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
10X GENOMICS INCCommon Stock88025U10922,541296,321SH SOLE 296,32100
1-800-FLOWERS.COM CL ACommon Stock68243Q10624519,228SH SOLE 19,22800
1LIFE HEALTHCARE INCCommon Stock68269G10793184,058SH SOLE 84,05800
1ST INTERSTATE BANCSYSTEMCommon Stock32055Y2013,24988,356SH SOLE 88,35600
1ST SOURCE CORPCommon Stock33690110366714,415SH SOLE 14,41500
1STDIBS.COM INCCommon Stock3205511048410,558SH SOLE 10,55800
22ND CENTURY GROUP INCCommon Stock90137F103239102,900SH SOLE 102,90000
2SEVENTY BIO INCCommon Stock90138410727716,216SH SOLE 16,21600
2U INCCommon Stock90214J10168751,712SH SOLE 51,71200
3D SYSTEMS CORPCommon Stock88554D2051,45887,393SH SOLE 87,39300
3M COMPANYCommon Stock88579Y101162,1131,088,881SH SOLE 1,088,88100
4D MOLECULAR THERAPEUTICSCommon Stock35104E10034722,944SH SOLE 22,94400
51JOB INC-ADRForeign Stock31682710410177SH SOLE 17700
89BIO INCCommon Stock282559103318,186SH SOLE 8,18600
8X8 INCCommon Stock28291410096776,797SH SOLE 76,79700
9 METERS BIOPHARMA INCCommon Stock65440510962103,252SH SOLE 103,25200
908 DEVICES INCCommon Stock65443P1021,24365,378SH SOLE 65,37800
A O SMITH CORPORATIONCommon Stock83186520928,975453,520SH SOLE 453,52000
A X T INCCommon Stock00246W10312918,447SH SOLE 18,44700
A.K.A. BRANDS HLDG CORPCommon Stock00152K10192,086SH SOLE 2,08600
A10 NETWORKS INCCommon Stock0021211012,768198,405SH SOLE 198,40500
AAON INCCommon Stock0003602061,66629,900SH SOLE 29,90000
AAR CORPORATIONCommon Stock00036110523,946494,441SH SOLE 494,44100
AARON'S COMPANY INC, THECommon Stock00258W1086,486323,018SH SOLE 323,01800
ABBOTT LABORATORIESCommon Stock002824100396,8343,352,775SH SOLE 3,352,77500
ABBVIE INCCommon Stock00287Y109573,7293,539,136SH SOLE 3,539,13600
ABERCROMBIE FITCH CO CL ACommon Stock0028962071,31941,222SH SOLE 41,22200
ABIOMED INCCommon Stock003654100107,499324,534SH SOLE 324,53400
ABM INDUSTRIES INCCommon Stock0009571002,23848,612SH SOLE 48,61200
ABSCI CORPCommon Stock00091E10926231,049SH SOLE 31,04900
ACACIA RESEARCH-ACACIACommon Stock00388130715133,543SH SOLE 33,54300
ACADEMY SPORTSCommon Stock00402L1072,83471,917SH SOLE 71,91700
ACADIA HEALTHCAE CO INCCommon Stock00404A10931,802485,307SH SOLE 485,30700
ACADIA PHARMACEUTICALS INCommon Stock0042251082,09086,287SH SOLE 86,28700
ACADIA REALTY TRUSTCommon Stock0042391091,32661,194SH SOLE 61,19400
ACCEL ENTERTAINMENT INCCommon Stock00436Q10648039,420SH SOLE 39,42000
ACCELERATE DIAGNOSTICS INCommon Stock00430H1022315,673SH SOLE 15,67300
ACCENTURE PLC - CLASS AForeign StockG1151C101467,1511,385,260SH SOLE 1,385,26000
ACCO BRANDS CORPCommon Stock00081T1081,942242,749SH SOLE 242,74900
ACCOLADE INCCommon Stock00437E10263836,322SH SOLE 36,32200
ACCURAY INCCommon Stock00439710515145,613SH SOLE 45,61300
ACI WORLDWIDE INCCommon Stock00449810120,148639,811SH SOLE 639,81100
ACLARIS THERAPEUTICS INCCommon Stock00461U10567238,955SH SOLE 38,95500
ACTIVISION BLIZZARD INCCommon Stock00507V109120,0331,498,354SH SOLE 1,498,35400
ACUITY BRANDS INCCommon Stock00508Y10216,53287,330SH SOLE 87,33000
ACUMEN PHARMACEUTICALS INCommon Stock00509G2099423,981SH SOLE 23,98100
ACUSHNET HOLDINGS CORPCommon Stock0050981082,18754,310SH SOLE 54,31000
ACUTUS MEDICAL INCCommon Stock00511110985,561SH SOLE 5,56100
ACV AUCTIONS INC - CL ACommon Stock00091G10485,0885,745,309SH SOLE 5,745,30900
ADAGIO THERAPEUTICS INCCommon Stock00534A10214130,864SH SOLE 30,86400
ADAPTHEALTH CORPCommon Stock00653Q1025,359334,322SH SOLE 334,32200
ADAPTIVE BIOTECHNOLOGIESCommon Stock00650F1091,544111,236SH SOLE 111,23600
ADDUS HOMECARE CORPCommon Stock0067391061,75218,785SH SOLE 18,78500
ADICET BIO INCCommon Stock00700210836718,358SH SOLE 18,35800
ADIENT PLCForeign StockG0084W1012,78568,311SH SOLE 68,31100
ADOBE INCCommon Stock00724F101437,968961,258SH SOLE 961,25800
ADT INCCommon Stock00090Q1031,353178,304SH SOLE 178,30400
ADTALEM GLOBAL EDUCATIONCommon Stock00737L1031,06235,748SH SOLE 35,74800
ADTRAN INCCommon Stock00738A10663534,400SH SOLE 34,40000
ADVANCE AUTO PARTS INCCommon Stock00751Y10614,76671,345SH SOLE 71,34500
ADVANCED DRAINAGE SYSTEMSCommon Stock00790R10427,306229,833SH SOLE 229,83300
ADVANCED ENERGY IND INCCommon Stock00797310021,438249,046SH SOLE 249,04600
ADVANCED MICRO DEVICESCommon Stock007903107383,7063,509,293SH SOLE 3,509,29300
ADVANSIX INCCommon Stock00773T1012,33645,723SH SOLE 45,72300
ADVANTAGE SLN INCCommon Stock00791N10233953,186SH SOLE 53,18600
ADVENT TECHNOLOGIES HLDGSCommon Stock00788A10562,528SH SOLE 2,52800
ADVERUM BIOTECHNOLOGIESCommon Stock00773U1086952,628SH SOLE 52,62800
AECOMCommon Stock00766T10014,272185,815SH SOLE 185,81500
AEGLEA BIOTHERAPEUTICS INCommon Stock00773J1033917,041SH SOLE 17,04100
AEHR TEST SYSTEMSCommon Stock00760J10881380,000SH SOLE 80,00000
AEMETIS INCCommon Stock00770K20218614,662SH SOLE 14,66200
AERCAP HOLDINGS NVForeign StockN0098510647,114937,024SH SOLE 937,02400
AERIE PHARMACEUTICALS INCCommon Stock00771V108915100,513SH SOLE 100,51300
AEROJET ROCKETDYNE HLDGSCommon Stock0078001052,12554,014SH SOLE 54,01400
AEROVATE THERAPEUTICS INCCommon Stock00806410723112,591SH SOLE 12,59100
AEROVIRONMENT INCCommon Stock0080731081,51616,100SH SOLE 16,10000
AERSALE CORPCommon Stock00810F10618211,552SH SOLE 11,55200
AES CORPORATION/THECommon Stock00130H10516,062624,264SH SOLE 624,26400
AEVA TECHNOLOGIES INCCommon Stock00835Q10328265,182SH SOLE 65,18200
AFC GAMMA INCCommon Stock00109K10526413,818SH SOLE 13,81800
AFFILIATED MANAGERS GROUPCommon Stock0082521087,77955,191SH SOLE 55,19100
AFFIMED THERAPEUTICS BVForeign StockN0104510832373,962SH SOLE 73,96200
AFLAC INCCommon Stock00105510260,912945,983SH SOLE 945,98300
AGCO CORPORATIONCommon Stock0010841029,81567,212SH SOLE 67,21200
AGEAGLE AERIAL SYSTEMS INCommon Stock00848K1014335,963SH SOLE 35,96300
AGENUS INCCommon Stock00847G705337136,972SH SOLE 136,97200
AGILENT TECHNOLOGIES INCCommon Stock00846U10155,178416,974SH SOLE 416,97400
AGILITI INCCommon Stock00848J10437217,610SH SOLE 17,61000
AGILON HEALTH INCCommon Stock00857U1074,806189,600SH SOLE 189,60000
AGILYSYS INCCommon Stock00847J1055,077127,318SH SOLE 127,31800
AGIOS PHARMACEUTICALS INCCommon Stock00847X1041,16439,999SH SOLE 39,99900
AGNC INVESTMENT CORPCommon Stock00123Q1046,635506,472SH SOLE 506,47200
AGREE REALTY CORPCommon Stock0084921003,32750,135SH SOLE 50,13500
AIR LEASE COMPANYCommon Stock00912X3025,415121,266SH SOLE 121,26600
AIR PRODUCTS & CHEMICALSCommon Stock00915810693,664374,792SH SOLE 374,79200
AIR TRANSPORT SVCS GROUPCommon Stock00922R1052,23466,796SH SOLE 66,79600
AIRBNB INCConvertible Debt009066AB79,71510,050,000SH SOLE 10,050,00000
