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.

Washington, D.C. 20549


OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

3-D SYS CORP DELCommon Stock88554D20527739,563SH SOLE 39,56300
3M COCommon Stock88579Y10118,448118,263SH SOLE 118,26300
8X8 INC NEWCommon Stock28291410053633,506SH SOLE 33,50600
AAON INCCommon Stock00036020672813,417SH SOLE 13,41700
AAON INCCommon Stock0003602065419,968SH SOLE 9,96800
AAR CORPCommon Stock00036110522410,813SH SOLE 10,81300
AAR CORPCommon Stock000361105532,545SH SOLE 2,54500
AARONS INCCommon Stock0025353002,00644,175SH SOLE 44,17500
ABBOTT LABSCommon Stock00282410061,194669,300SH SOLE 669,30000
ABBOTT LABSCommon Stock00282410033,252363,683SH SOLE 363,68300
ABBOTT LABSCommon Stock00282410020,669226,061SH SOLE 226,06100
ABBVIE INCCommon Stock00287Y10959,684607,900SH SOLE 607,90000
ABBVIE INCCommon Stock00287Y10935,575362,346SH SOLE 362,34600
ABBVIE INCCommon Stock00287Y10914,711149,842SH SOLE 149,84200
ABERCROMBIE & FITCH COCommon Stock00289620722320,994SH SOLE 20,99400
ABERCROMBIE & FITCH COCommon Stock00289620716015,073SH SOLE 15,07300
ABIOMED INCCommon Stock0036541002,2339,243SH SOLE 9,24300
ABM INDS INCCommon Stock00095710079921,998SH SOLE 21,99800
ABM INDS INCCommon Stock0009571003639,993SH SOLE 9,99300
AC IMMUNE SACommon StockH002631057611,357SH SOLE 11,35700
ACADIA RLTY TRREIT00423910936628,208SH SOLE 28,20800
ACADIA RLTY TRREIT00423910928822,205SH SOLE 22,20500
ACCENTURE PLC COM STOCKCommon StockG1151C10128,123130,976SH SOLE 130,97600
ACCENTURE PLC COM STOCKCommon StockG1151C10121,472100,000SH SOLE 100,00000
ACTIVISION BLIZZARD INCECommon Stock00507V10921,252280,000SH SOLE 280,00000
ACTIVISION BLIZZARD INCECommon Stock00507V10912,024158,415SH SOLE 158,41500
ACTIVISION BLIZZARD INCECommon Stock00507V1096,28682,825SH SOLE 82,82500
ACUITY BRANDS INCCommon Stock00508Y1028468,835SH SOLE 8,83500
ADDUS HOMECARE CORPCommon Stock0067391064094,423SH SOLE 4,42300
ADDUS HOMECARE CORPCommon Stock0067391063483,759SH SOLE 3,75900
ADMINISTAFF INCCommon Stock45778Q1071,43022,087SH SOLE 22,08700
ADOBE INCCommon Stock00724F10168,474157,300SH SOLE 157,30000
ADOBE INCCommon Stock00724F10143,12299,060SH SOLE 99,06000
ADOBE INCCommon Stock00724F10117,08139,238SH SOLE 39,23800
ADTALEM GLOBAL ED INCCommon Stock00737L10368822,087SH SOLE 22,08700
ADTRAN INCCommon Stock00738A10623521,533SH SOLE 21,53300
ADTRAN INCCommon Stock00738A10617716,197SH SOLE 16,19700
ADVANCE AUTO PARTS INCCommon Stock00751Y1062,02414,207SH SOLE 14,20700
ADVANCED ENERGY INDSCommon Stock00797310086912,814SH SOLE 12,81400
ADVANCED ENERGY INDSCommon Stock0079731004546,692SH SOLE 6,69200
ADVANCED MICRO DEVICES INCCommon Stock00790310725,379482,400SH SOLE 482,40000
ADVANCED MICRO DEVICES INCCommon Stock00790310712,669240,802SH SOLE 240,80200
ADVANCED MICRO DEVICES INCCommon Stock0079031075,05396,040SH SOLE 96,04000
ADVANSIX INCCommon Stock00773T1011149,717SH SOLE 9,71700
AECOM TECHNOLOGY CORP DELAWARECommon Stock00766T1005,214138,740SH SOLE 138,74000
AEGION CORPCommon Stock00770F10416410,307SH SOLE 10,30700
AERIE PHARMACEUTICALS INCCommon Stock00771V108624,214SH SOLE 4,21400
AEROJET ROCKETDYNE HLDGS INCCommon Stock00780010595724,150SH SOLE 24,15000
AEROJET ROCKETDYNE HLDGS INCCommon Stock00780010586121,716SH SOLE 21,71600
AEROVIRONMENT INCCommon Stock0080731085687,129SH SOLE 7,12900
AEROVIRONMENT INCCommon Stock0080731085126,433SH SOLE 6,43300
AES CORPCommon Stock00130H1051,981136,708SH SOLE 136,70800
AES CORPCommon Stock00130H1051,33191,862SH SOLE 91,86200
AFFILIATED MANAGERS GROUP INCCommon Stock0082521082,30230,874SH SOLE 30,87400
AFFIMED N VCommon StockN01045108785170,192SH SOLE 170,19200
AFLAC INCCommon Stock0010551025,315147,524SH SOLE 147,52400
AGCO CORPCommon Stock00108410298017,670SH SOLE 17,67000
AGILENT TECHNOLOGIES INCCommon Stock00846U1015,61063,486SH SOLE 63,48600
AGILYSYS INCCommon Stock00847J10527015,038SH SOLE 15,03800
AGILYSYS INCCommon Stock00847J1051226,780SH SOLE 6,78000
AGNICO EAGLE MINES LTDCommon Stock00847410811,498180,108SH SOLE 180,10800
AGNICO EAGLE MINES LTD.Common Stock0084741081,67926,216SH SOLE 26,21600
AGREE REALTY CORPREIT0084921001,17617,897SH SOLE 17,89700
AGREE REALTY CORPREIT00849210091213,883SH SOLE 13,88300
AIR PRODS & CHEMS INCCommon Stock00915810624,146100,000SH SOLE 100,00000
AIR PRODS & CHEMS INCCommon Stock00915810610,96445,408SH SOLE 45,40800
AKAMAI TECHNOLOGIES INCCommon Stock00971T1013,57333,364SH SOLE 33,36400
Alamo Group IncCommon Stock0113111073283,191SH SOLE 3,19100
Alamo Group IncCommon Stock0113111072932,859SH SOLE 2,85900
ALARM COM HLDGS INCCommon Stock01164210591414,108SH SOLE 14,10800
ALARM COM HLDGS INCCommon Stock0116421054036,219SH SOLE 6,21900
ALBANY INTL CORPCommon Stock01234810859210,087SH SOLE 10,08700
ALBANY INTL CORPCommon Stock01234810859110,070SH SOLE 10,07000
ALBEMARLE CORPCommon Stock0126531011,68821,859SH SOLE 21,85900
ALEXANDER & BALDWIN HLDGS INCCommon Stock57686G10541814,357SH SOLE 14,35700
ALEXANDER & BALDWIN HLDGS INCCommon Stock57686G105692,382SH SOLE 2,38200
ALEXANDER & BALDWIN INC NEWREIT01449110427722,744SH SOLE 22,74400
ALEXANDER & BALDWIN INC NEWREIT01449110421417,525SH SOLE 17,52500
ALEXANDRIA REAL ESTATEREIT0152711094,21025,946SH SOLE 25,94600
ALEXION PHARMACEUTICALS INCCommon Stock01535110964,078570,900SH SOLE 570,90000
ALEXION PHARMACEUTICALS INCCommon Stock0153511098,30774,011SH SOLE 74,01100
ALEXION PHARMACEUTICALS INCCommon Stock0153511095,09645,403SH SOLE 45,40300
Algonquin Power & Utilities CoCommon Stock0158571051,08684,262SH SOLE 84,26200
ALIGN TECHNOLOGY INCCommon Stock0162551014,04414,736SH SOLE 14,73600
ALLEGHANY CORP DELCommon Stock0171751004,4709,139SH SOLE 9,13900
ALLEGIANCE BANCSHARES INCCommon Stock01748H1071666,531SH SOLE 6,53100
ALLEGIANT TRAVEL COCommon Stock01748X1024794,384SH SOLE 4,38400
ALLEGIANT TRAVEL COCommon Stock01748X1023323,040SH SOLE 3,04000
ALLEGION PLCCommon StockG0176J1091,93818,961SH SOLE 18,96100
ALLETE INCCommon Stock0185223003,23859,297SH SOLE 59,29700
ALLIANCE DATA SYSTEMS CORPCommon Stock0185811081,80540,000SH SOLE 40,00000
ALLOT LTDCommon StockM0854Q10523822,748SH SOLE 22,74800
ALLSCRIPTS HEALTHCARE SOLUTNSCommon Stock01988P10838056,180SH SOLE 56,18000
ALPHABET INC CLASS ACommon Stock02079K30587,48161,691SH SOLE 61,69100
ALPHABET INC CLASS ACommon Stock02079K30549,63235,000SH SOLE 35,00000
ALPHABET INC CLASS ACommon Stock02079K30536,93026,043SH SOLE 26,04300
ALPHABET INC CLASS CCommon Stock02079K107175,288124,000SH SOLE 124,00000
ALPHABET INC CLASS CCommon Stock02079K10785,00360,132SH SOLE 60,13200
ALPHABET INC CLASS CCommon Stock02079K10737,47926,513SH SOLE 26,51300
ALTRIA GROUP INCCommon Stock02209S10314,997382,090SH SOLE 382,09000
ALTRIA GROUP INCCommon Stock02209S1035,786147,403SH SOLE 147,40300
AMAG PHARMACEUTICALS INCCommon Stock00163U1068711,361SH SOLE 11,36100
AMAG PHARMACEUTICALS INCCommon Stock00163U106587,593SH SOLE 7,59300
AMAZON COM INCCommon Stock023135106332,438120,500SH SOLE 120,50000
AMAZON COM INCCommon Stock023135106237,65086,142SH SOLE 86,14200
AMAZON COM INCCommon Stock02313510693,97434,063SH SOLE 34,06300
AMC NETWORKS INC-ACommon Stock00164V1031978,424SH SOLE 8,42400
AMCOR PLCCommon StockG0250X1073,305323,713SH SOLE 323,71300
AMEDISYS INCCommon Stock0234361085,61728,290SH SOLE 28,29000
AMEREN CORPCommon Stock0236081023,57250,762SH SOLE 50,76200
AMERICAN AIRLINES GROUP INCCommon Stock02376R1021,336102,186SH SOLE 102,18600
AMERICAN ASSETS TR INCREIT02401310443815,728SH SOLE 15,72800
AMERICAN ASSETS TR INCREIT02401310434412,369SH SOLE 12,36900
AMERICAN AXLE & MFG HLDGS INCCommon Stock02406110328637,569SH SOLE 37,56900
AMERICAN AXLE & MFG HLDGS INCCommon Stock02406110327135,645SH SOLE 35,64500
AMERICAN CAMPUS CMNTYS INCREIT0248351003,29094,094SH SOLE 94,09400
AMERICAN EAGLE OUTFITTERS NEWCommon Stock02553E1061,837168,503SH SOLE 168,50300
AMERICAN ELEC PWR INCCommon Stock0255371018,115101,894SH SOLE 101,89400
American Equity Investment LifCommon Stock02567620681232,844SH SOLE 32,84400
American Equity Investment LifCommon Stock02567620674230,032SH SOLE 30,03200
AMERICAN EXPRESS COCommon Stock02581610926,589279,291SH SOLE 279,29100
AMERICAN EXPRESS COCommon Stock02581610912,920135,716SH SOLE 135,71600
AMERICAN FINL GROUP INC OHIOCommon Stock0259321043,02747,698SH SOLE 47,69800
AMERICAN INTL GROUP INCCommon Stock0268747845,522177,086SH SOLE 177,08600
AMERICAN INTL GROUP INC WT EXPEquity WRT0268741564834,045SH SOLE 34,04500
AMERICAN PUBLIC EDUCATION INCCommon Stock02913V1031996,733SH SOLE 6,73300
AMERICAN PUBLIC EDUCATION INCCommon Stock02913V1031645,526SH SOLE 5,52600
AMERICAN STS WTR COCommon Stock02989910197012,341SH SOLE 12,34100
AMERICAN STS WTR COCommon Stock02989910185510,868SH SOLE 10,86800
AMERICAN TOWER REIT CLASS AREIT03027X10083,852324,329SH SOLE 324,32900
AMERICAN TOWER REIT CLASS AREIT03027X10023,56591,146SH SOLE 91,14600
AMERICAN TOWER REIT CLASS AREIT03027X10011,50444,497SH SOLE 44,49700
AMERICAN VANGUARD CORPCommon Stock03037110818713,592SH SOLE 13,59200
AMERICAN VANGUARD CORPCommon Stock0303711081198,654SH SOLE 8,65400
AMERICAN WATER WORKS CO INCCommon Stock03042010343,837340,720SH SOLE 340,72000
AMERICAN WATER WORKS CO INCCommon Stock0304201037,95761,848SH SOLE 61,84800
AMERICAN WATER WORKS CO INCCommon Stock0304201034,78937,219SH SOLE 37,21900
AMERICAN WOODMARK CORPCommon Stock0305061093925,183SH SOLE 5,18300
AMERICAN WOODMARK CORPCommon Stock0305061092313,058SH SOLE 3,05800
AMERICAS CAR MART INCCommon Stock03062T1051822,075SH SOLE 2,07500
AMERICAS CAR MART INCCommon Stock03062T1051411,607SH SOLE 1,60700
AMERIPRISE FINL INCCommon Stock03076C1065,58837,244SH SOLE 37,24400
AMERIPRISE FINL INCCommon Stock03076C1063,77425,154SH SOLE 25,15400
AMERIS BANCORPCommon Stock03076K10854323,026SH SOLE 23,02600
AMERIS BANCORPCommon Stock03076K10851421,779SH SOLE 21,77900
AMERISAFE INCCommon Stock03071H1004006,541SH SOLE 6,54100
AMERISOURCEBERGEN CORPCommon Stock03073E1053,51734,898SH SOLE 34,89800
AMERISOURCEBERGEN CORPCommon Stock03073E1053,07730,530SH SOLE 30,53000
AMETEK INC NEWCommon Stock03110010019,879222,440SH SOLE 222,44000
AMETEK INC NEWCommon Stock0311001004,21647,172SH SOLE 47,17200
AMGEN INCCommon Stock03116210028,527120,947SH SOLE 120,94700
AMGEN INCCommon Stock0311621009,59440,678SH SOLE 40,67800
AMN HEALTHCARE SERVICES INCCommon Stock00174410170315,532SH SOLE 15,53200
AMN HEALTHCARE SERVICES INCCommon Stock00174410153011,721SH SOLE 11,72100
AMPHASTAR PHARMACEUTICALS INCCommon Stock03209R10325811,493SH SOLE 11,49300
AMPHENOL CORP NEWCommon Stock0320951015,82960,837SH SOLE 60,83700
ANALOG DEVICES INCCommon Stock0326541059,29075,750SH SOLE 75,75000
ANDERSONS INCCommon Stock03416410315110,984SH SOLE 10,98400
ANDERSONS INCCommon Stock034164103896,467SH SOLE 6,46700
ANGIODYNAMICS INCCommon Stock03475V10112712,515SH SOLE 12,51500
ANI PHARMACEUTICALS INCCommon Stock00182C1031123,474SH SOLE 3,47400
ANI PHARMACEUTICALS INCCommon Stock00182C1031013,128SH SOLE 3,12800
ANIKA THERAPEUTICS INCCommon Stock0352551081744,621SH SOLE 4,62100
ANIKA THERAPEUTICS INCCommon Stock0352551081453,854SH SOLE 3,85400
ANSYS INCCommon Stock03662Q1055,15317,664SH SOLE 17,66400
ANTHEM INCCommon Stock03675210313,63251,836SH SOLE 51,83600
ANTHEM INCCommon Stock0367521034,40816,761SH SOLE 16,76100
AON PLCCommon StockG0403H10830,703159,414SH SOLE 159,41400
AON PLCCommon StockG0403H1089,15147,513SH SOLE 47,51300
AON PLCCommon StockG0403H1084,20421,826SH SOLE 21,82600
APACHE CORPCommon Stock0374111051,04877,600SH SOLE 77,60000
APARTMENT INVT & MGT CO-AREIT03748R7547,546200,484SH SOLE 200,48400
APARTMENT INVT & MGT CO-AREIT03748R7541,15230,607SH SOLE 30,60700
APOGEE ENTERPRISES INCCommon Stock0375981092068,949SH SOLE 8,94900
APOGEE ENTERPRISES INCCommon Stock037598109823,544SH SOLE 3,54400
APPLE INCCommon Stock037833100341,891937,200SH SOLE 937,20000
APPLE INCCommon Stock037833100305,590837,693SH SOLE 837,69300
APPLE INCCommon Stock037833100136,270373,546SH SOLE 373,54600
APPLIED INDL TECHNOLOGIES INCCommon Stock03820C10583013,307SH SOLE 13,30700
