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 A GCommon StockD181908989,8551,036,679SH SOLE 1,036,67900
ADIENT PLCCommon StockG0084W10134521,000SH SOLE 21,00000
ALLEGION PLCCommon StockG0176J1094,62445,236SH SOLE 45,23600
ALKERMES PLCCommon StockG017671058,614443,908SH SOLE 443,90800
AMCOR PLCCommon StockG0250X107323,138SH SOLE 3,13800
AMDOCS LTDCommon StockG026021034,20969,137SH SOLE 69,13700
AMBARELLA INCCommon StockG037AX1012064,501SH SOLE 4,50100
AON PLCCommon StockG0403H1081951,010SH SOLE 1,01000
ARCH CAP GROUP LTDCommon StockG0450A1057,312255,212SH SOLE 255,21200
ATHENE HLDG LTDCommon StockG0684D10737111,900SH SOLE 11,90000
AXIS CAPITAL HOLDINGS LTDCommon StockG0692U10954413,423SH SOLE 13,42300
ACCENTURE PLC IRELANDCommon StockG1151C10141,705194,231SH SOLE 194,23100
BROOKFIELD INFRAST PARTNERSUnitG1625210150,5651,230,000SH SOLE 1,230,00000
BUNGE LIMITEDCommon StockG169621058,167198,567SH SOLE 198,56700
CAPRI HOLDINGS LIMITEDCommon StockG1890L1071,595102,059SH SOLE 102,05900
CENTRAL EUROPEAN MEDIA ENTRPCommon StockG200452021,194337,400SH SOLE 337,40000
CHINA BIOLOGIC PRODS HLDGS ICommon StockG2151510414,265139,610SH SOLE 139,61000
CREDICORP LTDCommon StockG2519Y10834,754260,000SH SOLE 260,00000
COSAN LTDCommon StockG2534310725,7531,710,000SH SOLE 1,710,00000
COCA COLA EUROPEAN PARTNERSCommon StockG258391049,288245,976SH SOLE 245,97600
DELPHI TECHNOLOGIES PLCommon StockG2709G107513,587SH SOLE 3,58700
EATON CORP PLCCommon StockG2918310315,305174,950SH SOLE 174,95000
ENDO INTL PLCCommon StockG304011068825,710SH SOLE 25,71000
ENSTAR GROUP LIMITEDCommon StockG3075P101229,3401,501,211SH SOLE 1,501,21100
EVEREST RE GROUP LTDCommon StockG3223R1085572,704SH SOLE 2,70400
FABRINETCommon StockG3323L1001,52024,344SH SOLE 24,34400
GASLOG LTDCommon StockG375851096523,303SH SOLE 23,30300
GENPACT LIMITEDCommon StockG3922B1072175,932SH SOLE 5,93200
GREENLIGHT CAPITAL RE LTDCommon StockG4095J1091,293198,300SH SOLE 198,30000
HELEN OF TROY CORP LTDCommon StockG4388N1065783,064SH SOLE 3,06400
HERBALIFE NUTRITION LTDCommon StockG4412G1013,00366,752SH SOLE 66,75200
HORIZON THERAPEUTICS PUB LTDCommon StockG461881011,74231,339SH SOLE 31,33900
ICON PLCCommon StockG4705A1007,75846,052SH SOLE 46,05200
IHS MARKIT LTDCommon StockG475671051,663,41222,031,949SH SOLE 22,031,94900
INVESCO LTDCommon StockG491BT1081,745162,200SH SOLE 162,20000
JAZZ PHARMACEUTICALS PLCCommon StockG508711054093,700SH SOLE 3,70000
JOHNSON CTLS INTL PLCCommon StockG5150210518,567543,857SH SOLE 543,85700
LIBERTY GLOBAL PLCCommon StockG5480U1048,199375,076SH SOLE 375,07600
LIBERTY GLOBAL PLCCommon StockG5480U12012,058560,575SH SOLE 560,57500
LINDE PLCCommon StockG5494J103633,5732,987,707SH SOLE 2,987,70700
MALLINCKRODT PUB LTD COCommon StockG5785G10716260,469SH SOLE 60,46900
MARVELL TECHNOLOGY GROUP LTDCommon StockG5876H1058,219234,446SH SOLE 234,44600
MEDTRONIC PLCCommon StockG5960L103102,5101,117,886SH SOLE 1,117,88600
APTIV PLCCommon StockG6095L10976,541982,309SH SOLE 982,30900
NABORS INDUSTRIES LTDCommon StockG6359F1372887,768SH SOLE 7,76800
NIELSEN HLDGS PLCCommon StockG6518L1081,977133,010SH SOLE 133,01000
NOBLE CORP PLCCommon StockG65431101114354,100SH SOLE 354,10000
NORWEGIAN CRUISE LINE HLDG LCommon StockG667211041,12968,676SH SOLE 68,67600
NOVOCURE LTDCommon StockG6674U1088,047135,700SH SOLE 135,70000
PAGSEGURO DIGITAL LTDCommon StockG68707101126,8693,589,968SH SOLE 3,589,96800
PENTAIR PLCCommon StockG7S00T1046,960183,218SH SOLE 183,21800
RENAISSANCERE HOLDINGS LTDCommon StockG7496G1031,99311,654SH SOLE 11,65400
SEAGATE TECHNOLOGY PLCCommon StockG7945M1077,703159,116SH SOLE 159,11600
SENSATA TECHNOLOGIES HLDNG PCommon StockG8060N1026,752181,361SH SOLE 181,36100
SIGNET JEWELERS LIMITEDCommon StockG8127610022121,486SH SOLE 21,48600
SINA CORPCommon StockG8147710482422,940SH SOLE 22,94000
STERIS PLCCommon StockG8473T1004,26327,780SH SOLE 27,78000
TECHNIPFMC PLCCommon StockG8711010568599,889SH SOLE 99,88900
