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

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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
ABBVIE INCCOM00287Y1092,72835,810 SH SOLE035,81000
ADT INCCOM00090Q1033,758870,018 SH SOLE0870,01800
ADTALEM GLOBAL EDUCATION INCCOM00737L1034,921183,688 SH SOLE0183,68800
ADVANCED ENERGY INDUSTRIES INCCOM0079731002,42650,036 SH SOLE050,03600
AIR TRANSPORT SERVICES GROUP INCCOM00922R1056,093333,331 SH SOLE0333,33100
ALEXANDRIA REAL ESTATECOM0152711092,28916,704 SH SOLE016,70400
ALPHABET INCCAP STK CL A02079K3051,005865 PRN SOLE086500
AMERICAN EAGLE OUTFITTERS INCCOM02553E1061,926242,373 SH SOLE0242,37300
AMERICAN TOWER CORPCOM03027X1002,81412,927 SH SOLE012,92700
AMERICOLD REALTY TRUSTCOM03064D1083048,932 SH SOLE08,93200
AMERIS BANCORPCOM03076K1085,024211,450 SH SOLE0211,45000
APPLE COMPUTER INCCOM0378331001,2614,959 SH SOLE04,95900
AT&T INCCOM00206R10266022,673 SH SOLE022,67300
ATKORE INTERNATIONAL GROUP INCCOM0476491085,557263,786 SH SOLE0263,78600
ATLANTIC CAPITAL BANCSHARES INCCOM04826920313111,047 SH SOLE011,04700
ATLANTIC UNION BANKSHARESCOM04911A1076,304287,878 SH SOLE0287,87800
AVALONBAY COMMUNITIESCOM0534841018275,623 SH SOLE05,62300
AVANOS MEDICAL INCCOM05350V1062,34887,191 SH SOLE087,19100
BANNER CORPCOM06652V2082,12464,289 SH SOLE064,28900
BELDEN INCCOM0774541062,24262,165 SH SOLE062,16500
BERKSHIRE HATHAWAYCL B NEW0846707022321,270 PRN SOLE01,27000
BLACK HILLS CORPCOM0921131093,97462,079 SH SOLE062,07900
BLACKSTONE MORTGAGE TRUST INCCOM CL A09257W1001,81897,656 PRN SOLE097,65600
BLOOMIN BRANDS INCCOM0942351081,608225,274 SH SOLE0225,27400
BMC STOCK HOLDINGS INCCOM05591B1093,271184,533 SH SOLE0184,53300
BOSTON PROPERTIES INCCOM1011211011,02711,143 SH SOLE011,14300
CACI INTERNATIONAL INCCL A1271903046,03428,578 PRN SOLE028,57800
CALLON PETROLEUM COCOM13123X102611,652 SH SOLE011,65200
CAMDEN PROPERTY TRUSTCOM1331311025777,284 SH SOLE07,28400
CBIZ INCCOM1248051022,330111,402 SH SOLE0111,40200
CENTERSTATE BANKS INCCOM15201P1096,736390,954 SH SOLE0390,95400
CHEMBIO DIAGNOSTICSCOM16357220910220,000 SH SOLE020,00000
CHEVRON CORP NEWCOM1667641004926,792 SH SOLE06,79200
CIRRUS LOGIC INCCOM1727551004,88674,456 SH SOLE074,45600
CITIGROUP INCCOM1729674242305,477 SH SOLE05,47700
CLEARWAY ENERGY INCCL C18539C2044,134219,928 PRN SOLE0219,92800
CLOROX CO DELCOM1890541092161,250 SH SOLE01,25000
COHERUS BIOSCIENCES INCCOM19249H1032,106129,859 SH SOLE0129,85900
COLGATE PALMOLIVE COCOM1941621036589,930 SH SOLE09,93000
COLUMBUS MCKINNON CORPORATIONCOM1993331053,935157,439 SH SOLE0157,43900
CORESITE REALTY CORPCOM21870Q1057466,444 SH SOLE06,44400
CROWN CASTLE INTERNATIONAL CORPCOM22822V1015533,832 SH SOLE03,83200
CUBIC CORPORATIONCOM2296691062,13251,622 SH SOLE051,62200
DANA INCORPORATEDCOM2358252052,618335,284 SH SOLE0335,28400
DESIGNER BRANDS INCCOM2505651081,174235,898 SH SOLE0235,89800
