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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

TUDOR INVESTMENT CORP ET AL INSTITUTION : Paul Tudor Jones (TUDOR INVESTMENT CORP ET AL )
Paul Tudor Jones Buys/Sells In Portfolio (reported on 2020-11-16)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Wave Life Sciences Pte Ltd    (COMM53,9670
New Buy
New Buy
Acco Brands Corp    (COMMON STOCK)ABD135,6960
New Buy
New Buy
State Auto Financial Corporation    STFC11,7790
New Buy
New Buy
ABM Industries Incorporated    (COMABM15,8710
New Buy
New Buy
Dynavax Technologies Corp    (COMMODVAX45,4480
New Buy
New Buy
Starbucks Corporation    (COMMON STSBUX33,4460
New Buy
New Buy
AES Corporation    (COMMON STOCK)AES51,5870
New Buy
New Buy
International Seaways Inc    (COMMO20,1350
New Buy
New Buy
El Pollo Loco Holdings Inc    (COMMLOCO34,8090
New Buy
New Buy
ACI Worldwide Inc    (COMMON STOCK)ACIW21,6250
New Buy
New Buy
Dorian Lpg Ltd    (COMMON STOCK)LPG13,9020
New Buy
New Buy
Crispr Therapeutics Ag    (COMMON S6,9830
New Buy
New Buy
Atlas Corp    (COMMON STOCK)117,2690
New Buy
New Buy
Fiverr International Ltd    (COMMON23,4300
New Buy
New Buy
Core Laboratories NV    (COMMON STOCLB96,7600
New Buy
New Buy
Kornit Digital Ltd    (COMMON STOCK6,3900
New Buy
New Buy
A10 Networks Inc    (COMMON STOCK)ATEN91,2960
New Buy
New Buy
Mercer Intl Inc (Sh Ben Int)    (COMERC70,9950
New Buy
New Buy
MAXIMUS Incorporated    (COMMON STOMMS13,0210
New Buy
New Buy
Mercury Systems Inc    (COMMON STOCMRCY6,7190
New Buy
New Buy
McCormick & Company    (COMMON STOCMKC9,4200
New Buy
New Buy
Madison Square Garden Sports Corp   &nbsMSG15,4460
New Buy
New Buy
Elastic Nv    (COMMON STOCK)9,1400
New Buy
New Buy
Accuray Inc    (COMMON STOCK)ARAY52,0840
New Buy
New Buy
Abbvie Inc    (COMMON STOCK)ABBV48,1750
New Buy
New Buy
Marathon Petroleum Corp    (COMMON MPC18,0030
New Buy
New Buy
Masonite International Corp    (COMDOOR14,3220
New Buy
New Buy
Jfrog Ltd    (COMMON STOCK)45,9750
New Buy
New Buy
ABIOMED Incorporated    (COMMON STOABMD5,1640
New Buy
New Buy
Transocean Ltd    (COMMON STOCK)RIG300,0000
New Buy
New Buy
Masco Corporation    (COMMON STOCK)MAS88,9660
New Buy
New Buy
GARMIN LTD.    (COMMON STOCK)GRMN6,5550
New Buy
New Buy
Marsh & McLennan Companies Incorporated  &nbsMMC21,2620
New Buy
New Buy
Chubb Ltd    (COMMON STOCK)CB3,5980
New Buy
New Buy
Burlington Stores Inc    (COMMON STBURL2,1080
New Buy
New Buy
M&T Bank Corporation    (COMMON STOMTB7,4080
New Buy
New Buy
Myr Group Inc/delaware    (COMMON SMYRG11,1180
New Buy
New Buy
Monolithic Power Systems Inc    (COMPWR4,5110
New Buy
New Buy
MSC Industrial Direct Co Inc    (COMSM7,2960
New Buy
New Buy
Monmouth Reit -cl A    (COMMON STOCMNRTA46,2290
New Buy
New Buy
Adc Therapeutics Sa    (COMMON STOC50,0000
New Buy
New Buy
Pentair PLC    (COMMON STOCK)PNR39,8640
New Buy
New Buy
Meritage Homes Corp    (COMMON STOCMTH2,2780
New Buy
New Buy
Alexandria Real Estate Equities Inc   &nARE37,1300
New Buy
New Buy
Perrigo Co Plc    (COMMON STOCK)PRGO45,7010
New Buy
New Buy
Tronox Holdings Plc-class A    (COM102,6340
New Buy
New Buy
Mettler-Toledo International Inc    MTD2,5670
New Buy
New Buy
Textainer Group Holdings Ltd    (COTGH17,7700
New Buy
New Buy
Michaels Cos Inc/the    (COMMON STOMIK25,3170
New Buy
New Buy
Modine Manufacturing Company    (COMOD43,1400
New Buy
New Buy
Minerals Technologies Inc.    (COMMMTX5,3720
New Buy
New Buy
Alexander & Baldwin Inc    (COMMON ALEX44,3500
New Buy
New Buy
White Mountain Insurance Group Incorporated  WTM9370
New Buy
New Buy
Molina Healthcare Inc    (COMMON STMOH2,9580
New Buy
New Buy
MFA Financial Inc    (COMMON STOCK)MFA10,3040
New Buy
New Buy
Align Technology Inc    (COMMON STOALGN4,4110
New Buy
New Buy
MDU Resources Group Incorporated    MDU37,1820
New Buy
New Buy
Alliant Energy Corp.    (COMMON STOLNT25,2380
New Buy
New Buy
Vitru Ltd    (COMMON STOCK)75,0000
New Buy
New Buy
Monster Beverage Corp    (COMMON STMNST10,1680
New Buy
New Buy
Triterras Inc-class A    (COMMON ST150,0000
New Buy
New Buy
TechnipFMC PLC - US    (COMMON STOC249,7050
New Buy
New Buy
Hunt (JB) Transport Services Inc.   &nbsJBHT17,0350
New Buy
New Buy
Alphabet Inc. - C Shares    (COMMONGOOG2,5720
New Buy
New Buy
Capitol Federal Financial Inc    (CCFFND39,1080
New Buy
New Buy
American Equity Investment Life Holding Co  &AEL26,6200
New Buy
New Buy
Prothena Corp Plc    (COMMON STOCK)PRTA14,6530
New Buy
New Buy
Morgan Stanley    (COMMON STOCK)MS55,3150
New Buy
New Buy
Lithia Motors Inc. - Class A    (COLAD5,8610
New Buy
New Buy
SFL Corp Ltd    (COMMON STOCK)301,9620
New Buy
New Buy
Nvent Electric Plc    (COMMON STOCK121,5590
New Buy
New Buy
Littlefuse Incorporated    (COMMON LFUS2,2390
New Buy
New Buy
Nordic American Tanker Ltd    (COMMNAT172,8000
New Buy
New Buy
Altra Industrial Motion Corp    (COAIMC31,5150
New Buy
New Buy
Qell Acquisition Corp    (COMMON ST200,0000
New Buy
New Buy
Altria Group Inc    (COMMON STOCK)MO110,0780
New Buy
New Buy
Movado Group Inc.    (COMMON STOCK)MOV36,2360
New Buy
New Buy
Ribbit Leap Ltd    (COMMON STOCK)10,0000
New Buy
New Buy
Eli Lilly & Company    (COMMON STOCLLY11,6440
New Buy
New Buy
Redball Acquisition Corp    (COMMON500,0000
New Buy
New Buy
American Express Company    (COMMONAXP14,9940
New Buy
New Buy
HollyFrontier Corp    (COMMON STOCKHFC71,2190
New Buy
New Buy
Analog Devices Incorporated    (COMADI55,3420
New Buy
New Buy
Jaws Acquisition Corp-cl A    (COMM199,9980
New Buy
New Buy
Triterras Inc-class A    (WARRANT)150,0000
New Buy
New Buy
Ameriprise Financial Inc.    (COMMOAMP9,8710
New Buy
New Buy
Medtronic PLC    (COMMON STOCK)MDT3,2830
New Buy
New Buy
Liberty SiriusXM Group - C    (COMMLSXMK490,0000
New Buy
New Buy
Marvell Technology Group    (COMMONMRVL27,9570
New Buy
New Buy
Anika Therapeutics Inc    (COMMON SANIK12,3290
New Buy
New Buy
Linde Plc    (COMMON STOCK)39,0990
New Buy
New Buy
Mueller Industries Inc.    (COMMON MLI16,8500
New Buy
New Buy
Ligand Pharmaceuticals Incorporated   &nLGND5,3910
New Buy
New Buy
Amicus Therapeutics Inc    (COMMON FOLD15,5960
New Buy
New Buy
Jaws Acquisition Corp-cl A    (WARR66,6660
New Buy
New Buy
Amphenol Corporation - CL A    (COMAPH4,3280
New Buy
New Buy
Amerisafe Inc    (COMMON STOCK)AMSF4,2190
New Buy
New Buy
Lexington Realty Trust    (COMMON SLXP115,6760
New Buy
New Buy
Pennymac Mortgage Investment    (COPMT106,8000
New Buy
New Buy
Las Vegas Sands Corp    (COMMON STOLVS42,9560
New Buy
New Buy
Applied Optoelectronics Inc    (COMAAOI22,2210
New Buy
New Buy
Horizon Therapeutics Plc    (COMMON15,1660
New Buy
New Buy
Applied Industrial Tech Incorporated   &AIT30,7080
New Buy
New Buy
Apache Corporation    (COMMON STOCKAPA79,8980
New Buy
New Buy
Gates Industrial Corp Plc    (COMMO10,6110
New Buy
New Buy
Lennox International Inc    (COMMONLII2,3210
New Buy
New Buy
Genpact Ltd    (COMMON STOCK)G41,1090
New Buy
New Buy
LendingTree Inc(NASDAQ)    (COMMON TREE1,3380
New Buy
New Buy
Lear Corp    (COMMON STOCK)LEA14,4280
New Buy
New Buy
Apollo Commercial Real Estat    (COARI28,3340
New Buy
New Buy
National General Hldgs    (COMMON SNGHC943,6660
New Buy
New Buy
Nasdaq Inc    (COMMON STOCK)NDAQ20,0880
New Buy
New Buy
Arbor Realty Trust Inc    (COMMON SABR23,6220
New Buy
New Buy
Cavco Industries Inc    (COMMON STOCVCO4,0980
New Buy
New Buy
Cohn Robbins Holdings Corp    (COMM200,0000
New Buy
New Buy
Gaslog Ltd    (COMMON STOCK)GLOG28,9500
New Buy
New Buy
National Presto Industries Incorporated  &nbsNPK4,0070
New Buy
New Buy
Ares Commercial Real Estate    (COMACRE24,4140
New Buy
New Buy
Enstar Group Ltd    (COMMON STOCK)ESGR3,2230
New Buy
New Buy
Frontline Ltd    (COMMON STOCK)16,2000
New Buy
New Buy
Cushman & Wakefield Plc    (COMMON 51,3950
New Buy
New Buy
Upland Software Inc    (COMMON STOCUPLD29,7250
New Buy
New Buy
Healthequity Inc    (COMMON STOCK)HQY7,5110
New Buy
New Buy
Kinsale Capital Group Inc    (COMMOKNSL5,4710
New Buy
New Buy
Koppers Holdings Inc    (COMMON STOKOP24,3240
New Buy
New Buy
Asbury Automotive Group    (COMMON ABG7,2030
New Buy
New Buy
Atara Biotherapeutics Inc    (COMMOATRA17,8130
New Buy
New Buy
Mimecast Ltd    (COMMON STOCK)28,4460
New Buy
New Buy
Amcor Plc    (COMMON STOCK)372,1030
New Buy
New Buy
Navient Corp    (COMMON STOCK)NAVI134,8020
New Buy
New Buy
Adient Plc    (COMMON STOCK)ADNT41,8690
New Buy
New Buy
Biohaven Pharmaceutical Hold    (CO4,4130
New Buy
New Buy
Hj Heinz Holding Corp    (COMMON STKHC8,3980
New Buy
New Buy
Neogen Corp    (COMMON STOCK)NEOG19,6280
New Buy
New Buy
Atlas Air Worldwide Holdings    (COAAWW4,9070
New Buy
New Buy
NetEase Inc - ADR    (COMMON STOCK)NTES1,4560
New Buy
New Buy
Netgear Inc    (COMMON STOCK)NTGR24,0910
New Buy
New Buy
Arco Platform Ltd - Class A    (COM53,6150
New Buy
New Buy
Alkermes Plc    (COMMON STOCK)ALKS38,8520
New Buy
New Buy
Cathay General Bancorp    (COMMON SCATY29,7820
New Buy
New Buy
Zentalis Pharmaceuticals Llc    (CO37,6280
New Buy
New Buy
Neurocrine Biosciences Incorporated   &nNBIX38,7520
New Buy
New Buy
Zogenix Inc    (COMMON STOCK)58,3710
New Buy
New Buy
Kilroy Realty Corporation    (COMMOKRC35,1770
New Buy
New Buy
Kelly Services Incorporated- Class A   &KELYA13,7320
New Buy
New Buy
Keysight Technologies Inc    (COMMOKEYS9,4880
New Buy
New Buy
Karyopharm Therapeutics Inc    (COMKPTI32,4180
New Buy
New Buy
Nexstar Media Group Inc    (COMMON NXST5,1200
New Buy
New Buy
Kemper Corp    (COMMON STOCK)KMPR8,0570
New Buy
New Buy
Zuora Inc    (COMMON STOCK)14,7100
New Buy
New Buy
Kellogg Company    (COMMON STOCK)K8,9880
New Buy
New Buy
Zoom Video Communications-a    (COM14,8190
New Buy
New Buy
BOK Financial Corporation    (COMMOBOKF8,8450
New Buy
New Buy
Epizyme Inc    (COMMON STOCK)EPZM61,9940
New Buy
New Buy
Zillow Group Inc - C    (COMMON STO10,3750
New Buy
New Buy
Century Aluminum Co    (COMMON STOCCENX22,6070
New Buy
New Buy
Innospec Inc    (COMMON STOCK)IOSP4,6980
New Buy
New Buy
Nordson Corp    (COMMON STOCK)NDSN16,3790
New Buy
New Buy
Borgwarner Inc    (COMMON STOCK)BWA21,9480
New Buy
New Buy
Kaiser Aluminum Corp    (COMMON STOKALU3,7800
New Buy
New Buy
iStar Inc    (COMMON STOCK)SFI36,4780
New Buy
New Buy
KBR Inc    (COMMON STOCK)KBR17,1150
New Buy
New Buy
Watsco Incorporated    (COMMON STOCWSO8,5930
New Buy
New Buy
Yeti Holdings Inc    (COMMON STOCK)48,9500
New Buy
New Buy
Immunomedics Incorporated    (COMMOIMMU530,4540
New Buy
New Buy
Juniper Networks Incorporated    (CJNPR28,1260
New Buy
New Buy
WESCO International    (COMMON STOCWCC25,4770
New Buy
New Buy
Banco Bradesco SA - ADR    (COMMON BBD127,1370
New Buy
New Buy
International Bancshares Crp    (COIBOC33,8070
New Buy
New Buy
Yalla Group Ltd - ADR    (COMMON ST15,0000
New Buy
New Buy
Opko Health Inc    (COMMON STOCK)OPK80,6120
New Buy
New Buy
YRC Worldwide Inc    (COMMON STOCK)YRCW11,1530
New Buy
New Buy
Independent Bank Corportion Mass.   &nbsINDB22,9380
New Buy
New Buy
John Bean Technologies    (COMMON SJBT2,5810
New Buy
New Buy
Vista Oil & Gas Sab De Cv    (COMMO105,7580
New Buy
New Buy
Wyndham Hotels & Resorts Inc    (CO30,1890
New Buy
New Buy
PVH Corp    (COMMON STOCK)PVH24,5360
New Buy
New Buy
Bank of New York Mellon Corp    (COBK16,0660
New Buy
New Buy
Welbilt Inc    (COMMON STOCK)40,5900
New Buy
New Buy
Banner Corp    (COMMON STOCK)BANR7,9610
New Buy
New Buy
Boston Private Financial Holdings Inc   BPFH96,2950
New Buy
New Buy
Jack in the Box Incorporated    (COJBX9,5070
New Buy
New Buy
Interface Incorporated (CL A)    (CTILE12,7530
New Buy
New Buy
Baxter International Incorporated   &nbsBAX16,5100
New Buy
New Buy
Inter Parfums Incorporated    (COMMIPAR6,6990
New Buy
New Buy
Beacon Roofing Supply Inc    (COMMOBECN36,1670
New Buy
New Buy
Walgreens Boots Alliance Inc    (COWBA7,4530
New Buy
New Buy
WW International Inc    (COMMON STO57,4540
New Buy
New Buy
Ingredion Inc    (COMMON STOCK)INGR3,7660
New Buy
New Buy
Entergy Corporation    (COMMON STOCETR10,8310
New Buy
New Buy
Vroom Inc    (COMMON STOCK)38,5770
New Buy
New Buy
Nutanix Inc - A    (COMMON STOCK)NTNX23,5650
New Buy
New Buy
Envestnet Inc    (COMMON STOCK)ENV16,3540
New Buy
New Buy
Itron Incorporated    (COMMON STOCKITRI10,9690
New Buy
New Buy
Idacorp Incorporated    (COMMON STOIDA15,9690
New Buy
New Buy
Itau Unibanco Holding SA - ADR    (ITU77,0550
New Buy
New Buy
PRA Group Inc    (COMMON STOCK)PRAA6,6890
New Buy
New Buy
Wisdomtree Investments Inc    (COMMWSDT19,8890
New Buy
New Buy
Palo Alto Networks Inc    (COMMON SPANW14,1710
New Buy
New Buy
W.R. Berkley Corporation    (COMMONWRB14,4940
New Buy
New Buy
Boise Cascade Co    (COMMON STOCK)BCC50,8220
New Buy
New Buy
Wingstop Inc    (COMMON STOCK)23,6390
New Buy
New Buy
International Paper Company    (COMIP9,3620
New Buy
New Buy
iShares Silver Trust    (COMMON STOSLV18,7980
New Buy
New Buy
Boston Beer Company Incorporated    SAM2,0490
New Buy
New Buy
O Reilly Automotive Inc    (COMMON ORLY2,5060
New Buy
New Buy
Omnicom Group    (COMMON STOCK)OMC28,9890
New Buy
New Buy
Big Lots Inc.    (COMMON STOCK)BIG66,6880
New Buy
New Buy
InterDigital Inc    (COMMON STOCK)IDCC37,6700
New Buy
New Buy
Wiley (john) & Sons -cl A    (COMMOJW-A11,8230
New Buy
New Buy
Intercept Pharmaceuticals In    (COICPT9,9860
New Buy
New Buy
Whiting Petroleum Corp    (COMMON S80,6270
New Buy
New Buy
Waste Connections Inc    (COMMON ST20,8300
New Buy
New Buy
OFG Bancorp    (COMMON STOCK)OFG12,4250
New Buy
New Buy
Washington Prime Group Inc    (COMM105,8970
New Buy
New Buy
Biomarin Pharmaceutical Inc.    (COBMRN3,8190
New Buy
New Buy
Oracle Corporation    (COMMON STOCKORCL68,6070
New Buy
New Buy
Sonic Automotive Incorporated    (CSAH6,4460
New Buy
New Buy
The Ensign Group Inc    (COMMON STOENSG10,5480
New Buy
New Buy
Oceaneering Intl Inc    (COMMON STOOII59,5250
New Buy
New Buy
Broadridge Financial Sol    (COMMONBR9,9770
New Buy
New Buy
Bio-Techne Corp    (COMMON STOCK)TECH6,0460
New Buy
New Buy
Owens Corning Inc    (COMMON STOCK)OC7,1360
New Buy
New Buy
BJ's Restaurants Inc    (COMMON STOBJRI7,6470
New Buy
New Buy
Brooks Automation Inc    (COMMON STBRKS31,2940
New Buy
New Buy
Oceanfirst Financial Corp    (COMMOOCFC20,0490
New Buy
New Buy
Vonage Holdings    (COMMON STOCK)VG81,9210
New Buy
New Buy
Blackbaud Inc    (COMMON STOCK)BLKB25,2300
