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
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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
10X GENOMICS INC COM CL A USD0.00001COMMON88025U10978398SH SOLE 39800
1LIFE HEALTHCARE INC COMCOMMON68269G107662,000SH SOLE 2,00000
22ND CENTURY GROUP INC COMCOMMON90137F10302SH SOLE 200
360 DIGITECH INC -ADR ADSCOMMON88557W101248SH SOLE 4800
3M CO COM NPVCOMMON88579Y10131,891160,612SH SOLE 160,61200
8X8 INC COM USD.001COMMON2829141001565,612SH SOLE 5,61200
A10 NETWORKS INC COM USD0.00001COMMON002121101938,243SH SOLE 8,24300
AAON INC COM USD.001COMMON000360206692SH SOLE 9200
AARONS CO INC (THE) COMCOMMON00258W10855217,258SH SOLE 17,25800
ABB LTD SPONSORED ADRCOMMON00037520482824,357SH SOLE 24,35700
ABBOTT LABORATORIES COM NPVCOMMON0028241009,28580,107SH SOLE 80,10700
ABBVIE INC COM USD.01COMMON00287Y1093,05027,077SH SOLE 27,07700
ABIOMED INC COM USD.01COMMON003654100619SH SOLE 1900
ABM INDUSTRIES INC COM NPVCOMMON0009571001,03223,270SH SOLE 23,27000
ABRAXAS PETROLEUM CORP/NV COM USD.01COMMON00383030404SH SOLE 400
ABSOLUTE SOFTWARE CORP COM NPVCOMMON00386B109182SH SOLE 8200
ACACIA RESEARCH CORP COM NPVCOMMON0038813072280SH SOLE 28000
ACADIA HEALTHCARE CO INC COM USD.01COMMON00404A1092,04532,606SH SOLE 32,60600
ACADIA PHARMACEUTICALS INC COM USD.001COMMON0042251086261SH SOLE 26100
ACADIA REALTY TRUST SHS BEN INT USD.001COMMON004239109128SH SOLE 2800
ACCELERON PHARMA INC COM USD.001COMMON00434H10824190SH SOLE 19000
ACCENTURE PLC CLA USD.0000225COMMONG1151C1015,62519,082SH SOLE 19,08200
ACCO BRANDS CORP COMCOMMON00081T10891,047SH SOLE 1,04700
ACCURAY INC COM USD.001COMMON00439710510523,182SH SOLE 23,18200
ACER THERAPEUTICS INC COMCOMMON00444P1081225SH SOLE 22500
ACI WORLDWIDE INC CL A COM USD.005COMMON004498101114SH SOLE 1400
ACLARIS THERAPEUTICS INC COM USD.00001COMMON00461U1056323SH SOLE 32300
ACME UNITED CORP COM USD2.5COMMON00481610432728SH SOLE 72800
ACORDA THERAPEUTICS INC COM USD.001COMMON00484M60101SH SOLE 100
ACRES COMMERCIAL REALTY CORP COM USD.001COMMON00489Q10221113,135SH SOLE 13,13500
ACTIVISION BLIZZARD INC COMCOMMON00507V1092,65827,847SH SOLE 27,84700
ACUITY BRANDS INC COM USD.01COMMON00508Y1024492,399SH SOLE 2,39900
ACUITYADS HOLDINGS INC COM NPVCOMMON00510L1062188SH SOLE 18800
ACUSHNET HOLDINGS CORP COM USD.001COMMON00509810883916,991SH SOLE 16,99100
ADAMS RESOURCES & ENERGY INC COM USD.1COMMON006351308153SH SOLE 5300
ADDUS HOMECARE CORP COM USD.001COMMON00673910612138SH SOLE 13800
ADECOAGRO SA COM USD1.5COMMONL0084910621121,029SH SOLE 21,02900
ADICET BIO INC COMCOMMON007002108150SH SOLE 5000
ADIENT PLC ORD GBP.01COMMONG0084W101121SH SOLE 2100
