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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 2020-02-14)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
Sorrento Therapeutics Inc    (COMMOSRNE12,1200
New Buy
New Buy
AGCO Corporation    (COMMON STOCK)AG6,1640
New Buy
New Buy
Kirby Corporation    (COMMON STOCK)KEX2,4590
New Buy
New Buy
Abbvie Inc    (COMMON STOCK)ABBV47,3170
New Buy
New Buy
Star Bulk Carriers Corp    (COMMON 22,3060
New Buy
New Buy
Aaron's Inc    (COMMON STOCK)RNT/A4,0200
New Buy
New Buy
Amc Networks Inc - A    (COMMON STOAMCX20,1310
New Buy
New Buy
Flex Ltd    (COMMON STOCK)FLEX11,4620
New Buy
New Buy
Scorpio Bulkers Inc    (COMMON STOC44,1960
New Buy
New Buy
Abbott Laboratories    (COMMON STOCABT59,3240
New Buy
New Buy
Scorpio Tankers Inc    (COMMON STOC36,5570
New Buy
New Buy
ABIOMED Incorporated    (COMMON STOABMD34,2420
New Buy
New Buy
Credit Acceptance Corporation    (CCACC9020
New Buy
New Buy
Synaptics Inc    (COMMON STOCK)SYNA22,2000
New Buy
New Buy
Michaels Cos Inc/the    (COMMON STOMIK28,8960
New Buy
New Buy
DHT Holdings Inc    (COMMON STOCK)DHT86,6490
New Buy
New Buy
TreeHouse Food    (COMMON STOCK)THS4,9660
New Buy
New Buy
MakeMyTrip Ltd.    (COMMON STOCK)MMYT18,3410
New Buy
New Buy
2u Inc    (COMMON STOCK)TWOU19,0490
New Buy
New Buy
Middleby Corporation    (COMMON STOMIDD2,4080
New Buy
New Buy
Copa Holdings SA - Class A    (COMMCPA12,2020
New Buy
New Buy
MicroStrategy Incorporated    (COMMMSTR2,9380
New Buy
New Buy
QIAGEN NV    (COMMON STOCK)62,6330
New Buy
New Buy
Tufin Software Technologies    (COM65,3540
New Buy
New Buy
Interxion Holding Nv    (COMMON STOINXN144,5860
New Buy
New Buy
Agree Reality Corporation    (COMMOADC16,4210
New Buy
New Buy
Core Laboratories NV    (COMMON STOCLB15,5230
New Buy
New Buy
Kinder Morgan Inc    (COMMON STOCK)KMI56,5860
New Buy
New Buy
Elastic Nv    (COMMON STOCK)93,9630
New Buy
New Buy
Affiliated Managers Group Incorporated   AMG81,8730
New Buy
New Buy
ASM Lithography Holding N.V    (COMASML5,0880
New Buy
New Buy
Kornit Digital Ltd    (COMMON STOCK19,4220
New Buy
New Buy
Aercap Holdings NV    (COMMON STOCKAER19,5050
New Buy
New Buy
Fiverr International Ltd    (COMMON14,2120
New Buy
New Buy
Carnival Corporation    (COMMON STOCCL11,7220
New Buy
New Buy
Signet Jewelers Limited    (COMMON SIG10,6270
New Buy
New Buy
Crispr Therapeutics Ag    (COMMON S16,7330
New Buy
New Buy
Cyber-ark Software Ltd/israe    (COCYBR10,1270
New Buy
New Buy
L Brands Inc US    (COMMON STOCK)LTD12,0680
New Buy
New Buy
Kohl's Corporation    (COMMON STOCKKSS6,3540
New Buy
New Buy
TechnipFMC PLC - US    (COMMON STOC252,2850
New Buy
New Buy
Albany International Corporation-CL A   AIN12,6100
New Buy
New Buy
Ally Financial Inc    (COMMON STOCKALLY66,3300
New Buy
New Buy
Trinseo Sa    (COMMON STOCK)TSE20,3650
New Buy
New Buy
Transocean Ltd    (COMMON STOCK)RIG21,6120
New Buy
New Buy
First Industrial Realty TR    (COMMFR11,1270
New Buy
New Buy
Hj Heinz Holding Corp    (COMMON STKHC65,9590
New Buy
New Buy
Intelsat Sa    (COMMON STOCK)I62,7810
New Buy
New Buy
Allegheny Technologies Inc    (COMMATI20,4140
New Buy
New Buy
Alexander & Baldwin Inc    (COMMON ALEX30,1500
New Buy
New Buy
Seadrill Ltd A    (COMMON STOCK)23,7940
New Buy
New Buy
Alexander's Incorporated    (COMMONALX6360
New Buy
New Buy
Alnylam Pharmaceuticals Inc    (COMALNY5,7440
New Buy
New Buy
New York Community Bancorp    (COMMNYB83,0550
New Buy
New Buy
Novocure Ltd    (COMMON STOCK)9,4530
New Buy
New Buy
Pagseguro Digital Ltd    (COMMON ST24,7450
New Buy
New Buy
PetMed Express Inc    (COMMON STOCKPETS51,8800
New Buy
New Buy
American Airlines Group Inc    (COMAAL8,8050
New Buy
New Buy
Ambev SA - ADR    (COMMON STOCK)ABEV22,3000
New Buy
New Buy
Amarin Corporation PLC- ADR    (COMAMRN41,1420
New Buy
New Buy
Medtronic PLC    (COMMON STOCK)MDT13,2300
New Buy
New Buy
Laboratory Corp. of America Holdings   &LH14,5250
New Buy
New Buy
Netfin Aquisition Corp    (COMMON S150,0000
New Buy
New Buy
Nielsen Holdings Plc    (COMMON STONLSN191,7090
New Buy
New Buy
Aptiv Plc    (COMMON STOCK)3,6820
New Buy
New Buy
New York Mortgage Trust Inc    (COMNYMT16,3840
New Buy
New Buy
AquaVenture Holdings Ltd    (COMMON30,3120
New Buy
New Buy
Johnson Controls International plc   &nb214,2110
New Buy
New Buy
Cision Ltd    (COMMON STOCK)16,0320
New Buy
New Buy
American Eagle Outfitters    (COMMOAEO54,1880
New Buy
New Buy
Atara Biotherapeutics Inc    (COMMOATRA44,2380
New Buy
New Buy
Jazz Pharmaceuticals Plc    (COMMONJAZZ49,1440
New Buy
New Buy
Leggett & Platt Incorporated    (COLEG35,1840
New Buy
New Buy
International Game Technology    (CIGT86,6100
New Buy
New Buy
Kansas City Southern    (COMMON STOKSU30,5520
New Buy
New Buy
American International Group Inc.   &nbsAIG54,1330
New Buy
New Buy
Laredo Petroleum Inc    (COMMON STOLPI25,3380
New Buy
New Buy
Hudson Ltd-class A    (COMMON STOCK25,1020
New Buy
New Buy
Capri Holdings Ltd    (COMMON STOCK42,8210
New Buy
New Buy
American Tower Corp - Class A    (CAMT17,9210
New Buy
New Buy
Bank Of Nt Butterfield & Son    (CO14,8790
New Buy
New Buy
Eros International Plc    (COMMON SEROS65,7750
New Buy
New Buy
Mobile Iron Inc    (COMMON STOCK)MOBL43,8490
New Buy
New Buy
Frontline Ltd    (COMMON STOCK)36,4270
New Buy
New Buy
Associated Banc-Corp    (COMMON STOASBC17,9320
New Buy
New Buy
Essent Group Ltd    (COMMON STOCK)ESNT8,3890
New Buy
New Buy
Cimpress Plc    (COMMON STOCK)8,0890
New Buy
New Buy
First Horizon National Corporation   &nbFHN171,9940
New Buy
New Buy
Apache Corporation    (COMMON STOCKAPA59,3110
New Buy
New Buy
Amgen Incorporated    (COMMON STOCKAMGN11,2940
New Buy
New Buy
Cardtronics PLC    (COMMON STOCK)34,1500
New Buy
New Buy
Hertz Global Holdings Inc    (COMMOHTZ31,2860
New Buy
New Buy
Mimecast Ltd    (COMMON STOCK)47,2360
New Buy
New Buy
Despegar.com Corp    (COMMON STOCK)74,0030
New Buy
New Buy
Biohaven Pharmaceutical Hold    (CO35,8140
New Buy
New Buy
Delphi Technologies Plc    (COMMON 22,8540
New Buy
New Buy
Arqule Inc    (COMMON STOCK)ARQL572,3640
New Buy
New Buy
Coca-Cola European Partners PLC    76,9440
New Buy
New Buy
Aon PLC    (COMMON STOCK)AON1,2640
New Buy
New Buy
Clarivate Analytics Plc-a    (COMMO130,9020
New Buy
New Buy
Karyopharm Therapeutics Inc    (COMKPTI53,8590
New Buy
New Buy
Hershey Co/The    (COMMON STOCK)HSY7,8250
New Buy
New Buy
Aspen Technology Incorporated    (CAZPN3,8100
New Buy
New Buy
Antero Resources Corp    (COMMON STAR49,2570
New Buy
New Buy
Molina Healthcare Inc    (COMMON STMOH21,9900
New Buy
New Buy
TIVO Corp    (COMMON STOCK)TIVO45,9360
New Buy
New Buy
Zoom Video Communications-a    (COM23,5380
New Buy
New Buy
Constellium SE    (COMMON STOCK)35,1650
New Buy
New Buy
Zuora Inc    (COMMON STOCK)20,6010
New Buy
New Buy
Hunt (JB) Transport Services Inc.   &nbsJBHT32,3800
New Buy
New Buy
Autonation Incorporated    (COMMON AN38,9310
New Buy
New Buy
Zscaler Inc    (COMMON STOCK)6,3540
New Buy
New Buy
Zebra Technologies Corporation    (ZBRA5,9730
New Buy
New Buy
Zions Bancorporation    (COMMON STOZION32,7470
New Buy
New Buy
Zillow Group Inc - C    (COMMON STO12,8460
New Buy
New Buy
Clean Harbor Incorporated    (COMMOCLHB7,8540
New Buy
New Buy
Xerox Holdings Corp    (COMMON STOC110,6760
New Buy
New Buy
Momo Inc-adr    (COMMON STOCK)MOMO25,3620
New Buy
New Buy
Jack Henry & Associates Inc    (COMJKHY3,1030
New Buy
New Buy
Morningstar Inc    (COMMON STOCK)MORN1,8050
New Buy
New Buy
Momenta Pharmaceuticals Inc    (COMMNTA10,0000
New Buy
New Buy
Yext Inc    (COMMON STOCK)11,0910
New Buy
New Buy
Yeti Holdings Inc    (COMMON STOCK)9,5400
New Buy
New Buy
Xperi Corp    (COMMON STOCK)33,9620
New Buy
New Buy
Teradata Corp    (COMMON STOCK)TDC10,2750
New Buy
New Buy
Firstenergy Corp    (COMMON STOCK)FE12,2540
New Buy
New Buy
World Acceptance Corporation    (COWRLD12,4710
New Buy
New Buy
Philip Morris International    (COMPM43,9000
New Buy
New Buy
The Mosaic Company    (COMMON STOCKMOS15,3580
New Buy
New Buy
Healthcare Services Group Inc.    (HCSG62,4960
New Buy
New Buy
Workday Inc-class A    (COMMON STOCWDAY35,4140
New Buy
New Buy
Telenav Inc.    (COMMON STOCK)TNAV10,8470
New Buy
New Buy
Phillips 66    (COMMON STOCK)PSX97,2990
New Buy
New Buy
Fireeye Inc    (COMMON STOCK)FEYE11,6110
New Buy
New Buy
Hasbro Incorporated    (COMMON STOCHAS10,3960
New Buy
New Buy
BJ's Restaurants Inc    (COMMON STOBJRI10,2320
New Buy
New Buy
Juniper Networks Incorporated    (CJNPR36,5990
New Buy
New Buy
Washington Federal Incorporated    WFSL16,3930
New Buy
New Buy
Bankunited Inc    (COMMON STOCK)BKU10,4860
New Buy
New Buy
Wabash National Corporation    (COMWNC36,2350
New Buy
New Buy
Baxter International Incorporated   &nbsBAX71,9770
New Buy
New Buy
Fnf Group    (COMMON STOCK)FNF43,7520
New Buy
New Buy
j2 Global Inc    (COMMON STOCK)JCOM19,3990
New Buy
New Buy
NRG Energy    (COMMON STOCK)NRG5,0810
New Buy
New Buy
Welltower Inc    (COMMON STOCK)HCN14,3820
New Buy
New Buy
Walgreens Boots Alliance Inc    (COWBA62,9700
New Buy
New Buy
Wells Fargo Company    (COMMON STOCWFC81,4930
New Buy
New Buy
Hanger Inc    (COMMON STOCK)HGR9,0680
New Buy
New Buy
First American Financial    (COMMONFAF38,5500
New Buy
New Buy
Bio-Techne Corp    (COMMON STOCK)TECH1,8490
New Buy
New Buy
Watsco Incorporated    (COMMON STOCWSO2,7580
New Buy
New Buy
Blackbaud Inc    (COMMON STOCK)BLKB20,2170
New Buy
New Buy
Huntington Bancshares Incorporated   &nbHBAN43,9420
New Buy
New Buy
Vertex Pharmaceuticals Inc.    (COMVRTX15,6480
New Buy
New Buy
Fitbit Inc - A    (COMMON STOCK)FIT11,4320
New Buy
New Buy
LendingTree Inc(NASDAQ)    (COMMON TREE6,8160
New Buy
New Buy
National Oilwell Varco Inc    (COMMNOV54,2120
New Buy
New Buy
Visteon Corp    (COMMON STOCK)VSTO8,3730
New Buy
New Buy
Boyd Gaming Corporation    (COMMON BYD27,0020
New Buy
New Buy
Hanesbrands Inc    (COMMON STOCK)HBI180,9020
New Buy
New Buy
ICICI Bank Ltd - Sponsored ADR    (IBN10,3120
New Buy
New Buy
Virtus Investment Partners    (COMMVRTS1,7560
New Buy
New Buy
F5 Networks Inc    (COMMON STOCK)FFIV6,8500
New Buy
New Buy
National Beverage Corp    (COMMON SFIZZ17,0150
New Buy
New Buy
Pitney Bowes Incorporated    (COMMOPBI36,9860
New Buy
New Buy
M/I Homes Inc    (COMMON STOCK)MHO13,2280
New Buy
New Buy
Essex Property Trust    (COMMON STOESS25,0270
New Buy
New Buy
Rayonier Advanced Materi    (COMMONRYAM13,2470
New Buy
New Buy
Navistar International Corporation   &nbNAV34,6500
New Buy
New Buy
Plantronics Inc    (COMMON STOCK)PLT14,4110
New Buy
New Buy
Ventas Inc    (COMMON STOCK)VTR34,9060
New Buy
New Buy
Lincoln National Corporation    (COLNC27,1770
New Buy
New Buy
Techtarget    (COMMON STOCK)TTGT17,6740
New Buy
New Buy
Calavo Growers Inc    (COMMON STOCKCVGW19,0180
New Buy
New Buy
Jacobs Engineering Group Incorporated   JEC6,3110
New Buy
New Buy
Fastenal Company    (COMMON STOCK)FAST25,9720
New Buy
New Buy
Realogy Holdings Corp    (COMMON STRLGY79,9490
New Buy
New Buy
Urban Edge Properties    (COMMON STUE96,3070
New Buy
New Buy
Cabot Microelectronics Corp    (COMCCMP15,9060
New Buy
New Buy
Post Holdings Inc    (COMMON STOCK)POST16,9100
New Buy
New Buy
Callon Petroleum Corp    (COMMON STCPE56,4930
New Buy
New Buy
Equity Residential    (COMMON STOCKEQR85,2380
New Buy
New Buy
CSX Corporation    (COMMON STOCK)CSX28,8780
New Buy
New Buy
RBC Bearings Inc.    (COMMON STOCK)ROLL1,6430
New Buy
New Buy
Guess Inc.    (COMMON STOCK)GES21,1250
New Buy
New Buy
Brooks Automation Inc    (COMMON STBRKS19,7460
New Buy
New Buy
United Natural Foods Inc    (COMMONUNFI11,2600
New Buy
New Buy
Brunswick Corporation    (COMMON STBC22,6770
New Buy
New Buy
California Resources Cor    (COMMONCRC24,4300
New Buy
New Buy
Buckle Incorporated    (COMMON STOCBKE11,2610
New Buy
New Buy
Groupon Inc    (COMMON STOCK)GRPN148,6660
New Buy
New Buy
Universal Health Services (CLASS B)   &nUHS14,5880
New Buy
New Buy
Gulfport Energy Corp    (COMMON STOGPOR23,2390
New Buy
New Buy
CBL & Associates Properties Incorporated  &nbCBL40,0640
New Buy
New Buy
CNX Resources Corp    (COMMON STOCKCNX24,3670
New Buy
New Buy
Universal Insurance Holdings    (COUVE17,4610
New Buy
New Buy
CVS Health Corp    (COMMON STOCK)CVS33,3760
New Buy
New Buy
Universal Forest Products    (COMMOUFPI4,3320
New Buy
New Buy
United States Steel Corp    (COMMONX23,8450
New Buy
New Buy
HCA Healthcare Inc    (COMMON STOCKHCA23,6920
New Buy
New Buy
United States Cellular Corporation   &nbUSM6,6140
New Buy
New Buy
H&E Equipment Services Inc    (COMMHEES6,3700
New Buy
New Buy
Caesars Entertainment Corp.    (COMCZR2,416,1360
New Buy
New Buy
Equinix Inc    (COMMON STOCK)EQIX7650
New Buy
New Buy
Grubhub Inc    (COMMON STOCK)GRUB53,3060
New Buy
New Buy
United Technologies Corp.    (COMMOUTX1,6750
New Buy
New Buy
United Bankshares Inc W VA    (COMMUBSI41,9800
New Buy
New Buy
CMS Energy Corporation    (COMMON SCMS4,7310
New Buy
New Buy
ProAssurance Corporation    (COMMONPRA8,7840
New Buy
New Buy
Colfax Corp    (COMMON STOCK)CFX77,0820
New Buy
New Buy
Unifi Inc.    (COMMON STOCK)UFI18,1170
New Buy
New Buy
