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
AMAZON.COM INCStock0231351061,408703SH SOLE 70300
ENDO PHARMACEUTICALS HLDGS INCStockG30401106321,939SH SOLE 1,93900
TREE.COM INCStock52603B107316SH SOLE 1600
PCM INC COMStock69323K1002108SH SOLE 10800
UNIFI INC COM NEWStock90467720021759SH SOLE 75900
CERNER CORPStock15678210426405SH SOLE 40500
ISHARES NORTH AMERICAN NATURAL RESOURCES ETFETF46428737466418,530SH SOLE 18,53000
CBS CORP CL BStock12485720216292SH SOLE 29200
GANNETT CO INC COMStock36473H104464,639SH SOLE 4,63900
COHERENT INC COMStock192479103321SH SOLE 2100
GENESCO INC COMStock37153210240856SH SOLE 85600
GLOBAL PAYMENTS INC Stock37940X10237297SH SOLE 29700
ROLLINS INC COMStock775711104240SH SOLE 4000
TETRA TECHNOLOGIES DEL Stock88162F105265,831SH SOLE 5,83100
PRUDENTIAL FINL INCStock744320102449SH SOLE 4900
PROGENICS PHARMACEUTICALS INC COMStock743187106074SH SOLE 7400
WISDOMTREE JAPAN HEDGED EQUITYETF97717W8516,000103,546SH SOLE 103,54600
HEWLETT PACKARD ENTERPRISE CO COMStock42824C10916710,272SH SOLE 10,27200
SEALED AIR CORP NEW COMStock81211K100011SH SOLE 1100
AMERICAN PUB ED INC COMStock02913V10313394SH SOLE 39400
WYNN RESORTS LTDStock983134107110SH SOLE 1000
ULTA SALON COSMETICS & FRAGRANCE INC COMStock90384S303518SH SOLE 1800
SIRIUS XM RADIO INC Stock82968B1032467SH SOLE 46700
ARCHROCK INC COMStock03957W106403,336SH SOLE 3,33600
POWERSHARES QQQ TRETF46090E10336197SH SOLE 19700
STERICYCLE INCStock858912108235SH SOLE 3500
STARBUCKS CORPStock8552441091342,367SH SOLE 2,36700
SEMPRA ENERGYStock816851109104918SH SOLE 91800
NATIONAL HEALTHCARE CORP COMStock635906100465SH SOLE 6500
DONNELLEY R R & SONS CO COMStock257867200193,683SH SOLE 3,68300
PUBLIC SVC ENTERPRISE GROUP COMStock74457310626507SH SOLE 50700
OLD REP INTL CORP COMStock6802231045234SH SOLE 23400
ALLEGHENY TECH INCStock01741R102021SH SOLE 2100
LOUISIANA PACIFICStock5463471054163SH SOLE 16300
NEKTAR THERAPEUTICSStock640268108631,045SH SOLE 1,04500
SQUARE INC CL AStock85223410310105SH SOLE 10500
HECLA MNG CO COMStock42270410662,316SH SOLE 2,31600
ALNYLAM PHARMACEUTICALS INC COMStock02043Q10707SH SOLE 700
DELUXE CORP COMStock248019101475SH SOLE 7500
ETHAN ALLEN INTERIORS Stock2976021049468SH SOLE 46800
NEENAH PAPER INCStock64007910944521SH SOLE 52100
ANTHEM INC COMStock03675210353195SH SOLE 19500
ISHARES GOLD TRUST ETF ETF4642851056,650581,884SH SOLE 581,88400
EBAY INCStock27864210319578SH SOLE 57800
DOLLAR GEN CORPStock256677105767SH SOLE 6700
BROOKS AUTOMATION INC Stock114340102541,554SH SOLE 1,55400
RMR GROUP INC CL AStock74967R10601SH SOLE 100
WOLVERINE WORLD WIDE INC COMStock9780971031393,574SH SOLE 3,57400
BEL FUSE INC CL BStock077347300281,088SH SOLE 1,08800
TEMPLETON EMERGING MKTS FD INC MUTUAL FUNDCEF880191101412,837SH SOLE 2,83700
IONIS PHARMACEUTICALS INC COMStock462222100246SH SOLE 4600
HUBBELL INC COMStock44351060715119SH SOLE 11900
TRIPADVISOR INC Stock896945201137SH SOLE 3700
