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
2u IncCOMMON STOCK90214J10190926,853SH DFND 026,8530
3D Systems CorpCOMMON STOCK88554D2051,450295,296SH DFND 0295,2960
3m CoCOMMON STOCK88579Y1012,38414,882SH DFND 014,8820
8 X 8 IncorporatedCOMMON STOCK2829141001,45193,283SH DFND 093,2830
Aaon IncorporatedCOMMON STOCK0003602061,04817,390SH DFND 017,3900
Abbvie IncCOMMON STOCK00287Y1094,22048,175SH DFND 048,1750
ABIOMED IncorporatedCOMMON STOCK0036541001,4315,164SH DFND 05,1640
ABM Industries IncorporatedCOMMON STOCK00095710058215,871SH DFND 015,8710
Accelerate Diagnostics IncCOMMON STOCK00430H10272367,814SH DFND 067,8140
Accenture Plc - CL ACOMMON STOCKG1151C1012,0789,196SH DFND 09,1960
Acco Brands CorpCOMMON STOCK00081T108787135,696SH DFND 0135,6960
Accuray IncCOMMON STOCK00439710512552,084SH DFND 052,0840
ACI Worldwide IncCOMMON STOCK00449810156521,625SH DFND 021,6250
Activision Blizzard IncCOMMON STOCK00507V1097,95798,295SH DFND 098,2950
Acuity Brands IncCOMMON STOCK00508Y1021,05610,319SH DFND 010,3190
Advanced Energy Industries IncorporatedCOMMON STOCK0079731004727,505SH DFND 07,5050
Advanced Micro Devices IncorporatedCOMMON STOCK0079031079,238112,670SH DFND 0112,6700
Aerojet Rocketdyne Holdings IncCOMMON STOCK0078001051,17729,499SH DFND 029,4990
Aerovironment IncCOMMON STOCK0080731081,88331,372SH DFND 031,3720
AES CorporationCOMMON STOCK00130H10593451,587SH DFND 051,5870
AFLAC IncorporatedCOMMON STOCK0010551023,33491,729SH DFND 091,7290
AGCO CorporationCOMMON STOCK0010841025958,009SH DFND 08,0090
Agilent Technologies Inc.COMMON STOCK00846U1013,49334,605SH DFND 034,6050
Agios Pharmaceuticals IncCOMMON STOCK00847X1041,97256,338SH DFND 056,3380
Air Transport Services Group IncCOMMON STOCK00922R1052128,459SH DFND 08,4590
Akamai TechnologiesCOMMON STOCK00971T1015855,291SH DFND 05,2910
Alaska Airgroup IncorporatedCOMMON STOCK0116591091,66645,478SH DFND 045,4780
Alexander & Baldwin IncCOMMON STOCK01449110449744,350SH DFND 044,3500
Alexandria Real Estate Equities IncCOMMON STOCK0152711095,94137,130SH DFND 037,1300
Alexion Pharmaceuticals IncorporatedCOMMON STOCK0153511098,23972,000SH DFND 072,0000
Alibaba Group Holding-sp AdrCOMMON STOCK01609W1023,44811,729SH DFND 011,7290
Align Technology IncCOMMON STOCK0162551011,4444,411SH DFND 04,4110
Alkermes PlcCOMMON STOCKG0176710564438,852SH DFND 038,8520
Allegion PlcCOMMON STOCKG0176J1093,88339,254SH DFND 039,2540
Alliant Energy Corp.COMMON STOCK0188021081,30425,238SH DFND 025,2380
Allison Transmission HoldingCOMMON STOCK01973R1015,316151,286SH DFND 0151,2860
Allscripts Healthcare Solutions IncCOMMON STOCK01988P10848859,958SH DFND 059,9580
Alphabet Inc.COMMON STOCK02079K30510,1136,900SH DFND 06,9000
Altra Industrial Motion CorpCOMMON STOCK02208R1061,16531,515SH DFND 031,5150
Altria Group IncCOMMON STOCK02209S1034,253110,078SH DFND 0110,0780
Amazon.Com IncorporatedCOMMON STOCK02313510610,1293,217SH DFND 03,2170
Ambac Financial Group IncCOMMON STOCK0231398841,16190,941SH DFND 090,9410
American Airlines Group IncCOMMON STOCK02376R10281366,136SH DFND 066,1360
American Axle & Manufacturing Hold. Inc.COMMON STOCK0240611031,181204,607SH DFND 0204,6070
American Eagle OutfittersCOMMON STOCK02553E1062,195148,199SH DFND 0148,1990
American Equity Investment Life Holding CoCOMMON STOCK02567620658526,620SH DFND 026,6200
American Express CompanyCOMMON STOCK0258161091,50314,994SH DFND 014,9940
American Homes 4 Rent- ACOMMON STOCK02665T3062609,132SH DFND 09,1320
American Tower Corp - Class ACOMMON STOCK03027X10011,50547,593SH DFND 047,5930
Ameriprise Financial Inc.COMMON STOCK03076C1061,5219,871SH DFND 09,8710
Amerisafe IncCOMMON STOCK03071H1002424,219SH DFND 04,2190
AMETEK IncorporatedCOMMON STOCK0311001008969,014SH DFND 09,0140
AMEX Consumer Discretionary Select SPDR FundCOMMON STOCK81369Y4072291,560SH DFND 01,5600
AMEX Utility Select SPDR FundCOMMON STOCK81369Y8867,126120,000SHCallDFND 0120,0000
Amicus Therapeutics IncCOMMON STOCK03152W10922015,596SH DFND 015,5960
Amkor Technology IncorporatedCOMMON STOCK03165210046241,229SH DFND 041,2290
Amphenol Corporation - CL ACOMMON STOCK0320951014694,328SH DFND 04,3280
Analog Devices IncorporatedCOMMON STOCK0326541056,46155,342SH DFND 055,3420
Anika Therapeutics IncCOMMON STOCK03525510843612,329SH DFND 012,3290
Anthem IncCOMMON STOCK0367521033,41012,695SH DFND 012,6950
Anworth Mortgage Asset CorpCOMMON STOCK0373471019759,169SH DFND 059,1690
Apache CorporationCOMMON STOCK03741110575779,898SH DFND 079,8980
Apollo Commercial Real EstatCOMMON STOCK03762U10525528,334SH DFND 028,3340
Appfolio Inc - ACOMMON STOCK03783C1003,55525,069SH DFND 025,0690
Apple IncCOMMON STOCK03783310023,042198,961SH DFND 0198,9610
Applied Industrial Tech IncorporatedCOMMON STOCK03820C1051,69230,708SH DFND 030,7080
Applied Materials IncorporatedCOMMON STOCK0382221054,17270,180SH DFND 070,1800
Applied Optoelectronics IncCOMMON STOCK03823U10225022,221SH DFND 022,2210
AptarGroup IncorporatedCOMMON STOCK0383361031,41212,475SH DFND 012,4750
ARC Document Solutions IncCOMMON STOCK00191G1031921,551SH DFND 021,5510
Arch Capital Group Ltd.COMMON STOCKG0450A10599233,898SH DFND 033,8980
Archrock IncCOMMON STOCK03957W106983182,634SH DFND 0182,6340
Arcos Dorados Holdings Inc-aCOMMON STOCKG0457F10727767,602SH DFND 067,6020
Ares Commercial Real EstateCOMMON STOCK04013V10822324,414SH DFND 024,4140
Armstrong World IndustriesCOMMON STOCK04247X1025608,141SH DFND 08,1410
Asbury Automotive GroupCOMMON STOCK0434361047027,203SH DFND 07,2030
Atara Biotherapeutics IncCOMMON STOCK04651310723117,813SH DFND 017,8130
Atlas Air Worldwide HoldingsCOMMON STOCK0491642052994,907SH DFND 04,9070
Atlassian Corp Plc-class ACOMMON STOCKG0624210411,74964,631SH DFND 064,6310
Autodesk IncorporatedCOMMON STOCK0527691062,61511,322SH DFND 011,3220
Automatic Data Processing IncorporatedCOMMON STOCK0530151034092,931SH DFND 02,9310
AutoZone IncorporatedCOMMON STOCK0533321022,9322,490SH DFND 02,4900
Avista Corp.COMMON STOCK05379B10794427,658SH DFND 027,6580
Avnet IncorporatedCOMMON STOCK05380710343816,938SH DFND 016,9380
Balchem Corp-CL BCOMMON STOCK0576652004965,077SH DFND 05,0770
Bank of New York Mellon CorpCOMMON STOCK06405810055216,066SH DFND 016,0660
Banner CorpCOMMON STOCK06652V2082577,961SH DFND 07,9610
Baxter International IncorporatedCOMMON STOCK0718131091,32816,510SH DFND 016,5100
Beacon Roofing Supply IncCOMMON STOCK0736851091,12436,167SH DFND 036,1670
Becton Dickinson & CompanyCOMMON STOCK0758871099,09239,077SH DFND 039,0770
Bed Bath & Beyond IncorporatedCOMMON STOCK0758961003,180212,315SH DFND 0212,3150
Benchmark Electronics IncorporatedCOMMON STOCK08160H10158028,792SH DFND 028,7920
Big Lots Inc.COMMON STOCK0893021032,97466,688SH DFND 066,6880
Biomarin Pharmaceutical Inc.COMMON STOCK09061G1012913,819SH DFND 03,8190
Bio-Rad Laboratories IncorporatedCOMMON STOCK0905722072,8045,439SH DFND 05,4390
Bio-Techne CorpCOMMON STOCK09073M1041,4986,046SH DFND 06,0460
BioTelemetry IncCOMMON STOCK0906721061,73538,073SH DFND 038,0730
BJ's Restaurants IncCOMMON STOCK09180C1062257,647SH DFND 07,6470
Black Hills CorporationCOMMON STOCK0921131093,58266,975SH DFND 066,9750
Blackbaud IncCOMMON STOCK09227Q1001,40925,230SH DFND 025,2300
Blackrock IncCOMMON STOCK09247X1018,13014,427SH DFND 014,4270
Blackstone Mortgage Trust Inc - Class ACOMMON STOCK09257W1003,824174,073SH DFND 0174,0730
Bloomin' Brands IncCOMMON STOCK09423510887857,518SH DFND 057,5180
Blucora IncCOMMON STOCK0952291002,237237,434SH DFND 0237,4340
Bluebird Bio IncCOMMON STOCK09609G1001,37125,417SH DFND 025,4170
Boise Cascade CoCOMMON STOCK09739D1002,02950,822SH DFND 050,8220
BOK Financial CorporationCOMMON STOCK05561Q2014568,845SH DFND 08,8450
Booz Allen Hamilton HoldingCOMMON STOCK0995021062,03724,553SH DFND 024,5530
Boston Beer Company IncorporatedCOMMON STOCK1005571071,8102,049SH DFND 02,0490
Boston Private Financial Holdings IncCOMMON STOCK10111910553296,295SH DFND 096,2950
Boston Properties IncorporatedCOMMON STOCK1011211012713,379SH DFND 03,3790
Boston Scientific CorporationCOMMON STOCK1011371073,10781,301SH DFND 081,3010
Box Inc - Class ACOMMON STOCK10316T1041,39480,319SH DFND 080,3190
Boyd Gaming CorporationCOMMON STOCK1033041013,373109,921SH DFND 0109,9210
Brady Corporation (CL A)COMMON STOCK1046741062,35158,755SH DFND 058,7550
BrightcoveCOMMON STOCK10921T10123022,421SH DFND 022,4210
Broadridge Financial SolCOMMON STOCK11133T1031,3179,977SH DFND 09,9770
Brookline Bancorp IncCOMMON STOCK11373M10736041,589SH DFND 041,5890
Brooks Automation IncCOMMON STOCK1143401021,44831,294SH DFND 031,2940
Builders FirstSource IncCOMMON STOCK12008R10778123,951SH DFND 023,9510
Burlington Stores IncCOMMON STOCK1220171064342,108SH DFND 02,1080
Cabot Oil & Gas Corporation-CL ACOMMON STOCK1270971031,998115,092SH DFND 0115,0920
CACI International Incorporated-CL ACOMMON STOCK1271903042911,364SH DFND 01,3640
Cadence Design Systems IncorporatedCOMMON STOCK1273871081,88317,656SH DFND 017,6560
Cal-Maine Foods IncCOMMON STOCK12803020271718,682SH DFND 018,6820
Canadian Solar IncCOMMON STOCK1366351092627,467SH DFND 07,4670
Cantel Medical CorpCOMMON STOCK1380981081,54735,203SH DFND 035,2030
Capitol Federal Financial IncCOMMON STOCK14057J10136239,108SH DFND 039,1080
Cara Therapeutics IncCOMMON STOCK14075510927621,666SH DFND 021,6660
Cardinal Health IncorporatedCOMMON STOCK14149Y1082,46852,571SH DFND 052,5710
CareTrust Reit IncCOMMON STOCK14174T1071,65693,034SH DFND 093,0340
Carlisle Companies IncorporatedCOMMON STOCK1423391002,91523,824SH DFND 023,8240
Carpenter Technology CorporationCOMMON STOCK14428510351128,155SH DFND 028,1550
Carriage Services Inc - CL ACOMMON STOCK14390510732414,503SH DFND 014,5030
Casey's General Stores IncorporatedCOMMON STOCK1475281033081,736SH DFND 01,7360
Castlight Health Inc-bCOMMON STOCK14862Q1001412,824SH DFND 012,8240
Catalent IncCOMMON STOCK1488061021,05612,333SH DFND 012,3330
Catchmark Timber Trust Inc-aCOMMON STOCK14912Y20223526,311SH DFND 026,3110
Caterpillar IncorporatedCOMMON STOCK1491231014,44529,805SH DFND 029,8050
Cathay General BancorpCOMMON STOCK14915010464629,782SH DFND 029,7820
Cdw Corp/deCOMMON STOCK12514G1082512,102SH DFND 02,1020
Cedar Realty Trust IncCOMMON STOCK1506022094656,920SH DFND 056,9200
Central Garden & Pet Company - ACOMMON STOCK1535272052326,415SH DFND 06,4150
Central Pacific Financial CorpCOMMON STOCK15476040919214,158SH DFND 014,1580
Century Aluminum CoCOMMON STOCK15643110816122,607SH DFND 022,6070
CenturyLink IncCOMMON STOCK1567001061,130111,995SH DFND 0111,9950
Cerner CorporationCOMMON STOCK1567821042,16329,927SH DFND 029,9270
Ceva IncCOMMON STOCK1572101053238,215SH DFND 08,2150
CF Industries Holdings IncCOMMON STOCK1252691003009,763SH DFND 09,7630
Cheesecake Factory IncorporatedCOMMON STOCK1630721012,22180,080SH DFND 080,0800
