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
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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
DEUTSCHE BANK A GCommon StockD181908983,565544,369SH SOLE 544,36900
ADIENT PLCCommon StockG0084W101505,500SH SOLE 5,50000
ALLEGION PLCCommon StockG0176J1092773,006SH SOLE 3,00600
ALKERMES PLCCommon StockG017671056,401443,908SH SOLE 443,90800
ALLERGAN PLCCommon StockG0177J108251,6311,420,844SH SOLE 1,420,84400
AMDOCS LTDCommon StockG0260210310,805196,554SH SOLE 196,55400
AON PLCCommon StockG0408V102134810SH SOLE 81000
ARCH CAP GROUP LTDCommon StockG0450A1057,574266,114SH SOLE 266,11400
AXIS CAPITAL HOLDINGS LTDCommon StockG0692U1091,35335,000SH SOLE 35,00000
BANK OF NT BUTTERFIELD&SON LCommon StockG0772R20861636,200SH SOLE 36,20000
ACCENTURE PLC IRELANDCommon StockG1151C10143,256264,955SH SOLE 264,95500
BUNGE LIMITEDCommon StockG169621057,040171,589SH SOLE 171,58900
CAPRI HOLDINGS LIMITEDCommon StockG1890L1071,101102,059SH SOLE 102,05900
CENTRAL EUROPEAN MEDIA ENTRPCommon StockG200452021,350431,300SH SOLE 431,30000
CHINA BIOLOGIC PRODS HLDGS ICommon StockG215151049,71590,010SH SOLE 90,01000
COSAN LTDCommon StockG2534310721,0331,710,000SH SOLE 1,710,00000
COCA COLA EUROPEAN PARTNERSCommon StockG2583910411,416304,176SH SOLE 304,17600
DELPHI TECHNOLOGIES PLCommon StockG2709G107293,587SH SOLE 3,58700
EATON CORP PLCCommon StockG2918310328,093361,609SH SOLE 361,60900
ENDO INTL PLCCommon StockG304011067,1651,936,610SH SOLE 1,936,61000
ENSTAR GROUP LIMITEDCommon StockG3075P101238,7681,501,211SH SOLE 1,501,21100
EVEREST RE GROUP LTDCommon StockG3223R1085202,704SH SOLE 2,70400
FABRINETCommon StockG3323L1001,91535,100SH SOLE 35,10000
GASLOG LTDCommon StockG375851098423,303SH SOLE 23,30300
GENPACT LIMITEDCommon StockG3922B1073,979136,266SH SOLE 136,26600
HELEN OF TROY CORP LTDCommon StockG4388N1064853,368SH SOLE 3,36800
HERBALIFE NUTRITION LTDCommon StockG4412G1014,580157,079SH SOLE 157,07900
HORIZON THERAPEUTICS PUB LTDCommon StockG4618810146315,635SH SOLE 15,63500
ICON PLCCommon StockG4705A1002,11215,529SH SOLE 15,52900
IHS MARKIT LTDCommon StockG475671051,321,91722,031,949SH SOLE 22,031,94900
INTERNATIONAL GAME TECHNOLOGCommon StockG4863A108010SH SOLE 1000
INVESCO LTDCommon StockG491BT1081,846203,215SH SOLE 203,21500
JAZZ PHARMACEUTICALS PLCCommon StockG5087110552524SH SOLE 52400
JOHNSON CTLS INTL PLCCommon StockG5150210528,5151,057,683SH SOLE 1,057,68300
LIBERTY GLOBAL PLCCommon StockG5480U1049,059548,676SH SOLE 548,67600
LIBERTY GLOBAL PLCCommon StockG5480U1206,831434,830SH SOLE 434,83000
LINDE PLCCommon StockG5494J103463,5322,679,376SH SOLE 2,679,37600
LIVANOVA PLCCommon StockG5509L1012,09246,234SH SOLE 46,23400
MALLINCKRODT PUB LTD COCommon StockG5785G107829418,504SH SOLE 418,50400
MARVELL TECHNOLOGY GROUP LTDCommon StockG5876H1054,745209,699SH SOLE 209,69900
MEDTRONIC PLCCommon StockG5960L10397,7811,084,283SH SOLE 1,084,28300
APTIV PLCCommon StockG6095L10950,5251,026,096SH SOLE 1,026,09600
NABORS INDUSTRIES LTDCommon StockG6359F103142363,147SH SOLE 363,14700
NIELSEN HLDGS PLCCommon StockG6518L1081,668133,010SH SOLE 133,01000
NOBLE CORP PLCCommon StockG6543110192354,100SH SOLE 354,10000
NORWEGIAN CRUISE LINE HLDG LCommon StockG6672110422320,384SH SOLE 20,38400
PAGSEGURO DIGITAL LTDCommon StockG6870710180,4134,160,000SH SOLE 4,160,00000
PENTAIR PLCCommon StockG7S00T10411,741394,535SH SOLE 394,53500
SEAGATE TECHNOLOGY PLCCommon StockG7945M10732,053656,827SH SOLE 656,82700
SENSATA TECHNOLOGIES HLDNG PCommon StockG8060N10214,728509,103SH SOLE 509,10300
SIGNET JEWELERS LIMITEDCommon StockG8127610034853,980SH SOLE 53,98000
SINA CORPCommon StockG81477104140SH SOLE 4000
SMART GLOBAL HLDGS INCCommon StockG8232Y1011,20349,500SH SOLE 49,50000
STERIS PLCCommon StockG8473T1005,60940,070SH SOLE 40,07000
TECHNIPFMC PLCCommon StockG8711010534850,596SH SOLE 50,59600
TRANE TECHNOLOGIES PLCCommon StockG8994E10313,428162,589SH SOLE 162,58900
TRONOX HOLDINGS PLCCommon StockG9087Q1021,234247,700SH SOLE 247,70000
VALARIS PLCCommon StockG9402V10902SH SOLE 200
GOLAR LNG LTDCommon StockG9456A100010SH SOLE 1000
WILLIS TOWERS WATSON PLC LTDCommon StockG9662910319,962117,527SH SOLE 117,52700
PERRIGO CO PLCCommon StockG97822103362SH SOLE 6200
ALCON INCCommon StockH0130112834,653679,687SH SOLE 679,68700
CHUBB LIMITEDCommon StockH1467J10411,636104,183SH SOLE 104,18300
GARMIN LTDCommon StockH2906T10914,132188,531SH SOLE 188,53100
UBS GROUP AGCommon StockH4209710752,1195,574,553SH SOLE 5,574,55300
TE CONNECTIVITY LTDCommon StockH8498910435,027556,166SH SOLE 556,16600
SPOTIFY TECHNOLOGY S ACommon StockL8681T1021,63113,432SH SOLE 13,43200
