The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

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

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
ANNALY CAPITAL MANAGEMENT INCStock03571040958866,234SH SOLE 66,23400
AGNC INVESTMENT CORPStock00123Q10486351,108SH SOLE 51,10800
GENERAL ELECTRIC COMPANYStock36960410365948,936SH SOLE 48,93600
MGIC INVESTMENT CORP-WISCStock55284810364747,571SH SOLE 47,57100
EXELIXIS INCStock30161Q10475341,348SH SOLE 41,34800
F N B CORPORATIONStock30252010150440,842SH SOLE 40,84200
NEW YORK COMMUNITY BANCORP INCStock64944510342838,800SH SOLE 38,80000
WESTERN UNION COStock95980210986837,787SH SOLE 37,78700
AMICUS THERAPEUTICS INCStock03152W10935336,594SH SOLE 36,59400
BGC PARTNERS INCStock05541T10118733,036SH SOLE 33,03600
CARNIVAL CORPStock14365830086532,827SH SOLE 32,82700
DIAMONDROCK HOSPITALITYStock25278430130731,676SH SOLE 31,67600
H & R BLOCK INCStock09367110572030,668SH SOLE 30,66800
AT&T INCStock00206R10286430,029SH SOLE 30,02900
TRI POINTE GROUP INCStock87265H10963929,822SH SOLE 29,82200
FULTON FINANCIAL CORP-PAStock36027110045028,546SH SOLE 28,54600
FORD MOTOR COStock34537086040927,496SH SOLE 27,49600
HOST HOTELS & RESORTS INCStock44107P10444626,126SH SOLE 26,12600
HEALTHCARE TRUST OF AMERICAStock42225P50168525,641SH SOLE 25,64100
FIRST HORIZON NATL CORPStock32051710537721,794SH SOLE 21,79400
ZYNGA INCStock98986T10822721,349SH SOLE 21,34900
ENERGY TRANSFER LPStock29273V10021720,438SH SOLE 20,43800
BANKUNITED INCStock06652K10386120,177SH SOLE 20,17700
SOUTHWESTERN ENERGY COStock84546710911319,930SH SOLE 19,93000
PARAMOUNT GROUP INCStock69924R10819118,944SH SOLE 18,94400
PFIZER INCStock71708110373518,775SH SOLE 18,77500
VIRTU FINANCIAL INCStock92825410151418,616SH SOLE 18,61600
CSX CORPORATIONStock12640810359518,555SH SOLE 18,55500
SLM CORPORATIONStock78442P10638218,241SH SOLE 18,24100
RLJ LODGING TRUSTStock74965L10127618,141SH SOLE 18,14100
BIOCRYST PHARMACEUTICALS INCStock09058V10327717,543SH SOLE 17,54300
VISHAY INTERTECHNOLOGY INCStock92829810839517,502SH SOLE 17,50200
GRUBHUB INCStock48214T30530516,695SH SOLE 16,69500
CISCO SYSTEMS INCStock17275R10286416,309SH SOLE 16,30900
VONAGE HOLDINGS CORPStock92886T20123316,172SH SOLE 16,17200
MDU RESOURCES GROUP INCStock55269010949415,773SH SOLE 15,77300
DROPBOX INCStock26210C10447615,695SH SOLE 15,69500
KBR INCStock48242W10659615,630SH SOLE 15,63000
SITE CENTERS CORPStock82981J10923115,328SH SOLE 15,32800
ROLLINS INCStock77571110450314,714SH SOLE 14,71400
MASCO CORPStock57459910686214,629SH SOLE 14,62900
GENERAL MILLS INCStock37033410486914,256SH SOLE 14,25600
FIRST AMERICAN FINANCIALStock31847R10286413,865SH SOLE 13,86500
NORWEGIAN CRUISE LINEStockG6672110439313,357SH SOLE 13,35700
CNO FINANCIAL GROUP INCStock12621E10331413,312SH SOLE 13,31200
MACYS INCStock55616P10425213,303SH SOLE 13,30300