AIRNBNB INC - CLASS ACommon Stock00906610114,51484,501SH SOLE 84,50100
AIRSCULPT TECHNOLOGIESCommon Stock009496100624,559SH SOLE 4,55900
AKAMAI TECHNOLOGIES INCCommon Stock00971T10129,817249,748SH SOLE 249,74800
AKEBIA THERAPEUTICS INCCommon Stock00972D10589123,997SH SOLE 123,99700
AKERO THERAPEUTICS INCCommon Stock00973Y10825918,222SH SOLE 18,22200
AKOUOS INCCommon Stock00973J1017616,063SH SOLE 16,06300
AKOUSTIS TECHNOLOGIES INCommon Stock00973N10217727,225SH SOLE 27,22500
AKOYA BIOSCIENCES INCCommon Stock00974H104736,609SH SOLE 6,60900
ALAMO GROUP INCCommon Stock0113111072,81719,589SH SOLE 19,58900
ALARM.COM HOLDINGS INCCommon Stock01164210556,956856,992SH SOLE 856,99200
ALASKA AIR GROUP INCCommon Stock0116591096,745116,280SH SOLE 116,28000
ALAUNOS THERAPEUTICS INCCommon Stock98973P10190137,945SH SOLE 137,94500
ALBANY INTL CORP CLASS ACommon Stock01234810825,016296,679SH SOLE 296,67900
ALBEMARLE CORPORATIONCommon Stock01265310139,127176,924SH SOLE 176,92400
ALBERTSONS COS INCCommon Stock0130911038,246248,015SH SOLE 248,01500
ALBIREO PHARMA INCCommon Stock01345P10687129,191SH SOLE 29,19100
ALCOA CORPCommon Stock01387210617,386193,116SH SOLE 193,11600
ALCON INCForeign StockH013011286,77885,445SH SOLE 85,44500
ALDEYRA THERAPEUTICS INCCommon Stock01438T10614332,203SH SOLE 32,20300
ALECTOR INCCommon Stock01444210759141,505SH SOLE 41,50500
ALERUS FINANCIAL CORPCommon Stock01446U10328310,235SH SOLE 10,23500
ALEXANDER & BALDWIN INCCommon Stock0144911044,580197,518SH SOLE 197,51800
ALEXANDERS INCCommon Stock0147521094151,620SH SOLE 1,62000
ALEXANDRIA REAL ESTATECommon Stock01527110940,115199,328SH SOLE 199,32800
ALIBABA GROUP HOLDINGForeign Stock01609W10267,914624,205SH SOLE 624,20500
ALIGN TECHNOLOGY INCCommon Stock01625510160,968139,836SH SOLE 139,83600
ALIGNMENT HEALTHCARE INCCommon Stock01625V10467560,109SH SOLE 60,10900
ALIGOS THERAPEUTICS INCCommon Stock01626L1052913,546SH SOLE 13,54600
ALKAMI TECHNOLOGY INCCommon Stock01644J10827319,062SH SOLE 19,06200
ALKERMES PLCForeign StockG017671053,069116,662SH SOLE 116,66200
ALLAKOS INCCommon Stock01671P10014425,199SH SOLE 25,19900
ALLEGHANY CORPORATIONCommon Stock01717510012,67814,968SH SOLE 14,96800
ALLEGHENY TECHNOLOGIESCommon Stock01741R10219,473725,530SH SOLE 725,53000
ALLEGIANCE BANCSHARES INCCommon Stock01748H10760813,600SH SOLE 13,60000
ALLEGIANT TRAVEL COCommon Stock01748X10217,395107,116SH SOLE 107,11600
ALLEGION PLCForeign StockG0176J10913,250120,700SH SOLE 120,70000
ALLEGRO MICROSYSTEMS INCCommon Stock01749D1059,150322,178SH SOLE 322,17800
ALLETE INCCommon Stock0185223002,53837,891SH SOLE 37,89100
ALLIANT ENERGY CORPCommon Stock01880210815,905254,560SH SOLE 254,56000
ALLIED MOTION TECHNOLOGIECommon Stock0193301092398,000SH SOLE 8,00000
ALLISON TRANSMISSION HLDGCommon Stock01973R10111,245286,423SH SOLE 286,42300
ALLOGENE THERAPEUTICS INCCommon Stock01977010644648,988SH SOLE 48,98800
ALLOVIR INCCommon Stock0198181038913,154SH SOLE 13,15400
ALLSCRIPTS HEALTHCARE SOLCommon Stock01988P1081,95386,717SH SOLE 86,71700
ALLSTATE CORPORATION/THECommon Stock02000210188,353637,880SH SOLE 637,88000
ALLY FINANCIAL INCCommon Stock02005N10017,957412,988SH SOLE 412,98800
ALNYLAM PHARMACEUTICALSCommon Stock02043Q10730,486186,700SH SOLE 186,70000
ALPHA & OMEGA SEMICONDUCTForeign StockG6331P10486415,816SH SOLE 15,81600
ALPHA TEKNOVA INCCommon Stock02080L10248435,019SH SOLE 35,01900
ALPHABET INC - CLASS ACommon Stock02079K3051,699,007610,857SH SOLE 610,85700
ALPHABET INC - CLASS CCommon Stock02079K1071,877,699672,290SH SOLE 672,29000
ALPHATEC HOLDINGS INCCommon Stock02081G20110,418905,892SH SOLE 905,89200
ALPINE IMMUNE SCIENCES INCommon Stock02083G100485,397SH SOLE 5,39700
ALTA EQUIPMENT GROUP INCCommon Stock02128L1061,392112,658SH SOLE 112,65800
ALTAIR ENGINEERING INC-ACommon Stock0213691038,985139,520SH SOLE 139,52000
ALTERYX INCConvertible Debt02156BAF09,15910,475,000SH SOLE 10,475,00000
ALTERYX INC - CLASS ACommon Stock02156B10316,906236,354SH SOLE 236,35400
ALTICE USA INCCommon Stock02156K1032,403192,513SH SOLE 192,51300
ALTIMMUNE INCCommon Stock02155H20013221,631SH SOLE 21,63100
ALTO INGREDIENTS INCCommon Stock02151310629242,864SH SOLE 42,86400
ALTRA INDUSTRIAL MOTIONCommon Stock02208R10632,750841,260SH SOLE 841,26000
ALTRIA GROUP INCCommon Stock02209S103177,1333,390,100SH SOLE 3,390,10000
ALX ONCOLOGY HOLDINGS INCCommon Stock00166B10521712,850SH SOLE 12,85000
AMALGAMATED FINANCIAL CORCommon Stock0226711011437,931SH SOLE 7,93100
A-MARK PRECIOUS METALS INCommon Stock00181T1075246,779SH SOLE 6,77900
AMAZON.COM INCCommon Stock0231351063,061,592939,153SH SOLE 939,15300
AMBAC FINANCIAL GROUP INCCommon Stock02313988434433,100SH SOLE 33,10000
AMBARELLA INCForeign StockG037AX1017,09067,577SH SOLE 67,57700
AMC ENTERTAINMENT HLDSCommon Stock00165C1049,062367,765SH SOLE 367,76500
AMC NETWORKS INC - CLS ACommon Stock00164V1032,00549,358SH SOLE 49,35800
AMCOR PLCForeign StockG0250X10723,4312,068,049SH SOLE 2,068,04900
AMDOCS LIMITEDForeign StockG0260210346,667567,654SH SOLE 567,65400
AMEDISYS INCCommon Stock0234361089,53255,327SH SOLE 55,32700
AMER EQUITY INVT LIFE HLCommon Stock0256762062,66366,733SH SOLE 66,73300
AMERANT BANCORP INCCommon Stock02357610162419,745SH SOLE 19,74500
AMERCOCommon Stock02358610012,09620,264SH SOLE 20,26400
AMEREN CORPORATIONCommon Stock02360810222,883244,056SH SOLE 244,05600
AMERESCO INC - CL ACommon Stock02361E1083,63945,774SH SOLE 45,77400
AMERICA MOVIL-SPN ADR CL LForeign Stock02364W1051034,883SH SOLE 4,88300
AMERICAN AIRLINES GROUPCommon Stock02376R10210,836593,777SH SOLE 593,77700
AMERICAN ASSETS TRUST INCCommon Stock0240131042,59968,589SH SOLE 68,58900
AMERICAN AXLE & MFG HLDGSCommon Stock02406110312,3991,597,865SH SOLE 1,597,86500
AMERICAN CAMPUS COMMUNITICommon Stock0248351007,271129,903SH SOLE 129,90300
AMERICAN EAGLE OUTFITTERSCommon Stock02553E1063,066182,497SH SOLE 182,49700
AMERICAN ELECTRIC POWERCommon Stock02553710196,036962,576SH SOLE 962,57600
AMERICAN EXPRESS COMPANYCommon Stock025816109284,1091,519,300SH SOLE 1,519,30000
AMERICAN FINANCIAL GROUPCommon Stock02593210411,87781,561SH SOLE 81,56100
AMERICAN HOMES 4 RENT-ACommon Stock02665T30612,279306,734SH SOLE 306,73400
AMERICAN INTL GROUP INCCommon Stock026874784130,4482,078,183SH SOLE 2,078,18300
AMERICAN NATIONAL GROUPCommon Stock02772A1091,8289,669SH SOLE 9,66900
AMERICAN NATL BANKSHARESCommon Stock0277451082797,394SH SOLE 7,39400
AMERICAN OUTDOOR BRANDSCommon Stock02875D1091219,229SH SOLE 9,22900
AMERICAN PUBLIC EDUCATIONCommon Stock02913V10330314,267SH SOLE 14,26700
AMERICAN SOFTWARE-CL ACommon Stock0296831096,014288,563SH SOLE 288,56300
AMERICAN STATES WATER COCommon Stock0298991012,37226,644SH SOLE 26,64400