New Buy
New Buy
Enova International Inc    (COMMON ENVA42,5550
New Buy
New Buy
OIL STS INTL INC    (COMMON STOCK)OIS152,4030
New Buy
New Buy
Vital Farms Inc    (COMMON STOCK)11,0370
New Buy
New Buy
Blackrock Inc    (COMMON STOCK)BLK14,4270
New Buy
New Buy
Immersion Corporation    (COMMON STIMMR15,3590
New Buy
New Buy
Old Natl Bancorp    (COMMON STOCK)ONB29,3880
New Buy
New Buy
PNM Resources Inc    (COMMON STOCK)PNM24,2170
New Buy
New Buy
Old Rep Intl Corp    (COMMON STOCK)ORI194,7510
New Buy
New Buy
CMS Energy Corporation    (COMMON SCMS37,9030
New Buy
New Buy
West Pharmaceutical Services Incorporate  &nbWST5,1170
New Buy
New Buy
Virtu Financial Inc-class A    (COM40,5750
New Buy
New Buy
Interpublic Group Companies Incorporated  &nbIPG74,5160
New Buy
New Buy
PACCAR Inc.    (COMMON STOCK)PCAR33,4230
New Buy
New Buy
Hartford Financial Services Group Inc.   HIG36,6730
New Buy
New Buy
Vici Properties Inc    (COMMON STOC463,3250
New Buy
New Buy
Community Health Systems Inc    (COCYH10,7250
New Buy
New Buy
Endeavour Silver Corp    (COMMON STEXK165,6360
New Buy
New Buy
Snap-on Incorporated    (COMMON STOSNA5,3220
New Buy
New Buy
VIASAT INC    (COMMON STOCK)VSAT23,7650
New Buy
New Buy
Hibbett Sports Inc    (COMMON STOCKHIBB6,1120
New Buy
New Buy
Patrick Industries Inc.    (COMMON PATK13,8920
New Buy
New Buy
Vbi Vaccines Inc    (COMMON STOCK)24,2350
New Buy
New Buy
Cadence Design Systems Incorporated   &nCDNS17,6560
New Buy
New Buy
Jack Henry & Associates Inc    (COMJKHY7,7990
New Buy
New Buy
Vesper Healthcare Acquisitio    (CO300,0000
New Buy
New Buy
Hess Corp    (COMMON STOCK)HES7,3190
New Buy
New Buy
Vertex Inc - Class A    (COMMON STO117,5380
New Buy
New Buy
Via Optronics Ag - ADR    (COMMON S75,0000
New Buy
New Buy
Cal-Maine Foods Inc    (COMMON STOCCALM18,6820
New Buy
New Buy
Catchmark Timber Trust Inc-a    (COCTT26,3110
New Buy
New Buy
Vertiv Holdings Co- A    (WARRANT)66,6660
New Buy
New Buy
Cenovus Energy Inc    (COMMON STOCKCVE25,4060
New Buy
New Buy
Vertiv Holdings Co- A    (COMMON ST104,8800
New Buy
New Buy
Encore Wire Corporation    (COMMON WIRE9,9960
New Buy
New Buy
Canadian Solar Inc    (COMMON STOCKCSIQ7,4670
New Buy
New Buy
Hewlett Packard Enterprise Company   &nbHPE24,7510
New Buy
New Buy
Host Hotels & Resorts Inc    (COMMOHST95,9230
New Buy
New Buy
Heska Corp    (COMMON STOCK)HSKA4,7880
New Buy
New Buy
Hormel Foods Corporation    (COMMONHRL8,8680
New Buy
New Buy
Carpenter Technology Corporation    CRS28,1550
New Buy
New Buy
Sonoco Products Company    (COMMON SON3,9970
New Buy
New Buy
Casey's General Stores Incorporated   &nCASY1,7360
New Buy
New Buy
Equifax Incorporated    (COMMON STOEFX5,0620
New Buy
New Buy
Caterpillar Incorporated    (COMMONCAT29,8050
New Buy
New Buy
Cara Therapeutics Inc    (COMMON STCARA21,6660
New Buy
New Buy
Selective Insurance Group Incorporated   SIGI9,2020
New Buy
New Buy
Veeco Instruments Inc.    (COMMON SVECO47,9860
New Buy
New Buy
Heritage-crystal Clean Inc    (COMMHCCI11,1590
New Buy
New Buy
Hillenbrand Inc    (COMMON STOCK)HI52,4580
New Buy
New Buy
Pepsico Incorporated    (COMMON STOPEP20,5280
New Buy
New Buy
Hill-Rom Holdings Inc    (COMMON STHRC27,2380
New Buy
New Buy
Central Garden & Pet Company - A    CENTA6,4150
New Buy
New Buy
Prudential Financial Inc.    (COMMOPRU3,5590
New Buy
New Buy
Us Foods Holding Corp    (COMMON STUSFD35,1620
New Buy
New Buy
Encore Capital Group Inc    (COMMONECPG21,8980
New Buy
New Buy
ESCO Technologies Inc.    (COMMON SESE12,3720
New Buy
New Buy
Perkinelmer Incorporated    (COMMONPKI3,1610
New Buy
New Buy
Heartland Express Inc.    (COMMON SHTLD222,2130
New Buy
New Buy
Hecla Mining Co    (COMMON STOCK)HL160,1580
New Buy
New Buy
Unity Software Inc    (COMMON STOCK48,0400
New Buy
New Buy
General Dynamics Corp    (COMMON STGD14,1920
New Buy
New Buy
Cohen & Steers Inc    (COMMON STOCKCNS13,1350
New Buy
New Buy
Clean Energy Fuels Corp    (COMMON CLNE189,2780
New Buy
New Buy
United Parcel Service    (COMMON STUPS22,5340
New Buy
New Buy
Power Integrations Inc    (COMMON SPOWI19,0680
New Buy
New Buy
United Natural Foods Inc    (COMMONUNFI18,2610
New Buy
New Buy
Euronet Worldwide Inc    (COMMON STEEFT3,3120
New Buy
New Buy
United Insurance Holdings Co    (COUIHC11,1780
New Buy
New Buy
Esperion Therapeutics Inc    (COMMOESPR9,3590
New Buy
New Buy
Hanover Insurance Group Inc/Th    (THG14,5770
New Buy
New Buy
Griffon Corporation    (COMMON STOCGFF15,8220
New Buy
New Buy
United Fire Group Inc    (COMMON STUFCS14,8240
New Buy
New Buy
Preferred Bank/Los Angeles CA    (CPFBC8,7770
New Buy
New Buy
United Bankshares Inc W VA    (COMMUBSI53,0400
New Buy
New Buy
Green Dot Corp-class A    (COMMON SGDOT10,0240
New Buy
New Buy
Hanger Inc    (COMMON STOCK)HGR27,6550
New Buy
New Buy
Preferred Apartment Commun-a    (COAPTS19,3550
New Buy
New Buy
Halozyme Therapeutics Inc    (COMMOHALO89,2000
New Buy
New Buy
Citizens Financial Group    (COMMONCFG75,3220
New Buy
New Buy
Unifirst Corp STK    (COMMON STOCK)UNF6,6830
New Buy
New Buy
City Holding Company    (COMMON STOCHCO15,2990
New Buy
New Buy
Pitney Bowes Incorporated    (COMMOPBI95,8680
New Buy
New Buy
UMB Financial Corp.    (COMMON STOCUMBF6,4930
New Buy
New Buy
Under Armour Inc-class C    (COMMON39,9800
New Buy
New Buy
Clearwater Paper Corp.    (COMMON SCLW5,4380
New Buy
New Buy
Plantronics Inc    (COMMON STOCK)PLT181,9060
New Buy
New Buy
Greenbrier Companies Inc    (COMMONGBX43,8660
New Buy
New Buy
Cincinnati Financial Corporation    CINF5,9370
New Buy
New Buy
2u Inc    (COMMON STOCK)TWOU26,8530
New Buy
New Buy
HMS Holdings Corp    (COMMON STOCK)HMSY54,6440
New Buy
New Buy
Great Western Bancorp Inc    (COMMOGWB19,1910
New Buy
New Buy
Plexus Corp.    (COMMON STOCK)PLXS7,8310
New Buy
New Buy
21vianet Group Inc-adr    (COMMON SVNET26,8640
New Buy
New Buy
GameStop Corporation    (COMMON STOGME18,9290
New Buy
New Buy
Commercial Metals Company    (COMMOCMC78,4370
New Buy
New Buy
Price (T. Rowe) Associates Inc.    TROW43,0640
New Buy
New Buy
Comfort Systems USA Inc    (COMMON FIX17,8730
New Buy
New Buy
Tupperware Brands Corp    (COMMON STUP11,4670
New Buy
New Buy
Trustmark Corporation    (COMMON STTRMK11,1720
New Buy
New Buy
Progressive Corporation    (COMMON PGR17,9320
New Buy
New Buy
Commerce Bancshares Incorporated    CBSH16,4850
New Buy
New Buy
Columbus McKinnon Corp.    (COMMON CMCO6,8940
New Buy
New Buy
Commscope Holding Co Inc    (COMMONCOMM25,4890
New Buy
New Buy
Tennant Company    (COMMON STOCK)TNC5,9480
New Buy
New Buy
Telephone and Data Systems Incorporated  &nbsTDS44,2950
New Buy
New Buy
Gilead Sciences Inc    (COMMON STOCGILD25,6980
New Buy
New Buy
Travelers Cos Inc    (COMMON STOCK)TRV24,0980
New Buy
New Buy
TrustCo Bank Corp NY    (COMMON STOTRST21,0390
New Buy
New Buy
Re/max Holdings Inc-cl A    (COMMONRMAX7,4150
New Buy
New Buy
Skechers Usa Inc -Cl A    (COMMON SSKX7,8910
New Buy
New Buy
Tractor Supply Co    (COMMON STOCK)TSCO10,6920
New Buy
New Buy
TripAdvisor Inc    (COMMON STOCK)TRIP37,3090
New Buy
New Buy
Corporate Office Properties    (COMOFC24,5500
New Buy
New Buy
Quest Diagnostics Incorporated    (DGX8,9540
New Buy
New Buy
RLI Corporation    (COMMON STOCK)RLI5,8440
New Buy
New Buy
Consolidated Communications    (COMCNSL12,5450
New Buy
New Buy
Exlservice Holdings Inc    (COMMON EXLS16,0580
New Buy
New Buy
Trimble Inc    (COMMON STOCK)TRMB14,2560
New Buy
New Buy
Gladstone Commercial Corp    (COMMOGOOD14,0880
New Buy
New Buy
Six Flags Entertainment Corp    (COSIX18,6780
New Buy
New Buy
Getty Realty Corp    (COMMON STOCK)GTY31,1300
New Buy
New Buy
TreeHouse Food    (COMMON STOCK)THS8,9150
New Buy
New Buy
Gerdau SA-ADR    (COMMON STOCK)GGB31,8530
New Buy
New Buy
Danaher Corporation    (COMMON STOCDHR5,8200
New Buy
New Buy
3m Co    (COMMON STOCK)MMM14,8820
New Buy
New Buy
Generac Holdings Inc    (COMMON STOGNRC12,6490
New Buy
New Buy
Realogy Holdings Corp    (COMMON STRLGY62,1870
New Buy
New Buy
Rogers Corporation    (COMMON STOCKROG16,5560
New Buy
New Buy
Fuller H B Co    (COMMON STOCK)FUL20,0380
New Buy
New Buy
Cracker Barrel Old Country Store Inc   &CBRL7,0590
New Buy
New Buy
Cryolife Inc    (COMMON STOCK)CRY30,9470
New Buy
New Buy
8 X 8 Incorporated    (COMMON STOCKEGHT93,2830
New Buy
New Buy
Teva Pharmaceutical Ind. Sponsored - ADR  &nbTEVA10,1740
New Buy
New Buy
Silicon Laboratories Inc    (COMMONSLAB7,9690
New Buy
New Buy
Terex Corp.    (COMMON STOCK)TEX11,2520
New Buy
New Buy
Cree Research Incorporated    (COMMCREE4,0270
New Buy
New Buy
Exxon Mobil Corporation    (COMMON XOM209,1410
New Buy
New Buy
Exponent Inc.    (COMMON STOCK)EXPO4,6990
New Buy
New Buy
Tesla Inc    (COMMON STOCK)TSLA7,3190
New Buy
New Buy
Stag Industrial Inc    (COMMON STOCSTAG15,8870
New Buy
New Buy
Standard Motor Products Incorporated   &SMP4,6520
New Buy
New Buy
Redwood Trust Inc    (COMMON STOCK)RWT29,0320
New Buy
New Buy
Cullen/Frost Bankers Inc    (COMMONCFR29,0310
New Buy
New Buy
Ford Motor Co    (COMMON STOCK)F318,2910
New Buy
New Buy
Eagle Bancorp Inc    (COMMON STOCK)EGBN16,1330
New Buy
New Buy
ResMed Incorporated    (COMMON STOCRMD2,4980
New Buy
New Buy
Tenet Healthcare Corporation    (COTHC17,8460
New Buy
New Buy
DTE Energy Company    (COMMON STOCKDTE2,5250
New Buy
New Buy
Sabra Health Care REIT Inc    (COMMSBRA85,4850
New Buy
New Buy
Discovery Inc - C    (COMMON STOCK)DISCK11,2420
New Buy
New Buy
Ritchie Bros. Auctioneers Incorporated   RBA44,2600
New Buy
New Buy
Techtarget    (COMMON STOCK)TTGT9,6940
New Buy
New Buy
Daqo New Energy Corp-adr    (COMMONDQ3,3000
New Buy
New Buy
Taylor Morrison Home Corp-a    (COMTMHC67,2510
New Buy
New Buy
Teleflex Inc.    (COMMON STOCK)TFX13,0650
New Buy
New Buy
REX American Resources Corp    (COMRSC4,7160
New Buy
New Buy
Franco-nevada Corp    (COMMON STOCKFNNVF5,1790
New Buy
New Buy
Robert Half International Incorporated   RHI13,1640
New Buy
New Buy
Discovery Inc - A    (COMMON STOCK)DISCA18,2380
New Buy
New Buy
Digital Realty Trust Inc    (COMMONDLR53,5870
New Buy
New Buy
Ryanair Holdings PLC    (COMMON STORYAAY3,3860
New Buy
New Buy
SPDR Gold Shares    (COMMON STOCK)GLD6,4440
New Buy
New Buy
AMEX Utility Select SPDR Fund    (CXLU120,0000
New Buy
New Buy
Five Below    (COMMON STOCK)FIVE5,1280
New Buy
New Buy
Foot Locker Inc.    (COMMON STOCK)FL14,1180
New Buy
New Buy
Digimarc Corp    (COMMON STOCK)DMRC14,3640
New Buy
New Buy
SJW Group    (COMMON STOCK)SJW5,1950
New Buy
New Buy
SPDR Dow Jones Industrial Average ETF Trust  DIA8200
New Buy
New Buy
Dolby Laboratories Inc - Class A    DLB32,4520
New Buy
New Buy
Federal Signal Corporation    (COMMFSS14,2730
New Buy
New Buy
Firstenergy Corp    (COMMON STOCK)FE11,9130
New Buy
New Buy
Safety Insurance Group Inc    (COMMSAFT7,5010
New Buy
New Buy
FactSet Research Systems Incorporated   FDS7,6400
New Buy
New Buy
DISH Network Corp    (COMMON STOCK)DISH118,8480
New Buy
New Buy
First Financial Bancorp    (COMMON FFBC42,6890
New Buy
New Buy
First Solar Inc    (COMMON STOCK)FSLR147,4990
New Buy
New Buy
First Industrial Realty TR    (COMMFR43,9960
New Buy
New Buy
First Source Corporation    (COMMONSRCE7,8370
New Buy
New Buy
First Midwest Bancorp Incorporated   &nbFMBI107,1900
New Buy
New Buy
Sally Beauty Co Inc    (COMMON STOCSBH85,3310
New Buy
New Buy
First Bancorp North Carolina    (COFBNC12,5070
New Buy
New Buy
Fst Ctzns Bancshares Inc N C (CL A)   &nFCNCA2,6380
New Buy
New Buy
Seacoast Banking Corp of FL - CL A   &nbSBCF15,6690
New Buy
New Buy
Henry Schein Incorporated    (COMMOHSIC12,4020
New Buy
New Buy
Douglas Emmett Inc    (COMMON STOCKDEI99,8160
New Buy
New Buy
AMEX Consumer Discretionary Select SPDR Fund  XLY1,5600
New Buy
New Buy
Duke Realty Corp    (COMMON STOCK)DRE25,8310
New Buy
New Buy
Maxim Integrated Products Incorporated   MXIM7,6200
New Buy
New Buy
Ferro Corporation    (COMMON STOCK)FOE19,1630
New Buy
New Buy
Store Capital Corp    (COMMON STOCKSTOR120,1700
New Buy
New Buy
F5 Networks Inc    (COMMON STOCK)FFIV27,6510
New Buy
New Buy
Turquoise Hill Resources Ltd    (CO1,170,3965,067
Added1,165,329
22998.40%
Kingsoft Cloud Holdings-adr    (COM683,1903,869
Added679,321
17558.05%
Hudson Executive Invest-cl A    (CO994,4448,771
Added985,673
11237.86%
B. Riley Principal Merger-a    (COM425,0005,221
Added419,779
8040.20%
Advanced Disposal Services Inc    (3,915,36650,399
Added3,864,967
7668.73%
Natura &co Holding-adr    (COMMON S900,00016,068
Added883,932
5501.19%
Keurig Dr Pepper Inc    (COMMON STO708,10315,154
Added692,949
4572.71%
Grubhub Inc    (COMMON STOCK)GRUB668,71414,496
Added654,218
4513.09%
Kymera Therapeutics Inc    (COMMON 91,5162,099
Added89,417
4259.98%
Becton Dickinson & Company    (COMMBDX39,077991
Added38,086
3843.18%
Gores Metropoulos Inc-cl A    (COMM124,9983,754
Added121,244
3229.72%
Lightspeed Pos Inc-sub Vote    (COM108,9153,729
Added105,186
2820.75%
Gs Acquisition Holdings-a    (WARRA24,999926
Added24,073
2599.67%
Bristol Myers Squibb Company - CVR   &nb2,037,60876,158
Added1,961,450
2575.50%
Rackspace Technology Inc    (COMMON450,23620,535
Added429,701
2092.52%
Crescent Acquisition Corp-a    (WAR174,8037,985
Added166,818
2089.14%
Levi Strauss & Co- Class A    (COMM74,2003,895
Added70,305
1805.00%
Sprout Social Inc - Class A    (COM63,9943,576
Added60,418
1689.54%
Landcadia Holdings Ii Inc-a    (COM283,40216,728
Added266,674
1594.17%
Occidental Petroleum Corp    (COMMOOXY206,82913,085
Added193,744
1480.65%
Adt Inc    (COMMON STOCK)887,11758,726
Added828,391
1410.60%
Gs Acquisition Holdings-a    (COMMO99,9966,935
Added93,061
1341.90%
Credit Acceptance Corporation    (CCACC7,577533
Added7,044
1321.57%
UDR Inc    (COMMON STOCK)UDR182,68713,279
Added169,408
1275.75%
Gci Liberty Inc - Class A    (COMMO870,05264,665
Added805,387
1245.47%
Repay Holdings Corp    (COMMON STOC314,58625,842
Added288,744
1117.34%
Gcp Applied Technologies    (COMMON45,7543,786
Added41,968
1108.50%
Perdoceo Education Corp    (COMMON 48,7524,072
Added44,680
1097.24%
Qurate Retail Inc    (COMMON STOCK)439,02937,838
Added401,191
1060.28%
Vmware Inc-class A    (COMMON STOCKVMW31,9742,792
Added29,182
1045.20%
Montage Resources Corp    (COMMON S218,58920,694
Added197,895
956.29%
Alpha Healthcare Acquisition    (CO500,00047,555
Added452,445
951.41%