Unilever N V -NY SHARES    (COMMON UN24,7490
New Buy
New Buy
Under Armour Inc    (COMMON STOCK)UA11,1680
New Buy
New Buy
EPlus Inc    (COMMON STOCK)PLUS6,8680
New Buy
New Buy
Cardinal Health Incorporated    (COCAH9,5180
New Buy
New Buy
O Reilly Automotive Inc    (COMMON ORLY9,7900
New Buy
New Buy
Nevro Corp    (COMMON STOCK)NVRO1,9660
New Buy
New Buy
US Physical Therapy Inc.    (COMMONUSPH7,5860
New Buy
New Buy
Green Dot Corp-class A    (COMMON SGDOT14,5490
New Buy
New Buy
Us Concrete Inc    (COMMON STOCK)USCR5,8410
New Buy
New Buy
Procter & Gamble Company    (COMMONPG86,2050
New Buy
New Buy
Mattel Inc    (COMMON STOCK)MAT24,7000
New Buy
New Buy
Itau Unibanco Holding SA - ADR    (ITU16,6600
New Buy
New Buy
Greif Inc.- Class A    (COMMON STOCGEF7,0330
New Buy
New Buy
Realty Income Corporation    (COMMOO140,2140
New Buy
New Buy
Range Resources Corporation    (COMRRC29,6940
New Buy
New Buy
Independent Bank Group Inc    (COMMIBTX28,9720
New Buy
New Buy
RPC Incorporated    (COMMON STOCK)RES13,9950
New Buy
New Buy
Great Western Bancorp Inc    (COMMOGWB7,0600
New Buy
New Buy
Stifel Financial Corporation    (COSF11,9210
New Buy
New Buy
Deluxe Corporation    (COMMON STOCKDLX15,0060
New Buy
New Buy
Intercontinental Exchange Inc    (CICE26,4730
New Buy
New Buy
Tupperware Brands Corp    (COMMON STUP17,7780
New Buy
New Buy
International Flavors and Fragrances   &IFF2,7160
New Buy
New Buy
Tucows Inc.    (COMMON STOCK)TCX3,2470
New Buy
New Buy
Cymabay Therapeutics Inc    (COMMONCBAY21,5120
New Buy
New Buy
Trustmark Corporation    (COMMON STTRMK9,3930
New Buy
New Buy
Patterson-UTI Energy Inc.    (COMMOPTEN74,6480
New Buy
New Buy
Trupanion Inc    (COMMON STOCK)TRUP31,7900
New Buy
New Buy
Spartan Motors Incorporated    (COMSPAR16,1990
New Buy
New Buy
Celanese Corp    (COMMON STOCK)CE6,3690
New Buy
New Buy
Five9 Inc    (COMMON STOCK)FIVN4,5480
New Buy
New Buy
Truecar Inc    (COMMON STOCK)TRUE18,6480
New Buy
New Buy
Danaher Corporation    (COMMON STOCDHR1,8520
New Buy
New Buy
TripAdvisor Inc    (COMMON STOCK)TRIP9,4200
New Buy
New Buy
AMEX Financial Select Sector SPDR NEW   XLF511,5030
New Buy
New Buy
Trinity Industries Inc.    (COMMON TRN23,1230
New Buy
New Buy
PacWest Bancorp    (COMMON STOCK)PACW41,5530
New Buy
New Buy
Centerpoint Energy Inc.    (COMMON CNP21,6070
New Buy
New Buy
Rexford Industrial Realty In    (COREXR23,8040
New Buy
New Buy
Enova International Inc    (COMMON ENVA38,9290
New Buy
New Buy
Corning Incorporated    (COMMON STOGLW16,5850
New Buy
New Buy
EnPro Industries Inc    (COMMON STONPO14,4670
New Buy
New Buy
Macrogenics Inc    (COMMON STOCK)MGNX29,7760
New Buy
New Buy
FLIR Systems Incorporated    (COMMOFLIR25,8590
New Buy
New Buy
Cummins Engine Company Incorporated   &nCMI59,4290
New Buy
New Buy
Cerus Corp    (COMMON STOCK)CERS14,5330
New Buy
New Buy
Instructure Inc    (COMMON STOCK)INST47,7070
New Buy
New Buy
Ceva Inc    (COMMON STOCK)CEVA15,8570
New Buy
New Buy
Simon Property Group Incorporated   &nbsSPG28,9770
New Buy
New Buy
Tootsie Roll Industries Incorporated   &TR19,8230
New Buy
New Buy
Shenandoah Telecom Co    (COMMON STSHEN6,3370
New Buy
New Buy
Regeneron Pharmaceuticals Incorporated   REGN5,0960
New Buy
New Buy
Henry Schein Incorporated    (COMMOHSIC33,4720
New Buy
New Buy
Parker-Hannifin Corporation    (COMPH9,5910
New Buy
New Buy
Fortinet Inc    (COMMON STOCK)FTNT23,4850
New Buy
New Buy
Cheesecake Factory Incorporated    CAKE14,4290
New Buy
New Buy
Proto Labs Inc    (COMMON STOCK)PRLB10,2670
New Buy
New Buy
Chegg Inc    (COMMON STOCK)CHGG45,9610
New Buy
New Buy
Duke Energy Corporation    (COMMON DUK62,7090
New Buy
New Buy
Chemours Co/the    (COMMON STOCK)CC63,0560
New Buy
New Buy
Oasis Petroleum Inc    (COMMON STOCOAS67,2880
New Buy
New Buy
Chesapeake Energy Corporation    (CCHK154,9800
New Buy
New Buy
Extended Stay America Inc    (COMMOSTAY118,0260
New Buy
New Buy
Chico's Fas Inc    (COMMON STOCK)CHS38,4130
New Buy
New Buy
Southwest Georgia Financial Corporation  &nbsSGB8,6180
New Buy
New Buy
Children's Place Inc/The    (COMMONPLCE14,6590
New Buy
New Buy
Southwest Airlines Company    (COMMLUV16,5960
New Buy
New Buy
Church & Dwight Company Inc    (COMCHD31,6690
New Buy
New Buy
Crescent Point Energy Corp    (COMMCSCTF114,5990
New Buy
New Buy
Royal Gold Incorporated    (COMMON RGLD15,1690
New Buy
New Buy
Smucker (J.M.) Company    (COMMON SSJM5,2270
New Buy
New Buy
Goodyear Tire and Rubber Company    GT50,7740
New Buy
New Buy
Public Service Enterprise GP    (COPEG174,9410
New Buy
New Buy
Regions Financial Corporation    (CRF187,3180
New Buy
New Buy
Olin Corp    (COMMON STOCK)OLN142,8040
New Buy
New Buy
Newpark Resources Inc.    (COMMON SNR26,3330
New Buy
New Buy
Paycom Software Inc    (COMMON STOCPAYC9060
New Buy
New Buy
TIFFANY & CO NEW    (COMMON STOCK)TIF162,0390
New Buy
New Buy
Exelon Corporation    (COMMON STOCKEXC7,4220
New Buy
New Buy
Thermo Fisher Scientific Inc    (COTMO6,1820
New Buy
New Buy
Sherwin-Williams Company    (COMMONSHW5,9570
New Buy
New Buy
Cintas Corporation    (COMMON STOCKCTAS10,0720
New Buy
New Buy
DexCom Inc    (COMMON STOCK)DXCM8,4720
New Buy
New Buy
Therapeutics Md Inc    (COMMON STOCTXMD73,1000
New Buy
New Buy
Seritage Growth Prop- A Reit    (COSRG7,5390
New Buy
New Buy
Textron Incorporated    (COMMON STOTXT5,7050
New Buy
New Buy
Schwab (Charles) Corporation    (COSCHW7,9800
New Buy
New Buy
Merck & Co. Incorporated    (COMMONMRK85,7490
New Buy
New Buy
Saia Inc    (COMMON STOCK)SAIA3,7800
New Buy
New Buy
Teva Pharmaceutical Ind. Sponsored - ADR  &nbTEVA10,5960
New Buy
New Buy
Ebix Inc    (COMMON STOCK)EBIX32,5220
New Buy
New Buy
Reinsurance Group Of America    (CORGA1,5510
New Buy
New Buy
Eaton Vance Corporation    (COMMON EV13,8470
New Buy
New Buy
NiSource Inc    (COMMON STOCK)NI7,3160
New Buy
New Buy
GameStop Corporation    (COMMON STOGME25,3330
New Buy
New Buy
Roper Technologies Inc    (COMMON SROP10,3460
New Buy
New Buy
Stamps.com Inc    (COMMON STOCK)STMP14,0760
New Buy
New Buy
Tesla Inc    (COMMON STOCK)TSLA2,6300
New Buy
New Buy
IBM Corporation    (COMMON STOCK)IBM48,5700
New Buy
New Buy
Terreno Realty Corp    (COMMON STOCTRNO6,1690
New Buy
New Buy
Sportsman's Warehouse Holdin    (COSPWH68,9530
New Buy
New Buy
Evercore Inc - cl A    (COMMON STOCEVR4,8230
New Buy
New Buy
Spirit Airlines Inc    (COMMON STOCSAVE8,3640
New Buy
New Buy
iShares 20 Year Treasury Bond    (CTLT1,7140
New Buy
New Buy
RLI Corporation    (COMMON STOCK)RLI5,6180
New Buy
New Buy
Tenneco Inc-class A    (COMMON STOCTEN42,5970
New Buy
New Buy
Southwestern Energy Company    (COMSWN91,1660
New Buy
New Buy
IBERIABANK Corp    (COMMON STOCK)IBKC264,5440
New Buy
New Buy
Cornerstone Ondemand Inc    (COMMONCSOD49,5590
New Buy
New Buy
EQT Corp    (COMMON STOCK)EQT13,1410
New Buy
New Buy
Corporate Office Properties    (COMOFC73,7860
New Buy
New Buy
Clovis Oncology Inc    (COMMON STOCCLVS66,6340
New Buy
New Buy
Costco Wholesale Corp.    (COMMON SCOST1,8660
New Buy
New Buy
MEI Pharma Inc    (COMMON STOCK)MEIP50,0000
New Buy
New Buy
Huntington Ingalls Indust    (COMMOHII13,0210
New Buy
New Buy
Eastgroup Properties Inc.    (COMMOEGP6,9600
New Buy
New Buy
Gnc Holdings Inc    (COMMON STOCK)GNC43,9740
New Buy
New Buy
Fleetcor Technologies Inc    (COMMOFLT22,7660
New Buy
New Buy
SS&C Technologies Holdings    (COMMSSNC65,5960
New Buy
New Buy
Coherus Biosciences Inc    (COMMON CHRS16,4910
New Buy
New Buy
Integra LifeSciences Holdings    (CIART5,4090
New Buy
New Buy
IROBOT Corp    (COMMON STOCK)IRBT4,3330
New Buy
New Buy
Steven Madden Limited    (COMMON STSHOO35,9400
New Buy
New Buy
Insperity Inc    (COMMON STOCK)NSP2,7240
New Buy
New Buy
Mednax Inc    (COMMON STOCK)MD76,1490
New Buy
New Buy
Nokia Corp-spon ADR    (COMMON STOCNOK28,7500
New Buy
New Buy
Smith (A.O.) Corporation    (COMMONAOS25,2700
New Buy
New Buy
Targa Resources Corp.    (COMMON STTRGP10,0850
New Buy
New Buy
Exlservice Holdings Inc    (COMMON EXLS7,2500
New Buy
New Buy
MarketAxess Holdings Inc    (COMMONMKTX1,7100
New Buy
New Buy
Medical Properties Trust Inc    (COMPW10,8740
New Buy
New Buy
Norfolk Southern Corp.    (COMMON SNSC2,2250
New Buy
New Buy
Skyworks Solutions Incorporated    SWKS3,3190
New Buy
New Buy
Taiwan Semiconductor Co. Ltd. - ADR   &nTSM35,9060
New Buy
New Buy
Marathon Petroleum Corp    (COMMON MPC250,2700
New Buy
New Buy
Comcast Corporation-CL A    (COMMONCMCSA24,6300
New Buy
New Buy
Fossil Group Inc    (COMMON STOCK)FOSL26,7190
New Buy
New Buy
Emerson Electric Company    (COMMONEMR35,0040
New Buy
New Buy
Darden Restaurants Inc    (COMMON SDRI10,7410
New Buy
New Buy
Genworth Financial Inc - CL A    (CGNW23,5220
New Buy
New Buy
Overstock.com Inc    (COMMON STOCK)OSTK28,8940
New Buy
New Buy
Commscope Holding Co Inc    (COMMONCOMM31,7460
New Buy
New Buy
Shoe Carnival Incorporated    (COMMSCVL18,3530
New Buy
New Buy
Synovus Finl Corp    (COMMON STOCK)SNV8,3040
New Buy
New Buy
Denbury Resources Incorporated    (DNR50,7090
New Buy
New Buy
Synopsys Inc    (COMMON STOCK)SNPS14,5670
New Buy
New Buy
PS Business Parks Inc./CA    (COMMOPSB14,3140
New Buy
New Buy
Meritor Inc    (COMMON STOCK)MTOR63,9110
New Buy
New Buy
Diamond Offshore Drilling    (COMMODO10,3660
New Buy
New Buy
Northern Trust Corporation    (COMMNTRS6,5960
New Buy
New Buy
Servicemaster Global Holding    (COSERV13,8430
New Buy
New Buy
Ryman Hospitality Properties    (CORHP17,4700
New Buy
New Buy
PVH Corp    (COMMON STOCK)PVH23,5770
New Buy
New Buy
Nvidia Corporation    (COMMON STOCKNVDA16,7080
New Buy
New Buy
AMEX Health Care Select Sector SPDR Fund  &nbXLV7,3610
New Buy
New Buy
Suncoke Energy Inc    (COMMON STOCKSXC214,7710
New Buy
New Buy
Markel Corporation    (COMMON STOCKMKL7360
New Buy
New Buy
Stryker Corporation    (COMMON STOCSYK9,3630
New Buy
New Buy
Santander Consumer Usa Holdi    (COSC14,8950
New Buy
New Buy
Palo Alto Networks Inc    (COMMON SPANW14,7230
New Buy
New Buy
Dominion Energy Inc    (COMMON STOCD2,4500
New Buy
New Buy
Quanta Services Incorporated    (COPWR27,2360
New Buy
New Buy
Sage Therapeutics Inc    (COMMON STSAGE8,1660
New Buy
New Buy
CONNS INC    (COMMON STOCK)CONN16,3440
New Buy
New Buy
Donaldson Co Inc    (COMMON STOCK)DCI4,6200
New Buy
New Buy
SLM Corp.    (COMMON STOCK)SLM41,1970
New Buy
New Buy
Sabra Health Care REIT Inc    (COMMSBRA78,1770
New Buy
New Buy
Stewart Information Services Corporation  &nbSTC13,5370
New Buy
New Buy
IPG Photonics Corp    (COMMON STOCKIPGP1,4770
New Buy
New Buy
Sprint Corp    (COMMON STOCK)1,188,81411,532
Added1,177,282
10208.82%
Audentes Therapeutics Inc    (COMMO942,58911,799
Added930,790
7888.71%
Charter Communications Inc    (COMMCHTR24,586588
Added23,998
4081.29%
Brightview Holdings Inc    (COMMON 118,2223,709
Added114,513
3087.43%
Facebook Inc-a    (COMMON STOCK)FB46,9381,519
Added45,419
2990.05%
VEREIT Inc    (COMMON STOCK)314,12511,467
Added302,658
2639.38%
Hostess Brands Inc    (COMMON STOCK98,4405,734
Added92,706
1616.77%
Uber Technologies Inc    (COMMON ST271,19717,500
Added253,697
1449.69%
Gores Metropoulos Inc    (COMMON ST200,00014,233
Added185,767
1305.18%
Crescent Acquisition Corp    (COMMO350,00025,932
Added324,068
1249.68%
Pb Bancorp Inc    (COMMON STOCK)310,00024,149
Added285,851
1183.69%
B Riley Principal Mer-cl A    (COMM549,99844,688
Added505,310
1130.75%
NortonLifeLock Inc    (COMMON STOCK152,00712,806
Added139,201
1086.99%
Edwards Lifesciences Corp.    (COMMEW52,3254,502
Added47,823
1062.26%
Hewlett Packard Enterprise Company   &nbHPE247,83121,518
Added226,313
1051.73%
Domino's Pizza Inc    (COMMON STOCKDPZ13,4731,193
Added12,280
1029.33%
ATKORE INTERNATIONAL GROUP I    (CO36,7223,300
Added33,422
1012.78%
Nektar Therapeutics    (COMMON STOCNKTR139,55412,932
Added126,622
979.13%
Ebay Incorporated    (COMMON STOCK)EBAY444,96642,182
Added402,784
954.87%
Pfizer Incorporated    (COMMON STOCPFE157,68015,279
Added142,401
932.00%
Schlumberger Limited    (COMMON STOSLB132,33012,953
Added119,377
921.61%
Yum! Brands Inc    (COMMON STOCK)YUM28,2442,767
Added25,477
920.74%
Neurocrine Biosciences Incorporated   &nNBIX28,5373,160
Added25,377
803.06%
Blackline Inc    (COMMON STOCK)30,8083,421
Added27,387
800.55%
Cincinnati Bell Inc    (COMMON STOC59,2876,681
Added52,606
787.39%
Lions Gate Entertainment-b    (COMM166,39820,044
Added146,354
730.16%
Brookfield Property Reit Inc    (CO111,01213,608
Added97,404
715.78%
Bright Horizons Family Solutions Inc   &BFAM17,7492,214
Added15,535
701.67%
Quotient Technology Inc    (COMMON 81,53410,276
Added71,258
693.44%
CIT Group Inc.    (COMMON STOCK)CIT52,8396,762
Added46,077
681.41%
Qualys Inc    (COMMON STOCK)QLYS23,3642,991
Added20,373
681.14%
Landcadia Holdings Ii Inc    (COMMO400,00052,170
Added347,830
666.72%
Carolina Trust Bancshares In    (CO523,80376,158
Added447,645
587.78%
Gannett Co Inc    (COMMON STOCK)34,3715,019
Added29,352
584.81%
Brighthouse Financial Inc    (COMMOBHF105,09316,451
Added88,642
538.82%
Electronic Arts Incorporated    (COERTS19,3803,384
Added15,996
472.69%
Target Corporation    (COMMON STOCKTGT66,50711,933
Added54,574
