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
3D Systems CorpCOMMON STOCK88554D205788112,674SH DFND 0112,6740
Aaon IncorporatedCOMMON STOCK00036020690016,577SH DFND 016,5770
Aaron's IncCOMMON STOCK00253530085618,863SH DFND 018,8630
Abbott LaboratoriesCOMMON STOCK0028241002,77330,325SH DFND 030,3250
Abercrombie & Fitch Company- Cl ACOMMON STOCK00289620714113,216SH DFND 013,2160
Acadia Pharmaceuticals IncCOMMON STOCK0042251082074,264SH DFND 04,2640
Accelerate Diagnostics IncCOMMON STOCK00430H10228819,022SH DFND 019,0220
Accenture Plc - CL ACOMMON STOCKG1151C1016843,184SH DFND 03,1840
Activision Blizzard IncCOMMON STOCK00507V1093,25442,871SH DFND 042,8710
Acuity Brands IncCOMMON STOCK00508Y1022,72228,435SH DFND 028,4350
Advanced Energy Industries IncorporatedCOMMON STOCK0079731004506,641SH DFND 06,6410
Advanced Micro Devices IncorporatedCOMMON STOCK0079031072,81153,435SH DFND 053,4350
Aercap Holdings NVCOMMON STOCKN0098510699132,177SH DFND 032,1770
Aerojet Rocketdyne Holdings IncCOMMON STOCK00780010586521,819SH DFND 021,8190
Aerovironment IncCOMMON STOCK0080731083113,903SH DFND 03,9030
Affiliated Managers Group IncorporatedCOMMON STOCK00825210897713,105SH DFND 013,1050
AFLAC IncorporatedCOMMON STOCK00105510239510,969SH DFND 010,9690
AG Mortgage Investment TrustCOMMON STOCK00122810513241,239SH DFND 041,2390
AGCO CorporationCOMMON STOCK00108410285415,395SH DFND 015,3950
Agenus IncCOMMON STOCK00847G7055915,134SH DFND 015,1340
Agilent Technologies Inc.COMMON STOCK00846U1017658,653SH DFND 08,6530
Agios Pharmaceuticals IncCOMMON STOCK00847X10490116,845SH DFND 016,8450
Air Lease CorpCOMMON STOCK00912X3022618,924SH DFND 08,9240
Air Products and Chemicals IncorporatedCOMMON STOCK0091581061,5136,266SH DFND 06,2660
Air Transport Services Group IncCOMMON STOCK00922R10579035,496SH DFND 035,4960
Akamai TechnologiesCOMMON STOCK00971T1014053,778SH DFND 03,7780
Alarm.com Holdings IncCOMMON STOCK0116421051,18418,264SH DFND 018,2640
Alaska Airgroup IncorporatedCOMMON STOCK01165910977521,383SH DFND 021,3830
Alexion Pharmaceuticals IncorporatedCOMMON STOCK0153511092,19919,595SH DFND 019,5950
Alibaba Group Holding-sp AdrCOMMON STOCK01609W1022,56011,868SH DFND 011,8680
Allegiant Travel CoCOMMON STOCK01748X1023883,556SH DFND 03,5560
Allegion PlcCOMMON STOCKG0176J1093,44633,709SH DFND 033,7090
Allison Transmission HoldingCOMMON STOCK01973R1012,25161,196SH DFND 061,1960
Allscripts Healthcare Solutions IncCOMMON STOCK01988P108706104,351SH DFND 0104,3510
Allstate CorporationCOMMON STOCK0200021011,47415,194SH DFND 015,1940
Ally Financial IncCOMMON STOCK02005N10098049,410SH DFND 049,4100
Alphabet Inc.COMMON STOCK02079K3051,7771,253SH DFND 01,2530
AMAG Pharmaceuticals IncCOMMON STOCK00163U10616721,821SH DFND 021,8210
Amarin Corporation PLC- ADRCOMMON STOCK02311120626137,766SH DFND 037,7660
Amazon.Com IncorporatedCOMMON STOCK0231351069,3303,382SH DFND 03,3820
Ambac Financial Group IncCOMMON STOCK02313988485459,640SH DFND 059,6400
Ambarella IncCOMMON STOCKG037AX1011,69436,985SH DFND 036,9850
Amc Entertainment Hlds-cl ACOMMON STOCK00165C10423554,892SH DFND 054,8920
Amc Networks Inc - ACOMMON STOCK00164V1031,33557,078SH DFND 057,0780
American Airlines Group IncCOMMON STOCK02376R1022,101160,764SH DFND 0160,7640
American Axle & Manufacturing Hold. Inc.COMMON STOCK02406110364785,100SH DFND 085,1000
American Eagle OutfittersCOMMON STOCK02553E1061,827167,648SH DFND 0167,6480
American Financial Group Inc.COMMON STOCK0259321041,44922,828SH DFND 022,8280
American Homes 4 Rent- ACOMMON STOCK02665T30694535,143SH DFND 035,1430
American International Group Inc.COMMON STOCK02687478499731,979SH DFND 031,9790
American Public EducationCOMMON STOCK02913V1032127,147SH DFND 07,1470
American States Water CompanyCOMMON STOCK0298991017689,768SH DFND 09,7680
American Tower Corp - Class ACOMMON STOCK03027X1003,48013,459SH DFND 013,4590
AMETEK IncorporatedCOMMON STOCK0311001006337,085SH DFND 07,0850
AMEX Consumer Select Staples Sector SPDRCOMMON STOCK81369Y3084006,828SH DFND 06,8280
AMEX Maket Vectors Gold Miners Index FundCOMMON STOCK92189F1068,803240,000SHCallDFND 0240,0000
Amgen IncorporatedCOMMON STOCK0311621001,7517,423SH DFND 07,4230
Amkor Technology IncorporatedCOMMON STOCK03165210032426,322SH DFND 026,3220
ANI Pharmaceuticals IncCOMMON STOCK00182C1032186,726SH DFND 06,7260
ANSYS IncorporatedCOMMON STOCK03662Q1053191,092SH DFND 01,0920
Anthem IncCOMMON STOCK0367521033,83214,573SH DFND 014,5730
Anworth Mortgage Asset CorpCOMMON STOCK03734710110159,169SH DFND 059,1690
Apple IncCOMMON STOCK03783310017,43547,794SH DFND 047,7940
Applied Materials IncorporatedCOMMON STOCK0382221051,97332,642SH DFND 032,6420
AptarGroup IncorporatedCOMMON STOCK0383361035164,605SH DFND 04,6050
AramarkCOMMON STOCK03852U1062,07792,022SH DFND 092,0220
ARC Document Solutions IncCOMMON STOCK00191G1032221,551SH DFND 021,5510
Arch Capital Group Ltd.COMMON STOCKG0450A1052,60190,778SH DFND 090,7780
Arcos Dorados Holdings Inc-aCOMMON STOCKG0457F10721852,061SH DFND 052,0610
Arista Networks IncCOMMON STOCK0404131061,3366,360SH DFND 06,3600
Armstrong World IndustriesCOMMON STOCK04247X1024045,182SH DFND 05,1820
Arrow Electronics IncorporatedCOMMON STOCK0427351001,30218,957SH DFND 018,9570
Artisan Partners Asset Management IncCOMMON STOCK04316A10851515,832SH DFND 015,8320
Ashford Hospitality Trust IncCOMMON STOCK04410387777106,198SH DFND 0106,1980
Associated Banc-CorpCOMMON STOCK04548710520815,228SH DFND 015,2280
Assured Guaranty LtdCOMMON STOCKG0585R10652221,377SH DFND 021,3770
Astronics CorpCOMMON STOCK04643310821820,687SH DFND 020,6870
Atlassian Corp Plc-class ACOMMON STOCKG062421044,20723,335SH DFND 023,3350
Autodesk IncorporatedCOMMON STOCK0527691061,1644,865SH DFND 04,8650
Automatic Data Processing IncorporatedCOMMON STOCK0530151033,69324,804SH DFND 024,8040
Autonation IncorporatedCOMMON STOCK05329W1021,36636,343SH DFND 036,3430
AutoZone IncorporatedCOMMON STOCK053332102928823SH DFND 08230
Avalonbay Communities Inc.COMMON STOCK0534841016,16539,865SH DFND 039,8650
Avery Dennison CorporationCOMMON STOCK0536111097126,241SH DFND 06,2410
Avis Budget Group IncCOMMON STOCK0537741051,45563,577SH DFND 063,5770
Avista Corp.COMMON STOCK05379B10756915,625SH DFND 015,6250
Avnet IncorporatedCOMMON STOCK0538071031,62258,176SH DFND 058,1760
Axis Capital HoldingsCOMMON STOCKG0692U1092977,326SH DFND 07,3260
Balchem Corp-CL BCOMMON STOCK0576652007407,806SH DFND 07,8060
Bank of America CorporationCOMMON STOCK0605051042,13389,822SH DFND 089,8220
Bank of Hawaii Corp.COMMON STOCK06254010971011,565SH DFND 011,5650
Beazer Homes USA Inc.COMMON STOCK07556Q88111811,747SH DFND 011,7470
Becton Dickinson and CompanyCOMMON STOCK075887109237991SH DFND 09910
Bed Bath and Beyond IncorporatedCOMMON STOCK0758961002,137201,624SH DFND 0201,6240
Benchmark Electronics IncorporatedCOMMON STOCK08160H1011,02347,372SH DFND 047,3720
Berkshire Hills Bancorp IncCOMMON STOCK08468010733730,565SH DFND 030,5650
BGC Partners IncCOMMON STOCK05541T10123284,781SH DFND 084,7810
Big 5 Sporting Goods CorpCOMMON STOCK08915P1015327,258SH DFND 027,2580
Biogen IncCOMMON STOCK09062X1031,2904,820SH DFND 04,8200
Bio-Rad Laboratories IncorporatedCOMMON STOCK0905722071,2882,853SH DFND 02,8530
BioTelemetry IncCOMMON STOCK0906721063407,531SH DFND 07,5310
Black Hills CorporationCOMMON STOCK0921131091,63028,770SH DFND 028,7700
Blackberry LtdCOMMON STOCK09228F1039619,660SH DFND 019,6600
Blackstone Mortgage Trust Inc - Class ACOMMON STOCK09257W1009,201381,961SH DFND 0381,9610
Bloomin' Brands IncCOMMON STOCK09423510888883,284SH DFND 083,2840
Blucora IncCOMMON STOCK09522910062654,825SH DFND 054,8250
Bluebird Bio IncCOMMON STOCK09609G1001,78829,293SH DFND 029,2930
Booz Allen Hamilton HoldingCOMMON STOCK0995021062453,147SH DFND 03,1470
Boston Properties IncorporatedCOMMON STOCK1011211016,67773,878SH DFND 073,8780
Boston Scientific CorporationCOMMON STOCK1011371071,15532,900SH DFND 032,9000
Box Inc - Class ACOMMON STOCK10316T1041,10353,140SH DFND 053,1400
Boyd Gaming CorporationCOMMON STOCK1033041011,38666,296SH DFND 066,2960
BP Plc - ADRCOMMON STOCK05562210438716,606SH DFND 016,6060
Brady Corporation (CL A)COMMON STOCK1046741063036,479SH DFND 06,4790
Bright Horizons Family Solutions IncCOMMON STOCK1091941001,0428,895SH DFND 08,8950
BrightcoveCOMMON STOCK10921T10111314,317SH DFND 014,3170
Brinker International IncorporatedCOMMON STOCK10964110046819,480SH DFND 019,4800
Brixmor Property Group IncCOMMON STOCK11120U1052,488194,066SH DFND 0194,0660
Brookdale Senior Living Inc.COMMON STOCK11246310415452,260SH DFND 052,2600
Brookline Bancorp IncCOMMON STOCK11373M10724224,057SH DFND 024,0570
Brown & Brown Inc.COMMON STOCK11523610187821,550SH DFND 021,5500
Brown Forman CorporationCOMMON STOCK11563720966510,441SH DFND 010,4410
Builders FirstSource IncCOMMON STOCK12008R10763330,599SH DFND 030,5990
Cable One IncCOMMON STOCK12685J105935527SH DFND 05270
Cabot Microelectronics CorpCOMMON STOCK12709P1036644,759SH DFND 04,7590
Cabot Oil & Gas Corporation-CL ACOMMON STOCK12709710333019,224SH DFND 019,2240
CACI International Incorporated-CL ACOMMON STOCK1271903042721,255SH DFND 01,2550
Caesars Entertainment Corp.COMMON STOCK12768610313511,091SH DFND 011,0910
Callon Petroleum CorpCOMMON STOCK13123X5082420,977SH DFND 020,9770
Campbell Soup CompanyCOMMON STOCK1344291091,25225,225SH DFND 025,2250
Cantel Medical CorpCOMMON STOCK1380981081,72338,947SH DFND 038,9470
Capital One Financial CorporationCOMMON STOCK14040H1053,95863,240SH DFND 063,2400
Cardinal Health IncorporatedCOMMON STOCK14149Y1085,228100,168SH DFND 0100,1680
Cardiovascular Systems IncCOMMON STOCK1416191063,440109,026SH DFND 0109,0260
CareTrust Reit IncCOMMON STOCK14174T10728816,772SH DFND 016,7720
Carlisle Companies IncorporatedCOMMON STOCK1423391004783,998SH DFND 03,9980
Carnival CorporationCOMMON STOCK1436583002,239136,368SH DFND 0136,3680