ADOBE INC COM NPVCOMMON00724F1018,63014,737SH SOLE 14,73700
ADTALEM GLOBAL EDUCATION INC COM USD.01COMMON00737L103722,031SH SOLE 2,03100
ADVANCE AUTO PARTS INC COM USD.0001COMMON00751Y1067,06734,453SH OTR 25,9578,4960
ADVANCED DRAINAGE SYSTEMS COM USD0.01COMMON00790R1045875,036SH SOLE 5,03600
ADVANCED EMISSIONS SOLUTIONS COM NPVCOMMON00770C1019512,872SH SOLE 12,87200
ADVANCED ENERGY INDS INC COM USD.001COMMON00797310059527SH SOLE 52700
ADVANCED MICRO DEVICES COM USD.01COMMON0079031071,21112,888SH SOLE 12,88800
ADVANSIX INC COM NPVCOMMON00773T10125853SH SOLE 85300
AECOM CLB USD.01COMMON00766T1005799,143SH SOLE 9,14300
AEGLEA BIOTHERAPEUTICS INC COM USD.0001COMMON00773J103121,654SH SOLE 1,65400
AEGON NV NY SHR ADRCOMMON007924103862208,820SH SOLE 208,82000
AERCAP HOLDINGS NV SHSCOMMONN00985106128SH SOLE 2800
AEROJET ROCKETDYNE HOLDINGS COM USD.1COMMON007800105761,576SH SOLE 1,57600
AERPIO PHARMACEUTICALS INC COMCOMMON00810B1050228SH SOLE 22800
AES CORP (THE) COM USD.01COMMON00130H105542,084SH SOLE 2,08400
AFFILIATED MANAGERS GRP INC COM USD.01COMMON00825210818,678121,161SH SOLE 121,16100
AFFIMED NV COM EUR.01COMMONN01045108404,713SH SOLE 4,71300
AFLAC INC COM USD.1COMMON0010551022,77951,799SH SOLE 51,79900
AGCO CORP COM USD.01COMMON0010841029847,546SH SOLE 7,54600
AGILENT TECHNOLOGIES INC COM USD.01COMMON00846U1016494,392SH SOLE 4,39200
AGILYSYS INC COM NPVCOMMON00847J1054808,452SH SOLE 8,45200
AGNC INVESTMENT CORP COM USD.01COMMON00123Q1041066,290SH SOLE 6,29000
AGNICO EAGLE MINES LTD COM NPVCOMMON00847410869811,537SH SOLE 11,53700
AGNICO EAGLE MINES LTD COM NPVCOMMON008474108342SH SOLE 4200
AGREE REALTY CORP COM USD.0001COMMON008492100114SH SOLE 1400
AIR LEASE CORP CL A COM USD.01COMMON00912X302245SH SOLE 4500
AIR PRODUCTS & CHEMICALS INC COM USD1COMMON0091581061,7766,173SH SOLE 6,17300
AIR TRANSPORT SERVICES GROUP COMCOMMON00922R1054184SH SOLE 18400
AIRBNB INC COM CL ACOMMON00906610125165SH SOLE 16500
AIRGAIN INC COM USD.0001COMMON00938A10427513,329SH SOLE 13,32900
AKAMAI TECHNOLOGIES INC COM USD.01COMMON00971T10159509SH SOLE 50900
AKEBIA THERAPEUTICS INC COM USD0.00001COMMON00972D1055614,693SH SOLE 14,69300
ALARM.COM HOLDINGS INC COM USD.01COMMON0116421052532,984SH SOLE 2,98400
ALASKA AIR GROUP INC COM USD1COMMON0116591094206,964SH SOLE 6,96400
ALBANY INTL CORP -CL A CL A COM USD.001COMMON0123481081471,644SH SOLE 1,64400
ALBEMARLE CORP COM USD1COMMON01265310179467SH SOLE 46700
ALCOA CORP COM USD.01COMMON0138721062195,958SH SOLE 5,95800
ALCON INC COMCOMMONH013011281472,087SH SOLE 2,08700
ALEXANDER & BALDWIN INC COM NPVCOMMON014491104321,764SH SOLE 1,76400
ALEXANDER'S INC COM USD1COMMON01475210901SH SOLE 100
