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

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
DEUTSCHE BANK AGCommon StockD18190898031SH SOLE 3100
ALLEGION PUB LTD COCommon StockG0176J109110SH SOLE 1000
ALKERMES PLCCommon StockG0176710518,496948,007SH SOLE 948,00700
ALLERGAN PLCCommon StockG0177J10863,287376,057SH SOLE 376,05700
AMDOCS LTDCommon StockG026021039,443142,837SH SOLE 142,83700
AON PLCCommon StockG0408V10219,633101,428SH SOLE 101,42800
ARCH CAP GROUP LTDCommon StockG0450A10517,059406,370SH SOLE 406,37000
ATHENE HLDG LTDCommon StockG0684D1073,25877,450SH SOLE 77,45000
AXIS CAPITAL HOLDINGS LTDCommon StockG0692U1093,02645,351SH SOLE 45,35100
ACCENTURE PLC IRELANDCommon StockG1151C10138,778201,600SH SOLE 201,60000
BUNGE LIMITEDCommon StockG1696210526,597469,743SH SOLE 469,74300
CAPRI HOLDINGS LIMITEDCommon StockG1890L1073,384102,059SH SOLE 102,05900
CHINA BIOLOGIC PRODS HLDGS ICommon StockG2151510410,50891,800SH SOLE 91,80000
COSAN LTDCommon StockG2534310725,4791,710,000SH SOLE 1,710,00000
COCA COLA EUROPEAN PARTNERSCommon StockG2583910416,867304,176SH SOLE 304,17600
DELPHI TECHNOLOGIES PLCCommon StockG2709G107010SH SOLE 1000
EATON CORP PLCCommon StockG2918310331,531379,209SH SOLE 379,20900
ENDO INTL PLCCommon StockG3040110619661,150SH SOLE 61,15000
ENSTAR GROUP LIMITEDCommon StockG3075P101285,1101,501,211SH SOLE 1,501,21100
ESSENT GROUP LTDCommon StockG3198U10253,8621,129,900SH SOLE 1,129,90000
EVEREST RE GROUP LTDCommon StockG3223R1081,3355,017SH SOLE 5,01700
FABRINETCommon StockG3323L1004,34383,039SH SOLE 83,03900
GASLOG LTDCommon StockG3758510929923,303SH SOLE 23,30300
GENPACT LIMITEDCommon StockG3922B10715,604402,689SH SOLE 402,68900
HERBALIFE NUTRITION LTDCommon StockG4412G10113,988369,458SH SOLE 369,45800
HORIZON THERAPEUTICS PUB LTDCommon StockG4618810164523,700SH SOLE 23,70000
ICON PLCCommon StockG4705A10013,00388,252SH SOLE 88,25200
IHS MARKIT LTDCommon StockG475671051,473,49722,031,949SH SOLE 22,031,94900
INGERSOLL-RAND PLCCommon StockG4779110134,420279,358SH SOLE 279,35800
INTERNATIONAL GAME TECHNOLOGCommon StockG4863A1081,421100,010SH SOLE 100,01000
INVESCO LTDCommon StockG491BT1081,05562,250SH SOLE 62,25000
JAZZ PHARMACEUTICALS PLCCommon StockG508711053,45126,933SH SOLE 26,93300
JOHNSON CTLS INTL PLCCommon StockG5150210552,9781,207,066SH SOLE 1,207,06600
LIBERTY GLOBAL PLCCommon StockG5480U10419,081770,944SH SOLE 770,94400
LIBERTY GLOBAL PLCCommon StockG5480U12021,374898,441SH SOLE 898,44100
LINDE PLCCommon StockG5494J103617,2823,185,255SH SOLE 3,185,25500
MALLINCKRODT PUB LTD COCommon StockG5785G107489203,008SH SOLE 203,00800
MARVELL TECHNOLOGY GROUP LTDCommon StockG5876H1056,265250,890SH SOLE 250,89000
MEDTRONIC PLCCommon StockG5960L103202,3821,863,208SH SOLE 1,863,20800
APTIV PLCCommon StockG6095L10986,858993,568SH SOLE 993,56800
NABORS INDUSTRIES LTDCommon StockG6359F103010SH SOLE 1000
NIELSEN HLDGS PLCCommon StockG6518L1082,901136,499SH SOLE 136,49900
NOBLE CORP PLCCommon StockG65431101837659,120SH SOLE 659,12000
NORWEGIAN CRUISE LINE HLDG LCommon StockG6672110414,285275,937SH SOLE 275,93700