WILLIS TOWERS WATSON PUB LTD SHSStockG96629103430SH SOLE 3000
MONSTER BEVERAGE CORPStock61174X109011SH SOLE 1100
VULCAN MATLS CO COMStock92916010920180SH SOLE 18000
JOHNSON & JOHNSON COMStock4781601046624,791SH SOLE 4,79100
AKAMAI TECHStock00971T10113179SH SOLE 17900
TAKE-TWO INTERACTIVESOFTWREStock87405410929214SH SOLE 21400
FRANKLIN STREET PPTY CP REIT35471R106334,222SH SOLE 4,22200
SEAGATE TECHNOLOGYStockG7945M107012SH SOLE 1200
DISCOVERY COMMUNICATIONS INC NEW COM SER CStock25470F30212439SH SOLE 43900
WILLIAMS SONOMA INCStock969904101128SH SOLE 2800
KIRBY CORPORATION Stock49726610613163SH SOLE 16300
LKQ CORP COMStock501889208274SH SOLE 7400
INVESTMENT TECHNOLOGY GRP NEWStock46145F105241,138SH SOLE 1,13800
TAILORED BRANDS INC COMStock87403A107421,703SH SOLE 1,70300
AMERICAN RAILCAR INDS INC COMStock02916P103131SH SOLE 3100
WASTE MANAGEMENT INCStock94106L1093523,905SH SOLE 3,90500
COVANTA HLDG CORP COMStock22282E10213813SH SOLE 81300
ADVANCED ENERGY IND Stock00797310015291SH SOLE 29100
MAGELLAN HEALTH SVCS INC COM NEWStock55907920746650SH SOLE 65000
GCP APPLIED TECHNOLOGIES INC COMStock36164Y101017SH SOLE 1700
VANGUARD TOTAL STK MKTETF92290876918,026120,455SH SOLE 120,45500
THOMSON REUTERS CORPORATION (USA)Stock88490310511241SH SOLE 24100
OLIN CORP COM PAR $1Stock6806652052112SH SOLE 11200
AK STEEL HLDG CORPStock001547108183,726SH SOLE 3,72600
PIMCO INCOME STRATEGY FUND COMCEF72201H10800SH SOLE 000
LIFEPOINT HOSPS INCStock53219L109242SH SOLE 4200
ISHARES EDGE MSCI INTL VALUE FACTOR ETFETF46435G40917687SH SOLE 68700
DEXCOM INC COMStock252131107642SH SOLE 4200
ATHENA HEALTH INC.Stock04685W10302SH SOLE 200
COSTCO WHOLESALE CORPStock22160K10591389SH SOLE 38900
HCA INCStock40412C101757SH SOLE 5700
NUVECTRA CORP COMStock67075N108015SH SOLE 1500
BARNES & NOBLE INC Stock067774109101,877SH SOLE 1,87700
CHOICE HOTELS INTL NEW Stock169905106228SH SOLE 2800
ISHARES MSCI EMERGING MARKETS ETFETF46428723425601SH SOLE 60100
GOLDMAN SACHS GROUP INCStock38141G104133596SH SOLE 59600
LAS VEGAS SANDS CORPStock517834107133SH SOLE 3300
SPDR NUVEEN BLOOMBERG BARCLAYS SHORT TERM MUNICIPAL BOND ETFETF78468R7391803,778SH SOLE 3,77800
NOBLE ENERGY INC COMStock65504410515507SH SOLE 50700
SCIENTIFIC GAMES CORP COMStock80874P1099363SH SOLE 36300
SCOTTS MIRACLE GRO CO Stock81018610617216SH SOLE 21600
WATSCO INC Stock9426222001373SH SOLE 7300
DIODES INC COMStock25454310116492SH SOLE 49200
PRAXAIR INCStock74005P104133833SH SOLE 83300
NEWPARK RES INC COM PAR $.01NEWStock651718504282,795SH SOLE 2,79500
LAKELAND BANCORP INC COMStock511637100016SH SOLE 1600
GAP INCStock364760108295SH SOLE 9500
TELEDYNE TECHNOLOGIES INCStock8793601052291SH SOLE 9100
YUM! BRANDS INCStock9884981011361,504SH SOLE 1,50400
OLD DOMINION FREIGHT LNS WITH STOCK SPLIT SHARESStock67958010031195SH SOLE 19500
OIL STATES INTERNATIONAL Stock67802610521635SH SOLE 63500
ABERCROMBIE & FITCH CO CL AStock002896207542,572SH SOLE 2,57200
