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 StockD181908985,167403,467SH SOLE 403,46700
ALLEGION PLCCommon StockG0176J1091401,274SH SOLE 1,27400
AMCOR PLCCommon StockG0250X10728,9412,554,341SH SOLE 2,554,34100
AMDOCS LTDCommon StockG026021033734,537SH SOLE 4,53700
AMBARELLA INCCommon StockG037AX10121200SH SOLE 20000
AON PLCCommon StockG0403H10869,410213,156SH SOLE 213,15600
ARCH CAP GROUP LTDCommon StockG0450A1051,45029,941SH SOLE 29,94100
ACCENTURE PLC IRELANDCommon StockG1151C101153,252454,445SH SOLE 454,44500
BUNGE LIMITEDCommon StockG169621052912,626SH SOLE 2,62600
CAPRI HOLDINGS LIMITEDCommon StockG1890L1071052,026SH SOLE 2,02600
CLARIVATE PLCCommon StockG21810109011SH SOLE 1100
COCA-COLA EUROPACIFIC PARTNECommon StockG25839104010SH SOLE 1000
DESPEGAR COM CORPCommon StockG2735810337,3843,064,263SH SOLE 3,064,26300
EATON CORP PLCCommon StockG2918310315,390101,412SH SOLE 101,41200
ENSTAR GROUP LIMITEDCommon StockG3075P101392,0411,501,211SH SOLE 1,501,21100
ESSENT GROUP LTDCommon StockG3198U1021,69041,000SH SOLE 41,00000
EVEREST RE GROUP LTDCommon StockG3223R1084,79215,900SH SOLE 15,90000
FERGUSON PLC NEWCommon StockG3421J1066,87450,300SH SOLE 50,30000
GLOBALFOUNDRIES INCCommon StockG3938710878,2561,253,700SH SOLE 1,253,70000
HERBALIFE NUTRITION LTDCommon StockG4412G10137912,500SH SOLE 12,50000
JANUS HENDERSON GROUP PLCCommon StockG4474Y21443812,500SH SOLE 12,50000
HORIZON THERAPEUTICS PUB LCommon StockG461881013423,243SH SOLE 3,24300
ICON PLCCommon StockG4705A10016,35767,252SH SOLE 67,25200
INVESCO LTDCommon StockG491BT10844319,246SH SOLE 19,24600
JAZZ PHARMACEUTICALS PLCCommon StockG50871105181,8101,167,917SH SOLE 1,167,91700
JOHNSON CTLS INTL PLCCommon StockG5150210529,626451,825SH SOLE 451,82500
LIBERTY GLOBAL PLCCommon StockG5480U1044,636181,740SH SOLE 181,74000
LIBERTY GLOBAL PLCCommon StockG5480U1209,346360,725SH SOLE 360,72500
LINDE PLCCommon StockG5494J103948,1242,968,173SH SOLE 2,968,17300
MEDTRONIC PLCCommon StockG5960L103260,8032,350,637SH SOLE 2,350,63700
APTIV PLCCommon StockG6095L109117,753983,654SH SOLE 983,65400
NIELSEN HLDGS PLCCommon StockG6518L108903,310SH SOLE 3,31000
NU HLDGS LTDCommon StockG6683N10330,1873,910,188SH SOLE 3,910,18800
PAGSEGURO DIGITAL LTDCommon StockG6870710124,5541,224,647SH SOLE 1,224,64700
PENTAIR PLCCommon StockG7S00T1044458,210SH SOLE 8,21000
SAPIENS INTL CORP N VCommon StockG7T16G10342716,800SH SOLE 16,80000
RENAISSANCERE HLDGS LTDCommon StockG7496G10318118SH SOLE 11800
RENEW ENERGY GLOBAL PLCCommon StockG7500M104533,21264,867,691SH SOLE 64,867,69100
ROYALTY PHARMA PLCCommon StockG7709Q1044,412113,255SH SOLE 113,25500
SEAGATE TECHNOLOGY HLDNGS PLCommon StockG7997R1031531,710SH SOLE 1,71000
SENSATA TECHNOLOGIES HLDG PLCommon StockG8060N102110SH SOLE 1000
SIGNET JEWELERS LIMITEDCommon StockG812761001171,610SH SOLE 1,61000
SMART GLOBAL HLDGS INCCommon StockG8232Y1011,75167,800SH SOLE 67,80000
TECHNIPFMC PLCCommon StockG8711010521227,297SH SOLE 27,29700
TEXTAINER GROUP HOLDINGS LTDCommon StockG8766E10945712,000SH SOLE 12,00000