457.33%
Proofpoint Inc    (COMMON STOCK)PFPT40,2657,580
Added32,685
431.20%
Altria Group Inc    (COMMON STOCK)MO166,19131,342
Added134,849
430.25%
Precigen Inc    (COMMON STOCK)35,9436,795
Added29,148
428.96%
Redfin Corp    (COMMON STOCK)79,36215,059
Added64,303
427.00%
CoreLogic Inc.    (COMMON STOCK)CLGX71,43613,562
Added57,874
426.73%
DXC Technology Co    (COMMON STOCK)71,61813,623
Added57,995
425.71%
Party City Holdco Inc    (COMMON ST66,72113,280
Added53,441
402.41%
Svmk Inc    (COMMON STOCK)140,19427,967
Added112,227
401.28%
InterDigital Inc    (COMMON STOCK)IDCC31,6336,548
Added25,085
383.09%
Wingstop Inc    (COMMON STOCK)26,8255,565
Added21,260
382.03%
CenturyLink Inc    (COMMON STOCK)CTL181,85438,703
Added143,151
369.87%
Playags Inc    (COMMON STOCK)31,7536,942
Added24,811
357.40%
Camden Property Trust    (COMMON STCPT101,94522,390
Added79,555
355.31%
Navient Corp    (COMMON STOCK)NAVI281,60562,949
Added218,656
347.35%
Berry Pete Corp    (COMMON STOCK)93,79221,122
Added72,670
344.04%
B Riley Principal Mer-cl A    (WARR674,999152,415
Added522,584
342.86%
Fluor Corporation    (COMMON STOCK)FLR75,11117,422
Added57,689
331.12%
S&P Global Inc    (COMMON STOCK)SPGI10,7392,613
Added8,126
310.98%
Hilton Worldwide Holdings In    (CO38,8619,524
Added29,337
308.03%
GATX Corporation    (COMMON STOCK)GMT11,9142,980
Added8,934
299.79%
Aclaris Therapeutics Inc    (COMMON58,92614,766
Added44,160
299.06%
Realpage Inc    (COMMON STOCK)RP71,11617,831
Added53,285
298.83%
Camping World Holdings Inc-a    (CO54,66613,845
Added40,821
294.84%
Cornerstone Building Brands Inc    256,10065,365
Added190,735
291.79%
Legg Mason Incorporated    (COMMON LM34,7048,943
Added25,761
288.05%
Marriott Vacations Worldwide Corporation  &nbVAC11,9033,121
Added8,782
281.38%
Tenable Holdings Inc    (COMMON STO40,25410,628
Added29,626
278.75%
Extraction Oil & Gas Inc    (COMMON48,83612,904
Added35,932
278.45%
Boise Cascade Co    (COMMON STOCK)BCC25,8636,836
Added19,027
278.33%
Retail Opportunity Investments    (ROIC219,00758,231
Added160,776
276.10%
National Retail Properties Inc    (NNN198,72153,561
Added145,160
271.01%
Cars.com Inc    (COMMON STOCK)68,30018,495
Added49,805
269.28%
Welbilt Inc    (COMMON STOCK)104,91629,190
Added75,726
259.42%
Valero Energy Corporation    (COMMOVLO31,3088,857
Added22,451
253.48%
CNO Financial Group Inc    (COMMON CNO94,85426,894
Added67,960
252.69%
Cyclerion Therapeutics Inc    (COMM18,0505,129
Added12,921
251.92%
Sterling Bancorp/DE    (COMMON STOCSTL129,09037,042
Added92,048
248.49%
Qorvo Inc    (COMMON STOCK)QRVO67,75620,018
Added47,738
238.47%
Brightsphere Investment Group Inc.   &nb93,38528,136
Added65,249
231.90%
Box Inc - Class A    (COMMON STOCK)BOX123,07038,223
Added84,847
221.97%
Evergy Inc    (COMMON STOCK)47,46614,882
Added32,584
218.94%
Hexcel Corporation    (COMMON STOCKHXL14,6154,588
Added10,027
218.54%
ETrade Financial Corporation    (COETFC204,91565,152
Added139,763
214.51%
Mercury Systems Inc    (COMMON STOCMRCY23,6847,649
Added16,035
209.63%
Miller (Herman) Inc.    (COMMON STOMLHR43,62914,143
Added29,486
208.48%
Verizon Communications    (COMMON SVZ72,04823,378
Added48,670
208.18%
Sonic Automotive Incorporated    (CSAH69,75122,672
Added47,079
207.65%
NV5 Global Inc    (COMMON STOCK)NVEE12,9674,221
Added8,746
207.20%
Option Care Health Inc    (COMMON S66,88422,197
Added44,687
201.31%
Domtar Corp    (COMMON STOCK)UFS24,1228,074
Added16,048
198.76%
WEC Energy Group Inc    (COMMON STO16,0195,386
Added10,633
197.41%
Msb Financial Corp/md    (COMMON ST311,165104,714
Added206,451
197.15%
Boston Properties Incorporated    (BXP6,2372,110
Added4,127
195.59%
Upwork Inc    (COMMON STOCK)179,45861,744
Added117,714
190.64%
Technology Select Sector SPDR Fund   &nbXLK22,8747,890
Added14,984
189.91%
Northrop Grumman Corp    (COMMON STNOC30,70510,605
Added20,100
189.53%
Civeo Corp    (COMMON STOCK)76,15826,953
Added49,205
182.55%
McKesson Corporation    (COMMON STOMCK53,91319,123
Added34,790
181.92%
US Bancorp    (COMMON STOCK)USB169,29760,742
Added108,555
178.71%
B. Riley Financial Inc    (COMMON S138,80850,000
Added88,808
177.61%
Datadog Inc - Class A    (COMMON ST68,46224,675
Added43,787
177.45%
Honeywell International Inc. (NEW)   &nbHON44,37716,253
Added28,124
173.03%
Glu Mobile Inc    (COMMON STOCK)GLUU40,27014,957
Added25,313
169.23%
Alcoa Corp    (COMMON STOCK)64,29623,945
Added40,351
168.51%
Smartsheet Inc-class A    (COMMON S42,28815,783
Added26,505
167.93%
Omeros Corp    (COMMON STOCK)OMER59,27422,257
Added37,017
166.31%
Target Hospitality Corp    (COMMON 48,75118,352
Added30,399
165.64%
NexTier Oilfield Solutions Inc    (10,7534,081
Added6,672
163.48%
Mettler-Toledo International Inc    MTD1,775675
Added1,100
162.96%
Sinclair Broadcast Group - A    (COSBGI52,74120,230
Added32,511
160.70%
Lumber Liquidators Holdings In    (LL71,64627,521
Added44,125
160.33%
Biocryst Pharmaceuticals Inc.    (CBCRX153,10759,148
Added93,959
158.85%
Intersect Ent Inc    (COMMON STOCK)XENT65,64525,388
Added40,257
158.56%
Prudential Financial Inc.    (COMMOPRU43,95017,320
Added26,630
153.75%
Axsome Therapeutics Inc    (COMMON 23,4739,259
Added14,214
153.51%
United Therapeutics Corp.    (COMMOUTHR36,17114,514
Added21,657
149.21%
Ligand Pharmaceuticals Incorporated   &nLGND5,7872,336
Added3,451
147.73%
First Bancorp Puerto Rico    (COMMOFBP154,52262,434
Added92,088
147.49%
XPO Logistics Inc    (COMMON STOCK)XPO31,19712,697
Added18,500
145.70%
Msci Inc    (COMMON STOCK)MXB10,7694,390
Added6,379
145.30%
Donnelley Financial Solu    (COMMON28,35711,610
Added16,747
144.24%
Dropbox Inc-class A    (COMMON STOC212,18288,124
Added124,058
140.77%
New Relic Inc    (COMMON STOCK)NEWR70,02429,155
Added40,869
140.17%
Spirit Aerosystems Hold - Class A   &nbsSPR31,64113,184
Added18,457
139.99%
Heico Corp.-NEW    (COMMON STOCK)HEI27,80811,615
Added16,193
139.41%
Turquoise Hill Resources Ltd    (COTRQ6,029,7922,524,851
Added3,504,941
138.81%
Tailored Brands Inc    (COMMON STOC34,70214,598
Added20,104
137.71%
City Office Reit Inc    (COMMON STOCIO33,73114,469
Added19,262
133.12%
Mgm Growth Properties Llc-a    (COM11,5525,084
Added6,468
127.22%
McDermott International Incorporated   &65,45228,818
Added36,634
127.12%
At Home Group Inc    (COMMON STOCK)26,84111,846
Added14,995
126.58%
Everi Holdings Inc    (COMMON STOCK130,04557,478
Added72,567
126.25%
Sunpower Corp - Class A    (COMMON SPWR201,64790,744
Added110,903
122.21%
MSG Networks Inc - A    (COMMON STO110,67550,000
Added60,675
121.35%
Lyft Inc-a    (COMMON STOCK)73,78133,447
Added40,334
120.59%
Now Inc    (COMMON STOCK)DNOW82,58637,932
Added44,654
117.72%
8 X 8 Incorporated    (COMMON STOCKEGHT108,10249,674
Added58,428
117.62%
Twin River Worldwide Holding    (CO56,24326,220
Added30,023
114.50%
Twilio Inc - A    (COMMON STOCK)72,63733,951
Added38,686
113.94%
Dynatrace Inc    (COMMON STOCK)29,74713,965
Added15,782
113.01%
Cabot Corporation    (COMMON STOCK)CBT12,0595,678
Added6,381
112.38%
Nutanix Inc - A    (COMMON STOCK)NTNX38,32418,195
Added20,129
110.62%
Genesco Inc.    (COMMON STOCK)GCO20,1219,574
Added10,547
110.16%
Roku Inc    (COMMON STOCK)23,89011,368
Added12,522
110.15%
NIKE Inc    (COMMON STOCK)NKE26,07612,462
Added13,614
109.24%
Ross Stores Incorporated    (COMMONROST29,87514,330
Added15,545
108.47%
Haemonetics Corporation    (COMMON HAE6,8863,310
Added3,576
108.03%
Eaton Corp PLC    (COMMON STOCK)ETN23,64511,386
Added12,259
107.66%
Exterran Corp    (COMMON STOCK)84,11140,650
Added43,461
106.91%
Devon Energy Corp.    (COMMON STOCKDVN243,618117,817
Added125,801
106.77%
Titan International Inc    (COMMON TWI39,50719,201
Added20,306
105.75%
Avis Budget Group Inc    (COMMON STCAR26,83513,163
Added13,672
103.86%
Air Products and Chemicals Incorporated  &nbsAPD2,8961,424
Added1,472
103.37%
Flowserve Corporation    (COMMON STFLS11,3505,596
Added5,754
102.82%
Cutera Inc    (COMMON STOCK)CUTR20,71110,218
Added10,493
102.69%
WW International Inc    (COMMON STO46,66723,160
Added23,507
101.49%
Rollins Incorporated    (COMMON STOROL190,68894,821
Added95,867
101.10%
Ollie's Bargain Outlet Holdi    (CO25,91412,911
Added13,003
100.71%
Asbury Automotive Group    (COMMON ABG15,5617,755
Added7,806
100.65%
Meridian Corp    (COMMON STOCK)52,17026,187
Added25,983
99.22%
United Airlines Holdings Inc    (COUAL73,50037,180
Added36,320
97.68%
Mrc Global Inc    (COMMON STOCK)MRC50,27525,443
Added24,832
97.59%
Activision Blizzard Inc    (COMMON ATVI22,54311,555
Added10,988
95.09%
Agilent Technologies Inc.    (COMMOA21,81811,202
Added10,616
94.76%
Franklin Resources Incorporated    BEN128,72566,474
Added62,251
93.64%
United Community Financial    (COMMUCFC178,34792,605
Added85,742
92.58%
Jabil Inc    (COMMON STOCK)JBL151,77380,074
Added71,699
89.54%
C.H. Robinson Worldwide Incorporated   &CHRW45,66624,131
Added21,535
89.24%
Conmed Corporation    (COMMON STOCKCNMD10,0805,359
Added4,721
88.09%
Royal Caribbean Cruises Limited    RCL18,71310,086
Added8,627
85.53%
Southwest Gas Holdings Inc    (COMMSWX29,88816,185
Added13,703
84.66%
Waddell & Reed Financial Inc.-CL A   &nbWDR151,90782,698
Added69,209
83.68%
Constellation Brands Inc - A    (COSTZ55,11830,369
Added24,749
81.49%
Daktronics Inc    (COMMON STOCK)DAKT27,58815,438
Added12,150
78.70%
SRC Energy Inc    (COMMON STOCK)71,63340,099
Added31,534
78.64%
Perspecta Inc    (COMMON STOCK)92,97452,080
Added40,894
78.52%
Lydall Incorporated    (COMMON STOCLDL39,69922,406
Added17,293
77.18%
CSG Systems International Incorporated   CSGS34,87820,164
Added14,714
72.97%
Anika Therapeutics Inc    (COMMON SANIK30,70217,787
Added12,915
72.60%
Peabody Energy Corp    (COMMON STOC140,68683,263
Added57,423
68.96%
Knowles Corp    (COMMON STOCK)KN73,48843,648
Added29,840
68.36%
LKQ Corp    (COMMON STOCK)LKQX253,571153,499
Added100,072
65.19%
Veoneer Inc    (COMMON STOCK)31,87319,487
Added12,386
63.56%
Gilead Sciences Inc    (COMMON STOCGILD72,93544,812
Added28,123
62.75%
Amicus Therapeutics Inc    (COMMON FOLD49,15630,305
Added18,851
62.20%
Avnet Incorporated    (COMMON STOCKAVT169,757105,615
Added64,142
60.73%
Westport Fuel Systems Inc    (COMMOWPRT113,48772,517
Added40,970
56.49%
Ringcentral Inc-class A    (COMMON RNG51,94133,339
Added18,602
55.79%
Graphic Packaging Holding Co    (COGPK146,70394,168
Added52,535
55.78%
Vista Outdoor Inc    (COMMON STOCK)VSTO78,16050,878
Added27,282
53.62%
Waters Corporation    (COMMON STOCKWAT6,5324,336
Added2,196
50.64%
Twitter Inc    (COMMON STOCK)TWTR49,82333,477
Added16,346
48.82%
Cargurus Inc    (COMMON STOCK)40,42327,320
Added13,103
47.96%
Slack Technologies Inc- Cl A    (CO35,51924,045
Added11,474
47.71%
Verra Mobility Corp    (COMMON STOC49,81233,851
Added15,961
47.15%
Akamai Technologies    (COMMON STOCAKAM65,85244,807
Added21,045
46.96%
Retail Value Inc    (COMMON STOCK)16,51911,388
Added5,131
45.05%
Chuy's Holdings Inc    (COMMON STOCCHUY27,90919,250
Added8,659
44.98%
Topbuild Corp    (COMMON STOCK)31,58821,856
Added9,732
44.52%
Cytomx Therapeutics Inc    (COMMON 78,77954,878
Added23,901
43.55%
Solid Biosciences Inc    (COMMON ST30,16221,044
Added9,118
43.32%
Phototronics Inc.    (COMMON STOCK)PLAB29,13720,434
Added8,703
42.59%
Nordic American Tanker Ltd    (COMMNAT277,771194,939
Added82,832
42.49%
Alteryx Llc - A    (COMMON STOCK)37,67426,616
Added11,058
41.54%
Crocs Inc    (COMMON STOCK)CROX17,00312,160
Added4,843
39.82%
Wix.com Ltd    (COMMON STOCK)WIX19,30313,810
Added5,493
39.77%
Turning Point Brands Inc    (COMMON43,12530,953
Added12,172
39.32%
Okta Inc    (COMMON STOCK)27,86620,091
Added7,775
38.69%
Lululemon Athletica Inc    (COMMON LULU9,1986,663
Added2,535
38.04%
Teladoc Health Inc    (COMMON STOCK37,91827,786
Added10,132
36.46%
Catchmark Timber Trust Inc-a    (COCTT45,83233,610
Added12,222
36.36%
Lithia Motors Inc. - Class A    (COLAD22,86716,899
Added5,968
35.31%
CVR Energy Inc    (COMMON STOCK)CVI105,06877,670
Added27,398
35.27%
Arcus Biosciences Inc    (COMMON ST13,4239,960
Added3,463
34.76%
Quotient Ltd    (COMMON STOCK)QTNT87,82365,380
Added22,443
34.32%
Tencent Music Entertainm-adr    (CO20,28015,136
Added5,144
33.98%
Meritage Homes Corp    (COMMON STOCMTH39,78329,707
Added10,076
33.91%
Vipshop Holdings Ltd - Ads - ADR    VIPS20,60615,412
Added5,194
33.70%
Check Point Software Tech Ltd    (CCHKP75,10156,187
Added18,914
33.66%
Square Inc - A    (COMMON STOCK)58,02943,579
Added14,450
33.15%
The Ensign Group Inc    (COMMON STOENSG29,87722,474
Added7,403
32.94%
Pinterest Inc- Class A    (COMMON S100,80976,013
Added24,796
32.62%
Teekay Corp    (COMMON STOCK)TK93,73170,719
Added23,012
32.54%
McDonald's Corp    (COMMON STOCK)MCD16,18512,275
Added3,910
31.85%
Cognizant Technology Solutions Corporati  &nbCTSH161,380123,478
Added37,902
30.69%
Impinj Inc    (COMMON STOCK)51,73539,603
Added12,132
30.63%
Taylor Morrison Home Corp-a    (COMTMHC38,29829,680
Added8,618
29.03%
Glaukos Corp    (COMMON STOCK)37,26228,985
Added8,277
28.55%
Texas Roadhouse Inc - CL A    (COMMTXRH83,23065,184
Added18,046