TRINSEO S ACommon StockL9340P1013,209177,183SH SOLE 177,18300
CHECK POINT SOFTWARE TECH LTCommon StockM2246510481810SH SOLE 81000
CYBERARK SOFTWARE LTDCommon StockM2682V10844510SH SOLE 51000
MELLANOX TECHNOLOGIES LTDCommon StockM513631139,42477,680SH SOLE 77,68000
ISRAEL CHEMICALS LIMITEDCommon StockM5920A1092,308723,738SH SOLE 723,73800
STRATASYS LTDCommon StockM85548101322,010SH SOLE 2,01000
TARO PHARMACEUTICAL INDS LTDCommon StockM8737E10879412,966SH SOLE 12,96600
TOWER SEMICONDUCTOR LTDCommon StockM87915274010SH SOLE 1000
WIX COM LTDCommon StockM980681051,10911,000SH SOLE 11,00000
AERCAP HOLDINGS NVCommon StockN009851061,58469,505SH SOLE 69,50500
ELASTIC N VCommon StockN14506104751,341SH SOLE 1,34100
CNH INDL N VCommon StockN20944109010SH SOLE 1000
CORE LABORATORIES N VCommon StockN2271710796293,083SH SOLE 93,08300
FERRARI N VCommon StockN3167Y103138,215890,145SH SOLE 890,14500
FIAT CHRYSLER AUTOMOBILES NCommon StockN317381028,5781,189,524SH SOLE 1,189,52400
LYONDELLBASELL INDUSTRIES NCommon StockN5374510033,766680,354SH SOLE 680,35400
NXP SEMICONDUCTORS N VCommon StockN6596X109124,6801,503,434SH SOLE 1,503,43400
QIAGEN NVCommon StockN7248212377,3101,924,555SH SOLE 1,924,55500
YANDEX N VCommon StockN972841082,94286,410SH SOLE 86,41000
COPA HOLDINGS SACommon StockP310761054,14491,500SH SOLE 91,50000
ROYAL CARIBBEAN CRUISES LTDCommon StockV7780T103260,6428,102,020SH SOLE 8,102,02000
ATLAS CORPCommon StockY0436Q10951867,354SH SOLE 67,35400
COSTAMARE INCCommon StockY1771G1021,109245,461SH SOLE 245,46100
DHT HOLDINGS INCCommon StockY2065G1212,268295,700SH SOLE 295,70000
FLEX LTDCommon StockY2573F102022SH SOLE 2200
STAR BULK CARRIERS CORP.Common StockY8162K2047713,630SH SOLE 13,63000
AFLAC INCCommon Stock00105510219,213561,119SH SOLE 561,11900
AGCO CORPCommon Stock00108410216,258344,090SH SOLE 344,09000
AGNC INVT CORPREIT00123Q1042,323219,562SH SOLE 219,56200
AES CORPCommon Stock00130H1053,973292,153SH SOLE 292,15300
AMAG PHARMACEUTICALS INCCommon Stock00163U106055SH SOLE 5500
AMC NETWORKS INCCommon Stock00164V1031,01141,596SH SOLE 41,59600
AMC ENTMT HLDGS INCCommon Stock00165C104493156,165SH SOLE 156,16500
AMN HEALTHCARE SVCS INCCommon Stock0017441012,14237,047SH SOLE 37,04700
AT&T INCCommon Stock00206R102267,8359,188,152SH SOLE 9,188,15200
AARONS INCCommon Stock0025353002,22297,512SH SOLE 97,51200
ABBOTT LABSCommon Stock002824100102,0401,293,125SH SOLE 1,293,12500
ABBVIE INCCommon Stock00287Y10985,2391,118,764SH SOLE 1,118,76400
ABERCROMBIE & FITCH COCommon Stock0028962071,756193,155SH SOLE 193,15500
ABIOMED INCCommon Stock0036541007,32050,433SH SOLE 50,43300
ACACIA COMMUNICATIONS INCCommon Stock00401C1085,58383,100SH SOLE 83,10000
ACADIA PHARMACEUTICALS INCCommon Stock00422510843910,400SH SOLE 10,40000
ACTIVISION BLIZZARD INCCommon Stock00507V1098,296139,482SH SOLE 139,48200
ACUITY BRANDS INCCommon Stock00508Y1021,82521,304SH SOLE 21,30400
ADOBE INCCommon Stock00724F10152,535165,080SH SOLE 165,08000
ADTALEM GLOBAL ED INCCommon Stock00737L1038,969334,790SH SOLE 334,79000
ADVANCE AUTO PARTS INCCommon Stock00751Y1064,17344,712SH SOLE 44,71200
ADVANCED DRAIN SYS INC DELCommon Stock00790R1042,16373,470SH SOLE 73,47000
ADVANCED DISP SVCS INC DELCommon Stock00790X101543,56516,572,106SH SOLE 16,572,10600
ADVANCED MICRO DEVICES INCCommon Stock0079031072,99665,882SH SOLE 65,88200
AFFILIATED MANAGERS GROUP INCommon Stock0082521082374,010SH SOLE 4,01000
AGILENT TECHNOLOGIES INCCommon Stock00846U1017,575105,768SH SOLE 105,76800
AGIOS PHARMACEUTICALS INCCommon Stock00847X1042,61473,686SH SOLE 73,68600
AGNICO EAGLE MINES LTDCommon Stock00847410814,825375,600SH SOLE 375,60000
AIR LEASE CORPCommon Stock00912X30253624,210SH SOLE 24,21000
AIR PRODS & CHEMS INCCommon Stock00915810672,543363,423SH SOLE 363,42300
AKAMAI TECHNOLOGIES INCCommon Stock00971T101428,7144,685,910SH SOLE 4,685,91000
ALASKA AIR GROUP INCCommon Stock0116591092,875101,009SH SOLE 101,00900
ALBEMARLE CORPCommon Stock01265310139,908707,966SH SOLE 707,96600
ALCOA CORPCommon Stock013872106631102,516SH SOLE 102,51600
ALEXANDRIA REAL ESTATE EQ INREIT0152711094,63233,798SH SOLE 33,79800
ALEXION PHARMACEUTICALS INCCommon Stock01535110964,530718,675SH SOLE 718,67500
ALGONQUIN PWR UTILS CORPCommon Stock0158571057,850589,610SH SOLE 589,61000
ALIBABA GROUP HLDG LTDDepository Receipt01609W1022,491,96212,813,461SH SOLE 12,813,46100
ALIGN TECHNOLOGY INCCommon Stock0162551012,35913,561SH SOLE 13,56100
ALLEGHANY CORP DELCommon Stock0171751001,2712,300SH SOLE 2,30000
ALLEGHENY TECHNOLOGIES INCCommon Stock01741R102647,574SH SOLE 7,57400
ALLIANCE DATA SYSTEMS CORPCommon Stock0185811086,174183,474SH SOLE 183,47400
ALLIANT ENERGY CORPCommon Stock01880210888518,335SH SOLE 18,33500