AMERICAN SUPERCONDUCTOR CCommon Stock03011120714519,045SH SOLE 19,04500
AMERICAN TOWER CORPCommon Stock03027X100205,148816,608SH SOLE 816,60800
AMERICAN VANGUARD CORPCommon Stock03037110842620,977SH SOLE 20,97700
AMERICAN WATER WORKS COCommon Stock03042010361,533371,733SH SOLE 371,73300
AMERICAN WELL CORPCommon Stock03044L105545129,385SH SOLE 129,38500
AMERICAN WOODMARK CORPCommon Stock03050610962412,753SH SOLE 12,75300
AMERICA'S CAR-MART INCCommon Stock03062T10592011,421SH SOLE 11,42100
AMERICOLD REALTY TRUSTCommon Stock03064D1088,223294,937SH SOLE 294,93700
AMERIPRISE FINANCIAL INCCommon Stock03076C10639,161130,381SH SOLE 130,38100
AMERIS BANCORPCommon Stock03076K10813,213301,112SH SOLE 301,11200
AMERISAFE INCCommon Stock03071H1004,66093,820SH SOLE 93,82000
AMERISOURCEBERGEN CORPCommon Stock03073E10529,210188,804SH SOLE 188,80400
AMETEK INCCommon Stock03110010043,254324,779SH SOLE 324,77900
AMGEN INCCommon Stock031162100263,3191,088,906SH SOLE 1,088,90600
AMICUS THERAPEUTICS INCCommon Stock03152W10911,5721,221,951SH SOLE 1,221,95100
AMKOR TECHNOLOGIES INCCommon Stock0316521002,183100,484SH SOLE 100,48400
AMMO INCCommon Stock00175J10727156,463SH SOLE 56,46300
AMN HEALTHCARE SERVICESCommon Stock0017441016,03857,876SH SOLE 57,87600
AMNEAL PHARMACEUTICALSCommon Stock03168L10527164,897SH SOLE 64,89700
AMPHASTAR PHARMACEUTICALSCommon Stock03209R10394826,400SH SOLE 26,40000
AMPHENOL CORP CLASS ACommon Stock03209510182,0211,088,528SH SOLE 1,088,52800
AMPIO PHARMACEUTICALS INCommon Stock03209T10948102,766SH SOLE 102,76600
AMYLYX PHARMACEUTICALSCommon Stock03237H101514,000SH SOLE 4,00000
AMYRIS INCCommon Stock03236M200526120,601SH SOLE 120,60100
ANALOG DEVICESCommon Stock032654105205,5741,244,544SH SOLE 1,244,54400
ANAPLAN INCCommon Stock03272L10853,477822,093SH SOLE 822,09300
ANAPTYSBIO INCCommon Stock03272410633813,647SH SOLE 13,64700
ANAVEX LIFE SCIENCES CORPCommon Stock03279730054444,168SH SOLE 44,16800
ANDERSONS INC/THECommon Stock0341641031,16023,087SH SOLE 23,08700
ANGEL OAK MTG INCCommon Stock03464Y1081478,968SH SOLE 8,96800
ANGIODYNAMICS INCCommon Stock03475V10159327,545SH SOLE 27,54500
ANGION BIOMEDICA CORPCommon Stock03476J107125,893SH SOLE 5,89300
ANGLOGOLD ASHANTI-SPON ADRForeign Stock035128206682,877SH SOLE 2,87700
ANI PHARMACEUTICALS INCCommon Stock00182C1032348,310SH SOLE 8,31000
ANIKA THERAPEUTICS INCCommon Stock03525510828211,233SH SOLE 11,23300
ANNALY CAPITAL MGMNT INCCommon Stock03571040911,4571,627,466SH SOLE 1,627,46600
ANNEXON INCCommon Stock03589W1026022,019SH SOLE 22,01900
ANSYS INCCommon Stock03662Q10592,084289,891SH SOLE 289,89100
ANTARES PHARMA INCCommon Stock036642106430104,961SH SOLE 104,96100
ANTERIX INCCommon Stock03676C1004818,308SH SOLE 8,30800
ANTERO MIDSTREAM CORPCommon Stock03676B1023,842353,442SH SOLE 353,44200
ANTERO RESOURCES CORPCommon Stock03674X1067,082231,964SH SOLE 231,96400
ANTHEM INCCommon Stock036752103316,517644,348SH SOLE 644,34800
AON PLCForeign StockG0403H108255,694785,229SH SOLE 785,22900
APA CORPCommon Stock03743Q10816,627402,300SH SOLE 402,30000
APARTMENT INCOME REIT COCommon Stock03750L1099,726181,927SH SOLE 181,92700
APARTMENT INVT & MGMT COCommon Stock03748R747744101,585SH SOLE 101,58500
APELLIS PHARMACEUTICALS ICommon Stock03753U1063,94777,691SH SOLE 77,69100
API GROUP CORPCommon Stock00187Y1003,046144,818SH SOLE 144,81800
APOGEE ENTERPRISES INCCommon Stock03759810984617,823SH SOLE 17,82300
APOLLO COMMERCIAL REAL ESCommon Stock03762U1051,945139,618SH SOLE 139,61800
APOLLO GLOBAL MANAGEMENTCommon Stock03769M10622,811367,975SH SOLE 367,97500
APOLLO MEDICAL HOLDINGS ICommon Stock03763A2071,34827,817SH SOLE 27,81700
APPFOLIO INC - ACommon Stock03783C10050,122442,737SH SOLE 442,73700
APPHARVEST INCCommon Stock03783T10320938,810SH SOLE 38,81000
APPIAN CORPCommon Stock03782L1011,73028,443SH SOLE 28,44300
APPLE HOSPITALITY REIT INCommon Stock03784Y2003,513195,474SH SOLE 195,47400
APPLE INCCommon Stock0378331005,195,77029,756,429SH SOLE 29,756,42900
APPLIED INDUSTRIAL TECHCommon Stock03820C10520,834202,939SH SOLE 202,93900
APPLIED MATERIALS INCCommon Stock038222105271,7092,061,523SH SOLE 2,061,52300
APPLIED MOLECULARCommon Stock03824M10912917,158SH SOLE 17,15800
APPLIED THERAPEUTICS INCCommon Stock03828A1012612,340SH SOLE 12,34000
APTARGROUP INCCommon Stock03833610319,554166,419SH SOLE 166,41900
APTIV PLCForeign StockG6095L10953,422446,258SH SOLE 446,25800
APYX MEDICAL CORPCommon Stock03837C10612218,725SH SOLE 18,72500
AQUABOUNTY TECHNOLOGIES ICommon Stock03842K2004825,935SH SOLE 25,93500
ARAMARKCommon Stock03852U10611,179297,322SH SOLE 297,32200
ARBOR REALTY TRUST INCCommon Stock0389231081,758103,019SH SOLE 103,01900
ARBUTUS BIOPHARMA CORPForeign Stock03879J1009933,217SH SOLE 33,21700
ARCBEST CORPCommon Stock03937C1052,09626,033SH SOLE 26,03300
ARCELLX INCCommon Stock03940C100725,100SH SOLE 5,10000
ARCELORMITTAL SA NY REGForeign Stock03938L2037,064220,672SH SOLE 220,67200
ARCH CAPITAL GROUP LTDForeign StockG0450A10522,500464,684SH SOLE 464,68400
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EIGER BIOPHARMACEUTICALSCommon Stock28249U10512615,203SH SOLE 15,20300
EL POLLO LOCO HOLDINGS INCommon Stock26860310777266,415SH SOLE 66,41500
ELANCO ANIMAL HEALTH INCCommon Stock28414H10319,720755,851SH SOLE 755,85100
ELASTIC NVForeign StockN145061048,29293,220SH SOLE 93,22000
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ELECTRONIC ARTS INCCommon Stock28551210968,444541,019SH SOLE 541,01900
ELEMENT SOLUTIONS INCCommon Stock28618M1068,512388,673SH SOLE 388,67300
ELF BEAUTY INCCommon Stock26856L10393236,100SH SOLE 36,10000
ELI LILLY & COMPANYCommon Stock532457108509,5121,779,209SH SOLE 1,779,20900
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ELLINGTON FINANCIAL INCCommon Stock28852N10964636,397SH SOLE 36,39700
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EMCOR GROUP INCCommon Stock29084Q10020,881185,391SH SOLE 185,39100
EMCORE CORPCommon Stock2908462037520,240SH SOLE 20,24000
EMERALD HOLDING INCCommon Stock29103W1045616,496SH SOLE 16,49600
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EMERSON ELECTRIC COMPANYCommon Stock291011104132,5351,351,709SH SOLE 1,351,70900
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EMPLOYERS HLDGS INCCommon Stock2922181042,58362,959SH SOLE 62,95900
ENACT HOLDINGS INCCommon Stock29249E10927912,535SH SOLE 12,53500
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ENCORE CAPITAL GROUP INCCommon Stock2925541021,37121,863SH SOLE 21,86300
ENCORE WIRE CORPCommon Stock2925621052,78124,383SH SOLE 24,38300