BOSTON SCIENTIFIC CORPStock10113710755813,055SH SOLE 13,05500
NIELSEN HOLDINGS PLCStockG6518L10832012,953SH SOLE 12,95300
FIDELITY NATIONAL FINANCIALStock31620R30356212,934SH SOLE 12,93400
SIRIUS XM HOLDINGS INCStock82968B1038412,769SH SOLE 12,76900
KINDER MORGAN INCStock49456B10122612,380SH SOLE 12,38000
RETAIL PROPERTIES OF AMERICAStock76131V20213912,173SH SOLE 12,17300
OLD NATIONAL BANCORPStock68003310721212,057SH SOLE 12,05700
BANK OZKStock06417N10349711,787SH SOLE 11,78700
SUNSTONE HOTEL INVS INCStock86789210114411,618SH SOLE 11,61800
PLUG POWER INCStock72919P20238211,177SH SOLE 11,17700
PHYSICIANS REALTY TRUSTStock71943U10420611,149SH SOLE 11,14900
WOLVERINE WORLD WIDE INCStock97809710337010,990SH SOLE 10,99000
WALGREEN BOOTS ALLIANCE INCStock93142710857810,987SH SOLE 10,98700
KB HOMEStock48666K10944710,975SH SOLE 10,97500
ALTICE USA INCStock02156K10337310,939SH SOLE 10,93900
DENTSPLY SIRONA INCStock24906P10967610,679SH SOLE 10,67900
FIRST MIDWEST BANCORP INC-DELStock32086710421110,644SH SOLE 10,64400
INVESTORS BANCORP INC NEWStock46146L10115210,636SH SOLE 10,63600
COGNIZANT TECHNOLOGY SOLUTIONSStock19244610271410,304SH SOLE 10,30400
COLGATE PALMOLIVE COMPANYStock19416210383210,222SH SOLE 10,22200
NISOURCE INCStock65473P10525010,199SH SOLE 10,19900
PAGERDUTY INCStock69553P10043310,174SH SOLE 10,17400
CONAGRA BRANDS INCStock20588710236910,140SH SOLE 10,14000
WEYERHAEUSER COStock96216610434610,044SH SOLE 10,04400
ALLEGHENY TECHNOLOGIES INCStock01741R1022089,977SH SOLE 9,97700
HP INCStock40434L1053009,935SH SOLE 9,93500
INTERACTIVE BROKERS GROUP INCStock45841N1076499,867SH SOLE 9,86700
FIRST BANCORP P RStock3186727061179,798SH SOLE 9,79800
POTLATCHDELTIC CORPORATIONStock7376301035149,677SH SOLE 9,67700
PACCAR INCStock6937181088529,549SH SOLE 9,54900
NEW YORK TIMES CO-CL AStock6501111074129,455SH SOLE 9,45500
BAXTER INTERNATIONAL INCStock0718131097489,297SH SOLE 9,29700
COCA COLA COMPANYStock1912161004818,892SH SOLE 8,89200
FUELCELL ENERGY INCStock35952H601798,849SH SOLE 8,84900
TRUIST FINANCIAL CORPORATIONStock89832Q1094768,574SH SOLE 8,57400
RPM INTERNATIONAL INCStock7496851037508,455SH SOLE 8,45500
METLIFE INCStock59156R1084818,037SH SOLE 8,03700
SOUTH JERSEY INDUSTRIES INCStock8385181082088,014SH SOLE 8,01400
NEWS CORPORATIONStock65249B1092057,961SH SOLE 7,96100
CERNER CORPStock1567821046187,912SH SOLE 7,91200
FRANKLIN RESOURCES INCStock3546131012537,906SH SOLE 7,90600
MACQUARIE INFRASTRUCTUREStock55608B1053027,882SH SOLE 7,88200
DELL TECHNOLOGIES INCStock24703L2027857,877SH SOLE 7,87700
WENDYS COMPANY (THE)Stock95058W1001847,862SH SOLE 7,86200
TG THERAPEUTICS INCStock88322Q1082997,704SH SOLE 7,70400
DUKE ENERGY CORPORATIONStock26441C2047467,552SH SOLE 7,55200
PEBBLEBROOK HOTEL TRUSTStock70509V1001787,543SH SOLE 7,54300
SS&C TECHNOLOGIES HOLDINGS INCStock78467J1005377,452SH SOLE 7,45200