Carriage Services Inc - CL ACOMMON STOCK14390510736119,942SH DFND 019,9420
Carter's IncCOMMON STOCK1462291091,93924,030SH DFND 024,0300
Castlight Health Inc-bCOMMON STOCK14862Q1001112,824SH DFND 012,8240
Catalent IncCOMMON STOCK1488061022,37632,421SH DFND 032,4210
Cdw Corp/deCOMMON STOCK12514G1083,68031,673SH DFND 031,6730
Cedar Realty Trust IncCOMMON STOCK1506022095656,920SH DFND 056,9200
Celanese CorpCOMMON STOCK1508701034625,356SH DFND 05,3560
Centerpoint Energy Inc.COMMON STOCK15189T10721611,571SH DFND 011,5710
Central Pacific Financial CorpCOMMON STOCK15476040937123,123SH DFND 023,1230
CenturyLink IncCOMMON STOCK1567001061,847184,163SH DFND 0184,1630
Cerner CorporationCOMMON STOCK15678210483812,230SH DFND 012,2300
Ceva IncCOMMON STOCK1572101053158,413SH DFND 08,4130
CF Industries Holdings IncCOMMON STOCK1252691001,24644,282SH DFND 044,2820
Chatham Lodging TrustCOMMON STOCK16208T10212119,845SH DFND 019,8450
Check Point Software Tech LtdCOMMON STOCKM224651045,39950,252SH DFND 050,2520
Cheesecake Factory IncorporatedCOMMON STOCK16307210164228,022SH DFND 028,0220
Chemed CorpCOMMON STOCK16359R1031,8244,043SH DFND 04,0430
Chevron CorporationCOMMON STOCK1667641002,51528,180SH DFND 028,1800
Chimera Investment CorpCOMMON STOCK16934Q20823124,060SH DFND 024,0600
Choice Hotels Intl IncCOMMON STOCK1699051066237,892SH DFND 07,8920
Churchill Downs IncorporatedCOMMON STOCK1714841081,51711,390SH DFND 011,3900
Chuy's Holdings IncCOMMON STOCK17160410148932,875SH DFND 032,8750
Cigna CorpCOMMON STOCK1255231009805,221SH DFND 05,2210
Cimarex Energy CoCOMMON STOCK17179810179528,902SH DFND 028,9020
Cincinnati Bell IncCOMMON STOCK1718715021,503101,200SHCallDFND 0101,2000
Cintas CorporationCOMMON STOCK1729081056042,268SH DFND 02,2680
Circuit City Stores Inc-CarMax GroupCOMMON STOCK1431301021,84920,645SH DFND 020,6450
Cirrus Logic IncorporatedCOMMON STOCK1727551003,15050,989SH DFND 050,9890
CIT Group Inc.COMMON STOCK12558180141219,888SH DFND 019,8880
Citigroup IncorporatedCOMMON STOCK1729674242,68152,465SH DFND 052,4650
Citrix SystemsCOMMON STOCK1773761009506,423SH DFND 06,4230
Civeo CorpCOMMON STOCK17878Y1084776,158SH DFND 076,1580
Clovis Oncology IncCOMMON STOCK1894641008111,934SH DFND 011,9340
CME Group IncCOMMON STOCK12572Q10510,78966,378SH OTR 021,37845,000
Coeur Mining IncCOMMON STOCK1921085041,422279,905SH DFND 0279,9050
Coherent IncorporatedCOMMON STOCK1924791031,0177,768SH DFND 07,7680
Colfax CorpCOMMON STOCK1940141063,811136,592SH DFND 0136,5920
Columbia Property Trust IncCOMMON STOCK19828720342432,266SH DFND 032,2660
Community Bank System IncorporatedCOMMON STOCK2036071063496,116SH DFND 06,1160
COMPASS MINERALS INTL INCCOMMON STOCK20451N1012755,633SH DFND 05,6330
Concho Resources IncCOMMON STOCK20605P1013,53168,564SH DFND 068,5640
Conmed CorporationCOMMON STOCK2074101011,21416,862SH DFND 016,8620
Constellation Brands Inc - ACOMMON STOCK21036P1081,5829,043SH DFND 09,0430
Continental Resources IncCOMMON STOCK2120151011,70297,071SH DFND 097,0710
Cooper Companies IncCOMMON STOCK2166484021,2724,485SH DFND 04,4850
Copa Holdings SA - Class ACOMMON STOCKP310761051,22424,200SH DFND 024,2000
Copart IncorporatedCOMMON STOCK2172041061,57118,869SH DFND 018,8690
Corcept Therapeutics IncCOMMON STOCK2183521021,30277,417SH DFND 077,4170
CorEnergy Infrastructure Trust IncCOMMON STOCK21870U50213414,661SH DFND 014,6610
Cornerstone Ondemand IncCOMMON STOCK21925Y1032,52165,368SH DFND 065,3680
Costar Group IncCOMMON STOCK22160N1091,4071,980SH DFND 01,9800
Costco Wholesale Corp.COMMON STOCK22160K1053511,157SH DFND 01,1570
Cousins Properties IncorporatedCOMMON STOCK22279550230410,205SH DFND 010,2050
Covanta Holding CorpCOMMON STOCK22282E10232133,473SH DFND 033,4730
Crane Co.COMMON STOCK2243991051,27521,451SH DFND 021,4510
Credit Acceptance CorporationCOMMON STOCK225310101223533SH DFND 05330
Crown Castle Intl CorpCOMMON STOCK22822V1013,98023,782SH DFND 023,7820
CSG Systems International IncorporatedCOMMON STOCK1263491092105,074SH DFND 05,0740
CubeSmartCOMMON STOCK22966310933012,240SH DFND 012,2400
Curtiss-Wright CorporationCOMMON STOCK2315611018099,064SH DFND 09,0640
CVB Financial CorporationCOMMON STOCK12660010571137,960SH DFND 037,9600
CVR Energy IncCOMMON STOCK12662P10875737,619SH DFND 037,6190
CVS Health CorpCOMMON STOCK1266501002,21634,108SH DFND 034,1080
Cyber-ark Software Ltd/israeCOMMON STOCKM2682V1086196,240SH DFND 06,2400
D R Horton IncorporatedCOMMON STOCK23331A1091,34524,255SH DFND 024,2550
Daktronics IncCOMMON STOCK23426410921048,291SH DFND 048,2910
Darden Restaurants IncCOMMON STOCK23719410589911,868SH DFND 011,8680
Deckers Outdoor CorporationCOMMON STOCK2435371074612,348SH DFND 02,3480
Delek US Holdings IncCOMMON STOCK24665A10341323,724SH DFND 023,7240
Delta Air Lines IncCOMMON STOCK2473617022177,730SH DFND 07,7300
Deluxe CorporationCOMMON STOCK2480191011,27854,300SH DFND 054,3000
Deutsche Bank AG OrdCOMMON STOCKD1819089836237,977SH DFND 037,9770
Devon Energy Corp.COMMON STOCK25179M1033,005265,017SH DFND 0265,0170
DexCom IncCOMMON STOCK2521311079742,402SH DFND 02,4020
DHT Holdings IncCOMMON STOCKY2065G12116932,987SH DFND 032,9870
DiamondRock Hospitality CoCOMMON STOCK2527843011,387250,899SH DFND 0250,8990
Dick's Sporting Goods IncCOMMON STOCK2533931022,01648,856SH DFND 048,8560
Dillards Incorporated Cl ACOMMON STOCK25406710140015,507SH DFND 015,5070
Dime Community BancsharesCOMMON STOCK25392210862445,434SH DFND 045,4340
Dollar General CorpCOMMON STOCK2566771053,08516,192SH DFND 016,1920
Dollar Tree IncCOMMON STOCK2567461081,80019,424SH DFND 019,4240
Domtar CorpCOMMON STOCK2575592031,62076,746SH DFND 076,7460
Donaldson Co IncCOMMON STOCK2576511093717,972SH DFND 07,9720
Dorman Products IncCOMMON STOCK2582781003074,573SH DFND 04,5730
Dover CorpCOMMON STOCK2600031082,67027,649SH DFND 027,6490
Duke Energy CorporationCOMMON STOCK26441C2041,59920,021SH DFND 020,0210
Dunkin' Brands Group IncCOMMON STOCK2655041003735,721SH DFND 05,7210
E Trade Financial CorporationCOMMON STOCK26924640179,5501,599,639SH DFND 01,599,6390
Eagle Materials IncCOMMON STOCK26969P1082243,187SH DFND 03,1870
East-West BankCOMMON STOCK27579R10462217,159SH DFND 017,1590
Eaton Vance CorporationCOMMON STOCK2782651031,55840,374SH DFND 040,3740
Ebay IncorporatedCOMMON STOCK2786421032,87854,879SH DFND 054,8790
Edwards Lifesciences Corp.COMMON STOCK28176E1081,42820,662SH DFND 020,6620
El Paso Electric CompanyCOMMON STOCK2836778542573,836SH DFND 03,8360
Electronic Arts IncorporatedCOMMON STOCK2855121098866,713SH DFND 06,7130
EMCOR Group IncorporatedCOMMON STOCK29084Q1001,30419,715SH DFND 019,7150
Emerson Electric CompanyCOMMON STOCK2910111041,82129,364SH DFND 029,3640
Enanta Pharmaceuticals IncCOMMON STOCK29251M10656411,227SH DFND 011,2270
Endo International PlcCOMMON STOCKG3040110612837,206SH DFND 037,2060
Endurance International GrouCOMMON STOCK29272B10522054,703SH DFND 054,7030
EnerSysCOMMON STOCK29275Y10265810,225SH DFND 010,2250
Entegris IncCOMMON STOCK29362U1042243,786SH DFND 03,7860
Entravision Communications CorpCOMMON STOCK29382R107184128,894SH DFND 0128,8940
EOG Resources Inc.COMMON STOCK26875P10153410,548SH DFND 010,5480
Epam Systems IncCOMMON STOCK29414B1046392,536SH DFND 02,5360
EQT CorpCOMMON STOCK26884L10917014,274SH DFND 014,2740
Equinix IncCOMMON STOCK29444U7005,3127,564SH DFND 07,5640
Equity CommonwealthCOMMON STOCK2946281021,30740,591SH DFND 040,5910
Equity Lifestyle Properties InCOMMON STOCK29472R1084987,963SH DFND 07,9630
Equity ResidentialCOMMON STOCK29476L1076,907117,430SH DFND 0117,4300
Essent Group LtdCOMMON STOCKG3198U10256115,466SH DFND 015,4660
Essex Property TrustCOMMON STOCK2971781057,88334,397SH DFND 034,3970
Estee LauderCOMMON STOCK5184391047473,960SH DFND 03,9600
Ethan Allen Interiors IncorporatedCOMMON STOCK29760210463653,721SH DFND 053,7210
Exelixis IncCOMMON STOCK30161Q1041,95782,451SH DFND 082,4510
Express Inc.COMMON STOCK30219E1036039,017SH DFND 039,0170
Extra Space Storage IncCOMMON STOCK30225T1022,95531,987SH DFND 031,9870
Extreme NetworksCOMMON STOCK30226D10632173,956SH DFND 073,9560
F.N.B. CorporationCOMMON STOCK30252010129639,415SH DFND 039,4150
FabrinetCOMMON STOCKG3323L10083813,426SH DFND 013,4260
Facebook Inc-aCOMMON STOCK30303M1023,40014,975SH DFND 014,9750
Fair Isaac CorpCOMMON STOCK303250104306732SH DFND 07320
FARO Technologies IncorporatedCOMMON STOCK3116421022464,592SH DFND 04,5920
Fastenal CompanyCOMMON STOCK31190010450711,833SH DFND 011,8330
Fedex CorporationCOMMON STOCK31428X1068656,167SH DFND 06,1670
Ferroglobe PlcCOMMON STOCKG338561082550,268SH DFND 050,2680
Fibrogen IncCOMMON STOCK31572Q80843410,710SH DFND 010,7100
Fidelity National Information ServicesCOMMON STOCK31620M1069667,207SH DFND 07,2070
Fifth Third BancorpCOMMON STOCK3167731001,14459,339SH DFND 059,3390
First American FinancialCOMMON STOCK31847R1022,04042,487SH DFND 042,4870
First Bancorp Puerto RicoCOMMON STOCK31867270612722,739SH DFND 022,7390
First Commonwealth Financial CorporationCOMMON STOCK31982910731137,513SH DFND 037,5130
Fitbit Inc - ACOMMON STOCK33812L10210616,421SH DFND 016,4210
Five9 IncCOMMON STOCK3383071012,19219,804SH DFND 019,8040
Fiveprime Therapeutics IncCOMMON STOCK33830X10414924,355SH DFND 024,3550
Fleetcor Technologies IncCOMMON STOCK3390411055782,297SH DFND 02,2970
FLIR Systems IncorporatedCOMMON STOCK3024451011,20729,756SH DFND 029,7560
Flowers Foods IncCOMMON STOCK34349810174133,135SH DFND 033,1350
Flowserve CorporationCOMMON STOCK34354P1052859,976SH DFND 09,9760
FMC CorporationCOMMON STOCK3024913032232,237SH DFND 02,2370
Fortinet IncCOMMON STOCK34959E1093,15022,944SH DFND 022,9440
Fortune Brands Home & Security Inc.COMMON STOCK34964C1061,36321,325SH DFND 021,3250
Forum Energy Technologies InCOMMON STOCK34984V100145275,190SH DFND 0275,1900
Forward Air CorporationCOMMON STOCK34985310186217,301SH DFND 017,3010