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ENNIS INCCommon Stock29338910235519,232SH SOLE 19,23200
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ENOVIX CORPCommon Stock29359410779955,970SH SOLE 55,97000
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ENPRO INDUSTRIES INCCommon Stock29355X1072,60026,601SH SOLE 26,60100
ENSIGN GROUP INC/THECommon Stock29358P1015,58962,089SH SOLE 62,08900
ENSTAR GROUP LTDForeign StockG3075P10112,49247,834SH SOLE 47,83400
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FLAGSTAR BANCORP INCCommon Stock3379307051,57737,200SH SOLE 37,20000
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FLYWIRE CORPCommon Stock3024921031,36844,737SH SOLE 44,73700
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GENCO SHIP AND TRADE LTDForeign StockY2685T13154322,986SH SOLE 22,98600
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GERON CORPCommon Stock374163103246180,872SH SOLE 180,87200
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GEVO INCCommon Stock374396406651139,177SH SOLE 139,17700
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G-III APPAREL GROUP LTDCommon Stock36237H1012,08577,089SH SOLE 77,08900
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GLAXOSMITHKLINE PLC ADRForeign Stock37733W10515,688360,138SH SOLE 360,13800
GLOBAL BLOOD THERAPEUTICSCommon Stock37890U1081,50943,552SH SOLE 43,55200
GLOBAL INDUSTRIAL COCommon Stock37892E10259618,479SH SOLE 18,47900
GLOBAL MEDICAL REIT INCCommon Stock37954A2041,863114,169SH SOLE 114,16900
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GLOBAL-E ONLINE LTDForeign StockM5216V1063,775111,746SH SOLE 111,74600
GLOBALFOUNDRIES INCForeign StockG393871083,75060,077SH SOLE 60,07700
GLOBALSTAR INCCommon Stock378973408614417,910SH SOLE 417,91000
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GLOBE LIFE INCCommon Stock37959E10240,169399,299SH SOLE 399,29900
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GMS INCCommon Stock36251C1032,14443,080SH SOLE 43,08000
GODADDY INC - CLASS ACommon Stock38023710746,853559,775SH SOLE 559,77500
GOGO INCCommon Stock38046C1099,151480,106SH SOLE 480,10600
GOHEALTH INCCommon Stock38046W1055243,933SH SOLE 43,93300
GOLAR LNG LTDForeign StockG9456A1001,85474,835SH SOLE 74,83500
GOLD FIELDS LTD-SPONS ADRForeign Stock38059T106634,081SH SOLE 4,08100
GOLDEN ENTERTAINMENT INCCommon Stock38101310116,380282,067SH SOLE 282,06700
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HERON THERAPEUTICS INCCommon Stock4277461024,619807,503SH SOLE 807,50300
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HNI CORPORATIONCommon Stock4042511001,16331,395SH SOLE 31,39500
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HOLOGIC INCCommon Stock43644010125,049326,076SH SOLE 326,07600
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HONEYWELL INTERNATIONALCommon Stock438516106266,0511,367,309SH SOLE 1,367,30900
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HOPE BANCORP INCCommon Stock43940T1093,762233,962SH SOLE 233,96200
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HP INCCommon Stock40434L10559,8111,647,688SH SOLE 1,647,68800
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HUAZHU GROUP LTD - ADRForeign Stock44332N10637,2031,127,708SH SOLE 1,127,70800
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HUBSPOT INCCommon Stock44357310067,576142,284SH SOLE 142,28400
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I A C/INTERACTIVECORPCommon Stock44891N20823,307232,421SH SOLE 232,42100
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I ROBOT CORPCommon Stock4627261001,77527,993SH SOLE 27,99300
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IAA INCCommon Stock44925310313,309347,956SH SOLE 347,95600
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IBIO INCCommon Stock45103320355127,474SH SOLE 127,47400
ICAD INCCommon Stock44934S2066514,585SH SOLE 14,58500
ICF INTERNATIONAL INCCommon Stock44925C1031,25913,373SH SOLE 13,37300
ICHOR HOLDINGS LTDForeign StockG4740B1051,31236,840SH SOLE 36,84000
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ICLICK INTERACTIVE ASIAForeign Stock45113Y1049076,599SH SOLE 76,59900
ICON PLCForeign StockG4705A10084,998349,470SH SOLE 349,47000
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IDACORP INCCommon Stock45110710619,536169,348SH SOLE 169,34800
IDEANOMICS INCCommon Stock45166V106303270,154SH SOLE 270,15400
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IDENTIV INCCommon Stock45170X20524715,285SH SOLE 15,28500
IDEX CORPORATIONCommon Stock45167R10425,522133,113SH SOLE 133,11300
IDEXX LABORATORIES INCCommon Stock45168D10460,841111,214SH SOLE 111,21400
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IES HOLDINGS INCCommon Stock44951W1063,98799,184SH SOLE 99,18400
IGM BIOSCIENCES INCCommon Stock4495851081736,470SH SOLE 6,47000
IHEARTMEDIA INCCommon Stock45174J5097,194380,053SH SOLE 380,05300
IKENA ONCOLOGY INCCommon Stock45175G10813522,066SH SOLE 22,06600
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ILLUMINA INCCommon Stock452327109129,055369,363SH SOLE 369,36300
I-MAB SPONSORED ADRForeign Stock44975P1034,694289,022SH SOLE 289,02200
IMAGO BIOSCIENCES INCCommon Stock45250K10725813,391SH SOLE 13,39100
IMAX CORPForeign Stock45245E10964133,843SH SOLE 33,84300
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IMPEL PHARMACEUTICALS INCCommon Stock45258K109446,847SH SOLE 6,84700
IMPINJ INCCommon Stock45320410991314,365SH SOLE 14,36500
INARI MEDICAL INCCommon Stock45332Y10915,409170,003SH SOLE 170,00300
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INDUS REALTY TRUST INCCommon Stock45580R1033845,252SH SOLE 5,25200
INDUSTRIAL LOGISTICS PROPCommon Stock4562371061,69274,626SH SOLE 74,62600
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INFINITY PHARMACEUTICALSCommon Stock45665G3034841,729SH SOLE 41,72900
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INGERSOLL RAND INCCommon Stock45687V10651,7451,027,715SH SOLE 1,027,71500
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INGLES MARKETS INC CL ACommon Stock4570301042,86132,129SH SOLE 32,12900
INGREDION INCCommon Stock45718710210,772123,608SH SOLE 123,60800
INHIBRX INCCommon Stock45720L10744820,130SH SOLE 20,13000
INMODE LTDForeign StockM5425M1037,921214,604SH SOLE 214,60400
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INOGEN INCCommon Stock45780L10416,694514,937SH SOLE 514,93700
INOTIV INCCommon Stock45783Q10038514,724SH SOLE 14,72400
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INOZYME PHARMA INCCommon Stock45790W108163,834SH SOLE 3,83400
INSEEGO CORPCommon Stock45782B10418445,549SH SOLE 45,54900