THERAVANCE BIOPHARMA INCCommon StockG8807B106919,500SH SOLE 9,50000
TRANE TECHNOLOGIES PLCCommon StockG8994E1031,70411,162SH SOLE 11,16200
GOLAR LNG LTDCommon StockG9456A100010SH SOLE 1000
WILLIS TOWERS WATSON PLC LTDCommon StockG9662910311,81150,000SH SOLE 50,00000
PERRIGO CO PLCCommon StockG97822103982,540SH SOLE 2,54000
ALCON AGCommon StockH0130112858,390729,087SH SOLE 729,08700
CHUBB LIMITEDCommon StockH1467J10482,034383,515SH SOLE 383,51500
GARMIN LTDCommon StockH2906T1094,04134,068SH SOLE 34,06800
UBS GROUP AGCommon StockH4209710766,0533,349,953SH SOLE 3,349,95300
LOGITECH INTL S ACommon StockH504302323,92252,156SH SOLE 52,15600
SPORTRADAR GROUP AGCommon StockH8088L1031,624,18397,607,178SH SOLE 97,607,17800
TE CONNECTIVITY LTDCommon StockH84989104105,744807,328SH SOLE 807,32800
TRANSOCEAN LTDCommon StockH8817H10025154,854SH SOLE 54,85400
GLOBANT S ACommon StockL443851092,2568,610SH SOLE 8,61000
NEOGAMES S ACommon StockL6673X1071,29684,000SH SOLE 84,00000
SPOTIFY TECHNOLOGY S ACommon StockL8681T1023,13120,732SH SOLE 20,73200
CAMTEK LTDCommon StockM2079110539613,000SH SOLE 13,00000
CHECK POINT SOFTWARE TECH LTCommon StockM224651047,85356,800SH SOLE 56,80000
COGNYTE SOFTWARE LTDCommon StockM2513310540936,200SH SOLE 36,20000
CYBERARK SOFTWARE LTDCommon StockM2682V10820,554121,800SH SOLE 121,80000
FIVERR INTL LTDCommon StockM4R82T1063044,000SH SOLE 4,00000
ICL GROUP LTDCommon StockM532131008,670723,738SH SOLE 723,73800
JFROG LTDCommon StockM6191J10063923,700SH SOLE 23,70000
KORNIT DIGITAL LTDCommon StockM6372Q1132,01824,400SH SOLE 24,40000
NANO X IMAGING LTDCommon StockM70700105010SH SOLE 1000
NOVA LTDCommon StockM7516K1031,61814,800SH SOLE 14,80000
SIMILARWEB LTDCommon StockM84137104584,500SH SOLE 4,50000
TARO PHARMACEUTICAL INDS LTDCommon StockM8737E1082716,266SH SOLE 6,26600
TOWER SEMICONDUCTOR LTDCommon StockM879152742,87559,300SH SOLE 59,30000
ZIM INTEGRATED SHIPPING SERVCommon StockM9T9511092,50834,500SH SOLE 34,50000
WIX COM LTDCommon StockM980681053,23130,930SH SOLE 30,93000
AFFIMED N VCommon StockN01045108673154,000SH SOLE 154,00000
ELASTIC N VCommon StockN145061043353,764SH SOLE 3,76400
CNH INDL N VCommon StockN2094410911,264703,293SH SOLE 703,29300
FERRARI N VCommon StockN3167Y10310,05545,669SH SOLE 45,66900
LYONDELLBASELL INDUSTRIES NCommon StockN5374510050,978495,801SH SOLE 495,80100
NXP SEMICONDUCTORS N VCommon StockN6596X109181,559980,976SH SOLE 980,97600
QIAGEN NVCommon StockN7248212311,068223,385SH SOLE 223,38500
STELLANTIS N.VCommon StockN8240510611,335688,314SH SOLE 688,31400
ROYAL CARIBBEAN GROUPCommon StockV7780T103399,5684,769,251SH SOLE 4,769,25100
ACCO BRANDS CORPCommon Stock00081T10824030,000SH SOLE 30,00000
ABM INDS INCCommon Stock0009571001,01322,000SH SOLE 22,00000
AGCO CORPCommon Stock0010841024,01027,462SH SOLE 27,46200
AES CORPCommon Stock00130H10537,0941,441,667SH SOLE 1,441,66700
AMN HEALTHCARE SVCS INCCommon Stock0017441015635,400SH SOLE 5,40000
AT&T INCCommon Stock00206R102139,6085,908,069SH SOLE 5,908,06900
ABBOTT LABSCommon Stock002824100219,1711,851,728SH SOLE 1,851,72800