EOG Resources Inc.    (COMMON STOCKEOG105,98810,548
Added95,440
904.81%
TransUnion    (COMMON STOCK)39,7954,063
Added35,732
879.44%
Macy's Inc    (COMMON STOCK)M219,17722,402
Added196,775
878.38%
Hudson Executive Invest-cl A    (WA484,72250,199
Added434,523
865.60%
Garrett Motion Inc    (COMMON STOCK86,7389,056
Added77,682
857.79%
Charter Communications Inc    (COMMCHTR7,152759
Added6,393
842.29%
Forterra Inc    (COMMON STOCK)73,7438,085
Added65,658
812.09%
Realreal Inc/the    (COMMON STOCK)83,4369,185
Added74,251
808.39%
Brady Corporation (CL A)    (COMMONBRC58,7556,479
Added52,276
806.85%
Stratasys Ltd    (COMMON STOCK)SSYS109,06812,269
Added96,799
788.97%
AFLAC Incorporated    (COMMON STOCKAFL91,72910,969
Added80,760
736.25%
Shift4 Payments Inc    (COMMON STOC111,85513,461
Added98,394
730.95%
Markel Corporation    (COMMON STOCKMKL4,653573
Added4,080
712.04%
Aerovironment Inc    (COMMON STOCK)AVAV31,3723,903
Added27,469
703.79%
Artius Acquisition Inc    (COMMON S50,0006,379
Added43,621
683.82%
Booz Allen Hamilton Holding    (COMBAH24,5533,147
Added21,406
680.20%
Albertsons Cos Inc    (COMMON STOCK76,8349,990
Added66,844
669.10%
Axsome Therapeutics Inc    (COMMON 13,3811,779
Added11,602
652.16%
Delek US Holdings Inc    (COMMON ST141,78818,888
Added122,900
650.67%
Wabtec Corporation    (COMMON STOCKWAB50,6586,761
Added43,897
649.26%
Red Rock Resorts Inc-class A    (CO134,91818,050
Added116,868
647.46%
Valley National Bancorp    (COMMON VLY200,90527,659
Added173,246
626.36%
Archrock Inc    (COMMON STOCK)182,63425,365
Added157,269
620.02%
Pinnacle West Capital Corporation   &nbsPNW23,3463,302
Added20,044
607.02%
Goodrx Holdings Inc    (COMMON STOC223,55231,938
Added191,614
599.95%
Cleveland-Cliffs Inc    (COMMON STO107,57915,698
Added91,881
585.30%
SEI Investments Company    (COMMON SEIC44,9486,684
Added38,264
572.47%
EQT Corp    (COMMON STOCK)EQT95,84214,274
Added81,568
571.44%
B. Riley Principal Merger-a    (WAR212,50032,050
Added180,450
563.02%
Golar LNG Ltd    (COMMON STOCK)GLNG100,75115,702
Added85,049
541.64%
Merit Medical Systems Inc.    (COMMMMSI42,8676,793
Added36,074
531.04%
Pjt Partners Inc - A    (COMMON STO165,53626,291
Added139,245
529.62%
Parsons Corp    (COMMON STOCK)57,8749,302
Added48,572
522.16%
CSG Systems International Incorporated   CSGS31,5405,074
Added26,466
521.60%
Nokia Corp-spon ADR    (COMMON STOCNOK1,003,411162,847
Added840,564
516.16%
American Finance Trust Inc    (COMM19,0603,125
Added15,935
509.91%
HP Inc    (COMMON STOCK)HPQ126,64320,930
Added105,713
505.07%
Cabot Oil & Gas Corporation-CL A    COG115,09219,224
Added95,868
498.68%
Iron Mountain Inc.    (COMMON STOCKIRM162,42127,254
Added135,167
495.95%
Carlisle Companies Incorporated    CSL23,8243,998
Added19,826
495.89%
Foley Trasimene Acq-class A    (WAR66,66611,311
Added55,355
489.39%
Precigen Inc    (COMMON STOCK)91,28315,698
Added75,585
481.49%
Ziopharm Oncology Inc    (COMMON STZIOP343,52659,281
Added284,245
479.48%
On Deck Capital Inc    (COMMON STOCONDK669,295116,926
Added552,369
472.40%
NRG Energy    (COMMON STOCK)NRG107,84018,866
Added88,974
471.61%
Anaplan Inc    (COMMON STOCK)43,1627,565
Added35,597
470.54%
Mirati Therapeutics Inc    (COMMON MRTX16,2422,859
Added13,383
468.10%
Old Dominion Freight Line Inc.    (ODFL15,9532,813
Added13,140
467.11%
Teradyne Inc    (COMMON STOCK)TER65,80911,745
Added54,064
460.31%
Terreno Realty Corp    (COMMON STOCTRNO72,67213,019
Added59,653
458.19%
Athenex Inc    (COMMON STOCK)22,0513,952
Added18,099
457.97%
CareTrust Reit Inc    (COMMON STOCKCTRE93,03416,772
Added76,262
454.69%
Alphabet Inc.    (COMMON STOCK)GOOGL6,9001,253
Added5,647
450.67%
New York Community Bancorp    (COMMNYB149,39527,850
Added121,545
436.42%
Costco Wholesale Corp. - NEW    (COCOST5,8851,157
Added4,728
408.64%
BioTelemetry Inc    (COMMON STOCK)BEAT38,0737,531
Added30,542
405.55%
Varian Medical Systems Inc.    (COMVAR11,2392,232
Added9,007
403.53%
Northwestern Corp    (COMMON STOCK)NWE53,22510,732
Added42,493
395.94%
Marriott International-CL A    (COMMAR29,6306,159
Added23,471
381.08%
CNX Resources Corp    (COMMON STOCKCNX187,92439,586
Added148,338
374.72%
Kar Auction Services Inc    (COMMONKAR140,06629,801
Added110,265
370.00%
Service Corporation International   &nbsSCI119,84325,585
Added94,258
368.41%
Otis Worldwide Corp    (COMMON STOC174,49937,407
Added137,092
366.48%
Hilton Grand Vacations    (COMMON S141,20730,313
Added110,894
365.82%
Chevron Corporation    (COMMON STOCCVX130,63928,180
Added102,459
363.58%
Peloton Interactive Inc-a    (COMMO35,0187,599
Added27,419
360.82%
Choice Hotels Intl Inc    (COMMON SCHH35,8727,892
Added27,980
354.53%
State Street Corporation    (COMMONSTT79,83017,760
Added62,070
349.49%
Centennial Resource Develo-a    (CO73,21616,599
Added56,617
341.08%
National Storage Affiliates    (COM190,29143,390
Added146,901
338.55%
Pagerduty Inc    (COMMON STOCK)64,37614,818
Added49,558
334.44%
Blucora Inc    (COMMON STOCK)BCOR237,43454,825
Added182,609
333.07%
Immunogen Incorporated    (COMMON SIMGN277,46064,537
Added212,923
329.92%
Dell Technologies -c    (COMMON STO52,64912,297
Added40,352
328.14%
Signature Bank/New York NY    (COMMSBNY22,9925,398
Added17,594
325.93%
Loral Space & Communications    (COLORL93,22422,030
Added71,194
323.16%
Manitowoc Company Inc.    (COMMON S107,56325,552
Added82,011
320.95%
Gap Inc    (COMMON STOCK)GPS186,10444,336
Added141,768
319.75%
TRI Pointe Group Inc    (COMMON STOTPH113,43627,030
Added86,406
319.66%
Altice Usa Inc- A    (COMMON STOCK)18,2324,346
Added13,886
319.51%
CVR Energy Inc    (COMMON STOCK)CVI157,32237,619
Added119,703
318.19%
Apple Inc    (COMMON STOCK)AAPL198,96147,794
Added151,167
316.28%
Athira Pharma Inc    (COMMON STOCK)94,00322,741
Added71,262
313.36%
Pbf Energy Inc    (COMMON STOCK)PBF307,95875,422
Added232,536
308.31%
Agilent Technologies Inc.    (COMMOA34,6058,653
Added25,952
299.91%
Wabash National Corporation    (COMWNC84,95421,657
Added63,297
292.27%
Murphy Oil Corporation    (COMMON SMUR136,76535,106
Added101,659
289.57%
Ping Identity Holding Corp    (COMM50,64813,244
Added37,404
282.42%
Equity Lifestyle Properties In    (ELS30,1707,963
Added22,207
278.87%
Alexion Pharmaceuticals Incorporated   &ALXN72,00019,595
Added52,405
267.44%
Brightview Holdings Inc    (COMMON 370,298101,200
Added269,098
265.90%
Avanos Medical Inc    (COMMON STOCK11,5683,171
Added8,397
264.80%
Accelerate Diagnostics Inc    (COMMAXDX67,81419,022
Added48,792
256.50%
Mercadolibre Inc    (COMMON STOCK)MELI1,821511
Added1,310
256.36%
World Fuel Services Corporation    INT62,90517,745
Added45,160
254.49%
American Tower Corp - Class A    (CAMT47,59313,459
Added34,134
253.61%
Jones Lang LaSalle Inc.    (COMMON JLL22,8306,463
Added16,367
253.24%
Capstead Mortgage Corporation    (CCMO58,76717,026
Added41,741
245.16%
Apartment Investment & Management Co.- A  &nb170,90149,555
Added121,346
244.87%
Washington Federal Incorporated    WFSL82,56523,943
Added58,622
244.83%
Valero Energy Corporation    (COMMOVLO101,48329,585
Added71,898
243.02%
Post Holdings Inc    (COMMON STOCK)POST49,13414,369
Added34,765
241.94%
Smiledirectclub Inc    (COMMON STOC70,69021,118
Added49,572
234.73%
Agios Pharmaceuticals Inc    (COMMOAGIO56,33816,845
Added39,493
234.44%
Sempra Energy    (COMMON STOCK)SRE12,4593,726
Added8,733
234.38%
Cigna Corp    (COMMON STOCK)25,5577,677
Added17,880
232.90%
Kohl's Corporation    (COMMON STOCKKSS172,91951,971
Added120,948
232.72%
Cloudflare Inc - Class A    (COMMON81,24324,571
Added56,672
230.64%
Aimmune Therapeutics Inc    (COMMON989,506299,999
Added689,507
229.83%
Forum Energy Technologies In    (CO275,19083,792
Added191,398
228.42%
Standard Avb Financial Corp    (COM200,00061,203
Added138,797
226.78%
Visa Inc - Class A Shares    (COMMOV38,11011,772
Added26,338
223.73%
NBT Bancorp Incorporated    (COMMONNBTB32,1369,930
Added22,206
223.62%
Oxford Inds Inc    (COMMON STOCK)OXM16,8605,244
Added11,616
221.51%
Knowles Corp    (COMMON STOCK)KN75,59223,616
Added51,976
220.08%
S&P Global Inc    (COMMON STOCK)SPGI5,3871,686
Added3,701
219.51%
Donaldson Co Inc    (COMMON STOCK)DCI25,4687,972
Added17,496
219.46%
Dropbox Inc-class A    (COMMON STOC107,73833,787
Added73,951
218.87%
Targa Resources Corp.    (COMMON STTRGP159,00151,093
Added107,908
211.19%
Baker Hughes Co    (COMMON STOCK)64,23820,977
Added43,261
206.23%
Colony Northstar Credit Re-a    (CO72,46723,724
Added48,743
205.45%
Crescent Acquisition Corp-a    (COM349,606114,534
Added235,072
205.24%
Equity Commonwealth    (COMMON STOCEQC123,65940,591
Added83,068
204.64%
AutoZone Incorporated    (COMMON STAZO2,490823
Added1,667
202.55%
Landcadia Holdings Ii Inc-a    (WAR130,33443,101
Added87,233
202.39%
Shenandoah Telecom Co    (COMMON STSHEN17,0985,664
Added11,434
201.87%
Third Point Reinsurance Ltd    (COMTPRE93,80031,275
Added62,525
199.92%
L3Harris Technologies Inc    (COMMO30,51710,280
Added20,237
196.85%
Genmark Diagnostics Inc    (COMMON GNMK46,11015,541
Added30,569
196.69%
CVS Health Corp    (COMMON STOCK)CVS100,87034,108
Added66,762
195.73%
Alta Equipment Group Inc-cl A    (W299,999102,025
Added197,974
194.04%
10x Genomics Inc    (COMMON STOCK)51,29617,534
Added33,762
192.55%
Vishay Intertechnology Inc.    (COMVSH145,66050,044
Added95,616
191.06%
Accenture Plc - CL A    (COMMON STOACN9,1963,184
Added6,012
188.81%
Adobe Inc    (COMMON STOCK)ADBE20,0787,016
Added13,062
186.17%
Foundation Building Material    (CO38,79513,562
Added25,233
186.05%
Cheesecake Factory Incorporated    CAKE80,08028,022
Added52,058
185.77%
Phototronics Inc.    (COMMON STOCK)PLAB92,62532,566
Added60,059
184.42%
Life Storage Inc    (COMMON STOCK)LSI72,39825,489
Added46,909
184.03%
Nordstrom Inc    (COMMON STOCK)JWN129,61846,140
Added83,478
180.92%
Resideo Technologies Inc    (COMMON35,84812,761
Added23,087
180.91%
American Electric Power 6.125    (C50,00017,854
Added32,146
180.04%
Summit Materials Inc -cl A    (COMM120,12342,929
Added77,194
179.81%
Atlassian Corp Plc-class A    (COMMTEAM64,63123,335
Added41,296
176.97%
Ollie's Bargain Outlet Holdi    (CO27,56510,025
Added17,540
174.96%
Twc Tech Holdings Ii Corp    (COMMO75,00027,576
Added47,424
171.97%
AZEK Co Inc/The - Class A    (COMMO111,47641,030
Added70,446
171.69%
AptarGroup Incorporated    (COMMON ATR12,4754,605
Added7,870
170.90%
Hudson Executive Investment    (COM128,96547,637
Added81,328
170.72%
Vodafone Group Plc SP    (COMMON STVOD51,99319,445
Added32,548
167.38%
Penumbra Inc    (COMMON STOCK)8,2653,140
Added5,125
163.21%
3D Systems Corp    (COMMON STOCK)TDSC295,296112,674
Added182,622
162.07%
Saia Inc    (COMMON STOCK)SAIA10,1533,901
Added6,252
160.26%
Wix.com Ltd    (COMMON STOCK)WIX14,8735,762
Added9,111
158.12%
Hubspot Inc    (COMMON STOCK)HUBS7,5652,942
Added4,623
157.13%
Epam Systems Inc    (COMMON STOCK)EPAM6,5112,536
Added3,975
156.74%
Jabil Inc    (COMMON STOCK)JBL36,84614,384
Added22,462
156.15%
Coty Inc-cl A    (COMMON STOCK)COTY414,219163,594
Added250,625
153.19%
Kennedy-Wilson Holdings Inc    (COMKWIC43,76717,328
Added26,439
152.57%
Steven Madden Limited    (COMMON STSHOO117,50446,656
Added70,848
151.85%
Flowers Foods Inc    (COMMON STOCK)FLO83,24033,135
Added50,105
151.21%
Foley Trasimene Acq-class A    (COM199,99879,669
Added120,329
151.03%
Allison Transmission Holding    (COALSN151,28661,196
Added90,090
147.21%
Boston Scientific Corporation    (CBSX81,30132,900
Added48,401
147.11%
General Mills Incorporated    (COMMGIS117,33447,525
Added69,809
146.88%
Stitch Fix Inc-class A    (COMMON S126,13051,110
Added75,020
146.78%
Citrix Systems    (COMMON STOCK)CTXS15,8186,423
Added9,395
146.27%
Cnh Industrial Nv    (COMMON STOCK)CNHI171,21169,844
Added101,367
145.13%
Cerner Corporation    (COMMON STOCKCERN29,92712,230
Added17,697
144.70%
Match Group Inc    (COMMON STOCK)41,52317,082
Added24,441
143.08%
Peabody Energy Corp    (COMMON STOC220,30091,079
Added129,221
141.87%
Prosperity Bancshares Inc    (COMMOPRSP23,5479,774
Added13,773
140.91%
American Axle & Manufacturing Hold. Inc.  &nbAXL204,60785,100
Added119,507
140.43%
Msci Inc    (COMMON STOCK)MXB7,2193,017
Added4,202
139.27%
Perficient Inc    (COMMON STOCK)PRFT18,3927,724
Added10,668
138.11%
Urstadt Biddle Properties-CL A    (UBA74,85431,731
Added43,123
135.90%
Optinose Inc    (COMMON STOCK)79,89033,913
Added45,977
135.57%
Southwestern Energy Company    (COMSWN259,468110,549
Added148,919
134.70%
Black Hills Corporation    (COMMON BKH66,97528,770
Added38,205
132.79%
Autodesk Incorporated    (COMMON STADSK11,3224,865
Added6,457
132.72%
Jeld-wen Holding Inc    (COMMON STO39,94517,320
Added22,625
130.62%
Avaya Holdings Corp    (COMMON STOC40,07517,430
Added22,645
129.91%
Activision Blizzard Inc    (COMMON ATVI98,29542,871
Added55,424
129.28%
CoreCivic Inc    (COMMON STOCK)85,30437,926
Added47,378
124.92%
Columbia Property Trust Inc    (COMCXP72,39732,266
Added40,131
124.37%
Geopark Ltd    (COMMON STOCK)GPRKF49,34522,026
Added27,319
124.03%
Zoetis Inc    (COMMON STOCK)ZTS8,4893,805
Added4,684
123.10%
MarineMax Inc    (COMMON STOCK)HZO39,18117,877
Added21,304
119.16%
Invesco Mortgage Capital    (COMMONIVR148,44467,771
Added80,673
119.03%
Incyte Corp.    (COMMON STOCK)INCY29,32413,423
Added15,901
118.46%
Par Pacific Holdings Inc    (COMMONPARRD62,15228,458
Added33,694
118.39%
Prelude Therapeutics Inc    (COMMON48,62422,465
Added26,159
116.44%
Paysign Inc    (COMMON STOCK)28,56413,280
Added15,284
115.09%
Applied Materials Incorporated    (AMAT70,18032,642
Added37,538
114.99%
Walmart Inc    (COMMON STOCK)WMT47,92622,353
Added25,573
114.40%
Alaska Airgroup Incorporated    (COALK45,47821,383
Added24,095
112.68%
Orthofix Medical Inc    (COMMON STO21,23310,013
Added11,220
112.05%
Advanced Micro Devices Incorporated   &nAMD112,67053,435
Added59,235
110.85%
Fastenal Company    (COMMON STOCK)FAST24,32611,833
Added12,493
105.57%
Ingles Markets Incorporated Cl. A   &nbsIMKTA11,9185,825
Added6,093
104.60%
EnerSys    (COMMON STOCK)ENS20,89410,225
Added10,669
104.34%
Deckers Outdoor Corporation    (COMDECK4,7962,348
Added2,448
104.25%
Propetro Holding Corp    (COMMON ST68,43733,548
Added34,889
103.99%
Tivity Health Inc    (COMMON STOCK)50,59324,877
Added25,716
103.37%