PAGSEGURO DIGITAL LTDCommon StockG68707101192,6504,160,000SH SOLE 4,160,00000
PENTAIR PLCCommon StockG7S00T1043,36589,010SH SOLE 89,01000
SEAGATE TECHNOLOGY PLCCommon StockG7945M10726,350489,866SH SOLE 489,86600
SENSATA TECHNOLOGIES HLDNG PCommon StockG8060N10212,420248,100SH SOLE 248,10000
SIGNET JEWELERS LIMITEDCommon StockG812761005,527329,792SH SOLE 329,79200
SINA CORPCommon StockG81477104240SH SOLE 4000
STERIS PLCCommon StockG8473T10015,387106,495SH SOLE 106,49500
TECHNIPFMC PLCCommon StockG871101051,23851,596SH SOLE 51,59600
TRONOX HOLDINGS PLCCommon StockG9087Q1022,841342,300SH SOLE 342,30000
VALARIS PLCCommon StockG9402V10902SH SOLE 200
GOLAR LNG LTD BERMUDACommon StockG9456A10076759,010SH SOLE 59,01000
WILLIS TOWERS WATSON PUB LTDCommon StockG9662910316,85187,322SH SOLE 87,32200
PERRIGO CO PLCCommon StockG97822103110SH SOLE 1000
ALCON INCCommon StockH0130112864,8021,110,255SH SOLE 1,110,25500
CHUBB LIMITEDCommon StockH1467J10424,037148,894SH SOLE 148,89400
GARMIN LTDCommon StockH2906T10931,600373,131SH SOLE 373,13100
UBS GROUP AGCommon StockH42097107165,82314,594,053SH SOLE 14,594,05300
TE CONNECTIVITY LTDCommon StockH8498910448,714522,797SH SOLE 522,79700
TRANSOCEAN LTDCommon StockH8817H1001,324296,294SH SOLE 296,29400
SPOTIFY TECHNOLOGY S ACommon StockL8681T1029,06779,532SH SOLE 79,53200
TRINSEO S ACommon StockL9340P1017,750180,443SH SOLE 180,44300
CHECK POINT SOFTWARE TECH LTCommon StockM224651046,01354,914SH SOLE 54,91400
CYBERARK SOFTWARE LTDCommon StockM2682V1082,59225,967SH SOLE 25,96700
MELLANOX TECHNOLOGIES LTDCommon StockM513631131841,680SH SOLE 1,68000
ISRAEL CHEMICALS LTDCommon StockM5920A1093,951795,720SH SOLE 795,72000
STRATASYS LTDCommon StockM855481011,02348,010SH SOLE 48,01000
TARO PHARMACEUTICAL INDS LTDCommon StockM8737E1081,79323,766SH SOLE 23,76600
TOWER SEMICONDUCTOR LTDCommon StockM87915274010SH SOLE 1000
WIX COM LTDCommon StockM980681052542,175SH SOLE 2,17500
AERCAP HOLDINGS NVCommon StockN0098510632,832599,667SH SOLE 599,66700
CNH INDL N VCommon StockN20944109010SH SOLE 1000
CORE LABORATORIES N VCommon StockN227171077,728165,772SH SOLE 165,77200
FERRARI N VCommon StockN3167Y103408,2582,645,589SH SOLE 2,645,58900
FIAT CHRYSLER AUTOMOBILES NCommon StockN3173810215,1721,172,228SH SOLE 1,172,22800
LYONDELLBASELL INDUSTRIES NCommon StockN5374510056,121627,264SH SOLE 627,26400
MYLAN N VCommon StockN5946510923,4111,183,548SH SOLE 1,183,54800
NXP SEMICONDUCTORS N VCommon StockN6596X109163,7251,500,413SH SOLE 1,500,41300
QIAGEN NVCommon StockN7248212310,776329,056SH SOLE 329,05600
WRIGHT MED GROUP N VCommon StockN966171185,522267,646SH SOLE 267,64600
YANDEX N VCommon StockN97284108010SH SOLE 1000
ROYAL CARIBBEAN CRUISES LTDCommon StockV7780T103332,1673,066,249SH SOLE 3,066,24900
COSTAMARE INCCommon StockY1771G10219632,353SH SOLE 32,35300
FLEX LTDCommon StockY2573F1021,258120,224SH SOLE 120,22400
SCORPIO TANKERS INCCommon StockY7542C1301,94065,200SH SOLE 65,20000
SEASPAN CORPCommon StockY756381091,357127,700SH SOLE 127,70000
STAR BULK CARRIERS CORPCommon StockY8162K20413713,630SH SOLE 13,63000
AFLAC INCCommon Stock0010551026,683127,739SH SOLE 127,73900