KNIGHT TRANSPORTATION INCStock4990491049286SH SOLE 28600
UNDER ARMOUR INC CL CStock90431120605SH SOLE 500
CARRIZO OIL & GAS INC Stock144577103662,642SH SOLE 2,64200
BOSTON SCIENTIFIC CORPStock1011371075153SH SOLE 15300
EAST WEST BANCORP Stock27579R104012SH SOLE 1200
F5 NETWORKS INC Stock315616102946SH SOLE 4600
SUNSTONE HOTEL INVESTORS REITREIT867892101043SH SOLE 4300
VIASAT INC Stock92552V100245SH SOLE 4500
PENNYMAC MORTGAGE INVESTMENT TRUSTREIT70931T103153SH SOLE 5300
LIBERTY MEDIA CORP DELAWARE COM A SIRIUSXMStock531229409255SH SOLE 5500
LIBERTY MEDIA CORP DELAWARE COM C SIRIUSXMStock5312296074114SH SOLE 11400
LIBERTY MEDIA CORP DELAWARE COM C BRAVES GRPStock53122988807SH SOLE 700
LIBERTY MEDIA CORP DELAWARE COM A BRAVES GRPStock53122970603SH SOLE 300
LAWSON PRODS INC COMStock520776105273SH SOLE 7300
CEDAR SHOPPING CENTERS INCREIT150602209194,259SH SOLE 4,25900
PROCTER AND GAMBLE CO COMStock7427181094975,976SH SOLE 5,97600
COCA COLA CO COMStock1912161004499,722SH SOLE 9,72200
EMERGENT BIOSOLUTIONS INC COMStock29089Q10518283SH SOLE 28300
DXP ENTERPRISES INC NEW COM NEWStock23337740720521SH SOLE 52100
S&P GLOBAL INC COMStock78409V1042051,054SH SOLE 1,05400
QUORUM HEALTH CORP COMStock74909E106122,134SH SOLE 2,13400
GENERAL MLS INC COMStock37033410430709SH SOLE 70900
VIRTUSA CORPORATION Stock92827P10243809SH SOLE 80900
AMEREN CORPStock02360810226422SH SOLE 42200
IDEX CORP Stock45167R10415101SH SOLE 10100
PPG INDS INC COMStock6935061071141,050SH SOLE 1,05000
ISHARES U.S. ENERGY ETFETF4642877964114SH SOLE 11400
OCCIDENTAL PETE CORP DEL COMStock674599105891,088SH SOLE 1,08800
BB&T CORP COMStock054937107821,708SH SOLE 1,70800
UNITED PARCEL SERVICE INCStock9113121063593,079SH SOLE 3,07900
INGEVITY CORP COMStock45688C107552SH SOLE 5200
MARRIOTT INTL INC Stock57190320281616SH SOLE 61600
CHARTER COMMUNICATIONS INC NEW CL AStock16119P10838118SH SOLE 11800
VANGUARD REIT INDEX ETFETF9229085535566,897SH SOLE 6,89700
BIOGEN IDEC INCStock09062X10352150SH SOLE 15000
CARNIVAL CORPStock143658300771,210SH SOLE 1,21000
SPDR PORTFOLIO LONG TERM TREASURY ETFETF78464A664285SH SOLE 8500
SENIOR HOUSING PROPERTIES TRUSTREIT81721M109025SH SOLE 2500
GETTY RLTY CORP NEWREIT3742971098288SH SOLE 28800
CANTEL MEDICAL CORPStock138098108227SH SOLE 2700
CABOT MICROELECTRONICS CPStock12709P10310106SH SOLE 10600
COHU INC COMStock19257610614570SH SOLE 57000
DSP GROUP INCStock23332B1062225SH SOLE 22500
GLATFELTER COMStock37731610411578SH SOLE 57800
J&J SNACK FOODS CPStock46603210952350SH SOLE 35000
MUELLER INDUSTRIES INCStock624756102632,188SH SOLE 2,18800
INTEL CORP COMStock4581401003798,033SH SOLE 8,03300
OXFORD INDS INC COMStock69149730938431SH SOLE 43100
PRESTIGE BRANDS HOLDINGS INCStock74112D1016177SH SOLE 17700
PERRIGO COStockG97822103230SH SOLE 3000
RELIANCE STEEL & ALUMINUMStock759509102458SH SOLE 5800
CHICAGO MERCANTILE HLDGS INCStock12572Q10532193SH SOLE 19300
SELECTIVE INSURANCE GROUP INCStock8163001071181,866SH SOLE 1,86600
