MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons
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INSTITUTION : Nuveen Asset Management, LLC |
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Nuveen Asset Management, LLC Buys/Sells In Portfolio (reported on 2021-02-16)
Company |
Ticker |
Current Holdings |
Previous Holdings |
Sells/Buys |
% of change |
LOWES COS INC (COM) | LOW | 3,675,726 | 0 | | New Buy | YELP INC (CL A) | YELP | 289,270 | 0 | | New Buy | AAON INC (COM PAR $0.004) | AAON | 113,700 | 0 | | New Buy | SANFILIPPO JOHN B & SON INC (COM | JBSS | 54,914 | 0 | | New Buy | EL POLLO LOCO HLDGS INC (COM) | LOCO | 497,088 | 0 | | New Buy | HOMESTREET INC (COM) | HMST | 225,244 | 0 | | New Buy | XENON PHARMACEUTICALS INC (COM) | XENE | 12,600 | 0 | | New Buy | STONEX GROUP INC (COM) | | 10,540 | 0 | | New Buy | PATRICK INDS INC (COM) | PATK | 108,879 | 0 | | New Buy | EL POLLO LOCO HLDGS INC (COM) | LOCO | 93,609 | 0 | | New Buy | MACROGENICS INC (COM) | MGNX | 546,570 | 0 | | New Buy | PROTHENA CORP PLC (SHS) | PRTA | 210,257 | 0 | | New Buy | SUMO LOGIC INC (COM) | | 17,878 | 0 | | New Buy | SUMMIT MATLS INC (CL A) | | 680,850 | 0 | | New Buy | SUMMIT MATLS INC (CL A) | | 26,038 | 0 | | New Buy | MADDEN STEVEN LTD (COM) | SHOO | 303,820 | 0 | | New Buy | MADDEN STEVEN LTD (COM) | SHOO | 313,433 | 0 | | New Buy | MACYS INC (COM) | M | 1,384,798 | 0 | | New Buy | PHILIP MORRIS INTL INC (COM) | PM | 4,690,152 | 0 | | New Buy | TARSUS PHARMACEUTICALS INC (COM) | | 10,088 | 0 | | New Buy | BIO RAD LABS INC (CL A) | BIO | 32,136 | 0 | | New Buy | PACWEST BANCORP DEL (COM) | PACW | 258,913 | 0 | | New Buy | TARGET HOSPITALITY CORP (COM) | | 77,469 | 0 | | New Buy | WORLD WRESTLING ENTMT INC (CL A) | WWE | 200,899 | 0 | | New Buy | MAGELLAN HEALTH INC (COM NEW) | MGLN | 152,617 | 0 | | New Buy | TRINSEO S A (SHS) | TSE | 344,576 | 0 | | New Buy | PATTERSON COS INC (COM) | PDCO | 316,751 | 0 | | New Buy | GLOBALSTAR INC (COM) | GSAT | 399,974 | 0 | | New Buy | DARDEN RESTAURANTS INC (COM) | DRI | 748,171 | 0 | | New Buy | EAGLE BANCORP MONT INC (COM) | EBMT | 11,893 | 0 | | New Buy | EAGLE PHARMACEUTICALS INC (COM) | EGRX | 36,703 | 0 | | New Buy | TAPESTRY INC (COM) | | 473,830 | 0 | | New Buy | WORKIVA INC (COM CL A) | WK | 350,246 | 0 | | New Buy | HNI CORP (COM) | HNI | 345,452 | 0 | | New Buy | TANDEM DIABETES CARE INC (COM NE | | 237,028 | 0 | | New Buy | FLOWSERVE CORP (COM) | FLS | 287,459 | 0 | | New Buy | PINNACLE WEST CAP CORP (COM) | PNW | 168,272 | 0 | | New Buy | MALIBU BOATS INC (COM CL A) | MBUU | 111,258 | 0 | | New Buy | LITHIA MTRS INC (CL A) | LAD | 67,724 | 0 | | New Buy | PLANTRONICS INC NEW (COM) | PLT | 106,921 | 0 | | New Buy | WOODWARD INC (COM) | WGOV | 155,299 | 0 | | New Buy | MANHATTAN ASSOCS INC (COM) | MANH | 208,868 | 0 | | New Buy | CARRIAGE SVCS INC (COM) | CSV | 221,339 | 0 | | New Buy | EASTERN CO (COM) | EML | 11,682 | 0 | | New Buy | PINNACLE WEST CAP CORP (COM) | PNW | 265,479 | 0 | | New Buy | WILEY JOHN & SONS INC (CL A) | JW-A | 138,166 | 0 | | New Buy | BIG LOTS INC (COM) | BIG | 119,938 | 0 | | New Buy | FLOWSERVE CORP (COM) | FLS | 170,878 | 0 | | New Buy | PITNEY BOWES INC (COM) | PBI | 529,641 | 0 | | New Buy | AT&T INC (COM) | T | 19,884,157 | 0 | | New Buy | DURECT CORP (COM) | DRRX | 542,108 | 0 | | New Buy | GENWORTH FINL INC (COM CL A) | GNW | 1,823,618 | 0 | | New Buy | TANDEM DIABETES CARE INC (COM NE | | 141,159 | 0 | | New Buy | FIVE BELOW INC (COM) | FIVE | 212,497 | 0 | | New Buy | WEX INC (COM) | WEX | 183,947 | 0 | | New Buy | POOL CORP (COM) | POOL | 147,960 | 0 | | New Buy | QUOTIENT LTD (SHS) | QTNT | 192,772 | 0 | | New Buy | WENDYS CO (COM) | WEN | 476,940 | 0 | | New Buy | MARCUS & MILLICHAP INC (COM) | MMI | 78,627 | 0 | | New Buy | WESCO INTL INC (COM) | WCC | 445,891 | 0 | | New Buy | WESTERN ALLIANCE BANCORP (COM) | WAL | 509,770 | 0 | | New Buy | HILLENBRAND INC (COM) | HI | 382,581 | 0 | | New Buy | BANC OF CALIFORNIA INC (COM) | BANC | 397,000 | 0 | | New Buy | TABULA RASA HEALTHCARE INC (COM) | | 50,027 | 0 | | New Buy | NIELSEN HLDGS PLC (SHS EUR) | NLSN | 617,370 | 0 | | New Buy | GENMARK DIAGNOSTICS INC (COM) | GNMK | 734,551 | 0 | | New Buy | ON SEMICONDUCTOR CORP (COM) | ONNN | 3,605,533 | 0 | | New Buy | ACI WORLDWIDE INC (COM) | ACIW | 326,625 | 0 | | New Buy | LOEWS CORP (COM) | LTR | 735,147 | 0 | | New Buy | ACCELERATE DIAGNOSTICS INC (COM) | AXDX | 223,168 | 0 | | New Buy | WEBSTER FINL CORP CONN (COM) | WBS | 138,389 | 0 | | New Buy | PRA GROUP INC (COM) | PRAA | 146,245 | 0 | | New Buy | WAYFAIR INC (CL A) | W | 324,781 | 0 | | New Buy | ACTIVISION BLIZZARD INC (COM) | ATVI | 3,878,474 | 0 | | New Buy | WATTS WATER TECHNOLOGIES INC (CL | WTS | 80,901 | 0 | | New Buy | POST HLDGS INC (COM) | POST | 130,094 | 0 | | New Buy | PORTLAND GEN ELEC CO (COM NEW) | POR | 268,065 | 0 | | New Buy | WSFS FINL CORP (COM) | WSFS | 419,722 | 0 | | New Buy | MARINEMAX INC (COM) | HZO | 339,443 | 0 | | New Buy | CORVEL CORP (COM) | CRVL | 27,895 | 0 | | New Buy | PACIRA BIOSCIENCES INC (COM) | PCRX | 104,317 | 0 | | New Buy | MATERION CORP (COM) | MTRN | 212,068 | 0 | | New Buy | ZENDESK INC (COM) | ZEN | 604,707 | 0 | | New Buy | BLUEBIRD BIO INC (COM) | BLUE | 313,687 | 0 | | New Buy | FONAR CORP (COM NEW) | FONR | 10,147 | 0 | | New Buy | CARDIOVASCULAR SYS INC DEL (COM) | CSII | 127,351 | 0 | | New Buy | HILL ROM HLDGS INC (COM) | HRC | 167,383 | 0 | | New Buy | GENTEX CORP (COM) | GNTX | 401,310 | 0 | | New Buy | BLACKROCK CR ALLOCATION INCO (CO | BTZ | 723,135 | 0 | | New Buy | PVH CORPORATION (COM) | PVH | 111,840 | 0 | | New Buy | BRADY CORP (CL A) | BRC | 138,357 | 0 | | New Buy | BUNGE LIMITED (COM) | BG | 362,724 | 0 | | New Buy | PTC INC (COM) | PMTC | 284,663 | 0 | | New Buy | ACCELERON PHARMA INC (COM) | XLRN | 167,708 | 0 | | New Buy | GLOBUS MED INC (CL A) | GMED | 160,173 | 0 | | New Buy | GENERAL MTRS CO (COM) | GM | 3,027,755 | 0 | | New Buy | WALMART INC (COM) | WMT | 5,402,010 | 0 | | New Buy | EATON VANCE CORP (COM NON VTG) | EV | 230,366 | 0 | | New Buy | ACADIA HEALTHCARE COMPANY IN (CO | ACHC | 162,844 | 0 | | New Buy | MATERION CORP (COM) | MTRN | 136,018 | 0 | | New Buy | RENT A CTR INC NEW (COM) | RCII | 670,949 | 0 | | New Buy | VOCERA COMMUNICATIONS INC (COM) | VCRA | 155,617 | 0 | | New Buy | REPLIGEN CORP (COM) | RGEN | 194,439 | 0 | | New Buy | RESTAURANT BRANDS INTL INC (COM) | QSR | 53,312 | 0 | | New Buy | ACADIA PHARMACEUTICALS INC (COM) | ACAD | 736,472 | 0 | | New Buy | MATTEL INC (COM) | MAT | 2,228,809 | 0 | | New Buy | FLEXION THERAPEUTICS INC (COM) | FLXN | 248,109 | 0 | | New Buy | ISHARES TR (RUS 2000 VAL ETF) | IWN | 4,624 | 0 | | New Buy | MATTHEWS INTL CORP (CL A) | MATW | 94,783 | 0 | | New Buy | COMCAST CORP NEW (CL A) | CMCSA | 18,478,041 | 0 | | New Buy | EDGEWELL PERS CARE CO (COM) | EPC | 144,595 | 0 | | New Buy | HUNTINGTON INGALLS INDS INC (COM | HII | 61,214 | 0 | | New Buy | KOPPERS HOLDINGS INC (COM) | KOP | 208,318 | 0 | | New Buy | FLEX LTD (ORD) | FLEX | 18,479 | 0 | | New Buy | HEXCEL CORP NEW (COM) | HXL | 925,306 | 0 | | New Buy | GENERAL DYNAMICS CORP (COM) | GD | 376,889 | 0 | | New Buy | VISTEON CORP (COM NEW) | VSTO | 146,036 | 0 | | New Buy | HESS CORP (COM) | HES | 955,692 | 0 | | New Buy | VISHAY PRECISION GROUP INC (COM) | VPG | 110,568 | 0 | | New Buy | FIRST AMERN FINL CORP (COM) | FAF | 279,134 | 0 | | New Buy | VISHAY INTERTECHNOLOGY INC (COM) | VSH | 402,118 | 0 | | New Buy | GENERAC HLDGS INC (COM) | GNRC | 203,635 | 0 | | New Buy | BENEFITFOCUS INC (COM) | BNFT | 172,186 | 0 | | New Buy | POSCO (SPONSORED ADR) | PKX | 133,192 | 0 | | New Buy | FRANKLIN ELEC INC (COM) | FELE | 138,796 | 0 | | New Buy | COMERICA INC (COM) | CMA | 319,979 | 0 | | New Buy | VIRTUS INVT PARTNERS INC (COM) | VRTS | 27,471 | 0 | | New Buy | GUARANTY BANCSHARES INC TEX (COM | GNTY | 16,950 | 0 | | New Buy | VIRTUSA CORP (COM) | VRTU | 139,460 | 0 | | New Buy | FLEX LTD (ORD) | FLEX | 1,266,629 | 0 | | New Buy | FIRST HORIZON CORPORATION (COM) | FHN | 856,240 | 0 | | New Buy | REVANCE THERAPEUTICS INC (COM) | RVNC | 246,457 | 0 | | New Buy | COMMERCE BANCSHARES INC (COM) | CBSH | 157,228 | 0 | | New Buy | ADVANCE AUTO PARTS INC (COM) | AAP | 168,699 | 0 | | New Buy | BIOCRYST PHARMACEUTICALS INC (CO | BCRX | 798,680 | 0 | | New Buy | ARCH CAP GROUP LTD (ORD) | ACGL | 820,170 | 0 | | New Buy | DARLING INGREDIENTS INC (COM) | DAR | 508,657 | 0 | | New Buy | LINDSAY CORP (COM) | LNN | 31,158 | 0 | | New Buy | TALOS ENERGY INC (COM) | | 45,920 | 0 | | New Buy | 8X8 INC NEW (COM) | EGHT | 272,918 | 0 | | New Buy | CENOVUS ENERGY INC (COM) | CVE | 34,337 | 0 | | New Buy | VIAVI SOLUTIONS INC (COM) | VIAV | 573,350 | 0 | | New Buy | LINCOLN NATL CORP IND (COM) | LNC | 502,919 | 0 | | New Buy | VIASAT INC (COM) | VSAT | 982,715 | 0 | | New Buy | FIDELITY NATIONAL FINANCIAL (FNF | FNF | 567,384 | 0 | | New Buy | VIAD CORP (COM NEW) | VVI | 94,812 | 0 | | New Buy | MCGRATH RENTCORP (COM) | MGRC | 161,369 | 0 | | New Buy | CHECK POINT SOFTWARE TECH LT (OR | CHKP | 806,335 | 0 | | New Buy | CURTISS WRIGHT CORP (COM) | CW | 172,225 | 0 | | New Buy | TPI COMPOSITES INC (COM) | | 77,055 | 0 | | New Buy | ISHARES TR (RUS 1000 VAL ETF) | IWD | 243,496 | 0 | | New Buy | EXLSERVICE HOLDINGS INC (COM) | EXLS | 165,869 | 0 | | New Buy | COMFORT SYS USA INC (COM) | FIX | 516,196 | 0 | | New Buy | ADVANCED DRAIN SYS INC DEL (COM) | WMS | 488,638 | 0 | | New Buy | MEDIFAST INC (COM) | MED | 57,010 | 0 | | New Buy | ADVANCED ENERGY INDS (COM) | AEIS | 94,207 | 0 | | New Buy | HYSTER YALE MATLS HANDLING I (CL | HY | 26,164 | 0 | | New Buy | MERCADOLIBRE INC (COM) | MELI | 19,122 | 0 | | New Buy | FIDELITY D & D BANCORP INC (COM) | FDBC | 6,504 | 0 | | New Buy | SIGNET JEWELERS LIMITED (SHS) | SIG | 142,530 | 0 | | New Buy | FOOT LOCKER INC (COM) | FL | 163,525 | 0 | | New Buy | VEEVA SYS INC (CL A COM) | VEEV | 475,977 | 0 | | New Buy | ISHARES TR (RUS 1000 GRW ETF) | IWF | 1,609,500 | 0 | | New Buy | IPG PHOTONICS CORP (COM) | IPGP | 59,045 | 0 | | New Buy | INSIGHT ENTERPRISES INC (COM) | NSIT | 275,334 | 0 | | New Buy | FITBIT INC (CL A) | FIT | 938,414 | 0 | | New Buy | AGIOS PHARMACEUTICALS INC (COM) | AGIO | 211,015 | 0 | | New Buy | ISHARES TR (RUS 1000 VAL ETF) | IWD | 45,116 | 0 | | New Buy | VALVOLINE INC (COM) | VVV | 335,950 | 0 | | New Buy | LIGAND PHARMACEUTICALS INC (COM | LGND | 45,910 | 0 | | New Buy | KB HOME (COM) | KBH | 224,760 | 0 | | New Buy | MERIDIAN BIOSCIENCE INC (COM) | VIVO | 420,887 | 0 | | New Buy | OLIN CORP (COM PAR $1) | OLN | 187,103 | 0 | | New Buy | DAVE & BUSTERS ENTMT INC (COM) | PLAY | 222,647 | 0 | | New Buy | VALMONT INDS INC (COM) | VMI | 41,030 | 0 | | New Buy | VAREX IMAGING CORP (COM) | VREX | 113,538 | 0 | | New Buy | VALLEY NATL BANCORP (COM) | VLY | 1,094,455 | 0 | | New Buy | ZIONS BANCORPORATION N A (COM) | ZION | 305,850 | 0 | | New Buy | HESKA CORP (COM RESTRC NEW) | HSKA | 33,189 | 0 | | New Buy | SYROS PHARMACEUTICALS INC (COM) | | 40,959 | 0 | | New Buy | JONES LANG LASALLE INC (COM) | JLL | 81,812 | 0 | | New Buy | MERIT MED SYS INC (COM) | MMSI | 245,331 | 0 | | New Buy | CHINA PETROLEUM & CHEMICAL C (SP | SNP | 64,705 | 0 | | New Buy | VALE S A (SPONSORED ADS) | VALE | 1,209,161 | 0 | | New Buy | KIMBALL ELECTRONICS INC (COM) | KE | 111,835 | 0 | | New Buy | VAIL RESORTS INC (COM) | MTN | 120,155 | 0 | | New Buy | UGI CORP NEW (COM) | UGI | 467,154 | 0 | | New Buy | FIBROGEN INC (COM) | FGEN | 236,244 | 0 | | New Buy | MSA SAFETY INC (COM) | MSA | 84,792 | 0 | | New Buy | CREDICORP LTD (COM) | BAP | 246,777 | 0 | | New Buy | CREDIT SUISSE GROUP (SPONSORED A | CS | 97,128 | 0 | | New Buy | BEACON ROOFING SUPPLY INC (COM) | BECN | 202,797 | 0 | | New Buy | GOPRO INC (CL A) | GPRO | 410,257 | 0 | | New Buy | COSTAR GROUP INC (COM) | CSGP | 129,028 | 0 | | New Buy | MTS SYS CORP (COM) | MTSC | 59,523 | 0 | | New Buy | ELECTROMED INC (COM) | ELMD | 24,716 | 0 | | New Buy | ALBANY INTL CORP (CL A) | AIN | 78,014 | 0 | | New Buy | PROASSURANCE CORP (COM) | PRA | 176,089 | 0 | | New Buy | PROGRESS SOFTWARE CORP (COM) | PRGS | 462,304 | 0 | | New Buy | LIBERTY MEDIA CORP DEL (COM SER | LMCK | 504,436 | 0 | | New Buy | DORMAN PRODS INC (COM) | DORM | 76,440 | 0 | | New Buy | URBAN OUTFITTERS INC (COM) | URBN | 607,256 | 0 | | New Buy | JOHNSON OUTDOORS INC (CL A) | JOUT | 47,552 | 0 | | New Buy | HELEN OF TROY LTD (COM) | HELE | 71,499 | 0 | | New Buy | ISHARES TR (CORE S&P US | IWW | 6,302 | 0 | | New Buy | LIBERTY MEDIA CORP DEL (COM A SI | LSXMA | 188,539 | 0 | | New Buy | MOHAWK INDS INC (COM) | MHK | 268,657 | 0 | | New Buy | RENAISSANCERE HLDGS LTD (COM) | RNR | 125,096 | 0 | | New Buy | OWENS & MINOR INC NEW (COM) | OMI | 292,972 | 0 | | New Buy | MICROSOFT CORP (COM) | MSFT | 39,145,110 | 0 | | New Buy | US FOODS HLDG CORP (COM) | USFD | 745,664 | 0 | | New Buy | GREEN DOT CORP (CL A) | GDOT | 248,338 | 0 | | New Buy | DIAGEO PLC (SPON ADR NEW) | DEO | 1,644 | 0 | | New Buy | UNIVERSAL HLTH SVCS INC (CL B) | UHS | 136,112 | 0 | | New Buy | ALBANY INTL CORP (CL A) | AIN | 91,610 | 0 | | New Buy | ICICI BANK LIMITED (ADR) | IBN | 1,494,861 | 0 | | New Buy | MILLER HERMAN INC (COM) | MLHR | 159,556 | 0 | | New Buy | F5 NETWORKS INC (COM) | FFIV | 108,520 | 0 | | New Buy | GAP INC (COM) | GPS | 324,589 | 0 | | New Buy | CRAWFORD & CO (CL A) | CRD/A | 34,842 | 0 | | New Buy | ULTRAGENYX PHARMACEUTICAL IN (CO | RARE | 244,515 | 0 | | New Buy | UNIVERSAL DISPLAY CORP (COM) | PANL | 181,254 | 0 | | New Buy | BARRICK GOLD CORP (COM) | ABX | 13,907 | 0 | | New Buy | IDACORP INC (COM) | IDA | 99,877 | 0 | | New Buy | BARNES GROUP INC (COM) | B | 181,357 | 0 | | New Buy | CONDUENT INC (COM) | CNDT | 1,171,394 | 0 | | New Buy | CITIGROUP INC (COM NEW) | C | 9,671,409 | 0 | | New Buy | MICRON TECHNOLOGY INC (COM) | MU | 4,989,650 | 0 | | New Buy | GAMESTOP CORP NEW (CL A) | GME | 467,645 | 0 | | New Buy | MIDDLEBY CORP (COM) | MIDD | 81,756 | 0 | | New Buy | BOINGO WIRELESS INC (COM) | WIFI | 476,077 | 0 | | New Buy | MIDDLEFIELD BANC CORP (COM NEW) | MBCN | 9,946 | 0 | | New Buy | FEDERAL SIGNAL CORP (COM) | FSS | 566,303 | 0 | | New Buy | EMBRAER S.A. (SPONSORED ADS) | ERJ | 13,868 | 0 | | New Buy | CREE INC (COM) | CREE | 671,736 | 0 | | New Buy | INSMED INC (COM PAR $.01) | INSM | 316,746 | 0 | | New Buy | RENAISSANCERE HLDGS LTD (COM) | RNR | 196,645 | 0 | | New Buy | TYSON FOODS INC (CL A) | TSN | 847,267 | 0 | | New Buy | ENCORE CAP GROUP INC (COM) | ECPG | 206,870 | 0 | | New Buy | HEICO CORP NEW (COM) | HEI | 137,483 | 0 | | New Buy | DONALDSON INC (COM) | DCI | 189,516 | 0 | | New Buy | SEAGATE TECHNOLOGY PLC (SHS) | STX | 363,738 | 0 | | New Buy | UBS GROUP AG (SHS) | UBS | 1,998,998 | 0 | | New Buy | CABLE ONE INC (COM) | CABO | 14,549 | 0 | | New Buy | OLD NATL BANCORP IND (COM) | ONB | 424,583 | 0 | | New Buy | SUNNOVA ENERGY INTL INC. (COM) | | 225,551 | 0 | | New Buy | TRINET GROUP INC (COM) | TNET | 382,087 | 0 | | New Buy | ENERSYS (COM) | ENS | 117,835 | 0 | | New Buy | MONRO INC (COM) | MNRO | 102,939 | 0 | | New Buy | JD.COM INC (SPON ADR CL A) | JD | 3,221,753 | 0 | | New Buy | RENEWABLE ENERGY GROUP INC (COM | REGI | 285,127 | 0 | | New Buy | TRAVERE THERAPEUTICS INC (COM) | | 600,691 | 0 | | New Buy | BANKUNITED INC (COM) | BKU | 374,920 | 0 | | New Buy | TRICIDA INC (COM) | | 93,438 | 0 | | New Buy | LENNOX INTL INC (COM) | LII | 74,313 | 0 | | New Buy | TRIBUNE PUBG CO NEW (COM) | | 48,261 | 0 | | New Buy | TRUPANION INC (COM) | TRUP | 258,612 | 0 | | New Buy | TREAN INS GROUP INC (COM) | | 23,080 | 0 | | New Buy | TRUEBLUE INC (COM) | TBI | 115,387 | 0 | | New Buy | CVB FINL CORP (COM) | CVBF | 346,045 | 0 | | New Buy | ALLEGHANY CORP DEL (COM) | Y | 51,416 | 0 | | New Buy | TRIMBLE INC (COM) | TRMB | 562,732 | 0 | | New Buy | TRIPADVISOR INC (COM) | TRIP | 702,590 | 0 | | New Buy | TRICIDA INC (COM) | | 39,896 | 0 | | New Buy | TRIPADVISOR INC (COM) | TRIP | 431,871 | 0 | | New Buy | TRICIDA INC (COM) | | 15,974 | 0 | | New Buy | TRISTATE CAP HLDGS INC (COM) | TSC | 315,169 | 0 | | New Buy | TRIBUNE