THERAVANCE BIOPHARMA INCCommon StockG8807B1062,477118,000SH SOLE 118,00000
TRANE TECHNOLOGIES PLCCommon StockG8994E1037,97189,587SH SOLE 89,58700
VALARIS PLCCommon StockG9402V10911,574SH SOLE 1,57400
GOLAR LNG LTDCommon StockG9456A100010SH SOLE 1000
WILLIS TOWERS WATSON PLC LTDCommon StockG9662910323,078117,179SH SOLE 117,17900
PERRIGO CO PLCCommon StockG97822103362SH SOLE 6200
ALCON AGCommon StockH013011281322,295SH SOLE 2,29500
CHUBB LIMITEDCommon StockH1467J10420,459161,581SH SOLE 161,58100
GARMIN LTDCommon StockH2906T1095,82959,788SH SOLE 59,78800
UBS GROUP AGCommon StockH4209710745,3433,939,953SH SOLE 3,939,95300
LOGITECH INTL S ACommon StockH504302323805,822SH SOLE 5,82200
TE CONNECTIVITY LTDCommon StockH8498910446,145565,857SH SOLE 565,85700
SPOTIFY TECHNOLOGY S ACommon StockL8681T10213,79653,432SH SOLE 53,43200
TRINSEO S ACommon StockL9340P10137016,700SH SOLE 16,70000
CHECK POINT SOFTWARE TECH LTCommon StockM224651046466,010SH SOLE 6,01000
CYBERARK SOFTWARE LTDCommon StockM2682V10851510SH SOLE 51000
ICL GROUP LTDCommon StockM532131002,146723,738SH SOLE 723,73800
STRATASYS LTDCommon StockM85548101322,010SH SOLE 2,01000
SOL GEL TECHNOLOGIESCommon StockM8694L1039010,000SH SOLE 10,00000
TARO PHARMACEUTICAL INDS LTDCommon StockM8737E10886212,966SH SOLE 12,96600
WIX COM LTDCommon StockM980681052,81811,000SH SOLE 11,00000
AERCAP HOLDINGS NVCommon StockN009851062,14169,505SH SOLE 69,50500
ASML HOLDING N VDepository ReceiptN070592102,7427,450SH SOLE 7,45000
ELASTIC N VCommon StockN145061045335,777SH SOLE 5,77700
CNH INDL N VCommon StockN2094410914220,302SH SOLE 20,30200
CORE LABORATORIES N VCommon StockN227171074221SH SOLE 22100
FERRARI N VCommon StockN3167Y103153,569900,395SH SOLE 900,39500
FIAT CHRYSLER AUTOMOBILES NCommon StockN317381021,008100,353SH SOLE 100,35300
LYONDELLBASELL INDUSTRIES NCommon StockN537451003,77057,358SH SOLE 57,35800
NXP SEMICONDUCTORS N VCommon StockN6596X109178,2941,563,434SH SOLE 1,563,43400
QIAGEN NVCommon StockN72482123101,6242,360,555SH SOLE 2,360,55500
YANDEX N VCommon StockN972841084,32286,410SH SOLE 86,41000
ROYAL CARIBBEAN CRUISES LTDCommon StockV7780T103407,5338,102,051SH SOLE 8,102,05100
ATLAS CORPCommon StockY0436Q10974698,100SH SOLE 98,10000
COSTAMARE INCCommon StockY1771G10218032,353SH SOLE 32,35300
FLEX LTDCommon StockY2573F102022SH SOLE 2200
STAR BULK CARRIERS CORP.Common StockY8162K2049013,630SH SOLE 13,63000
AFLAC INCCommon Stock0010551029,729270,016SH SOLE 270,01600
AGCO CORPCommon Stock0010841027,654138,002SH SOLE 138,00200
AGNC INVT CORPREIT00123Q1043,788293,634SH SOLE 293,63400
AES CORPCommon Stock00130H1052,161149,133SH SOLE 149,13300
AMAG PHARMACEUTICALS INCCommon Stock00163U106055SH SOLE 5500
AMC NETWORKS INCCommon Stock00164V1031,62869,596SH SOLE 69,59600
AMN HEALTHCARE SVCS INCCommon Stock0017441012,42253,547SH SOLE 53,54700
AT&T INCCommon Stock00206R102211,2856,989,237SH SOLE 6,989,23700
AARONS INCCommon Stock0025353001,25827,712SH SOLE 27,71200
ABBOTT LABSCommon Stock002824100136,9641,498,016SH SOLE 1,498,01600
ABBVIE INCCommon Stock00287Y109249,4762,541,008SH SOLE 2,541,00800
ABERCROMBIE & FITCH COCommon Stock002896207757,085SH SOLE 7,08500
ABIOMED INCCommon Stock0036541008,78736,374SH SOLE 36,37400
ACADIA PHARMACEUTICALS INCCommon Stock0042251081,55532,080SH SOLE 32,08000
ACI WORLDWIDE INCCommon Stock0044981011,63660,600SH SOLE 60,60000
ACTIVISION BLIZZARD INCCommon Stock00507V10943,203569,210SH SOLE 569,21000
ACUITY BRANDS INCCommon Stock00508Y1023783,943SH SOLE 3,94300
ADOBE INCCommon Stock00724F10135,13080,701SH SOLE 80,70100
ADVANCE AUTO PARTS INCCommon Stock00751Y1063,32723,356SH SOLE 23,35600
AEROJET ROCKETDYNE HLDGS INCCommon Stock00780010597924,700SH SOLE 24,70000
ADVANCED DRAIN SYS INC DELCommon Stock00790R1048,220166,400SH SOLE 166,40000
ADVANCED DISP SVCS INC DELCommon Stock00790X101499,98016,572,106SH SOLE 16,572,10600
ADVANCED MICRO DEVICES INCCommon Stock0079031074,26781,094SH SOLE 81,09400
ADVANCED ENERGY INDSCommon Stock0079731002,03530,012SH SOLE 30,01200
