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California State Teachers Retirement System

Filed: 15 Nov 21, 4:46pm

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
1 800 FLOWERS COM INC CL ACOMMON STOCK68243Q1061,13037,023SH SOLE 37,02300
1ST SOURCE CORPCOMMON STOCK3369011031,12323,780SH SOLE 23,78000
2U INCCOMMON STOCK90214J1013,34499,611SH SOLE 99,61100
3D SYSTEMS CORPCOMMON STOCK88554D2054,628167,871SH SOLE 167,87100
3M COCOMMON STOCK88579Y101181,9471,037,210SH SOLE 1,037,21000
89BIO INCCOMMON STOCK2825591031035,250SH SOLE 5,25000
8X8 INCCOMMON STOCK2829141003,401145,389SH SOLE 145,38900
A10 NETWORKS INCCOMMON STOCK0021211011,08280,248SH SOLE 80,24800
AAON INCCOMMON STOCK0003602063,72156,945SH SOLE 56,94500
AAR CORPCOMMON STOCK0003611051,49145,972SH SOLE 45,97200
ABBOTT LABORATORIESCOMMON STOCK002824100372,6193,154,311SH SOLE 3,154,31100
ABBVIE INCCOMMON STOCK00287Y109344,0193,189,197SH SOLE 3,189,19700
ABERCROMBIE FITCH CO CL ACOMMON STOCK0028962073,15683,866SH SOLE 83,86600
ABIOMED INCCOMMON STOCK00365410025,43078,120SH SOLE 78,12000
ABM INDUSTRIES INCCOMMON STOCK0009571004,14692,107SH SOLE 92,10700
ACACIA RESEARCH CORPCOMMON STOCK00388130718427,056SH SOLE 27,05600
ACADIA HEALTHCARE CO INCCOMMON STOCK00404A1099,300145,813SH SOLE 145,81300
ACADIA PHARMACEUTICALS INCCOMMON STOCK0042251082,712163,279SH SOLE 163,27900
ACADIA REALTY TRUSTREIT0042391092,395117,348SH SOLE 117,34800
ACCELERATE DIAGNOSTICS INCCOMMON STOCK00430H10226345,159SH SOLE 45,15900
ACCELERON PHARMA INCCOMMON STOCK00434H10815,62390,777SH SOLE 90,77700
ACCENTURE PLC CL ACOMMON STOCKG1151C101366,3711,145,195SH SOLE 1,145,19500
ACCO BRANDS CORPCOMMON STOCK00081T1081,099127,942SH SOLE 127,94200
ACCURAY INCCOMMON STOCK00439710519749,956SH SOLE 49,95600
ACI WORLDWIDE INCCOMMON STOCK0044981014,624150,478SH SOLE 150,47800
ACTIVISION BLIZZARD INCCOMMON STOCK00507V109103,7251,340,293SH SOLE 1,340,29300
ACUITY BRANDS INCCOMMON STOCK00508Y10210,39459,952SH SOLE 59,95200
ACUSHNET HOLDINGS CORPCOMMON STOCK0050981082,29049,029SH SOLE 49,02900
ADAPTIVE BIOTECHNOLOGIESCOMMON STOCK00650F1095,758169,393SH SOLE 169,39300
ADDUS HOMECARE CORPCOMMON STOCK0067391061,69921,306SH SOLE 21,30600
ADIENT PLCCOMMON STOCKG0084W1015,376129,701SH SOLE 129,70100
ADOBE INCCOMMON STOCK00724F101494,328858,626SH SOLE 858,62600
ADT INCCOMMON STOCK00090Q1032,114261,268SH SOLE 261,26800
ADTALEM GLOBAL EDUCATION INCCOMMON STOCK00737L1032,46565,197SH SOLE 65,19700
ADTRAN INCCOMMON STOCK00738A1061,23065,584SH SOLE 65,58400
ADVANCE AUTO PARTS INCCOMMON STOCK00751Y10623,593112,945SH SOLE 112,94500
ADVANCED DRAINAGE SYSTEMS INCOMMON STOCK00790R10410,45996,691SH SOLE 96,69100
ADVANCED ENERGY INDUSTRIESCOMMON STOCK0079731004,59352,343SH SOLE 52,34300