27.68%
Restaurant Brands International Inc   &nQSR29,95823,499
Added6,459
27.48%
Western Digital Corporation    (COMWDC14,31211,234
Added3,078
27.39%
iShares TIPS Bond ETF    (COMMON STTIP191,091150,355
Added40,736
27.09%
Highwoods Properties Inc    (COMMONHIW19,71915,622
Added4,097
26.22%
PTC Inc    (COMMON STOCK)PMTC20,68716,400
Added4,287
26.14%
Vonage Holdings    (COMMON STOCK)VG599,153475,771
Added123,382
25.93%
Site Centers Corp    (COMMON STOCK)151,461120,397
Added31,064
25.80%
Godaddy Inc - Class A    (COMMON STGDDY70,80056,316
Added14,484
25.71%
Health Catalyst Inc    (COMMON STOC21,50317,191
Added4,312
25.08%
Installed Building Products    (COMIBP23,72618,977
Added4,749
25.02%
Glycomimetics Inc    (COMMON STOCK)GLYC41,65633,498
Added8,158
24.35%
Five Below    (COMMON STOCK)FIVE14,49111,717
Added2,774
23.67%
Anworth Mortgage Asset Corp    (COMANH33,28127,000
Added6,281
23.26%
Pebblebrook Hotel Trust    (COMMON PEB63,14951,339
Added11,810
23.00%
Supernus Pharmaceuticals Inc    (COSUPN43,24735,295
Added7,952
22.53%
Conduent Inc    (COMMON STOCK)CNDT12,91410,541
Added2,373
22.51%
Capstead Mortgage Corporation    (CCMO120,14998,749
Added21,400
21.67%
Skechers Usa Inc -Cl A    (COMMON SSKX78,82865,306
Added13,522
20.70%
Ryder Systems Incorporated    (COMMR29,83424,802
Added5,032
20.28%
Upland Software Inc    (COMMON STOCUPLD13,78011,467
Added2,313
20.17%
Incyte Corp.    (COMMON STOCK)INCY42,19635,330
Added6,866
19.43%
Ciena Corporation    (COMMON STOCK)CIEN25,79921,859
Added3,940
18.02%
Surmodics Inc    (COMMON STOCK)SRDX24,69020,923
Added3,767
18.00%
Alibaba Group Holding-sp Adr    (COBABA6,3235,362
Added961
17.92%
J & J Snack Food Corporation    (COJJSF4,5933,904
Added689
17.64%
Investors Bancorp Inc    (COMMON STISBC12,39710,546
Added1,851
17.55%
Home Depot Inc.    (COMMON STOCK)HD16,46014,085
Added2,375
16.86%
Entravision Communications Corp    EVC140,388120,507
Added19,881
16.49%
Alkermes Plc    (COMMON STOCK)ALKS44,59138,482
Added6,109
15.87%
Bank of New York Mellon Corp    (COBK85,75574,175
Added11,580
15.61%
Spirit Mta Reit    (COMMON STOCK)107,37692,936
Added14,440
15.53%
New Oriental Education and Technology - SP ADR &nbEDU7,2346,344
Added890
14.02%
AGNC Investment Corp    (COMMON STO61,60054,054
Added7,546
13.96%
Mallinckrodt Plc    (COMMON STOCK)MNK223,656198,460
Added25,196
12.69%
T-Mobile US Inc    (COMMON STOCK)TMUS4,1813,714
Added467
12.57%
Insmed Inc.    (COMMON STOCK)INSM19,41917,393
Added2,026
11.64%
Invacare Corporation    (COMMON STOIVC84,02675,367
Added8,659
11.48%
Allergan plc    (COMMON STOCK)AGN620,090561,500
Added58,590
10.43%
Acadia Realty Trust    (COMMON STOCAKR163,349148,749
Added14,600
9.81%
Gtt Communications Inc    (COMMON SGTT61,97056,479
Added5,491
9.72%
Wisdomtree Investments Inc    (COMMWSDT122,782112,561
Added10,221
9.08%
Sprout Social Inc - Class A    (COM45,27541,512
Added3,763
9.06%
Brightcove    (COMMON STOCK)BCOV69,72264,000
Added5,722
8.94%
Dorian Lpg Ltd    (COMMON STOCK)LPG61,95957,031
Added4,928
8.64%
Costar Group Inc    (COMMON STOCK)CSGP3,2042,960
Added244
8.24%
Comerica Incorporated    (COMMON STCMA51,85447,963
Added3,891
8.11%
Rogers Corporation    (COMMON STOCKROG13,71512,885
Added830
6.44%
Oceaneering Intl Inc    (COMMON STOOII158,120149,460
Added8,660
5.79%
Retail Properties Of Ame - A    (CORPAI332,639316,445
Added16,194
5.11%
MBIA Incorporated    (COMMON STOCK)MBI257,727245,414
Added12,313
5.01%
Gain Capital Holdings Inc    (COMMOGCAP37,67036,165
Added1,505
4.16%
Ambarella Inc    (COMMON STOCK)AMBA100,74696,733
Added4,013
4.14%
Shutterstock Inc    (COMMON STOCK)SSTK31,49630,289
Added1,207
3.98%
Homestreet Inc    (COMMON STOCK)HMST11,35010,920
Added430
3.93%
Tal Education Group- Adr    (COMMONXRS7,5237,255
Added268
3.69%
Jd.com Inc-adr    (COMMON STOCK)JD15,80315,412
Added391
2.53%
Mantech    (COMMON STOCK)MANT12,48012,238
Added242
1.97%
Orbcomm Inc    (COMMON STOCK)ORBC75,78774,492
Added1,295
1.73%
Westamerica Bancorporation    (COMMWABC12,93912,768
Added171
1.33%
Portola Pharmaceuticals Inc    (COMPTLA83,89182,788
Added1,103
1.33%
Takeda Pharmaceutic-sp Adr    (COMMTKPYY437,923436,472
Added1,451
0.33%
CME Group Inc    (COMMON STOCK)CME60,01160,065
Reduced54
0.08%
HollyFrontier Corp    (COMMON STOCKHFC92,05892,522
Reduced464
0.50%
Rush Enterprises Inc - CL A    (COMRUSHA8,1338,178
Reduced45
0.55%
Oxford Inds Inc    (COMMON STOCK)OXM8,6558,703
Reduced48
0.55%
Forum Energy Technologies In    (COFET275,190277,790
Reduced2,600
0.93%
SYNNEX CORP    (COMMON STOCK)SNX38,36538,776
Reduced411
1.05%
PC - Tel Inc.    (COMMON STOCK)PCTI31,61131,973
Reduced362
1.13%
Fiveprime Therapeutics Inc    (COMMFPRX90,60491,667
Reduced1,063
1.15%
Retrophin Inc    (COMMON STOCK)RTRX97,11598,485
Reduced1,370
1.39%
Pacific Gas & Elec Co    (COMMON STPCG17,94318,299
Reduced356
1.94%
Axalta Coating Systems Ltd    (COMMAXTA43,42244,361
Reduced939
2.11%
Consolidated Communications    (COMCNSL126,462129,212
Reduced2,750
2.12%
Paramount Group Inc    (COMMON STOCPGRE136,823140,309
Reduced3,486
2.48%
Dime Community Bancshares    (COMMODCOM11,18811,487
Reduced299
2.60%
New York Times Company - CL A    (CNYT72,90074,880
Reduced1,980
2.64%
Big 5 Sporting Goods Corp    (COMMOBGFV45,67947,179
Reduced1,500
3.17%
Ducommun Inc.    (COMMON STOCK)DCO21,43822,291
Reduced853
3.82%
Natus Medical Inc    (COMMON STOCK)BABY11,95012,612
Reduced662
5.24%
Advansix Inc    (COMMON STOCK)55,81958,926
Reduced3,107
5.27%
TD Ameritrade Holding Corp    (COMMAMTD14,77015,594
Reduced824
5.28%
Materion Corp    (COMMON STOCK)MTRN30,03931,979
Reduced1,940
6.06%
American Public Education    (COMMOAPEI11,52812,277
Reduced749
6.10%
OIL STS INTL INC    (COMMON STOCK)OIS38,37740,891
Reduced2,514
6.14%
Pra Health Sciences Inc    (COMMON PRAH13,65014,548
Reduced898
6.17%
Ashford Hospitality Trust Inc    (CAHT135,824145,396
Reduced9,572
6.58%
Reliance Steel & Aluminum Company   &nbsRS33,01535,495
Reduced2,480
6.98%
ANI Pharmaceuticals Inc    (COMMON ANIP6,7787,299
Reduced521
7.13%
Whiting Petroleum Corp    (COMMON S30,40432,745
Reduced2,341
7.14%
Cirrus Logic Incorporated    (COMMOCRUS18,99320,618
Reduced1,625
7.88%
Avalara Inc    (COMMON STOCK)15,54916,890
Reduced1,341
7.93%
Farmer Brothers Company    (COMMON FARM23,61725,875
Reduced2,258
8.72%
Corcept Therapeutics Inc    (COMMONCORT159,454175,362
Reduced15,908
9.07%
Ritchie Bros. Auctioneers Incorporated   RBA55,09460,596
Reduced5,502
9.07%
Condor Hospitality Trust Inc    (CO26,86529,598
Reduced2,733
9.23%
Bloom Energy Corp- A    (COMMON STO25,93328,668
Reduced2,735
9.54%
Columbia Property Trust Inc    (COMCXP72,47880,167
Reduced7,689
9.59%
Ultra Clean Holdings    (COMMON STOUCTT81,17889,838
Reduced8,660
9.63%
Commercial Metals Company    (COMMOCMC276,364306,236
Reduced29,872
9.75%
Pico Holdings Incorporated    (COMMPICO17,50219,405
Reduced1,903
9.80%
Dril-Quip    (COMMON STOCK)DRQ52,80358,576
Reduced5,773
9.85%
Commvault Systems Inc    (COMMON STCVLT20,32122,627
Reduced2,306
10.19%
On Deck Capital Inc    (COMMON STOCONDK140,763157,244
Reduced16,481
10.48%
Murphy Oil Corporation    (COMMON SMUR151,822170,916
Reduced19,094
11.17%
Perdoceo Education Corp    (COMMON 50,56557,105
Reduced6,540
11.45%
MTS Systems Corporation    (COMMON MTSC17,22319,460
Reduced2,237
11.49%
Coupa Software Inc    (COMMON STOCK14,15516,097
Reduced1,942
12.06%
Genmark Diagnostics Inc    (COMMON GNMK107,750122,981
Reduced15,231
12.38%
Modine Manufacturing Company    (COMOD33,69538,518
Reduced4,823
12.52%
Re/max Holdings Inc-cl A    (COMMONRMAX12,51014,368
Reduced1,858
12.93%
Cato Corp New (CL A)    (COMMON STOCTR49,79457,380
Reduced7,586
13.22%
Univar Solutions Inc    (COMMON STO9,24210,656
Reduced1,414
13.26%
PDL BioPharma Inc    (COMMON STOCK)PDLI113,734131,777
Reduced18,043
13.69%
Avaya Holdings Corp    (COMMON STOC105,713122,544
Reduced16,831
13.73%
World Fuel Services Corporation    INT22,11625,647
Reduced3,531
13.76%
Medley Capital Corp    (COMMON STOCMCC13,01215,093
Reduced2,081
13.78%
New Jersey Res Corp    (COMMON STOCNJR8,88010,338
Reduced1,458
14.10%
United Insurance Holdings Co    (COUIHC35,40641,262
Reduced5,856
14.19%
Green Plains Inc    (COMMON STOCK)GPRE80,35193,673
Reduced13,322
14.22%
SpartanNash Co    (COMMON STOCK)SPTN34,78040,583
Reduced5,803
14.29%
Clearway Energy Inc    (COMMON STOC16,18918,901
Reduced2,712
14.34%
Walmart Inc    (COMMON STOCK)WMT18,81922,025
Reduced3,206
14.55%
ADTRAN Incorporated    (COMMON STOCADTN10,34112,136
Reduced1,795
14.79%
Valvoline Inc    (COMMON STOCK)VVV59,68370,299
Reduced10,616
15.10%
Forescout Technologies Inc    (COMM28,69233,936
Reduced5,244
15.45%
Geo Group Inc/The    (COMMON STOCK)GEO73,04187,164
Reduced14,123
16.20%
Acuity Brands Inc    (COMMON STOCK)AYI15,82018,958
Reduced3,138
16.55%
Corepoint Lodging Inc    (COMMON ST53,55464,776
Reduced11,222
17.32%
Genpact Ltd    (COMMON STOCK)G111,041134,338
Reduced23,297
17.34%
VERINT SYS INC    (COMMON STOCK)VRNT31,22738,164
Reduced6,937
18.17%
Wabtec Corporation    (COMMON STOCKWAB2,9193,568
Reduced649
18.18%
Ennis Inc    (COMMON STOCK)EBF17,24721,093
Reduced3,846
18.23%
Zendesk Inc    (COMMON STOCK)ZEN145,343179,162
Reduced33,819
18.87%
Universal Electronics Inc    (COMMOUEIC9,53411,808
Reduced2,274
19.25%
Manitowoc Company Inc.    (COMMON S50,40662,866
Reduced12,460
19.81%
STAAR Surgical Company    (COMMON SSTAA37,01146,213
Reduced9,202
19.91%
Comfort Systems USA Inc    (COMMON FIX24,62730,763
Reduced6,136
19.94%
Care.com Inc    (COMMON STOCK)CRCM63,90179,966
Reduced16,065
20.08%
Garrett Motion Inc    (COMMON STOCK128,582161,455
Reduced32,873
20.36%
WD-40 Company    (COMMON STOCK)WDFC1,5691,975
Reduced406
20.55%
NIC INC    (COMMON STOCK)EGOV41,89552,912
Reduced11,017
20.82%
Spok Holdings Inc    (COMMON STOCK)SPOK31,42539,707
Reduced8,282
20.85%
Altice Usa Inc- A    (COMMON STOCK)22,72328,722
Reduced5,999
20.88%
RADWARE Ltd.    (COMMON STOCK)RDWR15,66419,823
Reduced4,159
20.98%
Eagle Materials Inc    (COMMON STOCEXP3,1774,033
Reduced856
21.22%
Public Storage    (COMMON STOCK)PSA47,58060,929
Reduced13,349
21.90%
TJX Companies Inc.    (COMMON STOCKTJX26,62534,139
Reduced7,514
22.01%
Mercer Intl Inc (Sh Ben Int)    (COMERC60,32477,581
Reduced17,257
22.24%
NetFlix Inc.    (COMMON STOCK)NFLX7,81410,147
Reduced2,333
22.99%
Fortive Corp    (COMMON STOCK)FTV6,2248,086
Reduced1,862
23.02%
Forterra Inc    (COMMON STOCK)49,62564,730
Reduced15,105
23.33%
AMAG Pharmaceuticals Inc    (COMMONAMAG30,73540,532
Reduced9,797
24.17%
Aerojet Rocketdyne Holdings Inc    12,03615,873
Reduced3,837
24.17%
Seagate Technology    (COMMON STOCKSTX49,04464,959
Reduced15,915
24.50%
Carriage Services Inc - CL A    (COCSV32,46143,113
Reduced10,652
24.70%
TTEC Holdings Inc    (COMMON STOCK)24,18332,121
Reduced7,938
24.71%
Alexion Pharmaceuticals Incorporated   &ALXN66,97089,071
Reduced22,101
24.81%
Gibraltar Industries Inc    (COMMONROCK27,33036,424
Reduced9,094
24.96%
Teradyne Inc    (COMMON STOCK)TER16,06721,420
Reduced5,353
24.99%
Heico Corp-Cl. A    (COMMON STOCK)HEI/A28,10537,485
Reduced9,380
25.02%
Accuray Inc    (COMMON STOCK)ARAY101,293135,533
Reduced34,240
25.26%
Central Pacific Financial Corp    (CPF23,01430,830
Reduced7,816
25.35%
Hilton Grand Vacations    (COMMON S85,149114,340
Reduced29,191
25.52%
Herbalife Nutrition Ltd    (COMMON HLF34,25546,156
Reduced11,901
25.78%
Vistra Energy Corp    (COMMON STOCK10,01313,504
Reduced3,491
25.85%
General Dynamics Corp    (COMMON STGD34,03245,970
Reduced11,938
25.96%
La-Z-Boy Incorporated    (COMMON STLZB56,10276,454
Reduced20,352
26.61%
Progress Software Corporation    (CPRGS16,07121,935
Reduced5,864
26.73%
Caleres Inc    (COMMON STOCK)52,86372,416
Reduced19,553
27.00%
Zynga Inc    (COMMON STOCK)ZNGA972,2781,339,933
Reduced367,655
27.43%
UMB Financial Corp.    (COMMON STOCUMBF9,41312,984
Reduced3,571
27.50%
Amkor Technology Incorporated    (CAMKR40,16055,955
Reduced15,795
28.22%
MDC Partners Inc - A    (COMMON STOMDCA41,18257,425
Reduced16,243
28.28%
Atrion Corporation    (COMMON STOCKATRI381532
Reduced151
28.38%
Dick's Sporting Goods Inc    (COMMODKS33,28146,710
Reduced13,429
28.74%
Evertec Inc    (COMMON STOCK)EVTC9,60213,516
Reduced3,914
28.95%
Lennar Corporation    (COMMON STOCKLEN10,90415,366
Reduced4,462
29.03%
Veeva Systems Inc-class A    (COMMOVEEV16,12922,766
Reduced6,637
29.15%
Nu Skin Enterprises Inc. - A    (CONUS12,95918,329
Reduced5,370
29.29%
Solarwinds Corp    (COMMON STOCK)42,84660,724
Reduced17,878
29.44%
DuPont de Nemours Inc    (COMMON ST35,44150,240
Reduced14,799
29.45%
Lowe's Companies Incorporated    (CLOW19,75428,019
Reduced8,265
29.49%
UDR Inc    (COMMON STOCK)UDR41,32659,442
Reduced18,116
30.47%
RH    (COMMON STOCK)3,7555,431
Reduced1,676
30.85%
OLYMPIC STL INC    (COMMON STOCK)ZEUS18,68727,123
Reduced8,436
31.10%
DHI Group Inc    (COMMON STOCK)DHX22,42832,601
Reduced10,173
31.20%
Six Flags Entertainment Corp    (COSIX16,55124,080
Reduced7,529
31.26%
Carvana Co    (COMMON STOCK)8,14511,869
Reduced3,724
31.37%