Franklin Street Properties CCOMMON STOCK35471R10640880,130SH DFND 080,1300
Fresh Del Monte Produce IncorporatedCOMMON STOCKG3673810524910,125SH DFND 010,1250
Fulton Finl Corp PACOMMON STOCK3602711001,300123,412SH DFND 0123,4120
Gap IncCOMMON STOCK36476010856044,336SH DFND 044,3360
Gartner Group IncCOMMON STOCK3666511072,15917,792SH DFND 017,7920
Genco Shipping & Trading LtdCOMMON STOCKY2685T1316510,429SH DFND 010,4290
General Mills IncorporatedCOMMON STOCK3703341042,93047,525SH DFND 047,5250
General Motors CoCOMMON STOCK37045V10066026,081SH DFND 026,0810
Gentex CorpCOMMON STOCK3719011092,07580,516SH DFND 080,5160
Genworth Financial Inc - CL ACOMMON STOCK37247D1063515,304SH DFND 015,3040
Glacier Bancorp IncCOMMON STOCK37637Q1051,82751,767SH DFND 051,7670
Glaukos CorpCOMMON STOCK37732210261315,962SH DFND 015,9620
Global Payments Inc.COMMON STOCK37940X1024,76728,104SH DFND 028,1040
Globant SaCOMMON STOCKL443851096,18941,302SH DFND 041,3020
Glu Mobile IncCOMMON STOCK37989010665870,935SH DFND 070,9350
Gnc Holdings IncCOMMON STOCK36191G1073869,673SH DFND 069,6730
Godaddy Inc - Class ACOMMON STOCK3802371073,28244,751SH DFND 044,7510
Golar LNG LtdCOMMON STOCKG9456A10011415,702SH DFND 015,7020
Goodyear Tire and Rubber CompanyCOMMON STOCK382550101957106,969SH DFND 0106,9690
Graco IncorporatedCOMMON STOCK3841091043036,317SH DFND 06,3170
Graham Holdings Co(CL B)COMMON STOCK3846371048622,515SH DFND 02,5150
Gran Tierra Energy IncCOMMON STOCK38500T101410,630SH DFND 010,6300
Grand Canyon Education IncCOMMON STOCK38526M1061,62417,943SH DFND 017,9430
Granite Construction IncorporatedCOMMON STOCK38732810755028,722SH DFND 028,7220
Graphic Packaging Holding CoCOMMON STOCK3886891012,315165,448SH DFND 0165,4480
Green Plains IncCOMMON STOCK39322210472771,141SH DFND 071,1410
Greenhill & Co IncCOMMON STOCK39525910422122,079SH DFND 022,0790
Group 1 Automotive IncorporatedCOMMON STOCK3989051094647,038SH DFND 07,0380
Groupon IncCOMMON STOCK3994732061,44479,669SH DFND 079,6690
Grubhub IncCOMMON STOCK4001101021,01914,496SH DFND 014,4960
H&E Equipment Services IncCOMMON STOCK40403010831917,249SH DFND 017,2490
Hain Celestial Group IncCOMMON STOCK4052171001,14636,365SH DFND 036,3650
Halliburton CompanyCOMMON STOCK4062161011,02078,569SH DFND 078,5690
Hanesbrands IncCOMMON STOCK4103451021,513133,979SH DFND 0133,9790
Hanmi Financial CorpCOMMON STOCK41049520427728,535SH DFND 028,5350
Harley Davidson IncorporatedCOMMON STOCK41282210871730,151SH DFND 030,1510
Hasbro IncorporatedCOMMON STOCK4180561075347,129SH DFND 07,1290
Haverty Furniture Companies IncorporatedCOMMON STOCK41959610138924,312SH DFND 024,3120
Hawaiian Electric Industries Inc.COMMON STOCK41987010055415,366SH DFND 015,3660
HCI Group IncCOMMON STOCK40416E1032415,212SH DFND 05,2120
Healthstream IncCOMMON STOCK42222N10327312,341SH DFND 012,3410
Helen of Troy LimitedCOMMON STOCKG4388N1061,6528,759SH DFND 08,7590
Helmerich & Payne IncorporatedCOMMON STOCK4234521011,52878,339SH DFND 078,3390
Heron Therapeutics IncCOMMON STOCK4277461021,23684,039SH DFND 084,0390
Hershey Co/TheCOMMON STOCK4278661082,00715,483SH DFND 015,4830
Hill International IncCOMMON STOCK4314661012919,305SH DFND 019,3050
Home Depot Inc.COMMON STOCK4370761028,86635,391SH DFND 035,3910
Honeywell International Inc.COMMON STOCK4385161061,69111,698SH DFND 011,6980
HP IncCOMMON STOCK40434L10536520,930SH DFND 020,9300
Hubbell IncorporatedCOMMON STOCK4435106073,08624,615SH DFND 024,6150
Hubspot IncCOMMON STOCK4435731006602,942SH DFND 02,9420
Humana Inc.COMMON STOCK4448591026081,567SH DFND 01,5670
Huntington Bancshares IncorporatedCOMMON STOCK4461501042,337258,613SH DFND 0258,6130
Huntington Ingalls IndustCOMMON STOCK4464131062,28213,078SH DFND 013,0780
Hyatt Hotels Corp - Cl ACOMMON STOCK44857910265713,066SH DFND 013,0660
Hyster-Yale Materials Handling IncCOMMON STOCK44917210560915,748SH DFND 015,7480
IBM Corporation (Intl Business Machines)COMMON STOCK4592001011,61613,377SH DFND 013,3770
Idex CorporationCOMMON STOCK45167R1042441,544SH DFND 01,5440
Idexx Laboratories CorporationCOMMON STOCK45168D1041,1433,463SH DFND 03,4630
II-Vi IncCOMMON STOCK9021041081,54732,756SH DFND 032,7560
Illinois Tool Works IncorporatedCOMMON STOCK4523081092,93016,759SH DFND 016,7590
Impac Mortgage Holdings IncCOMMON STOCK45254P5081810,488SH DFND 010,4880
Incyte Corp.COMMON STOCK45337C1021,39613,423SH DFND 013,4230
Ingles Markets Incorporated Cl. ACOMMON STOCK4570301042515,825SH DFND 05,8250
Inovio Pharmaceuticals IncCOMMON STOCK45773H20147717,690SH DFND 017,6900
Inphi CorpCOMMON STOCK45772F1075,55047,237SH DFND 047,2370
Insight Enterprises IncorporatedCOMMON STOCK45765U1031,37127,864SH DFND 027,8640
Insperity IncCOMMON STOCK45778Q1076279,689SH DFND 09,6890
Integra LifeSciences HoldingsCOMMON STOCK4579852081,05822,513SH DFND 022,5130
Intel CorporationCOMMON STOCK4581401003165,286SH DFND 05,2860
Interactive Brokers Gro-cl ACOMMON STOCK45841N1072,83667,888SH DFND 067,8880
International Flavors and FragrancesCOMMON STOCK4595061012,25818,440SH DFND 018,4400
International Game TechnologyCOMMON STOCKG4863A1081,936217,539SH DFND 0217,5390
Intersect Ent IncCOMMON STOCK46071F10313910,289SH DFND 010,2890
Intuit IncorporatedCOMMON STOCK4612021034501,519SH DFND 01,5190
Invacare CorporationCOMMON STOCK46120310123236,389SH DFND 036,3890
Invesco Mortgage CapitalCOMMON STOCK46131B10025367,771SH DFND 067,7710
IPG Photonics CorpCOMMON STOCK44980X1094863,033SH DFND 03,0330
IROBOT CorpCOMMON STOCK4627261007308,705SH DFND 08,7050
Iron Mountain Inc.COMMON STOCK46284V10171127,254SH DFND 027,2540
Ironwood Pharmaceuticals IncCOMMON STOCK46333X1081,532148,488SH DFND 0148,4880
j2 Global IncCOMMON STOCK48123V1023,02047,782SH DFND 047,7820
Jacobs Engineering Group IncorporatedCOMMON STOCK4698141072,68831,702SH DFND 031,7020
Jakks Pacific IncCOMMON STOCK47012E4031720,571SH DFND 020,5710
Jazz Pharmaceuticals PlcCOMMON STOCKG508711052932,654SH DFND 02,6540
Jd.com Inc-adrCOMMON STOCK47215P10682813,759SH DFND 013,7590
Jetblue Airways CorpCOMMON STOCK47714310119317,693SH DFND 017,6930
Johnson & JohnsonCOMMON STOCK4781601043,50624,934SH DFND 024,9340
Jones Lang LaSalle Inc.COMMON STOCK48020Q1076696,463SH DFND 06,4630
JPMorgan Chase & Co.COMMON STOCK46625H1003,66838,993SH DFND 038,9930
Kansas City SouthernCOMMON STOCK4851703023,45523,141SH DFND 023,1410
Kar Auction Services IncCOMMON STOCK48238T10941029,801SH DFND 029,8010
KB HomeCOMMON STOCK48666K10983527,204SH DFND 027,2040
Kearny Financial CorpCOMMON STOCK48716P10832239,320SH DFND 039,3200
Kennametal IncorporatedCOMMON STOCK48917010081928,515SH DFND 028,5150
Kennedy-Wilson Holdings IncCOMMON STOCK48939810726417,328SH DFND 017,3280
KeyCorpCOMMON STOCK49326710832626,762SH DFND 026,7620
Kimberly-Clark CorporationCOMMON STOCK4943681034,40431,155SH DFND 031,1550
Kimco Realty CorporationCOMMON STOCK49446R1092,772215,893SH DFND 0215,8930
Kinder Morgan IncCOMMON STOCK49456B10173848,666SH DFND 048,6660
Kirby CorporationCOMMON STOCK4972661065219,733SH DFND 09,7330
Knowles CorpCOMMON STOCK49926D10936023,616SH DFND 023,6160
Kohl's CorporationCOMMON STOCK5002551041,07951,971SH DFND 051,9710
Kratos Defense & Security SolCOMMON STOCK50077B20756335,996SH DFND 035,9960
Kroger CompanyCOMMON STOCK5010441014,131122,024SH DFND 0122,0240
Kronos Worldwide IncCOMMON STOCK50105F10538937,413SH DFND 037,4130
Kulicke & Soffa Industries IncorporatedCOMMON STOCK50124210180738,752SH DFND 038,7520
Lam Research CorporationCOMMON STOCK5128071087262,246SH DFND 02,2460
Lamar Advertising CompanyCOMMON STOCK5128161095207,786SH DFND 07,7860
Lands' End IncCOMMON STOCK51509F10537446,480SH DFND 046,4800
Landstar System IncorporatedCOMMON STOCK5150981012522,246SH DFND 02,2460
La-Z-Boy IncorporatedCOMMON STOCK50533610755920,655SH DFND 020,6550
Legg Mason IncorporatedCOMMON STOCK52490110542,333850,910SH DFND 0850,9100
Lendingclub CorpCOMMON STOCK52603A20822850,199SH DFND 050,1990
Lennar CorporationCOMMON STOCK5260571041,92031,160SH DFND 031,1600
Lexicon Pharmaceuticals IncCOMMON STOCK5288723027035,184SH DFND 035,1840
Lgi Homes IncCOMMON STOCK50187T1061,16613,240SH DFND 013,2400
Libbey IncorporatedCOMMON STOCK529898108110,623SH DFND 010,6230
Liberty Global Plc - ACOMMON STOCKG5480U10440418,474SH DFND 018,4740
Lincoln National CorporationCOMMON STOCK5341871092,85577,606SH DFND 077,6060
Lindsay CorpCOMMON STOCK5355551061,54016,698SH DFND 016,6980
LKQ CorpCOMMON STOCK5018892081,43554,771SH DFND 054,7710
Lockheed Martin CorpCOMMON STOCK5398301092,2346,122SH DFND 06,1220
Logmein IncCOMMON STOCK54142L1094,72855,769SH DFND 055,7690
Louisiana-Pacific CorporationCOMMON STOCK5463471053,255126,893SH DFND 0126,8930
Lowe's Companies IncorporatedCOMMON STOCK5486611073,93529,123SH DFND 029,1230
Lululemon Athletica IncCOMMON STOCK5500211091,5995,125SH DFND 05,1250
Luminex CorporationCOMMON STOCK55027E1023179,732SH DFND 09,7320
Macerich StkCOMMON STOCK554382101979109,152SH DFND 0109,1520
Macrogenics IncCOMMON STOCK5560991092579,207SH DFND 09,2070
Macy's IncCOMMON STOCK55616P10415422,402SH DFND 022,4020
Main Street Capital CorpCOMMON STOCK56035L1042036,520SH DFND 06,5200
Malibu Boats Inc - ACOMMON STOCK56117J10052610,128SH DFND 010,1280
Manitowoc Company Inc.COMMON STOCK56357140579473,012SH DFND 073,0120
ManpowerGroup IncCOMMON STOCK56418H10070210,210SH DFND 010,2100
MantechCOMMON STOCK5645631044676,815SH DFND 06,8150
MarineMax IncCOMMON STOCK56790810840017,877SH DFND 017,8770
Markel CorporationCOMMON STOCK570535104529573SH DFND 05730
Marriott International-CL ACOMMON STOCK5719032025286,159SH DFND 06,1590
Marriott Vacations Worldwide CorporationCOMMON STOCK57164Y1071,04812,748SH DFND 012,7480
Matthews Intl Corp-Cl ACOMMON STOCK57712810119110,018SH DFND 010,0180
MBIA IncorporatedCOMMON STOCK55262C1001,256173,276SH DFND 0173,2760
McDonald's CorpCOMMON STOCK5801351011,87910,185SH DFND 010,1850
McGrath RentcorpCOMMON STOCK58058910988916,457SH DFND 016,4570