AGCO CORPCommon Stock00108410239,183517,613SH SOLE 517,61300
AGNC INVT CORPREIT00123Q10425515,849SH SOLE 15,84900
AES CORPCommon Stock00130H10534,7192,124,767SH SOLE 2,124,76700
AK STL HLDG CORPCommon Stock0015471081,471648,000SH SOLE 648,00000
AMAG PHARMACEUTICALS INCCommon Stock00163U1061,836158,980SH SOLE 158,98000
AMC ENTMT HLDGS INCCommon Stock00165C1048,155762,105SH SOLE 762,10500
AMN HEALTHCARE SERVICES INCCommon Stock0017441014,89885,100SH SOLE 85,10000
AT&T INCCommon Stock00206R102223,5315,907,269SH SOLE 5,907,26900
AU OPTRONICS CORPDepository Receipt002255107010SH SOLE 1000
AARONS INCCommon Stock0025353001,64725,632SH SOLE 25,63200
ABBOTT LABSCommon Stock002824100171,7312,052,475SH SOLE 2,052,47500
ABBVIE INCCommon Stock00287Y109120,4511,590,737SH SOLE 1,590,73700
ABERCROMBIE & FITCH COCommon Stock0028962077,355471,447SH SOLE 471,44700
ABIOMED INCCommon Stock0036541004,29624,149SH SOLE 24,14900
ACACIA COMMUNICATIONS INCCommon Stock00401C10830,797470,900SH SOLE 470,90000
ACADIA PHARMACEUTICALS INCCommon Stock00422510855215,337SH SOLE 15,33700
ACTIVISION BLIZZARD INCCommon Stock00507V10933,553634,028SH SOLE 634,02800
ACUITY BRANDS INCCommon Stock00508Y10229217SH SOLE 21700
ADOBE INCCommon Stock00724F10167,316243,679SH SOLE 243,67900
ADTALEM GLOBAL ED INCCommon Stock00737L1038,410220,803SH SOLE 220,80300
ADVANCE AUTO PARTS INCCommon Stock00751Y10610,46563,271SH SOLE 63,27100
ADVANCED DISP SVCS INC DELCommon Stock00790X101539,75316,572,106SH SOLE 16,572,10600
ADVANCED MICRO DEVICES INCCommon Stock0079031074,569157,600SH SOLE 157,60000
AFFILIATED MANAGERS GROUP INCommon Stock0082521087839,390SH SOLE 9,39000
AGILENT TECHNOLOGIES INCCommon Stock00846U10126,999352,323SH SOLE 352,32300
AGIOS PHARMACEUTICALS INCCommon Stock00847X1041,32240,805SH SOLE 40,80500
AGNICO EAGLE MINES LTDCommon Stock00847410864111,949SH SOLE 11,94900
AIR LEASE CORPCommon Stock00912X3022,25453,900SH SOLE 53,90000
AIR PRODS & CHEMS INCCommon Stock00915810680,009360,627SH SOLE 360,62700
AKAMAI TECHNOLOGIES INCCommon Stock00971T101430,3664,709,627SH SOLE 4,709,62700
ALASKA AIR GROUP INCCommon Stock0116591095,59186,140SH SOLE 86,14000
ALBANY INTL CORPCommon Stock0123481083,06534,000SH SOLE 34,00000
ALBEMARLE CORPCommon Stock01265310153,911775,478SH SOLE 775,47800
ALCOA CORPCommon Stock0138721064,433220,880SH SOLE 220,88000
ALEXANDRIA REAL ESTATE EQ INREIT0152711099,62962,511SH SOLE 62,51100
ALEXION PHARMACEUTICALS INCCommon Stock01535110946,067470,362SH SOLE 470,36200
ALGONQUIN PWR UTILS CORPCommon Stock0158571058,078589,610SH SOLE 589,61000
ALIBABA GROUP HLDG LTDDepository Receipt01609W1021,950,60011,664,174SH SOLE 11,664,17400
ALIGN TECHNOLOGY INCCommon Stock0162551014,72026,090SH SOLE 26,09000
ALLEGHANY CORP DELCommon Stock0171751002,9523,700SH SOLE 3,70000
ALLEGHENY TECHNOLOGIES INCCommon Stock01741R10234517,060SH SOLE 17,06000
ALLIANCE DATA SYSTEMS CORPCommon Stock01858110812,74599,473SH SOLE 99,47300
ALLIANT ENERGY CORPCommon Stock0188021082,19040,600SH SOLE 40,60000
ALLISON TRANSMISSION HLDGS ICommon Stock01973R1018,036170,798SH SOLE 170,79800
