRA BANCORPCOMMON STOCK82620P10236421,700SH SOLE 21,70000
SIGA TECHNOLOGIES INCCOMMON STOCK82691710654278,885SH SOLE 78,88500
SIGNATURE BANKCOMMON STOCK82669G1047,94595,735SH SOLE 95,73500
SIGNET JEWELERS LTDCOMMON STOCKG812761001,75093,590SH SOLE 93,59000
SILGAN HOLDINGS INCCOMMON STOCK8270481094,973135,244SH SOLE 135,24400
SILICON LABORATORIES INCCOMMON STOCK8269191026,41865,595SH SOLE 65,59500
SILK ROAD MEDICAL INCCOMMON STOCK82710M1002,73540,700SH SOLE 40,70000
SILVERCREST ASSET MANAGEME ACOMMON STOCK82835910915114,431SH SOLE 14,43100
SILVERGATE CAPITAL CORP CL ACOMMON STOCK82837P40834123,715SH SOLE 23,71500
SIMMONS FIRST NATL CORP CL ACOMMON STOCK8287302002,588163,215SH SOLE 163,21500
SIMON PROPERTY GROUP INCREIT82880610936,739568,013SH SOLE 568,01300
SIMPLY GOOD FOODS COTHECOMMON STOCK82900L1022,840128,782SH SOLE 128,78200
SIMPSON MANUFACTURING CO INCCOMMON STOCK8290731056,40265,889SH SOLE 65,88900
SIMULATIONS PLUS INCCOMMON STOCK8292141051,60721,322SH SOLE 21,32200
SINCLAIR BROADCAST GROUP ACOMMON STOCK8292261091,28666,852SH SOLE 66,85200
SIRIUS XM HOLDINGS INCCOMMON STOCK82968B10311,0512,061,746SH SOLE 2,061,74600
SITE CENTERS CORPREIT82981J1091,667231,578SH SOLE 231,57800
SITEONE LANDSCAPE SUPPLY INCCOMMON STOCK82982L1038,11066,504SH SOLE 66,50400
SIX FLAGS ENTERTAINMENT CORPCOMMON STOCK83001A1022,768136,373SH SOLE 136,37300
SJW GROUPCOMMON STOCK7843051042,43540,013SH SOLE 40,01300
SKECHERS USA INC CL ACOMMON STOCK8305661057,054233,433SH SOLE 233,43300
SKYLINE CHAMPION CORPCOMMON STOCK8308301052,13079,581SH SOLE 79,58100
SKYWEST INCCOMMON STOCK8308791022,24175,055SH SOLE 75,05500
SKYWORKS SOLUTIONS INCCOMMON STOCK83088M10251,535354,191SH SOLE 354,19100
SL GREEN REALTY CORPREIT78440X1015,969128,726SH SOLE 128,72600
SLEEP NUMBER CORPCOMMON STOCK83125X1032,00440,973SH SOLE 40,97300
SLM CORPCOMMON STOCK78442P1065,231646,612SH SOLE 646,61200
SM ENERGY COCOMMON STOCK78454L100319200,808SH SOLE 200,80800
SMART GLOBAL HOLDINGS INCCOMMON STOCKG8232Y10158521,388SH SOLE 21,38800
SMARTFINANCIAL INCCOMMON STOCK83190L20828821,180SH SOLE 21,18000
SMARTSHEET INC CLASS ACOMMON STOCK83200N1039,630194,869SH SOLE 194,86900
SMITH AO CORPCOMMON STOCK83186520912,801242,452SH SOLE 242,45200
SNAP INC ACOMMON STOCK83304A1061,45455,705SH SOLE 55,70500
SNAP ON INCCOMMON STOCK83303410116,727113,687SH SOLE 113,68700
SOLARIS OILFIELD INFRAST ACOMMON STOCK83418M10327643,594SH SOLE 43,59400
SOLARWINDS CORPCOMMON STOCK83417Q1051,62279,748SH SOLE 79,74800
SOLID BIOSCIENCES INCCOMMON STOCK83422E1057336,076SH SOLE 36,07600
SOLITON INCCOMMON STOCK834251100769,949SH SOLE 9,94900
SONIC AUTOMOTIVE INC CLASS ACOMMON STOCK83545G1021,45136,120SH SOLE 36,12000
SONOCO PRODUCTS COCOMMON STOCK8354951028,982175,873SH SOLE 175,87300
SONOS INCCOMMON STOCK83570H1081,852122,016SH SOLE 122,01600
SORRENTO THERAPEUTICS INCCOMMON STOCK83587F2023,736335,076SH SOLE 335,07600
SOUTH JERSEY INDUSTRIESCOMMON STOCK8385181082,942152,654SH SOLE 152,65400
SOUTH PLAINS FINANCIAL INCCOMMON STOCK83946P10719415,633SH SOLE 15,63300
SOUTH STATE CORPCOMMON STOCK8404411095,098105,869SH SOLE 105,86900
SOUTHERN COTHECOMMON STOCK84258710799,2181,829,914SH SOLE 1,829,91400
SOUTHERN COPPER CORPCOMMON STOCK84265V1056,376140,853SH SOLE 140,85300
SOUTHERN FIRST BANCSHARESCOMMON STOCK84287310126210,868SH SOLE 10,86800
SOUTHERN MISSOURI BANCORPCOMMON STOCK84338010628912,258SH SOLE 12,25800
SOUTHERN NATL BANCORP OF VACOMMON STOCK84339510425329,100SH SOLE 29,10000
SOUTHSIDE BANCSHARES INCCOMMON STOCK84470P1091,18348,432SH SOLE 48,43200
SOUTHWEST AIRLINES COCOMMON STOCK84474110839,6361,056,962SH SOLE 1,056,96200
SOUTHWEST GAS HOLDINGS INCCOMMON STOCK8448951025,46586,607SH SOLE 86,60700
SOUTHWESTERN ENERGY COCOMMON STOCK8454671092,131906,994SH SOLE 906,99400
SP PLUS CORPCOMMON STOCK78469C10362534,833SH SOLE 34,83300
SPARK ENERGY INC CLASS ACOMMON STOCK84651110315118,127SH SOLE 18,12700
SPARTANNASH COCOMMON STOCK8472151001,06465,049SH SOLE 65,04900
SPECTRUM BRANDS HOLDINGS INCCOMMON STOCK84790A1054,15872,738SH SOLE 72,73800
SPECTRUM PHARMACEUTICALS INCCOMMON STOCK84763A108891218,297SH SOLE 218,29700
SPERO THERAPEUTICS INCCOMMON STOCK84833T10324722,163SH SOLE 22,16300
SPIRE INCCOMMON STOCK84857L1014,04876,083SH SOLE 76,08300
SPIRIT AEROSYSTEMS HOLD CL ACOMMON STOCK8485741093,585189,597SH SOLE 189,59700
SPIRIT AIRLINES INCCOMMON STOCK8485771022,172134,877SH SOLE 134,87700
SPIRIT OF TEXAS BANCSHARES ICOMMON STOCK84861D10323721,236SH SOLE 21,23600
SPIRIT REALTY CAPITAL INCREIT84860W3005,947176,221SH SOLE 176,22100
SPLUNK INCCOMMON STOCK84863710454,485289,611SH SOLE 289,61100
SPOK HOLDINGS INCCOMMON STOCK84863T10626127,444SH SOLE 27,44400
SPORTSMAN S WAREHOUSE HOLDINCOMMON STOCK84920Y10693865,571SH SOLE 65,57100
