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 StockD1819089811,799985,373SH SOLE 985,37300
ALLEGION PLCCommon StockG0176J109110SH SOLE 1000
AMCOR PLCCommon StockG0250X10733,4762,866,100SH SOLE 2,866,10000
AMDOCS LTDCommon StockG02602103110SH SOLE 1000
AON PLCCommon StockG0403H10846,626202,628SH SOLE 202,62800
ARCH CAP GROUP LTDCommon StockG0450A1054,605120,000SH SOLE 120,00000
ATHENE HOLDING LTDCommon StockG0684D10718,648370,000SH SOLE 370,00000
AXIS CAP HLDGS LTDCommon StockG0692U10979616,068SH SOLE 16,06800
BIOHAVEN PHARMACTL HLDG CO LCommon StockG111961057106SH SOLE 10600
ACCENTURE PLC IRELANDCommon StockG1151C10184,624306,329SH SOLE 306,32900
BUNGE LIMITEDCommon StockG169621057028,854SH SOLE 8,85400
CAPRI HOLDINGS LIMITEDCommon StockG1890L10712,706249,123SH SOLE 249,12300
CHINA BIOLOGIC PRODS HLDGS ICommon StockG215151041,54113,010SH SOLE 13,01000
CREDICORP LTDCommon StockG2519Y1088,46762,000SH SOLE 62,00000
COCA COLA EUROPEAN PARTNERSCommon StockG2583910410,105193,735SH SOLE 193,73500
EATON CORP PLCCommon StockG2918310340288SH SOLE 28800
ENSTAR GROUP LIMITEDCommon StockG3075P101370,3941,501,211SH SOLE 1,501,21100
ESSENT GROUP LTDCommon StockG3198U1024,46494,000SH SOLE 94,00000
EVEREST RE GROUP LTDCommon StockG3223R10810,89143,948SH SOLE 43,94800
FERGUSON PLC NEWCommon StockG3421J10618,178152,000SH SOLE 152,00000
GASLOG LTDCommon StockG3758510913423,303SH SOLE 23,30300
GENPACT LIMITEDCommon StockG3922B1076,309147,329SH SOLE 147,32900
HERBALIFE NUTRITION LTDCommon StockG4412G1011,67237,700SH SOLE 37,70000
HORIZON THERAPEUTICS PUB LCommon StockG461881011,20013,034SH SOLE 13,03400
ICON PLCCommon StockG4705A10014,54274,052SH SOLE 74,05200
ICHOR HOLDINGSCommon StockG4740B1051,93736,000SH SOLE 36,00000
IHS MARKIT LTDCommon StockG475671052,132,25222,031,949SH SOLE 22,031,94900
INVESCO LTDCommon StockG491BT10846,1251,828,900SH SOLE 1,828,90000
JAMES RIV GROUP LTDCommon StockG5005R1071,09524,000SH SOLE 24,00000
JAZZ PHARMACEUTICALS PLCCommon StockG508711058,54752,000SH SOLE 52,00000
JOHNSON CTLS INTL PLCCommon StockG5150210529,221489,704SH SOLE 489,70400
LIBERTY GLOBAL PLCCommon StockG5480U1046,839266,540SH SOLE 266,54000
LIBERTY GLOBAL PLCCommon StockG5480U12010,880426,005SH SOLE 426,00500
LINDE PLCCommon StockG5494J103944,8483,372,769SH SOLE 3,372,76900
MARVELL TECHNOLOGY GROUP LTDCommon StockG5876H1053,14164,124SH SOLE 64,12400
MEDTRONIC PLCCommon StockG5960L103222,0601,879,790SH SOLE 1,879,79000
APTIV PLCCommon StockG6095L109137,215995,035SH SOLE 995,03500
NIELSEN HLDGS PLCCommon StockG6518L10812,575500,010SH SOLE 500,01000
NORWEGIAN CRUISE LINE HLDG LCommon StockG667211042499,030SH SOLE 9,03000
NOVOCURE LTDCommon StockG6674U1082,05115,520SH SOLE 15,52000
PAGSEGURO DIGITAL LTDCommon StockG6870710169,8781,509,237SH SOLE 1,509,23700
PENTAIR PLCCommon StockG7S00T1042754,414SH SOLE 4,41400
RENAISSANCERE HLDGS LTDCommon StockG7496G103146912SH SOLE 91200
ROYALTY PHARMA PLCCommon StockG7709Q1046,648152,400SH SOLE 152,40000
SEAGATE TECHNOLOGY PLCCommon StockG7945M107111SH SOLE 1100
SENSATA TECHNOLOGIES HLDG PLCommon StockG8060N1021793,094SH SOLE 3,09400