ADVANCED MICRO DEVICESCOMMON STOCK007903107212,4322,064,449SH SOLE 2,064,44900
ADVANSIX INCCOMMON STOCK00773T1011,50437,826SH SOLE 37,82600
ADVERUM BIOTECHNOLOGIES INCCOMMON STOCK00773U10820695,013SH SOLE 95,01300
AECOMCOMMON STOCK00766T10014,668232,267SH SOLE 232,26700
AEGLEA BIOTHERAPEUTICS INCCOMMON STOCK00773J10317221,698SH SOLE 21,69800
AERCAP HOLDINGS NVCOMMON STOCKN009851068,361144,624SH SOLE 144,62400
AERIE PHARMACEUTICALS INCCOMMON STOCK00771V10867759,405SH SOLE 59,40500
AEROJET ROCKETDYNE HOLDINGSCOMMON STOCK0078001054,18896,162SH SOLE 96,16200
AEROVIRONMENT INCCOMMON STOCK0080731082,70531,333SH SOLE 31,33300
AES CORPCOMMON STOCK00130H10525,5491,119,102SH SOLE 1,119,10200
AFFILIATED MANAGERS GROUPCOMMON STOCK00825210810,54869,815SH SOLE 69,81500
AFFIMED NVCOMMON STOCKN0104510838862,735SH SOLE 62,73500
AFLAC INCCOMMON STOCK00105510260,0241,151,422SH SOLE 1,151,42200
AGCO CORPCOMMON STOCK00108410213,063106,612SH SOLE 106,61200
AGENUS INCCOMMON STOCK00847G7051,347256,507SH SOLE 256,50700
AGILENT TECHNOLOGIES INCCOMMON STOCK00846U10183,864532,369SH SOLE 532,36900
AGILYSYS INCCOMMON STOCK00847J1051,53229,261SH SOLE 29,26100
AGIOS PHARMACEUTICALS INCCOMMON STOCK00847X1043,56977,330SH SOLE 77,33000
AGNC INVESTMENT CORPREIT00123Q10415,187963,003SH SOLE 963,00300
AGREE REALTY CORPREIT0084921005,90289,117SH SOLE 89,11700
AIR LEASE CORPCOMMON STOCK00912X3027,119180,954SH SOLE 180,95400
AIR PRODUCTS CHEMICALS INCCOMMON STOCK00915810697,681381,402SH SOLE 381,40200
AIR TRANSPORT SERVICES GROUPCOMMON STOCK00922R1051,21447,047SH SOLE 47,04700
AKAMAI TECHNOLOGIES INCCOMMON STOCK00971T10129,485281,907SH SOLE 281,90700
AKEBIA THERAPEUTICS INCCOMMON STOCK00972D105623216,225SH SOLE 216,22500
AKERO THERAPEUTICS INCCOMMON STOCK00973Y10859726,721SH SOLE 26,72100
AKOUSTIS TECHNOLOGIES INCCOMMON STOCK00973N10222823,469SH SOLE 23,46900
ALAMO GROUP INCCOMMON STOCK0113111071,90913,682SH SOLE 13,68200
ALARM COM HOLDINGS INCCOMMON STOCK0116421055,03264,362SH SOLE 64,36200
ALASKA AIR GROUP INCCOMMON STOCK0116591098,002136,550SH SOLE 136,55000
ALBANY INTL CORP CL ACOMMON STOCK0123481083,21241,789SH SOLE 41,78900
ALBEMARLE CORPCOMMON STOCK01265310145,100205,964SH SOLE 205,96400
ALBIREO PHARMA INCCOMMON STOCK01345P10667621,680SH SOLE 21,68000
ALCOA CORPCOMMON STOCK01387210615,986326,654SH SOLE 326,65400
ALECTOR INCCOMMON STOCK0144421071,69074,053SH SOLE 74,05300
ALERUS FINANCIAL CORPCOMMON STOCK01446U1032438,139SH SOLE 8,13900
ALEXANDER BALDWIN INCREIT0144911042,30898,476SH SOLE 98,47600
ALEXANDER S INCREIT0147521097933,044SH SOLE 3,04400
ALEXANDRIA REAL ESTATE EQUITREIT01527110950,216262,816SH SOLE 262,81600