FirstCash Inc    (COMMON STOCK)34,93552,173
Reduced17,238
33.04%
Copart Incorporated    (COMMON STOCCPRT12,13418,187
Reduced6,053
33.28%
Vanda Pharmaceuticals Inc    (COMMOVNDA88,798133,417
Reduced44,619
33.44%
Sps Commerce Inc    (COMMON STOCK)SPSC27,20741,359
Reduced14,152
34.21%
Haynes International Inc    (COMMONHAYN7,28411,080
Reduced3,796
34.25%
EMCOR Group Incorporated    (COMMONEME12,53419,111
Reduced6,577
34.41%
Altra Industrial Motion Corp    (COAIMC24,58537,523
Reduced12,938
34.48%
Cedar Realty Trust Inc    (COMMON SCDR97,789150,221
Reduced52,432
34.90%
Keurig Dr Pepper Inc    (COMMON STO52,74581,107
Reduced28,362
34.96%
Kinross Gold Corporation    (COMMONKGC11,04017,077
Reduced6,037
35.35%
Marten Transport Limited    (COMMONMRTN17,64827,511
Reduced9,863
35.85%
Vertiv Holdings LLC- A    (WARRANT)66,666104,347
Reduced37,681
36.11%
Newell Brands Inc    (COMMON STOCK)NWL96,924153,049
Reduced56,125
36.67%
California Water Service Group    (CWT11,51718,258
Reduced6,741
36.92%
Seattle Genetics Inc /WA    (COMMONSGEN12,73420,233
Reduced7,499
37.06%
Radius Health Inc    (COMMON STOCK)RDUS71,688114,411
Reduced42,723
37.34%
Moody's Corporation    (COMMON STOCMCO1,4542,324
Reduced870
37.43%
Equitable Holdings Inc    (COMMON S12,95320,752
Reduced7,799
37.58%
Atlantic Power Corp    (COMMON STOCATLIF11,43018,353
Reduced6,923
37.72%
Netscout Systems Inc    (COMMON STONTCT38,09161,359
Reduced23,268
37.92%
Nordstrom Inc    (COMMON STOCK)JWN34,90356,563
Reduced21,660
38.29%
Quanex Building Products    (COMMONNX21,91135,933
Reduced14,022
39.02%
Sprouts Farmers Market Inc    (COMMSFM177,960292,310
Reduced114,350
39.11%
Brigham Minerals Inc-cl A    (COMMO61,785101,981
Reduced40,196
39.41%
Yelp Inc    (COMMON STOCK)YELP104,805173,397
Reduced68,592
39.55%
Dollar General Corp    (COMMON STOCDG8,89814,732
Reduced5,834
39.60%
Contura Energy Inc    (COMMON STOCK30,46550,626
Reduced20,161
39.82%
Intuit Incorporated    (COMMON STOCINTU12,64021,053
Reduced8,413
39.96%
Daseke Inc    (COMMON STOCK)17,54629,319
Reduced11,773
40.15%
Gentherm Inc    (COMMON STOCK)THRM8,58014,367
Reduced5,787
40.27%
Washington Prime Group Inc    (COMM24,73941,466
Reduced16,727
40.33%
Crowdstrike Holdings Inc - A    (CO35,15759,521
Reduced24,364
40.93%
NuVasive Inc    (COMMON STOCK)NUVA13,29222,508
Reduced9,216
40.94%
American Assets Trust Inc    (COMMOAAT50,84886,258
Reduced35,410
41.05%
Evolus Inc    (COMMON STOCK)34,79759,064
Reduced24,267
41.08%
Cavco Industries Inc    (COMMON STOCVCO4,2337,204
Reduced2,971
41.24%
Trade Desk Inc/the -class A    (COM7,29012,425
Reduced5,135
41.32%
Reata Pharmaceuticals Inc-a    (COM8,26614,176
Reduced5,910
41.69%
Malibu Boats Inc - A    (COMMON STOMBUU29,58051,229
Reduced21,649
42.25%
Us Foods Holding Corp    (COMMON STUSFD71,005123,658
Reduced52,653
42.57%
NAPCO Security Technologies In    (NSSC9,77717,042
Reduced7,265
42.62%
Orthofix Medical Inc    (COMMON STO15,35526,939
Reduced11,584
43.00%
Rigel Pharmaceuticals Inc    (COMMORIGL139,010244,091
Reduced105,081
43.04%
Five Point Holdings Llc-cl A    (CO24,57043,300
Reduced18,730
43.25%
Extra Space Storage Inc    (COMMON EXR70,016123,936
Reduced53,920
43.50%
Hersha Hospitality Trust    (COMMON32,66957,838
Reduced25,169
43.51%
Sirius XM Holdings Inc    (COMMON SSIRI152,504270,115
Reduced117,611
43.54%
Circuit City Stores Inc-CarMax Group   &KMX70,473124,913
Reduced54,440
43.58%
Medifast Inc.    (COMMON STOCK)MED16,62729,500
Reduced12,873
43.63%
Outfront Media Inc    (COMMON STOCKOUT30,77954,773
Reduced23,994
43.80%
Sea Ltd-adr    (COMMON STOCK)21,96539,162
Reduced17,197
43.91%
Selective Insurance Group Incorporated   SIGI10,53818,940
Reduced8,402
44.36%
Triple-s Management Corp-b    (COMMGTS32,28358,099
Reduced25,816
44.43%
Avon Products Incorporated    (COMMAVP1,171,3002,118,000
Reduced946,700
44.69%
Kearny Financial Corp    (COMMON ST69,539126,005
Reduced56,466
44.81%
Amc Entertainment Hlds-cl A    (COMAMC71,703130,100
Reduced58,397
44.88%
Nucor Corporation    (COMMON STOCK)NUE5,2179,467
Reduced4,250
44.89%
M&T Bank Corporation    (COMMON STOMTB27,04649,275
Reduced22,229
45.11%
Endurance International Grou    (COEIGI43,43579,158
Reduced35,723
45.12%
Diversified Healthcare Trust    (CO10,96420,000
Reduced9,036
45.18%
Rite Aid Incorporated    (COMMON ST10,71619,565
Reduced8,849
45.22%
Clearway Energy Inc-class C    (COM58,507107,171
Reduced48,664
45.40%
Continental Resources Inc    (COMMOCLR35,64965,671
Reduced30,022
45.71%
Adient Plc    (COMMON STOCK)ADNT42,94179,120
Reduced36,179
45.72%
DaVita Inc    (COMMON STOCK)DVA73,585136,827
Reduced63,242
46.22%
Manhattan Associates Incorporated   &nbsMANH12,69323,642
Reduced10,949
46.31%
Perficient Inc    (COMMON STOCK)PRFT21,12839,604
Reduced18,476
46.65%
Landstar System Incorporated    (COLSTR12,61323,740
Reduced11,127
46.87%
City Holding Company    (COMMON STOCHCO5,96111,264
Reduced5,303
47.07%
Group 1 Automotive Incorporated    GPI12,84824,281
Reduced11,433
47.08%
Preferred Apartment Commun-a    (COAPTS12,45223,677
Reduced11,225
47.40%
Powell Industries Inc.    (COMMON SPOWL5,25310,014
Reduced4,761
47.54%
Iron Mountain Inc.    (COMMON STOCKIRM9,08917,327
Reduced8,238
47.54%
Editas Medicine Inc    (COMMON STOC23,35344,573
Reduced21,220
47.60%
Diamondback Energy Inc    (COMMON SFANG16,38731,389
Reduced15,002
47.79%
Masco Corporation    (COMMON STOCK)MAS21,26141,411
Reduced20,150
48.65%
Unifirst Corp STK    (COMMON STOCK)UNF1,4452,820
Reduced1,375
48.75%
Alexandria Real Estate Equities Inc   &nARE22,60044,128
Reduced21,528
48.78%
Organogenesis Holdings Inc    (COMM15,00029,497
Reduced14,497
49.14%
Northwest Bancshares Inc    (COMMONNWBI27,73054,611
Reduced26,881
49.22%
Cabot Oil & Gas Corporation-CL A    COG11,38922,465
Reduced11,076
49.30%
Tpi Composites Inc    (COMMON STOCK28,02955,308
Reduced27,279
49.32%
Citi Trends Inc    (COMMON STOCK)CTRN12,40524,860
Reduced12,455
50.10%
Achillion Pharmaceuticals    (COMMOACHN90,270182,438
Reduced92,168
50.52%
Vanguard Intermediate-Term Corporate Bond ETF &nbsVCIT2,4334,953
Reduced2,520
50.87%
Cloudera Inc    (COMMON STOCK)34,99971,685
Reduced36,686
51.17%
Charles River Laboratories    (COMMCRL2,5275,190
Reduced2,663
51.31%
Arconic Inc    (COMMON STOCK)13,63528,163
Reduced14,528
51.58%
Hubspot Inc    (COMMON STOCK)HUBS6,35713,286
Reduced6,929
52.15%
Schnitzer Steel Industries Inc    (SCHN17,00135,836
Reduced18,835
52.55%
Luckin Coffee Inc - ADR    (COMMON 13,53928,674
Reduced15,135
52.78%
Sanmina Corp    (COMMON STOCK)SANM32,69769,296
Reduced36,599
52.81%
Forward Air Corporation    (COMMON FWRD13,19328,197
Reduced15,004
53.21%
Xilinx Incorporated    (COMMON STOCXLNX31,23566,862
Reduced35,627
53.28%
Sanderson Farms Incorporated    (COSAFM13,43729,141
Reduced15,704
53.88%
Aquestive Therapeutics Inc    (COMM102,345222,599
Reduced120,254
54.02%
Oracle Corporation    (COMMON STOCKORCL138,343301,774
Reduced163,431
54.15%
D R Horton Incorporated    (COMMON DHI82,571181,014
Reduced98,443
54.38%
SPDR S&P 500 ETF Trust    (COMMON SSPY488,7851,077,943
Reduced589,158
54.65%
Rev Group Inc    (COMMON STOCK)13,13729,237
Reduced16,100
55.06%
Tanger Factory Outlet Centers Inc.   &nbSKT14,11231,610
Reduced17,498
55.35%
Federated Hermes Inc - CL B    (COMFII17,93840,275
Reduced22,337
55.46%
Meredith Corp    (COMMON STOCK)MDP15,77235,545
Reduced19,773
55.62%
Insulet Corp    (COMMON STOCK)PODD2,5865,871
Reduced3,285
55.95%
Cinemark Holdings Inc    (COMMON STCNK127,939293,541
Reduced165,602
56.41%
Solaredge Technologies Inc    (COMM3,8378,822
Reduced4,985
56.50%
TETRA Technologies Inc.    (COMMON TTI14,40733,219
Reduced18,812
56.63%
Tempur Sealy International Inc    (TPX3,7108,650
Reduced4,940
57.10%
Bristol Myers Squibb Company    (COBMY90,000210,000
Reduced120,000
57.14%
WOLVERINE WORLD WIDE INC    (COMMONWWW23,29854,454
Reduced31,156
57.21%
Hain Celestial Group Inc    (COMMONHAIN26,08261,198
Reduced35,116
57.38%
Grocery Outlet Holding Corp    (COM22,10351,994
Reduced29,891
57.48%
Cardiovascular Systems Inc    (COMMCSII8,82120,997
Reduced12,176
57.98%
Bandwidth Inc-class A    (COMMON ST12,46729,954
Reduced17,487
58.37%
Atlassian Corp Plc-class A    (COMMTEAM46,338112,345
Reduced66,007
58.75%
Occidental Petroleum Corp    (COMMOOXY53,079129,047
Reduced75,968
58.86%
Adt Inc    (COMMON STOCK)156,072379,989
Reduced223,917
58.92%
SBA Communications Corp    (COMMON 7,11517,332
Reduced10,217
58.94%
Applied Materials Incorporated    (AMAT68,340167,187
Reduced98,847
59.12%
Domo Inc - Class B    (COMMON STOCK41,495102,107
Reduced60,612
59.36%
Irhythm Technologies Inc    (COMMON45,301111,491
Reduced66,190
59.36%
Cenovus Energy Inc    (COMMON STOCKCVE51,061126,014
Reduced74,953
59.47%
Etsy Inc    (COMMON STOCK)ETSY11,29328,019
Reduced16,726
59.69%
Heartland Express Inc.    (COMMON SHTLD14,70536,656
Reduced21,951
59.88%
Texas Capital Bancshares Inc    (COTCBI13,38933,544
Reduced20,155
60.08%
Verisign Inc.    (COMMON STOCK)VRSN14,60837,270
Reduced22,662
60.80%
Entercom Comm Corp    (COMMON STOCKETM54,686140,514
Reduced85,828
61.08%
General Motors Co    (COMMON STOCK)GM21,91556,425
Reduced34,510
61.16%
IQVIA Holdings Inc    (COMMON STOCK5,44814,123
Reduced8,675
61.42%
ITT INC    (COMMON STOCK)3,93210,268
Reduced6,336
61.70%
Simply Good Foods Co/the    (COMMON54,478143,644
Reduced89,166
62.07%
Century Aluminum Co    (COMMON STOCCENX21,64057,332
Reduced35,692
62.25%
Emerald Expositions Events I    (CO27,53373,320
Reduced45,787
62.44%
CoreCivic Inc    (COMMON STOCK)77,954208,600
Reduced130,646
62.62%
Cardlytics Inc    (COMMON STOCK)29,76379,668
Reduced49,905
62.64%
Employers Holdings Inc    (COMMON SEIG10,46528,177
Reduced17,712
62.85%
Colony Capital Inc-class A    (COMM127,152350,000
Reduced222,848
63.67%
Tricida Inc    (COMMON STOCK)12,49034,497
Reduced22,007
63.79%
Federal Realty Investors Trust    (FRT23,61065,348
Reduced41,738
63.87%
Elf Beauty Inc    (COMMON STOCK)23,26764,529
Reduced41,262
63.94%
Immunomedics Incorporated    (COMMOIMMU13,91438,632
Reduced24,718
63.98%
Sealed Air Corporation    (COMMON SSEE17,40948,354
Reduced30,945
63.99%
Eagle Pharmaceuticals Inc    (COMMOEGRX7,42520,778
Reduced13,353
64.26%
Berry Global Group Inc    (COMMON SBERY25,36471,358
Reduced45,994
64.45%
Primerica Inc    (COMMON STOCK)PRI7,70321,960
Reduced14,257
64.92%
EOG Resources Inc.    (COMMON STOCKEOG23,04465,784
Reduced42,740
64.97%
Monster Beverage Corp    (COMMON STMNST24,76970,987
Reduced46,218
65.10%
Sleep Number Corp    (COMMON STOCK)46,803134,400
Reduced87,597
65.17%
Amazon.Com Incorporated    (COMMON AMZN3,84111,088
Reduced7,247
65.35%
Matrix Service Company    (COMMON SMTRX22,81066,452
Reduced43,642
65.67%
Lattice Semiconductor Corporation   &nbsLSCC11,09532,357
Reduced21,262
65.71%
Libbey Incorporated    (COMMON STOCLBY10,62331,893
Reduced21,270
66.69%
Acadia Pharmaceuticals Inc    (COMMACAD44,793135,365
Reduced90,572
66.90%
Humana Inc.    (COMMON STOCK)HUM4,97615,261
Reduced10,285
67.39%
Worthington Industries Incorporated   &nWOR8,23425,357
Reduced17,123
67.52%
Global Medical Reit Inc    (COMMON 17,69254,537
Reduced36,845
67.55%
BBX Capital Corp.    (COMMON STOCK)43,171135,226
Reduced92,055
68.07%
Unum Group    (COMMON STOCK)UNM69,650221,481
Reduced151,831
68.55%
Campbell Soup Company    (COMMON STCPB9,37930,186
Reduced20,807
68.92%
Voya Financial Inc    (COMMON STOCKVOYA12,42040,101
Reduced27,681
69.02%
Imax Corporation    (COMMON STOCK)IMAX23,16175,042
Reduced51,881
69.13%
Novagold Resources Inc.    (COMMON NG56,957184,861
Reduced127,904
69.18%
American Finance Trust Inc    (COMM13,08242,460
Reduced29,378
69.18%
Lumentum Holdings Inc    (COMMON ST9,84131,977
Reduced22,136
69.22%
Goldman Sachs Inc    (COMMON STOCK)GS15,72951,300
Reduced35,571
69.33%
Cloudflare Inc - Class A    (COMMON78,156256,100
Reduced177,944
69.48%
Qualcomm Incorporated    (COMMON STQCOM22,96676,834
Reduced53,868
70.10%
Anthem Inc    (COMMON STOCK)ANTM13,92446,768
Reduced32,844
70.22%
Phreesia Inc    (COMMON STOCK)27,68593,281
Reduced65,596
70.32%
Marathon Oil Corp    (COMMON STOCK)MRO120,448408,916
Reduced288,468
70.54%
Mongodb Inc    (COMMON STOCK)30,133104,712
Reduced74,579
71.22%
Mastercard Inc    (COMMON STOCK)MA9,17132,070
Reduced22,899
71.40%
Tapestry Inc    (COMMON STOCK)42,722150,000
Reduced107,278
71.51%
South State Corp    (COMMON STOCK)SSB3,31911,682
Reduced8,363
71.58%
Kilroy Realty Corporation    (COMMOKRC36,715129,567
Reduced92,852
71.66%
Gogo Inc    (COMMON STOCK)GOGO20,92674,235
Reduced53,309
71.81%
Liberty Property Trust    (COMMON SLRY35,481126,476
Reduced90,995
71.94%
Core-Mark Holding Co Inc    (COMMONCORE8,42930,234
Reduced21,805
72.12%
Walt Disney Co/the    (COMMON STOCKDIS91,457328,976
Reduced237,519
72.19%
Best Inc - Adr    (COMMON STOCK)12,43244,993
Reduced32,561
72.36%
Gentex Corp    (COMMON STOCK)GNTX66,145239,389
Reduced173,244
72.36%
Foundation Building Material    (CO10,49038,801
Reduced28,311
72.96%
Polaris Inc    (COMMON STOCK)PII13,50250,150
Reduced36,648
73.07%