SIGNET JEWELERS LIMITEDCommon StockG812761001562,695SH SOLE 2,69500
STERIS PLCCommon StockG8473T100126662SH SOLE 66200
TECHNIPFMC PLCCommon StockG87110105020SH SOLE 2000
THERAVANCE BIOPHARMA INCCommon StockG8807B1061949,500SH SOLE 9,50000
TRANE TECHNOLOGIES PLCCommon StockG8994E1032951,778SH SOLE 1,77800
VASTA PLATFORM LTDCommon StockG9440A1099,848999,841SH SOLE 999,84100
GOLAR LNG LTDCommon StockG9456A100010SH SOLE 1000
PERRIGO CO PLCCommon StockG97822103010SH SOLE 1000
ALCON AGCommon StockH0130112885,3411,213,991SH SOLE 1,213,99100
CHUBB LIMITEDCommon StockH1467J10486,198545,661SH SOLE 545,66100
CRISPR THERAPEUTICS AGCommon StockH171821083,12225,623SH SOLE 25,62300
UBS GROUP AGCommon StockH4209710751,3063,299,370SH SOLE 3,299,37000
TE CONNECTIVITY LTDCommon StockH84989104149,6171,158,834SH SOLE 1,158,83400
NEOGAMES S ACommon StockL6673X1071,07330,000SH SOLE 30,00000
SPOTIFY TECHNOLOGY S ACommon StockL8681T10217,80066,432SH SOLE 66,43200
CHECK POINT SOFTWARE TECH LTCommon StockM22465104110SH SOLE 1000
CYBERARK SOFTWARE LTDCommon StockM2682V108110SH SOLE 1000
ICL GROUP LTDCommon StockM532131004,247723,738SH SOLE 723,73800
NANO X IMAGING LTDCommon StockM7070010579619,200SH SOLE 19,20000
SOL GEL TECHNOLOGIESCommon StockM8694L10324519,800SH SOLE 19,80000
TARO PHARMACEUTICAL INDS LTDCommon StockM8737E10895612,966SH SOLE 12,96600
WIX COM LTDCommon StockM98068105830SH SOLE 3000
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ASML HOLDING N VDepository ReceiptN0705921099,271160,800SH SOLE 160,80000
ELASTIC N VCommon StockN145061047166,438SH SOLE 6,43800
CNH INDL N VCommon StockN209441099,780630,624SH SOLE 630,62400
CORE LABORATORIES N VCommon StockN22717107010SH SOLE 1000
FERRARI N VCommon StockN3167Y1033,09714,795SH SOLE 14,79500
LYONDELLBASELL INDUSTRIES NCommon StockN5374510049,521475,930SH SOLE 475,93000
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PLAYA HOTELS & RESORTS NVCommon StockN7054410610,9501,500,000SH SOLE 1,500,00000
QIAGEN NVCommon StockN724821232,13744,055SH SOLE 44,05500
STELLANTIS N.VCommon StockN824051061,967110,979SH SOLE 110,97900
YANDEX N VCommon StockN9728410811,456178,836SH SOLE 178,83600
ROYAL CARIBBEAN GROUPCommon StockV7780T103410,6134,796,326SH SOLE 4,796,32600
ATLAS CORPCommon StockY0436Q1091,586116,200SH SOLE 116,20000
COSTAMARE INCCommon StockY1771G102010SH SOLE 1000
FLEX LTDCommon StockY2573F102010SH SOLE 1000
STAR BULK CARRIERS CORP.Common StockY8162K204010SH SOLE 1000
AGCO CORPCommon Stock0010841025,22636,383SH SOLE 36,38300
AGNC INVT CORPREIT00123Q10418911,265SH SOLE 11,26500
AES CORPCommon Stock00130H10522,830851,550SH SOLE 851,55000
API GROUP CORPCommon Stock00187Y1002,378115,000SH SOLE 115,00000
AT&T INCCommon Stock00206R102199,6186,594,586SH SOLE 6,594,58600
ASE TECHNOLOGY HLDG CO LTDDepository Receipt00215W10013,4031,740,700SH SOLE 1,740,70000
THE AARONS COMPANY INCCommon Stock00258W1083102SH SOLE 10200
ABBOTT LABSCommon Stock002824100259,5752,166,016SH SOLE 2,166,01600
ABBVIE INCCommon Stock00287Y109332,5643,073,033SH SOLE 3,073,03300
ABCELLERA BIOLOGICS INCCommon Stock00288U1064,245125,000SH SOLE 125,00000