McKesson CorporationCOMMON STOCK58155Q1031,1457,462SH DFND 07,4620
MDC Partners Inc - ACOMMON STOCK5526971044119,649SH DFND 019,6490
Medical Properties Trust IncCOMMON STOCK58463J30467135,690SH DFND 035,6900
Medley Capital CorpCOMMON STOCK58503F5021013,012SH DFND 013,0120
Mercadolibre IncCOMMON STOCK58733R102504511SH DFND 05110
Merck & Co. IncorporatedCOMMON STOCK58933Y1054,43157,300SH DFND 057,3000
Meredith CorpCOMMON STOCK58943310175852,118SH DFND 052,1180
Merit Medical Systems Inc.COMMON STOCK5898891043106,793SH DFND 06,7930
Meritor IncCOMMON STOCK59001K10064232,404SH DFND 032,4040
MetLife Inc.COMMON STOCK59156R1082827,713SH DFND 07,7130
MGIC Investment CorpCOMMON STOCK5528481031,038126,688SH DFND 0126,6880
MGM Resorts InternationalCOMMON STOCK5529531012,388142,133SH DFND 0142,1330
Microchip Technology Inc.COMMON STOCK5950171041,45713,839SH DFND 013,8390
Micron Technology IncorporatedCOMMON STOCK5951121034,65690,373SH DFND 090,3730
Microsoft CorporationCOMMON STOCK5949181045,81628,577SH DFND 028,5770
MicroStrategy IncorporatedCOMMON STOCK5949724086195,233SH DFND 05,2330
Mid-America Apartment Communities Inc.COMMON STOCK59522J1034,61240,217SH DFND 040,2170
Miller (Herman) Inc.COMMON STOCK60054410059625,232SH DFND 025,2320
Mirati Therapeutics IncCOMMON STOCK60468T1053262,859SH DFND 02,8590
MKS Instruments IncCOMMON STOCK55306N1041,29911,474SH DFND 011,4740
Moelis & CoCOMMON STOCK60786M1052437,787SH DFND 07,7870
Mondelez International IncCOMMON STOCK6092071052,27444,468SH DFND 044,4680
Moog Inc. -CL ACOMMON STOCK61539420299718,822SH DFND 018,8220
Motorcar Parts Of America IncCOMMON STOCK62007110037721,340SH DFND 021,3400
Mrc Global IncCOMMON STOCK55345K103605102,285SH DFND 0102,2850
MSA Safety IncCOMMON STOCK5534981061,23910,830SH DFND 010,8300
Msci IncCOMMON STOCK55354G1001,0073,017SH DFND 03,0170
MSG Networks Inc - ACOMMON STOCK55357310635535,652SH DFND 035,6520
Mueller Water ProductsCOMMON STOCK62475810852155,296SH DFND 055,2960
Murphy Oil CorporationCOMMON STOCK62671710248435,106SH DFND 035,1060
Myriad Genetics Inc.COMMON STOCK62855J10486576,264SH DFND 076,2640
National Instruments CorporationCOMMON STOCK63651810246812,086SH DFND 012,0860
National Oilwell Varco IncCOMMON STOCK6370711011,350110,244SH DFND 0110,2440
Natus Medical IncCOMMON STOCK63905010351723,675SH DFND 023,6750
NBT Bancorp IncorporatedCOMMON STOCK6287781023059,930SH DFND 09,9300
NCR CorporationCOMMON STOCK62886E10820411,764SH DFND 011,7640
Nektar TherapeuticsCOMMON STOCK6402681082,20795,287SH DFND 095,2870
NetApp IncCOMMON STOCK64110D10492220,781SH DFND 020,7810
NetFlix Inc.COMMON STOCK64110L1069,15620,122SH DFND 020,1220
Netscout Systems IncCOMMON STOCK64115T10498138,367SH DFND 038,3670
Nevro CorpCOMMON STOCK64157F1031,23210,313SH DFND 010,3130
New Gold IncCOMMON STOCK6445351064633,837SH DFND 033,8370
New Jersey Res CorpCOMMON STOCK64602510678824,144SH DFND 024,1440
New Relic IncCOMMON STOCK64829B1001,41820,585SH DFND 020,5850
New Residential Investment CorpCOMMON STOCK64828T20132143,174SH DFND 043,1740
New York Community BancorpCOMMON STOCK64944510328427,850SH DFND 027,8500
NewMarket CorpCOMMON STOCK6515871078922,227SH DFND 02,2270
NextEra Energy IncCOMMON STOCK65339F1018983,740SH DFND 03,7400
NIKE IncCOMMON STOCK6541061033,08031,415SH DFND 031,4150
NiSource IncCOMMON STOCK65473P1051,04746,051SH DFND 046,0510
Noble Energy IncCOMMON STOCK65504410575183,823SH DFND 083,8230
Nokia Corp-spon ADRCOMMON STOCK654902204717162,847SH DFND 0162,8470
Nordstrom IncCOMMON STOCK65566410071546,140SH DFND 046,1400
Northern Trust CorporationCOMMON STOCK6658591046478,155SH DFND 08,1550
Northfield Bancorp InCOMMON STOCK66611T10820217,543SH DFND 017,5430
Northrop Grumman CorpCOMMON STOCK6668071022,1887,116SH DFND 07,1160
Northwestern Corp - NEWCOMMON STOCK66807430558510,732SH DFND 010,7320
Norwegian Cruise Line Holdings LtdCOMMON STOCKG6672110494557,515SH DFND 057,5150
NRG EnergyCOMMON STOCK62937750861418,866SH DFND 018,8660
Nu Skin Enterprises Inc.COMMON STOCK67018T1052135,567SH DFND 05,5670
Nucor CorporationCOMMON STOCK6703461053668,839SH DFND 08,8390
NuVasive IncCOMMON STOCK6707041051,51827,281SH DFND 027,2810
Nvidia CorporationCOMMON STOCK67066G1045,31013,976SH DFND 013,9760
NVR IncCOMMON STOCK62944T105541166SH DFND 01660
Nxp Semiconductors NvCOMMON STOCKN6596X1092,09018,327SH DFND 018,3270
Oasis Petroleum IncCOMMON STOCK6742151086283,120SH DFND 083,1200
Occidental Petroleum CorpCOMMON STOCK67459910523913,085SH DFND 013,0850
Ocwen Financial Corp.COMMON STOCK6757463091929,326SH DFND 029,3260
OGE Energy CorporationCOMMON STOCK6708371031,17638,748SH DFND 038,7480
Old Dominion Freight Line Inc.COMMON STOCK6795801004772,813SH DFND 02,8130
Olin CorpCOMMON STOCK6806652052,218193,044SH DFND 0193,0440
Omeros CorpCOMMON STOCK68214310232922,355SH DFND 022,3550
On Deck Capital IncCOMMON STOCK68216310084116,926SH DFND 0116,9260
One Gas IncCOMMON STOCK68235P1081,04013,493SH DFND 013,4930
OneMain Holdings IncCOMMON STOCK68268W10340316,436SH DFND 016,4360
ONEOK Inc.COMMON STOCK68268010374722,485SH DFND 022,4850
Ormat Technologies IncCOMMON STOCK68668810271011,186SH DFND 011,1860
Outfront Media IncCOMMON STOCK69007J10656039,540SH DFND 039,5400
Oxford Inds IncCOMMON STOCK6914973092315,244SH DFND 05,2440
Pacific Ethanol IncCOMMON STOCK69423U305912,450SH DFND 012,4500
Pacific Gas & Elec CoCOMMON STOCK69331C10838,4534,335,213SH DFND 04,335,2130
Packaging Corp Of AmericaCOMMON STOCK6951561092952,959SH DFND 02,9590
Papa John's International IncorporatedCOMMON STOCK6988131022,50031,483SH DFND 031,4830
Parker-Hannifin CorporationCOMMON STOCK7010941044,27823,343SH DFND 023,3430
Patterson-UTI Energy Inc.COMMON STOCK70348110121963,255SH DFND 063,2550
Paypal Holdings IncCOMMON STOCK70450Y1034,96228,481SH DFND 028,4810
Pbf Energy IncCOMMON STOCK69318G10677275,422SH DFND 075,4220
PDL BioPharma IncCOMMON STOCK69329Y10415553,301SH DFND 053,3010
Peabody Energy CorpCOMMON STOCK70455110015654,338SH DFND 054,3380
Pebblebrook Hotel TrustCOMMON STOCK70509V10023617,303SH DFND 017,3030
Pegasystems Inc.COMMON STOCK7055731039259,139SH DFND 09,1390
Penn National Gaming IncCOMMON STOCK7075691092,03066,471SH DFND 066,4710
Penske Auto GroupCOMMON STOCK70959W1031,80546,623SH DFND 046,6230
People's United Financial IncCOMMON STOCK7127041051,13497,989SH DFND 097,9890
Perficient IncCOMMON STOCK71375U1012767,724SH DFND 07,7240
PetMed Express IncCOMMON STOCK7163821061,55943,744SH DFND 043,7440
Petroleo Brasileiro S.A - ADRCOMMON STOCK71654V10153967,600SH DFND 067,6000
Petroleo Brasileiro S.A. - ADRCOMMON STOCK71654V40817521,200SH DFND 021,2000
Pfizer IncorporatedCOMMON STOCK7170811032,18566,810SH DFND 066,8100
Philip Morris InternationalCOMMON STOCK7181721091,00314,316SH DFND 014,3160
Phillips 66COMMON STOCK7185461043,11643,343SH DFND 043,3430
Phototronics Inc.COMMON STOCK71940510236232,566SH DFND 032,5660
Pinnacle West Capital CorporationCOMMON STOCK7234841012423,302SH DFND 03,3020
Pjt Partners Inc - ACOMMON STOCK69343T1077,965155,148SH DFND 0155,1480
Planet Fitness Inc - Cl ACOMMON STOCK72703H1011,55325,646SH DFND 025,6460
Plug Power IncCOMMON STOCK72919P20233640,954SH DFND 040,9540
PNC Financial Services GroupCOMMON STOCK6934751051,44013,687SH DFND 013,6870
Popular IncorporatedCOMMON STOCK73317470065517,629SH DFND 017,6290
Portland General Electric CoCOMMON STOCK7365088471,58938,009SH DFND 038,0090
Post Holdings IncCOMMON STOCK7374461041,25914,369SH DFND 014,3690
Primerica IncCOMMON STOCK74164M1081,79215,369SH DFND 015,3690
Principal Financial GroupCOMMON STOCK74251V10266315,970SH DFND 015,9700
Procter & Gamble CompanyCOMMON STOCK7427181093,29527,555SH DFND 027,5550
Progress Software CorporationCOMMON STOCK7433121002,03952,617SH DFND 052,6170
Proofpoint IncCOMMON STOCK7434241031,82616,429SH DFND 016,4290
Prosperity Bancshares IncCOMMON STOCK7436061055809,774SH DFND 09,7740
PS Business Parks Inc./CACOMMON STOCK69360J1072,05815,542SH DFND 015,5420
Pulte Group IncCOMMON STOCK7458671012,20564,793SH DFND 064,7930
Qorvo IncCOMMON STOCK74736K1014,53441,023SH DFND 041,0230
Qts Realty Trust Inc-cl ACOMMON STOCK74736A1034,22665,944SH DFND 065,9440
Quaker Chemical CorporationCOMMON STOCK7473161075903,176SH DFND 03,1760
Qualcomm IncorporatedCOMMON STOCK7475251031,07211,756SH DFND 011,7560
Radian Group Inc.COMMON STOCK7502361011,40190,337SH DFND 090,3370
Range Resources CorporationCOMMON STOCK75281A109906160,931SH DFND 0160,9310
Raven Industries IncorporatedCOMMON STOCK75421210822510,469SH DFND 010,4690
Raymond James Financial IncorporatedCOMMON STOCK7547301095277,660SH DFND 07,6600
Realpage IncCOMMON STOCK75606N1093,36351,733SH DFND 051,7330
Realty Income CorporationCOMMON STOCK75610910415,259256,450SH DFND 0256,4500
Regions Financial CorporationCOMMON STOCK7591EP10083274,857SH DFND 074,8570
Reinsurance Group Of AmericaCOMMON STOCK7593516042,29329,233SH DFND 029,2330
Reliance Steel & Aluminum CompanyCOMMON STOCK7595091022,31324,365SH DFND 024,3650
Renaissance Re Holdings LimitedCOMMON STOCKG7496G1032,37413,881SH DFND 013,8810
Republic Services IncorporatedCOMMON STOCK7607591003,34140,713SH DFND 040,7130
Restaurant Brands International IncCOMMON STOCK76131D1031,33224,387SH DFND 024,3870
Retrophin IncCOMMON STOCK7612991061,40168,620SH DFND 068,6200
Rexnord CorpCOMMON STOCK76169B1021,09037,407SH DFND 037,4070
Ringcentral Inc-class ACOMMON STOCK76680R2063,91313,731SH DFND 013,7310
Rlj Lodging TrustCOMMON STOCK74965L1011,261133,598SH DFND 0133,5980
Rockwell Automation CorporationCOMMON STOCK7739031091,1815,544SH DFND 05,5440
Ross Stores IncorporatedCOMMON STOCK7782961032,57230,175SH DFND 030,1750
Royal Caribbean Cruises LimitedCOMMON STOCKV7780T1031,35626,963SH DFND 026,9630
Royal Dutch Shell PLC - ADR A SharesCOMMON STOCK7802592063159,643SH DFND 09,6430
Royal Dutch Shell PLC - ADR B SharesCOMMON STOCK78025910764221,083SH DFND 021,0830