AFFILIATED MANAGERS GROUP INCommon Stock0082521081121,500SH SOLE 1,50000
AGILENT TECHNOLOGIES INCCommon Stock00846U10113,869156,944SH SOLE 156,94400
AGIOS PHARMACEUTICALS INCCommon Stock00847X1041,75932,886SH SOLE 32,88600
AGREE REALTY CORPREIT0084921001,63024,800SH SOLE 24,80000
AIR PRODS & CHEMS INCCommon Stock00915810677,801322,212SH SOLE 322,21200
AKAMAI TECHNOLOGIES INCCommon Stock00971T101503,7024,703,541SH SOLE 4,703,54100
ALARM COM HLDGS INCCommon Stock0116421052,12632,800SH SOLE 32,80000
ALASKA AIR GROUP INCCommon Stock0116591092,33864,465SH SOLE 64,46500
ALBEMARLE CORPCommon Stock01265310156,196727,838SH SOLE 727,83800
ALCOA CORPCommon Stock01387210640636,106SH SOLE 36,10600
ALEXANDRIA REAL ESTATE EQ INREIT01527110917,241106,259SH SOLE 106,25900
ALEXION PHARMACEUTICALS INCCommon Stock01535110925,777229,662SH SOLE 229,66200
ALGONQUIN PWR UTILS CORPCommon Stock01585710533,3692,589,610SH SOLE 2,589,61000
ALIBABA GROUP HLDG LTDDepository Receipt01609W1023,648,78816,916,032SH SOLE 16,916,03200
ALIGN TECHNOLOGY INCCommon Stock0162551014,22115,381SH SOLE 15,38100
ALLEGHANY CORP DELCommon Stock0171751001,2232,500SH SOLE 2,50000
ALLEGHENY TECHNOLOGIES INCCommon Stock01741R10292590,774SH SOLE 90,77400
ALLIANCE DATA SYSTEMS CORPCommon Stock0185811082,11346,832SH SOLE 46,83200
ALLIANT ENERGY CORPCommon Stock0188021082,01942,200SH SOLE 42,20000
ALLISON TRANSMISSION HLDGS ICommon Stock01973R1011895,123SH SOLE 5,12300
ALLSCRIPTS HEALTHCARE SOLUTNCommon Stock01988P1084,816711,394SH SOLE 711,39400
ALLSTATE CORPCommon Stock0200021011651,700SH SOLE 1,70000
ALLY FINL INCCommon Stock02005N1007,346370,455SH SOLE 370,45500
ALNYLAM PHARMACEUTICALS INCCommon Stock02043Q10710,61771,686SH SOLE 71,68600
ALPHABET INCCommon Stock02079K107204,867144,925SH SOLE 144,92500
ALPHABET INCCommon Stock02079K3051,537,6021,084,307SH SOLE 1,084,30700
ALTERYX INCCommon Stock02156B10331187SH SOLE 18700
ALTICE USA INCCommon Stock02156K1031134,997SH SOLE 4,99700
AMAZON COM INCCommon Stock023135106617,479223,820SH SOLE 223,82000
AMEREN CORPCommon Stock0236081027,880111,996SH SOLE 111,99600
AMERICA MOVIL SAB DE CVDepository Receipt02364W1058,498669,700SH SOLE 669,70000
AMERICAN AIRLS GROUP INCCommon Stock02376R10293471,441SH SOLE 71,44100
AMERICAN AXLE & MFG HLDGS INCommon Stock02406110317022,400SH SOLE 22,40000
AMERICAN CAMPUS CMNTYS INCREIT02483510042012,001SH SOLE 12,00100
AMERICAN ELEC PWR CO INCCommon Stock02553710145,456570,762SH SOLE 570,76200
AMERICAN EXPRESS COCommon Stock02581610954,046567,714SH SOLE 567,71400
AMERICAN FINL GROUP INC OHIOCommon Stock025932104941,488SH SOLE 1,48800
AMERICAN FIN TR INCREIT02607T109992125,000SH SOLE 125,00000
AMERICAN INTL GROUP INCCommon Stock0268747846,714215,322SH SOLE 215,32200
AMER STATES WTR COCommon Stock0298991011572,000SH SOLE 2,00000
AMERICAN TOWER CORP NEWCommon Stock03027X100360,2581,393,431SH SOLE 1,393,43100
AMERICAN WTR WKS CO INC NEWCommon Stock03042010352,337406,783SH SOLE 406,78300
AMERICOLD RLTY TRREIT03064D1083098,500SH SOLE 8,50000
AMERISOURCEBERGEN CORPCommon Stock03073E10510,553104,721SH SOLE 104,72100
AMERIPRISE FINL INCCommon Stock03076C1065,76938,450SH SOLE 38,45000
AMETEK INCCommon Stock03110010010,608118,692SH SOLE 118,69200
AMGEN INCCommon Stock031162100189,554803,671SH SOLE 803,67100
AMICUS THERAPEUTICS INCCommon Stock03152W1095,821386,000SH SOLE 386,00000
AMKOR TECHNOLOGY INCCommon Stock03165210024620,010SH SOLE 20,01000
AMPHENOL CORP NEWCommon Stock0320951012,28623,861SH SOLE 23,86100
ANALOG DEVICES INCCommon Stock0326541055,89148,030SH SOLE 48,03000
ANAPLAN INCCommon Stock03272L1082275,000SH SOLE 5,00000
ANGLOGOLD ASHANTI LIMITEDDepository Receipt0351282061,53952,200SH SOLE 52,20000
ANNALY CAPITAL MANAGEMENT INREIT0357104099,0031,372,360SH SOLE 1,372,36000
ANSYS INCCommon Stock03662Q1053641,250SH SOLE 1,25000
ANTERO RESOURCES CORPCommon Stock03674X106459180,674SH SOLE 180,67400
ANTHEM INCCommon Stock03675210364,790246,370SH SOLE 246,37000
