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    <nameOfIssuer>A10 NETWORKS INC</nameOfIssuer>
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    <nameOfIssuer>AARONS INC</nameOfIssuer>
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    <nameOfIssuer>ACTIVISION BLIZZARD INC</nameOfIssuer>
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    <nameOfIssuer>ADVANCED MICRO DEVICES INC</nameOfIssuer>
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    <nameOfIssuer>AEROVIRONMENT INC</nameOfIssuer>
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    <nameOfIssuer>AGIOS PHARMACEUTICALS INC</nameOfIssuer>
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    <nameOfIssuer>AIR LEASE CORP</nameOfIssuer>
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    <nameOfIssuer>ALEXCO RESOURCE CORP</nameOfIssuer>
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    <nameOfIssuer>ALLIANCE DATA SYSTEMS CORP</nameOfIssuer>
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    <nameOfIssuer>ALLSCRIPTS HEALTHCARE SOLUTNS COM</nameOfIssuer>
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    <cusip>02043Q107</cusip>
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    <cusip>G037AX101</cusip>
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    <cusip>G02602103</cusip>
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    <titleOfClass>Common Stock</titleOfClass>
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    <nameOfIssuer>AMERICAN EXPRESS CO</nameOfIssuer>
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    <nameOfIssuer>AMERICAN STS WTR CO</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>029899101</cusip>
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    <nameOfIssuer>AMERICAN WTR WKS CO INC NEW</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>030420103</cusip>
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    <nameOfIssuer>AMERICAS SILVER CORP COM</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>03063L705</cusip>
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    <nameOfIssuer>AMERIPRISE FINL INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>03076C106</cusip>
    <value>742</value>
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    <nameOfIssuer>AMETEK INC NEW</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>031100100</cusip>
    <value>157</value>
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    <nameOfIssuer>AMGEN INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>031162100</cusip>
    <value>893</value>
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    <nameOfIssuer>AMN HEALTHCARE SERVICES INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
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    <titleOfClass>Common Stock</titleOfClass>
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    <nameOfIssuer>ANALOG DEVICES INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>032654105</cusip>
    <value>167</value>
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    <titleOfClass>Common Stock</titleOfClass>
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    <nameOfIssuer>ARCHER DANIELS MIDLAND CO</nameOfIssuer>
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    <nameOfIssuer>AROTECH CORP</nameOfIssuer>
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    <nameOfIssuer>ASGN INC</nameOfIssuer>
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    <nameOfIssuer>AUTOZONE INC</nameOfIssuer>
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    <nameOfIssuer>AVALONBAY CMNTYS INC</nameOfIssuer>
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    <nameOfIssuer>AVERY DENNISON CORP</nameOfIssuer>
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    <nameOfIssuer>AXALTA COATING SYS LTD</nameOfIssuer>
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    <nameOfIssuer>BALLARD PWR SYS INC NEW</nameOfIssuer>
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    <nameOfIssuer>BANK HAWAII CORP</nameOfIssuer>
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    <nameOfIssuer>BECTON DICKINSON &amp; CO</nameOfIssuer>
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    <nameOfIssuer>BGC PARTNERS INC</nameOfIssuer>
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    <nameOfIssuer>BIO TECHNE CORP</nameOfIssuer>
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    <nameOfIssuer>BLOCK H &amp; R INC</nameOfIssuer>
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    <nameOfIssuer>BOEING CO</nameOfIssuer>
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    <nameOfIssuer>BOOKING HLDGS INC</nameOfIssuer>
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    <nameOfIssuer>BOOZ ALLEN HAMILTON HLDG CORP CL A</nameOfIssuer>
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    <nameOfIssuer>BOSTON SCIENTIFIC CORP</nameOfIssuer>
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    <nameOfIssuer>BOYD GAMING CORP</nameOfIssuer>
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    <cusip>103304101</cusip>
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    <nameOfIssuer>BRAINSTORM CELL THERAPEUTICS COM NEW</nameOfIssuer>
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    <cusip>10501E201</cusip>
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    <nameOfIssuer>BRIGHTHOUSE FINL INC</nameOfIssuer>
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    <nameOfIssuer>BRINKS CO</nameOfIssuer>
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    <nameOfIssuer>BRISTOL MYERS SQUIBB CO</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