Chemed CorpCOMMON STOCK16359R1031,0062,095SH DFND 02,0950
Chevron CorporationCOMMON STOCK1667641009,406130,639SH DFND 0130,6390
Choice Hotels Intl IncCOMMON STOCK1699051063,08435,872SH DFND 035,8720
Churchill Downs IncorporatedCOMMON STOCK1714841082,09012,760SH DFND 012,7600
Chuy's Holdings IncCOMMON STOCK17160410131315,996SH DFND 015,9960
Cigna CorpCOMMON STOCK1255231004,33025,557SH DFND 025,5570
Cincinnati Financial CorporationCOMMON STOCK1720621014635,937SH DFND 05,9370
Circuit City Stores Inc-CarMax GroupCOMMON STOCK1431301021,24313,522SH DFND 013,5220
Cirrus Logic IncorporatedCOMMON STOCK1727551001,02215,153SH DFND 015,1530
Citizens Financial GroupCOMMON STOCK1746101051,90475,322SH DFND 075,3220
Citrix SystemsCOMMON STOCK1773761002,17815,818SH DFND 015,8180
City Holding CompanyCOMMON STOCK17783510588115,299SH DFND 015,2990
Civeo CorpCOMMON STOCK17878Y1085176,158SH DFND 076,1580
Clean Energy Fuels CorpCOMMON STOCK184499101469189,278SH DFND 0189,2780
Clearwater Paper Corp.COMMON STOCK18538R1032065,438SH DFND 05,4380
CME Group IncCOMMON STOCK12572Q10510,13660,584SH OTR 015,58445,000
CMS Energy CorporationCOMMON STOCK1258961002,32837,903SH DFND 037,9030
Cohen & Steers IncCOMMON STOCK19247A10073213,135SH DFND 013,1350
Coherent IncorporatedCOMMON STOCK1924791038677,820SH DFND 07,8200
Colfax CorpCOMMON STOCK19401410691129,057SH DFND 029,0570
Columbia Property Trust IncCOMMON STOCK19828720379072,397SH DFND 072,3970
Comfort Systems USA IncCOMMON STOCK19990810492117,873SH DFND 017,8730
Commerce Bancshares IncorporatedCOMMON STOCK20052510392816,485SH DFND 016,4850
Commercial Metals CompanyCOMMON STOCK2017231031,56778,437SH DFND 078,4370
Commscope Holding Co IncCOMMON STOCK20337X10922925,489SH DFND 025,4890
Community Health Systems IncCOMMON STOCK2036681084510,725SH DFND 010,7250
Concho Resources IncCOMMON STOCK20605P1011,39831,681SH DFND 031,6810
Conmed CorporationCOMMON STOCK2074101013554,511SH DFND 04,5110
Consolidated CommunicationsCOMMON STOCK2090341077112,545SH DFND 012,5450
Constellation Brands Inc - ACOMMON STOCK21036P1088884,686SH DFND 04,6860
Continental Resources IncCOMMON STOCK2120151011,560127,066SH DFND 0127,0660
Copa Holdings SA - Class ACOMMON STOCKP310761053637,204SH DFND 07,2040
Copart IncorporatedCOMMON STOCK2172041061,47214,001SH DFND 014,0010
Core Laboratories NVCOMMON STOCKN227171071,47796,760SH DFND 096,7600
Cornerstone Ondemand IncCOMMON STOCK21925Y1031,84050,600SH DFND 050,6000
Corporate Office PropertiesCOMMON STOCK22002T10858224,550SH DFND 024,5500
Costar Group IncCOMMON STOCK22160N109550648SH DFND 06480
Costco Wholesale Corp. - NEWCOMMON STOCK22160K1052,0895,885SH DFND 05,8850
Cracker Barrel Old Country Store IncCOMMON STOCK22410J1068097,059SH DFND 07,0590
Crane Co.COMMON STOCK2243991051,33626,659SH DFND 026,6590
Credit Acceptance CorporationCOMMON STOCK2253101012,5667,577SH DFND 07,5770
Cree Research IncorporatedCOMMON STOCK2254471012574,027SH DFND 04,0270
Crown Castle Intl CorpCOMMON STOCK22822V1012401,444SH DFND 01,4440
CSG Systems International IncorporatedCOMMON STOCK1263491091,29231,540SH DFND 031,5400
CubeSmartCOMMON STOCK22966310933810,460SH DFND 010,4600
Cullen/Frost Bankers IncCOMMON STOCK2298991091,85729,031SH DFND 029,0310
CVB Financial CorporationCOMMON STOCK12660010578447,134SH DFND 047,1340
CVR Energy IncCOMMON STOCK12662P1081,948157,322SH DFND 0157,3220
CVS Health CorpCOMMON STOCK1266501005,891100,870SH DFND 0100,8700
D R Horton IncorporatedCOMMON STOCK23331A1092,85037,680SH DFND 037,6800
Daktronics IncCOMMON STOCK23426410916642,033SH DFND 042,0330
Danaher CorporationCOMMON STOCK2358511021,2535,820SH DFND 05,8200
Darden Restaurants IncCOMMON STOCK2371941057107,049SH DFND 07,0490
Deckers Outdoor CorporationCOMMON STOCK2435371071,0554,796SH DFND 04,7960
Delek US Holdings IncCOMMON STOCK24665A1031,578141,788SH DFND 0141,7880
Deluxe CorporationCOMMON STOCK2480191012248,700SH DFND 08,7000
Deutsche Bank AG OrdCOMMON STOCKD1819089814617,424SH DFND 017,4240
Devon Energy Corp. NEWCOMMON STOCK25179M10356559,703SH DFND 059,7030
DiamondRock Hospitality CoCOMMON STOCK2527843011,432282,376SH DFND 0282,3760
Dick's Sporting Goods IncCOMMON STOCK2533931021,68029,019SH DFND 029,0190
Digital Realty Trust IncCOMMON STOCK2538681037,86453,587SH DFND 053,5870
Dime Community BancsharesCOMMON STOCK25392210815613,757SH DFND 013,7570
DISH Network CorpCOMMON STOCK25470M1093,450118,848SH DFND 0118,8480
Dolby Laboratories Inc - Class ACOMMON STOCK25659T1072,15132,452SH DFND 032,4520
Dollar General CorpCOMMON STOCK2566771053,40116,226SH DFND 016,2260
Dollar Tree IncCOMMON STOCK2567461081,34214,691SH DFND 014,6910
Donaldson Co IncCOMMON STOCK2576511091,18225,468SH DFND 025,4680
Dorian Lpg LtdCOMMON STOCKY2106R11011113,902SH DFND 013,9020
Douglas Emmett IncCOMMON STOCK25960P1092,50599,816SH DFND 099,8160
Dover CorpCOMMON STOCK2600031082,03018,735SH DFND 018,7350
DTE Energy CompanyCOMMON STOCK2333311072902,525SH DFND 02,5250
Duke Energy CorporationCOMMON STOCK26441C2045356,036SH DFND 06,0360
Duke Realty CorpCOMMON STOCK26441150595325,831SH DFND 025,8310
Dynavax Technologies CorpCOMMON STOCK26815820119645,448SH DFND 045,4480
Eaton Vance CorporationCOMMON STOCK2782651032717,092SH DFND 07,0920
Ebay IncorporatedCOMMON STOCK2786421033386,478SH DFND 06,4780
Edwards Lifesciences Corp.COMMON STOCK28176E1086157,709SH DFND 07,7090
El Pollo Loco Holdings IncCOMMON STOCK26860310756434,809SH DFND 034,8090
Electronic Arts IncorporatedCOMMON STOCK2855121091,30710,022SH DFND 010,0220
Eli Lilly & CompanyCOMMON STOCK5324571081,72411,644SH DFND 011,6440
EMCOR Group IncorporatedCOMMON STOCK29084Q1001,46321,606SH DFND 021,6060
Encore Capital Group IncCOMMON STOCK29255410284521,898SH DFND 021,8980
Encore Wire CorporationCOMMON STOCK2925621054649,996SH DFND 09,9960
Endeavour Silver CorpCOMMON STOCK29258Y103581165,636SH DFND 0165,6360
Endurance International GrouCOMMON STOCK29272B10535161,128SH DFND 061,1280
EnerSysCOMMON STOCK29275Y1021,40220,894SH DFND 020,8940
Enstar Group LtdCOMMON STOCKG3075P1015213,223SH DFND 03,2230
Entergy CorporationCOMMON STOCK29364G1031,06710,831SH DFND 010,8310
Entravision Communications CorpCOMMON STOCK29382R107196128,894SH DFND 0128,8940
EOG Resources Inc.COMMON STOCK26875P1013,809105,988SH DFND 0105,9880
Epam Systems IncCOMMON STOCK29414B1042,1056,511SH DFND 06,5110
EQT CorpCOMMON STOCK26884L1091,23995,842SH DFND 095,8420
Equifax IncorporatedCOMMON STOCK2944291057945,062SH DFND 05,0620
Equinix IncCOMMON STOCK29444U7001,5522,042SH DFND 02,0420
Equity CommonwealthCOMMON STOCK2946281023,293123,659SH DFND 0123,6590
Equity Lifestyle Properties InCOMMON STOCK29472R1081,84930,170SH DFND 030,1700
Equity ResidentialCOMMON STOCK29476L1072,46748,061SH DFND 048,0610
Esperion Therapeutics IncCOMMON STOCK29664W1053489,359SH DFND 09,3590
Essex Property TrustCOMMON STOCK2971781056063,016SH DFND 03,0160
Ethan Allen Interiors IncorporatedCOMMON STOCK29760210489165,780SH DFND 065,7800
Euronet Worldwide IncCOMMON STOCK2987361093023,312SH DFND 03,3120
Everi Holdings IncCOMMON STOCK30034T10328134,039SH DFND 034,0390
Exlservice Holdings IncCOMMON STOCK3020811041,05916,058SH DFND 016,0580
Exponent Inc.COMMON STOCK30214U1023384,699SH DFND 04,6990
Express Inc.COMMON STOCK30219E1032439,017SH DFND 039,0170
Exxon Mobil CorporationCOMMON STOCK30231G1027,180209,141SH DFND 0209,1410
F.N.B. CorporationCOMMON STOCK30252010151976,539SH DFND 076,5390
F5 Networks IncCOMMON STOCK3156161023,39527,651SH DFND 027,6510
Facebook Inc-aCOMMON STOCK30303M1024,61717,627SH DFND 017,6270
FactSet Research Systems IncorporatedCOMMON STOCK3030751052,5587,640SH DFND 07,6400
Fastenal CompanyCOMMON STOCK3119001041,09724,326SH DFND 024,3260
Federal Signal CorporationCOMMON STOCK31385510841714,273SH DFND 014,2730
Ferro CorporationCOMMON STOCK31540510023819,163SH DFND 019,1630
Ferroglobe PlcCOMMON STOCKG338561083450,268SH DFND 050,2680
Fidelity National Information ServicesCOMMON STOCK31620M1067745,257SH DFND 05,2570
First American FinancialCOMMON STOCK31847R1022,97058,339SH DFND 058,3390
First Commonwealth Financial CorporationCOMMON STOCK31982910750465,082SH DFND 065,0820
First Financial BancorpCOMMON STOCK32020910951242,689SH DFND 042,6890
First Industrial Realty TRCOMMON STOCK32054K1031,75143,996SH DFND 043,9960
First Midwest Bancorp IncorporatedCOMMON STOCK3208671041,156107,190SH DFND 0107,1900
First Solar IncCOMMON STOCK3364331079,764147,499SH DFND 0147,4990
Firstenergy CorpCOMMON STOCK33793210734211,913SH DFND 011,9130
Fitbit Inc - ACOMMON STOCK33812L1028512,258SH DFND 012,2580
Five BelowCOMMON STOCK33829M1016515,128SH DFND 05,1280
Five9 IncCOMMON STOCK3383071012,29617,704SH DFND 017,7040
Fiveprime Therapeutics IncCOMMON STOCK33830X1049420,030SH DFND 020,0300
Flowers Foods IncCOMMON STOCK3434981012,02583,240SH DFND 083,2400
Foot Locker Inc.COMMON STOCK34484910446614,118SH DFND 014,1180
Ford Motor CoCOMMON STOCK3453708602,120318,291SH DFND 0318,2910
Fortinet IncCOMMON STOCK34959E1091,88816,029SH DFND 016,0290
Fortune Brands Home & Security Inc.COMMON STOCK34964C1067128,227SH DFND 08,2270
Forum Energy Technologies InCOMMON STOCK34984V209151275,190SH DFND 0275,1900
Franklin Street Properties CCOMMON STOCK35471R10622461,114SH DFND 061,1140
Frontline LtdCOMMON STOCKG3682E19210516,200SH DFND 016,2000
Fst Ctzns Bancshares Inc N C (CL A)COMMON STOCK31946M1038412,638SH DFND 02,6380
Fuelcell Energy Inc.COMMON STOCK35952H6014621,687SH DFND 021,6870
Fuller H B CoCOMMON STOCK35969410691720,038SH DFND 020,0380
Fulton Finl Corp PACOMMON STOCK36027110024826,633SH DFND 026,6330
GameStop CorporationCOMMON STOCK36467W10919318,929SH DFND 018,9290
Gap IncCOMMON STOCK3647601083,169186,104SH DFND 0186,1040
GARMIN LTD.COMMON STOCKH2906T1096226,555SH DFND 06,5550
Gartner Group IncCOMMON STOCK3666511071,1429,138SH DFND 09,1380
Gaslog LtdCOMMON STOCKG375851097828,950SH DFND 028,9500
Genco Shipping & Trading LtdCOMMON STOCKY2685T1317811,263SH DFND 011,2630
Generac Holdings IncCOMMON STOCK3687361042,44912,649SH DFND 012,6490
General Dynamics CorpCOMMON STOCK3695501081,96514,192SH DFND 014,1920
General Mills IncorporatedCOMMON STOCK3703341047,237117,334SH DFND 0117,3340
Genpact LtdCOMMON STOCKG3922B1071,60141,109SH DFND 041,1090
Gentex CorpCOMMON STOCK3719011091,98877,215SH DFND 077,2150
Genworth Financial Inc - CL ACOMMON STOCK37247D1068726,104SH DFND 026,1040
Gerdau SA-ADRCOMMON STOCK37373710511831,853SH DFND 031,8530
Gilead Sciences IncCOMMON STOCK3755581031,62425,698SH DFND 025,6980
Glacier Bancorp IncCOMMON STOCK37637Q10539212,231SH DFND 012,2310
Gladstone Commercial CorpCOMMON STOCK37653610823714,088SH DFND 014,0880
Global Payments Inc.COMMON STOCK37940X1021,6019,014SH DFND 09,0140
Globant SaCOMMON STOCKL443851098234,592SH DFND 04,5920