ALEXANDRIA R E EQUITIES INC COM USD.01COMMON015271109113621SH SOLE 62100
ALEXION PHARMACEUTICALS INC COM USD.0001COMMON015351109163886SH SOLE 88600
ALGONQUIN POWER & UTIL CORP COMCOMMON0158571052,520169,038SH SOLE 169,03800
ALIBABA GROUP HLDG ADRCOMMON01609W1024,28618,899SH SOLE 18,89900
ALICO INC COM USD1COMMON01623010411300SH SOLE 30000
ALIGN TECHNOLOGY INC COM USD.001COMMON016255101502821SH SOLE 82100
ALKERMES PLC ORD SHSCOMMONG01767105127SH SOLE 2700
ALLAKOS INC COMCOMMON01671P1001191,394SH SOLE 1,39400
ALLEGHANY CORP COM USD1COMMON017175100169254SH SOLE 25400
ALLEGHENY TECHNOLOGIES INC COM USD1COMMON01741R1024190SH SOLE 19000
ALLEGIANT TRAVEL CO COM USD.001COMMON01748X10214SH SOLE 400
ALLEGION PLC ORD SHSCOMMONG0176J10994672SH SOLE 67200
ALLIANCE DATA SYSTEMS CORP COM USD.01COMMON0185811081,15711,104SH SOLE 11,10400
ALLIANT ENERGY CORP COM NPVCOMMON018802108581,036SH SOLE 1,03600
ALLISON TRANSMISSION HLDGS COM USD.01COMMON01973R101691,746SH SOLE 1,74600
ALLSCRIPTS HEALTHCARE SOLTNS COMCOMMON01988P1081,31571,037SH SOLE 71,03700
ALLSTATE CORP COM USD.01COMMON02000210149,077376,244SH OTR 280,46395,7810
ALLY FINANCIAL INC COM USD.01COMMON02005N1003,06761,546SH SOLE 61,54600
ALNYLAM PHARMACEUTICALS INC COM USD.0001COMMON02043Q10722128SH SOLE 12800
ALPHA AND OMEGA SEMICONDUCTO COM USD.002COMMONG6331P104136SH SOLE 3600
ALPHABET INC CL A COM USD.001COMMON02079K30515,5506,369SH SOLE 6,36900
ALPHABET INC CL C COM USD.001COMMON02079K10712,8735,136SH SOLE 5,13600
ALPHATEC HOLDINGS INC COM USD.00001COMMON02081G2011479,569SH SOLE 9,56900
ALPINE INCOME PROPERTY TRUST COMCOMMON02083X10334818,286SH SOLE 18,28600
ALTABANCORP COM USD0.01COMMON02134710907SH SOLE 700
ALTAIR ENGINEERING INC CL A COM USD.0001COMMON0213691031812,624SH SOLE 2,62400
ALTERYX INC CL A COM USD0.0001COMMON02156B103218SH SOLE 1800
ALTICE USA INC COM CL A 0.01USDCOMMON02156K10311,441335,111SH OTR 225,630109,4810
ALTO INGREDIENTS INC COMCOMMON021513106187SH SOLE 8700
ALTRIA GROUP INC COM USD1COMMON02209S10377,7801,631,442SH OTR 1,216,108415,3340
ALX ONCOLOGY HOLDI INC COM USD0.001COMMON00166B105741,362SH SOLE 1,36200
AMALGAMATED FINANCIAL CORP COMCOMMON0226711012113SH SOLE 11300
A-MARK PRECIOUS METALS INC COM USD.01COMMON00181T10769214,886SH SOLE 14,88600
AMAZON.COM INC COM USD.01COMMON02313510622,8296,636SH SOLE 6,63600
AMBARELLA INC COM USD.00045COMMONG037AX10162582SH SOLE 58200
AMBEV SA SPON ADR COMCOMMON02319V103075SH SOLE 7500
AMC ENTERTAINMENT HOLDINGS CL A COM USD.01COMMON00165C10448844SH SOLE 84400
AMC NETWORKS INC CL A COM USD0.1COMMON00164V1034136,190SH SOLE 6,19000
AMCOR PLC ORDCOMMONG0250X10743,9313,833,485SH OTR 2,643,8641,189,6210
AMDOCS ORD GBP.01COMMONG026021031421,836SH SOLE 1,83600