ABBVIE INCCommon Stock00287Y109477,0672,942,860SH SOLE 2,942,86000
ABCELLERA BIOLOGICS INCCommon Stock00288U1063,840393,776SH SOLE 393,77600
ABERCROMBIE & FITCH COCommon Stock002896207742,300SH SOLE 2,30000
ABIOMED INCCommon Stock0036541004,59113,859SH SOLE 13,85900
ACADEMY SPORTS & OUTDOORS INCommon Stock00402L1071,72743,843SH SOLE 43,84300
ACADIA PHARMACEUTICALS INCCommon Stock0042251081,38057,000SH SOLE 57,00000
ACI WORLDWIDE INCCommon Stock0044981011,77656,400SH SOLE 56,40000
ACTIVISION BLIZZARD INCCommon Stock00507V10986,0251,073,838SH SOLE 1,073,83800
ACUITY BRANDS INCCommon Stock00508Y10220106SH SOLE 10600
ADOBE SYSTEMS INCORPORATEDCommon Stock00724F10121,51147,211SH SOLE 47,21100
ADTRAN INCCommon Stock00738A1061,51382,000SH SOLE 82,00000
ADVANCE AUTO PARTS INCCommon Stock00751Y1064,65722,500SH SOLE 22,50000
AECOMCommon Stock00766T10010,316134,300SH SOLE 134,30000
AEROJET ROCKETDYNE HLDGS INCCommon Stock0078001053,84397,657SH SOLE 97,65700
ADVANCED DRAIN SYS INC DELCommon Stock00790R104378,9143,189,240SH SOLE 3,189,24000
ADVANCED MICRO DEVICES INCCommon Stock007903107448,8364,104,956SH SOLE 4,104,95600
AFFILIATED MANAGERS GROUP INCommon Stock008252108113800SH SOLE 80000
AFFIRM HLDGS INCCommon Stock00827B1067,842169,455SH SOLE 169,45500
AGILENT TECHNOLOGIES INCCommon Stock00846U1011,42010,731SH SOLE 10,73100
AGIOS PHARMACEUTICALS INCCommon Stock00847X1044121SH SOLE 12100
AGNICO EAGLE MINES LTDCommon Stock00847410893,3881,524,782SH SOLE 1,524,78200
AGREE RLTY CORPREIT0084921001,65925,000SH SOLE 25,00000
AGORA INCDepository Receipt00851L1036,832687,320SH SOLE 687,32000
AGILON HEALTH INCCommon Stock00857U1071,34453,000SH SOLE 53,00000
AIRBNB INCCommon Stock0090661012,12512,372SH SOLE 12,37200
AIR LEASE CORPCommon Stock00912X3024,15293,000SH SOLE 93,00000
AIR PRODS & CHEMS INCCommon Stock009158106111,560446,399SH SOLE 446,39900
AKAMAI TECHNOLOGIES INCCommon Stock00971T101880,5437,375,349SH SOLE 7,375,34900
ALAMOS GOLD INC NEWCommon Stock01153210820524,400SH SOLE 24,40000
ALASKA AIR GROUP INCCommon Stock0116591097,228124,600SH SOLE 124,60000
ALBEMARLE CORPCommon Stock012653101172,158778,466SH SOLE 778,46600
ALCOA CORPCommon Stock0138721062512,792SH SOLE 2,79200
ALEXANDERS INCREIT0147521091,2815,000SH SOLE 5,00000
ALEXANDRIA REAL ESTATE EQ INREIT015271109562,6162,795,612SH SOLE 2,795,61200
ALGONQUIN PWR UTILS CORPCommon Stock01585710510,904702,400SH SOLE 702,40000
ALIBABA GROUP HLDG LTDDepository Receipt01609W10276,160700,000SH SOLE 700,00000
ALIGN TECHNOLOGY INCCommon Stock0162551017,85518,015SH SOLE 18,01500
ALLAKOS INCCommon Stock01671P1001,077189,000SH SOLE 189,00000
ALLEGHANY CORP MDCommon Stock0171751002,9653,500SH SOLE 3,50000
ALLEGIANT TRAVEL COCommon Stock01748X1022761,700SH SOLE 1,70000
ALLIANCE DATA SYSTEMS CORPCommon Stock0185811081,25922,419SH SOLE 22,41900
ALLIANT ENERGY CORPCommon Stock0188021081,91330,622SH SOLE 30,62200
ALLISON TRANSMISSION HLDGS ICommon Stock01973R101511,300SH SOLE 1,30000
ALLSCRIPTS HEALTHCARE SOLUTNCommon Stock01988P10815,246677,014SH SOLE 677,01400