APACHE CORPCommon Stock0374111051,937143,490SH SOLE 143,49000
APARTMENT INVT & MGMT COREIT03748R75498626,200SH SOLE 26,20000
APOLLO COML REAL EST FIN INCREIT03762U1051,375140,200SH SOLE 140,20000
APPIAN CORPCommon Stock03782L10119378SH SOLE 37800
APPLE INCCommon Stock037833100567,3641,555,275SH SOLE 1,555,27500
APPLE HOSPITALITY REIT INCREIT03784Y2001,182122,400SH SOLE 122,40000
APPLIED MATLS INCCommon Stock0382221051,41623,432SH SOLE 23,43200
APTARGROUP INCCommon Stock0383361033292,945SH SOLE 2,94500
APTINYX INCCommon Stock03836N103521125,000SH SOLE 125,00000
ARAMARKCommon Stock03852U10612,062534,436SH SOLE 534,43600
ARCHER DANIELS MIDLAND COCommon Stock0394831028,439211,505SH SOLE 211,50500
ARCONIC CORPORATIONCommon Stock03966V10793867,352SH SOLE 67,35200
ARISTA NETWORKS INCCommon Stock0404131062,28610,885SH SOLE 10,88500
ARMSTRONG WORLD INDS INCCommon Stock04247X10210,969140,700SH SOLE 140,70000
ARROW ELECTRS INCCommon Stock0427351007,449108,441SH SOLE 108,44100
ARROWHEAD PHARMACEUTICALS INCommon Stock04280A10066915,500SH SOLE 15,50000
ASHLAND GLOBAL HLDGS INCCommon Stock0441861042,34733,965SH SOLE 33,96500
ASPEN TECHNOLOGY INCCommon Stock0453271039028,703SH SOLE 8,70300
ATARA BIOTHERAPEUTICS INCCommon Stock04651310721,2191,456,368SH SOLE 1,456,36800
AUTODESK INCCommon Stock05276910633,532140,189SH SOLE 140,18900
AUTOHOME INCDepository Receipt05278C1074,38758,100SH SOLE 58,10000
AUTOLIV INCCommon Stock0528001092,01631,247SH SOLE 31,24700
AUTOMATIC DATA PROCESSING INCommon Stock05301510312,28782,524SH SOLE 82,52400
AUTONATION INCCommon Stock05329W1021,35436,043SH SOLE 36,04300
AUTOZONE INCCommon Stock0533321024,2563,773SH SOLE 3,77300
AVALONBAY CMNTYS INCREIT05348410134,965226,104SH SOLE 226,10400
AVANGRID INCCommon Stock05351W1031293,067SH SOLE 3,06700
AVAYA HLDGS CORPCommon Stock05351X10133727,300SH SOLE 27,30000
AVANTOR INCCommon Stock05352A100734,300SH SOLE 4,30000
AVERY DENNISON CORPCommon Stock0536111092211,937SH SOLE 1,93700
AVIS BUDGET GROUPCommon Stock0537741058,642377,541SH SOLE 377,54100
AVISTA CORPCommon Stock05379B1077,494205,956SH SOLE 205,95600
AVNET INCCommon Stock0538071034,554163,330SH SOLE 163,33000
AXON ENTERPRISE INCCommon Stock05464C1014,18442,637SH SOLE 42,63700
AXSOME THERAPEUTICS INCCommon Stock05464T1041732,100SH SOLE 2,10000
B & G FOODS INC NEWCommon Stock05508R10626510,890SH SOLE 10,89000
BCE INCCommon Stock05534B7603,43782,667SH SOLE 82,66700
BJS WHSL CLUB HLDGS INCCommon Stock05550J10176020,400SH SOLE 20,40000
BP PLCDepository Receipt0556221043,032130,000SH SOLE 130,00000
BRP INCCommon Stock05577W2004,835113,633SH SOLE 113,63300
BAIDU INCDepository Receipt05675210893,596780,682SH SOLE 780,68200
BAKER HUGHES COMPANYCommon Stock05722G100010SH SOLE 1000
BALCHEM CORPCommon Stock0576652007407,800SH SOLE 7,80000
BALL CORPCommon Stock0584981066,23289,679SH SOLE 89,67900
BALLARD PWR SYS INC NEWCommon Stock0585861081298,400SH SOLE 8,40000
BANCO BRADESCO S ADepository Receipt0594603033,262856,160SH SOLE 856,16000
BANCOLOMBIA S ADepository Receipt05968L1022228,455SH SOLE 8,45500
BK OF AMERICA CORPCommon Stock060505104291,59712,277,757SH SOLE 12,277,75700
BANK MONTREAL QUECommon Stock06367110149,606935,000SH SOLE 935,00000
BANK NEW YORK MELLON CORPCommon Stock06405810033,296861,472SH SOLE 861,47200
BANK NOVA SCOTIA B CCommon Stock064149107237,5485,759,000SH SOLE 5,759,00000
BANK OZKCommon Stock06417N10323910,190SH SOLE 10,19000
BANKUNITED INCCommon Stock06652K103381,859SH SOLE 1,85900
BAOZUN INCDepository Receipt06684L10357815,032SH SOLE 15,03200
BAUSCH HEALTH COS INCCommon Stock07173410727,4571,504,572SH SOLE 1,504,57200
BAXTER INTL INCCommon Stock07181310940,531470,748SH SOLE 470,74800
BAYTEX ENERGY CORPCommon Stock07317Q1051,4612,882,600SH SOLE 2,882,60000
BECTON DICKINSON & COCommon Stock07588710942,466177,482SH SOLE 177,48200
BED BATH & BEYOND INCCommon Stock0758961001,260118,858SH SOLE 118,85800
BEIGENE LTDDepository Receipt07725L1023,39017,993SH SOLE 17,99300
BERKLEY W R CORPCommon Stock0844231027,475130,483SH SOLE 130,48300
