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
ADOBE SYSTEMS INCCommon equity shares00724F1013,319,31018,941,507SH DFND1,2,5,6,8,10,11,12,13,18,202,387,27400
AGILENT TECHNOLOGIES INCCommon equity shares00846U101924,68713,807,432SH DFND1,2,5,6,8,10,11,12,13,18,201,905,98100
ANALOG DEVICESCommon equity shares0326541051,252,74614,070,982SH DFND1,2,5,6,8,10,11,12,13,18,201,821,11800
AON PLCCommon equity sharesG0408V1021,571,49011,727,469SH DFND1,2,5,6,8,10,11,12,13,18,201,283,36200
BB;T CORPCommon equity shares0549371071,926,00338,737,077SH DFND1,2,5,6,8,10,11,12,13,18,203,818,41600
CARDINAL HEALTH INCCommon equity shares14149Y1081,039,39716,964,295SH DFND1,2,5,6,8,10,11,12,13,18,201,938,58500
CARMAX INCCommon equity shares143130102476,6137,432,092SH DFND1,2,5,6,8,10,11,12,13,18,20969,67000
CATERPILLAR INCCommon equity shares1491231017,741,34849,126,503SH DFND1,2,5,6,8,10,11,12,13,18,2020,621,39400
CIENA CORPCommon equity shares171779309100,9804,824,523SH DFND1,2,5,6,8,11,13,20590,10700
CONAGRA BRANDS INCCommon equity shares205887102670,22017,791,878SH DFND1,2,5,6,8,10,11,12,13,18,202,149,95100
DANAHER CORPCommon equity shares2358511022,283,63524,602,836SH DFND1,2,5,6,8,10,11,12,13,18,203,205,05400
DARDEN RESTAURANTS INCCommon equity shares237194105561,8385,851,320SH DFND1,2,5,6,8,10,11,12,13,18,20813,74800
DEAN FOODS COCommon equity shares24237020335,8413,100,032SH DFND1,2,5,6,8,11,12,13,20399,17400
EATON CORP PLCCommon equity sharesG291831031,555,00319,681,151SH DFND1,2,5,6,8,10,11,12,13,18,203,093,42500
DISH NETWORK CORPCommon equity shares25470M109419,6758,788,724SH DFND1,2,5,6,8,10,11,12,13,18,201,092,94800
ECOLAB INCCommon equity shares2788651001,548,57111,540,993SH DFND1,2,5,6,8,10,11,12,13,18,201,293,79600
FIRSTENERGY CORPCommon equity shares3379321071,023,38933,422,273SH DFND1,2,5,6,8,10,11,12,13,18,19,202,194,26700
FOOT LOCKER INCCommon equity shares344849104220,5204,703,740SH DFND1,2,5,6,8,10,11,12,13,20554,56100
FORD MOTOR COCommon equity shares3453708602,028,261162,390,163SH DFND1,2,5,6,8,10,11,12,13,18,2018,780,96300
INTEL CORPCommon equity shares4581401009,128,109197,749,228SH DFND1,2,5,6,8,10,11,12,13,18,19,2023,836,21200
KELLOGG COCommon equity shares487836108762,39811,215,026SH DFND1,2,5,6,8,10,11,12,13,18,201,394,54500
KROGER COCommon equity shares5010441011,060,73138,642,509SH DFND1,2,5,6,8,10,11,12,13,18,204,846,70400
LEGG MASON INCCommon equity shares524901105107,3562,557,372SH DFND1,2,5,6,8,11,12,13,20239,15200
LOWE`S COMPANIES INCCommon equity shares5486611073,375,75336,321,824SH DFND1,2,5,6,8,10,11,12,13,18,204,204,49500
MANPOWERGROUPCommon equity shares56418H100338,3962,683,417SH DFND1,2,5,6,8,10,11,12,13,18,20397,37300
MARATHON OIL CORPCommon equity shares565849106763,55445,100,492SH DFND1,2,5,6,8,10,11,12,13,18,204,352,50000
MARVELL TECHNOLOGY GROUP LTDCommon equity sharesG5876H105191,2898,909,953SH DFND1,2,5,6,8,10,11,12,13,18,201,978,84200
MAXIM INTEGRATED PRODUCTSCommon equity shares57772K101362,2256,928,594SH DFND1,2,5,6,8,10,11,12,13,18,201,228,74200
MCDONALD`S CORPCommon equity shares5801351017,012,59140,742,460SH DFND1,2,5,6,8,10,11,12,13,18,19,204,215,44600
MEDTRONIC PLCCommon equity sharesG5960L1034,693,18558,110,083SH DFND1,2,5,6,8,10,11,12,13,18,206,607,30700
MICROCHIP TECHNOLOGY INCCommon equity shares595017104784,8648,931,049SH DFND1,2,5,6,8,10,11,12,13,18,201,153,61800
MONSANTO COCommon equity shares61166W1012,431,56220,821,771SH DFND1,2,5,6,8,10,11,12,13,18,202,183,75300
MOTOROLA SOLUTIONS INCCommon equity shares620076307699,9307,747,746SH DFND1,2,5,6,8,10,11,12,13,18,201,060,18600
NEW YORK CMNTY BANCORP INCCommon equity shares649445103308,39423,686,191SH DFND1,2,5,6,8,10,11,12,13,18,202,055,82500
NEW YORK TIMES CO -CL ACommon equity shares65011110779,3454,288,859SH DFND1,2,5,6,8,11,20508,98100
NORTHROP GRUMMAN CORPCommon equity shares6668071025,910,65219,258,583SH DFND1,2,5,6,8,10,11,12,13,18,20747,23800
NVIDIA CORPCommon equity shares67066G1044,507,60723,295,172SH DFND1,2,5,6,8,10,11,12,13,18,202,891,42900
OLD REPUBLIC INTL CORPCommon equity shares680223104426,17519,933,447SH DFND1,2,5,6,8,11,12,13,20654,28200
PATTERSON COMPANIES INCCommon equity shares703395103117,1933,243,651SH DFND1,2,5,6,8,10,11,12,13,20344,78400
PIONEER NATURAL RESOURCES COCommon equity shares7237871071,539,7078,907,779SH DFND1,2,5,6,8,10,11,12,13,18,20798,76100
RADIAN GROUP INCCommon equity shares750236101131,6506,387,563SH DFND1,2,5,8,13,20733,98600
RENAISSANCERE HOLDINGS LTDCommon equity sharesG7496G103279,2082,223,158SH DFND1,2,5,6,8,10,11,12,13,18,20191,39400
REPUBLIC SERVICES INCCommon equity shares760759100739,97810,942,800SH DFND1,2,5,6,8,10,11,12,13,18,201,575,48100
ROSS STORES INCCommon equity shares7782961031,387,32617,287,584SH DFND1,2,5,6,8,10,11,12,13,18,202,044,66800
SCANA CORPCommon equity shares80589M102268,9626,761,099SH DFND1,2,5,6,8,10,11,12,13,18,20703,61000
SPX CORPCommon equity shares78463510433,9011,080,011SH DFND1,2,5,8,20158,57300
SYNOPSYS INCCommon equity shares871607107579,7926,801,906SH DFND1,2,5,6,8,10,11,12,13,18,20941,86400
TCF FINANCIAL CORPCommon equity shares872275102167,8158,185,848SH DFND1,2,5,6,8,11,13,20424,88300
TELEPHONE ; DATA SYSTEMS INCCommon equity shares879433829220,7137,939,292SH DFND1,2,5,6,8,11,12,13,20248,39300
3M COCommon equity shares88579Y10110,621,77245,127,985SH DFND1,2,5,6,8,10,11,12,13,18,203,085,12800
ABBOTT LABORATORIESCommon equity shares0028241004,078,84371,470,823SH DFND1,2,5,6,8,10,11,12,13,18,208,522,44000
ACCENTURE PLCCommon equity sharesG1151C1013,769,91024,625,475SH DFND1,2,5,6,8,10,11,12,13,18,203,224,28800
AES CORPCommon equity shares00130H105354,94532,774,464SH DFND1,2,5,6,8,10,11,12,13,18,203,217,47600
AMERICAN INTERNATIONAL GROUPCommon equity shares0268747842,449,87041,118,806SH DFND1,2,5,6,8,10,11,12,13,18,204,389,74300
ANADARKO PETROLEUM CORPCommon equity shares0325111071,511,77028,183,557SH DFND1,2,5,6,8,10,11,12,13,18,202,627,32900
ARCHER-DANIELS-MIDLAND COCommon equity shares0394831021,306,00332,584,987SH DFND1,2,5,6,8,10,11,12,13,18,203,072,09400
AUTOZONE INCCommon equity shares053332102891,7611,253,583SH DFND1,2,5,6,8,10,11,12,13,18,20151,17600
BALL CORPCommon equity shares058498106567,83815,002,279SH DFND1,2,5,6,8,10,11,12,13,18,201,736,01200
BANK OF AMERICA CORPCommon equity shares06050510413,098,125443,703,863SH DFND1,2,5,6,8,10,11,12,13,18,2047,992,12600
BANK OF NEW YORK MELLON CORPCommon equity shares0640581002,623,44048,708,598SH DFND1,2,5,6,8,10,11,12,13,18,19,205,438,13400
BED BATH ; BEYOND INCCommon equity shares075896100143,3806,520,359SH DFND1,2,5,6,8,10,11,12,13,20415,59200
BOEING COCommon equity shares0970231058,258,58028,003,741SH DFND1,2,5,6,8,10,11,12,13,18,202,331,06800
BOSTON PROPERTIES INCReal Estate Investment Trust1011211011,124,8718,650,951SH DFND1,2,5,6,8,10,11,12,13,18,19,20944,36900
CAREER EDUCATION CORPCommon equity shares14166510920,1281,666,233SH DFND1,2,5,8,20253,10700
CINCINNATI FINANCIAL CORPCommon equity shares172062101738,6239,852,413SH DFND1,2,5,6,8,10,11,12,13,18,20784,27400
CITIGROUP INCCommon equity shares1729674249,104,567122,356,685SH DFND1,2,5,6,8,10,11,12,13,18,19,2013,339,95400
CLOROX CO/DECommon equity shares1890541091,224,7628,234,247SH DFND1,2,5,6,8,10,11,12,13,18,201,520,19800
TAPESTRY, INC.Common equity shares876030107512,70411,591,762SH DFND1,2,5,6,8,10,11,12,13,18,201,530,84100
CONVERGYS CORPCommon equity shares21248510678,1963,327,787SH DFND1,2,5,6,8,10,11,13,20393,29700
DISNEY (WALT) COCommon equity shares2546871067,294,01067,834,695SH DFND1,2,5,6,8,10,11,12,13,18,207,478,32900
DST SYSTEMS INCCommon equity shares233326107107,6161,733,854SH DFND1,2,5,6,8,11,12,13,20165,29300
DTE ENERGY COCommon equity shares233331107986,7009,014,215SH DFND1,2,5,6,8,10,11,12,13,18,201,013,03800
DUN ; BRADSTREET CORPCommon equity shares26483E100124,2421,049,220SH DFND1,2,5,6,8,11,12,13,2098,41700
EVEREST RE GROUP LTDCommon equity sharesG3223R108481,1592,174,626SH DFND1,2,5,6,8,10,11,12,13,18,20250,80000
EXPRESS SCRIPTS HOLDING COCommon equity shares30219G1081,862,68224,955,585SH DFND1,2,5,6,8,10,11,12,13,18,203,091,24500
FIRST HORIZON NATIONAL CORPCommon equity shares320517105336,09116,812,893SH DFND1,2,5,6,8,11,12,13,20752,52900
FLEX LTDCommon equity sharesY2573F102127,0017,059,585SH DFND1,2,5,6,8,10,11,12,13,18,201,545,13200
FLUOR CORPCommon equity shares343412102316,1806,121,717SH DFND1,2,5,6,8,10,11,12,13,18,20691,17300
GENUINE PARTS COCommon equity shares372460105823,6918,669,161SH DFND1,2,5,6,8,10,11,12,13,18,20849,51100
GOLDMAN SACHS GROUP INCCommon equity shares38141G1045,884,12923,096,760SH DFND1,2,5,6,8,10,11,12,13,18,201,722,80300
HARTFORD FINANCIAL SERVICESCommon equity shares4165151041,244,56322,112,698SH DFND1,2,5,6,8,10,11,12,13,18,19,201,855,82400
HERSHEY COCommon equity shares427866108704,8846,209,943SH DFND1,2,5,6,8,10,11,12,13,18,20796,65000
HOME DEPOT INCCommon equity shares43707610210,108,59953,335,043SH DFND1,2,5,6,8,10,11,12,13,18,205,976,33900
HOST HOTELS ; RESORTS INCReal Estate Investment Trust44107P104912,54445,971,476SH DFND1,2,5,6,8,10,11,12,13,18,19,204,744,82500
ILLINOIS TOOL WORKSCommon equity shares4523081092,340,52414,027,690SH DFND1,2,5,6,8,10,11,12,13,18,201,677,94700
INTL FLAVORS ; FRAGRANCESCommon equity shares459506101543,1173,558,845SH DFND1,2,5,6,8,10,11,12,13,18,20415,59500
INTUIT INCCommon equity shares4612021031,605,30610,174,283SH DFND1,2,5,6,8,10,11,12,13,18,201,284,57200
ISTAR INCReal Estate Investment Trust45031U10117,0351,507,230SH DFND1,2,5,8,20224,28600
JABIL INCCommon equity shares466313103154,3465,879,478SH DFND1,2,5,6,8,10,11,12,13,19,20455,16300
JPMORGAN CHASE ; COCommon equity shares46625H10017,950,150167,852,598SH DFND1,2,5,6,8,10,11,12,13,18,19,2017,177,94100
LABORATORY CP OF AMER HLDGSCommon equity shares50540R409697,5934,373,312SH DFND1,2,5,6,8,10,11,12,13,18,20514,76700
LAUDER (ESTEE) COS INC -CL ACommon equity shares5184391041,183,0859,298,058SH DFND1,2,5,6,8,10,11,12,13,18,201,215,61100
LILLY (ELI) ; COCommon equity shares5324571083,483,99041,250,191SH DFND1,2,5,6,8,10,11,12,13,18,19,205,168,98200
L BRANDS INCCommon equity shares501797104609,30510,118,175SH DFND1,2,5,6,8,10,11,12,13,18,201,203,21600
MCCORMICK ; CO INCCommon equity shares579780206739,1917,253,346SH DFND1,2,5,6,8,10,11,12,13,18,20693,34000
MOODY`S CORPCommon equity shares6153691051,138,7957,714,856SH DFND1,2,5,6,8,10,11,12,13,18,20948,33200
AFLAC INCCommon equity shares0010551021,830,51520,853,513SH DFND1,2,5,6,8,10,11,12,13,18,202,180,56600
AIR PRODUCTS ; CHEMICALS INCCommon equity shares0091581061,735,06410,574,474SH DFND1,2,5,6,8,10,11,12,13,18,201,086,77900
AMERICAN EXPRESS COCommon equity shares0258161093,951,09539,785,454SH DFND1,2,5,6,8,10,11,12,13,18,203,875,08200
AMERISOURCEBERGEN CORPCommon equity shares03073E105650,7547,087,328SH DFND1,2,5,6,8,10,11,12,13,18,20870,68700
AMGEN INCCommon equity shares0311621005,500,49031,630,207SH DFND1,2,5,6,8,10,11,12,13,18,203,915,44700
APACHE CORPCommon equity shares037411105845,16520,018,017SH DFND1,2,5,6,8,10,11,12,13,18,201,885,72600
APARTMENT INVST ; MGMT COReal Estate Investment Trust03748R101347,7557,955,899SH DFND1,2,5,6,8,10,11,12,13,18,19,20776,60100
AVERY DENNISON CORPCommon equity shares053611109547,4654,766,385SH DFND1,2,5,6,8,10,11,12,13,18,20687,76000
AVON PRODUCTSCommon equity shares05430310216,3417,599,958SH DFND1,2,5,6,8,11,12,13,20391,82300
BIOGEN INCCommon equity shares09062X1033,021,1899,483,601SH DFND1,2,5,6,8,10,11,12,13,18,201,203,49600
BLOCK H ; R INCCommon equity shares093671105274,71810,477,119SH DFND1,2,5,6,8,10,11,12,13,18,201,534,95200
BRINKER INTL INCCommon equity shares10964110067,0461,726,148SH DFND1,2,5,6,8,10,11,13,20218,54800
AVIS BUDGET GROUP INCCommon equity shares053774105118,9122,709,793SH DFND1,2,5,6,8,11,12,13,20314,09900
CA INCCommon equity shares12673P105509,34515,304,610SH DFND1,2,5,6,8,10,11,12,13,18,19,202,162,34800
CSX CORPCommon equity shares1264081032,024,18836,796,488SH DFND1,2,5,6,8,10,11,12,13,18,204,394,84000
D R HORTON INCCommon equity shares23331A109783,75615,346,583SH DFND1,2,5,6,8,10,11,12,13,18,201,953,07200
DOVER CORPCommon equity shares260003108846,6068,383,094SH DFND1,2,5,6,8,10,11,12,13,18,20784,65100
DOWDUPONT INC.Common equity shares26078J1007,378,909103,607,418SH DFND1,2,5,6,8,10,11,12,13,18,2011,358,59000
DUKE REALTY CORPReal Estate Investment Trust264411505556,05820,436,000SH DFND1,2,5,6,8,10,11,12,13,18,19,202,473,08600
EMERSON ELECTRIC COCommon equity shares2910111042,075,93929,788,054SH DFND1,2,5,6,8,10,11,12,13,18,203,263,12700
EQUITY RESIDENTIALReal Estate Investment Trust29476L1071,370,57321,492,468SH DFND1,2,5,6,8,10,11,12,13,18,19,202,302,57500
EXPEDITORS INTL WASH INCCommon equity shares302130109658,18610,174,329SH DFND1,2,5,6,8,10,11,12,13,18,20963,23400
FRANKLIN RESOURCES INCCommon equity shares354613101805,44118,588,540SH DFND1,2,5,6,8,10,11,12,13,18,201,795,81400
GENERAL ELECTRIC COCommon equity shares3696041035,892,271337,665,872SH DFND1,2,5,6,8,10,11,12,13,18,19,2040,657,36300
GENERAL MILLS INCCommon equity shares3703341042,012,38533,941,203SH DFND1,2,5,6,8,10,11,12,13,18,203,052,80700
HASBRO INCCommon equity shares418056107441,2934,855,248SH DFND1,2,5,6,8,10,11,12,13,18,20766,32600
HONEYWELL INTERNATIONAL INCCommon equity shares4385161064,665,74630,423,406SH DFND1,2,5,6,8,10,11,12,13,18,203,189,24200
INTERPUBLIC GROUP OF COSCommon equity shares460690100337,62616,747,759SH DFND1,2,5,6,8,10,11,12,13,18,202,415,33800
LENNAR CORPCommon equity shares526057104569,4419,004,410SH DFND1,2,5,6,8,10,11,12,13,18,20974,40400
MERCK ; COCommon equity shares58933Y1056,661,870118,388,667SH DFND1,2,5,6,8,10,11,12,13,18,19,2014,078,78200
MOHAWK INDUSTRIES INCCommon equity shares608190104735,5952,666,146SH DFND1,2,5,6,8,10,11,12,13,18,20306,34200
MORGAN STANLEYCommon equity shares6174464487,949,498151,505,555SH DFND1,2,5,6,8,10,11,12,13,18,207,671,00000
ADVANCED MICRO DEVICESCommon equity shares007903107330,20732,121,298SH DFND1,2,5,6,8,10,11,12,13,18,204,283,16200
AMAZON.COM INCCommon equity shares02313510618,619,09315,920,952SH DFND1,2,5,6,8,10,11,12,13,18,201,944,03400
AMEREN CORPCommon equity shares023608102734,01112,443,085SH DFND1,2,5,6,8,10,11,12,13,18,201,407,40500
AVALONBAY COMMUNITIES INCReal Estate Investment Trust0534841011,421,9797,970,216SH DFND1,2,5,6,8,10,11,12,13,18,19,20856,11400
BECTON DICKINSON ; COCommon equity shares0758871092,440,60911,401,533SH DFND1,2,5,6,8,10,11,12,13,18,201,372,46700
BOSTON SCIENTIFIC CORPCommon equity shares1011371071,414,14957,045,062SH DFND1,2,5,6,8,10,11,12,13,18,206,595,84500
BRUNSWICK CORPCommon equity shares117043109136,6242,474,171SH DFND1,2,5,6,8,11,13,20263,51100
CAMPBELL SOUP COCommon equity shares134429109404,0348,398,246SH DFND1,2,5,6,8,10,11,12,13,18,201,097,34900
CARNIVAL CORP/PLC (USA)Composition of more than 1 security1436583001,133,79217,082,971SH DFND1,2,5,6,8,10,11,12,13,18,202,108,81200
CHEVRON CORPCommon equity shares16676410014,891,934118,954,620SH DFND1,2,5,6,8,10,11,12,13,18,19,208,409,46700
CHICOS FAS INCCommon equity shares16861510236,5734,146,244SH DFND1,2,5,8,12,20486,20900
COMCAST CORPCommon equity shares20030N1017,564,519188,876,848SH DFND1,2,5,6,8,10,11,12,13,18,2023,984,40700
CONSOLIDATED EDISON INCCommon equity shares2091151041,632,21119,214,055SH DFND1,2,5,6,8,10,11,12,13,18,19,201,686,97300
DEERE ; COCommon equity shares2441991051,988,28112,703,858SH DFND1,2,5,6,8,10,11,12,13,18,201,501,13300
EDISON INTERNATIONALCommon equity shares2810201071,582,37925,020,578SH DFND1,2,5,6,8,10,11,12,13,18,19,201,858,09700
FIFTH THIRD BANCORPCommon equity shares3167731001,187,86739,151,484SH DFND1,2,5,6,8,10,11,12,13,18,204,059,53700
NEXTERA ENERGY INCCommon equity shares65339F1013,717,83623,803,245SH DFND1,2,5,6,8,10,11,12,13,18,202,249,96300
FREEPORT-MCMORAN INCCommon equity shares35671D8571,254,68866,175,199SH DFND1,2,5,6,8,10,11,12,13,18,206,456,24100
TEGNA INCCommon equity shares87901J10585,1786,049,870SH DFND1,2,5,6,8,11,12,13,20569,44300
GENERAL DYNAMICS CORPCommon equity shares3695501082,366,71911,632,918SH DFND1,2,5,6,8,10,11,12,13,18,20966,53900
HARLEY-DAVIDSON INCCommon equity shares412822108358,2327,040,841SH DFND1,2,5,6,8,10,11,12,13,18,20917,15800
INTL BUSINESS MACHINES CORPCommon equity shares4592001017,956,25651,859,264SH DFND1,2,5,6,8,10,11,12,13,18,204,555,07600
JUNIPER NETWORKS INCCommon equity shares48203R104451,01515,825,103SH DFND1,2,5,6,8,10,11,12,13,18,202,374,28300
KIMCO REALTY CORPReal Estate Investment Trust49446R109447,79724,671,976SH DFND1,2,5,6,8,10,11,12,13,18,19,202,653,81400
KLA-TENCOR CORPCommon equity shares482480100707,9276,737,526SH DFND1,2,5,6,8,10,11,12,13,18,19,201,056,73700
LEGGETT ; PLATT INCCommon equity shares524660107522,19210,940,411SH DFND1,2,5,6,8,10,11,12,13,18,20755,38600
LIBERTY PROPERTY TRUSTReal Estate Investment Trust531172104368,5308,568,406SH DFND1,2,5,6,8,10,11,12,13,18,19,201,101,64400
MICRON TECHNOLOGY INCCommon equity shares5951121031,855,08145,113,935SH DFND1,2,5,6,8,10,11,12,13,18,205,835,75400
PUBLIC STORAGEReal Estate Investment Trust74460D1091,839,1198,799,541SH DFND1,2,5,6,8,10,11,12,13,18,19,20918,21900
TYSON FOODS INC -CL ACommon equity shares9024941031,095,51113,513,103SH DFND1,2,5,6,8,10,11,12,13,18,201,738,13800
VARIAN MEDICAL SYSTEMS INCCommon equity shares92220P105454,6244,090,269SH DFND1,2,5,6,8,10,11,12,13,18,20497,79100
VERISIGN INCCommon equity shares92343E102452,5803,954,769SH DFND1,2,5,6,8,10,11,12,13,18,20575,62800
VORNADO REALTY TRUSTReal Estate Investment Trust929042109758,5219,702,335SH DFND1,2,5,6,8,10,11,12,13,18,19,201,055,98400
GRAHAM HOLDINGS COCommon equity shares38463710472,588129,986SH DFND1,2,5,6,8,11,12,13,2011,94600
WEATHERFORD INTL PLCCommon equity sharesG4883310092,02122,064,900SH DFND1,2,5,6,8,12,13,202,119,46600
WEC ENERGY GROUP INCCommon equity shares92939U1061,064,51716,024,625SH DFND1,2,5,6,8,10,11,12,13,18,201,633,05300
ALTRIA GROUP INCCommon equity shares02209S1034,936,70369,131,868SH DFND1,2,5,6,8,10,11,12,13,18,207,993,40600
HESS CORPCommon equity shares42809H107708,43514,923,778SH DFND1,2,5,6,8,10,11,12,13,18,201,400,33500
AMERICAN AXLE ; MFG HOLDINGSCommon equity shares02406110341,3342,427,192SH DFND1,2,5,8,13,20386,30400
AMERN EAGLE OUTFITTERS INCCommon equity shares02553E106116,5906,201,523SH DFND1,2,5,6,8,11,12,13,20704,28100
ANTHEM INCCommon equity shares0367521032,460,73610,936,009SH DFND1,2,5,6,8,10,11,12,13,18,201,309,96100
AVNET INCCommon equity shares053807103216,5805,466,024SH DFND1,2,5,6,8,10,11,12,13,18,19,20558,29400
BARNES ; NOBLE INCCommon equity shares06777410915,7062,344,788SH DFND1,2,5,8,20214,22000
CAPITAL ONE FINANCIAL CORPCommon equity shares14040H1052,195,89422,051,612SH DFND1,2,5,6,8,10,11,12,13,18,202,384,88000
CHARLES RIVER LABS INTL INCCommon equity shares159864107141,8181,295,725SH DFND1,2,5,6,8,11,13,20144,34400
CIGNA CORPCommon equity shares1255091092,112,60310,402,243SH DFND1,2,5,6,8,10,11,12,13,18,19,201,257,90600
EXELON CORPCommon equity shares30161N1012,252,53257,156,506SH DFND1,2,5,6,8,10,11,12,13,18,19,2013,598,78200
KIMBERLY-CLARK CORPCommon equity shares4943681032,145,00317,777,242SH DFND1,2,5,6,8,10,11,12,13,18,201,958,25300
TORONTO DOMINION BANKCommon equity shares89116050966611,366SH DFND1,20000
AETNA INCCommon equity shares00817Y1083,578,37219,836,903SH DFND1,2,5,6,8,10,11,12,13,18,201,601,17200
ALLSTATE CORPCommon equity shares0200021011,870,39617,861,920SH DFND1,2,5,6,8,10,11,12,13,18,202,079,23400
APPLIED MATERIALS INCCommon equity shares0382221052,710,60853,024,372SH DFND1,2,5,6,8,10,11,12,13,18,2012,199,75700
CADENCE DESIGN SYSTEMS INCCommon equity shares127387108486,73111,638,624SH DFND1,2,5,6,8,10,11,12,13,18,201,883,05100
CORNING INCCommon equity shares2193501051,215,85038,007,494SH DFND1,2,5,6,8,10,11,12,13,18,205,168,68100
CVS HEALTH CORPCommon equity shares1266501003,113,15342,939,809SH DFND1,2,5,6,8,10,11,12,13,18,205,179,60500
EQUIFAX INCCommon equity shares294429105586,4074,972,868SH DFND1,2,5,6,8,10,11,12,13,18,20619,13800
FISERV INCCommon equity shares3377381081,114,3448,497,996SH DFND1,2,5,6,8,10,11,12,13,18,201,144,44000
HALLIBURTON COCommon equity shares4062161012,120,11343,382,638SH DFND1,2,5,6,8,10,11,12,13,18,204,261,68500
HUNTINGTON BANCSHARESCommon equity shares446150104861,38659,161,750SH DFND1,2,5,6,8,10,11,12,13,18,205,247,29900
ITT INCCommon equity shares45073V108130,4342,443,924SH DFND1,2,5,6,8,11,12,13,20233,39400
LIBERTY GLOBAL PLC GLOBAL GPCommon equity sharesG5480U10484,5432,358,847SH DFND1,2,5,6,8,10,11,12,13,18,20523,02400
MICROSOFT CORPCommon equity shares59491810426,133,747305,514,840SH DFND1,2,5,6,8,10,11,12,13,18,19,2037,529,73100
FIDELITY NATIONAL INFO SVCSCommon equity shares31620M1061,226,00913,030,243SH DFND1,2,5,6,8,10,11,12,13,18,201,697,71800
COSTCO WHOLESALE CORPCommon equity shares22160K1053,348,31317,990,109SH DFND1,2,5,6,8,10,11,12,13,18,202,169,54500
DOMINION ENERGY INCCommon equity shares25746U1092,496,46630,797,766SH DFND1,2,5,6,8,10,11,12,13,18,203,105,97500
ELECTRONIC ARTS INCCommon equity shares2855121091,243,54511,836,385SH DFND1,2,5,6,8,10,11,12,13,18,201,466,48800
FEDEX CORPCommon equity shares31428X1062,525,00910,118,531SH DFND1,2,5,6,8,10,11,12,13,18,201,213,28300
HILL-ROM HOLDINGS INCCommon equity shares431475102165,4501,962,842SH DFND1,2,5,6,8,11,13,20318,11100
INTL PAPER COCommon equity shares4601461031,483,30425,600,641SH DFND1,2,5,6,8,10,11,12,13,18,202,053,93000
MONDELEZ INTERNATIONAL INCCommon equity shares6092071052,667,48462,317,826SH DFND1,2,5,6,8,10,11,12,13,18,207,785,50300
LINCOLN NATIONAL CORPCommon equity shares534187109828,92910,783,601SH DFND1,2,5,6,8,10,11,12,13,18,201,237,24900
MARSH ; MCLENNAN COSCommon equity shares5717481021,954,14324,009,551SH DFND1,2,5,6,8,10,11,12,13,18,202,589,24900
METLIFE INCCommon equity shares59156R1082,380,98447,092,171SH DFND1,2,5,6,8,10,11,12,13,18,19,204,738,00900
ALLEGHENY TECHNOLOGIES INCCommon equity shares01741R102141,9085,878,560SH DFND1,2,5,6,8,11,12,13,20470,19000
AMERICAN ELECTRIC POWER COCommon equity shares0255371011,765,46723,997,115SH DFND1,2,5,6,8,10,11,12,13,18,202,519,82700
APPLE INCCommon equity shares03783310035,324,928208,739,070SH DFND1,2,5,6,8,10,11,12,13,18,19,2025,505,35100
ASHLAND GLOBAL HOLDINGS INCCommon equity shares044186104136,9471,923,517SH DFND1,2,5,6,8,11,12,13,20169,47000
AUTODESK INCCommon equity shares052769106851,8528,125,993SH DFND1,2,5,6,8,10,11,12,13,18,201,035,38700
AUTOMATIC DATA PROCESSINGCommon equity shares0530151032,260,29819,287,475SH DFND1,2,5,6,8,10,11,12,13,18,202,252,22200
AUTONATION INCCommon equity shares05329W102131,6292,564,374SH DFND1,2,5,6,8,10,11,12,13,18,20272,07200
BEMIS CO INCCommon equity shares081437105345,6647,233,028SH DFND1,2,5,6,8,11,12,13,20264,58000
BEST BUY CO INCCommon equity shares086516101854,31712,477,267SH DFND1,2,5,6,8,10,11,12,13,18,201,651,89000
BIG LOTS INCCommon equity shares08930210397,2281,731,657SH DFND1,2,5,6,8,10,11,12,13,20225,56500
BRISTOL-MYERS SQUIBB COCommon equity shares1101221084,045,94766,023,918SH DFND1,2,5,6,8,10,11,12,13,18,208,073,70900
BROWN FORMAN CORPCommon equity shares115637209702,51110,230,127SH DFND1,2,5,6,8,10,11,12,13,18,201,016,42600
CENTERPOINT ENERGY INCCommon equity shares15189T107663,43423,393,271SH DFND1,2,5,6,8,10,11,12,13,18,19,202,759,53700
CENTURYLINK INCCommon equity shares156700106851,71251,062,376SH DFND1,2,5,6,8,10,11,12,13,18,2016,964,13400
CINTAS CORPCommon equity shares172908105662,1774,249,439SH DFND1,2,5,6,8,10,11,12,13,18,20401,62100
CISCO SYSTEMS INCCommon equity shares17275R1027,948,195207,524,653SH DFND1,2,5,6,8,10,11,12,13,18,19,2025,286,48300
FRONTIER COMMUNICATIONS CORPCommon equity shares35906A30616,2952,410,334SH DFND1,2,5,8,12,13,20311,47300
CITRIX SYSTEMS INCCommon equity shares177376100517,8205,884,333SH DFND1,2,5,6,8,10,11,12,13,18,20836,82800
CMS ENERGY CORPCommon equity shares125896100651,47913,773,343SH DFND1,2,5,6,8,10,11,12,13,18,201,401,61000
COCA-COLA COCommon equity shares1912161007,782,240169,621,629SH DFND1,2,5,6,8,10,11,12,13,18,2019,671,15500
COLGATE-PALMOLIVE COCommon equity shares1941621034,280,04256,726,882SH DFND1,2,5,6,8,10,11,12,13,18,204,346,29100
COMERICA INCCommon equity shares200340107861,1569,920,014SH DFND1,2,5,6,8,10,11,12,13,18,20908,95400
CONOCOPHILLIPSCommon equity shares20825C1043,319,79260,480,852SH DFND1,2,5,6,8,10,11,12,13,18,19,205,953,45800
COOPER TIRE ; RUBBER COCommon equity shares21683110765,1871,844,078SH DFND1,2,5,6,8,11,13,20240,37500
MOLSON COORS BREWING COCommon equity shares60871R209606,3977,388,856SH DFND1,2,5,6,8,10,11,12,13,18,20894,65900
CRANE COCommon equity shares224399105123,6671,386,049SH DFND1,2,5,6,8,11,13,20182,80000
CUMMINS INCCommon equity shares2310211062,114,90711,973,013SH DFND1,2,5,6,8,10,11,12,13,18,20953,05100
DELUXE CORPCommon equity shares248019101128,4061,671,065SH DFND1,2,5,6,8,11,13,20206,56100
DEVON ENERGY CORPCommon equity shares25179M1031,114,88226,929,594SH DFND1,2,5,6,8,10,11,12,13,18,202,519,98200
DILLARDS INC -CL ACommon equity shares25406710147,763795,440SH DFND1,2,5,6,8,11,12,13,2068,96700
DUKE ENERGY CORPCommon equity shares26441C2042,790,78733,180,249SH DFND1,2,5,6,8,10,11,12,13,18,203,482,76500
DYNEGY INCCommon equity shares26817R10828,9572,443,777SH DFND1,2,5,12,13,20380,99700
E TRADE FINANCIAL CORPCommon equity shares269246401612,15612,349,377SH DFND1,2,5,6,8,10,11,12,13,18,201,464,17400
EASTMAN CHEMICAL COCommon equity shares277432100663,9097,166,430SH DFND1,2,5,6,8,10,11,12,13,18,201,012,25400
EBAY INCCommon equity shares2786421031,503,34039,834,305SH DFND1,2,5,6,8,10,11,12,13,18,205,222,12300
ENTERGY CORPCommon equity shares29364G103762,5719,369,221SH DFND1,2,5,6,8,10,11,12,13,18,20875,07100
EOG RESOURCES INCCommon equity shares26875P1013,124,54928,955,095SH DFND1,2,5,6,8,10,11,12,13,18,202,787,98700
EXXON MOBIL CORPCommon equity shares30231G10217,864,359213,586,304SH DFND1,2,5,6,8,10,11,12,13,18,2018,794,60400
MACY`S INCCommon equity shares55616P104352,19013,981,597SH DFND1,2,5,6,8,10,11,12,13,18,201,662,83000
FEDERATED INVESTORS INCCommon equity shares31421110399,6422,761,739SH DFND1,2,5,6,8,11,13,20251,90200
GAP INCCommon equity shares364760108363,37710,668,506SH DFND1,2,5,6,8,10,11,12,13,18,201,305,31300
GILEAD SCIENCES INCCommon equity shares3755581034,045,88556,475,239SH DFND1,2,5,6,8,10,11,12,13,18,207,042,51700
GOODYEAR TIRE ; RUBBER COCommon equity shares382550101365,71311,318,780SH DFND1,2,5,6,8,10,11,12,13,18,201,816,60000
GRAINGER (W W) INCCommon equity shares384802104803,4383,400,735SH DFND1,2,5,6,8,10,11,12,13,18,20290,20100
HUMANA INCCommon equity shares4448591021,490,8946,009,844SH DFND1,2,5,6,8,10,11,12,13,18,20730,82000
INGERSOLL-RAND PLCCommon equity sharesG47791101998,07711,186,239SH DFND1,2,5,6,8,10,11,12,13,18,201,367,50000
JOHNSON ; JOHNSONCommon equity shares47816010421,807,484156,079,925SH DFND1,2,5,6,8,10,11,12,13,18,19,2013,228,43400
KB HOMECommon equity shares48666K10989,0892,788,447SH DFND1,2,5,6,8,11,20329,31400
KEYCORPCommon equity shares4932671081,144,00956,718,335SH DFND1,2,5,6,8,10,11,12,13,18,205,317,86500
KOHL`S CORPCommon equity shares500255104453,9688,371,159SH DFND1,2,5,6,8,10,11,12,13,18,201,059,85100
LOCKHEED MARTIN CORPCommon equity shares53983010915,107,55647,056,680SH DFND1,2,5,6,8,10,11,12,13,18,20972,33300
LOEWS CORPCommon equity shares540424108652,49413,042,259SH DFND1,2,5,6,8,10,11,12,13,18,201,461,86000
LOUISIANA-PACIFIC CORPCommon equity shares546347105129,1024,916,150SH DFND1,2,5,6,8,11,13,20624,62600
M ; T BANK CORPCommon equity shares55261F1041,327,1697,761,721SH DFND1,2,5,6,8,10,11,12,13,18,20721,71100
MARRIOTT INTL INCCommon equity shares5719032021,786,45113,161,820SH DFND1,2,5,6,8,10,11,12,13,18,201,527,39700
MASCO CORPCommon equity shares574599106651,92414,836,743SH DFND1,2,5,6,8,10,11,12,13,18,202,002,94700
MATTEL INCCommon equity shares577081102217,92014,169,089SH DFND1,2,5,6,8,10,11,12,13,18,201,712,15300
MBIA INCCommon equity shares55262C10017,5422,396,299SH DFND1,2,5,8,13,20434,70700
S;P GLOBAL INCCommon equity shares78409V1042,165,88012,785,554SH DFND1,2,5,6,8,10,11,12,13,18,201,339,46000
MCKESSON CORPCommon equity shares58155Q1031,463,3639,383,485SH DFND1,2,5,6,8,10,11,12,13,18,19,201,142,12900
MEREDITH CORPCommon equity shares589433101304,0984,604,024SH DFND1,2,5,6,8,11,13,20155,40900
MGIC INVESTMENT CORP/WICommon equity shares552848103164,16011,634,660SH DFND1,2,5,8,10,13,201,402,16600
MYLAN NVCommon equity sharesN59465109933,90322,072,988SH DFND1,2,5,6,8,10,11,12,13,18,203,194,65500
NABORS INDUSTRIES LTDCommon equity sharesG6359F10372,34010,590,686SH DFND1,2,5,6,8,11,12,13,20937,11900
NAVISTAR INTERNATIONAL CORPCommon equity shares63934E10844,9111,047,353SH DFND1,2,5,8,12,13,20182,18200
NCR CORPCommon equity shares62886E108158,8784,674,235SH DFND1,2,5,6,8,11,12,13,19,20349,33600
NETAPP INCCommon equity shares64110D104630,18611,391,782SH DFND1,2,5,6,8,10,11,12,13,18,201,650,78800
NEWELL BRANDS INCCommon equity shares651229106650,92821,065,581SH DFND1,2,5,6,8,10,11,12,13,18,202,727,04600
NEWMONT MINING CORPCommon equity shares6516391061,035,11627,588,417SH DFND1,2,5,6,8,10,11,12,13,18,203,017,95200
NIKE INCCommon equity shares6541061033,733,49459,685,279SH DFND1,2,5,6,8,10,11,12,13,18,206,380,86500
NISOURCE INCCommon equity shares65473P105413,47316,106,986SH DFND1,2,5,6,8,10,11,12,13,18,19,201,601,39800
NOBLE CORP PLCCommon equity sharesG6543110143,2619,569,192SH DFND1,2,5,8,12,13,20928,93600
NORDSTROM INCCommon equity shares655664100308,9326,520,580SH DFND1,2,5,6,8,10,11,12,13,18,19,20744,74100
NORFOLK SOUTHERN CORPCommon equity shares6558441081,805,95612,463,481SH DFND1,2,5,6,8,10,11,12,13,18,201,426,36200
NORTHERN TRUST CORPCommon equity shares6658591041,021,67710,227,898SH DFND1,2,5,6,8,10,11,12,13,18,201,027,27800
NUCOR CORPCommon equity shares6703461051,176,98618,511,982SH DFND1,2,5,6,8,10,11,12,13,18,201,654,65300
OCCIDENTAL PETROLEUM CORPCommon equity shares6745991052,857,45738,792,559SH DFND1,2,5,6,8,10,11,12,13,18,19,203,678,62100