ALLISON TRANSMISSION HLDGS ICommon Stock01973R1017,969244,369SH SOLE 244,36900
ALLSCRIPTS HEALTHCARE SOLUTNCommon Stock01988P1086,329899,001SH SOLE 899,00100
ALLSTATE CORPCommon Stock0200021011331,455SH SOLE 1,45500
ALLY FINL INCCommon Stock02005N1004,601318,879SH SOLE 318,87900
ALNYLAM PHARMACEUTICALS INCCommon Stock02043Q1078,11774,572SH SOLE 74,57200
ALPHABET INCCommon Stock02079K107143,194123,145SH SOLE 123,14500
ALPHABET INCCommon Stock02079K3051,295,5541,114,982SH SOLE 1,114,98200
ALTERYX INCCommon Stock02156B10381853SH SOLE 85300
ALTICE USA INCCommon Stock02156K103249,48511,192,697SH SOLE 11,192,69700
AMAZON COM INCCommon Stock023135106450,569231,094SH SOLE 231,09400
AMBEV SADepository Receipt02319V10313,8006,000,000SH SOLE 6,000,00000
AMEREN CORPCommon Stock02360810237,480514,631SH SOLE 514,63100
AMERICAN AIRLS GROUP INCCommon Stock02376R1023,717304,926SH SOLE 304,92600
AMERICAN AXLE & MFG HLDGS INCommon Stock0240611034713,100SH SOLE 13,10000
AMERICAN CAMPUS CMNTYS INCREIT02483510080529,000SH SOLE 29,00000
AMERICAN EAGLE OUTFITTERS INCommon Stock02553E1061,800226,400SH SOLE 226,40000
AMERICAN ELEC PWR CO INCCommon Stock02553710181,0431,013,293SH SOLE 1,013,29300
AMERICAN EXPRESS COCommon Stock02581610948,602567,714SH SOLE 567,71400
AMERICAN FINL GROUP INC OHIOCommon Stock0259321045547,900SH SOLE 7,90000
AMERICAN HOMES 4 RENTREIT02665T306703,000SH SOLE 3,00000
AMERICAN INTL GROUP INCCommon Stock02687478411,900490,709SH SOLE 490,70900
AMERICAN OUTDOOR BRANDS CORPCommon Stock02874P10321125,461SH SOLE 25,46100
AMERICAN TOWER CORP NEWCommon Stock03027X100310,2171,424,647SH SOLE 1,424,64700
AMERICAN WTR WKS CO INC NEWCommon Stock03042010328,043234,551SH SOLE 234,55100
AMERISOURCEBERGEN CORPCommon Stock03073E10514,777166,975SH SOLE 166,97500
AMERIPRISE FINL INCCommon Stock03076C1063,91938,250SH SOLE 38,25000
AMETEK INCCommon Stock0311001006,70593,100SH SOLE 93,10000
AMGEN INCCommon Stock031162100194,656960,175SH SOLE 960,17500
AMKOR TECHNOLOGY INCCommon Stock0316521001,671214,510SH SOLE 214,51000
AMPHENOL CORP NEWCommon Stock03209510112,924177,330SH SOLE 177,33000
ANALOG DEVICES INCCommon Stock0326541051,20413,437SH SOLE 13,43700
ANAPLAN INCCommon Stock03272L108852,799SH SOLE 2,79900
ANNALY CAPITAL MANAGEMENT INREIT0357104096,9331,367,390SH SOLE 1,367,39000
ANSYS INCCommon Stock03662Q1055242,256SH SOLE 2,25600
ANTERO RESOURCES CORPCommon Stock03674X106617865,984SH SOLE 865,98400
ANTHEM INCCommon Stock03675210354,844241,559SH SOLE 241,55900
APACHE CORPCommon Stock037411105600143,490SH SOLE 143,49000
APARTMENT INVT & MGMT COREIT03748R7545,555158,037SH SOLE 158,03700
APOLLO GLOBAL MGMT INCUnit03768E1058,826263,470SH SOLE 263,47000
APPFOLIO INCCommon Stock03783C1003,43931,000SH SOLE 31,00000
APPLE INCCommon Stock037833100461,4201,814,542SH SOLE 1,814,54200
APPLIED INDL TECHNOLOGIES INCommon Stock03820C1052395,237SH SOLE 5,23700
APPLIED MATLS INCCommon Stock03822210510,864237,094SH SOLE 237,09400
APPLIED OPTOELECTRONICS INCCommon Stock03823U102557,277SH SOLE 7,27700
AQUESTIVE THERAPEUTICS INCCommon Stock03843E104383175,000SH SOLE 175,00000
ARAMARKCommon Stock03852U10665,5923,284,536SH SOLE 3,284,53600
ARCHER DANIELS MIDLAND COCommon Stock0394831027,585215,600SH SOLE 215,60000
ARCONIC CORPORATIONCommon Stock03966V1074,327269,410SH SOLE 269,41000
ARISTA NETWORKS INCCommon Stock0404131061,5817,809SH SOLE 7,80900
ARLO TECHNOLOGIES INCCommon Stock04206A101998410,600SH SOLE 410,60000
ARMSTRONG WORLD INDS INCCommon Stock04247X1022,70033,991SH SOLE 33,99100
ARROW ELECTRS INCCommon Stock0427351005,882113,398SH SOLE 113,39800
ARROWHEAD PHARMACEUTICALS INCommon Stock04280A10028984SH SOLE 98400
ASBURY AUTOMOTIVE GROUP INCCommon Stock04343610470012,675SH SOLE 12,67500
ASHLAND GLOBAL HLDGS INCCommon Stock0441861041,00520,065SH SOLE 20,06500
ASPEN TECHNOLOGY INCCommon Stock0453271031,47915,563SH SOLE 15,56300
ASSURANT INCCommon Stock04621X1081241,193SH SOLE 1,19300
ATARA BIOTHERAPEUTICS INCCommon Stock04651310715,3181,800,000SH SOLE 1,800,00000
ATRION CORPCommon Stock049904105343527SH SOLE 52700
AUTODESK INCCommon Stock05276910626,027166,735SH SOLE 166,73500
AUTOHOME INCDepository Receipt05278C1074,12658,100SH SOLE 58,10000
AUTOLIV INCCommon Stock0528001093086,684SH SOLE 6,68400
AUTOMATIC DATA PROCESSING INCommon Stock05301510362,170454,861SH SOLE 454,86100
AUTONATION INCCommon Stock05329W1021,61357,500SH SOLE 57,50000
AUTOZONE INCCommon Stock0533321025,1336,067SH SOLE 6,06700
AVALARA INCCommon Stock05338G1062062,768SH SOLE 2,76800
AVALONBAY CMNTYS INCREIT05348410158,473397,318SH SOLE 397,31800
AVANGRID INCCommon Stock05351W1035,904134,867SH SOLE 134,86700
AVERY DENNISON CORPCommon Stock0536111091,10110,810SH SOLE 10,81000