AMEDISYS INC COM USD.001COMMON023436108147602SH SOLE 60200
AMERCO COM USD.25COMMON02358610012SH SOLE 200
AMEREN CORP COM USD5COMMON02360810218219SH SOLE 21900
AMERICA MOVIL SA DE CV SPON ADR L SHSCOMMON02364W1051,27585,029SH SOLE 85,02900
AMERICAN AIRLINES GROUP INC COM USD.01COMMON02376R102291,351SH SOLE 1,35100
AMERICAN CAMPUS COMMUNITIES COM USD.01COMMON024835100131SH SOLE 3100
AMERICAN ELECTRIC POWER CO COM USD6.5COMMON0255371013,10636,734SH SOLE 36,73400
AMERICAN EXPRESS CO COM USD.6COMMON0258161092,58815,666SH SOLE 15,66600
AMERICAN FINANCIAL GROUP INC COM USD1COMMON0259321042441,959SH SOLE 1,95900
AMERICAN HOMES 4 RENT CL A COM USD.01COMMON02665T306461,175SH SOLE 1,17500
AMERICAN INTERNATIONAL GROUP COM USD.01COMMON0268747842104,417SH SOLE 4,41700
AMERICAN PUBLIC EDUCATION COM USD.01COMMON02913V1031123,941SH SOLE 3,94100
AMERICAN SOFTWARE -CL A CL A COM USD.1COMMON02968310968831,362SH SOLE 31,36200
AMERICAN TOWER CORP COM USD0.01COMMON03027X1001,6105,959SH SOLE 5,95900
AMERICAN WATER WORKS CO INC COM USD.01COMMON03042010372469SH SOLE 46900
AMERICAN WOODMARK CORP COM USD.1COMMON03050610974903SH SOLE 90300
AMERICOLD REALTY TRUST COMCOMMON03064D108392SH SOLE 9200
AMERIPRISE FINANCIAL INC COMCOMMON03076C10675,441303,127SH OTR 217,19185,9360
AMERISOURCEBERGEN CORP COM USD.01COMMON03073E1051,44512,621SH SOLE 12,62100
AMERN EAGLE OUTFITTERS INC COM NPVCOMMON02553E106375SH SOLE 7500
AMETEK INC COM USD1COMMON0311001001841,375SH SOLE 1,37500
AMGEN INC COM NPVCOMMON03116210024,491100,475SH OTR 76,43724,0380
AMICUS THERAPEUTICS INC COM USD.01COMMON03152W10915015,605SH SOLE 15,60500
AMKOR TECHNOLOGY INC COM USD.001COMMON0316521003,356141,789SH SOLE 141,78900
AMN HEALTHCARE SERVICES INC COM USD.01COMMON0017441012892,983SH SOLE 2,98300
AMNEAL PHARMACEUTICALS INC CL A COMCOMMON03168L105061SH SOLE 6100
AMPCO-PITTSBURGH CORP COM USD1COMMON0320371039916,229SH SOLE 16,22900
AMPHENOL CORP CL A COM USD.001COMMON0320951013354,898SH SOLE 4,89800
AMPIO PHARMACEUTICALS INC COM USD.0001COMMON03209T1090267SH SOLE 26700
AMPLIFY ENERGY CORP COMCOMMON03212B1031169SH SOLE 16900
AMREP CORP COM USD.1COMMON032159105564,777SH SOLE 4,77700
AMTECH SYSTEMS INC COM USD.01COMMON032332504464,723SH SOLE 4,72300
ANALOG DEVICES COM USD.16COMMON0326541059205,344SH SOLE 5,34400
ANAPLAN INC COMCOMMON03272L108233SH SOLE 3300
ANAVEX LIFE SCIENCES CORP COM USD.001COMMON0327973001787,800SH SOLE 7,80000
ANGI INC COMCOMMON00183L102141,061SH SOLE 1,06100
ANGIODYNAMICS INC COM USD.01COMMON03475V10123842SH SOLE 84200
ANGLOGOLD ASHANTI LTD SPON ADRCOMMON0351282061015,445SH SOLE 5,44500
ANHEUSER-BUSCH INBEV SPON ADRCOMMON03524A1084045,610SH SOLE 5,61000