ABERCROMBIE & FITCH COCommon Stock0028962072,95186,000SH SOLE 86,00000
ABIOMED INCCommon Stock00365410010,74733,718SH SOLE 33,71800
ACADEMY SPORTS & OUTDOORS INCommon Stock00402L1077,530279,000SH SOLE 279,00000
ACCELERON PHARMA INCCommon Stock00434H1081,0847,991SH SOLE 7,99100
ACTIVISION BLIZZARD INCCommon Stock00507V10980,257862,975SH SOLE 862,97500
ACUITY BRANDS INCCommon Stock00508Y102210SH SOLE 1000
ADAPTHEALTH CORPCommon Stock00653Q1024,485122,000SH SOLE 122,00000
ADOBE SYSTEMS INCORPORATEDCommon Stock00724F101139,956294,416SH SOLE 294,41600
AECOMCommon Stock00766T10010,963171,000SH SOLE 171,00000
AEROJET ROCKETDYNE HLDGS INCCommon Stock0078001056,105130,000SH SOLE 130,00000
ADVANCED MICRO DEVICES INCCommon Stock00790310721,009267,628SH SOLE 267,62800
ADVANCED ENERGY INDSCommon Stock0079731003,05728,000SH SOLE 28,00000
AEROVIRONMENT INCCommon Stock0080731083,83033,000SH SOLE 33,00000
AFFIRM HLDGS INCCommon Stock00827B10616,093227,564SH SOLE 227,56400
AGILENT TECHNOLOGIES INCCommon Stock00846U10156,640445,495SH SOLE 445,49500
AGIOS PHARMACEUTICALS INCCommon Stock00847X1043536,845SH SOLE 6,84500
AIRBNB INCCommon Stock0090661012,12411,300SH SOLE 11,30000
AIR PRODS & CHEMS INCCommon Stock009158106145,191516,070SH SOLE 516,07000
AKAMAI TECHNOLOGIES INCCommon Stock00971T101751,9937,379,720SH SOLE 7,379,72000
ALAMOS GOLD INC NEWCommon Stock011532108781100,000SH SOLE 100,00000
ALASKA AIR GROUP INCCommon Stock011659109110SH SOLE 1000
ALBEMARLE CORPCommon Stock012653101106,953732,003SH SOLE 732,00300
ALCOA CORPCommon Stock0138721067,869242,200SH SOLE 242,20000
ALEXANDER & BALDWIN INC NEWREIT0144911041,22673,000SH SOLE 73,00000
ALEXANDRIA REAL ESTATE EQ INREIT015271109138,245841,421SH SOLE 841,42100
ALEXION PHARMACEUTICALS INCCommon Stock01535110994,703619,340SH SOLE 619,34000
ALGONQUIN PWR UTILS CORPCommon Stock01585710547,5243,000,000SH SOLE 3,000,00000
ALIBABA GROUP HLDG LTDDepository Receipt01609W1022,025,6488,934,186SH SOLE 8,934,18600
ALIGN TECHNOLOGY INCCommon Stock01625510151,96895,965SH SOLE 95,96500
ALLEGIANT TRAVEL COCommon Stock01748X1021,8797,700SH SOLE 7,70000
ALLIANCE DATA SYSTEMS CORPCommon Stock0185811082,51322,419SH SOLE 22,41900
ALLIANT ENERGY CORPCommon Stock0188021083606,642SH SOLE 6,64200
ALLISON TRANSMISSION HLDGS ICommon Stock01973R10174218,184SH SOLE 18,18400
ALLSCRIPTS HEALTHCARE SOLUTNCommon Stock01988P10810,579704,556SH SOLE 704,55600
ALLSTATE CORPCommon Stock0200021011561,358SH SOLE 1,35800
ALLY FINL INCCommon Stock02005N100121,0772,678,110SH SOLE 2,678,11000
ALNYLAM PHARMACEUTICALS INCCommon Stock02043Q10716,711118,357SH SOLE 118,35700
ALPHABET INCCommon Stock02079K107831,604402,007SH SOLE 402,00700
ALPHABET INCCommon Stock02079K3052,463,3231,194,327SH SOLE 1,194,32700
ALTERYX INCCommon Stock02156B10364769SH SOLE 76900
AMAZON COM INCCommon Stock0231351061,175,382379,881SH SOLE 379,88100
AMEREN CORPCommon Stock02360810213,497165,897SH SOLE 165,89700
AMERICA MOVIL SAB DE CVDepository Receipt02364W10553439,334SH SOLE 39,33400
AMERICAN AIRLS GROUP INCCommon Stock02376R10258024,235SH SOLE 24,23500