APPLIED INDL TECHNOLOGIES INCCommon Stock03820C10581213,007SH SOLE 13,00700
APPLIED MATLS INCCommon Stock03822210512,996214,984SH SOLE 214,98400
APPLIED MATLS INCCommon Stock03822210511,391188,433SH SOLE 188,43300
APPLIED OPTOELECTRONICS INCCommon Stock03823U102716,537SH SOLE 6,53700
APTARGROUP INCCommon Stock0383361031,15210,291SH SOLE 10,29100
APTIV PLCCommon StockG6095L1094,29455,103SH SOLE 55,10300
ARCBEST CORPCommon Stock03937C10544616,833SH SOLE 16,83300
ARCBEST CORPCommon Stock03937C1052308,677SH SOLE 8,67700
ARCHER DANIELS MIDLAND COCommon Stock0394831024,557114,212SH SOLE 114,21200
ARCHER DANIELS MIDLAND COCommon Stock0394831023,95699,150SH SOLE 99,15000
ARCHROCK INCCommon Stock03957W10627642,528SH SOLE 42,52800
ARCONIC CORPCommon Stock03966V10747233,862SH SOLE 33,86200
ARCONIC CORPCommon Stock03966V10745632,714SH SOLE 32,71400
ARCOSA INCCommon Stock03965310067816,074SH SOLE 16,07400
ARCOSA INCCommon Stock03965310047811,329SH SOLE 11,32900
ARES CAPITAL CORPCommon Stock04010L10314,5111,004,200SH SOLE 1,004,20000
ARISTA NETWORKS INCCommon Stock0404131062,32111,052SH SOLE 11,05200
Arlo TechnologiesCommon Stock04206A1016525,042SH SOLE 25,04200
ARROW ELECTRS INCCommon Stock0427351004,83470,377SH SOLE 70,37700
ASBURY AUTOMOTIVE GROUP INCCommon Stock0434361045046,518SH SOLE 6,51800
ASBURY AUTOMOTIVE GROUP INCCommon Stock0434361044505,813SH SOLE 5,81300
ASGN INCCommon Stock00191U1021,17817,670SH SOLE 17,67000
ASGN INCCommon Stock00191U1023174,751SH SOLE 4,75100
ASHLAND GLOBAL HLDGS INCCommon Stock0441861043,35748,582SH SOLE 48,58200
ASML HLDG NV-NY REG SHSNY Reg ShrsN0705921047,879130,095SH SOLE 130,09500
ASPEN AEROGELS INCCommon Stock04523Y1057511,389SH SOLE 11,38900
ASSURANT INCCommon Stock04621X1081,26712,265SH SOLE 12,26500
ASTEC INDS INCCommon Stock0462241013557,656SH SOLE 7,65600
ASTEC INDS INCCommon Stock0462241011683,630SH SOLE 3,63000
AT&T INCCommon Stock00206R10287,6672,900,000SH SOLE 2,900,00000
AT&T INCCommon Stock00206R10244,2851,464,938SH SOLE 1,464,93800
AT&T INCCommon Stock00206R10216,919559,661SH SOLE 559,66100
ATLANTIC TELE NETWORK INCCommon Stock00215F1072223,672SH SOLE 3,67200
ATLANTICA SUSTAINABLE INFRASTRUCCommon StockG0751N1031,46150,203SH SOLE 50,20300
ATLAS AIR WORLDWIDE HLDGS INCCommon Stock0491642053618,390SH SOLE 8,39000
ATLAS AIR WORLDWIDE HLDGS INCCommon Stock0491642052986,918SH SOLE 6,91800
ATLAS CORPCommon StockY0436Q10917122,559SH SOLE 22,55900
ATMOS ENERGY CORPCommon Stock04956010540,534407,051SH SOLE 407,05100
ATMOS ENERGY CORPCommon Stock0495601052,50425,147SH SOLE 25,14700
AUDIOCODES LTDCommon StockM153421044,836152,136SH SOLE 152,13600
AUDIOCODES LTDCommon StockM153421043,08497,017SH SOLE 97,01700
AUTODESK INCCommon Stock05276910613,65857,100SH SOLE 57,10000
AUTODESK INCCommon Stock05276910610,78045,068SH SOLE 45,06800
AUTODESK INCCommon Stock0527691064,15217,358SH SOLE 17,35800
AUTOMATIC DATA PROCESSING INCCommon Stock05301510313,15788,364SH SOLE 88,36400
AUTOMATIC DATA PROCESSING INCCommon Stock05301510311,16775,000SH SOLE 75,00000
AUTONATION INCCommon Stock05329W1021,23632,882SH SOLE 32,88200
AUTOZONE INCCommon Stock0533321025,4164,801SH SOLE 4,80100
AVALONBAY CMNTYS INCREIT05348410127,607178,523SH SOLE 178,52300
AVALONBAY CMNTYS INCREIT0534841014,47528,935SH SOLE 28,93500
AVERY DENNISON CORPCommon Stock0536111091,95417,126SH SOLE 17,12600
AVISTA CORPCommon Stock05379B10780021,978SH SOLE 21,97800
AVISTA CORPCommon Stock05379B10745212,422SH SOLE 12,42200
AXCELIS TECHNOLOGIES INCCommon Stock05454020829210,497SH SOLE 10,49700
AXON ENTERPRISE INCCommon Stock05464C1012,60126,505SH SOLE 26,50500
AXOS FINANCIAL INCCommon Stock05465C10039717,979SH SOLE 17,97900
AZZ INCCommon Stock00247410453515,577SH SOLE 15,57700
AZZ INCCommon Stock0024741043008,740SH SOLE 8,74000
B&G FOODS INC- CLASS ACommon Stock05508R10653321,842SH SOLE 21,84200
B&G FOODS INC- CLASS ACommon Stock05508R10639616,251SH SOLE 16,25100
BADGER METER INCCommon Stock05652510875211,959SH SOLE 11,95900
BADGER METER INCCommon Stock0565251086119,705SH SOLE 9,70500
BAKER HUGHES COMPANYCommon Stock05722G1004,814312,806SH SOLE 312,80600
BAKER HUGHES COMPANYCommon Stock05722G1002,073134,678SH SOLE 134,67800
BALCHEM CORPCommon Stock0576652002,63727,804SH SOLE 27,80400
BALCHEM CORPCommon Stock0576652001,02010,750SH SOLE 10,75000
BALCHEM CORPCommon Stock0576652006376,714SH SOLE 6,71400
BALL CORPCommon Stock0584981064,65867,027SH SOLE 67,02700
BANC OF CALIFORNIA INCCommon Stock05990K10615714,507SH SOLE 14,50700
BANK HAWAII CORPCommon Stock0625401091,60126,076SH SOLE 26,07600
BANK OF AMERICA CORPORATIONCommon Stock06050510477,7343,273,020SH SOLE 3,273,02000
BANK OF AMERICA CORPORATIONCommon Stock06050510438,1281,605,377SH SOLE 1,605,37700
BANK OF AMERICA CORPORATIONCommon Stock06050510418,689786,913SH SOLE 786,91300
BANK OF MONTREALCommon Stock06367110125,479480,149SH SOLE 480,14900
BANK OF NEW YORK MELLON CORPCommon Stock06405810019,802512,336SH SOLE 512,33600
BANK OF NEW YORK MELLON CORPCommon Stock06405810010,313266,826SH SOLE 266,82600
BANK OF NEW YORK MELLON CORPCommon Stock0640581006,403165,668SH SOLE 165,66800
BANK OF NOVA SCOTIACommon Stock06414910737,687913,475SH SOLE 913,47500
BANK OZKCommon Stock06417N1034,021171,323SH SOLE 171,32300
BANNER CORPCommon Stock06652V20849713,076SH SOLE 13,07600
BANNER CORPCommon Stock06652V20844811,781SH SOLE 11,78100
BARNES & NOBLE ED INCCommon Stock06777U1012012,578SH SOLE 12,57800
BARNES GROUP INCCommon Stock06780610962515,807SH SOLE 15,80700
BARNES GROUP INCCommon Stock0678061092345,910SH SOLE 5,91000
BARRICK GOLD CORPCommon Stock06790110835,8261,335,490SH SOLE 1,335,49000
BAUSCH HEALTH COS INCCommon Stock0717341074,266233,840SH SOLE 233,84000
BAXTER INTL INCCommon Stock07181310945,779531,700SH SOLE 531,70000
BAXTER INTL INCCommon Stock0718131099,008104,619SH SOLE 104,61900
BAXTER INTL INCCommon Stock0718131096,26872,803SH SOLE 72,80300
BCE INC NPVCommon Stock05534B76028,225678,825SH SOLE 678,82500
BECTON DICKINSON & COCommon Stock07588710914,50660,628SH SOLE 60,62800
BECTON DICKINSON & COCommon Stock07588710912,34651,600SH SOLE 51,60000
BED BATH & BEYOND INCCommon Stock07589610046443,740SH SOLE 43,74000
BEL FUSE INCCommon Stock077347300696,447SH SOLE 6,44700
BEL FUSE INCCommon Stock077347300323,017SH SOLE 3,01700
BELDEN CDT INCCommon Stock0774541061,95360,000SH SOLE 60,00000
BENCHMARK ELECTRS INCCommon Stock08160H10127812,858SH SOLE 12,85800
BENCHMARK ELECTRS INCCommon Stock08160H10124111,143SH SOLE 11,14300
BERKLEY W R CORPCommon Stock0844231021,66329,030SH SOLE 29,03000
BERKSHIRE HATHAWAY INC CL BCommon Stock08467070293,624524,472SH SOLE 524,47200
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DOLLAR TREE INCCommon Stock2567461083,07433,165SH SOLE 33,16500
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DOMINOS PIZZA INCCommon Stock25754A2012,0305,494SH SOLE 5,49400
DONALDSON INCCommon Stock2576511093,99785,928SH SOLE 85,92800
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DONNELLEY R R & SONS COCommon Stock2578672008470,907SH SOLE 70,90700
DONNELLEY R R & SONS COCommon Stock2578672002823,743SH SOLE 23,74300
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DORMAN PRODUCTS INCCommon Stock2582781003835,713SH SOLE 5,71300
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DOW INCCommon Stock2605571036,208152,298SH SOLE 152,29800
DRIL-QUIP INCCommon Stock26203710474825,108SH SOLE 25,10800
DRIL-QUIP INCCommon Stock26203710435812,020SH SOLE 12,02000
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DROPBOX INCCommon Stock26210C1041074,903SH SOLE 4,90300
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DUNKIN BRANDS GROUP INCCommon Stock2655041002,01730,923SH SOLE 30,92300
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ECHO GLOBAL LOGISTICS INCCommon Stock27875T1011366,308SH SOLE 6,30800
ECOLAB INCCommon Stock27886510010,11550,844SH SOLE 50,84400
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EL POLLO LOCO HLDGS INCCommon Stock268603107976,583SH SOLE 6,58300
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EMCOR GROUP INCCommon Stock29084Q1001,67225,276SH SOLE 25,27600
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EMERSON ELEC COCommon Stock29101110410,150163,630SH SOLE 163,63000
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EMERSON ELEC COCommon Stock2910111043,22952,058SH SOLE 52,05800
EMPLOYERS HOLDINGS INCCommon Stock29221810432410,750SH SOLE 10,75000
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ENCORE CAP GROUP INCCommon Stock2925541023149,200SH SOLE 9,20000
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ENCORE WIRE CORPCommon Stock2925621053467,079SH SOLE 7,07900
ENCORE WIRE CORPCommon Stock2925621052154,409SH SOLE 4,40900
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ENSIGN GROUP INCCommon Stock29358P10172817,390SH SOLE 17,39000
ENSIGN GROUP INCCommon Stock29358P10169416,574SH SOLE 16,57400
ENTERGY CORP NEWCommon Stock29364G1033,86141,154SH SOLE 41,15400
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ESCO TECHNOLOGIES INCCommon Stock29631510487810,390SH SOLE 10,39000
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ESSENTIAL UTILITIES INCCommon Stock29670G1024,01995,149SH SOLE 95,14900
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ETHAN ALLEN INTERIORS INCCommon Stock2976021041058,870SH SOLE 8,87000
ETHAN ALLEN INTERIORS INCCommon Stock2976021041008,424SH SOLE 8,42400
EVERCORE INCCommon Stock29977A1051,31722,349SH SOLE 22,34900
EVERCORE INCCommon Stock29977A1051803,056SH SOLE 3,05600
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EVERGY INCCommon Stock30034W1062,76446,618SH SOLE 46,61800
EVERSOURCE ENERGYCommon Stock30040W1087,60291,294SH SOLE 91,29400
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EVERTEC INCCommon Stock30040P10366823,756SH SOLE 23,75600
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EXELON CORPCommon Stock30161N1017,270200,343SH SOLE 200,34300
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EXPRESS INCCommon Stock30219E1033522,801SH SOLE 22,80100
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EXXON MOBIL CORPCommon Stock30231G10238,877869,342SH SOLE 869,34200
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F5 NETWORKS INCCommon Stock3156161021,74612,520SH SOLE 12,52000
FABRINETCommon StockG3323L10076612,275SH SOLE 12,27500
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FACEBOOK INCCommon Stock30303M102153,272675,000SH SOLE 675,00000
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FACEBOOK INCCommon Stock30303M10257,687254,050SH SOLE 254,05000
FACTSET RESH SYS INCCommon Stock3030751059,85530,003SH SOLE 30,00300
FAIR ISAAC CORPCommon Stock3032501049,49522,714SH SOLE 22,71400
FARO TECHNOLOGIES INCCommon Stock31164210255910,426SH SOLE 10,42600
FARO TECHNOLOGIES INCCommon Stock3116421023025,633SH SOLE 5,63300
FASTENAL COCommon Stock3119001046,822159,240SH SOLE 159,24000
FASTENAL COCommon Stock3119001045,045117,774SH SOLE 117,77400
FASTENAL COCommon Stock3119001042,16350,501SH SOLE 50,50100
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FEDERAL RLTY INVT TRREIT3137472061,23214,462SH SOLE 14,46200
FEDERAL SIGNAL CORPCommon Stock31385510860120,217SH SOLE 20,21700
FEDERAL SIGNAL CORPCommon Stock3138551082167,255SH SOLE 7,25500
FEDERATED HERMES, INC.Common Stock3142111033,181134,239SH SOLE 134,23900
FEDEX CORPCommon Stock31428X1066,92949,417SH SOLE 49,41700
FERRO CORPCommon Stock31540510032827,457SH SOLE 27,45700
FIDELITY NATL INFORMATION SVCSCommon Stock31620M10617,033127,029SH SOLE 127,02900
FIESTA RESTAURANT GROUP INCCommon Stock31660B101446,930SH SOLE 6,93000
FIFTH THIRD BANCORPCommon Stock3167731002,822146,372SH SOLE 146,37200
FIFTH THIRD BANCORPCommon Stock3167731002,737141,971SH SOLE 141,97100
FIRST AMERICAN FINL CORPCommon Stock31847R1023,42971,411SH SOLE 71,41100
FIRST BANCORP P RCommon Stock31867270640973,095SH SOLE 73,09500
FIRST BANCORP P RCommon Stock31867270628550,927SH SOLE 50,92700
FIRST COMWLTH FINL CORP PACommon Stock31982910727933,706SH SOLE 33,70600
FIRST COMWLTH FINL CORP PACommon Stock31982910714317,222SH SOLE 17,22200