INSIGHT ENTERPRISES INCCommon Stock45765U1032,70625,216SH SOLE 25,21600
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INSTEEL INDUSTRIES INCCommon Stock45774W1081,22533,127SH SOLE 33,12700
INSTIL BIO INCCommon Stock45783C1011,078100,318SH SOLE 100,31800
INSTRUCTURE HLDGS INCCommon Stock4577901031959,704SH SOLE 9,70400
INSULET CORPCommon Stock45784P10121,45080,520SH SOLE 80,52000
INTAPP INCCommon Stock45827U10932213,396SH SOLE 13,39600
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INTEGRA LIFESCIENCES HLDGCommon Stock4579852085,15980,276SH SOLE 80,27600
INTEGRAL AD SCIENCE HOLDICommon Stock45828L10826419,148SH SOLE 19,14800
INTEL CORPORATIONCommon Stock458140100439,7808,873,689SH SOLE 8,873,68900
INTELLIA THERAPEUTICS INCCommon Stock45826J1054,00555,113SH SOLE 55,11300
INTER PARFUMS INCCommon Stock4583341093,84243,634SH SOLE 43,63400
INTERACTIVE BROKERS GRPCommon Stock45841N1076,19493,979SH SOLE 93,97900
INTERCEPT PHARMACEUTICALSCommon Stock45845P10831619,430SH SOLE 19,43000
INTERCONTINENTALEXCHANGECommon Stock45866F104164,8801,247,957SH SOLE 1,247,95700
INTERDIGITAL INCConvertible Debt45867GAB71,9291,884,000SH SOLE 1,884,00000
INTERDIGITAL INCCommon Stock45867G1011,42822,380SH SOLE 22,38000
INTERFACE INCCommon Stock4586653041,16585,852SH SOLE 85,85200
INTERNATIONAL BANCSHARESCommon Stock4590441039,028213,891SH SOLE 213,89100
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LUNA INNOVATIONS INCCommon Stock55035110015119,563SH SOLE 19,56300
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NORTHRIM BANCORP INCCommon Stock6667621092,83064,954SH SOLE 64,95400
NORTHROP GRUMMAN CORPCommon Stock666807102157,276351,674SH SOLE 351,67400
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NORTONLIFELOCK INCCommon Stock66877110817,687666,918SH SOLE 666,91800
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NOV INCCommon Stock62955J10343,9912,243,276SH SOLE 2,243,27600
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NOVANTA INCForeign Stock67000B10422,859160,652SH SOLE 160,65200
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NOVAVAX INCCommon Stock6700024016,38386,670SH SOLE 86,67000
NOVO NORDISK AS-SPON ADRForeign Stock6701002056035,427SH SOLE 5,42700
NOVOCURE LTDForeign StockG6674U10818,058217,965SH SOLE 217,96500
NOW INCCommon Stock67011P10011,6571,056,801SH SOLE 1,056,80100
NRG ENERGY INCCommon Stock62937750810,131264,093SH SOLE 264,09300
NU HOLDINGS LTDForeign StockG6683N1033,125404,780SH SOLE 404,78000
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NU VASIVE INCCommon Stock67070410519,116337,149SH SOLE 337,14900
NUCOR CORPORATIONCommon Stock67034610546,706314,204SH SOLE 314,20400
NURIX THERAPEUTICS INCCommon Stock67080M10331722,621SH SOLE 22,62100
NUTANIX INC - CL ACommon Stock67059N10850,7051,890,563SH SOLE 1,890,56300
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NUVATION BIO INCCommon Stock67080N101529100,653SH SOLE 100,65300
NUVEI CORP-SUBORDINATE VTGForeign Stock67079A1024035,347SH SOLE 5,34700
NV5 GLOBAL INCCommon Stock62945V1093,69227,700SH SOLE 27,70000
NVE CORPCommon Stock62944520654510,008SH SOLE 10,00800
NVENT ELECTRIC PLCForeign StockG6700G1076,567188,821SH SOLE 188,82100
NVIDIA CORPORATIONCommon Stock67066G1041,214,1864,449,848SH SOLE 4,449,84800
NVR INCCommon Stock62944T10528,1936,311SH SOLE 6,31100
NXP SEMICONDUCTORS NVForeign StockN6596X109143,421774,914SH SOLE 774,91400
O S I SYSTEMS INCCommon Stock6710441052,57730,279SH SOLE 30,27900
OAK STREET HEALTH INCCommon Stock67181A1073,037113,000SH SOLE 113,00000
OCCIDENTAL PETROLEUM CORPCommon Stock67459910590,8161,600,570SH SOLE 1,600,57000
OCEANEERING INTL INCCommon Stock6752321021,757115,905SH SOLE 115,90500
OCEANFIRST FINANCIAL CORPCommon Stock67523410885842,686SH SOLE 42,68600
OCUGEN INCCommon Stock67577C105397120,421SH SOLE 120,42100
OCULAR THERAPEUTIX INCCommon Stock67576A10026453,400SH SOLE 53,40000
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ODP CORP/THECommon Stock88337F1051,55733,975SH SOLE 33,97500
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OFG BANCORPCommon Stock67103X1021,54658,037SH SOLE 58,03700
OGE ENERGY CORPORATIONCommon Stock6708371037,629187,066SH SOLE 187,06600
O-I GLASS INCCommon Stock67098H1047,948603,028SH SOLE 603,02800
OIL STATES INTL INCCommon Stock6780261059,5911,379,993SH SOLE 1,379,99300
OIL-DRI CORP OF AMERICACommon Stock6778641001535,343SH SOLE 5,34300
OKTA INCConvertible Debt679295AF26,0206,174,000SH SOLE 6,174,00000
OKTA INCCommon Stock67929510521,106139,814SH SOLE 139,81400
OLAPLEX HOLDINGS INCCommon Stock6793691085,916378,523SH SOLE 378,52300
OLD DOMINION FREIGHT LINECommon Stock67958010050,391168,713SH SOLE 168,71300
OLD NATIONAL BANCORPCommon Stock6800331073,471211,878SH SOLE 211,87800
OLD REPUBLIC INTL CORPCommon Stock68022310430,0931,163,224SH SOLE 1,163,22400
OLD SECOND BANCORP INCCommon Stock68027710026518,253SH SOLE 18,25300
OLEMA PHARMACEUTICALSCommon Stock68062P1067617,807SH SOLE 17,80700
OLIN CORPORATIONCommon Stock6806652057,741148,063SH SOLE 148,06300
OLINK HOLDING AB - ADRForeign Stock68071010064336,400SH SOLE 36,40000
OLLIE'S BARGAIN OUTLET HOCommon Stock6811161093,47280,811SH SOLE 80,81100
OLO INC - CLASS ACommon Stock68134L10917,2901,304,875SH SOLE 1,304,87500
OLYMPIC STEEL INCCommon Stock68162K1061,00526,121SH SOLE 26,12100
OMEGA FLEX INCCommon Stock6820951043542,729SH SOLE 2,72900
OMEGA HEALTHCARE INVESTORCommon Stock6819361007,545242,129SH SOLE 242,12900
OMEGA THERAPEUTICS INCCommon Stock68217N10511919,020SH SOLE 19,02000
OMEROS CORPCommon Stock68214310224941,436SH SOLE 41,43600
OMNICELL INCCommon Stock68213N1095,25440,574SH SOLE 40,57400
OMNICOM GROUP INCCommon Stock68191910623,858281,085SH SOLE 281,08500
ON SEMICONDUCTOR CORPCommon Stock68218910536,979590,622SH SOLE 590,62200
ON24 INCCommon Stock68339B10425019,028SH SOLE 19,02800
ONCOCYTE CORPCommon Stock68235C1075436,073SH SOLE 36,07300
ONCORUS INCCommon Stock68236R1032212,323SH SOLE 12,32300
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ONE GAS INCCommon Stock68235P1084,25248,183SH SOLE 48,18300
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ONEOK INCCommon Stock68268010336,108511,223SH SOLE 511,22300
ONESPAN INCCommon Stock68287N10035924,845SH SOLE 24,84500
ONESPAWORLD HOLDINGS LTDForeign StockP7368411315,8911,557,974SH SOLE 1,557,97400
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ONTO INNOVATION INCCommon Stock68334410514,514167,043SH SOLE 167,04300
ONTRAK INCCommon Stock683373104167,200SH SOLE 7,20000
OOMA INCCommon Stock68341610122515,012SH SOLE 15,01200
OPEN LENDING CORP - CL ACommon Stock68373J1041,42275,176SH SOLE 75,17600