Glu Mobile IncCOMMON STOCK37989010625333,019SH DFND 033,0190
Golar LNG LtdCOMMON STOCKG9456A100610100,751SH DFND 0100,7510
Goodyear Tire and Rubber CompanyCOMMON STOCK38255010135346,005SH DFND 046,0050
Gran Tierra Energy IncCOMMON STOCK38500T101210,630SH DFND 010,6300
Grand Canyon Education IncCOMMON STOCK38526M1061,05913,252SH DFND 013,2520
Granite Construction IncorporatedCOMMON STOCK38732810720311,514SH DFND 011,5140
Graphic Packaging Holding CoCOMMON STOCK3886891013,912277,651SH DFND 0277,6510
Great Western Bancorp IncCOMMON STOCK39141610423919,191SH DFND 019,1910
Green Dot Corp-class ACOMMON STOCK39304D10250710,024SH DFND 010,0240
Green Plains IncCOMMON STOCK3932221041,43492,665SH DFND 092,6650
Greenbrier Companies IncCOMMON STOCK3936571011,29043,866SH DFND 043,8660
Griffon CorporationCOMMON STOCK39843310230915,822SH DFND 015,8220
Group 1 Automotive IncorporatedCOMMON STOCK3989051092943,328SH DFND 03,3280
Groupon IncCOMMON STOCK39947320622911,246SH DFND 011,2460
Grubhub IncCOMMON STOCK40011010248,368668,714SH DFND 0668,7140
H&E Equipment Services IncCOMMON STOCK40403010835017,793SH DFND 017,7930
Halliburton CompanyCOMMON STOCK40621610123019,102SH DFND 019,1020
Halozyme Therapeutics IncCOMMON STOCK40637H1092,34489,200SH DFND 089,2000
Hanesbrands IncCOMMON STOCK4103451021,40989,434SH DFND 089,4340
Hanger IncCOMMON STOCK41043F20843827,655SH DFND 027,6550
Hanmi Financial CorpCOMMON STOCK41049520433941,347SH DFND 041,3470
Hanover Insurance Group Inc/ThCOMMON STOCK4108671051,35814,577SH DFND 014,5770
Harley Davidson IncorporatedCOMMON STOCK41282210855222,491SH DFND 022,4910
Hartford Financial Services Group Inc.COMMON STOCK4165151041,35236,673SH DFND 036,6730
Hasbro IncorporatedCOMMON STOCK4180561074255,139SH DFND 05,1390
Haverty Furniture Companies IncorporatedCOMMON STOCK41959610178137,312SH DFND 037,3120
Healthequity IncCOMMON STOCK42226A1073867,511SH DFND 07,5110
Healthstream IncCOMMON STOCK42222N10330815,361SH DFND 015,3610
Heartland Express Inc.COMMON STOCK4223471044,133222,213SH DFND 0222,2130
Hecla Mining CoCOMMON STOCK422704106814160,158SH DFND 0160,1580
Helen of Troy LimitedCOMMON STOCKG4388N1067303,771SH DFND 03,7710
Helmerich & Payne IncorporatedCOMMON STOCK42345210193964,069SH DFND 064,0690
Henry Schein IncorporatedCOMMON STOCK80640710272912,402SH DFND 012,4020
Hess CorpCOMMON STOCK42809H1073007,319SH DFND 07,3190
Hewlett Packard Enterprise CompanyCOMMON STOCK42824C10923224,751SH DFND 024,7510
Hibbett Sports IncCOMMON STOCK4285671012406,112SH DFND 06,1120
Hill International IncCOMMON STOCK4314661012519,305SH DFND 019,3050
Hillenbrand IncCOMMON STOCK4315711081,48852,458SH DFND 052,4580
Hill-Rom Holdings IncCOMMON STOCK4314751022,27527,238SH DFND 027,2380
Hilton Worldwide Holdings InCOMMON STOCK43300A2031,28915,107SH DFND 015,1070
HMS Holdings CorpCOMMON STOCK40425J1011,30954,644SH DFND 054,6440
HollyFrontier CorpCOMMON STOCK4361061081,40471,219SH DFND 071,2190
Home Depot Inc.COMMON STOCK4370761026,80424,500SH DFND 024,5000
Hormel Foods CorporationCOMMON STOCK4404521004348,868SH DFND 08,8680
Host Hotels & Resorts IncCOMMON STOCK44107P1041,03595,923SH DFND 095,9230
HP IncCOMMON STOCK40434L1052,405126,643SH DFND 0126,6430
Hubbell IncorporatedCOMMON STOCK4435106079997,297SH DFND 07,2970
Hubspot IncCOMMON STOCK4435731002,2117,565SH DFND 07,5650
Hunt (JB) Transport Services Inc.COMMON STOCK4456581072,15317,035SH DFND 017,0350
Huntington Ingalls IndustCOMMON STOCK4464131062,18515,522SH DFND 015,5220
Hyatt Hotels Corp - Cl ACOMMON STOCK4485791024077,629SH DFND 07,6290
Hyster-Yale Materials Handling IncCOMMON STOCK44917210549113,211SH DFND 013,2110
Idacorp IncorporatedCOMMON STOCK4511071061,27615,969SH DFND 015,9690
Idex CorporationCOMMON STOCK45167R1043782,070SH DFND 02,0700
Idexx Laboratories CorporationCOMMON STOCK45168D1042,5816,566SH DFND 06,5660
II-Vi IncCOMMON STOCK9021041081,90947,059SH DFND 047,0590
Illinois Tool Works IncorporatedCOMMON STOCK4523081092,53713,129SH DFND 013,1290
Immersion CorporationCOMMON STOCK45252110710815,359SH DFND 015,3590
Immunomedics IncorporatedCOMMON STOCK45290710845,105530,454SH DFND 0530,4540
Impac Mortgage Holdings IncCOMMON STOCK45254P5081310,488SH DFND 010,4880
Incyte Corp.COMMON STOCK45337C1022,63229,324SH DFND 029,3240
Independent Bank Corportion Mass.COMMON STOCK4538361081,20122,938SH DFND 022,9380
Ingles Markets Incorporated Cl. ACOMMON STOCK45703010445311,918SH DFND 011,9180
Ingredion IncCOMMON STOCK4571871022853,766SH DFND 03,7660
Innospec IncCOMMON STOCK45768S1052974,698SH DFND 04,6980
Inovio Pharmaceuticals IncCOMMON STOCK45773H20123520,301SH DFND 020,3010
Inphi CorpCOMMON STOCK45772F1072,34020,842SH DFND 020,8420
Insight Enterprises IncorporatedCOMMON STOCK45765U1031,36324,096SH DFND 024,0960
Intel CorporationCOMMON STOCK4581401003897,510SH DFND 07,5100
Inter Parfums IncorporatedCOMMON STOCK4583341092506,699SH DFND 06,6990
Intercept Pharmaceuticals InCOMMON STOCK45845P1084149,986SH DFND 09,9860
InterDigital IncCOMMON STOCK45867G1012,14937,670SH DFND 037,6700
Interface Incorporated (CL A)COMMON STOCK4586653047812,753SH DFND 012,7530
International Flavors and FragrancesCOMMON STOCK4595061012452,004SH DFND 02,0040
International Game TechnologyCOMMON STOCKG4863A1082,667239,593SH DFND 0239,5930
International Paper CompanyCOMMON STOCK4601461033809,362SH DFND 09,3620
Interpublic Group Companies IncorporatedCOMMON STOCK4606901001,24274,516SH DFND 074,5160
Invacare CorporationCOMMON STOCK46120310112416,441SH DFND 016,4410
Invesco Mortgage CapitalCOMMON STOCK46131B100402148,444SH DFND 0148,4440
Iron Mountain Inc.COMMON STOCK46284V1014,351162,421SH DFND 0162,4210
iShares Silver TrustCOMMON STOCK46428Q10940718,798SH DFND 018,7980
iStar IncCOMMON STOCK45031U10143136,478SH DFND 036,4780
Itau Unibanco Holding SA - ADRCOMMON STOCK46556210630777,055SH DFND 077,0550
Itron IncorporatedCOMMON STOCK46574110666610,969SH DFND 010,9690
j2 Global IncCOMMON STOCK48123V1024,78169,073SH DFND 069,0730
Jack Henry & Associates IncCOMMON STOCK4262811011,2687,799SH DFND 07,7990
Jack in the Box IncorporatedCOMMON STOCK4663671097549,507SH DFND 09,5070
Jacobs Engineering Group IncorporatedCOMMON STOCK4698141071,27713,770SH DFND 013,7700
Jd.com Inc-adrCOMMON STOCK47215P1061,05413,583SH DFND 013,5830
John Bean TechnologiesCOMMON STOCK4778391042372,581SH DFND 02,5810
Johnson & JohnsonCOMMON STOCK4781601041,59410,705SH DFND 010,7050
Jones Lang LaSalle Inc.COMMON STOCK48020Q1072,18422,830SH DFND 022,8300
Juniper Networks IncorporatedCOMMON STOCK48203R10460528,126SH DFND 028,1260
Kaiser Aluminum CorpCOMMON STOCK4830077042033,780SH DFND 03,7800
Kansas City SouthernCOMMON STOCK4851703022,07711,487SH DFND 011,4870
Kar Auction Services IncCOMMON STOCK48238T1092,017140,066SH DFND 0140,0660
Karyopharm Therapeutics IncCOMMON STOCK48576U10647332,418SH DFND 032,4180
KBR IncCOMMON STOCK48242W10638317,115SH DFND 017,1150
Kearny Financial CorpCOMMON STOCK48716P10819126,436SH DFND 026,4360
Kellogg CompanyCOMMON STOCK4878361085818,988SH DFND 08,9880
Kelly Services Incorporated- Class ACOMMON STOCK48815220823413,732SH DFND 013,7320
Kemper CorpCOMMON STOCK4884011005388,057SH DFND 08,0570
Kennametal IncorporatedCOMMON STOCK48917010040914,119SH DFND 014,1190
Kennedy-Wilson Holdings IncCOMMON STOCK48939810763543,767SH DFND 043,7670
KeyCorp - NEWCOMMON STOCK49326710827723,228SH DFND 023,2280
Keysight Technologies IncCOMMON STOCK49338L1039379,488SH DFND 09,4880
Kilroy Realty CorporationCOMMON STOCK49427F1081,82835,177SH DFND 035,1770
Kimberly-Clark CorporationCOMMON STOCK4943681038,32456,371SH DFND 056,3710
Kinder Morgan IncCOMMON STOCK49456B10150440,871SH DFND 040,8710
Knowles CorpCOMMON STOCK49926D1091,12675,592SH DFND 075,5920
Kohl's CorporationCOMMON STOCK5002551043,204172,919SH DFND 0172,9190
Koppers Holdings IncCOMMON STOCK50060P10650924,324SH DFND 024,3240
Kroger CompanyCOMMON STOCK50104410171621,120SH DFND 021,1200
Kronos Worldwide IncCOMMON STOCK50105F10523518,295SH DFND 018,2950
Lam Research CorporationCOMMON STOCK5128071087592,287SH DFND 02,2870
Lamar Advertising CompanyCOMMON STOCK5128161091,01515,344SH DFND 015,3440
Lands' End IncCOMMON STOCK51509F10559745,786SH DFND 045,7860
Las Vegas Sands CorpCOMMON STOCK5178341072,00442,956SH DFND 042,9560
Lear CorpCOMMON STOCK5218652041,57314,428SH DFND 014,4280
Lendingclub CorpCOMMON STOCK52603A2087916,849SH DFND 016,8490
LendingTree Inc(NASDAQ)COMMON STOCK52603B1074111,338SH DFND 01,3380
Lennar CorporationCOMMON STOCK5260571041,90023,264SH DFND 023,2640
Lennox International IncCOMMON STOCK5261071076332,321SH DFND 02,3210
Lexicon Pharmaceuticals IncCOMMON STOCK5288723022618,034SH DFND 018,0340
Lexington Realty TrustCOMMON STOCK5290431011,209115,676SH DFND 0115,6760
Ligand Pharmaceuticals IncorporatedCOMMON STOCK53220K5045145,391SH DFND 05,3910
Lincoln National CorporationCOMMON STOCK5341871093,865123,366SH DFND 0123,3660
Lindsay CorpCOMMON STOCK5355551061,59016,447SH DFND 016,4470
Lithia Motors Inc. - Class ACOMMON STOCK5367971031,3365,861SH DFND 05,8610
Littlefuse IncorporatedCOMMON STOCK5370081043972,239SH DFND 02,2390
LKQ CorpCOMMON STOCK5018892082,790100,624SH DFND 0100,6240
Lockheed Martin CorpCOMMON STOCK5398301094121,075SH DFND 01,0750
Louisiana-Pacific CorporationCOMMON STOCK5463471051,35545,923SH DFND 045,9230
Lowe's Companies IncorporatedCOMMON STOCK5486611073,79222,862SH DFND 022,8620
Lululemon Athletica IncCOMMON STOCK5500211091,9375,880SH DFND 05,8800
Luminex CorporationCOMMON STOCK55027E10239615,089SH DFND 015,0890
M&T Bank CorporationCOMMON STOCK55261F1046827,408SH DFND 07,4080
Macerich StkCOMMON STOCK554382101767112,933SH DFND 0112,9330
Macy's IncCOMMON STOCK55616P1041,249219,177SH DFND 0219,1770
Manitowoc Company Inc.COMMON STOCK563571405905107,563SH DFND 0107,5630
ManpowerGroup IncCOMMON STOCK56418H1001,40219,115SH DFND 019,1150
Marathon Petroleum CorpCOMMON STOCK56585A10252818,003SH DFND 018,0030
MarineMax IncCOMMON STOCK5679081081,00639,181SH DFND 039,1810
Markel CorporationCOMMON STOCK5705351044,5314,653SH DFND 04,6530
Marriott International-CL ACOMMON STOCK5719032022,74329,630SH DFND 029,6300
Marriott Vacations Worldwide CorporationCOMMON STOCK57164Y1071,90921,018SH DFND 021,0180
Marsh & McLennan Companies IncorporatedCOMMON STOCK5717481022,43921,262SH DFND 021,2620
Marvell Technology GroupCOMMON STOCKG5876H1051,11027,957SH DFND 027,9570
Masco CorporationCOMMON STOCK5745991064,90588,966SH DFND 088,9660
Masonite International CorpCOMMON STOCK5753851091,40914,322SH DFND 014,3220
Maxim Integrated Products IncorporatedCOMMON STOCK57772K1015157,620SH DFND 07,6200
MAXIMUS IncorporatedCOMMON STOCK57793310489113,021SH DFND 013,0210
MBIA IncorporatedCOMMON STOCK55262C100665109,775SH DFND 0109,7750