BERKSHIRE HATHAWAY INC DELCommon Stock084670702265,1371,485,276SH SOLE 1,485,27600
BERRY GLOBAL GROUP INCCommon Stock08579W1031784,003SH SOLE 4,00300
BEST BUY INCCommon Stock0865161018,44296,734SH SOLE 96,73400
BEST INCDepository Receipt08653C1061,356316,800SH SOLE 316,80000
BEYOND MEAT INCCommon Stock08862E10914103SH SOLE 10300
BIG LOTS INCCommon Stock0893021031393,299SH SOLE 3,29900
BILIBILI INCDepository Receipt090040106360SH SOLE 6000
BIO RAD LABS INCCommon Stock0905722074,2819,482SH SOLE 9,48200
BIOMARIN PHARMACEUTICAL INCCommon Stock09061G10130,400246,474SH SOLE 246,47400
BIOGEN INCCommon Stock09062X10317,70066,157SH SOLE 66,15700
BIOXCEL THERAPEUTICS INCCommon Stock09075P1057,952150,000SH SOLE 150,00000
BJS RESTAURANTS INCCommon Stock09180C10683840,000SH SOLE 40,00000
BLACK HILLS CORPCommon Stock0921131096,161108,733SH SOLE 108,73300
BLACKBERRY LTDCommon Stock09228F103010SH SOLE 1000
BLACKLINE INCCommon Stock09239B1091,36816,500SH SOLE 16,50000
BLACKROCK INCCommon Stock09247X101352,017646,983SH SOLE 646,98300
BLACKSTONE MTG TR INCREIT09257W1001,92179,737SH SOLE 79,73700
BLACKSTONE GROUP INCCommon Stock09260D10734,012600,276SH SOLE 600,27600
BLOCK H & R INCCommon Stock0936711051,925134,828SH SOLE 134,82800
BLOOMIN BRANDS INCCommon Stock09423510882777,600SH SOLE 77,60000
BLUEBIRD BIO INCCommon Stock09609G1001,01316,590SH SOLE 16,59000
BLUEPRINT MEDICINES CORPCommon Stock09627Y1091872,400SH SOLE 2,40000
BOEING COCommon Stock09702310542,604232,432SH SOLE 232,43200
BOOKING HOLDINGS INCCommon Stock09857L10856,10035,231SH SOLE 35,23100
BOOZ ALLEN HAMILTON HLDG CORCommon Stock0995021061091,400SH SOLE 1,40000
BORGWARNER INCCommon Stock0997241064,153117,635SH SOLE 117,63500
BOSTON BEER INCCommon Stock1005571078411,567SH SOLE 1,56700
BOSTON PPTYS LTD PARTNERSHIPREIT10112110111,661129,019SH SOLE 129,01900
BOSTON SCIENTIFIC CORPCommon Stock1011371079,919282,513SH SOLE 282,51300
BOX INCCommon Stock10316T1049,006433,822SH SOLE 433,82200
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CIT GROUP INCCommon Stock12558180124511,810SH SOLE 11,81000
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CADENCE DESIGN SYSTEM INCCommon Stock1273871086,02362,763SH SOLE 62,76300
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CANADIAN NAT RES LTDCommon Stock136385101381,11522,041,579SH SOLE 22,041,57900
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CHAMPIONX CORPORATIONCommon Stock15872M1042,747281,419SH SOLE 281,41900
CHARLES RIV LABS INTL INCCommon Stock1598641071,5919,126SH SOLE 9,12600
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CHEGG INCCommon Stock1630921091,52822,717SH SOLE 22,71700
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CIENA CORPCommon Stock1717793091,48727,451SH SOLE 27,45100
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CITIGROUP INCCommon Stock172967424148,5752,907,538SH SOLE 2,907,53800
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CITRIX SYS INCCommon Stock1773761007,27649,190SH SOLE 49,19000
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CLEVELAND CLIFFS INCCommon Stock185899101264,760SH SOLE 4,76000
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COLGATE PALMOLIVE COCommon Stock19416210329,192398,475SH SOLE 398,47500
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COOPER COS INCCommon Stock2166484022,1577,605SH SOLE 7,60500
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CREE INCCommon Stock2254471011,09418,482SH SOLE 18,48200
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D R HORTON INCCommon Stock23331A1092,81250,714SH SOLE 50,71400
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DXC TECHNOLOGY COCommon Stock23355L106633,822SH SOLE 3,82200
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DARLING INGREDIENTS INCCommon Stock237266101963,900SH SOLE 3,90000
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DAVITA INCCommon Stock23918K1083,32241,976SH SOLE 41,97600