DOVER CORPCOM2600031086738,025 SH SOLE08,02500
DUCOMMUN INCORPORATEDCOM2641471091,89376,201 SH SOLE076,20100
DUKE ENERGY CORPCOM26441C2044926,084 SH SOLE06,08400
EATON CORPSHSG291831035507,090 PRN SOLE07,09000
EMCOR GROUP INCCOM29084Q1004,43472,320 SH SOLE072,32000
EMERGENT BIO SOLUTIONS INCCOM29089Q1055,36792,759 SH SOLE092,75900
EMMIS COMMUNICTNS CORPCOM NEW CL A29152540014874,232 PRN SOLE074,23200
ENTERPRISE FINANCIAL SERVICESCOM2937121055,309190,224 SH SOLE0190,22400
EQUINIX INCCOM29444U7002,2173,551 SH SOLE03,55100
EQUITY LIFESTYLE PPTYSCOM29472R1081,91833,372 SH SOLE033,37200
ESSENTIAL PROPERTIES REALTY TRUST INCCOM29670E1074,945378,703 SH SOLE0378,70300
ESSEX PROPERTY TRUSTCOM2971781051,1855,381 SH SOLE05,38100
EXTRA SPACE STORAGECOM30225T1027617,947 SH SOLE07,94700
EXXON MOBIL CORPCOM30231G1022125,589 SH SOLE05,58900
FB FINANCIAL CORPORATIONCOM30257X1043,660185,622 SH SOLE0185,62200
FERRO CORPCOM3154051001,804192,796 SH SOLE0192,79600
FIRST INTERSTATE BANCSYSTEMCOM32055Y2014,611159,891 SH SOLE0159,89100
FIRST MERCHANTS CORPORATIONCOM3208171095,019189,480 SH SOLE0189,48000
FIRST REPUBLIC BANKCOM33616C1007388,974 SH SOLE08,97400
FIRST TR EXCH TRADED FD IIIINSTL PFD SECS33739P8555,264311,297 PRN SOLE0311,29700
FNB CORPCOM3025201016,062822,548 SH SOLE0822,54800
GALLAGHER ARTHUR J &COCOM3635761092813,450 SH SOLE03,45000
GIBRALTAR INDS INCCOM3746891072,58760,287 SH SOLE060,28700
GLOBAL MEDICAL REIT INCCOM NEW37954A2044,850479,254 PRN SOLE0479,25400
HB FULLER COMPANYCOM3596941061,67960,145 SH SOLE060,14500
HD SUPPLY HOLDINGS INCCOM40416M1052619,207 SH SOLE09,20700
HERITAGE INSURANCE HOLDINGS INCCOM42727J1026,852639,830 SH SOLE0639,83000
HILTON GRAND VACOM43283X1052,114134,085 SH SOLE0134,08500
HOSTESS BRANDS INCCL A44109J1064,863456,271 PRN SOLE0456,27100
HUB GROUP INCCL A4433201063,05067,080 PRN SOLE067,08000
HUDSON PACIFIC PROPERTIES INCCOM44409710978530,956 SH SOLE030,95600
ICU MEDICAL INCCOM44930G1073,35116,612 SH SOLE016,61200
IDACORP INCCOM4511071066,11969,702 SH SOLE069,70200
INDEPENDENCE REALTY TRUST INCCOM45378A1067,663857,215 SH SOLE0857,21500
INDEPENDENT BANK GROUP INCCOM45384B1063,290138,977 SH SOLE0138,97700
INTEL CORPCOM4581401004137,643 SH SOLE07,64300
INTERCEPT PHARMACEUTICALS INCCOM45845P1081,09517,402 SH SOLE017,40200
INTERNATIONAL SEAWAYS INCCOMY410531023,026126,688 SH SOLE0126,68800
INVESCO EXCHANGE TRADED FR TS&P500 EQL TEC46137V2823061,922 PRN SOLE01,92200
INVESCO EXHANGE-TRADED FD TPDF ETF46138E51126920,480 PRN SOLE020,48000
INVESCO EXHANGE-TRADED FD TS&P SPIN OFF46137V15979527,952 PRN SOLE027,95200
INVESCO QQQ TRUNIT SER 146090E1035803,050 PRN SOLE03,05000
INVITATION HOMES INCCOM46187W10792943,498 SH SOLE043,49800
ISHARES TRMSCI EAFE ETF46428746574713,975 PRN SOLE013,97500
ISHARES TRRUS MID CAP ETF46428749959213,728 PRN SOLE013,72800
ISHARES TRPDFAND INCM SEC46428868760619,053 PRN SOLE019,05300