PUBG CO NEW (COM) | | 41,065 | 0 | | New Buy | TRIP COM GROUP LTD (ADS) | | 461,874 | 0 | | New Buy | ALLIANT ENERGY CORP (COM) | LNT | 2,357,043 | 0 | | New Buy | TRIP COM GROUP LTD (ADS) | | 284,969 | 0 | | New Buy | TREAN INS GROUP INC (COM) | | 21,328 | 0 | | New Buy | TRINITY INDS INC (COM) | TRN | 707,425 | 0 | | New Buy | ALLISON TRANSMISSION HLDGS I (CO | ALSN | 314,187 | 0 | | New Buy | ZYNEX INC (COM) | ZYXI | 288,495 | 0 | | New Buy | TIMBERLAND BANCORP INC (COM) | TSBK | 16,110 | 0 | | New Buy | THE TRADE DESK INC (COM CL A) | | 137,054 | 0 | | New Buy | TRAVERE THERAPEUTICS INC (COM) | | 160,331 | 0 | | New Buy | PAYLOCITY HLDG CORP (COM) | PCTY | 211,559 | 0 | | New Buy | OVERSTOCK COM INC DEL (COM) | OSTK | 155,715 | 0 | | New Buy | TEVA PHARMACEUTICAL FIN LLC (DBC | | 27,570,000 | 0 | | New Buy | TRANSUNION (COM) | | 830,609 | 0 | | New Buy | TIDEWATER INC NEW (COM) | | 85,492 | 0 | | New Buy | TRANSUNION (COM) | | 498,393 | 0 | | New Buy | THE REALREAL INC (COM) | | 312,420 | 0 | | New Buy | ALLSCRIPTS HEALTHCARE SOLUTN (CO | MDRX | 1,343,583 | 0 | | New Buy | THE ODP CORP (COM) | | 202,333 | 0 | | New Buy | TRANSUNION (COM) | | 25,509 | 0 | | New Buy | AMERCO (COM) | UHAL | 19,196 | 0 | | New Buy | TRANSMEDICS GROUP INC (COM) | | 61,000 | 0 | | New Buy | MORGAN STANLEY (COM NEW) | MS | 10,980,668 | 0 | | New Buy | TRANSMEDICS GROUP INC (COM) | | 33,220 | 0 | | New Buy | COHEN & STEERS INC (COM) | CNS | 139,092 | 0 | | New Buy | TRANSLATE BIO INC (COM) | | 414,748 | 0 | | New Buy | CTS CORP (COM) | CTS | 121,178 | 0 | | New Buy | TRANSLATE BIO INC (COM) | | 130,187 | 0 | | New Buy | THE REALREAL INC (COM) | | 13,642 | 0 | | New Buy | ALLY FINL INC (COM) | ALLY | 1,620,322 | 0 | | New Buy | THERAPEUTICSMD INC (COM) | TXMD | 1,213,665 | 0 | | New Buy | TRANSCAT INC (COM) | TRNS | 10,107 | 0 | | New Buy | JACOBS ENGR GROUP INC (COM) | JEC | 268,753 | 0 | | New Buy | TRADEWEB MKTS INC (CL A) | | 274,410 | 0 | | New Buy | AXIS CAP HLDGS LTD (SHS) | AXS | 719,787 | 0 | | New Buy | ALNYLAM PHARMACEUTICALS INC (COM | ALNY | 420,735 | 0 | | New Buy | PULTE GROUP INC (COM) | PHM | 905,260 | 0 | | New Buy | TRADEWEB MKTS INC (CL A) | | 264,838 | 0 | | New Buy | TILRAY INC (COM CL 2) | | 31,741 | 0 | | New Buy | COHERUS BIOSCIENCES INC (COM) | CHRS | 302,822 | 0 | | New Buy | TIDEWATER INC NEW (COM) | | 777,906 | 0 | | New Buy | COHERUS BIOSCIENCES INC (COM) | CHRS | 183,158 | 0 | | New Buy | MEDTRONIC PLC (SHS) | MDT | 4,683,682 | 0 | | New Buy | TOYOTA MOTOR CORP (SP ADR REP2CO | TM | 211,872 | 0 | | New Buy | MORNINGSTAR INC (COM) | MORN | 80,560 | 0 | | New Buy | TORO CO (COM) | TTC | 479,094 | 0 | | New Buy | 360 DIGITECH INC (AMERICAN DEP) | | 51,411 | 0 | | New Buy | TOPBUILD CORP (COM) | | 94,263 | 0 | | New Buy | GRACO INC (COM) | GGG | 262,065 | 0 | | New Buy | TOPBUILD CORP (COM) | | 74,456 | 0 | | New Buy | THE REALREAL INC (COM) | | 278,880 | 0 | | New Buy | TOPBUILD CORP (COM) | | 7,363 | 0 | | New Buy | MOSAIC CO NEW (COM) | MOS | 896,143 | 0 | | New Buy | ALPHABET INC (CAP STK CL A) | GOOGL | 1,150,226 | 0 | | New Buy | THE TRADE DESK INC (COM CL A) | | 63,770 | 0 | | New Buy | CNX RES CORP (COM) | CNX | 557,004 | 0 | | New Buy | THE ODP CORP (COM) | | 243,406 | 0 | | New Buy | CIENA CORP (COM NEW) | CIEN | 956,377 | 0 | | New Buy | THE ODP CORP (COM) | | 30,744 | 0 | | New Buy | TIVITY HEALTH INC (COM) | | 129,195 | 0 | | New Buy | TEXAS CAP BANCSHARES INC (COM) | TCBI | 150,275 | 0 | | New Buy | TIVITY HEALTH INC (COM) | | 89,610 | 0 | | New Buy | FISERV INC (COM) | FISV | 1,746,349 | 0 | | New Buy | TIVITY HEALTH INC (COM) | | 20,868 | 0 | | New Buy | MYERS INDS INC (COM) | MYE | 271,742 | 0 | | New Buy | PROVIDENT FINL SVCS INC (COM) | PFS | 222,923 | 0 | | New Buy | INDEPENDENT BANK CORP MASS (COM) | INDB | 89,663 | 0 | | New Buy | HEALTHCARE SVCS GROUP INC (COM) | HCSG | 611,498 | 0 | | New Buy | TEREX CORP NEW (COM) | TEX | 4,276,879 | 0 | | New Buy | TERMINIX GLOBAL HOLDINGS INC (CO | | 392,730 | 0 | | New Buy | BOISE CASCADE CO DEL (COM) | BCC | 432,794 | 0 | | New Buy | ENSIGN GROUP INC (COM) | ENSG | 203,356 | 0 | | New Buy | TERMINIX GLOBAL HOLDINGS INC (CO | | 435,051 | 0 | | New Buy | TERMINIX GLOBAL HOLDINGS INC (CO | | 53,692 | 0 | | New Buy | STEELCASE INC (CL A) | SCS | 269,365 | 0 | | New Buy | TAYLOR MORRISON HOME CORP (COM) | TMHC | 636,595 | 0 | | New Buy | ENTERGY CORP NEW (COM) | ETR | 2,003,122 | 0 | | New Buy | BK OF AMERICA CORP (COM) | BAC | 28,297,373 | 0 | | New Buy | TERADATA CORP DEL (COM) | TDC | 749,068 | 0 | | New Buy | TELLURIAN INC NEW (COM) | | 357,752 | 0 | | New Buy | TERADATA CORP DEL (COM) | TDC | 488,893 | 0 | | New Buy | TELADOC HEALTH INC (COM) | | 29,652 | 0 | | New Buy | FRESH DEL MONTE PRODUCE INC (ORD | FDP | 149,720 | 0 | | New Buy | LIBERTY GLOBAL PLC (SHS CL A) | LBTYA | 495,587 | 0 | | New Buy | ENVESTNET INC (COM) | ENV | 159,629 | 0 | | New Buy | QORVO INC (COM) | QRVO | 174,432 | 0 | | New Buy | COGNEX CORP (COM) | CGNX | 739,614 | 0 | | New Buy | TELADOC HEALTH INC (COM) | | 313,441 | 0 | | New Buy | TENCENT MUSIC ENTMT GROUP (SPON | | 902,685 | 0 | | New Buy | TCR2 THERAPEUTICS INC (COM) | | 62,153 | 0 | | New Buy | TENCENT MUSIC ENTMT GROUP (SPON | | 194,600 | 0 | | New Buy | TAYLOR MORRISON HOME CORP (COM) | TMHC | 411,296 | 0 | | New Buy | TENNANT CO (COM) | TNC | 56,400 | 0 | | New Buy | TARGET HOSPITALITY CORP (COM) | | 43,888 | 0 | | New Buy | 10X GENOMICS INC (CL A COM) | | 660,374 | 0 | | New Buy | TELLURIAN INC NEW (COM) | | 309,542 | 0 | | New Buy | 10X GENOMICS INC (CL A COM) | | 420,371 | 0 | | New Buy | TELADOC HEALTH INC (COM) | | 449,377 | 0 | | New Buy | TENABLE HLDGS INC (COM) | | 483,441 | 0 | | New Buy | AMDOCS LTD (SHS) | DOX | 454,251 | 0 | | New Buy | AMERICAN EAGLE OUTFITTERS IN (CO | AEO | 406,015 | 0 | | New Buy | COGENT COMMUNICATIONS HLDGS (COM | CCOI | 113,170 | 0 | | New Buy | AMERICAN EAGLE OUTFITTERS IN (CO | AEO | 1,052,927 | 0 | | New Buy | TCR2 THERAPEUTICS INC (COM) | | 75,679 | 0 | | New Buy | TENABLE HLDGS INC (COM) | | 306,445 | 0 | | New Buy | TAYSHA GENE THERAPIES INC (COM S | | 14,228 | 0 | | New Buy | GLACIER BANCORP INC NEW (COM) | GBCI | 494,000 | 0 | | New Buy | AMERICAN INTL GROUP INC (COM NEW | AIG | 3,753,598 | 0 | | New Buy | LEGGETT & PLATT INC (COM) | LEG | 279,185 | 0 | | New Buy | FLWS/1-800 FLOWERS (CL A) | FLWS | 336,426 | 0 | | New Buy | ING GROEP N.V. (SPONSORED ADR) | ING | 1,610,580 | 0 | | New Buy | FRANKLIN RESOURCES INC (COM) | BEN | 662,382 | 0 | | New Buy | SQUARE INC (CL A) | | 571,314 | 0 | | New Buy | AMERICAN PUBLIC EDUCATION IN (CO | APEI | 189,602 | 0 | | New Buy | TAPESTRY INC (COM) | | 308,384 | 0 | | New Buy | TAPESTRY INC (COM) | | 63,478 | 0 | | New Buy | SPIRIT RLTY CAP INC NEW (COM NEW | | 379,076 | 0 | | New Buy | TANDEM DIABETES CARE INC (COM NE | | 2,104 | 0 | | New Buy | RELIANCE STEEL & ALUMINUM CO (CO | RS | 313,244 | 0 | | New Buy | ROGERS CORP (COM) | ROG | 84,318 | 0 | | New Buy | APTARGROUP INC (COM) | ATR | 110,613 | 0 | | New Buy | EPLUS INC (COM) | PLUS | 118,651 | 0 | | New Buy | TAKEDA PHARMACEUTICAL CO LTD (SP | TKPYY | 1,225,317 | 0 | | New Buy | BRIGHT HORIZONS FAM SOL IN D (CO | BFAM | 217,468 | 0 | | New Buy | ROYAL CARIBBEAN GROUP (COM) | RCL | 682,688 | 0 | | New Buy | TALOS ENERGY INC (COM) | | 32,677 | 0 | | New Buy | JPMORGAN CHASE & CO (COM) | JPM | 12,109,744 | 0 | | New Buy | SPIRE INC (COM) | | 5,734 | 0 | | New Buy | TABULA RASA HEALTHCARE INC (COM) | | 20,710 | 0 | | New Buy | TACTILE SYS TECHNOLOGY INC (COM) | | 6,479 | 0 | | New Buy | DOLBY LABORATORIES INC (COM CL A | DLB | 173,998 | 0 | | New Buy | TPG RE FIN TR INC (COM) | | 94,586 | 0 | | New Buy | TACTILE SYS TECHNOLOGY INC (COM) | | 76,680 | 0 | | New Buy | CASEYS GEN STORES INC (COM) | CASY | 101,551 | 0 | | New Buy | TACTILE SYS TECHNOLOGY INC (COM) | | 51,647 | 0 | | New Buy | TPG RE FIN TR INC (COM) | | 148,666 | 0 | | New Buy | EVEREST RE GROUP LTD (COM) | RE | 183,899 | 0 | | New Buy | COEUR MNG INC (COM NEW) | CDE | 1,597,183 | 0 | | New Buy | T-MOBILE US INC (COM) | TMUS | 4,723,367 | 0 | | New Buy | CISCO SYS INC (COM) | CSCO | 14,841,863 | 0 | | New Buy | TPI COMPOSITES INC (COM) | | 62,309 | 0 | | New Buy | SPECTRUM BRANDS HLDGS INC NE (CO | | 114,791 | 0 | | New Buy | SYROS PHARMACEUTICALS INC (COM) | | 103,453 | 0 | | New Buy | NATIONAL FUEL GAS CO N J (COM) | NFG | 199,618 | 0 | | New Buy | TCF FINL CORP (COM) | | 209,737 | 0 | | New Buy | TELA BIO INC (COM) | | 18,098 | 0 | | New Buy | TCF FINL CORP (COM) | | 924,881 | 0 | | New Buy | HAEMONETICS CORP (COM) | HAE | 111,989 | 0 | | New Buy | TCF FINL CORP (COM) | | 11,935 | 0 | | New Buy | SPECTRUM BRANDS HLDGS INC NE (CO | | 26,211 | 0 | | New Buy | ITRON INC (COM) | ITRI | 120,967 | 0 | | New Buy | SYNEOS HEALTH INC (CL A) | | 100,892 | 0 | | New Buy | AMERIS BANCORP (COM) | ABCB | 186,074 | 0 | | New Buy | SYNEOS HEALTH INC (CL A) | | 138,803 | 0 | | New Buy | AMERIS BANCORP (COM) | ABCB | 353,295 | 0 | | New Buy | SYNEOS HEALTH INC (CL A) | | 56,893 | 0 | | New Buy | SOUTH ST CORP (COM) | SSB | 182,749 | 0 | | New Buy | KEMPER CORP (COM) | KMPR | 156,839 | 0 | | New Buy | SYNDAX PHARMACEUTICALS INC (COM) | | 89,242 | 0 | | New Buy | SUNRUN INC (COM) | | 387,237 | 0 | | New Buy | SYNDAX PHARMACEUTICALS INC (COM) | | 67,096 | 0 | | New Buy | NATIONAL RESH CORP (COM NEW) | NRCIA | 45,841 | 0 | | New Buy | SYNOVUS FINL CORP (COM NEW) | SNV | 258,998 | 0 | | New Buy | SUNNOVA ENERGY INTL INC. (COM) | | 350,158 | 0 | | New Buy | SYKES ENTERPRISES INC (COM) | SYKE | 193,312 | 0 | | New Buy | SURGERY PARTNERS INC (COM) | | 63,892 | 0 | | New Buy | NATIONAL INSTRS CORP (COM) | NATI | 345,067 | 0 | | New Buy | FABRINET (SHS) | FN | 159,806 | 0 | | New Buy | SWITCH INC (CL A) | | 291,533 | 0 | | New Buy | DIAMOND HILL INVT GROUP INC (COM | DHIL | 9,828 | 0 | | New Buy | SWITCH INC (CL A) | | 133,450 | 0 | | New Buy | SURGERY PARTNERS INC (COM) | | 66,612 | 0 | | New Buy | SUTRO BIOPHARMA INC (COM) | | 143,673 | 0 | | New Buy | INNOSPEC INC (COM) | IOSP | 161,913 | 0 | | New Buy | SUTRO BIOPHARMA INC (COM) | | 120,650 | 0 | | New Buy | SURGERY PARTNERS INC (COM) | | 8,590 | 0 | | New Buy | INNOSPEC INC (COM) | IOSP | 90,260 | 0 | | New Buy | QUEST DIAGNOSTICS INC (COM) | DGX | 560,175 | 0 | | New Buy | SURGALIGN HOLDINGS INC (COM) | | 195,899 | 0 | | New Buy | SUNRUN INC (COM) | | 615,446 | 0 | | New Buy | SURGALIGN HOLDINGS INC (COM) | | 160,755 | 0 | | New Buy | IROBOT CORP (COM) | IRBT | 112,272 | 0 | | New Buy | TRITON INTL LTD (CL A) | TRTN | 323,145 | 0 | | New Buy | SUNRUN INC (COM) | | 35,459 | 0 | | New Buy | SOTERA HEALTH CO (COM) | | 517,378 | 0 | | New Buy | SUNCOR ENERGY INC NEW (COM) | SU | 26,407 | 0 | | New Buy | ANGIODYNAMICS INC (COM) | ANGO | 376,767 | 0 | | New Buy | SUNNOVA ENERGY INTL INC. (COM) | | 30,844 | 0 | | New Buy | DISH NETWORK CORPORATION (CL A) | DISH | 577,644 | 0 | | New Buy | SOLENO THERAPEUTICS INC (COM NEW | | 68,247 | 0 | | New Buy | SOLARIS OILFIELD INFRSTR INC (CO | | 70,851 | 0 | | New Buy | ORMAT TECHNOLOGIES INC (COM) | ORA | 126,250 | 0 | | New Buy | SUMO LOGIC INC (COM) | | 34,657 | 0 | | New Buy | STRATEGIC ED INC (COM) | | 78,861 | 0 | | New Buy | FIRST FINL BANCORP OH (COM) | FFBC | 685,142 | 0 | | New Buy | DISCOVERY INC (COM SER C) | DISCK | 956,187 | 0 | | New Buy | SUMMIT MATLS INC (CL A) | | 1,205,581 | 0 | | New Buy | STRATEGIC ED INC (COM) | | 74,692 | 0 | | New Buy | ROYAL DUTCH SHELL PLC (SPON ADR | RDS-B | 764,614 | 0 | | New Buy | STRIDE INC (COM) | | 247,859 | 0 | | New Buy | OSHKOSH CORP (COM) | OSK | 93,991 | 0 | | New Buy | STRIDE INC (COM) | | 87,909 | 0 | | New Buy | CHENIERE ENERGY INC (COM NEW) | LNG | 1,094,890 | 0 | | New Buy | ANTARES PHARMA INC (COM) | AIS | 648,409 | 0 | | New Buy | SOLARIS OILFIELD INFRSTR INC (CO | | 58,932 | 0 | | New Buy | STEWART INFORMATION SVCS COR (CO | STC | 206,357 | 0 | | New Buy | ROYAL GOLD INC (COM) | RGLD | 215,312 | 0 | | New Buy | DISCOVER FINL SVCS (COM) | DFS | 3,676,043 | 0 | | New Buy | STONEX GROUP INC (COM) | | 87,891 | 0 | | New Buy | STERLING BANCORP INC (COM) | | 26,837 | 0 | | New Buy | STONEX GROUP INC (COM) | | 77,153 | 0 | | New Buy | CONTINENTAL RES INC (COM) | CLR | 102,351 | 0 | | New Buy | BLACKBAUD INC (COM) | BLKB | 159,460 | 0 | | New Buy | INOVIO PHARMACEUTICALS INC (COM | INO | 824,881 | 0 | | New Buy | ANTHEM INC (COM) | ANTM | 1,147,536 | 0 | | New Buy | INOGEN INC (COM) | INGN | 60,691 | 0 | | New Buy | GREAT LAKES DREDGE & DOCK CO (CO | GLDD | 589,489 | 0 | | New Buy | STEPSTONE GROUP INC (COM CL A) | | 32,360 | 0 | | New Buy | MVB FINL CORP (COM) | MVBF | 14,882 | 0 | | New Buy | STEPAN CO (COM) | SCL | 168,634 | 0 | | New Buy | STOKE THERAPEUTICS INC (COM) | | 31,032 | 0 | | New Buy | COCA COLA CO (COM) | KO | 15,929,293 | 0 | | New Buy | STOKE THERAPEUTICS INC (COM) | | 20,078 | 0 | | New Buy | CHEMED CORP NEW (COM) | CHE | 46,920 | 0 | | New Buy | STITCH FIX INC (COM CL A) | | 301,833 | 0 | | New Buy | STERLING BANCORP INC (COM) | | 11,233 | 0 | | New Buy | STITCH FIX INC (COM CL A) | | 85,614 | 0 | | New Buy | RPM INTL INC (COM) | RPM | 249,342 | 0 | | New Buy | STITCH FIX INC (COM CL A) | | 29,041 | 0 | | New Buy | STEPSTONE GROUP INC (COM CL A) | | 46,435 | 0 | | New Buy | ORASURE TECHNOLOGIES INC (COM) | OSUR | 251,237 | 0 | | New Buy | LIVEPERSON INC (COM) | LPSN | 298,126 | 0 | | New Buy | CHEMUNG FINL CORP (COM) | CHMG | 7,648 | 0 | | New Buy | GRAHAM HLDGS CO (COM CL B) | GHC | 15,954 | 0 | | New Buy | FIRST UTD CORP (COM) | FUNC | 11,470 | 0 | | New Buy | SQUARE INC (CL A) | | 1,228,659 | 0 | | New Buy | STATE STR CORP (COM) | STT | 827,030 | 0 | | New Buy | CROWN HLDGS INC (COM) | CCK | 2,755,512 | 0 | | New Buy | ADIENT PLC (ORD SHS) | ADNT | 3,622,180 | 0 | | New Buy | SPIRIT OF TEX BANCSHARES INC (CO | | 28,307 | 0 | | New Buy | SPRINGWORKS THERAPEUTICS INC (CO | | 69,960 | 0 | | New Buy | SPROUT SOCIAL INC (COM CL A) | | 195,987 | 0 | | New Buy | SPIRIT RLTY CAP INC NEW (COM NEW | | 647,922 | 0 | | New Buy | KRONOS WORLDWIDE INC (COM) | KRO | 55,014 | 0 | | New Buy | SPRINGWORKS THERAPEUTICS INC (CO | | 12,314 | 0 | | New Buy | SPROUT SOCIAL INC (COM CL A) | | 69,439 | 0 | | New Buy | REINSURANCE GRP OF AMERICA I (CO | RGA | 142,663 | 0 | | New Buy | FIVE9 INC (COM) | FIVN | 367,073 | 0 | | New Buy | SPRUCE BIOSCIENCES INC (COM) | | 11,244 | 0 | | New Buy | CF INDS HLDGS INC (COM) | CF | 1,211,053 | 0 | | New Buy | SPRINGWORKS THERAPEUTICS INC (CO | | 34,574 | 0 | | New Buy | SPROUT SOCIAL INC (COM CL A) | | 6,733 | 0 | | New Buy | SPLUNK INC (COM) | SPLK | 417,639 | 0 | | New Buy | BALCHEM CORP (COM) | BCPC | 193,811 | 0 | | New Buy | NAVISTAR INTL CORP NEW (COM) | NAV | 142,242 | 0 | | New Buy | SPRUCE BIOSCIENCES INC (COM) | | 11,422 | 0 | | New Buy | SPIRIT OF TEX BANCSHARES INC (CO | | 21,787 | 0 | | New Buy | FACTSET RESH SYS INC (COM) | FDS | 109,788 | 0 | | New Buy | SPIRE INC (COM) | | 166,632 | 0 | | New Buy | BRUKER CORP (COM) | BRKR | 148,004 | 0 | | New Buy | SPIRE INC (COM) | | 107,929 | 0 | | New Buy | NEXTERA ENERGY PARTNERS LP (COM | NEP | 328,534 | 0 | | New Buy | SPERO THERAPEUTICS INC (COM) | | 33,152 | 0 | | New Buy | SPERO THERAPEUTICS INC (COM) | | 49,794 | 0 | | New Buy | BORGWARNER INC (COM) | BWA | 417,843 | 0 | | New Buy | GATX CORP (COM) | GMT | 97,548 | 0 | | New Buy | SPECTRUM BRANDS HLDGS INC NE (CO | | 120,390 | 0 | | New Buy | CDK GLOBAL INC (COM) | CDK | 277,290 | 0 | | New Buy | RAMBUS INC DEL (COM) | RMBS | 893,218 | 0 | | New Buy | NORDSON CORP (COM) | NDSN | 182,231 | 0 | | New Buy | ARAMARK (COM) | ARMK | 571,305 | 0 | | New Buy | FS BANCORP INC (COM) | FSBW | 6,897 | 0 | | New Buy | SOUTHERN CO (UNIT 08/01/2022) | | 742,600 | 0 | | New Buy | ESSENT GROUP LTD (COM) | ESNT | 686,744 | 0 | | New Buy | RAMBUS INC DEL (COM) | RMBS | 1,221,645 | 0 | | New Buy | EVERCORE INC (CLASS A) | EVR | 81,586 | 0 | | New Buy | SOTERA HEALTH CO (COM) | | 639,505 | 0 | | New Buy | SOUTH PLAINS FINANCIAL INC (COM) | | 19,259 | 0 | | New Buy | SOUTH PLAINS FINANCIAL INC (COM) | | 15,959 | 0 | | New Buy | NORDSTROM