OFFICE DEPOT INCCommon equity shares67622010672,71420,539,409SH DFND1,2,5,6,8,11,12,13,202,058,98600
OMNICOM GROUPCommon equity shares681919106682,2529,367,754SH DFND1,2,5,6,8,10,11,12,13,18,201,180,95700
ORACLE CORPCommon equity shares68389X1055,663,775119,792,244SH DFND1,2,5,6,8,10,11,12,13,18,19,2014,893,15500
PACCAR INCCommon equity shares6937181081,034,37314,552,095SH DFND1,2,5,6,8,10,11,12,13,18,201,793,79600
PTC INCCommon equity shares69370C100189,0073,110,204SH DFND1,2,5,6,8,11,13,20363,66700
PARKER-HANNIFIN CORPCommon equity shares7010941041,115,4635,589,052SH DFND1,2,5,6,8,10,11,12,13,18,20683,04400
PAYCHEX INCCommon equity shares704326107926,30413,606,026SH DFND1,2,5,6,8,10,11,12,13,18,201,781,92900
PENNEY (J C) COCommon equity shares70816010632,66010,335,351SH DFND1,2,5,8,12,13,201,175,31800
PEPSICO INCCommon equity shares7134481087,583,37763,219,328SH DFND1,2,5,6,8,10,11,12,13,18,19,207,503,11900
PERKINELMER INCCommon equity shares714046109277,8093,799,370SH DFND1,2,5,6,8,10,11,12,13,20426,52600
PFIZER INCCommon equity shares71708110311,227,392309,977,599SH DFND1,2,5,6,8,10,11,12,13,18,2082,608,42600
PG;E CORPCommon equity shares69331C1081,123,11125,052,459SH DFND1,2,5,6,8,10,11,12,13,18,19,202,534,71500
PINNACLE WEST CAPITAL CORPCommon equity shares723484101495,1475,812,867SH DFND1,2,5,6,8,10,11,12,13,18,20688,98300
PITNEY BOWES INCCommon equity shares72447910058,5295,235,728SH DFND1,2,5,6,8,11,12,13,20503,75100
PNC FINANCIAL SVCS GROUP INCCommon equity shares6934751053,378,49323,414,634SH DFND1,2,5,6,8,10,11,12,13,18,19,202,510,84500
PPG INDUSTRIES INCCommon equity shares6935061071,399,24711,977,779SH DFND1,2,5,6,8,10,11,12,13,18,201,297,89700
PPL CORPCommon equity shares69351T1061,049,49733,909,242SH DFND1,2,5,6,8,10,11,12,13,18,203,743,14300
PRAXAIR INCCommon equity shares74005P1042,069,81113,381,303SH DFND1,2,5,6,8,10,11,12,13,18,201,426,96100
PRICE (T. ROWE) GROUPCommon equity shares74144T1081,396,72613,311,175SH DFND1,2,5,6,8,10,11,12,13,18,201,281,22700
PRINCIPAL FINANCIAL GRP INCCommon equity shares74251V102952,21513,495,108SH DFND1,2,5,6,8,10,11,12,13,18,201,696,22000
PROCTER ; GAMBLE COCommon equity shares74271810910,540,531114,720,664SH DFND1,2,5,6,8,10,11,12,13,18,19,2013,073,89800
PROGRESSIVE CORP-OHIOCommon equity shares7433151031,489,67226,450,135SH DFND1,2,5,6,8,10,11,12,13,18,203,047,60800
PRUDENTIAL FINANCIAL INCCommon equity shares7443201022,269,46319,738,134SH DFND1,2,5,6,8,10,11,12,13,18,202,126,66200
PUBLIC SERVICE ENTRP GRP INCCommon equity shares7445731061,358,45126,377,592SH DFND1,2,5,6,8,10,11,12,13,18,202,833,88200
PULTEGROUP INCCommon equity shares745867101425,21012,787,861SH DFND1,2,5,6,8,10,11,12,13,18,201,575,62500
QUALCOMM INCCommon equity shares7475251033,810,88959,526,600SH DFND1,2,5,6,8,10,11,12,13,18,19,207,372,74300
QUEST DIAGNOSTICS INCCommon equity shares74834L100653,0756,630,961SH DFND1,2,5,6,8,10,11,12,13,18,20882,25500
RAYTHEON COCommon equity shares7551115072,350,58312,513,097SH DFND1,2,5,6,8,10,11,12,13,18,201,289,21200
REGIONS FINANCIAL CORPCommon equity shares7591EP1001,123,82865,036,488SH DFND1,2,5,6,8,10,11,12,13,18,206,887,38800
ROBERT HALF INTL INCCommon equity shares770323103316,4555,697,752SH DFND1,2,5,6,8,10,11,12,13,18,20767,78800
ROCKWELL AUTOMATIONCommon equity shares7739031091,082,8725,514,984SH DFND1,2,5,6,8,10,11,12,13,18,20675,93200
ROCKWELL COLLINS INCCommon equity shares774341101949,8157,003,557SH DFND1,2,5,6,8,10,11,12,13,18,20834,36200
ROWAN COMPANIES PLCCommon equity sharesG7665A10176,4784,883,522SH DFND1,2,5,6,8,11,12,13,20471,94900
RYDER SYSTEM INCCommon equity shares783549108130,7131,552,961SH DFND1,2,5,6,8,11,12,13,20136,03600
AT;T INCCommon equity shares00206R1029,820,029252,572,976SH DFND1,2,5,6,8,10,11,12,13,18,19,2030,054,18100
SCHLUMBERGER LTDCommon equity shares8068571084,708,65669,850,754SH DFND1,2,5,6,8,10,11,12,13,18,206,750,59100
SCHWAB (CHARLES) CORPCommon equity shares8085131052,930,15257,040,189SH DFND1,2,5,6,8,10,11,12,13,18,205,693,00300
SEALED AIR CORPCommon equity shares81211K100398,2168,077,536SH DFND1,2,5,6,8,10,11,12,13,18,201,068,31600
SEMPRA ENERGYCommon equity shares8168511091,318,55312,328,998SH DFND1,2,5,6,8,10,11,12,13,18,19,201,224,35400
SHERWIN-WILLIAMS COCommon equity shares8243481061,533,6263,740,212SH DFND1,2,5,6,8,10,11,12,13,18,20407,84600
SIMON PROPERTY GROUP INCReal Estate Investment Trust8288061093,007,89017,514,174SH DFND1,2,5,6,8,10,11,12,13,18,19,201,877,34800
SLM CORPCommon equity shares78442P106132,22111,701,573SH DFND1,2,5,6,8,11,12,13,201,124,04800
SNAP-ON INCCommon equity shares833034101426,2842,445,721SH DFND1,2,5,6,8,10,11,12,13,18,20322,61100
SOUTHERN COCommon equity shares8425871072,306,60147,964,384SH DFND1,2,5,6,8,10,11,12,13,18,204,523,95400
SOUTHWEST AIRLINESCommon equity shares8447411081,325,18420,247,266SH DFND1,2,5,6,8,10,11,12,13,18,202,601,41000
TRAVELERS COS INCCommon equity shares89417E1092,614,88919,278,103SH DFND1,2,5,6,8,10,11,12,13,18,201,427,86100
STANLEY BLACK ; DECKER INCCommon equity shares8545021011,225,1367,219,814SH DFND1,2,5,6,8,10,11,12,13,18,20857,46500
STARBUCKS CORPCommon equity shares8552441093,332,97658,035,334SH DFND1,2,5,6,8,10,11,12,13,18,206,954,57000
STATE STREET CORPCommon equity shares8574771031,838,27118,832,760SH DFND1,2,5,6,8,10,11,12,13,18,201,691,58200
STRYKER CORPCommon equity shares8636671012,063,93713,329,516SH DFND1,2,5,6,8,10,11,12,13,18,19,201,638,03100
SUNTRUST BANKS INCCommon equity shares8679141031,597,87324,738,525SH DFND1,2,5,6,8,10,11,12,13,18,19,202,543,19400
SUPERVALU INCCommon equity shares86853630129,8781,383,114SH DFND1,2,5,8,12,13,20150,81900
SYMANTEC CORPCommon equity shares871503108677,68224,151,156SH DFND1,2,5,6,8,10,11,12,13,18,203,140,84500
SYNOVUS FINANCIAL CORPCommon equity shares87161C501281,0805,863,090SH DFND1,2,5,6,8,11,13,20321,65600
SYSCO CORPCommon equity shares8718291071,558,86525,668,840SH DFND1,2,5,6,8,10,11,12,13,18,19,203,188,31000
TARGET CORPCommon equity shares87612E1063,217,05049,303,379SH DFND1,2,5,6,8,10,11,12,13,18,203,081,96300
TENET HEALTHCARE CORPCommon equity shares88033G40746,8003,086,894SH DFND1,2,5,6,8,11,12,13,20348,75200
TERADYNE INCCommon equity shares880770102226,6755,413,732SH DFND1,2,5,6,8,11,13,20556,51600
TEXAS INSTRUMENTS INCCommon equity shares8825081044,202,73440,240,498SH DFND1,2,5,6,8,10,11,12,13,18,205,264,74100
TEXTRON INCCommon equity shares883203101636,74711,251,929SH DFND1,2,5,6,8,10,11,12,13,18,20938,02700
THERMO FISHER SCIENTIFIC INCCommon equity shares8835561023,027,64115,944,913SH DFND1,2,5,6,8,10,11,12,13,18,201,926,06800
TIFFANY ; COCommon equity shares886547108474,7704,567,207SH DFND1,2,5,6,8,10,11,12,13,18,20648,68800
TIME WARNER INCCommon equity shares8873173032,872,73731,406,391SH DFND1,2,5,6,8,10,11,12,13,18,204,054,01100
TJX COMPANIES INCCommon equity shares8725401092,140,13127,990,115SH DFND1,2,5,6,8,10,11,12,13,18,203,300,60300
TORCHMARK CORPCommon equity shares891027104510,4775,627,645SH DFND1,2,5,6,8,10,11,12,13,18,20690,99600
TRANSOCEAN LTDCommon equity sharesH8817H100137,50712,875,804SH DFND1,2,5,6,8,11,13,20962,58900
JOHNSON CONTROLS INTL PLCCommon equity sharesG515021051,450,34438,056,555SH DFND1,2,5,6,8,10,11,12,13,18,204,524,57500
U S BANCORPCommon equity shares9029733043,923,07573,217,218SH DFND1,2,5,6,8,10,11,12,13,18,207,994,42600
UNION PACIFIC CORPCommon equity shares9078181084,406,03332,856,322SH DFND1,2,5,6,8,10,11,12,13,18,204,035,94500
UNISYS CORPCommon equity shares9092143069,1991,128,728SH DFND1,2,5,8,10,13,20182,89500
UNITED PARCEL SERVICE INCCommon equity shares9113121063,333,19427,974,715SH DFND1,2,5,6,8,10,11,12,13,18,203,573,53900
UNITED STATES STEEL CORPCommon equity shares912909108203,4315,780,799SH DFND1,2,5,6,11,12,13,20438,89800
UNITED TECHNOLOGIES CORPCommon equity shares91301710911,494,20890,101,251SH DFND1,2,5,6,8,10,11,12,13,18,19,203,151,80000
UNITEDHEALTH GROUP INCCommon equity shares91324P10210,040,85645,545,025SH DFND1,2,5,6,8,10,11,12,13,18,204,893,62900
UNUM GROUPCommon equity shares91529Y106636,20611,590,645SH DFND1,2,5,6,8,10,11,12,13,18,201,468,31200
VALERO ENERGY CORPCommon equity shares91913Y1002,220,54424,159,969SH DFND1,2,5,6,8,10,11,12,13,18,202,512,97800
VERIZON COMMUNICATIONS INCCommon equity shares92343V1048,615,049162,763,040SH DFND1,2,5,6,8,10,11,12,13,18,2020,346,07500
VF CORPCommon equity shares9182041081,392,57718,818,401SH DFND1,2,5,6,8,10,11,12,13,18,204,006,19200
CBS CORPCommon equity shares124857202856,57414,518,027SH DFND1,2,5,6,8,10,11,12,13,18,201,895,26200
VULCAN MATERIALS COCommon equity shares929160109719,1005,601,743SH DFND1,2,5,6,8,10,11,12,13,18,20668,23100
WAL-MART STORES INCCommon equity shares9311421036,992,46570,808,359SH DFND1,2,5,6,8,10,11,12,13,18,19,206,176,91700
WALGREENS BOOTS ALLIANCE INCCommon equity shares9314271082,771,09038,158,618SH DFND1,2,5,6,8,10,11,12,13,18,204,401,61600
WASTE MANAGEMENT INCCommon equity shares94106L1091,774,08820,557,189SH DFND1,2,5,6,8,10,11,12,13,18,202,494,65500
WATERS CORPCommon equity shares941848103634,8693,286,202SH DFND1,2,5,6,8,10,11,12,13,18,20413,82800
ALLERGAN PLCCommon equity sharesG0177J1082,425,05514,824,896SH DFND1,2,5,6,8,10,11,12,13,18,201,666,53100
WELLS FARGO ; COCommon equity shares94974610112,251,775201,941,156SH DFND1,2,5,6,8,10,11,12,13,18,19,2021,664,14500
WEYERHAEUSER COCommon equity shares9621661041,045,05029,638,208SH DFND1,2,5,6,8,10,11,12,13,18,203,634,05700
WHIRLPOOL CORPCommon equity shares963320106594,4453,524,948SH DFND1,2,5,6,8,10,11,12,13,18,20488,00100
WILLIAMS COS INCCommon equity shares9694571001,286,31842,187,970SH DFND1,2,5,6,8,10,11,12,13,18,19,204,138,26900
WORTHINGTON INDUSTRIESCommon equity shares981811102104,3962,369,323SH DFND1,2,5,6,8,10,11,20228,87700
XCEL ENERGY INCCommon equity shares98389B1001,210,71625,165,570SH DFND1,2,5,6,8,10,11,12,13,18,202,706,28900
XILINX INCCommon equity shares983919101682,80210,127,563SH DFND1,2,5,6,8,10,11,12,13,18,201,335,40700
XL GROUP LTDCommon equity sharesG98294104437,79412,451,495SH DFND1,2,5,6,8,10,11,12,13,18,201,360,41600
YUM BRANDS INCCommon equity shares9884981011,129,64413,841,966SH DFND1,2,5,6,8,10,11,12,13,18,201,768,07200
ZIMMER BIOMET HOLDINGS INCCommon equity shares98956P102963,3437,983,354SH DFND1,2,5,6,8,10,11,12,13,18,20986,84400
ZIONS BANCORPORATIONCommon equity shares989701107626,96012,334,547SH DFND1,2,5,6,8,10,11,12,13,18,201,051,86400
TWENTY-FIRST CENTURY FOX INCCommon equity shares90130A1011,480,29142,869,585SH DFND1,2,5,6,8,10,11,12,13,18,205,962,22400
SHIP FINANCE INTL LTDCommon equity sharesG8107510618,8071,213,218SH DFND1,2,5,20217,31500
CNO FINANCIAL GROUP INCCommon equity shares12621E103162,8336,595,094SH DFND1,2,5,6,8,10,11,12,13,20778,44600
HARRIS CORPCommon equity shares413875105769,2775,430,874SH DFND1,2,5,6,8,10,11,12,13,18,20631,11000
SEARS HOLDINGS CORPCommon equity shares8123501064,4801,251,351SH DFND1,2,5,8,13,2068,80300
YRC WORLDWIDE INCCommon equity shares98424960712,960901,220SH DFND1,2,5,13,20124,16900
CREE INCCommon equity shares225447101134,7173,627,234SH DFND1,2,5,6,8,11,13,20410,89000
CHESAPEAKE ENERGY CORPCommon equity shares165167107218,59655,200,212SH DFND1,2,5,6,10,11,12,13,203,264,47600
ORBITAL ATK INCCommon equity shares68557N103227,3911,729,160SH DFND1,2,5,6,11,12,13,2088,94200
ABERCROMBIE ; FITCH -CL ACommon equity shares00289620739,4872,265,602SH DFND1,2,5,8,12,13,20262,93100
ACXIOM CORPCommon equity shares00512510973,7722,676,844SH DFND1,2,5,6,8,11,20313,41900
HUBBELL INCCommon equity shares443510607204,1071,508,085SH DFND1,2,5,6,8,11,13,20149,40200
LANCASTER COLONY CORPCommon equity shares513847103238,6941,847,320SH DFND1,2,5,6,8,11,2074,84500
PENTAIR PLCCommon equity sharesG7S00T104682,5469,665,075SH DFND1,2,5,6,8,10,11,12,13,18,20977,09000
TOTAL SYSTEM SERVICES INCCommon equity shares891906109505,8386,395,674SH DFND1,2,5,6,8,10,11,12,13,18,20870,52700
EAGLE MATERIALS INCCommon equity shares26969P108147,7941,304,416SH DFND1,2,5,6,11,13,20129,76400
EVERSOURCE ENERGYCommon equity shares30040W108994,07515,734,069SH DFND1,2,5,6,8,10,11,12,13,18,19,201,712,01000
PIPER JAFFRAY COSCommon equity shares72407810036,678425,193SH DFND1,2,5,8,2077,24800
L3 TECHNOLOGIES INCCommon equity shares502413107679,3423,433,642SH DFND1,2,5,6,8,10,11,12,13,18,20347,27900
WILEY (JOHN) ; SONS -CL ACommon equity shares968223206209,0273,177,567SH DFND1,2,5,6,8,11,13,20439,06000
SEI INVESTMENTS COCommon equity shares784117103408,8735,689,820SH DFND1,2,5,6,8,10,11,12,13,18,20595,85600
ADTRAN INCCommon equity shares00738A10626,7951,384,630SH DFND1,2,5,8,20247,15700
ADVANCE AUTO PARTS INCCommon equity shares00751Y106317,3003,182,662SH DFND1,2,5,6,8,10,11,12,13,18,20415,53400
CONSTELLATION BRANDSCommon equity shares21036P1081,568,6036,862,684SH DFND1,2,5,6,8,10,11,12,13,18,20825,37900
DOLLAR TREE INCCommon equity shares2567461081,034,7969,643,098SH DFND1,2,5,6,8,10,11,12,13,18,201,170,63500
HARTE HANKS INCCommon equity shares4161961032224,767SH DFND20000
NVR INCCommon equity shares62944T105513,615146,403SH DFND1,2,5,6,8,10,11,12,13,18,2014,82000
PACKAGING CORP OF AMERICACommon equity shares695156109533,8704,427,862SH DFND1,2,5,6,8,10,11,12,13,18,20576,93200
POPULAR INCCommon equity shares733174700214,6566,048,307SH DFND1,2,5,8,12,13,20207,10800
RAYONIER INCReal Estate Investment Trust754907103114,3103,614,044SH DFND1,2,5,6,8,11,12,13,20332,22600
RENT-A-CENTER INCCommon equity shares76009N10025,1272,263,455SH DFND1,2,5,8,10,12,20256,91200
SPDR S;P 500 ETF TRUSTExchange Traded Product78462F1031,564,8295,863,854SH DFND1,2,10,12,20570,60500
PATTERSON-UTI ENERGY INCCommon equity shares703481101144,8156,293,773SH DFND1,2,5,6,8,11,12,13,20541,76100
AVIRAGEN THERAPEUTICS INCCommon equity shares0537611021323,820SH DFND20000
AFFILIATED MANAGERS GRP INCCommon equity shares008252108563,5432,745,577SH DFND1,2,5,6,8,10,11,12,13,18,19,20276,16700
ANSYS INCCommon equity shares03662Q105525,1343,558,037SH DFND1,2,5,6,8,10,11,12,13,18,20528,07200
APTARGROUP INCCommon equity shares038336103255,2552,958,381SH DFND1,2,5,6,8,11,13,20164,27800
AXCELIS TECHNOLOGIES INCCommon equity shares05454020820,797724,520SH DFND1,2,5,2095,76000
BENCHMARK ELECTRONICS INCCommon equity shares08160H10143,1061,481,368SH DFND1,2,5,8,10,13,20256,98100
BROOKS AUTOMATION INCCommon equity shares11434010242,0851,764,668SH DFND1,2,5,8,20299,69800
CARTER`S INCCommon equity shares146229109155,9351,327,254SH DFND1,2,5,6,8,11,13,20131,08400
ENTEGRIS INCCommon equity shares29362U10488,7472,914,474SH DFND1,2,5,8,10,13,20541,01800
EXTREME NETWORKS INCCommon equity shares30226D10630,5892,443,355SH DFND1,2,5,8,20538,16400
FORWARD AIR CORPCommon equity shares34985310147,642829,410SH DFND1,2,5,8,20114,04600
GATX CORPCommon equity shares36144810385,3941,373,729SH DFND1,2,5,6,8,10,11,13,20159,20600
GENTEX CORPCommon equity shares371901109167,8408,011,703SH DFND1,2,5,6,8,11,12,13,20762,84800
IDEX CORPCommon equity shares45167R104327,4312,481,095SH DFND1,2,5,6,8,10,11,12,13,18,20343,54100
XCERRA CORPCommon equity shares98400J10810,6971,092,196SH DFND1,2,5,8,20203,97900
MANHATTAN ASSOCIATES INCCommon equity shares56275010993,0051,877,411SH DFND1,2,5,6,8,11,13,20195,50100
MYRIAD GENETICS INCCommon equity shares62855J104119,6083,482,608SH DFND1,2,5,8,10,20262,92200
NATIONAL INSTRUMENTS CORPCommon equity shares636518102123,8072,973,972SH DFND1,2,5,6,8,11,13,20344,83600
OSHKOSH CORPCommon equity shares688239201185,9382,045,719SH DFND1,2,5,6,8,11,12,13,20190,59400
PLEXUS CORPCommon equity shares72913210053,353878,618SH DFND1,2,5,8,20152,68100
ROPER TECHNOLOGIES INCCommon equity shares7766961061,120,1294,324,801SH DFND1,2,5,6,8,10,11,12,13,18,20532,20100
TEEKAY CORPCommon equity sharesY8564W10310,5381,130,881SH DFND1,2,5,12,13,20271,37900
VISHAY INTERTECHNOLOGY INCCommon equity shares92829810899,5664,798,066SH DFND1,2,5,6,8,10,11,13,20662,64400
INTEGER HOLDINGS CORPCommon equity shares45826H10939,305867,663SH DFND1,2,5,8,10,20142,35300
WINTRUST FINANCIAL CORPCommon equity shares97650W108236,5352,871,633SH DFND1,2,5,6,8,11,13,20238,59300
ST JOE COCommon equity shares79014810018,1921,007,832SH DFND1,2,5,8,20195,38800
MACERICH COReal Estate Investment Trust554382101449,4896,843,476SH DFND1,2,5,6,8,10,11,12,13,18,19,20797,94200
ACADIA REALTY TRUSTReal Estate Investment Trust00423910989,3623,266,192SH DFND1,2,5,8,10,18,20391,88400
CAMDEN PROPERTY TRUSTReal Estate Investment Trust133131102444,4654,828,019SH DFND1,2,5,6,8,10,11,12,13,18,19,20468,05100
CORPORATE OFFICE PROPERTReal Estate Investment Trust22002T108131,9034,516,957SH DFND1,2,5,6,8,10,11,13,18,19,20371,27700
DDR CORPReal Estate Investment Trust23317H10289,1159,946,529SH DFND1,2,5,8,10,12,13,18,19,20978,03500
EASTGROUP PROPERTIESReal Estate Investment Trust277276101118,2551,338,064SH DFND1,2,5,8,10,18,20158,19300
ESSEX PROPERTY TRUSTReal Estate Investment Trust2971781051,108,5074,592,556SH DFND1,2,5,6,8,10,11,12,13,18,19,20410,91000
HOSPITALITY PROPERTIES TRUSTReal Estate Investment Trust44106M102226,8087,598,180SH DFND1,2,5,6,8,10,11,12,13,18,19,20611,02300
LASALLE HOTEL PROPERTIESReal Estate Investment Trust517942108166,3555,926,053SH DFND1,2,5,6,8,10,11,13,18,19,20605,38800
RAMCO-GERSHENSON PROPERTIESReal Estate Investment Trust75145220246,7333,172,604SH DFND1,2,5,8,10,18,20352,92100
REGENCY CENTERS CORPReal Estate Investment Trust758849103591,7288,553,385SH DFND1,2,5,6,8,10,11,12,13,18,19,20969,24400
TANGER FACTORY OUTLET CTRSReal Estate Investment Trust875465106556,75721,001,820SH DFND1,2,5,6,8,10,11,12,13,18,19,20344,33600
MECHEL PAOAmerican Depository Receipt5838406082,836538,961SH DFND2,5,6,13,2034,30900
MOBILE TELESYSTEMS PJSCAmerican Depository Receipt60740910996,0049,421,038SH DFND1,2,5,6,8,10,12,13,18,202,326,56700
TENARIS SAAmerican Depository Receipt88031M10959618,741SH DFND1,20000
LAM RESEARCH CORPCommon equity shares5128071081,245,8176,767,913SH DFND1,2,5,6,8,10,11,12,13,18,20897,20300
RAMBUS INCCommon equity shares75091710644,7033,143,684SH DFND1,2,5,8,20404,89400
METTLER-TOLEDO INTL INCCommon equity shares592688105673,8771,087,711SH DFND1,2,5,6,8,10,11,12,13,18,20143,43100
NEENAH PAPER INCCommon equity shares64007910941,904462,224SH DFND1,2,5,8,2085,52900
EW SCRIPPS -CL ACommon equity shares81105440221,9331,403,340SH DFND1,2,5,8,20207,50200
AMPHENOL CORPCommon equity shares0320951011,038,30811,825,906SH DFND1,2,5,6,8,10,11,12,13,18,201,567,53400
CME GROUP INCCommon equity shares12572Q1052,446,80016,717,808SH DFND1,2,5,6,8,10,11,12,13,18,201,631,05900
COMMUNITY HEALTH SYSTEMS INCCommon equity shares20366810815,3783,608,959SH DFND1,2,5,8,12,13,20409,50900
REGIS CORP/MNCommon equity shares75893210714,303931,416SH DFND1,2,5,8,20153,49400
SL GREEN REALTY CORPReal Estate Investment Trust78440X101566,0665,608,522SH DFND1,2,5,6,8,10,11,12,13,18,19,20597,72100
TELEFLEX INCCommon equity shares879369106359,5441,444,940SH DFND1,2,5,6,8,10,11,12,13,18,20179,44300
URBAN OUTFITTERS INCCommon equity shares91704710287,6252,499,180SH DFND1,2,5,6,8,11,12,13,20231,70900
AGCO CORPCommon equity shares001084102224,6633,145,122SH DFND1,2,5,6,8,10,11,12,13,18,19,20447,33600
EDWARDS LIFESCIENCES CORPCommon equity shares28176E108982,0108,712,725SH DFND1,2,5,6,8,10,11,12,13,18,201,066,61600
AAON INCCommon equity shares00036020637,7971,029,838SH DFND1,2,5,8,20157,30700
AAR CORPCommon equity shares00036110550,7261,290,983SH DFND1,2,5,8,10,20166,82600
AMERIS BANCORPCommon equity shares03076K10861,4111,274,017SH DFND1,2,5,8,20139,03700
ACNB CORPCommon equity shares0008681092,57387,022SH DFND2,2013,10500
ABM INDUSTRIES INCCommon equity shares000957100148,1913,928,665SH DFND1,2,5,8,13,20212,36700
AK STEEL HOLDING CORPCommon equity shares00154710884,45814,921,147SH DFND1,2,5,12,13,201,167,09700
PROLOGIS INCReal Estate Investment Trust74340W1031,929,64629,912,490SH DFND1,2,5,6,8,10,11,12,13,18,19,203,328,27600
CLEARFIELD INCCommon equity shares18482P1032,097171,320SH DFND2,2026,44100
SAREPTA THERAPEUTICS INCCommon equity shares803607100132,1172,374,461SH DFND1,2,5,8,13,20218,22100
AVX CORPCommon equity shares00244410718,6221,076,498SH DFND1,2,5,8,20152,03300
AXT INCCommon equity shares00246W1035,239602,094SH DFND2,5,2083,51800
AZZ INCCommon equity shares00247410433,081647,394SH DFND1,2,5,8,2097,15900
AARON`S INCCommon equity shares00253530093,6302,349,450SH DFND1,2,5,6,8,10,11,20427,88600
VERICEL CORPCommon equity shares92346J10819536,024SH DFND2,20000
ABAXIS INCCommon equity shares00256710529,840602,582SH DFND1,2,5,8,2084,91600
ABIOMED INCCommon equity shares003654100210,2021,121,629SH DFND1,2,5,6,8,11,13,20109,39500
ABRAXAS PETROLEUM CORP/NVCommon equity shares0038301066,1782,511,088SH DFND2,5,20397,49300
ACCELERATE DIAGNOSTICS INCCommon equity shares00430H10213,484514,687SH DFND1,2,5,8,2080,51300
ABEONA THERAPEUTICS INCCommon equity shares00289Y10735,7692,256,787SH DFND2,5,2062,44700
ACETO CORPCommon equity shares0044461009,047876,218SH DFND1,2,5,8,2099,72500
KINGOLD JEWELRY INCCommon equity shares49579A2042210,854SH DFND2000
ACTUANT CORP -CL ACommon equity shares00508X20355,0512,175,836SH DFND1,2,5,8,20862,27800
ADAMS RESOURCES ; ENERGY INCCommon equity shares0063513081,86943,031SH DFND2,209,72700
INSPERITY INCCommon equity shares45778Q10752,977923,833SH DFND1,2,5,8,10,20152,34000
AMAG PHARMACEUTICALS INCCommon equity shares00163U10639,2612,962,884SH DFND1,2,5,8,10,20187,26700
HERON THERAPEUTICS INCCommon equity shares42774610240,3432,229,023SH DFND1,2,5,8,20141,58300
ADVANCED SEMICON ENGINEERINGAmerican Depository Receipt00756M4042,394369,526SH DFND2,5,6,2036,75400
DENNYS CORPCommon equity shares24869P10418,8051,420,185SH DFND1,2,5,8,20255,83900
AEGON NVSimilar to ADR Certificates representing ordinary shares00792410330147,671SH DFND1,20000
ADVANCED ENERGY INDS INCCommon equity shares00797310069,9471,036,598SH DFND1,2,5,8,10,20186,06200
AGNICO EAGLE MINES LTDCommon equity shares0084741083016,500SH DFND8,20000
AGREE REALTY CORPReal Estate Investment Trust00849210041,164800,344SH DFND1,2,5,8,10,20132,63000
AKAMAI TECHNOLOGIES INCCommon equity shares00971T101427,8776,578,302SH DFND1,2,5,6,8,10,11,12,13,18,20841,67100
AKORN INCCommon equity shares00972810695,9542,977,212SH DFND1,2,5,6,8,11,13,20259,09800
ALAMO GROUP INCCommon equity shares01131110728,721254,422SH DFND1,2,5,8,10,2051,59400
ALASKA AIR GROUP INCCommon equity shares011659109325,1324,422,925SH DFND1,2,5,6,8,10,11,12,13,20475,00900
ALASKA COMMUNICATIONS SYS GPCommon equity shares01167P1019937,333SH DFND2,20000
ALBANY INTL CORP -CL ACommon equity shares01234810846,057749,506SH DFND1,2,5,8,20113,29200
ALBEMARLE CORPCommon equity shares012653101706,7505,525,388SH DFND1,2,5,6,8,10,11,12,13,18,20547,56400
MATSON INCCommon equity shares57686G10533,6661,128,158SH DFND1,2,5,8,20150,85300
ALEXANDER`S INCReal Estate Investment Trust01475210922,86457,756SH DFND1,2,5,8,10,2010,75800
ALEXANDRIA R E EQUITIES INCReal Estate Investment Trust015271109691,4155,294,626SH DFND1,2,5,6,8,10,11,12,13,18,19,20583,98400
ALEXION PHARMACEUTICALS INCCommon equity shares0153511091,296,48910,841,065SH DFND1,2,5,6,8,10,11,12,13,18,201,172,68700
ALICO INCCommon equity shares0162301041,57853,443SH DFND2,207,54600
ALIGN TECHNOLOGY INCCommon equity shares016255101674,3163,034,833SH DFND1,2,5,6,8,10,11,12,13,18,20397,37400
ALKERMES PLCCommon equity sharesG01767105220,8814,035,850SH DFND1,2,5,6,8,10,11,12,13,18,20566,78400
ALLEGHANY CORPCommon equity shares017175100349,118585,674SH DFND1,2,5,6,8,10,11,12,13,18,2068,45700
ALLETE INCCommon equity shares018522300101,7901,368,899SH DFND1,2,5,8,13,20205,01800
ALLIANT ENERGY CORPCommon equity shares018802108501,45511,768,625SH DFND1,2,5,6,8,10,11,12,13,18,201,238,39600
HANOVER INSURANCE GROUP INCCommon equity shares410867105144,5411,337,376SH DFND1,2,5,6,8,11,13,20104,53400
ALLSCRIPTS HEALTHCARE SOLTNSCommon equity shares01988P10888,8656,107,211SH DFND1,2,5,6,8,11,13,20721,37600
ALMOST FAMILY INCCommon equity shares02040910819,694355,812SH DFND1,2,5,2040,96700
EMPIRE RESORTS INCCommon equity shares2920523051,35950,422SH DFND2,208,08400
SKYWORKS SOLUTIONS INCCommon equity shares83088M102715,2217,532,827SH DFND1,2,5,6,8,10,11,12,13,18,201,108,73700
AMARIN CORPAmerican Depository Receipt0231112061,029256,678SH DFND2,5,20000
AMEDISYS INCCommon equity shares02343610841,582788,913SH DFND1,2,5,8,10,20134,22100
AMERCOCommon equity shares02358610050,730134,201SH DFND1,2,5,6,8,10,11,12,13,18,2024,60300
AMERICA MOVIL SA DE CVAmerican Depository Receipt02364W10530,1661,758,922SH DFND1,2,5,6,8,13,20217,02500
MFA FINANCIAL INCReal Estate Investment Trust55272X10252,7416,659,201SH DFND1,2,5,8,12,13,20796,58700
NEOGENOMICS INCCommon equity shares64049M2099,6331,087,319SH DFND1,2,5,8,20170,97800
US ECOLOGY INCCommon equity shares91732J10227,618541,425SH DFND1,2,5,8,2080,74400
AMERICAN FINANCIAL GROUP INCCommon equity shares025932104295,1282,719,171SH DFND1,2,5,6,8,10,11,12,13,18,20332,58300
TIVITY HEALTH INCCommon equity shares88870R10234,928955,624SH DFND1,2,5,8,20138,50500
AMERICAN NATL BANKSHARESCommon equity shares0277451086,439168,090SH DFND2,5,2022,77300
AMERICAN NATIONAL INSURANCECommon equity shares02859110519,132149,200SH DFND1,2,5,8,13,2023,08600
AMERICAN SOFTWARE -CL ACommon equity shares0296831096,624569,535SH DFND2,5,2072,71400
AMERICAN STATES WATER COCommon equity shares02989910158,1021,003,281SH DFND1,2,5,8,19,20137,62300
AMERICAN TOWER CORPCommon equity shares03027X1002,517,50417,640,139SH DFND1,2,5,6,8,10,11,12,13,18,19,202,090,37600
LRAD CORPCommon equity shares50213V1094015,797SH DFND20000
AMERICAN VANGUARD CORPCommon equity shares03037110813,231673,190SH DFND1,2,5,8,2099,36500
AMERICAN WOODMARK CORPCommon equity shares03050610948,095369,287SH DFND1,2,5,8,2067,93700
TD AMERITRADE HOLDING CORPCommon equity shares87236Y108256,3475,013,570SH DFND1,2,5,6,8,10,11,12,13,18,20859,47100
PARK CITY GROUP INCCommon equity shares7002153041,887197,396SH DFND2,2031,42400
AMERIGAS PARTNERS -LPLimited Partnership0309751063788,175SH DFND208,17500
AMES NATIONAL CORPCommon equity shares0310011004,234151,967SH DFND2,5,2021,04100
AMETEK INCCommon equity shares031100100665,6059,184,670SH DFND1,2,5,6,8,10,11,12,13,18,201,176,20400
AMKOR TECHNOLOGY INCCommon equity shares03165210023,2162,310,409SH DFND1,2,5,8,13,20477,40600
AMPCO-PITTSBURGH CORPCommon equity shares0320371031,659133,778SH DFND2,2020,96600
ENVISION HEALTHCARE CORPCommon equity shares29414D100167,2734,840,004SH DFND1,2,5,6,8,10,11,12,13,18,20635,52800
ANALOGIC CORPCommon equity shares03265720729,930357,340SH DFND1,2,5,8,2047,48900
ANDERSONS INCCommon equity shares03416410321,514690,780SH DFND1,2,5,8,13,20101,75900
ANGLOGOLD ASHANTI LTDAmerican Depository Receipt0351282061,147112,608SH DFND1,5,6,13,2019,38100
ANIKA THERAPEUTICS INCCommon equity shares03525510820,428378,926SH DFND1,2,5,8,2050,96300
ANIXTER INTL INCCommon equity shares03529010557,379755,001SH DFND1,2,5,8,12,13,20107,21300
ANNALY CAPITAL MANAGEMENTReal Estate Investment Trust035710409378,83731,861,787SH DFND1,2,5,6,8,10,11,12,13,18,204,655,36900
ANTARES PHARMA INCCommon equity shares0366421064,8732,449,128SH DFND2,5,20353,88600
ARRIS INTERNATIONAL PLCCommon equity sharesG0551A103119,0444,633,819SH DFND1,2,5,6,8,11,13,20461,92800
HACKETT GROUP INCCommon equity shares4046091099,488603,394SH DFND1,2,5,10,20152,60400
AGENUS INCCommon equity shares00847G7054,6411,423,291SH DFND2,5,20275,05400
ANWORTH MTG ASSET CORPReal Estate Investment Trust03734710116,2882,993,362SH DFND1,2,5,8,10,20477,31800
APOGEE ENTERPRISES INCCommon equity shares03759810952,2851,143,354SH DFND1,2,5,8,20531,81100
APPLIED INDUSTRIAL TECH INCCommon equity shares03820C10580,0051,174,782SH DFND1,2,5,8,10,20312,10900
TRECORA RESOURCESCommon equity shares8946481044,829357,614SH DFND2,5,2050,96500
ARCBEST CORPCommon equity shares03937C10525,829722,416SH DFND1,2,5,8,2094,73200
ARQULE INCCommon equity shares04269E1075532,898SH DFND20000
ARRAY BIOPHARMA INCCommon equity shares04269X105119,1009,304,834SH DFND1,2,5,8,20669,33800
ARROW ELECTRONICS INCCommon equity shares042735100269,5703,352,519SH DFND1,2,5,6,8,10,11,12,13,18,20391,46300
ARROW FINANCIAL CORPCommon equity shares0427441028,668255,201SH DFND1,2,5,8,2040,68500
ARTESIAN RESOURCES -CL ACommon equity shares0431132086,565170,242SH DFND2,5,2024,92300
MERITOR INCCommon equity shares59001K10043,1961,841,331SH DFND1,2,5,8,10,13,20367,43000
ASPEN TECHNOLOGY INCCommon equity shares045327103100,2991,515,105SH DFND1,2,5,8,10,13,20292,74300
ASSOCIATED BANC-CORPCommon equity shares045487105188,4817,420,405SH DFND1,2,5,6,8,11,12,13,20391,59400
ASTEC INDUSTRIES INCCommon equity shares04622410132,105548,738SH DFND1,2,5,8,20118,74300
ASTRAZENECA PLCAmerican Depository Receipt0463531088,582247,312SH DFND1,20000
ASTRONICS CORPCommon equity shares04643310827,666667,172SH DFND1,2,5,8,2086,58900
TG THERAPEUTICS INCCommon equity shares88322Q10827,9753,411,666SH DFND1,2,5,20169,57000
ATN INTERNATIONAL INCCommon equity shares00215F10716,593300,139SH DFND1,2,5,8,2040,62300
ATMOS ENERGY CORPCommon equity shares049560105538,2256,266,472SH DFND1,2,5,6,8,10,11,12,13,18,19,20460,51100
ATRION CORPCommon equity shares04990410521,49834,089SH DFND1,2,5,8,10,205,45400
VOXX INTERNATIONAL CORPCommon equity shares91829F1041,743311,348SH DFND2,2042,87300
AUTOWEB INCCommon equity shares05335B10061668,390SH DFND2,2060,50000
AUTOLIV INCCommon equity shares052800109106,921841,381SH DFND1,2,5,6,8,10,11,12,13,18,20174,02800
SCIENTIFIC GAMES CORPCommon equity shares80874P10968,0441,326,296SH DFND1,2,5,8,20211,79000
CELLDEX THERAPEUTICS INCCommon equity shares15117B1036,2072,187,203SH DFND2,5,8,20367,22000
A V HOMES INCCommon equity shares00234P1024,077244,833SH DFND2,5,2058,09000
AVID TECHNOLOGY INCCommon equity shares05367P1002,974550,985SH DFND2,2080,14900
AVISTA CORPCommon equity shares05379B10790,6141,759,817SH DFND1,2,5,8,13,20240,65000
BOK FINANCIAL CORPCommon equity shares05561Q20162,413675,999SH DFND1,2,5,8,13,2054,62100