ALLSCRIPTS HEALTHCARE SOLUTNCommon Stock01988P1089,940905,294SH SOLE 905,29400
ALLSTATE CORPCommon Stock020002101110SH SOLE 1000
ALLY FINL INCCommon Stock02005N10032,705986,287SH SOLE 986,28700
ALNYLAM PHARMACEUTICALS INCCommon Stock02043Q1071,81322,541SH SOLE 22,54100
ALPHABET INCCommon Stock02079K107244,830200,845SH SOLE 200,84500
ALPHABET INCCommon Stock02079K3051,429,0241,170,238SH SOLE 1,170,23800
ALTABA INCPublic Fund0213461011909,776SH SOLE 9,77600
ALTICE USA INCCommon Stock02156K103321,00711,192,697SH SOLE 11,192,69700
ALTRIA GROUP INCCommon Stock02209S103160,5703,925,916SH SOLE 3,925,91600
AMAZON COM INCCommon Stock023135106374,453215,710SH SOLE 215,71000
AMEREN CORPCommon Stock02360810254,790684,442SH SOLE 684,44200
AMERICAN AIRLS GROUP INCCommon Stock02376R1025,850216,907SH SOLE 216,90700
AMERICAN AXLE & MFG HLDGS INCommon Stock0240611031,793218,106SH SOLE 218,10600
AMERICAN CAMPUS CMNTYS INCREIT0248351001,05822,000SH SOLE 22,00000
AMERICAN EAGLE OUTFITTERS INCommon Stock02553E1065,283325,700SH SOLE 325,70000
AMERICAN ELEC PWR CO INCCommon Stock02553710178,581838,729SH SOLE 838,72900
AMERICAN EXPRESS COCommon Stock02581610967,681572,214SH SOLE 572,21400
AMERICAN FINL GROUP INC OHIOCommon Stock0259321046,41359,460SH SOLE 59,46000
AMERICAN FIN TR INCREIT02607T1092,792200,000SH SOLE 200,00000
AMERICAN HOMES 4 RENTREIT02665T3062,985115,300SH SOLE 115,30000
AMERICAN INTL GROUP INCCommon Stock0268747848,741156,938SH SOLE 156,93800
AMERICAN OUTDOOR BRANDS CORPCommon Stock02874P1031,626277,889SH SOLE 277,88900
AMERICAN TOWER CORP NEWCommon Stock03027X100286,3091,294,754SH SOLE 1,294,75400
AMERICAN WTR WKS CO INC NEWCommon Stock03042010315,463124,468SH SOLE 124,46800
AMERISOURCEBERGEN CORPCommon Stock03073E10531,379381,135SH SOLE 381,13500
AMERIPRISE FINL INCCommon Stock03076C10618,794127,765SH SOLE 127,76500
AMERIS BANCORPCommon Stock03076K1081,89947,200SH SOLE 47,20000
AMETEK INC NEWCommon Stock0311001003,68440,120SH SOLE 40,12000
AMGEN INCCommon Stock031162100208,3251,076,560SH SOLE 1,076,56000
AMKOR TECHNOLOGY INCCommon Stock03165210037140,720SH SOLE 40,72000
AMPHENOL CORP NEWCommon Stock0320951011,72017,820SH SOLE 17,82000
ANALOG DEVICES INCCommon Stock0326541051,31811,800SH SOLE 11,80000
ANNALY CAP MGMT INCREIT03571040919121,669SH SOLE 21,66900
ANSYS INCCommon Stock03662Q1054,71521,300SH SOLE 21,30000
ANTERO RES CORPCommon Stock03674X1063,003994,393SH SOLE 994,39300
ANTHEM INCCommon Stock03675210381,765340,546SH SOLE 340,54600
APACHE CORPCommon Stock0374111059,070354,308SH SOLE 354,30800
APARTMENT INVT & MGMT COREIT03748R7541,02019,559SH SOLE 19,55900
APPLE INCCommon Stock037833100510,3342,278,580SH SOLE 2,278,58000
APPLIED INDL TECHNOLOGIES INCommon Stock03820C10558510,300SH SOLE 10,30000
APPLIED MATLS INCCommon Stock03822210519,265386,079SH SOLE 386,07900
ARAMARKCommon Stock03852U10654,4771,250,042SH SOLE 1,250,04200
ARBOR RLTY TR INCREIT03892310840630,984SH SOLE 30,98400
ARCHER DANIELS MIDLAND COCommon Stock03948310276818,702SH SOLE 18,70200
ARCONIC INCCommon Stock03965L1007,005269,410SH SOLE 269,41000
ARISTA NETWORKS INCCommon Stock0404131062,2799,537SH SOLE 9,53700