Royal Gold IncorporatedCOMMON STOCK7802871082,38219,157SH DFND 019,1570
RPC IncorporatedCOMMON STOCK74966010630197,589SH DFND 097,5890
RPM International Inc.COMMON STOCK7496851035066,745SH DFND 06,7450
Rush Enterprises Inc - CL ACOMMON STOCK78184620950712,233SH DFND 012,2330
Ryder Systems IncorporatedCOMMON STOCK7835491081,79947,973SH DFND 047,9730
Ryman Hospitality PropertiesCOMMON STOCK78377T10755115,924SH DFND 015,9240
S & T Bancorp IncorporatedCOMMON STOCK78385910134514,706SH DFND 014,7060
Sage Therapeutics IncCOMMON STOCK78667J1082175,207SH DFND 05,2070
Saia IncCOMMON STOCK78709Y1054343,901SH DFND 03,9010
Salesforce.comCOMMON STOCK79466L3021,95710,445SH DFND 010,4450
Sanmina CorpCOMMON STOCK80105610293837,446SH DFND 037,4460
Santander Consumer Usa HoldiCOMMON STOCK80283M10124213,163SH DFND 013,1630
Sarepta Therapeutics IncCOMMON STOCK8036071002,25014,034SH DFND 014,0340
SBA Communications CorpCOMMON STOCK78410G1047,83326,291SH DFND 026,2910
Schlumberger LimitedCOMMON STOCK8068571081,45479,045SH DFND 079,0450
Schwab (Charles) CorporationCOMMON STOCK8085131056,236184,823SH DFND 0184,8230
Science Applications InteCOMMON STOCK8086251077769,994SH DFND 09,9940
Scientific Games Corp - ACOMMON STOCK80874P10995361,654SH DFND 061,6540
Scotts Miracle-Gro CompanyCOMMON STOCK8101861063,77528,070SH DFND 028,0700
Seagate TechnologyCOMMON STOCKG7945M10788018,187SH DFND 018,1870
Sealed Air CorporationCOMMON STOCK81211K1001,35841,332SH DFND 041,3320
SEI Investments CompanyCOMMON STOCK7841171033676,684SH DFND 06,6840
Select Medical Holdings CorpCOMMON STOCK81619Q10525817,488SH DFND 017,4880
Sempra EnergyCOMMON STOCK8168511094373,726SH DFND 03,7260
Service Corporation InternationalCOMMON STOCK81756510499525,585SH DFND 025,5850
Servicenow IncCOMMON STOCK81762P1023,8459,493SH DFND 09,4930
Servicesource InternationalCOMMON STOCK81763U1004427,995SH DFND 027,9950
Sherwin-Williams CompanyCOMMON STOCK8243481062,0613,566SH DFND 03,5660
SIGA Technologies IncorporatedCOMMON STOCK82691710622437,907SH DFND 037,9070
Signature Bank/New York NYCOMMON STOCK82669G1045775,398SH DFND 05,3980
Signet Jewelers LimitedCOMMON STOCKG8127610034833,845SH DFND 033,8450
Simmons First National Corporation -CL ACOMMON STOCK82873020063036,817SH DFND 036,8170
Simpson Manufacturing Company IncCOMMON STOCK8290731051,34715,970SH DFND 015,9700
Sinclair Broadcast Group - ACOMMON STOCK8292261091,10059,590SH DFND 059,5900
Sirius XM Holdings IncCOMMON STOCK82968B1033,225549,431SH DFND 0549,4310
Skyworks Solutions IncorporatedCOMMON STOCK83088M1022,02915,870SH DFND 015,8700
SLM Corp.COMMON STOCK78442P1061,498213,157SH DFND 0213,1570
SM Energy CoCOMMON STOCK78454L100479127,659SH DFND 0127,6590
Smith (A.O.) CorporationCOMMON STOCK8318652094309,121SH DFND 09,1210
Smucker (J.M.) Company - NEWCOMMON STOCK8326964056,07957,452SH DFND 057,4520
Sorrento Therapeutics IncCOMMON STOCK83587F20217427,683SH DFND 027,6830
South Jersey Industries IncorporatedCOMMON STOCK83851810859923,982SH DFND 023,9820
Southern CompanyCOMMON STOCK8425871071,52129,336SH DFND 029,3360
Southwest Airlines CompanyCOMMON STOCK8447411082,70579,136SH DFND 079,1360
Southwestern Energy CompanyCOMMON STOCK845467109283110,549SH DFND 0110,5490
SpartanNash CoCOMMON STOCK84721510021910,294SH DFND 010,2940
SPDR S&P 500 ETF TrustCOMMON STOCK78462F1031,8596,028SH DFND 06,0280
Spectrum Brands Holdings IncCOMMON STOCK84790A1051,33128,992SH DFND 028,9920
Spectrum Pharmaceuticals IncCOMMON STOCK84763A10812235,957SH DFND 035,9570
Spirit Airlines IncCOMMON STOCK84857710293752,638SH DFND 052,6380
Splunk IncCOMMON STOCK8486371042,26711,410SH DFND 011,4100
Sportsman's Warehouse HoldinCOMMON STOCK84920Y10662744,031SH DFND 044,0310
Sprouts Farmers Market IncCOMMON STOCK85208M1021,33152,028SH DFND 052,0280
SS&C Technologies HoldingsCOMMON STOCK78467J1002,42242,882SH DFND 042,8820
State Street CorporationCOMMON STOCK8574771031,12917,760SH DFND 017,7600
Steel Dynamics IncorporatedCOMMON STOCK8581191001,06340,737SH DFND 040,7370
Steelcase Incorporated - CL ACOMMON STOCK85815520333928,124SH DFND 028,1240
Steris PlcCOMMON STOCKG8473T1002,69017,534SH DFND 017,5340
Steven Madden LimitedCOMMON STOCK5562691081,15246,656SH DFND 046,6560
Stifel Financial CorporationCOMMON STOCK8606301021,06122,366SH DFND 022,3660
Stratasys LtdCOMMON STOCKM8554810119512,269SH DFND 012,2690
Stryker CorporationCOMMON STOCK8636671011,82810,147SH DFND 010,1470
Sturm Ruger & Company IncorporatedCOMMON STOCK8641591081,43818,927SH DFND 018,9270
Summit Materials Inc -cl ACOMMON STOCK86614U10029018,050SH DFND 018,0500
Sun Communities IncCOMMON STOCK8666741043662,700SH DFND 02,7000
Suncoke Energy IncCOMMON STOCK86722A103504170,425SH DFND 0170,4250
Sunpower Corp - Class ACOMMON STOCK867652406816106,533SH DFND 0106,5330
Superior Industries International Inc.COMMON STOCK8681681055633,208SH DFND 033,2080
Surmodics IncCOMMON STOCK86887310077317,874SH DFND 017,8740
Synaptics IncCOMMON STOCK87157D1094447,382SH DFND 07,3820
SYNNEX CORPCOMMON STOCK87162W1003,44028,719SH DFND 028,7190
Synopsys IncCOMMON STOCK8716071074902,515SH DFND 02,5150
SYSCO CorporationCOMMON STOCK87182910779214,485SH DFND 014,4850
Taiwan Semiconductor Co. Ltd. - ADRCOMMON STOCK8740391002,99752,785SH DFND 052,7850
Take - Two Interactive SoftwareCOMMON STOCK8740541093,07422,028SH DFND 022,0280
Targa Resources Corp.COMMON STOCK87612G1011,02551,093SH DFND 051,0930
Target CorporationCOMMON STOCK87612E1064,64438,724SH DFND 038,7240
Taubman Centers Inc.COMMON STOCK8766641037,046186,602SH DFND 0186,6020
Taubman Centers Inc.COMMON STOCK8766641037,174190,000SHPutDFND 0190,0000
TD Ameritrade Holding CorpCOMMON STOCK87236Y10895,5802,627,276SH DFND 02,627,2760
TEGNA IncCOMMON STOCK87901J10573866,292SH DFND 066,2920
Teledyne Tech Inc.COMMON STOCK8793601052,7258,765SH DFND 08,7650
Tempur Sealy International IncCOMMON STOCK88023U1012,31232,130SH DFND 032,1300
Teradata CorpCOMMON STOCK88076W1031,31463,192SH DFND 063,1920
Teradyne IncCOMMON STOCK88077010299311,745SH DFND 011,7450
Tetra Tech IncorporatedCOMMON STOCK88162G10389811,346SH DFND 011,3460
TETRA Technologies Inc.COMMON STOCK88162F1051221,665SH DFND 021,6650
Texas Capital Bancshares IncCOMMON STOCK88224Q10761719,977SH DFND 019,9770
Texas Instruments IncorporatedCOMMON STOCK8825081045063,989SH DFND 03,9890
The Brinks CompanyCOMMON STOCK10969610471715,756SH DFND 015,7560
The Coca-Cola CompanyCOMMON STOCK1912161002,31151,726SH DFND 051,7260
Thermo Fisher Scientific IncCOMMON STOCK8835561021,6624,586SH DFND 04,5860
Thermon Group Holdings IncCOMMON STOCK88362T10342028,806SH DFND 028,8060
Third Point Reinsurance LtdCOMMON STOCKG8827U10023531,275SH DFND 031,2750
Thor Industries Inc.COMMON STOCK8851601016,75363,388SH DFND 063,3880
TIFFANY & COCOMMON STOCK8865471083,97732,612SH DFND 032,6120
Timken CompanyCOMMON STOCK88738910456912,503SH DFND 012,5030
Titan International IncCOMMON STOCK88830M1027048,222SH DFND 048,2220
TJX Companies Inc.COMMON STOCK8725401094,32285,483SH DFND 085,4830
T-Mobile US IncCOMMON STOCK87259010414,835142,440SH DFND 0142,4400
T-Mobile US IncWARRANT8725901122,49914,874,713SHCallDFND 014,874,7130
Toll Brothers Inc.COMMON STOCK88947810340712,482SH DFND 012,4820
Tootsie Roll Industries IncorporatedCOMMON STOCK8905161071,49643,644SH DFND 043,6440
Transdigm Group IncCOMMON STOCK8936411004621,045SH DFND 01,0450
TransUnionCOMMON STOCK89400J1077418,512SH DFND 08,5120
Trex Company IncCOMMON STOCK89531P1057285,595SH DFND 05,5950
TRI Pointe Group IncCOMMON STOCK87265H10939727,030SH DFND 027,0300
Trinity Industries Inc.COMMON STOCK8965221092,06597,008SH DFND 097,0080
Truecar IncCOMMON STOCK89785L10716363,125SH DFND 063,1250
Turquoise Hill Resources LtdCOMMON STOCK9004351084,4586,079,792SH DFND 06,079,7920
Twitter IncCOMMON STOCK90184L1021,25542,121SH DFND 042,1210
Tyson Foods Inc-- Class ACOMMON STOCK9024941032824,715SH DFND 04,7150
UDR IncCOMMON STOCK90265310449613,279SH DFND 013,2790
Ultra Clean HoldingsCOMMON STOCK90385V10761327,089SH DFND 027,0890
Ultragenyx Pharmaceutical InCOMMON STOCK90400D10883410,667SH DFND 010,6670
Under Armour IncCOMMON STOCK90431110795097,538SH DFND 097,5380
Union Pacific CorporationCOMMON STOCK9078181087704,552SH DFND 04,5520
United Rental IncorporatedCOMMON STOCK9113631098405,633SH DFND 05,6330
United States Cellular CorporationCOMMON STOCK9116841082849,191SH DFND 09,1910
United States Steel CorpCOMMON STOCK91290910814,9462,070,112SH DFND 02,070,1120
United Therapeutics Corp.COMMON STOCK91307C1026865,672SH DFND 05,6720
Universal Health Services (CLASS B)COMMON STOCK9139031002,31224,893SH DFND 024,8930
Universal Insurance HoldingsCOMMON STOCK91359V10745425,550SH DFND 025,5500
Urban Edge PropertiesCOMMON STOCK91704F10454045,476SH DFND 045,4760
Urban Outfitters Inc.COMMON STOCK9170471023,021198,456SH DFND 0198,4560
Us Concrete IncCOMMON STOCK90333L20154221,835SH DFND 021,8350
USANA Health Sciences IncCOMMON STOCK90328M1071,32218,010SH DFND 018,0100
Valero Energy CorporationCOMMON STOCK91913Y1001,74029,585SH DFND 029,5850
Valley National BancorpCOMMON STOCK91979410721627,659SH DFND 027,6590
VALMONT INDS INCCOMMON STOCK9202531011,0419,162SH DFND 09,1620
Vanda Pharmaceuticals IncCOMMON STOCK92165910829725,999SH DFND 025,9990
Varian Medical Systems Inc.COMMON STOCK92220P1052732,232SH DFND 02,2320
Varonis Systems IncCOMMON STOCK9222801027798,809SH DFND 08,8090
Veeva Systems Inc-class ACOMMON STOCK9224751082,0258,638SH DFND 08,6380
VEREIT IncCOMMON STOCK92339V1004,160647,001SH DFND 0647,0010
VERINT SYS INCCOMMON STOCK92343X1001,06123,488SH DFND 023,4880
Verisign Inc.COMMON STOCK92343E1021,7908,654SH DFND 08,6540
Verisk Analytics Inc-class ACOMMON STOCK92345Y1062,17112,758SH DFND 012,7580
Verizon CommunicationsCOMMON STOCK92343V1042,95853,659SH DFND 053,6590
Vertex Pharmaceuticals Inc.COMMON STOCK92532F1002,2617,787SH DFND 07,7870