OPENDOOR TECHNOLOGIES INCCommon Stock6837121034,532523,900SH SOLE 523,90000
OPKO HEALTH INCCommon Stock68375N103900261,700SH SOLE 261,70000
OPORTUN FINANCIAL CORPCommon Stock68376D10420013,901SH SOLE 13,90100
OPPENHEIMER HLDGS INC-CLACommon Stock68379710454812,585SH SOLE 12,58500
OPTIMIZERX CORPCommon Stock68401U2045,761152,759SH SOLE 152,75900
OPTION CARE HEALTH INCCommon Stock68404L20117,994630,049SH SOLE 630,04900
ORACLE CORPORATIONCommon Stock68389X105277,3043,351,915SH SOLE 3,351,91500
ORAMED PHARMACEUTICALS INCommon Stock68403P20318721,664SH SOLE 21,66400
ORASURE TECHNOLOGIES INCCommon Stock68554V10834250,444SH SOLE 50,44400
ORCHARD THERAPEUTICS PLCForeign Stock68570P101230323,397SH SOLE 323,39700
ORCHID ISLAND CAPITAL INCCommon Stock68571X10328587,764SH SOLE 87,76400
O'REILLY AUTOMOTIVE INCCommon Stock67103H10766,88197,642SH SOLE 97,64200
ORGANOGENESIS HOLDING INCCommon Stock68621F102782102,689SH SOLE 102,68900
ORGANON & COCommon Stock68622V10610,882311,537SH SOLE 311,53700
ORIC PHARMACEUTICALSCommon Stock68622P10910519,583SH SOLE 19,58300
ORIGIN BANCORP INCCommon Stock68621T10267716,003SH SOLE 16,00300
ORION ENGINEERED CARBForeign StockL729671091,29180,854SH SOLE 80,85400
ORION OFFICE REIT INCCommon Stock68629Y10394267,268SH SOLE 67,26800
ORIX CORP ADRForeign Stock6863301011431,437SH SOLE 1,43700
ORMAT TECHNOLOGIES INCCommon Stock6866881022,67832,721SH SOLE 32,72100
ORRSTOWN FINL SERVICES INCommon Stock6873801051546,699SH SOLE 6,69900
ORTHO CLINICAL DIAGNOSTICForeign StockG6829J1071,60185,794SH SOLE 85,79400
ORTHOFIX MEDICAL INCCommon Stock68752M10849315,075SH SOLE 15,07500
ORTHOPEDIATRICS CORPCommon Stock68752L10023,529435,803SH SOLE 435,80300
OSCAR HEALTH INCCommon Stock6877931091,175117,854SH SOLE 117,85400
OSHKOSH CORPORATIONCommon Stock6882392018,62885,721SH SOLE 85,72100
OTIS WORLDWIDE CORPCommon Stock68902V10743,483565,075SH SOLE 565,07500
OTTER TAIL CORPCommon Stock6896481033,84161,462SH SOLE 61,46200
OUSTER INCCommon Stock68989M1037,3521,633,730SH SOLE 1,633,73000
OUTBRAIN INCCommon Stock69002R10314513,469SH SOLE 13,46900
OUTFRONT MEDIA INCCommon Stock69007J1062,986105,035SH SOLE 105,03500
OUTLOOK THERAPEUTICS INCCommon Stock69012T2066435,737SH SOLE 35,73700
OUTSET MED INCCommon Stock6901451078,319183,242SH SOLE 183,24200
OVERSTOCK.COM INCCommon Stock6903701014,713107,093SH SOLE 107,09300
OVINTIV INCCommon Stock69047Q10211,032204,041SH SOLE 204,04100
OWENS & MINOR INCCommon Stock6907321023,77685,772SH SOLE 85,77200
OWENS CORNING INCCommon Stock6907421019,466103,449SH SOLE 103,44900
OXFORD INDUSTRIES INCCommon Stock6914973091,08912,033SH SOLE 12,03300
OYSTER POINT PHARMA INCCommon Stock69242L106706,007SH SOLE 6,00700
P C CONNECTION INCCommon Stock69318J1002,06439,402SH SOLE 39,40200
P D F SOLUTIONS INCCommon Stock69328210561322,000SH SOLE 22,00000
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PAC WEST BANCORPCommon Stock69526310314,977347,259SH SOLE 347,25900
PACCAR INCCommon Stock69371810847,048534,208SH SOLE 534,20800
PACIFIC BIOSCIENCES OF CACommon Stock69404D1081,244136,715SH SOLE 136,71500
PACIFIC PREMIER BANCORP ICommon Stock69478X10516,001452,655SH SOLE 452,65500
PACIRA BIOSCIENCES INCCommon Stock69512710012,459163,242SH SOLE 163,24200
PACKAGING CORP OF AMERICACommon Stock69515610918,196116,561SH SOLE 116,56100
PACTIV EVERGREEN INCCommon Stock69526K10530530,293SH SOLE 30,29300
PAGERDUTY INCCommon Stock69553P1001,99058,205SH SOLE 58,20500
PAGSEGURO DIGITAL LTDForeign StockG687071014,856242,189SH SOLE 242,18900
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PALO ALTO NETWORKS INCCommon Stock69743510582,722132,885SH SOLE 132,88500
PALOMAR HOLDINGS INCCommon Stock69753M1051,12017,500SH SOLE 17,50000
PAPA JOHN'S INTL INCCommon Stock69881310220,790197,471SH SOLE 197,47100
PAR PACIFIC HOLDINGS INCCommon Stock69888T2071,21192,993SH SOLE 92,99300
PAR TECHNOLOGY CORPCommon Stock6988841031,95048,329SH SOLE 48,32900
PARAGON 28 INCCommon Stock69913P1051398,282SH SOLE 8,28200
PARAMOUNT GLOBAL - CL ACommon Stock92556H1073458,542SH SOLE 8,54200
PARAMOUNT GLOBAL - CL BCommon Stock92556H20625,828683,107SH SOLE 683,10700
PARAMOUNT GROUP INCCommon Stock69924R1081,399128,235SH SOLE 128,23500
PARATECK PHARMACEUTICALSCommon Stock6993743029732,513SH SOLE 32,51300
PARK - OHIO HOLDINGS CORPCommon Stock700666100856,075SH SOLE 6,07500
PARK AEROSPACE CORPCommon Stock70014A10414811,378SH SOLE 11,37800
PARK HOTELS & RESORTS INCCommon Stock7005171054,489229,853SH SOLE 229,85300
PARK NATIONAL CORPORATIONCommon Stock7006581071,48511,300SH SOLE 11,30000
PARKER HANNIFIN CORPCommon Stock70109410448,399170,563SH SOLE 170,56300
PARSONS CORPCommon Stock70202L10223,017594,765SH SOLE 594,76500
PARTY CITY HOLDCO INCCommon Stock70214910524969,547SH SOLE 69,54700
PASSAGE BIOCommon Stock7027121008025,706SH SOLE 25,70600
PATRICK INDUSTRIES INCCommon Stock7033431031,53625,475SH SOLE 25,47500
PATTERSON COS INCCommon Stock7033951032,00461,907SH SOLE 61,90700
PATTERSON-UTI ENERGY INCCommon Stock70348110114,049907,580SH SOLE 907,58000
PAVMED INCCommon Stock70387R1065944,823SH SOLE 44,82300
PAYA HOLDINGS INCCommon Stock70434P10331954,421SH SOLE 54,42100
PAYCHEX INCCommon Stock70432610782,362603,519SH SOLE 603,51900
PAYCOM SOFTWARE INCCommon Stock70432V10289,951259,689SH SOLE 259,68900
PAYCOR HCM INCCommon Stock70435P1026,603226,844SH SOLE 226,84400
PAYLOCITY HOLDING CORPCommon Stock70438V1069,24044,905SH SOLE 44,90500
PAYPAL HOLDINGS INCCommon Stock70450Y103253,0942,188,450SH SOLE 2,188,45000
PAYSAFE LTDForeign StockG6964L1073,144927,453SH SOLE 927,45300
PBF ENERGY INCCommon Stock69318G1062,686110,203SH SOLE 110,20300
PCSB FIN'L CORPCommon Stock69324R1041658,620SH SOLE 8,62000
PDC ENERGY INCCommon Stock69327R10114,692202,142SH SOLE 202,14200
PEAPACK-GLADSTONE FINL CPCommon Stock70469910746113,265SH SOLE 13,26500
PEBBLEBROOK HOTEL TRUSTConvertible Debt70509VAA86,2545,455,000SH SOLE 5,455,00000
PEBBLEBROOK HOTEL TRUSTCommon Stock70509V10030,7961,258,002SH SOLE 1,258,00200
PEGASYSTEMS INCCommon Stock7055731033,77946,854SH SOLE 46,85400
PELOTON INTERACTIVECommon Stock70614W1008,670328,155SH SOLE 328,15500
PENN NATIONAL GAMING INCCommon Stock7075691098,709205,301SH SOLE 205,30100
PENNANT GROUP INC/THECommon Stock70805E10950927,330SH SOLE 27,33000
PENNYMAC FINANCIAL SERVICommon Stock70932M1072,18040,983SH SOLE 40,98300
PENNYMAC MORTGAGE INVESTCommon Stock70931T1031,17969,800SH SOLE 69,80000
PENSKE AUTOMOTIVE GROUPCommon Stock70959W1033,25934,777SH SOLE 34,77700
PENTAIR PLCForeign StockG7S00T10414,675270,705SH SOLE 270,70500
PENUMBRA INCCommon Stock70975L10712,41655,896SH SOLE 55,89600