ALLSTATE CORPCommon Stock0200021011881,358SH SOLE 1,35800
ALLY FINL INCCommon Stock02005N10033,224764,110SH SOLE 764,11000
ALNYLAM PHARMACEUTICALS INCCommon Stock02043Q1071651,013SH SOLE 1,01300
ALPHABET INCCommon Stock02079K107667,279238,912SH SOLE 238,91200
ALPHABET INCCommon Stock02079K3052,416,871868,956SH SOLE 868,95600
ALTIMMUNE INCCommon Stock02155H2001,108182,000SH SOLE 182,00000
ALTERYX INCCommon Stock02156B1034866,784SH SOLE 6,78400
ALTICE USA INCCommon Stock02156K10328022,407SH SOLE 22,40700
AMAZON COM INCCommon Stock023135106520,829159,766SH SOLE 159,76600
AMBAC FINL GROUP INCCommon Stock0231398841,914184,000SH SOLE 184,00000
AMEREN CORPCommon Stock02360810225,526272,246SH SOLE 272,24600
AMERICAN AIRLS GROUP INCCommon Stock02376R102010SH SOLE 1000
AMERICAN CAMPUS CMNTYS INCREIT02483510011,877212,205SH SOLE 212,20500
AMERICAN EAGLE OUTFITTERS INCommon Stock02553E106372,200SH SOLE 2,20000
AMERICAN ELEC PWR CO INCCommon Stock02553710191,878920,900SH SOLE 920,90000
AMERICAN EXPRESS COCommon Stock02581610937,387199,930SH SOLE 199,93000
AMERICAN FINL GROUP INC OHIOCommon Stock0259321042912,000SH SOLE 2,00000
AMERICAN HOMES 4 RENTREIT02665T306154,0703,848,849SH SOLE 3,848,84900
AMERICAN INTL GROUP INCCommon Stock02687478414,350228,606SH SOLE 228,60600
AMERICAN TOWER CORP NEWCommon Stock03027X100476,1981,895,543SH SOLE 1,895,54300
AMERICAN WTR WKS CO INC NEWCommon Stock03042010365,129393,456SH SOLE 393,45600
AMERICAN WELL CORPCommon Stock03044L1052,075493,000SH SOLE 493,00000
AMERISAFE INCCommon Stock03071H1001493,000SH SOLE 3,00000
AMERISOURCEBERGEN CORPCommon Stock03073E10524,131155,976SH SOLE 155,97600
AMERIPRISE FINL INCCommon Stock03076C106203676SH SOLE 67600
AMETEK INCCommon Stock03110010014,105105,909SH SOLE 105,90900
AMGEN INCCommon Stock031162100164,311679,478SH SOLE 679,47800
AMICUS THERAPEUTICS INCCommon Stock03152W10910110,690SH SOLE 10,69000
AMKOR TECHNOLOGY INCCommon Stock03165210099946,000SH SOLE 46,00000
AMPHENOL CORP NEWCommon Stock03209510119,906264,188SH SOLE 264,18800
AMYRIS INCCommon Stock03236M2001,216278,813SH SOLE 278,81300
ANALOG DEVICES INCCommon Stock03265410519,175116,085SH SOLE 116,08500
ANAPLAN INCCommon Stock03272L10868,0941,046,799SH SOLE 1,046,79900
ANGEL OAK MTG INCCommon Stock03464Y10834,5472,105,263SH SOLE 2,105,26300
ANSYS INCCommon Stock03662Q1054351,368SH SOLE 1,36800
ANTERO RESOURCES CORPCommon Stock03674X1062949,644SH SOLE 9,64400
ANTHEM INCCommon Stock03675210365,619133,584SH SOLE 133,58400
APA CORPORATIONCommon Stock03743Q1084,04297,810SH SOLE 97,81000
APARTMENT INVT & MGMT COREIT03748R74713,2201,806,000SH SOLE 1,806,00000
APARTMENT INCOME REIT CORPREIT03750L1093165,903SH SOLE 5,90300
APOLLO GLOBAL MGMT INCCommon Stock03769M106126,7012,043,900SH SOLE 2,043,90000
APPIAN CORPCommon Stock03782L1012303,777SH SOLE 3,77700
APPLE INCCommon Stock037833100827,8764,741,285SH SOLE 4,741,28500
APPLE HOSPITALITY REIT INCREIT03784Y2006,264348,600SH SOLE 348,60000
APPLIED MATLS INCCommon Stock0382221051,89714,393SH SOLE 14,39300