BP PLCAmerican Depository Receipt0556221041,182,35828,131,291SH DFND20000
BADGER METER INCCommon equity shares05652510835,446741,502SH DFND1,2,5,8,20102,17000
BALCHEM CORP -CL BCommon equity shares05766520063,563788,682SH DFND1,2,5,8,20119,24300
BALDWIN ; LYONS -CL BRight to purchase or put a security Has an expiration date0577552097,058294,629SH DFND2,5,2027,92500
DIAMOND HILL INVESTMENT GRPCommon equity shares25264R20713,00762,938SH DFND1,2,5,8,209,76400
BANCFIRST CORP/OKCommon equity shares05945F10316,960331,550SH DFND1,2,5,8,2056,41100
BRADESCO BANCOAmerican Depository Receipt059460303103,46510,103,862SH DFND2,5,6,8,10,13,20349,02100
BBVAAmerican Depository Receipt05946K10119923,357SH DFND5,12,205,72300
BANCO SANTANDER SAAmerican Depository Receipt05964H1056,9111,056,962SH DFND5,10,12,20359,75700
BANCO SANTANDER-CHILEAmerican Depository Receipt05965X10914,223454,815SH DFND2,5,6,8,10,13,2027,09200
BANCOLOMBIA SAAmerican Depository Receipt05968L10221,952553,564SH DFND2,5,6,10,13,2015,23000
BANCORPSOUTH INCCommon equity shares05971J102158,6735,045,188SH DFND1,2,5,6,8,11,20395,35200
XENITH BANKSHARES INCCommon equity shares9841022024,176123,464SH DFND2,2016,17700
BANK OF MARIN BANCORPCommon equity shares0634251027,210106,029SH DFND1,2,5,2016,76100
BANK OF MONTREALCommon equity shares0636711011,83422,917SH DFND5,12,201,94300
BANK MUTUAL CORPCommon equity shares06375010311,7391,101,921SH DFND1,2,5,8,20168,42400
BANK OF THE OZARKSCommon equity shares063904106299,0826,172,972SH DFND1,2,5,6,8,11,13,20303,05400
SIERRA BANCORP/CACommon equity shares82620P1025,938223,559SH DFND2,5,2035,56200
MITSUBISHI UFJ FINANCIAL GRPAmerican Depository Receipt60682210418525,536SH DFND20000
BAR HARBOR BANKSHARESCommon equity shares0668491008,051298,129SH DFND1,2,5,2039,11900
BARCLAYS PLCAmerican Depository Receipt06738E20430728,113SH DFND1,20000
BARNES GROUP INCCommon equity shares06780610990,5151,430,642SH DFND1,2,5,8,10,20330,04900
BARRICK GOLD CORPCommon equity shares06790110815,4521,067,851SH DFND2,5,20000
BARRETT BUSINESS SVCS INCCommon equity shares0684631088,945138,757SH DFND1,2,5,2023,96900
EARTHSTONE ENERGY INCCommon equity shares27032D3042,094197,177SH DFND2,2035,63200
BASSETT FURNITURE INDSCommon equity shares0702031046,848182,097SH DFND2,5,2029,73500
BEASLEY BROADCAST GROUP INCCommon equity shares07401410177257,652SH DFND2,207,67100
BEAZER HOMES USA INCCommon equity shares07556Q88111,382592,502SH DFND1,2,5,8,2093,45600
BEL FUSE INCCommon equity shares0773473007,838311,235SH DFND2,5,2035,53300
BERKLEY (W R) CORPCommon equity shares084423102286,6954,001,333SH DFND1,2,5,6,8,10,11,12,13,18,20452,67900
BERKSHIRE HATHAWAYCommon equity shares084670108172,609580SH DFND1,5,6,8,12,13,202600
BERKSHIRE HATHAWAYCommon equity shares08467070216,665,85684,077,499SH DFND1,2,5,6,8,10,11,12,13,18,208,039,35400
BERKSHIRE HILLS BANCORP INCCommon equity shares08468010746,6681,275,207SH DFND1,2,5,8,20170,73800
BHP BILLITON GROUP (AUS)American Depository Receipt0886061083,28971,519SH DFND1,5,208,93900
BIO-RAD LABORATORIES INCCommon equity shares090572207131,371550,442SH DFND1,2,5,6,8,11,13,2053,43600
BIOANALYTICAL SYSTEMS INCCommon equity shares09058M1032510,200SH DFND20000
BIOCRYST PHARMACEUTICALS INCCommon equity shares09058V10319,1203,894,547SH DFND1,2,5,8,20263,44200
SAVARA INCCommon equity shares80511110133322,501SH DFND2,20000
BIOMARIN PHARMACEUTICAL INCCommon equity shares09061G101356,2073,994,575SH DFND1,2,5,6,8,10,11,12,13,18,20562,30400
BIOTIME INCCommon equity shares09066L1052,9941,392,950SH DFND2,5,20201,43300
VALEANT PHARMACEUTICALS INTLCommon equity shares91911K1023,180153,117SH DFND5,20146,52000
BIOLASE INCCommon equity shares0909111081025,076SH DFND20000
BIOSPECIFICS TECHNOLOGIES CPCommon equity shares0909311064,04693,381SH DFND2,5,2014,40600
CASCADIAN THERAPEUTICS INCCommon equity shares14740B6061,892511,169SH DFND2,2074,60000
BLACK BOX CORPCommon equity shares09182610726975,762SH DFND2,5,20000
BLACK HILLS CORPCommon equity shares092113109257,0684,276,762SH DFND1,2,5,6,8,11,12,13,20236,76000
BLACKROCK INCCommon equity shares09247X1012,822,5505,494,453SH DFND1,2,5,6,8,10,11,12,13,18,20599,05900
BOB EVANS FARMSCommon equity shares09676110139,719503,933SH DFND1,2,5,8,2074,62200
OCLARO INCCommon equity shares67555N20628,3674,209,655SH DFND1,2,5,8,20591,24600
BORGWARNER INCCommon equity shares099724106449,2188,792,610SH DFND1,2,5,6,8,10,11,12,13,18,201,429,28300
BOSTON BEER INC -CL ACommon equity shares10055710761,597322,329SH DFND1,2,5,6,8,2063,71000
BOSTON PRIVATE FINL HOLDINGSCommon equity shares10111910543,5572,818,913SH DFND1,2,5,8,10,20351,39000
BOTTOMLINE TECHNOLOGIES INCCommon equity shares10138810636,6941,058,083SH DFND1,2,5,8,20182,49600
BOVIE MEDICAL CORPCommon equity shares10211F1003513,468SH DFND2,20000
BOYD GAMING CORPCommon equity shares10330410172,1282,057,824SH DFND1,2,5,8,20310,64300
BRADY CORPCommon equity shares10467410647,4651,252,380SH DFND1,2,5,8,10,20248,04800
BRANDYWINE REALTY TRUSTReal Estate Investment Trust10536820388,6194,871,802SH DFND1,2,5,8,10,13,18,20621,93800
BROOKFIELD ASSET MANAGEMENTCommon equity shares1125851047,843180,144SH DFND20000
BRIDGE BANCORP INCCommon equity shares10803510612,056344,382SH DFND1,2,5,8,2051,00900
BRIGGS ; STRATTONCommon equity shares10904310932,6331,286,307SH DFND1,2,5,8,10,20216,14400
BRITISH AMER TOBACCO PLCAmerican Depository Receipt110448107258,2873,855,698SH DFND1,2,5,8,10,11,12,13,18,20150,82300
CINCINNATI BELL INCCommon equity shares17187150222,7351,090,354SH DFND1,2,5,8,20164,40400
BROOKLINE BANCORP INCCommon equity shares11373M10743,1412,747,456SH DFND1,2,5,8,20302,29000
BROWN ; BROWN INCCommon equity shares115236101274,9755,343,504SH DFND1,2,5,6,8,11,12,13,20308,44600
BROWN FORMAN CORPCommon equity shares11563710016,863250,746SH DFND1,2,5,13,2069,23600
CALERES INCCommon equity shares12950010441,2441,231,963SH DFND1,2,5,8,20161,29600
BRUKER CORPCommon equity shares11679410856,4251,644,001SH DFND1,2,5,8,20385,29000
MATERION CORPCommon equity shares57669010131,972657,855SH DFND1,2,5,8,10,2097,59800
BRYN MAWR BANK CORPCommon equity shares11766510918,824425,855SH DFND1,2,5,20155,16100
BUCKEYE PARTNERS LPLimited Partnership11823010185517,259SH DFND2017,25900
BUCKLE INCCommon equity shares11844010629,1901,228,951SH DFND1,2,5,8,20248,21100
C;F FINANCIAL CORPCommon equity shares12466Q1042,70146,589SH DFND2,206,26300
CBL ; ASSOCIATES PPTYS INCReal Estate Investment Trust12483010039,1236,911,794SH DFND1,2,5,8,10,12,13,18,20807,14400
CECO ENVIRONMENTAL CORPCommon equity shares1251411012,540494,645SH DFND2,5,2084,38100
INUVO INCCommon equity shares46122W204810,357SH DFND20000
C H ROBINSON WORLDWIDE INCCommon equity shares12541W209578,0396,488,139SH DFND1,2,5,6,8,10,11,12,13,18,20770,57200
CENTRAL PACIFIC FINANCIAL CPCommon equity shares15476040931,2081,046,006SH DFND1,2,5,8,10,20144,17000
CSS INDUSTRIES INCCommon equity shares1259061077,485268,946SH DFND2,5,2038,71500
CNA FINANCIAL CORPCommon equity shares12611710017,384327,688SH DFND1,2,5,6,12,13,2041,76900
CNB FINANCIAL CORP/PACommon equity shares1261281076,753257,423SH DFND1,2,5,2039,13400
CNOOC LTDAmerican Depository Receipt1261321094102,849SH DFND6,8,20000
CSG SYSTEMS INTL INCCommon equity shares12634910940,274919,095SH DFND1,2,5,8,10,20152,93000
CTS CORPCommon equity shares12650110520,060779,028SH DFND1,2,5,8,20107,83400
CVB FINANCIAL CORPCommon equity shares12660010596,5614,098,705SH DFND1,2,5,8,20642,29000
BELDEN INCCommon equity shares077454106112,2731,454,881SH DFND1,2,5,6,8,11,13,20181,94100
CABOT CORPCommon equity shares127055101108,7851,766,309SH DFND1,2,5,6,8,11,13,20162,23200
CABOT OIL ; GAS CORPCommon equity shares127097103724,34225,326,711SH DFND1,2,5,6,8,10,11,12,13,18,202,311,60100
CABOT MICROELECTRONICS CORPCommon equity shares12709P10359,474632,143SH DFND1,2,5,8,2094,69500
CADIZ INCCommon equity shares1275372074,638325,719SH DFND2,5,2046,47100
HELIX ENERGY SOLUTIONS GROUPCommon equity shares42330P10733,5824,453,713SH DFND1,2,5,8,20475,26800
CAL-MAINE FOODS INCCommon equity shares12803020235,688802,912SH DFND1,2,5,8,20130,72400
CALGON CARBON CORPCommon equity shares12960310627,3221,282,715SH DFND1,2,5,8,20201,90500
CALAMP CORPCommon equity shares12812610918,729873,787SH DFND1,2,5,8,20129,89900
CALIFORNIA WATER SERVICE GPCommon equity shares13078810257,6891,272,111SH DFND1,2,5,8,19,20181,51900
CALLAWAY GOLF COCommon equity shares13119310432,3602,322,890SH DFND1,2,5,8,20347,29500
CALLON PETROLEUM CO/DECommon equity shares13123X102133,32710,973,623SH DFND1,2,5,6,11,20901,14100
CAMBREX CORPCommon equity shares13201110739,912831,444SH DFND1,2,5,8,20149,56900
CAMBRIDGE BANCORPCommon equity shares1321521092092,600SH DFND20000
CAMDEN NATIONAL CORPCommon equity shares13303410813,413318,256SH DFND1,2,5,8,2068,98800
CANADIAN IMPERIAL BANKCommon equity shares13606910111,456117,629SH DFND2,2029,15300
ICONIX BRAND GROUP INCCommon equity shares4510551071,5151,175,881SH DFND2,5,8,20148,57500
CANON INCAmerican Depository Receipt13800630950813,563SH DFND20000
CANTEL MEDICAL CORPCommon equity shares13809810898,780960,235SH DFND1,2,5,8,13,20163,92800
CAPITAL CITY BK GROUP INCCommon equity shares1396741055,762251,211SH DFND2,5,2041,85200
CAPITAL SENIOR LIVING CORPCommon equity shares1404751048,106600,984SH DFND1,2,5,8,2099,36900
BLACKSTONE MORTGAGE TR INCReal Estate Investment Trust09257W1008,820274,127SH DFND2,5,8,13,2028,27000
CAPITOL FEDERAL FINL INCCommon equity shares14057J10140,1002,990,092SH DFND1,2,5,6,8,12,13,20457,22900
CAPSTONE TURBINE CORPCommon equity shares14067D409710,483SH DFND20000
CAPSTEAD MORTGAGE CORPReal Estate Investment Trust14067E50625,8792,991,977SH DFND1,2,5,6,8,20343,42500
CARBO CERAMICS INCCommon equity shares1407811055,337524,407SH DFND2,5,2073,46600
CARLISLE COS INCCommon equity shares142339100311,7062,742,670SH DFND1,2,5,6,8,11,13,20163,27300
CARRIAGE SERVICES INCCommon equity shares1439051077,738300,899SH DFND1,2,5,2049,10100
CARPENTER TECHNOLOGY CORPCommon equity shares144285103109,4962,147,373SH DFND1,2,5,6,8,11,13,20221,39500
CARRIZO OIL ; GAS INCCommon equity shares14457710391,9274,319,879SH DFND1,2,5,20432,00600
BAY BANCORP INCCommon equity shares07203T10617213,954SH DFND2011,35400
CASELLA WASTE SYS INC -CL ACommon equity shares14744810416,584720,364SH DFND1,2,5,20107,28000
CASEYS GENERAL STORES INCCommon equity shares147528103123,9961,107,740SH DFND1,2,5,6,8,11,12,13,20112,01100
CASS INFORMATION SYSTEMS INCCommon equity shares14808P10914,173243,526SH DFND1,2,5,8,2048,76100
CATHAY GENERAL BANCORPCommon equity shares149150104165,2673,919,063SH DFND1,2,5,6,8,10,11,20338,45900
CATO CORP -CL ACommon equity shares14920510614,301898,200SH DFND1,2,5,8,2094,10100
CEDAR REALTY TRUST INCReal Estate Investment Trust15060220920,4783,368,388SH DFND1,2,5,8,10,18,20427,66200
CELADON GROUP INCCommon equity shares15083810016325,576SH DFND2,20000
CTI BIOPHARMA CORPCommon equity shares12648L6015821,505SH DFND2,20000
CELGENE CORPCommon equity shares1510201043,357,84432,175,605SH DFND1,2,5,6,8,10,11,12,13,18,204,137,00800
ADAMIS PHARMACEUTICALS CORPCommon equity shares00547W20821248,126SH DFND2,20000
TRANSENTERIX INCCommon equity shares89366M20111359,016SH DFND2,20000
CEMEX SAB DE CVAmerican Depository Receipt1512908894,185557,979SH DFND1,2,5,6,13,20170,85300
CONNECTONE BANCORP INCCommon equity shares20786W10720,837809,246SH DFND1,2,5,8,2099,96900
CENTERSTATE BANK CORPCommon equity shares15201P10941,0061,593,685SH DFND1,2,5,8,20183,08600
ELETROBRAS-CENTR ELETR BRASAmerican Depository Receipt15234Q1082,803412,496SH DFND2,10,2019,80000
ELETROBRAS-CENTR ELETR BRASAmerican Depository Receipt15234Q207803140,892SH DFND2,2015,50000
CENTRAL GARDEN ; PET COCommon equity shares1535271069,873253,698SH DFND1,2,5,2036,88100
CENTRAL VALLEY CMNTY BANCORPCommon equity shares1556851002,907144,259SH DFND2,5,2021,45200
CENTURY ALUMINUM COCommon equity shares15643110876,4203,890,949SH DFND1,2,5,8,20175,12000
CENTURY BANCORP INC/MACommon equity shares1564321064,33955,476SH DFND2,208,65900
CBIZ INCCommon equity shares12480510216,4521,064,797SH DFND1,2,5,8,20182,01200
CENTURY CASINOS INCCommon equity shares1564921002,894316,940SH DFND2,2045,26500
CERNER CORPCommon equity shares156782104863,31812,810,824SH DFND1,2,5,6,8,10,11,12,13,18,201,523,59400
COCA-COLA EUROPEAN PARTNERSCommon equity sharesG2583910442,2151,059,242SH DFND2,5,6,10,11,12,13,18,20257,90400
CERUS CORPCommon equity shares1570851017,4662,208,815SH DFND1,2,5,8,20296,60700
CRA INTERNATIONAL INCCommon equity shares12618T1059,156203,719SH DFND2,5,10,2050,57300
CHASE CORPCommon equity shares16150R10416,740138,924SH DFND1,2,5,10,2023,99100
CHEESECAKE FACTORY INCCommon equity shares16307210176,0211,577,822SH DFND1,2,5,6,8,11,20227,19100
CHEMED CORPCommon equity shares16359R103109,514450,656SH DFND1,2,5,6,8,10,13,2067,70500
CHEMICAL FINANCIAL CORPCommon equity shares163731102180,9053,383,358SH DFND1,2,5,6,8,11,13,20308,92500
CHEMUNG FINANCIAL CORPCommon equity shares1640241012,37249,313SH DFND2,208,74000
CHENIERE ENERGY INCCommon equity shares16411R208224,7054,173,453SH DFND1,2,5,6,8,10,11,12,13,18,19,20724,64700
CHESAPEAKE UTILITIES CORPCommon equity shares16530310825,444323,892SH DFND1,2,5,8,2052,37300
BJ`S RESTAURANTS INCCommon equity shares09180C10619,483535,257SH DFND1,2,5,8,20102,33700
CHILDRENS PLACE INCCommon equity shares16890510777,133530,629SH DFND1,2,5,8,10,2086,84900
CHINA MOBILE LTDAmerican Depository Receipt16941M10988017,380SH DFND1,6,20000
CHINA PETROLEUM ; CHEM CORPAmerican Depository Receipt16941R1084,09355,779SH DFND1,5,6,8,13,2019,10000
CHOICE HOTELS INTL INCCommon equity shares16990510636,896475,418SH DFND1,2,5,8,13,2080,65700
CHRISTOPHER ; BANKS CORPCommon equity shares1710461052418,745SH DFND20000
CHURCH ; DWIGHT INCCommon equity shares171340102766,87915,285,965SH DFND1,2,5,6,8,10,11,12,13,18,201,606,94100
CHURCHILL DOWNS INCCommon equity shares171484108108,359465,654SH DFND1,2,5,6,8,10,2060,18900
VERMILLION INCCommon equity shares92407M2063316,995SH DFND2,20000
CIRCOR INTL INCCommon equity shares17273K10920,193414,897SH DFND1,2,5,8,2062,77800
CIRRUS LOGIC INCCommon equity shares172755100126,8332,445,653SH DFND1,2,5,6,8,10,11,13,20302,86000
READING INTL INC -CL ACommon equity shares7554081014,776285,874SH DFND2,5,2046,30600
CITIZENS ; NORTHERN CORPCommon equity shares1729221065,889245,306SH DFND2,5,2034,05400
CITIZENS INCCommon equity shares1747401006,588896,169SH DFND2,5,8,20144,46500
CITY HOLDING COCommon equity shares17783510536,068534,616SH DFND1,2,5,8,2059,54700
CLARUS CORPORATIONCommon equity shares18270P1092,281290,738SH DFND2,2037,45100
CLEAN HARBORS INCCommon equity shares18449610789,2301,646,290SH DFND1,2,5,6,8,11,13,20361,72900
CLEVELAND-CLIFFS INCCommon equity shares18589910185,15111,810,291SH DFND1,2,5,8,13,201,027,44900
COCA-COLA BTLNG CONSCommon equity shares19109810225,950120,527SH DFND1,2,5,8,2018,97300
COCA-COLA FEMSA SAB DE CVAmerican Depository Receipt19124110875110,788SH DFND2,6,13,201,39000
CODORUS VALLEY BANCORPCommon equity shares1920251044,144150,493SH DFND2,5,2023,67500
COEUR MINING INCCommon equity shares19210850455,8387,444,951SH DFND1,2,5,8,20599,33400
COGNEX CORPCommon equity shares192422103334,5425,469,993SH DFND1,2,5,6,8,10,11,12,13,18,20674,66500
COGNIZANT TECH SOLUTIONSCommon equity shares1924461021,633,53823,001,067SH DFND1,2,5,6,8,10,11,12,13,18,202,965,30900
COHERENT INCCommon equity shares192479103187,144663,108SH DFND1,2,5,6,8,11,13,2067,52700
COHU INCCommon equity shares19257610616,034730,596SH DFND1,2,5,8,20125,01300
COLLECTORS UNIVERSE INCCommon equity shares19421R2003,728130,220SH DFND2,2017,80100
COBIZ FINANCIAL INCCommon equity shares19089710814,535727,076SH DFND1,2,5,8,20127,01800
COLUMBIA BANKING SYSTEM INCCommon equity shares197236102132,2003,043,352SH DFND1,2,5,8,20281,71500
COLUMBIA SPORTSWEAR COCommon equity shares19851610641,643579,331SH DFND1,2,5,8,2094,59200
COLUMBUS MCKINNON CORPCommon equity shares19933310516,098402,601SH DFND1,2,5,8,2070,86400
COMFORT SYSTEMS USA INCCommon equity shares19990810442,129965,179SH DFND1,2,5,8,10,20164,06000
COMMERCE BANCSHARES INCCommon equity shares200525103340,6436,100,391SH DFND1,2,5,6,8,11,12,13,20248,23300
COMMERCIAL METALSCommon equity shares201723103128,3016,017,906SH DFND1,2,5,6,8,11,12,13,20650,21300
NATIONAL RETAIL PROPERTIESReal Estate Investment Trust637417106627,24214,542,867SH DFND1,2,5,6,8,10,11,12,13,18,19,20767,70000
COMMUNITY BANK SYSTEM INCCommon equity shares203607106190,4633,542,919SH DFND1,2,5,8,20259,59700
COMMUNITY TRUST BANCORP INCCommon equity shares20414910814,658311,176SH DFND1,2,5,8,2052,62200
CIA ENERGETICA DE MINASAmerican Depository Receipt2044096014,2942,084,790SH DFND2,5,6,10,2051,43800
CIA BRASILEIRA DE DISTRIBAmerican Depository Receipt20440T2018,169346,582SH DFND2,5,6,10,13,2011,77900
COMPANHIA SIDERURGICA NACIONAmerican Depository Receipt20440W1054,2911,751,921SH DFND2,5,6,10,2041,20000
AMBEV SAAmerican Depository Receipt02319V103100,32415,529,922SH DFND1,2,5,6,10,13,20320,55900
COMPANIA CERVECERIAS UNIDASAmerican Depository Receipt2044291048,997304,165SH DFND2,5,6,13,205,86500
COMTECH TELECOMMUNCommon equity shares20582620912,491564,790SH DFND2,5,8,2074,32500
CONMED CORPCommon equity shares20741010145,521892,466SH DFND1,2,5,8,20269,38700
CONNECTICUT WATER SVC INCCommon equity shares20779710113,982243,646SH DFND1,2,5,8,2035,85700
CNX RESOURCES CORPORATIONCommon equity shares12653C108127,7108,729,752SH DFND1,2,5,6,11,12,13,20454,34500
CONSOLIDATED TOMOKA LAND COCommon equity shares2102261065,37884,683SH DFND2,5,2017,43900
CONSUMER PORTFOLIO SVCS INCCommon equity shares2105021005914,200SH DFND2,20000
CONTANGO OIL ; GAS COCommon equity shares21075N2041,756372,976SH DFND2,5,2064,59000
COOPER COMPANIES INCCommon equity shares216648402512,9812,354,409SH DFND1,2,5,6,8,10,11,12,13,18,20260,21200
COPART INCCommon equity shares217204106234,9385,439,639SH DFND1,2,5,6,8,11,13,20551,91900
CORE MOLDING TECHNOLOGIESCommon equity shares2186831002,299105,955SH DFND2,2015,84200
INGREDION INCCommon equity shares457187102419,0592,997,519SH DFND1,2,5,6,8,10,11,12,13,18,20380,39000
CORECIVIC INCCommon equity shares21871N10170,4773,132,031SH DFND1,2,5,6,8,11,12,13,20168,99200
CORVEL CORPCommon equity shares22100610915,325289,664SH DFND1,2,5,8,10,2039,26900
COSTAR GROUP INCCommon equity shares22160N109189,827639,272SH DFND1,2,5,6,8,10,11,12,13,18,20119,73400
COUSINS PROPERTIES INCReal Estate Investment Trust222795106191,65320,713,257SH DFND1,2,5,6,8,10,11,18,203,037,96000
COVENANT TRANSPORTATION GRPCommon equity shares22284P1056,582229,043SH DFND2,5,2046,42400
MAJESCOCommon equity shares56068V10211320,830SH DFND2,208,80000
CRAWFORD ; COCommon equity shares2246331072,989310,712SH DFND2,5,2088,98400
CRAWFORD ; COCommon equity shares22463320611613,688SH DFND20000
CRAY INCCommon equity shares22522330424,155997,988SH DFND1,2,5,8,20144,60300
CREDIT ACCEPTANCE CORPCommon equity shares22531010144,797138,508SH DFND1,2,5,8,13,2021,42500
CREDIT SUISSE GROUPAmerican Depository Receipt22540110884247,189SH DFND1,20000
THERAPEUTICSMD INCRight to purchase or put a security Has an expiration date88338N10723,6203,910,939SH DFND1,2,5,8,20536,61700
CROWN CASTLE INTL CORPCommon equity shares22822V1011,776,74116,005,297SH DFND1,2,5,6,8,10,11,12,13,18,19,201,940,82700
CROWN HOLDINGS INCCommon equity shares228368106146,6672,607,128SH DFND1,2,5,6,8,10,11,12,13,18,20540,18200
AMERICA`S CAR-MART INCCommon equity shares03062T1057,529168,704SH DFND2,5,2051,53900
CRYOLIFE INCCommon equity shares22890310015,675818,850SH DFND1,2,5,20105,22500
CUBIC CORPCommon equity shares22966910654,342921,851SH DFND1,2,5,8,2097,79900
CULLEN/FROST BANKERS INCCommon equity shares229899109465,3954,916,973SH DFND1,2,5,6,8,11,12,13,20205,10000
CULP INCCommon equity shares2302151056,519194,490SH DFND1,2,5,2034,10200
CURIS INCCommon equity shares2312691011,3141,875,299SH DFND2,5,20300,71200
CURTISS-WRIGHT CORPCommon equity shares231561101226,5321,859,092SH DFND1,2,5,6,8,10,11,13,20199,87600
CYBEROPTICS CORPCommon equity shares2325171021,42294,552SH DFND2,2010,69500
LIVANOVA PLCCommon equity sharesG5509L101130,3051,630,381SH DFND1,2,5,6,8,11,13,20205,48700
CYPRESS SEMICONDUCTOR CORPCommon equity shares232806109145,5349,549,634SH DFND1,2,5,6,8,11,13,20821,51300
OPKO HEALTH INCCommon equity shares68375N10369,01214,083,806SH DFND1,2,5,8,13,20678,11300
KINGSTONE COS INCCommon equity shares4967191052,178115,788SH DFND2,2017,91300
DNB FINANCIAL CORPCommon equity shares2332371061,28638,156SH DFND2,204,99400
DSP GROUP INCCommon equity shares23332B1067,368589,289SH DFND2,5,2086,90700
DXP ENTERPRISES INCCommon equity shares23337740710,827366,116SH DFND1,2,5,8,2052,58100
DAILY JOURNAL CORPCommon equity shares2339121044,33118,800SH DFND2,5,203,01000
DAKTRONICS INCCommon equity shares2342641098,585940,091SH DFND1,2,5,8,20156,94800
COVANTA HOLDING CORPCommon equity shares22282E10241,4072,450,051SH DFND1,2,5,13,20411,38500
DARLING INGREDIENTS INCCommon equity shares23726610192,4605,099,496SH DFND1,2,5,8,12,13,201,471,80000
DAVITA INCCommon equity shares23918K108514,2287,117,348SH DFND1,2,5,6,8,10,11,12,13,18,20873,84300
DECKERS OUTDOOR CORPCommon equity shares24353710792,8611,157,217SH DFND1,2,5,6,8,11,12,13,20203,31700
DELTA APPAREL INCCommon equity shares2473681032,178107,810SH DFND2,2017,94400
DELTIC TIMBER CORPCommon equity shares24785010025,877282,710SH DFND1,2,5,8,2041,08000
DENBURY RESOURCES INCCommon equity shares24791620834,07815,418,710SH DFND1,2,5,12,201,452,45000
DENTSPLY SIRONA INCCommon equity shares24906P109623,6789,474,184SH DFND1,2,5,6,8,10,11,12,13,18,201,102,86100
DEPOMED INCCommon equity shares24990810415,6771,948,154SH DFND1,2,5,8,20317,25400
DESTINATION XL GROUP INCCommon equity shares25065K1045625,579SH DFND20000
ADTALEM GLOBAL EDUCATION INCCommon equity shares00737L10387,4732,080,272SH DFND1,2,5,6,8,11,13,20240,34100
DIAGEO PLCAmerican Depository Receipt25243Q2051,1257,710SH DFND1,20000
DIAMOND OFFSHRE DRILLING INCCommon equity shares25271C10254,0632,908,267SH DFND1,2,5,6,8,11,12,13,20261,97300
DIEBOLD NIXDORF INCCommon equity shares25365110349,7863,045,109SH DFND1,2,5,6,8,11,13,20802,82500
DIGI INTERNATIONAL INCCommon equity shares2537981027,367771,385SH DFND2,5,2089,92600
DIME COMMUNITY BANCSHARESCommon equity shares25392210818,490882,621SH DFND1,2,5,8,20143,87200
DIODES INCCommon equity shares25454310136,3501,267,755SH DFND1,2,5,8,10,20193,60200
INFINITY PHARMACEUTICALS INCCommon equity shares45665G30312159,605SH DFND20000
NAUTILUS INCCommon equity shares63910B10210,096756,200SH DFND1,2,5,8,20110,80000
DONALDSON CO INCCommon equity shares257651109293,6735,999,422SH DFND1,2,5,6,8,11,13,20367,52300
ASCENA RETAIL GROUP INCCommon equity shares04351G10110,5484,489,631SH DFND1,2,5,8,13,20617,39600
LCI INDUSTRIESCommon equity shares50189K10381,938630,268SH DFND1,2,5,8,13,20113,11700
DRIL-QUIP INCCommon equity shares26203710475,7411,587,788SH DFND1,2,5,6,8,11,20200,51100
PACIFIC ETHANOL INCCommon equity shares69423U3052,774609,142SH DFND2,5,2096,04600
DUCOMMUN INCCommon equity shares2641471095,580196,250SH DFND2,5,2024,76600
DURECT CORPCommon equity shares2666051042,1282,309,474SH DFND2,5,20391,86600
DYCOM INDUSTRIES INCCommon equity shares267475101120,5391,081,715SH DFND1,2,5,6,8,11,13,20166,38100
DMC GLOBAL INCCommon equity shares23291C1035,410215,846SH DFND2,5,2034,26900
DYNEX CAPITAL INCReal Estate Investment Trust26817Q5069,2881,325,327SH DFND2,5,8,10,20203,61000
EMC INSURANCE GROUP INCCommon equity shares2686641094,804167,429SH DFND2,5,2022,81500
EAGLE BANCORP INC/MDCommon equity shares26894810652,522907,104SH DFND1,2,5,8,20106,08400
EAST WEST BANCORP INCCommon equity shares27579R104456,6387,506,804SH DFND1,2,5,6,8,10,11,12,13,18,20562,78200
EASTERN COCommon equity shares2763171041,94474,407SH DFND2,2011,53100
EATON VANCE CORPCommon equity shares278265103413,4337,331,861SH DFND1,2,5,6,8,10,11,12,13,18,20505,10100
EBIX INCCommon equity shares27871520647,978605,378SH DFND1,2,5,8,2091,26800
EL PASO ELECTRIC COCommon equity shares28367785463,0581,139,177SH DFND1,2,5,8,12,20165,91400
AROTECH CORPCommon equity shares0426822034412,094SH DFND2,20000
ELECTRO SCIENTIFIC INDS INCCommon equity shares28522910015,364716,779SH DFND1,2,5,2086,12300
ELECTRONICS FOR IMAGING INCCommon equity shares28608210234,1341,155,983SH DFND1,2,5,8,20174,62800
ELLIS PERRY INTL INCCommon equity shares2888531047,794311,259SH DFND2,5,2054,34700
EMAGIN CORPCommon equity shares29076N2061810,510SH DFND20000
EMBRAER SAAmerican Depository Receipt29082A10713,775575,548SH DFND1,2,5,10,2066,88100
EMBOTELLADORA ANDINA SAAmerican Depository Receipt29081P2042369,114SH DFND20000
EMBOTELLADORA ANDINA SAAmerican Depository Receipt29081P30357019,688SH DFND5,20000
EMCORE CORPCommon equity shares2908462032,856442,836SH DFND2,5,2063,33100
EMCOR GROUP INCCommon equity shares29084Q100170,5902,086,579SH DFND1,2,5,6,8,10,11,12,13,20274,32300
ENEL GENERACION CHILE SAAmerican Depository Receipt29244T10111,830439,613SH DFND2,5,6,10,13,2016,69500
ENCORE WIRE CORPCommon equity shares29256210524,488503,347SH DFND1,2,5,8,2072,07300
ENDO INTERNATIONAL PLCCommon equity sharesG3040110660,7087,833,049SH DFND1,2,5,6,8,11,12,13,20543,02000
ENERGEN CORPCommon equity shares29265N108196,0263,404,910SH DFND1,2,5,6,11,12,13,20248,60300
ENEL AMERICAS SAAmerican Depository Receipt29274F10437,9583,397,972SH DFND2,5,6,8,10,13,20198,31000
ENNIS INCCommon equity shares29338910215,746758,884SH DFND1,2,5,8,10,20126,59800
ENSTAR GROUP LTDCommon equity sharesG3075P10159,702297,398SH DFND1,2,5,8,2038,30600
ENTERCOM COMMUNICATIONS CORPCommon equity shares29363910033,1303,067,169SH DFND1,2,5,6,8,13,20616,20500
ENTERPRISE PRODS PRTNRS -LPLimited Partnership2937921073,818144,032SH DFND20144,03200
EPR PROPERTIESReal Estate Investment Trust26884U109142,3512,174,610SH DFND1,2,5,6,8,10,11,13,19,20234,84400
ENTRAVISION COMMUNICATIONSCommon equity shares29382R1078,9381,250,409SH DFND1,2,5,20218,86300
ENZO BIOCHEM INCCommon equity shares2941001025,870720,137SH DFND2,5,10,20106,41100
EPLUS INCCommon equity shares29426810726,750355,672SH DFND1,2,5,8,10,2061,54800
EQUINIX INCCommon equity shares29444U7001,335,5002,946,699SH DFND1,2,5,6,8,10,11,12,13,18,20369,73100
EQT CORPCommon equity shares26884L109784,77713,787,567SH DFND1,2,5,6,8,10,11,12,13,18,19,201,132,91200
ERIE INDEMNITY CO -CL ACommon equity shares29530P10243,809359,575SH DFND1,2,5,8,13,2054,00300
ESCALADE INCCommon equity shares2960561041,703138,445SH DFND2,2020,87500
ESCO TECHNOLOGIES INCCommon equity shares29631510440,342669,618SH DFND1,2,5,8,2099,39700
BGC PARTNERS INCCommon equity shares05541T10151,6723,419,830SH DFND1,2,5,8,13,20465,72500
ESTERLINE TECHNOLOGIES CORPCommon equity shares297425100101,3921,357,390SH DFND1,2,5,6,8,11,13,20120,92600
ETHAN ALLEN INTERIORS INCCommon equity shares29760210418,329640,864SH DFND1,2,5,8,2090,67100
NEWMARKET CORPCommon equity shares65158710795,085239,284SH DFND1,2,5,6,8,11,13,2024,29400
EURONET WORLDWIDE INCCommon equity shares29873610955,714661,145SH DFND1,2,5,8,13,20110,20300
EVANS BANCORP INCCommon equity shares29911Q2083,01171,945SH DFND2,2015,01900
EXACT SCIENCES CORPCommon equity shares30063P105185,3203,527,224SH DFND1,2,5,8,10,13,20424,89600
EXACTECH INCCommon equity shares30064E10910,611214,585SH DFND2,5,2030,45900
EXELIXIS INCCommon equity shares30161Q104182,2215,994,182SH DFND1,2,5,8,10,13,20629,55900
EXPONENT INCCommon equity shares30214U10246,889659,442SH DFND1,2,5,8,2098,24700
EZCORP INC -CL ACommon equity shares30230110614,9611,226,262SH DFND1,2,5,8,20176,40500
FBL FINANCIAL GROUP INC-CL ACommon equity shares30239F10614,553208,924SH DFND1,2,5,8,2037,84200
FLIR SYSTEMS INCCommon equity shares302445101243,5485,223,860SH DFND1,2,5,6,8,10,11,12,13,18,20722,88000
FMC CORPCommon equity shares302491303596,8896,305,655SH DFND1,2,5,6,8,10,11,12,13,18,20690,60400
F N B CORP/FLCommon equity shares302520101219,72815,898,873SH DFND1,2,5,6,8,11,13,20868,61600
OPPENHEIMER HOLDINGS INCCommon equity shares6837971045,115190,949SH DFND2,2031,45900
FTI CONSULTING INCCommon equity shares30294110942,734994,608SH DFND1,2,5,8,13,20147,02700
FACTSET RESEARCH SYSTEMS INCCommon equity shares303075105207,2701,075,277SH DFND1,2,5,6,8,11,13,20105,55600
FAIR ISAAC CORPCommon equity shares303250104157,4531,027,770SH DFND1,2,5,6,8,11,20120,47900
FARMER BROS COCommon equity shares3076751085,051157,118SH DFND2,5,2023,35400
FARMERS CAPITAL BANK CORPCommon equity shares3095621065,389139,927SH DFND2,5,2024,44800
FARMERS NATL BANC CORP/OHCommon equity shares3096271077,126483,215SH DFND2,5,2065,79900
FARO TECHNOLOGIES INCCommon equity shares31164210219,622417,456SH DFND1,2,5,8,2060,49600
FASTENAL COCommon equity shares311900104642,07711,740,475SH DFND1,2,5,6,8,10,11,12,13,18,201,471,86500
FEDERAL AGRICULTURE MTG CPCommon equity shares31314830614,255182,214SH DFND1,2,5,2029,35300
FEDERAL REALTY INVESTMENT TRReal Estate Investment Trust313747206828,9126,241,327SH DFND1,2,5,6,8,10,11,12,13,18,19,20463,06700
FEDERAL SIGNAL CORPCommon equity shares31385510842,6772,124,547SH DFND1,2,5,8,20819,12700
VERU INCCommon equity shares92536C1033229,034SH DFND2,20000
FERRO CORPCommon equity shares31540510040,0121,696,005SH DFND1,2,5,8,20356,37600
F5 NETWORKS INCCommon equity shares315616102391,2202,981,402SH DFND1,2,5,6,8,10,11,12,13,18,19,20362,70800
ENERGY FOCUS INCCommon equity shares29268T3002711,000SH DFND20000
FIDELITY SOUTHERN CORPCommon equity shares31639410514,424661,559SH DFND1,2,5,2068,74600
FINANCIAL INSTITUTIONS INCCommon equity shares3175854048,707280,017SH DFND1,2,5,2046,94500
FINISAR CORPCommon equity shares31787A50746,3862,279,355SH DFND1,2,5,8,13,20376,37000
FINISH LINE INC -CL ACommon equity shares31792310026,5981,830,763SH DFND1,2,5,8,20156,28700
CORELOGIC INCCommon equity shares21871D103112,5562,435,657SH DFND1,2,5,6,8,11,13,20384,48600
FIRST BANCORP P RCommon equity shares31867270639,6597,776,649SH DFND1,2,5,8,20572,62400
FIRST BANCORP/NCCommon equity shares31891010619,149542,262SH DFND1,2,5,8,2084,99600