FIRST FINL BANCORP OHCommon Stock32020910945732,878SH SOLE 32,87800
FIRST FINL BANCORP OHCommon Stock32020910913910,017SH SOLE 10,01700
FIRST FINL BANKSHARESCommon Stock32020R1094,987172,636SH SOLE 172,63600
FIRST HORIZON NATL CORPCommon Stock3205171052,258226,668SH SOLE 226,66800
FIRST MIDWEST BANCORP DELCommon Stock32086710450637,908SH SOLE 37,90800
FIRST MIDWEST BANCORP DELCommon Stock32086710425819,344SH SOLE 19,34400
FIRST REP BK SAN FRANCISCO CALCommon Stock33616C1005,55252,380SH SOLE 52,38000
FIRST REP BK SAN FRANCISCO CALCommon Stock33616C1003,73735,254SH SOLE 35,25400
FIRST SOLAR INCCommon Stock3364331073,05761,749SH SOLE 61,74900
FIRSTCASH INCCommon Stock33767D1053,27648,545SH SOLE 48,54500
FIRSTENERGY CORPCommon Stock3379321074,320111,387SH SOLE 111,38700
FIRSTSERVICE CORP COMMON STOCKCommon Stock33767E2023,34433,188SH SOLE 33,18800
FISERV INCCommon Stock33773810811,470117,500SH SOLE 117,50000
FISERV INCCommon Stock33773810811,287115,626SH SOLE 115,62600
FIVE BELOW INCCommon Stock33829M1019458,835SH SOLE 8,83500
FLAGSTAR BANCORP INCCommon Stock33793070569623,652SH SOLE 23,65200
FLAGSTAR BANCORP INCCommon Stock33793070533911,508SH SOLE 11,50800
FLEETCOR TECHNOLOGIES INCCommon Stock3390411054,33417,231SH SOLE 17,23100
FLIR SYS INCCommon Stock3024451011,09126,902SH SOLE 26,90200
FLOOR & DECOR HLDGS INCCommon Stock3397501013,97468,927SH SOLE 68,92700
FLOWERS FOODS INCCommon Stock3434981012,449109,528SH SOLE 109,52800
FLOWERS FOODS INCCommon Stock34349810123410,475SH SOLE 10,47500
FLOWSERVE CORPCommon Stock34354P10576326,754SH SOLE 26,75400
FLUOR CORP NEWCommon Stock34341210253444,175SH SOLE 44,17500
FLWS/1-800 FLOWERSCommon Stock68243Q106934,648SH SOLE 4,64800
FLY LEASING LTDADR34407D10931838,747SH SOLE 38,74700
FNB CORP PACommon Stock3025201012,338311,715SH SOLE 311,71500
FNF GROUPCommon Stock31620R3031304,238SH SOLE 4,23800
FOOT LOCKER INCCommon Stock3448491042,10372,130SH SOLE 72,13000
FORD MTR CO DELCommon Stock3453708604,883803,132SH SOLE 803,13200
FORMFACTOR INCCommon Stock3463751081,24742,516SH SOLE 42,51600
FORMFACTOR INCCommon Stock34637510873324,987SH SOLE 24,98700
FORRESTER RESH INCCommon Stock3465631091183,688SH SOLE 3,68800
FORTINET INCCommon Stock34959E1093,78727,586SH SOLE 27,58600
FORTINET INCCommon Stock34959E1091,98214,440SH SOLE 14,44000
FORTIS INCCommon Stock34955310713,150346,819SH SOLE 346,81900
FORTIVE CORPCommon Stock34959J1084,12460,948SH SOLE 60,94800
FORTUNE BRANDS HOME AND SECURITYCommon Stock34964C1063,56155,697SH SOLE 55,69700
FORTUNE BRANDS HOME AND SECURITYCommon Stock34964C1063,20650,149SH SOLE 50,14900
FORTUNE BRANDS HOME AND SECURITYCommon Stock34964C1061,83628,724SH SOLE 28,72400
FORWARD AIR CORPCommon Stock3498531014769,561SH SOLE 9,56100
FORWARD AIR CORPCommon Stock3498531013096,211SH SOLE 6,21100
FOSL Group INCCommon Stock34988V1067115,259SH SOLE 15,25900
FOUNDATION BLDG MATLS INCCommon Stock35039210617611,265SH SOLE 11,26500
FOUNDATION BLDG MATLS INCCommon Stock350392106956,065SH SOLE 6,06500
FOUR CORNERS PPTY TR INCREIT35086T10956022,971SH SOLE 22,97100
FOUR CORNERS PPTY TR INCREIT35086T10944218,123SH SOLE 18,12300
FOX CORP-CLASS ACommon Stock35137L1055,632210,000SH SOLE 210,00000
FOX CORP-CLASS ACommon Stock35137L1051,88970,450SH SOLE 70,45000
FOX CORP-CLASS BCommon Stock35137L2042,07277,204SH SOLE 77,20400
FOX CORP-CLASS BCommon Stock35137L20487932,745SH SOLE 32,74500
FOX FACTORY HLDG CORPCommon Stock35138V1021,05312,747SH SOLE 12,74700
FOX FACTORY HLDG CORPCommon Stock35138V1024345,250SH SOLE 5,25000
FRANCO-NEVADA CORPCommon Stock35185810519,782141,664SH SOLE 141,66400
FRANKLIN ELEC INCCommon Stock35351410274614,195SH SOLE 14,19500
FRANKLIN ELEC INCCommon Stock35351410268413,028SH SOLE 13,02800
FRANKLIN FINL NETWORK INCCommon Stock35352P10433012,827SH SOLE 12,82700
FRANKLIN FINL NETWORK INCCommon Stock35352P1041054,065SH SOLE 4,06500
FRANKLIN RES INCCommon Stock3546131011,19657,029SH SOLE 57,02900
FREEPORT-MCMORAN, INC.Common Stock35671D8573,454298,532SH SOLE 298,53200
FREEPORT-MCMORAN, INC.Common Stock35671D8572,175187,953SH SOLE 187,95300
FRESH DEL MONTE PRODUCE INCCommon StockG3673810525710,458SH SOLE 10,45800
FTI CONSULTING INCCommon Stock3029411093,08926,962SH SOLE 26,96200
FULLER H B COCommon Stock35969410676417,130SH SOLE 17,13000
FULLER H B COCommon Stock3596941064269,553SH SOLE 9,55300
FULTON FINL CORP PACommon Stock36027110097792,737SH SOLE 92,73700
FUTUREFUEL CORPORATIONCommon Stock36116M1061038,588SH SOLE 8,58800
GALLAGHER ARTHUR J & COCommon Stock36357610924,988256,318SH SOLE 256,31800
GALLAGHER ARTHUR J & COCommon Stock3635761095,41155,508SH SOLE 55,50800
GALLAGHER ARTHUR J & COCommon Stock3635761093,80138,987SH SOLE 38,98700
GAMESTOP CORP-CL ACommon Stock36467W1099622,066SH SOLE 22,06600
GANNETT CO INCCommon Stock36472T1095741,330SH SOLE 41,33000
GAP INC DELCommon Stock36476010855243,768SH SOLE 43,76800
Garmin LtdCommon StockH2906T1092,91029,848SH SOLE 29,84800
GARRETT MOTION INCCommon Stock36650510518533,316SH SOLE 33,31600
GARRETT MOTION INCCommon Stock36650510513925,131SH SOLE 25,13100
GARTNER INCCommon Stock3666511072,22418,334SH SOLE 18,33400
GATX CORPCommon Stock3614481035398,835SH SOLE 8,83500
GCI INCCommon Stock12532H10411,317180,171SH SOLE 180,17100
GCP APPLIED TECHNOLOGIES INCCommon Stock36164Y10133317,947SH SOLE 17,94700
GCP APPLIED TECHNOLOGIES INCCommon Stock36164Y1011126,008SH SOLE 6,00800
GENERAL DYNAMICS CORPCommon Stock3695501087,14047,775SH SOLE 47,77500
GENERAL ELECTRIC COCommon Stock36960410312,2831,798,448SH SOLE 1,798,44800
GENERAL MLS INCCommon Stock37033410421,941355,900SH SOLE 355,90000
GENERAL MLS INCCommon Stock3703341047,683124,625SH SOLE 124,62500
GENERAL MLS INCCommon Stock3703341046,279101,857SH SOLE 101,85700
GENERAL MTRS COCommon Stock37045V1006,551258,928SH SOLE 258,92800
GENERAL MTRS COCommon Stock37045V1004,423174,840SH SOLE 174,84000
GENESCO INCCommon Stock3715321021034,772SH SOLE 4,77200
GENTEX CORPCommon Stock3719011091,05440,895SH SOLE 40,89500
GENTEX CORPCommon Stock3719011091194,616SH SOLE 4,61600
GENTHERM INCCommon Stock37253A10378820,246SH SOLE 20,24600
GENTHERM INCCommon Stock37253A10342210,843SH SOLE 10,84300
GENUINE PARTS COCommon Stock3724601052,57929,661SH SOLE 29,66100
GEO GROUP INC NEWREIT36162J10689775,826SH SOLE 75,82600
GEOSPACE TECHNOLOGIES CORPCommon Stock37364X1098811,712SH SOLE 11,71200
GEOSPACE TECHNOLOGIES CORPCommon Stock37364X109344,502SH SOLE 4,50200
GETTY RLTY CORP NEWREIT37429710932811,053SH SOLE 11,05300
GETTY RLTY CORP NEWREIT3742971092638,858SH SOLE 8,85800
GIBRALTAR INDS INCCommon Stock37468910751310,695SH SOLE 10,69500
GIBRALTAR INDS INCCommon Stock3746891071643,419SH SOLE 3,41900
G-III APPAREL GROUP LTDCommon Stock36237H10118613,961SH SOLE 13,96100
G-III APPAREL GROUP LTDCommon Stock36237H1011098,221SH SOLE 8,22100
GILDAN ACTIVEWEAR INCCommon Stock3759161032,363153,017SH SOLE 153,01700
GILEAD SCIENCES INCCommon Stock37555810319,837257,830SH SOLE 257,83000
GILEAD SCIENCES INCCommon Stock3755581033,17741,288SH SOLE 41,28800
GLACIER BANCORP INC NEWCommon Stock37637Q1052,11760,000SH SOLE 60,00000
GLACIER BANCORP INC NEWCommon Stock37637Q1052848,051SH SOLE 8,05100
GLATFELTERCommon Stock37731610423514,639SH SOLE 14,63900
GLATFELTERCommon Stock37731610418011,236SH SOLE 11,23600
GLAUKOS CORPCommon Stock37732210250013,013SH SOLE 13,01300
GLAUKOS CORPCommon Stock37732210246812,180SH SOLE 12,18000
GLOBAL NET LEASE INCREIT37937820149729,688SH SOLE 29,68800
GLOBAL NET LEASE INCREIT37937820138623,059SH SOLE 23,05900
GLOBAL PARTNERS LPMLP37946R109757,627SH SOLE 7,62700
GLOBAL PMTS INCCommon Stock37940X10214,41885,000SH SOLE 85,00000
GLOBAL PMTS INCCommon Stock37940X10210,43161,497SH SOLE 61,49700
GLOBAL X MSCI COLUMBIA ETFETP37954Y3278,920392,613SH SOLE 392,61300
GLOBAL X MSCI GREECE ETFETP37954Y3199,253468,270SH SOLE 468,27000
GLOBE LIFE INCCommon Stock37959E1021,49520,134SH SOLE 20,13400
GLOBUS MED INCCommon Stock3795772081,43430,057SH SOLE 30,05700
GMS INCCommon Stock36251C10334814,144SH SOLE 14,14400
GMS INCCommon Stock36251C1031626,588SH SOLE 6,58800
GOLDMAN SACHS GROUP INCCommon Stock38141G10425,851130,812SH SOLE 130,81200
GOLDMAN SACHS GROUP INCCommon Stock38141G10412,57663,635SH SOLE 63,63500
GOLDMAN SACHS GROUP INCCommon Stock38141G1048,90045,035SH SOLE 45,03500
GOODYEAR TIRE & RUBR COCommon Stock38255010139544,175SH SOLE 44,17500
GRACO INCCommon Stock3841091044,852101,102SH SOLE 101,10200
GRAHAM HOLDINGS COCommon Stock3846371044541,324SH SOLE 1,32400
GRAINGER W W INCCommon Stock3848021042,7988,905SH SOLE 8,90500
GRANITE CONSTR INCCommon Stock38732810728915,111SH SOLE 15,11100
GRANITE PT MTG TR INCREIT38741L10713218,319SH SOLE 18,31900
GRANITE PT MTG TR INCREIT38741L1079112,718SH SOLE 12,71800
GRAPHIC PACKAGING HLDG COCommon Stock3886891013,981284,586SH SOLE 284,58600
GREAT WESTN BANCORP INCCommon Stock39141610426219,067SH SOLE 19,06700
GREEN DOT CORPCommon Stock39304D10295419,434SH SOLE 19,43400
GREEN DOT CORPCommon Stock39304D10277315,759SH SOLE 15,75900
GREEN PLAINS PARTNERS LPMLP3932211067110,618SH SOLE 10,61800
GREEN PLAINS RENEWABLE ENERGYCommon Stock39322210411511,231SH SOLE 11,23100
GREENBRIER COS INCCommon Stock39365710124210,654SH SOLE 10,65400
GREENHILL & COCommon Stock395259104525,239SH SOLE 5,23900
GRIFFON CORPCommon Stock39843310226414,234SH SOLE 14,23400
GROUP 1 AUTOMOTIVE INCCommon Stock3989051093855,843SH SOLE 5,84300
GROUP 1 AUTOMOTIVE INCCommon Stock3989051091412,140SH SOLE 2,14000
GRUBHUB INCCommon Stock4001101021,86326,505SH SOLE 26,50500
GUESS INCCommon Stock40161710513814,309SH SOLE 14,30900
GUESS INCCommon Stock40161710511511,879SH SOLE 11,87900
GULFPORT ENERGY CORPCommon Stock4026353045348,337SH SOLE 48,33700
HAEMONETICS CORPCommon Stock4050241004,01044,779SH SOLE 44,77900
HAIN CELESTIAL GROUP INCCommon Stock4052171001,32742,125SH SOLE 42,12500
HALLIBURTON COCommon Stock4062161012,341180,372SH SOLE 180,37200
HANESBRANDS INCCommon Stock4103451022,160191,294SH SOLE 191,29400
HANESBRANDS INCCommon Stock4103451022,141189,678SH SOLE 189,67800
HANESBRANDS INCCommon Stock41034510280871,558SH SOLE 71,55800
HANGER INCCommon Stock41043F20820612,419SH SOLE 12,41900
HANGER INCCommon Stock41043F2081016,109SH SOLE 6,10900
HANMI FINL CORPCommon Stock41049520410610,882SH SOLE 10,88200
HANMI FINL CORPCommon Stock41049520410110,354SH SOLE 10,35400
HANOVER INS GROUP INCCommon Stock4108671053,36733,225SH SOLE 33,22500
HARMONIC INCCommon Stock41316010214530,428SH SOLE 30,42800
HARMONIC INCCommon Stock4131601027515,825SH SOLE 15,82500
HARSCO CORPCommon Stock41586410735626,323SH SOLE 26,32300
HARSCO CORPCommon Stock4158641071239,086SH SOLE 9,08600
HARTFORD FINL SVCS GROUP INCCommon Stock4165151042,83873,623SH SOLE 73,62300
HASBRO INCCommon Stock4180561071,96426,198SH SOLE 26,19800
HAVERTY FURNITURE INCCommon Stock4195961011177,297SH SOLE 7,29700
HAVERTY FURNITURE INCCommon Stock4195961011056,580SH SOLE 6,58000
HAWAIIAN HOLDINGS INCCommon Stock41987910121915,575SH SOLE 15,57500
HAWKINS INCCommon Stock4202611091383,234SH SOLE 3,23400
HAWKINS INCCommon Stock4202611091373,211SH SOLE 3,21100
HAYNES INTERNATIONAL INCCommon Stock4208772011476,275SH SOLE 6,27500
HAYNES INTERNATIONAL INCCommon Stock420877201994,240SH SOLE 4,24000
HCA HEALTHCARE INCCommon Stock40412C1016,59067,900SH SOLE 67,90000
HCA HEALTHCARE INCCommon Stock40412C1015,25554,144SH SOLE 54,14400
HCI GROUP INCCommon Stock40416E1031022,211SH SOLE 2,21100
HEALTHCARE RLTY TRREIT4219461041,79261,198SH SOLE 61,19800
HEALTHEQUITY INCCommon Stock42226A1074,31873,593SH SOLE 73,59300
HEALTHPEAK PROPSREIT42250P1033,050110,671SH SOLE 110,67100
HEALTHSTREAM INCCommon Stock42222N1031918,627SH SOLE 8,62700
HEARTLAND EXPRESS INCCommon Stock42234710432515,593SH SOLE 15,59300
HEARTLAND EXPRESS INCCommon Stock4223471041095,225SH SOLE 5,22500
HEIDRICK & STRUGGLES INTL INCommon Stock4228191021376,358SH SOLE 6,35800
HEIDRICK & STRUGGLES INTL INCommon Stock4228191021145,250SH SOLE 5,25000
HELEN OF TROY CORP LTDCommon StockG4388N1062,67714,199SH SOLE 14,19900
HELIX ENERGY SOLUTIONS GRP INCCommon Stock42330P10716346,847SH SOLE 46,84700