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    <nameOfIssuer>BROADCOM INC</nameOfIssuer>
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    <nameOfIssuer>BROADRIDGE FINL SOLUTIONS INC COM</nameOfIssuer>
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    <nameOfIssuer>CHANGYOU COM LTD</nameOfIssuer>
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    <nameOfIssuer>CHOICE HOTELS INTL INC</nameOfIssuer>
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    <nameOfIssuer>COEUR MINING INC.</nameOfIssuer>
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    <nameOfIssuer>COGNIZANT TECHNOLOGY SOLUTIONS CL A</nameOfIssuer>
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    <nameOfIssuer>COMMERCE BANCSHARES INC</nameOfIssuer>
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    <nameOfIssuer>CYBERARK SOFTWARE LTD</nameOfIssuer>
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    <nameOfIssuer>DEXCOM INC</nameOfIssuer>
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    <nameOfIssuer>DISCOVER FINL SVCS</nameOfIssuer>
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    <nameOfIssuer>DOLBY LABORATORIES INC</nameOfIssuer>
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    <nameOfIssuer>DSP GROUP INC</nameOfIssuer>
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    <nameOfIssuer>DUKE ENERGY CORP NEW</nameOfIssuer>
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    <nameOfIssuer>E TRADE FINANCIAL CORP</nameOfIssuer>
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    <nameOfIssuer>EDWARDS LIFESCIENCES CORP</nameOfIssuer>
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    <nameOfIssuer>ELEMENT SOLUTIONS INC</nameOfIssuer>
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    <nameOfIssuer>ENDEAVOUR SILVER CORP</nameOfIssuer>
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    <nameOfIssuer>ENERGY RECOVERY INC</nameOfIssuer>
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    <value>152</value>
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    <nameOfIssuer>EQUINIX INC</nameOfIssuer>
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    <cusip>29978A104</cusip>
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    <nameOfIssuer>EVEREST RE GROUP LTD</nameOfIssuer>
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    <cusip>G3223R108</cusip>
    <value>122</value>
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    <nameOfIssuer>EVERTEC INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
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    <nameOfIssuer>EVO PMTS INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>26927E104</cusip>
    <value>8578</value>
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    <nameOfIssuer>EXPEDIA GROUP INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>30212P303</cusip>
    <value>155</value>
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    <nameOfIssuer>FIRST MAJESTIC SILVER CORP</nameOfIssuer>
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    <nameOfIssuer>FLEETCOR TECHNOLOGIES INC</nameOfIssuer>
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    <nameOfIssuer>FORESCOUT TECHNOLOGIES INC</nameOfIssuer>
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    <nameOfIssuer>GAMESTOP CORP NEW</nameOfIssuer>
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    <nameOfIssuer>GENERAC HLDGS INC</nameOfIssuer>
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    <nameOfIssuer>GENERAL DYNAMICS CORP</nameOfIssuer>
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    <cusip>37950E259</cusip>
    <value>78</value>
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    <cusip>37954Y665</cusip>
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    <cusip>37950E192</cusip>
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    <nameOfIssuer>GLOBAL X FDS GLBX MSCI COLUM</nameOfIssuer>
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    <cusip>37950E200</cusip>
    <value>27</value>
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    <nameOfIssuer>GLOBAL X FDS GLBX MSCI NORW</nameOfIssuer>
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    <cusip>37950E747</cusip>
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    <nameOfIssuer>GLOBAL X FDS MSCI GREECE ETF</nameOfIssuer>
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    <nameOfIssuer>INTEC PHARMA LTD JERUSALEM</nameOfIssuer>
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    <nameOfIssuer>INTEGRATED DEVICE TECHNOLOGY COM</nameOfIssuer>
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    <nameOfIssuer>INTEL CORP</nameOfIssuer>
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    <cusip>45866F104</cusip>
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    <nameOfIssuer>INTERNATIONAL FLAVORS&amp;FRAGRANC COM</nameOfIssuer>
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    <nameOfIssuer>INTRA CELLULAR THERAPIES INC COM</nameOfIssuer>
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    <cusip>46116X101</cusip>
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    <nameOfIssuer>INTREPID POTASH INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>46121Y102</cusip>
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    <nameOfIssuer>INTUIT</nameOfIssuer>
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    <nameOfIssuer>INTUITIVE SURGICAL INC</nameOfIssuer>
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    <nameOfIssuer>IONIS PHARMACEUTICALS INC</nameOfIssuer>