YUM BRANDS INCStock9884981018547,422SH SOLE 7,42200
CIENA CORPORATIONStock1717793094167,314SH SOLE 7,31400
VOYA FINANCIAL INCStock9290891004477,272SH SOLE 7,27200
HALLIBURTON COMPANYStock4062161011677,228SH SOLE 7,22800
BOX INCStock10316T1041837,145SH SOLE 7,14500
MUELLER WATER PRODUCTS INCStock6247581081027,043SH SOLE 7,04300
VIAVI SOLUTIONS INCStock9255501051226,886SH SOLE 6,88600
TYSON FOODS INC-CL AStock9024941035076,878SH SOLE 6,87800
INVESCO LTDStockG491BT1081846,870SH SOLE 6,87000
HERMAN MILLER INCStock6005441003206,793SH SOLE 6,79300
ENCOMPASS HEALTH CORPORATIONStock29261A1005256,730SH SOLE 6,73000
TAYLOR MORRISON HOME CORPStock87724P1061786,719SH SOLE 6,71900
SORRENTO THERAPEUTICS INCStock83587F202656,668SH SOLE 6,66800
PROLOGIS INCStock74340W1037766,494SH SOLE 6,49400
AMETEK INC NEWStock0311001008656,482SH SOLE 6,48200
FLOWSERVE CORPStock34354P1052606,438SH SOLE 6,43800
STERLING BANCORPStock85917A1001596,395SH SOLE 6,39500
NUANCE COMMUNICATIONS INCStock67020Y1003426,284SH SOLE 6,28400
MCCORMICK & CO INC NON-VOTINGStock5797802065486,210SH SOLE 6,21000
AXALTA COATING SYSTEMS LTDStockG0750C1081876,140SH SOLE 6,14000
ORACLE CORPORATIONStock68389X1054665,985SH SOLE 5,98500
URBAN EDGE PROPERTIESStock91704F1041125,841SH SOLE 5,84100
AVNET INCStock0538071032335,811SH SOLE 5,81100
NORTONLIFELOCK INCStock6687711081585,805SH SOLE 5,80500
DUPONT DE NEMOURS INCStock26614N1024405,690SH SOLE 5,69000
SEMTECH CORPStock8168501013915,680SH SOLE 5,68000
NEW RESIDENTIAL INVESTMENTStock64828T201605,641SH SOLE 5,64100
DARDEN RESTAURANTS INCStock2371941058165,590SH SOLE 5,59000
ADT INCStock00090Q103605,544SH SOLE 5,54400
UBER TECHNOLOGIES INCStock90353T1002775,517SH SOLE 5,51700
FASTENAL COStock3119001042865,502SH SOLE 5,50200
MICROCHIP TECHNOLOGY INCStock5950171048225,490SH SOLE 5,49000
CORNING INCStock2193501052225,428SH SOLE 5,42800
CHESAPEAKE ENERGY CORPORATIONStock1651677352795,369SH SOLE 5,36900
ALLISON TRANSMISSION HOLDINGSStock01973R1012135,361SH SOLE 5,36100
SYSCO CORPStock8718291074135,317SH SOLE 5,31700
CLEAN ENERGY FUELS CORPStock184499101545,304SH SOLE 5,30400
ZUORA INCStock98983V106915,281SH SOLE 5,28100
JOHNSON & JOHNSONStock4781601048675,263SH SOLE 5,26300
FIDELITY NATIONAL INFORMATIONStock31620M1067435,248SH SOLE 5,24800
FISERV INCStock3377381085575,209SH SOLE 5,20900
LAZARD LTDStockG540501022355,189SH SOLE 5,18900
FOOT LOCKER INCStock3448491043185,162SH SOLE 5,16200
PACIFIC BIOSCIENCES OFStock69404D1081805,143SH SOLE 5,14300
AMYRIS INCStock03236M200845,134SH SOLE 5,13400
FISKER INCStock33813J106995,132SH SOLE 5,13200
EXXON MOBIL CORPStock30231G1023245,131SH SOLE 5,13100
HENRY SCHEIN INCStock8064071023785,097SH SOLE 5,09700
GENERAL MOTORS COMPANYStock37045V1003005,062SH SOLE 5,06200
ACTIVISION BLIZZARD INCStock00507V1094785,011SH SOLE 5,01100
BROWN-FORMAN CORPORATIONStock1156372093755,008SH SOLE 5,00800