ANIKA THERAPEUTICS INC COM USD.01COMMON035255108010SH SOLE 1000
ANNALY CAPITAL MANAGEMENT COM USD.01COMMON03571040928,3883,196,902SH OTR 2,226,463970,4390
ANNEXON INC COMCOMMON03589W102512,267SH SOLE 2,26700
ANNOVIS BIO INC COMCOMMON03615A108332SH SOLE 3200
ANSYS INC COM USD.01COMMON03662Q105163469SH SOLE 46900
ANTARES PHARMA INC COM USD.01COMMON036642106439,792SH SOLE 9,79200
ANTERIX INC COM USD.0001COMMON03676C1008131SH SOLE 13100
ANTERO MIDSTREAM CORP COMCOMMON03676B10218617,881SH SOLE 17,88100
ANTERO RESOURCES CORP COM USD1.COMMON03674X1065327SH SOLE 32700
ANTHEM INC COM USD.01COMMON0367521034,77412,506SH SOLE 12,50600
AON PLC CL A ORDCOMMONG0403H1081,3845,796SH SOLE 5,79600
APA CORP COM USD1.25COMMON03743Q10811,826546,933SH SOLE 546,93300
APARTMENT INCM REIT CRP -SPN COMCOMMON03750L109367SH SOLE 6700
APARTMENT INVST & MGMT CO CL A COM USD.01COMMON03748R747177SH SOLE 7700
APELLIS PHARMACEUTICALS COM USD.0001COMMON03753U1061562,469SH SOLE 2,46900
APOGEE ENTERPRISES INC COM USD.33COMMON0375981091,05525,892SH SOLE 25,89200
APOLLO COMMERCIAL RE FIN INC COM USD.01COMMON03762U105164SH SOLE 6400
APOLLO MEDICAL HOLDING INC COM USD.001COMMON03763A2072624,170SH SOLE 4,17000
APPFOLIO INC CL A COM USD.0001COMMON03783C1001631,152SH SOLE 1,15200
APPIAN CORP CL A COMCOMMON03782L1013122,264SH SOLE 2,26400
APPLE HOSPITALITY REIT INC COM NPVCOMMON03784Y2001399,087SH SOLE 9,08700
APPLE INC COM NPVCOMMON03783310055,712406,804SH SOLE 406,80400
APPLIED INDUSTRIAL TECH INC COM NPVCOMMON03820C1051051,155SH SOLE 1,15500
APPLIED MATERIALS INC COM NPVCOMMON0382221053,03021,278SH SOLE 21,27800
APTARGROUP INC COM USD.01COMMON03833610344310SH SOLE 31000
APTIV PLC ORD USD.01COMMONG6095L1091,76611,225SH SOLE 11,22500
AQUA METALS INC COM USD.001COMMON03837J1011222SH SOLE 22200
AQUABOUNTY TECHNOLOGIES INC COM USA0.001COMMON03842K2003483SH SOLE 48300
ARAMARK COM USD.01COMMON03852U1061042,782SH SOLE 2,78200
ARBOR REALTY TRUST INC COM USD.01COMMON038923108132SH SOLE 3200
ARC DOCUMENT SOLUTIONS INC COM USD.001COMMON00191G103375174,496SH SOLE 174,49600
ARCBEST CORP COM USD.01COMMON03937C1055579,571SH SOLE 9,57100
ARCELORMITTAL CL A ADRCOMMON03938L20310327SH SOLE 32700
ARCH CAPITAL GROUP LTD COM USD.01COMMONG0450A10514,812380,521SH SOLE 380,52100
ARCHER-DANIELS-MIDLAND CO COM NPVCOMMON0394831023545,840SH SOLE 5,84000
ARCONIC CORP COMCOMMON03966V1074101SH SOLE 10100
ARENA PHARMACEUTICALS INC COM USD.0001COMMON0400476072223,259SH SOLE 3,25900
ARES CAPITAL CORP COMCOMMON04010L103251,294SH SOLE 1,29400
ARES MANAGEMENT CORP COMCOMMON03990B101113SH SOLE 1300
ARGAN INC COM USD.06667COMMON04010E109240SH SOLE 4000
ARGO GROUP INTL HOLDINGS LTD COM USD.1COMMONG0464B10715286SH SOLE 28600