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    <nameOfIssuer>IPG PHOTONICS CORP</nameOfIssuer>
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    <nameOfIssuer>ISHARES INC MSCI AUSTRALIA</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286103</cusip>
    <value>25</value>
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    <nameOfIssuer>ISHARES INC MSCI AUSTRIA INV</nameOfIssuer>
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    <cusip>464286202</cusip>
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    <nameOfIssuer>ISHARES INC MSCI BELG INVEST</nameOfIssuer>
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    <cusip>464286301</cusip>
    <value>35</value>
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    <nameOfIssuer>ISHARES INC MSCI BRAZIL ETF</nameOfIssuer>
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    <cusip>464286400</cusip>
    <value>312</value>
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    <nameOfIssuer>ISHARES INC MSCI CDA INDEX</nameOfIssuer>
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    <cusip>464286509</cusip>
    <value>37</value>
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    <nameOfIssuer>ISHARES INC MSCI CHILE ETF</nameOfIssuer>
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    <cusip>464286640</cusip>
    <value>68</value>
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    <nameOfIssuer>ISHARES INC MSCI FRANCE</nameOfIssuer>
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    <cusip>464286707</cusip>
    <value>26</value>
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    <nameOfIssuer>ISHARES INC MSCI GERMAN</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286806</cusip>
    <value>42</value>
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      <sshPrnamtType>SH</sshPrnamtType>
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    <investmentDiscretion>SOLE</investmentDiscretion>
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    <nameOfIssuer>ISHARES INC MSCI HONG KONG</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286871</cusip>
    <value>54</value>
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    <nameOfIssuer>ISHARES INC MSCI ISRAEL ETF</nameOfIssuer>
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    <cusip>464286632</cusip>
    <value>67</value>
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    <nameOfIssuer>ISHARES INC MSCI ITALY ETF</nameOfIssuer>
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    <cusip>46434G830</cusip>
    <value>61</value>
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    <nameOfIssuer>ISHARES INC MSCI JPN ETF NEW</nameOfIssuer>
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    <cusip>46434G822</cusip>
    <value>22</value>
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    <nameOfIssuer>ISHARES INC MSCI MEXICO ETF</nameOfIssuer>
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    <cusip>464286822</cusip>
    <value>66</value>
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    <cusip>46434G814</cusip>
    <value>173</value>
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    <nameOfIssuer>ISHARES INC MSCI NETHERLANDS</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286814</cusip>
    <value>35</value>
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    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46434G798</cusip>
    <value>34</value>
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    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46434G780</cusip>
    <value>33</value>
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    </votingAuthority>
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    <nameOfIssuer>ISHARES INC MSCI SPAIN</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286764</cusip>
    <value>97</value>
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      <sshPrnamtType>SH</sshPrnamtType>
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    <nameOfIssuer>ISHARES INC MSCI STH KOR ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286772</cusip>
    <value>47</value>
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    <investmentDiscretion>SOLE</investmentDiscretion>
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    <nameOfIssuer>ISHARES INC MSCI SWEDEN</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286756</cusip>
    <value>30</value>
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    <investmentDiscretion>SOLE</investmentDiscretion>
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    <nameOfIssuer>ISHARES INC MSCI SWITZERLD</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286749</cusip>
    <value>31</value>
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    <nameOfIssuer>ISHARES INC MSCI TAIWAN ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46434G772</cusip>
    <value>30</value>
    <shrsOrPrnAmt>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
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      <None>0</None>
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    <nameOfIssuer>ISHARES INC MSCI THAILND ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286624</cusip>
    <value>21</value>
    <shrsOrPrnAmt>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
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    </votingAuthority>
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    <nameOfIssuer>ISHARES INC MSCI TURKEY ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464286715</cusip>