Kearny Financial Corp    (COMMON ST26,43613,012
Added13,424
103.16%
Raven Industries Incorporated    (CRAVN20,68910,469
Added10,220
97.62%
Lamar Advertising Company    (COMMOLAMR15,3447,786
Added7,558
97.07%
Conagra Brands Inc    (COMMON STOCKCAG79,35840,291
Added39,067
96.96%
Western Digital Corporation    (COMWDC18,3749,351
Added9,023
96.49%
SIGA Technologies Incorporated    (SIGA74,43637,907
Added36,529
96.36%
Aaron's Holdings Co Inc    (COMMON 42,81221,819
Added20,993
96.21%
F.N.B. Corporation    (COMMON STOCKFNB76,53939,415
Added37,124
94.18%
Tapestry Inc    (COMMON STOCK)67,19534,795
Added32,400
93.11%
PotlatchDeltic Corp    (COMMON STOCPCH32,64216,912
Added15,730
93.01%
New Jersey Res Corp    (COMMON STOCNJR46,51924,144
Added22,375
92.67%
Sherwin-Williams Company    (COMMONSHW6,8533,566
Added3,287
92.17%
Square Inc - A    (COMMON STOCK)25,36713,207
Added12,160
92.07%
SpartanNash Co    (COMMON STOCK)SPTN19,73510,294
Added9,441
91.71%
Bio-Rad Laboratories Incorporated   &nbsBIO5,4392,853
Added2,586
90.64%
Tompkins Financial Corp    (COMMON TMP10,3245,420
Added4,904
90.47%
National Oilwell Varco Inc    (COMMNOV209,581110,244
Added99,337
90.10%
Idexx Laboratories Corporation    (IDXX6,5663,463
Added3,103
89.60%
South Jersey Industries Incorporated   &SJI44,94423,982
Added20,962
87.40%
ManpowerGroup Inc    (COMMON STOCK)MAN19,11510,210
Added8,905
87.21%
LKQ Corp    (COMMON STOCK)LKQX100,62454,771
Added45,853
83.71%
Federated Hermes Inc - CL B    (COMFII102,03155,720
Added46,311
83.11%
Microsoft Corporation    (COMMON STMSFT52,29028,577
Added23,713
82.97%
Walt Disney Co/the    (COMMON STOCKDIS98,25954,098
Added44,161
81.63%
Kimberly-Clark Corporation    (COMMKMB56,37131,155
Added25,216
80.93%
RPM International Inc.    (COMMON SRPM12,1906,745
Added5,445
80.72%
Northrop Grumman Corp    (COMMON STNOC12,7857,116
Added5,669
79.66%
S & T Bancorp Incorporated    (COMMSTBA26,40014,706
Added11,694
79.51%
Etsy Inc    (COMMON STOCK)ETSY25,01114,004
Added11,007
78.59%
Wyndham Destinations Inc    (COMMONWYN70,96339,774
Added31,189
78.41%
Strategic Education Inc    (COMMON 16,5619,312
Added7,249
77.84%
Avista Corp.    (COMMON STOCK)AVA27,65815,625
Added12,033
77.01%
McDonald's Corp    (COMMON STOCK)MCD17,96410,185
Added7,779
76.37%
Trinity Industries Inc.    (COMMON TRN169,54797,008
Added72,539
74.77%
Gms Inc    (COMMON STOCK)9,2735,341
Added3,932
73.61%
SYSCO Corporation    (COMMON STOCK)SYY25,13414,485
Added10,649
73.51%
First Commonwealth Financial Corporation  &nbFCF65,08237,513
Added27,569
73.49%
Spirit Airlines Inc    (COMMON STOCSAVE91,16152,638
Added38,523
73.18%
Brookline Bancorp Inc    (COMMON STBRKL41,58924,057
Added17,532
72.87%
Weingarten Realty Investors    (COMWRI159,93593,065
Added66,870
71.85%
Genworth Financial Inc - CL A    (CGNW26,10415,304
Added10,800
70.56%
Northfield Bancorp Inc/nj    (COMMONFBK29,75417,543
Added12,211
69.60%
Southside Bancshares Inc    (COMMONSBSI18,57411,064
Added7,510
67.87%
Graphic Packaging Holding Co    (COGPK277,651165,448
Added112,203
67.81%
Datadog Inc - Class A    (COMMON ST39,72423,813
Added15,911
66.81%
Cerence Inc    (COMMON STOCK)16,97810,205
Added6,773
66.36%
Boyd Gaming Corporation    (COMMON BYD109,92166,296
Added43,625
65.80%
Jbg Smith Properties    (COMMON STO120,68373,012
Added47,671
65.29%
Marriott Vacations Worldwide Corporation  &nbVAC21,01812,748
Added8,270
64.87%
Herbalife Nutrition Ltd    (COMMON HLF66,37140,258
Added26,113
64.86%
Community Trust Bancorp Inc    (COMCTBI10,2546,288
Added3,966
63.07%
Uber Technologies Inc    (COMMON ST53,18932,913
Added20,276
61.60%
Pinterest Inc- Class A    (COMMON S53,22433,154
Added20,070
60.53%
Servicenow Inc    (COMMON STOCK)NOW15,1689,493
Added5,675
59.78%
Cornerstone Building Brands Inc    43,76627,405
Added16,361
59.70%
G1 Therapeutics Inc    (COMMON STOC26,73216,755
Added9,977
59.54%
Nu Skin Enterprises Inc. - A    (CONUS8,8805,567
Added3,313
59.51%
Qualcomm Incorporated    (COMMON STQCOM18,74311,756
Added6,987
59.43%
Lincoln National Corporation    (COLNC123,36677,606
Added45,760
58.96%
Armstrong World Industries    (COMMAWI8,1415,182
Added2,959
57.10%
Veritiv Corp    (COMMON STOCK)VRTV19,62412,513
Added7,111
56.82%
Amkor Technology Incorporated    (CAMKR41,22926,322
Added14,907
56.63%
Brightcove    (COMMON STOCK)BCOV22,42114,317
Added8,104
56.60%
D R Horton Incorporated    (COMMON DHI37,68024,255
Added13,425
55.34%
Luminex Corporation    (COMMON STOCLMNX15,0899,732
Added5,357
55.04%
Piedmont Office Realty Tru-a    (COPDM140,07190,413
Added49,658
54.92%
NuVasive Inc    (COMMON STOCK)NUVA42,07827,281
Added14,797
54.23%
Sleep Number Corp    (COMMON STOCK)24,41815,886
Added8,532
53.70%
Universal Health Realty Income Trust   &UHT12,6118,205
Added4,406
53.69%
Haverty Furniture Companies Incorporated  &nbHVT37,31224,312
Added13,000
53.47%
Smartsheet Inc-class A    (COMMON S40,76826,635
Added14,133
53.06%
Ambac Financial Group Inc    (COMMOAMBC90,94159,640
Added31,301
52.48%
Box Inc - Class A    (COMMON STOCK)BOX80,31953,140
Added27,179
51.14%
LCI Industries    (COMMON STOCK)30,20120,044
Added10,157
50.67%
Berry Global Group Inc    (COMMON SBERY11,9827,966
Added4,016
50.41%
Ultragenyx Pharmaceutical In    (CORARE15,98510,667
Added5,318
49.85%
Electronic Arts Incorporated    (COERTS10,0226,713
Added3,309
49.29%
Syneos Health Inc    (COMMON STOCK)35,60623,923
Added11,683
48.83%
Bally's Corp    (COMMON STOCK)52,16435,152
Added17,012
48.39%
Williams-Sonoma Inc    (COMMON STOCWSM33,58722,891
Added10,696
46.72%
Snowflake Inc-class A    (COMMON ST19,50013,367
Added6,133
45.88%
Hanmi Financial Corp    (COMMON STOHAFC41,34728,535
Added12,812
44.89%
Under Armour Inc    (COMMON STOCK)UA141,25397,538
Added43,715
44.81%
j2 Global Inc    (COMMON STOCK)JCOM69,07347,782
Added21,291
44.55%
II-Vi Inc    (COMMON STOCK)IIVI47,05932,756
Added14,303
43.66%
People's United Financial Inc(Bridgeport CT)  PBCT140,32797,989
Added42,338
43.20%
Piper Sandler Cos    (COMMON STOCK)PJC7,5395,298
Added2,241
42.29%
Intel Corporation    (COMMON STOCK)INTC7,5105,286
Added2,224
42.07%
Sun Communities Inc    (COMMON STOCSUI3,8062,700
Added1,106
40.96%
Farfetch Ltd-class A    (COMMON STO140,912100,000
Added40,912
40.91%
Vista Outdoor Inc    (COMMON STOCK)VSTO13,6749,704
Added3,970
40.91%
Diversified Healthcare Trust    (CO63,39645,000
Added18,396
40.88%
Livongo Health Inc    (COMMON STOCK24,26317,307
Added6,956
40.19%
Sangamo Therapeutics Inc    (COMMONSGMO94,66767,573
Added27,094
40.09%
Akamai Technologies    (COMMON STOCAKAM5,2913,778
Added1,513
40.04%
Aclaris Therapeutics Inc    (COMMON20,75014,955
Added5,795
38.74%
Select Medical Holdings Corp    (COSEM24,20617,488
Added6,718
38.41%
TJX Companies Inc.    (COMMON STOCKTJX118,16585,483
Added32,682
38.23%
First American Financial    (COMMONFAF58,33942,487
Added15,852
37.31%
Meredith Corp    (COMMON STOCK)MDP70,60052,118
Added18,482
35.46%
Navigator Holdings Ltd    (COMMON SNVGS28,68621,193
Added7,493
35.35%
Asana Inc - Cl A    (COMMON STOCK)50,00036,965
Added13,035
35.26%
Houlihan Lokey Inc    (COMMON STOCK10,3747,726
Added2,648
34.27%
Idex Corporation    (COMMON STOCK)IEX2,0701,544
Added526
34.06%
Coupa Software Inc    (COMMON STOCK11,8148,835
Added2,979
33.71%
Tootsie Roll Industries Incorporated   &TR58,01043,644
Added14,366
32.91%
VERINT SYS INC    (COMMON STOCK)VRNT30,99823,488
Added7,510
31.97%
Range Resources Corporation    (COMRRC212,136160,931
Added51,205
31.81%
Continental Resources Inc    (COMMOCLR127,06697,071
Added29,995
30.90%
Churchill Capital Corp Iii-a    (WA12,4999,551
Added2,948
30.86%
Ionis Pharmaceuticals Inc    (COMMO44,64434,200
Added10,444
30.53%
Microchip Technology Inc.    (COMMOMCHP18,03113,839
Added4,192
30.29%
Green Plains Inc    (COMMON STOCK)GPRE92,66571,141
Added21,524
30.25%
Arcos Dorados Holdings Inc-a    (COARCO67,60252,061
Added15,541
29.85%
Pfizer Incorporated    (COMMON STOCPFE86,20366,810
Added19,393
29.02%
Yum! Brands Inc    (COMMON STOCK)YUM42,14132,820
Added9,321
28.40%
Sumo Logic Inc    (COMMON STOCK)109,27685,474
Added23,802
27.84%
AMETEK Incorporated    (COMMON STOCAME9,0147,085
Added1,929
27.22%
Relay Therapeutics Inc    (COMMON S19,34715,291
Added4,056
26.52%
Essential Properties Realty    (COM27,13521,504
Added5,631
26.18%
Vanda Pharmaceuticals Inc    (COMMOVNDA32,77925,999
Added6,780
26.07%
Taubman Centers Inc.    (COMMON STOTCO469,360376,602
Added92,758
24.63%
Healthstream Inc    (COMMON STOCK)HSTM15,36112,341
Added3,020
24.47%
Crane Co.    (COMMON STOCK)CR26,65921,451
Added5,208
24.27%
Target Hospitality Corp    (COMMON 25,84220,797
Added5,045
24.25%
CVB Financial Corporation    (COMMOCVBF47,13437,960
Added9,174
24.16%
Sunnova Energy International    (CO87,05570,591
Added16,464
23.32%
Ethan Allen Interiors Incorporated   &nbETH65,78053,721
Added12,059
22.44%
Synaptics Inc    (COMMON STOCK)SYNA9,0027,382
Added1,620
21.94%
Union Pacific Corporation    (COMMOUNP5,5434,552
Added991
21.77%
Omeros Corp    (COMMON STOCK)OMER27,06122,355
Added4,706
21.05%
Site Centers Corp    (COMMON STOCK)79,81166,666
Added13,145
19.71%
Ncs Multistage Holdings Inc    (COM20,04416,754
Added3,290
19.63%
NV5 Global Inc    (COMMON STOCK)NVEE13,48311,305
Added2,178
19.26%
Huntington Ingalls Indust    (COMMOHII15,52213,078
Added2,444
18.68%
Facebook Inc-a    (COMMON STOCK)FB17,62714,975
Added2,652
17.70%
Avalara Inc    (COMMON STOCK)20,68217,602
Added3,080
17.49%
USANA Health Sciences Inc    (COMMOUSNA21,09418,010
Added3,084
17.12%
Zynga Inc    (COMMON STOCK)ZNGA145,206124,335
Added20,871
16.78%
NEE 6.219 9/1/2023    (COMMON STOCK200,000171,422
Added28,578
16.67%
Allegion Plc    (COMMON STOCK)ALLE39,25433,709
Added5,545
16.44%
XPO Logistics Inc    (COMMON STOCK)XPO24,69521,281
Added3,414
16.04%
Surmodics Inc    (COMMON STOCK)SRDX20,73517,874
Added2,861
16.00%
Inovio Pharmaceuticals Inc    (COMMINO20,30117,690
Added2,611
14.75%
Lululemon Athletica Inc    (COMMON LULU5,8805,125
Added755
14.73%
Paypal Holdings Inc    (COMMON STOCPYPL32,63328,481
Added4,152
14.57%
Dine Brands Global Inc    (COMMON SDIN19,07616,684
Added2,392
14.33%
Ultra Clean Holdings    (COMMON STOUCTT30,82927,089
Added3,740
13.80%
Advanced Energy Industries Incorporated  &nbsAEIS7,5056,641
Added864
13.01%
DiamondRock Hospitality Co    (COMMDRH282,376250,899
Added31,477
12.54%
Churchill Downs Incorporated    (COCHDN12,76011,390
Added1,370
12.02%
Enterprise Financial Services Corp   &nbEFSC9,1788,197
Added981
11.96%
Endurance International Grou    (COEIGI61,12854,703
Added6,425
11.74%
Fate Therapeutics Inc    (COMMON STFATE42,03537,710
Added4,325
11.46%
Hancock Whitney Corp    (COMMON STOHBHC38,26334,569
Added3,694
10.68%
Portland General Electric Co    (COPOR41,87438,009
Added3,865
10.16%
International Game Technology    (CIGT239,593217,539
Added22,054
10.13%
Slack Technologies Inc- Cl A    (CO113,784103,574
Added10,210
9.85%
Workday Inc-class A    (COMMON STOCWDAY10,9689,995
Added973
9.73%
EMCOR Group Incorporated    (COMMONEME21,60619,715
Added1,891
9.59%
Western Union Company    (COMMON STWU51,28446,885
Added4,399
9.38%
CACI International Incorporated-CL A   &CAI1,3641,255
Added109
8.68%
Genco Shipping & Trading Ltd    (COGNK11,26310,429
Added834
7.99%
Vanguard Short-Term Corporate Bond ETF   VCSH3,3593,119
Added240
7.69%
Equitable Holdings Inc    (COMMON S92,47586,413
Added6,062
7.01%
OGE Energy Corporation    (COMMON SOGE41,30238,748
Added2,554
6.59%
Nektar Therapeutics    (COMMON STOCNKTR100,97295,287
Added5,685
5.96%
Bed Bath & Beyond Incorporated    (BBBY212,315201,624
Added10,691
5.30%
Aaon Incorporated    (COMMON STOCK)AAON17,39016,577
Added813
4.90%
Macerich Stk    (COMMON STOCK)MAC112,933109,152
Added3,781
3.46%
H&E Equipment Services Inc    (COMMHEES17,79317,249
Added544
3.15%
Cooper-standard Holding    (COMMON COSH12,34912,004
Added345
2.87%
Kkr Real Estate Finance Trus    (CO26,43425,718
Added716
2.78%
Lam Research Corporation    (COMMONLRCX2,2872,246
Added41
1.82%
VF Corporation    (COMMON STOCK)VFC22,51022,223
Added287
1.29%
Coherent Incorporated    (COMMON STCOHR7,8207,768
Added52
0.66%
Dollar General Corp    (COMMON STOCDG16,22616,192
Added34
0.20%
RPT Realty    (COMMON STOCK)43,88743,909
Reduced22
0.05%
Willis Towers Watson PLC    (COMMONWLTW1,8071,811
Reduced4
0.22%
Westamerica Bancorporation    (COMMWABC18,05418,110
Reduced56
0.30%
Urban Edge Properties    (COMMON STUE45,24545,476
Reduced231
0.50%
Ovintiv Inc - A    (COMMON STOCK)17,05417,173
Reduced119
0.69%
Crescent Point Energy Corp    (COMMCSCTF224,258226,404
Reduced2,146
0.94%
Westport Fuel Systems Inc    (COMMOWPRT116,144117,298
Reduced1,154
0.98%
Alibaba Group Holding-sp Adr    (COBABA11,72911,868
Reduced139
1.17%
Jd.com Inc-adr    (COMMON STOCK)JD13,58313,759
Reduced176
1.27%
Lands' End Inc    (COMMON STOCK)LE45,78646,480
Reduced694
1.49%
Lindsay Corp    (COMMON STOCK)LNN16,44716,698
Reduced251
1.50%
Meritor Inc    (COMMON STOCK)MTOR31,90532,404
Reduced499
1.53%
Tucows Inc.    (COMMON STOCK)TCX8,4778,671
Reduced194
2.23%
Ceva Inc    (COMMON STOCK)CEVA8,2158,413
Reduced198
2.35%
Churchill Capital Corp Iii-a    (CO49,99651,311
Reduced1,315
2.56%
Phillips 66    (COMMON STOCK)PSX41,75843,343
Reduced1,585
3.65%
Gentex Corp    (COMMON STOCK)GNTX77,21580,516
Reduced3,301
4.09%
New Oriental Education & Technology - SP ADR  EDU6,7827,082
Reduced300
4.23%
Columbia Financial Inc    (COMMON S23,93425,000
Reduced1,066
4.26%
Herc Holdings Inc    (COMMON STOCK)HRI9,3869,819
Reduced433
4.40%
Amazon.Com Incorporated    (COMMON AMZN3,2173,382
Reduced165
4.87%
Ross Stores Incorporated    (COMMONROST28,62530,175
Reduced1,550
5.13%
Appfolio Inc - A    (COMMON STOCK)25,06926,513
Reduced1,444
5.44%
Teledyne Tech Inc.    (COMMON STOCKTDY8,2618,765
Reduced504
5.75%
Quaker Chemical Corporation    (COMKWR2,9903,176
Reduced186
5.85%
NIKE Inc    (COMMON STOCK)NKE29,56631,415
Reduced1,849
5.88%
Tal Education Group- Adr    (COMMONXRS9,57910,219
Reduced640
6.26%
Northwest Natural Holding Co    (CO29,65231,683
Reduced2,031
6.41%
Vipshop Holdings Ltd    (COMMON STOVIPS14,70615,722
Reduced1,016
6.46%
Atrion Corporation    (COMMON STOCKATRI341370
Reduced29
7.83%
CME Group Inc    (COMMON STOCK)CME60,58466,378