INC (COM) | JWN | 479,331 | 0 | | New Buy | SOLITON INC (COM) | | 11,378 | 0 | | New Buy | SONOS INC (COM) | | 1,112,184 | 0 | | New Buy | NEW YORK CMNTY BANCORP INC (COM) | NYB | 1,225,168 | 0 | | New Buy | SONOS INC (COM) | | 685,250 | 0 | | New Buy | SOLID BIOSCIENCES INC (COM) | | 52,152 | 0 | | New Buy | SONOS INC (COM) | | 55,303 | 0 | | New Buy | SOLENO THERAPEUTICS INC (COM NEW | | 108,347 | 0 | | New Buy | SONOCO PRODS CO (COM) | SON | 132,490 | 0 | | New Buy | NEW RELIC INC (COM) | NEWR | 235,909 | 0 | | New Buy | DINE BRANDS GLOBAL INC (COM) | DIN | 51,187 | 0 | | New Buy | TARO PHARMACEUTICAL INDS LTD (SH | TAROF | 4,159 | 0 | | New Buy | SONOCO PRODS CO (COM) | SON | 111,842 | 0 | | New Buy | SOLID BIOSCIENCES INC (COM) | | 49,023 | 0 | | New Buy | SIMMONS 1ST NATL CORP (CL A $1 P | SFNC | 588,215 | 0 | | New Buy | OCEANFIRST FINL CORP (COM) | OCFC | 412,102 | 0 | | New Buy | CORE MARK HOLDING CO INC (COM) | CORE | 231,457 | 0 | | New Buy | ITAU UNIBANCO HLDG S A (SPON ADR | ITU | 23,586 | 0 | | New Buy | SAGA COMMUNICATIONS INC (CL A NE | SGA | 8,550 | 0 | | New Buy | ST JOE CO (COM) | JOE | 94,570 | 0 | | New Buy | SOLARWINDS CORP (COM) | | 60,279 | 0 | | New Buy | FULLER H B CO (COM) | FUL | 159,733 | 0 | | New Buy | SOLARWINDS CORP (COM) | | 50,110 | 0 | | New Buy | RAVEN INDS INC (COM) | RAVN | 171,196 | 0 | | New Buy | SOLAREDGE TECHNOLOGIES INC (COM) | | 165,600 | 0 | | New Buy | SALLY BEAUTY HLDGS INC (COM) | SBH | 327,694 | 0 | | New Buy | NEW YORK TIMES CO (CL A) | NYT | 398,964 | 0 | | New Buy | GRANITE CONSTR INC (COM) | GVA | 153,333 | 0 | | New Buy | CARTERS INC (COM) | CRI | 66,468 | 0 | | New Buy | ISHARES TR (MSCI ACWI ETF) | ACWI | 3,237 | 0 | | New Buy | FRESENIUS MED CARE AG&CO KGA (SP | FMS | 479,049 | 0 | | New Buy | BORGWARNER INC (COM) | BWA | 276,896 | 0 | | New Buy | GRAY TELEVISION INC (COM) | GTN | 760,227 | 0 | | New Buy | KAISER ALUMINUM CORP (COM PAR $0 | KALU | 55,566 | 0 | | New Buy | L BRANDS INC (COM) | LTD | 342,971 | 0 | | New Buy | BADGER METER INC (COM) | BMI | 91,759 | 0 | | New Buy | ARES CAPITAL CORP (COM) | ARCC | 653,930 | 0 | | New Buy | INTERNATIONAL BANCSHARES COR (CO | IBOC | 185,936 | 0 | | New Buy | BURLINGTON STORES INC (COM) | BURL | 316,311 | 0 | | New Buy | ETHAN ALLEN INTERIORS INC (COM) | ETH | 113,230 | 0 | | New Buy | FIRST HORIZON CORPORATION (COM) | FHN | 2,107,076 | 0 | | New Buy | ORANGE (SPONSORED ADR) | ORAN | 326,872 | 0 | | New Buy | NEWS CORP NEW (CL A) | NWSA | 584,727 | 0 | | New Buy | CONSOLIDATED COMM HLDGS INC (COM | CNSL | 240,592 | 0 | | New Buy | BUILDERS FIRSTSOURCE INC (COM) | BLDR | 840,217 | 0 | | New Buy | EVANS BANCORP INC (COM NEW) | EVBN | 11,131 | 0 | | New Buy | BAIDU INC (SPON ADR REP A) | BIDU | 385,071 | 0 | | New Buy | FLIR SYS INC (COM) | FLIR | 282,367 | 0 | | New Buy | RALPH LAUREN CORP (CL A) | RL | 75,626 | 0 | | New Buy | CUBIC CORP (COM) | CUB | 138,359 | 0 | | New Buy | FULTON FINL CORP PA (COM) | FULT | 436,806 | 0 | | New Buy | OSI SYSTEMS INC (COM) | OSIS | 173,300 | 0 | | New Buy | ASBURY AUTOMOTIVE GROUP INC (COM | ABG | 49,966 | 0 | | New Buy | SK TELECOM LTD (SPONSORED ADR) | SKM | 1,918,119 | 0 | | New Buy | HANCOCK WHITNEY CORPORATION (COM | HBHC | 239,257 | 0 | | New Buy | OCEANEERING INTL INC (COM) | OII | 1,029,690 | 0 | | New Buy | HANCOCK JOHN PFD INCOME FD I (CO | HPS | 646,421 | 0 | | New Buy | TARO PHARMACEUTICAL INDS LTD (SH | TAROF | 10,265 | 0 | | New Buy | ARTISAN PARTNERS ASSET MGMT (CL | APAM | 291,751 | 0 | | New Buy | NORWOOD FINL CORP (COM) | NWFL | 12,681 | 0 | | New Buy | BRISTOL-MYERS SQUIBB CO (COM) | BMY | 7,457,056 | 0 | | New Buy | SANOFI (SPONSORED ADR) | SNY | 212,939 | 0 | | New Buy | ATLANTICUS HLDGS CORP (COM) | ATLC | 8,688 | 0 | | New Buy | SLM CORP (COM) | SLM | 866,946 | 0 | | New Buy | NORDSTROM INC (COM) | JWN | 204,763 | 0 | | New Buy | FIRST SOLAR INC (COM) | FSLR | 270,142 | 0 | | New Buy | HANGER INC (COM NEW) | HGR | 112,485 | 0 | | New Buy | SIGA TECHNOLOGIES INC (COM) | SIGA | 180,627 | 0 | | New Buy | ISHARES INC (CORE MSCI EMKT) | IEMG | 1,647,629 | 0 | | New Buy | SABRE CORP (COM) | SABR | 3,714,589 | 0 | | New Buy | MYR GROUP INC DEL (COM) | MYRG | 107,311 | 0 | | New Buy | HARLEY DAVIDSON INC (COM) | HOG | 397,569 | 0 | | New Buy | SAP SE (SPON ADR) | SAP | 38,092 | 0 | | New Buy | DICERNA PHARMACEUTICALS INC (COM | DRNA | 201,346 | 0 | | New Buy | CHEMOURS CO (COM) | CC | 210,232 | 0 | | New Buy | BROOKDALE SR LIVING INC (COM) | BKD | 2,042,211 | 0 | | New Buy | LANDEC CORP (COM) | LNDC | 320,670 | 0 | | New Buy | AUTOLIV INC (COM) | ALV | 6,371 | 0 | | New Buy | RYDER SYS INC (COM) | R | 103,405 | 0 | | New Buy | LGI HOMES INC (COM) | LGIH | 57,508 | 0 | | New Buy | BOK FINL CORP (COM NEW) | BOKF | 85,306 | 0 | | New Buy | SEACOAST BKG CORP FLA (COM NEW) | SBCF | 140,712 | 0 | | New Buy | ISHARES TR (CORE MSCI EAFE) | IEFA | 3,133,484 | 0 | | New Buy | CLEAN ENERGY FUELS CORP (COM) | CLNE | 771,179 | 0 | | New Buy | INTERSECT ENT INC (COM) | XENT | 467,604 | 0 | | New Buy | EATON CORP PLC (SHS) | ETN | 2,313,647 | 0 | | New Buy | ASSURANT INC (COM) | AIZ | 337,142 | 0 | | New Buy | REALOGY HLDGS CORP (COM) | RLGY | 859,571 | 0 | | New Buy | CULLEN FROST BANKERS INC (COM) | CFR | 82,347 | 0 | | New Buy | OPKO HEALTH INC (COM) | OPK | 1,656,947 | 0 | | New Buy | SEALED AIR CORP NEW (COM) | SEE | 262,361 | 0 | | New Buy | ASTRAZENECA PLC (SPONSORED ADR) | AZN | 979,188 | 0 | | New Buy | ORACLE CORP (COM) | ORCL | 6,389,868 | 0 | | New Buy | LIVE NATION ENTERTAINMENT IN (CO | LYV | 625,171 | 0 | | New Buy | SCOTTS MIRACLE GRO CO (CL A) | SMG | 155,264 | 0 | | New Buy | NUTANIX INC (CL A) | NTNX | 851,819 | 0 | | New Buy | ATARA BIOTHERAPEUTICS INC (COM) | ATRA | 645,269 | 0 | | New Buy | SPDR S&P 500 ETF TR (TR UNIT) | SPY | 13,894 | 0 | | New Buy | SCHOLASTIC CORP (COM) | SCHL | 131,641 | 0 | | New Buy | BHP GROUP PLC (SPONSORED ADR) | BBL | 458,176 | 0 | | New Buy | SCHNITZER STEEL INDS INC (CL A) | SCHN | 262,431 | 0 | | New Buy | SPS COMMERCE INC (COM) | SPSC | 327,814 | 0 | | New Buy | ATRION CORP (COM) | ATRI | 4,610 | 0 | | New Buy | LKQ CORP (COM) | LKQX | 556,749 | 0 | | New Buy | OGE ENERGY CORP (COM) | OGE | 258,694 | 0 | | New Buy | HANOVER INS GROUP INC (COM) | THG | 71,275 | 0 | | New Buy | BRITISH AMERN TOB PLC (SPONSORED | BTI | 29,443 | 0 | | New Buy | CHEVRON CORP NEW (COM) | CVX | 6,733,453 | 0 | | New Buy | LIBERTY GLOBAL PLC (SHS CL C) | LBTYK | 132,406 | 0 | | New Buy | SAP SE (SPON ADR) | SAP | 40,538 | 0 | | New Buy | ZILLOW GROUP INC (NOTE 2.750% 5/ | | 12,000,000 | 6,534 | | 183554.72% | ILLUMINA INC (NOTE 0.500% 6/1) | | 40,400,000 | 41,190 | | 97982.05% | 8X8 INC NEW (NOTE 0.500% 2/0) | | 30,500,000 | 31,188 | | 97694.02% | LUMENTUM HLDGS INC (NOTE 0.500%1 | | 31,919,000 | 38,899 | | 81956.09% | OKTA INC (NOTE 0.125% 9/0) | | 14,149,000 | 39,972 | | 35297.27% | AGNC INVT CORP (COM) | | 3,367,388 | 12,418 | | 27016.99% | PROOFPOINT INC (NOTE 0.250% 8/1) | | 19,000,000 | 70,851 | | 26716.84% | AVANTOR INC (COM) | | 5,724,862 | 21,981 | | 25944.59% | VIACOMCBS INC (CL B) | | 1,543,089 | 6,057 | | 25376.12% | AVANTOR INC (COM) | | 11,921,856 | 49,919 | | 23782.40% | DOW INC (COM) | | 3,736,685 | 16,869 | | 22051.19% | EQUITABLE HLDGS INC (COM) | | 2,963,665 | 14,027 | | 21028.28% | PINDUODUO INC (SPONSORED ADS) | | 197,914 | 1,000 | | 19691.39% | BAKER HUGHES COMPANY (CL A) | | 2,391,443 | 13,089 | | 18170.63% | PLURALSIGHT INC (NOTE 0.375% 3/0 | | 26,781,000 | 154,971 | | 17181.29% | DUPONT DE NEMOURS INC (COM) | | 6,594,601 | 40,986 | | 15989.88% | CHAMPIONX CORPORATION (COM) | | 2,197,235 | 14,377 | | 15182.98% | SNAP INC (NOTE 0.750% 8/0) | | 23,650,000 | 159,307 | | 14745.54% | HILTON WORLDWIDE HLDGS INC (COM) | | 1,458,199 | 10,974 | | 13187.76% | DIVERSIFIED HEALTHCARE TR (COM S | | 2,471,782 | 18,902 | | 12976.82% | DOW INC (COM) | | 1,908,631 | 15,156 | | 12493.23% | MARRIOTT VACTINS WORLDWID CO (NO | | 20,349,000 | 167,542 | | 12045.61% | DUPONT DE NEMOURS INC (COM) | | 3,236,839 | 26,914 | | 11926.59% | ENVISTA HOLDINGS CORPORATION (CO | | 2,697,087 | 25,054 | | 10665.09% | NORTONLIFELOCK INC (COM) | | 1,442,975 | 14,194 | | 10066.09% | NIO INC (SPON ADS) | | 677,270 | 7,343 | | 9123.34% | NORTONLIFELOCK INC (COM) | | 1,062,934 | 12,022 | | 8741.57% | CLEVELANDCLIFFS INC NEW (COM) | | 978,436 | 11,604 | | 8331.88% | HILTON WORLDWIDE HLDGS INC (COM) | | 1,565,098 | 18,822 | | 8215.25% | NORTONLIFELOCK INC (COM) | | 1,306,273 | 16,327 | | 7900.69% | TWITTER INC (NOTE 0.250% 6/1) | | 23,462,000 | 303,585 | | 7628.31% | TRANE TECHNOLOGIES PLC (SHS) | | 1,651,948 | 21,520 | | 7576.33% | IHS MARKIT LTD (SHS) | | 1,454,579 | 19,257 | | 7453.50% | NABORS INDS INC NEW (NOTE 0.750% | | 2,180,000 | 29,308 | | 7338.24% | GOODRX HLDGS INC (COM CL A) | | 488,522 | 7,184 | | 6700.13% | ANAPLAN INC (COM) | | 725,038 | 10,700 | | 6676.05% | NVENT ELECTRIC PLC (SHS) | | 1,982,581 | 30,872 | | 6321.93% | EVERGY INC (COM) | | 949,438 | 14,840 | | 6297.83% | HORIZON THERAPEUTICS PUB L (SHS) | | 1,197,371 | 18,718 | | 6296.89% | MARRIOTT INTL INC NEW (CL A) | MAR | 562,814 | 9,400 | | 5887.38% | REXNORD CORP (COM) | | 829,842 | 13,932 | | 5856.37% | CHURCHILL CAPITAL CORP IV (UNIT | | 1,299,066 | 21,847 | | 5846.19% | ADVANTAGE SOLUTIONS INC (COM CL | | 2,082,922 | 35,087 | | 5836.44% | PURE STORAGE INC (NOTE 0.125% 4/ | | 19,500,000 | 329,403 | | 5819.80% | GDS HLDGS LTD (SPONSORED ADS) | | 1,344,473 | 23,105 | | 5718.96% | PINDUODUO INC (SPONSORED ADS) | | 664,576 | 12,413 | | 5253.87% | ANAPLAN INC (COM) | | 1,656,785 | 31,826 | | 5105.75% | CIMPRESS PLC (SHS EURO) | | 673,119 | 12,990 | | 5081.82% | CUMULUS MEDIA INC (COM CL A) | | 571,648 | 11,445 | | 4894.74% | ROOT INC (COM CL A) | | 709,589 | 14,590 | | 4763.52% | HUAZHU GROUP LTD (SPONSORED ADS) | | 824,293 | 17,070 | | 4728.89% | BECTON DICKINSON & CO (COM) | BDX | 380,103 | 7,887 | | 4719.36% | WAITR HLDGS INC (COM) | | 425,866 | 8,936 | | 4665.73% | BLOOM ENERGY CORP (COM CL A) | | 886,972 | 18,627 | | 4661.75% | INVITAE CORP (COM) | | 480,387 | 10,312 | | 4558.52% | CLEAR CHANNEL OUTDOOR HLDGS (COM | | 7,591,679 | 164,719 | | 4508.86% | NUTANIX INC (NOTE 1/1) | | 5,000,000 | 114,260 | | 4275.98% | UBER TECHNOLOGIES INC (COM) | | 10,030,152 | 233,876 | | 4188.66% | KORNIT DIGITAL LTD (SHS) | | 500,042 | 11,683 | | 4180.08% | SERVICE PPTYS TR (COM SH BEN INT | | 436,743 | 10,547 | | 4040.92% | NEXTGEN HEALTHCARE INC (COM) | | 483,061 | 11,743 | | 4013.60% | LAMB WESTON HLDGS INC (COM) | | 414,916 | 10,105 | | 4006.04% | HUYA INC (ADS REP SHS A) | | 1,943,125 | 47,947 | | 3952.65% | GOSSAMER BIO INC (COM) | | 594,139 | 14,679 | | 3947.54% | IAC INTERACTIVECORP NEW (COM) | | 784,349 | 19,478 | | 3926.84% | INVITATION HOMES INC (COM) | | 667,904 | 16,772 | | 3882.25% | WELBILT INC (COM) | | 578,092 | 14,591 | | 3861.97% | CARRIER GLOBAL CORPORATION (COM) | | 1,622,713 | 42,041 | | 3759.83% | KEURIG DR PEPPER INC (COM) | | 6,595,224 | 172,385 | | 3725.86% | OKTA INC (CL A) | | 464,231 | 12,258 | | 3687.16% | AMCOR PLC (ORD) | | 3,604,271 | 98,759 | | 3549.56% | LOEWS CORP (COM) | LTR | 220,895 | 6,077 | | 3534.93% | BRP GROUP INC (COM CL A) | | 1,092,501 | 30,064 | | 3533.91% | CIGNA CORP NEW (COM) | | 2,778,601 | 77,405 | | 3489.69% | LIGAND PHARMACEUTICALS INC (NOTE | | 13,627,000 | 380,000 | | 3486.05% | LANTHEUS HLDGS INC (COM) | | 577,176 | 16,166 | | 3470.30% | GLAXOSMITHKLINE PLC (SPONSORED A | GSK | 2,328,072 | 65,573 | | 3450.35% | HORIZON THERAPEUTICS PUB L (SHS) | | 1,894,078 | 54,883 | | 3351.11% | GUARDANT HEALTH INC (COM) | | 1,420,855 | 42,100 | | 3274.95% | AT HOME GROUP INC (COM) | | 431,730 | 12,794 | | 3274.47% | ELANCO ANIMAL HEALTH INC (COM) | | 793,592 | 23,552 | | 3269.53% | ATHENE HOLDING LTD (CL A) | | 612,968 | 18,195 | | 3268.88% | XEROX HOLDINGS CORP (COM NEW) | | 337,085 | 10,026 | | 3262.10% | BLACK KNIGHT INC (COM) | | 559,440 | 16,779 | | 3234.16% | PENNANT GROUP INC (COM) | | 65,440 | 1,997 | | 3176.91% | BJS WHSL CLUB HLDGS INC (COM) | | 1,528,848 | 47,067 | | 3148.23% | COWEN INC (CL A NEW) | | 423,408 | 13,128 | | 3125.22% | E L F BEAUTY INC (COM) | | 666,784 | 20,802 | | 3105.38% | CHURCHILL CAPITAL CORP IV (UNIT | | 1,474,964 | 46,775 | | 3053.31% | KEURIG DR PEPPER INC (COM) | | 1,657,105 | 53,111 | | 3020.07% | UNDER ARMOUR INC (CL C) | | 1,242,746 | 41,453 | | 2897.96% | TESLA INC (COM) | TSLA | 48,259 | 1,625 | | 2869.78% | PACTIV EVERGREEN INC (COM) | | 8,857,522 | 304,319 | | 2810.60% | PINTEREST INC (CL A) | | 1,834,164 | 63,474 | | 2789.63% | PROSIGHT GLOBAL INC (COM) | | 325,459 | 11,378 | | 2760.42% | PEOPLES UNITED FINANCIAL INC (CO | PBCT | 297,376 | 10,472 | | 2739.72% | PPD INC (COM) | | 320,113 | 11,319 | | 2728.10% | UNUM GROUP (COM) | UNM | 295,430 | 10,447 | | 2727.89% | RAYTHEON TECHNOLOGIES CORP (COM) | | 2,913,030 | 103,453 | | 2715.80% | CIGNA CORP NEW (COM) | | 1,451,821 | 52,376 | | 2671.92% | UNITI GROUP INC (COM) | | 1,088,369 | 40,474 | | 2589.05% | BROADMARK RLTY CAP INC (COM) | | 320,531 | 12,143 | | 2539.63% | CHEGG INC (NOTE 0.125% 3/1) | | 30,000,000 | 1,144,210 | | 2521.89% | HUYA INC (ADS REP SHS A) | | 841,358 | 32,691 | | 2473.66% | NEXTGEN HEALTHCARE INC (COM) | | 271,272 | 10,550 | | 2471.29% | TELEDYNE TECHNOLOGIES INC (COM) | TDY | 21,115 | 824 | | 2462.50% | AMCOR PLC (ORD) | | 2,781,854 | 110,005 | | 2428.84% | PERSPECTA INC (COM) | | 1,195,513 | 47,397 | | 2422.33% | PAGSEGURO DIGITAL LTD (COM CL A) | | 655,573 | 26,231 | | 2399.22% | LIBERTY LATIN AMERICA LTD (COM C | | 513,154 | 20,561 | | 2395.76% | ELEMENT SOLUTIONS INC (COM) | | 465,546 | 18,668 | | 2393.81% | GLOBE LIFE INC (COM) | | 243,021 | 10,062 | | 2315.23% | CODIAGNOSTICS INC (COM) | | 482,146 | 20,079 | | 2301.24% | HOSTESS BRANDS INC (CL A) | | 456,872 | 19,293 | | 2268.07% | VBI VACCINES INC (COM NEW) | | 407,976 | 17,427 | | 2241.05% | DOMINOS PIZZA INC (COM) | DPZ | 22,040 | 945 | | 2232.27% | MASCO CORP (COM) | MAS | 165,026 | 7,167 | | 2202.58% | ANTERO MIDSTREAM CORP (COM) | | 1,002,718 | 44,017 | | 2178.02% | KOSMOS ENERGY LTD (COM) | | 1,623,959 | 71,404 | | 2174.32% | CLOUDERA INC (COM) | | 1,409,448 | 62,181 | | 2166.68% | SITE CTRS CORP (COM) | | 2,088,977 | 92,299 | | 2163.27% | BROADCOM INC (COM) | | 925,422 | 41,254 | | 2143.22% | ELANCO ANIMAL HEALTH INC (COM) | | 1,124,566 | 52,442 | | 2044.39% | BECTON DICKINSON & CO (COM) | BDX | 39,701 | 1,881 | | 2010.63% | TRANE TECHNOLOGIES PLC (SHS) | | 1,100,609 | 52,294 | | 2004.65% | EXPEDITORS INTL WASH INC (COM) | EXPD | 80,838 | 3,861 | | 1993.70% | CARETRUST REIT INC (COM) | CTRE | 587,615 | 28,242 | | 1980.64% | LYFT INC (CL A COM) | | 524,625 | 25,479 | | 1959.04% | VONTIER CORPORATION (COM) | | 2,154,270 | 105,374 | | 1944.40% | IQIYI INC (NOTE 4.000%12/1) | | 3,000,000 | 147,028 | | 1940.42% | MUSTANG BIO INC (COM) | | 324,589 | 15,978 | | 1931.47% | PELOTON INTERACTIVE INC (CL A CO | | 662,268 | 32,739 | | 1922.87% | CHIASMA INC (COM) | | 125,297 | 6,229 | | 1911.51% | PINTEREST INC (CL A) | | 1,253,326 | 62,453 | | 1906.83% | BRIGHTSPHERE INVT GROUP INC (COM | | 823,879 | 41,808 | | 1870.62% | BAKER HUGHES COMPANY (CL A) | | 1,745,675 | 89,676 | | 1846.64% | WYNN RESORTS LTD (COM) | WYNN | 1,097,858 | 56,749 | | 1834.58% | DOCUSIGN INC (COM) | | 526,415 | 27,345 | | 1825.08% | LINDE PLC (SHS) | | 2,064,275 | 108,892 | | 1795.70% | OTIS WORLDWIDE CORP (COM) | | 824,279 | 43,680 | | 1787.08% | AERIE PHARMACEUTICALS INC (NOTE | | 4,000,000 | 212,239 | | 1784.66% | MODERNA INC (COM) | | 441,418 | 23,526 | | 1776.29% | GUARDANT HEALTH INC (COM) | | 645,115 | 35,000 | | 1743.18% | MAGNOLIA OIL & GAS CORP (CL A) | | 285,990 | 15,787 | | 1711.55% | ENVISTA HOLDINGS CORPORATION (CO | | 1,580,462 | 87,719 | | 1701.73% | BMC STK HLDGS INC (COM) | | 683,989 | 38,022 | | 1698.92% | TRUIST FINL CORP (COM) | | 4,666,207 | 259,818 | | 1695.95% | COVETRUS INC (COM) | | 771,604 | 43,424 | | 1676.90% | SVMK INC (COM) | | 534,379 | 30,395 | | 1658.11% | BROADCOM INC (COM) | | 2,538,812 | 144,799 | | 1653.33% | HOWMET AEROSPACE INC (COM) | | 947,155 | 54,183 | | 1648.06% | AFYA LTD (CL A COM) | | 596,944 | 34,168 | | 1647.08% | SEA LTD (SPONSORD ADS) | | 268,449 | 15,469 | | 1635.39% | CORNING INC (COM) | GLW | 355,684 | 20,650 | | 1622.44% | BMC STK HLDGS INC (COM) | | 323,376 | 18,853 | | 1615.24% | DOCUSIGN INC (COM) | | 802,524 | 46,820 | | 1614.06% | GALLAGHER ARTHUR J & CO (COM) | AJG | 80,446 | 4,696 | | 1613.07% | PROPETRO HLDG CORP (COM) | | 1,109,291 | 65,390 | | 1596.42% | UNITI GROUP INC (COM) | | 586,293 | 34,621 | | 1593.46% | SLACK TECHNOLOGIES INC (COM CL A | | 248,006 | 14,725 | | 1584.25% | LIBERTY LATIN AMERICA LTD (COM C | | 508,579 | 30,412 | | 1572.29% | VARIAN MED SYS INC (COM) | VAR | 40,245 | 2,419 | | 1563.70% | UBER TECHNOLOGIES INC (COM) | | 3,665,063 | 220,681 | | 1560.79% | DYNATRACE INC (COM NEW) | | 381,299 | 23,137 | | 1548.00% | STERIS PLC (SHS USD) | | 198,198 | 12,091 | | 1539.21% | QUOTIENT TECHNOLOGY INC (COM) | | 401,347 | 24,677 | | 1526.40% | REGIONS FINANCIAL CORP NEW (COM) | RF | 430,983 | 26,508 | | 1525.86% | YUM CHINA HLDGS INC (COM) | | 731,161 | 45,081 | | 1521.88% | CAPRI HOLDINGS LIMITED (SHS) | | 875,032 | 54,046 | | 1519.05% | FOX CORP (CL A COM) | | 515,945 | 31,957 | | 1514.49% | TRONOX HOLDINGS PLC (SHS) | | 838,810 | 51,961 | | 1514.30% | MARAVAI LIFESCIENCES HLDGS I (CO | | 100,000 | 6,214 | | 1509.26% | IDEX CORP (COM) | IEX | 39,427 | 2,453 | | 1507.29% | CORTEVA INC (COM) | | 1,516,107 | 94,390 | | 1506.21% | FIRST BUSEY CORP (COM NEW) | | 164,397 | 10,281 | | 1499.03% | OI SA (SPONSORED ADR NE) | OIBR/C | 2,351,209 | 147,623 | | 1492.71% | R1 RCM INC (COM) | | 1,155,618 | 72,626 | | 1491.19% | HUNTINGTON BANCSHARES INC (COM) | HBAN | 435,905 | 27,418 | | 1489.84% | HEALTHPEAK PROPERTIES INC (COM) | | 543,154 | 34,697 | | 1465.42% | BERKLEY W R CORP (COM) | WRB | 52,411 | 3,361 | | 1459.38% | ALEXANDER & BALDWIN INC NEW (COM | ALEX | 330,218 | 21,307 | | 1449.80% | NEXTERA ENERGY INC (UNIT 09/01/2 | | 702,000 | 45,516 | | 1442.31% | LAUREATE EDUCATION INC (CL A) | | 273,686 | 18,057 | | 1415.67% | G1 THERAPEUTICS INC (COM) | | 471,952 | 31,452 | | 1400.54% | V F CORP (COM) | VFC | 130,406 | 8,718 | | 1395.82% | DELEK US HLDGS INC NEW (COM) | | 169,676 | 11,388 | | 1389.95% | JAMF HLDG CORP (COM) | | 59,818 | 4,017 | | 1389.12% | TRANE TECHNOLOGIES PLC (SHS) | | 1,155,641 | 78,385 | | 1374.31% | DYNATRACE INC (COM NEW) | | 576,697 | 39,286 | | 1367.94% | ATKORE INTL GROUP INC (COM) | | 328,933 | 22,465 | | 1364.20% | AMERICAN FIN TR INC (COM CLASS A | | 241,230 | 16,496 | | 1362.35% | KONTOOR BRANDS INC (COM) | | 154,252 | 10,702 | | 1341.33% | KEARNY FINL CORP MD (COM) | | 542,323 | 37,829 | | 1333.61% | WASTE CONNECTIONS INC (COM) | | 2,129,965 | 151,154 | | 1309.13% | YETI HLDGS INC (COM) | | 606,057 | 43,242 | | 1301.54% | LINDE PLC (SHS) | | 1,379,792 | 98,661 | | 1298.51% | ARMOUR RESIDENTIAL REIT INC (COM | | 166,633 | 11,940 | | 1295.58% | HOWMET AEROSPACE INC (COM) | | 706,686 | 51,255 | | 1278.76% | CAPRI HOLDINGS LIMITED (SHS) | | 888,452 | 64,454 | | 1278.42% | SIMON PPTY GROUP INC NEW (COM) | SPG | 2,571,630 | 188,182 | | 1266.56% | PURPLE INNOVATION INC (COM) | | 291,863 | 21,424 | | 1262.31% | XYLEM INC (COM) | XYL | 68,893 | 5,119 | | 1245.82% | TECHNIPFMC PLC (COM) | | 279,555 | 20,801 | | 1243.94% | QIAGEN NV (SHS NEW) | | 290,126 | 21,650 | | 1240.07% | ATKORE INTL GROUP INC (COM) | | 427,752 | 32,121 | | 1231.68% | ALPHATEC HLDGS INC (COM NEW) | | 503,584 | 37,963 | | 1226.51% | BLACKSTONE MTG TR INC (NOTE 4.75 | | 500,000 | 38,087 | | 1212.78% | MERSANA THERAPEUTICS INC (COM) | | 249,095 | 19,265 | | 1192.99% | ETSY INC (COM) | ETSY | 63,106 | 4,907 | | 1186.04% | MCCORMICK & CO INC (COM NON VTG) | MKC | 40,437 | 3,158 | | 1180.46% | OLD DOMINION FREIGHT LINE IN (CO | ODFL | 40,106 | 3,134 | | 1179.70% | BLUEPRINT MEDICINES CORP (COM) | | 136,713 | 10,700 | | 1177.69% | LENDINGCLUB CORP (COM NEW) | | 343,066 | 26,927 | | 1174.05% | INGERSOLL RAND INC (COM) | | 531,368 | 41,724 | | 1173.53% | IMMUNOVANT INC (COM) | | 288,030 | 22,627 | | 1172.94% | WYNDHAM HOTELS & RESORTS INC (CO | | 392,077 | 31,000 | | 1164.76% | NEXTIER OILFIELD SOLUTIONS (COM) | | 2,366,208 | 187,337 | | 1163.07% | SEAGEN INC (COM) | | 1,414,158 | 112,027 | | 1162.33% | TECHNIPFMC PLC (COM) | | 364,887 | 29,040 | | 1156.49% | PAYCOM SOFTWARE INC (COM) | PAYC | 15,035 | 1,201 | | 1151.87% | PRUDENTIAL FINL INC (COM) | PRU | 139,967 | 11,235 | | 1145.81% | GDS HLDGS LTD (SPONSORED ADS) | | 1,816,222 | 146,339 | | 1141.10% | GETTY RLTY CORP NEW (COM) | GTY | 123,701 | 9,977 | | 1139.86% | WILLSCOT MOBIL MINI HLDNG CO (CO | | 739,937 | 59,699 | | 1139.44% | GATOS SILVER INC (COM) | | 128,549 | 10,377 | | 1138.78% | HEWLETT PACKARD ENTERPRISE C (CO | HPE | 712,245 | 57,512 | | 1138.42% | LIONS GATE ENTMNT CORP (CL B NON | | 238,493 | 19,258 | | 1138.41% | KEYCORP (COM) | KEY | 270,478 | 21,967 | | 1131.29% | EQUITRANS MIDSTREAM CORP (COM) | | 915,210 | 74,394 | | 1130.22% | FASTENAL CO (COM) | FAST | 181,565 | 14,764 | | 1129.78% | TAKETWO INTERACTIVE SOFTWAR (COM | TTWO | 31,979 | 2,608 | | 1126.18% | SVMK INC (COM) | | 808,930 | 66,092 | | 1123.94% | PELOTON INTERACTIVE INC (CL A CO | | 1,611,966 | 131,846 | | 1122.61% | HALOZYME THERAPEUTICS INC (COM) | HALO | 469,940 | 38,659 | | 1115.60% | DELL TECHNOLOGIES INC (CL C) | | 1,344,079 | 111,511 | | 1105.33% | MAGNOLIA OIL & GAS CORP (CL A) | | 381,839 | 31,702 | | 1104.46% | WATERS CORP (COM) | WAT | 23,155 | 1,925 | | 1102.85% | ALCOA CORP (COM) | | 457,531 | 38,740 | | 1081.02% | VIKING THERAPEUTICS INC (COM) | | 171,160 | 14,565 | | 1075.14% | PNC FINL SVCS GROUP INC (COM) | PNC | 132,579 | 11,317 | | 1071.50% | VIR BIOTECHNOLOGY INC (COM) | | 131,379 | 11,312 | | 1061.41% | COPART INC (COM) | CPRT | 56,452 | 4,868 | | 1059.65% | IQVIA HLDGS INC (COM) | | 685,862 | 59,234 | | 1057.88% | BAOZUN INC (SPONSORED ADR) | | 352,074 | 30,602 | | 1050.49% | EDITAS MEDICINE INC (COM) | | 169,955 | 14,805 | | 1047.95% | COVETRUS INC (COM) | | 456,417 | 39,839 | | 1045.65% | ASHLAND GLOBAL HLDGS INC (COM) | | 70,345 | 6,141 | | 1045.49% | ZILLOW GROUP INC (CL C CAP STK) | | 356,488 | 31,367 | | 1036.50% | HENRY JACK & ASSOC INC (COM) | JKHY | 22,823 | 2,019 | | 1030.41% | ARLO TECHNOLOGIES INC (COM) | | 528,086 | 46,870 | | 1026.70% | EASTMAN CHEM CO (COM) | EMN | 41,058 | 3,650 | | 1024.87% | PARK HOTELS RESORTS INC (COM) | | 2,403,580 | 214,806 | | 1018.95% | WORKHORSE GROUP INC (COM NEW) | | 190,139 | 17,052 | | 1015.05% | SITE CTRS CORP (COM) | | 934,031 | 84,379 | | 1006.94% | CAESARS ENTERTAINMENT INC NE (CO | | 632,912 | 57,205 | | 1006.39% | AVAYA HLDGS CORP (COM) | | 572,325 | 51,779 | | 1005.32% | CONSOLIDATED EDISON INC (COM) | ED | 127,709 | 11,597 | | 1001.22% | DISH NETWORK CORPORATION (NOTE 2 | | 1,275,000 | 115,785 | | 1001.17% | ANTERO MIDSTREAM CORP (COM) | | 746,616 | 68,144 | | 995.64% | NATIONAL VISION HLDGS INC (COM) | | 261,714 | 23,991 | | 990.88% | GOSSAMER BIO INC (COM) | | 124,077 | 11,415 | | 986.96% | FMC CORP (COM NEW) | FMC | 34,669 | 3,203 | | 982.39% | CARRIER GLOBAL CORPORATION (COM) | | 1,858,751 | 172,206 | | 979.37% | ROPER TECHNOLOGIES INC (COM) | ROP | 29,775 | 2,760 | | 978.80% | AVALARA INC (COM) | | 240,866 | 22,374 | | 976.54% | ANSYS INC (COM) | ANSS | 21,850 | 2,030 | | 976.35% | IHEARTMEDIA INC (COM CL A) | | 1,699,118 | 158,000 | | 975.39% | KKR & CO INC (COM) | | 1,114,690 | 103,717 | | 974.74% | EPR PPTYS (COM SH BEN INT) | EPR | 235,392 | 21,944 | | 972.69% | INTEGER HLDGS CORP (COM) | | 119,488 | 11,155 | | 971.16% | APPLE HOSPITALITY REIT INC (COM | | 156,757 | 14,641 | | 970.67% | HOMOLOGY MEDICINES INC (COM) | | 99,424 | 9,331 | | 965.52% | DENALI THERAPEUTICS INC (COM) | | 156,199 | 14,742 | | 959.55% | VALERO ENERGY CORP (COM) | VLO | 202,316 | 19,143 | | 956.86% | MUSTANG BIO INC (COM) | | 534,087 | 50,698 | | 953.46% | BIOHAVEN PHARMACTL HLDG CO L (CO | | 225,823 | 21,449 | | 952.83% | HEALTH CATALYST INC (COM) | | 328,692 | 31,681 | | 937.50% | HOSTESS BRANDS INC (CL A) | | 504,416 | 48,620 | | 937.46% | DENTSPLY SIRONA INC (COM) | | 635,692 | 61,384 | | 935.59% | BRIDGEBIO PHARMA INC (COM) | | 140,371 | 13,576 | | 933.96% | RED ROCK RESORTS INC (CL A) | | 638,433 | 61,831 | | 932.54% | LAS VEGAS SANDS CORP (COM) | LVS | 241,309 | 23,500 | | 926.84% | R1 RCM INC (COM) | | 793,163 | 77,262 | | 926.58% | WEST PHARMACEUTICAL SVSC INC (CO | WST | 19,115 | 1,868 | | 923.28% | CYTOMX THERAPEUTICS INC (COM) | | 492,900 | 48,205 | | 922.50% | TRAVELERS COMPANIES INC (COM) | TRV | 71,237 | 6,986 | | 919.71% | PS BUSINESS PKS INC CALIF (COM) | PSB | 60,527 | 5,942 | | 918.63% | AQUESTIVE THERAPEUTICS INC (COM) | | 397,488 | 39,051 | | 917.86% | EVERGY INC (COM) | | 829,102 | 81,507 | | 917.21% | BEAM THERAPEUTICS INC (COM) | | 86,871 | 8,544 | | 916.74% | BAKER HUGHES COMPANY (CL A) | | 410,033 | 40,695 | | 907.57% | 1LIFE HEALTHCARE INC (COM) | | 261,868 | 26,048 | | 905.32% | RED ROCK RESORTS INC (CL A) | | 502,625 | 50,027 | | 904.70% | LYFT INC (CL A COM) | | 476,198 | 47,543 | | 901.61% | COLUMBIA PPTY TR INC (COM NEW) | CXP | 338,848 | 33,852 | | 900.96% | ATMOS ENERGY CORP (COM) | ATO | 33,769 | 3,384 | | 897.90% | CADENCE BANCORPORATION (CL A) | | 382,991 | 38,393 | | 897.55% | EQUITABLE HLDGS INC (COM) | | 3,517,484 | 354,215 | | 893.03% | MARKETAXESS HLDGS INC (COM) | MKTX | 9,450 | 954 | | 890.56% | METTLER TOLEDO INTERNATIONAL (CO | MTD | 6,643 | 672 | | 888.54% | UPWORK INC (COM) | | 537,655 | 54,830 | | 880.58% | BRIDGEWATER BANCSHARES INC (COM | | 58,230 | 5,941 | | 880.13% | ROCKWELL AUTOMATION INC (COM) | ROK | 31,891 | 3,270 | | 875.25% | FLOOR & DECOR HLDGS INC (CL A) | | 307,417 | 31,616 | | 872.34% | CORTEVA INC (COM) | | 1,899,937 | 196,514 | | 866.82% | EVERBRIDGE INC (COM) | | 117,296 | 12,135 | | 866.59% | PDC ENERGY INC (NOTE 1.125% 9/1) | | 2,226,000 | 231,236 | | 862.65% | VONTIER CORPORATION (COM) | | 893,643 | 92,971 | | 861.20% | PURE STORAGE INC (CL A) | | 682,682 | 71,047 | | 860.88% | AEROJET ROCKETDYNE HLDGS INC (CO | | 179,040 | 18,879 | | 848.35% | MAGNITE INC (COM) | | 497,538 | 52,615 | | 845.62% | CME GROUP INC (COM) | CME | 91,910 | 9,786 | | 839.19% | AUTOMATIC DATA PROCESSING IN (CO | ADP | 107,600 | 11,494 | | 836.14% | EQUITABLE HLDGS INC (COM) | | 254,723 | 27,356 | | 831.14% | COLONY CAP INC NEW (CL A COM) | | 3,745,720 | 403,377 | | 828.59% | VICI PPTYS INC (COM) | | 2,900,071 | 312,443 | | 828.19% | HASBRO INC (COM) | HAS | 30,532 | 3,292 | | 827.46% | BLACK DIAMOND THERAPEUTICS I (CO | | 43,365 | 4,684 | | 825.81% | CONSTRUCTION PARTNERS INC (COM C | | 216,087 | 23,358 | | 825.10% | TRONOX HOLDINGS PLC (SHS) | | 223,653 | 24,213 | | 823.68% | EASTERN BANKSHARES INC (COM) | | 322,718 | 35,056 | | 820.57% | EVENTBRITE INC (COM CL A) | | 161,572 | 17,552 | | 820.53% | PARK AEROSPACE CORP (COM) | | 46,977 | 5,111 | | 819.13% | PREMIER FINANCIAL CORP (COM) | | 158,998 | 17,395 | | 814.04% | RESMED INC (COM) | RMD | 30,611 | 3,358 | | 811.58% | PACTIV EVERGREEN INC (COM) | | 668,371 | 73,495 | | 809.41% | CERNER CORP (COM) | CERN | 75,567 | 8,329 | | 807.27% | WESTERN UN CO (COM) | WU | 102,305 | 11,322 | | 803.59% | ARMADA HOFFLER PPTYS INC (COM) | AHH | 256,673 | 28,414 | | 803.33% | OTIS WORLDWIDE CORP (COM) | | 873,272 | 97,321 | | 797.31% | MR COOPER GROUP INC (COM) | | 548,551 | 61,231 | | 795.87% | MAGNITE INC (COM) | | 459,805 | 51,328 | | 795.81% | ONEOK INC NEW (COM) | OKE | 248,246 | 27,808 | | 792.71% | VYNE THERAPEUTICS INC (COM NEW) | | 267,434 | 29,958 | | 792.69% | PARK HOTELS RESORTS INC (COM) | | 955,667 | 107,791 | | 786.59% | VERU INC (COM) | | 145,305 | 16,420 | | 784.92% | BERRY CORP (COM) | | 599,045 | 67,712 | | 784.69% | ACCEL ENTERTAINMENT INC (COM CL | | 112,667 | 12,783 | | 781.38% | REDFIN CORP (COM) | | 288,498 | 32,891 | | 777.13% | VERISK ANALYTICS INC (COM) | VRSK | 38,396 | 4,386 | | 775.42% | NRG ENERGY INC (COM NEW) | NRG | 523,879 | 59,846 | | 775.37% | SIMPLY GOOD FOODS CO (COM) | | 289,567 | 33,168 | | 773.03% | DUPONT DE NEMOURS INC (COM) | | 747,014 | 86,116 | | 767.45% | RAYTHEON TECHNOLOGIES CORP (COM) | | 5,261,874 | 610,089 | | 762.47% | MR COOPER GROUP INC (COM) | | 301,231 | 35,040 | | 759.67% | DENTSPLY SIRONA INC (COM) | | 696,317 | 81,071 | | 758.89% | CAESARS ENTERTAINMENT INC NE (CO | | 844,571 | 98,650 | | 756.12% | AGILENT TECHNOLOGIES INC (COM) | A | 62,484 | 7,305 | | 755.35% | MONOLITHIC PWR SYS INC (COM) | MPWR | 210,588 | 24,788 | | 749.55% | DELEK US HLDGS INC NEW (COM) | | 459,483 | 54,106 | | 749.22% | CRANE CO (COM) | CR | 208,195 | 24,594 | | 746.52% | FALCON MINERALS CORP (CL A COM) | | 90,708 | 10,741 | | 744.50% | SEA LTD (SPONSORD ADS) | | 101,326 | 12,029 | | 742.34% | CARMAX INC (COM) | KMX | 34,777 | 4,143 | | 739.41% | APPLE HOSPITALITY REIT INC (COM | | 304,313 | 36,348 | | 737.22% | URBAN EDGE PPTYS (COM) | UE | 287,192 | 34,307 | | 737.12% | IAA INC (COM) | | 318,103 | 38,095 | | 735.02% | PREMIER FINANCIAL CORP (COM) | | 299,366 | 35,882 | | 734.30% | AMERICAN ASSETS TR INC (COM) | AAT | 123,745 | 14,876 | | 731.84% | UNDER ARMOUR INC (CL C) | | 2,156,155 | 260,187 | | 728.69% | TEMPUR SEALY INTL INC (COM) | TPX | 1,158,941 | 140,495 | | 724.89% | PRINCIPAL FINANCIAL GROUP IN (CO | PFG | 59,625 | 7,246 | | 722.86% | ATHENE HOLDING LTD (CL A) | | 142,293 | 17,295 | | 722.74% | LIONS GATE ENTMNT CORP (CL A VTG | | 186,612 | 22,713 | | 721.60% | WHITESTONE REIT (COM) | WSR | 96,552 | 11,775 | | 719.97% | NEVRO CORP (COM) | NVRO | 177,541 | 21,768 | | 715.60% | HAMILTON LANE INC (CL A) | | 135,114 | 16,571 | | 715.36% | ALLEGION PLC (ORD SHS) | ALLE | 17,938 | 2,202 | | 714.62% | 3M CO (COM) | MMM | 124,797 | 15,320 | | 714.60% | CATALENT INC (COM) | CTLT | 61,824 | 7,600 | | 713.47% | FRONT YD RESIDENTIAL CORP (COM) | | 282,961 | 34,790 | | 713.34% | VIATRIS INC (COM) | | 2,352,498 | 292,331 | | 704.73% | RETAIL PPTYS AMER INC (CL A) | RPAI | 507,509 | 63,396 | | 700.53% | ALCOA CORP (COM) | | 471,356 | 59,013 | | 698.73% | PPD INC (COM) | | 549,481 | 68,913 | | 697.35% | PERDOCEO ED CORP (COM) | | 699,963 | 87,964 | | 695.73% | IDEAYA BIOSCIENCES INC (COM) | | 40,641 | 5,126 | | 692.84% | MOLINA HEALTHCARE INC (COM) | MOH | 196,845 | 24,837 | | 692.54% | SPOTIFY TECHNOLOGY S A (SHS) | | 608,803 | 77,064 | | 689.99% | MACK CALI RLTY CORP (COM) | CLI | 202,140 | 25,596 | | 689.73% | AMERICAN FIN TR INC (COM CLASS A | | 262,730 | 33,283 | | 689.38% | ARISTA NETWORKS INC (COM) | ANET | 10,388 | 1,323 | | 685.18% | FIRST INDL RLTY TR INC (COM) | FR | 292,813 | 37,527 | | 680.27% | LEXICON PHARMACEUTICALS INC (COM | | 107,289 | 13,775 | | 678.86% | SUNSTONE HOTEL INVS INC NEW (COM | SHO | 491,519 | 63,544 | | 673.50% | GENERAL MLS INC (COM) | GIS | 128,967 | 16,680 | | 673.18% | FOX CORP (CL B COM) | | 335,545 | 43,571 | | 670.11% | RETAIL OPPORTUNITY INVTS COR (CO | ROIC | 258,405 | 33,743 | | 665.80% | LUXFER HOLDINGS PLC (SHS) | | 89,907 | 11,786 | | 662.82% | PREFERRED APT CMNTYS INC (COM) | APTS | 107,208 | 14,060 | | 662.50% | CLEARWAY ENERGY INC (CL A) | | 325,026 | 42,722 | | 660.79% | DOW INC (COM) | | 129,791 | 17,095 | | 659.23% | DIVERSIFIED HEALTHCARE TR (COM S | | 1,298,777 | 171,447 | | 657.53% | KITE RLTY GROUP TR (COM NEW) | KRG | 185,728 | 24,550 | | 656.52% | HEALTHPEAK PROPERTIES INC (COM) | | 3,016,905 | 399,474 | | 655.21% | EVERGY INC (COM) | | 385,326 | 51,043 | | 654.90% | TWILIO INC (CL A) | | 427,393 | 56,700 | | 653.77% | APOLLO GLOBAL MGMT INC (COM CL A | | 465,085 | 62,320 | | 646.28% | DTE ENERGY CO (COM) | DTE | 180,275 | 24,238 | | 643.77% | ARENA PHARMACEUTICALS INC (COM N | | 218,190 | 29,382 | | 642.59% | BILIBILI INC (SPONS ADS REP Z) | | 223,848 | 30,189 | | 641.48% | HILTON GRAND VACATIONS INC (COM) | | 559,657 | 75,594 | | 640.34% | NUSHARES ETF TR (ESG LARGE CAP) | | 390,000 | 52,754 | | 639.28% | KOSMOS ENERGY LTD (COM) | | 1,730,661 | 234,808 | | 637.05% | MAGNOLIA OIL & GAS CORP (CL A) | | 154,140 | 20,952 | | 635.68% | TYME TECHNOLOGIES INC (COM) | | 139,362 | 19,024 | | 632.55% | NEW SR INVT GROUP INC (COM) | SNR | 176,663 | 24,224 | | 