HELIX ENERGY SOLUTIONS GRP INCCommon Stock42330P10712636,416SH SOLE 36,41600
HELMERICH & PAYNE INCCommon Stock42345210170135,927SH SOLE 35,92700
HELMERICH & PAYNE INCCommon Stock42345210141121,063SH SOLE 21,06300
HELMERICH & PAYNE INCCommon Stock42345210140820,912SH SOLE 20,91200
HENRY JACK & ASSOC INCCommon Stock42628110112,99370,600SH SOLE 70,60000
HENRY JACK & ASSOC INCCommon Stock4262811012,89915,752SH SOLE 15,75200
HERITAGE FINL CORP WASHCommon Stock42722X10624312,135SH SOLE 12,13500
HERSHA HOSPITALITY TRREIT4278255006912,054SH SOLE 12,05400
HERSHEY COCommon Stock4278661083,92830,305SH SOLE 30,30500
HESKA CORPCommon Stock42805E3062202,365SH SOLE 2,36500
HESS CORPCommon Stock42809H1072,78153,677SH SOLE 53,67700
HESS MIDSTREAM LPCommon Stock4281031051508,188SH SOLE 8,18800
HEWLETT PACKARD ENTERPRISE CCommon Stock42824C1092,570264,153SH SOLE 264,15300
HEXCEL CORP NEWCommon Stock4282911081,28028,300SH SOLE 28,30000
HIBBETT SPORTS INCCommon Stock4285671011296,182SH SOLE 6,18200
HIGHWOODS PPTYS INCREIT43128410811,154298,784SH SOLE 298,78400
HIGHWOODS PPTYS INCREIT4312841083,52694,457SH SOLE 94,45700
HILLENBRAND INCCommon Stock43157110866424,540SH SOLE 24,54000
HILLENBRAND INCCommon Stock43157110857421,220SH SOLE 21,22000
HILLENBRAND INCCommon Stock43157110839014,407SH SOLE 14,40700
HILL-ROM HOLDINGS INCCommon Stock4314751027,41267,513SH SOLE 67,51300
HILTON INCCommon Stock43300A2034,18757,007SH SOLE 57,00700
HMS HLDGS CORPCommon Stock40425J10194029,029SH SOLE 29,02900
HMS HLDGS CORPCommon Stock40425J10177523,912SH SOLE 23,91200
HNI CORPCommon Stock4042511003029,891SH SOLE 9,89100
HOLLY CORPCommon Stock4361061081,99268,229SH SOLE 68,22900
HOLLY CORPCommon Stock43610610889430,621SH SOLE 30,62100
HOLOGIC INCCommon Stock43644010111,082194,415SH SOLE 194,41500
HOLOGIC INCCommon Stock4364401013,02653,089SH SOLE 53,08900
HOME BANCSHARES INCCommon Stock4368932001,10171,555SH SOLE 71,55500
HOME DEPOT INCCommon Stock43707610296,446385,000SH SOLE 385,00000
HOME DEPOT INCCommon Stock43707610255,396221,134SH SOLE 221,13400
HOME DEPOT INCCommon Stock43707610224,09796,190SH SOLE 96,19000
HOMESTREET INCCommon Stock43785V1022018,151SH SOLE 8,15100
HONEYWELL INTL INCCommon Stock43851610641,489286,941SH SOLE 286,94100
HONEYWELL INTL INCCommon Stock43851610620,865144,304SH SOLE 144,30400
HONEYWELL INTL INCCommon Stock4385161064,33930,012SH SOLE 30,01200
HOPE BANCORP INCCommon Stock43940T10964770,154SH SOLE 70,15400
HOPE BANCORP INCCommon Stock43940T10937841,033SH SOLE 41,03300
HORACE MANN EDUCATORS CORP NEWCommon Stock44032710471019,340SH SOLE 19,34000
HORACE MANN EDUCATORS CORP NEWCommon Stock44032710451013,895SH SOLE 13,89500
HORMEL FOODS CORPCommon Stock4404521002,78157,621SH SOLE 57,62100
HOST HOTELS & RESORTS INCREIT44107P1041,564144,944SH SOLE 144,94400
HOULIHAN LOKEY INCCommon Stock4415931001212,179SH SOLE 2,17900
HOWMET AEROSPACECommon Stock4432011081,25178,906SH SOLE 78,90600
HP INCCommon Stock40434L1055,125294,007SH SOLE 294,00700
HUB GROUP INCCommon Stock44332010652711,016SH SOLE 11,01600
HUB GROUP INCCommon Stock4433201062785,809SH SOLE 5,80900
HUBBELL INCCommon Stock4435106071,77414,155SH SOLE 14,15500
HUDSON LTDCommon StockG464081037314,899SH SOLE 14,89900
HUDSON PAC PPTYS INCREIT4440971092,516100,000SH SOLE 100,00000
HUMANA INCCommon Stock44485910250,252129,600SH SOLE 129,60000
HUMANA INCCommon Stock44485910211,33829,241SH SOLE 29,24100
HUMANA INCCommon Stock44485910210,54027,182SH SOLE 27,18200
HUNT J B TRANS SVCS INCCommon Stock4456581072,08817,347SH SOLE 17,34700
HUNT J B TRANS SVCS INCCommon Stock4456581071,21710,110SH SOLE 10,11000
HUNTINGTON BANCSHARES INCCommon Stock4461501041,884208,529SH SOLE 208,52900
HUNTINGTON INGALLS INDS INC COMCommon Stock4464131062,40013,754SH SOLE 13,75400
HUNTINGTON INGALLS INDS INC COMCommon Stock4464131061,4528,322SH SOLE 8,32200
IAA INCCommon Stock4492531031233,200SH SOLE 3,20000
ICHOR HOLDINGSCommon StockG4740B1052047,692SH SOLE 7,69200
ICON PLCCommon StockG4705A10020,865123,857SH SOLE 123,85700
ICU MED INCCommon Stock44930G1072,83915,401SH SOLE 15,40100
IDACORP INCCommon Stock4511071061,32715,188SH SOLE 15,18800
IDEX CORPCommon Stock45167R10417,677111,850SH SOLE 111,85000
IDEX CORPCommon Stock45167R1043,16920,052SH SOLE 20,05200
IDEX CORPCommon Stock45167R1042,45015,501SH SOLE 15,50100
IDEXX LABS INCCommon Stock45168D1045,76617,463SH SOLE 17,46300
IDEXX LABS INCCommon Stock45168D1042,5147,615SH SOLE 7,61500
IHS MARKIT LTDCommon StockG4756710534,043450,905SH SOLE 450,90500
IHS MARKIT LTDCommon StockG475671056,19282,019SH SOLE 82,01900
IHS MARKIT LTDCommon StockG475671052,83837,587SH SOLE 37,58700
II VI INCCommon Stock9021041082,99763,460SH SOLE 63,46000
ILLINOIS TOOL WKS INCCommon Stock45230810910,33659,112SH SOLE 59,11200
ILLUMINA INCCommon Stock45232710911,19330,223SH SOLE 30,22300
ILLUMINA INCCommon Stock4523271094,53812,252SH SOLE 12,25200
Imperial Oil LtdCommon Stock4530384082,799174,544SH SOLE 174,54400
INCYTE CORPCommon Stock45337C1023,85737,095SH SOLE 37,09500
INCYTE CORPCommon Stock45337C1022,11020,299SH SOLE 20,29900
INDEPENDENT BANK CORP MASSCommon Stock45383610873410,943SH SOLE 10,94300
INDEPENDENT BANK CORP MASSCommon Stock4538361085398,033SH SOLE 8,03300
INDEPENDENT BK GROUP INCCommon Stock45384B10651012,595SH SOLE 12,59500
INDEPENDENT BK GROUP INCCommon Stock45384B10648011,852SH SOLE 11,85200
INGERSOLL RAND INCCommon Stock45687V1061,99971,092SH SOLE 71,09200
INGEVITY CORPCommon Stock45688C1071,45427,665SH SOLE 27,66500
INGREDION INCCommon Stock4571871023,99148,088SH SOLE 48,08800
INNOSPEC INCCommon Stock45768S1056358,216SH SOLE 8,21600
INNOSPEC INCCommon Stock45768S1056017,784SH SOLE 7,78400
INNOVIVA INCCommon Stock45781M10138027,164SH SOLE 27,16400
INNOVIVA INCCommon Stock45781M10131522,504SH SOLE 22,50400
INOGEN INCCommon Stock45780L1042186,148SH SOLE 6,14800
INOGEN INCCommon Stock45780L1041113,133SH SOLE 3,13300
INSIGHT ENTERPRISES INCCommon Stock45765U10359212,038SH SOLE 12,03800
INSIGHT ENTERPRISES INCCommon Stock45765U1032204,479SH SOLE 4,47900
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INSTEEL INDUSTRIES INCCommon Stock45774W10832917,239SH SOLE 17,23900
INSTEEL INDUSTRIES INCCommon Stock45774W1081156,026SH SOLE 6,02600
INTEGER HLDGS CORPCommon Stock45826H10979310,849SH SOLE 10,84900
INTEGER HLDGS CORPCommon Stock45826H1097019,597SH SOLE 9,59700
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INTEL CORPCommon Stock45814010058,119971,400SH SOLE 971,40000
INTEL CORPCommon Stock45814010052,084870,533SH SOLE 870,53300
INTEL CORPCommon Stock45814010017,773297,064SH SOLE 297,06400
INTER PARFUMS INCCommon Stock4583341093176,591SH SOLE 6,59100
INTER PARFUMS INCCommon Stock4583341092805,812SH SOLE 5,81200
INTERCONTINENTAL EXCHANGE, INC.Common Stock45866F10419,745215,556SH SOLE 215,55600
INTERCONTINENTAL EXCHANGE, INC.Common Stock45866F10410,306112,512SH SOLE 112,51200
INTERCONTINENTAL EXCHANGE, INC.Common Stock45866F1048,26490,215SH SOLE 90,21500
INTERFACE INCCommon Stock45866530420224,794SH SOLE 24,79400
INTERFACE INCCommon Stock45866530415919,506SH SOLE 19,50600
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INTERNATIONAL FLAVORS FRAGRANCCommon Stock4595061012,69021,969SH SOLE 21,96900
INTERPUBLIC GROUP COS INCCommon Stock4606901001,37580,106SH SOLE 80,10600
INTL PAPER COCommon Stock4601461032,84580,811SH SOLE 80,81100
INTUITCommon Stock46120210318,09761,100SH SOLE 61,10000
INTUITCommon Stock46120210315,88053,615SH SOLE 53,61500
INTUITIVE SURGICAL INCCommon Stock46120E60213,66323,977SH SOLE 23,97700
INVACARE CORPCommon Stock4612031017111,091SH SOLE 11,09100
INVESCO LTD COM STK USD0.10Common StockG491BT10883277,368SH SOLE 77,36800
INVESCO SENIOR LOAN ETFETP46138G508108,5935,086,300SH SOLE 5,086,30000
IPG PHOTONICS CORPCommon Stock44980X1091,1717,304SH SOLE 7,30400
IQVIA HOLDINGS INCCommon Stock46266C10560,072423,400SH SOLE 423,40000
IQVIA HOLDINGS INCCommon Stock46266C1055,18136,515SH SOLE 36,51500
IRIDIUM COMMUNICATIONS INCCommon Stock46269C10281432,002SH SOLE 32,00200
IRIDIUM COMMUNICATIONS INCCommon Stock46269C10249119,310SH SOLE 19,31000
IROBOT CORPCommon Stock4627261007819,313SH SOLE 9,31300
IRON MTN INC NEWREIT46284V1011,54559,190SH SOLE 59,19000
ISHARESETP46428858897,980885,095SH SOLE 885,09500
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iShares iBoxx $ High Yield CorETP46428851320,751254,233SH SOLE 254,23300
iShares iBoxx $ High Yield CorETP4642885139,354114,600SH SOLE 114,60000
ISHARES INCETP46434G772545,06813,552,159SH SOLE 13,552,15900
ISHARES INCETP464286772525,2159,193,338SH SOLE 9,193,33800
ISHARES INCETP464286400222,2967,729,334SH SOLE 7,729,33400
ISHARES INCETP46434G81480,2103,181,687SH SOLE 3,181,68700
ISHARES INCETP46428678097,0552,754,119SH SOLE 2,754,11900
ISHARES INCETP46428664026,2651,042,280SH SOLE 1,042,28000
ISHARES INCETP46434G2022,390289,641SH SOLE 289,64100
ISHARES INCETP46434G7725,392134,052SH SOLE 134,05200
ISHARES INCETP4642864003,295114,583SH SOLE 114,58300
ISHARES INCETP4642867725,948104,109SH SOLE 104,10900
ISHARES INCETP46434G7724,046100,600SH SOLE 100,60000
ISHARES INCETP4642864002,46285,600SH SOLE 85,60000
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ISHARES TRETP46434V40720,287473,000SH SOLE 473,00000
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ISHARES TRETP46428868710,399300,200SH SOLE 300,20000
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ISHARES TRETP4642882736,108113,907SH SOLE 113,90700
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ISTAR INCREIT45031U10130524,794SH SOLE 24,79400
ISTAR INCREIT45031U10123118,737SH SOLE 18,73700
ITRON INCCommon Stock46574110677311,669SH SOLE 11,66900
ITRON INCCommon Stock46574110668910,395SH SOLE 10,39500
ITT INCCommon Stock45073V1082,07635,339SH SOLE 35,33900
ITURAN LOCATION AND CONTROLCommon StockM6158M104261,618SH SOLE 1,61800
J & J SNACK FOODS CORPCommon Stock4660321096375,009SH SOLE 5,00900
J & J SNACK FOODS CORPCommon Stock4660321096154,841SH SOLE 4,84100
J2 GLOBAL INCCommon Stock48123V1023,28852,012SH SOLE 52,01200
JABIL INCCommon Stock4663131031,84257,412SH SOLE 57,41200
JACK IN THE BOX INCCommon Stock46636710978010,532SH SOLE 10,53200
JACOBS ENGR GROUP INC DELCommon Stock4698141072,26826,750SH SOLE 26,75000
JACOBS ENGR GROUP INC DELCommon Stock4698141072,05724,254SH SOLE 24,25400
JAMES RIV GROUP LTDCommon StockG5005R10745910,210SH SOLE 10,21000
JAMES RIV GROUP LTDCommon StockG5005R1074269,471SH SOLE 9,47100
JANUS HENDERSON GROUP PLCCommon StockG4474Y2143,363158,946SH SOLE 158,94600
JBG SMITH PPTYSREIT46590V10012,385418,834SH SOLE 418,83400
JDS Uniphase CorpCommon Stock92555010597376,384SH SOLE 76,38400
JDS Uniphase CorpCommon Stock92555010575859,477SH SOLE 59,47700
JETBLUE AWYS CORPCommon Stock4771431011,586145,464SH SOLE 145,46400
JOHN BEAN TECHNOLOGIESCommon Stock47783910490710,539SH SOLE 10,53900
JOHN BEAN TECHNOLOGIESCommon Stock4778391043934,573SH SOLE 4,57300
JOHNSON & JOHNSONCommon Stock478160104114,459813,900SH SOLE 813,90000
JOHNSON & JOHNSONCommon Stock47816010476,177541,686SH SOLE 541,68600
JOHNSON & JOHNSONCommon Stock47816010427,908198,447SH SOLE 198,44700
JOHNSON CTLS INTL PLCCommon StockG515021055,221152,942SH SOLE 152,94200
JONES LANG LASALLE INCCommon Stock48020Q1072,76726,742SH SOLE 26,74200
JP MORGAN CHASE & COCommon Stock46625H100122,9901,307,572SH SOLE 1,307,57200
JP MORGAN CHASE & COCommon Stock46625H10058,927626,485SH SOLE 626,48500
JP MORGAN CHASE & COCommon Stock46625H10037,312396,680SH SOLE 396,68000
JUNIPER NETWORKS INCCommon Stock48203R1041,55768,128SH SOLE 68,12800
JUST ENERGY GROUP INCCommon Stock48213W101612,074SH SOLE 12,07400
KAISER ALUMINUM CORPCommon Stock4830077043955,369SH SOLE 5,36900
KAISER ALUMINUM CORPCommon Stock4830077042162,936SH SOLE 2,93600
KAMAN CORPCommon Stock4835481033859,265SH SOLE 9,26500
KANSAS CITY SOUTHERNCommon Stock4851703025,61937,638SH SOLE 37,63800
KANSAS CITY SOUTHERNCommon Stock4851703022,91719,537SH SOLE 19,53700
KB HOMECommon Stock48666K1091,32343,129SH SOLE 43,12900
KBR INCCommon Stock48242W1063,518156,003SH SOLE 156,00300