AVIS BUDGET GROUPCommon Stock0537741056,832491,515SH SOLE 491,51500
AVISTA CORPCommon Stock05379B10714,661345,056SH SOLE 345,05600
AVNET INCCommon Stock05380710311,466456,801SH SOLE 456,80100
AXON ENTERPRISE INCCommon Stock05464C1012,21131,237SH SOLE 31,23700
B & G FOODS INC NEWCommon Stock05508R1062,666147,390SH SOLE 147,39000
BCE INCCommon Stock05534B76045,9241,132,267SH SOLE 1,132,26700
BGC PARTNERS INCCommon Stock05541T10121786,142SH SOLE 86,14200
BRP INCCommon Stock05577W2001,52794,633SH SOLE 94,63300
BAIDU INCDepository Receipt05675210817,902177,617SH SOLE 177,61700
BAKER HUGHES COMPANYCommon Stock05722G100010SH SOLE 1000
BALL CORPCommon Stock05849810636,387562,745SH SOLE 562,74500
BK OF AMERICA CORPCommon Stock060505104395,22818,616,493SH SOLE 18,616,49300
BANK MONTREALCommon Stock06367110121,717435,000SH SOLE 435,00000
BANK NEW YORK MELLON CORPCommon Stock06405810025,528757,966SH SOLE 757,96600
BANK NOVA SCOTIA B CCommon Stock064149107161,5174,000,264SH SOLE 4,000,26400
BANK OZKCommon Stock06417N10346027,557SH SOLE 27,55700
BANKUNITED INCCommon Stock06652K10312656SH SOLE 65600
BAOZUN INCDepository Receipt06684L10315532SH SOLE 53200
BAUSCH HEALTH COS INCCommon Stock0717341079,567620,296SH SOLE 620,29600
BAXTER INTL INCCommon Stock07181310971,159876,445SH SOLE 876,44500
BAYTEX ENERGY CORPCommon Stock07317Q105213906,100SH SOLE 906,10000
BECTON DICKINSON & COCommon Stock0758871092,71411,810SH SOLE 11,81000
BED BATH & BEYOND INCCommon Stock0758961001,151273,358SH SOLE 273,35800
BEIGENE LTDDepository Receipt07725L1028046,534SH SOLE 6,53400
BERKLEY W R CORPCommon Stock0844231026,928132,793SH SOLE 132,79300
BERKSHIRE HATHAWAY INC DELCommon Stock084670702179,749983,150SH SOLE 983,15000
BERRY GLOBAL GROUP INCCommon Stock08579W10338111,300SH SOLE 11,30000
BEST BUY INCCommon Stock0865161016,808119,441SH SOLE 119,44100
BEST INCDepository Receipt08653C106275,000SH SOLE 5,00000
BIG LOTS INCCommon Stock0893021031,39998,393SH SOLE 98,39300
BILIBILI INCDepository Receipt090040106260SH SOLE 6000
BIO RAD LABS INCCommon Stock0905722076,51418,582SH SOLE 18,58200
BIOMARIN PHARMACEUTICAL INCCommon Stock09061G10118,472218,603SH SOLE 218,60300
BIOGEN INCCommon Stock09062X10324,68878,032SH SOLE 78,03200
BITAUTO HLDGS LTDDepository Receipt09172710733332,091SH SOLE 32,09100
BJS RESTAURANTS INCCommon Stock09180C10644432,000SH SOLE 32,00000
BLACK HILLS CORPCommon Stock09211310918,755292,913SH SOLE 292,91300
BLACKBERRY LTDCommon Stock09228F103010SH SOLE 1000
BLACKROCK INCCommon Stock09247X10127,66362,875SH SOLE 62,87500
BLACKSTONE MTG TR INCREIT09257W10044523,879SH SOLE 23,87900
BLACKSTONE GROUP INCCommon Stock09260D10727,196596,800SH SOLE 596,80000
BLOCK H & R INCCommon Stock0936711051137,969SH SOLE 7,96900
BLOOMIN BRANDS INCCommon Stock0942351083,604504,781SH SOLE 504,78100
BLUEBIRD BIO INCCommon Stock09609G10063613,824SH SOLE 13,82400
BLUEPRINT MEDICINES CORPCommon Stock09627Y10919333SH SOLE 33300
BOEING COCommon Stock09702310547,868320,957SH SOLE 320,95700
BOOKING HLDGS INCCommon Stock09857L10858,89343,776SH SOLE 43,77600
BOOZ ALLEN HAMILTON HLDG CORCommon Stock0995021062,94542,901SH SOLE 42,90100
BORGWARNER INCCommon Stock0997241061024,176SH SOLE 4,17600
BOSTON BEER INCCommon Stock100557107102278SH SOLE 27800
BOSTON PROPERTIES INCREIT10112110128,757311,800SH SOLE 311,80000
BOSTON SCIENTIFIC CORPCommon Stock101137107742,271SH SOLE 2,27100
BOX INCCommon Stock10316T1046,091433,822SH SOLE 433,82200
BOYD GAMING CORPCommon Stock1033041011258,644SH SOLE 8,64400
BRANDYWINE RLTY TRCommon Stock1053682031,612153,217SH SOLE 153,21700
BRIGHT HORIZONS FAM SOL IN DCommon Stock10919410072706SH SOLE 70600
BRIGHTHOUSE FINL INCCommon Stock10922N103602,522SH SOLE 2,52200
BRINKER INTL INCCommon Stock109641100312,608SH SOLE 2,60800
BRINKS COCommon Stock10969610455210,600SH SOLE 10,60000
BRISTOL-MYERS SQUIBB COCommon Stock110122108123,8062,221,125SH SOLE 2,221,12500
BRISTOL-MYERS SQUIBB CORight1101221573,9611,042,452SH SOLE 1,042,45200
BRIXMOR PPTY GROUP INCREIT11120U10523424,600SH SOLE 24,60000
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CGI INCCommon Stock12532H1043,30861,798SH SOLE 61,79800
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CABOT OIL & GAS CORPCommon Stock1270971034,305250,431SH SOLE 250,43100
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CADENCE DESIGN SYSTEM INCCommon Stock12738710817,603266,552SH SOLE 266,55200
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CANADIAN NAT RES LTDCommon Stock136385101355,16526,260,959SH SOLE 26,260,95900
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CARMAX INCCommon Stock1431301021,26623,526SH SOLE 23,52600