ALIGN TECHNOLOGY INCCOMMON STOCK01625510189,461134,441SH SOLE 134,44100
ALKERMES PLCCOMMON STOCKG017671056,721217,929SH SOLE 217,92900
ALLAKOS INCCOMMON STOCK01671P1004,78445,185SH SOLE 45,18500
ALLEGHANY CORPCOMMON STOCK01717510014,77123,656SH SOLE 23,65600
ALLEGHENY TECHNOLOGIES INCCOMMON STOCK01741R1022,875172,892SH SOLE 172,89200
ALLEGIANCE BANCSHARES INCCOMMON STOCK01748H1071,00026,208SH SOLE 26,20800
ALLEGIANT TRAVEL COCOMMON STOCK01748X1022,33111,927SH SOLE 11,92700
ALLEGION PLCCOMMON STOCKG0176J10921,161160,092SH SOLE 160,09200
ALLETE INCCOMMON STOCK0185223004,23871,196SH SOLE 71,19600
ALLIANCE DATA SYSTEMS CORPCOMMON STOCK0185811088,31582,416SH SOLE 82,41600
ALLIANT ENERGY CORPCOMMON STOCK01880210824,358435,125SH SOLE 435,12500
ALLIED MOTION TECHNOLOGIESCOMMON STOCK0193301091966,253SH SOLE 6,25300
ALLISON TRANSMISSION HOLDINGCOMMON STOCK01973R1016,444182,455SH SOLE 182,45500
ALLOGENE THERAPEUTICS INCCOMMON STOCK0197701062,580100,400SH SOLE 100,40000
ALLSCRIPTS HEALTHCARE SOLUTICOMMON STOCK01988P1082,443182,751SH SOLE 182,75100
ALLSTATE CORPCOMMON STOCK02000210166,237520,283SH SOLE 520,28300
ALLY FINANCIAL INCCOMMON STOCK02005N10032,185630,459SH SOLE 630,45900
ALNYLAM PHARMACEUTICALS INCCOMMON STOCK02043Q10738,780205,392SH SOLE 205,39200
ALPHA OMEGA SEMICONDUCTORCOMMON STOCKG6331P10489328,464SH SOLE 28,46400
ALPHABET INC CL ACOMMON STOCK02079K3051,442,567539,576SH SOLE 539,57600
ALPHABET INC CL CCOMMON STOCK02079K1071,374,924515,859SH SOLE 515,85900
ALPHATEC HOLDINGS INCCOMMON STOCK02081G2011,09589,836SH SOLE 89,83600
ALTAIR ENGINEERING INC ACOMMON STOCK0213691034,30262,404SH SOLE 62,40400
ALTERYX INC CLASS ACOMMON STOCK02156B1037,30399,900SH SOLE 99,90000
ALTICE USA INC ACOMMON STOCK02156K1037,799376,380SH SOLE 376,38000
ALTRA INDUSTRIAL MOTION CORPCOMMON STOCK02208R1064,88388,221SH SOLE 88,22100
AMAZON COM INCCOMMON STOCK0231351062,618,965797,240SH SOLE 797,24000
AMBAC FINANCIAL GROUP INCCOMMON STOCK02313988489062,124SH SOLE 62,12400
AMBARELLA INCCOMMON STOCKG037AX1017,56448,566SH SOLE 48,56600
AMC ENTERTAINMENT HLDS CL ACOMMON STOCK00165C10426,258689,917SH SOLE 689,91700
AMC NETWORKS INC ACOMMON STOCK00164V1031,78738,349SH SOLE 38,34900
AMCOR PLCCOMMON STOCKG0250X10731,3502,704,894SH SOLE 2,704,89400
AMDOCS LTDCOMMON STOCKG026021039,222121,809SH SOLE 121,80900
AMEDISYS INCCOMMON STOCK0234361088,34555,969SH SOLE 55,96900
AMER NATL BNKSHS DANVILLE VACOMMON STOCK0277451081895,727SH SOLE 5,72700
AMERANT BANCORP INCCOMMON STOCK02357610172929,486SH SOLE 29,48600
AMERCOCOMMON STOCK02358610010,66516,508SH SOLE 16,50800
AMEREN CORPORATIONCOMMON STOCK02360810234,795429,568SH SOLE 429,56800
AMERESCO INC CL ACOMMON STOCK02361E1082,24838,480SH SOLE 38,48000