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DEERE & COCommon Stock24419910510,23965,155SH SOLE 65,15500
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DESIGNER BRANDS INCCommon Stock250565108294,258SH SOLE 4,25800
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DEXCOM INCCommon Stock25213110728,60170,551SH SOLE 70,55100
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DOMINION ENERGY INCCommon Stock25746U10958,875725,244SH SOLE 725,24400
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DOMTAR CORPCommon Stock25755920370033,138SH SOLE 33,13800
DONALDSON INCCommon Stock2576511091,51332,530SH SOLE 32,53000
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DOUGLAS EMMETT INCCommon Stock25960P1092367,700SH SOLE 7,70000
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DROPBOX INCCommon Stock26210C1042,15098,740SH SOLE 98,74000
DUKE ENERGY CORP NEWCommon Stock26441C204124,2901,555,772SH SOLE 1,555,77200
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EQT CORPCommon Stock26884L1098,111681,643SH SOLE 681,64300
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EDGEWELL PERS CARE COCommon Stock28035Q1022,11167,760SH SOLE 67,76000
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ELECTRONIC ARTS INCCommon Stock28551210949,236372,859SH SOLE 372,85900
ELEMENT SOLUTIONS INCCommon Stock28618M10640637,431SH SOLE 37,43100
EMCOR GROUP INCCommon Stock29084Q1001,97729,884SH SOLE 29,88400
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ENERPLUS CORPCommon Stock2927661023,5861,278,376SH SOLE 1,278,37600
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ENTERGY CORP NEWCommon Stock29364G10311,119118,522SH SOLE 118,52200
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EPAM SYS INCCommon Stock29414B10435,299140,069SH SOLE 140,06900
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ETSY INCCommon Stock29786A10643,453409,051SH SOLE 409,05100
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EVERCORE INCCommon Stock29977A10583414,162SH SOLE 14,16200
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EVERGY INCCommon Stock30034W1067,963134,309SH SOLE 134,30900
EVERSOURCE ENERGYCommon Stock30040W1088,01196,212SH SOLE 96,21200
EXACT SCIENCES CORPCommon Stock30063P10515,136174,105SH SOLE 174,10500
EXELON CORPCommon Stock30161N10168,6441,891,542SH SOLE 1,891,54200
EXELIXIS INCCommon Stock30161Q1045,842246,087SH SOLE 246,08700
EXPEDIA GROUP INCCommon Stock30212P30351,203622,908SH SOLE 622,90800
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EXTRA SPACE STORAGE INCCommon Stock30225T10229,187315,978SH SOLE 315,97800
EXXON MOBIL CORPCommon Stock30231G1023,10269,361SH SOLE 69,36100
FLIR SYS INCCommon Stock3024451011,59639,336SH SOLE 39,33600
F M C CORPCommon Stock3024913032,14521,532SH SOLE 21,53200
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FACEBOOK INCCommon Stock30303M102897,3353,951,799SH SOLE 3,951,79900
FAIR ISAAC CORPCommon Stock3032501041,4133,380SH SOLE 3,38000
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GROUPON INCCommon Stock39947320610565SH SOLE 56500
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HP INCCommon Stock40434L1052,487142,686SH SOLE 142,68600
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HILTON WORLDWIDE HLDGS INCCommon Stock43300A2036,97294,919SH SOLE 94,91900
HOLLYFRONTIER CORPCommon Stock4361061082,12272,655SH SOLE 72,65500
HOLOGIC INCCommon Stock4364401018,344146,379SH SOLE 146,37900
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HONEYWELL INTL INCCommon Stock43851610664,903448,876SH SOLE 448,87600
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HOST HOTELS & RESORTS INCREIT44107P10420,3251,883,678SH SOLE 1,883,67800
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HUAZHU GROUP LTDDepository Receipt44332N1068,760249,909SH SOLE 249,90900
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HUNT J B TRANS SVCS INCCommon Stock4456581073,10625,804SH SOLE 25,80400