PEOPLES BANCORP INCCommon Stock70978910157518,355SH SOLE 18,35500
PEOPLES FINANCIAL SVCS CPCommon Stock7110401053066,064SH SOLE 6,06400
PEOPLES UNITED FINANCIALCommon Stock7127041059,507475,609SH SOLE 475,60900
PEPSICO INCCommon Stock713448108484,0442,891,885SH SOLE 2,891,88500
PERDOCEO EDUCATION CORPCommon Stock71363P1062,236194,750SH SOLE 194,75000
PERFICIENT INCCommon Stock71375U1014,42140,156SH SOLE 40,15600
PERFORMANCE FOOD GROUP COCommon Stock71377A10335,064688,752SH SOLE 688,75200
PERION NETWORK LTDForeign StockM786731141,85782,589SH SOLE 82,58900
PERKINELMER INCCommon Stock71404610927,923160,056SH SOLE 160,05600
PERPETUA RESOURCES CORPForeign Stock714266103317,500SH SOLE 7,50000
PERRIGO COMPANY PLCForeign StockG978221035,428141,241SH SOLE 141,24100
PERSONALIS INCCommon Stock71535D10616319,922SH SOLE 19,92200
PETCO HEALTH AND WELLNESSCommon Stock71601V1051,20461,500SH SOLE 61,50000
PETIQ INCCommon Stock71639T10646519,044SH SOLE 19,04400
PETMED EXPRESS INCCommon Stock71638210638915,083SH SOLE 15,08300
PFIZER INCCommon Stock717081103594,64211,486,227SH SOLE 11,486,22700
PG&E CORPORATIONCommon Stock69331C10826,6852,234,944SH SOLE 2,234,94400
PGT INNOVATIONS INCCommon Stock69336V1011,35775,469SH SOLE 75,46900
PHATHOM PHARMACEUTICALSCommon Stock71722W10719814,569SH SOLE 14,56900
PHIBRO ANIMAL HEALTH-CL ACommon Stock71742Q10679439,807SH SOLE 39,80700
PHILIP MORRIS INTL INCCommon Stock718172109281,2942,994,400SH SOLE 2,994,40000
PHILLIPS 66Common Stock71854610436,911427,265SH SOLE 427,26500
PHILLIPS EDISON & COCommon Stock71844V2012,79881,371SH SOLE 81,37100
PHOENIX NEW MEDIA LTDForeign Stock71910C103713,037SH SOLE 13,03700
PHOTRONICS INCCommon Stock7194051022,087122,996SH SOLE 122,99600
PHREESIA INCCommon Stock71944F10696036,437SH SOLE 36,43700
PHYSICIANS REALTY TRUSTCommon Stock71943U10418,9901,082,669SH SOLE 1,082,66900
PIEDMONT OFFICE REIT - ACommon Stock7201902063,161183,593SH SOLE 183,59300
PILGRIMS PRIDE CORPCommon Stock72147K1081,16546,432SH SOLE 46,43200
PINDUODUO INCForeign Stock7223041024,105102,352SH SOLE 102,35200
PING IDENTITY HOLDINGCommon Stock72341T10311,063403,311SH SOLE 403,31100
PINNACLE FINANCIAL PRTNRSCommon Stock72346Q1048,36690,853SH SOLE 90,85300
PINNACLE WEST CAPITAL CPCommon Stock7234841019,104116,573SH SOLE 116,57300
PINTEREST INC - CLASS ACommon Stock72352L10616,457668,727SH SOLE 668,72700
PIONEER BANCORP INCCommon Stock723561106424,007SH SOLE 4,00700
PIONEER NATURAL RESOURCESCommon Stock72378710724,55298,195SH SOLE 98,19500
PIPER SANDLER COMPANIESCommon Stock7240781002,30317,544SH SOLE 17,54400
PITNEY BOWES INCCommon Stock724479100637122,488SH SOLE 122,48800
PJT PARTNERS INC - ACommon Stock69343T1071,49723,724SH SOLE 23,72400
PLANET FITNESS INC - CL ACommon Stock72703H10120,389241,352SH SOLE 241,35200
PLANTRONICS INCCommon Stock7274931086,965176,779SH SOLE 176,77900
PLAYAGS INCCommon Stock72814N1049013,538SH SOLE 13,53800
PLAYTIKA HOLDING CORPForeign Stock72815L1072,943152,238SH SOLE 152,23800
PLBY GROUP INCCommon Stock72814P10930623,343SH SOLE 23,34300
PLEXUS CORPORATIONCommon Stock72913210021,045257,243SH SOLE 257,24300
PLIANT THERAPEUTICS INCCommon Stock72913910530743,771SH SOLE 43,77100
PLUG POWER INCCommon Stock72919P20217,369607,100SH SOLE 607,10000
PLYMOUTH INDUSTRIAL REITCommon Stock72964010261122,543SH SOLE 22,54300
PMV PHARMACEUTICALS INCCommon Stock69353Y10339418,933SH SOLE 18,93300
PNC FINANCIAL SVCS GRPCommon Stock693475105168,515913,607SH SOLE 913,60700
PNM RESOURCES INCCommon Stock69349H1072,90961,018SH SOLE 61,01800
POLARIS INDUSTRIES INCCommon Stock7310681026,13358,230SH SOLE 58,23000
POLYMET MINING CORPForeign Stock73191640910925,941SH SOLE 25,94100
POOL CORPORATIONCommon Stock73278L10520,41948,288SH SOLE 48,28800
POPULAR INCCommon Stock73317470017,552214,730SH SOLE 214,73000
PORCH GROUP INCCommon Stock7332451041,299187,071SH SOLE 187,07100
PORTAGE BIOTECH INCForeign StockG7185A128263,946SH SOLE 3,94600
PORTILLOS INCCommon Stock73642K10641016,711SH SOLE 16,71100
PORTLAND GEN ELEC COCommon Stock7365088474,13674,994SH SOLE 74,99400
POSEIDA THERAPEUTICS INCCommon Stock73730P1085411,972SH SOLE 11,97200
POST HOLDINGS INCCommon Stock7374461043,74354,048SH SOLE 54,04800
POSTAL REALTY TRUST INCCommon Stock73757R10217510,412SH SOLE 10,41200
POTLATCHDELTIC CORPCommon Stock7376301033,09058,598SH SOLE 58,59800
POWELL INDUSTRIES INCCommon Stock7391281061457,477SH SOLE 7,47700
POWER INTEGRATIONS INCCommon Stock73927610317,106184,574SH SOLE 184,57400
POWERSCHOOL HOLDINGS INCCommon Stock73939C10662037,567SH SOLE 37,56700
PPG INDUSTRIES INCCommon Stock69350610744,876342,383SH SOLE 342,38300
PPL CORPORATIONCommon Stock69351T10620,561719,925SH SOLE 719,92500
PRA GROUP INCConvertible Debt69354NAB23,3032,986,000SH SOLE 2,986,00000
PRA GROUP INCCommon Stock69354N1061,47532,726SH SOLE 32,72600
PRAXIS PRECISION MEDICINECommon Stock74006W10822221,711SH SOLE 21,71100
PRECIGEN INCCommon Stock74017N10513865,331SH SOLE 65,33100
PRECISION BIOSCIENCES INCCommon Stock74019P10816252,498SH SOLE 52,49800
PREFERRED APARTMENT-CL ACommon Stock74039L10394037,686SH SOLE 37,68600
PREFERRED BANK/LOS ANGELECommon Stock7403674042,06727,893SH SOLE 27,89300
PREFORMED LINE PRODUCTSCommon Stock7404441042113,328SH SOLE 3,32800
PRELUDE THERAPEUTICS INCCommon Stock74065P101344,992SH SOLE 4,99200
PREMIER FINANCIAL CORPCommon Stock74052F1082,29875,753SH SOLE 75,75300
PREMIER INC - CLASS ACommon Stock74051N1026,815191,493SH SOLE 191,49300
PRESTIGE CONSUMER HEALTHCommon Stock74112D1011,91536,165SH SOLE 36,16500
PRICE SMART INCCommon Stock7415111091,33416,915SH SOLE 16,91500
PRIMERICA INCCommon Stock74164M1086,44647,115SH SOLE 47,11500
PRIMIS FINANCIAL CORPCommon Stock74167B10923216,582SH SOLE 16,58200
PRIMO WATER CORPForeign Stock74167P1088,072566,465SH SOLE 566,46500
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PVH CORPCommon Stock6936561007,51798,120SH SOLE 98,12000
PYXIS ONCOLOGY INCCommon Stock747324101266,385SH SOLE 6,38500
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SHARPS COMPLIANCE CORPCommon Stock820017101193,271SH SOLE 3,27100
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SHENANDOAH TELECOMMUNICACommon Stock82312B10682234,840SH SOLE 34,84000
SHERWIN-WILLIAMS COMPANYCommon Stock824348106135,120541,303SH SOLE 541,30300
SHIFT TECHNOLOGIES INCCommon Stock82452T1079241,662SH SOLE 41,66200
SHIFT4 PAYMENTS INCConvertible Debt82452JAB52,2772,175,000SH SOLE 2,175,00000
SHIFT4 PAYMENTS INCCommon Stock82452J1093,03348,972SH SOLE 48,97200
SHOALS TECHNOLOGIES GROUPCommon Stock82489W1075,774338,822SH SOLE 338,82200
SHOCKWAVE MEDICAL INCCommon Stock82489T10449,164237,096SH SOLE 237,09600