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CARVANA COCommon Stock14686910214,654266,000SH SOLE 266,00000
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CHESAPEAKE ENERGY CORPCommon Stock1651671073462,005,996SH SOLE 2,005,99600
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CHILDRENS PL INCCommon Stock1689051073,379172,736SH SOLE 172,73600
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CHIPOTLE MEXICAN GRILL INCCommon Stock1696561059,25114,137SH SOLE 14,13700
CHURCH & DWIGHT INCCommon Stock1713401022,87744,838SH SOLE 44,83800
CIENA CORPCommon Stock1717793099,844247,251SH SOLE 247,25100
CIMAREX ENERGY COCommon Stock1717981011016,010SH SOLE 6,01000
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CITIGROUP INCCommon Stock172967424191,4464,545,254SH SOLE 4,545,25400
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CITRIX SYS INCCommon Stock1773761004,66932,988SH SOLE 32,98800
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CLEVELAND CLIFFS INCCommon Stock1858991017017,824SH SOLE 17,82400
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COGNEX CORPCommon Stock1924221032,36656,046SH SOLE 56,04600
COGNIZANT TECHNOLOGY SOLUTIOCommon Stock1924461028,979193,231SH SOLE 193,23100
COHERENT INCCommon Stock1924791031,09210,263SH SOLE 10,26300
COLFAX CORPCommon Stock19401410645222,811SH SOLE 22,81100
COLGATE PALMOLIVE COCommon Stock19416210316,835253,690SH SOLE 253,69000
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COMMERCIAL METALS COCommon Stock2017231031,06967,719SH SOLE 67,71900
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COMPASS MINERALS INTL INCCommon Stock20451N1011,71444,544SH SOLE 44,54400
CONAGRA BRANDS INCCommon Stock2058871021,55252,890SH SOLE 52,89000
CONCHO RES INCCommon Stock20605P101122SH SOLE 2200
CONOCOPHILLIPSCommon Stock20825C1048,927289,815SH SOLE 289,81500
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CONSTELLATION BRANDS INCCommon Stock21036P1081,49110,402SH SOLE 10,40200
CONSTELLATION PHARMCETICLS ICommon Stock2103731063,614115,000SH SOLE 115,00000
CONTINENTAL RES INCCommon Stock2120151011,662217,553SH SOLE 217,55300
COOPER COS INCCommon Stock2166484023,11911,316SH SOLE 11,31600
COPART INCCommon Stock2172041062022,937SH SOLE 2,93700
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CORNING INCCommon Stock2193501056,030293,601SH SOLE 293,60100
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COSTCO WHSL CORP NEWCommon Stock22160K105185,069649,066SH SOLE 649,06600
COSTAR GROUP INCCommon Stock22160N1098,27014,084SH SOLE 14,08400
COTY INCCommon Stock2220702032,002387,915SH SOLE 387,91500
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COVANTA HLDG CORPCommon Stock22282E1025,294619,220SH SOLE 619,22000
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CRACKER BARREL OLD CTRY STORCommon Stock22410J1062412,900SH SOLE 2,90000
CRANE COCommon Stock2243991053,63473,900SH SOLE 73,90000
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CREE INCCommon Stock225447101992,782SH SOLE 2,78200
CRESCENT PT ENERGY CORPCommon Stock22576C1011,3691,787,635SH SOLE 1,787,63500
CROCS INCCommon Stock22704610999258,400SH SOLE 58,40000
CROWN CASTLE INTL CORP NEWREIT22822V101180,9211,252,916SH SOLE 1,252,91600
CROWN HLDGS INCCommon Stock2283681069,748167,954SH SOLE 167,95400
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CUMMINS INCCommon Stock23102110631,620233,669SH SOLE 233,66900
CURTISS WRIGHT CORPCommon Stock23156110194410,217SH SOLE 10,21700
CYPRESS SEMICONDUCTOR CORPCommon Stock23280610921,881938,300SH SOLE 938,30000
CYRUSONE INCREIT23283R10064210,397SH SOLE 10,39700
D R HORTON INCCommon Stock23331A1097,573222,735SH SOLE 222,73500
DTE ENERGY COCommon Stock2333311072,98331,408SH SOLE 31,40800
DXC TECHNOLOGY COCommon Stock23355L10621,8051,670,868SH SOLE 1,670,86800
DANAHER CORPORATIONCommon Stock23585110275,197543,293SH SOLE 543,29300
DARDEN RESTAURANTS INCCommon Stock2371941053,20758,884SH SOLE 58,88400
DARLING INGREDIENTS INCCommon Stock2372661013,929204,945SH SOLE 204,94500
DAVE & BUSTERS ENTMT INCCommon Stock23833710992870,974SH SOLE 70,97400
DAVITA INCCommon Stock23918K10816,809220,991SH SOLE 220,99100
DECKERS OUTDOOR CORPCommon Stock24353710722,462167,627SH SOLE 167,62700
DEERE & COCommon Stock24419910528,301204,845SH SOLE 204,84500
DELL TECHNOLOGIES INCCommon Stock24703L2029214SH SOLE 21400
DELTA AIR LINES INC DELCommon Stock2473617027,517263,488SH SOLE 263,48800
DENBURY RES INCCommon Stock2479162082011,087,700SH SOLE 1,087,70000
DELUXE CORPCommon Stock2480191015,112197,136SH SOLE 197,13600
DENTSPLY SIRONA INCCommon Stock24906P1099,453243,452SH SOLE 243,45200
DESCARTES SYS GROUP INCCommon Stock2499061083329,771SH SOLE 9,77100