WALT DISNEY COStock2546871068644,915SH SOLE 4,91500
COSTAR GROUP INCStock22160N1094064,908SH SOLE 4,90800
JABIL INCStock4663131032804,810SH SOLE 4,81000
GOLUB CAP BDC INCStock38173M102744,807SH SOLE 4,80700
AMPHENOL CORPORATIONStock0320951013284,797SH SOLE 4,79700
AECOMStock00766T1003034,790SH SOLE 4,79000
BRIXMOR PROPERTY GROUP INCStock11120U1051094,763SH SOLE 4,76300
HECLA MINING COMPANYStock422704106344,636SH SOLE 4,63600
RETAIL OPPORTUNITY INVESTMENTSStock76131N101824,631SH SOLE 4,63100
GLOBAL PAYMENTS INCStock37940X1028644,606SH SOLE 4,60600
RENT A CENTER INC-NEWStock76009N1002444,606SH SOLE 4,60600
ARTISAN PARTNERS ASSETStock04316A1082334,593SH SOLE 4,59300
DAVE & BUSTERS ENTERTAINMENTStock2383371091854,564SH SOLE 4,56400
FIREEYE INCStock31816Q101914,502SH SOLE 4,50200
WINNEBAGO INDUSTRIES INCStock9746371002994,406SH SOLE 4,40600
CDK GLOBAL INCStock12508E1012184,380SH SOLE 4,38000
VMWARE INC CL AStock9285634026824,261SH SOLE 4,26100
BORG WARNER AUTOMOTIVE INCStock0997241062064,251SH SOLE 4,25100
AMERICAN ELECTRIC POWER CO INCStock0255371013564,212SH SOLE 4,21200
CBRE GROUP INCStock12504L1093614,206SH SOLE 4,20600
EXP WORLD HOLDINGS INCStock30212W1001624,189SH SOLE 4,18900
CHENIERE ENERGY INCStock16411R2083594,138SH SOLE 4,13800
TEGNA INCStock87901J105774,121SH SOLE 4,12100
NEWMONT MINING CORPStock6516391062584,077SH SOLE 4,07700
EQUITY COMMONWEALTHStock2946281021043,988SH SOLE 3,98800
PRIMO WTR CORP CDAStock74167P108663,963SH SOLE 3,96300
WEINGARTEN REALTY INVESTORSStock9487411031273,958SH SOLE 3,95800
FIBROGEN INCStock31572Q8081053,936SH SOLE 3,93600
UNDER ARMOUR INCStock904311107803,785SH SOLE 3,78500
DUKE REALTY CORPStock2644115051793,776SH SOLE 3,77600
VENTAS INCStock92276F1002143,742SH SOLE 3,74200
VERACYTE INCStock92337F1071503,741SH SOLE 3,74100
BROOKS AUTOMATION INCStock1143401023533,701SH SOLE 3,70100
CONSTELLATION BRANDS INCStock21036P1088633,689SH SOLE 3,68900
KEYCORP NEWStock493267108753,654SH SOLE 3,65400
MEDTRONIC PLCStockG5960L1034543,654SH SOLE 3,65400
INTRA CELLULAR THERAPIES INCStock46116X1011403,421SH SOLE 3,42100
APPLE INCStock0378331004673,409SH SOLE 3,40900
EQT CORPORATIONStock26884L109753,386SH SOLE 3,38600
ILLINOIS TOOL WORKS INCStock4523081097433,323SH SOLE 3,32300
ANTERO RESOURCES CORPORATIONStock03674X106503,322SH SOLE 3,32200
WASTE CONNECTIONS INCStock94106B1013933,290SH SOLE 3,29000
YELP INCStock9858171051293,232SH SOLE 3,23200
CVS HEALTH CORPORATIONStock1266501002693,226SH SOLE 3,22600
KRAFT HEINZ COMPANY (THE)Stock5007541061303,196SH SOLE 3,19600
MICROVISION INC DELStock594960304533,168SH SOLE 3,16800
CIGNA CORPORATIONStock1255231007443,140SH SOLE 3,14000
BALL CORPStock0584981062543,138SH SOLE 3,13800
STARBUCKS CORPStock8552441093463,095SH SOLE 3,09500
BERKLEY W R CORPORATIONStock0844231022293,080SH SOLE 3,08000