KELLOGG COCommon Stock4878361083,39851,431SH SOLE 51,43100
KELLY SVCS INCCommon Stock48815220817511,034SH SOLE 11,03400
KELLY SVCS INCCommon Stock488152208805,050SH SOLE 5,05000
KEMPER CORP DELCommon Stock4884011005,31673,301SH SOLE 73,30100
KENNAMETAL INCCommon Stock48917010088830,923SH SOLE 30,92300
KEYCORP NEWCommon Stock4932671082,443200,549SH SOLE 200,54900
KEYSIGHT TECHNOLOGIES INCCommon Stock49338L1033,87538,455SH SOLE 38,45500
KFORCE INCCommon Stock4937321011675,715SH SOLE 5,71500
KILROY RLTY CORPREIT49427F10818,076307,940SH SOLE 307,94000
KILROY RLTY CORPREIT49427F1082,44241,602SH SOLE 41,60200
KIMBERLY CLARK CORPCommon Stock49436810331,210220,800SH SOLE 220,80000
KIMBERLY CLARK CORPCommon Stock4943681039,89770,019SH SOLE 70,01900
KIMBERLY CLARK CORPCommon Stock4943681034,08528,901SH SOLE 28,90100
KIMCO REALTY CORPREIT49446R10911,017858,042SH SOLE 858,04200
KIMCO REALTY CORPREIT49446R1091,14288,929SH SOLE 88,92900
KINDER MORGAN INCCommon Stock49456B1016,066399,877SH SOLE 399,87700
KINROSS GOLD CORPCommon Stock4969024046,776941,566SH SOLE 941,56600
KINSALE CAP GROUP INCCommon Stock49714P1081,0616,838SH SOLE 6,83800
KINSALE CAP GROUP INCCommon Stock49714P1081,0196,564SH SOLE 6,56400
KIRBY CORPCommon Stock4972661061,76432,944SH SOLE 32,94400
KIRKLAND LAKE GOLD LTDCommon Stock49741E1008,229200,449SH SOLE 200,44900
KLA CORPORATIONCommon Stock4824801006,20031,879SH SOLE 31,87900
KLA CORPORATIONCommon Stock4824801006,12231,479SH SOLE 31,47900
KNIGHT SWIFT TRANSN HLDGS INCCommon Stock4990491045,380128,992SH SOLE 128,99200
KNOWLES CORPCommon Stock49926D10945029,520SH SOLE 29,52000
KNOWLES CORPCommon Stock49926D10943928,792SH SOLE 28,79200
KOHLS CORPCommon Stock50025510467432,431SH SOLE 32,43100
KONTOOR BRANDS INCCommon Stock50050N10339222,028SH SOLE 22,02800
KONTOOR BRANDS INCCommon Stock50050N10327715,540SH SOLE 15,54000
KOPPERS HOLDINGS INCCommon Stock50060P1061326,991SH SOLE 6,99100
KOPPERS HOLDINGS INCCommon Stock50060P1061186,237SH SOLE 6,23700
KORN FERRYCommon Stock50064320056618,407SH SOLE 18,40700
KORN FERRYCommon Stock50064320036211,787SH SOLE 11,78700
KORNIT DIGITAL LTDCommon StockM6372Q1132,01637,766SH SOLE 37,76600
KRAFT HEINZ COCommon Stock5007541064,961155,551SH SOLE 155,55100
KRAFT HEINZ COCommon Stock5007541064,086128,119SH SOLE 128,11900
KRATON CORPORATIONCommon Stock50077C10618110,468SH SOLE 10,46800
KRATON CORPORATIONCommon Stock50077C10617810,306SH SOLE 10,30600
KROGER COCommon Stock5010441015,472161,645SH SOLE 161,64500
KROGER COCommon Stock5010441013,660108,113SH SOLE 108,11300
KULICKE & SOFFA INDS INCCommon Stock50124210143921,094SH SOLE 21,09400
L BRANDS INCCommon Stock50179710471847,983SH SOLE 47,98300
L3HARRIS TECH INCCommon Stock50243110918,623109,758SH SOLE 109,75800
L3HARRIS TECH INCCommon Stock5024311097,53144,385SH SOLE 44,38500
LA Z BOY INCCommon Stock50533610765524,190SH SOLE 24,19000
LA Z BOY INCCommon Stock50533610742315,630SH SOLE 15,63000
LABORATORY CORP AMER HLDGSCommon Stock50540R4093,32019,984SH SOLE 19,98400
LAM RESEARCH CORPCommon Stock51280710817,85555,200SH SOLE 55,20000
LAM RESEARCH CORPCommon Stock51280710812,00437,111SH SOLE 37,11100
LAM RESEARCH CORPCommon Stock5128071089,65429,846SH SOLE 29,84600
LAMAR ADVERTISING CO NEWREIT5128161096,29694,306SH SOLE 94,30600
LAMB WESTON HLDGS INCCommon Stock5132721042,09932,837SH SOLE 32,83700
LAMB WESTON HLDGS INCCommon Stock5132721041,92030,026SH SOLE 30,02600
LANCASTER COLONY CORPCommon Stock5138471031,87712,110SH SOLE 12,11000
LANDSTAR SYS INCCommon Stock5150981013,78533,700SH SOLE 33,70000
LANNET INCCommon Stock5160121018211,245SH SOLE 11,24500
LANTHEUS HLDGS INCCommon Stock51654410349134,328SH SOLE 34,32800
LANTHEUS HLDGS INCCommon Stock51654410333023,063SH SOLE 23,06300
LAREDO PETROLEUM INCCommon Stock516806205423,002SH SOLE 3,00200
LAS VEGAS SANDS CORPCommon Stock5178341073,14669,091SH SOLE 69,09100
LAUDER ESTEE COS INCCommon Stock5184391048,71946,212SH SOLE 46,21200
LCI INDSCommon Stock50189K1039658,391SH SOLE 8,39100
LCI INDSCommon Stock50189K1038817,660SH SOLE 7,66000
LEAR CORPCommon Stock5218652041,12210,291SH SOLE 10,29100
LEGGETT & PLATT INCCommon Stock5246601072,36967,400SH SOLE 67,40000
LEGGETT & PLATT INCCommon Stock52466010795627,201SH SOLE 27,20100
LEIDOS HOLDINGS INCCommon Stock5253271025,23155,849SH SOLE 55,84900
LEIDOS HOLDINGS INCCommon Stock5253271022,57127,452SH SOLE 27,45200
LEMAITRE VASCULAR INCCommon Stock5255582011445,450SH SOLE 5,45000
LENNAR CORPCommon Stock52605710412,199197,972SH SOLE 197,97200
LENNAR CORPCommon Stock5260571043,47956,463SH SOLE 56,46300
LENNOX INTL INCCommon Stock5261071072,47010,602SH SOLE 10,60200
LEXINGTON REALTY TRUSTREIT52904310187182,557SH SOLE 82,55700
LEXINGTON REALTY TRUSTREIT52904310175171,203SH SOLE 71,20300
LGI HOMES INCCommon Stock50187T1066447,316SH SOLE 7,31600
LGI HOMES INCCommon Stock50187T1063784,296SH SOLE 4,29600
LHC GROUP INCCommon Stock50187A1072,52914,505SH SOLE 14,50500
LIFE STORAGE INCREIT53223X1073,75539,551SH SOLE 39,55100
LIGAND PHARMACEUTICALS INCCommon Stock53220K5043,02027,000SH SOLE 27,00000
LILLY ELI & COCommon Stock53245710840,158244,600SH SOLE 244,60000
LILLY ELI & COCommon Stock53245710828,429173,159SH SOLE 173,15900
LILLY ELI & COCommon Stock53245710819,131116,527SH SOLE 116,52700
LINCOLN ELEC HLDGS INCCommon Stock5339001064,44352,741SH SOLE 52,74100
LINCOLN NATL CORP INDCommon Stock5341871091,46239,728SH SOLE 39,72800
LINDE PLCCommon StockG5494J10328,635135,000SH SOLE 135,00000
LINDE PLCCommon StockG5494J10322,904107,981SH SOLE 107,98100
LINDE PLCCommon StockG5494J1039,38044,224SH SOLE 44,22400
LINDSAY CORPCommon Stock5355551063383,670SH SOLE 3,67000
LINDSAY CORPCommon Stock5355551061271,380SH SOLE 1,38000
LIONS GATE ENTMNT CORPCommon Stock53591940132844,232SH SOLE 44,23200
LIONS GATE ENTMNT CORP BCommon Stock53591950030244,232SH SOLE 44,23200
LIQUIDITY SERVICES INCCommon Stock53635B107518,523SH SOLE 8,52300
LITHIA MTRS INCCommon Stock5367971031,1287,452SH SOLE 7,45200
LITHIA MTRS INCCommon Stock5367971037625,034SH SOLE 5,03400
LIVE NATION INCCommon Stock5380341091,29529,210SH SOLE 29,21000
LIVENT CORPCommon Stock53814L10830048,764SH SOLE 48,76400
LIVEPERSON INCCommon Stock53814610184920,495SH SOLE 20,49500
LIVEPERSON INCCommon Stock5381461014139,975SH SOLE 9,97500
LKQ CORPCommon Stock5018892084,308164,417SH SOLE 164,41700
LKQ CORPCommon Stock5018892081,73466,171SH SOLE 66,17100
LKQ CORPCommon Stock5018892081,63762,498SH SOLE 62,49800
LOCKHEED MARTIN CORPCommon Stock53983010946,205126,618SH SOLE 126,61800
LOCKHEED MARTIN CORPCommon Stock53983010918,51650,739SH SOLE 50,73900
LOCKHEED MARTIN CORPCommon Stock53983010917,40947,707SH SOLE 47,70700
LOEWS CORPCommon Stock5404241081,70649,763SH SOLE 49,76300
LOWES COS INCCommon Stock54866110720,975155,233SH SOLE 155,23300
LOWES COS INCCommon Stock54866110717,702131,006SH SOLE 131,00600
LOWES COS INCCommon Stock54866110713,512100,000SH SOLE 100,00000
LTC PPTYS INCREIT50217510250013,279SH SOLE 13,27900
LTC PPTYS INCREIT50217510238110,111SH SOLE 10,11100
LULULEMON ATHLETICA INCCommon Stock5500211097,17623,000SH SOLE 23,00000
LUMBER LIQUIDATORS HLDGS INCCommon Stock55003T1071339,625SH SOLE 9,62500
LUMBER LIQUIDATORS HLDGS INCCommon Stock55003T107997,174SH SOLE 7,17400
LUMENTUM HLDGS INCCommon Stock55024U1096,05974,407SH SOLE 74,40700
LUMINEX CORP DELCommon Stock55027E10245013,832SH SOLE 13,83200
LUMINEX CORP DELCommon Stock55027E1022798,582SH SOLE 8,58200
LYDALL INC DELCommon Stock55081910616111,861SH SOLE 11,86100
LYDALL INC DELCommon Stock550819106795,812SH SOLE 5,81200
LYONDELLBASELL INDUSTRIES N VCommon StockN537451003,47252,831SH SOLE 52,83100
M & T BK CORPCommon Stock55261F1042,74226,374SH SOLE 26,37400
M D C HLDGS INCCommon Stock55267610859816,745SH SOLE 16,74500
M D C HLDGS INCCommon Stock55267610848913,699SH SOLE 13,69900
M/I HOMES INCCommon Stock55305B1013189,244SH SOLE 9,24400
M/I HOMES INCCommon Stock55305B101952,764SH SOLE 2,76400
MACY'S INC.Common Stock55616P104709102,993SH SOLE 102,99300
MACY'S INC.Common Stock55616P10420129,143SH SOLE 29,14300
MADDEN STEVEN LTDCommon Stock5562691081,11145,009SH SOLE 45,00900
MADDEN STEVEN LTDCommon Stock55626910864225,999SH SOLE 25,99900
MAGELLAN HEALTH SERVICESCommon Stock5590792075267,205SH SOLE 7,20500
MAGELLAN HEALTH SERVICESCommon Stock5590792072843,887SH SOLE 3,88700
Magna International IncCommon Stock5592224019,517213,715SH SOLE 213,71500
MANHATTAN ASSOCS INCCommon Stock5627501097,87483,588SH SOLE 83,58800
MANHATTAN ASSOCS INCCommon Stock5627501091301,375SH SOLE 1,37500
MANPOWER INCCommon Stock56418H1001,15816,850SH SOLE 16,85000
MANTECH INTL CORPCommon Stock5645631046168,990SH SOLE 8,99000
MANTECH INTL CORPCommon Stock5645631044756,930SH SOLE 6,93000
MANULIFE FINANCIAL CORPCommon Stock56501R10619,8571,464,006SH SOLE 1,464,00600
MARATHON OIL CORPCommon Stock565849106994162,493SH SOLE 162,49300
MARATHON PETE CORPCommon Stock56585A10232,057857,600SH SOLE 857,60000
MARATHON PETE CORPCommon Stock56585A1025,035134,692SH SOLE 134,69200
MARATHON PETE CORPCommon Stock56585A1024,998133,698SH SOLE 133,69800
MARCUS & MILLICHAP INCCommon Stock5663241092267,816SH SOLE 7,81600
MARCUS CORPCommon Stock5663301061017,618SH SOLE 7,61800
MARINEMAX INCCommon Stock5679081081727,679SH SOLE 7,67900
MARINEMAX INCCommon Stock5679081081687,511SH SOLE 7,51100
MARKETAXESS HLDGS INCCommon Stock57060D1083,9047,794SH SOLE 7,79400
MARRIOTT INTL INC NEWCommon Stock57190320213,717160,000SH SOLE 160,00000
MARRIOTT INTL INC NEWCommon Stock5719032024,74455,336SH SOLE 55,33600
MARRIOTT VACATIONS WRLDWDE COMCommon Stock57164Y1071,08913,252SH SOLE 13,25200
MARSH & MCLENNAN COS INCCommon Stock57174810211,264104,904SH SOLE 104,90400
MARTEN TRANS LTDCommon Stock57307510831912,671SH SOLE 12,67100
MARTIN MARIETTA MATLS INCCommon Stock5732841062,64312,797SH SOLE 12,79700
MASCO CORPCommon Stock57459910617,873355,970SH SOLE 355,97000
MASCO CORPCommon Stock5745991068,970178,657SH SOLE 178,65700
MASCO CORPCommon Stock5745991062,72354,230SH SOLE 54,23000
MASIMO CORPCommon Stock5747951009,26340,628SH SOLE 40,62800
MASTERCARD INCCommon Stock57636Q10487,675296,500SH SOLE 296,50000
MASTERCARD INCCommon Stock57636Q10453,733181,715SH SOLE 181,71500
MASTERCARD INCCommon Stock57636Q10419,99167,605SH SOLE 67,60500
MATADOR RES COCommon Stock57648520531036,456SH SOLE 36,45600
MATRIX SVC COCommon Stock57685310517718,204SH SOLE 18,20400
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MICROCHIP TECHNOLOGY INCCommon Stock5950171046,29959,817SH SOLE 59,81700
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MOBILE MINI INCCommon Stock60740F10541313,989SH SOLE 13,98900
MOHAWK INDS INCCommon Stock6081901041,24512,231SH SOLE 12,23100
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MONRO INCCommon Stock6102361013937,157SH SOLE 7,15700
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MOOG INCCommon Stock6153942025299,994SH SOLE 9,99400
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MOSAIC CO NEWCommon Stock61945C10389771,694SH SOLE 71,69400
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MOTORCAR PTS AMER INCCommon Stock620071100502,836SH SOLE 2,83600
MOTOROLA SOLUTIONS INCCommon Stock6200763074,90034,967SH SOLE 34,96700
MOVADO GROUP INCCommon Stock624580106605,534SH SOLE 5,53400
MSA SAFETY INCCommon Stock5534981064,82142,125SH SOLE 42,12500
MSC INDL DIRECT INCCommon Stock5535301061,22716,850SH SOLE 16,85000
MSCI INCCommon Stock55354G10011,19333,531SH SOLE 33,53100
MSCI INCCommon Stock55354G1005,83517,479SH SOLE 17,47900
MSCI INCCommon Stock55354G1002,3837,138SH SOLE 7,13800
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MTS SYS CORPCommon Stock5537771031066,000SH SOLE 6,00000
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MUELLER INDS INCCommon Stock62475610250418,956SH SOLE 18,95600
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MURPHY USACommon Stock6267551023,77633,542SH SOLE 33,54200
MYERS INDS INCCommon Stock62846410916811,569SH SOLE 11,56900
MYLAN N VCommon StockN594651097,629474,434SH SOLE 474,43400