AMERICA S CAR MART INCCOMMON STOCK03062T1051,0268,785SH SOLE 8,78500
AMERICAN AIRLINES GROUP INCCOMMON STOCK02376R10214,049684,636SH SOLE 684,63600
AMERICAN ASSETS TRUST INCREIT0240131042,59969,465SH SOLE 69,46500
AMERICAN AXLE MFG HOLDINGSCOMMON STOCK0240611031,355153,752SH SOLE 153,75200
AMERICAN CAMPUS COMMUNITIESREIT02483510011,174230,634SH SOLE 230,63400
AMERICAN EAGLE OUTFITTERSCOMMON STOCK02553E1065,686220,392SH SOLE 220,39200
AMERICAN ELECTRIC POWERCOMMON STOCK02553710168,136839,317SH SOLE 839,31700
AMERICAN EQUITY INVT LIFE HLCOMMON STOCK0256762063,401115,000SH SOLE 115,00000
AMERICAN EXPRESS COCOMMON STOCK025816109201,0341,199,991SH SOLE 1,199,99100
AMERICAN FINANCE TRUST INCREIT02607T1091,233153,374SH SOLE 153,37400
AMERICAN FINANCIAL GROUP INCCOMMON STOCK02593210415,595123,937SH SOLE 123,93700
AMERICAN HOMES 4 RENT AREIT02665T30618,324480,694SH SOLE 480,69400
AMERICAN INTERNATIONAL GROUPCOMMON STOCK02687478482,9761,511,684SH SOLE 1,511,68400
AMERICAN PUBLIC EDUCATIONCOMMON STOCK02913V10364525,184SH SOLE 25,18400
AMERICAN SOFTWARE INC CL ACOMMON STOCK02968310999641,943SH SOLE 41,94300
AMERICAN STATES WATER COCOMMON STOCK0298991014,29950,272SH SOLE 50,27200
AMERICAN SUPERCONDUCTOR CORPCOMMON STOCK03011120721114,491SH SOLE 14,49100
AMERICAN TOWER CORPREIT03027X100209,824790,564SH SOLE 790,56400
AMERICAN VANGUARD CORPCOMMON STOCK03037110858438,792SH SOLE 38,79200
AMERICAN WATER WORKS CO INCCOMMON STOCK03042010356,280332,937SH SOLE 332,93700
AMERICAN WOODMARK CORPCOMMON STOCK0305061091,51023,096SH SOLE 23,09600
AMERICOLD REALTY TRUSTREIT03064D10812,530431,312SH SOLE 431,31200
AMERIPRISE FINANCIAL INCCOMMON STOCK03076C10653,173201,322SH SOLE 201,32200
AMERIS BANCORPCOMMON STOCK03076K1084,82593,004SH SOLE 93,00400
AMERISAFE INCCOMMON STOCK03071H1001,46826,145SH SOLE 26,14500
AMERISOURCEBERGEN CORPCOMMON STOCK03073E10531,584264,416SH SOLE 264,41600
AMETEK INCCOMMON STOCK03110010050,081403,847SH SOLE 403,84700
AMGEN INCCOMMON STOCK031162100212,429998,960SH SOLE 998,96000
AMICUS THERAPEUTICS INCCOMMON STOCK03152W1093,019316,116SH SOLE 316,11600
AMKOR TECHNOLOGY INCCOMMON STOCK0316521003,620145,077SH SOLE 145,07700
AMN HEALTHCARE SERVICES INCCOMMON STOCK0017441017,36564,182SH SOLE 64,18200
AMNEAL PHARMACEUTICALS INCCOMMON STOCK03168L105713133,504SH SOLE 133,50400
AMPHASTAR PHARMACEUTICALS INCOMMON STOCK03209R10396750,866SH SOLE 50,86600
AMPHENOL CORP CL ACOMMON STOCK03209510175,6481,033,018SH SOLE 1,033,01800
AMYRIS INCCOMMON STOCK03236M2003,069223,505SH SOLE 223,50500
ANALOG DEVICES INCCOMMON STOCK032654105155,814930,346SH SOLE 930,34600
ANAPLAN INCCOMMON STOCK03272L10814,536238,718SH SOLE 238,71800
ANAPTYSBIO INCCOMMON STOCK03272410668925,420SH SOLE 25,42000