IAA INCStock4492531031673,071SH SOLE 3,07100
COMMUNITY HEALTH SYSTEM INCStock203668108462,956SH SOLE 2,95600
FORTIVE CORPORATIONStock34959J1082032,914SH SOLE 2,91400
DOUGLAS EMMETT INCStock25960P109982,912SH SOLE 2,91200
THE TRAVELERS COMPANIES INCStock89417E1094362,911SH SOLE 2,91100
LOUISIANA PACIFIC CORPStock5463471051682,788SH SOLE 2,78800
ASSOCIATED BANC CORPStock045487105572,768SH SOLE 2,76800
HEALTHEQUITY INCStock42226A1072222,763SH SOLE 2,76300
TIMKEN COStock8873891042192,722SH SOLE 2,72200
APPLIED MATERIALS INCStock0382221053862,713SH SOLE 2,71300
VALERO ENERGY CORP NEWStock91913Y1002112,697SH SOLE 2,69700
STATE STREET CORPStock8574771032212,684SH SOLE 2,68400
AMERICAN FINANCIAL GROUP INCStock0259321043322,664SH SOLE 2,66400
FIRSTENERGY CORPStock337932107992,659SH SOLE 2,65900
MARATHON OIL CORPStock565849106362,645SH SOLE 2,64500
SUNPOWER CORPORATIONStock867652406762,617SH SOLE 2,61700
INTEL CORPStock4581401001462,596SH SOLE 2,59600
VERIZON COMMUNICATIONSStock92343V1041442,574SH SOLE 2,57400
GALLAGHER ARTHUR J & COStock3635761093602,573SH SOLE 2,57300
AMDOCS LIMITEDStockG026021031982,556SH SOLE 2,55600
DTE ENERGY COStock2333311073252,510SH SOLE 2,51000
FEDEX CORPStock31428X1067452,497SH SOLE 2,49700
PRA HEALTH SCIENCES INCStock69354M1084092,474SH SOLE 2,47400
REGENCY CENTERS CORPStock7588491031572,451SH SOLE 2,45100
SMARTSHEET INCStock83200N1031712,365SH SOLE 2,36500
SOUTHERN COPPER CORPORATIONStock84265V1051522,360SH SOLE 2,36000
OWENS CORNINGStock6907421012302,354SH SOLE 2,35400
ADVANCED MICRO DEVICES INCStock0079031072192,331SH SOLE 2,33100
TRAVEL PLUS LEISURE COStock8941641021372,310SH SOLE 2,31000
BUCKLE INCStock1184401061152,304SH SOLE 2,30400
ARROW ELECTRONICS INCStock0427351002592,273SH SOLE 2,27300
AFLAC INCStock0010551021202,239SH SOLE 2,23900
LOCKHEED MARTIN CORPStock5398301098462,236SH SOLE 2,23600
ABBVIE INCStock00287Y1092502,222SH SOLE 2,22200
3M COMPANYStock88579Y1014362,194SH SOLE 2,19400
XCEL ENERGY INCStock98389B1001442,188SH SOLE 2,18800
HOME BANCSHARES INCStock436893200532,146SH SOLE 2,14600
SOLARWINDS CORPORATIONStock83417Q105362,142SH SOLE 2,14200
NU SKIN ENTERPRISES INCStock67018T1051212,128SH SOLE 2,12800
TAL EDUCATION GROUPStock874080104542,128SH SOLE 2,12800
MONSTER BEVERAGE CORPORATIONStock61174X1091942,124SH SOLE 2,12400
BOEING COStock0970231055032,099SH SOLE 2,09900
EPR PROPERTIESStock26884U1091102,085SH SOLE 2,08500
R1 RCM INCStock749397105462,081SH SOLE 2,08100
BLUEBIRD BIO INCStock09609G100662,075SH SOLE 2,07500
PEOPLES UTD FINL INCStock712704105352,062SH SOLE 2,06200
SAGE THERAPEUTICS INCStock78667J1081162,045SH SOLE 2,04500
SPROUTS FARMERS MARKET INCStock85208M102502,017SH SOLE 2,01700
CYRUSONE INCStock23283R1001421,981SH SOLE 1,98100
FMC CORP NEWStock3024913032121,957SH SOLE 1,95700
AGILON HEALTH INCStock00857U107771,888SH SOLE 1,88800