McCormick & CompanyCOMMON STOCK5797802061,8289,420SH DFND 09,4200
McDonald's CorpCOMMON STOCK5801351013,94317,964SH DFND 017,9640
MDU Resources Group IncorporatedCOMMON STOCK55269010983737,182SH DFND 037,1820
Medtronic PLCCOMMON STOCKG5960L1033413,283SH DFND 03,2830
Mercadolibre IncCOMMON STOCK58733R1021,9711,821SH DFND 01,8210
Mercer Intl Inc (Sh Ben Int)COMMON STOCK58805610146970,995SH DFND 070,9950
Merck & Co. IncorporatedCOMMON STOCK58933Y10599311,973SH DFND 011,9730
Mercury Systems IncCOMMON STOCK5893781085206,719SH DFND 06,7190
Meredith CorpCOMMON STOCK58943310192670,600SH DFND 070,6000
Merit Medical Systems Inc.COMMON STOCK5898891041,86542,867SH DFND 042,8670
Meritage Homes CorpCOMMON STOCK59001A1022512,278SH DFND 02,2780
Meritor IncCOMMON STOCK59001K10066831,905SH DFND 031,9050
Mettler-Toledo International IncCOMMON STOCK5926881052,4792,567SH DFND 02,5670
MFA Financial IncCOMMON STOCK55272X1022810,304SH DFND 010,3040
MGM Resorts InternationalCOMMON STOCK5529531011,92688,538SH DFND 088,5380
Michaels Cos Inc/theCOMMON STOCK59408Q10624425,317SH DFND 025,3170
Microchip Technology Inc.COMMON STOCK5950171041,85318,031SH DFND 018,0310
Micron Technology IncorporatedCOMMON STOCK5951121032,87361,179SH DFND 061,1790
Microsoft CorporationCOMMON STOCK59491810410,99852,290SH DFND 052,2900
MicroStrategy IncorporatedCOMMON STOCK5949724086154,084SH DFND 04,0840
Mid-America Apartment Communities Inc.COMMON STOCK59522J1033,15627,220SH DFND 027,2200
Minerals Technologies Inc.COMMON STOCK6031581062755,372SH DFND 05,3720
Mirati Therapeutics IncCOMMON STOCK60468T1052,69716,242SH DFND 016,2420
MKS Instruments IncCOMMON STOCK55306N1045164,722SH DFND 04,7220
Modine Manufacturing CompanyCOMMON STOCK60782810027043,140SH DFND 043,1400
Molina Healthcare IncCOMMON STOCK60855R1005412,958SH DFND 02,9580
Monolithic Power Systems IncCOMMON STOCK6098391051,2614,511SH DFND 04,5110
Monster Beverage CorpCOMMON STOCK61174X10981510,168SH DFND 010,1680
Moog Inc. -CL ACOMMON STOCK6153942022373,732SH DFND 03,7320
Morgan StanleyCOMMON STOCK6174464482,67455,315SH DFND 055,3150
Movado Group Inc.COMMON STOCK62458010636036,236SH DFND 036,2360
MSC Industrial Direct Co IncCOMMON STOCK5535301064627,296SH DFND 07,2960
Msci IncCOMMON STOCK55354G1002,5767,219SH DFND 07,2190
Mueller Industries Inc.COMMON STOCK62475610245616,850SH DFND 016,8500
Mueller Water ProductsCOMMON STOCK62475810829228,064SH DFND 028,0640
Murphy Oil CorporationCOMMON STOCK6267171021,220136,765SH DFND 0136,7650
Myr Group Inc/delawareCOMMON STOCK55405W10441311,118SH DFND 011,1180
Myriad Genetics Inc.COMMON STOCK62855J10471054,467SH DFND 054,4670
Nasdaq IncCOMMON STOCK6311031082,46520,088SH DFND 020,0880
National General HldgsCOMMON STOCK63622030331,849943,666SH DFND 0943,6660
National Oilwell Varco IncCOMMON STOCK6370711011,899209,581SH DFND 0209,5810
National Presto Industries IncorporatedCOMMON STOCK6372151043284,007SH DFND 04,0070
Natus Medical IncCOMMON STOCK63905010336621,386SH DFND 021,3860
Navient CorpCOMMON STOCK63938C1081,139134,802SH DFND 0134,8020
NBT Bancorp IncorporatedCOMMON STOCK62877810286232,136SH DFND 032,1360
Nektar TherapeuticsCOMMON STOCK6402681081,675100,972SH DFND 0100,9720
Neogen CorpCOMMON STOCK6404911061,53619,628SH DFND 019,6280
NetEase Inc - ADRCOMMON STOCK64110W1026621,456SH DFND 01,4560
NetFlix Inc.COMMON STOCK64110L1066491,298SH DFND 01,2980
Netgear IncCOMMON STOCK64111Q10474224,091SH DFND 024,0910
Netscout Systems IncCOMMON STOCK64115T10454324,886SH DFND 024,8860
Neurocrine Biosciences IncorporatedCOMMON STOCK64125C1093,72638,752SH DFND 038,7520
Nevro CorpCOMMON STOCK64157F1032081,491SH DFND 01,4910
New Gold IncCOMMON STOCK6445351063721,958SH DFND 021,9580
New Jersey Res CorpCOMMON STOCK6460251061,25746,519SH DFND 046,5190
New Relic IncCOMMON STOCK64829B10081114,391SH DFND 014,3910
New York Community BancorpCOMMON STOCK6494451031,235149,395SH DFND 0149,3950
NIKE IncCOMMON STOCK6541061033,71229,566SH DFND 029,5660
NiSource IncCOMMON STOCK65473P10529213,252SH DFND 013,2520
Nokia Corp-spon ADRCOMMON STOCK6549022043,9231,003,411SH DFND 01,003,4110
Nordic American Tanker LtdCOMMON STOCKG65773106603172,800SH DFND 0172,8000
Nordson CorpCOMMON STOCK6556631023,14216,379SH DFND 016,3790
Nordstrom IncCOMMON STOCK6556641001,545129,618SH DFND 0129,6180
Northfield Bancorp Inc/njCOMMON STOCK66611T10827129,754SH DFND 029,7540
Northrop Grumman CorpCOMMON STOCK6668071024,03412,785SH DFND 012,7850
Northwestern CorpCOMMON STOCK6680743052,58953,225SH DFND 053,2250
NRG EnergyCOMMON STOCK6293775083,315107,840SH DFND 0107,8400
Nu Skin Enterprises Inc. - ACOMMON STOCK67018T1054458,880SH DFND 08,8800
NuVasive IncCOMMON STOCK6707041052,04442,078SH DFND 042,0780
Nvidia CorporationCOMMON STOCK67066G1042,6024,807SH DFND 04,8070
NVR IncCOMMON STOCK62944T105559137SH DFND 01370
Nxp Semiconductors NvCOMMON STOCKN6596X1091,0118,097SH DFND 08,0970
O Reilly Automotive IncCOMMON STOCK67103H1071,1552,506SH DFND 02,5060
Oasis Petroleum IncCOMMON STOCK6742151082383,120SH DFND 083,1200
Occidental Petroleum CorpCOMMON STOCK6745991052,070206,829SH DFND 0206,8290
Oceaneering Intl IncCOMMON STOCK67523210221059,525SH DFND 059,5250
OFG BancorpCOMMON STOCK67103X10215512,425SH DFND 012,4250
OGE Energy CorporationCOMMON STOCK6708371031,23941,302SH DFND 041,3020
OIL STS INTL INCCOMMON STOCK678026105416152,403SH DFND 0152,4030
Old Dominion Freight Line Inc.COMMON STOCK6795801002,88615,953SH DFND 015,9530
Old Natl BancorpCOMMON STOCK68003310736929,388SH DFND 029,3880
Old Rep Intl CorpCOMMON STOCK6802231042,871194,751SH DFND 0194,7510
Olin CorpCOMMON STOCK6806652051,901153,551SH DFND 0153,5510
Ollie's Bargain Outlet HoldiCOMMON STOCK6811161092,40827,565SH DFND 027,5650
Omeros CorpCOMMON STOCK68214310227327,061SH DFND 027,0610
Omnicom GroupCOMMON STOCK6819191061,43528,989SH DFND 028,9890
On Deck Capital IncCOMMON STOCK6821631001,071669,295SH DFND 0669,2950
Opko Health IncCOMMON STOCK68375N10329780,612SH DFND 080,6120
Oracle CorporationCOMMON STOCK68389X1054,09668,607SH DFND 068,6070
Outfront Media IncCOMMON STOCK69007J10652536,067SH DFND 036,0670
Owens Corning IncCOMMON STOCK6907421014917,136SH DFND 07,1360
Oxford Inds IncCOMMON STOCK69149730968016,860SH DFND 016,8600
PACCAR Inc.COMMON STOCK6937181082,85033,423SH DFND 033,4230
Pacific Gas & Elec CoCOMMON STOCK69331C10816,3561,741,819SH DFND 01,741,8190
Pacific Gas & Elec CoCOMMON STOCK69331C10811,2681,200,000SHPutDFND 01,200,0000
Palo Alto Networks IncCOMMON STOCK6974351053,46814,171SH DFND 014,1710
Papa John's International IncorporatedCOMMON STOCK6988131021,31615,990SH DFND 015,9900
Parker-Hannifin CorporationCOMMON STOCK7010941042,46612,189SH DFND 012,1890
Patrick Industries Inc.COMMON STOCK70334310379913,892SH DFND 013,8920
Paypal Holdings IncCOMMON STOCK70450Y1036,43032,633SH DFND 032,6330
Pbf Energy IncCOMMON STOCK69318G1061,752307,958SH DFND 0307,9580
PDL BioPharma IncCOMMON STOCK69329Y1046219,830SH DFND 019,8300
Peabody Energy CorpCOMMON STOCK704551100507220,300SH DFND 0220,3000
Pegasystems Inc.COMMON STOCK7055731038246,806SH DFND 06,8060
Penn National Gaming IncCOMMON STOCK7075691091,30317,929SH DFND 017,9290
Pennymac Mortgage InvestmentCOMMON STOCK70931T1031,716106,800SH DFND 0106,8000
Pentair PLCCOMMON STOCKG7S00T1041,82539,864SH DFND 039,8640
Penumbra IncCOMMON STOCK70975L1071,6078,265SH DFND 08,2650
People's United Financial Inc(Bridgeport CT)COMMON STOCK7127041051,447140,327SH DFND 0140,3270
Pepsico IncorporatedCOMMON STOCK7134481082,84520,528SH DFND 020,5280
Perficient IncCOMMON STOCK71375U10178618,392SH DFND 018,3920
Perkinelmer IncorporatedCOMMON STOCK7140461093973,161SH DFND 03,1610
Perrigo Co PlcCOMMON STOCKG978221032,09845,701SH DFND 045,7010
Petroleo Brasileiro S.A - ADRCOMMON STOCK71654V10110915,548SH DFND 015,5480
Pfizer IncorporatedCOMMON STOCK7170811033,16486,203SH DFND 086,2030
Phillips 66COMMON STOCK7185461042,16541,758SH DFND 041,7580
Phototronics Inc.COMMON STOCK71940510292392,625SH DFND 092,6250
Pinnacle West Capital CorporationCOMMON STOCK7234841011,74023,346SH DFND 023,3460
Pitney Bowes IncorporatedCOMMON STOCK72447910050995,868SH DFND 095,8680
Pjt Partners Inc - ACOMMON STOCK69343T10710,033165,536SH DFND 0165,5360
Plantronics IncCOMMON STOCK7274931082,154181,906SH DFND 0181,9060
Plexus Corp.COMMON STOCK7291321005537,831SH DFND 07,8310
PNM Resources IncCOMMON STOCK69349H1071,00124,217SH DFND 024,2170
Portland General Electric CoCOMMON STOCK7365088471,48741,874SH DFND 041,8740
Post Holdings IncCOMMON STOCK7374461044,22649,134SH DFND 049,1340
Power Integrations IncCOMMON STOCK7392761031,05619,068SH DFND 019,0680
PRA Group IncCOMMON STOCK69354N1062676,689SH DFND 06,6890
Price (T. Rowe) Associates Inc.COMMON STOCK74144T1085,52243,064SH DFND 043,0640
Primerica IncCOMMON STOCK74164M1081,43212,656SH DFND 012,6560
Progress Software CorporationCOMMON STOCK7433121003329,047SH DFND 09,0470
Progressive CorporationCOMMON STOCK7433151031,69817,932SH DFND 017,9320
Proofpoint IncCOMMON STOCK7434241032982,821SH DFND 02,8210
Prosperity Bancshares IncCOMMON STOCK7436061051,22023,547SH DFND 023,5470
Prothena Corp PlcCOMMON STOCKG7280010814614,653SH DFND 014,6530
Prudential Financial Inc.COMMON STOCK7443201022263,559SH DFND 03,5590
PVH CorpCOMMON STOCK6936561001,46324,536SH DFND 024,5360
Qorvo IncCOMMON STOCK74736K1011,2569,735SH DFND 09,7350
Qts Realty Trust Inc-cl ACOMMON STOCK74736A1032,07432,912SH DFND 032,9120
Quaker Chemical CorporationCOMMON STOCK7473161075372,990SH DFND 02,9900
Qualcomm IncorporatedCOMMON STOCK7475251032,20618,743SH DFND 018,7430
Quest Diagnostics IncorporatedCOMMON STOCK74834L1001,0258,954SH DFND 08,9540
Radian Group Inc.COMMON STOCK75023610154937,594SH DFND 037,5940
Range Resources CorporationCOMMON STOCK75281A1091,404212,136SH DFND 0212,1360
Rapid7 IncCOMMON STOCK7534221042954,809SH DFND 04,8090
Raven Industries IncorporatedCOMMON STOCK75421210844520,689SH DFND 020,6890
Re/max Holdings Inc-cl ACOMMON STOCK75524W1082437,415SH DFND 07,4150
Realogy Holdings CorpCOMMON STOCK75605Y10658762,187SH DFND 062,1870
Realpage IncCOMMON STOCK75606N1093055,288SH DFND 05,2880
Reliance Steel & Aluminum CompanyCOMMON STOCK7595091028708,525SH DFND 08,5250
Renaissance Re Holdings LimitedCOMMON STOCKG7496G1031,4988,828SH DFND 08,8280
ResMed IncorporatedCOMMON STOCK7611521074282,498SH DFND 02,4980
Restaurant Brands International IncCOMMON STOCK76131D1031,06718,561SH DFND 018,5610
Retrophin IncCOMMON STOCK76129910624313,138SH DFND 013,1380
REX American Resources CorpCOMMON STOCK7616241053094,716SH DFND 04,7160
Rexnord CorpCOMMON STOCK76169B10267922,745SH DFND 022,7450
Ringcentral Inc-class ACOMMON STOCK76680R2061,9577,126SH DFND 07,1260
RLI CorporationCOMMON STOCK7496071074895,844SH DFND 05,8440