VF CorporationCOMMON STOCK9182041081,35422,223SH DFND 022,2230
Vipshop Holdings Ltd - Ads - ADRCOMMON STOCK92763W10331315,722SH DFND 015,7220
Virtu Financial Inc-class ACOMMON STOCK9282541012,444103,574SH DFND 0103,5740
Visa Inc - Class A SharesCOMMON STOCK92826C8392,27411,772SH DFND 011,7720
Vishay Intertechnology Inc.COMMON STOCK92829810876450,044SH DFND 050,0440
Visteon CorpCOMMON STOCK92839U2066659,704SH DFND 09,7040
Vmware Inc-class ACOMMON STOCK9285634024322,792SH DFND 02,7920
Vodafone Group Plc SP - ADRCOMMON STOCK92857W30831019,445SH DFND 019,4450
Wabash National CorporationCOMMON STOCK92956610723021,657SH DFND 021,6570
Wabtec CorporationCOMMON STOCK9297401083896,761SH DFND 06,7610
Washington Federal IncorporatedCOMMON STOCK93882410964323,943SH DFND 023,9430
Washington Real Estate Investment TrustCOMMON STOCK93965310123010,371SH DFND 010,3710
Waste Management Inc.COMMON STOCK94106L1091,0389,801SH DFND 09,8010
Waters CorporationCOMMON STOCK9418481032,26712,567SH DFND 012,5670
Watts Water Technologies IncCOMMON STOCK9427491021,55419,188SH DFND 019,1880
Wayfair Inc- Class ACOMMON STOCK94419L1017853,973SH DFND 03,9730
WEC Energy Group IncCOMMON STOCK92939U1061,85121,118SH DFND 021,1180
Weingarten Realty InvestorsCOMMON STOCK9487411031,76293,065SH DFND 093,0650
Weis Markets IncorporatedCOMMON STOCK94884910486217,200SH DFND 017,2000
Wells Fargo CompanyCOMMON STOCK9497461013,298128,832SH DFND 0128,8320
Wendy's Co/TheCOMMON STOCK95058W10077435,533SH DFND 035,5330
WesBanco IncCOMMON STOCK95081010121810,711SH DFND 010,7110
Western Alliance BancorpCOMMON STOCK95763810965817,386SH DFND 017,3860
Western Digital CorporationCOMMON STOCK9581021054139,351SH DFND 09,3510
Western Union CompanyCOMMON STOCK9598021091,01446,885SH DFND 046,8850
Westlake Chemical CorpCOMMON STOCK9604131022164,021SH DFND 04,0210
Whitestone Reit-bCOMMON STOCK96608420411515,808SH DFND 015,8080
Williams-Sonoma IncCOMMON STOCK9699041011,87722,891SH DFND 022,8910
Winnebago Industries Inc.COMMON STOCK9746371005738,596SH DFND 08,5960
Wix.com LtdCOMMON STOCKM980681051,4765,762SH DFND 05,7620
Workday Inc-class ACOMMON STOCK98138H1011,8739,995SH DFND 09,9950
World Acceptance CorporationCOMMON STOCK9814191044426,749SH DFND 06,7490
World Fuel Services CorporationCOMMON STOCK98147510645717,745SH DFND 017,7450
World Wrestling EntertainmentCOMMON STOCK98156Q10881618,773SH DFND 018,7730
WP Carey IncCOMMON STOCK92936U1093385,000SH DFND 05,0000
Wynn Resorts LtdCOMMON STOCK9831341072,65035,581SH DFND 035,5810
XPO Logistics IncCOMMON STOCK9837931001,64421,281SH DFND 021,2810
Xylem IncCOMMON STOCK98419M1001,14417,612SH DFND 017,6120
Yelp IncCOMMON STOCK9858171052,24196,877SH DFND 096,8770
Yum! Brands IncCOMMON STOCK9884981012,85232,820SH DFND 032,8200
Zebra Technologies CorporationCOMMON STOCK9892071051,7856,974SH DFND 06,9740
Zendesk IncCOMMON STOCK98936J1013,86843,693SH DFND 043,6930
Zillow Group IncCOMMON STOCK98954M2003,71964,552SH DFND 064,5520
Zimmer Biomet Holdings IncCOMMON STOCK98956P1023,40728,542SH DFND 028,5420
Zions BancorporationCOMMON STOCK9897011072216,505SH DFND 06,5050
Ziopharm Oncology IncCOMMON STOCK98973P10119459,281SH DFND 059,2810
Zoetis IncCOMMON STOCK98978V1035213,805SH DFND 03,8050
Zogenix IncCOMMON STOCK98978L20485731,714SH DFND 031,7140
Zynga IncCOMMON STOCK98986T1081,186124,335SH DFND 0124,3350
American Assets Trust IncCOMMON STOCK0240131041,15241,379SH DFND 041,3790
Capstead Mortgage CorporationCOMMON STOCK14067E5069317,026SH DFND 017,0260
Chemours Co/theCOMMON STOCK16385110898664,226SH DFND 064,2260
Cooper-standard HoldingCOMMON STOCK21676P10315912,004SH DFND 012,0040
Cross Country Healthcare Inc.COMMON STOCK22748310410316,799SH DFND 016,7990
Domino's Pizza IncCOMMON STOCK25754A201242656SH DFND 06560
Empire State Realty Trust InCOMMON STOCK29210410621130,100SH DFND 030,1000
EnPro Industries IncCOMMON STOCK29355X1073817,733SH DFND 07,7330
Etsy IncCOMMON STOCK29786A1061,48814,004SH DFND 014,0040
Gcp Applied TechnologiesCOMMON STOCK36164Y10121911,809SH DFND 011,8090
Hercules Capital IncCOMMON STOCK4270965081,116106,596SH DFND 0106,5960
Lumentum Holdings IncCOMMON STOCK55024U1093,23339,698SH DFND 039,6980
Omega Healthcare Invs IncCOMMON STOCK6819361001,22141,053SH DFND 041,0530
S&P Global IncCOMMON STOCK78409V1045561,686SH DFND 01,6860
Spire IncCOMMON STOCK84857L1012,20433,548SH DFND 033,5480
Wingstop IncCOMMON STOCK9741551031,85813,367SH DFND 013,3670
Armstrong Flooring IncCOMMON STOCK04238R1065317,854SH DFND 017,8540
Charter Communications IncCOMMON STOCK16119P108387759SH DFND 07590
Coca-Cola European Partners PLCCOMMON STOCKG258391042,66670,591SH DFND 070,5910
Dana IncCOMMON STOCK23582520589973,725SH DFND 073,7250
Easterly Government PropertiCOMMON STOCK27616P10328512,311SH DFND 012,3110
Glycomimetics IncCOMMON STOCK38000Q10216443,718SH DFND 043,7180
Healthcare Realty Trust Inc.COMMON STOCK4219461041,91665,425SH DFND 065,4250
Herc Holdings IncCOMMON STOCK42704L1043029,819SH DFND 09,8190
Hope Bancorp IncCOMMON STOCK43940T10912513,562SH DFND 013,5620
Immunogen IncorporatedCOMMON STOCK45253H10129764,537SH DFND 064,5370
MACOM Technology Solutions Holdings IncCOMMON STOCK55405Y1001,27837,204SH DFND 037,2040
Match Group IncCOMMON STOCK57667L1076,50160,726SH DFND 060,7260
Match Group IncCOMMON STOCK57667L10725,158235,000SHPutDFND 0235,0000
National Storage AffiliatesCOMMON STOCK63787010647916,728SH DFND 016,7280
Novocure LtdCOMMON STOCKG6674U1082,06334,795SH DFND 034,7950
Shenandoah Telecom CoCOMMON STOCK82312B1062795,664SH DFND 05,6640
Aerie Pharmaceuticals IncCOMMON STOCK00771V10822114,977SH DFND 014,9770
BMC Stock Holdings IncCOMMON STOCK05591B10983433,180SH DFND 033,1800
Badger Meter IncorporatedCOMMON STOCK0565251081,38722,043SH DFND 022,0430
Coty Inc-cl A (USD)COMMON STOCK222070203731163,594SH DFND 0163,5940
Globus Medical Inc - A USCOMMON STOCK3795772081,37028,705SH DFND 028,7050
Gtt Communications IncCOMMON STOCK36239310018022,058SH DFND 022,0580
Leidos Holdings Inc USDCOMMON STOCK5253271022,80329,926SH DFND 029,9260
Life Storage IncCOMMON STOCK53223X1072,42025,489SH DFND 025,4890
Mastercard IncCOMMON STOCK57636Q1041,8366,210SH DFND 06,2100
Medpace Holdings IncCOMMON STOCK58506Q1091,85119,896SH DFND 019,8960
Mimecast LtdCOMMON STOCKG148381091,78842,929SH DFND 042,9290
Myokardia IncCOMMON STOCK62857M1052032,099SH DFND 02,0990
Par Pacific Holdings IncCOMMON STOCK69888T20725628,458SH DFND 028,4580
Red Rock Resorts Inc-class ACOMMON STOCK75700L1081,675153,494SH DFND 0153,4940
Sterling Bancorp/DECOMMON STOCK85917A10079367,665SH DFND 067,6650
Tal Education Group- AdrCOMMON STOCK87408010469910,219SH DFND 010,2190
Washington Prime Group IncCOMMON STOCK93964W10889105,897SH DFND 0105,8970
Westamerica BancorporationCOMMON STOCK9570901031,04018,110SH DFND 018,1100
Alcoa CorpCOMMON STOCK0138721062,330207,300SH DFND 0207,3000
Athene Holding Ltd-class ACOMMON STOCKG0684D1072909,312SH DFND 09,3120
Conagra Brands IncCOMMON STOCK2058871021,41740,291SH DFND 040,2910
CoreCivic IncCOMMON STOCK21871N10132534,750SH DFND 034,7500
Hilton Grand VacationsCOMMON STOCK43283X1051,63883,792SH DFND 083,7920
ITT INCCOMMON STOCK45073V1082223,786SH DFND 03,7860
LCI IndustriesCOMMON STOCK50189K1033,48530,313SH DFND 030,3130
Ladder Capital Corp-class ACOMMON STOCK50574310424630,326SH DFND 030,3260
Lamb Weston Holding IncCOMMON STOCK5132721044947,726SH DFND 07,7260
National Retail Properties IncCOMMON STOCK6374171061,45641,032SH DFND 041,0320
Nielsen Holdings PlcCOMMON STOCKG6518L10849633,405SH DFND 033,4050
Park National Corp.COMMON STOCK7006581072874,074SH DFND 04,0740
Sangamo Therapeutics IncCOMMON STOCK80067710660567,573SH DFND 067,5730
Siteone Landscape Supply IncCOMMON STOCK82982L1034644,072SH DFND 04,0720
Southside Bancshares IncCOMMON STOCK84470P10930711,064SH DFND 011,0640
TechnipFMC PLC - USCOMMON STOCKG871101051,612235,713SH DFND 0235,7130
Terreno Realty CorpCOMMON STOCK88146M10168513,019SH DFND 013,0190
Tivity Health IncCOMMON STOCK88870R10245139,765SH DFND 039,7650
Unifi Inc.COMMON STOCK90467720013410,402SH DFND 010,4020
Alteryx Llc - ACOMMON STOCK02156B1033,53921,541SH DFND 021,5410
Apartment Investment & Management Co.- ACOMMON STOCK03748R7543,840102,025SH DFND 0102,0250
Berry Global Group IncCOMMON STOCK08579W1033537,966SH DFND 07,9660
DaVita IncCOMMON STOCK23918K1081,87123,638SH DFND 023,6380
Editas Medicine IncCOMMON STOCK28106W1033,790128,111SH DFND 0128,1110
HCA Healthcare IncCOMMON STOCK40412C1012,32423,946SH DFND 023,9460
Hamilton Lane Inc-class ACOMMON STOCK4074971065458,085SH DFND 08,0850
Jeld-wen Holding IncCOMMON STOCK47580P10334821,593SH DFND 021,5930
Meta Financial Group IncCOMMON STOCK59100U10854329,896SH DFND 029,8960
Propetro Holding CorpCOMMON STOCK74347M1088316,068SH DFND 016,0680
Urstadt Biddle Properties-CL ACOMMON STOCK91728620537731,731SH DFND 031,7310
Advanced Disposal Services ICOMMON STOCK00790X10143,8191,452,407SH DFND 01,452,4070
Altice Usa Inc- ACOMMON STOCK02156K1032259,990SH DFND 09,9900
Athenex IncCOMMON STOCK04685N10331923,182SH DFND 023,1820
Cars.com IncCOMMON STOCK14575E10533057,238SH DFND 057,2380
Cohu IncorporatedCOMMON STOCK19257610629216,858SH DFND 016,8580
Donnelley Financial SoluCOMMON STOCK25787G10023027,390SH DFND 027,3900
Extraction Oil & Gas IncCOMMON STOCK30227M105974,046SH DFND 074,0460
Genmark Diagnostics IncCOMMON STOCK37230910422915,541SH DFND 015,5410
Highwoods Properties IncCOMMON STOCK4312841083,10483,151SH DFND 083,1510
Invitation Homes IncCOMMON STOCK46187W1072499,056SH DFND 09,0560
Jabil IncCOMMON STOCK46631310346114,384SH DFND 014,3840
Janus Henderson Group PlcCOMMON STOCKG4474Y21432915,560SH DFND 015,5600
Okta IncCOMMON STOCK6792951057473,729SH DFND 03,7290
Piedmont Office Realty Tru-aCOMMON STOCK7201902061,50290,413SH DFND 090,4130
SP Plus CorpCOMMON STOCK78469C10324711,928SH DFND 011,9280