SPOTIFY TECHNOLOGY SACOMMON STOCKL8681T10256,049231,063SH SOLE 231,06300
SPRINGWORKS THERAPEUTICS INCCOMMON STOCK85205L1071,52632,013SH SOLE 32,01300
SPROUT SOCIAL INC CLASS ACOMMON STOCK85209W1091,58741,224SH SOLE 41,22400
SPROUTS FARMERS MARKET INCCOMMON STOCK85208M1024,473213,697SH SOLE 213,69700
SPS COMMERCE INCCOMMON STOCK78463M1074,15353,330SH SOLE 53,33000
SPX CORPCOMMON STOCK7846351043,00764,825SH SOLE 64,82500
SPX FLOW INCCOMMON STOCK78469X1072,75564,345SH SOLE 64,34500
SQUARE INC ACOMMON STOCK852234103116,188714,781SH SOLE 714,78100
SSC TECHNOLOGIES HOLDINGSCOMMON STOCK78467J10024,625406,894SH SOLE 406,89400
ST JOE COTHECOMMON STOCK7901481001,04050,436SH SOLE 50,43600
STAAR SURGICAL COCOMMON STOCK8523123053,92169,327SH SOLE 69,32700
STAG INDUSTRIAL INCREIT85254J1026,924227,095SH SOLE 227,09500
STAMPSCOM INCCOMMON STOCK8528572006,20025,731SH SOLE 25,73100
STANDARD MOTOR PRODSCOMMON STOCK8536661051,44432,333SH SOLE 32,33300
STANDEX INTERNATIONAL CORPCOMMON STOCK8542311071,10418,644SH SOLE 18,64400
STANLEY BLACK DECKER INCCOMMON STOCK85450210145,556280,862SH SOLE 280,86200
STARBUCKS CORPCOMMON STOCK855244109189,7402,208,329SH SOLE 2,208,32900
STARTEK INCCOMMON STOCK85569C10713325,319SH SOLE 25,31900
STARWOOD PROPERTY TRUST INCREIT85571B1057,187476,257SH SOLE 476,25700
STATE AUTO FINANCIAL CORPCOMMON STOCK85570710536826,741SH SOLE 26,74100
STATE STREET CORPCOMMON STOCK85747710337,752636,298SH SOLE 636,29800
STEEL DYNAMICS INCCOMMON STOCK85811910010,626371,158SH SOLE 371,15800
STEELCASE INC CL ACOMMON STOCK8581552031,315130,091SH SOLE 130,09100
STEPAN COCOMMON STOCK8585861003,55532,615SH SOLE 32,61500
STERICYCLE INCCOMMON STOCK8589121089,887156,787SH SOLE 156,78700
STERIS PLCCOMMON STOCKG8473T10026,610151,029SH SOLE 151,02900
STERLING BANCORP INCMICOMMON STOCK85917W1028026,424SH SOLE 26,42400
STERLING BANCORPDECOMMON STOCK85917A1003,490331,724SH SOLE 331,72400
STERLING CONSTRUCTION COCOMMON STOCK85924110159241,805SH SOLE 41,80500
STEVEN MADDEN LTDCOMMON STOCK5562691082,423124,248SH SOLE 124,24800
STEWART INFORMATION SERVICESCOMMON STOCK8603721011,74339,867SH SOLE 39,86700
STIFEL FINANCIAL CORPCOMMON STOCK8606301025,108101,026SH SOLE 101,02600
STITCH FIX INC CLASS ACOMMON STOCK8608971072,31085,152SH SOLE 85,15200
STOCK YARDS BANCORP INCCOMMON STOCK8610251041,06031,152SH SOLE 31,15200
STOKE THERAPEUTICS INCCOMMON STOCK86150R10761718,420SH SOLE 18,42000
STONERIDGE INCCOMMON STOCK86183P10273439,965SH SOLE 39,96500
STORE CAPITAL CORPREIT86212110011,286411,456SH SOLE 411,45600
STRATEGIC EDUCATION INCCOMMON STOCK86272C1033,46837,916SH SOLE 37,91600
STRATUS PROPERTIES INCCOMMON STOCK8631672011969,094SH SOLE 9,09400
STRONGBRIDGE BIOPHARMA PLCCOMMON STOCKG8534710511856,365SH SOLE 56,36500
STRYKER CORPCOMMON STOCK863667101130,271625,192SH SOLE 625,19200
SUMMIT FINANCIAL GROUP INCCOMMON STOCK86606G10125517,227SH SOLE 17,22700
SUMMIT HOTEL PROPERTIES INCREIT866082100810156,386SH SOLE 156,38600
SUMMIT MATERIALS INC CL ACOMMON STOCK86614U1002,870173,497SH SOLE 173,49700
SUN COMMUNITIES INCREIT86667410424,073171,201SH SOLE 171,20100
SUNCOKE ENERGY INCCOMMON STOCK86722A103428125,196SH SOLE 125,19600
SUNNOVA ENERGY INTERNATIONALCOMMON STOCK86745K1042,44480,355SH SOLE 80,35500
SUNPOWER CORPCOMMON STOCK8676524061,447115,641SH SOLE 115,64100
SUNRUN INCCOMMON STOCK86771W10513,878180,068SH SOLE 180,06800
SUNSTONE HOTEL INVESTORS INCREIT8678921012,578324,632SH SOLE 324,63200
SUPERIOR GROUP OF COS INCCOMMON STOCK86835810238016,348SH SOLE 16,34800
SUPERNUS PHARMACEUTICALS INCCOMMON STOCK8684591081,53373,553SH SOLE 73,55300
SURGERY PARTNERS INCCOMMON STOCK86881A10074433,967SH SOLE 33,96700
SURMODICS INCCOMMON STOCK86887310077019,795SH SOLE 19,79500
SUTRO BIOPHARMA INCCOMMON STOCK86936710239439,223SH SOLE 39,22300
SVB FINANCIAL GROUPCOMMON STOCK78486Q10122,73894,499SH SOLE 94,49900
SVMK INCCOMMON STOCK78489X1034,335196,069SH SOLE 196,06900
SWITCH INC ACOMMON STOCK87105L1042,428155,526SH SOLE 155,52600
SYKES ENTERPRISES INCCOMMON STOCK8712371032,02259,098SH SOLE 59,09800
SYNAPTICS INCCOMMON STOCK87157D1094,14351,514SH SOLE 51,51400
SYNCHRONOSS TECHNOLOGIES INCCOMMON STOCK87157B10317959,605SH SOLE 59,60500
SYNCHRONY FINANCIALCOMMON STOCK87165B10327,9051,066,292SH SOLE 1,066,29200
SYNDAX PHARMACEUTICALS INCCOMMON STOCK87164F10560040,671SH SOLE 40,67100
SYNEOS HEALTH INCCOMMON STOCK87166B1026,319118,867SH SOLE 118,86700
SYNNEX CORPCOMMON STOCK87162W10010,26973,317SH SOLE 73,31700
SYNOPSYS INCCOMMON STOCK87160710768,558320,393SH SOLE 320,39300
SYNOVUS FINANCIAL CORPCOMMON STOCK87161C5015,304250,520SH SOLE 250,52000
SYROS PHARMACEUTICALS INCCOMMON STOCK87184Q10755662,862SH SOLE 62,86200
SYSCO CORPCOMMON STOCK87182910755,967899,495SH SOLE 899,49500