629.28% | INNOVIVA INC (COM) | | 354,980 | 48,700 | | 628.91% | CHATHAM LODGING TR (COM) | CLDT | 99,855 | 13,700 | | 628.86% | OLLIES BARGAIN OUTLET HLDGS (COM | | 173,831 | 23,850 | | 628.85% | LUFAX HOLDING LTD (ADS REP SHS C | | 89,441 | 12,282 | | 628.22% | PQ GROUP HLDGS INC (COM) | | 159,720 | 21,938 | | 628.05% | CLOUDERA INC (COM) | | 578,301 | 79,578 | | 626.70% | ABIOMED INC (COM) | ABMD | 8,365 | 1,152 | | 626.12% | REPAY HLDGS CORP (COM CL A) | | 141,469 | 19,490 | | 625.85% | VORNADO RLTY TR (SH BEN INT) | VNO | 976,345 | 134,561 | | 625.57% | PACKAGING CORP AMER (COM) | PKG | 17,661 | 2,437 | | 624.70% | CDW CORP (COM) | CDW | 25,480 | 3,520 | | 623.86% | OVINTIV INC (COM) | | 581,061 | 80,274 | | 623.84% | M & T BK CORP (COM) | MTB | 26,549 | 3,680 | | 621.44% | LENDINGCLUB CORP (COM NEW) | | 501,900 | 69,589 | | 621.23% | LANTHEUS HLDGS INC (COM) | | 244,343 | 33,891 | | 620.96% | FORTUNE BRANDS HOME & SEC IN (CO | FBHS | 22,671 | 3,152 | | 619.25% | INDUSTRIAL LOGISTICS PPTYS T (CO | | 277,972 | 39,000 | | 612.74% | PARSONS CORPORATION (COM) | | 262,790 | 36,944 | | 611.31% | MARTIN MARIETTA MATLS INC (COM) | MLM | 10,891 | 1,532 | | 610.90% | ACACIA COMMUNICATIONS INC (COM) | | 106,676 | 15,051 | | 608.76% | CORESITE RLTY CORP (COM) | COR | 84,629 | 11,984 | | 606.18% | AMICUS THERAPEUTICS INC (COM) | FOLD | 1,134,071 | 160,810 | | 605.22% | KKR & CO INC (COM) | | 685,107 | 97,167 | | 605.08% | SPX FLOW INC (COM) | | 105,559 | 15,080 | | 599.99% | PAGSEGURO DIGITAL LTD (COM CL A) | | 403,393 | 57,711 | | 598.98% | NATIONAL STORAGE AFFILIATES (COM | | 938,072 | 134,393 | | 598.00% | AMEREN CORP (COM) | AEE | 2,582,868 | 371,595 | | 595.07% | CLEARWAY ENERGY INC (CL A) | | 291,463 | 42,136 | | 591.71% | ARROWHEAD PHARMACEUTICALS IN (CO | | 273,381 | 39,659 | | 589.32% | CAMPBELL SOUP CO (COM) | CPB | 32,300 | 4,697 | | 587.67% | ACADIA RLTY TR (COM SH BEN INT) | AKR | 171,913 | 25,073 | | 585.64% | POTLATCHDELTIC CORPORATION (COM) | PCH | 156,660 | 22,867 | | 585.09% | UPWORK INC (COM) | | 806,569 | 117,830 | | 584.51% | PURE STORAGE INC (CL A) | | 342,094 | 50,179 | | 581.74% | CRANE CO (COM) | CR | 368,572 | 54,325 | | 578.45% | ROCKET COS INC (COM CL A) | | 1,858,755 | 274,382 | | 577.43% | I3 VERTICALS INC (COM CL A) | | 79,707 | 11,827 | | 573.94% | SELECT ENERGY SVCS INC (CL A COM | | 286,363 | 42,504 | | 573.73% | LESLIES INC (COM) | | 112,431 | 16,704 | | 573.07% | AGCO CORP (COM) | AG | 117,464 | 17,452 | | 573.06% | CHANGE HEALTHCARE INC (COM) | | 348,742 | 51,823 | | 572.94% | BEST INC (SPONSORED ADS) | | 148,300 | 22,152 | | 569.46% | VISTRA CORP (COM) | | 1,727,311 | 258,322 | | 568.66% | IAA INC (COM) | | 193,275 | 28,973 | | 567.08% | ARCONIC CORPORATION (COM) | | 219,605 | 32,921 | | 567.06% | WEYERHAEUSER CO MTN BE (COM NEW) | WY | 138,027 | 20,758 | | 564.93% | INTERNATIONAL FLAVORS&FRAGRA (CO | IFF | 18,746 | 2,821 | | 564.51% | LTC PPTYS INC (COM) | LTC | 75,915 | 11,494 | | 560.47% | CHUBB LIMITED (COM) | CB | 80,240 | 12,219 | | 556.68% | GEO GROUP INC NEW (COM) | GEO | 228,143 | 34,822 | | 555.16% | EPR PPTYS (COM SH BEN INT) | EPR | 375,836 | 57,535 | | 553.23% | API GROUP CORP (COM STK) | | 685,470 | 106,191 | | 545.50% | COCA COLA EUROPEAN PARTNERS (SHS | | 529,573 | 82,434 | | 542.42% | VYNE THERAPEUTICS INC (COM NEW) | | 349,390 | 54,556 | | 540.42% | DROPBOX INC (CL A) | | 645,670 | 101,750 | | 534.56% | CITIZENS FINL GROUP INC (COM) | CFG | 73,483 | 11,598 | | 533.58% | NEWMONT CORP (COM) | NEM | 129,197 | 20,398 | | 533.38% | HESS CORP (COM) | HES | 38,024 | 6,035 | | 530.05% | NATIONAL HEALTH INVS INC (COM) | NHI | 79,878 | 12,719 | | 528.02% | GLOBAL BLOOD THERAPEUTICS IN (CO | | 454,580 | 72,449 | | 527.44% | ARCONIC CORPORATION (COM) | | 246,848 | 39,356 | | 527.21% | WIDEOPENWEST INC (COM) | | 301,198 | 48,131 | | 525.78% | OPTINOSE INC (COM) | | 99,092 | 15,847 | | 525.30% | MOODYS CORP (COM) | MCO | 24,474 | 3,915 | | 525.13% | EASTERN BANKSHARES INC (COM) | | 404,065 | 64,655 | | 524.95% | ELEMENT SOLUTIONS INC (COM) | | 337,586 | 54,040 | | 524.69% | UMH PPTYS INC (COM) | UMH | 67,623 | 10,834 | | 524.17% | ALPHATEC HLDGS INC (COM NEW) | | 210,618 | 33,765 | | 523.77% | ELANCO ANIMAL HEALTH INC (COM) | | 53,500 | 8,587 | | 523.03% | PALO ALTO NETWORKS INC (COM) | PANW | 145,059 | 23,310 | | 522.30% | SERVICE CORP INTL (COM) | SCI | 299,437 | 48,138 | | 522.03% | NUSHARES ETF TR (NUVEEN ENHCD 1 | | 300,000 | 48,474 | | 518.88% | THERMO FISHER SCIENTIFIC INC (CO | TMO | 56,507 | 9,134 | | 518.64% | ROYALTY PHARMA PLC (SHS CLASS A) | | 261,920 | 42,421 | | 517.43% | TIFFANY & CO NEW (COM) | TIF | 18,251 | 2,960 | | 516.58% | CADENCE BANCORPORATION (CL A) | | 531,548 | 86,223 | | 516.48% | LIONS GATE ENTMNT CORP (CL A VTG | | 145,021 | 23,534 | | 516.21% | NOV INC (COM) | | 758,674 | 123,305 | | 515.28% | AVERY DENNISON CORP (COM) | AVY | 15,887 | 2,584 | | 514.82% | ARROWHEAD PHARMACEUTICALS IN (CO | | 405,725 | 66,127 | | 513.55% | AFFIMED N V (COM) | AFMD | 869,908 | 141,878 | | 513.13% | IRON MTN INC NEW (COM) | IRM | 520,186 | 85,040 | | 511.69% | XOMA CORP DEL (COM NEW) | | 12,152 | 1,989 | | 510.96% | WEC ENERGY GROUP INC (COM) | | 626,172 | 102,671 | | 509.88% | WEC ENERGY GROUP INC (COM) | | 591,056 | 96,925 | | 509.80% | DATADOG INC (CL A COM) | | 519,082 | 85,261 | | 508.81% | ECOLAB INC (COM) | ECL | 42,695 | 7,024 | | 507.84% | ARCOSA INC (COM) | | 120,014 | 19,778 | | 506.80% | HENRY SCHEIN INC (COM) | HSIC | 25,525 | 4,216 | | 505.43% | APOLLO GLOBAL MGMT INC (COM CL A | | 240,681 | 39,971 | | 502.13% | CAMPING WORLD HLDGS INC (CL A) | | 169,348 | 28,274 | | 498.95% | GROWGENERATION CORP (COM) | | 276,082 | 46,100 | | 498.87% | ACCENTURE PLC IRELAND (SHS CLASS | ACN | 99,144 | 16,566 | | 498.47% | PROCTER AND GAMBLE CO (COM) | PG | 368,552 | 61,658 | | 497.73% | BERRY CORP (COM) | | 157,648 | 26,383 | | 497.53% | PROOFPOINT INC (COM) | PFPT | 377,957 | 63,623 | | 494.05% | CANNAE HLDGS INC (COM) | | 497,683 | 84,212 | | 490.98% | ALARM COM HLDGS INC (COM) | | 266,105 | 45,237 | | 488.24% | ATHENEX INC (COM) | | 306,083 | 52,054 | | 488.01% | GLOBAL BLOOD THERAPEUTICS IN (CO | | 119,713 | 20,366 | | 487.80% | TWILIO INC (CL A) | | 227,034 | 38,677 | | 487.00% | CARLYLE GROUP INC (COM) | | 73,915 | 12,642 | | 484.67% | 1LIFE HEALTHCARE INC (COM) | | 431,490 | 74,351 | | 480.34% | GRANITE PT MTG TR INC (COM STK) | | 125,120 | 21,685 | | 476.98% | DESIGNER BRANDS INC (CL A) | | 239,474 | 41,526 | | 476.68% | CANNAE HLDGS INC (COM) | | 307,066 | 53,272 | | 476.41% | READY CAPITAL CORP (COM) | | 103,436 | 18,098 | | 471.53% | DATADOG INC (CL A COM) | | 401,812 | 70,724 | | 468.14% | NUTRIEN LTD (COM) | | 421,088 | 74,118 | | 468.13% | WINGSTOP INC (COM) | | 94,985 | 16,744 | | 467.27% | ZAI LAB LTD (ADR) | | 111,550 | 19,699 | | 466.27% | CORBUS PHARMACEUTICALS HLDGS (CO | | 164,719 | 29,105 | | 465.94% | HAMILTON LANE INC (CL A) | | 88,381 | 15,630 | | 465.45% | PROGRESSIVE CORP (COM) | PGR | 89,295 | 15,858 | | 463.09% | NEUBASE THERAPEUTICS INC (COM) | | 64,947 | 11,563 | | 461.67% | BERKELEY LTS INC (COM) | | 137,271 | 24,536 | | 459.46% | CLEARWAY ENERGY INC (CL C) | | 197,631 | 35,356 | | 458.97% | DIAMONDROCK HOSPITALITY CO (COM) | DRH | 743,713 | 133,165 | | 458.48% | IHS MARKIT LTD (SHS) | | 979,089 | 175,337 | | 458.40% | WORKHORSE GROUP INC (COM NEW) | | 231,386 | 41,449 | | 458.24% | BLACKROCK INC (COM) | BLK | 21,947 | 3,942 | | 456.74% | DISNEY WALT CO (COM) | DIS | 268,423 | 48,335 | | 455.33% | ENPHASE ENERGY INC (COM) | ENPH | 438,382 | 78,940 | | 455.33% | VERIZON COMMUNICATIONS INC (COM) | VZ | 638,304 | 114,942 | | 455.32% | LAUDER ESTEE COS INC (CL A) | EL | 31,602 | 5,693 | | 455.10% | NIKE INC (CL B) | NKE | 175,767 | 31,675 | | 454.90% | QURATE RETAIL INC (COM SER A) | | 488,948 | 88,163 | | 454.59% | DELL TECHNOLOGIES INC (CL C) | | 330,209 | 59,816 | | 452.04% | EXELIXIS INC (COM) | EXEL | 534,906 | 97,319 | | 449.64% | CUBESMART (COM) | CUBE | 315,560 | 57,436 | | 449.41% | UNIVERSAL HEALTH RLTY INCM T (SH | UHT | 20,826 | 3,794 | | 448.91% | Tronox Holdings PLC (COM) | | 248,690 | 45,593 | | 445.45% | SIMPLY GOOD FOODS CO (COM) | | 446,208 | 81,866 | | 445.04% | IONIS PHARMACEUTICALS INC (COM) | | 423,385 | 78,510 | | 439.27% | MARRIOTT INTL INC NEW (CL A) | MAR | 40,702 | 7,550 | | 439.09% | ILLUMINA INC (COM) | ILMN | 18,626 | 3,461 | | 438.16% | JOUNCE THERAPEUTICS INC (COM) | | 87,608 | 16,281 | | 438.09% | AXONICS MODULATION TECHNOLOG (CO | | 76,748 | 14,280 | | 437.45% | PLAYAGS INC (COM) | | 255,890 | 47,645 | | 437.07% | FARFETCH LTD (ORD SH CL A) | | 368,025 | 68,524 | | 437.07% | PG&E CORP (UNIT 99/99/9999) | | 175,000 | 32,664 | | 435.75% | MAGENTA THERAPEUTICS INC (COM) | | 60,547 | 11,303 | | 435.67% | OMEGA HEALTHCARE INVS INC (COM) | OHI | 1,921,444 | 359,620 | | 434.29% | BEAM THERAPEUTICS INC (COM) | | 101,297 | 19,047 | | 431.82% | GROCERY OUTLET HLDG CORP (COM) | | 707,798 | 133,434 | | 430.44% | INDUSTRIAL LOGISTICS PPTYS T (CO | | 164,673 | 31,304 | | 426.04% | UNITED AIRLS HLDGS INC (COM) | UAL | 40,371 | 7,711 | | 423.55% | MGM RESORTS INTERNATIONAL (COM) | MGM | 1,002,911 | 191,626 | | 423.36% | GRAINGER W W INC (COM) | GWW | 6,080 | 1,163 | | 422.78% | AMERICAN TOWER CORP NEW (COM) | AMT | 1,917,756 | 366,960 | | 422.60% | AMERANT BANCORP INC (CL A) | | 58,139 | 11,133 | | 422.22% | REXFORD INDL RLTY INC (COM) | REXR | 1,557,250 | 299,126 | | 420.60% | EMPIRE ST RLTY TR INC (CL A) | ESRT | 1,120,289 | 215,422 | | 420.04% | SIGNATURE BK NEW YORK N Y (COM) | SBNY | 110,768 | 21,340 | | 419.06% | NORFOLK SOUTHN CORP (COM) | NSC | 36,591 | 7,058 | | 418.43% | ATLANTIC UN BANKSHARES CORP (COM | | 164,210 | 31,797 | | 416.43% | CUE BIOPHARMA INC (COM) | | 69,748 | 13,552 | | 414.66% | INTELLIA THERAPEUTICS INC (COM) | | 319,315 | 62,292 | | 412.60% | HARBORONE BANCORP INC NEW (COM N | | 100,244 | 19,652 | | 410.09% | ZILLOW GROUP INC (CL C CAP STK) | | 218,295 | 42,855 | | 409.38% | AXON ENTERPRISE INC (COM) | | 226,183 | 44,429 | | 409.08% | UROGEN PHARMA LTD (COM) | | 104,660 | 20,560 | | 409.04% | TEMPUR SEALY INTL INC (COM) | TPX | 1,523,086 | 299,770 | | 408.08% | OAK STR HEALTH INC (COM) | | 178,442 | 35,129 | | 407.96% | IAC INTERACTIVECORP NEW (COM) | | 1,641,503 | 323,325 | | 407.69% | WARRIOR MET COAL INC (COM) | | 128,157 | 25,278 | | 406.99% | ACTIVISION BLIZZARD INC (COM) | ATVI | 106,547 | 21,028 | | 406.69% | SNAP INC (CL A) | | 468,117 | 92,393 | | 406.65% | ASGN INC (COM) | | 126,071 | 24,889 | | 406.53% | BP PLC (SPONSORED ADR) | BP | 664,698 | 131,793 | | 404.35% | CORECIVIC INC (COM) | | 237,781 | 47,176 | | 404.02% | GLAUKOS CORP (COM) | | 127,459 | 25,349 | | 402.81% | COLGATE PALMOLIVE CO (COM) | CL | 135,750 | 27,005 | | 402.68% | DROPBOX INC (CL A) | | 375,045 | 74,689 | | 402.14% | PARAMOUNT GROUP INC (COM) | PGRE | 282,245 | 56,251 | | 401.75% | FUNKO INC (COM CL A) | | 53,554 | 10,694 | | 400.78% | NETEASE INC (SPONSORED ADS) | NTES | 216,005 | 43,201 | | 400.00% | CHANGE HEALTHCARE INC (COM) | | 655,068 | 131,318 | | 398.84% | ROYALTY PHARMA PLC (SHS CLASS A) | | 143,458 | 28,876 | | 396.80% | INTERNATIONAL BUSINESS MACHS (CO | IBM | 129,705 | 26,183 | | 395.37% | EVOFEM BIOSCIENCES INC (COM) | | 185,884 | 37,572 | | 394.74% | CHANGE HEALTHCARE INC (COM) | | 733,816 | 149,119 | | 392.10% | CSW INDUSTRIALS INC (COM) | | 102,842 | 20,903 | | 391.99% | DILLARDS INC (CL A) | DDS | 106,759 | 21,789 | | 389.96% | MOLECULAR TEMPLATES INC (COM) | | 59,060 | 12,063 | | 389.59% | ISHARES TR (IBOXX HI YD ETF) | HYG | 235,266 | 48,216 | | 387.94% | VICI PPTYS INC (COM) | | 1,466,098 | 302,267 | | 385.03% | MONMOUTH REAL ESTATE INVT CO (CL | MNRTA | 136,107 | 28,064 | | 384.98% | SCHLUMBERGER LTD (COM) | SLB | 167,230 | 34,670 | | 382.34% | HEALTHPEAK PROPERTIES INC (COM) | | 1,717,999 | 358,549 | | 379.15% | EASTERLY GOVT PPTYS INC (COM) | | 258,604 | 53,974 | | 379.12% | ALEXANDERS INC (COM) | ALX | 3,030 | 633 | | 378.67% | EMERSON ELEC CO (COM) | EMR | 82,766 | 17,311 | | 378.11% | UROGEN PHARMA LTD (COM) | | 93,030 | 19,580 | | 375.12% | INTUITIVE SURGICAL INC (COM NEW) | ISRG | 13,773 | 2,900 | | 374.93% | ONTO INNOVATION INC (COM) | | 128,495 | 27,174 | | 372.86% | BERKELEY LTS INC (COM) | | 243,185 | 51,564 | | 371.61% | NORTHROP GRUMMAN CORP (COM) | NOC | 17,637 | 3,741 | | 371.45% | BOX INC (CL A) | BOX | 687,055 | 146,057 | | 370.40% | PROTAGONIST THERAPEUTICS INC (CO | | 75,041 | 15,959 | | 370.21% | BLOCK H & R INC (COM) | HRB | 412,733 | 88,000 | | 369.01% | KALVISTA PHARMACEUTICALS INC (CO | | 48,499 | 10,401 | | 366.29% | IDEXX LABS INC (COM) | IDXX | 10,378 | 2,229 | | 365.58% | ALLOGENE THERAPEUTICS INC (COM) | | 134,683 | 28,956 | | 365.12% | NUSHARES ETF TR (ESG HI TLD CRP) | | 1,800,732 | 389,730 | | 362.04% | STORE CAP CORP (COM) | STOR | 626,856 | 135,689 | | 361.97% | TEXAS INSTRS INC (COM) | TXN | 115,023 | 24,943 | | 361.14% | IOVANCE BIOTHERAPEUTICS INC (COM | | 415,437 | 91,486 | | 354.09% | GAMING & LEISURE PPTYS INC (COM) | GLPI | 1,141,709 | 252,279 | | 352.55% | FOUR CORNERS PPTY TR INC (COM) | | 452,221 | 100,325 | | 350.75% | VBI VACCINES INC (COM NEW) | | 366,299 | 81,333 | | 350.36% | KE HLDGS INC (SPONSORED ADS) | | 716,111 | 159,448 | | 349.11% | BROADSTONE NET LEASE INC (CL A C | | 85,915 | 19,232 | | 346.72% | MONDELEZ INTL INC (CL A) | MDLZ | 171,019 | 38,388 | | 345.50% | ALTRA INDL MOTION CORP (COM) | AIMC | 703,366 | 158,255 | | 344.45% | DENTSPLY SIRONA INC (COM) | | 119,289 | 27,008 | | 341.68% | NETEASE INC (SPONSORED ADS) | NTES | 250,519 | 56,900 | | 340.27% | EVOQUA WATER TECHNOLOGIES CO (CO | | 563,313 | 128,438 | | 338.58% | NEXTIER OILFIELD SOLUTIONS (COM) | | 772,362 | 176,129 | | 338.52% | KELLOGG CO (COM) | K | 27,737 | 6,360 | | 336.11% | APARTMENT INCOME REIT CORP (COM) | | 212,598 | 48,781 | | 335.82% | CARNIVAL CORP (UNIT 99/99/9999) | CCL | 3,101,248 | 711,896 | | 335.63% | FOX CORP (CL B COM) | | 238,454 | 54,826 | | 334.92% | DISNEY WALT CO (COM) | DIS | 4,453,613 | 1,028,273 | | 333.11% | MGM GROWTH PPTYS LLC (CL A COM) | | 1,551,052 | 358,567 | | 332.56% | BERKSHIRE HATHAWAY INC DEL (CL B | BRK/B | 114,784 | 26,574 | | 331.94% | SELECTQUOTE INC (COM) | | 286,010 | 66,495 | | 330.12% | ALLOGENE THERAPEUTICS INC (COM) | | 100,682 | 23,416 | | 329.97% | FUELCELL ENERGY INC (COM) | | 611,613 | 142,281 | | 329.86% | CONCRETE PUMPING HLDGS INC (COM) | | 49,255 | 11,529 | | 327.22% | MAXAR TECHNOLOGIES INC (COM) | | 182,792 | 42,806 | | 327.02% | INVESCO LTD (SHS) | IVZ | 50,974 | 11,951 | | 326.52% | CONCRETE PUMPING HLDGS INC (COM) | | 46,775 | 10,969 | | 326.42% | ADDUS HOMECARE CORP (COM) | ADUS | 112,007 | 26,308 | | 325.75% | LIQUIDIA CORPORATION (COM NEW) | | 60,125 | 14,139 | | 325.24% | AQUESTIVE THERAPEUTICS INC (COM) | | 133,598 | 31,453 | | 324.75% | VIR BIOTECHNOLOGY INC (COM) | | 102,562 | 24,156 | | 324.58% | BJS WHSL CLUB HLDGS INC (COM) | | 1,058,246 | 249,344 | | 324.41% | INNOVIVA INC (COM) | | 156,981 | 37,025 | | 323.98% | NEWAGE INC (COM) | | 170,774 | 40,399 | | 322.71% | BIOSIG TECHNOLOGIES INC (COM NEW | | 51,564 | 12,203 | | 322.55% | PQ GROUP HLDGS INC (COM) | | 90,633 | 21,469 | | 322.15% | EASTGROUP PPTYS INC (COM) | EGP | 386,923 | 92,170 | | 319.79% | LIFE STORAGE INC (COM) | LSI | 58,033 | 13,865 | | 318.55% | PENNYMAC FINL SVCS INC NEW (COM) | | 277,732 | 66,598 | | 317.02% | DOUGLAS EMMETT INC (COM) | DEI | 206,209 | 49,461 | | 316.91% | CLOUDERA INC (COM) | | 325,309 | 78,095 | | 316.55% | WEYERHAEUSER CO MTN BE (COM NEW) | WY | 1,901,058 | 456,736 | | 316.22% | DAQO NEW ENERGY CORP (SPNSRD ADS | DQ | 39,095 | 9,399 | | 315.94% | BROOKFIELD RENEWABLE CORP (CL A | | 371,512 | 89,419 | | 315.47% | FRONT YD RESIDENTIAL CORP (COM) | | 288,917 | 69,589 | | 315.17% | FATE THERAPEUTICS INC (COM) | FATE | 212,074 | 51,141 | | 314.68% | NEXTERA ENERGY INC (COM) | NEE | 2,733,582 | 659,344 | | 314.59% | CAMPING WORLD HLDGS INC (CL A) | | 202,188 | 48,816 | | 314.18% | RAYONIER INC (COM) | RYN | 249,510 | 60,281 | | 313.91% | XCEL ENERGY INC (COM) | XEL | 975,880 | 236,246 | | 