AMERICAN AXLE & MFG HLDGS INCommon Stock0240611032,386247,000SH SOLE 247,00000
AMERICAN CAMPUS CMNTYS INCREIT024835100681,567SH SOLE 1,56700
AMERICAN EAGLE OUTFITTERS INCommon Stock02553E1063,246111,000SH SOLE 111,00000
AMERICAN ELEC PWR CO INCCommon Stock02553710163,134745,387SH SOLE 745,38700
AMERICAN EQTY INVT LIFE HLDCommon Stock0256762066,747214,000SH SOLE 214,00000
AMERICAN EXPRESS COCommon Stock02581610998,735698,073SH SOLE 698,07300
AMERICAN FINL GROUP INC OHIOCommon Stock0259321042,73824,000SH SOLE 24,00000
AMERICAN HOMES 4 RENTREIT02665T3066,958208,710SH SOLE 208,71000
AMERICAN INTL GROUP INCCommon Stock02687478410,564228,606SH SOLE 228,60600
AMERICAN TOWER CORP NEWCommon Stock03027X100343,7061,437,739SH SOLE 1,437,73900
AMERICAN WTR WKS CO INC NEWCommon Stock03042010354,765365,292SH SOLE 365,29200
AMERISOURCEBERGEN CORPCommon Stock03073E10525,980220,039SH SOLE 220,03900
AMERIPRISE FINL INCCommon Stock03076C10610,92547,000SH SOLE 47,00000
AMERIS BANCORPCommon Stock03076K1082,57349,000SH SOLE 49,00000
AMETEK INCCommon Stock03110010014,122110,564SH SOLE 110,56400
AMGEN INCCommon Stock031162100193,769778,784SH SOLE 778,78400
AMICUS THERAPEUTICS INCCommon Stock03152W109010SH SOLE 1000
AMPHENOL CORP NEWCommon Stock03209510113,145199,246SH SOLE 199,24600
ANALOG DEVICES INCCommon Stock0326541053,44622,220SH SOLE 22,22000
ANAPLAN INCCommon Stock03272L10845,521845,331SH SOLE 845,33100
ANGLOGOLD ASHANTI LIMITEDDepository Receipt0351282061,01146,000SH SOLE 46,00000
ANNALY CAPITAL MANAGEMENT INREIT0357104091,514176,000SH SOLE 176,00000
ANSYS INCCommon Stock03662Q105314925SH SOLE 92500
ANTERO RESOURCES CORPCommon Stock03674X106989,644SH SOLE 9,64400
ANTHEM INCCommon Stock036752103187,415522,119SH SOLE 522,11900
APA CORPORATIONCommon Stock03743Q1082,792155,978SH SOLE 155,97800
APARTMENT INVT & MGMT COREIT03748R74716026,056SH SOLE 26,05600
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APPIAN CORPCommon Stock03782L101117882SH SOLE 88200
APPLE INCCommon Stock037833100894,3257,321,527SH SOLE 7,321,52700
APPLIED MATLS INCCommon Stock03822210529,394220,012SH SOLE 220,01200
APTARGROUP INCCommon Stock0383361039876,967SH SOLE 6,96700
ARAMARKCommon Stock03852U10660,6371,605,010SH SOLE 1,605,01000
ARCH RESOURCES INCCommon Stock03940R1075,990144,000SH SOLE 144,00000
ARCHER DANIELS MIDLAND COCommon Stock03948310235,207617,671SH SOLE 617,67100
ARCONIC CORPORATIONCommon Stock03966V107010SH SOLE 1000
ARISTA NETWORKS INCCommon Stock0404131063,36811,158SH SOLE 11,15800
ARROW ELECTRS INCCommon Stock0427351001,98717,931SH SOLE 17,93100
ARVINAS INCCommon Stock04335A1052,18133,000SH SOLE 33,00000
ASBURY AUTOMOTIVE GROUP INCCommon Stock0434361042,55513,000SH SOLE 13,00000
ASHLAND GLOBAL HLDGS INCCommon Stock0441861046,83577,000SH SOLE 77,00000
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ATARA BIOTHERAPEUTICS INCCommon Stock0465131071,23586,000SH SOLE 86,00000
ATKORE INCCommon Stock0476491083,45148,000SH SOLE 48,00000
AUTODESK INCCommon Stock05276910627,39198,831SH SOLE 98,83100
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AUTOZONE INCCommon Stock053332102326232SH SOLE 23200