Reduced5,794
8.72%
Outfront Media Inc    (COMMON STOCKOUT36,06739,540
Reduced3,473
8.78%
Lendingclub Corp    (COMMON STOCK)16,84918,565
Reduced1,716
9.24%
Cantel Medical Corp    (COMMON STOCCMN35,20338,947
Reduced3,744
9.61%
Natus Medical Inc    (COMMON STOCK)BABY21,38623,675
Reduced2,289
9.66%
Ryman Hospitality Properties    (CORHP14,32115,924
Reduced1,603
10.06%
Sealed Air Corporation    (COMMON SSEE36,99241,332
Reduced4,340
10.50%
Take - Two Interactive Software    TTWO19,69422,028
Reduced2,334
10.59%
Five9 Inc    (COMMON STOCK)FIVN17,70419,804
Reduced2,100
10.60%
Highwoods Properties Inc    (COMMONHIW74,26883,151
Reduced8,883
10.68%
Cross Country Healthcare Inc.    (CCCRN14,95716,799
Reduced1,842
10.96%
Scotts Miracle-Gro Company    (COMMSMG24,98828,070
Reduced3,082
10.97%
American Eagle Outfitters    (COMMOAEO148,199167,648
Reduced19,449
11.60%
Chase Corp.    (COMMON STOCK)CCF2,2482,548
Reduced300
11.77%
Twilio Inc - A    (COMMON STOCK)22,59025,769
Reduced3,179
12.33%
Us Concrete Inc    (COMMON STOCK)USCR19,10521,835
Reduced2,730
12.50%
Covetrus Inc    (COMMON STOCK)23,86727,390
Reduced3,523
12.86%
Anthem Inc    (COMMON STOCK)ANTM12,69514,573
Reduced1,878
12.88%
Daktronics Inc    (COMMON STOCK)DAKT42,03348,291
Reduced6,258
12.95%
KeyCorp - NEW    (COMMON STOCK)KEY23,22826,762
Reduced3,534
13.20%
Bluebird Bio Inc    (COMMON STOCK)BLUE25,41729,293
Reduced3,876
13.23%
Insight Enterprises Incorporated    NSIT24,09627,864
Reduced3,768
13.52%
Inari Medical Inc    (COMMON STOCK)15,97318,516
Reduced2,543
13.73%
Snap Inc - A    (COMMON STOCK)91,242105,897
Reduced14,655
13.83%
Apellis Pharmaceuticals Inc    (COM19,94123,182
Reduced3,241
13.98%
Churchill Capital Corp Iv    (COMMO150,000174,803
Reduced24,803
14.18%
SPDR S&P 500 ETF Trust    (COMMON SSPY5,1716,028
Reduced857
14.21%
CubeSmart    (COMMON STOCK)CUBE10,46012,240
Reduced1,780
14.54%
MACOM Technology Solutions Holdings Inc  &nbsMTSI31,40237,204
Reduced5,802
15.59%
Kinder Morgan Inc    (COMMON STOCK)KMI40,87148,666
Reduced7,795
16.01%
Veeva Systems Inc-class A    (COMMOVEEV7,2538,638
Reduced1,385
16.03%
Hyster-Yale Materials Handling Inc   &nbHY13,21115,748
Reduced2,537
16.10%
Evergy Inc    (COMMON STOCK)9,87511,809
Reduced1,934
16.37%
Greensky Inc-class A    (COMMON STO17,88721,593
Reduced3,706
17.16%
Mongodb Inc    (COMMON STOCK)9,38611,331
Reduced1,945
17.16%
American Well Corp-class A    (COMM87,922106,198
Reduced18,276
17.20%
NVR Inc    (COMMON STOCK)NVR137166
Reduced29
17.46%
Primerica Inc    (COMMON STOCK)PRI12,65615,369
Reduced2,713
17.65%
Fiveprime Therapeutics Inc    (COMMFPRX20,03024,355
Reduced4,325
17.75%
B. Riley Financial Inc    (COMMON S347,999424,427
Reduced76,428
18.00%
Helmerich & Payne Incorporated    (HP64,06978,339
Reduced14,270
18.21%
Twitter Inc    (COMMON STOCK)TWTR34,26842,121
Reduced7,853
18.64%
Brighthouse Financial Inc    (COMMOBHF89,637111,101
Reduced21,464
19.31%
Spx Flow Inc    (COMMON STOCK)17,37921,688
Reduced4,309
19.86%
The St Joe Company    (COMMON STOCKJOE13,05516,315
Reduced3,260
19.98%
Akcea Therapeutics Inc    (COMMON S17,22821,541
Reduced4,313
20.02%
Olin Corp    (COMMON STOCK)OLN153,551193,044
Reduced39,493
20.45%
Splunk Inc    (COMMON STOCK)SPLK9,06211,410
Reduced2,348
20.57%
Sirius XM Holdings Inc    (COMMON SSIRI435,761549,431
Reduced113,670
20.68%
Lowe's Companies Incorporated    (CLOW22,86229,123
Reduced6,261
21.49%
Illinois Tool Works Incorporated    ITW13,12916,759
Reduced3,630
21.66%
Builders FirstSource Inc    (COMMONBLDR23,95130,599
Reduced6,648
21.72%
MicroStrategy Incorporated    (COMMMSTR4,0845,233
Reduced1,149
21.95%
Cornerstone Ondemand Inc    (COMMONCSOD50,60065,368
Reduced14,768
22.59%
Duck Creek Technologies Inc    (COM10,00012,931
Reduced2,931
22.66%
Cytomx Therapeutics Inc    (COMMON 98,941128,111
Reduced29,170
22.76%
Taiwan Semiconductor Co. Ltd. - ADR   &nTSM40,64252,785
Reduced12,143
23.00%
Sinclair Broadcast Group - A    (COSBGI45,84559,590
Reduced13,745
23.06%
Chindata Group Holdings-adr    (COM268,125349,606
Reduced81,481
23.30%
Calliditas Therapeutics Ab - ADR    24,42231,913
Reduced7,491
23.47%
Franklin Street Properties C    (COFSP61,11480,130
Reduced19,016
23.73%
ASM Lithography Holding N.V    (COMASML5,6687,442
Reduced1,774
23.83%
Restaurant Brands International Inc   &nQSR18,56124,387
Reduced5,826
23.88%
Gtt Communications Inc    (COMMON SGTT16,71722,058
Reduced5,341
24.21%
Dollar Tree Inc    (COMMON STOCK)DLTR14,69119,424
Reduced4,733
24.36%
Lennar Corporation    (COMMON STOCKLEN23,26431,160
Reduced7,896
25.34%
Fitbit Inc - A    (COMMON STOCK)FIT12,25816,421
Reduced4,163
25.35%
Harley Davidson Incorporated    (COHOG22,49130,151
Reduced7,660
25.40%
Pegasystems Inc.    (COMMON STOCK)PEGA6,8069,139
Reduced2,333
25.52%
Copart Incorporated    (COMMON STOCCPRT14,00118,869
Reduced4,868
25.79%
Grand Canyon Education Inc    (COMMLOPE13,25217,943
Reduced4,691
26.14%
Vertex Pharmaceuticals Inc.    (COMVRTX5,7037,787
Reduced2,084
26.76%
Tetra Tech Incorporated    (COMMON TTEK8,29911,346
Reduced3,047
26.85%
Primo Water Corp    (COMMON STOCK)21,15928,992
Reduced7,833
27.01%
Fidelity National Information Services   FIS5,2577,207
Reduced1,950
27.05%
Carriage Services Inc - CL A    (COCSV14,50319,942
Reduced5,439
27.27%
Chewy Inc - Class A    (COMMON STOC14,63620,196
Reduced5,560
27.53%
Exp World Holdings Inc    (COMMON S8,39511,587
Reduced3,192
27.54%
Spok Holdings Inc    (COMMON STOCK)SPOK13,42518,551
Reduced5,126
27.63%
Acushnet Holdings Corp    (COMMON S18,33625,409
Reduced7,073
27.83%
Hasbro Incorporated    (COMMON STOCHAS5,1397,129
Reduced1,990
27.91%
Myriad Genetics Inc.    (COMMON STOMYGN54,46776,264
Reduced21,797
28.58%
Mgm Growth Properties Llc-a    (COM110,012155,148
Reduced45,136
29.09%
Switch Inc - A    (COMMON STOCK)11,02815,560
Reduced4,532
29.12%
Lyft Inc-a    (COMMON STOCK)118,591167,499
Reduced48,908
29.19%
TRANSALTA CORP    (COMMON STOCK)TAC46,65066,006
Reduced19,356
29.32%
First Busey Corp    (COMMON STOCK)11,25515,962
Reduced4,707
29.48%
New Relic Inc    (COMMON STOCK)NEWR14,39120,585
Reduced6,194
30.08%
Fortinet Inc    (COMMON STOCK)FTNT16,02922,944
Reduced6,915
30.13%
Berkeley Lights Inc    (COMMON STOC5,9098,463
Reduced2,554
30.17%
Waste Management Inc.    (COMMON STWMI6,8259,801
Reduced2,976
30.36%
Home Depot Inc.    (COMMON STOCK)HD24,50035,391
Reduced10,891
30.77%
Bloomin' Brands Inc    (COMMON STOCBLMN57,51883,284
Reduced25,766
30.93%
Suncoke Energy Inc    (COMMON STOCKSXC117,232170,425
Reduced53,193
31.21%
Civeo Corp    (COMMON STOCK)76,158111,649
Reduced35,491
31.78%
Royal Gold Incorporated    (COMMON RGLD13,01019,157
Reduced6,147
32.08%
Pacific Gas & Elec Co    (COMMON STPCG2,941,8194,335,213
Reduced1,393,394
32.14%
Dover Corp    (COMMON STOCK)DOV18,73527,649
Reduced8,914
32.23%
Micron Technology Incorporated    (MU61,17990,373
Reduced29,194
32.30%
Mid-America Apartment Communities Inc.   MAA27,22040,217
Reduced12,997
32.31%
Magenta Therapeutics Inc    (COMMON29,47743,636
Reduced14,159
32.44%
Ladder Capital Corp-class A    (COMLADR20,30630,326
Reduced10,020
33.04%
Rush Enterprises Inc - CL A    (COMRUSHA8,16612,233
Reduced4,067
33.24%
Hanesbrands Inc    (COMMON STOCK)HBI89,434133,979
Reduced44,545
33.24%
Circuit City Stores Inc-CarMax Group   &KMX13,52220,645
Reduced7,123
34.50%
Solid Biosciences Inc    (COMMON ST19,51929,930
Reduced10,411
34.78%
Balchem Corp-CL B    (COMMON STOCK)BCPC5,0777,806
Reduced2,729
34.96%
New Gold Inc    (COMMON STOCK)NGD21,95833,837
Reduced11,879
35.10%
Netscout Systems Inc    (COMMON STONTCT24,88638,367
Reduced13,481
35.13%
Wynn Resorts Ltd    (COMMON STOCK)WYNN22,85735,581
Reduced12,724
35.76%
Spectrum Brands Holdings Inc    (CO23,15436,112
Reduced12,958
35.88%
Arch Resources Inc    (COMMON STOCK4,8737,623
Reduced2,750
36.07%
Sportsman's Warehouse Holdin    (COSPWH28,02744,031
Reduced16,004
36.34%
Renaissance Re Holdings Limited    RNR8,82813,881
Reduced5,053
36.40%
Gossamer Bio Inc    (COMMON STOCK)13,04620,571
Reduced7,525
36.58%
MBIA Incorporated    (COMMON STOCK)MBI109,775173,276
Reduced63,501
36.64%
I3 Verticals Inc-class A    (COMMON12,64720,081
Reduced7,434
37.02%
MGM Resorts International    (COMMOMGM88,538142,133
Reduced53,595
37.70%
Spirit Realty Capital Inc    (COMMO19,65131,714
Reduced12,063
38.03%
Brigham Minerals Inc-cl A    (COMMO30,82250,000
Reduced19,178
38.35%
Target Corporation    (COMMON STOCKTGT23,83038,724
Reduced14,894
38.46%
Eventbrite Inc-class A    (COMMON S17,93129,145
Reduced11,214
38.47%
Central Pacific Financial Corp    (CPF14,15823,123
Reduced8,965
38.77%
Spire Inc    (COMMON STOCK)39,35964,552
Reduced25,193
39.02%
CenturyLink Inc    (COMMON STOCK)CTL111,995184,163
Reduced72,168
39.18%
Benchmark Electronics Incorporated   &nbBHE28,79247,372
Reduced18,580
39.22%
Dick's Sporting Goods Inc    (COMMODKS29,01948,856
Reduced19,837
40.60%
Darden Restaurants Inc    (COMMON SDRI7,04911,868
Reduced4,819
40.60%
VALMONT INDS INC    (COMMON STOCK)VMI5,3699,162
Reduced3,793
41.39%
Hyatt Hotels Corp - Cl A    (COMMONH7,62913,066
Reduced5,437
41.61%
Sailpoint Technologies Holdi    (CO8,04713,898
Reduced5,851
42.09%
Maxar Technologies Inc    (COMMON S31,44254,338
Reduced22,896
42.13%
Allscripts Healthcare Solutions Inc   &nMDRX59,958104,351
Reduced44,393
42.54%
Rocket Cos Inc    (COMMON STOCK)13,10422,857
Reduced9,753
42.66%
Allogene Therapeutics Inc    (COMMO10,92319,086
Reduced8,163
42.76%
Rapid7 Inc    (COMMON STOCK)4,8098,434
Reduced3,625
42.98%
Sterling Bancorp/DE    (COMMON STOCSTL38,46467,665
Reduced29,201
43.15%
Zendesk Inc    (COMMON STOCK)ZEN24,78443,693
Reduced18,909
43.27%
Western Alliance Bancorp    (COMMONWAL9,84917,386
Reduced7,537
43.35%
Novanta Inc    (COMMON STOCK)4,3147,666
Reduced3,352
43.72%
Wells Fargo Company    (COMMON STOCWFC72,473128,832
Reduced56,359
43.74%
Varonis Systems Inc    (COMMON STOCVRNS4,9168,809
Reduced3,893
44.19%
Kindred Biosciences Inc    (COMMON KIN15,74828,284
Reduced12,536
44.32%
United Airlines Holdings Inc    (COUAL25,74046,233
Reduced20,493
44.32%
World Acceptance Corporation    (COWRLD3,6996,749
Reduced3,050
45.19%
Chemours Co/the    (COMMON STOCK)CC34,35964,226
Reduced29,867
46.50%
DuPont de Nemours Inc    (COMMON ST25,58548,200
Reduced22,615
46.91%
IAC/InterActiveCorp    (COMMON STOC18,53235,184
Reduced16,652
47.32%
Tenneco Inc-class A    (COMMON STOCTEN48,38591,970
Reduced43,585
47.39%
HCA Healthcare Inc    (COMMON STOCKHCA12,57523,946
Reduced11,371
47.48%
Cardinal Health Incorporated    (COCAH52,571100,168
Reduced47,597
47.51%
Inseego Corp    (COMMON STOCK)20,74739,698
Reduced18,951
47.73%
Parker-Hannifin Corporation    (COMPH12,18923,343
Reduced11,154
47.78%
AGCO Corporation    (COMMON STOCK)AG8,00915,395
Reduced7,386
47.97%
Ringcentral Inc-class A    (COMMON RNG7,12613,731
Reduced6,605
48.10%
Constellation Brands Inc - A    (COSTZ4,6869,043
Reduced4,357
48.18%
Chemed Corp    (COMMON STOCK)CHE2,0954,043
Reduced1,948
48.18%
Corsair Gaming Inc    (COMMON STOCK28,10954,475
Reduced26,366
48.40%
Gartner Group Inc    (COMMON STOCK)IT9,13817,792
Reduced8,654
48.63%
Papa John's International Incorporated   PZZA15,99031,483
Reduced15,493
49.21%
Mueller Water Products    (COMMON SMWA28,06455,296
Reduced27,232
49.24%
Winnebago Industries Inc.    (COMMOWGO4,3488,596
Reduced4,248
49.41%
Qts Realty Trust Inc-cl A    (COMMOQTS32,91265,944
Reduced33,032
50.09%
Kansas City Southern    (COMMON STOKSU11,48723,141
Reduced11,654
50.36%
Kennametal Incorporated    (COMMON KMT14,11928,515
Reduced14,396
50.48%
The Brinks Company    (COMMON STOCKBCO7,76515,756
Reduced7,991
50.71%
Schrodinger Inc    (COMMON STOCK)24,17849,301
Reduced25,123
50.95%
Steelcase Incorporated - CL A    (CSCS13,77328,124
Reduced14,351
51.02%
Kronos Worldwide Inc    (COMMON STOKRO18,29537,413
Reduced19,118
51.09%
Chuy's Holdings Inc    (COMMON STOCCHUY15,99632,875
Reduced16,879
51.34%
Federal Realty Investors Trust    (FRT14,31029,555
Reduced15,245
51.58%
Roku Inc    (COMMON STOCK)19,11939,765
Reduced20,646
51.92%
Farmer Brothers Company    (COMMON FARM11,87524,734
Reduced12,859
51.98%
Bill.com Holdings Inc    (COMMON ST35,67574,818
Reduced39,143
52.31%
Plymouth Industrial Reit Inc    (CO35,00074,004
Reduced39,004
52.70%
Group 1 Automotive Incorporated    GPI3,3287,038
Reduced3,710
52.71%
Gores Metropoulos Inc-cl A    (WARR66,666141,844
Reduced75,178
53.00%
Cargurus Inc    (COMMON STOCK)29,36362,710
Reduced33,347
53.17%
Glu Mobile Inc    (COMMON STOCK)GLUU33,01970,935
Reduced37,916
53.45%
Broadstone Net Lease Inc-a    (COMM27,22958,523
Reduced31,294
53.47%
Concho Resources Inc    (COMMON STOCXO31,68168,564
Reduced36,883
53.79%
Four Corners Property Trust    (COM11,31424,615
Reduced13,301
54.03%
Deutsche Bank AG Ord    (COMMON STODB17,42437,977
Reduced20,553
54.11%
Sturm Ruger & Company Incorporated   &nbRGR8,65918,927
Reduced10,268
54.25%
Salesforce.com    (COMMON STOCK)CRM4,76810,445
Reduced5,677
54.35%
Blackstone Mortgage Trust Inc - Class A  &nbsBXMT174,073381,961
Reduced207,888
54.42%
Tenable Holdings Inc    (COMMON STO10,80023,794
Reduced12,994
54.61%
Invacare Corporation    (COMMON STOIVC16,44136,389
Reduced19,948
54.81%
Arlo Technologies Inc    (COMMON ST12,06126,704
Reduced14,643
54.83%
Virnetx Holding Corp    (COMMON STOVHC13,34929,656
Reduced16,307
54.98%
Acutus Medical Inc    (COMMON STOCK8,22018,264
Reduced10,044
54.99%
Stepstone Group Inc    (COMMON STOC33,06173,522
Reduced40,461
55.03%
Simmons First National Corporation -CL A  &nbSFNC16,32336,817
Reduced20,494
55.66%
Yelp Inc    (COMMON STOCK)YELP42,93796,877
Reduced53,940
55.67%
Sunpower Corp - Class A    (COMMON SPWR47,179106,533
Reduced59,354
55.71%
Nxp Semiconductors Nv    (COMMON STNXPI8,09718,327
Reduced10,230
55.81%
Inphi Corp    (COMMON STOCK)IPHI20,84247,237
Reduced26,395
55.87%
Jacobs Engineering Group Incorporated   JEC13,77031,702
Reduced17,932
56.56%
Helen of Troy Limited    (COMMON STHELE3,7718,759
Reduced4,988
56.94%
Weis Markets Incorporated    (COMMOWMK7,39917,200
Reduced9,801
56.98%
Goodyear Tire and Rubber Company    GT46,005106,969
Reduced60,964
56.99%
Johnson & Johnson    (COMMON STOCK)JNJ10,70524,934
Reduced14,229
57.06%
ITT INC    (COMMON STOCK)48,538113,060