MYLAN N VCommon StockN594651091,709106,287SH SOLE 106,28700
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MYR GROUP INC DELCommon Stock55405W1041745,450SH SOLE 5,45000
MYRIAD GENETICS INCCommon Stock62855J10427924,612SH SOLE 24,61200
MYRIAD GENETICS INCCommon Stock62855J10422019,379SH SOLE 19,37900
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NASDAQ, INCCommon Stock6311031082,82123,613SH SOLE 23,61300
NATIONAL BEVERAGE CORPCommon Stock6350171062373,876SH SOLE 3,87600
NATIONAL BEVERAGE CORPCommon Stock635017106931,521SH SOLE 1,52100
NATIONAL BK HLDGS CORPCommon Stock63370710434312,701SH SOLE 12,70100
NATIONAL BK HLDGS CORPCommon Stock63370710428210,452SH SOLE 10,45200
NATIONAL FUEL GAS CO N JCommon Stock6361801014,306102,701SH SOLE 102,70100
NATIONAL FUEL GAS CO N JCommon Stock6361801011453,466SH SOLE 3,46600
NATIONAL GEN HLDGS CORPCommon Stock63622030327512,736SH SOLE 12,73600
NATIONAL INSTRS CORPCommon Stock6365181023,76497,244SH SOLE 97,24400
NATIONAL OILWELL VARCO INCCommon Stock63707110197879,820SH SOLE 79,82000
NATIONAL PRESTO INDS INCCommon Stock6372151041451,661SH SOLE 1,66100
NATUS MEDICAL INC DELCommon Stock63905010342319,371SH SOLE 19,37100
NATUS MEDICAL INC DELCommon Stock63905010324311,121SH SOLE 11,12100
NBT BANCORP INCCommon Stock62877810245014,637SH SOLE 14,63700
NBT BANCORP INCCommon Stock6287781021414,578SH SOLE 4,57800
NCR CORP NEWCommon Stock62886E1083,167182,854SH SOLE 182,85400
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NEENAH INCCommon Stock6400791091202,424SH SOLE 2,42400
NEKTAR THERAPEUTICSCommon Stock6402681083,225139,269SH SOLE 139,26900
NEOGEN CORPCommon Stock6404911061,35717,489SH SOLE 17,48900
NEOGEN CORPCommon Stock6404911064676,016SH SOLE 6,01600
NEOGENOMICS INCCommon Stock64049M2091,13436,598SH SOLE 36,59800
NEOGENOMICS INCCommon Stock64049M20959719,263SH SOLE 19,26300
NEOPHOTONICS CORPCommon Stock64051T10012814,371SH SOLE 14,37100
NETFLIX COM INCCommon Stock64110L10675,537166,000SH SOLE 166,00000
NETFLIX COM INCCommon Stock64110L10641,14790,426SH SOLE 90,42600
NETFLIX COM INCCommon Stock64110L10616,45636,164SH SOLE 36,16400
NETGEAR INCCommon Stock64111Q10426310,143SH SOLE 10,14300
NETTAPP INCCommon Stock64110D1042,01845,476SH SOLE 45,47600
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NEW YORK CMNTY BANCORP INCCommon Stock6494451034,680458,819SH SOLE 458,81900
NEW YORK MTG TR INCREIT649604501316121,155SH SOLE 121,15500
NEW YORK MTG TR INCREIT64960450123389,444SH SOLE 89,44400
NEW YORK TIMES COCommon Stock6501111072,32655,331SH SOLE 55,33100
NEWELL BRANDS INCCommon Stock6512291062,900182,603SH SOLE 182,60300
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NEWMARKET CORPCommon Stock6515871072,5856,455SH SOLE 6,45500
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NEWMONT CORPORATIONCommon Stock65163910610,188165,016SH SOLE 165,01600
NEWMONT CORPORATIONCommon Stock6516391069,257149,931SH SOLE 149,93100
NEWPARK RES INCCommon Stock6517185048236,646SH SOLE 36,64600
NEWPARK RES INCCommon Stock6517185046729,967SH SOLE 29,96700
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NEWS CORP NEWCommon Stock65249B20829925,037SH SOLE 25,03700
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NEXTERA ENERGY, INC.Common Stock65339F10124,169100,633SH SOLE 100,63300
NEXTERA ENERGY, INC.Common Stock65339F10112,44251,805SH SOLE 51,80500
NEXTGEN HEALTHCARE INCCommon Stock65343C10238635,193SH SOLE 35,19300
NEXTGEN HEALTHCARE INCCommon Stock65343C10217515,911SH SOLE 15,91100
NIC INCCommon Stock62914B10051722,503SH SOLE 22,50300
NIC INCCommon Stock62914B10046020,044SH SOLE 20,04400
NIELSEN HLDGS NVCommon StockG6518L1081,08973,293SH SOLE 73,29300
NIKE INCCommon Stock65410610349,025500,000SH SOLE 500,00000
NIKE INCCommon Stock65410610324,998254,954SH SOLE 254,95400
NIKE INCCommon Stock65410610313,507137,760SH SOLE 137,76000
NISOURCE INCCommon Stock65473P1051,79078,705SH SOLE 78,70500
NMI HLDGS INCCommon Stock62920930561738,395SH SOLE 38,39500
NMI HLDGS INCCommon Stock62920930544027,363SH SOLE 27,36300
NOBLE ENERGY INCCommon Stock65504410588498,628SH SOLE 98,62800
NOMAD FOODS LTDCommon StockG6564A1051,22056,856SH SOLE 56,85600
NORDSON CORPCommon Stock6556631022,95715,586SH SOLE 15,58600
NORDSTROM INCCommon Stock6556641001,30684,314SH SOLE 84,31400
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NORFOLK SOUTHERN CORPCommon Stock6558441089,24852,672SH SOLE 52,67200
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NORTHROP GRUMMAN CORPCommon Stock6668071029,80031,876SH SOLE 31,87600
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NOW INCCommon Stock67011P10070781,873SH SOLE 81,87300
NOW INCCommon Stock67011P10032037,117SH SOLE 37,11700
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NUCOR CORPCommon Stock6703461052,56461,915SH SOLE 61,91500
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OIL STS INTL INCCommon Stock6780261059620,280SH SOLE 20,28000
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Olympic Steel IncCommon Stock68162K1061159,772SH SOLE 9,77200
Olympic Steel IncCommon Stock68162K106363,103SH SOLE 3,10300
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ONEOK INC NEWCommon Stock6826801033,00390,401SH SOLE 90,40100
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ONTO INNOVATION INCCommon Stock68334410555516,314SH SOLE 16,31400
ONTO INNOVATION INCCommon Stock6833441053279,618SH SOLE 9,61800
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ORACLE CORPCommon Stock68389X10523,652427,940SH SOLE 427,94000
ORACLE CORPCommon Stock68389X10517,051308,500SH SOLE 308,50000
ORACLE CORPCommon Stock68389X1059,275167,807SH SOLE 167,80700
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ORTHOFIX MEDICAL INCCommon Stock68752M10845714,270SH SOLE 14,27000
ORTHOFIX MEDICAL INCCommon Stock68752M1082036,337SH SOLE 6,33700
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OSI SYSTEMS INCCommon Stock6710441054255,694SH SOLE 5,69400
OSI SYSTEMS INCCommon Stock6710441052553,418SH SOLE 3,41800
OTIS WORLDWIDE CORPCommon Stock68902V10720,009351,896SH SOLE 351,89600
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OWENS & MINOR INC NEWCommon Stock69073210215820,777SH SOLE 20,77700
OWENS & MINOR INC NEWCommon Stock69073210213117,201SH SOLE 17,20100
OWENS CORNING NEWCommon Stock6907421012,08137,316SH SOLE 37,31600
OXFORD INDS INCCommon Stock6914973092485,640SH SOLE 5,64000
PACCAR INCCommon Stock6937181085,32171,083SH SOLE 71,08300
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PACIRA BIOSCIENCES INCCommon Stock69512710064412,281SH SOLE 12,28100
PACKAGING CORP AMERCommon Stock6951561093,42534,316SH SOLE 34,31600
PACKAGING CORP AMERCommon Stock6951561091,94619,500SH SOLE 19,50000
PACWEST BANCORP DELCommon Stock6952631032,049103,963SH SOLE 103,96300
PAGERDUTY INCCommon Stock69553P1001294,518SH SOLE 4,51800
PALOMAR HLDGS INCCommon Stock69753M1055236,095SH SOLE 6,09500
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PAPA JOHNS INTL INCCommon Stock6988131021381,737SH SOLE 1,73700
PAR PACIFIC HOLDINGS INCCommon Stock69888T20714315,915SH SOLE 15,91500
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PARK AEROSPACE CORPCommon Stock70014A104776,949SH SOLE 6,94900
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PARKER HANNIFIN CORPCommon Stock7010941042,14011,676SH SOLE 11,67600
PATRICK INDS INCCommon Stock7033431034637,555SH SOLE 7,55500
PATRICK INDS INCCommon Stock7033431033295,378SH SOLE 5,37800
PATTERSON COMPANIES INCCommon Stock7033951032,200100,000SH SOLE 100,00000
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PATTERSON UTI ENERGY INCCommon Stock7034811016418,410SH SOLE 18,41000
PAYCHEX INCCommon Stock7043261074,97265,640SH SOLE 65,64000
PAYCOM SOFTWARE INCCommon Stock70432V1023,0739,920SH SOLE 9,92000
PAYLOCITY HLDG CORPCommon Stock70438V1062,64518,131SH SOLE 18,13100
PAYPAL HLDGS INCCommon Stock70450Y10373,699423,000SH SOLE 423,00000
PAYPAL HLDGS INCCommon Stock70450Y10342,061241,413SH SOLE 241,41300
PAYPAL HLDGS INCCommon Stock70450Y10316,65095,566SH SOLE 95,56600
PBF ENERGY INCCommon Stock69318G1061,399136,640SH SOLE 136,64000
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PC CONNECTION INCCommon Stock69318J1001723,707SH SOLE 3,70700
PDF SOLUTIONS INCCommon Stock69328210541221,086SH SOLE 21,08600
PDF SOLUTIONS INCCommon Stock6932821051859,462SH SOLE 9,46200
Pembina Pipeline CorpCommon Stock7063271039,738390,690SH SOLE 390,69000
PENN VA CORP NEWCommon Stock70788V102434,489SH SOLE 4,48900
PENNANT GROUP INC/THECommon Stock70805E1091968,680SH SOLE 8,68000
PENNANT GROUP INC/THECommon Stock70805E1091124,975SH SOLE 4,97500
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PENTAIR PLCCommon StockG7S00T1041,29434,074SH SOLE 34,07400
PENUMBRA INCCommon Stock70975L1071,3727,670SH SOLE 7,67000
PEOPLES UNITED FINANCIALCommon Stock7127041051,01087,312SH SOLE 87,31200
PEPSICO INCCommon Stock71344810837,731285,277SH SOLE 285,27700
PEPSICO INCCommon Stock7134481087,27755,021SH SOLE 55,02100
PERDOCEO EDUCATIONCommon Stock71363P10670444,222SH SOLE 44,22200
PERDOCEO EDUCATIONCommon Stock71363P10637423,466SH SOLE 23,46600
PERFICIENT INCCommon Stock71375U10146212,921SH SOLE 12,92100
PERFICIENT INCCommon Stock71375U10139511,032SH SOLE 11,03200
PERION NETWORK LTDCommon StockM7867311423945,753SH SOLE 45,75300
PERKINELMER INCCommon Stock7140461092,24622,901SH SOLE 22,90100
PERRIGO CO PLCCommon StockG978221032,06837,423SH SOLE 37,42300
PERRIGO CO PLCCommon StockG978221031,54928,026SH SOLE 28,02600
PERSPECTA INCCommon Stock7153471002,970127,836SH SOLE 127,83600
PETMED EXPRESS INCCommon Stock7163821062426,779SH SOLE 6,77900
PETMED EXPRESS INCCommon Stock7163821061303,647SH SOLE 3,64700
PETROLEUM DEV CORPCommon Stock69327R1012,797224,842SH SOLE 224,84200
PETROLEUM DEV CORPCommon Stock69327R10140432,451SH SOLE 32,45100
PETROLEUM DEV CORPCommon Stock69327R10115512,458SH SOLE 12,45800
PFIZER INCCommon Stock71708110337,3471,142,103SH SOLE 1,142,10300
PFIZER INCCommon Stock7170811035,143157,280SH SOLE 157,28000
PGT INCCommon Stock69336V10139625,226SH SOLE 25,22600
PGT INCCommon Stock69336V10130519,447SH SOLE 19,44700
PHIBRO ANIMAL HEALTH CORPCommon Stock71742Q1061786,788SH SOLE 6,78800
PHILIP MORRIS INTL INCCommon Stock71817210922,430320,154SH SOLE 320,15400
PHILLIPS 66Common Stock71854610425,007347,800SH SOLE 347,80000
PHILLIPS 66Common Stock7185461046,65392,537SH SOLE 92,53700
PHILLIPS 66Common Stock7185461046,45589,783SH SOLE 89,78300
PHILLIPS 66 PARTNERS LPMLP7185492072,76676,749SH SOLE 76,74900
PHOTRONICS INCCommon Stock71940510225022,435SH SOLE 22,43500
PHYSICIANS RLTY TRREIT71943U1042,387136,263SH SOLE 136,26300
PIMCO DYNAMIC CREDIT AND MORTGAGClosed-End Fund72202D1061,08658,900SH SOLE 58,90000
PIMCO ETF TRETP72201R83361,177601,600SH SOLE 601,60000
PINNACLE FINL PARTNERS INCCommon Stock72346Q1043,11274,124SH SOLE 74,12400
PINNACLE WEST CAP CORPCommon Stock7234841011,69523,129SH SOLE 23,12900
PIONEER NAT RES COCommon Stock72378710731,264320,000SH SOLE 320,00000
PIONEER NAT RES COCommon Stock7237871076,75569,142SH SOLE 69,14200
PIONEER NAT RES COCommon Stock7237871073,31233,896SH SOLE 33,89600
PIPER SANDLER COMPANIESCommon Stock7240781002874,852SH SOLE 4,85200
PIPER SANDLER COMPANIESCommon Stock7240781002524,252SH SOLE 4,25200
PITNEY BOWES INCCommon Stock72447910015057,565SH SOLE 57,56500
PLAINS GP HLDGS L PCommon Stock72651A2071,024115,105SH SOLE 115,10500
PLANTRONICS INC NEWCommon Stock72749310817712,030SH SOLE 12,03000
PLANTRONICS INC NEWCommon Stock72749310816010,910SH SOLE 10,91000
PLEXUS CORPCommon Stock7291321006909,780SH SOLE 9,78000
PLEXUS CORPCommon Stock7291321004886,915SH SOLE 6,91500
PNC FINL SVCS GROUP INCCommon Stock69347510522,155210,579SH SOLE 210,57900
PNC FINL SVCS GROUP INCCommon Stock6934751059,17887,231SH SOLE 87,23100
PNC FINL SVCS GROUP INCCommon Stock6934751052,88527,421SH SOLE 27,42100
PNM RES INCCommon Stock69349H1072,09354,442SH SOLE 54,44200
POLARIS INCCommon Stock7310681021,28713,904SH SOLE 13,90400
POLARIS INCCommon Stock7310681021351,456SH SOLE 1,45600
POLYONE CORPCommon Stock73179P10672927,804SH SOLE 27,80400