TAPESTRY INCStock876030107821,883SH SOLE 1,88300
CAPITAL ONE FINANCIAL CORPStock14040H1052891,869SH SOLE 1,86900
WEIGHT WATCHERS INTERNATIONALStock98262P101671,852SH SOLE 1,85200
SHERWIN WILLIAMS COStock8243481065041,851SH SOLE 1,85100
FUBOTV INCStock35953D104591,845SH SOLE 1,84500
OPENDOOR TECHNOLOGIES INCStock683712103321,824SH SOLE 1,82400
STORE CAPITAL CORPORATIONStock862121100631,823SH SOLE 1,82300
SBA COMMUNICATIONS CORP NEWStock78410G1045791,816SH SOLE 1,81600
WILLIAMS SONOMA INCStock9699041012891,813SH SOLE 1,81300
AON PLCStockG0403H1084331,812SH SOLE 1,81200
SPLUNK INCStock8486371042581,784SH SOLE 1,78400
NETAPP INCStock64110D1041451,771SH SOLE 1,77100
ENERGIZER HOLDINGS INCStock29272W109751,735SH SOLE 1,73500
MARATHON PETE CORPStock56585A1021031,709SH SOLE 1,70900
EQUITY RESIDENTIALStock29476L1071301,694SH SOLE 1,69400
DIGITAL REALTY TRUST INCStock2538681032541,690SH SOLE 1,69000
STEVEN MADDEN LTDStock556269108741,689SH SOLE 1,68900
PNC FINANCIAL SVCS GROUP INCStock6934751053211,681SH SOLE 1,68100
GENTEX CORPStock371901109551,671SH SOLE 1,67100
INSMED INCStock457669307471,667SH SOLE 1,66700
L3HARRIS TECHNOLOGIES INCStock5024311093591,663SH SOLE 1,66300
3-D SYSTEMS CORP-DELStock88554D205661,654SH SOLE 1,65400
NMI HOLDINGS INCStock629209305361,584SH SOLE 1,58400
CUMMINS INCStock2310211063811,564SH SOLE 1,56400
CORCEPT THERAPEUTICS INCStock218352102341,529SH SOLE 1,52900
BLOOM ENERGY CORPORATIONStock093712107411,510SH SOLE 1,51000
SALESFORCE.COM INCStock79466L3023691,510SH SOLE 1,51000
OCCIDENTAL PETE CORPStock674599105461,479SH SOLE 1,47900
AMERICAN WTR WKS CO INCStock0304201032261,468SH SOLE 1,46800
HASBRO INCStock4180561071391,466SH SOLE 1,46600
INTERNATIONAL GAMEStockG4863A108351,459SH SOLE 1,45900
CMS ENERGY CORPStock125896100861,450SH SOLE 1,45000
ROSS STORES INCStock7782961031781,436SH SOLE 1,43600
MASTEC INCStock5763231091491,403SH SOLE 1,40300
INVITAE CORPORATIONStock46185L103471,394SH SOLE 1,39400
ELECTRONIC ARTS INCStock2855121091981,377SH SOLE 1,37700
DUCK CREEK TECHNOLOGIES INCStock264120106581,322SH SOLE 1,32200
UMPQUA HLDGS CORPStock904214103241,304SH SOLE 1,30400
MARRIOTT VACATIONS WORLDWIDEStock57164Y1072071,297SH SOLE 1,29700
HALOZYME THERAPEUTICS INCStock40637H109591,291SH SOLE 1,29100
UGI CORPORATIONStock902681105601,290SH SOLE 1,29000
ELEMENT SOLUTIONS INCStock28618M106291,249SH SOLE 1,24900
HERBALIFE NUTRITION LTDStockG4412G101661,248SH SOLE 1,24800
KILROY REALTY CORPStock49427F108861,236SH SOLE 1,23600
SNAP-ON INCStock8330341012741,227SH SOLE 1,22700
TJX COMPANIES INC NEWStock872540109821,215SH SOLE 1,21500
EVERI HOLDINGS INCStock30034T103301,197SH SOLE 1,19700
NORTHROP GRUMMAN CORPStock6668071024351,196SH SOLE 1,19600
ANGI HOMESERVICES INCStock00183L102161,194SH SOLE 1,19400
RADIAN GROUP INCStock750236101261,152SH SOLE 1,15200
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