313.07% | OPTIMIZERX CORP (COM NEW) | | 31,490 | 7,628 | | 312.82% | ESSENTIAL PPTYS RLTY TR INC (COM | | 310,602 | 75,250 | | 312.76% | NATIONAL RETAIL PROPERTIES I (CO | NNN | 210,057 | 50,917 | | 312.54% | LIONS GATE ENTMNT CORP (CL B NON | | 149,282 | 36,216 | | 312.19% | LAMAR ADVERTISING CO NEW (CL A) | LAMR | 179,629 | 43,653 | | 311.49% | LTC PPTYS INC (COM) | LTC | 99,446 | 24,183 | | 311.22% | LIVE OAK BANCSHARES INC (COM) | | 111,833 | 27,353 | | 308.85% | SAREPTA THERAPEUTICS INC (COM) | SRPT | 141,952 | 34,771 | | 308.24% | DIAMONDBACK ENERGY INC (COM) | FANG | 240,050 | 58,954 | | 307.18% | PEPSICO INC (COM) | PEP | 149,568 | 36,738 | | 307.12% | HALLIBURTON CO (COM) | HAL | 96,691 | 23,781 | | 306.58% | BANK OF NT BUTTERFIELD&SON L (SH | | 481,989 | 119,109 | | 304.66% | ADAPTIVE BIOTECHNOLOGIES COR (CO | | 251,578 | 62,182 | | 304.58% | EMPIRE ST RLTY TR INC (CL A) | ESRT | 93,084 | 23,057 | | 303.71% | HONEYWELL INTL INC (COM) | HON | 79,110 | 19,633 | | 302.94% | PERSPECTA INC (COM) | | 744,636 | 184,973 | | 302.56% | INTERCONTINENTAL EXCHANGE IN (CO | ICE | 60,465 | 15,040 | | 302.02% | AMCOR PLC (ORD) | | 430,199 | 107,510 | | 300.14% | NOVOCURE LTD (ORD SHS) | | 333,645 | 83,698 | | 298.62% | COCA COLA EUROPEAN PARTNERS (SHS | | 262,350 | 65,922 | | 297.97% | TWO HBRS INVT CORP (COM NEW) | | 3,731,432 | 939,178 | | 297.30% | HCA HEALTHCARE INC (COM) | HCA | 67,489 | 16,987 | | 297.29% | BYLINE BANCORP INC (COM) | | 81,717 | 20,647 | | 295.78% | HOST HOTELS & RESORTS INC (COM) | HST | 2,319,731 | 586,491 | | 295.52% | APYX MEDICAL CORPORATION (COM) | | 42,311 | 10,701 | | 295.39% | STARBUCKS CORP (COM) | SBUX | 130,825 | 33,093 | | 295.32% | LIBERTY MEDIA CORP DEL (COM C BR | | 155,156 | 39,290 | | 294.89% | EVOLENT HEALTH INC (CL A) | | 327,549 | 83,061 | | 294.34% | XPENG INC (ADS) | | 175,310 | 44,541 | | 293.59% | WEINGARTEN RLTY INVS (SH BEN INT | WRI | 140,734 | 36,058 | | 290.29% | COCA COLA CO (COM) | KO | 456,079 | 117,710 | | 287.45% | COUSINS PPTYS INC (COM NEW) | | 212,865 | 54,998 | | 287.04% | SIMON PPTY GROUP INC NEW (COM) | SPG | 2,646,730 | 686,810 | | 285.36% | NOV INC (COM) | | 354,239 | 92,068 | | 284.75% | PHILLIPS 66 (COM) | PSX | 44,722 | 11,625 | | 284.70% | CONOCOPHILLIPS (COM) | COP | 109,241 | 28,398 | | 284.67% | ALARM COM HLDGS INC (COM) | | 111,410 | 29,139 | | 282.33% | ASSETMARK FINL HLDGS INC (COM) | | 185,538 | 48,719 | | 280.83% | SERVICENOW INC (COM) | NOW | 32,418 | 8,532 | | 279.95% | ITT INC (COM) | | 656,092 | 173,152 | | 278.91% | ILLINOIS TOOL WKS INC (COM) | ITW | 30,127 | 7,951 | | 278.90% | WATFORD HLDGS LTD (SHS) | | 40,015 | 10,626 | | 276.57% | AVAYA HLDGS CORP (COM) | | 153,593 | 40,805 | | 276.40% | BLACKSTONE GROUP INC (COM CL A) | | 217,847 | 58,226 | | 274.14% | PROG HOLDINGS INC (COM NPV) | | 406,847 | 108,998 | | 273.26% | CORNERSTONE BLDG BRANDS INC (COM | | 575,783 | 154,943 | | 271.60% | JOHNSON CTLS INTL PLC (SHS) | | 136,241 | 36,739 | | 270.83% | CASSAVA SCIENCES INC (COM) | | 474,349 | 128,042 | | 270.46% | VIRTU FINL INC (CL A) | | 203,179 | 55,232 | | 267.86% | NEXTERA ENERGY INC (COM) | NEE | 5,812,813 | 1,581,551 | | 267.53% | NEXTERA ENERGY INC (COM) | NEE | 3,797,352 | 1,033,915 | | 267.27% | HUNTINGTON BANCSHARES INC (COM) | HBAN | 4,148,359 | 1,133,740 | | 265.90% | BILL COM HLDGS INC (COM) | | 135,774 | 37,164 | | 265.33% | NLIGHT INC (COM) | | 83,895 | 22,995 | | 264.84% | FB FINL CORP (COM) | | 59,415 | 16,340 | | 263.61% | APARTMENT INCOME REIT CORP (COM) | | 115,766 | 31,905 | | 262.84% | GTY TECHNOLOGY HOLDINGS INC (COM | | 81,334 | 22,428 | | 262.64% | CYRUSONE INC (COM) | CONE | 1,977,722 | 545,734 | | 262.39% | NATIONAL STORAGE AFFILIATES (COM | | 424,705 | 117,208 | | 262.35% | VAXART INC (COM NEW) | | 128,855 | 35,700 | | 260.93% | RUBIUS THERAPEUTICS INC (COM) | | 76,979 | 21,328 | | 260.92% | CACTUS INC (CL A) | | 270,780 | 75,157 | | 260.28% | GRANITE PT MTG TR INC (COM STK) | | 135,833 | 37,834 | | 259.02% | UNITY SOFTWARE INC (COM) | | 43,063 | 12,007 | | 258.64% | PROPETRO HLDG CORP (COM) | | 220,989 | 61,698 | | 258.17% | NVIDIA CORPORATION (COM) | NVDA | 73,493 | 20,525 | | 258.06% | IMMUNIC INC (COM) | | 124,507 | 34,844 | | 257.32% | UNITED PARCEL SERVICE INC (CL B) | UPS | 67,318 | 18,846 | | 257.20% | TERRENO RLTY CORP (COM) | TRNO | 910,441 | 255,204 | | 256.75% | PROG HOLDINGS INC (COM NPV) | | 237,649 | 67,030 | | 254.54% | ONTO INNOVATION INC (COM) | | 148,927 | 42,120 | | 253.57% | BGC PARTNERS INC (CL A) | BGCP | 2,429,624 | 687,289 | | 253.50% | VOYAGER THERAPEUTICS INC (COM) | | 59,472 | 16,844 | | 253.07% | ROCKET COS INC (COM CL A) | | 671,248 | 190,339 | | 252.65% | NATERA INC (COM) | | 479,673 | 136,498 | | 251.41% | AGCO CORP (COM) | AG | 489,669 | 139,544 | | 250.90% | HUDSON PAC PPTYS INC (COM) | HPP | 155,960 | 44,652 | | 249.27% | FLOOR & DECOR HLDGS INC (CL A) | | 145,040 | 41,535 | | 249.19% | COLONY CAP INC NEW (CL A COM) | | 1,138,564 | 327,121 | | 248.05% | PARK HOTELS RESORTS INC (COM) | | 147,043 | 42,348 | | 247.22% | IHEARTMEDIA INC (COM CL A) | | 415,845 | 119,900 | | 246.82% | II-VI INC (COM) | IIVI | 217,662 | 62,768 | | 246.77% | INVITATION HOMES INC (COM) | | 4,397,169 | 1,269,532 | | 246.36% | UNIVAR SOLUTIONS USA INC (COM) | | 164,433 | 47,930 | | 243.06% | ZOETIS INC (CL A) | ZTS | 50,891 | 14,852 | | 242.65% | SALESFORCE COM INC (COM) | CRM | 117,201 | 34,264 | | 242.05% | KINSALE CAP GROUP INC (COM) | KNSL | 46,521 | 13,607 | | 241.89% | MARATHON PETE CORP (COM) | MPC | 59,714 | 17,469 | | 241.82% | SCRIPPS E W CO OHIO (CL A NEW) | | 165,743 | 48,627 | | 240.84% | SNAP INC (CL A) | | 441,198 | 129,498 | | 240.69% | UNDER ARMOUR INC (CL C) | | 127,607 | 37,547 | | 239.85% | FRONTDOOR INC (COM) | | 209,381 | 61,638 | | 239.69% | BERRY GLOBAL GROUP INC (COM) | BERY | 2,325,672 | 685,282 | | 239.37% | VENTAS INC (COM) | VTR | 945,052 | 278,775 | | 239.00% | CLOUDFLARE INC (CL A COM) | | 300,631 | 88,767 | | 238.67% | XBIOTECH INC (COM) | | 47,702 | 14,121 | | 237.80% | UDR INC (COM) | UDR | 292,740 | 87,107 | | 236.06% | INGERSOLL RAND INC (COM) | | 992,597 | 296,119 | | 235.20% | INTELLIA THERAPEUTICS INC (COM) | | 162,477 | 48,499 | | 235.01% | KINGSOFT CLOUD HLDGS LTD (ADS) | | 61,292 | 18,309 | | 234.76% | VIATRIS INC (COM) | | 1,845,593 | 551,680 | | 234.54% | ALTICE USA INC (CL A) | | 1,001,381 | 300,000 | | 233.79% | BOEING CO (COM) | BA | 41,703 | 12,513 | | 233.27% | VIRTU FINL INC (CL A) | | 291,152 | 87,431 | | 233.00% | LAM RESEARCH CORP (COM) | LRCX | 31,523 | 9,484 | | 232.38% | SMITH & WESSON BRANDS INC (COM) | | 138,864 | 41,797 | | 232.23% | IAA INC (COM) | | 12,574 | 3,791 | | 231.68% | SIMPLY GOOD FOODS CO (COM) | | 43,418 | 13,095 | | 231.56% | CALLAWAY GOLF CO (COM) | ELY | 938,748 | 283,830 | | 230.74% | SHOCKWAVE MED INC (COM) | | 109,504 | 33,207 | | 229.76% | AVAYA HLDGS CORP (COM) | | 752,515 | 229,013 | | 228.59% | LUFAX HOLDING LTD (ADS REP SHS C | | 189,346 | 57,666 | | 228.34% | NATIONAL ENERGY SERVICES REU (SH | | 53,433 | 16,274 | | 228.33% | REDFIN CORP (COM) | | 244,686 | 74,618 | | 227.91% | TYME TECHNOLOGIES INC (COM) | | 239,414 | 73,023 | | 227.86% | MOLECULAR TEMPLATES INC (COM) | | 77,102 | 23,594 | | 226.78% | QURATE RETAIL INC (COM SER A) | | 785,719 | 240,840 | | 226.24% | ENERPAC TOOL GROUP CORP (CL A CO | | 112,246 | 34,464 | | 225.69% | GAMING & LEISURE PPTYS INC (COM) | GLPI | 639,877 | 197,372 | | 224.19% | CMS ENERGY CORP (COM) | CMS | 1,904,199 | 588,690 | | 223.46% | GENASYS INC (COM) | | 75,212 | 23,292 | | 222.90% | BUSINESS FIRST BANCSHARES IN (CO | | 38,923 | 12,117 | | 221.22% | ABBOTT LABS (COM) | ABT | 159,412 | 49,759 | | 220.36% | OCULAR THERAPEUTIX INC (COM) | OCUL | 427,729 | 133,739 | | 219.82% | ESSENTIAL UTILS INC (COM) | | 286,188 | 89,656 | | 219.20% | FOUNDATION BLDG MATLS INC (COM) | | 144,234 | 45,193 | | 219.15% | ZOOM VIDEO COMMUNICATIONS IN (CL | | 557,602 | 175,263 | | 218.15% | RAYTHEON TECHNOLOGIES CORP (COM) | | 246,815 | 77,702 | | 217.64% | STORE CAP CORP (COM) | STOR | 1,121,210 | 353,207 | | 217.43% | RIBBON COMMUNICATIONS INC (COM) | | 300,150 | 94,777 | | 216.69% | ALPHABET INC (CAP STK CL C) | GOOG | 29,038 | 9,180 | | 216.31% | ENERGIZER HLDGS INC NEW (COM) | | 189,694 | 60,127 | | 215.48% | IBEX LTD (SHS NEW) | | 26,789 | 8,496 | | 215.31% | THE AARONS COMPANY INC (COM) | | 178,909 | 56,948 | | 214.16% | AMCOR PLC (ORD) | | 380,283 | 121,327 | | 213.43% | SEAGATE TECHNOLOGY PLC (SHS) | STX | 21,878 | 6,995 | | 212.76% | CHANGE HEALTHCARE INC (UNIT 99/9 | | 472,090 | 151,614 | | 211.37% | COLONY CR REAL ESTATE INC (COM C | | 136,708 | 44,005 | | 210.66% | BELLRING BRANDS INC (COM CL A) | | 380,555 | 122,511 | | 210.62% | RPT REALTY (SH BEN INT) | | 191,658 | 61,783 | | 210.21% | LAUREATE EDUCATION INC (CL A) | | 663,652 | 214,338 | | 209.62% | ESSENTIAL PPTYS RLTY TR INC (COM | | 214,063 | 69,213 | | 209.28% | GMS INC (COM) | | 126,867 | 41,047 | | 209.07% | BRIGHTSPHERE INVT GROUP INC (COM | | 252,880 | 81,840 | | 208.99% | CHEVRON CORP NEW (COM) | CVX | 154,080 | 50,032 | | 207.96% | BRANDYWINE RLTY TR (SH BEN INT N | BDN | 152,630 | 50,095 | | 204.68% | AMEREN CORP (COM) | AEE | 557,076 | 182,845 | | 204.67% | CLEVELAND-CLIFFS INC NEW (COM) | | 874,817 | 288,859 | | 202.85% | HOPE BANCORP INC (COM) | | 306,348 | 101,231 | | 202.62% | QUANTERIX CORP (COM) | | 162,103 | 53,624 | | 202.29% | WATFORD HLDGS LTD (SHS) | | 43,242 | 14,320 | | 201.96% | ATHENEX INC (COM) | | 200,389 | 66,428 | | 201.66% | KURA ONCOLOGY INC (COM) | | 503,607 | 167,492 | | 200.67% | ROKU INC (COM CL A) | | 183,369 | 61,000 | | 200.60% | CVS HEALTH CORP (COM) | CVS | 296,172 | 98,745 | | 199.93% | BERRY GLOBAL GROUP INC (COM) | BERY | 622,700 | 207,630 | | 199.90% | AXCELIS TECHNOLOGIES INC (COM NE | | 72,291 | 24,129 | | 199.60% | ADVANCED MICRO DEVICES INC (COM) | AMD | 89,913 | 30,023 | | 199.48% | EXXON MOBIL CORP (COM) | XOM | 344,831 | 115,174 | | 199.40% | PARSONS CORPORATION (COM) | | 56,399 | 18,875 | | 198.80% | SEAGATE TECHNOLOGY PLC (SHS) | STX | 15,715 | 5,264 | | 198.53% | AMERICAN HOMES 4 RENT (CL A) | AMH | 861,899 | 288,780 | | 198.46% | FOUNDATION BLDG MATLS INC (COM) | | 180,397 | 60,615 | | 197.61% | 89BIO INC (COM) | | 56,410 | 18,968 | | 197.39% | NORTHWEST NAT HLDG CO (COM) | | 59,194 | 19,906 | | 197.36% | APYX MEDICAL CORPORATION (COM) | | 105,314 | 35,544 | | 196.29% | CUE BIOPHARMA INC (COM) | | 72,613 | 24,617 | | 194.97% | FORD MTR CO DEL (COM) | F | 633,935 | 214,980 | | 194.88% | GLOBE LIFE INC (COM) | | 224,621 | 76,271 | | 194.50% | EVOFEM BIOSCIENCES INC (COM) | | 87,682 | 29,832 | | 193.91% | VAXCYTE INC (COM) | | 44,924 | 15,288 | | 193.85% | PROVIDENT BANCORP INC (COM NEW) | | 33,387 | 11,402 | | 192.81% | PRECIGEN INC (COM) | | 344,204 | 117,602 | | 192.68% | KEZAR LIFE SCIENCES INC (COM) | | 77,422 | 26,515 | | 191.99% | UXIN LTD (ADS) | | 110,723 | 37,936 | | 191.86% | UFP INDUSTRIES INC (COM) | | 229,516 | 78,698 | | 191.64% | SMITH A O CORP (COM) | AOS | 11,512 | 3,962 | | 190.56% | LIVERAMP HLDGS INC (COM) | | 321,004 | 110,532 | | 190.41% | AMERICAN CAMPUS CMNTYS INC (COM) | ACC | 117,076 | 40,698 | | 187.67% | APELLIS PHARMACEUTICALS INC (COM | | 146,128 | 50,830 | | 187.48% | SHAKE SHACK INC (CL A) | | 238,998 | 83,805 | | 185.18% | OPTIMIZERX CORP (COM NEW) | | 35,315 | 12,388 | | 185.07% | HOUGHTON MIFFLIN HARCOURT CO (CO | HMHC | 998,457 | 350,596 | | 184.78% | AMNEAL PHARMACEUTICALS INC (COM | | 318,276 | 112,294 | | 183.43% | NETFLIX INC (COM) | NFLX | 31,836 | 11,246 | | 183.08% | AGREE REALTY CORP (COM) | ADC | 203,477 | 72,132 | | 182.08% | BELDEN INC (COM) | BDC | 106,211 | 37,698 | | 181.74% | MONSTER BEVERAGE CORP NEW (COM) | MNST | 65,823 | 23,405 | | 181.23% | ATLANTIC UN BANKSHARES CORP (COM | | 202,165 | 72,027 | | 180.67% | SENSATA TECHNOLOGIES HLDG PL (SH | | 199,272 | 71,134 | | 180.13% | ADVERUM BIOTECHNOLOGIES INC (COM | | 177,181 | 63,272 | | 180.03% | MEDICAL PPTYS TRUST INC (COM) | MPW | 630,076 | 225,132 | | 179.86% | CITI TRENDS INC (COM) | CTRN | 82,532 | 29,505 | | 179.72% | ADTALEM GLOBAL ED INC (COM) | | 216,867 | 77,831 | | 178.63% | ICHOR HOLDINGS (SHS) | | 164,476 | 59,038 | | 178.59% | SELECTA BIOSCIENCES INC (COM) | | 184,973 | 66,446 | | 178.38% | JOUNCE THERAPEUTICS INC (COM) | | 37,025 | 13,310 | | 178.17% | VIEWRAY INC (COM) | | 271,564 | 97,666 | | 178.05% | AGREE REALTY CORP (COM) | ADC | 594,328 | 213,879 | | 177.88% | VISTRA CORP (COM) | | 507,498 | 182,677 | | 177.81% | DEVON ENERGY CORP NEW (COM) | DVN | 4,705,941 | 1,711,925 | | 174.89% | MOLINA HEALTHCARE INC (COM) | MOH | 385,483 | 140,520 | | 174.32% | CARMAX INC (COM) | KMX | 1,037,793 | 378,614 | | 174.10% | OFFICE PPTYS INCOME TR (COM SHS | | 227,683 | 83,067 | | 174.09% | WPX ENERGY INC (COM) | WPX | 1,734,715 | 634,974 | | 173.19% | AECOM (COM) | ACM | 278,584 | 102,378 | | 172.11% | LIVERAMP HLDGS INC (COM) | | 196,931 | 72,762 | | 170.65% | OVINTIV INC (COM) | | 653,812 | 241,720 | | 170.48% | DASEKE INC (COM) | | 174,423 | 64,876 | | 168.85% | LAMB WESTON HLDGS INC (COM) | | 352,875 | 131,673 | | 167.99% | INDEPENDENCE RLTY TR INC (COM) | IRT | 75,055 | 28,014 | | 167.91% | DECIPHERA PHARMACEUTICALS IN (CO | | 93,893 | 35,065 | | 167.76% | URBAN OUTFITTERS INC (COM) | URBN | 446,737 | 167,105 | | 167.33% | OMEGA HEALTHCARE INVS INC (COM) | OHI | 387,567 | 145,294 | | 166.74% | XENIA HOTELS & RESORTS INC (COM) | XHR | 89,097 | 33,491 | | 166.03% | JPMORGAN CHASE & CO (COM) | JPM | 251,406 | 94,863 | | 165.02% | MKS INSTRS INC (COM) | MKSI | 250,419 | 94,737 | | 164.33% | BANK OF NT BUTTERFIELD&SON L (SH | | 162,121 | 61,340 | | 164.29% | ITT INC (COM) | | 668,496 | 253,746 | | 163.45% | CALERES INC (COM) | | 90,263 | 34,285 | | 163.27% | L3HARRIS TECHNOLOGIES INC (COM) | | 1,224,558 | 466,062 | | 162.74% | AMYRIS INC (COM NEW) | | 243,935 | 93,013 | | 162.25% | DOMO INC (COM CL B) | | 148,718 | 56,790 | | 161.87% | HOPE BANCORP INC (COM) | | 412,186 | 157,466 | | 161.76% | BANK OF NT BUTTERFIELD&SON L (SH | | 299,895 | 114,570 | | 161.75% | ALLIANCE DATA SYSTEMS CORP (COM) | ADS | 151,384 | 57,976 | | 161.11% | EXONE CO (COM) | XONE | 26,572 | 10,181 | | 160.99% | LEVI STRAUSS & CO NEW (CL A COM | | 153,703 | 58,937 | | 160.79% | AXON ENTERPRISE INC (COM) | | 331,526 | 127,525 | | 159.96% | DUN & BRADSTREET HLDGS INC (COM) | | 222,304 | 85,518 | | 159.94% | EVERI HLDGS INC (COM) | | 404,188 | 156,113 | | 158.90% | QUANTERIX CORP (COM) | | 86,095 | 33,275 | | 158.73% | C H ROBINSON WORLDWIDE INC (COM | CHRW | 67,345 | 26,045 | | 158.57% | FIVE PRIME THERAPEUTICS INC (COM | FPRX | 261,091 | 101,423 | | 157.42% | HEALTHCARE TR AMER INC (CL A NEW | HTA | 275,682 | 107,725 | | 155.91% | AMERICOLD RLTY TR (COM) | | 547,087 | 214,363 | | 155.21% | ALTERYX INC (COM CL A) | | 138,339 | 54,217 | | 155.15% | DOMTAR CORP (COM NEW) | UFS | 492,172 | 192,929 | | 155.10% | DIAMONDROCK HOSPITALITY CO (COM) | DRH | 150,209 | 59,040 | | 154.41% | MERCK & CO. INC (COM) | MRK | 409,197 | 161,303 | | 153.68% | METHODE ELECTRS INC (COM) | MEI | 102,889 | 40,607 | | 153.37% | PROVENTION BIO INC (COM) | | 278,667 | 110,082 | | 153.14% | PS BUSINESS PKS INC CALIF (COM) | PSB | 188,596 | 74,583 | | 152.86% | SMITH A O CORP (COM) | AOS | 683,038 | 270,150 | | 152.83% | HILTON GRAND VACATIONS INC (COM) | | 316,868 | 125,354 | | 152.77% | HUAZHU GROUP LTD (SPONSORED ADS) | | 432,333 | 171,332 | | 152.33% | BRIDGEBIO PHARMA INC (COM) | | 182,104 | 72,328 | | 151.77% | INTERNATIONAL GAME TECHNOLOG (SH | IGT | 590,535 | 234,955 | | 151.33% | AEROJET ROCKETDYNE HLDGS INC (CO | | 127,376 | 50,686 | | 151.30% | RUSH ENTERPRISES INC (CL A) | RUSHA | 188,755 | 75,192 | | 151.03% | ALECTOR INC (COM) | | 116,617 | 46,579 | | 150.36% | APPFOLIO INC (COM CL A) | | 40,266 | 16,091 | | 150.23% | RUBIUS THERAPEUTICS INC (COM) | | 101,493 | 40,599 | | 149.98% | MCCORMICK & CO INC (COM NON VTG) | MKC | 775,828 | 311,026 | | 149.44% | LAZARD LTD (SHS A) | LAZ | 352,156 | 141,183 | | 149.43% | JOHN BEAN TECHNOLOGIES CORP (COM | JBT | 41,635 | 16,698 | | 149.34% | FRONTDOOR INC (COM) | | 