ARISTA NETWORKS INC COM USD0.0001COMMON0404131061234SH SOLE 3400
ARMADA HOFFLER PROPERTIES COM USD.01COMMON04208T108195SH SOLE 9500
ARMSTRONG WORLD INDUSTRIES COMCOMMON04247X10220183SH SOLE 18300
ARROW ELECTRONICS INC COM USD1COMMON0427351001,16810,261SH SOLE 10,26100
ARROW FINANCIAL CORP COM NPVCOMMON04274410209SH SOLE 900
ARROWHEAD PHARMACEUTICALS COM USD.001COMMON04280A1005446,572SH SOLE 6,57200
ARTHUR J GALLAGHER & CO COM USD1COMMON3635761094933,516SH SOLE 3,51600
ARTISAN PARTNERS ASSET MGMT CL A COM USD.01COMMON04316A1084528,897SH SOLE 8,89700
ARVINAS INC COMCOMMON04335A105881,139SH SOLE 1,13900
ASBURY AUTOMOTIVE GROUP INC COM USD.01COMMON04343610481470SH SOLE 47000
ASE TECHNOLOGY HLDNG CO SPONSORED ADRCOMMON00215W100475,844SH SOLE 5,84400
ASENSUS SURGICAL INC COM USD.001COMMON04367G10301SH SOLE 100
ASGN INC COM USD.01COMMON00191U1021821,876SH SOLE 1,87600
ASHLAND GLOBAL HOLDINGS INC COM USD1COMMON044186104442SH SOLE 4200
ASML HOLDING NV ADR NY SHSCOMMONN070592105,6358,156SH SOLE 8,15600
ASPEN TECHNOLOGY INC COM USD.1COMMON04532710330221SH SOLE 22100
ASSOCIATED BANC-CORP COM USD.1COMMON04548710542320,657SH SOLE 20,65700
ASSURANT INC COM USD.01COMMON04621X1081961,256SH SOLE 1,25600
ASSURED GUARANTY LTD COMCOMMONG0585R10656011,794SH SOLE 11,79400
ASTEC INDUSTRIES INC COM USD.2COMMON046224101226SH SOLE 2600
ASTRAZENECA PLC SPON ADRCOMMON0463531081,89731,672SH SOLE 31,67200
ASTRONOVA INC COM USD.05COMMON04638F10821515,421SH SOLE 15,42100
AT&T INC COM USD1COMMON00206R10248,4741,684,410SH OTR 1,303,710380,7000
ATHENE HOLDING LTD COM CL A USD.001COMMONG0684D1071412,095SH SOLE 2,09500
ATKORE INC COM USD.01COMMON0476491081,43320,186SH SOLE 20,18600
ATLAS AIR WORLDWIDE HLDG INC COM NEWCOMMON04916420511167SH SOLE 16700
ATLAS CORP COMCOMMONY0436Q109553,837SH SOLE 3,83700
ATLASSIAN CORP PLC CL A ORD USD.1COMMONG062421043151,227SH SOLE 1,22700
ATMOS ENERGY CORP COM NPVCOMMON049560105660SH SOLE 6000
ATN INTERNATIONAL INC COM USD.01COMMON00215F10727600SH SOLE 60000
ATOMERA INC COM USD0.001COMMON04965B100138SH SOLE 3800
ATRICURE INC COM USD.001COMMON04963C2092503,148SH SOLE 3,14800
ATRION CORP COM USD1COMMON04990410547SH SOLE 700
AUDIOCODES LTD ORD NIS.01COMMONM153421042978,990SH SOLE 8,99000
AUTODESK INC COM NPVCOMMON0527691062,6489,073SH SOLE 9,07300
AUTOMATIC DATA PROCESSING COM NPVCOMMON0530151032,72513,717SH SOLE 13,71700
AUTONATION INC COM USD.01COMMON05329W1021,38314,584SH SOLE 14,58400
AUTOZONE INC COM NPVCOMMON05333210215,49810,386SH OTR 7,2403,1460
AVALARA INC COMCOMMON05338G1061631,006SH SOLE 1,00600
AVALONBAY COMMUNITIES INC COM USD.01COMMON05348410132155SH SOLE 15500
AVANOS MEDICAL INC COM USD.01COMMON05350V1064113SH SOLE 11300