SYSTEMAX INCCOMMON STOCK87185110145819,111SH SOLE 19,11100
T MOBILE US INCCOMMON STOCK872590104117,5181,027,614SH SOLE 1,027,61400
T ROWE PRICE GROUP INCCOMMON STOCK74144T10862,090484,242SH SOLE 484,24200
TABULA RASA HEALTHCARE INCCOMMON STOCK8733791011,26330,973SH SOLE 30,97300
TACTILE SYSTEMS TECHNOLOGY ICOMMON STOCK87357P1001,01427,724SH SOLE 27,72400
TAKE TWO INTERACTIVE SOFTWRECOMMON STOCK87405410933,880205,058SH SOLE 205,05800
TALOS ENERGY INCCOMMON STOCK87484T10811117,233SH SOLE 17,23300
TANDEM DIABETES CARE INCCOMMON STOCK87537220311,830104,229SH SOLE 104,22900
TANGER FACTORY OUTLET CENTERREIT875465106822136,265SH SOLE 136,26500
TAPESTRY INCCOMMON STOCK8760301077,723494,128SH SOLE 494,12800
TARGA RESOURCES CORPCOMMON STOCK87612G1015,907421,023SH SOLE 421,02300
TARGET CORPCOMMON STOCK87612E106153,513975,181SH SOLE 975,18100
TARGET HOSPITALITY CORPCOMMON STOCK87615L1076049,074SH SOLE 49,07400
TAUBMAN CENTERS INCREIT8766641033,425102,894SH SOLE 102,89400
TAYLOR MORRISON HOME CORPCOMMON STOCK87724P1064,867197,942SH SOLE 197,94200
TCF FINANCIAL CORPCOMMON STOCK8723071036,038258,481SH SOLE 258,48100
TCR2 THERAPEUTICS INCCOMMON STOCK87808K10678138,448SH SOLE 38,44800
TD AMERITRADE HOLDING CORPCOMMON STOCK87236Y10825,416649,198SH SOLE 649,19800
TE CONNECTIVITY LTDCOMMON STOCKH8498910413,647139,625SH SOLE 139,62500
TEAM INCCOMMON STOCK87815510025145,726SH SOLE 45,72600
TECHTARGETCOMMON STOCK87874R1001,54435,116SH SOLE 35,11600
TEGNA INCCOMMON STOCK87901J1053,908332,584SH SOLE 332,58400
TEJON RANCH COCOMMON STOCK87908010945532,167SH SOLE 32,16700
TELADOC HEALTH INCCOMMON STOCK87918A10528,607130,483SH SOLE 130,48300
TELEDYNE TECHNOLOGIES INCCOMMON STOCK87936010520,05264,640SH SOLE 64,64000
TELEFLEX INCCOMMON STOCK87936910628,56483,909SH SOLE 83,90900
TELENAV INCCOMMON STOCK87945510318551,277SH SOLE 51,27700
TELEPHONE AND DATA SYSTEMSCOMMON STOCK8794338293,372182,867SH SOLE 182,86700
TELLURIAN INCCOMMON STOCK87968A104198248,256SH SOLE 248,25600
TEMPUR SEALY INTERNATIONAL ICOMMON STOCK88023U1017,37482,683SH SOLE 82,68300
TENABLE HOLDINGS INCCOMMON STOCK88025T1023,981105,463SH SOLE 105,46300
TENET HEALTHCARE CORPCOMMON STOCK88033G4074,089166,839SH SOLE 166,83900
TENNANT COCOMMON STOCK8803451031,66327,556SH SOLE 27,55600
TENNECO INC CLASS ACOMMON STOCK88034910554178,002SH SOLE 78,00200
TERADATA CORPCOMMON STOCK88076W1034,486197,625SH SOLE 197,62500
TERADYNE INCCOMMON STOCK88077010228,402357,434SH SOLE 357,43400
TEREX CORPCOMMON STOCK8807791031,965101,515SH SOLE 101,51500
TERRENO REALTY CORPREIT88146M1015,523100,860SH SOLE 100,86000
TERRITORIAL BANCORP INCCOMMON STOCK88145X10824412,052SH SOLE 12,05200
TESLA INCCOMMON STOCK88160R101615,3841,434,428SH SOLE 1,434,42800
TETRA TECH INCCOMMON STOCK88162G1037,79881,656SH SOLE 81,65600
TEVA PHARMACEUTICAL SP ADRCOMMON STOCK88162420911,6811,296,404SH SOLE 1,296,40400
TEXAS CAPITAL BANCSHARES INCCOMMON STOCK88224Q1072,38776,664SH SOLE 76,66400
TEXAS INSTRUMENTS INCCOMMON STOCK882508104270,3361,893,240SH SOLE 1,893,24000
TEXAS ROADHOUSE INCCOMMON STOCK8826811096,04899,492SH SOLE 99,49200
TEXTAINER GROUP HOLDINGS LTDCOMMON STOCKG8766E1091,10778,178SH SOLE 78,17800
TEXTRON INCCOMMON STOCK88320310115,233422,095SH SOLE 422,09500
TFS FINANCIAL CORPCOMMON STOCK87240R1071,27386,627SH SOLE 86,62700
TG THERAPEUTICS INCCOMMON STOCK88322Q1084,498168,071SH SOLE 168,07100
THE BANK OF PRINCETONCOMMON STOCK0645201091598,747SH SOLE 8,74700
THERAPEUTICSMD INCCOMMON STOCK88338N107564357,178SH SOLE 357,17800
THERAVANCE BIOPHARMA INCCOMMON STOCKG8807B1061,02869,547SH SOLE 69,54700
THERMO FISHER SCIENTIFIC INCCOMMON STOCK883556102332,332752,699SH SOLE 752,69900
THERMON GROUP HOLDINGS INCCOMMON STOCK88362T10355149,106SH SOLE 49,10600
THIRD POINT REINSURANCE LTDCOMMON STOCKG8827U100844121,465SH SOLE 121,46500
THOR INDUSTRIES INCCOMMON STOCK8851601019,29497,566SH SOLE 97,56600
TIDEWATER INCCOMMON STOCK88642R10940760,679SH SOLE 60,67900
TIFFANY COCOMMON STOCK88654710825,148217,076SH SOLE 217,07600
TILLY S INC CLASS A SHRSCOMMON STOCK88688510220133,381SH SOLE 33,38100
TIMBERLAND BANCORP INCCOMMON STOCK88709810120711,496SH SOLE 11,49600
TIMKEN COCOMMON STOCK8873891046,040111,396SH SOLE 111,39600
TIMKENSTEEL CORPCOMMON STOCK88739910323866,964SH SOLE 66,96400
TIPTREE INCCOMMON STOCK88822Q10319238,735SH SOLE 38,73500
TITAN MACHINERY INCCOMMON STOCK88830R10138128,816SH SOLE 28,81600
TIVITY HEALTH INCCOMMON STOCK88870R10291665,357SH SOLE 65,35700
TJX COMPANIES INCCOMMON STOCK872540109126,3372,270,200SH SOLE 2,270,20000
TOLL BROTHERS INCCOMMON STOCK8894781039,940204,280SH SOLE 204,28000
TOMPKINS FINANCIAL CORPCOMMON STOCK8901101091,24221,857SH SOLE 21,85700
TOOTSIE ROLL INDSCOMMON STOCK89051610774924,244SH SOLE 24,24400