AVALARA INCCommon Stock05338G1067605,698SH SOLE 5,69800
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AVANTOR INCCommon Stock05352A100368,04312,721,862SH SOLE 12,721,86200
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AVIENT CORPORATIONCommon Stock05368V1062,88361,000SH SOLE 61,00000
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AVISTA CORPCommon Stock05379B107010SH SOLE 1000
BCE INCCommon Stock05534B76050,4181,117,010SH SOLE 1,117,01000
BGC PARTNERS INCCommon Stock05541T1017,1341,477,000SH SOLE 1,477,00000
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BAKER HUGHES COMPANYCommon Stock05722G10088641,010SH SOLE 41,01000
BALL CORPCommon Stock05849810647,652562,331SH SOLE 562,33100
BALLYS CORPORATIONCommon Stock05875B1063,24950,000SH SOLE 50,00000
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BK OF AMERICA CORPCommon Stock060505104559,81814,469,317SH SOLE 14,469,31700
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BAXTER INTL INCCommon Stock07181310952,994628,334SH SOLE 628,33400
BECTON DICKINSON & COCommon Stock075887109119,659492,122SH SOLE 492,12200
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BILL COM HLDGS INCCommon Stock090043100105725SH SOLE 72500
BIOMARIN PHARMACEUTICAL INCCommon Stock09061G10115,767208,807SH SOLE 208,80700
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BLACKROCK INCCommon Stock09247X101149,200197,888SH SOLE 197,88800
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BLACKSTONE GROUP INCCommon Stock09260D10744,523597,388SH SOLE 597,38800
BLOOMIN BRANDS INCCommon Stock0942351083,949146,000SH SOLE 146,00000
BLUEBIRD BIO INCCommon Stock09609G1001,87962,312SH SOLE 62,31200
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BOLT BIOTHERAPEUTICS INCCommon Stock0977021041,81055,000SH SOLE 55,00000
BOOKING HOLDINGS INCCommon Stock09857L108285,974122,744SH SOLE 122,74400
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BOX INCCommon Stock10316T1049,961433,822SH SOLE 433,82200
BOYD GAMING CORPCommon Stock1033041011272,160SH SOLE 2,16000
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BROOKFIELD RENEWABLE CORPCommon Stock11284V1057,160153,000SH SOLE 153,00000
BROOKS AUTOMATION INC NEWCommon Stock1143401022,23727,400SH SOLE 27,40000
BROWN & BROWN INCCommon Stock1152361012,41352,800SH SOLE 52,80000
BROWN FORMAN CORPCommon Stock11563720916,949245,742SH SOLE 245,74200
BRUNSWICK CORPCommon Stock1170431091,67917,600SH SOLE 17,60000
B2GOLD CORPCommon Stock11777Q2091,614375,000SH SOLE 375,00000
BUCKLE INCCommon Stock1184401062,23957,000SH SOLE 57,00000
BUILDERS FIRSTSOURCE INCCommon Stock12008R10711,453247,000SH SOLE 247,00000
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CAI INTERNATIONAL INCCommon Stock12477X1061,18426,000SH SOLE 26,00000
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STAMPS COM INCCommon Stock8528572009234,627SH SOLE 4,62700
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TARGET CORPCommon Stock87612E10698,837499,000SH SOLE 499,00000
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