254,395 | 102,111 | | 149.13% | BAOZUN INC (SPONSORED ADR) | | 30,064 | 12,070 | | 149.08% | EDWARDS LIFESCIENCES CORP (COM) | EW | 40,063 | 16,097 | | 148.88% | CATALYST PHARMACEUTICALS INC (CO | CPRX | 610,072 | 245,702 | | 148.29% | DOMO INC (COM CL B) | | 251,581 | 101,353 | | 148.22% | ORIGIN BANCORP INC (COM) | | 47,362 | 19,159 | | 147.20% | POTLATCHDELTIC CORPORATION (COM) | PCH | 47,821 | 19,371 | | 146.86% | ATLAS CORP (SHARES) | | 92,419 | 37,442 | | 146.83% | AIRBNB INC (COM CL A) | | 174,653 | 70,846 | | 146.52% | CROWN CASTLE INTL CORP NEW (COM) | CCI | 1,498,552 | 609,228 | | 145.97% | SLACK TECHNOLOGIES INC (COM CL A | | 2,055,978 | 836,768 | | 145.70% | CROWDSTRIKE HLDGS INC (CL A) | | 344,220 | 140,246 | | 145.44% | SIGNATURE BK NEW YORK N Y (COM) | SBNY | 177,095 | 72,342 | | 144.80% | CHEGG INC (COM) | CHGG | 406,483 | 166,273 | | 144.46% | LIBERTY OILFIELD SVCS INC (COM C | | 222,202 | 90,910 | | 144.41% | VENTAS INC (COM) | VTR | 2,132,115 | 872,804 | | 144.28% | URBAN EDGE PPTYS (COM) | UE | 418,481 | 171,441 | | 144.09% | PROTAGONIST THERAPEUTICS INC (CO | | 37,530 | 15,412 | | 143.51% | FIVE PRIME THERAPEUTICS INC (COM | FPRX | 151,891 | 62,423 | | 143.32% | UNITY SOFTWARE INC (COM) | | 85,352 | 35,166 | | 142.71% | FIRST BUSEY CORP (COM NEW) | | 116,938 | 48,205 | | 142.58% | OYSTER PT PHARMA INC (COM) | | 25,793 | 10,685 | | 141.39% | IOVANCE BIOTHERAPEUTICS INC (COM | | 212,264 | 88,231 | | 140.57% | FREQUENCY THERAPEUTICS INC (COM) | | 64,655 | 26,881 | | 140.52% | NCINO INC (COM) | | 161,049 | 67,218 | | 139.59% | LAMAR ADVERTISING CO NEW (CL A) | LAMR | 419,623 | 175,440 | | 139.18% | SCORPIO TANKERS INC (SHS) | | 101,751 | 42,553 | | 139.11% | EMPIRE ST RLTY TR INC (CL A) | ESRT | 103,855 | 43,479 | | 138.86% | BALLYS CORPORATION (COM) | | 108,995 | 45,700 | | 138.50% | RITE AID CORP (COM) | | 238,479 | 100,315 | | 137.73% | COUSINS PPTYS INC (COM NEW) | | 330,904 | 139,514 | | 137.18% | ASHLAND GLOBAL HLDGS INC (COM) | | 239,125 | 100,997 | | 136.76% | BELLRING BRANDS INC (COM CL A) | | 192,909 | 81,508 | | 136.67% | MAGENTA THERAPEUTICS INC (COM) | | 83,113 | 35,180 | | 136.25% | RITE AID CORP (COM) | | 260,699 | 110,853 | | 135.17% | ESSEX PPTY TR INC (COM) | ESS | 257,804 | 109,690 | | 135.02% | BOSTON SCIENTIFIC CORP (COM) | BSX | 185,872 | 79,108 | | 134.95% | CLOUDFLARE INC (CL A COM) | | 167,888 | 71,527 | | 134.71% | BROOKFIELD ASSET MGMT INC (CL A | BAM | 275,064 | 117,545 | | 134.00% | INTERNATIONAL GAME TECHNOLOG (SH | IGT | 1,053,123 | 450,794 | | 133.61% | ACUSHNET HOLDINGS CORP (COM) | | 84,624 | 36,320 | | 132.99% | CF INDS HLDGS INC (COM) | CF | 950,618 | 409,132 | | 132.34% | MKS INSTRS INC (COM) | MKSI | 255,016 | 109,797 | | 132.26% | CARVANA CO (CL A) | | 88,324 | 38,030 | | 132.24% | CONTAINER STORE GROUP INC (COM) | TCS | 84,712 | 36,614 | | 131.36% | KURA ONCOLOGY INC (COM) | | 228,262 | 98,677 | | 131.32% | DANAHER CORPORATION (COM) | DHR | 40,384 | 17,519 | | 130.51% | MILESTONE SCIENTIFIC INC (COM NE | MLSS | 70,355 | 30,534 | | 130.41% | WIDEOPENWEST INC (COM) | | 183,338 | 79,573 | | 130.40% | COLUMBIA PPTY TR INC (COM NEW) | CXP | 764,865 | 332,811 | | 129.81% | BIOHAVEN PHARMACTL HLDG CO L (CO | | 145,610 | 63,421 | | 129.59% | SYNCHRONY FINANCIAL (COM) | SYF | 162,029 | 70,650 | | 129.34% | TERRENO RLTY CORP (COM) | TRNO | 260,480 | 113,712 | | 129.06% | KIMCO RLTY CORP (COM) | KIM | 415,858 | 181,606 | | 128.98% | ICON PLC (SHS) | ICLR | 40,856 | 17,862 | | 128.73% | EVERI HLDGS INC (COM) | | 201,969 | 88,518 | | 128.16% | EQUITY BANCSHARES INC (COM CL A) | | 36,347 | 15,934 | | 128.10% | AZEK CO INC (CL A) | | 151,463 | 66,511 | | 127.72% | OPEN TEXT CORP (COM) | OTEX | 356,533 | 156,790 | | 127.39% | CROWDSTRIKE HLDGS INC (CL A) | | 223,470 | 98,311 | | 127.30% | LEVI STRAUSS & CO NEW (CL A COM | | 38,624 | 16,996 | | 127.25% | HEALTHCARE RLTY TR (COM) | HR | 90,743 | 39,943 | | 127.18% | ESSENTIAL PPTYS RLTY TR INC (COM | | 59,353 | 26,156 | | 126.91% | NUANCE COMMUNICATIONS INC (COM) | NUAN | 748,592 | 330,340 | | 126.61% | AVALONBAY CMNTYS INC (COM) | AVB | 525,845 | 232,228 | | 126.43% | CERIDIAN HCM HLDG INC (COM) | | 341,869 | 151,161 | | 126.16% | GRITSTONE ONCOLOGY INC (COM) | | 57,052 | 25,227 | | 126.15% | CATALYST BIOSCIENCES INC (COM NE | | 28,274 | 12,518 | | 125.86% | PENNYMAC FINL SVCS INC NEW (COM) | | 137,093 | 60,815 | | 125.42% | APOLLO MED HLDGS INC (COM NEW) | | 54,552 | 24,241 | | 125.04% | COWEN INC (CL A NEW) | | 343,230 | 152,889 | | 124.49% | SAREPTA THERAPEUTICS INC (COM) | SRPT | 331,449 | 147,850 | | 124.17% | SPDR SER TR (BLOOMBERG BRCLYS) | | 137,905 | 61,613 | | 123.82% | NORTHWEST NAT HLDG CO (COM) | | 139,684 | 62,503 | | 123.48% | FRANKLIN STR PPTYS CORP (COM) | FSP | 68,601 | 30,706 | | 123.41% | AIRBNB INC (COM CL A) | | 106,717 | 47,770 | | 123.39% | CATALYST PHARMACEUTICALS INC (CO | CPRX | 306,757 | 137,845 | | 122.53% | LAZARD LTD (SHS A) | LAZ | 413,043 | 185,795 | | 122.31% | EQT CORP (COM) | EQT | 1,197,884 | 539,078 | | 122.20% | KIMCO RLTY CORP (COM) | KIM | 1,991,455 | 897,983 | | 121.76% | EVERBRIDGE INC (COM) | | 53,751 | 24,245 | | 121.69% | REXNORD CORP (COM) | | 528,106 | 238,517 | | 121.41% | CISCO SYS INC (COM) | CSCO | 620,451 | 280,565 | | 121.14% | ALECTOR INC (COM) | | 96,094 | 43,474 | | 121.03% | TANGER FACTORY OUTLET CTRS I (CO | SKT | 59,145 | 26,770 | | 120.93% | BILL COM HLDGS INC (COM) | | 255,178 | 115,586 | | 120.76% | GRUBHUB INC (COM) | GRUB | 733,380 | 332,656 | | 120.46% | PAVMED INC (COM) | | 152,675 | 69,463 | | 119.79% | CHEGG INC (COM) | CHGG | 185,002 | 84,574 | | 118.74% | QUALCOMM INC (COM) | QCOM | 112,051 | 51,256 | | 118.61% | AVAYA HLDGS CORP (COM) | | 52,763 | 24,136 | | 118.60% | Q2 HLDGS INC (COM) | QTWO | 68,865 | 31,521 | | 118.47% | GLU MOBILE INC (COM) | GLUU | 738,240 | 337,967 | | 118.43% | TMOBILE US INC (COM) | TMUS | 65,251 | 29,908 | | 118.17% | CALLAWAY GOLF CO (COM) | ELY | 521,801 | 239,858 | | 117.54% | SAGE THERAPEUTICS INC (COM) | SAGE | 80,697 | 37,229 | | 116.75% | EQT CORP (COM) | EQT | 4,531,521 | 2,096,936 | | 116.10% | RAYONIER INC (COM) | RYN | 84,350 | 39,104 | | 115.70% | KEARNY FINL CORP MD (COM) | | 400,244 | 185,926 | | 115.27% | RE MAX HLDGS INC (CL A) | RMAX | 88,966 | 41,329 | | 115.26% | KENNAMETAL INC (COM) | KMT | 1,559,322 | 726,044 | | 114.76% | WATSCO INC (COM) | WSO | 42,186 | 19,658 | | 114.59% | ADTALEM GLOBAL ED INC (COM) | | 393,982 | 183,772 | | 114.38% | CATCHMARK TIMBER TR INC (CL A) | CTT | 30,865 | 14,406 | | 114.25% | ROLLINS INC (COM) | ROL | 697,297 | 325,818 | | 114.01% | FEDERAL RLTY INVT TR (SH BEN INT | FRT | 122,154 | 57,216 | | 113.49% | PENN VA CORP (COM) | | 83,121 | 39,131 | | 112.41% | DUKE REALTY CORP (COM NEW) | DRE | 670,695 | 315,769 | | 112.40% | BRIGHTVIEW HLDGS INC (COM) | | 80,993 | 38,140 | | 112.35% | DUPONT DE NEMOURS INC (COM) | | 165,033 | 77,731 | | 112.31% | MECHEL PAO (SPONSORED ADR NE) | | 146,980 | 69,249 | | 112.24% | ARMADA HOFFLER PPTYS INC (COM) | AHH | 35,178 | 16,581 | | 112.15% | PERDOCEO ED CORP (COM) | | 426,728 | 201,267 | | 112.02% | SABRA HEALTH CARE REIT INC (COM) | SBRA | 2,003,301 | 947,917 | | 111.33% | REPRO MED SYS INC (COM) | REPR | 45,289 | 21,508 | | 110.56% | HARBORONE BANCORP INC NEW (COM N | | 128,791 | 61,194 | | 110.46% | ARROW ELECTRS INC (COM) | ARW | 143,714 | 68,312 | | 110.37% | MESA AIR GROUP INC (COM NEW) | | 57,777 | 27,471 | | 110.31% | BRIGHTVIEW HLDGS INC (COM) | | 103,553 | 49,287 | | 110.10% | SUMMIT HOTEL PPTYS INC (COM) | INN | 63,949 | 30,564 | | 109.22% | FIVE STAR SENIOR LIVING INC (COM | | 35,829 | 17,131 | | 109.14% | CMS ENERGY CORP (COM) | CMS | 488,004 | 233,987 | | 108.56% | CORNERSTONE BLDG BRANDS INC (COM | | 745,620 | 357,984 | | 108.28% | COMMSCOPE HLDG CO INC (COM) | COMM | 6,644,633 | 3,190,608 | | 108.25% | DR REDDYS LABS LTD (ADR) | RDY | 96,374 | 46,315 | | 108.08% | FUTU HLDGS LTD (SPON ADS CL A) | | 36,100 | 17,353 | | 108.03% | GLOBE LIFE INC (COM) | | 153,822 | 74,062 | | 107.69% | IQIYI INC (SPONSORED ADS) | | 145,067 | 69,858 | | 107.65% | E L F BEAUTY INC (COM) | | 510,608 | 245,888 | | 107.65% | LIBERTY GLOBAL PLC (SHS CL C) | LBTYK | 34,165 | 16,464 | | 107.51% | BLACKSTONE GROUP INC (COM CL A) | | 429,595 | 207,068 | | 107.46% | REGENCY CTRS CORP (COM) | REG | 1,003,761 | 484,107 | | 107.34% | NEWMARKET CORP (COM) | NEU | 11,332 | 5,469 | | 107.20% | MISSION PRODUCE INC (COM) | | 36,302 | 17,530 | | 107.08% | CONCENTRIX CORP (COM) | | 123,390 | 59,589 | | 107.06% | FLEETCOR TECHNOLOGIES INC (COM) | FLT | 276,433 | 133,504 | | 107.05% | IBIO INC (COM NEW) | | 386,743 | 186,805 | | 107.03% | WP CAREY INC (COM) | WPC | 144,039 | 69,680 | | 106.71% | ARVINAS INC (COM) | | 241,976 | 117,846 | | 105.33% | PERFORMANCE FOOD GROUP CO (COM) | PFGC | 1,258,368 | 612,943 | | 105.29% | ZTO EXPRESS CAYMAN INC (SPONSORE | | 212,022 | 103,341 | | 105.16% | OKTA INC (CL A) | | 375,198 | 182,948 | | 105.08% | WYNN RESORTS LTD (COM) | WYNN | 2,139,386 | 1,045,292 | | 104.66% | KONTOOR BRANDS INC (COM) | | 34,148 | 16,685 | | 104.66% | SILK RD MED INC (COM) | | 69,531 | 33,981 | | 104.61% | MCCORMICK & CO INC (COM NON VTG) | MKC | 525,434 | 257,831 | | 103.79% | UMPQUA HLDGS CORP (COM) | UMPQ | 316,775 | 155,487 | | 103.73% | CARETRUST REIT INC (COM) | CTRE | 641,022 | 315,829 | | 102.96% | ATN INTL INC (COM) | | 25,798 | 12,747 | | 102.38% | PROOFPOINT INC (COM) | PFPT | 700,372 | 346,824 | | 101.93% | ROPER TECHNOLOGIES INC (COM) | ROP | 452,382 | 224,617 | | 101.40% | MGM GROWTH PPTYS LLC (CL A COM) | | 71,043 | 35,315 | | 101.16% | NEXSTAR MEDIA GROUP INC (CL A) | NXST | 120,524 | 59,946 | | 101.05% | TITAN MACHY INC (COM) | TITN | 89,915 | 45,005 | | 99.78% | PREMIER INC (CL A) | PINC | 213,985 | 107,130 | | 99.74% | REGENCY CTRS CORP (COM) | REG | 1,501,425 | 751,766 | | 99.71% | ARCUTIS BIOTHERAPEUTICS INC (COM | | 71,904 | 36,033 | | 99.55% | CITY OFFICE REIT INC (COM) | CIO | 27,568 | 13,872 | | 98.73% | YUM CHINA HLDGS INC (COM) | | 1,664,873 | 838,103 | | 98.64% | HUBBELL INC (COM) | | 598,101 | 301,291 | | 98.51% | PERFORMANCE FOOD GROUP CO (COM) | PFGC | 835,719 | 421,535 | | 98.25% | BAYCOM CORP (COM) | | 38,022 | 19,194 | | 98.09% | ZUORA INC (COM CL A) | | 419,908 | 212,139 | | 97.94% | CALERES INC (COM) | | 112,990 | 57,164 | | 97.65% | ITEOS THERAPEUTICS INC (COM) | | 31,868 | 16,174 | | 97.03% | RUSH ENTERPRISES INC (CL B) | RUSHB | 15,821 | 8,035 | | 96.90% | KE HLDGS INC (SPONSORED ADS) | | 48,700 | 24,738 | | 96.86% | PAYPAL HLDGS INC (COM) | PYPL | 144,911 | 73,686 | | 96.66% | GREENSKY INC (CL A) | | 135,185 | 68,748 | | 96.63% | SNAP ON INC (COM) | SNA | 2,901 | 1,476 | | 96.54% | MYRIAD GENETICS INC (COM) | MYGN | 340,513 | 173,293 | | 96.49% | MEIRAGTX HLDGS PLC (COM) | | 42,409 | 21,605 | | 96.29% | GSI TECHNOLOGY (COM) | GSIT | 24,063 | 12,289 | | 95.80% | WILLSCOT MOBIL MINI HLDNG CO (CO | | 107,368 | 54,867 | | 95.68% | JOHNSON & JOHNSON (COM) | JNJ | 202,639 | 103,718 | | 95.37% | BROADSTONE NET LEASE INC (CL A C | | 126,207 | 64,658 | | 95.19% | INSPIRE MED SYS INC (COM) | | 64,402 | 33,010 | | 95.09% | CASELLA WASTE SYS INC (CL A) | CWST | 110,111 | 56,497 | | 94.89% | FIRSTCASH INC (COM) | | 73,317 | 37,691 | | 94.52% | CLEAN HARBORS INC (COM) | CLHB | 64,435 | 33,136 | | 94.45% | BAYCOM CORP (COM) | | 26,462 | 13,613 | | 94.38% | CIGNA CORP NEW (COM) | | 90,292 | 46,465 | | 94.32% | JOHNSON CTLS INTL PLC (SHS) | | 985,601 | 507,479 | | 94.21% | INFUSYSTEM HLDGS INC (COM) | INHI | 25,267 | 13,011 | | 94.19% | RAPID7 INC (COM) | | 118,514 | 61,244 | | 93.51% | INTEL CORP (COM) | INTC | 709,815 | 367,084 | | 93.36% | ZENTALIS PHARMACEUTICALS INC (CO | | 55,888 | 28,916 | | 93.27% | ONTO INNOVATION INC (COM) | | 31,325 | 16,225 | | 93.06% | KAR AUCTION SVCS INC (COM) | KAR | 919,379 | 478,303 | | 92.21% | GRAFTECH INTL LTD (COM) | | 80,227 | 41,930 | | 91.33% | MERCADOLIBRE INC (COM) | MELI | 5,024 | 2,631 | | 90.95% | ADVERUM BIOTECHNOLOGIES INC (COM | | 220,047 | 115,323 | | 90.80% | B. RILEY FINANCIAL INC (COM) | | 44,429 | 23,299 | | 90.69% | RELIANCE STEEL & ALUMINUM CO (CO | RS | 302,587 | 158,926 | | 90.39% | LUMENTUM HLDGS INC (COM) | | 268,987 | 141,343 | | 90.30% | CRINETICS PHARMACEUTICALS IN (CO | | 66,126 | 34,749 | | 90.29% | AMERICOLD RLTY TR (COM) | | 489,587 | 257,281 | | 90.29% | HUNTINGTON BANCSHARES INC (COM) | HBAN | 4,228,710 | 2,222,520 | | 90.26% | NOVOCURE LTD (ORD SHS) | | 154,412 | 81,292 | | 89.94% | FIRST REP BK SAN FRANCISCO C (CO | FRC | 7,545 | 3,974 | | 89.85% | SM ENERGY CO (COM) | SM | 594,810 | 313,710 | | 89.60% | AMYRIS INC (COM NEW) | | 214,745 | 113,310 | | 89.51% | MEREDITH CORP (COM) | MDP | 98,375 | 51,910 | | 89.51% | SLACK TECHNOLOGIES INC (COM CL A | | 2,819,657 | 1,493,655 | | 88.77% | FEDERAL RLTY INVT TR (SH BEN INT | FRT | 214,289 | 113,607 | | 88.62% | SHATTUCK LABS INC (COM) | | 23,190 | 12,318 | | 88.26% | KINIKSA PHARMACEUTICALS LTD (COM | | 147,368 | 78,400 | | 87.96% | VANGUARD INTL EQUITY INDEX F (FT | VWO | 711,485 | 378,686 | | 87.88% | MASIMO CORP (COM) | MASI | 138,139 | 73,563 | | 87.78% | JOHN BEAN TECHNOLOGIES CORP (COM | JBT | 79,362 | 42,263 | | 87.78% | PALO ALTO NETWORKS INC (COM) | PANW | 244,385 | 130,171 | | 87.74% | ARROWHEAD PHARMACEUTICALS IN (CO | | 30,732 | 16,392 | | 87.48% | KLA CORP (COM NEW) | KLAC | 487,422 | 259,996 | | 87.47% | SMITH MICRO SOFTWARE INC (COM NE | | 385,830 | 206,857 | | 86.52% | ARMADA HOFFLER PPTYS INC (COM) | AHH | 517,334 | 277,797 | | 86.22% | STERLING BANCORP DEL (COM) | STL | 252,125 | 135,416 | | 86.18% | APTIV PLC (SHS) | | 766,411 | 411,771 | | 86.12% | CHROMADEX CORP (COM NEW) | | 101,567 | 54,734 | | 85.56% | PARK AEROSPACE CORP (COM) | | 55,537 | 30,009 | | 85.06% | HEALTHCARE RLTY TR (COM) | HR | 772,680 | 417,787 | | 84.94% | PARAMOUNT GROUP INC (COM) | PGRE | 500,908 | 270,883 | | 84.91% | MR COOPER GROUP INC (COM) | | 46,664 | 25,285 | | 84.55% | KAR AUCTION SVCS INC (COM) | KAR | 595,951 | 323,260 | | 84.35% | DENALI THERAPEUTICS INC (COM) | | 135,663 | 73,667 | | 84.15% | NIO INC (SPON ADS) | | 1,349,584 | 733,645 | | 83.95% | HOST HOTELS & RESORTS INC (COM) | HST | 3,823,126 | 2,088,064 | | 83.09% | AVIENT CORPORATION (COM) | | 327,269 | 178,774 | | 83.06% | LIBERTY OILFIELD SVCS INC (COM C | | 126,322 | 69,196 | | 82.55% | FLUIDIGM CORP DEL (COM) | FLDM | 432,446 | 236,988 | | 82.47% | CONTAINER STORE GROUP INC (COM) | TCS | 85,753 | 47,043 | | 82.28% | FRANCHISE GROUP INC (COM) | | 55,982 | 30,728 | | 82.18% | MODERNA INC (COM) | | 893,843 | 490,949 | | 82.06% | EURONET WORLDWIDE INC (COM) | EEFT | 65,014 | 35,735 | | 81.93% | PAPA JOHNS INTL INC (COM) | PZZA | 70,012 | 38,486 | | 81.91% | CARVANA CO (CL A) | | 184,286 | 101,567 | | 81.44% | SCORPIO TANKERS INC (SHS) | | 128,070 | 70,715 | | 81.10% | ARCHROCK INC (COM) | | 440,994 | 243,919 | | 80.79% | FLUENT INC (COM) | | 85,518 | 47,431 | | 80.29% | TWIST BIOSCIENCE CORP (COM) | | 205,503 | 113,993 | | 80.27% | WELLTOWER INC (COM) | HCN | 2,375,132 | 1,317,825 | | 80.23% | BUCKLE INC (COM) | BKE | 249,108 | 138,368 | | 80.03% | MORPHIC HLDG INC (COM) | | 33,666 | 18,727 | | 79.77% | SUN CMNTYS INC (COM) | SUI | 953,183 | 530,924 | | 79.53% | INDEPENDENCE RLTY TR INC (COM) | IRT | 647,507 | 360,863 | | 79.43% | TRUIST FINL CORP (COM) | | 2,637,499 | 1,470,022 | | 79.41% | AVID BIOSERVICES INC (COM) | | 391,626 | 218,317 | | 79.38% | SERVICESOURCE INTL INC (COM) | SREV | 139,051 | 77,579 | | 79.23% | INTEVAC INC (COM) | IVAC | 37,124 | 20,746 | | 78.94% | QIAGEN NV (SHS NEW) | | 175,914 | 98,400 | | 78.77% | VANGUARD INDEX FDS (SMALL CP ETF | VB | 47,000 | 26,300 | | 78.70% | GENPACT LIMITED (SHS) | G | 529,041 | 296,106 | | 78.66% | RBB BANCORP (COM) | | 35,129 | 19,760 | | 77.77% | AMERICAN CAMPUS CMNTYS INC (COM) | ACC | 22,926 | 12,898 | | 77.74% | EQUITY LIFESTYLE PPTYS INC (COM) | ELS | 2,024,843 | 1,139,339 | | 77.72% | WYNN RESORTS LTD (COM) | WYNN | 20,959 | 11,800 | | 77.61% | CRYOLIFE INC (COM) | CRY | 146,755 | 82,625 | | 77.61% | DUN & BRADSTREET HLDGS INC (COM) | | 128,387 | 72,402 | | 