Qep Resources Inc    (COMMON STOCK)QEP16,17860,238
Reduced44,060
73.14%
Palomar Holdings Inc    (COMMON STO7,07826,514
Reduced19,436
73.30%
PolyOne Corporation    (COMMON STOCPOL13,52251,212
Reduced37,690
73.59%
Greensky Inc-class A    (COMMON STO23,35488,641
Reduced65,287
73.65%
Keysight Technologies Inc    (COMMOKEYS6,30224,299
Reduced17,997
74.06%
Parsley Energy Inc-class A    (COMMPE32,128124,992
Reduced92,864
74.29%
Prothena Corp Plc    (COMMON STOCK)PRTA11,85247,045
Reduced35,193
74.80%
Us Silica Holdings Inc    (COMMON SSLCA40,080159,796
Reduced119,716
74.91%
Regis Corporation    (COMMON STOCK)RGS13,91156,392
Reduced42,481
75.33%
TransUnion    (COMMON STOCK)21,67291,136
Reduced69,464
76.22%
Pjt Partners Inc - A    (COMMON STO50,000216,325
Reduced166,325
76.88%
Pbf Energy Inc    (COMMON STOCK)PBF30,603133,021
Reduced102,418
76.99%
Fastly Inc - Class A    (COMMON STO15,10766,666
Reduced51,559
77.33%
Madrigal Pharmaceuticals Inc    (CO5,58924,673
Reduced19,084
77.34%
Spirit Realty Capital Inc    (COMMO32,574144,728
Reduced112,154
77.49%
Ball Corporation    (COMMON STOCK)BLL10,63647,311
Reduced36,675
77.51%
Performance Food Group Co    (COMMOPFGC10,01645,000
Reduced34,984
77.74%
Tractor Supply Co    (COMMON STOCK)TSCO21,56398,489
Reduced76,926
78.10%
Biomarin Pharmaceutical Inc.    (COBMRN8,03636,807
Reduced28,771
78.16%
Evoqua Water Technologies Co    (CO21,794100,256
Reduced78,462
78.26%
Braemar Hotels & Resorts Inc    (CO24,177116,016
Reduced91,839
79.16%
Viavi Solutions Inc    (COMMON STOCVIAV25,842124,207
Reduced98,365
79.19%
Pure Storage Inc - Class A    (COMM20,907101,182
Reduced80,275
79.33%
Lendingclub Corp    (COMMON STOCK)14,12368,452
Reduced54,329
79.36%
Resideo Technologies Inc    (COMMON11,48056,489
Reduced45,009
79.67%
Tyson Foods Inc-- Class A    (COMMOTSN3,95720,311
Reduced16,354
80.51%
Meridian Bioscience Inc    (COMMON VIVO18,16293,360
Reduced75,198
80.54%
Inogen Inc    (COMMON STOCK)INGN9,73250,558
Reduced40,826
80.75%
Ubiquiti Inc    (COMMON STOCK)3,65419,165
Reduced15,511
80.93%
Cadence Design Systems Incorporated   &nCDNS12,20264,161
Reduced51,959
80.98%
Steel Dynamics Incorporated    (COMSTLD12,82967,481
Reduced54,652
80.98%
Cooper Tire & Rubber Company    (COCTB11,73963,439
Reduced51,700
81.49%
Ping Identity Holding Corp    (COMM23,524128,949
Reduced105,425
81.75%
Pinnacle West Capital Corporation   &nbsPNW2,27212,690
Reduced10,418
82.09%
Broadcom Inc    (COMMON STOCK)6,90239,059
Reduced32,157
82.32%
Take - Two Interactive Software    TTWO5,95833,722
Reduced27,764
82.33%
Sequential Brands Group Inc.    (CO13,28075,749
Reduced62,469
82.46%
Allison Transmission Holding    (COALSN35,099203,651
Reduced168,552
82.76%
Armstrong Flooring Inc    (COMMON S23,062134,568
Reduced111,506
82.86%
Endo International Plc    (COMMON SENDP14,04282,138
Reduced68,096
82.90%
Pagerduty Inc    (COMMON STOCK)33,901200,442
Reduced166,541
83.08%
Alarm.com Holdings Inc    (COMMON S6,12136,512
Reduced30,391
83.23%
Match Group Inc    (COMMON STOCK)23,795143,612
Reduced119,817
83.43%
Arrowhead Pharmaceuticals Inc    (C4,15225,071
Reduced20,919
83.43%
Pegasystems Inc.    (COMMON STOCK)PEGA8,63253,265
Reduced44,633
83.79%
Eventbrite Inc-class A    (COMMON S13,23482,886
Reduced69,652
84.03%
Jeld-wen Holding Inc    (COMMON STO17,367110,730
Reduced93,363
84.31%
Centennial Resource Develo-a    (CO31,795206,298
Reduced174,503
84.58%
Axos Financial Inc    (COMMON STOCK14,55797,920
Reduced83,363
85.13%
Clear Channel Outdoor Holdings Inc. Class A  17,962120,902
Reduced102,940
85.14%
National Fuel Gas Company    (COMMONFG13,35191,031
Reduced77,680
85.33%
HP Inc    (COMMON STOCK)HPQ54,833375,431
Reduced320,598
85.39%
Fsb Bancorp Inc/ny    (COMMON STOCK29,045199,998
Reduced170,953
85.47%
Hess Corp    (COMMON STOCK)HES5,98442,136
Reduced36,152
85.79%
Entegra Financial Corp    (COMMON SENFC48,877349,324
Reduced300,447
86.00%
Starbucks Corporation    (COMMON STSBUX23,460168,780
Reduced145,320
86.10%
Micron Technology Incorporated    (MU29,520213,833
Reduced184,313
86.19%
Servicenow Inc    (COMMON STOCK)NOW10,14674,994
Reduced64,848
86.47%
CF Industries Holdings Inc    (COMMCF12,78195,140
Reduced82,359
86.56%
Shopify Inc - A    (COMMON STOCK)8,55466,380
Reduced57,826
87.11%
Unisys Corp    (COMMON STOCK)UIS19,002147,601
Reduced128,599
87.12%
Floor & Decor Holdings Inc-a    (CO25,023200,000
Reduced174,977
87.48%
Align Technology Inc    (COMMON STOALGN2,86023,655
Reduced20,795
87.90%
Silk Road Medical Inc    (COMMON ST10,04685,043
Reduced74,997
88.18%
ALLIANCE DATA SYS CORP    (COMMON SADS3,35828,702
Reduced25,344
88.30%
Scotts Miracle-Gro Company    (COMMSMG8,99477,207
Reduced68,213
88.35%
Alphabet Inc.    (COMMON STOCK)GOOGL4383,780
Reduced3,342
88.41%
Telephone and Data Systems Incorporated  &nbsTDS10,30890,401
Reduced80,093
88.59%
Jefferies Financial Group Inc    (C10,52193,794
Reduced83,273
88.78%
SM Energy Co    (COMMON STOCK)SM19,267172,006
Reduced152,739
88.79%
Uniti Group Inc    (COMMON STOCK)10,76396,865
Reduced86,102
88.88%
Sally Beauty Co Inc    (COMMON STOCSBH15,099138,802
Reduced123,703
89.12%
Texas Instruments Incorporated    (TXN4,65745,422
Reduced40,765
89.74%
Beigene Ltd-adr    (COMMON STOCK)1,28312,643
Reduced11,360
89.85%
Molson Coors Beverage Co - Class B   &nbTAP5,10951,079
Reduced45,970
89.99%
Inphi Corp    (COMMON STOCK)IPHI11,259112,802
Reduced101,543
90.01%
Citigroup Incorporated    (COMMON SC10,404109,060
Reduced98,656
90.46%
Ameren Corp.    (COMMON STOCK)AEE4,39447,154
Reduced42,760
90.68%
Akcea Therapeutics Inc    (COMMON S46,433500,004
Reduced453,571
90.71%
Robert Half International Incorporated   RHI11,253123,986
Reduced112,733
90.92%
Ncs Multistage Holdings Inc    (COM20,044223,930
Reduced203,886
91.04%
Adobe Inc    (COMMON STOCK)ADBE2,96535,182
Reduced32,217
91.57%
Hologic Inc.    (COMMON STOCK)HOLX7,09885,516
Reduced78,418
91.69%
Albemarle Corp    (COMMON STOCK)ALB3,76346,535
Reduced42,772
91.91%
Covetrus Inc    (COMMON STOCK)10,806138,700
Reduced127,894
92.20%
Cannae Holdings Inc    (COMMON STOC5,59477,489
Reduced71,895
92.78%
Biogen Inc    (COMMON STOCK)BIIB3,74852,679
Reduced48,931
92.88%
Colliers International Group Inc - VTG   6,37189,546
Reduced83,175
92.88%
Intel Corporation    (COMMON STOCK)INTC10,275145,789
Reduced135,514
92.95%
Ingevity Corp    (COMMON STOCK)27,406400,000
Reduced372,594
93.14%
LCI Industries    (COMMON STOCK)4,47670,105
Reduced65,629
93.61%
Anaptysbio Inc    (COMMON STOCK)11,275176,795
Reduced165,520
93.62%
Lam Research Corporation    (COMMONLRCX1,59225,159
Reduced23,567
93.67%
MGM Resorts International    (COMMOMGM9,898157,115
Reduced147,217
93.70%
Travelers Cos Inc/The    (COMMON STTRV2,47940,422
Reduced37,943
93.86%
Ingersoll-Rand Plc    (COMMON STOCKIR2,21136,175
Reduced33,964
93.88%
Microsoft Corporation    (COMMON STMSFT14,017279,922
Reduced265,905
94.99%
Clorox Company    (COMMON STOCK)CLX1,78236,861
Reduced35,079
95.16%
BMC Stock Holdings Inc    (COMMON S26,469549,998
Reduced523,529
95.18%
VIASAT INC    (COMMON STOCK)VSAT3,17366,622
Reduced63,449
95.23%
Boeing Company    (COMMON STOCK)BA73716,200
Reduced15,463
95.45%
Constellation Pharmaceutical    (CO7,436166,668
Reduced159,232
95.53%
Rmr Group Inc/the - A    (COMMON ST6,682155,960
Reduced149,278
95.71%
iShares MSCI Japan ETF    (COMMON S7,046174,252
Reduced167,206
95.95%
Qurate Retail Inc    (COMMON STOCK)48,1361,300,000
Reduced1,251,864
96.29%
Baker Hughes Co    (COMMON STOCK)16,314674,999
Reduced658,685
97.58%
Penumbra Inc    (COMMON STOCK)3,025250,315
Reduced247,290
98.79%
Cigna Corp    (COMMON STOCK)986336,823
Reduced335,837
99.70%
CACI International Incorporated-CL A   &CAI015,466
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United Rental Incorporated    (COMMURI065,557
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Viacom Inc - Class B    (COMMON STOVIA-B0468,130
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Universal Display Corp    (COMMON SPANL09,645
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United Parcel Service    (COMMON STUPS06,354
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Interface Incorporated (CL A)    (CTILE046,249
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Brookfield Asset Management I    (CBAM04,235
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CBS Corp Class B    (COMMON STOCK)CBS074,464
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Visa Inc - Class A Shares    (COMMOV062,733
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Burlington Stores Inc    (COMMON STBURL01,946
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Vicor Corporation    (COMMON STOCK)VICR08,006
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VALMONT INDS INC    (COMMON STOCK)VMI04,828
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Ingredion Inc    (COMMON STOCK)INGR012,638
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AMEX Maket Vectors Gold Miners Index Fund (AMEX) &GDX015,818
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Brady Corporation (CL A)    (COMMONBRC04,758
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Boingo Wireless Inc    (COMMON STOCWIFI027,393
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Marriott International-CL A    (COMMAR0100,387
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United Financial Bancorp Inc/New    UBNK01,631,735
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Macerich Stk    (COMMON STOCK)MAC011,261
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Boston Beer Company Incorporated    SAM01,893
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United HealthCare Group    (COMMON UNH069,114
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Vera Bradley Inc    (COMMON STOCK)VRA059,918
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Booz Allen Hamilton Holding    (COMBAH042,613
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MACOM Technology Solutions Holdings Inc  &nbsMTSI045,175
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Varian Medical Systems Inc.    (COMVAR03,422
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MarineMax Inc    (COMMON STOCK)HZO017,341
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Briggs & Stratton Corporation    (CBGG020,018
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ManpowerGroup Inc    (COMMON STOCK)MAN06,956
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Baidu Inc - Spon Adr    (COMMON STOBIDU03,077
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American Campus Communities Inc    ACC084,451
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American Electric Power    (COMMON AEP011,398
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Invesco Ltd    (COMMON STOCK)IVZ095,326
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American Homes 4 Rent- A    (COMMONAMH024,398
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Marvell Technology Group    (COMMONMRVL056,988
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American Axle & Manufacturing Hold. Inc.  &nbAXL029,424
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Lear Corp    (COMMON STOCK)LEA015,774
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Nomad Foods Ltd    (COMMON STOCK)NOMD060,416
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Ambac Financial Group Inc    (COMMOAMBC012,386
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LegacyTexas Financial Group Inc    LTXB0132,104
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K12 Inc    (COMMON STOCK)LRN022,221
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Hollysys Automation Technologies Ltd   &HOLI019,287
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Johnson & Johnson    (COMMON STOCK)JNJ066,662
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Analog Devices Incorporated    (COMADI010,672
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Angiodynamics Inc    (COMMON STOCK)ANGO023,920
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Apple Inc    (COMMON STOCK)AAPL05,976
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AmerisourceBergen Corporation    (CABC024,267
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America's Car-mart Inc    (COMMON SCRMT08,748
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Leidos Holdings Inc    (COMMON STOCLDOS018,012
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American Water Works Co Inc    (COMAWK013,755
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American Woodmark Corporation    (CAMWD02,444
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Fresh Del Monte Produce Incorporated   &FDP012,981
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Estee Lauder    (COMMON STOCK)EL016,252
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Textainer Group Holdings Ltd    (COTGH011,234
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Addus Homecare Corp    (COMMON STOCADUS07,472
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Lakeland Bancorp Inc    (COMMON STOLBAI021,474