FIRST BUSEY CORPCommon equity shares31938320421,681724,064SH DFND1,2,5,20121,64800
FIRSTCASH INCCommon equity shares33767D10581,9801,215,435SH DFND1,2,5,8,13,20174,67300
CIVISTA BANCSHARES INCCommon equity shares1788671073,077139,743SH DFND2,2023,13900
FIRST CITIZENS BANCSH -CL ACommon equity shares31946M10363,447157,434SH DFND1,2,5,8,13,2026,26700
FIRST COMMONWLTH FINL CP/PACommon equity shares31982910750,8113,548,228SH DFND1,2,5,8,10,20453,21700
FIRST COMMUNITY CORP/SCCommon equity shares31983510428912,748SH DFND2012,24800
FIRST CMNTY BANCSHARES INCCommon equity shares31983A10310,289358,171SH DFND1,2,5,8,2067,49600
PACWEST BANCORPCommon equity shares695263103326,0596,469,412SH DFND1,2,5,6,8,11,13,20328,81700
FIRST DEFIANCE FINANCIAL CPCommon equity shares32006W10610,643204,820SH DFND1,2,5,2036,64500
FIRST FINL BANCORP INC/OHCommon equity shares32020910957,0142,163,828SH DFND1,2,5,8,20223,47000
BEAR STATE FINANCIAL INCCommon equity shares0738441022,705264,399SH DFND2,5,2046,93100
FIRST FINL BANKSHARES INCCommon equity shares32020R10992,5332,053,556SH DFND1,2,5,8,13,20317,98700
FIRST FINANCIAL CORP/INCommon equity shares32021810013,106288,882SH DFND1,2,5,8,10,2051,31500
FIRST INDL REALTY TRUST INCReal Estate Investment Trust32054K103179,4105,701,214SH DFND1,2,5,6,8,10,11,18,20633,58500
FIRST LONG ISLAND CORPCommon equity shares32073410612,446436,853SH DFND1,2,5,2073,14900
FIRST MERCHANTS CORPCommon equity shares32081710958,3401,387,046SH DFND1,2,5,8,10,20190,46700
FIRST MID ILL BANCSHARES INCCommon equity shares3208661066,441167,072SH DFND2,5,2023,24500
FIRST MIDWEST BANCORP INCCommon equity shares320867104113,8214,740,685SH DFND1,2,5,8,20357,83500
META FINANCIAL GROUP INCCommon equity shares59100U10819,873214,450SH DFND1,2,5,2029,25700
SOUTH STATE CORPCommon equity shares84044110984,229966,498SH DFND1,2,5,8,20125,97300
FNB BANCORP CALIFCommon equity shares3025151012,23561,254SH DFND2,5,209,58800
FIRST BANCORP INC/MECommon equity shares31866P1024,938181,342SH DFND2,5,2029,99000
1ST SOURCE CORPCommon equity shares33690110316,979343,333SH DFND1,2,5,8,2072,07300
FLAGSTAR BANCORP INCCommon equity shares33793070518,774501,727SH DFND1,2,5,8,10,20109,00000
AVADEL PHARMACEUTICALS -ADRAmerican Depository Receipt05337M104988120,537SH DFND1,2,20000
FLEXSTEEL INDUSTRIES INCCommon equity shares3393821035,880125,706SH DFND1,2,5,2023,03100
FLOTEK INDUSTRIES INCCommon equity shares3433891025,9471,276,196SH DFND1,2,5,20182,97500
FLOWERS FOODS INCCommon equity shares34349810195,6804,955,076SH DFND1,2,5,6,8,11,12,13,20449,51400
FLOWSERVE CORPCommon equity shares34354P105222,0285,270,202SH DFND1,2,5,6,8,10,11,12,13,18,20729,43500
FLUSHING FINANCIAL CORPCommon equity shares34387310517,599639,885SH DFND1,2,5,8,10,20142,47700
FOMENTO ECONOMICO MEXICANOAmerican Depository Receipt34441910613,670145,560SH DFND1,2,5,6,13,207,16800
FONAR CORPCommon equity shares3444374052,07585,176SH DFND2,2011,23600
FOREST CITY REALTY TRUST INCReal Estate Investment Trust345605109187,8627,794,822SH DFND1,2,5,8,10,13,18,19,20827,80600
FORRESTER RESEARCH INCCommon equity shares34656310911,594262,206SH DFND1,2,5,8,10,2042,23100
FORTIS INCCommon equity shares3495531072,23560,944SH DFND8,2019,03800
FOSSIL GROUP INCCommon equity shares34988V1069,5771,232,739SH DFND1,2,5,8,13,20156,39900
FOSTER (LB) COCommon equity shares3500601094,257156,751SH DFND2,2047,64500
FRANKLIN COVEY COCommon equity shares3534691094,293206,774SH DFND2,5,2030,71100
FRANKLIN ELECTRIC CO INCCommon equity shares35351410251,9601,131,895SH DFND1,2,5,8,20199,37900
FREDS INCCommon equity shares3561081003,340824,732SH DFND1,2,5,20128,62600
FRESENIUS MEDICAL CARE AG;COAmerican Depository Receipt35802910662911,962SH DFND1,20000
ARLINGTON ASSET INVESTMENTReal Estate Investment Trust0413562056,969591,655SH DFND2,5,8,2064,88300
FUELCELL ENERGY INCCommon equity shares35952H5026638,925SH DFND2,20000
FULLER (H. B.) COCommon equity shares359694106178,5893,315,195SH DFND1,2,5,8,19,20409,53800
FULTON FINANCIAL CORPCommon equity shares360271100158,3668,844,920SH DFND1,2,5,6,8,11,13,201,059,78800
LADENBURG THALMANN FINL SERVCommon equity shares50575Q1025,9771,892,026SH DFND2,5,20283,59500
GP STRATEGIES CORPCommon equity shares36225V1045,367231,318SH DFND2,5,2037,02700
NOVANTA INCCommon equity shares67000B10432,412648,283SH DFND1,2,5,8,10,20111,48000
G-III APPAREL GROUP LTDCommon equity shares36237H10145,3741,230,017SH DFND1,2,5,8,20332,23100
GAMCO INVESTORS INCCommon equity shares3614381043,434115,832SH DFND2,5,8,2024,94500
GAIA INCCommon equity shares36269P1041,526123,114SH DFND2,10,2023,48300
ARTHUR J GALLAGHER ; COCommon equity shares363576109567,7188,971,412SH DFND1,2,5,6,8,10,11,12,13,18,20943,34400
GARTNER INCCommon equity shares366651107443,2223,598,976SH DFND1,2,5,6,8,10,11,12,13,18,20485,74500
GASTAR EXPLORATION INCCommon equity shares36729W2022,5602,437,807SH DFND2,20280,08100
RYMAN HOSPITALITY PPTYS INCCommon equity shares78377T107113,7351,647,879SH DFND1,2,5,8,10,13,18,20228,20500
GENCOR INDUSTRIES INCCommon equity shares3686781081,947117,743SH DFND2,2022,72900
AEROJET ROCKETDYNE HOLDINGSCommon equity shares00780010591,0952,919,590SH DFND1,2,5,8,20242,41100
GENERAL CABLE CORP/DECommon equity shares36930010838,0121,284,144SH DFND1,2,5,8,12,13,20197,36900
GENERAL COMMUNICATION -CL ACommon equity shares36938510927,304699,750SH DFND1,2,5,8,20100,82700
GENESCO INCCommon equity shares37153210225,094771,963SH DFND1,2,5,8,13,2076,79600
GENESEE ; WYOMING INC -CL ACommon equity shares371559105140,7621,788,004SH DFND1,2,5,6,8,11,13,20266,41500
INOVIO PHARMACEUTICALS INCCommon equity shares45773H20116,5534,008,002SH DFND1,2,5,8,20261,24400
GENESIS ENERGY -LPLimited Partnership37192710432014,319SH DFND2014,31900
GERDAU SAAmerican Depository Receipt3737371058,4722,277,773SH DFND2,5,8,10,12,2069,34800
GERMAN AMERICAN BANCORP INCCommon equity shares37386510417,924507,430SH DFND1,2,5,8,20161,84400
GERON CORPCommon equity shares3741631038,6334,796,689SH DFND2,5,8,20514,69500
GETTY REALTY CORPReal Estate Investment Trust37429710924,578904,772SH DFND1,2,5,8,10,20149,50200
GIBRALTAR INDUSTRIES INCCommon equity shares37468910725,757780,318SH DFND1,2,5,8,20106,94700
GILDAN ACTIVEWEAR INCCommon equity shares3759161033009,296SH DFND20000
GLACIER BANCORP INCCommon equity shares37637Q105127,8563,245,885SH DFND1,2,5,8,20283,55300
GLATFELTERCommon equity shares37731610425,5811,193,187SH DFND1,2,5,8,20162,67200
GLAXOSMITHKLINE PLCAmerican Depository Receipt37733W105363,98410,261,757SH DFND1,20237,55300
GLOBAL PAYMENTS INCCommon equity shares37940X102593,8595,924,472SH DFND1,2,5,6,8,10,11,12,13,18,20782,08800
GOLD FIELDS LTDAmerican Depository Receipt38059T1061,044242,850SH DFND2,5,6,20000
GOLDEN STAR RESOURCES LTDCommon equity shares38119T104230258,328SH DFND2000
GOLDFIELD CORPCommon equity shares3813701059920,215SH DFND2,20000
GORMAN-RUPP COCommon equity shares38308210412,087387,358SH DFND1,2,5,2090,11700
GRACE (W R) ; COCommon equity shares38388F10893,6191,335,065SH DFND1,2,5,6,8,10,11,12,13,18,20287,14800
GRACO INCCommon equity shares384109104203,4044,498,138SH DFND1,2,5,6,8,11,13,20470,35700
GRAHAM CORPCommon equity shares3845561063,913186,870SH DFND2,5,2037,30900
GRANITE CONSTRUCTION INCCommon equity shares38732810784,5691,333,235SH DFND1,2,5,6,8,11,20155,34400
GRAPHIC PACKAGING HOLDING COCommon equity shares38868910165,6514,249,298SH DFND1,2,5,8,13,20690,67500
GRAY TELEVISION INCCommon equity shares38937510622,0191,314,455SH DFND1,2,5,8,20248,00200
GREAT SOUTHERN BANCORPCommon equity shares39090510712,868249,143SH DFND1,2,5,2056,05700
GREENBRIER COMPANIES INCCommon equity shares39365710139,665744,194SH DFND1,2,5,8,20118,79700
GREENE COUNTY BANCORP INCCommon equity shares3943571071,19136,522SH DFND2,205,01800
SOUTHERN FIRST BANKSHARESCommon equity shares8428731014,06498,465SH DFND2,5,2015,18600
GREIF INC -CL ACommon equity shares39762410756,125926,460SH DFND1,2,5,6,8,10,11,20131,10800
GREIF INC -CL ACommon equity shares3976242067,307105,327SH DFND1,2,5,2018,54800
GRIFFIN INDUSTRIAL REALTYCommon equity shares3982311002226,018SH DFND2,201,06500
GRIFFON CORPCommon equity shares39843310215,660769,580SH DFND1,2,5,8,20121,39500
GROUP 1 AUTOMOTIVE INCCommon equity shares39890510949,682700,061SH DFND1,2,5,8,10,12,13,20145,41100
CGI GROUP INC -CL ACommon equity shares39945C10965712,100SH DFND2000
WINMARK CORPCommon equity shares9742501025,95045,929SH DFND2,5,206,91100
GRUPO AEROPORTUARIO SURESTEAmerican Depository Receipt40051E20213,59174,462SH DFND2,6,13,19,203,63800
GUARANTY BANCSHARES INCCommon equity shares40076410696931,637SH DFND2,2013,41500
GUARANTY FED BANCSHARES INCCommon equity shares40108P10130814,007SH DFND2014,00700
GUESS INCCommon equity shares40161710570,7554,191,578SH DFND1,2,5,8,12,13,19,20236,15300
GULF ISLAND FABRICATION INCCommon equity shares4023071023,511261,573SH DFND2,2029,28400
GULFPORT ENERGY CORPCommon equity shares402635304101,5527,958,585SH DFND1,2,5,6,11,20384,62000
EQUITY COMMONWEALTHReal Estate Investment Trust294628102116,9333,832,699SH DFND1,2,5,8,10,12,13,18,19,20384,57700
HSBC HLDGS PLCAmerican Depository Receipt4042804063136,074SH DFND20000
HAEMONETICS CORPCommon equity shares40502410081,1651,397,511SH DFND1,2,5,8,10,20200,57300
HAIN CELESTIAL GROUP INCCommon equity shares405217100115,9552,735,410SH DFND1,2,5,6,8,11,13,20257,57200
HALLADOR ENERGY COCommon equity shares40609P1051,273208,982SH DFND2,2028,00000
HALLMARK FINANCIAL SERVICESCommon equity shares40624Q2032,377228,171SH DFND2,2037,01600
HANCOCK HOLDING COCommon equity shares410120109230,1704,649,960SH DFND1,2,5,6,8,11,13,20341,14700
HANMI FINANCIAL CORPCommon equity shares41049520432,4751,070,063SH DFND1,2,5,8,20114,14000
WALTER INVESTMENT MGMT CORPCommon equity shares93317W1022124,927SH DFND20000
MONSTER BEVERAGE CORPCommon equity shares61174X1091,073,47716,961,238SH DFND1,2,5,6,8,10,11,12,13,18,201,979,55500
HARDINGE INCCommon equity shares4123243032,920167,671SH DFND2,2021,61100
HARMONIC INCCommon equity shares4131601027,9371,890,608SH DFND1,2,5,20288,71200
HARSCO CORPCommon equity shares41586410738,4612,062,205SH DFND1,2,5,8,12,13,20321,75100
HARVARD BIOSCIENCE INCCommon equity shares4169061057723,027SH DFND2,20000
ALLIED MOTION TECHNOLOGIESCommon equity shares0193301093,28399,241SH DFND2,2013,80400
HAVERTY FURNITURECommon equity shares41959610111,295498,789SH DFND1,2,5,8,10,2084,27500
HAWAIIAN HOLDINGS INCCommon equity shares41987910156,0591,406,585SH DFND1,2,5,13,20198,69200
HAWAIIAN ELECTRIC INDSCommon equity shares419870100120,1573,323,895SH DFND1,2,5,6,8,11,12,13,20273,85800
HAWKINS INCCommon equity shares4202611098,191232,657SH DFND1,2,5,8,2031,37000
HEALTHCARE SERVICES GROUPCommon equity shares421906108110,2302,090,826SH DFND1,2,5,8,13,20450,66400
HCP INCReal Estate Investment Trust40414L109707,98627,146,697SH DFND1,2,5,6,8,10,11,12,13,18,19,202,981,48800
HEALTHSOUTH CORPCommon equity shares421924309172,2573,486,188SH DFND1,2,5,6,8,10,11,13,20444,79000
HEALTHCARE REALTY TRUST INCReal Estate Investment Trust421946104204,0346,352,114SH DFND1,2,5,6,8,10,11,13,18,19,20626,05700
WELLTOWER INCReal Estate Investment Trust95040Q1041,352,20421,204,458SH DFND1,2,5,6,8,10,11,12,13,18,19,202,269,05200
HMS HOLDINGS CORPCommon equity shares40425J10144,0192,596,883SH DFND1,2,5,8,10,20772,48100
HEALTHSTREAM INCCommon equity shares42222N10314,478624,876SH DFND1,2,5,8,2092,23900
HEARTLAND EXPRESS INCCommon equity shares42234710434,3141,470,086SH DFND1,2,5,8,20186,34900
HEARTLAND FINANCIAL USA INCCommon equity shares42234Q10235,386659,590SH DFND1,2,5,8,2083,13700
HECLA MINING COCommon equity shares42270410662,85315,832,064SH DFND1,2,5,8,201,283,96000
HEICO CORPCommon equity shares42280610970,613748,392SH DFND1,2,5,8,13,2070,27000
HEICO CORPCommon equity shares42280620849,446625,514SH DFND1,2,5,8,13,20113,21900
HEIDRICK ; STRUGGLES INTLCommon equity shares42281910211,568471,495SH DFND1,2,5,8,2077,29100
HELMERICH ; PAYNECommon equity shares423452101419,0976,483,669SH DFND1,2,5,6,8,10,11,12,13,18,20796,14100
HENRY (JACK) ; ASSOCIATESCommon equity shares426281101341,7172,921,725SH DFND1,2,5,6,8,10,11,12,13,18,20377,84200
HERITAGE COMMERCE CORPCommon equity shares42692710910,084658,311SH DFND1,2,5,2097,61400
HERITAGE FINANCIAL CORPCommon equity shares42722X10619,226624,360SH DFND1,2,5,20114,52900
HERSHA HOSPITALITY TRUSTReal Estate Investment Trust42782550029,0031,666,792SH DFND1,2,5,8,10,18,20189,67600
HESKA CORPCommon equity shares42805E30614,853185,215SH DFND1,2,5,2022,19100
HEXCEL CORPCommon equity shares428291108128,7102,081,085SH DFND1,2,5,8,13,20209,49400
HIBBETT SPORTS INCCommon equity shares42856710118,479906,067SH DFND1,2,5,8,20172,48400
HIGHWOODS PROPERTIES INCReal Estate Investment Trust431284108231,9674,556,415SH DFND1,2,5,6,8,10,11,13,18,19,20375,16600
HINGHAM INSTN FOR SAVINGSCommon equity shares4333231024,56922,064SH DFND2,5,203,43700
HOLLYFRONTIER CORPCommon equity shares436106108392,3357,659,838SH DFND1,2,5,6,8,10,11,12,13,18,20816,93100
HOLOGIC INCCommon equity shares436440101488,79411,433,593SH DFND1,2,5,6,8,10,11,12,13,18,201,549,02600
HNI CORPCommon equity shares40425110058,6341,519,995SH DFND1,2,5,6,8,11,20193,69800
HONDA MOTOR CO LTDAmerican Depository Receipt43812830846313,577SH DFND20000
HOOKER FURNITURE CORPCommon equity shares4390381008,863208,755SH DFND1,2,5,2033,10100
HORACE MANN EDUCATORS CORPCommon equity shares44032710450,5031,145,203SH DFND1,2,5,8,20238,47300
HORIZON BANCORP/INCommon equity shares44040710412,747458,519SH DFND1,2,5,20115,26700
HORMEL FOODS CORPCommon equity shares4404521001,113,03030,586,055SH DFND1,2,5,6,8,10,11,12,13,18,201,455,88500
HOVNANIAN ENTRPRS INC -CL ACommon equity shares4424872037,8802,351,754SH DFND2,5,8,20367,35600
HUANENG POWER INTERNATIONALAmerican Depository Receipt44330410035714,250SH DFND5,6,20000
HUB GROUP INC -CL ACommon equity shares44332010647,350988,593SH DFND1,2,5,8,13,20156,62500
HUDSON TECHNOLOGIES INCCommon equity shares4441441093,685607,995SH DFND2,5,2098,42500
HUNT (JB) TRANSPRT SVCS INCCommon equity shares445658107418,1173,636,737SH DFND1,2,5,6,8,10,11,12,13,18,20453,23500
HURCO COMPANIES INCCommon equity shares4473241044,758112,805SH DFND2,5,2016,18000
HUTTIG BUILDING PRODUCTS INCCommon equity shares4484511042,132320,305SH DFND2,2047,22600
IDERA PHARMACEUTICALS INCCommon equity shares45168K3064,3822,077,266SH DFND2,5,13,20297,43300
ICU MEDICAL INCCommon equity shares44930G10794,977439,699SH DFND1,2,5,8,2095,65600
TELIGENT INCCommon equity shares87960W1042,922803,598SH DFND2,5,20119,09900
DINEEQUITY INCCommon equity shares25442310623,127455,897SH DFND1,2,5,8,2064,71100
MOSAIC COCommon equity shares61945C103515,17520,077,156SH DFND1,2,5,6,8,10,11,12,13,18,19,201,840,67300
ARBUTUS BIOPHARMA CORPCommon equity shares03879J1006613,000SH DFND2,20000
MIDWESTONE FINANCIAL GROUPCommon equity shares5985111035,852174,585SH DFND2,5,2032,43600
IBERIABANK CORPCommon equity shares450828108204,8792,643,069SH DFND1,2,5,8,13,20277,23400
ICON PLCCommon equity sharesG4705A10028,439253,583SH DFND2,5,8,13,19,2078,50600
ICICI BANK LTDAmerican Depository Receipt45104G10461,8236,353,822SH DFND1,2,5,6,8,18,20280,67400
IDACORP INCCommon equity shares451107106174,0911,905,660SH DFND1,2,5,6,8,11,12,13,20321,44200
GENERAL MOLY INCCommon equity shares3703731021648,515SH DFND20000
PCM INCCommon equity shares69323K1001,434144,655SH DFND2,2022,49100
IDEXX LABS INCCommon equity shares45168D104580,6613,713,101SH DFND1,2,5,6,8,10,11,12,13,18,20476,93700
ILLUMINA INCCommon equity shares4523271091,289,6305,902,445SH DFND1,2,5,6,8,10,11,12,13,18,20717,85000
IMAX CORPCommon equity shares45245E10925,6751,109,141SH DFND1,2,5,8,20198,94100
IMMERSION CORPCommon equity shares4525211073,643516,315SH DFND2,5,2096,46100
IMMUNOGEN INCCommon equity shares45253H10153,4968,345,171SH DFND1,2,5,8,10,20351,63300
IMPAX LABORATORIES INCCommon equity shares45256B10141,8012,510,662SH DFND1,2,5,8,20273,94100
IMMUNOMEDICS INCCommon equity shares452907108103,3746,396,893SH DFND1,2,5,8,20342,51000
INCYTE CORPCommon equity shares45337C102715,7097,557,004SH DFND1,2,5,6,8,10,11,12,13,18,20852,39600
INDEPENDENCE HOLDING COCommon equity shares4534403073,428124,792SH DFND2,2016,00600
INDEPENDENT BANK CORP/MACommon equity shares45383610864,925929,040SH DFND1,2,5,8,20173,64500
INDEPENDENT BANK CORP/MICommon equity shares45383860913,120586,948SH DFND1,2,5,10,20175,47500
MAINSOURCE FINL GROUP INCCommon equity shares56062Y10217,651486,097SH DFND1,2,5,2092,05300
WISDOMTREE INVESTMENTS INCCommon equity shares97717P10439,1593,120,384SH DFND1,2,5,8,20421,44600
TUCOWS INCCommon equity shares89869720610,920155,910SH DFND2,5,2023,32600
ING GROEP NVAmerican Depository Receipt45683710326314,272SH DFND20000
INGLES MARKETS INC -CL ACommon equity shares45703010411,165322,647SH DFND1,2,5,8,10,2053,45000
NEKTAR THERAPEUTICSCommon equity shares640268108237,6203,978,809SH DFND1,2,5,8,13,20548,12800
INNODATA INCCommon equity shares4576422051511,475SH DFND20000
INSIGHT ENTERPRISES INCCommon equity shares45765U10337,979991,974SH DFND1,2,5,8,10,13,20169,21200
AEGION CORPCommon equity shares00770F10427,6821,088,421SH DFND1,2,5,8,20364,40300
INSMED INCCommon equity shares45766930790,8052,912,319SH DFND1,2,5,8,20271,85900
INSTEEL INDUSTRIESCommon equity shares45774W10813,275468,797SH DFND1,2,5,2072,25600
INTEGRA LIFESCIENCES HLDGSCommon equity shares45798520893,2721,948,982SH DFND1,2,5,8,20497,98100
INTEGRATED DEVICE TECH INCCommon equity shares458118106144,1964,850,116SH DFND1,2,5,6,8,11,13,20535,70400
IES HOLDINGS INCCommon equity shares44951W1062,323134,771SH DFND2,2023,77900
INTER PARFUMS INCCommon equity shares45833410919,290443,969SH DFND1,2,5,8,2063,12800
ARROWHEAD PHARMACEUTICALSCommon equity shares04280A100412111,671SH DFND2,20000
INTERFACE INCCommon equity shares45866530440,1891,598,089SH DFND1,2,5,8,20255,94700
INTERDIGITAL INCCommon equity shares45867G10193,3451,225,782SH DFND1,2,5,6,8,10,11,13,20159,47900
INTERNAP CORPCommon equity shares45885A4095,623357,796SH DFND2,5,2051,46600
INTL FCSTONE INCCommon equity shares46116V10517,081401,569SH DFND1,2,5,8,2061,87800
INTL BANCSHARES CORPCommon equity shares45904410392,6532,333,728SH DFND1,2,5,6,8,10,11,20240,07900
INTL SPEEDWAY CORP -CL ACommon equity shares46033520133,835849,053SH DFND1,2,5,6,8,11,20101,66600
ACTUA CORPCommon equity shares00509410710,411667,527SH DFND1,2,5,20120,93200
INTEVAC INCCommon equity shares4611481081,978288,457SH DFND2,5,2034,75400
INVACARE CORPCommon equity shares46120310116,368971,545SH DFND1,2,5,8,20116,42200
INTUITIVE SURGICAL INCCommon equity shares46120E6021,704,6614,671,105SH DFND1,2,5,6,8,10,11,12,13,18,20556,29300
INVESTMENT TECHNOLOGY GP INCCommon equity shares46145F10517,345900,963SH DFND1,2,5,8,20129,74300
INVESTORS REAL ESTATE TRUSTReal Estate Investment Trust46173010316,6182,925,805SH DFND1,2,5,8,10,20542,58900
INVESTORS TITLE COCommon equity shares4618041064,43422,341SH DFND2,5,203,47100
IRON MOUNTAIN INCCommon equity shares46284V101408,15010,817,863SH DFND1,2,5,6,8,10,11,12,13,18,201,505,21300
IONIS PHARMACEUTICALS INCCommon equity shares462222100138,4542,752,542SH DFND1,2,5,8,13,20268,76100
ISRAMCO INCCommon equity shares4651414061,65315,807SH DFND2,202,44700
ITRON INCCommon equity shares46574110659,452871,750SH DFND1,2,5,8,10,20133,02600
IXYS CORPCommon equity shares46600W10617,275721,314SH DFND1,2,5,8,10,20123,79400
J ; J SNACK FOODS CORPCommon equity shares46603210962,673412,751SH DFND1,2,5,8,2073,26500
J2 GLOBAL INCCommon equity shares48123V102124,2171,655,488SH DFND1,2,5,6,8,10,11,13,20204,78200
JACK IN THE BOX INCCommon equity shares46636710999,5661,014,854SH DFND1,2,5,6,8,11,20124,27800
JACOBS ENGINEERING GROUP INCCommon equity shares469814107897,73613,610,156SH DFND1,2,5,6,8,10,11,12,13,18,20575,82600
JAKKS PACIFIC INCCommon equity shares47012E1063715,651SH DFND20000
JOHNSON OUTDOORS INC -CL ACommon equity shares4791671086,814109,816SH DFND2,5,10,2019,56000
JONES LANG LASALLE INCCommon equity shares48020Q107219,5531,474,120SH DFND1,2,5,6,8,10,11,12,13,18,20181,89100
KMG CHEMICALS INCCommon equity shares48256410116,263246,135SH DFND1,2,5,2064,11900
KVH INDUSTRIES INCCommon equity shares4827381012,863276,676SH DFND2,2048,21400
KAMAN CORPCommon equity shares48354810343,109732,622SH DFND1,2,5,8,2098,97200
GREAT PLAINS ENERGY INCCommon equity shares391164100189,7365,885,015SH DFND1,2,5,6,8,11,12,13,20559,39300
KANSAS CITY SOUTHERNCommon equity shares485170302471,2334,478,429SH DFND1,2,5,6,8,10,11,12,13,18,20550,94100
KELLY SERVICES INC -CL ACommon equity shares48815220824,533899,608SH DFND1,2,5,8,20108,96400
KEMET CORPCommon equity shares48836020718,1161,202,766SH DFND1,2,5,20184,06400
KENNAMETAL INCCommon equity shares489170100132,2282,731,418SH DFND1,2,5,6,8,11,13,20349,87700
KENNEDY-WILSON HOLDINGS INCCommon equity shares48939810744,9492,591,020SH DFND1,2,5,8,20530,54200
KERYX BIOPHARMACEUTICALS INCCommon equity shares49251510126,9775,801,219SH DFND1,2,5,8,20295,73800
KFORCE INCCommon equity shares49373210113,984553,694SH DFND1,2,5,8,10,20132,65400
KIMBALL INTERNATIONAL -CL BCommon equity shares49427410314,706787,772SH DFND1,2,5,8,10,20143,76300
KILROY REALTY CORPReal Estate Investment Trust49427F108326,8394,378,305SH DFND1,2,5,6,8,10,11,13,18,19,20363,44600
KIRBY CORPCommon equity shares49726610698,5821,475,762SH DFND1,2,5,6,8,11,13,20143,73500
KNIGHT-SWIFT TRPTN HLDGS INCCommon equity shares499049104223,7255,117,248SH DFND1,2,5,6,8,10,11,12,13,18,20688,73500
XO GROUP INCCommon equity shares98377210412,244663,449SH DFND1,2,5,8,20114,68700
KONINKLIJKE PHILIPS NVSimilar to ADR Certificates representing ordinary shares50047230341510,992SH DFND2,20000
KOPIN CORPCommon equity shares5006001014,8491,514,800SH DFND2,5,20211,92300
KT CORPAmerican Depository Receipt48268K1019,810628,503SH DFND2,5,6,12,20000
KORN/FERRY INTERNATIONALCommon equity shares50064320057,2421,383,376SH DFND1,2,5,8,10,20209,25800
KULICKE ; SOFFA INDUSTRIESCommon equity shares50124210113,560557,288SH DFND2,5,8,2037,40000
KYOCERA CORPAmerican Depository Receipt5015562032844,340SH DFND20000
LATAM AIRLINES GROUP SAAmerican Depository Receipt51817R10612,111871,341SH DFND2,5,6,13,2025,15500
LCNB CORPCommon equity shares50181P1003,388165,681SH DFND2,2023,04600
LSB INDUSTRIES INCCommon equity shares5021601044,246484,439SH DFND2,5,2062,47200
LSI INDUSTRIES INCCommon equity shares50216C1082,923425,021SH DFND2,5,2067,39400
LTC PROPERTIES INCReal Estate Investment Trust50217510267,7791,556,483SH DFND1,2,5,8,10,18,20185,57600
LA JOLLA PHARMACEUTICAL COCommon equity shares50345960427,551856,186SH DFND1,2,5,2052,96200
LA-Z-BOY INCCommon equity shares50533610740,4721,297,111SH DFND1,2,5,8,10,20216,15900
TRUEBLUE INCCommon equity shares89785X10129,5381,074,062SH DFND1,2,5,8,20190,38700
SPIRE INCCommon equity shares84857L10197,8191,301,653SH DFND1,2,5,6,8,13,19,20177,76100
ENBRIDGE ENERGY PRTNRS -LPLimited Partnership29250R10644732,346SH DFND2032,34600
LAKELAND BANCORP INCCommon equity shares51163710020,9641,089,125SH DFND1,2,5,8,20165,69300
LAKELAND FINANCIAL CORPCommon equity shares51165610024,766510,635SH DFND1,2,5,8,2094,76300
GOLDEN ENTERTAINMENT INCCommon equity shares3810131016,327193,726SH DFND2,5,2028,02600
LAMAR ADVERTISING CO -CL ACommon equity shares512816109170,9472,302,588SH DFND1,2,5,6,8,11,12,13,20226,01600
SNYDERS-LANCE INCCommon equity shares833551104157,9363,153,722SH DFND1,2,5,6,8,11,13,20604,83900
LANDEC CORPCommon equity shares5147661046,392507,296SH DFND1,2,5,8,2087,72700
LANDSTAR SYSTEM INCCommon equity shares515098101124,8941,199,684SH DFND1,2,5,6,8,11,13,20115,50700
LANNETT CO INCCommon equity shares51601210122,556972,226SH DFND1,2,5,8,20104,91300
LATTICE SEMICONDUCTOR CORPCommon equity shares51841510417,5863,042,838SH DFND1,2,5,8,20428,61300
LAWSON PRODUCTSCommon equity shares5207761052,08084,101SH DFND2,2014,63300
LAYNE CHRISTENSEN COCommon equity shares5210501043,586286,032SH DFND2,2045,97800
AXOGEN INCCommon equity shares05463X10616,207572,600SH DFND1,2,5,2073,31700
LEE ENTERPRISES INCCommon equity shares52376810911649,543SH DFND2,20000
LENNOX INTERNATIONAL INCCommon equity shares526107107305,8911,468,820SH DFND1,2,5,6,8,10,11,12,13,18,20161,39400
LEUCADIA NATIONAL CORPCommon equity shares527288104393,63214,859,630SH DFND1,2,5,6,8,10,11,12,13,18,201,808,35700
VBI VACCINES INCCommon equity shares91822J1031,549362,270SH DFND2,10,2049,98700
LEXICON PHARMACEUTICALS INCCommon equity shares52887230223,1012,338,034SH DFND1,2,5,8,20159,25300
LEXINGTON REALTY TRUSTReal Estate Investment Trust52904310163,6816,599,117SH DFND1,2,5,8,10,13,201,234,57200
LIBBEY INCCommon equity shares5298981084,047538,087SH DFND2,5,2071,06700
FIRST ACCEPTANCE CORPCommon equity shares3184571081310,746SH DFND20000
PACIFIC PREMIER BANCORP INCCommon equity shares69478X10570,0411,751,032SH DFND1,2,5,8,20163,60000
LIFEWAY FOODS INCCommon equity shares53191410969686,908SH DFND2,2014,96500
LIFETIME BRANDS INCCommon equity shares53222Q1033,047184,750SH DFND2,5,2028,53800
LIFEPOINT HEALTH INCCommon equity shares53219L10958,3361,171,237SH DFND1,2,5,6,8,11,12,13,20104,84200
LIGAND PHARMACEUTICAL INCCommon equity shares53220K504132,481967,527SH DFND1,2,5,8,10,2079,12600
LIMONEIRA COCommon equity shares5327461044,598205,355SH DFND2,5,2030,34400
LINCOLN ELECTRIC HLDGS INCCommon equity shares533900106259,5462,834,120SH DFND1,2,5,6,8,11,13,20170,30300
LINDSAY CORPCommon equity shares53555510624,612279,088SH DFND1,2,5,8,2041,67300
LITHIA MOTORS INC -CL ACommon equity shares53679710375,042660,594SH DFND1,2,5,8,13,2084,70700
LITTELFUSE INCCommon equity shares537008104160,196809,811SH DFND1,2,5,6,8,11,13,20132,85300
LIVEPERSON INCCommon equity shares53814610115,3621,335,721SH DFND1,2,5,8,20192,47800
LLOYDS BANKING GROUP PLCAmerican Depository Receipt5394391096717,941SH DFND20000
LUBYS INCCommon equity shares5492821012911,024SH DFND20000
LUMINEX CORPCommon equity shares55027E10222,4721,140,530SH DFND1,2,5,8,20167,64600
LYDALL INCCommon equity shares55081910629,109573,585SH DFND1,2,5,8,20214,15200
MB FINANCIAL INC/MDCommon equity shares55264U108186,6824,193,174SH DFND1,2,5,6,8,11,20317,50600
MDC HOLDINGS INCCommon equity shares55267610857,5141,804,087SH DFND1,2,5,8,20172,58000
MDC PARTNERS INCCommon equity shares55269710410,0131,026,622SH DFND1,2,5,8,20171,14100
MDU RESOURCES GROUP INCCommon equity shares552690109313,78711,673,445SH DFND1,2,5,6,11,12,13,20512,64200
ENCORE CAPITAL GROUP INCCommon equity shares29255410224,816589,436SH DFND1,2,5,8,2087,50900
MGM RESORTS INTERNATIONALCommon equity shares552953101645,13619,321,216SH DFND1,2,5,6,8,10,11,12,13,18,202,330,42700
BIOSCRIP INCCommon equity shares09069N1085,4871,886,601SH DFND2,5,20293,47500
M/I HOMES INCCommon equity shares55305B10126,117759,302SH DFND1,2,5,8,2085,42900
MKS INSTRUMENTS INCCommon equity shares55306N104175,4461,856,522SH DFND1,2,5,6,8,11,13,20233,79400
MSC INDUSTRIAL DIRECT -CL ACommon equity shares553530106122,5371,267,650SH DFND1,2,5,6,8,11,13,20118,40900
ELDORADO RESORTS INCCommon equity shares28470R10229,832899,906SH DFND1,2,5,8,20148,06300
MTS SYSTEMS CORPCommon equity shares55377710322,951427,408SH DFND1,2,5,8,2060,31100
MACATAWA BANK CORPCommon equity shares5542251024,507450,624SH DFND2,5,2064,65900
MAXAR TECHNOLOGIES LIMITEDCommon equity shares57778L1031,12917,552SH DFND5,8,205,99600
MACK-CALI REALTY CORPReal Estate Investment Trust55448910492,8044,304,493SH DFND1,2,5,6,8,10,11,13,18,20467,55300
TIVO CORPCommon equity shares88870P10649,1523,150,780SH DFND1,2,5,8,20471,65300
MADDEN STEVEN LTDCommon equity shares55626910870,6291,512,490SH DFND1,2,5,8,20251,27800
MGE ENERGY INCCommon equity shares55277P10449,940791,438SH DFND1,2,5,8,20123,43600
MAGELLAN HEALTH INCCommon equity shares55907920768,414708,617SH DFND1,2,5,8,10,12,13,20125,98800
MANITOWOC COCommon equity shares56357140525,180639,944SH DFND1,2,5,8,13,20107,98200
EQUITY LIFESTYLE PROPERTIESReal Estate Investment Trust29472R108235,4372,644,775SH DFND1,2,5,8,10,13,18,19,20277,65600
MANULIFE FINANCIAL CORPCommon equity shares56501R10654225,993SH DFND20000
MARCUS CORPCommon equity shares56633010612,800468,123SH DFND1,2,5,8,2065,86700
MARINEMAX INCCommon equity shares56790810813,943737,617SH DFND1,2,5,8,2096,77500
MARINE PRODUCTS CORPCommon equity shares5684271081,794140,689SH DFND2,2019,58600
MARKEL CORPCommon equity shares570535104338,500297,151SH DFND1,2,5,6,8,10,11,12,13,18,2046,77800
MARTEN TRANSPORT LTDCommon equity shares57307510822,4601,106,510SH DFND1,2,5,8,20166,20100
MARTIN MARIETTA MATERIALSCommon equity shares573284106589,7242,667,933SH DFND1,2,5,6,8,10,11,12,13,18,20322,60200
MASTEC INCCommon equity shares57632310966,7261,363,043SH DFND1,2,5,8,13,20261,24000
MATRIX SERVICE COCommon equity shares57685310516,440923,422SH DFND1,2,5,6,8,20124,64500
MATTHEWS INTL CORP -CL ACommon equity shares57712810141,822792,019SH DFND1,2,5,8,20118,77600
MAUI LAND ; PINEAPPLE COCommon equity shares5773451011,60092,546SH DFND2,2013,53800
MAXWELL TECHNOLOGIES INCCommon equity shares5777671063,156547,921SH DFND2,5,2087,83700
MAXIMUS INCCommon equity shares577933104157,5952,201,692SH DFND1,2,5,6,8,11,13,20264,32100
MBT FINANCIAL CORPCommon equity shares5788771023,037286,601SH DFND2,2052,62300
MCDERMOTT INTL INCCommon equity shares58003710954,9568,352,087SH DFND1,2,5,8,12,13,201,054,20300
MCGRATH RENTCORPCommon equity shares58058910926,619566,621SH DFND1,2,5,8,10,2093,12800
PROASSURANCE CORPCommon equity shares74267C10666,7071,167,270SH DFND1,2,5,6,8,13,20127,41100
MEDICINES COCommon equity shares58468810559,3842,172,052SH DFND1,2,5,8,13,20259,50400
MEDIFAST INCCommon equity shares58470H10124,444350,108SH DFND1,2,5,8,2058,68800
TAILORED BRANDS INCCommon equity shares87403A10734,8281,595,371SH DFND1,2,5,8,20170,49600
MERCANTILE BANK CORPCommon equity shares58737610411,723331,485SH DFND1,2,5,2058,69500
MERCER INTL INCCommon equity shares5880561011,580110,446SH DFND2,5,20000
MERCURY SYSTEMS INCCommon equity shares58937810890,1351,755,409SH DFND1,2,5,8,20192,65000