77.32% | BLUEGREEN VACATIONS HLDG COR (CL | | 58,534 | 33,067 | | 77.01% | ANGLOGOLD ASHANTI LIMITED (SPONS | AU | 1,610,792 | 910,104 | | 76.98% | NATIONAL RETAIL PROPERTIES I (CO | NNN | 299,701 | 169,366 | | 76.95% | MACOM TECH SOLUTIONS HLDGS I (CO | MTSI | 204,887 | 116,237 | | 76.26% | BANCORPSOUTH BK TUPELO MISS (COM | | 223,529 | 126,953 | | 76.07% | IBIO INC (COM NEW) | | 156,109 | 88,838 | | 75.72% | CARGURUS INC (COM CL A) | | 516,352 | 294,788 | | 75.16% | BOSTON PROPERTIES INC (COM) | BXP | 162,638 | 93,143 | | 74.61% | QUTOUTIAO INC (ADS REP SHS A) | | 49,054 | 28,125 | | 74.41% | PATTERSON-UTI ENERGY INC (COM) | PTEN | 813,839 | 467,000 | | 74.26% | DUCK CREEK TECHNOLOGIES INC (SHS | | 30,555 | 17,539 | | 74.21% | PETIQ INC (COM CL A) | | 44,343 | 25,468 | | 74.11% | OLLIES BARGAIN OUTLET HLDGS (COM | | 82,185 | 47,209 | | 74.08% | LENDINGTREE INC NEW (COM) | TREE | 30,714 | 17,650 | | 74.01% | APPLIED INDL TECHNOLOGIES IN (CO | AIT | 165,620 | 95,835 | | 72.81% | CONCENTRIX CORP (COM) | | 142,076 | 82,217 | | 72.80% | STERIS PLC (SHS USD) | | 273,458 | 158,280 | | 72.76% | DISH NETWORK CORPORATION (NOTE 3 | | 6,000,000 | 3,472,958 | | 72.76% | RAPID7 INC (COM) | | 216,238 | 125,397 | | 72.44% | APPLIED MOLECULAR TRANS INC (COM | | 30,265 | 17,565 | | 72.30% | FIFTH THIRD BANCORP (COM) | FITB | 6,189,268 | 3,592,838 | | 72.26% | VARONIS SYS INC (COM) | VRNS | 43,549 | 25,301 | | 72.12% | WP CAREY INC (COM) | WPC | 220,069 | 127,916 | | 72.04% | COLUMBIA FINL INC (COM) | | 98,240 | 57,110 | | 72.01% | CROSSFIRST BANKSHARES INC (COM) | | 101,893 | 59,292 | | 71.84% | XPERI HOLDING CORP (COM) | | 343,868 | 200,299 | | 71.67% | ECOLAB INC (COM) | ECL | 1,007,362 | 587,302 | | 71.52% | XPERI HOLDING CORP (COM) | | 257,612 | 150,215 | | 71.49% | LINCOLN ELEC HLDGS INC (COM) | LECO | 70,568 | 41,171 | | 71.40% | PUBLIC SVC ENTERPRISE GRP IN (CO | PEG | 169,081 | 98,649 | | 71.39% | APPLIED MOLECULAR TRANS INC (COM | | 18,633 | 10,872 | | 71.38% | SMITH A O CORP (COM) | AOS | 446,191 | 260,356 | | 71.37% | LIFETIME BRANDS INC (COM) | LCUT | 24,880 | 14,522 | | 71.32% | AUTOMATIC DATA PROCESSING IN (CO | ADP | 1,647,899 | 963,716 | | 70.99% | LUMENTUM HLDGS INC (COM) | | 220,633 | 129,388 | | 70.52% | EPAM SYS INC (COM) | EPAM | 139,238 | 81,720 | | 70.38% | OAK STR HEALTH INC (COM) | | 51,244 | 30,084 | | 70.33% | KRONOS BIO INC (COM) | | 35,559 | 20,889 | | 70.22% | DUCK CREEK TECHNOLOGIES INC (SHS | | 51,799 | 30,465 | | 70.02% | EQUITY RESIDENTIAL (SH BEN INT) | EQR | 2,078,340 | 1,223,125 | | 69.92% | WELBILT INC (COM) | | 498,607 | 293,475 | | 69.89% | PREMIER INC (CL A) | PINC | 134,531 | 79,307 | | 69.63% | KKR REAL ESTATE FIN TR INC (COM) | | 52,486 | 30,969 | | 69.47% | SM ENERGY CO (COM) | SM | 599,547 | 353,818 | | 69.45% | CIMPRESS PLC (SHS EURO) | | 395,679 | 233,584 | | 69.39% | ASANA INC (CL A) | | 10,369 | 6,123 | | 69.34% | Q2 HLDGS INC (COM) | QTWO | 124,351 | 73,493 | | 69.20% | EAGLE MATLS INC (COM) | EXP | 52,532 | 31,049 | | 69.19% | EXTRA SPACE STORAGE INC (COM) | EXR | 442,339 | 261,668 | | 69.04% | NEOGEN CORP (COM) | NEOG | 216,373 | 128,000 | | 69.04% | WW INTL INC (COM) | | 186,391 | 110,604 | | 68.52% | NRG ENERGY INC (COM NEW) | NRG | 801,489 | 475,667 | | 68.49% | DEL TACO RESTAURANTS INC NEW (CO | | 94,390 | 56,119 | | 68.19% | IRON MTN INC NEW (COM) | IRM | 811,445 | 484,094 | | 67.62% | OFFICE PPTYS INCOME TR (COM SHS | | 91,392 | 54,571 | | 67.47% | UNIVERSAL HEALTH RLTY INCM T (SH | UHT | 31,895 | 19,053 | | 67.40% | HENRY JACK & ASSOC INC (COM) | JKHY | 235,642 | 141,076 | | 67.03% | VARONIS SYS INC (COM) | VRNS | 77,452 | 46,419 | | 66.85% | SHARPS COMPLIANCE CORP (COM) | SCOM | 21,021 | 12,614 | | 66.64% | KEROS THERAPEUTICS INC (COM) | | 53,583 | 32,260 | | 66.09% | SPOTIFY TECHNOLOGY S A (SHS) | | 202,312 | 121,900 | | 65.96% | EXTRA SPACE STORAGE INC (COM) | EXR | 563,584 | 339,681 | | 65.91% | VITAL FARMS INC (COM) | | 21,799 | 13,145 | | 65.83% | EQUITY LIFESTYLE PPTYS INC (COM) | ELS | 1,805,331 | 1,090,728 | | 65.51% | GENPACT LIMITED (SHS) | G | 325,422 | 196,700 | | 65.44% | ENERPAC TOOL GROUP CORP (CL A CO | | 134,393 | 81,334 | | 65.23% | APTIV PLC (SHS) | | 856,484 | 519,016 | | 65.02% | NEVRO CORP (COM) | NVRO | 288,899 | 175,356 | | 64.74% | DONNELLEY FINL SOLUTIONS INC (CO | | 225,328 | 136,801 | | 64.71% | WASTE MGMT INC DEL (COM) | WMI | 76,781 | 46,621 | | 64.69% | WORKDAY INC (CL A) | WDAY | 533,810 | 324,136 | | 64.68% | RESONANT INC (COM) | RESN | 157,456 | 95,623 | | 64.66% | AVID TECHNOLOGY INC (COM) | AVID | 150,998 | 91,877 | | 64.34% | VIEWRAY INC (COM) | | 256,752 | 156,604 | | 63.94% | JEFFERIES FINL GROUP INC (COM) | | 372,685 | 227,329 | | 63.94% | IMMUNOVANT INC (COM) | | 137,636 | 84,000 | | 63.85% | INTERNATIONAL MNY EXPRESS IN (CO | | 63,445 | 38,723 | | 63.84% | MONSTER BEVERAGE CORP NEW (COM) | MNST | 1,940,029 | 1,184,801 | | 63.74% | CYMABAY THERAPEUTICS INC (COM) | CBAY | 152,660 | 93,250 | | 63.71% | GARTNER INC (COM) | IT | 227,298 | 139,141 | | 63.35% | WORLD FUEL SVCS CORP (COM) | INT | 363,225 | 222,421 | | 63.30% | MAXIM INTEGRATED PRODS INC (COM) | MXIM | 10,749 | 6,588 | | 63.16% | CAPSTAR FINL HLDGS INC (COM) | | 46,465 | 28,485 | | 63.12% | ISHARES INC (MSCI CDA ETF) | EWC | 970,526 | 595,205 | | 63.05% | MGM RESORTS INTERNATIONAL (COM) | MGM | 1,571,562 | 966,728 | | 62.56% | MISTRAS GROUP INC (COM) | MG | 56,499 | 34,770 | | 62.49% | CORESITE RLTY CORP (COM) | COR | 120,074 | 74,021 | | 62.21% | ELECTRONIC ARTS INC (COM) | ERTS | 1,116,454 | 688,277 | | 62.20% | BEL FUSE INC (CL B) | BELFB | 23,326 | 14,420 | | 61.76% | ALIGN TECHNOLOGY INC (COM) | ALGN | 425,824 | 263,261 | | 61.74% | FARFETCH LTD (ORD SH CL A) | | 58,269 | 36,061 | | 61.58% | ARRAY TECHNOLOGIES INC (COM SHS) | | 113,550 | 70,345 | | 61.41% | ALTERYX INC (COM CL A) | | 81,852 | 50,715 | | 61.39% | IIVI INC (COM) | IIVI | 341,326 | 211,501 | | 61.38% | ENERGIZER HLDGS INC NEW (COM) | | 520,825 | 322,872 | | 61.31% | LIVEXLIVE MEDIA INC (COM NEW) | | 222,065 | 137,787 | | 61.16% | PHREESIA INC (COM) | | 78,395 | 48,645 | | 61.15% | CHAMPIONX CORPORATION (COM) | | 727,974 | 451,909 | | 61.08% | AMALGAMATED BK NEW YORK N Y (CLA | | 51,927 | 32,275 | | 60.88% | COGNIZANT TECHNOLOGY SOLUTIO (CL | CTSH | 107,827 | 67,023 | | 60.88% | EXELIXIS INC (COM) | EXEL | 795,444 | 494,702 | | 60.79% | BIOGEN INC (COM) | BIIB | 342,419 | 212,973 | | 60.78% | ZEBRA TECHNOLOGIES CORPORATI (CL | ZBRA | 184,876 | 114,990 | | 60.77% | BROADCOM INC (COM) | | 43,193 | 26,874 | | 60.72% | TAKE-TWO INTERACTIVE SOFTWAR (CO | TTWO | 953,863 | 593,834 | | 60.62% | ZOOM VIDEO COMMUNICATIONS IN (CL | | 258,476 | 161,159 | | 60.38% | PACIFIC BIOSCIENCES CALIF IN (CO | PACB | 409,941 | 255,667 | | 60.34% | HIGHWOODS PPTYS INC (COM) | HIW | 119,399 | 74,520 | | 60.22% | WATSCO INC (COM) | WSO | 66,670 | 41,615 | | 60.20% | GTY TECHNOLOGY HOLDINGS INC (COM | | 62,971 | 39,341 | | 60.06% | FAIR ISAAC CORP (COM) | FIC | 100,052 | 62,538 | | 59.98% | RUSH ENTERPRISES INC (CL B) | RUSHB | 16,832 | 10,548 | | 59.57% | VERRA MOBILITY CORP (COM) | | 325,059 | 203,764 | | 59.52% | PPG INDS INC (COM) | PPG | 63,868 | 40,072 | | 59.38% | BIOTECHNE CORP (COM) | TECH | 58,421 | 36,656 | | 59.37% | SYNCHRONY FINANCIAL (COM) | SYF | 1,219,328 | 765,233 | | 59.34% | MEDNAX INC (COM) | MD | 163,983 | 103,000 | | 59.20% | PARKE BANCORP INC (COM) | PKBK | 21,208 | 13,327 | | 59.13% | VORNADO RLTY TR (SH BEN INT) | VNO | 154,134 | 96,868 | | 59.11% | BOSTON PROPERTIES INC (COM) | BXP | 733,753 | 462,216 | | 58.74% | HOWARD BANCORP INC (COM) | HBMD | 26,287 | 16,575 | | 58.59% | HOUGHTON MIFFLIN HARCOURT CO (CO | HMHC | 444,135 | 280,060 | | 58.58% | RESONANT INC (COM) | RESN | 249,582 | 157,456 | | 58.50% | OLYMPIC STEEL INC (COM) | ZEUS | 22,222 | 14,023 | | 58.46% | CLIPPER RLTY INC (COM) | CLPR | 33,432 | 21,109 | | 58.37% | LUXFER HOLDINGS PLC (SHS) | | 61,918 | 39,149 | | 58.15% | ORIGIN BANCORP INC (COM) | | 54,657 | 34,605 | | 57.94% | RESMED INC (COM) | RMD | 356,728 | 225,964 | | 57.86% | VISA INC (COM CL A) | V | 167,977 | 106,756 | | 57.34% | MICROCHIP TECHNOLOGY INC. (COM) | MCHP | 617,963 | 392,784 | | 57.32% | LENDINGTREE INC NEW (COM) | TREE | 17,236 | 10,963 | | 57.21% | NORTHROP GRUMMAN CORP (COM) | NOC | 855,407 | 544,295 | | 57.15% | BCB BANCORP INC (COM) | BCBP | 28,463 | 18,147 | | 56.84% | MAXAR TECHNOLOGIES INC (COM) | | 465,265 | 297,443 | | 56.42% | SHUTTERSTOCK INC (COM) | SSTK | 52,129 | 33,381 | | 56.16% | MEREDITH CORP (COM) | MDP | 160,321 | 102,681 | | 56.13% | LESLIES INC (COM) | | 62,190 | 39,837 | | 56.11% | KARUNA THERAPEUTICS INC (COM) | | 30,128 | 19,300 | | 56.10% | RHYTHM PHARMACEUTICALS INC (COM) | | 95,544 | 61,211 | | 56.08% | EASTERLY GOVT PPTYS INC (COM) | | 269,271 | 172,511 | | 56.08% | RLJ LODGING TR (COM) | RLJ | 75,709 | 48,523 | | 56.02% | RUSH ENTERPRISES INC (CL A) | RUSHA | 103,498 | 66,437 | | 55.78% | JFROG LTD (ORD SHS) | | 40,112 | 25,758 | | 55.72% | BELDEN INC (COM) | BDC | 161,789 | 104,054 | | 55.48% | SOUTHWEST GAS HOLDINGS INC (COM) | SWX | 33,613 | 21,624 | | 55.44% | BLACKLINE INC (COM) | | 225,740 | 145,452 | | 55.19% | TRACTOR SUPPLY CO (COM) | TSCO | 405,455 | 261,711 | | 54.92% | CUBESMART (COM) | CUBE | 359,845 | 232,543 | | 54.74% | AKAMAI TECHNOLOGIES INC (COM) | AKAM | 388,828 | 251,527 | | 54.58% | CERIDIAN HCM HLDG INC (COM) | | 161,651 | 104,635 | | 54.49% | AFFILIATED MANAGERS GROUP IN (CO | AMG | 94,008 | 60,854 | | 54.48% | ARES MANAGEMENT CORPORATION (CL | | 330,350 | 214,246 | | 54.19% | CHIPOTLE MEXICAN GRILL INC (COM) | CMG | 140,643 | 91,315 | | 54.01% | CLEARFIELD INC (COM) | CLFD | 37,190 | 24,165 | | 53.90% | LIFE STORAGE INC (COM) | LSI | 93,727 | 60,954 | | 53.76% | BIOGEN INC (COM) | BIIB | 490,001 | 318,878 | | 53.66% | ESSENTIAL UTILS INC (COM) | | 190,074 | 123,701 | | 53.65% | ARVINAS INC (COM) | | 69,783 | 45,499 | | 53.37% | OCULAR THERAPEUTIX INC (COM) | OCUL | 172,942 | 112,983 | | 53.06% | INVITATION HOMES INC (COM) | | 1,781,088 | 1,164,094 | | 53.00% | ANSYS INC (COM) | ANSS | 233,560 | 152,673 | | 52.98% | MATCH GROUP INC NEW (COM) | | 3,738,713 | 2,443,976 | | 52.97% | DEXCOM INC (COM) | DXCM | 739,666 | 483,904 | | 52.85% | GENCOR INDS INC (COM) | GENC | 18,157 | 11,892 | | 52.68% | AXOS FINANCIAL INC (COM) | | 189,500 | 124,171 | | 52.61% | DOUGLAS EMMETT INC (COM) | DEI | 318,318 | 209,000 | | 52.30% | COHERENT INC (COM) | COHR | 61,933 | 40,727 | | 52.06% | BROADRIDGE FINL SOLUTIONS IN (CO | BR | 383,232 | 252,407 | | 51.83% | CHURCH & DWIGHT INC (COM) | CHD | 819,311 | 540,063 | | 51.70% | CYRUSONE INC (COM) | CONE | 699,276 | 461,045 | | 51.67% | PRICE T ROWE GROUP INC (COM) | TROW | 569,057 | 376,086 | | 51.31% | GENETRON HLDGS LTD (ADS) | | 25,400 | 16,787 | | 51.30% | PAYCOM SOFTWARE INC (COM) | PAYC | 164,411 | 108,669 | | 51.29% | GROWGENERATION CORP (COM) | | 59,674 | 39,460 | | 51.22% | MONMOUTH REAL ESTATE INVT CO (CL | MNRTA | 244,127 | 161,484 | | 51.17% | FAIR ISAAC CORP (COM) | FIC | 68,103 | 45,059 | | 51.14% | AVIENT CORPORATION (COM) | | 519,451 | 343,689 | | 51.13% | LANDSTAR SYS INC (COM) | LSTR | 95,241 | 63,108 | | 50.91% | TYLER TECHNOLOGIES INC (COM) | TYL | 132,585 | 87,887 | | 50.85% | MARTIN MARIETTA MATLS INC (COM) | MLM | 71,033 | 47,123 | | 50.73% | UNITY BANCORP INC (COM) | UNTY | 18,877 | 12,533 | | 50.61% | INCYTE CORP (COM) | INCY | 568,092 | 377,410 | | 50.52% | MACOM TECH SOLUTIONS HLDGS I (CO | MTSI | 144,176 | 95,857 | | 50.40% | SOUTHERN MO BANCORP INC (COM) | SMBC | 16,186 | 10,781 | | 50.13% | ARISTA NETWORKS INC (COM) | ANET | 158,261 | 105,553 | | 49.93% | BWX TECHNOLOGIES INC (COM) | BWXT | 184,055 | 122,960 | | 49.68% | LIVE NATION ENTERTAINMENT IN (CO | LYV | 498,540 | 333,084 | | 49.67% | NEOGEN CORP (COM) | NEOG | 172,201 | 115,080 | | 49.63% | ISHARES INC (MSCI STH KOR ETF) | EWY | 64,126 | 42,926 | | 49.38% | XCEL ENERGY INC (COM) | XEL | 1,431,594 | 958,568 | | 49.34% | PLAYAGS INC (COM) | | 60,629 | 40,651 | | 49.14% | RESIDEO TECHNOLOGIES INC (COM) | | 733,273 | 491,870 | | 49.07% | RADIAN GROUP INC (COM) | RDN | 2,177,598 | 1,461,076 | | 49.04% | REPUBLIC FIRST BANCORP INC (COM) | FRBK | 104,471 | 70,127 | | 48.97% | GODADDY INC (CL A) | GDDY | 555,545 | 373,040 | | 48.92% | VERICEL CORP (COM) | VCEL | 231,627 | 155,560 | | 48.89% | FIRST BANCORP INC ME (COM) | FNLC | 22,052 | 14,812 | | 48.87% | ERICSSON (ADR B SEK 10) | ERIC | 863,802 | 580,662 | | 48.76% | PG&E CORP (COM) | PCG | 3,180,141 | 2,141,546 | | 48.49% | BIO-TECHNE CORP (COM) | TECH | 76,826 | 51,737 | | 48.49% | AMERICAN SUPERCONDUCTOR CORP (SH | AMSC | 56,918 | 38,337 | | 48.46% | ALKERMES PLC (SHS) | ALKS | 371,120 | 250,267 | | 48.28% | LAS VEGAS SANDS CORP (COM) | LVS | 2,498,389 | 1,685,651 | | 48.21% | VISTRA CORP (COM) | | 1,226,495 | 827,790 | | 48.16% | TJX COS INC NEW (COM) | TJX | 3,549,481 | 2,398,158 | | 48.00% | IQIYI INC (SPONSORED ADS) | | 168,101 | 113,638 | | 47.92% | TREX CO INC (COM) | TWP | 389,302 | 263,256 | | 47.87% | GRAY TELEVISION INC (COM) | GTN | 455,058 | 307,765 | | 47.85% | HIGHWOODS PPTYS INC (COM) | HIW | 85,815 | 58,079 | | 47.75% | VERISIGN INC (COM) | VRSN | 809,117 | 548,332 | | 47.55% | BRUNSWICK CORP (COM) | BC | 564,948 | 383,303 | | 47.38% | OMNICOM GROUP INC (COM) | OMC | 78,868 | 53,566 | | 47.23% | COLLEGIUM PHARMACEUTICAL INC (CO | | 155,436 | 105,617 | | 47.16% | SUNSTONE HOTEL INVS INC NEW (COM | SHO | 719,857 | 491,192 | | 46.55% | INTERNATIONAL FLAVORS&FRAGRA (CO | IFF | 285,060 | 194,765 | | 46.36% | RAYONIER ADVANCED MATLS INC (COM | RYAM | 133,228 | 91,083 | | 46.27% | ROLLINS INC (COM) | ROL | 383,774 | 262,516 | | 46.19% | INVESTAR HLDG CORP (COM) | ISTR | 18,827 | 12,885 | | 46.11% | STERLING BANCORP DEL (COM) | STL | 132,715 | 90,901 | | 45.99% | GENPREX INC (COM) | | 26,668 | 18,277 | | 45.91% | CAMDEN PPTY TR (SH BEN INT) | CPT | 86,739 | 59,447 | | 45.90% | ENTERPRISE BANCORP INC MASS (COM | EBTC | 19,689 | 13,505 | | 45.79% | MSCI INC (COM) | MXB | 283,011 | 194,481 | | 45.52% | KOHLS CORP (COM) | KSS | 288,089 | 198,004 | | 45.49% | LIBERTY BROADBAND CORP (COM SER | LBRDK | 504,265 | 346,814 | | 45.39% | BROWN FORMAN CORP (CL B) | BF/B | 572,040 | 393,439 | | 45.39% | STIFEL FINL CORP (COM) | SF | 745,322 | 512,692 | | 45.37% | BOSTON BEER INC (CL A) | SAM | 29,110 | 20,036 | | 45.28% | GRAFTECH INTL LTD (COM) | | 123,861 | 85,263 | | 45.26% | COSTCO WHSL CORP NEW (COM) | COST | 77,794 | 53,582 | | 45.18% | API GROUP CORP (COM STK) | | 525,139 | 361,784 | | 45.15% | ABM INDS INC (COM) | ABM | 390,435 | 269,063 | | 45.10% | APARTMENT INVT & MGMT CO (CL A) | | 212,598 | 146,523 | | 45.09% | EURONET WORLDWIDE INC (COM) | EEFT | 105,558 | 72,963 | | 44.67% | COSTCO WHSL CORP NEW (COM) | COST | 1,185,073 | 819,623 | | 44.58% | IMMUNIC INC (COM) | | 32,579 | 22,545 | | 44.50% | MANITOWOC CO INC (COM NEW) | | 83,698 | 57,942 | | 44.45% | ACNB CORP (COM) | ACNB | 15,243 | 10,558 | | 44.37% | RIVERVIEW BANCORP INC (COM) | RVSB | 43,086 | 29,852 | | 44.33% | NORTHWESTERN CORP (COM NEW) | NWE | 157,004 | 108,812 | | 44.28% | TAIWAN SEMICONDUCTOR MFG LTD (SP | TSM | 1,683,948 | 1,167,710 | | 44.20% | FORTINET INC (COM) | FTNT | 352,108 | 244,904 | | 43.77% | CARDINAL HEALTH INC (COM) | CAH | 1,062,702 | 739,890 | | 43.62% | BROWN FORMAN CORP (CL A) | BF.A | 134,834 | 93,898 | | 43.59% | NUANCE COMMUNICATIONS INC (COM) | NUAN | 795,087 | 553,955 | | 43.52% | KIRBY CORP (COM) | KEX | 168,301 | 117,288 | | 43.49% | STIFEL FINL CORP (COM) | SF | 218,769 | 152,691 | | 43.27% | BRISTOLMYERS SQUIBB CO (COM) | BMY | 369,554 | 258,167 | | 43.14% | BECTON DICKINSON & CO (COM) | BDX | 506,201 | 353,969 | | 43.00% | VERISK ANALYTICS INC (COM) | VRSK | 546,372 | 383,451 | | 42.48% | UMH PPTYS INC (COM) | UMH | 95,735 | 67,199 | | 42.46% | INTERNATIONAL SEAWAYS INC (COM) | | 61,340 | 43,104 | | 42.30% | US ECOLOGY INC (COM) | | 64,621 | 45,464 | | 42.13% | KRONOS BIO INC (COM) | | 17,736 | 12,479 | | 42.12% | DOLLAR GEN CORP NEW (COM) | DG | 889,062 | 626,077 | | 42.00% | VIELA BIO INC (COM) | | 29,891 | 21,077 | | | |