APTARGROUP INCCommon Stock038336103221SH SOLE 2100
ARAMARKCommon Stock03852U10639,0391,038,266SH SOLE 1,038,26600
ARCH RESOURCES INCCommon Stock03940R10715,112110,000SH SOLE 110,00000
ARCHER DANIELS MIDLAND COCommon Stock03948310240,011443,293SH SOLE 443,29300
ARES MANAGEMENT CORPORATIONCommon Stock03990B1012032,500SH SOLE 2,50000
ARISTA NETWORKS INCCommon Stock0404131065,02836,174SH SOLE 36,17400
ARMADA HOFFLER PPTYS INCREIT04208T10816111,000SH SOLE 11,00000
ARROW ELECTRS INCCommon Stock042735100107900SH SOLE 90000
ARROWHEAD PHARMACEUTICALS INCommon Stock04280A1002355,100SH SOLE 5,10000
ASANA INCCommon Stock04342Y1043889,713SH SOLE 9,71300
ASBURY AUTOMOTIVE GROUP INCCommon Stock0434361044973,100SH SOLE 3,10000
ASHFORD HOSPITALITY TR INCREIT0441038691,285126,000SH SOLE 126,00000
ASSOCIATED BANC CORPCommon Stock0454871051,50266,000SH SOLE 66,00000
ASSURANT INCCommon Stock04621X1082001,100SH SOLE 1,10000
ATARA BIOTHERAPEUTICS INCCommon Stock046513107966104,000SH SOLE 104,00000
ATKORE INCCommon Stock0476491081,66316,900SH SOLE 16,90000
ATLAS AIR WORLDWIDE HLDGS INCommon Stock0491642051551,800SH SOLE 1,80000
AURORA INNOVATION INCCommon Stock05177410746,8078,373,275SH SOLE 8,373,27500
AUTODESK INCCommon Stock05276910616,51277,033SH SOLE 77,03300
AUTOHOME INCDepository Receipt05278C1072,16471,180SH SOLE 71,18000
AUTOLIV INCCommon Stock0528001094435,800SH SOLE 5,80000
AUTOMATIC DATA PROCESSING INCommon Stock05301510338,089167,394SH SOLE 167,39400
AUTONATION INCCommon Stock05329W1021,45414,607SH SOLE 14,60700
AUTOZONE INCCommon Stock0533321026,8763,363SH SOLE 3,36300
AVALARA INCCommon Stock05338G1064624,650SH SOLE 4,65000
AVALONBAY CMNTYS INCREIT053484101444,3271,788,971SH SOLE 1,788,97100
AVANGRID INCCommon Stock05351W1035,350114,467SH SOLE 114,46700
AVANTOR INCCommon Stock05352A100829,97624,540,970SH SOLE 24,540,97000
AVERY DENNISON CORPCommon Stock0536111092,26213,000SH SOLE 13,00000
AVIDXCHANGE HOLDINGS INCCommon Stock05368X10239,3364,886,508SH SOLE 4,886,50800
AVIS BUDGET GROUPCommon Stock053774105223,490848,800SH SOLE 848,80000
AVISTA CORPCommon Stock05379B107010SH SOLE 1000
AXON ENTERPRISE INCCommon Stock05464C1013,38624,585SH SOLE 24,58500
AZEK CO INCCommon Stock05478C10517700SH SOLE 70000
BCE INCCommon Stock05534B760120,0312,163,410SH SOLE 2,163,41000
BJS WHSL CLUB HLDGS INCCommon Stock05550J1012293,394SH SOLE 3,39400
BRP INCCommon Stock05577W2002,61431,900SH SOLE 31,90000
BWX TECHNOLOGIES INCCommon Stock05605H1004,60685,520SH SOLE 85,52000
BAIDU INCDepository Receipt05675210833,808255,538SH SOLE 255,53800
BALL CORPCommon Stock05849810657,321636,904SH SOLE 636,90400
BK OF AMERICA CORPCommon Stock060505104295,8507,177,329SH SOLE 7,177,32900
BANK MONTREAL QUECommon Stock063671101362,2253,075,505SH SOLE 3,075,50500
BANK NEW YORK MELLON CORPCommon Stock06405810045,618919,157SH SOLE 919,15700
BANK NOVA SCOTIA B CCommon Stock064149107178,9132,494,100SH SOLE 2,494,10000
BAOZUN INCDepository Receipt06684L1032,113246,300SH SOLE 246,30000
BARRICK GOLD CORPCommon Stock06790110850,0852,040,400SH SOLE 2,040,40000