ANAVEX LIFE SCIENCES CORPCOMMON STOCK0327973001,60489,373SH SOLE 89,37300
ANDERSONS INC THECOMMON STOCK0341641031,31942,792SH SOLE 42,79200
ANGIODYNAMICS INCCOMMON STOCK03475V1011,32851,196SH SOLE 51,19600
ANI PHARMACEUTICALS INCCOMMON STOCK00182C10344313,489SH SOLE 13,48900
ANIKA THERAPEUTICS INCCOMMON STOCK03525510883019,493SH SOLE 19,49300
ANNALY CAPITAL MANAGEMENT INREIT03571040921,7842,587,139SH SOLE 2,587,13900
ANSYS INCCOMMON STOCK03662Q10551,474151,193SH SOLE 151,19300
ANTARES PHARMA INCCOMMON STOCK036642106809222,253SH SOLE 222,25300
ANTERIX INCCOMMON STOCK03676C10094315,529SH SOLE 15,52900
ANTERO MIDSTREAM CORPCOMMON STOCK03676B1025,649542,117SH SOLE 542,11700
ANTERO RESOURCES CORPCOMMON STOCK03674X1067,342390,342SH SOLE 390,34200
ANTHEM INCCOMMON STOCK036752103158,691425,674SH SOLE 425,67400
APARTMENT INVT MGMT CO AREIT03748R7471,390202,964SH SOLE 202,96400
APELLIS PHARMACEUTICALS INCCOMMON STOCK03753U1062,78984,617SH SOLE 84,61700
APOGEE ENTERPRISES INCCOMMON STOCK0375981091,32235,014SH SOLE 35,01400
APOLLO COMMERCIAL REAL ESTATREIT03762U1052,825190,499SH SOLE 190,49900
APOLLO MEDICAL HOLDINGS INCCOMMON STOCK03763A2074,12045,245SH SOLE 45,24500
APPFOLIO INC ACOMMON STOCK03783C1002,90824,156SH SOLE 24,15600
APPIAN CORPCOMMON STOCK03782L1014,65250,291SH SOLE 50,29100
APPLE HOSPITALITY REIT INCREIT03784Y2004,596292,172SH SOLE 292,17200
APPLE INCCOMMON STOCK0378331004,127,11329,166,873SH SOLE 29,166,87300
APPLIED INDUSTRIAL TECH INCCOMMON STOCK03820C1054,76652,878SH SOLE 52,87800
APPLIED MATERIALS INCCOMMON STOCK038222105205,9861,600,143SH SOLE 1,600,14300
APPLIED THERAPEUTICS INCCOMMON STOCK03828A10139223,636SH SOLE 23,63600
APTARGROUP INCCOMMON STOCK03833610313,616114,082SH SOLE 114,08200
APTIV PLCCOMMON STOCKG6095L10969,896469,195SH SOLE 469,19500
APYX MEDICAL CORPCOMMON STOCK03837C10624317,559SH SOLE 17,55900
ARAMARKCOMMON STOCK03852U10613,618414,432SH SOLE 414,43200
ARCBEST CORPCOMMON STOCK03937C1052,82834,587SH SOLE 34,58700
ARCH CAPITAL GROUP LTDCOMMON STOCKG0450A10525,964680,041SH SOLE 680,04100
ARCHER DANIELS MIDLAND COCOMMON STOCK03948310256,837947,133SH SOLE 947,13300
ARCHROCK INCCOMMON STOCK03957W1061,491180,689SH SOLE 180,68900
ARCOSA INCCOMMON STOCK0396531003,30265,820SH SOLE 65,82000
ARCUS BIOSCIENCES INCCOMMON STOCK03969F1091,97056,490SH SOLE 56,49000
ARDAGH GROUP SACOMMON STOCKL0223L1012499,775SH SOLE 9,77500
ARDELYX INCCOMMON STOCK03969710712392,998SH SOLE 92,99800
ARENA PHARMACEUTICALS INCCOMMON STOCK0400476074,77480,171SH SOLE 80,17100
ARES COMMERCIAL REAL ESTATEREIT04013V10891060,315SH SOLE 60,31500
ARES MANAGEMENT CORP ACOMMON STOCK03990B10116,195219,353SH SOLE 219,35300
ARGAN INCCOMMON STOCK04010E10991721,000SH SOLE 21,00000