POOL CORPORATIONCommon Stock73278L1057,26526,721SH SOLE 26,72100
POST HLDGS INC COM STOCKCommon Stock7374461044,42950,551SH SOLE 50,55100
POWELL INDS INCCommon Stock7391281062208,027SH SOLE 8,02700
POWELL INDS INCCommon Stock739128106812,939SH SOLE 2,93900
POWER INTEGRATIONS INCCommon Stock7392761031,1449,687SH SOLE 9,68700
POWER INTEGRATIONS INCCommon Stock7392761039948,413SH SOLE 8,41300
PPG INDS INCCommon Stock6935061075,14548,507SH SOLE 48,50700
PPL CORPCommon Stock69351T1064,084158,061SH SOLE 158,06100
PRA GROUP INCCommon Stock69354N10658615,161SH SOLE 15,16100
PRA GROUP INCCommon Stock69354N1063809,841SH SOLE 9,84100
PRA HEALTH SCIENCES INCCommon Stock69354M1086,11262,819SH SOLE 62,81900
PREFERRED BK LOS ANGELES CACommon Stock7403674042215,165SH SOLE 5,16500
PREFERRED BK LOS ANGELES CACommon Stock7403674042004,659SH SOLE 4,65900
PRESTIGE CONSUMER HEALTHCARE INCCommon Stock74112D1012,02353,871SH SOLE 53,87100
PRICE T ROWE GROUP INCCommon Stock74144T1085,77846,786SH SOLE 46,78600
PRICESMART INCCommon Stock7415111094567,558SH SOLE 7,55800
PRICESMART INCCommon Stock7415111092494,130SH SOLE 4,13000
PRIMERICA INCCommon Stock74164M1086,61856,761SH SOLE 56,76100
PRINCIPAL FINANCIAL GROUP INCCommon Stock74251V1022,17552,368SH SOLE 52,36800
PRINCIPAL FINANCIAL GROUP INCCommon Stock74251V1022,13151,295SH SOLE 51,29500
PROASSURANCE CORPCommon Stock74267C10626017,970SH SOLE 17,97000
PROCTER & GAMBLE COCommon Stock742718109152,5221,275,590SH SOLE 1,275,59000
PROCTER & GAMBLE COCommon Stock74271810960,862509,006SH SOLE 509,00600
PROCTER & GAMBLE COCommon Stock74271810924,818207,559SH SOLE 207,55900
PROGRESS SOFTWARE CORPCommon Stock74331210058215,032SH SOLE 15,03200
PROGRESS SOFTWARE CORPCommon Stock74331210058115,006SH SOLE 15,00600
PROGRESSIVE CORP OHIOCommon Stock74331510326,011324,694SH SOLE 324,69400
PROGRESSIVE CORP OHIOCommon Stock74331510310,826135,133SH SOLE 135,13300
PROGRESSIVE CORP OHIOCommon Stock7433151039,640120,340SH SOLE 120,34000
PROLOGIS INCREIT74340W10392,925995,664SH SOLE 995,66400
PROLOGIS INCREIT74340W10322,963246,037SH SOLE 246,03700
PROLOGIS INCREIT74340W10314,173151,856SH SOLE 151,85600
PROLOGIS INCREIT74340W1037,97585,452SH SOLE 85,45200
PROPETRO HLDG CORPCommon Stock74347M10814127,395SH SOLE 27,39500
PROPETRO HLDG CORPCommon Stock74347M10811422,233SH SOLE 22,23300
PROSPERITY BANCSHARES INCCommon Stock7436061056,354107,003SH SOLE 107,00300
PROTO LABS INCCommon Stock7437131091,0068,944SH SOLE 8,94400
PROTO LABS INCCommon Stock7437131094814,277SH SOLE 4,27700
PROVIDENCE SVC CORPCommon Stock7438151023063,873SH SOLE 3,87300
PROVIDENCE SVC CORPCommon Stock7438151023053,860SH SOLE 3,86000
PROVIDENT FINL SVCS INCCommon Stock74386T10529020,043SH SOLE 20,04300
PRUDENTIAL FINL INCCommon Stock7443201024,94681,215SH SOLE 81,21500
PS BUSINESS PKS INC CALIFREIT69360J1074,06130,670SH SOLE 30,67000
PTC INCCommon Stock69370C1007,56797,270SH SOLE 97,27000
PUBLIC STORAGE INCREIT74460D1095,93130,906SH SOLE 30,90600
PUBLIC SVC ENTERPRISE GROUPCommon Stock7445731065,111103,959SH SOLE 103,95900
PULTE HOMES INCCommon Stock7458671018,508250,000SH SOLE 250,00000
PULTE HOMES INCCommon Stock7458671012,65177,893SH SOLE 77,89300
PULTE HOMES INCCommon Stock7458671011,76451,825SH SOLE 51,82500
PURE STORAGE INCCommon Stock74624M10242324,434SH SOLE 24,43400
PURECYCLE CORPCommon Stock74622830310311,235SH SOLE 11,23500
PVH CORPCommon Stock69365610070114,586SH SOLE 14,58600
PZENA INVESTMENT MGMT INCCommon Stock74731Q1038114,956SH SOLE 14,95600
QEP RESOURCESCommon Stock74733V100211163,189SH SOLE 163,18900
QEP RESOURCESCommon Stock74733V10010379,567SH SOLE 79,56700
QORVO INCCommon Stock74736K1013,01327,260SH SOLE 27,26000
QORVO INCCommon Stock74736K1012,60723,590SH SOLE 23,59000
QUAKER CHEM CORPCommon Stock7473161077994,304SH SOLE 4,30400
QUAKER CHEM CORPCommon Stock7473161075052,722SH SOLE 2,72200
QUALCOMM INCCommon Stock74752510321,096231,292SH SOLE 231,29200
QUALCOMM INCCommon Stock7475251038,32691,288SH SOLE 91,28800
QUALYS INCCommon Stock74758T3033,12130,000SH SOLE 30,00000
QUANEX BUILDING PRODUCTS CORPCommon Stock74761910416011,492SH SOLE 11,49200
QUANTA SVCS INCCommon Stock74762E1022,44962,430SH SOLE 62,43000
QUANTA SVCS INCCommon Stock74762E1022,26457,713SH SOLE 57,71300
QUANTA SVCS INCCommon Stock74762E1021,11028,301SH SOLE 28,30100
QUEST DIAGNOSTICS INCCommon Stock74834L1003,13427,497SH SOLE 27,49700
QUIDEL CORPCommon Stock74838J1014,47520,000SH SOLE 20,00000
QUINSTREET INCCommon Stock74874Q10016515,735SH SOLE 15,73500
RADA ELECTR INDS LTDCommon StockM8186312421432,668SH SOLE 32,66800
RADIAN GROUP INCCommon Stock7502361011429,145SH SOLE 9,14500
RADNET INCCommon Stock75049110222013,847SH SOLE 13,84700
RADNET INCCommon Stock75049110219212,123SH SOLE 12,12300
RADWARE LTDCommon StockM818731071,23252,233SH SOLE 52,23300
RALPH LAUREN CORP (NEW)Common Stock7512121017129,824SH SOLE 9,82400
RAMBUS INC DELCommon Stock75091710665042,794SH SOLE 42,79400
RAMBUS INC DELCommon Stock75091710656737,287SH SOLE 37,28700
RANGE RES CORPCommon Stock75281A10939269,637SH SOLE 69,63700
RANGE RES CORPCommon Stock75281A10913223,417SH SOLE 23,41700
RAVEN INDS INCCommon Stock75421210831014,433SH SOLE 14,43300
RAVEN INDS INCCommon Stock75421210826512,315SH SOLE 12,31500
RAYMOND JAMES FINL INCCommon Stock7547301091,72625,076SH SOLE 25,07600
RAYONIER ADVANCED MATLS INCCommon Stock75508B1045017,630SH SOLE 17,63000
RAYONIER INCREIT7549071031,24150,073SH SOLE 50,07300
RAYTHEON TECHNOLOGIES CORPCommon Stock75513E10137,753612,671SH SOLE 612,67100
RAYTHEON TECHNOLOGIES CORPCommon Stock75513E10118,634302,400SH SOLE 302,40000
RAYTHEON TECHNOLOGIES CORPCommon Stock75513E1017,165116,279SH SOLE 116,27900
RE MAX HLDGS INCCommon Stock75524W10841013,057SH SOLE 13,05700
RE MAX HLDGS INCCommon Stock75524W1081845,850SH SOLE 5,85000
READY CAP CORPREIT75574U10110812,405SH SOLE 12,40500
READY CAP CORPREIT75574U101738,352SH SOLE 8,35200
REALOGY HLDGS CORPCommon Stock75605Y10628338,207SH SOLE 38,20700
REALOGY HLDGS CORPCommon Stock75605Y10610814,578SH SOLE 14,57800
REALTY INCOME CORPREIT7561091044,20170,608SH SOLE 70,60800
RED ROBIN GOURMET BURGERS INCCommon Stock75689M101454,365SH SOLE 4,36500
REDWOOD TR INCREIT75807540226137,330SH SOLE 37,33000
REDWOOD TR INCREIT75807540219127,291SH SOLE 27,29100
REGAL BELOIT CORPCommon Stock7587501032,33526,735SH SOLE 26,73500
REGENCY CTRS CORPREIT75884910315,620340,380SH SOLE 340,38000
REGENCY CTRS CORPREIT7588491031,60034,876SH SOLE 34,87600
REGENERON PHARMACEUTICALSCommon Stock75886F10712,93320,738SH SOLE 20,73800
REGENERON PHARMACEUTICALSCommon Stock75886F1076,26210,041SH SOLE 10,04100
REGENXBIO INCCommon Stock75901B10737810,263SH SOLE 10,26300
REGENXBIO INCCommon Stock75901B1072978,077SH SOLE 8,07700
REGIONS FINANCIAL CORP NEWCommon Stock7591EP1002,188196,765SH SOLE 196,76500
REGIS CORP MINNCommon Stock758932107678,220SH SOLE 8,22000
REINSURANCE GROUP AMER INCCommon Stock7593516041,93224,632SH SOLE 24,63200
RELIANCE STEEL & ALUMINUM COCommon Stock7595091024,53147,726SH SOLE 47,72600
RENAISSANCE RE HLDGS LTDCommon StockG7496G1034,99129,181SH SOLE 29,18100
RENEWABLE ENERGY GROUP INCCommon Stock75972A30132012,913SH SOLE 12,91300
RENEWABLE ENERGY GROUP INCCommon Stock75972A30126710,789SH SOLE 10,78900
RENT A CTR INC NEWCommon Stock76009N10058020,839SH SOLE 20,83900
RENT A CTR INC NEWCommon Stock76009N10045616,407SH SOLE 16,40700
REPLIGEN CORPCommon Stock7599161093,78430,612SH SOLE 30,61200
REPUBLIC SVCS INCCommon Stock7607591003,54443,194SH SOLE 43,19400
RESIDEO TECHNOLOGIES INCCommon Stock76118Y10449241,975SH SOLE 41,97500
RESMED INCCommon Stock7611521075,71129,744SH SOLE 29,74400
RESMED INCCommon Stock7611521072,56013,334SH SOLE 13,33400
RESOLUTE FST PRODS INCCommon Stock76117W1099243,452SH SOLE 43,45200
RESOURCES CONNECTION INCCommon Stock76122Q10523019,177SH SOLE 19,17700
RESOURCES CONNECTION INCCommon Stock76122Q10512010,049SH SOLE 10,04900
RESTAURANT BRANDS INTERNATIONALCommon Stock76131D10312,250224,240SH SOLE 224,24000
REX AMERICAN RESOURCES CORPCommon Stock7616241051381,990SH SOLE 1,99000
RING ENERGY INCCommon Stock76680V1082218,973SH SOLE 18,97300
RLI CORPCommon Stock7496071073,28440,000SH SOLE 40,00000
ROBERT HALF INTL INCCommon Stock7703231031,60930,450SH SOLE 30,45000
ROBERT HALF INTL INCCommon Stock7703231031,24523,563SH SOLE 23,56300
ROCK-TENN COCommon Stock96145D1052,17877,056SH SOLE 77,05600
ROCK-TENN COCommon Stock96145D1051,50653,304SH SOLE 53,30400
ROCKWELL AUTOMATION INCCommon Stock7739031095,07223,814SH SOLE 23,81400
ROCKWELL AUTOMATION INCCommon Stock7739031092,13710,034SH SOLE 10,03400
Rogers Communications IncCommon Stock77510920010,698267,061SH SOLE 267,06100
ROGERS CORPCommon Stock7751331017636,127SH SOLE 6,12700
ROGERS CORPCommon Stock7751331017586,087SH SOLE 6,08700
ROLLINS INCCommon Stock7757111041,22828,977SH SOLE 28,97700
ROPER TECHNOLOGIES INCCommon Stock7766961068,33421,464SH SOLE 21,46400
ROSETTA STONE INCCommon Stock7777801071227,249SH SOLE 7,24900
ROSS STORES INCCommon Stock7782961036,22873,070SH SOLE 73,07000
ROYAL BANK OF CANADACommon Stock78008710272,6851,074,542SH SOLE 1,074,54200
ROYAL CARIBBEAN GROUPCommon StockV7780T1031,77635,301SH SOLE 35,30100
ROYAL GOLD INCCommon Stock7802871088,52568,574SH SOLE 68,57400
RPC INCCommon Stock74966010612741,307SH SOLE 41,30700
RPC INCCommon Stock7496601065417,651SH SOLE 17,65100
RPM INTL INCCommon Stock7496851032,43032,371SH SOLE 32,37100
RUTHS CHRIS STEAK HSE INCCommon Stock783332109769,316SH SOLE 9,31600
RYERSON HLDG CORPCommon Stock7837541048114,423SH SOLE 14,42300
S & T BANCORP INCCommon Stock78385910130112,819SH SOLE 12,81900
S&P GLOBAL INCCommon Stock78409V10416,31949,531SH SOLE 49,53100
S&P GLOBAL INCCommon Stock78409V1047,10021,549SH SOLE 21,54900
SABRA HEALTH CARE REIT INCREIT78573L1061,21183,912SH SOLE 83,91200
SABRE CORPCommon Stock78573M10462176,993SH SOLE 76,99300
SAFEHOLD INCREIT78645L1002434,224SH SOLE 4,22400
SAFEHOLD INCREIT78645L1001963,416SH SOLE 3,41600
SAFETY INS GROUP INCCommon Stock78648T1003714,870SH SOLE 4,87000
SAIA INCCommon Stock78709Y1059588,617SH SOLE 8,61700
SAIA INCCommon Stock78709Y1056806,114SH SOLE 6,11400
SALESFORCE COM INCCommon Stock79466L30234,703185,250SH SOLE 185,25000
SALESFORCE COM INCCommon Stock79466L30217,66894,313SH SOLE 94,31300
SALLY BEAUTY HLDGS INCCommon Stock79546E10421817,406SH SOLE 17,40600
SANDERSON FARMS INCCommon Stock8000131041,39112,003SH SOLE 12,00300
SANFILIPPO JOHN B & SON INCCommon Stock8004221072552,991SH SOLE 2,99100
SANFILIPPO JOHN B & SON INCCommon Stock8004221072512,946SH SOLE 2,94600
SANMINA CORPORATIONCommon Stock80105610257322,900SH SOLE 22,90000
SANMINA CORPORATIONCommon Stock80105610250620,212SH SOLE 20,21200
SAPIENS INTL CORP N VCommon StockG7T16G10340014,287SH SOLE 14,28700
SAUL CTRS INCREIT8043951011243,846SH SOLE 3,84600
SAUL CTRS INCREIT804395101983,049SH SOLE 3,04900
SCANSOURCE INCCommon Stock8060371072309,561SH SOLE 9,56100
SCANSOURCE INCCommon Stock8060371072078,606SH SOLE 8,60600
SCHEIN HENRY INCCommon Stock8064071027,199123,300SH SOLE 123,30000
SCHEIN HENRY INCCommon Stock8064071021,71429,352SH SOLE 29,35200
SCHLUMBERGER LTDCommon Stock8068571085,247285,341SH SOLE 285,34100
SCHOLASTIC CORPCommon Stock80706610530710,265SH SOLE 10,26500
SCHWAB CHARLES CORP NEWCommon Stock8085131058,644256,207SH SOLE 256,20700
SCHWAB CHARLES CORP NEWCommon Stock8085131057,949235,582SH SOLE 235,58200
SCHWEITZER-MAUDUIT INTL INCCommon Stock80854110634810,401SH SOLE 10,40100
SCIENCE APPLICATIONSCommon Stock8086251072,96138,119SH SOLE 38,11900
SCIENTIFIC GAMES CORPCommon Stock80874P10931820,583SH SOLE 20,58300
SCIPLAY CORPCommon Stock80908710917812,015SH SOLE 12,01500
SCRIPPS E W CO OHIOCommon Stock81105440215918,115SH SOLE 18,11500
SEACOAST BKG CORP FLACommon Stock81170780135217,250SH SOLE 17,25000
SEACOR HOLDINGS INCCommon Stock8119041012027,139SH SOLE 7,13900
SEACOR HOLDINGS INCCommon Stock8119041011605,637SH SOLE 5,63700
Seagate Technology PLCCommon StockG7945M1072,24846,432SH SOLE 46,43200
SEALED AIR CORP NEWCommon Stock81211K1001,05132,004SH SOLE 32,00400