MERCURY GENERAL CORPCommon equity shares589400100136,7712,559,388SH DFND1,2,5,6,8,11,12,13,2077,48200
MERIDIAN BIOSCIENCE INCCommon equity shares58958410117,5541,254,149SH DFND1,2,5,8,20157,49700
MERIT MEDICAL SYSTEMS INCCommon equity shares58988910458,9211,363,925SH DFND1,2,5,8,20232,87000
MERITAGE HOMES CORPCommon equity shares59001A10251,8931,013,548SH DFND1,2,5,8,20141,87300
MESA LABORATORIES INCCommon equity shares59064R1097,33959,085SH DFND1,2,5,2010,34800
METHODE ELECTRONICS INCCommon equity shares59152020038,808968,004SH DFND1,2,5,8,10,20178,65600
MICROVISION INCCommon equity shares5949603041,613989,233SH DFND2,20123,23800
MICROSTRATEGY INCCommon equity shares59497240831,609240,715SH DFND1,2,5,8,2034,37200
MICROSEMI CORPCommon equity shares595137100176,2593,412,518SH DFND1,2,5,6,8,11,13,20441,40400
MID-AMERICA APT CMNTYS INCReal Estate Investment Trust59522J103650,1836,465,698SH DFND1,2,5,6,8,10,11,12,13,18,19,20692,34300
MIDDLEBY CORPCommon equity shares596278101141,2571,046,861SH DFND1,2,5,6,8,10,11,12,13,18,20210,00700
MIDDLEFIELD BANC CORPCommon equity shares5963042041,59733,109SH DFND2,204,36700
MIDDLESEX WATER COCommon equity shares59668010813,480337,595SH DFND1,2,5,8,2056,06900
MIDSOUTH BANCORP INCCommon equity shares5980391052,434183,636SH DFND2,5,2059,71900
MGP INGREDIENTS INCCommon equity shares55303J10618,860245,293SH DFND1,2,5,2041,53500
MILLER (HERMAN) INCCommon equity shares60054410084,1642,101,486SH DFND1,2,5,6,8,11,20299,56200
MILLER INDUSTRIES INC/TNCommon equity shares6005512047,442288,472SH DFND2,5,10,2032,05200
MSA SAFETY INCCommon equity shares553498106217,6872,808,102SH DFND1,2,5,6,8,11,20179,57000
MINERALS TECHNOLOGIES INCCommon equity shares60315810681,1811,179,118SH DFND1,2,5,6,8,11,20144,79400
MITEK SYSTEMS INCCommon equity shares6067102004,747530,259SH DFND2,5,2080,83300
MOBILE MINI INCCommon equity shares60740F10540,2701,167,236SH DFND1,2,5,8,20158,15400
MODINE MANUFACTURING COCommon equity shares60782810019,734976,985SH DFND1,2,5,8,20176,48000
MONARCH CASINO ; RESORT INCCommon equity shares60902710712,657282,408SH DFND2,5,2042,52200
MONMOUTH RE INVESTMENT CPReal Estate Investment Trust60972010730,2971,701,822SH DFND1,2,5,8,10,20306,26400
MONRO INCCommon equity shares61023610154,354954,426SH DFND1,2,5,8,20120,04300
MOOG INC -CL ACommon equity shares61539420291,8741,057,830SH DFND1,2,5,8,10,13,20147,95500
MOTORCAR PARTS OF AMER INCCommon equity shares62007110011,348454,308SH DFND1,2,5,8,2063,83400
MOVADO GROUP INCCommon equity shares62458010614,640454,685SH DFND1,2,5,8,2057,52300
MUELLER INDUSTRIESCommon equity shares62475610257,5861,625,185SH DFND1,2,5,8,20374,88700
MULTI-COLOR CORPCommon equity shares62538310425,549341,400SH DFND1,2,5,8,2052,51000
MURPHY OIL CORPCommon equity shares626717102198,7346,400,228SH DFND1,2,5,6,11,12,13,20487,51700
MUTUALFIRST FINANCIAL INCCommon equity shares62845B1045,714148,163SH DFND2,5,2070,90300
MYERS INDUSTRIES INCCommon equity shares62846410911,054566,880SH DFND1,2,5,8,2083,74200
N B T BANCORP INCCommon equity shares62877810247,9681,303,441SH DFND1,2,5,8,20155,03200
NCI BUILDING SYSTEMS INCCommon equity shares62885220417,090885,529SH DFND1,2,5,20222,71400
NL INDUSTRIESCommon equity shares6291564072,102147,433SH DFND2,2030,87800
NN INCCommon equity shares62933710613,854501,909SH DFND1,2,5,2083,25700
NTT DOCOMO INCAmerican Depository Receipt62942M20134514,495SH DFND20000
NVE CORPCommon equity shares6294452069,919115,291SH DFND1,2,5,8,2015,71400
NACCO INDUSTRIES -CL ACommon equity shares6295791033,21385,346SH DFND2,5,2016,80300
NAM TAI PROPERTY INCCommon equity sharesG6390710290672,284SH DFND2,20000
NANOMETRICS INCCommon equity shares63007710515,764632,786SH DFND1,2,5,8,10,2099,25100
NAPCO SECURITY TECH INCCommon equity shares6304021051,246142,651SH DFND2,2027,25900
HOPE BANCORP INCCommon equity shares43940T10992,9465,092,662SH DFND1,2,5,8,13,20508,13200
NATHAN`S FAMOUS INCCommon equity shares6323471003,67748,638SH DFND2,208,22600
NATIONAL BANKSHARES INC VACommon equity shares6348651095,941130,766SH DFND2,5,2019,13200
NATIONAL BEVERAGE CORPCommon equity shares63501710623,301239,140SH DFND1,2,5,8,2040,73200
NATIONAL HEALTHCARE CORPCommon equity shares63590610018,203298,711SH DFND1,2,5,6,10,2045,44200
NATIONAL FUEL GAS COCommon equity shares636180101301,3655,488,482SH DFND1,2,5,6,11,12,13,20202,99400
NATIONAL HEALTH INVESTORSReal Estate Investment Trust63633D10480,8221,072,211SH DFND1,2,5,8,10,20178,37800
NIC INCCommon equity shares62914B10033,5852,023,268SH DFND1,2,5,8,20629,50000
NATIONAL OILWELL VARCO INCCommon equity shares637071101752,47620,890,368SH DFND1,2,5,6,8,10,11,12,13,18,19,202,028,86300
NATIONAL PRESTO INDS INCCommon equity shares63721510421,003211,140SH DFND1,2,5,2021,86300
NATIONAL WESTERN LIFE GROUPCommon equity shares63851710215,98748,306SH DFND1,2,5,8,207,99600
NATURAL HEALTH TRENDS CORPCommon equity shares63888P4061,928126,958SH DFND2,5,2020,05800
NAVIGATORS GROUP INCCommon equity shares63890410235,768734,437SH DFND1,2,5,8,20242,17200
NATURES SUNSHINE PRODS INCCommon equity shares6390271012,133184,710SH DFND2,2028,37500
NAVIGANT CONSULTING INCCommon equity shares63935N10723,4281,207,076SH DFND1,2,5,8,10,20190,54100
NEOGEN CORPCommon equity shares64049110680,929984,371SH DFND1,2,5,8,20139,22200
NAVIDEA BIOPHARMACEUTICALSCommon equity shares63937X1032776,460SH DFND20000
SPECTRUM PHARMACEUTICALS INCCommon equity shares84763A10877,9314,112,737SH DFND1,2,5,8,20305,65600
INSYS THERAPEUTICS INCCommon equity shares45824V2094,379455,221SH DFND2,5,8,2079,40000
NET 1 UEPS TECHNOLOGIES INCCommon equity shares64107N2061,660139,632SH DFND2,5,8,209,80000
NETEASE INCAmerican Depository Receipt64110W102502,1971,455,324SH DFND1,2,5,6,8,10,11,12,13,18,20296,82200
8X8 INCCommon equity shares28291410031,9832,268,185SH DFND1,2,5,8,20335,58300
NETSCOUT SYSTEMS INCCommon equity shares64115T10491,3863,001,253SH DFND1,2,5,6,8,11,13,20350,92800
NEUROCRINE BIOSCIENCES INCCommon equity shares64125C109154,4971,991,177SH DFND1,2,5,8,13,20193,37900
NEVADA GOLD ; CASINOS INCCommon equity shares64126Q2063412,582SH DFND20000
NEW JERSEY RESOURCES CORPCommon equity shares646025106240,1005,972,741SH DFND1,2,5,6,8,11,13,19,20346,02600
NEWFIELD EXPLORATION COCommon equity shares651290108383,56412,165,035SH DFND1,2,5,6,8,10,11,12,13,18,201,547,22000
NEWPARK RESOURCESCommon equity shares65171850421,3512,483,129SH DFND1,2,5,8,20309,46600
NICE LTDAmerican Depository Receipt6536561081,91420,824SH DFND1,6,20000
NOBLE ENERGY INCCommon equity shares655044105765,63126,274,474SH DFND1,2,5,6,8,10,11,12,13,18,202,296,34100
NOKIA CORPAmerican Depository Receipt65490220429763,612SH DFND1,20000
NORDSON CORPCommon equity shares655663102303,5332,073,213SH DFND1,2,5,6,8,11,13,20184,50500
NORTHEAST BANCORP/MECommon equity shares6639042092,583111,542SH DFND2,2016,92100
NORTHRIM BANCORP INCCommon equity shares6667621093,706109,480SH DFND2,5,2017,95100
NORTHWEST NATURAL GAS COCommon equity shares66765510446,581780,975SH DFND1,2,5,8,12,19,20104,78500
NORTHWEST PIPE COCommon equity shares6677461012,271118,686SH DFND2,5,2017,02700
NORWOOD FINANCIAL CORPCommon equity shares6695491072,64079,935SH DFND2,2010,18500
INSEEGO CORPCommon equity shares45782B1043521,915SH DFND20000
NOVARTIS AGAmerican Depository Receipt66987V109241,0402,870,906SH DFND1,12,202,863,84400
NOVAVAX INCCommon equity shares67000210415,01412,109,908SH DFND2,5,8,20929,63600
NOVO NORDISK A/SAmerican Depository Receipt670100205281,7225,249,137SH DFND1,205,210,97300
NU SKIN ENTERPRISES -CL ACommon equity shares67018T10596,8311,419,233SH DFND1,2,5,6,8,11,13,20145,18100
NUTRISYSTEM INCCommon equity shares67069D10848,314918,452SH DFND1,2,5,8,20131,71700
NYMOX PHARMACEUTICAL CORPCommon equity sharesP733981021,259381,582SH DFND2,6,2050,55200
OGE ENERGY CORPCommon equity shares670837103245,0387,445,593SH DFND1,2,5,6,8,10,11,12,13,18,20918,35800
OSI SYSTEMS INCCommon equity shares67104410530,665476,239SH DFND1,2,5,8,10,2083,74200
GEOSPACE TECHNOLOGIES CORPCommon equity shares37364X1094,015309,658SH DFND2,5,2041,66000
STERLING CONSTRUCTION CO INCCommon equity shares8592411017,005430,258SH DFND2,5,2062,37800
OCEANEERING INTERNATIONALCommon equity shares67523210268,7023,249,773SH DFND1,2,5,6,8,11,13,20247,85000
OCEANFIRST FINANCIAL CORPCommon equity shares67523410815,914606,120SH DFND1,2,5,20116,82600
INNOSPEC INCCommon equity shares45768S10549,798705,414SH DFND1,2,5,8,10,20176,18900
OCWEN FINANCIAL CORPCommon equity shares6757463096,3782,038,182SH DFND1,2,5,8,20365,60100
ITERIS INCCommon equity shares46564T1072,333334,587SH DFND2,2051,24000
BRISTOW GROUP INCCommon equity shares11039410316,6161,233,858SH DFND1,2,5,20109,55700
OHIO VALLEY BANC CORPCommon equity shares6777191061,94948,291SH DFND2,206,89900
OIL DRI CORP AMERICACommon equity shares6778641004,07798,281SH DFND2,5,2014,74200
OIL STATES INTL INCCommon equity shares67802610556,5111,996,802SH DFND1,2,5,6,8,12,13,20434,16800
OLD DOMINION FREIGHTCommon equity shares679580100291,0792,212,690SH DFND1,2,5,6,8,10,11,12,13,18,20317,82200
OLD LINE BANCSHARES INCCommon equity shares67984M1005,292179,704SH DFND2,5,2045,52300
OLD NATIONAL BANCORPCommon equity shares680033107110,3526,323,734SH DFND1,2,5,8,20528,12100
OLD POINT FINANCIAL CORPCommon equity shares6801941072,05969,181SH DFND2,2035,22500
OLD SECOND BANCORP INC/ILCommon equity shares6802771007,292534,173SH DFND2,5,20116,80600
OLIN CORPCommon equity shares680665205247,2506,949,184SH DFND1,2,5,6,8,11,13,20276,77600
OLYMPIC STEEL INCCommon equity shares68162K1065,031234,293SH DFND2,5,2038,71500
OMEGA HEALTHCARE INVS INCReal Estate Investment Trust681936100184,4036,695,770SH DFND1,2,5,6,8,10,11,13,19,20718,08300
OMNOVA SOLUTIONS INCCommon equity shares6821291018,600859,934SH DFND1,2,5,8,20143,46800
ON ASSIGNMENT INCCommon equity shares68215910880,9551,259,655SH DFND1,2,5,8,10,20187,57000
ON SEMICONDUCTOR CORPCommon equity shares682189105124,0615,924,723SH DFND1,2,5,8,13,20920,42500
ONE LIBERTY PROPERTIES INCReal Estate Investment Trust68240610311,104428,327SH DFND2,5,8,2063,49500
1-800-FLOWERS.COMCommon equity shares68243Q1065,243490,368SH DFND2,5,2072,69000
ONEOK INCCommon equity shares6826801031,038,61419,431,481SH DFND1,2,5,6,8,10,11,12,13,18,19,201,941,44600
OPEN TEXT CORPCommon equity shares68371510648413,556SH DFND2,20000
ORASURE TECHNOLOGIES INCCommon equity shares68554V10829,8981,585,162SH DFND1,2,5,8,20208,74100
O`REILLY AUTOMOTIVE INCCommon equity shares67103H107862,9763,587,679SH DFND1,2,5,6,8,10,11,12,13,18,20471,72600
ORIX CORPAmerican Depository Receipt6863301013884,576SH DFND1,2,20000
ORRSTOWN FINANCIAL SVCS INCCommon equity shares6873801052,690106,469SH DFND2,2014,82500
OTTER TAIL CORPCommon equity shares68964810337,667847,353SH DFND1,2,5,20141,82000
OWENS ; MINOR INCCommon equity shares69073210244,0622,333,793SH DFND1,2,5,6,8,11,12,13,20244,99000
OWENS-ILLINOIS INCCommon equity shares690768403135,8956,129,515SH DFND1,2,5,6,8,11,12,13,19,20450,82500
OXFORD INDUSTRIES INCCommon equity shares69149730929,997398,873SH DFND1,2,5,8,2054,43000
VIRNETX HOLDING CORPCommon equity shares92823T1083,301892,149SH DFND2,5,20153,10400
PC CONNECTION INCCommon equity shares69318J1007,327279,566SH DFND2,5,8,2031,13900
PCTEL INCCommon equity shares69325Q10512917,494SH DFND2,20000
ACADIA HEALTHCARE CO INCCommon equity shares00404A10975,0522,300,100SH DFND1,2,5,6,8,11,13,20291,60300
PICO HOLDINGS INCCommon equity shares6933662055,867458,395SH DFND2,5,8,2085,19200
VIVEVE MEDICAL INCCommon equity shares92852W2041,167234,945SH DFND2,6,2024,11900
CIM COMMERICAL TRUSTReal Estate Investment Trust12552510531216,338SH DFND20000
PS BUSINESS PARKSReal Estate Investment Trust69360J107102,604820,172SH DFND1,2,5,8,10,18,2098,10600
BANK OF HAWAII CORPCommon equity shares062540109147,0271,715,594SH DFND1,2,5,6,8,11,13,20115,06900
PACIFIC MERCANTILE BANCORPCommon equity shares6945521001,918218,990SH DFND2,2044,35200
PALATIN TECHNOLOGIES INCCommon equity shares6960774031417,409SH DFND20000
PANHANDLE OIL ; GAS INCCommon equity shares6984771065,817283,019SH DFND2,5,2046,55500
PAPA JOHNS INTERNATIONAL INCCommon equity shares69881310251,224912,920SH DFND1,2,5,6,8,11,20105,74500
PARK ELECTROCHEMICAL CORPCommon equity shares7004162099,632490,048SH DFND2,5,8,2080,02900
PARK NATIONAL CORPCommon equity shares70065810729,633284,927SH DFND1,2,5,8,2046,30400
PARK OHIO HOLDINGS CORPCommon equity shares7006661007,619165,730SH DFND2,5,2025,08000
PARKER DRILLING COCommon equity shares7010811012,1952,194,169SH DFND2,5,20409,03000
PATRICK INDUSTRIES INCCommon equity shares70334310342,092606,014SH DFND1,2,5,8,20105,71900
FRP HOLDINGS INCCommon equity shares30292L1075,208117,736SH DFND2,5,2017,55900
PEAPACK-GLADSTONE FINL CORPCommon equity shares70469910710,073287,483SH DFND1,2,5,2043,40300
MEDNAX INCCommon equity shares58502B106146,5582,742,552SH DFND1,2,5,6,8,10,11,13,20403,92800
PEGASYSTEMS INCCommon equity shares70557310335,242747,514SH DFND1,2,5,8,20127,53600
PENN NATIONAL GAMING INCCommon equity shares70756910966,2372,114,182SH DFND1,2,5,8,20317,28100
PENNS WOODS BANCORP INCCommon equity shares7084301033,93384,385SH DFND2,5,2012,02500
PENNSYLVANIA RE INVS TRUSTReal Estate Investment Trust70910210733,5442,821,303SH DFND1,2,5,8,10,18,20326,08700
PEOPLES BANCORP INC/OHCommon equity shares70978910113,517414,231SH DFND1,2,5,8,10,20109,33600
PEOPLE`S UNITED FINL INCCommon equity shares712704105739,85939,564,252SH DFND1,2,5,6,8,10,11,12,13,18,201,849,31000
PEOPLES BANCORP NC INCCommon equity shares7105771071,75056,935SH DFND2,209,52300
RENASANT CORPCommon equity shares75970E10759,3291,449,805SH DFND1,2,5,8,20405,88500
BRF SAAmerican Depository Receipt10552T10715,6811,392,476SH DFND1,2,5,6,8,10,2023,49200
PEREGRINE PHARMACEUTICLS INCCommon equity shares7136615028923,046SH DFND2,5,20000
PERFICIENT INCCommon equity shares71375U10119,7611,036,575SH DFND1,2,5,8,10,20214,85700
TUTOR PERINI CORPCommon equity shares90110910819,495768,929SH DFND1,2,5,8,12,13,20132,71600
PERMIAN BASIN ROYALTY TRUSTIt is a gas or oil field held in a trust Investors own shares of the trust just like shares of a com71423610629733,490SH DFND2000
PERRIGO CO PLCCommon equity sharesG97822103537,4996,166,863SH DFND1,2,5,6,8,10,11,12,13,18,201,215,15900
TELEKOMUNIKASI INDONESIAAmerican Depository Receipt71568410619,582607,715SH DFND2,5,6,13,2042,71700
PETMED EXPRESS INCCommon equity shares71638210636,967812,325SH DFND1,2,5,8,2082,39200
PETROLEO BRASILEIRO SA- PETRAmerican Depository Receipt71654V10154,0065,493,927SH DFND2,5,6,10,20102,93800
PETROLEO BRASILEIRO SA- PETRAmerican Depository Receipt71654V40852,4085,093,169SH DFND1,2,5,6,8,10,20148,42300
PDC ENERGY INCCommon equity shares69327R101136,8792,655,685SH DFND1,2,5,13,20249,71400
PHI INCCommon equity shares69336T2052,763238,731SH DFND2,5,6,2036,14000
PFSWEB INCCommon equity shares71709820617523,743SH DFND2,20000
AQUA AMERICA INCCommon equity shares03836W103349,4188,906,867SH DFND1,2,5,6,8,11,12,13,19,20464,96800
PLDT INCAmerican Depository Receipt69344D4081,34044,547SH DFND1,2,5,6,20000
PVH CORPCommon equity shares693656100493,0633,593,602SH DFND1,2,5,6,8,10,11,12,13,18,20495,52900
PHOTRONICS INCCommon equity shares71940510215,9071,866,367SH DFND1,2,5,8,20225,30100
PIER 1 IMPORTS INC/DECommon equity shares7202791086,4051,546,967SH DFND1,2,5,8,20294,30400
PINNACLE FINL PARTNERS INCCommon equity shares72346Q104223,4553,370,334SH DFND1,2,5,6,8,11,13,20229,65800
AGILYSYS INCCommon equity shares00847J1054,648378,772SH DFND2,5,2069,61100
BRINKS COCommon equity shares109696104140,3811,783,708SH DFND1,2,5,6,8,11,13,20355,39200
PIXELWORKS INCCommon equity shares72581M3052,709428,202SH DFND2,2061,64700
PLAINS ALL AMER PIPELNE -LPLimited Partnership7265031051,11954,233SH DFND2054,23300
PLANTRONICS INCCommon equity shares72749310861,2051,214,879SH DFND1,2,5,6,8,11,20159,75400
PLUG POWER INCCommon equity shares72919P2029,4143,988,283SH DFND1,2,5,8,20681,84600
POLARIS INDUSTRIES INCCommon equity shares731068102464,6923,747,818SH DFND1,2,5,6,8,10,11,12,13,18,19,20344,81800
RALPH LAUREN CORPCommon equity shares751212101242,9902,343,429SH DFND1,2,5,6,8,10,11,12,13,18,20336,94300
POLYONE CORPCommon equity shares73179P106132,2373,039,170SH DFND1,2,5,6,8,11,13,20566,07000
POTASH CORP SASK INCCommon equity shares73755L1074,359211,095SH DFND2,5,20000
POTLATCH CORPReal Estate Investment Trust73763010371,9941,442,684SH DFND1,2,5,6,8,10,11,20223,53900
POWELL INDUSTRIES INCCommon equity shares7391281067,801272,280SH DFND2,5,8,2031,96200
POWER INTEGRATIONS INCCommon equity shares73927610360,702825,356SH DFND1,2,5,8,20106,88600
PREFORMED LINE PRODUCTS COCommon equity shares7404441043,52249,600SH DFND2,206,32900
PREMIER FINANCIAL BANCORPCommon equity shares74050M1052,912145,014SH DFND2,5,2019,75800
PRICELINE GROUP INCCommon equity shares7415034033,456,5781,989,120SH DFND1,2,5,6,8,10,11,12,13,18,20237,33600
PRICESMART INCCommon equity shares74151110943,936510,302SH DFND1,2,5,8,2075,24800
RADNET INCCommon equity shares7504911027,437736,471SH DFND2,5,20179,46400
PRGX GLOBAL INCCommon equity shares69357C50311716,501SH DFND2,20000
PROGENICS PHARMACEUTICAL INCCommon equity shares74318710620,5373,450,933SH DFND1,2,5,20259,97300
PROGRESS SOFTWARE CORPCommon equity shares74331210055,9751,314,887SH DFND1,2,5,8,10,20241,12400
PROSPERITY BANCSHARES INCCommon equity shares743606105232,8393,322,191SH DFND1,2,5,6,8,10,11,13,20330,64600
PDL BIOPHARMA INCCommon equity shares69329Y10423,4758,567,070SH DFND1,2,5,8,10,13,20939,04300
PROVIDENT FINANCIAL HOLDINGSCommon equity shares7438681011,903103,300SH DFND2,5,10,13,2013,13600
PRUDENTIAL PLCAmerican Depository Receipt74435K2043597,060SH DFND20000
PNM RESOURCES INCCommon equity shares69349H107116,1252,870,796SH DFND1,2,5,6,8,10,11,12,13,20371,75100
PURE CYCLE CORPCommon equity shares7462283031,700203,457SH DFND2,2031,71300
ARGAN INCCommon equity shares04010E10913,630302,708SH DFND1,2,5,8,2061,93800
NOVELION THERAPEUTICS INCCommon equity shares67001K202600192,361SH DFND2,6,2029,39900
QCR HOLDINGS INCCommon equity shares74727A1049,646225,096SH DFND1,2,5,2036,46600
QUAKER CHEMICAL CORPCommon equity shares74731610758,871390,448SH DFND1,2,5,8,20103,50000
QUALITY SYSTEMS INCCommon equity shares74758210417,4251,283,042SH DFND1,2,5,8,20200,82100
QUANEX BUILDING PRODUCTSCommon equity shares74761910419,987854,453SH DFND1,2,5,8,20121,62000
QUANTA SERVICES INCCommon equity shares74762E102203,1755,195,038SH DFND1,2,5,6,8,10,11,12,13,20602,83100
QUANTUM CORPCommon equity shares7479065012,497443,850SH DFND2,2066,61900
THE MEET GROUP INCCommon equity shares58513U1014,1711,479,402SH DFND2,5,20256,73100
QUICKLOGIC CORPCommon equity shares74837P1087643,616SH DFND2,20000
QUIDEL CORPCommon equity shares74838J10127,886643,184SH DFND1,2,5,8,2091,07500
DORMAN PRODUCTS INCCommon equity shares25827810042,705698,528SH DFND1,2,5,8,20103,05900
RAIT FINANCIAL TRUSTReal Estate Investment Trust7492276098132,166,274SH DFND2,5,20272,69900
RGC RESOURCES INCCommon equity shares74955L1032,61996,723SH DFND2,2014,44500
RLI CORPCommon equity shares749607107344,4955,679,076SH DFND1,2,5,8,12,13,20213,37400
RPC INCCommon equity shares74966010631,6161,238,330SH DFND1,2,5,6,8,20132,03200
RPM INTERNATIONAL INCCommon equity shares749685103366,0996,983,950SH DFND1,2,5,6,8,11,12,13,20359,30400
QORVO INCCommon equity shares74736K101351,0865,271,466SH DFND1,2,5,6,8,10,11,12,13,18,20689,96700
ENDOLOGIX INCCommon equity shares29266S10611,2282,098,693SH DFND1,2,5,8,20658,25700
URBAN ONE INCCommon equity shares91705J2043620,103SH DFND20000
RADISYS CORPCommon equity shares750459109528525,800SH DFND2,5,2077,13800
RANGE RESOURCES CORPCommon equity shares75281A109264,93015,528,998SH DFND1,2,5,6,8,10,11,12,13,18,201,200,98700
RAVEN INDUSTRIES INCCommon equity shares75421210830,898899,535SH DFND1,2,5,8,20135,70800
RAYMOND JAMES FINANCIAL CORPCommon equity shares754730109528,1395,914,078SH DFND1,2,5,6,8,10,11,12,13,18,20745,04800
EVOLUTION PETROLEUM CORPCommon equity shares30049A1073,056446,103SH DFND2,5,2087,69300
REALNETWORKS INCCommon equity shares75605L7081,687493,464SH DFND2,5,2084,98500
REALTY INCOME CORPReal Estate Investment Trust7561091041,082,80718,989,956SH DFND1,2,5,6,8,10,11,12,13,18,19,201,705,18900
RED HAT INCCommon equity shares756577102814,7916,784,363SH DFND1,2,5,6,8,10,11,12,13,18,20882,60400
BANK OF COMMERCE HOLDINGSCommon equity shares06424J1032,354204,595SH DFND2,2026,95400
CRAFT BREW ALLIANCE INCCommon equity shares2241221014,833251,700SH DFND2,5,2072,28800
REDWOOD TRUST INCReal Estate Investment Trust75807540224,8191,674,903SH DFND1,2,5,8,10,20266,32000
REGAL BELOIT CORPCommon equity shares75875010394,9761,239,785SH DFND1,2,5,6,8,11,13,20129,81600
REGENERON PHARMACEUTICALSCommon equity shares75886F1071,248,9333,321,972SH DFND1,2,5,6,8,10,11,12,13,18,20369,50600
RTI SURGICAL INCCommon equity shares74975N1054,5151,101,404SH DFND2,5,20209,94800
RELIANCE STEEL ; ALUMINUM COCommon equity shares759509102210,7422,456,463SH DFND1,2,5,6,8,11,12,13,20185,23700
REPLIGEN CORPCommon equity shares75991610968,9781,901,267SH DFND1,2,5,8,20355,50600
REPUBLIC BANCORP INC/KYCommon equity shares7602812048,185215,298SH DFND2,5,8,10,2039,80200
REPUBLIC FIRST BANCORP INCCommon equity shares7604161077,641904,502SH DFND1,2,5,20141,06800
RESEARCH FRONTIERS INCCommon equity shares7609111071210,720SH DFND20000
BLACKBERRY LTDCommon equity shares09228F10330927,692SH DFND2,8,20000
RESMED INCCommon equity shares761152107495,5115,850,761SH DFND1,2,5,6,8,10,11,12,13,18,20774,51200
RESOURCES CONNECTION INCCommon equity shares76122Q10516,7591,084,799SH DFND1,2,5,20436,80800
REX AMERICAN RESOURCES CORPCommon equity shares76162410517,317209,192SH DFND1,2,5,6,10,2019,77500
RCI HOSPITALITY HLDGS INCCommon equity shares74934Q1084,424158,244SH DFND2,5,10,2028,14800
RIGEL PHARMACEUTICALS INCCommon equity shares76655960315,4733,988,557SH DFND1,2,5,20382,83700
RIO TINTO GROUP (GBR)American Depository Receipt7672041001,37325,940SH DFND1,20000
RITCHIE BROS AUCTIONEERS INCCommon equity shares76774410514,961499,872SH DFND2499,87200
RITE AID CORPCommon equity shares76775410437,46419,015,393SH DFND1,2,5,8,12,13,202,390,95600
RIVERVIEW BANCORP INCCommon equity shares7693971002,698310,950SH DFND2,2069,06000
ROCKWELL MEDICAL INCCommon equity shares7743741025,376923,936SH DFND2,5,8,20153,57200
ROGERS CORPCommon equity shares77513310174,287458,806SH DFND1,2,5,8,2068,18800
ROLLINS INCCommon equity shares775711104158,7633,411,958SH DFND1,2,5,6,8,10,11,12,13,18,20407,36600
ROYAL GOLD INCCommon equity shares780287108184,2952,244,241SH DFND1,2,5,6,8,11,13,20169,62000
RUDOLPH TECHNOLOGIES INCCommon equity shares78127010324,6221,030,113SH DFND1,2,5,8,10,20282,45500
RUSH ENTERPRISES INCCommon equity shares7818463085,385111,682SH DFND2,5,10,2019,25700
S ; T BANCORP INCCommon equity shares78385910134,845875,139SH DFND1,2,5,8,20133,02000
NEONODE INCCommon equity shares64051M4021012,979SH DFND20000
POOL CORPCommon equity shares73278L105143,1971,104,506SH DFND1,2,5,6,8,11,13,20112,79400
SJW GROUPCommon equity shares78430510422,683355,418SH DFND1,2,5,8,19,2067,46900
STOCK YARDS BANCORP INCCommon equity shares86102510419,873527,196SH DFND1,2,5,8,20172,76500
SABINE ROYALTY TRUSTIt is a gas or oil field held in a trust Investors own shares of the trust just like shares of a com78568810255112,343SH DFND2000
AMERICAN OUTDOOR BRANDS CORPCommon equity shares02874P10313,1981,027,725SH DFND1,2,5,8,20173,04500
SAFEGUARD SCIENTIFICS INCCommon equity shares7864492074,160371,262SH DFND2,5,2067,74900
SM ENERGY COCommon equity shares78454L100114,6315,191,811SH DFND1,2,5,6,11,12,13,20542,15900
SALEM MEDIA GROUP INCCommon equity shares794093104711157,776SH DFND2,2027,32000
SANDERSON FARMS INCCommon equity shares800013104130,261938,595SH DFND1,2,5,6,8,10,11,19,20143,91300
SANDY SPRING BANCORP INCCommon equity shares80036310326,909689,654SH DFND1,2,5,2098,53700
SANFILIPPO JOHN B;SONCommon equity shares80042210713,752217,431SH DFND1,2,5,8,2030,78700
SANGAMO THERAPEUTICS INCCommon equity shares80067710665,2683,979,593SH DFND1,2,5,8,20359,57500
SASOL LTDAmerican Depository Receipt8038663008,485248,022SH DFND2,5,6,13,2029,63000
SAUL CENTERS INCReal Estate Investment Trust80439510129,627479,751SH DFND1,2,5,8,10,18,2053,88400
SCANSOURCE INCCommon equity shares80603710725,634716,080SH DFND1,2,5,8,10,13,2096,14900
NUANCE COMMUNICATIONS INCCommon equity shares67020Y10062,8013,841,049SH DFND1,2,5,6,8,12,13,20594,68000
SCHEIN (HENRY) INCCommon equity shares806407102487,4036,974,719SH DFND1,2,5,6,8,10,11,12,13,18,20848,57800
SCHNITZER STEEL INDS -CL ACommon equity shares80688210635,7941,068,546SH DFND1,2,5,8,2088,08100
SCHOLASTIC CORPCommon equity shares80706610530,269754,753SH DFND1,2,5,6,8,20108,75700
SCHULMAN (A.) INCCommon equity shares80819410426,820720,000SH DFND1,2,5,8,20109,95600
SCHWEITZER-MAUDUIT INTL INCCommon equity shares80854110637,496826,695SH DFND1,2,5,10,2099,89100
SCOTTS MIRACLE-GRO COCommon equity shares810186106122,3201,143,308SH DFND1,2,5,6,8,11,13,20124,56300
SEABOARD CORPCommon equity shares81154310715,3353,477SH DFND1,2,5,8,2055900
SEACHANGE INTERNATIONAL INCCommon equity shares81169910716742,401SH DFND20000
SEACOAST BANKING CORP/FLCommon equity shares81170780128,0021,110,612SH DFND1,2,5,20146,21900
SEACOR HOLDINGS INCCommon equity shares81190410122,884495,185SH DFND1,2,5,6,8,2066,32400
SLEEP NUMBER CORPORATIONCommon equity shares83125X10339,1971,042,753SH DFND1,2,5,8,20191,19200
SELECTIVE INS GROUP INCCommon equity shares81630010791,9241,566,104SH DFND1,2,5,8,10,12,13,20218,69900
SEMTECH CORPCommon equity shares81685010168,9332,015,675SH DFND1,2,5,8,20317,68100
SENECA FOODS CORPCommon equity shares8170705017,088230,489SH DFND2,5,2026,50400
SENIOR HOUSING PPTYS TRUSTReal Estate Investment Trust81721M109203,95310,650,168SH DFND1,2,5,6,8,10,11,12,13,18,19,20881,49300
SENSIENT TECHNOLOGIES CORPCommon equity shares81725T100117,8011,610,464SH DFND1,2,5,6,8,11,20276,74800
SERVICE CORP INTERNATIONALCommon equity shares817565104190,0645,092,805SH DFND1,2,5,6,8,11,13,20516,68700
SYNTHETIC BIOLOGICS INCCommon equity shares87164U1022653,634SH DFND20000
SHENANDOAH TELECOMMUN COCommon equity shares82312B10632,415958,995SH DFND1,2,5,8,20168,08300
SHILOH INDUSTRIES INCCommon equity shares8245431021,441175,730SH DFND2,2031,28400
SHIRE PLCAmerican Depository Receipt82481R10630,704197,949SH DFND1,2,5,8,10,11,12,2034800
SHOE CARNIVAL INCCommon equity shares8248891099,441352,949SH DFND2,5,8,2059,54700
SIGMA DESIGNS INCCommon equity shares8265651034,284616,538SH DFND2,5,2089,64200
SILICON LABORATORIES INCCommon equity shares826919102135,5141,534,666SH DFND1,2,5,6,8,11,13,20167,78700
SILGAN HOLDINGS INCCommon equity shares82704810959,7392,032,813SH DFND1,2,5,6,8,11,13,20212,15400
SVB FINANCIAL GROUPCommon equity shares78486Q101568,8252,433,222SH DFND1,2,5,6,8,10,11,12,13,18,20228,34100
SILICONWARE PRECISION INDSAmerican Depository Receipt8270848643,722442,532SH DFND2,5,6,8,2020,75100
SIMMONS FIRST NATL CP -CL ACommon equity shares82873020096,0661,682,369SH DFND1,2,5,8,20167,38900
SIMPSON MANUFACTURING INCCommon equity shares82907310561,3841,069,254SH DFND1,2,5,8,10,20173,00200
SIMULATIONS PLUS INCCommon equity shares8292141052,851177,005SH DFND2,2019,99800
SINCLAIR BROADCAST GP -CL ACommon equity shares82922610955,3831,463,243SH DFND1,2,5,8,20254,30100
SKECHERS U S A INCCommon equity shares830566105197,7825,226,731SH DFND1,2,5,6,8,11,12,13,19,20388,05800
SKYWEST INCCommon equity shares83087910274,3181,399,674SH DFND1,2,5,8,20194,44100
SMITH ; NEPHEW PLCAmerican Depository Receipt83175M2052005,727SH DFND20000
SMITH (A O) CORPCommon equity shares831865209461,5457,531,757SH DFND1,2,5,6,8,10,11,12,13,18,20831,25600
SMUCKER (JM) COCommon equity shares832696405659,0785,304,812SH DFND1,2,5,6,8,10,11,12,13,18,20683,66000
SOC QUIMICA Y MINERA DE CHIAmerican Depository Receipt83363510529,882503,314SH DFND1,2,5,6,13,206,13300
SOHU.COM INCCommon equity shares83408W1037,463172,168SH DFND2,5,2010,96700
SOLITARIO EXPLORATION ; RLTYCommon equity shares8342EP107813,385SH DFND20000
SONIC CORPCommon equity shares83545110528,1891,025,771SH DFND1,2,5,8,20156,35800
SONIC AUTOMOTIVE INC -CL ACommon equity shares83545G10215,310829,895SH DFND1,2,5,8,13,20112,29000
SONOCO PRODUCTS COCommon equity shares835495102385,5527,255,380SH DFND1,2,5,6,8,11,12,13,20260,60800
SONY CORPAmerican Depository Receipt8356993073387,527SH DFND1,20000
SOTHEBY`SCommon equity shares83589810767,5221,308,618SH DFND1,2,5,6,8,11,20163,65000
SOUTH JERSEY INDUSTRIES INCCommon equity shares83851810863,9642,048,159SH DFND1,2,5,8,20318,98700
PIONEER ENERGY SERVICES CORPCommon equity shares7236641085,6231,844,955SH DFND2,5,20252,59900
SOUTHERN MISSOURI BANCP INCCommon equity shares8433801064,508119,884SH DFND2,2037,13800
SOUTHERN COPPER CORPCommon equity shares84265V105183,2973,862,999SH DFND1,2,5,6,8,10,12,13,18,201,626,51200
SOUTHSIDE BANCSHARES INCCommon equity shares84470P10928,248838,756SH DFND1,2,5,8,2094,81800
SOUTHWEST GAS HOLDINGS INCCommon equity shares844895102132,9221,651,646SH DFND1,2,5,6,8,11,19,20191,49900
SOUTHWESTERN ENERGY COCommon equity shares845467109121,61521,794,701SH DFND1,2,5,6,11,12,13,201,364,02900
LIFE STORAGE INCReal Estate Investment Trust53223X107185,3742,081,256SH DFND1,2,5,6,8,10,11,12,13,18,19,20169,52400
SPARTAN MOTORS INCCommon equity shares8468191008,958568,835SH DFND2,5,2090,68600
SPARTANNASH COCommon equity shares84721510034,7091,300,769SH DFND1,2,5,8,10,12,13,20395,84900
SPARTON CORPCommon equity shares8472351084,428192,081SH DFND2,5,2029,04800
SPEEDWAY MOTORSPORTS INCCommon equity shares8477881064,502238,485SH DFND2,5,10,2037,85500
STAAR SURGICAL COCommon equity shares85231230511,270726,953SH DFND1,2,5,8,20129,77500
SUNOPTA INCCommon equity shares8676EP10827335,302SH DFND2,5000
STAMPS.COM INCCommon equity shares85285720077,558412,535SH DFND1,2,5,8,13,2068,75800
STANDARD MOTOR PRODSCommon equity shares85366610525,579569,701SH DFND1,2,5,8,20124,46900