ARGO GROUP INTERNATIONALCOMMON STOCKG0464B1072,38245,621SH SOLE 45,62100
ARISTA NETWORKS INCCOMMON STOCK04041310635,077102,074SH SOLE 102,07400
ARLO TECHNOLOGIES INCCOMMON STOCK04206A10128143,905SH SOLE 43,90500
ARMADA HOFFLER PROPERTIES INREIT04208T1081,09581,898SH SOLE 81,89800
ARMOUR RESIDENTIAL REIT INCREIT0423155071,104102,388SH SOLE 102,38800
ARMSTRONG WORLD INDUSTRIESCOMMON STOCK04247X1027,67880,421SH SOLE 80,42100
ARROW ELECTRONICS INCCOMMON STOCK04273510014,729131,169SH SOLE 131,16900
ARROW FINANCIAL CORPCOMMON STOCK04274410270720,589SH SOLE 20,58900
ARROWHEAD PHARMACEUTICALS INCOMMON STOCK04280A1008,476135,775SH SOLE 135,77500
ARTESIAN RESOURCES CORP CL ACOMMON STOCK0431132081674,379SH SOLE 4,37900
ARTHUR J GALLAGHER COCOMMON STOCK36357610953,154357,581SH SOLE 357,58100
ARTISAN PARTNERS ASSET MA ACOMMON STOCK04316A1084,15184,862SH SOLE 84,86200
ARVINAS INCCOMMON STOCK04335A1054,40953,655SH SOLE 53,65500
ASBURY AUTOMOTIVE GROUPCOMMON STOCK0434361045,21626,512SH SOLE 26,51200
ASGN INCCOMMON STOCK00191U1028,10271,610SH SOLE 71,61000
ASHLAND GLOBAL HOLDINGS INCCOMMON STOCK0441861048,45294,833SH SOLE 94,83300
ASPEN TECHNOLOGY INCCOMMON STOCK04532710314,120114,981SH SOLE 114,98100
ASSETMARK FINANCIAL HOLDINGSCOMMON STOCK04546L10660924,478SH SOLE 24,47800
ASSOCIATED BANC CORPCOMMON STOCK0454871054,430206,796SH SOLE 206,79600
ASSOCIATED CAPITAL GROUP ACOMMON STOCK04552810635926SH SOLE 92600
ASSURANT INCCOMMON STOCK04621X10816,301103,337SH SOLE 103,33700
ASSURED GUARANTY LTDCOMMON STOCKG0585R1065,787123,637SH SOLE 123,63700
ASTEC INDUSTRIES INCCOMMON STOCK0462241011,60829,886SH SOLE 29,88600
ASTRONICS CORPCOMMON STOCK04643310819113,614SH SOLE 13,61400
ATT INCCOMMON STOCK00206R102348,34512,896,900SH SOLE 12,896,90000
ATARA BIOTHERAPEUTICS INCCOMMON STOCK0465131071,845103,078SH SOLE 103,07800
ATHENE HOLDING LTD CLASS ACOMMON STOCKG0684D10715,007217,907SH SOLE 217,90700
ATHENEX INCCOMMON STOCK04685N10329196,577SH SOLE 96,57700
ATHERSYS INCCOMMON STOCK04744L106360270,775SH SOLE 270,77500
ATLANTIC CAPITAL BANCSHARESCOMMON STOCK04826920329110,984SH SOLE 10,98400
ATLANTIC UNION BANKSHARES COCOMMON STOCK04911A1073,911106,141SH SOLE 106,14100
ATLAS AIR WORLDWIDE HOLDINGSCOMMON STOCK0491642051,75321,459SH SOLE 21,45900
ATLASSIAN CORP PLC CLASS ACOMMON STOCKG0624210453,508136,702SH SOLE 136,70200
ATMOS ENERGY CORPCOMMON STOCK04956010521,796247,121SH SOLE 247,12100
ATN INTERNATIONAL INCCOMMON STOCK00215F10770915,126SH SOLE 15,12600
ATRECA INC ACOMMON STOCK04965G10921434,349SH SOLE 34,34900
ATRICURE INCCOMMON STOCK04963C2094,14759,632SH SOLE 59,63200
ATRION CORPORATIONCOMMON STOCK0499041051,3711,966SH SOLE 1,96600
AUTODESK INCCOMMON STOCK052769106114,152400,293SH SOLE 400,29300