DESIGNER BRANDS INCCommon Stock2505651082,742550,557SH SOLE 550,55700
DEVON ENERGY CORP NEWCommon Stock25179M1031,941280,843SH SOLE 280,84300
DEXCOM INCCommon Stock25213110721,20878,760SH SOLE 78,76000
DIAMONDBACK ENERGY INCCommon Stock25278X10961923,613SH SOLE 23,61300
DICKS SPORTING GOODS INCCommon Stock2533931025,269247,797SH SOLE 247,79700
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DILLARDS INCCommon Stock2540671011694,579SH SOLE 4,57900
DINE BRANDS GLOBAL INCCommon Stock25442310614462SH SOLE 46200
DISNEY WALT COCommon Stock25468710697,3691,007,961SH SOLE 1,007,96100
DISCOVERY INCCommon Stock25470F104266SH SOLE 6600
DISCOVERY INCCommon Stock25470F3027393SH SOLE 39300
DISH NETWORK CORPORATIONCommon Stock25470M1093,443172,222SH SOLE 172,22200
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DIVERSIFIED HEALTHCARE TRREIT25525P107367101,000SH SOLE 101,00000
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DOLBY LABORATORIES INCCommon Stock25659T1074,76187,818SH SOLE 87,81800
DOLLAR GEN CORP NEWCommon Stock2566771053,64824,155SH SOLE 24,15500
DOLLAR TREE INCCommon Stock2567461086,27385,382SH SOLE 85,38200
DOMINION ENERGY INCCommon Stock25746U10964,472893,088SH SOLE 893,08800
DOMINOS PIZZA INCCommon Stock25754A2012,2206,851SH SOLE 6,85100
DOMTAR CORPCommon Stock25755920342319,538SH SOLE 19,53800
DONNELLEY R R & SONS COCommon Stock2578672005153,234SH SOLE 53,23400
DOUGLAS EMMETT INCCommon Stock25960P10942113,800SH SOLE 13,80000
DOVER CORPCommon Stock26000310810,656126,942SH SOLE 126,94200
DOW INCCommon Stock26055710323,744812,027SH SOLE 812,02700
DROPBOX INCCommon Stock26210C104010SH SOLE 1000
DUKE ENERGY CORP NEWCommon Stock26441C204101,5641,255,743SH SOLE 1,255,74300
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DUNKIN BRANDS GROUP INCCommon Stock2655041003,66869,078SH SOLE 69,07800
DUPONT DE NEMOURS INCCommon Stock26614N10241,7551,224,488SH SOLE 1,224,48800
DYCOM INDS INCCommon Stock2674751011877,286SH SOLE 7,28600
EOG RES INCCommon Stock26875P10111,656324,501SH SOLE 324,50100
EQT CORPORATIONCommon Stock26884L1095,246742,010SH SOLE 742,01000
EPR PPTYSREIT26884U10963025,995SH SOLE 25,99500
E TRADE FINANCIAL CORPCommon Stock26924640130,285882,418SH SOLE 882,41800
EAGLE MATERIALS INCCommon Stock26969P1088,982153,757SH SOLE 153,75700
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EASTMAN CHEM COCommon Stock27743210022,001472,327SH SOLE 472,32700
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EBAY INCCommon Stock2786421039,219306,670SH SOLE 306,67000
ECOLAB INCCommon Stock27886510053,646344,257SH SOLE 344,25700
EDGEWELL PERS CARE COCommon Stock28035Q1022,730113,360SH SOLE 113,36000
EDISON INTLCommon Stock28102010723,234424,072SH SOLE 424,07200
EDWARDS LIFESCIENCES CORPCommon Stock28176E10816,62988,161SH SOLE 88,16100
8X8 INC NEWCommon Stock2829141009,842710,100SH SOLE 710,10000
ELANCO ANIMAL HEALTH INCCommon Stock28414H10360527,026SH SOLE 27,02600
ELECTRONIC ARTS INCCommon Stock28551210936,793367,307SH SOLE 367,30700
ELEMENT SOLUTIONS INCCommon Stock28618M10631237,431SH SOLE 37,43100
ELLINGTON FINANCIAL INCUnit28852N109642112,510SH SOLE 112,51000
EMCOR GROUP INCCommon Stock29084Q1005,67192,484SH SOLE 92,48400
EMERSON ELEC COCommon Stock29101110417,259362,211SH SOLE 362,21100
ENBRIDGE INCCommon Stock29250N1052,66791,692SH SOLE 91,69200
ENCOMPASS HEALTH CORPCommon Stock29261A10090114,077SH SOLE 14,07700
ENERPLUS CORPCommon Stock292766102395271,300SH SOLE 271,30000
ENTERGY CORP NEWCommon Stock29364G10313,427142,889SH SOLE 142,88900
EPAM SYS INCCommon Stock29414B10427,406147,615SH SOLE 147,61500
ENVISTA HOLDINGS CORPORATIONCommon Stock29415F1045,010335,368SH SOLE 335,36800
EQUIFAX INCCommon Stock2944291052,00516,785SH SOLE 16,78500
EQUINIX INCREIT29444U700189,716303,755SH SOLE 303,75500
EQUITABLE HLDGS INCCommon Stock29452E101238,65216,515,678SH SOLE 16,515,67800
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ESSENTIAL UTILS INCCommon Stock29670G102881,60721,661,095SH SOLE 21,661,09500
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ETSY INCCommon Stock29786A10619,482506,813SH SOLE 506,81300
EURONET WORLDWIDE INCCommon Stock2987361093043,548SH SOLE 3,54800
EVERCORE INCCommon Stock29977A1051,42330,891SH SOLE 30,89100
EVERI HLDGS INCCommon Stock30034T103414125,400SH SOLE 125,40000
EVERGY INCCommon Stock30034W10630,546554,874SH SOLE 554,87400
EVERSOURCE ENERGYCommon Stock30040W1086,72986,041SH SOLE 86,04100
EXACT SCIENCES CORPCommon Stock30063P10512,765220,092SH SOLE 220,09200
EXELON CORPCommon Stock30161N10168,1561,851,568SH SOLE 1,851,56800
EXELIXIS INCCommon Stock30161Q1043,300191,662SH SOLE 191,66200