SHOE CARNIVAL INCCommon Stock82488910936212,418SH SOLE 12,41800
SHOPIFY INC - AForeign Stock82509L10762,68992,740SH SOLE 92,74000
SHOT SPOTTER INCCommon Stock82536T10759821,556SH SOLE 21,55600
SHUTTERSTOCK, INCCommon Stock8256901002,06322,168SH SOLE 22,16800
SI-BONE INCCommon Stock8257041098,071357,104SH SOLE 357,10400
SIENTRA INCCommon Stock82621J1058337,331SH SOLE 37,33100
SIERRA BANCORPCommon Stock82620P10230112,032SH SOLE 12,03200
SIGA TECHNOLOGIES INCCommon Stock8269171063,049430,053SH SOLE 430,05300
SIGHT SCIENCES INCCommon Stock82657M10520217,497SH SOLE 17,49700
SIGILON THERAPEUTICS INCCommon Stock82657L107106,800SH SOLE 6,80000
SIGNATURE BANKCommon Stock82669G10462,396212,600SH SOLE 212,60000
SIGNET JEWELERS LTDForeign StockG812761004,53862,427SH SOLE 62,42700
SIGNIFY HEALTH INCCommon Stock82671G1001,29671,400SH SOLE 71,40000
SILGAN HOLDINGS INCCommon Stock8270481093,72480,548SH SOLE 80,54800
SILICOM LTDForeign StockM841161081634,146SH SOLE 4,14600
SILICON LABORATORIES INCCommon Stock8269191024,03226,846SH SOLE 26,84600
SILICON MOTION TECHNOLForeign Stock82706C10811,328169,534SH SOLE 169,53400
SILK ROAD MEDICAL INCCommon Stock82710M1001,01224,498SH SOLE 24,49800
SILVERBACK THERAPEUTICS ICommon Stock82835W1084011,469SH SOLE 11,46900
SILVERGATE CAPITAL CORPCommon Stock82837P40814,24294,588SH SOLE 94,58800
SIMMONS 1ST NATL CORP-CLCommon Stock8287302002,17382,892SH SOLE 82,89200
SIMON PROPERTY GROUP INCCommon Stock82880610954,442413,817SH SOLE 413,81700
SIMPLY GOOD FOODS COCommon Stock82900L1022,30460,700SH SOLE 60,70000
SIMPSON MFG CO INCCommon Stock8290731053,42731,429SH SOLE 31,42900
SIMULATIONS PLUS INCCommon Stock82921410562212,200SH SOLE 12,20000
SINCLAIR BROADCAST CL ACommon Stock82922610991632,700SH SOLE 32,70000
SINGULAR GENOMICS SYSTEMSCommon Stock82933R10033352,726SH SOLE 52,72600
SIRIUS XM HOLDINGS INCCommon Stock82968B10317,9102,705,462SH SOLE 2,705,46200
SIRIUSPOINT LTDForeign StockG8192H1061,061141,894SH SOLE 141,89400
SITE CENTERS CORPCommon Stock82981J1092,087124,920SH SOLE 124,92000
SITEONE LANDSCAPE SUPPLYCommon Stock82982L10316,424101,580SH SOLE 101,58000
SITIME CORPORATIONCommon Stock82982T1069,93440,086SH SOLE 40,08600
SIX FLAGS ENTERTAIN CORPCommon Stock83001A1024,519103,878SH SOLE 103,87800
SJW GROUPCommon Stock7843051041,38919,959SH SOLE 19,95900
SKECHERS USA INC CLASS ACommon Stock83056610520,297497,973SH SOLE 497,97300
SKILLZ INCCommon Stock83067L1091,601533,548SH SOLE 533,54800
SKYLINE CORPORATIONCommon Stock8308301054,23277,122SH SOLE 77,12200
SKYWATER TECHNOLOGY INCCommon Stock83089J108746,864SH SOLE 6,86400
SKYWEST INCCommon Stock8308791021,67057,878SH SOLE 57,87800
SKYWORKS SOLUTIONS INCCommon Stock83088M10226,043195,397SH SOLE 195,39700
SL GREEN REALTY CORPCommon Stock78440X88710,364127,670SH SOLE 127,67000
SLEEP NUMBER CORPCommon Stock83125X1031,53730,317SH SOLE 30,31700
SLM CORPORATIONCommon Stock78442P10610,983598,227SH SOLE 598,22700
SMART GLOBAL HOLDINGS INCForeign StockG8232Y10179630,800SH SOLE 30,80000
SMARTFINANCIAL INCCommon Stock83190L20825710,028SH SOLE 10,02800
SMARTSHEET INC-CLASS ACommon Stock83200N10354,320991,607SH SOLE 991,60700
SMITH & NEPHEW PLC-SPON AForeign Stock83175M2055,074159,050SH SOLE 159,05000
SMITH MICRO SOFTWARE INCCommon Stock8321542076918,191SH SOLE 18,19100
SMUCKER (J M) COMPANY/THECommon Stock83269640526,471195,485SH SOLE 195,48500
SNAP INC - CLASS ACommon Stock83304A10610,014278,254SH SOLE 278,25400
SNAP ONE HOLDINGS CORPCommon Stock83303Y10524116,338SH SOLE 16,33800
SNAP-ON INCCommon Stock83303410123,029112,074SH SOLE 112,07400
SNOWFLAKE INCCommon Stock83344510985,632373,727SH SOLE 373,72700
SOC TELEMED INCCommon Stock78472F1019932,959SH SOLE 32,95900
SOCIETY PASS INCCommon Stock83370P1023812,700SH SOLE 12,70000
SOLAREDGE TECHNOLOGIES INCommon Stock83417M1045,20016,129SH SOLE 16,12900
SOLARIS OILFIELD INFRACommon Stock83418M10320117,788SH SOLE 17,78800
SOLARWINDS CORPCommon Stock83417Q20499274,503SH SOLE 74,50300
SOLID BIOSCIENCES INCCommon Stock83422E1052722,491SH SOLE 22,49100
SOLO BRANDS INCCommon Stock83425V104455,308SH SOLE 5,30800
SOMALOGIC INCCommon Stock83444K10558673,061SH SOLE 73,06100
SONIC AUTOMOTIVE INCCommon Stock83545G10288020,699SH SOLE 20,69900
SONOCO PRODUCTS COMPANYCommon Stock8354951027,998127,849SH SOLE 127,84900
SONOS INCCommon Stock83570H1082,44986,767SH SOLE 86,76700
SONY CORPORATION SP ADRForeign Stock83569930712,607122,745SH SOLE 122,74500
SORRENTO THERAPEUTICS INCCommon Stock83587F202468201,001SH SOLE 201,00100
SOTERA HEALTH COMPANYCommon Stock83601L1023,291151,959SH SOLE 151,95900
SOUTH JERSEY INDUSTRIESCommon Stock8385181083,475100,586SH SOLE 100,58600
SOUTH PLAINS FINANCIALCommon Stock83946P1072047,674SH SOLE 7,67400
SOUTHERN COMPANYCommon Stock842587107135,9201,874,506SH SOLE 1,874,50600
SOUTHERN COPPER CORPCommon Stock84265V10516,520217,660SH SOLE 217,66000
SOUTHERN FIRST BANCSHARESCommon Stock8428731012685,267SH SOLE 5,26700
SOUTHERN MISSOURI BANCORPCommon Stock8433801063286,568SH SOLE 6,56800
SOUTHSIDE BANCSHARES INCCommon Stock84470P10991622,426SH SOLE 22,42600
SOUTHSTATE CORPCommon Stock84044110950,294616,427SH SOLE 616,42700
SOUTHWEST AIRLINES COCommon Stock84474110861,8341,350,084SH SOLE 1,350,08400
SOUTHWEST GAS HOLDINGS INCommon Stock8448951023,41143,573SH SOLE 43,57300
SOUTHWESTERN ENERGY COCommon Stock8454671096,031841,145SH SOLE 841,14500
SOVOS BRANDS INCCommon Stock84612U1071,888133,114SH SOLE 133,11400
SP PLUS CORPCommon Stock78469C10352416,712SH SOLE 16,71200
SPARTANNASH COMPANYCommon Stock84721510085225,832SH SOLE 25,83200
SPECTRUM BRANDS HLDGS INCCommon Stock84790A10510,984123,802SH SOLE 123,80200
SPECTRUM PHARMACEUTLS INCCommon Stock84763A108142109,943SH SOLE 109,94300
SPERO THERAPEUTICS INCCommon Stock84833T10314917,123SH SOLE 17,12300
SPIRE INCCommon Stock84857L1012,63236,677SH SOLE 36,67700
SPIRIT AEROSPT HLDG CL ACommon Stock84857410919,098390,622SH SOLE 390,62200
SPIRIT AIRLINES INCConvertible Debt848577AB86,2837,005,000SH SOLE 7,005,00000
SPIRIT AIRLINES INCCommon Stock8485771021,55270,964SH SOLE 70,96400
SPIRIT OF TEXAS BANCSHARECommon Stock84861D1032238,490SH SOLE 8,49000
SPIRIT REALTY CAPITAL INCCommon Stock84860W3006,198134,676SH SOLE 134,67600
SPLUNK INCConvertible Debt848637AC85,3264,685,000SH SOLE 4,685,00000
SPLUNK INCConvertible Debt848637AD66,1145,106,000SH SOLE 5,106,00000
SPLUNK INCConvertible Debt848637AF16,4826,787,000SH SOLE 6,787,00000
SPLUNK INCCommon Stock84863710426,838180,592SH SOLE 180,59200
SPORTSMAN'S WAREHOUSE HLDCommon Stock84920Y10633631,389SH SOLE 31,38900
SPOTIFY TECHNOLOGY SAForeign StockL8681T10224,469162,025SH SOLE 162,025