Reduced64,522
57.06%
Revolve Group Inc - Class A    (COM351,727821,509
Reduced469,782
57.18%
Groupon Inc    (COMMON STOCK)11,24626,452
Reduced15,206
57.48%
Tpi Composites Inc    (COMMON STOCK9,71322,990
Reduced13,277
57.75%
Cryoport Inc    (COMMON STOCK)5,15712,311
Reduced7,154
58.11%
Radian Group Inc.    (COMMON STOCK)RDN37,59490,337
Reduced52,743
58.38%
MKS Instruments Inc    (COMMON STOCMKSI4,72211,474
Reduced6,752
58.84%
American Airlines Group Inc    (COMAAL66,136160,764
Reduced94,628
58.86%
Equity Residential    (COMMON STOCKEQR48,061117,430
Reduced69,369
59.07%
Fastly Inc - Class A    (COMMON STO8,39520,725
Reduced12,330
59.49%
Iaa Inc    (COMMON STOCK)25,79563,768
Reduced37,973
59.54%
Granite Construction Incorporated   &nbsGVA11,51428,722
Reduced17,208
59.91%
Impinj Inc    (COMMON STOCK)7,65719,204
Reduced11,547
60.12%
Donnelley Financial Solu    (COMMON29,43974,046
Reduced44,607
60.24%
Texas Instruments Incorporated    (TXN1,5683,989
Reduced2,421
60.69%
Fortune Brands Home & Security Inc.   &nFBHS8,22721,325
Reduced13,098
61.42%
Thermon Group Holdings Inc    (COMMTHR11,08028,806
Reduced17,726
61.53%
CMC Materials Inc    (COMMON STOCK)5,63614,661
Reduced9,025
61.55%
Catalent Inc    (COMMON STOCK)CTLT12,33332,421
Reduced20,088
61.95%
Glycomimetics Inc    (COMMON STOCK)GLYC16,53543,718
Reduced27,183
62.17%
Wayfair Inc- Class A    (COMMON STOW1,4903,973
Reduced2,483
62.49%
Arch Capital Group Ltd.    (COMMON ACGL33,89890,778
Reduced56,880
62.65%
Edwards Lifesciences Corp.    (COMMEW7,70920,662
Reduced12,953
62.68%
PDL BioPharma Inc    (COMMON STOCK)PDLI19,83053,301
Reduced33,471
62.79%
Bancorpsouth Bank    (COMMON STOCK)24,04765,524
Reduced41,477
63.30%
Acuity Brands Inc    (COMMON STOCK)AYI10,31928,435
Reduced18,116
63.71%
Louisiana-Pacific Corporation    (CLPX45,923126,893
Reduced80,970
63.80%
Bloom Energy Corp- A    (COMMON STO20,03455,557
Reduced35,523
63.93%
Sunrun Inc    (COMMON STOCK)7,24920,312
Reduced13,063
64.31%
RPC Incorporated    (COMMON STOCK)RES34,43697,589
Reduced63,153
64.71%
DENTSPLY SIRONA Inc    (COMMON STOC23,43166,769
Reduced43,338
64.90%
Reliance Steel & Aluminum Company   &nbsRS8,52524,365
Reduced15,840
65.01%
Nvidia Corporation    (COMMON STOCKNVDA4,80713,976
Reduced9,169
65.60%
Bilibili Inc-adr    (COMMON STOCK)22,22264,769
Reduced42,547
65.69%
Silk Road Medical Inc    (COMMON ST4,05611,885
Reduced7,829
65.87%
Urban Outfitters Inc.    (COMMON STURBN66,700198,456
Reduced131,756
66.39%
Costar Group Inc    (COMMON STOCK)CSGP6481,980
Reduced1,332
67.27%
Global Payments Inc.    (COMMON STOGPN9,01428,104
Reduced19,090
67.92%
Bandwidth Inc-class A    (COMMON ST1,2624,063
Reduced2,801
68.93%
Helios Technologies Inc    (COMMON 12,90142,469
Reduced29,568
69.62%
Dime Community Bancshares    (COMMODCOM13,75745,434
Reduced31,677
69.72%
Duke Energy Corporation    (COMMON DUK6,03620,021
Reduced13,985
69.85%
Copa Holdings SA - Class A    (COMMCPA7,20424,200
Reduced16,996
70.23%
Cirrus Logic Incorporated    (COMMOCRUS15,15350,989
Reduced35,836
70.28%
Retail Value Inc    (COMMON STOCK)10,42835,189
Reduced24,761
70.36%
Globus Medical Inc - A US    (COMMOGMED8,41428,705
Reduced20,291
70.68%
Avnet Incorporated    (COMMON STOCKAVT16,93858,176
Reduced41,238
70.88%
Mastercard Inc    (COMMON STOCK)MA1,8006,210
Reduced4,410
71.01%
NiSource Inc    (COMMON STOCK)NI13,25246,051
Reduced32,799
71.22%
Assetmark Financial Holdings    (CO9,51833,180
Reduced23,662
71.31%
Essential Utilities Inc    (COMMON 42,089147,660
Reduced105,571
71.49%
Bentley Systems Inc-class B    (COM16,24257,238
Reduced40,996
71.62%
Natera Inc    (COMMON STOCK)21,78677,986
Reduced56,200
72.06%
Equinix Inc    (COMMON STOCK)EQIX2,0427,564
Reduced5,522
73.00%
Penn National Gaming Inc    (COMMONPENN17,92966,471
Reduced48,542
73.02%
KLA Corp    (COMMON STOCK)KLAC3,72613,843
Reduced10,117
73.08%
Conmed Corporation    (COMMON STOCKCNMD4,51116,862
Reduced12,351
73.24%
Solaredge Technologies Inc    (COMM2,91311,071
Reduced8,158
73.68%
Shopify Inc - A    (COMMON STOCK)5,24420,082
Reduced14,838
73.88%
American Homes 4 Rent- A    (COMMONAMH9,13235,143
Reduced26,011
74.01%
Hercules Capital Inc    (COMMON STOHTGC27,304106,596
Reduced79,292
74.38%
Headhunter Group Plc    (COMMON STO10,05639,320
Reduced29,264
74.42%
Invitation Homes Inc    (COMMON STO9,05635,652
Reduced26,596
74.59%
Hilton Worldwide Holdings In    (CO15,10759,698
Reduced44,591
74.69%
Integer Holdings Corp    (COMMON ST27,435109,934
Reduced82,499
75.04%
Hennessy Capital Acquisiti    (COMM10,06140,796
Reduced30,735
75.33%
Expedia Group Inc    (COMMON STOCK)EXPE4,64718,882
Reduced14,235
75.38%
Halliburton Company    (COMMON STOCHAL19,10278,569
Reduced59,467
75.68%
Medpace Holdings Inc    (COMMON STOMEDP4,81419,896
Reduced15,082
75.80%
Air Transport Services Group Inc    ATSG8,45935,496
Reduced27,037
76.16%
Qorvo Inc    (COMMON STOCK)QRVO9,73541,023
Reduced31,288
76.26%
Glacier Bancorp Inc    (COMMON STOCGBCI12,23151,767
Reduced39,536
76.37%
Petroleo Brasileiro S.A - ADR    (CPBR.A15,54867,600
Reduced52,052
77.00%
Devon Energy Corp. NEW    (COMMON SDVN59,703265,017
Reduced205,314
77.47%
TIFFANY & CO NEW    (COMMON STOCK)TIF7,26632,612
Reduced25,346
77.71%
CF Industries Holdings Inc    (COMMCF9,76344,282
Reduced34,519
77.95%
SYNNEX CORP    (COMMON STOCK)SNX6,25328,719
Reduced22,466
78.22%
Fulton Finl Corp PA    (COMMON STOCFULT26,633123,412
Reduced96,779
78.41%
Colfax Corp    (COMMON STOCK)CFX29,057136,592
Reduced107,535
78.72%
Merck & Co. Incorporated    (COMMONMRK11,97357,300
Reduced45,327
79.10%
Rubius Therapeutics Inc    (COMMON 47,772232,549
Reduced184,777
79.45%
Alteryx Llc - A    (COMMON STOCK)13,65366,529
Reduced52,876
79.47%
Moderna Inc    (COMMON STOCK)8,23840,336
Reduced32,098
79.57%
Surgery Partners Inc    (COMMON STO16,15879,894
Reduced63,736
79.77%
At Home Group Inc    (COMMON STOCK)85,729425,000
Reduced339,271
79.82%
Moog Inc. -CL A    (COMMON STOCK)MOG/A3,73218,822
Reduced15,090
80.17%
Ascendis Pharma A/s - Adr    (COMMO4,70023,848
Reduced19,148
80.29%
Retrophin Inc    (COMMON STOCK)RTRX13,13868,620
Reduced55,482
80.85%
SS&C Technologies Holdings    (COMMSSNC7,82542,882
Reduced35,057
81.75%
Crowdstrike Holdings Inc - A    (CO11,29562,905
Reduced51,610
82.04%
Arcosa Inc    (COMMON STOCK)7,04039,564
Reduced32,524
82.20%
Eaton Vance Corporation    (COMMON EV7,09240,374
Reduced33,282
82.43%
Lockheed Martin Corp    (COMMON STOLMT1,0756,122
Reduced5,047
82.44%
Kroger Company    (COMMON STOCK)KR21,120122,024
Reduced100,904
82.69%
Progress Software Corporation    (CPRGS9,04752,617
Reduced43,570
82.80%
Proofpoint Inc    (COMMON STOCK)PFPT2,82116,429
Reduced13,608
82.82%
FirstCash Inc    (COMMON STOCK)7,95147,495
Reduced39,544
83.25%
Ashland Global Holdings Inc    (COM43,000257,912
Reduced214,912
83.32%
Teradata Corp    (COMMON STOCK)TDC10,49663,192
Reduced52,696
83.39%
Douyu International Hold-adr    (CO24,159147,367
Reduced123,208
83.60%
Odp Corp/the    (COMMON STOCK)37,838235,713
Reduced197,875
83.94%
Deluxe Corporation    (COMMON STOCKDLX8,70054,300
Reduced45,600
83.97%
Liveramp Holdings Inc    (COMMON ST5,25835,289
Reduced30,031
85.10%
Caesars Entertainment Inc    (COMMO5,05334,750
Reduced29,697
85.45%
Nevro Corp    (COMMON STOCK)NVRO1,49110,313
Reduced8,822
85.54%
Aerojet Rocketdyne Holdings Inc    29,499207,300
Reduced177,801
85.76%
Thor Industries Inc.    (COMMON STOTHO9,00263,388
Reduced54,386
85.79%
Harmony Biosciences Holdings    (CO6,23644,165
Reduced37,929
85.88%
Tactile Systems Technology I    (CO20,846150,000
Reduced129,154
86.10%
Barings Bdc Inc    (COMMON STOCK)11,34582,989
Reduced71,644
86.32%
Royal Caribbean Cruises Limited    RCL3,53426,963
Reduced23,429
86.89%
SM Energy Co    (COMMON STOCK)SM16,489127,659
Reduced111,170
87.08%
Okta Inc    (COMMON STOCK)19,652153,494
Reduced133,842
87.19%
Pactiv Evergreen Inc    (COMMON STO37,703308,789
Reduced271,086
87.79%
Ubiquiti Inc    (COMMON STOCK)5,58645,909
Reduced40,323
87.83%
Automatic Data Processing Incorporated   ADP2,93124,804
Reduced21,873
88.18%
Ebay Incorporated    (COMMON STOCK)EBAY6,47854,879
Reduced48,401
88.19%
Fuelcell Energy Inc.    (COMMON STO21,687184,000
Reduced162,313
88.21%
Nio Inc - Adr    (COMMON STOCK)12,223106,040
Reduced93,817
88.47%
Globant Sa    (COMMON STOCK)GLOB4,59241,302
Reduced36,710
88.88%
International Flavors and Fragrances   &IFF2,00418,440
Reduced16,436
89.13%
Granite Point Mortgage Trust    (CO23,371216,224
Reduced192,853
89.19%
Verisk Analytics Inc-class A    (COVRSK1,36312,758
Reduced11,395
89.31%
Tempur Sealy International Inc    (TPX3,29032,130
Reduced28,840
89.76%
Realpage Inc    (COMMON STOCK)RP5,28851,733
Reduced46,445
89.77%
Floor & Decor Holdings Inc-a    (CO20,216200,000
Reduced179,784
89.89%
Phreesia Inc    (COMMON STOCK)25,368253,942
Reduced228,574
90.01%
SBA Communications Corp    (COMMON 7928,512
Reduced7,720
90.69%
Outset Medical Inc    (COMMON STOCK4,83454,038
Reduced49,204
91.05%
Essex Property Trust    (COMMON STOESS3,01634,397
Reduced31,381
91.23%
Colliers International Group Inc - VTG   5,56770,421
Reduced64,854
92.09%
Autohome Inc-adr    (COMMON STOCK)ATHM10,275131,917
Reduced121,642
92.21%
Leidos Holdings Inc USD    (COMMON LDOS2,28329,926
Reduced27,643
92.37%
Taysha Gene Therapies Inc    (COMMO9,725132,277
Reduced122,552
92.64%
Rexnord Corp    (COMMON STOCK)22,745334,804
Reduced312,059
93.20%
Dyne Therapeutics Inc    (COMMON ST13,474200,000
Reduced186,526
93.26%
Cdw Corp/de    (COMMON STOCK)CDW2,10231,673
Reduced29,571
93.36%
NetFlix Inc.    (COMMON STOCK)NFLX1,29820,122
Reduced18,824
93.54%
Everi Holdings Inc    (COMMON STOCK34,039535,052
Reduced501,013
93.63%
Crown Castle Intl Corp    (COMMON SCCI1,44423,782
Reduced22,338
93.92%
Tpg Re Finance Trust Inc    (COMMON11,435200,000
Reduced188,565
94.28%
Lexicon Pharmaceuticals Inc    (COM18,034333,731
Reduced315,697
94.59%
Jamf Holding Corp    (COMMON STOCK)15,854295,726
Reduced279,872
94.63%
Domo Inc - Class B    (COMMON STOCK12,059257,764
Reduced245,705
95.32%
Boston Properties Incorporated    (BXP3,37973,878
Reduced70,499
95.42%
Sciplay Corp    (COMMON STOCK)14,818356,861
Reduced342,043
95.84%
Adtalem Global Education Inc    (CO10,855269,446
Reduced258,591
95.97%
Booking Holdings Inc    (COMMON STO1,31842,398
Reduced41,080
96.89%
Fox Corp - Class A    (COMMON STOCK22,614827,870
Reduced805,256
97.26%
Accolade Inc    (COMMON STOCK)34,6451,452,407
Reduced1,417,762
97.61%
Lemonade Inc    (COMMON STOCK)21,307900,000
Reduced878,693
97.63%
Shyft Group Inc/The    (COMMON STOC12,181647,001
Reduced634,820
98.11%
Hubbell Incorporated    (COMMON STO7,297391,005
Reduced383,708
98.13%
BMC Stock Holdings Inc    (COMMON S11,4153,164,172
Reduced3,152,757
99.63%
Invesco QQQ Trust Series 1    (COMM765311,165
Reduced310,400
99.75%
Repare Therapeutics Inc    (COMMON 23,60714,874,713
Reduced14,851,106
99.84%
Agenus Inc    (COMMON STOCK)AGEN015,134
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Affiliated Managers Group Incorporated   AMG013,105
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Capital One Financial Corporation   &nbsCOF063,240
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Air Lease Corp    (COMMON STOCK)AL08,924
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Verizon Communications    (COMMON SVZ053,659
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Adma Biologics Inc    (COMMON STOCKADMA020,042
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Aerie Pharmaceuticals Inc    (COMMOAERI014,977
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Air Products and Chemicals Incorporated  &nbsAPD06,266
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Carnival Corporation    (COMMON STOCCL0136,368
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Amc Entertainment Hlds-cl A    (COMAMC054,892
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United Therapeutics Corp.    (COMMOUTHR05,672
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Universal Insurance Holdings    (COUVE025,550
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Universal Health Services (CLASS B)   &nUHS024,893
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Aaron's Inc    (COMMON STOCK)RNT/A018,863
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ANI Pharmaceuticals Inc    (COMMON ANIP06,726
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DHT Holdings Inc    (COMMON STOCK)DHT032,987
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United States Steel Corp    (COMMONX02,070,112
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Chegg Inc    (COMMON STOCK)CHGG011,436
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United Rental Incorporated    (COMMURI05,633
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United States Cellular Corporation   &nbUSM09,191
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Flex Ltd    (COMMON STOCK)FLEX042,004
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Amc Networks Inc - A    (COMMON STOAMCX057,078
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Chatham Lodging Trust    (COMMON STCLDT019,845
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AMAG Pharmaceuticals Inc    (COMMONAMAG021,821
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AG Mortgage Investment Trust    (COMITT041,239
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AMEX Maket Vectors Gold Miners Index Fund  &nGDX0240,000
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RADWARE Ltd.    (COMMON STOCK)RDWR031,566
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Cyber-ark Software Ltd/israe    (COCYBR06,240
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Check Point Software Tech Ltd    (CCHKP050,252
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Audiocodes LTD    (COMMON STOCK)AUDC016,216
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Cardiovascular Systems Inc    (COMMCSII0109,026
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Acadia Pharmaceuticals Inc    (COMMACAD04,264
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Carter's Inc    (COMMON STOCK)CRI024,030
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Aercap Holdings NV    (COMMON STOCKAER032,177