BATH & BODY WORKS INCCommon Stock0708301043667,661SH SOLE 7,66100
BAUSCH HEALTH COS INCCommon Stock07173410726,1411,143,476SH SOLE 1,143,47600
BAXTER INTL INCCommon Stock07181310928,227364,033SH SOLE 364,03300
BEAM THERAPEUTICS INCCommon Stock07373V105861,499SH SOLE 1,49900
BECTON DICKINSON & COCommon Stock07588710994,124353,851SH SOLE 353,85100
BEIGENE LTDDepository Receipt07725L1027,20538,200SH SOLE 38,20000
BERKLEY W R CORPCommon Stock0844231024206,300SH SOLE 6,30000
BERKSHIRE HATHAWAY INC DELCommon Stock084670702410,0811,162,000SH SOLE 1,162,00000
BEST BUY INCCommon Stock08651610121230SH SOLE 23000
BIG LOTS INCCommon Stock0893021031,96256,700SH SOLE 56,70000
BIGCOMMERCE HLDGS INCCommon Stock08975P10821,713991,015SH SOLE 991,01500
BILIBILI INCDepository Receipt09004010616,008625,820SH SOLE 625,82000
BILL COM HLDGS INCCommon Stock0900431002721,198SH SOLE 1,19800
BIO RAD LABS INCCommon Stock09057220738,56268,467SH SOLE 68,46700
BIOMARIN PHARMACEUTICAL INCCommon Stock09061G1011,35917,624SH SOLE 17,62400
BIOGEN INCCommon Stock09062X10325,368120,455SH SOLE 120,45500
BIO-TECHNE CORPCommon Stock09073M104284655SH SOLE 65500
BIONANO GENOMICS INCCommon Stock09075F1078432,623SH SOLE 32,62300
BLACK KNIGHT INCCommon Stock09215C10531538SH SOLE 53800
BLACKBERRY LTDCommon Stock09228F103010SH SOLE 1000
BLACKLINE INCCommon Stock09239B1091321,800SH SOLE 1,80000
BLACKROCK INCCommon Stock09247X10174,19297,088SH SOLE 97,08800
BLACKSTONE MTG TR INCREIT09257W1001976,200SH SOLE 6,20000
BLACKSTONE INCCommon Stock09260D10776,913605,899SH SOLE 605,89900
BLINK CHARGING COCommon Stock09354A1006245SH SOLE 24500
BLOCK H & R INCCommon Stock093671105266SH SOLE 6600
BLOOM ENERGY CORPCommon Stock0937121071235,100SH SOLE 5,10000
BLOOMIN BRANDS INCCommon Stock0942351083,488159,000SH SOLE 159,00000
BOEING COCommon Stock09702310535,912187,528SH SOLE 187,52800
BOOKING HOLDINGS INCCommon Stock09857L108267,322113,829SH SOLE 113,82900
BOOT BARN HLDGS INCCommon Stock0994061001,69717,900SH SOLE 17,90000
BOOZ ALLEN HAMILTON HLDG CORCommon Stock0995021063,11035,400SH SOLE 35,40000
BORGWARNER INCCommon Stock099724106010SH SOLE 1000
BOSTON PROPERTIES INCREIT10112110178,672610,804SH SOLE 610,80400
BOSTON SCIENTIFIC CORPCommon Stock101137107377,3298,519,509SH SOLE 8,519,50900
BOTTOMLINE TECH DEL INCCommon Stock10138810610,202180,000SH SOLE 180,00000
BOX INCCommon Stock10316T1042598,910SH SOLE 8,91000
BOYD GAMING CORPCommon Stock10330410178211,900SH SOLE 11,90000
BRANDYWINE RLTY TRCommon Stock1053682032,593183,400SH SOLE 183,40000
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BRINKS COCommon Stock1096961042,40035,300SH SOLE 35,30000
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BLOCK INCCommon Stock8522341032,71420,013SH SOLE 20,01300
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TARGET CORPCommon Stock87612E10614,29667,365SH SOLE 67,36500
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YUM CHINA HLDGS INCCommon Stock98850P10916,032385,940SH SOLE 385,94000
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