ISHARES TRU.S. REAL ES ETF46428773974310,686 PRN SOLE010,68600
ISHARES TRRUS 2000 GRW ETF4642876483542,240 PRN SOLE02,24000
JERNIGAN CAPITAL INCCOM4764051052,774253,131 SH SOLE0253,13100
JOHNSON & JOHNSONCOM4781601041,63012,437 SH SOLE012,43700
JPMORGAN CHASE & COCOM46625H1007748,600 SH SOLE08,60000
KADANT INCCOM48282T1042,47233,117 SH SOLE033,11700
KAISER ALUMINUM CORPCOM4830077044,43564,026 SH SOLE064,02600
KEMPER CORPORATIONCOM4884011006,44286,629 SH SOLE086,62900
KFORCE INCCOM4937321013,460135,344 SH SOLE0135,34400
KILROY REALTY CORPCOM49427F10868710,792 SH SOLE010,79200
KNOLL INCCOM4989042002,031196,878 SH SOLE0196,87800
KOPPERS HOLDINGS INCCOM50060P1061,787144,501 SH SOLE0144,50100
LABORATORY CORP OF AMERICACOM50540R4092311,835 SH SOLE01,83500
LAMB WESTON HOLDINGSCOM5132721042875,039 SH SOLE05,03900
LANNET INCCOM5160121011,217175,237 SH SOLE0175,23700
MACK-CALI REALTY CORPORATIONCOM5544891042,454161,164 SH SOLE0161,16400
MAGELLAN HEALTH INCCOM5590792072,09143,471 SH SOLE043,47100
MATERION CORPCOM5766901015,432155,173 SH SOLE0155,17300
MAXIMUS INCCOM5779331042,76747,553 SH SOLE047,55300
META FINANCIAL GROUP INCCOM59100U1086,871316,362 SH SOLE0316,36200
METHODE ELECTRONICS INCCOM5915202002,31687,631 SH SOLE087,63100
MICROSOFT CORPCOM5949181047915,020 SH SOLE05,02000
MID-AMERICA APARTMENT COMMUNITIESCOM59522J1036946,741 SH SOLE06,74100
MKS INSTRUMENT INCCOM55306N1044,43154,409 SH SOLE054,40900
MODINE MANUFACTURING COCOM6078281001,290396,932 SH SOLE0396,93200
MURPHY OIL CORPORATIONCOM6267171021,351220,506 SH SOLE0220,50600
MYR GROUP INCCOM55405W1044,012153,220 SH SOLE0153,22000
NATIONAL STORAGE AFFILIATES TRUSTCOM6378701064,054136,966 SH SOLE0136,96600
NEW JERSEY RESOURCES CORPORATIONCOM6460251062,76681,447 SH SOLE081,44700
NEXSTAR BROADCASTINGCOM65336K1037,761134,446 SH SOLE0134,44600
NUANCE COMMUNICATIONS INCCOM67020Y1004,677278,729 SH SOLE0278,72900
NUVASIVE INCCOM6707041052,21543,730 SH SOLE043,73000
ONE MAIN HOLDINGSCOM68268W1037,259379,693 SH SOLE0379,69300
OSHKOSH CORPCOM6882392012,47438,468 SH SOLE038,46800
PACIFIC PREMIER BANCORPCOM69478X1054,661247,437 SH SOLE0247,43700
PARSLEY ENERGY INCCL A7018771022,003349,655 PRN SOLE0349,65500
PATTERSON COMPANIES INCCOM7033951032,414157,908 SH SOLE0157,90800
PDC ENERGYCOM69327R101786126,571 SH SOLE0126,57100
PENN NATIONAL GAMING INCCOM7075691092,705213,889 SH SOLE0213,88900
PEPSICO INCCOM7134481081,0348,616 SH SOLE08,61600
PHOTRONICS INCCOM7194051023,269318,689 SH SOLE0318,68900
PINNACLE FINANCIAL PARTNERS INCCOM72346Q1045,337142,178 SH SOLE0142,17800
PLEXUS CORPCOM7291321003,00755,116 SH SOLE055,11600
PORTLAND GENERALCOM7365088474,39791,732 SH SOLE091,73200
PREFERRED BANKCOM7403674045,081150,247 SH SOLE0150,24700
PRIMERICACOM74164M1084,72253,375 SH SOLE053,37500
PROCTER & GAMBLE COCOM7427181097727,026 SH SOLE07,02600