Willis Towers Watson PLCCOMMON STOCKG966291033571,811SH DFND 01,8110
Ascendis Pharma A/s - AdrCOMMON STOCK04351P1014623,125SH DFND 03,1250
Black Knight IncCOMMON STOCK09215C1052303,171SH DFND 03,1710
Camping World Holdings Inc-aCOMMON STOCK13462K1091,78065,524SH DFND 065,5240
Centennial Resource Develo-aCOMMON STOCK15136A1025864,769SH DFND 064,7690
Farmer Brothers CompanyCOMMON STOCK30767510818224,734SH DFND 024,7340
Ichor Holdings LtdCOMMON STOCKG4740B10561122,990SH DFND 022,9900
Ingevity CorpCOMMON STOCK45688C1073656,935SH DFND 06,9350
Iovance Biotherapeutics IncCOMMON STOCK46226010087731,938SH DFND 031,9380
Lions Gate Entertainment Corp A-ShsCOMMON STOCK53591940147363,768SH DFND 063,7680
Lions Gate Entertainment-bCOMMON STOCK535919500772113,060SH DFND 0113,0600
New Oriental Education & Technology - SP ADRCOMMON STOCK6475811079227,082SH DFND 07,0820
Sequential Brands Group Inc.COMMON STOCK81734P206313,280SH DFND 013,2800
Aclaris Therapeutics IncCOMMON STOCK00461U1059558,726SH DFND 058,7260
CNX Resources CorpCOMMON STOCK12653C10834239,586SH DFND 039,5860
CoreLogic Inc.COMMON STOCK21871D1034857,215SH DFND 07,2150
Cutera IncCOMMON STOCK23210910843936,092SH DFND 036,0920
Entercom Comm CorpCOMMON STOCK2936391001813,123SH DFND 013,1230
Federal Realty Investors TrustCOMMON STOCK3137472062,51829,555SH DFND 029,5550
IQVIA Holdings IncCOMMON STOCK46266C1055333,754SH DFND 03,7540
Mongodb IncCOMMON STOCK60937P1068763,869SH DFND 03,8690
Snap Inc - ACOMMON STOCK83304A1061,73874,004SH DFND 074,0040
Square Inc - ACOMMON STOCK8522341034,60843,909SH DFND 043,9090
Switch Inc - ACOMMON STOCK87105L10427215,291SH DFND 015,2910
The St Joe CompanyCOMMON STOCK79014810031716,315SH DFND 016,3150
iShares MSCI Mexico ETFCOMMON STOCK4642868223,238101,568SH DFND 0101,5680
iShares PHLX Semiconductor ETFCOMMON STOCK46428752321,79480,459SH DFND 080,4590
Arcus Biosciences IncCOMMON STOCK03969F1091,64666,529SH DFND 066,5290
At Home Group IncCOMMON STOCK04650Y10032249,555SH DFND 049,5550
Atrion CorporationCOMMON STOCK049904105236370SH DFND 03700
Booking Holdings IncCOMMON STOCK09857L1082,8331,779SH DFND 01,7790
Crispr Therapeutics AgCOMMON STOCKH171821083725,067SH DFND 05,0670
Front Yard Residential CorpCOMMON STOCK35904G1071,285147,660SH DFND 0147,6600
Gci Liberty Inc - Class ACOMMON STOCK36164V30538,053535,052SH DFND 0535,0520
Herbalife Nutrition LtdCOMMON STOCKG4412G1011,81140,258SH DFND 040,2580
Hudson Ltd-class ACOMMON STOCKG4640810311723,923SH DFND 023,9230
Insulet CorpCOMMON STOCK45784P1019995,142SH DFND 05,1420
Jbg Smith PropertiesCOMMON STOCK46590V1004,194141,844SH DFND 0141,8440
Rev Group IncCOMMON STOCK74952710719331,683SH DFND 031,6830
Roku IncCOMMON STOCK77543R1026,29754,038SH DFND 054,0380
Shopify Inc - ACOMMON STOCK82509L1072,9803,140SH DFND 03,1400
Twilio Inc - ACOMMON STOCK90138F1023,04913,898SH DFND 013,8980
Walmart IncCOMMON STOCK9311421032,67722,353SH DFND 022,3530
Zscaler IncCOMMON STOCK98980G1023923,576SH DFND 03,5760
Autohome Inc-adrCOMMON STOCK05278C1079,960131,917SH DFND 0131,9170
Cargurus IncCOMMON STOCK1417881092,10482,989SH DFND 082,9890
Carvana CoCOMMON STOCK1468691021,0178,463SH DFND 08,4630
Cboe Global Markets IncCOMMON STOCK12503M1082,27524,392SH DFND 024,3920
Ceridian Hcm Holding IncCOMMON STOCK15677J1085,93174,818SH DFND 074,8180
Cnh Industrial Nv (US)COMMON STOCKN2094410949169,844SH DFND 069,8440
Delphi Technologies PlcCOMMON STOCKG2709G10728920,312SH DFND 020,3120
Evergy IncCOMMON STOCK30034W1062,66845,000SH DFND 045,0000
Expedia Group IncCOMMON STOCK30212P3031,55218,882SH DFND 018,8820
Flex LtdCOMMON STOCKY2573F10243142,004SH DFND 042,0040
Geopark LtdCOMMON STOCKG3832710521622,026SH DFND 022,0260
Gs Acquisition Holdings CorpCOMMON STOCK36258Q2041,051100,000SH DFND 0100,0000
Hancock Whitney CorpCOMMON STOCK41012010973334,569SH DFND 034,5690
Invesco QQQ Trust Series 1COMMON STOCK46090E103229926SH DFND 09260
Jefferies Financial Group IncCOMMON STOCK47233W1093,362216,224SH DFND 0216,2240
Magenta Therapeutics IncCOMMON STOCK55910K10825734,200SH DFND 034,2000
Nvent Electric PlcCOMMON STOCKG6700G10739020,797SH DFND 020,7970
Qurate Retail IncCOMMON STOCK74915M1001,629171,422SH DFND 0171,4220
Solaredge Technologies IncCOMMON STOCK83417M1042,17915,698SH DFND 015,6980
Spok Holdings IncCOMMON STOCK84863T10617318,551SH DFND 018,5510
Stitch Fix Inc-class ACOMMON STOCK86089710751220,535SH DFND 020,5350
Tuesday Morning Corp.-NEWCOMMON STOCK899035505318,592SH DFND 018,5920
Vanguard Short-Term Corporate Bond ETFCOMMON STOCK92206C4092583,119SH DFND 03,1190
Wyndham Destinations IncCOMMON STOCK98310W1081,12139,774SH DFND 039,7740
Zuora IncCOMMON STOCK98983V10678061,203SH DFND 061,2030
Adobe IncCOMMON STOCK00724F1013,0547,016SH DFND 07,0160
Avalara IncCOMMON STOCK05338G1061,0157,623SH DFND 07,6230
Avaya Holdings CorpCOMMON STOCK05351X10148939,564SH DFND 039,5640
Brightview Holdings IncCOMMON STOCK10948C1074,754424,427SH DFND 0424,4270
Chegg IncCOMMON STOCK16309210976911,436SH DFND 011,4360
Coupa Software IncCOMMON STOCK22266L1064,59916,599SH DFND 016,5990
Dine Brands Global IncCOMMON STOCK25442310670216,684SH DFND 016,6840
Farfetch Ltd-class ACOMMON STOCK30744W1072,545147,367SH DFND 0147,3670
Floor & Decor Holdings Inc-aCOMMON STOCK3397501012,77948,200SH DFND 048,2000
National Vision Holdings IncCOMMON STOCK63845R1071,31543,101SH DFND 043,1010
Nio Inc - AdrCOMMON STOCK62914V1067910,280SH DFND 010,2800
Playags IncCOMMON STOCK72814N1045716,754SH DFND 016,7540
RADWARE Ltd.COMMON STOCKM8187310774531,566SH DFND 031,5660
Seadrill Ltd ACOMMON STOCKG7998G1061023,794SH DFND 023,7940
Teladoc Health IncCOMMON STOCK87918A1052,43512,761SH DFND 012,7610
Dell Technologies -cCOMMON STOCK24703L2021,37425,000SH DFND 025,0000
Elastic NvCOMMON STOCKN145061043,03532,913SH DFND 032,9130
Ncs Multistage Holdings IncCOMMON STOCK6288771021220,044SH DFND 020,0440
Orthofix Medical IncCOMMON STOCK68752M10855417,307SH DFND 017,3070
Pluralsight Inc-class ACOMMON STOCK72941B1061,914106,040SH DFND 0106,0400
Retail Value IncCOMMON STOCK76133Q10212410,013SH DFND 010,0130
Sleep Number CorpCOMMON STOCK83125X10355113,244SH DFND 013,2440
Smartsheet Inc-class ACOMMON STOCK83200N1031,68833,154SH DFND 033,1540
Tencent Music Entertainm-adrCOMMON STOCK88034P10911,058821,509SH DFND 0821,5090
Trupanion IncCOMMON STOCK89820210644810,499SH DFND 010,4990
Bandwidth Inc-class ACOMMON STOCK05988J1035023,952SH DFND 03,9520
Covetrus IncCOMMON STOCK22304C10036120,196SH DFND 020,1960
Designer Brands IncCOMMON STOCK25056510818627,405SH DFND 027,4050
Docusign IncCOMMON STOCK2561631061,5218,835SH DFND 08,8350
Eventbrite Inc-class ACOMMON STOCK29975E10957266,769SH DFND 066,7690
Fox Corp - Class ACOMMON STOCK35137L1052,31886,413SH DFND 086,4130
Gores Metropoulos IncCOMMON STOCK3828722082,252200,000SH DFND 0200,0000
Guardant Health IncCOMMON STOCK40131M10991811,311SH DFND 011,3110
Impinj IncCOMMON STOCK45320410946016,755SH DFND 016,7550
Levi Strauss & Co- Class ACOMMON STOCK52736R10263847,637SH DFND 047,6370
Lyft Inc-aCOMMON STOCK55087P1043,629109,934SH DFND 0109,9340
NV5 Global IncCOMMON STOCK62945V10957511,305SH DFND 011,3050
Pacific Premier Bancorp IncCOMMON STOCK69478X1051,27258,692SH DFND 058,6920
Tenable Holdings IncCOMMON STOCK88025T1021,04935,189SH DFND 035,1890
Tenneco Inc-class ACOMMON STOCK88034910569591,970SH DFND 091,9700
Walt Disney Co/theCOMMON STOCK2546871066,03254,098SH DFND 054,0980
Akcea Therapeutics IncCOMMON STOCK00972L10734825,409SH DFND 025,4090
Anaplan IncCOMMON STOCK03272L1082,15547,555SH DFND 047,5550
Axos Financial IncCOMMON STOCK05465C10081636,965SH DFND 036,9650
B. Riley Financial IncCOMMON STOCK05580M1085,612257,912SH DFND 0257,9120
CTS CorporationCOMMON STOCK12650110522211,076SH DFND 011,0760
Chewy Inc - Class ACOMMON STOCK16679L1091,89542,398SH DFND 042,3980
Cornerstone Building Brands IncCOMMON STOCK21925D10919331,913SH DFND 031,9130
Crowdstrike Holdings Inc - ACOMMON STOCK22788C10511,197111,649SH DFND 0111,6490
DuPont de Nemours IncCOMMON STOCK26614N1024247,985SH DFND 07,9850
Ericsson LM TEL-SP ADRCOMMON STOCK2948216083,933422,932SH DFND 0422,9320
Fiverr International LtdCOMMON STOCKM4R82T1062,03627,576SH DFND 027,5760
ING Groep N.V.- SPON ADRCOMMON STOCK45683710314120,413SH DFND 020,4130
Iaa IncCOMMON STOCK4492531032,49464,665SH DFND 064,6650
Kontoor Brands IncCOMMON STOCK50050N10372740,796SH DFND 040,7960
L3Harris Technologies IncCOMMON STOCK50243110910,12959,698SH DFND 059,6980
Landcadia Holdings Ii IncCOMMON STOCK51476X2046,749391,005SH DFND 0391,0050
Mesa Laboratories IncCOMMON STOCK59064R1095422,502SH DFND 02,5020
Navigator Holdings LtdCOMMON STOCKY6213210813621,193SH DFND 021,1930
Pagerduty IncCOMMON STOCK69553P10073125,552SH DFND 025,5520
Polaris IncCOMMON STOCK7310681022522,726SH DFND 02,7260
Slack Technologies Inc- Cl ACOMMON STOCK83088V1027,895253,942SH DFND 0253,9420
Solid Biosciences IncCOMMON STOCK83422E1056622,465SH DFND 022,4650
Turning Point Brands IncCOMMON STOCK90041L10554021,688SH DFND 021,6880
Westport Fuel Systems IncCOMMON STOCK960908309145117,298SH DFND 0117,2980
Xerox Holdings CorpCOMMON STOCK98421M10655236,112SH DFND 036,1120
Zoom Video Communications-aCOMMON STOCK98980L1013,34913,207SH DFND 013,2070
iShares 20 Year Treasury BondCOMMON STOCK4642874322261,378SH DFND 01,3780
American Finance Trust IncCOMMON STOCK02607T10915119,086SH DFND 019,0860
Brighthouse Financial IncCOMMON STOCK10922N1033,091111,101SH DFND 0111,1010
Cardlytics IncCOMMON STOCK14161W1052844,063SH DFND 04,0630
City Office Reit IncCOMMON STOCK17858710122121,923SH DFND 021,9230
Cloudflare Inc - Class ACOMMON STOCK18915M1072,10458,523SH DFND 058,5230
Datadog Inc - Class ACOMMON STOCK23804L1036,12370,421SH DFND 070,4210
Dynatrace IncCOMMON STOCK2681501092,55462,905SH DFND 062,9050
Fate Therapeutics IncCOMMON STOCK31189P1021,29437,710SH DFND 037,7100