Robert Half International IncorporatedCOMMON STOCK77032310369713,164SH DFND 013,1640
Rogers CorporationCOMMON STOCK7751331011,62316,556SH DFND 016,5560
Ross Stores IncorporatedCOMMON STOCK7782961032,67128,625SH DFND 028,6250
Royal Caribbean Cruises LimitedCOMMON STOCKV7780T1032293,534SH DFND 03,5340
Royal Gold IncorporatedCOMMON STOCK7802871081,56313,010SH DFND 013,0100
RPC IncorporatedCOMMON STOCK7496601069134,436SH DFND 034,4360
RPM International Inc.COMMON STOCK7496851031,01012,190SH DFND 012,1900
Rush Enterprises Inc - CL ACOMMON STOCK7818462094138,166SH DFND 08,1660
Ryman Hospitality PropertiesCOMMON STOCK78377T10752714,321SH DFND 014,3210
S & T Bancorp IncorporatedCOMMON STOCK78385910146726,400SH DFND 026,4000
Sabra Health Care REIT IncCOMMON STOCK78573L1061,17885,485SH DFND 085,4850
Saia IncCOMMON STOCK78709Y1051,28110,153SH DFND 010,1530
Salesforce.comCOMMON STOCK79466L3021,1984,768SH DFND 04,7680
Sally Beauty Co IncCOMMON STOCK79546E10474285,331SH DFND 085,3310
SBA Communications CorpCOMMON STOCK78410G104252792SH DFND 07920
Scotts Miracle-Gro CompanyCOMMON STOCK8101861063,82124,988SH DFND 024,9880
Sealed Air CorporationCOMMON STOCK81211K1001,43636,992SH DFND 036,9920
SEI Investments CompanyCOMMON STOCK7841171032,28044,948SH DFND 044,9480
Select Medical Holdings CorpCOMMON STOCK81619Q10550424,206SH DFND 024,2060
Selective Insurance Group IncorporatedCOMMON STOCK8163001074749,202SH DFND 09,2020
Sempra EnergyCOMMON STOCK8168511091,47512,459SH DFND 012,4590
Service Corporation InternationalCOMMON STOCK8175651045,055119,843SH DFND 0119,8430
Servicenow IncCOMMON STOCK81762P1027,35615,168SH DFND 015,1680
Servicesource InternationalCOMMON STOCK81763U1004127,995SH DFND 027,9950
Sherwin-Williams CompanyCOMMON STOCK8243481064,7756,853SH DFND 06,8530
SIGA Technologies IncorporatedCOMMON STOCK82691710651174,436SH DFND 074,4360
Signature Bank/New York NYCOMMON STOCK82669G1041,90822,992SH DFND 022,9920
Silicon Laboratories IncCOMMON STOCK8269191027807,969SH DFND 07,9690
Simmons First National Corporation -CL ACOMMON STOCK82873020025916,323SH DFND 016,3230
Sinclair Broadcast Group - ACOMMON STOCK82922610988245,845SH DFND 045,8450
Sirius XM Holdings IncCOMMON STOCK82968B1032,336435,761SH DFND 0435,7610
Six Flags Entertainment CorpCOMMON STOCK83001A10237918,678SH DFND 018,6780
Skechers Usa Inc -Cl ACOMMON STOCK8305661052387,891SH DFND 07,8910
SM Energy CoCOMMON STOCK78454L1002616,489SH DFND 016,4890
Snap-on IncorporatedCOMMON STOCK8330341017835,322SH DFND 05,3220
Sonic Automotive IncorporatedCOMMON STOCK83545G1022596,446SH DFND 06,4460
Sonoco Products CompanyCOMMON STOCK8354951022043,997SH DFND 03,9970
South Jersey Industries IncorporatedCOMMON STOCK83851810886644,944SH DFND 044,9440
Southwestern Energy CompanyCOMMON STOCK845467109610259,468SH DFND 0259,4680
SpartanNash CoCOMMON STOCK84721510032319,735SH DFND 019,7350
SPDR S&P 500 ETF TrustCOMMON STOCK78462F1031,7325,171SH DFND 05,1710
Spectrum Brands Holdings IncCOMMON STOCK84790A1051,32323,154SH DFND 023,1540
Spirit Airlines IncCOMMON STOCK8485771021,46891,161SH DFND 091,1610
Spirit Realty Capital IncCOMMON STOCK84860W30066319,651SH DFND 019,6510
Splunk IncCOMMON STOCK8486371041,7059,062SH DFND 09,0620
Sportsman's Warehouse HoldinCOMMON STOCK84920Y10640128,027SH DFND 028,0270
Spx Flow IncCOMMON STOCK78469X10774417,379SH DFND 017,3790
SS&C Technologies HoldingsCOMMON STOCK78467J1004747,825SH DFND 07,8250
Stag Industrial IncCOMMON STOCK85254J10248415,887SH DFND 015,8870
Standard Motor Products IncorporatedCOMMON STOCK8536661052084,652SH DFND 04,6520
Starbucks CorporationCOMMON STOCK8552441092,87433,446SH DFND 033,4460
State Street CorporationCOMMON STOCK8574771034,73679,830SH DFND 079,8300
Steelcase Incorporated - CL ACOMMON STOCK85815520313913,773SH DFND 013,7730
Steven Madden LimitedCOMMON STOCK5562691082,291117,504SH DFND 0117,5040
Store Capital CorpCOMMON STOCK8621211003,296120,170SH DFND 0120,1700
Stratasys LtdCOMMON STOCKM855481011,360109,068SH DFND 0109,0680
Sturm Ruger & Company IncorporatedCOMMON STOCK8641591085308,659SH DFND 08,6590
Summit Materials Inc -cl ACOMMON STOCK86614U1001,987120,123SH DFND 0120,1230
Sun Communities IncCOMMON STOCK8666741045353,806SH DFND 03,8060
Suncoke Energy IncCOMMON STOCK86722A103401117,232SH DFND 0117,2320
Sunpower Corp - Class ACOMMON STOCK86765240659047,179SH DFND 047,1790
Sunrun IncCOMMON STOCK86771W1055597,249SH DFND 07,2490
Superior Industries International Inc.COMMON STOCK8681681054233,208SH DFND 033,2080
Surmodics IncCOMMON STOCK86887310080720,735SH DFND 020,7350
Synaptics IncCOMMON STOCK87157D1097249,002SH DFND 09,0020
SYNNEX CORPCOMMON STOCK87162W1008766,253SH DFND 06,2530
SYSCO CorporationCOMMON STOCK8718291071,56425,134SH DFND 025,1340
Taiwan Semiconductor Co. Ltd. - ADRCOMMON STOCK8740391003,29540,642SH DFND 040,6420
Take - Two Interactive SoftwareCOMMON STOCK8740541093,25419,694SH DFND 019,6940
Targa Resources Corp.COMMON STOCK87612G1012,231159,001SH DFND 0159,0010
Target CorporationCOMMON STOCK87612E1063,75123,830SH DFND 023,8300
Taubman Centers Inc.COMMON STOCK8766641037,302219,360SH DFND 0219,3600
Taubman Centers Inc.COMMON STOCK8766641038,323250,000SHPutDFND 0250,0000
Taylor Morrison Home Corp-aCOMMON STOCK87724P1061,65467,251SH DFND 067,2510
Teledyne Tech Inc.COMMON STOCK8793601052,5638,261SH DFND 08,2610
Teleflex Inc.COMMON STOCK8793691064,44813,065SH DFND 013,0650
Telephone and Data Systems IncorporatedCOMMON STOCK87943382981744,295SH DFND 044,2950
Tempur Sealy International IncCOMMON STOCK88023U1012933,290SH DFND 03,2900
Tenet Healthcare CorporationCOMMON STOCK88033G40743717,846SH DFND 017,8460
Tennant CompanyCOMMON STOCK8803451033595,948SH DFND 05,9480
Teradata CorpCOMMON STOCK88076W10323810,496SH DFND 010,4960
Teradyne IncCOMMON STOCK8807701025,22965,809SH DFND 065,8090
Terex Corp.COMMON STOCK88077910321811,252SH DFND 011,2520
Tetra Tech IncorporatedCOMMON STOCK88162G1037938,299SH DFND 08,2990
Teva Pharmaceutical Ind. Sponsored - ADRCOMMON STOCK8816242099210,174SH DFND 010,1740
Texas Instruments IncorporatedCOMMON STOCK8825081042241,568SH DFND 01,5680
Textainer Group Holdings LtdCOMMON STOCKG8766E10925217,770SH DFND 017,7700
The Brinks CompanyCOMMON STOCK1096961043197,765SH DFND 07,7650
The Ensign Group IncCOMMON STOCK29358P10160210,548SH DFND 010,5480
Thermo Fisher Scientific IncCOMMON STOCK8835561022,0254,586SH DFND 04,5860
Thermon Group Holdings IncCOMMON STOCK88362T10312411,080SH DFND 011,0800
Third Point Reinsurance LtdCOMMON STOCKG8827U10065293,800SH DFND 093,8000
Thor Industries Inc.COMMON STOCK8851601018589,002SH DFND 09,0020
TIFFANY & CO NEWCOMMON STOCK8865471088427,266SH DFND 07,2660
TJX Companies Inc.COMMON STOCK8725401096,576118,165SH DFND 0118,1650
Tootsie Roll Industries IncorporatedCOMMON STOCK8905161071,79358,010SH DFND 058,0100
Tractor Supply CoCOMMON STOCK8923561061,53310,692SH DFND 010,6920
Transocean LtdCOMMON STOCKH8817H100242300,000SH DFND 0300,0000
TransUnionCOMMON STOCK89400J1073,34839,795SH DFND 039,7950
Travelers Cos IncCOMMON STOCK89417E1092,60724,098SH DFND 024,0980
TreeHouse FoodCOMMON STOCK89469A1043618,915SH DFND 08,9150
TRI Pointe Group IncCOMMON STOCK87265H1092,058113,436SH DFND 0113,4360
Trinity Industries Inc.COMMON STOCK8965221093,306169,547SH DFND 0169,5470
TripAdvisor IncCOMMON STOCK89694520173137,309SH DFND 037,3090
TrustCo Bank Corp NYCOMMON STOCK89834910511021,039SH DFND 021,0390
Trustmark CorporationCOMMON STOCK89840210223911,172SH DFND 011,1720
Tupperware Brands CorpCOMMON STOCK89989610423111,467SH DFND 011,4670
Turquoise Hill Resources LtdCOMMON STOCK9004352079871,170,396SH DFND 01,170,3960
Twitter IncCOMMON STOCK90184L1021,52534,268SH DFND 034,2680
UDR IncCOMMON STOCK9026531045,957182,687SH DFND 0182,6870
Ultra Clean HoldingsCOMMON STOCK90385V10766230,829SH DFND 030,8290
Ultragenyx Pharmaceutical InCOMMON STOCK90400D1081,31415,985SH DFND 015,9850
UMB Financial Corp.COMMON STOCK9027881083186,493SH DFND 06,4930
Under Armour IncCOMMON STOCK9043111071,586141,253SH DFND 0141,2530
Unifirst Corp STKCOMMON STOCK9047081041,2666,683SH DFND 06,6830
Union Pacific CorporationCOMMON STOCK9078181081,0915,543SH DFND 05,5430
United Bankshares Inc W VACOMMON STOCK9099071071,13953,040SH DFND 053,0400
United Insurance Holdings CoCOMMON STOCK9107101026811,178SH DFND 011,1780
United Natural Foods IncCOMMON STOCK91116310327218,261SH DFND 018,2610
United Parcel ServiceCOMMON STOCK9113121063,75522,534SH DFND 022,5340
Urban Edge PropertiesCOMMON STOCK91704F10444045,245SH DFND 045,2450
Urban Outfitters Inc.COMMON STOCK9170471021,38866,700SH DFND 066,7000
Us Concrete IncCOMMON STOCK90333L20155519,105SH DFND 019,1050
USANA Health Sciences IncCOMMON STOCK90328M1071,55421,094SH DFND 021,0940
Valero Energy CorporationCOMMON STOCK91913Y1004,396101,483SH DFND 0101,4830
Valley National BancorpCOMMON STOCK9197941071,376200,905SH DFND 0200,9050
VALMONT INDS INCCOMMON STOCK9202531016675,369SH DFND 05,3690
Vanda Pharmaceuticals IncCOMMON STOCK92165910831732,779SH DFND 032,7790
Varian Medical Systems Inc.COMMON STOCK92220P1051,93311,239SH DFND 011,2390
Varonis Systems IncCOMMON STOCK9222801025674,916SH DFND 04,9160
Veeco Instruments Inc.COMMON STOCK92241710056047,986SH DFND 047,9860
Veeva Systems Inc-class ACOMMON STOCK9224751082,0397,253SH DFND 07,2530
VERINT SYS INCCOMMON STOCK92343X1001,49330,998SH DFND 030,9980
Verisk Analytics Inc-class ACOMMON STOCK92345Y1062531,363SH DFND 01,3630
Vertex Pharmaceuticals Inc.COMMON STOCK92532F1001,5525,703SH DFND 05,7030
VF CorporationCOMMON STOCK9182041081,58122,510SH DFND 022,5100
Vipshop Holdings LtdCOMMON STOCK92763W10323014,706SH DFND 014,7060
Virtu Financial Inc-class ACOMMON STOCK92825410193440,575SH DFND 040,5750
Visa Inc - Class A SharesCOMMON STOCK92826C8397,62138,110SH DFND 038,1100
Vishay Intertechnology Inc.COMMON STOCK9282981082,268145,660SH DFND 0145,6600
Vista Outdoor IncCOMMON STOCK92837710027613,674SH DFND 013,6740
Vmware Inc-class ACOMMON STOCK9285634024,59431,974SH DFND 031,9740
Vodafone Group Plc SPCOMMON STOCK92857W30869851,993SH DFND 051,9930
Vonage HoldingsCOMMON STOCK92886T20183881,921SH DFND 081,9210
W.R. Berkley CorporationCOMMON STOCK08442310288614,494SH DFND 014,4940
Wabash National CorporationCOMMON STOCK9295661071,01684,954SH DFND 084,9540
Wabtec CorporationCOMMON STOCK9297401083,13550,658SH DFND 050,6580
Walgreens Boots Alliance IncCOMMON STOCK9314271082687,453SH DFND 07,4530
Washington Federal IncorporatedCOMMON STOCK9388241091,72282,565SH DFND 082,5650
Waste Management Inc.COMMON STOCK94106L1097726,825SH DFND 06,8250
Watsco IncorporatedCOMMON STOCK9426222002,0018,593SH DFND 08,5930
Wayfair Inc- Class ACOMMON STOCK94419L1014341,490SH DFND 01,4900
Weingarten Realty InvestorsCOMMON STOCK9487411032,712159,935SH DFND 0159,9350