    <value>47</value>
    <shrsOrPrnAmt>
      <sshPrnamt>1952</sshPrnamt>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
      <Sole>0</Sole>
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      <None>0</None>
    </votingAuthority>
  </infoTable>
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    <nameOfIssuer>ISHARES TR 1 3 YR TREAS BD</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464287457</cusip>
    <value>2317</value>
    <shrsOrPrnAmt>
      <sshPrnamt>27540</sshPrnamt>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
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      <None>0</None>
    </votingAuthority>
  </infoTable>
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    <nameOfIssuer>ISHARES TR CHINA LG-CAP ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464287184</cusip>
    <value>242</value>
    <shrsOrPrnAmt>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
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      <None>0</None>
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  </infoTable>
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    <nameOfIssuer>ISHARES TR CORE S&amp;P TTL STK</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>464287150</cusip>
    <value>31</value>
    <shrsOrPrnAmt>
      <sshPrnamt>475</sshPrnamt>
      <sshPrnamtType>SH</sshPrnamtType>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
      <Sole>0</Sole>
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      <None>0</None>
    </votingAuthority>
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    <nameOfIssuer>ISHARES TR MSCI DENMARK ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46429B523</cusip>
    <value>15</value>
    <shrsOrPrnAmt>
      <sshPrnamt>244</sshPrnamt>
      <sshPrnamtType>SH</sshPrnamtType>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
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      <Shared>0</Shared>
      <None>0</None>
    </votingAuthority>
  </infoTable>
  <infoTable>
    <nameOfIssuer>ISHARES TR MSCI FINLAND ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46429B515</cusip>
    <value>15</value>
    <shrsOrPrnAmt>
      <sshPrnamt>392</sshPrnamt>
      <sshPrnamtType>SH</sshPrnamtType>
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    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
      <Sole>0</Sole>
      <Shared>0</Shared>
      <None>0</None>
    </votingAuthority>
  </infoTable>
  <infoTable>
    <nameOfIssuer>ISHARES TR MSCI INDIA ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46429B598</cusip>
    <value>16</value>
    <shrsOrPrnAmt>
      <sshPrnamt>458</sshPrnamt>
      <sshPrnamtType>SH</sshPrnamtType>
    </shrsOrPrnAmt>
    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
      <Sole>0</Sole>
      <Shared>0</Shared>
      <None>0</None>
    </votingAuthority>
  </infoTable>
  <infoTable>
    <nameOfIssuer>ISHARES TR MSCI INDONIA ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46429B309</cusip>
    <value>6</value>
    <shrsOrPrnAmt>
      <sshPrnamt>239</sshPrnamt>
      <sshPrnamtType>SH</sshPrnamtType>
    </shrsOrPrnAmt>
    <investmentDiscretion>SOLE</investmentDiscretion>
    <votingAuthority>
      <Sole>0</Sole>
      <Shared>0</Shared>
      <None>0</None>
    </votingAuthority>
  </infoTable>
  <infoTable>
    <nameOfIssuer>ISHARES TR MSCI IRELAND ETF</nameOfIssuer>
    <titleOfClass>Mutual Fund</titleOfClass>
    <cusip>46429B507</cusip>
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    <nameOfIssuer>JUNIPER NETWORKS INC</nameOfIssuer>
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    <nameOfIssuer>KAMADA</nameOfIssuer>
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    <nameOfIssuer>KB HOME</nameOfIssuer>
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    <nameOfIssuer>KEYW HLDG CORP</nameOfIssuer>
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    <nameOfIssuer>KLA-TENCOR CORP</nameOfIssuer>
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    <nameOfIssuer>KORNIT DIGITAL LTD</nameOfIssuer>
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    <nameOfIssuer>KRAFT HEINZ CO</nameOfIssuer>
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    <nameOfIssuer>KRATOS DEFENSE &amp; SEC SOLUTIONS COM NEW</nameOfIssuer>
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    <nameOfIssuer>LKQ CORP</nameOfIssuer>
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    <nameOfIssuer>LOCKHEED MARTIN CORP</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>539830109</cusip>
    <value>650</value>
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    <nameOfIssuer>LOGITECH INTL S A</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>H50430232</cusip>
    <value>1440</value>
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    <nameOfIssuer>LOWES COS INC</nameOfIssuer>
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    <value>181</value>
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    <nameOfIssuer>NEW RELIC INC</nameOfIssuer>
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    <nameOfIssuer>NEWMONT MNG CORP</nameOfIssuer>
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    <nameOfIssuer>NOVA MEASURING INS</nameOfIssuer>
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    <nameOfIssuer>NOVOCURE LTD</nameOfIssuer>
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    <nameOfIssuer>NUTANIX INC</nameOfIssuer>
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    <nameOfIssuer>NVIDIA CORP</nameOfIssuer>