EXLSERVICE HOLDINGS INCCommon Stock3020811041,14522,000SH SOLE 22,00000
EXPEDIA GROUP INCCommon Stock30212P30342,242750,701SH SOLE 750,70100
EXPEDITORS INTL WASH INCCommon Stock3021301095,72885,849SH SOLE 85,84900
EXPRESS INCCommon Stock30219E103319214,300SH SOLE 214,30000
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EXTRA SPACE STORAGE INCCommon Stock30225T1027,88382,319SH SOLE 82,31900
EXXON MOBIL CORPCommon Stock30231G10243,4531,144,412SH SOLE 1,144,41200
FLIR SYS INCCommon Stock3024451011,25439,336SH SOLE 39,33600
F M C CORPCommon Stock30249130311,972146,553SH SOLE 146,55300
F N B CORPCommon Stock30252010152571,200SH SOLE 71,20000
FACEBOOK INCCommon Stock30303M102667,2754,000,452SH SOLE 4,000,45200
FACTSET RESH SYS INCCommon Stock3030751051,4345,500SH SOLE 5,50000
FAIR ISAAC CORPCommon Stock3032501041,8716,080SH SOLE 6,08000
FANHUA INCDepository Receipt30712A1032,00699,700SH SOLE 99,70000
FASTENAL COCommon Stock3119001049,646308,657SH SOLE 308,65700
FEDERAL REALTY INVT TRREIT3137472066,24283,663SH SOLE 83,66300
FEDERAL SIGNAL CORPCommon Stock31385510850118,370SH SOLE 18,37000
FEDERATED HERMES INCCommon Stock31421110364834,000SH SOLE 34,00000
FEDEX CORPCommon Stock31428X106284,0912,342,826SH SOLE 2,342,82600
F5 NETWORKS INCCommon Stock3156161022412,255SH SOLE 2,25500
FIBROGEN INCCommon Stock31572Q8081,91455,069SH SOLE 55,06900
FIDELITY NATL INFORMATION SVCommon Stock31620M10614,381118,223SH SOLE 118,22300
FIDELITY NATIONAL FINANCIALCommon Stock31620R3036,719270,049SH SOLE 270,04900
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51JOB INCDepository Receipt316827104113SH SOLE 1300
FIREEYE INCCommon Stock31816Q1014,440419,637SH SOLE 419,63700
FIRST AMERN FINL CORPCommon Stock31847R1021,89044,585SH SOLE 44,58500
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FIRST MAJESTIC SILVER CORPCommon Stock32076V1032,573420,000SH SOLE 420,00000
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FIRSTSERVICE CORP NEWCommon Stock33767E2022,60734,192SH SOLE 34,19200
FISERV INCCommon Stock33773810821,310224,338SH SOLE 224,33800
FIRSTENERGY CORPCommon Stock33793210722,554562,866SH SOLE 562,86600
FIVE BELOW INCCommon Stock33829M1012,20231,285SH SOLE 31,28500
FIVE9 INCCommon Stock33830710112,769167,002SH SOLE 167,00200
FLEETCOR TECHNOLOGIES INCCommon Stock3390411051,4457,750SH SOLE 7,75000
FLUOR CORP NEWCommon Stock3434121021,669241,558SH SOLE 241,55800
FLOWSERVE CORPCommon Stock34354P10524610,300SH SOLE 10,30000
FOCUS FINL PARTNERS INCCommon Stock34417P1001,38160,000SH SOLE 60,00000
FOOT LOCKER INCCommon Stock3448491044,232191,944SH SOLE 191,94400
FORD MTR CO DELCommon Stock3453708604,121853,174SH SOLE 853,17400
FORESCOUT TECHNOLOGIES INCCommon Stock34553D1011,08434,300SH SOLE 34,30000
FORESTAR GROUP INCCommon Stock34623210101SH SOLE 100
FORTIS INCCommon Stock3495531071,82147,769SH SOLE 47,76900
FORTINET INCCommon Stock34959E1098778,666SH SOLE 8,66600
FORTIVE CORPCommon Stock34959J1082,94053,270SH SOLE 53,27000
FORTUNE BRANDS HOME & SEC INCommon Stock34964C1065,870135,719SH SOLE 135,71900
FOX CORPCommon Stock35137L10560825,709SH SOLE 25,70900
FOX CORPCommon Stock35137L2042,419105,733SH SOLE 105,73300
FRANCO NEVADA CORPCommon Stock35185810575,079760,000SH SOLE 760,00000
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FREEPORT-MCMORAN INCCommon Stock35671D8579,4681,402,557SH SOLE 1,402,55700
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IPG PHOTONICS CORPCommon Stock44980X1091,17410,644SH SOLE 10,64400
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ITT INCCommon Stock45073V1082,82462,249SH SOLE 62,24900
IDACORP INCCommon Stock4511071061,28814,675SH SOLE 14,67500
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IDEXX LABS INCCommon Stock45168D10411,70348,310SH SOLE 48,31000
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INGERSOLL RAND INCCommon Stock45687V1061074,298SH SOLE 4,29800
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INGREDION INCCommon Stock4571871027,25796,110SH SOLE 96,11000
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INTER PARFUMS INCCommon Stock4583341091,22426,400SH SOLE 26,40000
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INTUITCommon Stock46120210325,267109,859SH SOLE 109,85900
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IQVIA HLDGS INCCommon Stock46266C105301,4352,794,685SH SOLE 2,794,68500
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JPMORGAN CHASE & COCommon Stock46625H100342,5293,804,608SH SOLE 3,804,60800
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JACK IN THE BOX INCCommon Stock466367109912,600SH SOLE 2,60000
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JETBLUE AWYS CORPCommon Stock4771431016,454721,108SH SOLE 721,10800