Weis Markets IncorporatedCOMMON STOCK9488491043557,399SH DFND 07,3990
Wells Fargo CompanyCOMMON STOCK9497461011,70472,473SH DFND 072,4730
WESCO InternationalCOMMON STOCK95082P1051,12125,477SH DFND 025,4770
West Pharmaceutical Services IncorporateCOMMON STOCK9553061051,4075,117SH DFND 05,1170
Western Alliance BancorpCOMMON STOCK9576381093119,849SH DFND 09,8490
Western Digital CorporationCOMMON STOCK95810210567218,374SH DFND 018,3740
Western Union CompanyCOMMON STOCK9598021091,09951,284SH DFND 051,2840
Whiting Petroleum CorpCOMMON STOCK9663875081,39480,627SH DFND 080,6270
Wiley (john) & Sons -cl ACOMMON STOCK96822320637511,823SH DFND 011,8230
Williams-Sonoma IncCOMMON STOCK9699041013,03833,587SH DFND 033,5870
Winnebago Industries Inc.COMMON STOCK9746371002254,348SH DFND 04,3480
Wisdomtree Investments IncCOMMON STOCK97717P1046419,889SH DFND 019,8890
Wix.com LtdCOMMON STOCKM980681053,79014,873SH DFND 014,8730
Workday Inc-class ACOMMON STOCK98138H1012,36010,968SH DFND 010,9680
World Acceptance CorporationCOMMON STOCK9814191043903,699SH DFND 03,6990
World Fuel Services CorporationCOMMON STOCK9814751061,33362,905SH DFND 062,9050
Wynn Resorts LtdCOMMON STOCK9831341071,64122,857SH DFND 022,8570
XPO Logistics IncCOMMON STOCK9837931002,09124,695SH DFND 024,6950
Yelp IncCOMMON STOCK98581710586342,937SH DFND 042,9370
YRC Worldwide IncCOMMON STOCK9842496074411,153SH DFND 011,1530
Yum! Brands IncCOMMON STOCK9884981013,84742,141SH DFND 042,1410
Zendesk IncCOMMON STOCK98936J1012,55124,784SH DFND 024,7840
Zillow Group Inc - CCOMMON STOCK98954M2001,05410,375SH DFND 010,3750
Ziopharm Oncology IncCOMMON STOCK98973P101866343,526SH DFND 0343,5260
Zoetis IncCOMMON STOCK98978V1031,4048,489SH DFND 08,4890
Zogenix IncCOMMON STOCK98978L2041,04758,371SH DFND 058,3710
Zynga IncCOMMON STOCK98986T1081,324145,206SH DFND 0145,2060
Capstead Mortgage CorporationCOMMON STOCK14067E50633058,767SH DFND 058,7670
Cavco Industries IncCOMMON STOCK1495681077394,098SH DFND 04,0980
Chemours Co/theCOMMON STOCK16385110871834,359SH DFND 034,3590
Cooper-standard HoldingCOMMON STOCK21676P10316312,349SH DFND 012,3490
Cross Country Healthcare Inc.COMMON STOCK2274831049714,957SH DFND 014,9570
DENTSPLY SIRONA IncCOMMON STOCK24906P1091,02523,431SH DFND 023,4310
ESCO Technologies Inc.COMMON STOCK29631510499712,372SH DFND 012,3720
Eagle Bancorp IncCOMMON STOCK26894810643216,133SH DFND 016,1330
Etsy IncCOMMON STOCK29786A1063,04225,011SH DFND 025,0110
Gcp Applied TechnologiesCOMMON STOCK36164Y10195945,754SH DFND 045,7540
Hercules Capital IncCOMMON STOCK42709650831627,304SH DFND 027,3040
Natera IncCOMMON STOCK6323071041,57421,786SH DFND 021,7860
Redwood Trust IncCOMMON STOCK75807540221829,032SH DFND 029,0320
S&P Global IncCOMMON STOCK78409V1041,9435,387SH DFND 05,3870
Spire IncCOMMON STOCK84857L1012,09439,359SH DFND 039,3590
Wingstop IncCOMMON STOCK9741551033,23023,639SH DFND 023,6390
Aimmune Therapeutics IncCOMMON STOCK00900T10734,088989,506SH DFND 0989,5060
Alphabet Inc. - C SharesCOMMON STOCK02079K1073,7802,572SH DFND 02,5720
Charter Communications IncCOMMON STOCK16119P1084,4657,152SH DFND 07,1520
Chubb LtdCOMMON STOCKH1467J1044183,598SH DFND 03,5980
Four Corners Property TrustCOMMON STOCK35086T10929011,314SH DFND 011,3140
Glycomimetics IncCOMMON STOCK38000Q1025116,535SH DFND 016,5350
Herc Holdings IncCOMMON STOCK42704L1043729,386SH DFND 09,3860
Hj Heinz Holding CorpCOMMON STOCK5007541062528,398SH DFND 08,3980
Immunogen IncorporatedCOMMON STOCK45253H101999277,460SH DFND 0277,4600
Integer Holdings CorpCOMMON STOCK45826H1091,61927,435SH DFND 027,4350
Ionis Pharmaceuticals IncCOMMON STOCK4622221002,11844,644SH DFND 044,6440
MACOM Technology Solutions Holdings IncCOMMON STOCK55405Y1001,06831,402SH DFND 031,4020
Match Group IncCOMMON STOCK57667L1074,59541,523SH DFND 041,5230
National Storage AffiliatesCOMMON STOCK6378701066,224190,291SH DFND 0190,2910
SPDR Dow Jones Industrial Average ETF TrustCOMMON STOCK78467X109228820SH DFND 08200
SPDR Gold SharesCOMMON STOCK78463V1071,1416,444SH DFND 06,4440
Shenandoah Telecom CoCOMMON STOCK82312B10676017,098SH DFND 017,0980
A10 Networks IncCOMMON STOCK00212110158291,296SH DFND 091,2960
Ashland Global Holdings IncCOMMON STOCK0441861043,05043,000SH DFND 043,0000
BMC Stock Holdings IncCOMMON STOCK05591B10948911,415SH DFND 011,4150
Coty Inc-cl ACOMMON STOCK2220702031,118414,219SH DFND 0414,2190
FirstCash IncCOMMON STOCK33767D1054557,951SH DFND 07,9510
Globus Medical Inc - A USCOMMON STOCK3795772084178,414SH DFND 08,4140
Gtt Communications IncCOMMON STOCK3623931008616,717SH DFND 016,7170
Leidos Holdings Inc USDCOMMON STOCK5253271022042,283SH DFND 02,2830
Liberty SiriusXM Group - CCOMMON STOCK53122960716,209490,000SH DFND 0490,0000
Life Storage IncCOMMON STOCK53223X1077,62172,398SH DFND 072,3980
Mastercard IncCOMMON STOCK57636Q1046091,800SH DFND 01,8000
Medpace Holdings IncCOMMON STOCK58506Q1095384,814SH DFND 04,8140
Mgm Growth Properties Llc-aCOMMON STOCK55303A1053,078110,012SH DFND 0110,0120
Mimecast LtdCOMMON STOCKG148381091,33528,446SH DFND 028,4460
Nutanix Inc - ACOMMON STOCK67059N10852323,565SH DFND 023,5650
Par Pacific Holdings IncCOMMON STOCK69888T20742162,152SH DFND 062,1520
Red Rock Resorts Inc-class ACOMMON STOCK75700L1082,307134,918SH DFND 0134,9180
Safety Insurance Group IncCOMMON STOCK78648T1005187,501SH DFND 07,5010
Sterling Bancorp/DECOMMON STOCK85917A10040538,464SH DFND 038,4640
Tal Education Group- AdrCOMMON STOCK8740801047289,579SH DFND 09,5790
United Fire Group IncCOMMON STOCK91034010830114,824SH DFND 014,8240
Washington Prime Group IncCOMMON STOCK93964W10869105,897SH DFND 0105,8970
Westamerica BancorporationCOMMON STOCK95709010398118,054SH DFND 018,0540
Adient PlcCOMMON STOCKG0084W10172641,869SH DFND 041,8690
Conagra Brands IncCOMMON STOCK2058871022,83479,358SH DFND 079,3580
CoreCivic IncCOMMON STOCK21871N10168285,304SH DFND 085,3040
Hilton Grand VacationsCOMMON STOCK43283X1052,963141,207SH DFND 0141,2070
ITT INCCOMMON STOCK45073V1082,86648,538SH DFND 048,5380
LCI IndustriesCOMMON STOCK50189K1033,21030,201SH DFND 030,2010
Ladder Capital Corp-class ACOMMON STOCK50574310414520,306SH DFND 020,3060
SJW GroupCOMMON STOCK7843051043165,195SH DFND 05,1950
Sangamo Therapeutics IncCOMMON STOCK80067710689594,667SH DFND 094,6670
Southside Bancshares IncCOMMON STOCK84470P10945418,574SH DFND 018,5740
Surgery Partners IncCOMMON STOCK86881A10035416,158SH DFND 016,1580
TechnipFMC PLC - USCOMMON STOCKG871101051,576249,705SH DFND 0249,7050
Terreno Realty CorpCOMMON STOCK88146M1013,98072,672SH DFND 072,6720
Tesla IncCOMMON STOCK88160R1013,1407,319SH DFND 07,3190
Tivity Health IncCOMMON STOCK88870R10270950,593SH DFND 050,5930
Us Foods Holding CorpCOMMON STOCK91200810978135,162SH DFND 035,1620
VIASAT INCCOMMON STOCK92552V10081723,765SH DFND 023,7650
White Mountain Insurance Group IncorporatedCOMMON STOCKG9618E107730937SH DFND 09370
Alteryx Llc - ACOMMON STOCK02156B1031,55013,653SH DFND 013,6530
Apartment Investment & Management Co.- ACOMMON STOCK03748R7545,763170,901SH DFND 0170,9010
Berry Global Group IncCOMMON STOCK08579W10357911,982SH DFND 011,9820
HCA Healthcare IncCOMMON STOCK40412C1011,56812,575SH DFND 012,5750
Jeld-wen Holding IncCOMMON STOCK47580P10390339,945SH DFND 039,9450
Nexstar Media Group IncCOMMON STOCK65336K1034605,120SH DFND 05,1200
Propetro Holding CorpCOMMON STOCK74347M10827868,437SH DFND 068,4370
Urstadt Biddle Properties-CL ACOMMON STOCK91728620568974,854SH DFND 074,8540
Adtalem Global Education IncCOMMON STOCK00737L10326610,855SH DFND 010,8550
Altice Usa Inc- ACOMMON STOCK02156K10347418,232SH DFND 018,2320
Athenex IncCOMMON STOCK04685N10326722,051SH DFND 022,0510
Columbus McKinnon Corp.COMMON STOCK1993331052286,894SH DFND 06,8940
Donnelley Financial SoluCOMMON STOCK25787G10039329,439SH DFND 029,4390
Enova International IncCOMMON STOCK29357K10369742,555SH DFND 042,5550
Epizyme IncCOMMON STOCK29428V10474061,994SH DFND 061,9940
Genmark Diagnostics IncCOMMON STOCK37230910465546,110SH DFND 046,1100
Gms IncCOMMON STOCK36251C1032239,273SH DFND 09,2730
Highwoods Properties IncCOMMON STOCK4312841082,49374,268SH DFND 074,2680
Invitation Homes IncCOMMON STOCK46187W1072539,056SH DFND 09,0560
Jabil IncCOMMON STOCK4663131031,26236,846SH DFND 036,8460
Okta IncCOMMON STOCK6792951054,20319,652SH DFND 019,6520
Piedmont Office Realty Tru-aCOMMON STOCK7201902061,901140,071SH DFND 0140,0710
Under Armour Inc-class CCOMMON STOCK90431120639339,980SH DFND 039,9800
Welbilt IncCOMMON STOCK94909010425040,590SH DFND 040,5900
Willis Towers Watson PLCCOMMON STOCKG966291033771,807SH DFND 01,8070
Acushnet Holdings CorpCOMMON STOCK00509810861618,336SH DFND 018,3360
Ascendis Pharma A/s - AdrCOMMON STOCK04351P1017254,700SH DFND 04,7000
Centennial Resource Develo-aCOMMON STOCK15136A1024473,216SH DFND 073,2160
Envestnet IncCOMMON STOCK29404K1061,26216,354SH DFND 016,3540
Farmer Brothers CompanyCOMMON STOCK3076751085211,875SH DFND 011,8750
Forterra IncCOMMON STOCK34960W10687273,743SH DFND 073,7430
Foundation Building MaterialCOMMON STOCK35039210661038,795SH DFND 038,7950
New Oriental Education & Technology - SP ADRCOMMON STOCK6475811071,0146,782SH DFND 06,7820
Tactile Systems Technology ICOMMON STOCK87357P10076320,846SH DFND 020,8460
Tapestry IncCOMMON STOCK8760301071,05067,195SH DFND 067,1950
Aclaris Therapeutics IncCOMMON STOCK00461U1055320,750SH DFND 020,7500
Bancorpsouth BankCOMMON STOCK05971J10246624,047SH DFND 024,0470
CNX Resources CorpCOMMON STOCK12653C1081,774187,924SH DFND 0187,9240
Entercom Comm CorpCOMMON STOCK2936391002113,123SH DFND 013,1230
Federal Realty Investors TrustCOMMON STOCK3137472061,05114,310SH DFND 014,3100
Franco-nevada CorpCOMMON STOCK3518581057235,179SH DFND 05,1790
Granite Point Mortgage TrustCOMMON STOCK38741L10716623,371SH DFND 023,3710
Mongodb IncCOMMON STOCK60937P1062,1739,386SH DFND 09,3860
Preferred Bank/Los Angeles CACOMMON STOCK7403674042828,777SH DFND 08,7770
Sailpoint Technologies HoldiCOMMON STOCK78781P1053188,047SH DFND 08,0470
Snap Inc - ACOMMON STOCK83304A1062,38291,242SH DFND 091,2420
Square Inc - ACOMMON STOCK8522341034,12325,367SH DFND 025,3670
Switch Inc - ACOMMON STOCK87105L10417211,028SH DFND 011,0280
The St Joe CompanyCOMMON STOCK79014810026913,055SH DFND 013,0550
At Home Group IncCOMMON STOCK04650Y1001,27485,729SH DFND 085,7290
Atrion CorporationCOMMON STOCK049904105213341SH DFND 03410
Booking Holdings IncCOMMON STOCK09857L1082,2551,318SH DFND 01,3180
Crispr Therapeutics AgCOMMON STOCKH171821085846,983SH DFND 06,9830
Discovery Inc - CCOMMON STOCK25470F30222011,242SH DFND 011,2420
Dropbox Inc-class ACOMMON STOCK26210C1042,075107,738SH DFND 0107,7380
Gates Industrial Corp PlcCOMMON STOCKG3910810811810,611SH DFND 010,6110
Gci Liberty Inc - Class ACOMMON STOCK36164V30571,309870,052SH DFND 0870,0520