TOPBUILD CORPCOMMON STOCK89055F1038,54450,055SH SOLE 50,05500
TORO COCOMMON STOCK89109210815,948189,972SH SOLE 189,97200
TOWNE BANKCOMMON STOCK89214P1091,662101,313SH SOLE 101,31300
TPG RE FINANCE TRUST INCREIT87266M10776590,479SH SOLE 90,47900
TPI COMPOSITES INCCOMMON STOCK87266J1041,32545,743SH SOLE 45,74300
TRACTOR SUPPLY COMPANYCOMMON STOCK89235610633,396232,983SH SOLE 232,98300
TRADE DESK INCTHE CLASS ACOMMON STOCK88339J10539,15975,483SH SOLE 75,48300
TRANSCAT INCCOMMON STOCK89352910732511,094SH SOLE 11,09400
TRANSCONTINENTAL REALTY INVREIT893617209411,653SH SOLE 1,65300
TRANSDIGM GROUP INCCOMMON STOCK89364110044,74094,165SH SOLE 94,16500
TRANSLATE BIO INCCOMMON STOCK89374L1041,404103,165SH SOLE 103,16500
TRANSMEDICS GROUP INCCOMMON STOCK89377M10952438,051SH SOLE 38,05100
TRANSOCEAN LTDCOMMON STOCKH8817H1008131,008,057SH SOLE 1,008,05700
TRANSUNIONCOMMON STOCK89400J10729,250347,680SH SOLE 347,68000
TRAVELERS COS INCTHECOMMON STOCK89417E10957,416530,692SH SOLE 530,69200
TRECORA RESOURCESCOMMON STOCK89464810422436,527SH SOLE 36,52700
TREDEGAR CORPCOMMON STOCK89465010058539,355SH SOLE 39,35500
TREEHOUSE FOODS INCCOMMON STOCK89469A1043,90596,346SH SOLE 96,34600
TREX COMPANY INCCOMMON STOCK89531P10514,609204,035SH SOLE 204,03500
TRI POINTE GROUP INCCOMMON STOCK87265H1093,561196,325SH SOLE 196,32500
TRIBUNE PUBLISHING COCOMMON STOCK89609W10727423,536SH SOLE 23,53600
TRICIDA INCCOMMON STOCK89610F10138842,794SH SOLE 42,79400
TRICO BANCSHARESCOMMON STOCK89609510699040,423SH SOLE 40,42300
TRIMAS CORPCOMMON STOCK8962152091,48865,247SH SOLE 65,24700
TRIMBLE INCCOMMON STOCK89623910022,134454,492SH SOLE 454,49200
TRINET GROUP INCCOMMON STOCK8962881073,69962,354SH SOLE 62,35400
TRINITY INDUSTRIES INCCOMMON STOCK8965221093,188163,489SH SOLE 163,48900
TRINSEO SACOMMON STOCKL9340P1011,48157,779SH SOLE 57,77900
TRIPADVISOR INCCOMMON STOCK8969452013,377172,366SH SOLE 172,36600
TRIPLE S MANAGEMENT CORP BCOMMON STOCK89674910863235,381SH SOLE 35,38100
TRISTATE CAPITAL HLDGS INCCOMMON STOCK89678F10054641,231SH SOLE 41,23100
TRITON INTERNATIONAL LTDBERCOMMON STOCKG9078F1073,07275,545SH SOLE 75,54500
TRIUMPH BANCORP INCCOMMON STOCK89679E3001,03333,168SH SOLE 33,16800
TRIUMPH GROUP INCCOMMON STOCK89681810150577,572SH SOLE 77,57200
TRONOX HOLDINGS PLC ACOMMON STOCKG9087Q1021,066135,451SH SOLE 135,45100
TRUEBLUE INCCOMMON STOCK89785X10183653,946SH SOLE 53,94600
TRUECAR INCCOMMON STOCK89785L107810162,026SH SOLE 162,02600
TRUIST FINANCIAL CORPCOMMON STOCK89832Q10992,0932,420,323SH SOLE 2,420,32300
TRUPANION INCCOMMON STOCK8982021063,55145,002SH SOLE 45,00200
TRUSTCO BANK CORP NYCOMMON STOCK898349105750143,641SH SOLE 143,64100
TRUSTMARK CORPCOMMON STOCK8984021022,03494,998SH SOLE 94,99800
TTEC HOLDINGS INCCOMMON STOCK89854H1021,51127,693SH SOLE 27,69300
TTM TECHNOLOGIESCOMMON STOCK87305R1091,739152,443SH SOLE 152,44300
TUCOWS INC CLASS ACOMMON STOCK89869720699414,429SH SOLE 14,42900
TUPPERWARE BRANDS CORPCOMMON STOCK8998961041,49774,238SH SOLE 74,23800
TURNING POINT THERAPEUTICS ICOMMON STOCK90041T1084,51451,676SH SOLE 51,67600
TUTOR PERINI CORPCOMMON STOCK90110910868561,523SH SOLE 61,52300
TWILIO INC ACOMMON STOCK90138F10261,164247,538SH SOLE 247,53800
TWIN RIVER WORLDWIDE HOLDINGCOMMON STOCK90171V20471927,387SH SOLE 27,38700
TWIST BIOSCIENCE CORPCOMMON STOCK90184D1003,76249,519SH SOLE 49,51900
TWITTER INCCOMMON STOCK90184L10261,7231,387,028SH SOLE 1,387,02800
TWO HARBORS INVESTMENT CORPREIT90187B4082,111414,713SH SOLE 414,71300
TYLER TECHNOLOGIES INCCOMMON STOCK90225210524,87371,360SH SOLE 71,36000
TYME TECHNOLOGIES INCCOMMON STOCK90238J1039193,108SH SOLE 93,10800
TYSON FOODS INC CL ACOMMON STOCK90249410332,104539,746SH SOLE 539,74600
US PHYSICAL THERAPY INCCOMMON STOCK90337L1081,67519,278SH SOLE 19,27800
UBER TECHNOLOGIES INCCOMMON STOCK90353T10090,3402,476,427SH SOLE 2,476,42700
UBIQUITI INCCOMMON STOCK90353W1032,50215,012SH SOLE 15,01200
UDR INCREIT90265310417,012521,695SH SOLE 521,69500
UFP TECHNOLOGIES INCCOMMON STOCK90267310243610,524SH SOLE 10,52400
UGI CORPCOMMON STOCK90268110513,390406,008SH SOLE 406,00800
ULTA BEAUTY INCCOMMON STOCK90384S30322,950102,464SH SOLE 102,46400
ULTRA CLEAN HOLDINGS INCCOMMON STOCK90385V1071,30360,708SH SOLE 60,70800
ULTRAGENYX PHARMACEUTICAL INCOMMON STOCK90400D1087,62892,812SH SOLE 92,81200
UMB FINANCIAL CORPCOMMON STOCK9027881083,23966,081SH SOLE 66,08100
UMH PROPERTIES INCREIT90300210374154,707SH SOLE 54,70700
UMPQUA HOLDINGS CORPCOMMON STOCK9042141034,007377,292SH SOLE 377,29200
UNDER ARMOUR INC CLASS ACOMMON STOCK9043111073,697329,175SH SOLE 329,17500
UNDER ARMOUR INC CLASS CCOMMON STOCK9043112063,382343,718SH SOLE 343,71800
UNIFI INCCOMMON STOCK90467720026720,778SH SOLE 20,77800