WESTERN ALLIANCE BANCORPStock95763810953935SH SOLE 93500
JB HUNT TRANSPORT SERVICESStock44565810715130SH SOLE 13000
BOYD GAMING CORPStock103304101391,158SH SOLE 1,15800
WILEY JOHN & SONS INC CL AStock96822320605SH SOLE 500
PHIBRO ANIMAL HEALTH CORP CL A COMStock71742Q1064106SH SOLE 10600
STATE STR CORP COMStock857477103560SH SOLE 6000
MEDTRONIC PLC SHSStockG5960L10321220SH SOLE 22000
CLOROX CO DEL COMStock18905410939265SH SOLE 26500
COMERICA INC COMStock20034010743479SH SOLE 47900
AMERICAN VANGUARD CORP Stock0303711088463SH SOLE 46300
CROCS INCStock227046109401,904SH SOLE 1,90400
FORTIVE CORP COMStock34959J10816192SH SOLE 19200
RUDOLPH TECHNOLOGIES INCStock78127010323975SH SOLE 97500
NETFLIX COM INCStock64110L1062259SH SOLE 5900
WORLD ACCEPTANCE CPStock98141910457499SH SOLE 49900
KOSMOS ENERGY LTD SHSStockG5315B1073343SH SOLE 34300
HERC HLDGS INC COMStock42704L10406SH SOLE 600
SPDR DOW JONES INDUSTRIAL AVERAGE ETFETF78467X1091453SH SOLE 5300
PAYCHEX INCStock70432610716227SH SOLE 22700
MEDICAL PROPERTIES TRUST INCREIT58463J3043215SH SOLE 21500
INTEGER HLDGS CORP COMStock45826H10960725SH SOLE 72500
SEACOR HOLDINGS INCStock81190410115305SH SOLE 30500
GUESS INCStock401617105361,598SH SOLE 1,59800
GREENHILL & CO INCStock395259104471,799SH SOLE 1,79900
HERBALIFE LTDStockG4412G101012SH SOLE 1200
AFFILIATED MANAGERS GROUP INCStock00825210819SH SOLE 900
HORMEL FOODS CORP COMStock44045210012315SH SOLE 31500
BELMOND LTD CL A SHS ISIN#BMG1154H1079StockG1154H1073178SH SOLE 17800
PEOPLES BK BRIDGEPORT CN Stock7127041059552SH SOLE 55200
HANOVER INSURANCE GROUP Stock410867105223SH SOLE 2300
PACCAR INC COMStock693718108697SH SOLE 9700
BLACKBAUD INCStock09227Q10021209SH SOLE 20900
CVB FINANCIAL CPStock12660010510486SH SOLE 48600
IMPINJ INC COMStock453204109512,081SH SOLE 2,08100
TIDEWATER INC NEW COMStock88642R109023SH SOLE 2300
SEI INVESTMENTS COStock784117103235SH SOLE 3500
JACK IN THE BOX INCStock46636710928342SH SOLE 34200
TACTILE SYS TECHNOLOGY INC COMStock87357P10006SH SOLE 600
FORTIS INC COMStock34955310724750SH SOLE 75000
HOPE BANCORP INC COMStock43940T109493,032SH SOLE 3,03200
APTEVO THERAPEUTICS INC COMStock03835L108069SH SOLE 6900
CLEARWATER PAPER CORPStock18538R10321734SH SOLE 73400
EQUITY RESIDENTIALREIT29476L107122SH SOLE 2200
BOSTON PRIVATE FINANCIAL HLDGS INC (FORM BOSTON PRIVATE BANCORP INC)Stock101119105423,135SH SOLE 3,13500
ADVANCE AUTO PARTS INC Stock00751Y1061590SH SOLE 9000
HESS CORP COMStock42809H1078116SH SOLE 11600
LIBERTY MEDIA HOLDING CP INTER AStock74915M1004217SH SOLE 21700
MYR GROUP INC.Stock55405W1044139SH SOLE 13900
TETRA TECH INC NEWStock88162G10315234SH SOLE 23400
TD AMERITRADE HOLDING CPStock87236Y1087134SH SOLE 13400
NUTRISYSTEM INCStock67069D1088218SH SOLE 21800
WATERS CPStock9418481031369SH SOLE 6900
SUPERVALU INC COM NEWStock86853630125803SH SOLE 80300
CAPITOL FEDERAL FINANCIALStock14057J1013260SH SOLE 26000