Maxar Technologies IncCOMMON STOCK57778K10531117,320SH DFND 017,3200
NAPCO Security Technologies InCOMMON STOCK6304021052319,895SH DFND 09,8950
Netfin Aquisition CorpCOMMON STOCKG6455A1231,889150,000SH DFND 0150,0000
NortonLifeLock IncCOMMON STOCK6687711086,618333,731SH DFND 0333,7310
SFL Corp LtdCOMMON STOCKG7738W1061,229132,277SH DFND 0132,2770
Strategic Education IncCOMMON STOCK86272C1031,2968,434SH DFND 08,4340
Target Hospitality CorpCOMMON STOCK87615L1074425,842SH DFND 025,8420
Twin River Worldwide HoldingCOMMON STOCK90171V2041,09949,301SH DFND 049,3010
United Airlines Holdings IncCOMMON STOCK9100471091,60046,233SH DFND 046,2330
WW International IncCOMMON STOCK98262P10176029,930SH DFND 029,9300
ASM Lithography Holding N.VCOMMON STOCKN070592102,7397,442SH DFND 07,4420
Axsome Therapeutics IncCOMMON STOCK05464T1045256,379SH DFND 06,3790
Bloom Energy Corp- ACOMMON STOCK09371210719017,430SH DFND 017,4300
Brigham Minerals Inc-cl ACOMMON STOCK10918L10350741,030SH DFND 041,0300
Constellation PharmaceuticalCOMMON STOCK2103731062317,677SH DFND 07,6770
Constellium SECOMMON STOCKF2110710156573,522SH DFND 073,5220
Crescent Point Energy CorpCOMMON STOCK22576C101369226,404SH DFND 0226,4040
Cytomx Therapeutics IncCOMMON STOCK23284F10520524,571SH DFND 024,5710
Diversified Healthcare TrustCOMMON STOCK25525P10724154,475SH DFND 054,4750
Equitable Holdings IncCOMMON STOCK29452E10136418,888SH DFND 018,8880
Fastly Inc - Class ACOMMON STOCK31188V1002,87633,787SH DFND 033,7870
Federated Hermes Inc - CL BCOMMON STOCK3142111031,32155,720SH DFND 055,7200
Five Point Holdings Llc-cl ACOMMON STOCK33833Q1065912,931SH DFND 012,9310
Molson Coors Beverage Co - Class BCOMMON STOCK60871R2093098,981SH DFND 08,9810
Msb Financial Corp/mdCOMMON STOCK55352L1013,516311,165SH DFND 0311,1650
NexTier Oilfield Solutions IncCOMMON STOCK65290C1054518,565SH DFND 018,5650
Perdoceo Education CorpCOMMON STOCK71363P10618111,331SH DFND 011,3310
Phreesia IncCOMMON STOCK71944F10658520,694SH DFND 020,6940
Ping Identity Holding CorpCOMMON STOCK72341T1031,64751,311SH DFND 051,3110
Pinterest Inc- Class ACOMMON STOCK72352L1062129,551SH DFND 09,5510
Precigen IncCOMMON STOCK74017N10538977,986SH DFND 077,9860
Reata Pharmaceuticals Inc-aCOMMON STOCK75615P1031,1967,666SH DFND 07,6660
Redfin CorpCOMMON STOCK75737F10842010,025SH DFND 010,0250
Scorpio Bulkers IncCOMMON STOCKY7546A13070245,909SH DFND 045,9090
Sprout Social Inc - Class ACOMMON STOCK85209W1091,02237,838SH DFND 037,8380
Tucows Inc.COMMON STOCK8986972064978,671SH DFND 08,6710
Uber Technologies IncCOMMON STOCK90353T10011,091356,861SH DFND 0356,8610
Ubiquiti IncCOMMON STOCK90353W1032,35013,461SH DFND 013,4610
Veoneer IncCOMMON STOCK92336X10921520,082SH DFND 020,0820
Adma Biologics IncCOMMON STOCK0008991045920,042SH DFND 020,0420
Alamo Group IncorporatedCOMMON STOCK0113111073072,994SH DFND 02,9940
Alta Equipment Group Inc-cl AWARRANT02128L114314299,999SHCallDFND 0299,9990
Audiocodes LTDCOMMON STOCKM1534210451616,216SH DFND 016,2160
Autolus Therapeutics Plc - ADRCOMMON STOCK05280R10042526,513SH DFND 026,5130
Avanos Medical IncCOMMON STOCK05350V10674525,365SH DFND 025,3650
Benefytt Technologies IncCOMMON STOCK08182C10646522,741SH DFND 022,7410
Bill.com Holdings IncCOMMON STOCK0900431001,58817,602SH DFND 017,6020
Bristol Myers Squibb Company - CVRCOMMON STOCK1101221573,1643,164,172PRN DFND 03,164,1720
Brown Forman Corporation Class ACOMMON STOCK1156371004057,042SH DFND 07,0420
Change Healthcare IncCOMMON STOCK15912K10062255,557SH DFND 055,5570
Chase Corp.COMMON STOCK16150R1042612,548SH DFND 02,5480
Churchill Capital Corp IiiCOMMON STOCK17144C20356650,000SH DFND 050,0000
Community Trust Bancorp IncCOMMON STOCK2041491082066,288SH DFND 06,2880
Corteva IncCOMMON STOCK22052L1041,68062,710SH DFND 062,7100
Cryoport IncCOMMON STOCK22905030747515,698SH DFND 015,6980
Denali Therapeutics IncCOMMON STOCK24823R10591737,926SH DFND 037,9260
Enerpac Tool Group Corp - CL ACOMMON STOCK29276510441923,813SH DFND 023,8130
Enterprise Financial Services CorpCOMMON STOCK2937121052558,197SH DFND 08,1970
Fomento Economico Mexicano SAB - ADRCOMMON STOCK3444191062734,396SH DFND 04,3960
Franchise Group Inc - Cl ACOMMON STOCK35180X10547121,504SH DFND 021,5040
Globe Life IncCOMMON STOCK37959E1023,52647,495SH DFND 047,4950
Golden Entertainment IncCOMMON STOCK38101310132536,487SH DFND 036,4870
Grifols Sa-adrCOMMON STOCK39843840826814,700SH DFND 014,7000
Gsx Techedu Inc- AdrCOMMON STOCK36257Y10969511,587SH DFND 011,5870
Inmode LtdCOMMON STOCKM5425M10373025,769SH DFND 025,7690
KLA CorpCOMMON STOCK4824801002,69213,843SH DFND 013,8430
Kala Pharmaceuticals IncCOMMON STOCK48311910327826,452SH DFND 026,4520
Liveramp Holdings IncCOMMON STOCK53815P10881619,204SH DFND 019,2040
Magnolia Oil & Gas CorpCOMMON STOCK55966310912220,081SH DFND 020,0810
Medallia IncCOMMON STOCK58402110964925,718SH DFND 025,7180
Midland States Bancorp IncCOMMON STOCK59774210522715,154SH DFND 015,1540
Natura &co Holding-adrCOMMON STOCK63884N10813,059900,000SHPutDFND 0900,0000
Newmont CorpCOMMON STOCK65163910684313,652SH DFND 013,6520
Nmi Holdings Inc-class ACOMMON STOCK6292093051,01262,950SH DFND 062,9500
Paysign IncCOMMON STOCK70451A10416617,082SH DFND 017,0820
Peloton Interactive Inc-aCOMMON STOCK70614W1002,33040,336SH DFND 040,3360
Piper Sandler CosCOMMON STOCK7240781003135,298SH DFND 05,2980
Progyny IncCOMMON STOCK74340E1031,12043,390SH DFND 043,3900
Rubius Therapeutics IncCOMMON STOCK78116T10310317,173SH DFND 017,1730
SB One BancorpCOMMON STOCK78413T1036,083308,789SH DFND 0308,7890
Sciplay CorpCOMMON STOCK80908710922014,818SH DFND 014,8180
Service Properties TrustCOMMON STOCK81761L10264691,079SH DFND 091,0790
TRANSALTA CORPCOMMON STOCK89346D10739166,006SH DFND 066,0060
Tilray Inc-class 2 CommonCOMMON STOCK88688T10016322,857SH DFND 022,8570
Tompkins Financial CorpCOMMON STOCK8901101093515,420SH DFND 05,4200
Towne BankCOMMON STOCK89214P10925713,645SH DFND 013,6450
Trane Technologies PLCCOMMON STOCKG8994E1038179,185SH DFND 09,1850
Tronox Holdings Plc-class ACOMMON STOCKG9087Q10218024,877SH DFND 024,8770
Veritiv CorpCOMMON STOCK92345410221212,513SH DFND 012,5130
Vertiv Holdings Co- ACOMMON STOCK92537N10816111,885SH DFND 011,8850
Vertiv Holdings Co- AWARRANT92537N11626666,666SHCallDFND 066,6660
Washington Trust Bancorp IncorporatedCOMMON STOCK9406101082557,800SH DFND 07,8000
Workhorse Group IncCOMMON STOCK98138J20619311,071SH DFND 011,0710
1life Healthcare IncCOMMON STOCK68269G1071,28235,289SH DFND 035,2890
AZEK Co Inc/The - Class ACOMMON STOCK05478C10576023,848SH DFND 023,8480
Agora Inc-adrCOMMON STOCK00851L10366114,955SH DFND 014,9550
Albertsons Cos IncCOMMON STOCK0130911034,249269,446SH DFND 0269,4460
Alcon IncCOMMON STOCKH013011282334,063SH DFND 04,0630
Allogene Therapeutics IncCOMMON STOCK0197701062,15850,399SH DFND 050,3990
Arco Platform Ltd - Class ACOMMON STOCKG045531062,22251,110SH DFND 051,1100
Arcturus Therapeutics Holdings IncCOMMON STOCK03969T1092034,346SH DFND 04,3460
Assetmark Financial HoldingsCOMMON STOCK04546L1062067,565SH DFND 07,5650
Axcella Health IncCOMMON STOCK05454B10514826,704SH DFND 026,7040
B Riley Principal Merger CoCOMMON STOCK05600U2054,977425,000SH DFND 0425,0000
Caesars Entertainment IncCOMMON STOCK12769G1001,28432,050SH DFND 032,0500
Calliditas Therapeutics Ab - ADRCOMMON STOCK13124Q10681635,152SH DFND 035,1520
Clarivate PLCCOMMON STOCKG218101091,90985,474SH DFND 085,4740
Crescent Acquisition Corp-aCOMMON STOCK22564L1053,657349,606SH DFND 0349,6060
Crescent Acquisition Corp-aWARRANT22564L113262174,803SHCallDFND 0174,8030
Draftkings Inc - Cl ACOMMON STOCK26142R1043,809114,534SH DFND 0114,5340
Evelo Biosciences IncCOMMON STOCK2997341036012,297SH DFND 012,2970
Evofem Biosciences IncCOMMON STOCK30048L104729257,764SH DFND 0257,7640
Finjan Holdings IncCOMMON STOCK31788H3031,463950,000SH DFND 0950,0000
Foley Trasimene AcquisitionCOMMON STOCK34431F2032,134200,000SH DFND 0200,0000
Fusion Pharmaceuticals IncCOMMON STOCK36118A10050929,145SH DFND 029,1450
Gan LtdCOMMON STOCKG3728V1092,03379,894SH DFND 079,8940
Genetron Holdings Ltd - ADRCOMMON STOCK37186H10025020,725SH DFND 020,7250
Hudson Executive InvestmentCOMMON STOCK4437612008,486827,870SH DFND 0827,8700
IAC/InterActiveCorpCOMMON STOCK44891N10959,506184,000SH DFND 0184,0000
Inari Medical IncCOMMON STOCK45332Y1092595,341SH DFND 05,3410
Jaws Acquisition CorpCOMMON STOCKG507441202,086200,000SH DFND 0200,0000
Kaleido Biosciences IncCOMMON STOCK48334710032844,165SH DFND 044,1650
Kindred Biosciences IncCOMMON STOCK49457710912728,284SH DFND 028,2840
Kingsoft Cloud Holdings-adrCOMMON STOCK49639K1011,33942,469SH DFND 042,4690
Legend Biotech Corp-adrCOMMON STOCK52490G1023738,771SH DFND 08,7710
Liberty Media Corp-Liberty Formula One-cCOMMON STOCK5312298542397,522SH DFND 07,5220
Livongo Health IncCOMMON STOCK5391831031,39218,516SH DFND 018,5160
Loral Space & CommunicationsCOMMON STOCK54388110643022,030SH DFND 022,0300
Northwest Natural Holding CoCOMMON STOCK66765N1052173,895SH DFND 03,8950
Odp Corp/theCOMMON STOCK88337F105787334,804SH DFND 0334,8040
Otis Worldwide CorpCOMMON STOCK68902V1079,524167,499SH DFND 0167,4990
PotlatchDeltic CorpCOMMON STOCK73763010364316,912SH DFND 016,9120
Ppd IncCOMMON STOCK69355F1021,16943,636SH DFND 043,6360
Repare Therapeutics IncCOMMON STOCK7602731021,05233,913SH DFND 033,9130
Selectquote IncCOMMON STOCK8163073002369,302SH DFND 09,3020
Shift4 Payments IncCOMMON STOCK82452J1092707,599SH DFND 07,5990
Translate Bio IncCOMMON STOCK89374L1044,167232,549SH DFND 0232,5490
Triumph Bancorp IncCOMMON STOCK89679E3002199,007SH DFND 09,0070
Universal Health Realty Income TrustCOMMON STOCK91359E1056528,205SH DFND 08,2050
Virnetx Holding CorpCOMMON STOCK92823T10819329,656SH DFND 029,6560
Vroom IncCOMMON STOCK92918V10982815,886SH DFND 015,8860
Warner Music Group Corp-cl ACOMMON STOCK93455020378626,635SH DFND 026,6350