UNIFIRST CORPMACOMMON STOCK9047081044,32422,835SH SOLE 22,83500
UNION PACIFIC CORPCOMMON STOCK907818108244,6701,242,799SH SOLE 1,242,79900
UNISYS CORPCOMMON STOCK90921430699793,436SH SOLE 93,43600
UNITED AIRLINES HOLDINGS INCCOMMON STOCK91004710917,542504,809SH SOLE 504,80900
UNITED BANKSHARES INCCOMMON STOCK9099071074,019187,209SH SOLE 187,20900
UNITED COMMUNITY BANKSGACOMMON STOCK90984P3031,994117,772SH SOLE 117,77200
UNITED FIRE GROUP INCCOMMON STOCK91034010865031,991SH SOLE 31,99100
UNITED INSURANCE HOLDINGS COCOMMON STOCK91071010219432,064SH SOLE 32,06400
UNITED NATURAL FOODS INCCOMMON STOCK9111631031,564105,159SH SOLE 105,15900
UNITED PARCEL SERVICE CL BCOMMON STOCK911312106214,0771,284,743SH SOLE 1,284,74300
UNITED RENTALS INCCOMMON STOCK91136310927,536157,798SH SOLE 157,79800
UNITED SECURITY BANCSHARECACOMMON STOCK91146010312820,974SH SOLE 20,97400
UNITED STATES LIME MINERALCOMMON STOCK9119221022783,086SH SOLE 3,08600
UNITED STATES STEEL CORPCOMMON STOCK9129091082,700367,833SH SOLE 367,83300
UNITED THERAPEUTICS CORPCOMMON STOCK91307C1027,73676,592SH SOLE 76,59200
UNITEDHEALTH GROUP INCCOMMON STOCK91324P102580,3701,861,531SH SOLE 1,861,53100
UNITI GROUP INCREIT91325V1083,081292,447SH SOLE 292,44700
UNITIL CORPCOMMON STOCK91325910785222,051SH SOLE 22,05100
UNITY BANCORP INCCOMMON STOCK91329010214212,239SH SOLE 12,23900
UNITY BIOTECHNOLOGY INCCOMMON STOCK91381U10117851,530SH SOLE 51,53000
UNIVAR SOLUTIONS INCCOMMON STOCK91336L1074,961293,886SH SOLE 293,88600
UNIVERSAL DISPLAY CORPCOMMON STOCK91347P10514,44779,931SH SOLE 79,93100
UNIVERSAL ELECTRONICS INCCOMMON STOCK91348310378020,659SH SOLE 20,65900
UNIVERSAL HEALTH RLTY INCOMEREIT91359E1051,11319,534SH SOLE 19,53400
UNIVERSAL HEALTH SERVICES BCOMMON STOCK91390310017,221160,911SH SOLE 160,91100
UNIVERSAL INSURANCE HOLDINGSCOMMON STOCK91359V10758742,420SH SOLE 42,42000
UNIVERSAL LOGISTICS HOLDINGSCOMMON STOCK91388P10525712,315SH SOLE 12,31500
UNIVEST FINANCIAL CORPCOMMON STOCK91527110062643,559SH SOLE 43,55900
UNUM GROUPCOMMON STOCK91529Y1066,131364,289SH SOLE 364,28900
UPLAND SOFTWARE INCCOMMON STOCK91544A1091,48639,405SH SOLE 39,40500
UPWORK INCCOMMON STOCK91688F1042,447140,290SH SOLE 140,29000
URANIUM ENERGY CORPCOMMON STOCK916896103275275,833SH SOLE 275,83300
URBAN EDGE PROPERTIESREIT91704F1041,711176,071SH SOLE 176,07100
URBAN OUTFITTERS INCCOMMON STOCK9170471022,351112,975SH SOLE 112,97500
UROGEN PHARMA LTDCOMMON STOCKM9608810592547,972SH SOLE 47,97200
URSTADT BIDDLE CLASS AREIT91728620541144,675SH SOLE 44,67500
US BANCORPCOMMON STOCK90297330491,5212,552,895SH SOLE 2,552,89500
US CELLULAR CORPCOMMON STOCK91168410872624,595SH SOLE 24,59500
US CONCRETE INCCOMMON STOCK90333L20171724,690SH SOLE 24,69000
US ECOLOGY INCCOMMON STOCK91734M1031,56047,756SH SOLE 47,75600
US FOODS HOLDING CORPCOMMON STOCK9120081099,087408,937SH SOLE 408,93700
US SILICA HOLDINGS INCCOMMON STOCK90346E103347115,540SH SOLE 115,54000
US XPRESS ENTERPRISES INC ACOMMON STOCK90338N20228134,009SH SOLE 34,00900
USANA HEALTH SCIENCES INCCOMMON STOCK90328M1071,28517,454SH SOLE 17,45400
UTAH MEDICAL PRODUCTS INCCOMMON STOCK9174881084115,148SH SOLE 5,14800
VAIL RESORTS INCCOMMON STOCK91879Q10915,97874,674SH SOLE 74,67400
VALERO ENERGY CORPCOMMON STOCK91913Y10035,255813,834SH SOLE 813,83400
VALLEY NATIONAL BANCORPCOMMON STOCK9197941074,127602,471SH SOLE 602,47100
VALMONT INDUSTRIESCOMMON STOCK9202531014,60637,089SH SOLE 37,08900
VALUE LINE INCCOMMON STOCK920437100411,673SH SOLE 1,67300
VALVOLINE INCCOMMON STOCK92047W1016,208326,026SH SOLE 326,02600
VANDA PHARMACEUTICALS INCCOMMON STOCK92165910878581,250SH SOLE 81,25000
VAPOTHERM INCCOMMON STOCK92210710786129,689SH SOLE 29,68900
VAREX IMAGING CORPCOMMON STOCK92214X10672456,926SH SOLE 56,92600
VARIAN MEDICAL SYSTEMS INCCOMMON STOCK92220P10528,438165,338SH SOLE 165,33800
VARONIS SYSTEMS INCCOMMON STOCK9222801025,44447,166SH SOLE 47,16600
VBI VACCINES INCCOMMON STOCK91822J103747261,038SH SOLE 261,03800
VECTRUS INCCOMMON STOCK92242T10164817,055SH SOLE 17,05500
VEECO INSTRUMENTS INCCOMMON STOCK92241710086874,370SH SOLE 74,37000
VEEVA SYSTEMS INC CLASS ACOMMON STOCK92247510868,941245,175SH SOLE 245,17500
VENTAS INCREIT92276F10028,614681,940SH SOLE 681,94000
VERA BRADLEY INCCOMMON STOCK92335C10619331,627SH SOLE 31,62700
VERACYTE INCCOMMON STOCK92337F1072,81686,672SH SOLE 86,67200
VEREIT INCREIT92339V10014,9082,293,495SH SOLE 2,293,49500
VERICEL CORPCOMMON STOCK92346J1081,25867,890SH SOLE 67,89000
VERINT SYSTEMS INCCOMMON STOCK92343X1004,67497,006SH SOLE 97,00600
VERISIGN INCCOMMON STOCK92343E10237,806184,556SH SOLE 184,55600
VERISK ANALYTICS INCCOMMON STOCK92345Y10654,580294,535SH SOLE 294,53500
VERITEX HOLDINGS INCCOMMON STOCK9234511081,23672,597SH SOLE 72,59700