PROGRESS SOFTWARE CORPCOM7433121003,360105,025 SH SOLE0105,02500
PROLOGISCOM74340W1032,43330,276 SH SOLE030,27600
PS BUSINESS PARKS INCCOM69360J1075,17938,220 SH SOLE038,22000
PUBLIC STORAGE INCCOM74460D1096683,365 SH SOLE03,36500
QTS REALTY TRUST INCCOM74736A10311,038190,280 SH SOLE0190,28000
QUANTA SERVICES INCCOM74762E1026,071191,337 SH SOLE0191,33700
REGENCY CTRS CORPCOM75884910355814,529 SH SOLE014,52900
REXFORD INDUSTRIAL REALTYCOM76169C10011,557281,822 SH SOLE0281,82200
SABRA HEALTH CARE REITCOM78573L1063,671336,239 SH SOLE0336,23900
SCHWAB STRATEGIC TRINTL EQTY EQ80852480537414,507 PRN SOLE014,50700
SCHWAB STRATEGIC TR1000 INDEX ETF8085247222469,818 PRN SOLE09,81800
SCHWAB STRATEGIC TRUS MID-CAP ETF80852450845710,850 PRN SOLE010,85000
SCHWAB STRATEGIC TRUS BRD MKT ETF8085241021,23820,494 PRN SOLE020,49400
SCHWAB STRATEGIC TRUS LRG CAP ETF8085242016,292102,727 PRN SOLE0102,72700
SCHWAB STRATEGIC TRUS REIT ETF8085248471,58248,340 PRN SOLE048,34000
SCHWAB STRATEGIC TRUS SML CAP ETF8085246074969,632 PRN SOLE09,63200
SELECTIVE INS GROUPCOM8163001073,78376,132 SH SOLE076,13200
SIMON PROPERTY GROUPCOM82880610973713,435 SH SOLE013,43500
SKYWEST INCCOM8308791023,103118,493 SH SOLE0118,49300
SL GREEN REALTYCOM78440X1013017,000 SH SOLE07,00000
SOUTH JERSEY INDS INCCOM8385181083,932157,314 SH SOLE0157,31400
SPARTANNASH COMPANYCOM8472151003,328232,442 SH SOLE0232,44200
SPDR S&P 500 ETF TRTR UNIT78462F1031,2474,840 PRN SOLE04,84000
SPDR SER TRS&P REGL BKG78464A6982928,965 PRN SOLE08,96500
SPECTRUM BRANDS HOLDINGS INCCOM84790A1052,48468,313 SH SOLE068,31300
SPIRE INCCOM84857L1014,98066,877 SH SOLE066,87700
STERLING BANCORPCOM85917A1004,473428,105 SH SOLE0428,10500
STERLING CONSTRUCTION COMPANY INCCOM8592411013,955416,342 SH SOLE0416,34200
STIFEL FINANCIAL CORPCOM8606301024,196101,656 SH SOLE0101,65600
SUN COMMUNITIES INCCOM8666741041,61912,972 SH SOLE012,97200
SYNEOS HEALTH INCCL A87166B1023,18480,791 PRN SOLE080,79100
SYNNEX CORPCOM87162W1004,83566,150 SH SOLE066,15000
TCF FINANCIAL CORP NEW NPVCOM8723071031,85681,937 SH SOLE081,93700
TEGNA INCCOM87901J1052,212203,684 SH SOLE0203,68400
TERRENO REALTY CORPORATIONCOM88146M1012,96557,312 SH SOLE057,31200
TOPBUILD CORPCOM89055F1036,56591,649 SH SOLE091,64900
TRIUMPH BANCORP INCCOM89679E3005,121196,975 SH SOLE0196,97500
UMPQUA HOLDINGS CORPCOM9042141033,393311,337 SH SOLE0311,33700
UNILEVER N VN Y SHS NEW9047847092926,000 PRN SOLE06,00000
VERINT SYS INCCOM92343X1004,870113,260 SH SOLE0113,26000
VERIZON COMMUNICATIONSCOM92343V1045369,978 SH SOLE09,97800
WALT DISNEY COCOM2546871066426,651 SH SOLE06,65100
WELLTOWER INCCOM95040Q10461613,458 SH SOLE013,45800
WESBANCO INCCOM9508101012,740115,648 SH SOLE0115,64800
WILLIAMS SONOMA INCCOM9699041013,29077,376 SH SOLE077,37600
WINTRUST FINL CORPCOM97650W1082,46274,942 SH SOLE074,94200
WORLD FUEL SERVICES CORPORATIONCOM9814751062,03680,879 SH SOLE080,87900