ESTEE LAUDER COMPANIES INCStock518439104749SH SOLE 4900
VERA BRADLEY INC COMStock92335C10610693SH SOLE 69300
SPDR DOW JONES GLOBAL REAL ESTATE ETFETF78463X749571,216SH SOLE 1,21600
DELL TECHNOLOGIES INC COM CL VStock24703L10321221SH SOLE 22100
AMERICAN CAPITAL AGENCY CORP.REIT00123Q10411609SH SOLE 60900
BIG 5 SPORTING GOODS CORPORATIONStock08915P101152,976SH SOLE 2,97600
QEP RESOURCESStock74733V100058SH SOLE 5800
MEDNAX INC COMStock58502B106254SH SOLE 5400
PENN VA CORP NEW COMStock70788V10208SH SOLE 800
MERCK & CO INCStock58933Y1051972,781SH SOLE 2,78100
SPDR S&P 500 ETFETF78462F1031,6325,614SH SOLE 5,61400
ADVANSIX INC COMStock00773T10120604SH SOLE 60400
MCKESSON CORPStock58155Q10372548SH SOLE 54800
VERSUM MATLS INC COMStock92532W1038232SH SOLE 23200
VALVOLINE INC COMStock92047W101021SH SOLE 2100
AMERIS BANCORP COMStock03076K108368SH SOLE 6800
MASTERCARD INC Stock57636Q1043761,693SH SOLE 1,69300
DONNELLEY FINL SOLUTIONS INC COMStock25787G10017961SH SOLE 96100
LSC COMMUNICATIONS INC COMStock50218P1078783SH SOLE 78300
INSPERITY INCStock45778Q10748410SH SOLE 41000
SANDRIDGE ENERGY INC COM NEWStock80007P8693301SH SOLE 30100
MERITAGE HOMES CORP Stock59001A10230761SH SOLE 76100
UNITED FIRE GROUP INC COMStock910340108541,080SH SOLE 1,08000
URSTADT BIDDLE PPTYS INC CL AREIT917286205183SH SOLE 8300
FIRST REP BK SAN FRANCISCO CAL COMStock33616C100111SH SOLE 1100
ILLINOIS TOOL WKS INC COMStock45230810976543SH SOLE 54300
COMFORT SYSTEMS USA INCStock19990810422398SH SOLE 39800
CENTENNIAL RESOURCE DEV INC CL AStock15136A1025270SH SOLE 27000
EXTRACTION OIL AND GAS INC COMStock30227M105057SH SOLE 5700
UNITED RENTALS INC COMStock911363109850SH SOLE 5000
PLEXUS CORPStock72913210051882SH SOLE 88200
STEEL DYNAMICS INCStock8581191007170SH SOLE 17000
GULFPORT ENERGY CORPStock4026353045481SH SOLE 48100
HEALTHCARE SERVICES GROUP INCStock4219061087191SH SOLE 19100
INVACARE CORPStock46120310112886SH SOLE 88600
LHC GROUP INC COMStock50187A10765636SH SOLE 63600
MB FINL INCStock55264U108244SH SOLE 4400
MONRO MUFFLER BRAKE INCStock61023610137533SH SOLE 53300
NORDSON CORPStock655663102325SH SOLE 2500
GIBRALTAR INDS INCStock37468910733736SH SOLE 73600
TYLER TECHNOLOGIES INC COMStock9022521052291SH SOLE 9100
EMERSON ELEC CO COMStock2910111041501,968SH SOLE 1,96800
VONAGE HLDGS CORP COMStock92886T201261,870SH SOLE 1,87000
ADIENT PLC ORD SHSStockG0084W101138SH SOLE 3800
YUM CHINA HLDGS INC COMStock98850P10924709SH SOLE 70900
ALCOA CORP COMStock0138721067198SH SOLE 19800
HERITAGE FINANCIALStock42722X106010SH SOLE 1000
SYNNEX CORPStock87162W10016192SH SOLE 19200
TORCHMARK CORP COMStock89102710413161SH SOLE 16100
FIDELITY SOUTHERN CORP NEW COMStock31639410510441SH SOLE 44100
AMERICAN NATL INS CO COMStock02859110502SH SOLE 200
AVNET INC COMStock053807103142SH SOLE 4200
ALLSTATE CORPStock02000210130308SH SOLE 30800
NAVISTAR INTL CORP NEW COMStock63934E10807SH SOLE 700
ANNALY CAPITAL MANAGEMENT INCREIT035710409161,582SH SOLE 1,58200