VERITIV CORPCOMMON STOCK92345410225920,425SH SOLE 20,42500
VERIZON COMMUNICATIONS INCCOMMON STOCK92343V104486,2868,174,243SH SOLE 8,174,24300
VERRA MOBILITY CORPCOMMON STOCK92511U1021,952202,120SH SOLE 202,12000
VERRICA PHARMACEUTICALS INCCOMMON STOCK92511W10815119,472SH SOLE 19,47200
VERSO CORP ACOMMON STOCK92531L20737447,400SH SOLE 47,40000
VERTEX PHARMACEUTICALS INCCOMMON STOCK92532F100128,801473,324SH SOLE 473,32400
VF CORPCOMMON STOCK91820410841,445589,962SH SOLE 589,96200
VIACOMCBS INC CLASS ACOMMON STOCK92556H10755318,264SH SOLE 18,26400
VIACOMCBS INC CLASS BCOMMON STOCK92556H20628,8991,031,755SH SOLE 1,031,75500
VIAD CORPCOMMON STOCK92552R40663230,321SH SOLE 30,32100
VIASAT INCCOMMON STOCK92552V1003,441100,053SH SOLE 100,05300
VIAVI SOLUTIONS INCCOMMON STOCK9255501054,053345,526SH SOLE 345,52600
VICI PROPERTIES INCREIT92565210923,194992,477SH SOLE 992,47700
VICOR CORPCOMMON STOCK9258151022,26929,189SH SOLE 29,18900
VIELA BIO INCCOMMON STOCK92661310091932,737SH SOLE 32,73700
VIEWRAY INCCOMMON STOCK92672L107587167,649SH SOLE 167,64900
VIKING THERAPEUTICS INCCOMMON STOCK92686J10658099,687SH SOLE 99,68700
VILLAGE SUPER MARKET CLASS ACOMMON STOCK92710740931312,732SH SOLE 12,73200
VIR BIOTECHNOLOGY INCCOMMON STOCK92764N1022,78681,141SH SOLE 81,14100
VIRNETX HOLDING CORPCOMMON STOCK92823T10850295,351SH SOLE 95,35100
VIRTU FINANCIAL INC CLASS ACOMMON STOCK9282541012,562111,331SH SOLE 111,33100
VIRTUS INVESTMENT PARTNERSCOMMON STOCK92828Q1091,54111,111SH SOLE 11,11100
VIRTUSA CORPCOMMON STOCK92827P1022,16944,126SH SOLE 44,12600
VISA INC CLASS A SHARESCOMMON STOCK92826C839664,1613,321,301SH SOLE 3,321,30100
VISHAY INTERTECHNOLOGY INCCOMMON STOCK9282981083,147202,113SH SOLE 202,11300
VISHAY PRECISION GROUPCOMMON STOCK92835K10347418,740SH SOLE 18,74000
VISTA OUTDOOR INCCOMMON STOCK9283771001,72485,411SH SOLE 85,41100
VISTEON CORPCOMMON STOCK92839U2063,19746,187SH SOLE 46,18700
VIVINT SOLAR INCCOMMON STOCK92854Q1063,15274,417SH SOLE 74,41700
VMWARE INC CLASS ACOMMON STOCK92856340220,865145,232SH SOLE 145,23200
VOCERA COMMUNICATIONS INCCOMMON STOCK92857F1071,40548,330SH SOLE 48,33000
VONAGE HOLDINGS CORPCOMMON STOCK92886T2013,587350,628SH SOLE 350,62800
VORNADO REALTY TRUSTREIT92904210912,709377,010SH SOLE 377,01000
VOYA FINANCIAL INCCOMMON STOCK92908910010,999229,486SH SOLE 229,48600
VOYAGER THERAPEUTICS INCCOMMON STOCK92915B10641438,804SH SOLE 38,80400
VSE CORPCOMMON STOCK91828410041113,401SH SOLE 13,40100
VULCAN MATERIALS COCOMMON STOCK92916010932,655240,922SH SOLE 240,92200
WT OFFSHORE INCCOMMON STOCK92922P106256142,205SH SOLE 142,20500
WABASH NATIONAL CORPCOMMON STOCK92956610795880,109SH SOLE 80,10900
WABTEC CORPCOMMON STOCK92974010820,172325,993SH SOLE 325,99300
WADDELL REED FINANCIAL ACOMMON STOCK9300591001,44397,154SH SOLE 97,15400
WAITR HOLDINGS INCCOMMON STOCK930752100408126,669SH SOLE 126,66900
WALGREENS BOOTS ALLIANCE INCCOMMON STOCK93142710855,1281,534,736SH SOLE 1,534,73600
WALKER DUNLOP INCCOMMON STOCK93148P1022,26642,764SH SOLE 42,76400
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WALT DISNEY COTHECOMMON STOCK254687106433,7503,495,732SH SOLE 3,495,73200
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WASHINGTON FEDERAL INCCOMMON STOCK9388241092,375113,843SH SOLE 113,84300
WASHINGTON REITREIT9396531012,518125,088SH SOLE 125,08800
WASHINGTON TRUST BANCORPCOMMON STOCK94061010878925,724SH SOLE 25,72400
WASTE MANAGEMENT INCCOMMON STOCK94106L10986,492764,262SH SOLE 764,26200
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WATERSTONE FINANCIAL INCCOMMON STOCK94188P10152533,887SH SOLE 33,88700
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WAVE LIFE SCIENCES LTDCOMMON STOCKY9530810531537,071SH SOLE 37,07100
WAYFAIR INC CLASS ACOMMON STOCK94419L10135,503122,000SH SOLE 122,00000
WD 40 COCOMMON STOCK9292361073,90920,649SH SOLE 20,64900
WEBSTER FINANCIAL CORPCOMMON STOCK9478901094,055153,526SH SOLE 153,52600
WEC ENERGY GROUP INCCOMMON STOCK92939U10653,087547,857SH SOLE 547,85700
WEINGARTEN REALTY INVESTORSREIT9487411033,531208,208SH SOLE 208,20800
WEIS MARKETS INCCOMMON STOCK94884910469614,503SH SOLE 14,50300
WELBILT INCCOMMON STOCK9490901041,212196,781SH SOLE 196,78100
WELLS FARGO COCOMMON STOCK949746101168,6757,174,603SH SOLE 7,174,60300
WELLTOWER INCREIT95040Q10443,043781,326SH SOLE 781,32600
WENDY S COTHECOMMON STOCK95058W1007,487335,797SH SOLE 335,79700
WERNER ENTERPRISES INCCOMMON STOCK9507551083,87492,252SH SOLE 92,25200
WESBANCO INCCOMMON STOCK9508101012,10998,753SH SOLE 98,75300
WESCO INTERNATIONAL INCCOMMON STOCK95082P1053,57081,107SH SOLE 81,10700
WEST BANCORPORATIONCOMMON STOCK95123P10638324,157SH SOLE 24,15700
WEST PHARMACEUTICAL SERVICESCOMMON STOCK95530610537,937138,003SH SOLE 138,00300