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    <nameOfIssuer>O REILLY AUTOMOTIVE INC NEW</nameOfIssuer>
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    <nameOfIssuer>OKTA INC</nameOfIssuer>
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    <nameOfIssuer>ON SEMICONDUCTOR CORP</nameOfIssuer>
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    <nameOfIssuer>ONESPAN INC</nameOfIssuer>
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    <nameOfIssuer>ORMAT TECHNOLOGIES</nameOfIssuer>
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    <nameOfIssuer>PAN AMERICAN SILVER CORP</nameOfIssuer>
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    <nameOfIssuer>PATTERN ENERGY GROUP INC</nameOfIssuer>
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    <value>191</value>
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    <nameOfIssuer>PAYCHEX INC</nameOfIssuer>
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    <value>190</value>
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    <nameOfIssuer>PAYPAL HLDGS INC</nameOfIssuer>
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    <nameOfIssuer>PENTAIR PLC</nameOfIssuer>
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    <nameOfIssuer>PEOPLES UTD FINL INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>712704105</cusip>
    <value>129</value>
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    <nameOfIssuer>PINNACLE WEST CAP CORP</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>723484101</cusip>
    <value>175</value>
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    <nameOfIssuer>PLURISTEM THERAPEU</nameOfIssuer>
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    <cusip>72940R102</cusip>
    <value>233</value>
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    <nameOfIssuer>POWER INTEGRATIONS INC</nameOfIssuer>
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    <cusip>739276103</cusip>
    <value>147</value>
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    <nameOfIssuer>PPG INDS INC</nameOfIssuer>
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    <value>146</value>
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    <nameOfIssuer>PRICE T ROWE GROUP INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
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    <value>135</value>
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    <value>101</value>
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    <nameOfIssuer>PROCTER AND GAMBLE CO</nameOfIssuer>
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    <value>192</value>
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    <nameOfIssuer>PROGRESSIVE CORP OHIO</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>743315103</cusip>
    <value>1209</value>
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    <nameOfIssuer>PROLOGIS INC</nameOfIssuer>
    <titleOfClass>REIT</titleOfClass>
    <cusip>74340W103</cusip>
    <value>166</value>
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    <nameOfIssuer>PROOFPOINT INC</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>743424103</cusip>
    <value>56088</value>
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    <nameOfIssuer>PUBLIC SVC ENTERPRISE GRP INC COM</nameOfIssuer>
    <titleOfClass>Common Stock</titleOfClass>
    <cusip>744573106</cusip>
    <value>172</value>
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    <nameOfIssuer>WASTE MGMT INC DEL</nameOfIssuer>
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    <nameOfIssuer>WATTS WATER TECHNOLOGIES INC CL A</nameOfIssuer>
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    <nameOfIssuer>WESCO INTL INC</nameOfIssuer>
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    <nameOfIssuer>WESTERN ALLIANCE BANCORP</nameOfIssuer>
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    <nameOfIssuer>WESTERN UN CO</nameOfIssuer>
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    <nameOfIssuer>WESTLAKE CHEM CORP</nameOfIssuer>
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    <nameOfIssuer>WEX INC</nameOfIssuer>
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    <nameOfIssuer>WHITE MTNS INS GROUP LTD</nameOfIssuer>
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    <nameOfIssuer>WILLIAMS COS INC DEL</nameOfIssuer>
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    <cusip>969457100</cusip>
    <value>1059</value>
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    <nameOfIssuer>WIX COM LTD</nameOfIssuer>
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    <nameOfIssuer>WORKDAY INC</nameOfIssuer>
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    <value>217</value>
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    <value>21314</value>
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    <nameOfIssuer>XILINX INC</nameOfIssuer>
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    <value>254</value>
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    <nameOfIssuer>XYLEM INC</nameOfIssuer>
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    <nameOfIssuer>YY INC</nameOfIssuer>
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    <value>1031</value>
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    <nameOfIssuer>ZIONS BANCORPORATION N A</nameOfIssuer>
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    <value>125</value>
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    <nameOfIssuer>ZIX CORP</nameOfIssuer>
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</informationTable>