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Aerie Pharmaceuticals Inc    (COMMOAERI031,049
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Lamar Advertising Company    (COMMOLAMR039,007
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Acorda Therapeutics Inc    (COMMON ACOR067,129
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KeyCorp - NEW    (COMMON STOCK)KEY027,648
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KFORCE.com Inc.    (COMMON STOCK)KFRC08,243
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Kroger Company    (COMMON STOCK)KR072,953
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Navigator Holdings Ltd    (COMMON SNVGS014,429
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Acceleron Pharma Inc    (COMMON STOXLRN013,649
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Advanced Micro Devices Incorporated   &nAMD062,448
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Advanced Drainage Systems In    (COWMS013,818
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Kellogg Company    (COMMON STOCK)K04,748
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Chubb Ltd    (COMMON STOCK)CB019,027
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Golar LNG Ltd    (COMMON STOCK)GLNG092,489
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Third Point Reinsurance Ltd    (COMTPRE049,944
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Kennametal Incorporated    (COMMON KMT081,667
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Alder Biopharmaceuticals Inc    (COALDR02,618,371
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Lancaster Colony Corporation    (COLANC010,548
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Agios Pharmaceuticals Inc    (COMMOAGIO013,815
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Air Lease Corp    (COMMON STOCK)AL020,027
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Lennox International Inc    (COMMONLII03,768
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Ares Commercial Real Estate    (COMACRE013,496
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Becton Dickinson & Company    (COMMBDX018,414
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Belden Inc    (COMMON STOCK)BDC010,914
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Webster Financial Corp Waterbury    WBS05,741
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Waste Management Inc.    (COMMON STWMI030,432
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Wesco Aircraft Holdings Inc    (COMWAIR084,478
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West Pharmaceutical Services Incorporate  &nbWST011,528
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ABB LTD-SPON ADR    (COMMON STOCK)ABB010,521
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Bank of America Corporation    (COMBAC0424,437
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Beacon Roofing Supply Inc    (COMMOBECN06,650
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iShares MSCI Emerging Markets - ETF   &nEEM0237,091
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MGIC Investment Corp    (COMMON STOMTG0377,108
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Big Lots Inc.    (COMMON STOCK)BIG082,587
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Blackrock Inc    (COMMON STOCK)BLK03,571
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Vitamin Shoppe Inc    (COMMON STOCKVSI080,200
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Interpublic Group Companies Incorporated  &nbIPG026,394
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Blackstone Mortgage Trust Inc - Class A  &nbsBXMT09,836
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Vornado Rlty TR    (COMMON STOCK)VNO06,653
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Vulcan Materials Company    (COMMONVMC037,879
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MGP Ingredients Inc.    (COMMON STOMGPI08,542
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Iridium Communications Inc    (COMMIRDM026,954
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Blackberry Ltd    (COMMON STOCK)BBRY040,955
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WP Carey Inc    (COMMON STOCK)WPC02,412
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Wiley (john) & Sons -cl A    (COMMOJW-A06,895
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Williams Cos Inc    (COMMON STOCK)WMB071,043
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Deutsche Bank AG Ord    (COMMON STODB012,773
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Atricure Inc    (COMMON STOCK)ATRC035,682
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Live Nation Entertainment Inc    (CLYV03,235
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Autodesk Incorporated    (COMMON STADSK035,457
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Jetblue Airways Corp    (COMMON STOJBLU050,398
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John Bean Technologies    (COMMON SJBT02,903
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Assured Guaranty Ltd    (COMMON STOAGO018,445
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Arrow Electronics Incorporated    (ARW06,777
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Amdocs Ltd.    (COMMON STOCK)DOX013,701
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Ascena Retail Group Inc    (COMMON ASNA0171,400
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Automatic Data Processing Incorporated   ADP015,957
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AutoZone Incorporated    (COMMON STAZO0662
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iShares iBoxx High Yield Corporate Bond ETF  HYG03,500
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Workiva Inc    (COMMON STOCK)WK021,570
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Winnebago Industries Inc.    (COMMOWGO018,556
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Bancorp Of New Jersey Inc    (COMMOBKJ0365,054
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Masonite International Corp    (COMDOOR04,093
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BP Plc - ADR    (COMMON STOCK)BP010,540
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Loews Corporation    (COMMON STOCK)LTR032,504
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Logmein Inc    (COMMON STOCK)LOGM055,152
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iShares Silver Trust    (COMMON STOSLV013,178
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Block H & R Incorporated    (COMMONHRB0105,413
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Host Hotels & Resorts Inc    (COMMOHST0430,822
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Encore Wire Corporation    (COMMON WIRE04,633
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Eldorado Resorts Inc    (COMMON STOERI022,477
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Office Depot Inc    (COMMON STOCK)ODP0120,922
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Resources Global Professionals    (RECN010,186
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Resolute Forest Products    (COMMONRFP021,647
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OSI Systems    (COMMON STOCK)OSIS010,338
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General Mills Incorporated    (COMMGIS014,061
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Echo Global Logistics Inc    (COMMOECHO014,959
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EchoStar Corp    (COMMON STOCK)SATS090,523
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Ecolab Incorporated    (COMMON STOCECL05,337
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Rockwell Medical Inc    (COMMON STORMTI027,214
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Republic Services Incorporated    (RSG03,615
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Rent-A-Center Inc.    (COMMON STOCKRCII064,808
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Enphase Energy Inc    (COMMON STOCKENPH021,922
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Epizyme Inc    (COMMON STOCK)EPZM027,201
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Omnicom Group    (COMMON STOCK)OMC074,017
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Ethan Allen Interiors Incorporated   &nbETH065,605
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Redwood Trust Inc    (COMMON STOCK)RWT018,308
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Regal Beloit Corp    (COMMON STOCK)RBC016,356
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Fulton Finl Corp PA    (COMMON STOCFULT018,810
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Old Line Bancshares Inc    (COMMON OLBK084,597
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EnerSys    (COMMON STOCK)ENS07,222
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Fox Factory Holding Corp    (COMMONFOXF05,928
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Eastman Chemical Company    (COMMONEMN07,925
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Northfield Bancorp Inc/nj    (COMMONFBK010,547
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Sanfilippo (John B.) & Son Incorporated  &nbsJBSS05,581
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Salesforce.com    (COMMON STOCK)CRM012,656
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Dollar Tree Inc    (COMMON STOCK)DLTR04,486
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Douglas Emmett Inc    (COMMON STOCKDEI035,437
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Gold Fields Limited - ADR    (COMMOGFI035,985
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Saul Centers Incorporated    (COMMOBFS05,926
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W.R. Grace & Company    (COMMON STOGRA09,817
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Science Applications Inte    (COMMOSAIC09,176
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NewMarket Corp    (COMMON STOCK)NEU0756
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Discover Financial Services    (COMDFS066,135
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Noah Holdings Ltd. - spon Ads - ADR   &nNOAH016,142
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Duke Realty Corp    (COMMON STOCK)DRE0103,405
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SEI Investments Company    (COMMON SEIC010,284
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Genomic Health Inc.    (COMMON STOCGHDX03,664
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S & T Bancorp Incorporated    (COMMSTBA018,046
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Ruth's Hospitality Group Inc    (CORUTH011,793
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SJW Group    (COMMON STOCK)SJW010,079
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SL Green Realty Corporation    (COMSLG033,253
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SPDR S&P Oil & Gas Exploration    (XOP0262,658
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SPDR S&P Retail ETF    (COMMON STOCXRT014,762
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Noble Energy Inc    (COMMON STOCK)NBL016,533
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Dunkin' Brands Group Inc    (COMMONDNKN020,412
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Raymond James Financial Incorporated   &RJF05,357
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Ralph Lauren Corp    (COMMON STOCK)RL023,595
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Fibrogen Inc    (COMMON STOCK)FGEN07,267
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Fifth Third Bancorp    (COMMON STOCFITB086,539
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First Bancorp North Carolina    (COFBNC06,567
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Phibro Animal Health Corp-a    (COMPAHC014,851
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Fedex Corporation    (COMMON STOCK)FDX08,423
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Pioneer Natural Resources    (COMMOPXD07,654
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Forrester Research Incorporated    FORR011,782
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Portland General Electric Co    (COPOR037,971
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Fate Therapeutics Inc    (COMMON STFATE046,484
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Planet Fitness Inc - Cl A    (COMMOPLNT014,204
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First Majestic Silver Corp    (COMMFRMSF025,203
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First Midwest Bancorp Incorporated   &nbFMBI014,466
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Fluidigm Corp    (COMMON STOCK)FLDM051,597