LAMB WESTON HLDGS INC COMStock51327210413201SH SOLE 20100
ALASKA AIR GROUP INC COMStock01165910918266SH SOLE 26600
ANIXTER INTL INCStock035290105811,162SH SOLE 1,16200
BELDEN CDT INCStock07745410621308SH SOLE 30800
CENTRAL GARDEN & PET CO COMStock153527106021SH SOLE 2100
COMTECH TELECOMMUNICATIONS CP COM NEWStock20582620934945SH SOLE 94500
FEDERAL SIGNAL CORP COMStock31385510821797SH SOLE 79700
HANCOCK HLDG COStock4101201097157SH SOLE 15700
HORACE MANN EDUCATORS CORStock440327104952,119SH SOLE 2,11900
HORNBECK OFFSHORE SVCS INStock4405431062354SH SOLE 35400
SHENANDOAH TELECOMM CO CDT COMStock82312B106274SH SOLE 7400
NVR INC COMStock62944T105177SH SOLE 700
PROASSURANCE CORPStock74267C10636779SH SOLE 77900
LIBERTY EXPEDIA HOLDINGS SER A COMStock53046P10915335SH SOLE 33500
SAFETY INSURANCE GROUP INStock78648T10043481SH SOLE 48100
SIGNATURE BANKStock82669G1041094SH SOLE 9400
MATTEL INC COMStock5770811027485SH SOLE 48500
ASHLAND GLOBAL HLDGS INC COMStock044186104458SH SOLE 5800
LEGGETT & PLATT INC COMStock524660107496SH SOLE 9600
OPKO HEALTH INC COMStock68375N103082SH SOLE 8200
AMERICAN FINL GROUP INC OHIO COMStock025932104874SH SOLE 7400
ASTEC INDS INC COMStock0462241017158SH SOLE 15800
FIRST COMWLTH FINL CORP PStock319829107251,575SH SOLE 1,57500
FBL FINL GROUP INCStock30239F106124SH SOLE 2400
NAVIGATORS GROUP INCStock63890410233486SH SOLE 48600
NELNET INCStock64031N108128SH SOLE 2800
NORTHWEST BANCSHARES INC MD COMStock667340103191,116SH SOLE 1,11600
CONDUENT INC COMStock20678710304SH SOLE 400
VERTEX PHARMACEUTICALS INStock92532F1001161SH SOLE 6100
COGNIZANT TECH SOLUTIONS CORPStock1924461021261,645SH SOLE 1,64500
BLUEBIRD BIO INC COMStock09609G10005SH SOLE 500
ENVISION HEALTHCARE CORP COMStock29414D10012264SH SOLE 26400
VISTRA ENERGY CORP COMStock92840M102143SH SOLE 4300
J M SMUCKER CO NEW Stock83269640512123SH SOLE 12300
LIONS GATE ENTMNT CORP CL A VTGStock53591940119801SH SOLE 80100
LIONS GATE ENTMNT CORP CL B NON VTGStock53591950020874SH SOLE 87400
ATHENE HLDG LTD CL AStockG0684D10709SH SOLE 900
ICHOR HOLDINGS SHSStockG4740B105048SH SOLE 4800
INTREPID POTASHStock46121Y1020166SH SOLE 16600
CORNING INC COMStock219350105274SH SOLE 7400
CIT GROUP INC NEW COMStock125581801486SH SOLE 8600
EDWARDS LIFESCIENCES CORP COMStock28176E10833190SH SOLE 19000
NATUS MEDICAL INC.Stock63905010322624SH SOLE 62400
BANK NEW YORK MELLON CORP COMStock06405810026523SH SOLE 52300
ARCONIC INC COMStock03965L1004184SH SOLE 18400
TEGNA INC COMStock87901J105186SH SOLE 8600
SYMANTEC CORPStock8715031082118SH SOLE 11800
KIRKLANDS INC COMStock497498105191,890SH SOLE 1,89000
DAVITA INC COMStock23918K10837530SH SOLE 53000
VERIZON COMMUNICATIONSStock92343V10455410,392SH SOLE 10,39200
COLONY CAP INC NEW CL A COMREIT19626G108057SH SOLE 5700
TIVITY HEALTH INC COMStock88870R102321,002SH SOLE 1,00200
UNUM GROUPStock91529Y10612310SH SOLE 31000
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