ARMSTRONG WORLD INDS INC NEWCommon Stock04247X10217,467180,630SH SOLE 180,63000
ARROW ELECTRS INCCommon Stock0427351007,506100,639SH SOLE 100,63900
ARROWHEAD PHARMACEUTICALS INCommon Stock04280A10053519,000SH SOLE 19,00000
ASHLAND GLOBAL HLDGS INCCommon Stock04418610410,715139,060SH SOLE 139,06000
ASPEN TECHNOLOGY INCCommon Stock0453271031,73514,100SH SOLE 14,10000
ASSERTIO THERAPEUTICS INCCommon Stock04545L107148116,010SH SOLE 116,01000
ATARA BIOTHERAPEUTICS INCCommon Stock04651310730321,455SH SOLE 21,45500
AUTODESK INCCommon Stock05276910619,375131,178SH SOLE 131,17800
AUTOHOME INCDepository Receipt05278C1074,83058,100SH SOLE 58,10000
AUTOLIV INCCommon Stock0528001092,70634,301SH SOLE 34,30100
AUTOMATIC DATA PROCESSING INCommon Stock05301510337,553232,640SH SOLE 232,64000
AUTONATION INCCommon Stock05329W1028,322164,135SH SOLE 164,13500
AUTOZONE INCCommon Stock05333210217,20415,862SH SOLE 15,86200
AVALARA INCCommon Stock05338G10613,449199,873SH SOLE 199,87300
AVALONBAY CMNTYS INCREIT05348410185,983399,307SH SOLE 399,30700
AVANGRID INCCommon Stock05351W1037,047134,867SH SOLE 134,86700
AVERY DENNISON CORPCommon Stock0536111091,92616,955SH SOLE 16,95500
AVIS BUDGET GROUP INCCommon Stock05377410521,243751,700SH SOLE 751,70000
AVISTA CORPCommon Stock05379B107010SH SOLE 1000
AVNET INCCommon Stock05380710319,169430,906SH SOLE 430,90600
AXA EQUITABLE HLDGS INCCommon Stock054561105304,94413,761,000SH SOLE 13,761,00000
AXON ENTERPRISE INCCommon Stock05464C1019,159161,303SH SOLE 161,30300
BB&T CORPCommon Stock0549371074,30580,667SH SOLE 80,66700
B & G FOODS INC NEWCommon Stock05508R1061,39673,841SH SOLE 73,84100
BCE INCCommon Stock05534B76027,186561,709SH SOLE 561,70900
BHP GROUP PLCDepository Receipt05545E2094,712110,000SH SOLE 110,00000
BJS WHSL CLUB HLDGS INCCommon Stock05550J1011,88973,010SH SOLE 73,01000
BP PLCDepository Receipt055622104491,281SH SOLE 1,28100
BRP INCCommon Stock05577W2006,356163,246SH SOLE 163,24600
BAIDU INCDepository Receipt056752108108,5591,056,430SH SOLE 1,056,43000
BAKER HUGHES A GE COCommon Stock05722G100010SH SOLE 1000
BALL CORPCommon Stock05849810653,561735,624SH SOLE 735,62400
BANCO BRADESCO S ADepository Receipt05946030330,2953,721,720SH SOLE 3,721,72000
BANCO SANTANDER BRASIL S ADepository Receipt05967A10767562,000SH SOLE 62,00000
BANK AMER CORPCommon Stock060505104500,19917,147,729SH SOLE 17,147,72900
BANK MONTREAL QUECommon Stock063671101248,4753,371,399SH SOLE 3,371,39900
BANK NEW YORK MELLON CORPCommon Stock06405810041,329914,162SH SOLE 914,16200
BANK N S HALIFAXCommon Stock064149107144,4252,541,120SH SOLE 2,541,12000
BANK OZKCommon Stock06417N1032689,840SH SOLE 9,84000
BANKUNITED INCCommon Stock06652K1031,19835,620SH SOLE 35,62000
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BARCLAYS PLCDepository Receipt06738E2042,936400,000SH SOLE 400,00000
BARRICK GOLD CORPORATIONCommon Stock0679011085,648326,287SH SOLE 326,28700
BAUSCH HEALTH COS INCCommon Stock07173410718,440844,436SH SOLE 844,43600
BAXTER INTL INCCommon Stock07181310952,785603,463SH SOLE 603,46300
BAYTEX ENERGY CORPCommon Stock07317Q105459310,168SH SOLE 310,16800