Herbalife Nutrition LtdCOMMON STOCKG4412G1013,09666,371SH DFND 066,3710
Houlihan Lokey IncCOMMON STOCK44159310061310,374SH DFND 010,3740
Jbg Smith PropertiesCOMMON STOCK46590V1003,227120,683SH DFND 0120,6830
Ritchie Bros. Auctioneers IncorporatedCOMMON STOCK7677441052,62244,260SH DFND 044,2600
Roku IncCOMMON STOCK77543R1023,61019,119SH DFND 019,1190
Shopify Inc - ACOMMON STOCK82509L1075,3645,244SH DFND 05,2440
Trimble IncCOMMON STOCK89623910069414,256SH DFND 014,2560
Twilio Inc - ACOMMON STOCK90138F1025,58222,590SH DFND 022,5900
Vici Properties IncCOMMON STOCK92565210910,828463,325SH DFND 0463,3250
Walmart IncCOMMON STOCK9311421036,70547,926SH DFND 047,9260
Arbor Realty Trust IncCOMMON STOCK03892310827123,622SH DFND 023,6220
Autohome Inc-adrCOMMON STOCK05278C10798610,275SH DFND 010,2750
Cargurus IncCOMMON STOCK14178810963529,363SH DFND 029,3630
Cboe Global Markets IncCOMMON STOCK12503M1082,14024,392SH DFND 024,3920
Cnh Industrial NvCOMMON STOCKN209441091,339171,211SH DFND 0171,2110
Essential Properties RealtyCOMMON STOCK29670E10749727,135SH DFND 027,1350
Evergy IncCOMMON STOCK30034W1065029,875SH DFND 09,8750
Expedia Group IncCOMMON STOCK30212P3034264,647SH DFND 04,6470
Geopark LtdCOMMON STOCKG3832710536349,345SH DFND 049,3450
Greensky Inc-class ACOMMON STOCK39572G1007917,887SH DFND 017,8870
Hancock Whitney CorpCOMMON STOCK41012010972038,263SH DFND 038,2630
Invesco QQQ Trust Series 1COMMON STOCK46090E103213765SH DFND 07650
Magenta Therapeutics IncCOMMON STOCK55910K10820029,477SH DFND 029,4770
Nvent Electric PlcCOMMON STOCKG6700G1072,150121,559SH DFND 0121,5590
Optinose IncCOMMON STOCK68404V10031279,890SH DFND 079,8900
Qurate Retail IncCOMMON STOCK74915M1003,152439,029SH DFND 0439,0290
Solaredge Technologies IncCOMMON STOCK83417M1046942,913SH DFND 02,9130
Spok Holdings IncCOMMON STOCK84863T10612813,425SH DFND 013,4250
Stitch Fix Inc-class ACOMMON STOCK8608971073,422126,130SH DFND 0126,1300
Upland Software IncCOMMON STOCK91544A1091,12129,725SH DFND 029,7250
Vanguard Short-Term Corporate Bond ETFCOMMON STOCK92206C4092783,359SH DFND 03,3590
Wyndham Destinations IncCOMMON STOCK98310W1082,18370,963SH DFND 070,9630
Wyndham Hotels & Resorts IncCOMMON STOCK98311A1051,52530,189SH DFND 030,1890
Zuora IncCOMMON STOCK98983V10615214,710SH DFND 014,7100
Adobe IncCOMMON STOCK00724F1019,84720,078SH DFND 020,0780
Adt IncCOMMON STOCK00090Q1037,248887,117SH DFND 0887,1170
Avalara IncCOMMON STOCK05338G1062,63420,682SH DFND 020,6820
Avaya Holdings CorpCOMMON STOCK05351X10160940,075SH DFND 040,0750
Brightview Holdings IncCOMMON STOCK10948C1074,221370,298SH DFND 0370,2980
Cleveland-Cliffs IncCOMMON STOCK185899101691107,579SH DFND 0107,5790
Coupa Software IncCOMMON STOCK22266L1063,24011,814SH DFND 011,8140
Dine Brands Global IncCOMMON STOCK2544231061,04119,076SH DFND 019,0760
Farfetch Ltd-class ACOMMON STOCK30744W1073,545140,912SH DFND 0140,9120
Floor & Decor Holdings Inc-aCOMMON STOCK3397501011,51220,216SH DFND 020,2160
G1 Therapeutics IncCOMMON STOCK3621LQ10930926,732SH DFND 026,7320
Linde PlcCOMMON STOCKG5494J1039,31139,099SH DFND 039,0990
Nio Inc - AdrCOMMON STOCK62914V10625912,223SH DFND 012,2230
Site Centers CorpCOMMON STOCK82981J10957579,811SH DFND 079,8110
Syneos Health IncCOMMON STOCK87166B1021,89335,606SH DFND 035,6060
Wave Life Sciences Pte LtdCOMMON STOCKY9530810545853,967SH DFND 053,9670
Colliers International Group Inc - VTGCOMMON STOCK1946931073715,567SH DFND 05,5670
Colony Northstar Credit Re-aCOMMON STOCK19625T10135672,467SH DFND 072,4670
Cushman & Wakefield PlcCOMMON STOCKG2717B10854051,395SH DFND 051,3950
Dell Technologies -cCOMMON STOCK24703L2023,56452,649SH DFND 052,6490
Elastic NvCOMMON STOCKN145061049869,140SH DFND 09,1400
Kornit Digital LtdCOMMON STOCKM6372Q1134156,390SH DFND 06,3900
Ncs Multistage Holdings IncCOMMON STOCK6288771021220,044SH DFND 020,0440
Orthofix Medical IncCOMMON STOCK68752M10866121,233SH DFND 021,2330
RPT RealtyCOMMON STOCK74971D10123943,887SH DFND 043,8870
Retail Value IncCOMMON STOCK76133Q10213110,428SH DFND 010,4280
Sleep Number CorpCOMMON STOCK83125X1031,19424,418SH DFND 024,4180
Smartsheet Inc-class ACOMMON STOCK83200N1032,01540,768SH DFND 040,7680
TechtargetCOMMON STOCK87874R1004269,694SH DFND 09,6940
Yeti Holdings IncCOMMON STOCK98585X1042,21848,950SH DFND 048,9500
Arcosa IncCOMMON STOCK0396531003107,040SH DFND 07,0400
Bandwidth Inc-class ACOMMON STOCK05988J1032201,262SH DFND 01,2620
Barings Bdc IncCOMMON STOCK06759L1039111,345SH DFND 011,3450
Covetrus IncCOMMON STOCK22304C10058223,867SH DFND 023,8670
Discovery Inc - ACOMMON STOCK25470F10439718,238SH DFND 018,2380
Domo Inc - Class BCOMMON STOCK25755410546212,059SH DFND 012,0590
Eventbrite Inc-class ACOMMON STOCK29975E10919517,931SH DFND 017,9310
Fox Corp - Class ACOMMON STOCK35137L10562922,614SH DFND 022,6140
Horizon Therapeutics PlcCOMMON STOCKG461881011,17815,166SH DFND 015,1660
Impinj IncCOMMON STOCK4532041092027,657SH DFND 07,6570
Levi Strauss & Co- Class ACOMMON STOCK52736R10299474,200SH DFND 074,2000
Lyft Inc-aCOMMON STOCK55087P1043,267118,591SH DFND 0118,5910
NV5 Global IncCOMMON STOCK62945V10971113,483SH DFND 013,4830
Resideo Technologies IncCOMMON STOCK76118Y10439435,848SH DFND 035,8480
Tenable Holdings IncCOMMON STOCK88025T10240810,800SH DFND 010,8000
Tenneco Inc-class ACOMMON STOCK88034910533648,385SH DFND 048,3850
Walt Disney Co/theCOMMON STOCK25468710612,19298,259SH DFND 098,2590
Akcea Therapeutics IncCOMMON STOCK00972L10731317,228SH DFND 017,2280
Anaplan IncCOMMON STOCK03272L1082,70143,162SH DFND 043,1620
B. Riley Financial IncCOMMON STOCK05580M1088,721347,999SH DFND 0347,9990
Biohaven Pharmaceutical HoldCOMMON STOCKG111961052874,413SH DFND 04,4130
Cenovus Energy IncCOMMON STOCK15135U1099925,406SH DFND 025,4060
Chewy Inc - Class ACOMMON STOCK16679L10980214,636SH DFND 014,6360
Cornerstone Building Brands IncCOMMON STOCK21925D10934943,766SH DFND 043,7660
Crowdstrike Holdings Inc - ACOMMON STOCK22788C1051,55111,295SH DFND 011,2950
DuPont de Nemours IncCOMMON STOCK26614N1021,41925,585SH DFND 025,5850
Fiverr International LtdCOMMON STOCKM4R82T1063,25623,430SH DFND 023,4300
Iaa IncCOMMON STOCK4492531031,34325,795SH DFND 025,7950
International Bancshares CrpCOMMON STOCK45904410388133,807SH DFND 033,8070
International Seaways IncCOMMON STOCKY4105310229420,135SH DFND 020,1350
Keurig Dr Pepper IncCOMMON STOCK49271V10019,544708,103SH DFND 0708,1030
L3Harris Technologies IncCOMMON STOCK5024311095,18330,517SH DFND 030,5170
Monmouth Reit -cl ACOMMON STOCK60972010764046,229SH DFND 046,2290
Navigator Holdings LtdCOMMON STOCKY6213210824028,686SH DFND 028,6860
Pagerduty IncCOMMON STOCK69553P1001,74564,376SH DFND 064,3760
Realreal Inc/theCOMMON STOCK88339P1011,20783,436SH DFND 083,4360
Revolve Group Inc - Class ACOMMON STOCK76156B1075,779351,727SH DFND 0351,7270
Slack Technologies Inc- Cl ACOMMON STOCK83088V1023,056113,784SH DFND 0113,7840
Solid Biosciences IncCOMMON STOCK83422E1054019,519SH DFND 019,5190
Westport Fuel Systems IncCOMMON STOCK960908309189116,144SH DFND 0116,1440
Zoom Video Communications-aCOMMON STOCK98980L1016,96714,819SH DFND 014,8190
10x Genomics IncCOMMON STOCK88025U1096,39651,296SH DFND 051,2960
Amcor PlcCOMMON STOCKG0250X1074,112372,103SH DFND 0372,1030
American Finance Trust IncCOMMON STOCK02607T10912019,060SH DFND 019,0600
Brighthouse Financial IncCOMMON STOCK10922N1032,41289,637SH DFND 089,6370
Cloudflare Inc - Class ACOMMON STOCK18915M1073,33681,243SH DFND 081,2430
Datadog Inc - Class ACOMMON STOCK23804L1034,05839,724SH DFND 039,7240
Douyu International Hold-adrCOMMON STOCK25985W10531924,159SH DFND 024,1590
Fate Therapeutics IncCOMMON STOCK31189P1021,68042,035SH DFND 042,0350
First Bancorp North CarolinaCOMMON STOCK31891010626212,507SH DFND 012,5070
Maxar Technologies IncCOMMON STOCK57778K10578431,442SH DFND 031,4420
Preferred Apartment Commun-aCOMMON STOCK74039L10310519,355SH DFND 019,3550
SFL Corp LtdCOMMON STOCKG7738W1062,262301,962SH DFND 0301,9620
Smiledirectclub IncCOMMON STOCK83192H10682670,690SH DFND 070,6900
Strategic Education IncCOMMON STOCK86272C1031,51516,561SH DFND 016,5610
Target Hospitality CorpCOMMON STOCK87615L1073225,842SH DFND 025,8420
United Airlines Holdings IncCOMMON STOCK91004710989425,740SH DFND 025,7400
WW International IncCOMMON STOCK98262P1011,08457,454SH DFND 057,4540
ASM Lithography Holding N.VCOMMON STOCKN070592102,0935,668SH DFND 05,6680
Axsome Therapeutics IncCOMMON STOCK05464T10495313,381SH DFND 013,3810
Baker Hughes CoCOMMON STOCK05722G10085464,238SH DFND 064,2380
Bloom Energy Corp- ACOMMON STOCK09371210736020,034SH DFND 020,0340
Brigham Minerals Inc-cl ACOMMON STOCK10918L10327530,822SH DFND 030,8220
Crescent Point Energy CorpCOMMON STOCK22576C101274224,258SH DFND 0224,2580
Cytomx Therapeutics IncCOMMON STOCK23284F10565898,941SH DFND 098,9410
Diversified Healthcare TrustCOMMON STOCK25525P10722363,396SH DFND 063,3960
Equitable Holdings IncCOMMON STOCK29452E1011,68792,475SH DFND 092,4750
Fastly Inc - Class ACOMMON STOCK31188V1007868,395SH DFND 08,3950
Federated Hermes Inc - CL BCOMMON STOCK3142111032,195102,031SH DFND 0102,0310
Garrett Motion IncCOMMON STOCK36650510529986,738SH DFND 086,7380
Perdoceo Education CorpCOMMON STOCK71363P10659748,752SH DFND 048,7520
Phreesia IncCOMMON STOCK71944F10681525,368SH DFND 025,3680
Ping Identity Holding CorpCOMMON STOCK72341T1031,58150,648SH DFND 050,6480
Pinterest Inc- Class ACOMMON STOCK72352L1062,20953,224SH DFND 053,2240
Precigen IncCOMMON STOCK74017N10531991,283SH DFND 091,2830
Silk Road Medical IncCOMMON STOCK82710M1002734,056SH DFND 04,0560
Sprout Social Inc - Class ACOMMON STOCK85209W1092,46463,994SH DFND 063,9940
Tpi Composites IncCOMMON STOCK87266J1042819,713SH DFND 09,7130
Tucows Inc.COMMON STOCK8986972065848,477SH DFND 08,4770
Uber Technologies IncCOMMON STOCK90353T1001,94053,189SH DFND 053,1890
Ubiquiti IncCOMMON STOCK90353W1039315,586SH DFND 05,5860
21vianet Group Inc-adrCOMMON STOCK90138A10362226,864SH DFND 026,8640
Alta Equipment Group Inc-cl AWARRANT02128L114525299,999SHCallDFND 0299,9990
Apellis Pharmaceuticals IncCOMMON STOCK03753U10660219,941SH DFND 019,9410
Atlas CorpCOMMON STOCKY0436Q1091,048117,269SH DFND 0117,2690
Avanos Medical IncCOMMON STOCK05350V10638411,568SH DFND 011,5680
Banco Bradesco SA - ADRCOMMON STOCK059460303436127,137SH DFND 0127,1370
Bilibili Inc-adrCOMMON STOCK09004010692422,222SH DFND 022,2220
Bill.com Holdings IncCOMMON STOCK0900431003,57935,675SH DFND 035,6750
Bristol Myers Squibb Company - CVRCOMMON STOCK1101221572,0382,037,608PRN DFND 02,037,6080
Chase Corp.COMMON STOCK16150R1042142,248SH DFND 02,2480
Community Trust Bancorp IncCOMMON STOCK20414910829010,254SH DFND 010,2540
Cryolife IncCOMMON STOCK22890310057230,947SH DFND 030,9470