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HUYA INCDepository Receipt44852D10838320,500SH SOLE 20,50000
HYATT HOTELS CORPCommon Stock44857910299119,715SH SOLE 19,71500
IAC INTERACTIVECORPCommon Stock44919P5081,129,5033,492,589SH SOLE 3,492,58900
IAA INCCommon Stock4492531031824,708SH SOLE 4,70800
ICU MED INCCommon Stock44930G1076,52235,384SH SOLE 35,38400
IPG PHOTONICS CORPCommon Stock44980X1099686,037SH SOLE 6,03700
ISTAR INCREIT45031U1011,896153,900SH SOLE 153,90000
ITT INCCommon Stock45073V1081,73029,449SH SOLE 29,44900
IAMGOLD CORPCommon Stock4509131081,940490,100SH SOLE 490,10000
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IDEXX LABS INCCommon Stock45168D10413,68041,433SH SOLE 41,43300
ILLINOIS TOOL WKS INCCommon Stock4523081099,07951,923SH SOLE 51,92300
ILLUMINA INCCommon Stock452327109347,056937,102SH SOLE 937,10200
IMMUNOMEDICS INCCommon Stock4529071083499,849SH SOLE 9,84900
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INFINITY PHARMACEUTICALS INCCommon Stock45665G30322,300SH SOLE 2,30000
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INGERSOLL RAND INCCommon Stock45687V1061,83965,386SH SOLE 65,38600
INGREDION INCCommon Stock4571871022,88334,732SH SOLE 34,73200
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INTEL CORPCommon Stock45814010013,363223,357SH SOLE 223,35700
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INTUITCommon Stock46120210324,77983,659SH SOLE 83,65900
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IONIS PHARMACEUTICALS INCCommon Stock4622221008,268140,226SH SOLE 140,22600
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ITAU UNIBANCO HLDG S ADepository Receipt4655621063,991850,994SH SOLE 850,99400
ITRON INCCommon Stock4657411064116,200SH SOLE 6,20000
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JPMORGAN CHASE & COCommon Stock46625H100379,8294,038,154SH SOLE 4,038,15400
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JACK IN THE BOX INCCommon Stock4663671091932,600SH SOLE 2,60000
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JETBLUE AWYS CORPCommon Stock477143101635,808SH SOLE 5,80800
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KB HOMECommon Stock48666K1091,10035,849SH SOLE 35,84900
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KEYCORPCommon Stock49326710811,207920,092SH SOLE 920,09200
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KITE RLTY GROUP TRCommon Stock49803T3004,040350,100SH SOLE 350,10000
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LAM RESEARCH CORPCommon Stock51280710828,13886,990SH SOLE 86,99000
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LAS VEGAS SANDS CORPCommon Stock5178341075,290116,154SH SOLE 116,15400
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LEAR CORPCommon Stock5218652045695,217SH SOLE 5,21700
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LEIDOS HOLDINGS INCCommon Stock5253271023,53137,697SH SOLE 37,69700
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LENNOX INTL INCCommon Stock5261071072,36010,129SH SOLE 10,12900
LEXINFINTECH HLDGS LTDDepository Receipt5288771032,335219,500SH SOLE 219,50000
LIBERTY BROADBAND CORPCommon Stock5303071077726,319SH SOLE 6,31900
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LILLY ELI & COCommon Stock53245710888,160536,969SH SOLE 536,96900
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LOGMEIN INCCommon Stock54142L1092,42128,563SH SOLE 28,56300
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LUMENTUM HLDGS INCCommon Stock55024U1091,21314,900SH SOLE 14,90000
LYFT INCCommon Stock55087P10486926,330SH SOLE 26,33000
M & T BK CORPCommon Stock55261F10412,271118,027SH SOLE 118,02700
MDU RES GROUP INCCommon Stock5526901091,05147,360SH SOLE 47,36000
MGIC INVT CORP WISCommon Stock552848103172,046SH SOLE 2,04600
MGM RESORTS INTERNATIONALCommon Stock55295310115,116899,782SH SOLE 899,78200
MKS INSTRS INCCommon Stock55306N1042352,077SH SOLE 2,07700
MSC INDL DIRECT INCCommon Stock5535301063,31645,537SH SOLE 45,53700