CALATLANTIC GROUP INCCommon equity shares128195104149,3272,648,187SH DFND1,2,5,6,8,11,13,20199,46100
STANDEX INTERNATIONAL CORPCommon equity shares85423110740,894401,509SH DFND1,2,5,8,20128,89100
STARTEK INCCommon equity shares85569C1071,342134,384SH DFND2,2018,58600
STATE AUTO FINANCIAL CORPCommon equity shares8557071059,159314,422SH DFND1,2,5,8,2055,42700
STEEL DYNAMICS INCCommon equity shares858119100377,4088,750,375SH DFND1,2,5,6,8,10,11,12,13,18,20983,10300
STEELCASE INCCommon equity shares85815520329,1071,914,415SH DFND1,2,5,8,10,20371,80400
STEIN MART INCCommon equity shares8583751082321,035SH DFND20000
STEPAN COCommon equity shares85858610038,997493,852SH DFND1,2,5,8,2074,09900
STERICYCLE INCCommon equity shares858912108227,2433,342,221SH DFND1,2,5,6,8,10,11,12,13,18,20423,22100
STEWART INFORMATION SERVICESCommon equity shares86037210124,578581,073SH DFND1,2,5,8,20102,48600
STIFEL FINANCIAL CORPCommon equity shares860630102139,9092,349,050SH DFND1,2,5,6,8,11,13,20288,75100
STMICROELECTRONICS NVSimilar to ADR Certificates representing ordinary shares8610121026,496297,393SH DFND1,2,20000
STONERIDGE INCCommon equity shares86183P10215,550680,080SH DFND1,2,5,10,20205,73600
STRATASYS LTDCommon equity sharesM8554810117,927898,172SH DFND1,2,5,8,20156,58700
STRATUS PROPERTIES INCCommon equity shares8631672012,71991,535SH DFND2,2015,77500
STRAYER EDUCATION INCCommon equity shares86323610523,963267,438SH DFND1,2,5,8,2042,25700
STURM RUGER ; CO INCCommon equity shares86415910823,888427,658SH DFND1,2,5,8,2059,19700
SUMMIT FINANCIAL GROUP INCCommon equity shares86606G1014,082155,146SH DFND2,5,2024,55900
SUN BANCORP INC/NJCommon equity shares86663B2015,386221,675SH DFND2,5,2071,30400
SUN COMMUNITIES INCReal Estate Investment Trust866674104221,3682,385,930SH DFND1,2,5,8,10,12,13,18,19,20238,69800
SUN HYDRAULICS CORPCommon equity shares86694210530,268467,939SH DFND1,2,5,8,2082,80700
REVOLUTION LIGHTING TECHNLGSCommon equity shares76155G206557169,389SH DFND2,2019,15500
SUPERIOR ENERGY SERVICES INCCommon equity shares86815710860,9356,327,327SH DFND1,2,5,6,11,12,13,20604,20900
SUPERIOR INDUSTRIES INTLCommon equity shares86816810511,015742,171SH DFND1,2,5,8,10,20108,48800
SUPERIOR UNIFORM GROUP INCCommon equity shares8683581023,162118,402SH DFND2,2019,58900
SURMODICS INCCommon equity shares8688731009,471338,160SH DFND2,5,8,2041,30800
SUSSEX BANCORPCommon equity shares8692451002097,777SH DFND2,206,20400
SYKES ENTERPRISES INCCommon equity shares87123710336,6731,166,177SH DFND1,2,5,8,10,20184,27100
TRINITY PLACE HOLDINGS INCCommon equity shares89656D1012,338336,286SH DFND2,2049,90000
SYNTEL INCCommon equity shares87162H10316,798730,657SH DFND1,2,5,8,20141,11800
SYSTEMAX INCCommon equity shares8718511016,984209,826SH DFND2,5,2030,57200
TC PIPELINES LPLimited Partnership87233Q1083276,159SH DFND206,15900
DAWSON GEOPHYSICAL COCommon equity shares2393601005911,817SH DFND20000
TTM TECHNOLOGIES INCCommon equity shares87305R10936,8112,349,246SH DFND1,2,5,8,20392,30300
TAKE-TWO INTERACTIVE SFTWRCommon equity shares874054109390,0823,553,171SH DFND1,2,5,6,8,10,11,12,13,18,20424,12000
TAUBMAN CENTERS INCReal Estate Investment Trust876664103180,8492,763,901SH DFND1,2,5,6,8,10,11,13,18,19,20226,54000
TEAM INCCommon equity shares87815510010,835727,126SH DFND1,2,5,8,20108,38500
TECH DATA CORPCommon equity shares878237106125,7491,283,483SH DFND1,2,5,6,8,11,12,13,20166,91500
BIO-TECHNE CORPCommon equity shares09073M104131,0371,011,440SH DFND1,2,5,6,8,11,13,20103,26100
TEJON RANCH COCommon equity shares8790801097,182346,012SH DFND2,5,8,2062,96200
TIM PARTICIPACOES SAAmerican Depository Receipt88706P2057,733400,506SH DFND2,6,10,2033,13800
TELECOM ARGENTINAAmerican Depository Receipt87927320991725,021SH DFND20000
TELEFONICA BRASIL SAAmerican Depository Receipt87936R10615,5761,050,351SH DFND1,2,5,6,10,13,2039,82700
TELEDYNE TECHNOLOGIES INCCommon equity shares879360105226,0211,247,722SH DFND1,2,5,6,8,11,13,20146,07100
TELETECH HOLDINGS INCCommon equity shares87993910614,974372,060SH DFND1,2,5,8,2057,42400
TENNANT COCommon equity shares88034510332,233443,703SH DFND1,2,5,8,2066,23200
TENNECO INCCommon equity shares88034910574,2031,267,502SH DFND1,2,5,8,10,12,13,20356,15000
TEREX CORPCommon equity shares880779103107,2642,224,387SH DFND1,2,5,6,8,11,12,13,20231,30800
ANDEAVORCommon equity shares03349M105921,4788,059,122SH DFND1,2,5,6,8,10,11,12,13,18,20794,31700
TEVA PHARMACEUTICALSAmerican Depository Receipt881624209168,2578,878,843SH DFND1,2,5,6,8,10,11,12,13,18,19,20360,39400
TETRA TECHNOLOGIES INC/DECommon equity shares88162F10514,0253,283,907SH DFND1,2,5,8,20389,83300
TETRA TECH INCCommon equity shares88162G10370,6561,467,444SH DFND1,2,5,8,10,20229,51400
TEXAS PACIFIC LAND TRUSTIt is a gas or oil field held in a trust Investors own shares of the trust just like shares of a com8826101085,03211,267SH DFND2,5,8,202,00000
KADANT INCCommon equity shares48282T10422,243221,586SH DFND1,2,5,8,2034,29200
THESTREET INCCommon equity shares88368Q1031913,500SH DFND20000
THOR INDUSTRIES INCCommon equity shares885160101216,9291,439,159SH DFND1,2,5,6,8,11,13,20198,70500
3D SYSTEMS CORPCommon equity shares88554D20532,2643,733,931SH DFND1,2,5,6,8,11,20432,94300
TIDEWATER INCCommon equity shares88642R10984934,826SH DFND2,13,202,84100
TIMBERLAND BANCORP INCCommon equity shares8870981012,22083,633SH DFND2,2011,35500
TIMKEN COCommon equity shares887389104107,1152,179,219SH DFND1,2,5,6,8,11,12,13,20403,45800
TITAN INTERNATIONAL INCCommon equity shares88830M10215,0841,171,145SH DFND1,2,5,8,20173,36200
TOLL BROTHERS INCCommon equity shares889478103294,6926,137,056SH DFND1,2,5,6,8,10,11,12,13,18,20651,77300
TOMPKINS FINANCIAL CORPCommon equity shares89011010929,361360,943SH DFND1,2,5,8,2054,27000
TOOTSIE ROLL INDUSTRIES INCCommon equity shares89051610723,591648,039SH DFND1,2,5,6,8,11,2073,11700
TORO COCommon equity shares891092108192,2442,947,148SH DFND1,2,5,6,8,11,13,20290,13800
TOTAL SAAmerican Depository Receipt89151E1092714,884SH DFND20000
TOWNEBANKCommon equity shares89214P10936,1161,174,425SH DFND1,2,5,8,20193,74500
TOYOTA MOTOR CORPAmerican Depository Receipt8923313078306,534SH DFND1,2,20000
TRACTOR SUPPLY COCommon equity shares892356106397,4055,316,447SH DFND1,2,5,6,8,10,11,12,13,18,20648,18600
ACI WORLDWIDE INCCommon equity shares00449810198,5284,346,132SH DFND1,2,5,6,8,11,13,20835,49300
TRANSATLANTIC PETROLEUM LTDCommon equity sharesG899821131913,759SH DFND20000
TRANSCONTINENTAL RLTY INVSReal Estate Investment Trust89361720950916,211SH DFND2,202,69100
TREDEGAR CORPCommon equity shares89465010012,121631,196SH DFND1,2,5,8,2089,60900
TREX CO INCCommon equity shares89531P10596,223887,741SH DFND1,2,5,8,13,20124,06300
WENDY`S COCommon equity shares95058W10088,7445,404,709SH DFND1,2,5,6,8,11,20818,58700
TRICO BANCSHARESCommon equity shares89609510616,232428,739SH DFND1,2,5,2079,68200
TRIMBLE INCCommon equity shares896239100341,2218,396,085SH DFND1,2,5,6,8,10,11,12,13,18,201,062,97600
TRINITY BIOTECH PLCAmerican Depository Receipt896438306731143,253SH DFND1,2,20000
TRINITY INDUSTRIESCommon equity shares896522109173,5304,632,610SH DFND1,2,5,6,8,11,13,20846,34600
TRIUMPH GROUP INCCommon equity shares89681810162,6922,304,841SH DFND1,2,5,8,12,13,20193,35100
TRUSTCO BANK CORP/NYCommon equity shares89834910522,2352,416,307SH DFND1,2,5,8,20359,78200
TRUSTMARK CORPCommon equity shares89840210297,2033,051,034SH DFND1,2,5,6,8,11,20268,34500
TUESDAY MORNING CORPCommon equity shares89903550515355,491SH DFND2,20000
TUPPERWARE BRANDS CORPCommon equity shares89989610498,3931,569,162SH DFND1,2,5,6,8,11,13,20148,05200
TURKCELL ILETISIM HIZMETAmerican Depository Receipt90011120475373,793SH DFND6,2017300
FEDERATED NATIONAL HLDG COCommon equity shares31422T1013,543213,986SH DFND2,5,2029,27100
TWIN DISC INCCommon equity shares9014761013,180119,693SH DFND2,2020,44500
II-VI INCCommon equity shares90210410869,4471,479,161SH DFND1,2,5,8,20225,57300
TYLER TECHNOLOGIES INCCommon equity shares902252105165,578935,199SH DFND1,2,5,6,8,11,13,2094,53000
UFP TECHNOLOGIES INCCommon equity shares9026731023,236116,337SH DFND2,2015,63200
UGI CORPCommon equity shares902681105433,3399,229,944SH DFND1,2,5,6,8,10,11,12,13,18,20793,53100
AVANGRID INCCommon equity shares05351W10336,368718,965SH DFND1,2,5,6,8,12,13,2077,43100
UMB FINANCIAL CORPCommon equity shares902788108169,4462,355,561SH DFND1,2,5,6,8,11,13,20297,28000
UQM TECHNOLOGIES INCCommon equity shares9032131062518,876SH DFND20000
USANA HEALTH SCIENCES INCCommon equity shares90328M10718,715252,739SH DFND1,2,5,8,2053,46500
USA TECHNOLOGIES INCCommon equity shares90328S5006,936711,341SH DFND2,5,20122,97300
USG CORPCommon equity shares90329340583,1122,155,503SH DFND1,2,5,8,13,20177,21800
U S PHYSICAL THERAPY INCCommon equity shares90337L10822,806315,804SH DFND1,2,5,8,2047,25200
ULTIMATE SOFTWARE GROUP INCCommon equity shares90385D107166,641763,601SH DFND1,2,5,6,8,11,13,2077,69500
ULTRAPAR PARTICIPACOES SAAmerican Depository Receipt90400P10122,302981,114SH DFND2,5,6,10,13,2052,04800
UMPQUA HOLDINGS CORPCommon equity shares904214103265,73112,774,827SH DFND1,2,5,6,8,10,11,13,201,032,67800
UNIFI INCCommon equity shares90467720014,147394,307SH DFND1,2,5,8,2054,50500
UNIFIRST CORPCommon equity shares90470810465,147395,119SH DFND1,2,5,8,2066,24900
UNILEVER PLCAmerican Depository Receipt9047677043987,189SH DFND20000
UNILEVER NVSimilar to ADR Certificates representing ordinary shares9047847093476,175SH DFND1,20000
UNION BANKSHARES CORPCommon equity shares90539J10933,627929,709SH DFND1,2,5,8,20189,22100
UNION BANKSHARES INCCommon equity shares9054001073,00756,809SH DFND2,209,09500
UNIT CORPCommon equity shares90921810934,7171,578,134SH DFND1,2,5,12,20191,48000
PENSKE AUTOMOTIVE GROUP INCCommon equity shares70959W10331,959667,968SH DFND1,2,5,8,13,2083,89400
UNITED COMMUNITY FINL CORPCommon equity shares9098391028,516932,980SH DFND1,2,5,10,20202,76800
UNITED BANKSHARES INC/WVCommon equity shares909907107454,42213,076,814SH DFND1,2,5,6,8,11,13,20399,62500
UDR INCReal Estate Investment Trust902653104589,91915,314,595SH DFND1,2,5,6,8,10,11,12,13,18,19,201,630,98800
UNITED FIRE GROUP INCCommon equity shares91034010824,370534,597SH DFND1,2,5,8,2078,77000
UNITED MICROELECTRONICS CORPAmerican Depository Receipt9108734057,7953,261,952SH DFND2,5,6,8,20221,42300
UMH PROPERTIES INCReal Estate Investment Trust9030021039,407631,480SH DFND1,2,5,2090,69000
UNITED NATURAL FOODS INCCommon equity shares91116310384,8811,722,938SH DFND1,2,5,6,8,11,12,13,20195,31300
UNITED RENTALS INCCommon equity shares911363109879,6805,117,063SH DFND1,2,5,6,8,10,11,12,13,18,20580,59500
UNITED SECURITY BANCSHARS CACommon equity shares9114601031,952177,662SH DFND2,2031,42500
U S ANTIMONY CORPCommon equity shares9115491031028,812SH DFND20000
US CELLULAR CORPCommon equity shares9116841087,122189,164SH DFND1,2,5,8,2025,32600
U S LIME ; MINERALSCommon equity shares9119221023,16241,016SH DFND2,5,6,206,45400
MCEWEN MINING INCCommon equity shares58039P10710,7434,712,162SH DFND2,5,8,2073,35000
ESSENDANT INCCommon equity shares29668910210,1131,090,842SH DFND1,2,5,8,13,20144,76700
UNITED THERAPEUTICS CORPCommon equity shares91307C102284,2951,921,557SH DFND1,2,5,6,8,10,11,12,13,18,20175,80000
UNITIL CORPCommon equity shares91325910716,914370,706SH DFND1,2,5,8,19,2051,63600
KEMPER CORP/DECommon equity shares488401100101,8341,478,025SH DFND1,2,5,6,8,11,13,20164,83000
UNITY BANCORP INCCommon equity shares9132901022,146108,589SH DFND2,2017,09100
UNIVERSAL CORP/VACommon equity shares91345610934,484656,729SH DFND2,5,13,2080,20200
UNIVERSAL DISPLAY CORPCommon equity shares91347P10594,105545,074SH DFND1,2,5,8,13,2090,22500
UNIVERSAL ELECTRONICS INCCommon equity shares91348310316,526349,735SH DFND1,2,5,8,2052,12600
UNIVERSAL FOREST PRODS INCCommon equity shares91354310459,5071,581,898SH DFND1,2,5,8,20291,24900
UNIVERSAL HEALTH RLTY INCOMEReal Estate Investment Trust91359E10539,151521,207SH DFND1,2,5,8,10,18,2064,89300
UNIVERSAL INSURANCE HLDGSCommon equity shares91359V10722,706830,145SH DFND1,2,5,8,20130,67300
UNIVERSAL HEALTH SVCS INCCommon equity shares913903100420,6213,710,816SH DFND1,2,5,6,8,10,11,12,13,18,20449,05100
UNIVEST CORP OF PENNSYLVANIACommon equity shares91527110019,996712,900SH DFND1,2,5,8,20105,75400
WESTWATER RESOURCES INCCommon equity shares9616841072422,791SH DFND20000
URSTADT BIDDLE PROPERTIESReal Estate Investment Trust91728620519,907915,719SH DFND1,2,5,8,10,20150,51900
UTAH MEDICAL PRODUCTS INCCommon equity shares9174881087,25889,197SH DFND2,5,10,2016,89500
VSE CORPCommon equity shares9182841007,970164,548SH DFND1,2,5,2025,78600
VAALCO ENERGY INCCommon equity shares91851C2012232,300SH DFND20000
VAIL RESORTS INCCommon equity shares91879Q109154,116725,403SH DFND1,2,5,6,8,10,11,12,13,18,20143,38200
VALHI INCCommon equity shares9189051002,001324,163SH DFND2,2044,35800
VALLEY NATIONAL BANCORPCommon equity shares919794107170,68615,212,852SH DFND1,2,5,6,8,11,13,201,031,29900
VALMONT INDUSTRIES INCCommon equity shares920253101100,491605,919SH DFND1,2,5,6,8,11,13,2062,24800
EVINE LIVE INCCommon equity shares3004871055437,839SH DFND20000
VASCO DATA SEC INTL INCCommon equity shares92230Y10410,256738,127SH DFND1,2,5,8,2097,94500
VECTREN CORPCommon equity shares92240G101341,5685,253,124SH DFND1,2,5,6,8,11,12,13,20211,77200
VECTOR GROUP LTDCommon equity shares92240M10848,0602,147,579SH DFND2,5,6,20285,66800
VEECO INSTRUMENTS INCCommon equity shares92241710017,3711,169,561SH DFND1,2,5,8,20176,06200
VENTAS INCReal Estate Investment Trust92276F1001,215,22520,250,430SH DFND1,2,5,6,8,10,11,12,13,18,19,202,170,74200
VERTEX PHARMACEUTICALS INCCommon equity shares92532F1001,644,87710,976,063SH DFND1,2,5,6,8,10,11,12,13,18,201,194,15400
VIAD CORPCommon equity shares92552R40630,251545,967SH DFND1,2,5,8,20100,50100
VIASAT INCCommon equity shares92552V100135,1031,805,012SH DFND1,2,5,6,8,11,12,13,20208,15300
VICOR CORPCommon equity shares9258151029,239441,902SH DFND2,5,8,2072,56600
VILLAGE SUPER MARKET -CL ACommon equity shares9271074095,105222,603SH DFND2,5,2027,36600
VINA CONCHA Y TORO SAAmerican Depository Receipt92719110689624,582SH DFND2,20000
COGENTIX MEDICAL INCCommon equity shares19243A1044814,897SH DFND2,20000
ECO-STIM ENERGY SOLUTIONSCommon equity shares27888D1012922,487SH DFND2000
VIVUS INCCommon equity shares92855110052103,137SH DFND5,20000
VODAFONE GROUP PLCAmerican Depository Receipt92857W3086,428201,517SH DFND1,20000
FIBRIA CELULOSE SAAmerican Depository Receipt31573A10915,1891,033,323SH DFND2,5,6,10,2029,58400
WD-40 COCommon equity shares92923610745,172382,761SH DFND1,2,5,6,8,2054,47800
WGL HOLDINGS INCCommon equity shares92924F106334,0553,891,588SH DFND1,2,5,6,8,11,12,13,19,20206,71200
WPP PLCAmerican Depository Receipt92937A10295010,483SH DFND1,20000
W P CAREY INCLimited Partnership92936U109145,9442,118,219SH DFND1,2,5,8,10,13,19,20344,97500
WSFS FINANCIAL CORPCommon equity shares92932810229,650619,605SH DFND1,2,5,8,20104,45700
WABASH NATIONAL CORPCommon equity shares92956610736,5921,685,968SH DFND1,2,5,8,10,20363,15400
WABTEC CORPCommon equity shares929740108229,7882,821,980SH DFND1,2,5,6,8,10,11,12,13,18,20361,53600
GEO GROUP INCCommon equity shares36162J10695,7934,058,695SH DFND1,2,5,6,8,11,13,20348,50900
WADDELL;REED FINL INC -CL ACommon equity shares93005910067,5703,024,717SH DFND1,2,5,8,13,20322,98400
WASHINGTON FEDERAL INCCommon equity shares938824109129,3253,776,043SH DFND1,2,5,6,8,10,11,13,20420,49100
WASHINGTON REITReal Estate Investment Trust93965310182,0032,635,023SH DFND1,2,5,8,10,12,18,20341,35600
WASHINGTON TR BANCORP INCCommon equity shares94061010820,731388,676SH DFND1,2,5,8,20142,81800
WATSCO INCCommon equity shares942622200144,376849,102SH DFND1,2,5,6,8,11,13,2085,70500
WATTS WATER TECHNOLOGIES INCCommon equity shares94274910258,753773,535SH DFND1,2,5,8,20172,12000
WEBSTER FINANCIAL CORPCommon equity shares947890109224,5903,999,186SH DFND1,2,5,6,8,11,13,20235,62400
WEINGARTEN REALTY INVSTReal Estate Investment Trust948741103179,4305,458,829SH DFND1,2,5,6,8,10,11,12,13,18,19,20445,30000
WEIS MARKETS INCCommon equity shares94884910411,264272,143SH DFND1,2,5,8,2033,25600
REIS INCCommon equity shares75936P1052,851138,188SH DFND2,5,2021,66800
WERNER ENTERPRISES INCCommon equity shares95075510866,9551,732,285SH DFND1,2,5,6,8,11,20196,81700
WESBANCO INCCommon equity shares95081010134,223841,956SH DFND1,2,5,8,20136,65700
WESCO INTL INCCommon equity shares95082P10544,493652,920SH DFND1,2,5,8,13,2097,66500
WEST BANCORPORATION INCCommon equity shares95123P1067,305290,334SH DFND1,2,5,2043,06400
WEST PHARMACEUTICAL SVSC INCCommon equity shares955306105242,2422,455,047SH DFND1,2,5,6,8,10,11,13,20199,42400
WESTAMERICA BANCORPORATIONCommon equity shares95709010355,510932,107SH DFND1,2,5,8,20194,90000
RED LION HOTELS CORPCommon equity shares7567641062,280231,528SH DFND2,2035,47800
WESTERN DIGITAL CORPCommon equity shares958102105924,58611,625,696SH DFND1,2,5,6,8,10,11,12,13,18,201,471,40500
WESTAR ENERGY INCCommon equity shares95709T100246,3014,664,647SH DFND1,2,5,6,8,10,11,12,13,18,20536,76300
WESTMORELAND COAL COCommon equity shares960878106386315,839SH DFND2,5,2048,92900
WESTPAC BANKINGAmerican Depository Receipt96121430150320,605SH DFND20000
WEYCO GROUP INCCommon equity shares9621491003,989134,224SH DFND2,5,2016,40600
WIDEPOINT CORPCommon equity shares9675901001929,100SH DFND20000
WILLBROS GROUP INCCommon equity shares969203108882620,481SH DFND2,2082,13000
MAGELLAN MIDSTREAM PRTNRS LPLimited Partnership5590801062,01528,399SH DFND2028,39900
WILLIAMS-SONOMA INCCommon equity shares969904101171,5033,317,184SH DFND1,2,5,6,8,11,12,13,20222,12400
WILLIS LEASE FINANCE CORPCommon equity shares9706461051,44557,935SH DFND2,209,75500
WINNEBAGO INDUSTRIESCommon equity shares97463710044,832806,372SH DFND1,2,5,8,20160,06400
WIPRO LTDAmerican Depository Receipt97651M10937,8936,927,250SH DFND1,2,5,6,8,13,18,20601,25100
GLOWPOINT INCCommon equity shares379887201513,300SH DFND20000
KRATOS DEFENSE ; SECURITYCommon equity shares50077B20755,1005,202,968SH DFND1,2,5,20222,00600
WOLVERINE WORLD WIDECommon equity shares97809710391,1782,859,176SH DFND1,2,5,8,20811,11500
WOODWARD INCCommon equity shares980745103153,9272,010,976SH DFND1,2,5,6,8,10,11,13,20394,45400
WORLD ACCEPTANCE CORP/DECommon equity shares98141910412,566155,689SH DFND2,5,8,2023,88600
WORLD FUEL SERVICES CORPCommon equity shares98147510673,4202,609,039SH DFND1,2,5,6,8,11,12,13,20182,10100
WORLD WRESTLING ENTMT INCCommon equity shares98156Q10828,093918,826SH DFND1,2,5,8,20128,12200
YACIMIENTOS PETE FISCALES SAAmerican Depository Receipt98424510045419,815SH DFND20000
YORK WATER COCommon equity shares9871841088,584253,111SH DFND1,2,5,2038,35500
HRG GROUP INCCommon equity shares40434J10042,2982,495,574SH DFND1,2,5,8,13,20413,34200
ZEBRA TECHNOLOGIES CP -CL ACommon equity shares989207105149,9621,444,753SH DFND1,2,5,6,8,11,13,20176,77300
ZIX CORPCommon equity shares98974P1006,3181,442,306SH DFND2,5,20442,39200
REPROS THERAPEUTICS INCCommon equity shares76028H209913,551SH DFND20000
AMDOCSCommon equity sharesG02602103115,7611,767,862SH DFND1,2,5,6,8,12,13,20212,09700
ARCH CAPITAL GROUP LTDCommon equity sharesG0450A105264,6872,916,043SH DFND1,2,5,6,8,10,11,12,13,18,20450,70900
CENTRAL EUROPEAN MEDIACommon equity sharesG200452026,3451,364,436SH DFND2,5,20245,82500
CHINA YUCHAI INTERNATIONALCommon equity sharesG210821052,542105,994SH DFND2,5,2014,80000
CONSOLIDATED WATER CO INCCommon equity sharesG237731072,507198,899SH DFND2,2034,44000
FRESH DEL MONTE PRODUCE INCCommon equity sharesG3673810535,664748,171SH DFND1,2,5,8,10,20143,73300
GARMIN LTDCommon equity sharesH2906T109359,1716,029,123SH DFND1,2,5,6,8,10,11,12,13,18,201,003,47400
HELEN OF TROY LTDCommon equity sharesG4388N106108,6851,128,034SH DFND1,2,5,6,8,11,20211,56600
GOLDEN OCEAN GROUPCommon equity sharesG3963720548559,590SH DFND2,5,20000
NORDIC AMERICAN TANKERS LTDCommon equity sharesG657731064,1851,699,731SH DFND1,2,5,20297,34600
BELMOND LTDCommon equity sharesG1154H10727,0042,204,469SH DFND1,2,5,8,20353,82500
ARGO GROUP INTL HOLDINGS LTDCommon equity sharesG0464B10757,940939,775SH DFND1,2,5,8,10,20283,93900
SINA CORPCommon equity sharesG8147710491,478911,963SH DFND2,5,6,8,10,12,13,18,20187,79500
WHITE MTNS INS GROUP LTDCommon equity sharesG9618E10762,95273,955SH DFND1,2,5,8,13,209,15600
CERAGON NETWORKS LTDCommon equity sharesM2201310214774,465SH DFND2,20000
CHECK POINT SOFTWARE TECHNCommon equity sharesM22465104266,1332,568,352SH DFND1,2,5,6,8,10,11,12,13,18,19,20306,90900
ELBIT SYSTEMS LTDCommon equity sharesM3760D1012141,606SH DFND2,6000
NOVA MEASURING INSTRUMENTSCommon equity sharesM7516K10341415,966SH DFND2000
ORBOTECH LTDCommon equity sharesM7525310017,473347,788SH DFND2,5,8,2073,00300
RADWARE LTDCommon equity sharesM818731075,525284,904SH DFND2,8,2067,03100
SILICOM LTDCommon equity sharesM841161082,57236,683SH DFND2,20000
TARO PHARMACEUTICL INDS LTDCommon equity sharesM8737E1086546,266SH DFND5,8,10,203,52200
ASML HOLDING NVSimilar to ADR Certificates representing ordinary sharesN070592105,51831,753SH DFND1,5,205,80000
CHICAGO BRIDGE ; IRON COSimilar to ADR Certificates representing ordinary shares16725010974,3444,606,106SH DFND1,2,5,8,12,13,19,20352,59200
CNH INDUSTRIAL NVCommon equity sharesN2094410912,475930,940SH DFND1,13,20000
CORE LABORATORIES NVCommon equity sharesN22717107104,668955,381SH DFND2,5,6,8,11,12,13,2040,21700
ORTHOFIX INTERNATIONAL NVCommon equity sharesN6748L10229,296535,589SH DFND1,2,5,8,10,20106,10500
ROYAL CARIBBEAN CRUISES LTDCommon equity sharesV7780T103829,1136,950,963SH DFND1,2,5,6,8,10,11,12,13,18,20870,03900
SEATTLE GENETICS INCCommon equity shares812578102151,7942,837,281SH DFND1,2,5,6,8,10,11,12,13,18,20370,82000
ABB LTDAmerican Depository Receipt00037520486132,044SH DFND2,20000
SHORE BANCSHARES INCCommon equity shares8251071054,049242,499SH DFND2,5,2059,73100
NUSTAR ENERGY LPLimited Partnership67058H10231110,398SH DFND2010,39800
DR REDDY`S LABORATORIES LTDAmerican Depository Receipt25613520324,144642,788SH DFND2,5,6,8,13,18,2082,82100
DONEGAL GROUP INCCommon equity shares2577012013,960228,840SH DFND2,8,2032,95100
ENTERPRISE FINL SERVICES CPCommon equity shares29371210530,156667,773SH DFND1,2,5,20127,70900
KINDRED HEALTHCARE INCCommon equity shares49458010323,5172,424,579SH DFND1,2,5,8,10,12,13,20309,27900
RETRACTABLE TECHNOLOGIES INCCommon equity shares76129W1051014,000SH DFND20000
PREFERRED BANK LOS ANGELESCommon equity shares74036740422,062375,276SH DFND1,2,5,2042,04900
ALLIANCE DATA SYSTEMS CORPCommon equity shares018581108495,9461,956,555SH DFND1,2,5,6,8,10,11,12,13,18,20304,52700
STATOIL ASAAmerican Depository Receipt85771P10245521,273SH DFND2017,98600
BANNER CORPCommon equity shares06652V20867,4171,223,134SH DFND1,2,5,8,10,20153,22300
GRUPO TELEVISA SABAmerican Depository Receipt40049J2062,473132,447SH DFND1,5,6,13,202,10000
SK TELECOM CO LTDAmerican Depository Receipt78440P1084,527162,183SH DFND2,5,6,10,205,75000
HDFC BANK LTDAmerican Depository Receipt40415F10114,292140,571SH DFND1,5,8,20000
NATUS MEDICAL INCCommon equity shares63905010334,086892,244SH DFND1,2,5,8,20129,55200
ANI PHARMACEUTICALS INCCommon equity shares00182C10318,320284,240SH DFND1,2,5,2065,86500
PDF SOLUTIONS INCCommon equity shares69328210510,706681,557SH DFND1,2,5,2096,29500
BUNGE LTDCommon equity sharesG16962105269,4374,016,600SH DFND1,2,5,6,8,10,11,12,13,18,20554,47100
FRONTLINE LTDCommon equity sharesG3682E1925,6471,230,595SH DFND1,2,5,20222,14100
OMNICELL INCCommon equity shares68213N10953,6631,106,511SH DFND1,2,5,8,20316,40500
CANADIAN PACIFIC RAILWAY LTDCommon equity shares13645T1002181,190SH DFND20000
XPO LOGISTICS INCCommon equity shares983793100145,2991,586,426SH DFND1,2,5,8,13,20254,98300
CHARTER FINANCIAL CORP/MDCommon equity shares16122W1085,300302,072SH DFND2,5,6,2038,41000
CROSS COUNTRY HEALTHCARE INCCommon equity shares22748310411,568906,789SH DFND1,2,5,8,20127,46700
AMN HEALTHCARE SERVICES INCCommon equity shares00174410162,1881,262,720SH DFND1,2,5,8,10,20202,24500
ACUITY BRANDS INCCommon equity shares00508Y102313,8181,783,065SH DFND1,2,5,6,8,10,11,12,13,18,20217,93600
WEIGHT WATCHERS INTL INCCommon equity shares94862610625,276570,879SH DFND1,2,5,8,20104,00100
STAGE STORES INCCommon equity shares85254C3053419,238SH DFND20000
ALUMINUM CORP CHINA LTDAmerican Depository Receipt02227610937620,946SH DFND5,6000
CENTENE CORPCommon equity shares15135B101715,4807,092,435SH DFND1,2,5,6,8,10,11,12,13,18,20939,01500
WESTERN NEW ENG BANCORP INCCommon equity shares9588921015,949545,808SH DFND2,5,2071,66000
BANCO DE CHILEAmerican Depository Receipt0595201063,68738,203SH DFND2,5,10,13,203,73300
SYNAPTICS INCCommon equity shares87157D10956,3171,409,865SH DFND1,2,5,6,8,11,20135,85100
COMMUNITY FINANCIAL CORPCommon equity shares20368X1011,80947,316SH DFND2,208,90700
COGENT COMMUNICATIONS HLDGSCommon equity shares19239V30248,9621,080,907SH DFND1,2,5,8,20153,96700
ENERGY TRANSFER PARTNERS -LPComposition of more than 1 security29278N1032,525140,874SH DFND20133,82500
ISHARES CORE S;P 500 ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642872008,92233,184SH DFND1,6,10000
ISHARES RUSSELL 1000 ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642876222,47716,672SH DFND1,670000
ISHARES RUSSELL 2000 VALUE ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642876301,92415,294SH DFND1,209,37600
ISHARES CORE S;P SMALL CAP ETFInvestments that contain a pool of securities representing a specific index and are built like mutu464287804208,6632,716,625SH DFND1,2,20000
MANTECH INTL CORPCommon equity shares56456310435,502707,381SH DFND1,2,5,8,10,2089,93100
FINANCIAL SELECT SECTOR SPDR FUNDCommon equity shares81369Y605134,6224,823,474SH DFND2,20842,50000
TECHNOLOGY SELECT SECTOR SPDR FUNDCommon equity shares81369Y803137,0242,142,667SH DFND2,12,20369,98300
GAMESTOP CORPCommon equity shares36467W10959,3653,307,024SH DFND1,2,5,6,8,11,12,13,20271,46200
TSAKOS ENERGY NAVIGATION LTDCommon equity sharesG9108L108415105,925SH DFND2,20000
ASBURY AUTOMOTIVE GROUP INCCommon equity shares04343610439,533617,641SH DFND1,2,5,8,10,12,13,2088,39500
DOVER DOWNS GAMING ; ENTMTCommon equity shares2600951041312,164SH DFND20000
CALAVO GROWERS INCCommon equity shares12824610533,424395,971SH DFND1,2,5,8,2058,74600
UNITED COMMUNITY BANKS INCCommon equity shares90984P30390,5323,217,070SH DFND1,2,5,8,10,20333,27900
BCB BANCORP INCCommon equity shares0552981032,460169,628SH DFND2,2026,51700
VALE SAAmerican Depository Receipt91912E105143,65311,745,826SH DFND1,2,5,6,8,10,13,20231,93400
ISHARES CORE S;P MID-CAP ETFInvestments that contain a pool of securities representing a specific index and are built like mutu464287507105,280554,751SH DFND1,2000
VANGUARD TOTAL STOCK MARKET ETFInvestments that contain a pool of securities representing a specific index and are built like mutu92290876911,58984,438SH DFND1000
JETBLUE AIRWAYS CORPCommon equity shares477143101183,0348,193,104SH DFND1,2,5,6,11,13,20745,42300
WASTE CONNECTIONS INCCommon equity shares94106B101126,5681,784,077SH DFND2,5,6,8,10,11,12,13,18,20467,02000
REGAL ENTERTAINMENT GROUPCommon equity shares75876610937,1591,615,002SH DFND1,2,5,8,12,13,20218,55300
COMPANHIA DE SANEAMENTOAmerican Depository Receipt20441A10216,6461,592,706SH DFND1,2,5,6,10,13,19,2087,20100
VERINT SYSTEMS INCCommon equity shares92343X10054,5541,303,631SH DFND1,2,5,8,13,20227,21000
COMPUTER PROGRAMS ; SYSTEMSCommon equity shares2053061038,626287,070SH DFND2,5,8,2040,89500
AU OPTRONICS CORPAmerican Depository Receipt0022551075,2951,272,795SH DFND1,2,5,6,20142,15700
NETFLIX INCCommon equity shares64110L1063,266,57417,016,948SH DFND1,2,5,6,8,10,11,12,13,18,202,056,85100
ENPRO INDUSTRIES INCCommon equity shares29355X10749,739531,928SH DFND1,2,5,8,2079,69700
OVERSTOCK.COM INCCommon equity shares69037010130,879483,228SH DFND1,2,5,8,2056,71800
PEOPLES FINANCIAL SERVICESCommon equity shares7110401055,825125,086SH DFND2,5,2018,96600
WESTWOOD HOLDINGS GROUP INCCommon equity shares96176510410,012151,203SH DFND1,2,5,2022,78200
BIG 5 SPORTING GOODS CORPCommon equity shares08915P1013,762494,891SH DFND2,5,2080,57400
NASDAQ INCCommon equity shares631103108406,7935,294,796SH DFND1,2,5,6,8,10,11,12,13,18,20590,44900
SANOFIAmerican Depository Receipt80105N1052,26252,590SH DFND1,2032,96700
SITO MOBILE LTDCommon equity shares82988R20311216,818SH DFND2,20000
RUSH ENTERPRISES INCCommon equity shares78184620936,972727,608SH DFND1,2,5,8,10,13,20137,73900
KIRKLAND`S INCCommon equity shares4974981054,252355,308SH DFND2,2051,84300
RANDGOLD RESOURCES LTDAmerican Depository Receipt7523443093,29433,309SH DFND1,20000
RED ROBIN GOURMET BURGERSCommon equity shares75689M10118,710331,776SH DFND1,2,5,8,2057,80300
BIODELIVERY SCIENCES INTLCommon equity shares09060J10619265,002SH DFND2,20000
BANC OF CALIFORNIA INCCommon equity shares05990K10651,8882,512,613SH DFND1,2,5,8,20366,40100
SAIA INCCommon equity shares78709Y10550,679716,299SH DFND1,2,5,8,20121,62000
FARMERS ; MERCHANTS BCP/OHCommon equity shares30779N1055,016122,931SH DFND2,5,2023,50000
CIMAREX ENERGY COCommon equity shares171798101645,5145,290,646SH DFND1,2,5,6,8,10,11,12,13,18,20483,94400
DRIVE SHACK INCReal Estate Investment Trust2620771005,258951,122SH DFND2,5,20128,03100
ENBRIDGE ENERGY MGMT LLCCommon equity shares29250X1032,535189,430SH DFND2,5,8,19,2043,57000
DICKS SPORTING GOODS INCCommon equity shares25339310273,3922,553,569SH DFND1,2,5,6,8,10,11,13,20185,66300
NATURAL GAS SERVICES GROUPCommon equity shares63886Q1097,391281,970SH DFND1,2,5,2079,87700
WYNN RESORTS LTDCommon equity shares983134107535,2413,174,800SH DFND1,2,5,6,8,10,11,12,13,18,20406,57300
CEVA INCCommon equity shares15721010529,183632,349SH DFND1,2,5,8,2077,08400
PRA GROUP INCCommon equity shares69354N10638,4981,159,539SH DFND1,2,5,8,20168,58100
CHINA TELECOM CORP LTDAmerican Depository Receipt16942610387018,312SH DFND5,6,202,40000
ISORAY INCCommon equity shares46489V104615,600SH DFND20000
SENOMYX INCCommon equity shares81724Q1072922,600SH DFND20000