JOHNSON & JOHNSONCommon Stock478160104521,4673,976,716SH SOLE 3,976,71600
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JUNIPER NETWORKS INCCommon Stock48203R10413,687715,076SH SOLE 715,07600
JUST ENERGY GROUP INCCommon Stock48213W101114227,636SH SOLE 227,63600
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K12 INCCommon Stock48273U1021,52881,000SH SOLE 81,00000
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KB HOMECommon Stock48666K1092,468136,378SH SOLE 136,37800
KELLOGG COCommon Stock4878361089,477157,980SH SOLE 157,98000
KEMET CORPCommon Stock4883602072,702111,830SH SOLE 111,83000
KENNAMETAL INCCommon Stock48917010052128,000SH SOLE 28,00000
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KEYCORPCommon Stock49326710810,323995,473SH SOLE 995,47300
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KRAFT HEINZ COCommon Stock50075410612,813517,910SH SOLE 517,91000
KROGER COCommon Stock5010441019,804325,524SH SOLE 325,52400
L BRANDS INCCommon Stock50179710482971,744SH SOLE 71,74400
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LPL FINL HLDGS INCCommon Stock50212V1002,26241,553SH SOLE 41,55300
L3HARRIS TECHNOLOGIES INCCommon Stock50243110934,247190,135SH SOLE 190,13500
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LAM RESEARCH CORPCommon Stock51280710825,054104,390SH SOLE 104,39000
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LAS VEGAS SANDS CORPCommon Stock5178341071,98246,676SH SOLE 46,67600
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LEAR CORPCommon Stock5218652045,47367,362SH SOLE 67,36200
LEGGETT & PLATT INCCommon Stock5246601071074,016SH SOLE 4,01600
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LEIDOS HOLDINGS INCCommon Stock5253271028,69994,915SH SOLE 94,91500
LENDINGTREE INC NEWCommon Stock52603B1075382,932SH SOLE 2,93200
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LENNAR CORPCommon Stock52605730255619,240SH SOLE 19,24000
LENNOX INTL INCCommon Stock5261071075072,790SH SOLE 2,79000
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LINCOLN NATL CORP INDCommon Stock53418710977529,435SH SOLE 29,43500
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LITHIA MTRS INCCommon Stock5367971031,16514,239SH SOLE 14,23900
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LOGMEIN INCCommon Stock54142L1092,64031,700SH SOLE 31,70000
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LOWES COS INCCommon Stock54866110737,769438,919SH SOLE 438,91900
LULULEMON ATHLETICA INCCommon Stock5500211096,13232,352SH SOLE 32,35200
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MRC GLOBAL INCCommon Stock55345K1033,944925,807SH SOLE 925,80700
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MASTEC INCCommon Stock5763231093,635111,063SH SOLE 111,06300
MASTERCARD INCCommon Stock57636Q1041,205,6204,990,974SH SOLE 4,990,97400
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MATCH GROUP INCCommon Stock57665R106799SH SOLE 9900
MATTEL INCCommon Stock5770811021,448164,362SH SOLE 164,36200
MAXIM INTEGRATED PRODS INCCommon Stock57772K1011,90139,108SH SOLE 39,10800
MAXIMUS INCCommon Stock5779331045,37292,300SH SOLE 92,30000
MCCORMICK & CO INCCommon Stock5797802068,22258,225SH SOLE 58,22500
MCDONALDS CORPCommon Stock58013510127,296165,080SH SOLE 165,08000
MCKESSON CORPCommon Stock58155Q10355,877413,108SH SOLE 413,10800
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MEDNAX INCCommon Stock58502B1062,143184,129SH SOLE 184,12900
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MERCADOLIBRE INCCommon Stock58733R10250,685103,740SH SOLE 103,74000
MERCK & CO. INCCommon Stock58933Y105293,6893,817,120SH SOLE 3,817,12000
MERITAGE HOMES CORPCommon Stock59001A1021,98754,411SH SOLE 54,41100
MERITOR INCCommon Stock59001K1003,504264,473SH SOLE 264,47300
METLIFE INCCommon Stock59156R10828,787941,683SH SOLE 941,68300
METTLER TOLEDO INTERNATIONALCommon Stock59268810515,46122,390SH SOLE 22,39000
MICHAELS COS INCCommon Stock59408Q106818504,884SH SOLE 504,88400
MICROSOFT CORPCommon Stock594918104730,1234,629,532SH SOLE 4,629,53200
MICROCHIP TECHNOLOGY INCCommon Stock5950171043,39850,127SH SOLE 50,12700
MICRON TECHNOLOGY INCCommon Stock5951121033,46682,417SH SOLE 82,41700
MID AMER APT CMNTYS INCCommon Stock59522J10339,686385,191SH SOLE 385,19100
MIDDLEBY CORPCommon Stock5962781011071,886SH SOLE 1,88600
MILLER HERMAN INCCommon Stock6005441002,300103,600SH SOLE 103,60000
MIRATI THERAPEUTICS INCCommon Stock60468T1051702,211SH SOLE 2,21100
MODERNA INCCommon Stock60770K10771,5652,389,473SH SOLE 2,389,47300
MOELIS & COCommon Stock60786M1051,26545,000SH SOLE 45,00000
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