Cryoport IncCOMMON STOCK2290503072445,157SH DFND 05,1570
Daqo New Energy Corp-adrCOMMON STOCK23703Q2034463,300SH DFND 03,3000
Enterprise Financial Services CorpCOMMON STOCK2937121052509,178SH DFND 09,1780
Essential Utilities IncCOMMON STOCK29670G1021,69442,089SH DFND 042,0890
First Busey CorpCOMMON STOCK31938320417911,255SH DFND 011,2550
First Source CorporationCOMMON STOCK3369011032427,837SH DFND 07,8370
Gossamer Bio IncCOMMON STOCK38341P10216213,046SH DFND 013,0460
Heritage-crystal Clean IncCOMMON STOCK42726M10614911,159SH DFND 011,1590
KLA CorpCOMMON STOCK4824801007223,726SH DFND 03,7260
Liveramp Holdings IncCOMMON STOCK53815P1082725,258SH DFND 05,2580
Madison Square Garden Sports CorpCOMMON STOCK55825T1032,32415,446SH DFND 015,4460
Moderna IncCOMMON STOCK60770K1075838,238SH DFND 08,2380
Natura &co Holding-adrCOMMON STOCK63884N10816,389900,000SHPutDFND 0900,0000
Ovintiv Inc - ACOMMON STOCK69047Q10213917,054SH DFND 017,0540
Parsons CorpCOMMON STOCK70202L1021,94157,874SH DFND 057,8740
Paysign IncCOMMON STOCK70451A10416228,564SH DFND 028,5640
Peloton Interactive Inc-aCOMMON STOCK70614W1003,47535,018SH DFND 035,0180
Piper Sandler CosCOMMON STOCK7240781005507,539SH DFND 07,5390
Plymouth Industrial Reit IncCOMMON STOCK72964010243235,000SH DFND 035,0000
Repay Holdings CorpCOMMON STOCK76029L1007,393314,586SH DFND 0314,5860
Rubius Therapeutics IncCOMMON STOCK78116T10323947,772SH DFND 047,7720
Schrodinger IncCOMMON STOCK80810D1031,14924,178SH DFND 024,1780
Sciplay CorpCOMMON STOCK80908710924014,818SH DFND 014,8180
TRANSALTA CORPCOMMON STOCK89346D10728746,650SH DFND 046,6500
Tompkins Financial CorpCOMMON STOCK89011010958710,324SH DFND 010,3240
Tpg Re Finance Trust IncCOMMON STOCK87266M1079711,435SH DFND 011,4350
Tronox Holdings Plc-class ACOMMON STOCKG9087Q102808102,634SH DFND 0102,6340
Veritiv CorpCOMMON STOCK92345410224819,624SH DFND 019,6240
Vertiv Holdings Co- ACOMMON STOCK92537N1081,817104,880SH DFND 0104,8800
Vertiv Holdings Co- AWARRANT92537N11643266,666SHCallDFND 066,6660
Waste Connections IncCOMMON STOCK94106B1012,16220,830SH DFND 020,8300
AZEK Co Inc/The - Class ACOMMON STOCK05478C1053,880111,476SH DFND 0111,4760
Albertsons Cos IncCOMMON STOCK0130911031,06476,834SH DFND 076,8340
Allogene Therapeutics IncCOMMON STOCK01977010641210,923SH DFND 010,9230
Arco Platform Ltd - Class ACOMMON STOCKG045531062,19053,615SH DFND 053,6150
Assetmark Financial HoldingsCOMMON STOCK04546L1062079,518SH DFND 09,5180
Caesars Entertainment IncCOMMON STOCK12769G1002835,053SH DFND 05,0530
Calliditas Therapeutics Ab - ADRCOMMON STOCK13124Q10658624,422SH DFND 024,4220
Crescent Acquisition Corp-aCOMMON STOCK22564L1053,510349,606SH DFND 0349,6060
Crescent Acquisition Corp-aWARRANT22564L113147174,803SHCallDFND 0174,8030
Hudson Executive InvestmentCOMMON STOCK4437612001,348128,965SH DFND 0128,9650
IAC/InterActiveCorpCOMMON STOCK44891N1092,22018,532SH DFND 018,5320
Inari Medical IncCOMMON STOCK45332Y1091,10215,973SH DFND 015,9730
Kindred Biosciences IncCOMMON STOCK4945771096815,748SH DFND 015,7480
Kingsoft Cloud Holdings-adrCOMMON STOCK49639K10120,175683,190SH DFND 0683,1900
Livongo Health IncCOMMON STOCK5391831033,39824,263SH DFND 024,2630
Loral Space & CommunicationsCOMMON STOCK5438811061,70693,224SH DFND 093,2240
Northwest Natural Holding CoCOMMON STOCK66765N1051,34629,652SH DFND 029,6520
Odp Corp/theCOMMON STOCK88337F10573637,838SH DFND 037,8380
Otis Worldwide CorpCOMMON STOCK68902V10710,892174,499SH DFND 0174,4990
PotlatchDeltic CorpCOMMON STOCK7376301031,37432,642SH DFND 032,6420
Repare Therapeutics IncCOMMON STOCK76027310272623,607SH DFND 023,6070
Shift4 Payments IncCOMMON STOCK82452J1095,409111,855SH DFND 0111,8550
Universal Health Realty Income TrustCOMMON STOCK91359E10571912,611SH DFND 012,6110
Virnetx Holding CorpCOMMON STOCK92823T1087013,349SH DFND 013,3490
Vroom IncCOMMON STOCK92918V1091,99838,577SH DFND 038,5770
Aaron's Holdings Co IncCOMMON STOCK00258R1092,42542,812SH DFND 042,8120
Accolade IncCOMMON STOCK00437E1021,34734,645SH DFND 034,6450
Acutus Medical IncCOMMON STOCK0051111092458,220SH DFND 08,2200
Adc Therapeutics SaCOMMON STOCKH0036K1471,65050,000SH DFND 050,0000
Advanced Disposal Services IncCOMMON STOCK00790X101118,3623,915,366SH DFND 03,915,3660
Alpha Healthcare AcquisitionCOMMON STOCK0207512024,960500,000SH DFND 0500,0000
American Electric Power 6.125COMMON STOCK02557T3072,46250,000SH DFND 050,0000
American Well Corp-class ACOMMON STOCK03044L1052,60687,922SH DFND 087,9220
Arch Resources IncCOMMON STOCK03940R1072074,873SH DFND 04,8730
Arlo Technologies IncCOMMON STOCK04206A1016312,061SH DFND 012,0610
Artius Acquisition IncCOMMON STOCK04316G20452050,000SH DFND 050,0000
Asana Inc - Cl ACOMMON STOCK04342Y1041,44050,000SH DFND 050,0000
Athira Pharma IncCOMMON STOCK04746L1041,73594,003SH DFND 094,0030
B. Riley Principal Merger-aCOMMON STOCK05600U1064,254425,000SH DFND 0425,0000
B. Riley Principal Merger-aWARRANT05600U114287212,500SHCallDFND 0212,5000
Bally's CorpCOMMON STOCK05875B1061,37052,164SH DFND 052,1640
Bentley Systems Inc-class BCOMMON STOCK08265T20851016,242SH DFND 016,2420
Berkeley Lights IncCOMMON STOCK0843101014515,909SH DFND 05,9090
Borgwarner IncCOMMON STOCK09972410685021,948SH DFND 021,9480
Broadstone Net Lease Inc-aCOMMON STOCK11135E10445727,229SH DFND 027,2290
CMC Materials IncCOMMON STOCK12571T1008055,636SH DFND 05,6360
Cerence IncCOMMON STOCK15672710983016,978SH DFND 016,9780
Chindata Group Holdings-adrCOMMON STOCK16955F1074,352268,125SH DFND 0268,1250
Churchill Capital Corp Iii-aCOMMON STOCK62548M10051249,996SH DFND 049,9960
Churchill Capital Corp Iii-aWARRANT62548M1182512,499SHCallDFND 012,4990
Churchill Capital Corp IvCOMMON STOCK1714392011,503150,000SH DFND 0150,0000
Cohn Robbins Holdings CorpCOMMON STOCKG237261212,018200,000SH DFND 0200,0000
Columbia Financial IncCOMMON STOCK19764110326623,934SH DFND 023,9340
Corsair Gaming IncCOMMON STOCK22041X10256528,109SH DFND 028,1090
Digimarc CorpCOMMON STOCK25381B10132114,364SH DFND 014,3640
Duck Creek Technologies IncCOMMON STOCK26412010645410,000SH DFND 010,0000
Dyne Therapeutics IncCOMMON STOCK26818M10827213,474SH DFND 013,4740
Exp World Holdings IncCOMMON STOCK30212W1003398,395SH DFND 08,3950
Foley Trasimene Acq-class ACOMMON STOCK34431F1042,072199,998SH DFND 0199,9980
Foley Trasimene Acq-class AWARRANT34431F11215166,666SHCallDFND 066,6660
Getty Realty CorpCOMMON STOCK37429710981031,130SH DFND 031,1300
Goodrx Holdings IncCOMMON STOCK38246G10812,429223,552SH DFND 0223,5520
Gores Metropoulos Inc-cl ACOMMON STOCK3828721091,427124,998SH DFND 0124,9980
Gores Metropoulos Inc-cl AWARRANT38287211720866,666SHCallDFND 066,6660
Gs Acquisition Holdings-aCOMMON STOCK36258Q1051,07699,996SH DFND 099,9960
Gs Acquisition Holdings-aWARRANT36258Q1135424,999SHCallDFND 024,9990
Harmony Biosciences HoldingsCOMMON STOCK4131971042116,236SH DFND 06,2360
Headhunter Group PlcCOMMON STOCK42207L10624610,056SH DFND 010,0560
Helios Technologies IncCOMMON STOCK42328H10947012,901SH DFND 012,9010
Hennessy Capital AcquisitiCOMMON STOCK42589C10411210,061SH DFND 010,0610
Heska CorpCOMMON STOCK42805E3064734,788SH DFND 04,7880
Hudson Executive Invest-cl ACOMMON STOCK4437611019,775994,444SH DFND 0994,4440
Hudson Executive Invest-cl AWARRANT443761119572484,722SHCallDFND 0484,7220
I3 Verticals Inc-class ACOMMON STOCK46571Y10731912,647SH DFND 012,6470
Inseego CorpCOMMON STOCK45782B10421420,747SH DFND 020,7470
Jamf Holding CorpCOMMON STOCK47074L10559615,854SH DFND 015,8540
Jaws Acquisition Corp-cl ACOMMON STOCKG507441042,082199,998SH DFND 0199,9980
Jaws Acquisition Corp-cl AWARRANTG5074411214166,666SHCallDFND 066,6660
Jfrog LtdCOMMON STOCKM6191J1003,89245,975SH DFND 045,9750
Kinsale Capital Group IncCOMMON STOCK49714P1081,0405,471SH DFND 05,4710
Kkr Real Estate Finance TrusCOMMON STOCK48251K10043726,434SH DFND 026,4340
Kymera Therapeutics IncCOMMON STOCK5015751042,95791,516SH DFND 091,5160
Landcadia Holdings Ii Inc-aCOMMON STOCK51476X1054,072283,402SH DFND 0283,4020
Landcadia Holdings Ii Inc-aWARRANT51476X113572130,334SHCallDFND 0130,3340
Lemonade IncCOMMON STOCK52567D1071,05921,307SH DFND 021,3070
Lightspeed Pos Inc-sub VoteCOMMON STOCK53227R1063,487108,915SH DFND 0108,9150
Montage Resources CorpCOMMON STOCK61179L100960218,589SH DFND 0218,5890
NEE 6.219 9/1/2023COMMON STOCK65339F7399,515200,000SH DFND 0200,0000
Novanta IncCOMMON STOCK67000B1044544,314SH DFND 04,3140
Oceanfirst Financial CorpCOMMON STOCK67523410827420,049SH DFND 020,0490
Outset Medical IncCOMMON STOCK6901451072424,834SH DFND 04,8340
Pactiv Evergreen IncCOMMON STOCK69526K10547937,703SH DFND 037,7030
Prelude Therapeutics IncCOMMON STOCK74065P1011,46548,624SH DFND 048,6240
Primo Water CorpCOMMON STOCK74167P10830021,159SH DFND 021,1590
Qell Acquisition CorpCOMMON STOCKG7307X1212,032200,000SH DFND 0200,0000
Rackspace Technology IncCOMMON STOCK7501021058,685450,236SH DFND 0450,2360
Redball Acquisition CorpCOMMON STOCKG7417R1215,285500,000SH DFND 0500,0000
Relay Therapeutics IncCOMMON STOCK75943R10282419,347SH DFND 019,3470
Ribbit Leap LtdCOMMON STOCKG7552B12113010,000SH DFND 010,0000
Rocket Cos IncCOMMON STOCK77311W10126113,104SH DFND 013,1040
Ryanair Holdings PLCCOMMON STOCK7835132032773,386SH DFND 03,3860
Seacoast Banking Corp of FL - CL ACOMMON STOCK81170780128315,669SH DFND 015,6690
Shyft Group Inc/TheCOMMON STOCK82569810323012,181SH DFND 012,1810
Snowflake Inc-class ACOMMON STOCK8334451094,89519,500SH DFND 019,5000
Standard Avb Financial CorpCOMMON STOCK85303B1006,530200,000SH DFND 0200,0000
State Auto Financial CorporationCOMMON STOCK85570710516211,779SH DFND 011,7790
Stepstone Group IncCOMMON STOCK85914M10788033,061SH DFND 033,0610
Sumo Logic IncCOMMON STOCK86646P1032,382109,276SH DFND 0109,2760
Sunnova Energy InternationalCOMMON STOCK86745K1042,64787,055SH DFND 087,0550
Taysha Gene Therapies IncCOMMON STOCK8776191062189,725SH DFND 09,7250
Triterras Inc-class ACOMMON STOCKG9103H1021,556150,000SH DFND 0150,0000
Triterras Inc-class AWARRANTG6455A115197150,000SHCallDFND 0150,0000
Twc Tech Holdings Ii CorpCOMMON STOCK90117G20475975,000SH DFND 075,0000
Unity Software IncCOMMON STOCK91332U1014,19348,040SH DFND 048,0400
Vbi Vaccines IncCOMMON STOCK91822J1036924,235SH DFND 024,2350
Vertex Inc - Class ACOMMON STOCK92538J1062,703117,538SH DFND 0117,5380
Vesper Healthcare AcquisitioCOMMON STOCK92538T2033,078300,000SH DFND 0300,0000
Via Optronics Ag - ADRCOMMON STOCK91823Y10966875,000SH DFND 075,0000
Vista Oil & Gas Sab De CvCOMMON STOCK92837L109238105,758SH DFND 0105,7580
Vital Farms IncCOMMON STOCK92847W10344711,037SH DFND 011,0370
Vitru LtdCOMMON STOCKG9440D10397475,000SH DFND 075,0000
Yalla Group Ltd - ADRCOMMON STOCK98459U10310515,000SH DFND 015,0000
Zentalis Pharmaceuticals LlcCOMMON STOCK98943L1071,23037,628SH DFND 037,6280