MSCI INCCommon Stock55354G10025,19175,464SH SOLE 75,46400
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MACYS INCCommon Stock55616P104904131,289SH SOLE 131,28900
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MAGNA INTL INCCommon Stock5592224015,545124,910SH SOLE 124,91000
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MERCK & CO. INCCommon Stock58933Y105257,4443,329,163SH SOLE 3,329,16300
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MERIT MED SYS INCCommon Stock5898891042695,900SH SOLE 5,90000
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METLIFE INCCommon Stock59156R10834,390941,683SH SOLE 941,68300
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MICROSOFT CORPCommon Stock594918104925,9424,549,860SH SOLE 4,549,86000
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MURPHY USA INCCommon Stock6267551028657,684SH SOLE 7,68400
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NIKE INCCommon Stock654106103333,9443,405,855SH SOLE 3,405,85500
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OGE ENERGY CORPCommon Stock6708371032,17571,632SH SOLE 71,63200
O-I GLASS INCCommon Stock67098H10447552,907SH SOLE 52,90700
OREILLY AUTOMOTIVE INCCommon Stock67103H1077,52317,839SH SOLE 17,83900
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OCEANEERING INTL INCCommon Stock67523210214923,300SH SOLE 23,30000
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OLIN CORPCommon Stock6806652051,14899,956SH SOLE 99,95600
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OPKO HEALTH INCCommon Stock68375N10318955,310SH SOLE 55,31000
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OSHKOSH CORPCommon Stock6882392012463,441SH SOLE 3,44100
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OVINTIV INCCommon Stock69047Q102838,712SH SOLE 8,71200
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PATTERSON UTI ENERGY INCCommon Stock7034811011,499431,900SH SOLE 431,90000
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PEGASYSTEMS INCCommon Stock7055731031,15311,400SH SOLE 11,40000
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PEOPLES UNITED FINANCIAL INCCommon Stock712704105504,300SH SOLE 4,30000
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POOL CORPORATIONCommon Stock73278L1058002,944SH SOLE 2,94400
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PROCTER AND GAMBLE COCommon Stock742718109259,7992,172,778SH SOLE 2,172,77800
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QUEST DIAGNOSTICS INCCommon Stock74834L10040,484355,251SH SOLE 355,25100
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ROPER TECHNOLOGIES INCCommon Stock7766961064,48411,550SH SOLE 11,55000
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XPERI HOLDING CORPCommon Stock98390M10339026,435SH SOLE 26,43500
XILINX INCCommon Stock983919101460,9784,685,215SH SOLE 4,685,21500
XYLEM INCCommon Stock98419M1009,938152,988SH SOLE 152,98800
YPF SOCIEDAD ANONIMADepository Receipt9842451002,875500,000SH SOLE 500,00000
YELP INCCommon Stock9858171052,21995,944SH SOLE 95,94400
YIREN DIGITAL LTDDepository Receipt98585L10016940,882SH SOLE 40,88200
YETI HLDGS INCCommon Stock98585X10484719,816SH SOLE 19,81600
YUM BRANDS INCCommon Stock9884981015,45262,726SH SOLE 62,72600
YUM CHINA HLDGS INCCommon Stock98850P1096,063126,122SH SOLE 126,12200
ZAI LAB LTDDepository Receipt98887Q1044,78158,210SH SOLE 58,21000
ZEBRA TECHNOLOGIES CORPORATICommon Stock98920710577300SH SOLE 30000
ZENDESK INCCommon Stock98936J10126,412298,333SH SOLE 298,33300
ZILLOW GROUP INCCommon Stock98954M1012,60345,275SH SOLE 45,27500
ZIMMER BIOMET HOLDINGS INCCommon Stock98956P10212,838107,558SH SOLE 107,55800
ZOETIS INCCommon Stock98978V1033,93428,710SH SOLE 28,71000
ZTO EXPRESS CAYMAN INCDepository Receipt98980A10555,7061,517,474SH SOLE 1,517,47400
ZSCALER INCCommon Stock98980G1021291,174SH SOLE 1,17400
ZOOM VIDEO COMMUNICATIONS INCommon Stock98980L1012,61810,327SH SOLE 10,32700
ZYNGA INCCommon Stock98986T1081,677175,780SH SOLE 175,78000