WESTAMERICA BANCORPORATIONCOMMON STOCK9570901032,15439,626SH SOLE 39,62600
WESTERN ALLIANCE BANCORPCOMMON STOCK9576381095,293167,407SH SOLE 167,40700
WESTERN ASSET MORTGAGE CAPITREIT95790D10517384,791SH SOLE 84,79100
WESTERN DIGITAL CORPCOMMON STOCK95810210520,308555,629SH SOLE 555,62900
WESTERN NEW ENGLAND BANCORPCOMMON STOCK95889210121037,303SH SOLE 37,30300
WESTERN UNION COCOMMON STOCK95980210918,872880,616SH SOLE 880,61600
WESTLAKE CHEMICAL CORPCOMMON STOCK9604131023,67858,178SH SOLE 58,17800
WESTROCK COCOMMON STOCK96145D10518,775540,444SH SOLE 540,44400
WESTWOOD HOLDINGS GROUP INCCOMMON STOCK96176510414312,871SH SOLE 12,87100
WEX INCCOMMON STOCK96208T10411,12580,052SH SOLE 80,05200
WEYCO GROUP INCCOMMON STOCK9621491001569,643SH SOLE 9,64300
WEYERHAEUSER COREIT96216610439,0781,370,197SH SOLE 1,370,19700
WHIRLPOOL CORPCOMMON STOCK96332010622,963124,876SH SOLE 124,87600
WHITE MOUNTAINS INSURANCE GPCOMMON STOCKG9618E1074,0325,176SH SOLE 5,17600
WHITESTONE REITREIT96608420436160,236SH SOLE 60,23600
WIDEOPENWEST INCCOMMON STOCK96758W10140978,886SH SOLE 78,88600
WILEY JOHN SONS CLASS ACOMMON STOCK9682232062,34173,838SH SOLE 73,83800
WILLDAN GROUP INCCOMMON STOCK96924N10039815,588SH SOLE 15,58800
WILLIAMS COS INCCOMMON STOCK96945710044,3892,258,987SH SOLE 2,258,98700
WILLIAMS SONOMA INCCOMMON STOCK96990410112,686140,275SH SOLE 140,27500
WILLIS LEASE FINANCE CORPCOMMON STOCK970646105844,544SH SOLE 4,54400
WILLIS TOWERS WATSON PLCCOMMON STOCKG9662910358,726281,226SH SOLE 281,22600
WINGSTOP INCCOMMON STOCK9741551036,13244,872SH SOLE 44,87200
WINMARK CORPCOMMON STOCK9742501027644,436SH SOLE 4,43600
WINNEBAGO INDUSTRIESCOMMON STOCK9746371002,43647,139SH SOLE 47,13900
WINTRUST FINANCIAL CORPCOMMON STOCK97650W1083,92197,912SH SOLE 97,91200
WISDOMTREE INVESTMENTS INCCOMMON STOCK97717P104674210,659SH SOLE 210,65900
WIXCOM LTDCOMMON STOCKM9806810515,89362,362SH SOLE 62,36200
WOLVERINE WORLD WIDE INCCOMMON STOCK9780971033,127121,026SH SOLE 121,02600
WOODWARD INCCOMMON STOCK9807451037,64495,357SH SOLE 95,35700
WORKDAY INC CLASS ACOMMON STOCK98138H10166,861310,795SH SOLE 310,79500
WORKIVA INCCOMMON STOCK98139A1053,30059,183SH SOLE 59,18300
WORLD ACCEPTANCE CORPCOMMON STOCK9814191047537,134SH SOLE 7,13400
WORLD FUEL SERVICES CORPCOMMON STOCK9814751062,418114,103SH SOLE 114,10300
WORLD WRESTLING ENTERTAIN ACOMMON STOCK98156Q1083,28681,184SH SOLE 81,18400
WORTHINGTON INDUSTRIESCOMMON STOCK9818111022,25555,289SH SOLE 55,28900
WP CAREY INCREIT92936U10919,826304,274SH SOLE 304,27400
WPX ENERGY INCCOMMON STOCK98212B1033,462706,624SH SOLE 706,62400
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WRIGHT MEDICAL GROUP NVCOMMON STOCKN966171187,934259,797SH SOLE 259,79700
WSFS FINANCIAL CORPCOMMON STOCK9293281022,04175,684SH SOLE 75,68400
WW GRAINGER INCCOMMON STOCK38480210434,49196,675SH SOLE 96,67500
WW INTERNATIONAL INCCOMMON STOCK98262P1011,34571,265SH SOLE 71,26500
WYNDHAM DESTINATIONS INCCOMMON STOCK98310W1084,575148,735SH SOLE 148,73500
WYNDHAM HOTELS RESORTS INCCOMMON STOCK98311A1057,947157,357SH SOLE 157,35700
WYNN RESORTS LTDCOMMON STOCK98313410712,772177,852SH SOLE 177,85200
X4 PHARMACEUTICALS INCCOMMON STOCK98420X10315923,541SH SOLE 23,54100
XBIOTECH INCCOMMON STOCK98400H10240721,329SH SOLE 21,32900
XCEL ENERGY INCCOMMON STOCK98389B10063,088914,193SH SOLE 914,19300
XENCOR INCCOMMON STOCK98401F1053,26184,067SH SOLE 84,06700
XENIA HOTELS RESORTS INCREIT9840171031,504171,244SH SOLE 171,24400
XERIS PHARMACEUTICALS INCCOMMON STOCK98422L10741269,556SH SOLE 69,55600
XEROX HOLDINGS CORPCOMMON STOCK98421M1066,079323,870SH SOLE 323,87000
XILINX INCCOMMON STOCK98391910147,034451,207SH SOLE 451,20700
XPO LOGISTICS INCCOMMON STOCK98379310013,811163,134SH SOLE 163,13400
XYLEM INCCOMMON STOCK98419M10027,751329,897SH SOLE 329,89700
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YELP INCCOMMON STOCK9858171052,165107,769SH SOLE 107,76900
YETI HOLDINGS INCCOMMON STOCK98585X1045,487121,077SH SOLE 121,07700
YEXT INCCOMMON STOCK98585N1062,321152,901SH SOLE 152,90100
YORK WATER COCOMMON STOCK98718410883619,778SH SOLE 19,77800
YUM BRANDS INCCOMMON STOCK98849810149,788545,327SH SOLE 545,32700
YUM CHINA HOLDINGS INCCOMMON STOCK98850P10938,111719,746SH SOLE 719,74600
ZEBRA TECHNOLOGIES CORP CL ACOMMON STOCK98920710524,20795,883SH SOLE 95,88300
ZENDESK INCCOMMON STOCK98936J10121,997213,728SH SOLE 213,72800
ZILLOW GROUP INC ACOMMON STOCK98954M10110,05699,030SH SOLE 99,03000
ZILLOW GROUP INC CCOMMON STOCK98954M20025,485250,859SH SOLE 250,85900
ZIMMER BIOMET HOLDINGS INCCOMMON STOCK98956P10251,108375,405SH SOLE 375,40500
ZIONS BANCORP NACOMMON STOCK9897011078,848302,821SH SOLE 302,82100
ZIOPHARM ONCOLOGY INCCOMMON STOCK98973P101810321,607SH SOLE 321,60700