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Patrick Industries Inc.    (COMMON PATK08,412
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FLUSHING FINL CORP    (COMMON STOCKFFIC012,878
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Ford Motor Co    (COMMON STOCK)F061,427
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Flowers Foods Inc    (COMMON STOCK)FLO012,082
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Paypal Holdings Inc    (COMMON STOCPYPL041,190
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PACCAR Inc.    (COMMON STOCK)PCAR03,739
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Pacira BioSciences Inc    (COMMON SPCRX069,949
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FormFactor Inc    (COMMON STOCK)FORM012,647
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Penn National Gaming Inc    (COMMONPENN016,186
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Potbelly Corp    (COMMON STOCK)PBPB023,700
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Ptc Therapeutics Inc    (COMMON STOPTCT08,037
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Exact Sciences Corp    (COMMON STOCEXAS057,690
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Exelixis Inc    (COMMON STOCK)EXEL0101,253
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Qts Realty Trust Inc-cl A    (COMMOQTS069,118
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Quaker Chemical Corporation    (COMKWR06,873
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Fortune Brands Home & Security Inc.   &nFBHS05,309
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Oshkosh Corp(CLASS B)    (COMMON STOSK04,272
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Rambus Incorporated    (COMMON STOCRMBS051,410
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Opko Health Inc    (COMMON STOCK)OPK016,944
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Rlj Lodging Trust    (COMMON STOCK)RLJ011,395
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Oritani Financial Corp    (COMMON SORITD014,779
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Exone Co/the    (COMMON STOCK)XONE011,290
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Expeditors International of Wash. Inc.   EXPD07,612
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Price (T. Rowe) Associates Inc.    TROW015,206
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Prestige Consumer Healthcare Inc    PBH052,504
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PPG Industries Incorporated    (COMPPG030,624
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PPL Corporation    (COMMON STOCK)PPL097,241
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Fair Isaac Corp    (COMMON STOCK)FIC03,282
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PNC Financial Services Group    (COPNC04,388
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Providence Service Corp    (COMMON PRSC04,616
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Pros Holdings Inc    (COMMON STOCK)PRO026,215
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FMC Corporation    (COMMON STOCK)FMC028,534
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ProLogis Inc    (COMMON STOCK)PLD034,910
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Graco Incorporated    (COMMON STOCKGGG057,893
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Diodes Inc    (COMMON STOCK)DIOD017,030
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Terex Corp.    (COMMON STOCK)TEX022,572
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Clearwater Paper Corp.    (COMMON SCLW015,437
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PAMPA ENERGIA SA-SPON ADR    (COMMOPAM023,120
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MetLife Inc.    (COMMON STOCK)MET0196,881
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Coca-Cola Consolidated Inc    (COMMCOKE02,718
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Citizens Financial Group    (COMMONCFG0362,674
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Mercury Gen Corp    (COMMON STOCK)MCY014,712
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Tile Shop Hldgs Inc    (COMMON STOCTTS025,145
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Hudson Pacific Properties Inc.    (HPP082,677
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3m Co    (COMMON STOCK)MMM015,182
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Cisco Systems Incorporated    (COMMCSCO0156,852
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Cogent Communications Holdings Inc   &nbCCOI012,531
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Cohu Incorporated    (COMMON STOCK)COHU040,252
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Mondelez International Inc    (COMMMDLZ043,357
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Synchrony Financial    (COMMON STOCSYF026,707
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Community Bank System Incorporated   &nbCBU04,439
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Monro Inc    (COMMON STOCK)MNRO021,235
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Heidrick & Struggles Intl    (COMMOHSII011,725
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Heritage Financial Corp/WA    (COMMHFWA026,985
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Taubman Centers Inc.    (COMMON STOTCO092,596
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Hillenbrand Inc    (COMMON STOCK)HI0129,745
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Columbus McKinnon Corp./NY    (COMMCMCO012,759
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Mitek Systems Inc    (COMMON STOCK)MITK034,100
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Timkensteel Corp    (COMMON STOCK)TMST025,298
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Channeladvisor Corp    (COMMON STOCECOM011,359
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Matson Inc    (COMMON STOCK)MATX07,107
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Tyler Technologies Inc.    (COMMON TYL03,292
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Maxim Integrated Products Incorporated   MXIM07,522
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II-Vi Inc    (COMMON STOCK)IIVI072,204
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Carlisle Companies Incorporated    CSL05,877
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Usa Technologies Inc    (COMMON STOUSAT0656,000
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Union Pacific Corporation    (COMMOUNP065,869
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Carbonite Inc    (COMMON STOCK)CARB013,017
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Ultragenyx Pharmaceutical In    (CORARE014,214
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Career Education Corporation    (COCECO088,317
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Two River Bancorp    (COMMON STOCK)TRCB0502,254
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MAXIMUS Incorporated    (COMMON STOMMS023,482
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Celgene Corporation    (COMMON STOCCELG01,736,172
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Medidata Solutions Inc    (COMMON SMDSO056,518
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Trimble Inc    (COMMON STOCK)TRMB069,869
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IDT Corporation - Class B    (COMMOIDT018,180
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InterActiveCorp    (COMMON STOCK)IACI026,657
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McGrath Rentcorp    (COMMON STOCK)MGRC08,998
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Carrizo Oil & Gas Inc    (COMMON STCRZO029,990
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Catalent Inc    (COMMON STOCK)CTLT09,414
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Caterpillar Incorporated    (COMMONCAT068,149
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Cathay General Bancorp    (COMMON SCATY031,427
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Companhia Energetica de Minas Gerais - ADR  &CIG018,491
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Comscore Inc    (COMMON STOCK)SCOR061,273
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Hackett Group Inc/The    (COMMON STHCKT034,912
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DTE Energy Company    (COMMON STOCKDTE010,599
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Navigant Consulting Co.    (COMMON NCI046,794
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HMS Holdings Corp    (COMMON STOCK)HMSY05,881
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Dnb Financial Corp    (COMMON STOCKDNBF0141,581
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Curtiss-Wright Corporation    (COMMCW04,722
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National Instruments Corporation    NATI06,849
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Snap-on Incorporated    (COMMON STOSNA020,693
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Crown Holdings Inc.    (COMMON STOCCCK017,522
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Cullen/Frost Bankers Inc    (COMMONCFR07,833
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Signature Bank/New York NY    (COMMSBNY015,820
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Neenah Inc    (COMMON STOCK)NP07,656
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New Media Investment Group    (COMMNEWM044,820
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Diebold Nixdorf Inc    (COMMON STOCDBD049,930
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Great Lakes Dredge & Dock Co    (COGLDD034,456
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AMEX Energy Select Sector SPDR    (XLE08,098
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Semgroup Corp-class A    (COMMON STSEMX067,486
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Sempra Energy    (COMMON STOCK)SRE023,862
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Dean Foods Company    (COMMON STOCKDF0217,784
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Delta Air Lines Inc    (COMMON STOCDAL0205,659
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DiamondRock Hospitality Co    (COMMDRH033,162
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Sensient Technologies Corporation   &nbsSXT011,482
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Crown Castle Intl Corp    (COMMON SCCI046,154
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Halliburton Company    (COMMON STOCHAL062,647
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ConocoPhillips    (COMMON STOCK)COP016,735
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Moog Inc. -CL A    (COMMON STOCK)MOG/A03,943
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Stewardship Financial Corp    (COMMSSFN0664,719
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Stanley Black & Decker Inc    (COMMSWK04,541
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Summit Hotel Properties Inc    (COMINN018,529
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Concert Pharmaceuticals Inc    (COMCNCE020,898
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Comtech Telecom Corporation    (COMCMTL020,911
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SunTrust Banks Inc    (COMMON STOCKSTI01,748,129
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Sunstone Hotel Investors Inc    (COSHO061,902
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Conagra Brands Inc    (COMMON STOCKCAG010,059
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Container Store Group Inc/th    (COTCS029,755
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Stag Industrial Inc    (COMMON STOCSTAG083,984
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NVR Inc    (COMMON STOCK)NVR0837
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Harley Davidson Incorporated    (COHOG022,771
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Corvel Corporation    (COMMON STOCKCRVL05,120
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Coty Inc-cl A    (COMMON STOCK)COTY055,923
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Coresite Realty Corp    (COMMON STOCOR018,043
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Harmonic Incorporated    (COMMON STHLIT015,138
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Morgan Stanley    (COMMON STOCK)MS0132,644
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Motorcar Parts Of America Inc    (CMPAA023,437
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Mueller Industries Inc.    (COMMON MLI015,424
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NCR Corporation    (COMMON STOCK)NCR040,603
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MasTec Incorporated    (COMMON STOCMTZ053,312
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