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Abbott Laboratories    (COMMON STOCABT030,325
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Centerpoint Energy Inc.    (COMMON CNP011,571
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Celanese Corp    (COMMON STOCK)CE05,356
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Abercrombie & Fitch Company- Cl A   &nbsANF013,216
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Verisign Inc.    (COMMON STOCK)VRSN08,654
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American States Water Company    (CAWR09,768
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Astronics Corp    (COMMON STOCK)ATRO020,687
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WesBanco Inc    (COMMON STOCK)WSBC010,711
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Assured Guaranty Ltd    (COMMON STOAGO021,377
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Ambarella Inc    (COMMON STOCK)AMBA036,985
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Autonation Incorporated    (COMMON AN036,343
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Avalonbay Communities Inc.    (COMMAVB039,865
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Blackberry Ltd    (COMMON STOCK)BBRY019,660
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Wendy's Co/The    (COMMON STOCK)WEN035,533
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Associated Banc-Corp    (COMMON STOASBC015,228
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Artisan Partners Asset Management Inc   APAM015,832
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Arrow Electronics Incorporated    (ARW018,957
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Washington Trust Bancorp Incorporated   WASH07,800
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Bright Horizons Family Solutions Inc   &BFAM08,895
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Waters Corporation    (COMMON STOCKWAT012,567
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Axis Capital Holdings    (COMMON STAXS07,326
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Watts Water Technologies Inc    (COWTS019,188
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Westlake Chemical Corp    (COMMON SWLK04,021
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Biogen Inc    (COMMON STOCK)BIIB04,820
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Zebra Technologies Corporation    (ZBRA06,974
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Beazer Homes USA Inc.    (COMMON STBZH011,747
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World Wrestling Entertainment    (CWWE018,773
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Badger Meter Incorporated    (COMMOBMI022,043
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Bank of Hawaii Corp.    (COMMON STOBOH011,565
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Xylem Inc    (COMMON STOCK)XYL017,612
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Bank of America Corporation    (COMBAC089,822
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Zimmer Biomet Holdings Inc    (COMMZMH028,542
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Zions Bancorporation    (COMMON STOZION06,505
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Big 5 Sporting Goods Corp    (COMMOBGFV027,258
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Avery Dennison Corporation    (COMMAVY06,241
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Whitestone Reit-b    (COMMON STOCK)WSR015,808
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Berkshire Hills Bancorp Inc    (COMBHLB030,565
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Avis Budget Group Inc    (COMMON STCAR063,577
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BP Plc - ADR    (COMMON STOCK)BP016,606
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BGC Partners Inc    (COMMON STOCK)BGCP084,781
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Washington Real Estate Investment Trust  &nbsWRE010,371
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Endo International Plc    (COMMON SENDP037,206
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Norwegian Cruise Line Holdings Ltd   &nbNCLH057,515
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American Assets Trust Inc    (COMMOAAT041,379
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Amarin Corporation PLC- ADR    (COMAMRN037,766
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American Financial Group Inc.    (CAFG022,828
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CTS Corporation    (COMMON STOCK)CTS011,076
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American International Group Inc.   &nbsAIG031,979
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Nielsen Holdings Plc    (COMMON STONLSN033,405
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Cable One Inc    (COMMON STOCK)CABO0527
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Cabot Microelectronics Corp    (COMCCMP04,759
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Allstate Corporation    (COMMON STOALL015,194
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Allegiant Travel Co    (COMMON STOCALGT03,556
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Campbell Soup Company    (COMMON STCPB025,225
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Signet Jewelers Limited    (COMMON SIG033,845
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Ally Financial Inc    (COMMON STOCKALLY049,410
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Caesars Entertainment Corp.    (COMCZR011,091
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Seagate Technology    (COMMON STOCKSTX018,187
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CIT Group Inc.    (COMMON STOCK)CIT019,888
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American Public Education    (COMMOAPEI07,147
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Brookdale Senior Living Inc.    (COBKD052,260
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WP Carey Inc    (COMMON STOCK)WPC05,000
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Fresh Del Monte Produce Incorporated   &FDP010,125
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Fabrinet    (COMMON STOCK)FN013,426
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Brixmor Property Group Inc    (COMMBRX0194,066
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Brinker International Incorporated   &nbEAT019,480
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Essent Group Ltd    (COMMON STOCK)ESNT015,466
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Arista Networks Inc    (COMMON STOCANET06,360
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Aramark    (COMMON STOCK)ARMK092,022
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Brown Forman Corporation    (COMMONBF/B010,441
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Jazz Pharmaceuticals Plc    (COMMONJAZZ02,654
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Liberty Global Plc - A    (COMMON SLBTYA018,474
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Brown Forman Corporation Class A    BF.A07,042
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Brown & Brown Inc.    (COMMON STOCKBRO021,550
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ANSYS Incorporated    (COMMON STOCKANSS01,092
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Amgen Incorporated    (COMMON STOCKAMGN07,423
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Alamo Group Incorporated    (COMMONALG02,994
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Empire State Realty Trust In    (COESRT030,100
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IPG Photonics Corp    (COMMON STOCKIPGP03,033
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PS Business Parks Inc./CA    (COMMOPSB015,542
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PNC Financial Services Group    (COPNC013,687
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ING Groep N.V.- SPON ADR    (COMMONING020,413
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Insperity Inc    (COMMON STOCK)NSP09,689
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Pacific Ethanol Inc    (COMMON STOCPEIX012,450
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Pacific Premier Bancorp Inc    (COMPPBI058,692
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Humana Inc.    (COMMON STOCK)HUM01,567
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Patterson-UTI Energy Inc.    (COMMOPTEN063,255
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Park National Corp.    (COMMON STOCPRK04,074
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Huntington Bancshares Incorporated   &nbHBAN0258,613
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Packaging Corp Of America    (COMMOPKG02,959
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Ormat Technologies Inc    (COMMON SORA011,186
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Insulet Corp    (COMMON STOCK)PODD05,142
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Intersect Ent Inc    (COMMON STOCK)XENT010,289
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IBM Corporation (Intl Business Machines)  &nbIBM013,377
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Intuit Incorporated    (COMMON STOCINTU01,519
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Ocwen Financial Corp.    (COMMON STOCN029,326
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IROBOT Corp    (COMMON STOCK)IRBT08,705
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Omega Healthcare Invs Inc    (COMMOOHI041,053
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Interactive Brokers Gro-cl A    (COIBKR067,888
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Integra LifeSciences Holdings    (CIART022,513
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OneMain Holdings Inc    (COMMON STOOMF016,436
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ONEOK Inc.    (COMMON STOCK)OKE022,485
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One Gas Inc    (COMMON STOCK)OGS013,493
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Honeywell International Inc.    (COHON011,698
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Pebblebrook Hotel Trust    (COMMON PEB017,303
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Principal Financial Group    (COMMOPFG015,970
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Procter & Gamble Company    (COMMONPG027,555
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Greenhill & Co Inc    (COMMON STOCKGHL022,079
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Grifols Sa-adr    (COMMON STOCK)GRFS014,700
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Popular Incorporated    (COMMON STOBPOP017,629
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Graham Holdings Co(CL B)    (COMMONGHC02,515
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Graco Incorporated    (COMMON STOCKGGG06,317
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Rlj Lodging Trust    (COMMON STOCK)RLJ0133,598
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Godaddy Inc - Class A    (COMMON STGDDY044,751
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Golden Entertainment Inc    (COMMONGDEN036,487
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Pulte Group Inc    (COMMON STOCK)PHM064,793
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Polaris Inc    (COMMON STOCK)PII02,726
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Plug Power Inc    (COMMON STOCK)PLUG040,954
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PetMed Express Inc    (COMMON STOCKPETS043,744
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Petroleo Brasileiro S.A. - ADR    (PBR021,200
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Heron Therapeutics Inc    (COMMON SHRTX084,039
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Penske Auto Group    (COMMON STOCK)PAG046,623
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Hershey Co/The    (COMMON STOCK)HSY015,483
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Philip Morris International    (COMPM014,316
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Healthcare Realty Trust Inc.    (COHR065,425
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HCI Group Inc    (COMMON STOCK)HCI05,212
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Hain Celestial Group Inc    (COMMONHAIN036,365
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Planet Fitness Inc - Cl A    (COMMOPLNT025,646
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Hawaiian Electric Industries Inc.   &nbsHE015,366
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Ironwood Pharmaceuticals Inc    (COIRWD0148,488
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iShares MSCI Mexico ETF    (COMMON EWW0101,568
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Moelis & Co    (COMMON STOCK)MC07,787
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Molson Coors Beverage Co - Class B   &nbTAP08,981
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MDC Partners Inc - A    (COMMON STOMDCA019,649
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MGIC Investment Corp    (COMMON STOMTG0126,688
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Miller (Herman) Inc.    (COMMON STOMLHR025,232
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Mondelez International Inc    (COMMMDLZ044,468
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Logmein Inc    (COMMON STOCK)LOGM055,769
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NCR Corporation    (COMMON STOCK)NCR011,764
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Libbey Incorporated    (COMMON STOCLBY010,623
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Liberty Media Corp-Liberty Formula One-c  &nbLMCK07,522
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Motorcar Parts Of America Inc    (CMPAA021,340
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Mrc Global Inc    (COMMON STOCK)MRC0102,285