PARKE BANCORP INCCommon equity shares7008851061,31463,955SH DFND2,2011,62900
SAFETY INSURANCE GROUP INCCommon equity shares78648T10038,205475,214SH DFND1,2,5,8,2046,62200
SEAGATE TECHNOLOGY PLCCommon equity sharesG7945M107447,02810,684,146SH DFND1,2,5,6,8,10,11,12,13,18,201,376,25800
ENLINK MIDSTREAM PARTNERS LPLimited Partnership29336U10730119,581SH DFND2019,58100
GOLAR LNG LTDCommon equity sharesG9456A10048,9991,643,721SH DFND1,2,5,8,12,20295,76700
ACACIA RESEARCH CORPCommon equity shares0038813073,652902,467SH DFND2,5,20145,52200
FIRST BANCSHARES INC/MSCommon equity shares3189161035,037147,293SH DFND2,5,2027,72800
PROVIDENT FINANCIAL SVCS INCCommon equity shares74386T10541,9351,554,934SH DFND1,2,5,8,10,20235,38900
PLURISTEM THERAPEUTICS INCCommon equity shares72940R1022417,525SH DFND2000
HALOZYME THERAPEUTICS INCGlobal Depository Receipt40637H10985,8214,235,972SH DFND1,2,5,8,20412,49500
INFINITY PROPERTY ; CAS CORPCommon equity shares45665Q10333,331314,448SH DFND1,2,5,8,10,2045,80300
HUDSON GLOBAL INCCommon equity shares4437871064218,493SH DFND20000
SMARTFINANCIAL INCCommon equity shares83190L2081,90087,585SH DFND2,2015,70800
INTERCONTINENTAL HOTELS GRPAmerican Depository Receipt45857P7072734,289SH DFND20000
LENNAR CORPCommon equity shares5260573023,05258,988SH DFND1,2,5,8,13,2016,05500
FORMFACTOR INCCommon equity shares34637510823,1261,477,684SH DFND1,2,5,8,20302,89200
CAVCO INDUSTRIES INCCommon equity shares14956810736,955242,156SH DFND1,2,5,8,2032,31300
AXIS CAPITAL HOLDINGS LTDCommon equity sharesG0692U109146,7462,919,959SH DFND1,2,5,6,8,10,11,12,13,18,20343,04100
MOLINA HEALTHCARE INCCommon equity shares60855R100122,6101,598,980SH DFND1,2,5,6,8,11,12,13,20211,62300
IPASS INCCommon equity shares46261V1081327,610SH DFND20000
NETGEAR INCCommon equity shares64111Q10448,689828,698SH DFND1,2,5,8,20123,44700
RETROPHIN INCCommon equity shares76129910626,2161,244,023SH DFND1,2,5,20127,23400
GLADSTONE COMMERCIAL CORPReal Estate Investment Trust37653610812,306584,281SH DFND1,2,5,2080,21500
TEXAS CAPITAL BANCSHARES INCCommon equity shares88224Q107272,3623,063,654SH DFND1,2,5,6,8,11,13,20214,85500
PROVIDENCE SERVICE CORPCommon equity shares74381510218,348309,161SH DFND1,2,5,8,10,2048,93500
ASHFORD HOSPITALITY TRUSTReal Estate Investment Trust04410310920,5123,046,120SH DFND1,2,5,8,10,18,20413,50200
TROVAGENE INCCommon equity shares897238309413,300SH DFND20000
SINOVAC BIOTECH LTDCommon equity sharesP8696W10469588,254SH DFND2000
LKQ CORPCommon equity shares501889208504,43212,403,265SH DFND1,2,5,6,8,10,11,12,13,18,201,766,57100
ADVANCED EMISSIONS SOLUTIONSCommon equity shares00770C1013,487360,737SH DFND2,5,2038,41300
MARLIN BUSINESS SERVICES INCCommon equity shares5711571063,841171,554SH DFND2,5,2024,60900
BANK OF NT BUTTERFIELD ; SONCommon equity sharesG0772R20832,896906,563SH DFND1,2,5,20172,60200
CALLIDUS SOFTWARE INCCommon equity shares13123E50037,0621,293,689SH DFND1,2,5,8,20216,46700
WHITING PETROLEUM CORP.Common equity shares96638740979,4613,000,942SH DFND1,2,5,12,13,20171,08300
BUFFALO WILD WINGS INCCommon equity shares11984810987,086556,987SH DFND1,2,5,6,8,11,2093,64100
NEXSTAR MEDIA GROUPCommon equity shares65336K10369,780892,352SH DFND1,2,5,8,13,20154,71400
CONN`S INCCommon equity shares20824210722,491632,613SH DFND1,2,5,8,2070,25700
SYNNEX CORPCommon equity shares87162W100135,121993,869SH DFND1,2,5,6,8,11,12,13,20125,18600
ITAU CORPBANCAAmerican Depository Receipt45033E1051,833136,515SH DFND2,5,6,201,70000
NRG ENERGY INCCommon equity shares629377508357,85812,565,522SH DFND1,2,5,6,10,11,12,13,201,161,57200
AMERICAN EQTY INVT LIFE HLDGCommon equity shares02567620679,0622,572,816SH DFND1,2,5,8,12,13,20313,38400
ASPEN INSURANCE HOLDINGS LTDCommon equity sharesG0538410585,4072,103,535SH DFND1,2,5,6,8,11,12,13,20156,86900
KRONOS WORLDWIDE INCCommon equity shares50105F10512,058467,923SH DFND1,2,5,8,2078,82300
NELNET INCCommon equity shares64031N10822,661413,687SH DFND1,2,5,8,2074,74600
COMPASS MINERALS INTL INCCommon equity shares20451N101121,9741,688,283SH DFND1,2,5,6,8,11,13,20195,98300
GLOBAL INDEMNITY LTDCommon equity sharesG3933F1057,613181,244SH DFND2,5,8,2028,87600
CHINA LIFE INSURANCE (CHN)American Depository Receipt16939P10635622,792SH DFND5,6,20000
UNIVERSAL TECHNICAL INSTCommon equity shares9139151043615,243SH DFND20000
TEMPUR SEALY INTL INCCommon equity shares88023U101165,2402,635,857SH DFND1,2,5,6,8,11,13,19,20147,69800
ENLINK MIDSTREAM LLCCommon equity shares29336T1002,244127,464SH DFND5,8,19,2022,03200
BANCORP INCCommon equity shares05969A10515,0971,527,988SH DFND2,5,8,20151,63700
ASSURANT INCCommon equity shares04621X108281,3352,789,880SH DFND1,2,5,6,8,10,11,12,13,18,20322,61700
HILLTOP HOLDINGS INCCommon equity shares43274810156,7952,242,301SH DFND1,2,5,8,20257,73100
DYNAVAX TECHNOLOGIES CORPCommon equity shares26815820185,6504,580,113SH DFND1,2,5,8,20204,62000
CLIFTON BANCORP INCCommon equity shares1868731057,388432,026SH DFND1,2,5,2070,54300
FIRST GUARANTY BANCSHARESCommon equity shares32043P1061,11444,486SH DFND2,207,30500
SIGNATURE BANK/NYCommon equity shares82669G104408,3642,975,112SH DFND1,2,5,6,8,10,11,12,13,18,20218,56800
ULTRA CLEAN HOLDINGS INCCommon equity shares90385V10715,194658,046SH DFND1,2,5,20133,80900
HORNBECK OFFSHORE SVCS INCCommon equity shares44054310612239,131SH DFND2,20000
CUTERA INCCommon equity shares23210910816,844371,377SH DFND2,5,2036,45300
MARCHEX INCCommon equity shares56624R1087723,443SH DFND2,20000
APOLLO INVESTMENT CORPORATIONCommon equity shares03761U1067112,554SH DFND20000
ARBOR REALTY TRUST INCReal Estate Investment Trust03892310877889,908SH DFND2,5,201,13500
CORCEPT THERAPEUTICS INCCommon equity shares21835210251,8892,872,993SH DFND1,2,5,8,20433,87200
ASSURED GUARANTY LTDCommon equity sharesG0585R10672,5782,142,739SH DFND1,2,5,8,13,20255,99200
CYTOKINETICS INCCommon equity shares23282W60522,1392,715,972SH DFND1,2,5,10,20244,28500
GREENHILL ; CO INCCommon equity shares39525910417,258885,179SH DFND1,2,5,8,20168,83700
NUVASIVE INCCommon equity shares670704105113,7311,944,476SH DFND1,2,5,6,8,11,13,20376,96800
HALCON RESOURCES CORPCommon equity shares40537Q60536,9714,883,780SH DFND1,2,5,20351,30200
GENWORTH FINANCIAL INCCommon equity shares37247D10665,63321,101,722SH DFND1,2,5,6,8,11,12,13,202,084,83000
WASHINGTONFIRST BANKSHARESCommon equity shares9407301045,950173,694SH DFND2,5,2024,94200
ACADIA PHARMACEUTICALS INCCommon equity shares004225108100,0473,322,938SH DFND1,2,5,8,13,20204,55000
ANGIODYNAMICS INCCommon equity shares03475V10116,133970,092SH DFND1,2,5,8,20136,34100
SP PLUS CORPCommon equity shares78469C10315,009404,631SH DFND1,2,5,8,10,2076,49700
ALNYLAM PHARMACEUTICALS INCCommon equity shares02043Q107254,4022,002,389SH DFND1,2,5,6,8,10,11,12,13,18,20294,58200
OHR PHARMACEUTICAL INCCommon equity shares67778H2002010,400SH DFND20000
CBRE GROUP INCCommon equity shares12504L109514,32211,875,439SH DFND1,2,5,6,8,10,11,12,13,18,201,794,21800
MOMENTA PHARMACEUTICALS INCCommon equity shares60877T10046,0243,299,241SH DFND1,2,5,8,20266,88100
MONEYGRAM INTERNATIONAL INCCommon equity shares60935Y2087,458565,414SH DFND1,2,5,8,2090,10500
SALESFORCE.COM INCCommon equity shares79466L3022,802,20727,410,847SH DFND1,2,5,6,8,10,11,12,13,18,203,232,93900
NEW YORK MORTGAGE TRUST INCReal Estate Investment Trust64960450114,8972,414,602SH DFND1,2,5,8,20340,79300
MIRATI THERAPEUTICS INCCommon equity shares60468T10513,036714,281SH DFND2,20000
WELLCARE HEALTH PLANS INCCommon equity shares94946T106247,9951,233,158SH DFND1,2,5,6,8,10,11,12,13,20123,88400
HILL INTERNATIONAL INCCommon equity shares4314661012,859524,782SH DFND2,2099,72000
BANKWELL FINANCIAL GROUP INCCommon equity shares06654A1032,89684,354SH DFND2,2012,38900
DOMINO`S PIZZA INCCommon equity shares25754A201281,6571,490,563SH DFND1,2,5,6,8,10,11,12,13,18,20193,81500
ACCESS NATIONAL CORPCommon equity shares0043371017,046253,050SH DFND1,2,5,2039,74500
ATLAS AIR WORLDWIDE HLDG INCCommon equity shares04916420539,413672,001SH DFND1,2,5,8,2083,70800
BLACKBAUD INCCommon equity shares09227Q100171,5961,816,125SH DFND1,2,5,6,8,11,13,20384,22200
LG DISPLAY CO LTDAmerican Depository Receipt50186V1024,223307,016SH DFND1,2,5,6,2010,14700
MANNKIND CORPCommon equity shares56400P70621391,997SH DFND2,20000
ENERSYSCommon equity shares29275Y102103,6851,489,064SH DFND1,2,5,6,8,11,13,20197,00800
COMMERCIAL VEHICLE GROUP INCCommon equity shares2026081054,177390,656SH DFND2,5,2056,74200
NANOVIRICIDES INCCommon equity shares6300872031415,900SH DFND20000
KITE REALTY GROUP TRUSTReal Estate Investment Trust49803T30065,6013,347,177SH DFND1,2,5,8,10,18,20392,18600
WESTLAKE CHEMICAL CORPCommon equity shares96041310258,882552,713SH DFND1,2,5,6,8,12,13,2073,38400
AMERICAN CAMPUS COMMUNITIESReal Estate Investment Trust024835100246,8496,016,388SH DFND1,2,5,6,8,10,11,13,18,19,20503,11000
EXTRA SPACE STORAGE INCReal Estate Investment Trust30225T102620,8397,099,370SH DFND1,2,5,6,8,10,11,12,13,18,19,20767,76700
ALPHABET INCCommon equity shares02079K30512,244,24011,623,544SH DFND1,2,5,6,8,10,11,12,13,18,201,446,84900
COHEN ; STEERS INCCommon equity shares19247A10023,909505,445SH DFND1,2,5,8,2098,81700
ZIOPHARM ONCOLOGY INCCommon equity shares98973P10124,1055,822,561SH DFND1,2,5,8,20436,19500
OMINTO INCCommon equity shares68217C208495146,866SH DFND2,2038,38900
HAYNES INTERNATIONAL INCCommon equity shares42087720113,436419,346SH DFND1,2,5,8,2044,41300
BEACON ROOFING SUPPLY INCCommon equity shares07368510982,9271,300,700SH DFND1,2,5,8,13,20228,44700
TATA MOTORS LTDAmerican Depository Receipt87656850245,7001,381,950SH DFND1,2,5,6,8,13,18,20196,70000
51JOB INC -ADRAmerican Depository Receipt3168271044,26570,102SH DFND2,5,206,33700
SI FINANCIAL GROUP INCCommon equity shares78425V1042,773188,685SH DFND2,13,2026,95900
ARES CAPITAL CORPORATIONCommon equity shares04010L1031,40589,351SH DFND2043300
ATLANTIC COAST FINANCIAL CPCommon equity shares0484261001,105117,162SH DFND2,20113,85500
TEXAS ROADHOUSE INCCommon equity shares882681109124,9532,371,871SH DFND1,2,5,6,8,11,13,20357,97700
INNOVIVA INCCommon equity shares45781M10134,7372,448,150SH DFND1,2,5,8,10,20443,05300
NEW YORK ; CO INCCommon equity shares6492951027827,371SH DFND2,20000
HURON CONSULTING GROUP INCCommon equity shares44746210219,691486,850SH DFND1,2,5,8,10,20102,94200
SUNSTONE HOTEL INVESTORS INCReal Estate Investment Trust867892101147,8258,942,576SH DFND1,2,5,8,10,13,18,19,201,119,91100
CUBESMARTReal Estate Investment Trust229663109161,9355,599,313SH DFND1,2,5,8,10,12,13,18,19,20590,56200
BUILD-A-BEAR WORKSHOP INCCommon equity shares1200761042,131231,322SH DFND2,2034,04400
DIGITAL REALTY TRUST INCReal Estate Investment Trust2538681031,326,38011,645,125SH DFND1,2,5,6,8,10,11,12,13,18,19,201,232,22800
NORTHWESTERN CORPCommon equity shares668074305108,1341,811,285SH DFND1,2,5,6,8,11,12,13,19,20211,00000
MARKETAXESS HOLDINGS INCCommon equity shares57060D108204,5831,014,036SH DFND1,2,5,6,8,11,13,20100,25700
ORMAT TECHNOLOGIES INCCommon equity shares68668810251,604806,807SH DFND1,2,5,8,20137,84500
SPDR GOLD TRUSTInvestments that contain a pool of securities representing a specific index and are built like mutu78463V10741,344334,358SH DFND10334,35800
MONOLITHIC POWER SYSTEMS INCCommon equity shares609839105157,7191,403,666SH DFND1,2,5,6,8,11,13,20155,91700
BILL BARRETT CORPCommon equity shares06846N10418,7603,657,077SH DFND2,5,20332,86300
KNOLL INCCommon equity shares49890420023,1451,004,728SH DFND1,2,5,8,20191,85300
LAS VEGAS SANDS CORPCommon equity shares517834107512,8557,380,297SH DFND1,2,5,6,8,10,11,12,13,18,201,254,81100
MACQUARIE INFRASTRUCTURE CPClosed end mutual fund55608B105123,5441,924,340SH DFND1,2,5,6,8,10,11,12,13,18,20271,19200
HERBALIFE LTDCommon equity sharesG4412G10175,0611,108,415SH DFND1,2,5,6,8,12,13,20159,36300
FIRST INTERNET BANCORPCommon equity shares3205571013,61894,793SH DFND2,2014,05900
CRYOPORT INCCommon equity shares22905030728633,329SH DFND2,20000
NAVIOS MARITIME HOLDINGS INCCommon equity sharesY621961031,5371,281,991SH DFND2,20170,19000
PHH CORPCommon equity shares6933202029,540926,684SH DFND1,2,5,8,12,13,20160,91900
CELANESE CORPCommon equity shares150870103372,0593,474,482SH DFND1,2,5,6,8,10,11,12,13,18,20580,74800
EDUCATION REALTY TRUST INCReal Estate Investment Trust28140H203130,2423,729,632SH DFND1,2,5,6,8,10,11,18,20591,44900
W;T OFFSHORE INCCommon equity shares92922P1065,3251,609,786SH DFND2,5,20265,41300
ARC DOCUMENT SOLUTIONS INCCommon equity shares00191G1031,817711,451SH DFND2,2097,46700
CORE MARK HOLDING CO INCCommon equity shares21868110436,6781,161,441SH DFND1,2,5,8,12,13,20153,04800
PRESTIGE BRANDS HOLDINGSCommon equity shares74112D10199,0292,229,795SH DFND1,2,5,6,8,11,20423,24400
HUNTSMAN CORPCommon equity shares44701110796,8702,909,852SH DFND1,2,5,8,12,13,20421,21500
UNIVERSAL LOGISTICS HLDGSCommon equity shares91388P1053,355141,261SH DFND2,2028,65600
ENTERPRISE BANCORP INC/MACommon equity shares2936681095,356157,296SH DFND2,5,2023,74000
WEX INCCommon equity shares96208T104163,8031,159,853SH DFND1,2,5,6,8,11,13,20180,50700
DOLBY LABORATORIES INCCommon equity shares25659T10749,325795,568SH DFND1,2,5,8,20107,27400
KEARNY FINANCIAL CORPCommon equity shares48716P10827,4661,900,713SH DFND1,2,5,6,8,20295,32200
RADIANT LOGISTICS INCCommon equity shares75025X1002,805610,032SH DFND2,20104,46600
BOFI HOLDING INCCommon equity shares05566U10844,0571,473,379SH DFND1,2,5,8,20221,93900
DIANA SHIPPING INCCommon equity sharesY2066G10431176,536SH DFND2,20000
PRUDENTIAL BANCORP INCCommon equity shares74431A1011,68795,832SH DFND2,2013,68300
FREIGHTCAR AMERICA INCCommon equity shares3570231003,933230,268SH DFND2,5,2042,06500
DEXCOM INCCommon equity shares25213110766,6831,161,909SH DFND1,2,5,8,13,20184,80000
VERIFONE SYSTEMS INCCommon equity shares92342Y10970,5273,982,304SH DFND1,2,5,6,8,11,13,20694,85900
MORNINGSTAR INCCommon equity shares61770010928,919298,173SH DFND1,2,5,8,2043,37200
LAZARD LTDCommon equity sharesG5405010284,2371,604,438SH DFND1,2,5,8,13,20244,21000
ZUMIEZ INCCommon equity shares9898171019,552458,773SH DFND2,5,8,2066,98900
XERIUM TECHNOLOGIES INCCommon equity shares98416J1184410,105SH DFND20000
CITI TRENDS INCCommon equity shares17306X1028,512321,765SH DFND2,5,10,2064,37000
GTT COMMUNICATIONS INCCommon equity shares36239310028,295602,645SH DFND1,2,5,8,2097,46900
CELLECTAR BIOSCIENCES INCCommon equity shares15117F3027554,700SH DFND20000
ERICSSON(LM)TELAmerican Depository Receipt2948216081,459218,468SH DFND1000
UNITED FINANCIAL BANCORP INCCommon equity shares91030410421,5331,220,613SH DFND1,2,5,8,20257,59300
ISHARES MSCI BRAZIL ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642864001,88946,698SH DFND1,6000
ISHARES MSCI CANADA ETFInvestments that contain a pool of securities representing a specific index and are built like mutu46428650953,8521,816,979SH DFND1,2000
ISHARES MSCI PACIFIC EX-JAPAN ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642866656,717140,532SH DFND12140,53200
ISHARES MSCI TAIWAN ETFInvestments that contain a pool of securities representing a specific index and are built like mutu46434G7725,527152,653SH DFND2,675,50000
ISHARES MSCI SOUTH KOREA ETFInvestments that contain a pool of securities representing a specific index and are built like mutu46428677215,094201,441SH DFND6,20000
ISHARES MSCI JAPAN ETFInvestments that contain a pool of securities representing a specific index and are built like mutu46434G8225,31788,727SH DFND1288,72700
ISHARES SELECT DIVIDEND ETFUSA: Common Stock4642871682,14121,716SH DFND1000
ISHARES TIPS BOND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu464287176222,0291,946,256SH DFND1,2,20000
ISHARES CORE U.S. AGGREGATE BOND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642872261,86617,060SH DFND1,2013,52600
ISHARES MSCI EMERGING MARKETS ETFInvestments that contain a pool of securities representing a specific index and are built like mutu46428723433,117702,827SH DFND1,6,10700,81000
ISHARES 20 YEAR TREASURY BOND ETFExchange Traded Product46428743236,217285,484SH DFND2000
ISHARES 7-10 YEAR TREASURY BOND ETFETP4642874407376,974SH DFND1000
ISHARES 1-3 YEAR TREASURY BOND ETFUSA: Common Stock464287457202,9172,420,000SH DFND2000
ISHARES MSCI EAFE ETFInvestments that contain a pool of securities representing a specific index and are built like mutu464287465740,33910,529,659SH DFND1,2,6,2075,49300
ISHARES RUSSELL 2000 ETFInvestments that contain a pool of securities representing a specific index and are built like mutu46428765527,477180,194SH DFND1,6,2051,13800
ISHARES RUSSELL 3000 ETFInvestments that contain a pool of securities representing a specific index and are built like mutu46428768920,687130,800SH DFND1000
SPDR S;P MIDCAP 400 ETF TRUSTMutual Fund78467Y10764,511186,769SH DFND1,2,2052,96500
MATERIALS SELECT SECTOR SPDR FUNDExchange Traded Product81369Y10016,661275,254SH DFND1,20273,85400
HEALTH CARE SELECT SECTOR SPDR FUNDExchange Traded Product81369Y209151,5591,833,085SH DFND2,12,20463,63400
ENERGY SELECT SECTOR SPDR FUNDExchange Traded Product81369Y50675,1671,040,222SH DFND2,20190,07100
INDUSTRIAL SELECT SECTOR SPDR FUNDExchange Traded Product81369Y7043,35344,316SH DFND12,2044700
SPDR STOXX EUROPE 50 ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78463X1034,063113,103SH DFND2000
SPDR EURO STOXX 50 ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78463X2025,656138,930SH DFND10138,93000
SPDR DOW JONES REIT ETFExchange Traded Product78464A60739,471421,328SH DFND1,2,20256,23200
VANGUARD REIT ETFInvestments that contain a pool of securities representing a specific index and are built like mutu92290855397,9701,180,654SH DFND1,2,10,20000
VANGUARD MID-CAP ETFInvestments that contain a pool of securities representing a specific index and are built like mutu9229086292271,473SH DFND1000
VANGUARD FTSE EMERGING MARKETS ETFInvestments that contain a pool of securities representing a specific index and are built like mutu92204285831,999696,864SH DFND1,202,49200
VANGUARD FTSE PACIFIC ETFInvestments that contain a pool of securities representing a specific index and are built like mutu922042866175,6562,409,562SH DFND2,20201,14100
VANGUARD FTSE EUROPE ETFInvestments that contain a pool of securities representing a specific index and are built like mutu92204287437,628636,136SH DFND8,12,20000
MINAS BUENAVENTURA SAAmerican Depository Receipt20444810485,1026,044,113SH DFND1,2,5,6,8,10,12,13,18,203,326,63100
BRASKEM SAAmerican Depository Receipt1055321055,611213,679SH DFND2,5,6,10,204,20000
GRUPO FINANCIERO GALICIA SAAmerican Depository Receipt3999091001,07616,334SH DFND20000
INFOSYS LTDAmerican Depository Receipt456788108146,1559,010,762SH DFND1,2,5,6,8,10,13,201,515,84300
KEPCO-KOREA ELEC POWER CORPAmerican Depository Receipt5006311064,133233,364SH DFND2,5,6,20000
POSCOAmerican Depository Receipt69348310936,775470,701SH DFND2,5,6,2018,56400
RYANAIR HOLDINGS PLCAmerican Depository Receipt78351320325,605245,774SH DFND1,2,5,6,8,2024,34600
SAP SEAmerican Depository Receipt8030542044844,304SH DFND20000
TAIWAN SEMICONDUCTOR MFG COAmerican Depository Receipt874039100192,8484,863,716SH DFND1,2,5,6,8,10,13,19,20643,90700
CREDICORP LTDCommon equity sharesG2519Y108436,4252,103,969SH DFND2,5,6,8,10,12,13,18,201,192,13200
JAMES HARDIE INDUSTRIES PLCAmerican Depository Receipt47030M10626214,900SH DFND20000
THOMSON-REUTERS CORPCommon equity shares8849031053,04969,970SH DFND5,2033,60300
CHUNGHWA TELECOM LTDAmerican Depository Receipt17133Q5028,511240,103SH DFND2,5,6,13,2029,13400
SHINHAN FINANCIAL GROUP LTDAmerican Depository Receipt8245961001,40930,353SH DFND2,5,6,201,43600
CTRIP.COM INTL LTDAmerican Depository Receipt22943F100271,2646,151,160SH DFND1,2,5,6,8,10,12,13,18,201,272,41400
DIAMONDROCK HOSPITALITY COReal Estate Investment Trust25278430191,0688,066,473SH DFND1,2,5,8,10,13,18,201,048,91700
FRANKLIN STREET PROPERTIESReal Estate Investment Trust35471R10645,6224,247,965SH DFND1,2,5,8,10,18,20483,09700
HERCULES CAPITAL, INC.Common equity shares42709650830323,168SH DFND2048500
LHC GROUP INCCommon equity shares50187A10729,709485,086SH DFND1,2,5,8,10,2066,36200
TREEHOUSE FOODS INCCommon equity shares89469A10484,7831,714,139SH DFND1,2,5,6,8,11,12,13,20310,61900
CYTOSORBENTS CORPCommon equity shares23283X20612218,705SH DFND2,20000
BUILDERS FIRSTSOURCECommon equity shares12008R10748,7172,235,710SH DFND1,2,5,8,20488,32300
LINCOLN EDUCATIONAL SERVICESCommon equity shares5335351002713,674SH DFND20000
EAGLE BULK SHIPPING INCCommon equity sharesY2187A1432,302513,414SH DFND2,2059,74500
BANKFINANCIAL CORPCommon equity shares06643P1047,013457,091SH DFND2,5,13,20141,37900
DSW INCCommon equity shares23334L10243,8622,048,481SH DFND1,2,5,8,10,12,13,20240,66900
SILICON MOTION TECH -ADRAmerican Depository Receipt82706C1086,532123,324SH DFND1,2,5000
WESTERN ALLIANCE BANCORPCommon equity shares957638109206,4233,645,733SH DFND1,2,5,8,13,20363,28900
DISCOVERY COMMUNICATIONS INCCommon equity shares25470F104171,5987,667,424SH DFND1,2,5,6,8,10,11,12,13,18,202,331,44600
GRAN TIERRA ENERGY INCCommon equity shares38500T1011,391514,766SH DFND5,2037,60000
MEDICAL PROPERTIES TRUSTReal Estate Investment Trust58463J304169,67912,313,360SH DFND1,2,5,6,8,10,11,13,19,201,335,58500
ORCHIDS PAPER PRODUCTSCommon equity shares68572N1043,036237,219SH DFND2,5,2027,30900
EXPEDIA INCCommon equity shares30212P303581,3744,854,022SH DFND1,2,5,6,8,10,11,12,13,18,20600,60900
ROYAL DUTCH SHELL PLCAmerican Depository Receipt78025910741,531608,160SH DFND1,20000
ROYAL DUTCH SHELL PLCAmerican Depository Receipt7802592061,10316,512SH DFND1,201,76300
CONSOLIDATED COMM HLDGS INCCommon equity shares20903410720,5841,687,930SH DFND1,2,5,8,20242,02700
JAMBA INCCommon equity shares47023A30919023,574SH DFND20000
ADVAXIS INCCommon equity shares0076242081,835646,922SH DFND2,5,20117,89600
OMEGA FLEX INCCommon equity shares6820951043,61350,638SH DFND2,208,42500
ATRICURE INCCommon equity shares04963C20912,281673,029SH DFND1,2,5,8,2096,91200
BAIDU INCAmerican Depository Receipt0567521081,072,2834,578,274SH DFND1,2,5,6,8,10,12,13,18,20944,15800
RUTHS HOSPITALITY GROUP INCCommon equity shares78333210920,960968,167SH DFND1,2,5,8,10,20238,04300
SEASPAN CORPCommon equity sharesY756381092,615387,410SH DFND5,18,2015,99600
RBC BEARINGS INCCommon equity shares75524B10458,896465,927SH DFND1,2,5,8,2079,90900
CF INDUSTRIES HOLDINGS INCCommon equity shares125269100487,47311,459,019SH DFND1,2,5,6,8,10,11,12,13,18,201,254,01900
LORAL SPACE ; COMMUNICATIONSCommon equity shares54388110612,468283,019SH DFND1,2,5,8,2043,48300
KONA GRILL INCCommon equity shares50047H2012011,500SH DFND20000
ACCO BRANDS CORPCommon equity shares00081T10828,9472,372,751SH DFND1,2,5,8,10,20462,45700
LIBERTY GLOBAL PLC GLOBAL GPCommon equity sharesG5480U120317,3599,378,315SH DFND1,2,5,6,8,10,11,12,13,18,201,098,63000
HOLLYSYS AUTOMATION TECH LTDCommon equity sharesG4566710595042,636SH DFND2000
KAPSTONE PAPER ; PACKAGINGCommon equity shares48562P10348,5462,139,555SH DFND1,2,5,8,20312,23200
AMERIPRISE FINANCIAL INCCommon equity shares03076C1061,192,4627,036,428SH DFND1,2,5,6,8,10,11,12,13,18,20824,79000
HSBC HLDGS PLCPublic preferred instrument4042806045,512213,494SH DFND2000
EVERI HOLDINGS INCCommon equity shares30034T1039,3481,239,362SH DFND2,5,20166,52200
ITURAN LOCATION ; CONTROLCommon equity sharesM6158M1044,753138,924SH DFND2,8,2030,90900
GENOMIC HEALTH INCCommon equity shares37244C10121,845638,645SH DFND1,2,5,8,2065,73300
CIMPRESS NVEQ Funds CommingledN2014610156,788473,703SH DFND1,2,5,8,2087,17100
FIDELITY NATL FINL FNF GROUPCommon equity shares31620R303242,0306,167,850SH DFND1,2,5,6,8,10,11,12,13,18,20957,37400
WATERSTONE FINANCIAL INCCommon equity shares94188P10110,110592,971SH DFND1,2,5,6,8,2080,92700
STEALTHGAS INCCommon equity sharesY8166910626861,568SH DFND2000
FIRST BUSINESS FINL SRV INCCommon equity shares3193901003,642164,852SH DFND2,2037,81800
INVESTORS BANCORP INCCommon equity shares46146L101224,43616,169,542SH DFND1,2,5,8,10,13,201,255,32700
TRITON INTERNATIONAL LTDCommon equity sharesG9078F10734,404918,616SH DFND1,2,5,8,10,20151,61800
DHT HOLDINGS INCCommon equity sharesY2065G1218,0802,251,045SH DFND1,2,5,20468,80400
NXSTAGE MEDICAL INCCommon equity shares67072V10334,2001,411,479SH DFND1,2,5,8,20224,70100
WEB.COM GROUP INCCommon equity shares94733A10419,391889,581SH DFND1,2,5,8,20209,66200
BOARDWALK PIPELINE PRTNRS-LPLimited Partnership09662710419615,214SH DFND2015,21400
IROBOT CORPCommon equity shares46272610051,269668,433SH DFND1,2,5,8,20101,89200
CLEAR CHANNEL OUTDOOR HLDGSCommon equity shares18451C1093,306719,567SH DFND2,5,8,20139,59300
SPDR S;P DIVIDEND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78464A76322,018233,043SH DFND1,2000
SPDR S;P 600 SMALL CAP ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78464A81340,994308,222SH DFND2,20308,22200
INTERCONTINENTAL EXCHANGECommon equity shares45866F1041,814,69725,718,468SH DFND1,2,5,6,8,10,11,12,13,18,202,805,35500
SUNPOWER CORPCommon equity shares86765240620,4972,431,472SH DFND1,2,5,8,20187,52300
AMERISAFE INCCommon equity shares03071H10036,301589,277SH DFND1,2,5,8,20163,65500
UNDER ARMOUR INCCommon equity shares904311107102,3187,091,279SH DFND1,2,5,6,8,10,11,12,13,18,20941,70100
BROOKDALE SENIOR LIVING INCCommon equity shares11246310426,0432,684,596SH DFND1,2,5,8,12,13,20357,14400
DCP MIDSTREAM LPLimited Partnership23311P10036810,129SH DFND2010,12900
VIACOM INCCommon equity shares92553P201485,32615,752,169SH DFND1,2,5,6,8,10,11,12,13,18,202,778,80700
VIACOM INCCommon equity shares92553P1021,34438,559SH DFND1,2,2016,10100
LIVE NATION ENTERTAINMENTCommon equity shares538034109183,0744,300,407SH DFND1,2,5,6,8,10,11,12,13,18,20529,34100
COPA HOLDINGS SACommon equity sharesP3107610588,648661,278SH DFND1,2,5,13,19,2054,38600
URANIUM ENERGY CORPCommon equity shares9168961033,6472,060,420SH DFND2,5,20279,53700
BIO-PATH HOLDINGS INCCommon equity shares09057N1021046,400SH DFND20000
AMERICAN RAILCAR INDS INCCommon equity shares02916P1038,726209,706SH DFND1,2,5,8,2026,79400
MAGYAR BANCORP INCCommon equity shares55977T10942132,550SH DFND2032,55000
CHIPOTLE MEXICAN GRILL INCCommon equity shares169656105305,0701,055,476SH DFND1,2,5,6,8,10,11,12,13,18,20147,94300
UNITED CONTINENTAL HLDGS INCCommon equity shares910047109660,4709,799,256SH DFND1,2,5,6,8,10,11,12,13,18,201,501,37800
H;E EQUIPMENT SERVICES INCCommon equity shares40403010827,124667,341SH DFND1,2,5,8,10,20120,05000
KOPPERS HOLDINGS INCCommon equity shares50060P10629,965588,691SH DFND1,2,5,8,10,20123,62600
TERNIUM SA -ADRAmerican Depository Receipt8808901086,151194,680SH DFND2,5,13,209,52900
ENBRIDGE INCCommon equity shares29250N105390,7809,991,738SH DFND1,2,6,10,11,12,13,20199,67700
ENERGY TRANSFER EQUITY LPLimited Partnership29273V1001,768102,426SH DFND20102,42600
POWERSHARES DB COMMODITY INDEX TRACKING FUNDExchange Traded Product73935S10527,3041,643,807SH DFND2,8000
RESOURCE CAPITAL CORPCommon equity shares76120W7086,030643,645SH DFND2,5,8,20107,09500
CROCS INCCommon equity shares22704610922,6861,794,823SH DFND1,2,5,8,20290,08200
ACORDA THERAPEUTICS INCCommon equity shares00484M10652,6062,452,508SH DFND1,2,5,8,20158,28200
NORTHERN OIL ; GAS INCCommon equity shares665531109690337,326SH DFND2,20000
LIQUIDITY SERVICES INCCommon equity shares53635B1072,904599,575SH DFND2,5,2082,59900
GRUPO AEROPORTUARIO DEL PACIAmerican Depository Receipt40050610113,491131,287SH DFND2,5,6,19,206,56900
STAR BULK CARRIERS CORPCommon equity sharesY8162K20420618,254SH DFND2000
GREEN PLAINS INCCommon equity shares39322210435,4002,100,872SH DFND1,2,5,8,20148,29800
TRANSDIGM GROUP INCCommon equity shares893641100595,0702,166,937SH DFND1,2,5,6,8,10,11,12,13,18,20260,22600
BANCO MACRO SAAmerican Depository Receipt05961W1057656,604SH DFND20000
HOWARD BANCORP INCCommon equity shares4424961052,781126,294SH DFND2,2021,99100
HIMAX TECHNOLOGIES INCAmerican Depository Receipt43289P1061,369131,377SH DFND2,5,20000
CUSTOMERS BANCORP INCCommon equity shares23204G10028,9721,114,660SH DFND1,2,5,8,2098,96800
PORTLAND GENERAL ELECTRIC COCommon equity shares73650884790,0391,975,360SH DFND1,2,5,8,10,12,13,20342,16600
TWO RIVER BANCORPCommon equity shares90207C1051,45080,007SH DFND2,2012,16900
CASTLE BRANDS INCCommon equity shares1484351001,3511,107,276SH DFND2,20148,76500
VANDA PHARMACEUTICALS INCCommon equity shares92165910832,4562,135,227SH DFND1,2,5,20154,30500
ANAVEX LIFE SCIENCES CORPCommon equity shares0327973002,011624,639SH DFND2,5,10,20104,75300
DELEK US HOLDINGS INCCommon equity shares24665A10386,3102,470,296SH DFND1,2,5,8,12,13,20281,29600
LIBERTY INTERACTV CP QVC GRPCommon equity shares53071M104246,73810,103,900SH DFND1,2,5,6,8,10,11,12,13,18,201,972,17300
PARATEK PHARMACEUTCLS INCCommon equity shares69937430210,404581,209SH DFND1,2,5,2070,75300
COMPASS DIVERSIFIED HOLDINGSLimited Partnership20451Q1041,32077,854SH DFND2000
VONAGE HOLDINGS CORPCommon equity shares92886T20153,0245,214,261SH DFND1,2,5,8,20851,42600
MASTERCARD INCCommon equity shares57636Q1045,496,67336,315,256SH DFND1,2,5,6,8,10,11,12,13,18,204,621,72300
MUELLER WATER PRODUCTS INCCommon equity shares62475810838,6623,085,829SH DFND1,2,5,8,20521,37500
TOWN SPORTS INTL HOLDINGSCommon equity shares89214A10210819,633SH DFND2,20000
HOUSTON WIRE ; CABLE COCommon equity shares44244K1097210,015SH DFND20000
KAISER ALUMINUM CORPCommon equity shares48300770471,277667,099SH DFND1,2,5,6,8,10,2082,25100
SYNCHRONOSS TECHNOLOGIESCommon equity shares87157B1039,6991,084,881SH DFND1,2,5,8,20143,57600
WISDOMTREE JAPAN HEDGED EQUITY FUNDInvestments that contain a pool of securities representing a specific index and are built like mutu97717W85111,992202,122SH DFND8,12000
HOME BANCSHARES INCCommon equity shares436893200233,52510,044,115SH DFND1,2,5,6,8,11,13,20694,52700
SPDR S;P OIL ; GAS EQUIPMENT ; SERVICES ETFExchange Traded Product78464A7482,368138,255SH DFND2000
SPDR S;P METALS ; MINING ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78464A7554,852133,407SH DFND2000
DIGITAL TURBINE INCCommon equity shares25400W1024324,239SH DFND2,20000
PGT INNOVATIONS INCCommon equity shares69336V10120,0601,190,370SH DFND1,2,5,8,20176,17800