BBVA BANCO FRANCES S ADepository Receipt07329M100507117,148SH SOLE 117,14800
BECTON DICKINSON & COCommon Stock07588710912,61749,879SH SOLE 49,87900
BED BATH & BEYOND INCCommon Stock0758961008,717819,291SH SOLE 819,29100
BEIGENE LTDDepository Receipt07725L10272,606592,898SH SOLE 592,89800
BELDEN INCCommon Stock0774541065,379100,852SH SOLE 100,85200
BERKLEY W R CORPCommon Stock08442310211,376157,491SH SOLE 157,49100
BERKSHIRE HATHAWAY INC DELCommon Stock084670702164,477790,680SH SOLE 790,68000
BEST BUY INCCommon Stock0865161018,334120,807SH SOLE 120,80700
BEST INCDepository Receipt08653C106265,000SH SOLE 5,00000
BIG LOTS INCCommon Stock0893021032,25191,873SH SOLE 91,87300
BILIBILI INCDepository Receipt090040106160SH SOLE 6000
BIO RAD LABS INCCommon Stock09057220714,16242,562SH SOLE 42,56200
BIOMARIN PHARMACEUTICAL INCCommon Stock09061G10128,191418,264SH SOLE 418,26400
BIOGEN INCCommon Stock09062X103106,506457,460SH SOLE 457,46000
BJS RESTAURANTS INCCommon Stock09180C10685421,980SH SOLE 21,98000
BLACK HILLS CORPCommon Stock09211310945,297590,338SH SOLE 590,33800
BLACKBAUD INCCommon Stock09227Q1001,98722,000SH SOLE 22,00000
BLACKBERRY LTDCommon Stock09228F103010SH SOLE 1000
BLACKROCK INCCommon Stock09247X10125,59257,428SH SOLE 57,42800
BLACKSTONE GROUP INCUnit09260D10733,543686,800SH SOLE 686,80000
BLOCK H & R INCCommon Stock0936711052101SH SOLE 10100
BLOOMIN BRANDS INCCommon Stock0942351089,105480,959SH SOLE 480,95900
BLUCORA INCCommon Stock0952291001356,237SH SOLE 6,23700
BOEING COCommon Stock097023105142,909375,611SH SOLE 375,61100
BOINGO WIRELESS INCCommon Stock09739C1023,186287,039SH SOLE 287,03900
BOOKING HLDGS INCCommon Stock09857L10874,28737,851SH SOLE 37,85100
BOOZ ALLEN HAMILTON HLDG CORCommon Stock09950210610,087142,037SH SOLE 142,03700
BORGWARNER INCCommon Stock0997241062,96680,866SH SOLE 80,86600
BOSTON BEER INCCommon Stock1005571072,9988,234SH SOLE 8,23400
BOSTON PROPERTIES INCREIT10112110128,925223,087SH SOLE 223,08700
BOSTON SCIENTIFIC CORPCommon Stock10113710739,676975,078SH SOLE 975,07800
BOX INCCommon Stock10316T1047,898476,922SH SOLE 476,92200
BRIGHTHOUSE FINL INCCommon Stock10922N1031313,246SH SOLE 3,24600
BRIGHTSPHERE INVT GROUP INCCommon Stock10948W1031,387139,937SH SOLE 139,93700
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BRISTOL MYERS SQUIBB COCommon Stock11012210898,4671,941,776SH SOLE 1,941,77600
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FOX CORPCommon Stock35137L10581125,709SH SOLE 25,70900
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FRANKLIN RES INCCommon Stock35461310139513,685SH SOLE 13,68500
FREEPORT-MCMORAN INCCommon Stock35671D85714,5901,524,590SH SOLE 1,524,59000
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RALPH LAUREN CORPCommon Stock7512121018,43788,376SH SOLE 88,37600
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REGAL BELOIT CORPCommon Stock7587501034,00254,938SH SOLE 54,93800
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ROCKWELL AUTOMATION INCCommon Stock77390310917,492106,142SH SOLE 106,14200
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