SEI INVESTMENTS COCommon Stock7841171035,09192,601SH SOLE 92,60100
SELECT MEDICAL HOLDINGS CORPCommon Stock81619Q10553035,958SH SOLE 35,95800
SELECT MEDICAL HOLDINGS CORPCommon Stock81619Q10540127,248SH SOLE 27,24800
SELECT SECTOR SPDR TRETP81369Y803304,4422,913,600SH SOLE 2,913,60000
SELECT SECTOR SPDR TRETP81369Y80399,781954,935SH SOLE 954,93500
SELECT SECTOR SPDR TRETP81369Y6058,803380,428SH SOLE 380,42800
SELECT SECTOR SPDR TRETP81369Y88616,753296,882SH SOLE 296,88200
SELECT SECTOR SPDR TRETP81369Y20917,070170,585SH SOLE 170,58500
SEMPRA ENERGYCommon Stock8168511097,05160,146SH SOLE 60,14600
SEMPRA ENERGYCommon Stock8168511095,99251,110SH SOLE 51,11000
SEMTECH CORPCommon Stock8168501013,13360,000SH SOLE 60,00000
SEMTECH CORPCommon Stock8168501014198,021SH SOLE 8,02100
SENECA FOODS CORP NEWCommon Stock8170705012286,742SH SOLE 6,74200
SENECA FOODS CORP NEWCommon Stock817070501702,056SH SOLE 2,05600
SERVICE CORP INTLCommon Stock8175651043,69895,095SH SOLE 95,09500
Service Properties TrustREIT81761L10221330,000SH SOLE 30,00000
SERVICENOW INCCommon Stock81762P10229,32072,384SH SOLE 72,38400
SERVICENOW INCCommon Stock81762P10215,88239,209SH SOLE 39,20900
SERVICENOW INCCommon Stock81762P1026,96117,185SH SOLE 17,18500
SERVISFIRST BANCSHARES INCCommon Stock81768T10854915,344SH SOLE 15,34400
SERVISFIRST BANCSHARES INCCommon Stock81768T1083429,557SH SOLE 9,55700
SHAKE SHACK INCCommon Stock81904710161411,598SH SOLE 11,59800
SHAKE SHACK INCCommon Stock8190471015089,592SH SOLE 9,59200
SHAW COMMUNICATIONS BCommon Stock82028K2005,572342,716SH SOLE 342,71600
SHENANDOAH TELECOMMUNICATIONSCommon Stock82312B10676415,506SH SOLE 15,50600
SHENANDOAH TELECOMMUNICATIONSCommon Stock82312B10651310,400SH SOLE 10,40000
SHERWIN WILLIAMS COCommon Stock8243481069,60216,616SH SOLE 16,61600
SHERWIN WILLIAMS COCommon Stock8243481064,9458,557SH SOLE 8,55700
SHOE CARNIVAL INCCommon Stock824889109963,264SH SOLE 3,26400
SHOE CARNIVAL INCCommon Stock824889109933,164SH SOLE 3,16400
SHOPIFY INCCommon Stock82509L10786,65091,287SH SOLE 91,28700
Shopify IncCommon Stock82509L10776,42280,512SH SOLE 80,51200
SHUTTERSTOCK INCCommon Stock8256901002176,211SH SOLE 6,21100
SHUTTERSTOCK INCCommon Stock8256901001714,885SH SOLE 4,88500
SIGNATURE BANKCommon Stock82669G1046,75563,175SH SOLE 63,17500
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STARBUCKS CORPCommon Stock85524410928,700390,000SH SOLE 390,00000
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STEEL DYNAMICS INCCommon Stock8581191002,43393,265SH SOLE 93,26500
STEELCASE INCCommon Stock85815520332226,659SH SOLE 26,65900
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Suncor Energy IncCommon Stock86722410719,4791,158,773SH SOLE 1,158,77300
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VANGUARD INDEX FDSETP92290855330,809392,324SH SOLE 392,32400
Vanguard S&P 500 ETFETP922908363167,677591,600SH SOLE 591,60000
VANGUARD SCOTTSDALE FDSETP92206C870117,6241,236,323SH SOLE 1,236,32300
VANGUARD SCOTTSDALE FDSETP92206C813118,8141,117,827SH SOLE 1,117,82700
VANGUARD SCOTTSDALE FDSETP92206C81320,068188,800SH SOLE 188,80000
VANGUARD SCOTTSDALE FDSETP92206C87014,899156,600SH SOLE 156,60000
VANGUARD TAX MANAGED INTL FDETP92194385843,9261,132,400SH SOLE 1,132,40000
VANGUARD TAX MANAGED INTL FDETP92194385843,5691,123,202SH SOLE 1,123,20200
VANGUARD TAX MANAGED INTL FDETP92194385833,619866,700SH SOLE 866,70000
VAREX IMAGING CORPCommon Stock92214X10628919,063SH SOLE 19,06300
VAREX IMAGING CORPCommon Stock92214X10619412,812SH SOLE 12,81200
VARIAN MED SYS INCCommon Stock92220P1052,28818,672SH SOLE 18,67200
VECTOR GROUP LTDCommon Stock92240M10842542,249SH SOLE 42,24900
VECTOR GROUP LTDCommon Stock92240M10838938,621SH SOLE 38,62100
VEECO INSTRS INC DELCommon Stock92241710022016,275SH SOLE 16,27500
VENTAS INCREIT92276F1002,80976,706SH SOLE 76,70600
VERA BRADLEY INCCommon Stock92335C1067416,610SH SOLE 16,61000
VERA BRADLEY INCCommon Stock92335C106368,051SH SOLE 8,05100
VERISIGN INCCommon Stock92343E1024,32420,905SH SOLE 20,90500
VERISK ANALYTICS INCCommon Stock92345Y1065,80334,096SH SOLE 34,09600
VERISK ANALYTICS INCCommon Stock92345Y1065,67833,362SH SOLE 33,36200
VERITEX HLDGS INCCommon Stock92345110827715,654SH SOLE 15,65400
VERITIV CORPCommon Stock92345410217410,249SH SOLE 10,24900
VERITIV CORPCommon Stock923454102734,309SH SOLE 4,30900
VERIZON COMMUNICATIONSCommon Stock92343V10446,904850,793SH SOLE 850,79300
VERIZON COMMUNICATIONSCommon Stock92343V10427,014490,000SH SOLE 490,00000
VERIZON COMMUNICATIONSCommon Stock92343V10410,233185,609SH SOLE 185,60900
VERTEX PHARMACEUTICALS INCCommon Stock92532F10052,053179,300SH SOLE 179,30000
VERTEX PHARMACEUTICALS INCCommon Stock92532F10015,47653,308SH SOLE 53,30800
VERTEX PHARMACEUTICALS INCCommon Stock92532F1006,02920,769SH SOLE 20,76900
VIACOMCBS INCCommon Stock92556H2062,592111,146SH SOLE 111,14600
VIAD CORPCommon Stock92552R4061306,818SH SOLE 6,81800
VICOR CORPCommon Stock9258151024376,067SH SOLE 6,06700
VICOR CORPCommon Stock9258151023444,781SH SOLE 4,78100
VIEMED HEALTHCARE INCCommon Stock92663R10513013,600SH SOLE 13,60000
VIRTU FINL INCCommon Stock9282541011255,297SH SOLE 5,29700
VIRTUS INVT PARTNERS INCCommon Stock92828Q1092832,434SH SOLE 2,43400
VIRTUSA CORPCommon Stock92827P1023219,896SH SOLE 9,89600
VIRTUSA CORPCommon Stock92827P1022387,341SH SOLE 7,34100
VISA INCCommon Stock92826C839102,708531,700SH SOLE 531,70000
VISA INCCommon Stock92826C83967,007346,880SH SOLE 346,88000
VISA INCCommon Stock92826C83928,883149,519SH SOLE 149,51900
VISHAY PRECISION GROUPCommon Stock92835K1031475,967SH SOLE 5,96700
VISTA OUTDOOR INCCommon Stock92837710027919,329SH SOLE 19,32900
VISTA OUTDOOR INCCommon Stock92837710019913,743SH SOLE 13,74300
VISTEON CORPCommon Stock92839U2061,47721,565SH SOLE 21,56500
VISTRA CORPCommon Stock92840M1021588,499SH SOLE 8,49900
VONAGE HLDGS CORPCommon Stock92886T20176776,244SH SOLE 76,24400
VONAGE HLDGS CORPCommon Stock92886T20166466,014SH SOLE 66,01400
VORNADO RLTY TRREIT92904210921,979575,218SH SOLE 575,21800
VORNADO RLTY TRREIT9290421091,24632,612SH SOLE 32,61200
VULCAN MATLS COCommon Stock9291601093,15427,229SH SOLE 27,22900
WABASH NATL CORPCommon Stock92956610719618,490SH SOLE 18,49000
WABTEC CORPCommon Stock9297401083,34458,081SH SOLE 58,08100
WABTEC CORPCommon Stock9297401082,14037,169SH SOLE 37,16900
WADDELL & REED FINL INCCommon Stock93005910036523,547SH SOLE 23,54700
WALGREENS BOOTS ALLIANCE INCCommon Stock9314271086,422151,504SH SOLE 151,50400
WALKER & DUNLOP INCCommon Stock93148P1024859,546SH SOLE 9,54600
WALKER & DUNLOP INCCommon Stock93148P1021382,711SH SOLE 2,71100
WALMART, INCCommon Stock93114210388,470738,600SH SOLE 738,60000
WALMART, INCCommon Stock93114210334,872291,132SH SOLE 291,13200
WALMART, INCCommon Stock93114210323,173193,462SH SOLE 193,46200
WARRIOR MET COAL INCCommon Stock93627C10131420,434SH SOLE 20,43400
WARRIOR MET COAL INCCommon Stock93627C10126317,087SH SOLE 17,08700
Waste Connections IncCommon Stock94106B10118,579198,093SH SOLE 198,09300
WASTE CONNECTIONS INCCommon Stock94106B1014,18544,622SH SOLE 44,62200
WASTE MGMT INC DELCommon Stock94106L10924,905235,150SH SOLE 235,15000
WASTE MGMT INC DELCommon Stock94106L1098,45579,828SH SOLE 79,82800
WATERS CORPCommon Stock9418481032,29612,729SH SOLE 12,72900
WATSCO INCCommon Stock9426222001,88410,602SH SOLE 10,60200
WATTS WATER TECHNOLOGIES INCCommon Stock94274910283110,255SH SOLE 10,25500
WATTS WATER TECHNOLOGIES INCCommon Stock9427491027389,107SH SOLE 9,10700
WD-40 COCommon Stock9292361079164,617SH SOLE 4,61700
WD-40 COCommon Stock9292361075032,536SH SOLE 2,53600
WEBSTER FINL CORP CONNCommon Stock9478901094,412154,215SH SOLE 154,21500
WEC ENERGY GROUP INCCommon Stock92939U10618,023205,630SH SOLE 205,63000
WEC ENERGY GROUP INCCommon Stock92939U1065,68564,855SH SOLE 64,85500
WELLS FARGO & CO NEWCommon Stock94974610119,638767,113SH SOLE 767,11300
WELLTOWER INCREIT95040Q1044,44285,835SH SOLE 85,83500
WENDYS CO COMCommon Stock95058W1001,34761,845SH SOLE 61,84500
WERNER ENTERPRISES INCCommon Stock9507551081,46733,700SH SOLE 33,70000
WESCO INTL INCCommon Stock95082P10510293SH SOLE 29300
WESCO INTL INCCommon Stock95082P10501SH SOLE 100
WEST PHARMACEUTICAL SVSC INCCommon Stock9553061053,43815,133SH SOLE 15,13300
WESTAMERICA BANCORPORATIONCommon Stock9570901035078,827SH SOLE 8,82700
WESTAMERICA BANCORPORATIONCommon Stock9570901033285,705SH SOLE 5,70500
WESTERN ALLIANCE BANCORPCommon Stock95763810938810,248SH SOLE 10,24800
WESTERN DIGITAL CORPCommon Stock9581021052,72161,620SH SOLE 61,62000
WESTERN UN COCommon Stock9598021091,82784,485SH SOLE 84,48500
WESTLAKE CHEM CORPCommon Stock9604131023,12358,202SH SOLE 58,20200
WESTLAKE CHEM PARTNERS LPMLP96041710328214,915SH SOLE 14,91500
WEX INCCommon Stock96208T1047,18343,533SH SOLE 43,53300
WEYERHAEUSER COREIT9621661043,446153,423SH SOLE 153,42300
WHEATON PRECIOUS METALCommon Stock96287910214,731335,948SH SOLE 335,94800
WHIRLPOOL CORPCommon Stock9633201061,65612,782SH SOLE 12,78200
Whitestone REITREIT9660842049412,992SH SOLE 12,99200
Whitestone REITREIT9660842047910,865SH SOLE 10,86500
WILEY JOHN & SONS INCCommon Stock9682232061,85047,434SH SOLE 47,43400
WILLIAMS COS INC DELCommon Stock9694571004,744249,439SH SOLE 249,43900
WILLIAMS SONOMA INCCommon Stock9699041013,83546,760SH SOLE 46,76000
WILLIS TOWERS WATSON PUB LTDCommon StockG966291035,21326,468SH SOLE 26,46800
WILLSCOT CORPCommon Stock97137512626521,533SH SOLE 21,53300
WINGSTOP INCCommon Stock9741551031,63211,746SH SOLE 11,74600
WINGSTOP INCCommon Stock9741551031,3669,833SH SOLE 9,83300
WINMARK CORPCommon Stock9742501022941,719SH SOLE 1,71900
WINNEBAGO INDS INCCommon Stock97463710074411,164SH SOLE 11,16400
WINNEBAGO INDS INCCommon Stock9746371004967,443SH SOLE 7,44300
WISDOMTREE INVTS INCCommon Stock97717P10413739,428SH SOLE 39,42800
WOLVERINE WORLD WIDE INCCommon Stock97809710363826,775SH SOLE 26,77500
WOLVERINE WORLD WIDE INCCommon Stock97809710341217,318SH SOLE 17,31800
WOODWARD GOVERNOR COCommon Stock9807451034,19454,083SH SOLE 54,08300
WORLD ACCEP CORP DELCommon Stock9814191041231,870SH SOLE 1,87000
WORTHINGTON INDS INCCommon Stock9818111021,03727,804SH SOLE 27,80400
WPX ENERGY INCCommon Stock98212B1033,708581,229SH SOLE 581,22900
WYNDHAM DESTINATIONS INCCommon Stock98310W10874726,505SH SOLE 26,50500
WYNDHAM HOTELS & RESORTS INCCommon Stock98311A10575317,670SH SOLE 17,67000
WYNN RESORTS LTDCommon Stock9831341071,48719,960SH SOLE 19,96000
XCEL ENERGY INCCommon Stock98389B1006,972111,550SH SOLE 111,55000
XCEL ENERGY INCCommon Stock98389B1006,747107,948SH SOLE 107,94800
XENCOR INCCommon Stock98401F10552016,044SH SOLE 16,04400
XENCOR INCCommon Stock98401F10541412,794SH SOLE 12,79400
XENIA HOTELS & RESORTS INCREIT98401710335337,816SH SOLE 37,81600
XENIA HOTELS & RESORTS INCREIT98401710327229,200SH SOLE 29,20000
XEROX HOLDINGS CORPCommon Stock98421M10657637,652SH SOLE 37,65200
XILINX INCCommon Stock9839191014,91949,996SH SOLE 49,99600
XPERI HOLDING CORPCommon Stock98390M10369046,755SH SOLE 46,75500
XPERI HOLDING CORPCommon Stock98390M10356438,203SH SOLE 38,20300
XPO LOGISTICS INCCommon Stock9837931002,04826,505SH SOLE 26,50500
XYLEM INC W/ICommon Stock98419M1002,40336,991SH SOLE 36,99100
YETI HLDGS INCCommon Stock98585X1041,18827,805SH SOLE 27,80500
YETI HLDGS INCCommon Stock98585X10494422,103SH SOLE 22,10300
YUM BRANDS INCCommon Stock9884981015,37861,884SH SOLE 61,88400
ZEBRA TECHNOLOGIES CORPCommon Stock9892071052,79410,916SH SOLE 10,91600
ZIMMER BIOMET HOLDINGS INCCommon Stock98956P10213,726115,000SH SOLE 115,00000
ZIMMER BIOMET HOLDINGS INCCommon Stock98956P1025,07542,519SH SOLE 42,51900
ZIONS BANCORPORATION NACommon Stock9897011071,14533,691SH SOLE 33,69100
ZOETIS INCCommon Stock98978V10339,851290,800SH SOLE 290,80000
ZOETIS INCCommon Stock98978V10313,38297,650SH SOLE 97,65000
ZUMIEZ INCCommon Stock98981710138914,196SH SOLE 14,19600
ZUMIEZ INCCommon Stock9898171011666,062SH SOLE 6,06200
ZUORA INCCommon Stock98983V10616312,792SH SOLE 12,79200
ZYNEX INCCommon Stock98986M1032148,621SH SOLE 8,62100
ZYNEX INCCommon Stock98986M1031335,360SH SOLE 5,36000