AVANTOR INC COMCOMMON05352A1001604,513SH SOLE 4,51300
AVAYA HLDGS CORP COMCOMMON05351X10159322,046SH SOLE 22,04600
AVERY DENNISON CORP COM USD1COMMON053611109141671SH SOLE 67100
AVIAT NETWORKS INC COM USD.01COMMON05366Y20164419,639SH SOLE 19,63900
AVID BIOSERVICES INC COM NPVCOMMON05368M10645117,588SH SOLE 17,58800
AVID TECHNOLOGY INC COM USD.01COMMON05367P1001744,457SH SOLE 4,45700
AVIENT CORP COM USD.1COMMON05368V106112SH SOLE 1200
AVINGER INC COM USD.001COMMON05373460411,007SH SOLE 1,00700
AVIS BUDGET GROUP INC COM USD.01COMMON0537741054265,472SH SOLE 5,47200
AVNET INC COM USD1COMMON0538071033127,787SH SOLE 7,78700
AXALTA COATING SYSTEMS LTD COM USD1COMMONG0750C108131SH SOLE 3100
AXIS CAPITAL HOLDINGS LTD COM USD.1COMMONG0692U109231SH SOLE 3100
AXON ENTERPRISE INC COM USD.00001COMMON05464C10195535SH SOLE 53500
AXOS FINANCIAL INC COM USD.01COMMON05465C10012257SH SOLE 25700
AXSOME THERAPEUTICS INC COM USD.0001COMMON05464T104901,336SH SOLE 1,33600
AZEK COMPANY INC (THE) COM CL ACOMMON05478C105122SH SOLE 2200
AZIYO BIOLOGICS INC COM CL ACOMMON05479K106282,871SH SOLE 2,87100
B2GOLD CORP COM NPVCOMMON11777Q2091,182281,610SH SOLE 281,61000
BADGER METER INC COM USD1COMMON0565251086736,863SH SOLE 6,86300
BAIDU INC ADRCOMMON0567521084572,242SH SOLE 2,24200
BAKER HUGHES CO COM ACOMMON05722G10020862SH SOLE 86200
BALCHEM CORP -CL B CL B COM USD.06COMMON0576652001187SH SOLE 8700
BALL CORP COM NPVCOMMON05849810677955SH SOLE 95500
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WNS (HOLDINGS) LTD -ADR ADR USD.15COMMON92932M1011,38117,294SH SOLE 17,29400
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WOODWARD INC COM USD.0625COMMON98074510302SH SOLE 200
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WORKDAY INC CL A COM USD.001COMMON98138H101228956SH SOLE 95600
WORKIVA INC CL A COM USD.001COMMON98139A1055334,792SH SOLE 4,79200
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WORLD FUEL SERVICES CORP COM USD.01COMMON9814751061,20938,120SH SOLE 38,12000
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WPP PLC ADRCOMMON92937A1021,74925,802SH SOLE 25,80200
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XP INC COM CL ACOMMONG982391097158SH SOLE 15800
XPEL INC COMCOMMON98379L100841,000SH SOLE 1,00000
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YUM CHINA HOLDINGS INC COM USD.01COMMON98850P10980512,156SH SOLE 12,15600
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ZIOPHARM ONCOLOGY INC COMCOMMON98973P10172,583SH SOLE 2,58300
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ZOOM VIDEO COMUNICATIONS INC COM CL ACOMMON98980L1014321,117SH SOLE 1,11700
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