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MetLife Inc.    (COMMON STOCK)MET07,713
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McKesson Corporation    (COMMON STOMCK07,462
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Medical Properties Trust Inc    (COMPW035,690
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McGrath Rentcorp    (COMMON STOCK)MGRC016,457
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Mantech    (COMMON STOCK)MANT06,815
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Matthews Intl Corp-Cl A    (COMMON MATW010,018
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Malibu Boats Inc - A    (COMMON STOMBUU010,128
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Main Street Capital Corp    (COMMONMAIN06,520
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Meta Financial Group Inc    (COMMONCASH029,896
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Mesa Laboratories Inc    (COMMON STMLAB02,502
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MSA Safety Inc    (COMMON STOCK)MSA010,830
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Macrogenics Inc    (COMMON STOCK)MGNX09,207
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Nmi Holdings Inc-class A    (COMMONNMIH062,950
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NAPCO Security Technologies In    (NSSC09,895
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KB Home    (COMMON STOCK)KBH027,204
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Noble Energy Inc    (COMMON STOCK)NBL083,823
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NextEra Energy Inc    (COMMON STOCKNEE03,740
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Newmont Corp    (COMMON STOCK)NEM013,652
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NewMarket Corp    (COMMON STOCK)NEU02,227
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Northern Trust Corporation    (COMMNTRS08,155
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Jetblue Airways Corp    (COMMON STOJBLU017,693
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iShares 20 Year Treasury Bond    (CTLT01,378
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iShares PHLX Semiconductor ETF    (IGW080,459
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JPMorgan Chase & Co.    (COMMON STOJPM038,993
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Nucor Corporation    (COMMON STOCK)NUE08,839
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Kimco Realty Corporation    (COMMONKIM0215,893
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New Residential Investment Corp    NRZ043,174
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Landstar System Incorporated    (COLSTR02,246
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National Retail Properties Inc    (NNN041,032
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National Instruments Corporation    NATI012,086
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Estee Lauder    (COMMON STOCK)EL03,960
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Legg Mason Incorporated    (COMMON LM0850,910
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La-Z-Boy Incorporated    (COMMON STLZB020,655
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Lgi Homes Inc    (COMMON STOCK)LGIH013,240
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Kirby Corporation    (COMMON STOCK)KEX09,733
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Kratos Defense & Security Sol    (CKTOS035,996
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NetApp Inc    (COMMON STOCK)NTAP020,781
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Kulicke & Soffa Industries Incorporated  &nbsKLIC038,752
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Raymond James Financial Incorporated   &RJF07,660
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General Motors Co    (COMMON STOCK)GM026,081
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DaVita Inc    (COMMON STOCK)DVA023,638
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TEGNA Inc    (COMMON STOCK)TGNA066,292
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Delta Air Lines Inc    (COMMON STOCDAL07,730
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DexCom Inc    (COMMON STOCK)DXCM02,402
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T-Mobile US Inc    (COMMON STOCK)TMUS0142,440
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Dana Inc    (COMMON STOCK)DAN073,725
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Cutera Inc    (COMMON STOCK)CUTR036,092
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Covanta Holding Corp    (COMMON STOCVA033,473
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Texas Capital Bancshares Inc    (COTCBI019,977
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TETRA Technologies Inc.    (COMMON TTI021,665
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Curtiss-Wright Corporation    (COMMCW09,064
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TD Ameritrade Holding Corp    (COMMAMTD02,627,276
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Dillards Incorporated Cl A    (COMMDDS015,507
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Dunkin' Brands Group Inc    (COMMONDNKN05,721
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Steel Dynamics Incorporated    (COMSTLD040,737
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E Trade Financial Corporation    (CETFC01,599,639
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Eagle Materials Inc    (COMMON STOCEXP03,187
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East-West Bank    (COMMON STOCK)EWBC017,159
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Stifel Financial Corporation    (COSF022,366
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Stryker Corporation    (COMMON STOCSYK010,147
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Synopsys Inc    (COMMON STOCK)SNPS02,515
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Domino's Pizza Inc    (COMMON STOCKDPZ0656
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Domtar Corp    (COMMON STOCK)UFS076,746
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Dorman Products Inc    (COMMON STOCDORM04,573
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Timken Company    (COMMON STOCK)TKR012,503
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Titan International Inc    (COMMON TWI048,222
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The Coca-Cola Company    (COMMON STKO051,726
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Tyson Foods Inc-- Class A    (COMMOTSN04,715
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Coeur Mining Inc    (COMMON STOCK)CDE0279,905
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Cohu Incorporated    (COMMON STOCK)COHU016,858
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Turquoise Hill Resources Ltd    (COTRQ06,079,792
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Clovis Oncology Inc    (COMMON STOCCLVS011,934
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City Office Reit Inc    (COMMON STOCIO021,923
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Unifi Inc.    (COMMON STOCK)UFI010,402
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Cimarex Energy Co    (COMMON STOCK)XEC028,902
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Cintas Corporation    (COMMON STOCKCTAS02,268
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Citigroup Incorporated    (COMMON SC052,465
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Tuesday Morning Corp.-NEW    (COMMOTUES018,592
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Community Bank System Incorporated   &nbCBU06,116
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Transdigm Group Inc    (COMMON STOCTDG01,045
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Corcept Therapeutics Inc    (COMMONCORT077,417
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CoreLogic Inc.    (COMMON STOCK)CLGX07,215
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Towne Bank    (COMMON STOCK)TOWN013,645
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Toll Brothers Inc.    (COMMON STOCKTOL012,482
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Cooper Companies Inc    (COMMON STOCOO04,485
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Trex Company Inc    (COMMON STOCK)TWP05,595
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COMPASS MINERALS INTL INC    (COMMOCMP05,633
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Trupanion Inc    (COMMON STOCK)TRUP010,499
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Truecar Inc    (COMMON STOCK)TRUE063,125
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Triumph Bancorp Inc    (COMMON STOCTBK09,007
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Sprouts Farmers Market Inc    (COMMSFM052,028
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Spectrum Pharmaceuticals Inc    (COSPPI035,957
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Sage Therapeutics Inc    (COMMON STSAGE05,207
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First Bancorp Puerto Rico    (COMMOFBP022,739
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SP Plus Corp    (COMMON STOCK)SP011,928
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SLM Corp.    (COMMON STOCK)SLM0213,157
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Fleetcor Technologies Inc    (COMMOFLT02,297
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Finjan Holdings Inc    (COMMON STOCFNJN0950,000
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Sanmina Corp    (COMMON STOCK)SANM037,446
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Schlumberger Limited    (COMMON STOSLB079,045
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Fifth Third Bancorp    (COMMON STOCFITB059,339
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Sarepta Therapeutics Inc    (COMMONSRPT014,034
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Santander Consumer Usa Holdi    (COSC013,163
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Flowserve Corporation    (COMMON STFLS09,976
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Fomento Economico Mexicano SAB - ADR   &FMX04,396
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Reinsurance Group Of America    (CORGA029,233
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Republic Services Incorporated    (RSG040,713
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Regions Financial Corporation    (CRF074,857
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Gnc Holdings Inc    (COMMON STOCK)GNC069,673
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Realty Income Corporation    (COMMOO0256,450
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Forward Air Corporation    (COMMON FWRD017,301
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Forum Energy Technologies In    (COFET0275,190
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Ryder Systems Incorporated    (COMMR047,973
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Royal Dutch Shell PLC - ADR A Shares   &RDS.A09,643
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Royal Dutch Shell PLC - ADR B Shares   &RDS-B021,083
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Rockwell Automation Corporation    ROK05,544
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Schwab (Charles) Corporation    (COSCHW0184,823
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Science Applications Inte    (COMMOSAIC09,994
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Entegris Inc    (COMMON STOCK)ENTG03,786
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EnPro Industries Inc    (COMMON STONPO07,733
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Smucker (J.M.) Company - NEW    (COSJM057,452
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Ericsson LM TEL-SP ADR    (COMMON SERIC0422,932
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Smith (A.O.) Corporation    (COMMONAOS09,121
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Sorrento Therapeutics Inc    (COMMOSRNE027,683
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Enanta Pharmaceuticals Inc    (COMMENTA011,227
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El Paso Electric Company    (COMMONEE03,836
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Emerson Electric Company    (COMMONEMR029,364
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Southwest Airlines Company    (COMMLUV079,136
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Southern Company    (COMMON STOCK)SO029,336
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Skyworks Solutions Incorporated    SWKS015,870
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Exelixis Inc    (COMMON STOCK)EXEL082,451
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Fedex Corporation    (COMMON STOCK)FDX06,167
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FARO Technologies Incorporated    (FARO04,592
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Fibrogen Inc    (COMMON STOCK)FGEN010,710
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AMEX Consumer Select Staples Sector SPDR  &nbXLP06,828
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Scientific Games Corp - A    (COMMOSGMS061,654
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Fair Isaac Corp    (COMMON STOCK)FIC0732
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FMC Corporation    (COMMON STOCK)FMC02,237
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Simpson Manufacturing Company Inc   &nbsSSD015,970
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Extra Space Storage Inc    (COMMON EXR031,987
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Extreme Networks    (COMMON STOCK)EXTR073,956
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FLIR Systems Incorporated    (COMMOFLIR029,756
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Chimera Investment Corp    (COMMON CIM024,060
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