ZIX CORPCOMMON STOCK98974P10048482,868SH SOLE 82,86800
ZOETIS INCCOMMON STOCK98978V103150,870912,316SH SOLE 912,31600
ZOGENIX INCCOMMON STOCK98978L2041,50984,134SH SOLE 84,13400
ZSCALER INCCOMMON STOCK98980G10217,455124,064SH SOLE 124,06400
ZUMIEZ INCCOMMON STOCK98981710188031,635SH SOLE 31,63500
ZUORA INC CLASS ACOMMON STOCK98983V1061,572152,060SH SOLE 152,06000
ZYNEX INCCOMMON STOCK98986M10349228,223SH SOLE 28,22300
ZYNGA INC CL ACOMMON STOCK98986T10814,2101,558,157SH SOLE 1,558,15700
1LIFE HEALTHCARE INCCOMMON STOCK68269G1073,374118,985SH SOLE 118,98500
ARCUTIS BIOTHERAPEUTICS INCCOMMON STOCK03969K10880227,357SH SOLE 27,35700
BEAM THERAPEUTICS INCCOMMON STOCK07373V1051,31753,480SH SOLE 53,48000
BERRY CORPCOMMON STOCK08579X101320100,975SH SOLE 100,97500
BLACK DIAMOND THERAPEUTICS ICOMMON STOCK09203E10582727,363SH SOLE 27,36300
CASPER SLEEP INCCOMMON STOCK14762610527538,300SH SOLE 38,30000
EMERALD HOLDING INCCOMMON STOCK29103W1047838,193SH SOLE 38,19300
ENERPAC TOOL GROUP CORPCOMMON STOCK2927651041,53781,732SH SOLE 81,73200
ENVISTA HOLDINGS CORPCOMMON STOCK29415F1046,751273,551SH SOLE 273,55100
EQUITABLE HOLDINGS INCCOMMON STOCK29452E10116,079881,542SH SOLE 881,54200
ESSENTIAL UTILITIES INCCOMMON STOCK29670G10219,011472,319SH SOLE 472,31900
FEDERATED HERMES INCCOMMON STOCK3142111033,153146,577SH SOLE 146,57700
HOWMET AEROSPACE INCCOMMON STOCK44320110811,617694,785SH SOLE 694,78500
INGERSOLL RAND INCCOMMON STOCK45687V10622,158622,425SH SOLE 622,42500
ONEWATER MARINE INC CL ACOMMON STOCK68280L1011507,299SH SOLE 7,29900
PERDOCEO EDUCATION CORPCOMMON STOCK71363P1061,286105,032SH SOLE 105,03200
PPD INCCOMMON STOCK69355F10210,849293,292SH SOLE 293,29200
PRECIGEN INCCOMMON STOCK74017N10534999,857SH SOLE 99,85700
PROFESSIONAL HOLDING CORP ACOMMON STOCK74313910723217,276SH SOLE 17,27600
REVOLUTION MEDICINES INCCOMMON STOCK76155X1002,03258,384SH SOLE 58,38400
REYNOLDS CONSUMER PRODUCTS ICOMMON STOCK76171L1062,58484,387SH SOLE 84,38700
SCHRODINGER INCCOMMON STOCK80810D1032,09944,178SH SOLE 44,17800
SITIME CORPCOMMON STOCK82982T1061,16013,808SH SOLE 13,80800
TRANE TECHNOLOGIES PLCCOMMON STOCKG8994E10352,831435,721SH SOLE 435,72100
10X GENOMICS INC CLASS ACOMMON STOCK88025U10912,630101,302SH SOLE 101,30200
A MARK PRECIOUS METALS INCCOMMON STOCK00181T1072497,393SH SOLE 7,39300
ADAMS RESOURCES ENERGY INCCOMMON STOCK006351308663,309SH SOLE 3,30900
ADAPTHEALTH CORPCOMMON STOCK00653Q10282537,822SH SOLE 37,82200
AGILE THERAPEUTICS INCCOMMON STOCK00847L100311102,390SH SOLE 102,39000
AGROFRESH SOLUTIONS INCCOMMON STOCK00856G10910944,841SH SOLE 44,84100
AKERNA CORPCOMMON STOCK00973W1024913,532SH SOLE 13,53200
ALASKA COMM SYSTEMS GROUPCOMMON STOCK01167P10115678,221SH SOLE 78,22100
ALPHA PRO TECH LTDCOMMON STOCK02077210927318,442SH SOLE 18,44200
ALPINE INCOME PROPERTY TRUSTREIT02083X10315910,214SH SOLE 10,21400
ALTA EQUIPMENT GROUP INCCOMMON STOCK02128L10620125,681SH SOLE 25,68100
AON PLC CLASS ACOMMON STOCKG0403H10879,227384,039SH SOLE 384,03900
API GROUP CORPCOMMON STOCK00187Y1003,030212,905SH SOLE 212,90500
APOLLO GLOBAL MANAGEMENT INCCOMMON STOCK03768E10513,758307,431SH SOLE 307,43100
APPLIED GENETIC TECHNOLOGIESCOMMON STOCK03820J10017435,881SH SOLE 35,88100
APTINYX INCCOMMON STOCK03836N10312537,028SH SOLE 37,02800
AQUESTIVE THERAPEUTICS INCCOMMON STOCK03843E10414529,960SH SOLE 29,96000
ARAVIVE INCCOMMON STOCK03890D1088618,332SH SOLE 18,33200
ARBOR REALTY TRUST INCREIT0389231081,829159,429SH SOLE 159,42900
ARCONIC CORPCOMMON STOCK03966V1072,938154,226SH SOLE 154,22600
ARCTURUS THERAPEUTICS HOLDINCOMMON STOCK03969T1091,04124,275SH SOLE 24,27500
ASPEN AEROGELS INCCOMMON STOCK04523Y10533830,828SH SOLE 30,82800
ASPEN GROUP INCCOMMON STOCK04530L20331227,974SH SOLE 27,97400
ASPIRA WOMEN S HEALTH INCCOMMON STOCK04537Y109370119,949SH SOLE 119,94900
ASURE SOFTWARE INCCOMMON STOCK04649U10215320,259SH SOLE 20,25900
ATLANTICUS HOLDINGS CORPCOMMON STOCK04914Y102917,611SH SOLE 7,61100
ATOMERA INCCOMMON STOCK04965B10025424,266SH SOLE 24,26600
AUBURN NATL BANCORPORATIONCOMMON STOCK0504731071283,528SH SOLE 3,52800
AVENUE THERAPEUTICS INCCOMMON STOCK05360L20510910,047SH SOLE 10,04700
AVEO PHARMACEUTICALS INCCOMMON STOCK05358830719633,042SH SOLE 33,04200
AYTU BIOSCIENCE INCCOMMON STOCK0547547004134,499SH SOLE 34,49900
BELLEROPHON THERAPEUTICS INCCOMMON STOCK078771300636,197SH SOLE 6,19700
BEYOND AIR INCCOMMON STOCK08862L10310219,717SH SOLE 19,71700
BIGLARI HOLDINGS INC ACOMMON STOCK08986R40854110SH SOLE 11000
BOGOTA FINANCIAL CORPCOMMON STOCK097235105668,721SH SOLE 8,72100
BRAINSTORM CELL THERAPEUTICSCOMMON STOCK10501E20173143,223SH SOLE 43,22300
BRISTOW GROUP INCCOMMON STOCK11040G10322210,448SH SOLE 10,44800
BROADMARK REALTY CAPITAL INCREIT11135B1001,913194,003SH