CARDIOVASCULAR SYSTEMS INCCommon equity shares14161910623,196979,146SH DFND1,2,5,8,20358,16900
WYNDHAM WORLDWIDE CORPCommon equity shares98310W108506,3704,370,210SH DFND1,2,5,6,8,10,11,12,13,18,20621,02300
CHINA BIOLOGIC PRODUCTS HLDGCommon equity sharesG215151041,22115,493SH DFND2000
ISHARES S;P GSCI COMMODITY INDEXED TRUSTInvestments that contain a pool of securities representing a specific index and are built like mutu46428R1076,137377,000SH DFND10377,00000
CHART INDUSTRIES INCCommon equity shares16115Q30835,098748,970SH DFND1,2,5,8,20114,02600
WNS (HOLDINGS) LTD -ADRAmerican Depository Receipt92932M1013,12477,873SH DFND2,18,20000
AIRCASTLE LTDCommon equity sharesG0129K10428,4011,214,207SH DFND1,2,5,8,10,13,20227,56600
EVERCORE INCCommon equity shares29977A10591,9301,021,450SH DFND1,2,5,8,20159,53500
HANESBRANDS INCCommon equity shares410345102312,30714,936,380SH DFND1,2,5,6,8,10,11,12,13,18,201,941,08600
INNERWORKINGS INCCommon equity shares45773Y1058,267824,324SH DFND1,2,5,8,20137,62800
IPATH BLOOMBERG COMMODITY INDEX TOTAL RETURN ETNInvestments that contain a pool of securities representing a specific index and are built like mutu06738C77821,857896,038SH DFND1,2048,58100
COMMUNITY BANKERS TRUST CORPCommon equity shares2036121062,498306,187SH DFND2,2044,54300
NEW ORIENTAL ED ; TECHAmerican Depository Receipt647581107204,0092,170,339SH DFND1,2,5,6,8,10,12,13,18,20426,63200
GOLD RESOURCE CORPCommon equity shares38068T1055,0031,136,583SH DFND2,5,6,20130,08100
WESTERN UNION COCommon equity shares959802109386,52520,333,299SH DFND1,2,5,6,8,10,11,12,13,18,202,976,36800
COMMVAULT SYSTEMS INCCommon equity shares20416610281,2871,548,262SH DFND1,2,5,6,8,11,20330,00500
ICF INTERNATIONAL INCCommon equity shares44925C10319,390369,238SH DFND1,2,5,8,10,2056,00600
SHUTTERFLY INCCommon equity shares82568P30450,2621,010,202SH DFND1,2,5,8,20126,34800
LEGACY TEX FINANCIAL GRP INCCommon equity shares52471Y10665,6081,554,434SH DFND1,2,5,8,20217,80600
OWENS CORNINGCommon equity shares690742101262,0602,850,367SH DFND1,2,5,6,8,10,11,12,13,18,20388,36800
ARMSTRONG WORLD INDUSTRIESCommon equity shares04247X10255,916923,501SH DFND1,2,5,8,13,20175,11100
EHEALTH INCCommon equity shares28238P1096,842393,928SH DFND2,5,2058,98900
LEIDOS HOLDINGS INCCommon equity shares525327102291,3304,511,786SH DFND1,2,5,6,8,10,11,12,13,18,20495,44800
22ND CENTURY GROUP INCCommon equity shares90137F10327999,325SH DFND2,20000
LEMAITRE VASCULAR INCCommon equity shares52555820115,528487,604SH DFND2,5,2069,19200
EXLSERVICE HOLDINGS INCCommon equity shares30208110451,420852,054SH DFND1,2,5,8,20129,46900
DOUGLAS EMMETT INCReal Estate Investment Trust25960P109286,6506,981,244SH DFND1,2,5,6,8,10,11,12,13,18,19,20596,53600
PRIMORIS SERVICES CORPCommon equity shares74164F10321,306783,554SH DFND1,2,5,8,20136,00700
ACHILLION PHARMACEUTICALSCommon equity shares00448Q20116,4565,714,874SH DFND1,2,5,8,20386,04500
COMMERCE UNION BANCSHARES/TNCommon equity shares2008281012,10281,946SH DFND2,2015,66100
SOUTHERN NATIONAL BANCORP VACommon equity shares8433951044,927307,440SH DFND2,2062,19900
GLOBALSTAR INCCommon equity shares37897340813,39410,225,571SH DFND1,2,5,8,201,517,20100
INNOPHOS HOLDINGS INCCommon equity shares45774N10824,451523,108SH DFND1,2,5,8,10,2089,07200
ORBCOMM INCCommon equity shares68555P10013,5921,335,372SH DFND1,2,5,8,20206,13900
SYNERGY PHARMACEUTICALS INCCommon equity shares87163930845,61320,454,646SH DFND1,2,5,8,20683,69400
CATALYST PHARMACEUTICALS INCCommon equity shares14888U1014,4511,137,798SH DFND2,5,20172,08500
MIZUHO FINANCIAL GROUP INCAmerican Depository Receipt60687Y10916244,519SH DFND20000
CANADIAN SOLAR INCCommon equity shares13663510939323,317SH DFND2,20000
CAPELLA EDUCATION COCommon equity shares13959410524,767320,003SH DFND1,2,5,8,10,2053,02900
AMTRUST FINANCIAL SERVICESCommon equity shares03235930918,3941,827,254SH DFND1,2,5,8,20290,70300
SALLY BEAUTY HOLDINGS INCCommon equity shares79546E10476,6374,085,172SH DFND1,2,5,6,8,11,12,13,20372,22800
INVIVO THERAPEUTICS HLDGS COCommon equity shares46186M2091722,900SH DFND20000
EMERGENT BIOSOLUTIONS INCCommon equity shares29089Q10569,5571,496,791SH DFND1,2,5,8,10,20168,25400
KBR INCCommon equity shares48242W10696,3904,860,508SH DFND1,2,5,6,11,12,13,20556,91800
FIRST SOLAR INCCommon equity shares336433107161,2182,387,582SH DFND1,2,5,6,8,11,12,13,20198,14600
SPIRIT AEROSYSTEMS HOLDINGSCommon equity shares848574109245,2032,810,383SH DFND1,2,5,6,8,10,11,12,13,18,20462,53900
WILLDAN GROUP INCCommon equity shares96924N1002,742114,513SH DFND2,5,2017,14300
AERCAP HOLDINGS NVCommon equity sharesN00985106182,9353,477,185SH DFND1,2,5,6,8,10,11,12,13,18,20847,28800
GRUPO AEROPORTUARIO DEL CENTAmerican Depository Receipt4005011025,676136,830SH DFND2,19,206,10300
NETLIST INCCommon equity shares64118P109412,600SH DFND20000
MEDICINOVA INCCommon equity shares58468P2063,207495,861SH DFND2,2081,09100
ALLEGIANT TRAVEL COCommon equity shares01748X10253,545346,039SH DFND1,2,5,8,2047,08200
AEGEAN MARINE PETROLM NETWKCommon equity sharesY0017S10224556,657SH DFND2,13,202,79700
DCT INDUSTRIAL TRUST INCReal Estate Investment Trust233153204242,2414,121,154SH DFND1,2,5,6,8,10,11,12,13,18,19,20344,15600
IPG PHOTONICS CORPCommon equity shares44980X109254,0441,186,406SH DFND1,2,5,6,8,10,11,12,13,18,20144,94300
KANDI TECHNOLOGIES GROUPCommon equity shares48370910127840,839SH DFND2000
ALTRA INDUSTRIAL MOTION CORPCommon equity shares02208R10630,449604,110SH DFND1,2,5,8,20122,53300
CARROLS RESTAURANT GROUP INCCommon equity shares14574X1047,958654,924SH DFND1,2,5,20121,92500
MELCO RESORTS ; ENTERTAINMENAmerican Depository Receipt585464100109,8343,782,104SH DFND1,2,5,6,8,10,11,12,13,18,20659,07100
GREAT LAKES DREDGE ; DOCK CPCommon equity shares3906071095,5251,022,285SH DFND2,5,8,20162,86600
ZION OIL ; GAS INCCommon equity shares98969610914868,279SH DFND2,20000
KKR ; CO LPLimited Partnership48248M1027,704365,815SH DFND20365,81500
SORRENTO THERAPEUTICS INCCommon equity shares83587F2027920,946SH DFND2,20000
CHINA CORD BLOOD CORPCommon equity sharesG2110710057157,319SH DFND2,5,20000
AEROVIRONMENT INCCommon equity shares00807310856,009997,296SH DFND1,2,5,8,2075,09500
ORITANI FINANCIAL CORPCommon equity shares68633D10321,0401,282,860SH DFND1,2,5,6,8,20145,44100
EMPLOYERS HOLDINGS INCCommon equity shares29221810438,466866,419SH DFND1,2,5,8,10,20149,51200
HFF INCCommon equity shares40418F10848,133989,598SH DFND1,2,5,8,20167,57100
CORENERGY INFRASTRUCTURE TRCommon equity shares21870U50211,344296,853SH DFND1,2,5,2035,26200
CENTRAL GARDEN ; PET COCommon equity shares15352720535,841950,407SH DFND1,2,5,8,10,20162,61500
MADRIGAL PHARMACEUTICALS INCCommon equity shares5588681056,40269,753SH DFND2,5,209,03000
CELLCOM ISRAEL LTDCommon equity sharesM2196U10934934,102SH DFND20000
JA SOLAR HOLDINGS CO LTDAmerican Depository Receipt4660902065,214699,055SH DFND1,2,5,18,20000
ACCURAY INCCommon equity shares0043971057,4871,740,072SH DFND1,2,5,8,20236,35400
NATIONAL CINEMEDIA INCCommon equity shares6353091079,0261,316,299SH DFND1,2,5,8,20215,30300
MELLANOX TECHNOLOGIES LTDCommon equity sharesM513631134,80774,305SH DFND5,8,2015,37400
US AUTO PARTS NETWORK INCCommon equity shares90343C1003815,273SH DFND2,20000
INFORMATION SERVICES GROUPCommon equity shares45675Y1042,019483,424SH DFND2,2073,14200
DOMTAR CORPCommon equity shares25755920392,2991,863,771SH DFND1,2,5,6,8,11,12,13,20159,44800
BROADRIDGE FINANCIAL SOLUTNSCommon equity shares11133T103420,8564,645,851SH DFND1,2,5,6,8,10,11,12,13,18,20743,14800
GLU MOBILE INCCommon equity shares3798901067,7972,141,438SH DFND2,5,20324,08300
FIRST BANKCommon equity shares31931U10270951,194SH DFND2048,99400
RING ENERGY INCCommon equity shares76680V10818,3611,320,984SH DFND1,2,5,20238,98500
GSI TECHNOLOGY INCCommon equity shares36241U1061,700213,406SH DFND2,2024,09000
SUPER MICRO COMPUTER INCCommon equity shares86800U10421,3631,020,978SH DFND1,2,5,8,20137,93800
CAPITAL PRODUCT PARTNERS LPLimited PartnershipY110821073811,358SH DFND2011,35800
ESSA BANCORP INCCommon equity shares29667D1042,023129,229SH DFND2,6,13,2021,10900
T-MOBILE US INCCommon equity shares872590104373,1085,874,735SH DFND1,2,5,6,8,10,11,12,13,18,20819,20300
ATHERSYS INCCommon equity shares04744L1063,2221,777,364SH DFND2,20345,31800
TFS FINANCIAL CORPCommon equity shares87240R10711,988802,566SH DFND1,2,5,6,8,20138,23500
CINEMARK HOLDINGS INCCommon equity shares17243V10298,3712,825,220SH DFND1,2,5,6,8,11,12,13,20279,50700
BAXTER INTERNATIONAL INCCommon equity shares0718131091,600,70924,763,438SH DFND1,2,5,6,8,10,11,12,13,18,202,896,34800
SPDR DOW JONES INTERNATIONAL REAL ESTATE ETFExchange Traded Product78463X86391,9372,270,531SH DFND1,2,20000
ISHARES INTERMEDIATE GOVERNMENT/CREDIT BOND ETFETF46428861217,475159,211SH DFND1000
ISHARES INTERMEDIATE CREDIT BOND ETFETF4642886381,59814,613SH DFND1000
ISHARES 3-7 YEAR TREASURY BOND ETFETF4642886611,73014,151SH DFND1000
SPDR MSCI ACWI EX-US ETFExchange Traded Product78463X84837,144952,451SH DFND1,12000
SPDR S;P GLOBAL INFRASTRUCTURE ETFFI Funds Commingled78463X85528,074541,959SH DFND2,5,19000
VANGUARD FTSE ALL-WORLD EX-US INDEX FUNDInvestments that contain a pool of securities representing a specific index and are built like mutu92204277515,422281,827SH DFND20000
ISHARES MBS ETFExchange Traded Product464288588361,7833,394,159SH DFND12000
SPDR PORTFOLIO EMERGING MARKETS ETFExchange Traded Product78463X509121,6003,187,417SH DFND2,5,12,191,358,40300
VANGUARD LONG-TERM BOND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu9219377939,755102,600SH DFND2102,60000
VANGUARD TOTAL BOND MARKET ETFInvestments that contain a pool of securities representing a specific index and are built like mutu921937835353,8834,338,347SH DFND1,2000
DELTA AIR LINES INCCommon equity shares2473617021,362,65024,332,929SH DFND1,2,5,6,8,10,11,12,13,18,203,072,02200
SPDR S;P INTERNATIONAL SMALL CAP ETFExchange Traded Product78463X871132,3803,731,653SH DFND1,2,5,20136,91400
SPDR PORTFOLIO DEVELOPED WORLD EX-US ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78463X889257,6998,129,327SH DFND2,12,205,184,39200
CAVIUM INCPrivate company?no public equity shares14964U10883,8991,000,832SH DFND1,2,5,8,13,20142,38300
INTERACTIVE BROKERS GROUPCommon equity shares45841N107112,4241,898,722SH DFND1,2,5,6,8,11,13,20147,28800
AECOMCommon equity shares00766T100153,4694,131,134SH DFND1,2,5,6,11,12,13,20390,99800
CONTINENTAL RESOURCES INCCommon equity shares212015101151,3392,857,081SH DFND1,2,5,6,8,10,11,12,13,18,20321,84800
INSULET CORPCommon equity shares45784P10191,2031,321,734SH DFND1,2,5,8,13,20320,53300
GENESIS HEALTHCARE INCCommon equity shares37185X106572756,623SH DFND2,5,2097,08500
CAI INTERNATIONAL INCCommon equity shares12477X1068,796310,743SH DFND2,5,2051,28500
TECHTARGET INCCommon equity shares87874R1004,261306,276SH DFND2,2064,61700
TRIMAS CORPCommon equity shares89621520931,5181,178,310SH DFND1,2,5,8,20393,90000
B;G FOODS INCCommon equity shares05508R10668,3801,941,718SH DFND1,2,5,8,20516,02800
GREENLIGHT CAPITAL RE LTDCommon equity sharesG4095J10912,534623,616SH DFND1,2,5,8,20101,24200
CLEAN ENERGY FUELS CORPCommon equity shares1844991014,8802,404,092SH DFND2,5,8,20375,92200
AMICUS THERAPEUTICS INCCommon equity shares03152W109112,7947,838,452SH DFND1,2,5,8,13,20532,53000
JAZZ PHARMACEUTICALS PLCCommon equity sharesG5087110594,987705,445SH DFND1,2,5,6,8,10,11,12,13,18,20110,41700
INFINERA CORPCommon equity shares45667G10319,0093,003,008SH DFND1,2,5,8,20490,22500
LIMELIGHT NETWORKS INCCommon equity shares53261M1045,8851,334,212SH DFND2,5,20185,85600
GREEN BRICK PARTNERS INCCommon equity shares3927091014,128365,367SH DFND2,5,2054,57800
DISCOVER FINANCIAL SVCSCommon equity shares2547091081,302,48416,932,863SH DFND1,2,5,6,8,10,11,12,13,18,201,947,96900
TE CONNECTIVITY LTDCommon equity sharesH849891041,298,47313,662,307SH DFND1,2,5,6,8,10,11,12,13,18,201,608,16400
VEDANTA LTDAmerican Depository Receipt92242Y10032,7801,573,737SH DFND2,5,6,8,13,2055,79000
TIPTREE INCReal Estate Investment Trust88822Q1032,440410,303SH DFND2,2070,16500
SPECTRA ENERGY PARTNERS LPLimited Partnership84756N1093438,683SH DFND208,68300
PROS HOLDINGS INCCommon equity shares74346Y10314,409544,716SH DFND1,2,5,8,2085,38900
BENEFICIAL BANCORP INCCommon equity shares08171T10223,6371,436,931SH DFND1,2,5,8,20254,31600
SPDR PORTFOLIO AGGREGATE BOND ETFExchange Traded Product78464A649316,00910,995,404SH DFND1,2,2010,960,20700
SPDR CITI INTERNATIONAL GOVERNMENT INFLATION-PROTECTED BOND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78464A49030,245525,822SH DFND2,20170,81100
SPDR PORTFOLIO LONG TERM TREASURY ETFExchange Traded Product78464A664360,3509,848,296SH DFND2,12,206,15200
SPDR BLOOMBERG BARCLAYS INTERMEDIATE TERM TREASURY ETFExchange Traded Product78464A6724,03267,866SH DFND1000
SPDR BLOOMBERG BARCLAYS 1-3 MONTH T-BILL ETFExchange Traded Product78468R66314,761161,499SH DFND12000
WABCO HOLDINGS INCCommon equity shares92927K102140,717980,627SH DFND1,2,5,6,8,10,11,12,13,18,20194,41100
DHI GROUP INCCommon equity shares23331S1003,1111,636,103SH DFND2,5,20402,39900
ZAGG INCCommon equity shares98884U1088,385454,731SH DFND2,5,2069,47600
MONOTYPE IMAGING HOLDINGSCommon equity shares61022P10027,2051,128,657SH DFND1,2,5,8,20185,74500
VALIDUS HOLDINGS LTDCommon equity sharesG9319H10269,5141,481,540SH DFND1,2,5,8,12,13,20163,50100
VANGUARD FTSE DEVELOPED MARKETS ETFInvestments that contain a pool of securities representing a specific index and are built like mutu9219438583,19971,317SH DFND1,2050,69400
LULULEMON ATHLETICA INCCommon equity shares550021109170,5602,170,362SH DFND1,2,5,6,8,10,11,12,13,18,20389,92500
SUCAMPO PHARMACEUTICALS INCCommon equity shares86490910614,798824,588SH DFND2,5,10,20235,08200
GENPACT LTDCommon equity sharesG3922B10762,6741,974,710SH DFND1,2,5,13,20302,60100
CONCHO RESOURCES INCCommon equity shares20605P1011,173,2867,810,542SH DFND1,2,5,6,8,10,11,12,13,18,20731,74500
VIRTUSA CORPCommon equity shares92827P10230,352688,488SH DFND1,2,5,8,2099,26700
MASIMO CORPCommon equity shares574795100139,5161,645,263SH DFND1,2,5,6,8,10,11,13,20224,82800
MERCADOLIBRE INCCommon equity shares58733R102113,148359,629SH DFND1,2,5,6,8,10,11,12,13,18,2080,24000
B. RILEY FINANCIAL INCCommon equity shares05580M1085,357295,930SH DFND2,5,2044,81200
VMWARE INC -CL ACommon equity shares928563402229,6391,832,352SH DFND1,2,5,6,8,10,11,12,13,18,20279,06300
COSAN LTDCommon equity sharesG2534310786489,182SH DFND5,12,13,207,24400
SPDR BLOOMBERG BARCLAYS TIPS ETFExchange Traded Product78464A656278,3104,947,670SH DFND1,2,202,572,59200
MIMEDX GROUP INCCommon equity shares60249610199,9157,923,216SH DFND1,2,5,8,20429,62700
VANECK VECTORS AGRIBUSINESS ETFExchange Traded Product92189F7001,83529,800SH DFND1029,80000
TERADATA CORPCommon equity shares88076W103129,6003,369,720SH DFND1,2,5,6,8,11,13,20329,60900
ATHENAHEALTH INCCommon equity shares04685W10367,933510,607SH DFND1,2,5,8,13,2086,18600
HOMETOWN BANKSHARES CORPCommon equity shares43787N10818516,824SH DFND2016,82400
FLY LEASING LTD -ADRAmerican Depository Receipt34407D10945435,151SH DFND2,20000
POWERSHARES FTSE RAFI EMERGING MARKETS PORTFOLIOInvestments that contain a pool of securities representing a specific index and are built like mutu73936T7633,320148,700SH DFND20148,70000
SPDR BLOOMBERG BARCLAYS INTERNATIONAL TREASURY BOND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78464A5163,336117,350SH DFND1,2042,88200
RESOLUTE ENERGY CORPCommon equity shares76116A30635,6591,133,177SH DFND1,2,5,2057,00800
FIRST FINANCIAL NORTHWESTCommon equity shares32022K1022,250145,130SH DFND2,2017,20900
TEXTAINER GROUP HOLDINGS LTDCommon equity sharesG8766E1099,056421,170SH DFND1,2,5,2076,28500
CVR ENERGY INCCommon equity shares12662P10830,001805,589SH DFND2,5,8,2053,87500
PZENA INVESTMENT MANAGEMENTCommon equity shares74731Q1032,805263,232SH DFND2,5,2037,35700
ULTA BEAUTY INCCommon equity shares90384S303548,7932,453,750SH DFND1,2,5,6,8,10,11,12,13,18,20293,75700
RETAIL OPPORTUNITY INVTS CPReal Estate Investment Trust76131N10186,2374,322,187SH DFND1,2,5,8,10,18,20545,29900
FANHUA INC -ADSAmerican Depository Receipt30712A1031,71979,499SH DFND2000
AIRMEDIA GROUP INC -ADSAmerican Depository Receipt009411109127110,400SH DFND1000
UNITED INSURANCE HOLDINGS COCommon equity shares9107101027,803452,272SH DFND2,5,2062,35500
APPROACH RESOURCES INCCommon equity shares03834A1031,675565,765SH DFND2,2071,83200
NORTHFIELD BANCORP INCCommon equity shares66611T10820,4761,198,925SH DFND1,2,5,6,8,20173,79200
AMERICAN PUBLIC EDUCATIONCommon equity shares02913V10310,467417,695SH DFND1,2,5,8,2065,65400
ENSIGN GROUP INCCommon equity shares29358P10129,2021,315,262SH DFND1,2,5,8,20184,82700
LUMBER LIQUIDATORS HLDGS INCCommon equity shares55003T10721,317678,999SH DFND1,2,5,8,2098,27300
MSCI INCCommon equity shares55354G100393,9013,112,854SH DFND1,2,5,6,8,10,11,12,13,18,20434,35700
ACTINIUM PHARMACEUTICALS INCCommon equity shares00507W107811,700SH DFND20000
CHIMERA INVESTMENT CORPReal Estate Investment Trust16934Q20853,6512,903,127SH DFND1,2,5,6,8,13,20391,12300
ISHARES MSCI BRIC ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642866571,36030,568SH DFND6000
INVESCO LTDAmerican Depository ReceiptG491BT108698,63619,119,893SH DFND1,2,5,6,8,10,11,12,13,18,202,231,07700
SPDR BLOOMBERG BARCLAYS HIGH YIELD BOND ETFExchange Traded Product78464A4171,494,29440,694,481SH DFND1,2,5,8,10,12,201,664,27600
B2GOLD CORPCommon equity shares11777Q2092,391771,414SH DFND2000
TITAN MACHINERY INCCommon equity shares88830R1017,166338,439SH DFND2,5,8,2052,71200
TRIPLE-S MANAGEMENT CORPCommon equity shares89674910814,926600,672SH DFND1,2,5,8,2089,65600
CARDTRONICS PLCCommon equity sharesG1991C10521,7121,172,272SH DFND1,2,5,8,20185,10100
XINYUAN REAL ESTATE CO -ADRAmerican Depository Receipt98417P10553077,800SH DFND5,20000
ISHARES MSCI EAFE SMALL-CAP ETFExchange Traded Product46428827353,358827,248SH DFND1,6,2084,22500
K12 INCCommon equity shares48273U10217,8831,124,550SH DFND1,2,5,8,20519,68700
TEEKAY TANKERS LTDCommon equity sharesY8565N1023,4962,498,227SH DFND2,5,20454,65100
ORION ENERGY SYSTEMS INCCommon equity shares6862751081010,800SH DFND20000
ORION GROUP HOLDINGS INCCommon equity shares68628V3085,298676,569SH DFND2,5,20107,91700
ECHOSTAR CORPCommon equity shares27876810643,794731,025SH DFND1,2,5,8,13,2097,72800
RELX NVAmerican Depository Receipt75955B10252222,623SH DFND20000
RELX PLCAmerican Depository Receipt7595301082108,832SH DFND20000
CALPINE CORPCommon equity shares13134730491,2956,034,092SH DFND1,2,5,6,8,12,13,20773,05700
A. H. BELO CORPCommon equity shares0012821025210,806SH DFND20000
MERIDIAN BANCORP INC (MD)Common equity shares58958U10322,0951,072,529SH DFND1,2,5,6,8,20176,57900
SRC ENERGY INCCommon equity shares78470V10873,4848,614,340SH DFND1,2,5,20856,50900
DANA INCCommon equity shares235825205162,8655,088,053SH DFND1,2,5,6,8,10,11,12,13,20645,88900
SPDR S;P INTERNATIONAL DIVIDEND ETFExchange Traded Product78463X77211,703284,011SH DFND1,2,8000
HERITAGE-CRYSTAL CLEAN INCCommon equity shares42726M1064,751218,459SH DFND2,5,2032,85700
GALENA BIOPHARMA INCCommon equity shares36325650430114,356SH DFND20000
PHILIP MORRIS INTERNATIONALCommon equity shares7181721096,181,53058,502,840SH DFND1,2,5,6,8,10,11,12,13,18,206,070,40100
BIOTELEMETRY INCCommon equity shares09067210626,546887,767SH DFND1,2,5,20205,55700
HILLENBRAND INCCommon equity shares43157110871,2021,592,756SH DFND1,2,5,8,20234,10000
VISA INCCommon equity shares92826C8399,037,42979,261,825SH DFND1,2,5,6,8,10,11,12,13,18,209,054,95300
IRIDIUM COMMUNICATIONS INCCommon equity shares46269C10224,6172,086,205SH DFND1,2,5,8,20276,89200
ISHARES MSCI ACWI ETFInvestments that contain a pool of securities representing a specific index and are built like mutu4642882572,47134,270SH DFND634,27000
INTREPID POTASH INCCommon equity shares46121Y1027,3481,543,377SH DFND2,5,20225,97400
AMERICAN WATER WORKS CO INCCommon equity shares030420103791,1508,647,421SH DFND1,2,5,6,8,10,11,12,13,18,19,20947,08500
DR PEPPER SNAPPLE GROUP INCCommon equity shares26138E109796,1168,202,341SH DFND1,2,5,6,8,10,11,12,13,18,201,033,11300
MAIDEN HOLDINGS LTDCommon equity sharesG5753U11212,3611,871,538SH DFND1,2,5,8,20300,88500
COLFAX CORPCommon equity shares19401410645,3501,144,547SH DFND1,2,5,8,13,20180,84600
WESTERN GAS PARTNERS LPLimited Partnership95825410457111,883SH DFND2011,88300
GUARANTY BANCORPCommon equity shares40075T60718,523669,887SH DFND1,2,5,2091,79200
SPDR DOW JONES GLOBAL REAL ESTATE ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78463X749106,2052,172,797SH DFND1,2,5000
AGNC INVESTMENT CORPCommon equity shares00123Q104254,26812,593,607SH DFND1,2,5,6,8,10,11,12,13,18,202,096,90300
AMPIO PHARMACEUTICALS INCCommon equity shares03209T10910926,715SH DFND20000
AIR TRANSPORT SERVICES GROUPCommon equity shares00922R10528,4701,230,212SH DFND1,2,5,20181,12900
SPDR S;P EMERGING MARKETS SMALL CAP ETFExchange Traded Product78463X7562,41746,483SH DFND2000
MALVERN BANCORP INCCommon equity shares5614091032,53396,728SH DFND2,2032,92300
SAFE BULKERS INCCommon equity sharesY7388L1032,099650,686SH DFND2,20106,77000
SCRIPPS NETWORKS INTERACTIVECommon equity shares811065101311,7733,651,511SH DFND1,2,5,6,8,10,11,12,13,18,20445,80700
VANGUARD TOTAL WORLD STOCK ETFInvestments that contain a pool of securities representing a specific index and are built like mutu9220427421,08214,582SH DFND1000
ENERGY RECOVERY INCCommon equity shares29270J1005,569636,313SH DFND2,5,20108,81000
NAVIOS MARITIME ACQUISITIONCommon equity sharesY621591011,3671,230,210SH DFND2,5,20234,50500
ACTIVISION BLIZZARD INCCommon equity shares00507V1091,811,30228,605,593SH DFND1,2,5,6,8,10,11,12,13,18,203,504,60600
FUTUREFUEL CORPCommon equity shares36116M10610,655756,402SH DFND1,2,5,20110,45600
CHUBB LTDCommon equity sharesH1467J1043,208,42621,955,963SH DFND1,2,5,6,8,10,11,12,13,18,202,240,16200
JOHN BEAN TECHNOLOGIESCommon equity shares47783910492,577835,521SH DFND1,2,5,8,13,20167,71300
CHINA DISTANCE EDUCATION-ADRAmerican Depository Receipt16944W10434136,833SH DFND2000
SEADRILL LTDCommon equity sharesG7945E10534145,704SH DFND20140,90400
SIRIUS XM HOLDINGS INCCommon equity shares82968B103209,43339,073,642SH DFND1,2,5,6,8,10,11,12,13,18,205,922,99700
HSN INCCommon equity shares40430310916,215401,835SH DFND1,2,5,8,12,13,2059,21900
ILG INCCommon equity shares44967H101109,8143,855,994SH DFND1,2,5,6,8,10,11,13,20564,57800
MYR GROUP INCCommon equity shares55405W10414,864416,016SH DFND1,2,5,8,2064,23500
LENDINGTREE INCCommon equity shares52603B107133,298391,542SH DFND1,2,5,8,2027,22800
IBIO INCCommon equity shares451033104212,000SH DFND20000
SIGNET JEWELERS LTDCommon equity sharesG81276100150,4302,660,023SH DFND1,2,5,6,8,10,11,12,13,20513,00100
REINSURANCE GROUP AMER INCCommon equity shares759351604386,7782,480,453SH DFND1,2,5,6,8,10,11,12,13,18,20307,73500
REVLON INC -CL ACommon equity shares7615256095,258241,145SH DFND2,5,8,2041,69400
HCI GROUP INCCommon equity shares40416E1035,780193,268SH DFND1,2,5,8,2029,89100
ASCENT CAPITAL GROUP INCCommon equity shares0436321082,703235,593SH DFND2,5,2047,62000
DISCOVERY COMMUNICATIONS INCCommon equity shares25470F302185,9188,782,010SH DFND1,2,5,6,8,10,11,12,13,18,201,236,20300
ECOPETROL SAAmerican Depository Receipt27915810917,5691,200,927SH DFND1,2,5,6,10,13,2053,85600
POWERSHARES GLOBAL AGRICULTURE PORTFOLIOInvestments that contain a pool of securities representing a specific index and are built like mutu73936Q7022,29283,374SH DFND2000
KB FINANCIAL GROUPAmerican Depository Receipt48241A1054,79882,003SH DFND2,5,6,2013,09000
MODUSLINK GLOBAL SOLUTIONSCommon equity shares60786L2068031,857SH DFND20000
HOME BANCORP INCCommon equity shares43689E1075,273121,965SH DFND2,5,2036,11900
FIRST SAVINGS FINANCIAL GPCommon equity shares33621E1092454,259SH DFND204,25900
DIGIMARC CORPCommon equity shares25381B1016,394176,876SH DFND2,5,2028,04900
GRAND CANYON EDUCATION INCCommon equity shares38526M10684,579944,687SH DFND1,2,5,8,13,20166,50700
IAC/INTERACTIVECORPCommon equity shares44919P508175,1331,432,165SH DFND1,2,5,6,8,10,11,12,13,18,20250,65700
CLEARWATER PAPER CORPCommon equity shares18538R10319,524430,038SH DFND1,2,5,8,2066,82300
CRACKER BARREL OLD CTRY STORCommon equity shares22410J106124,068780,827SH DFND1,2,5,6,8,11,12,13,20100,44300
LILIS ENERGY INCCommon equity shares5324032013,079602,538SH DFND2,5,2096,08100
VIRTUS INVESTMENT PTNRS INCCommon equity shares92828Q10920,164175,174SH DFND1,2,5,8,2022,59600
IMPAC MORTGAGE HOLDINGS INCReal Estate Investment Trust45254P5081,410138,973SH DFND2,2025,86100
SAGA COMMUNICATIONS -CL ACommon equity shares7865983002,57463,675SH DFND2,2011,49000
SPDR PORTFOLIO INTERMEDIATE TERM CORPORATE BOND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78464A37537,8791,107,049SH DFND1,2,12000
IDT CORPCommon equity shares4489475073,680347,389SH DFND2,5,8,2058,33200
SPDR PORTFOLIO LONG TERM CORPORATE BOND ETFExchange Traded Product78464A36712,710444,277SH DFND2,12000
ITAU UNIBANCO HLDG SAAmerican Depository Receipt465562106138,60110,661,491SH DFND2,5,6,8,10,13,20439,39100
CHANGYOU.COM LTDAmerican Depository Receipt15911M1075,477150,293SH DFND1,2,5,18,203,70000
BRIDGEPOINT EDUCATION INCCommon equity shares10807M1052,777334,340SH DFND2,5,2051,80900
ROSETTA STONE INCCommon equity shares7777801073,576286,685SH DFND2,2048,14400
SPDR BLOOMBERG BARCLAYS CONVERTIBLE SECURITIES ETFExchange Traded Product78464A35936,370718,768SH DFND2000
GOLDEN MINERALS COCommon equity shares3811191061434,213SH DFND20000
GOVERNMENT PPTYS INCOME TRReal Estate Investment Trust38376A10349,4222,665,749SH DFND1,2,5,8,10,20424,45400
CYS INVESTMENTS INCCommon equity shares12673A10829,6093,687,178SH DFND1,2,5,8,10,20560,70900
MEDIDATA SOLUTIONS INCCommon equity shares58471A105129,6632,046,130SH DFND1,2,5,6,8,11,13,20347,39500
INVESCO MORTGAGE CAPITAL INCCommon equity shares46131B10055,3943,106,701SH DFND1,2,5,8,10,13,20442,97700
ANHEUSER-BUSCH INBEVAmerican Depository Receipt03524A1083,89634,923SH DFND1,20000
LOGMEIN INCCommon equity shares54142L109172,1761,503,705SH DFND1,2,5,6,8,11,13,20232,76600
HC2 HOLDINGS INCCommon equity shares4041391073,455581,092SH DFND2,5,2098,97900
TERRITORIAL BANCORP INCCommon equity shares88145X1087,291236,217SH DFND2,5,6,13,2029,32800
MASONITE INTERNATIONAL CORPCommon equity shares57538510943,860591,516SH DFND1,2,5,8,20109,23700
FERROGLOBE PLCCommon equity sharesG3385610845628,045SH DFND5,20000
PENNYMAC MORTGAGE INVEST TRClosed end mutual fund70931T10324,3021,512,045SH DFND1,2,5,8,10,13,20246,30300
ALTISOURCE PORTFOLIO SOLTNSCommon equity sharesL0175J1046,600235,614SH DFND1,2,5,8,2043,22600
BROADCOM LTDCommon equity sharesY098271094,178,70116,265,879SH DFND1,2,5,6,8,10,11,12,13,18,201,979,46900
CUMBERLAND PHARMACEUTICALSCommon equity shares2307701097510,046SH DFND2,20000
STARWOOD PROPERTY TRUST INCReal Estate Investment Trust85571B10577,7913,643,376SH DFND1,2,5,6,8,13,20547,53600
SPDR WELLS FARGO PREFERRED STOCK ETFExchange Traded Product78464A29236,485828,520SH DFND1,2000
SPECTRUM BRANDS HOLDINGS INCCommon equity shares84763R10157,208509,035SH DFND1,2,5,6,8,10,11,12,13,18,20110,81000
APOLLO COMMERCIAL RE FIN INCReal Estate Investment Trust03762U10554,5312,955,531SH DFND1,2,5,6,8,20368,24700
SELECT MEDICAL HOLDINGS CORPCommon equity shares81619Q10553,1853,013,414SH DFND1,2,5,8,13,20478,73100
ECHO GLOBAL LOGISTICS INCCommon equity shares27875T10122,387799,594SH DFND1,2,5,8,2091,31500
BANCO SANTANDER BRASIL -ADRAmerican Depository Receipt05967A1077,544779,937SH DFND10,2078,63000
VERISK ANALYTICS INCCommon equity shares92345Y106615,5496,411,992SH DFND1,2,5,6,8,10,11,12,13,18,20803,19800
MISTRAS GROUP INCCommon equity shares60649T1078,046342,926SH DFND1,2,5,8,2048,89500
OMEROS CORPCommon equity shares68214310220,7961,070,309SH DFND1,2,5,8,20146,52800
ADDUS HOMECARE CORPCommon equity shares0067391064,868139,919SH DFND2,5,2034,53800
VITAMIN SHOPPE INCCommon equity shares92849E1012,945669,570SH DFND1,2,5,10,20145,19700
HYATT HOTELS CORPCommon equity shares44857910238,325521,144SH DFND1,2,5,13,2076,48000
LEAR CORPCommon equity shares521865204297,2681,682,681SH DFND1,2,5,6,8,10,11,12,13,18,20265,21300
DOLLAR GENERAL CORPCommon equity shares2566771051,016,72710,931,278SH DFND1,2,5,6,8,10,11,12,13,18,201,446,37200
FORTINET INCCommon equity shares34959E109208,3974,769,867SH DFND1,2,5,6,8,10,11,12,13,18,20663,62100
CLOUD PEAK ENERGY INCCommon equity shares18911Q1026,6351,491,047SH DFND2,5,20190,31400
VANGUARD LONG-TERM CORPORATE BOND ETFExchange Traded Product92206C8136,08263,518SH DFND12000
VANGUARD INTERMEDIATE-TERM CORPORATE BOND ETFExchange Traded Product92206C8703674,200SH DFND1000
CHARTER COMMUNICATIONS INCCommon equity shares16119P1082,871,8158,548,049SH DFND1,2,5,6,8,10,11,12,13,18,201,434,51800
HUNTINGTON BANCSHARESUSA: Bond44615040111,3088,000SH DFND2000
TEVA PHARM FINANCE LLC CA U S issuer issuing in U S dollars in the U S capital market88163VAE911,73413,297,000SH DFND2000
VERISIGN INCA U S issuer issuing in U S dollars in the U S capital market92343EAD4110,24532,778,000SH DFND2000
WACHOVIA CORPConv Bond949746804136,881104,884SH DFND2000
PEBBLEBROOK HOTEL TRUSTCommon equity shares70509V10087,4412,352,544SH DFND1,2,5,8,10,18,20301,75600
CIT GROUP INCCommon equity shares125581801319,6646,493,400SH DFND1,2,5,6,8,10,11,12,13,18,20467,07900
KAR AUCTION SERVICES INCCommon equity shares48238T10990,7031,795,779SH DFND1,2,5,8,13,20318,73300
BANK OF AMERICA CORPConv Bond060505682107,48381,462SH DFND2000
INTEL CORP 144AConv Bond458140AF7120,47553,653,000SH DFND2000
KRATON CORPCommon equity shares50077C10636,120749,775SH DFND1,2,5,8,20108,13500
SPDR PORTFOLIO SHORT TERM CORPORATE BOND ETFInvestments that contain a pool of securities representing a specific index and are built like mutu78464A474211,5266,953,489SH DFND1,2,206,462,40500
STATE BANK FINANCIAL CORPCommon equity shares85619010327,284914,363SH DFND1,2,5,8,20146,93900
WISDOMTREE EUROPE HEDGED EQUITY FUNDExchange Traded Product97717X7013916,130SH