AUTOLIV INCCOMMON STOCK0528001095,88468,638SH SOLE 68,63800
AUTOMATIC DATA PROCESSINGCOMMON STOCK053015103148,853744,564SH SOLE 744,56400
AUTONATION INCCOMMON STOCK05329W10210,03282,391SH SOLE 82,39100
AUTOZONE INCCOMMON STOCK05333210263,61237,463SH SOLE 37,46300
AVALARA INCCOMMON STOCK05338G10625,929148,359SH SOLE 148,35900
AVALONBAY COMMUNITIES INCREIT05348410154,023243,740SH SOLE 243,74000
AVANGRID INCCOMMON STOCK05351W1032,38749,107SH SOLE 49,10700
AVANOS MEDICAL INCCOMMON STOCK05350V1062,04065,379SH SOLE 65,37900
AVANTOR INCCOMMON STOCK05352A10039,577967,664SH SOLE 967,66400
AVAYA HOLDINGS CORPCOMMON STOCK05351X1012,251113,763SH SOLE 113,76300
AVERY DENNISON CORPCOMMON STOCK05361110930,281146,137SH SOLE 146,13700
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AVID TECHNOLOGY INCCOMMON STOCK05367P1001,36647,248SH SOLE 47,24800
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AVISTA CORPCOMMON STOCK05379B1073,68694,215SH SOLE 94,21500
AVNET INCCOMMON STOCK0538071036,303170,500SH SOLE 170,50000
AVROBIO INCCOMMON STOCK05455M10027248,741SH SOLE 48,74100
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AXOS FINANCIAL INCCOMMON STOCK05465C1003,84174,517SH SOLE 74,51700
AXSOME THERAPEUTICS INCCOMMON STOCK05464T1041,15334,979SH SOLE 34,97900
AXT INCCOMMON STOCK00246W10318021,571SH SOLE 21,57100
AZZ INCCOMMON STOCK0024741041,80433,917SH SOLE 33,91700
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BADGER METER INCCOMMON STOCK0565251084,01439,690SH SOLE 39,69000
BAKER HUGHES COCOMMON STOCK05722G10035,3161,428,072SH SOLE 1,428,07200
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BALL CORPCOMMON STOCK05849810651,212569,217SH SOLE 569,21700
BANC OF CALIFORNIA INCCOMMON STOCK05990K1061,14061,644SH SOLE 61,64400
BANCFIRST CORPCOMMON STOCK05945F1031,44624,058SH SOLE 24,05800
BANCORP INC THECOMMON STOCK05969A1051,81271,218SH SOLE 71,21800
BANDWIDTH INC CLASS ACOMMON STOCK05988J1032,73330,275SH SOLE 30,27500
BANK FIRST CORPCOMMON STOCK06211J1006629,346SH SOLE 9,34600
BANK OF AMERICA CORPCOMMON STOCK060505104575,14713,548,803SH SOLE 13,548,80300
BANK OF HAWAII CORPCOMMON STOCK0625401095,53067,303SH SOLE 67,30300
BANK OF MARIN BANCORP CACOMMON STOCK06342510281821,674SH SOLE 21,67400
BANK OF N T BUTTERFIELDSONCOMMON STOCKG0772R20896227,099SH SOLE 27,09900
BANK OF NEW YORK MELLON CORPCOMMON STOCK06405810073,4331,416,522SH SOLE 1,416,52200
BANK OZKCOMMON STOCK06417N1038,841205,689SH SOLE 205,68900
BANKUNITED INCCOMMON STOCK06652K1035,315127,085SH SOLE 127,08500
BANNER CORPORATIONCOMMON STOCK06652V2082,60947,261SH SOLE 47,26100
BAR HARBOR BANKSHARESCOMMON STOCK06684910056420,116SH SOLE 20,11600
BARNES GROUP INCCOMMON STOCK0678061092,71665,094SH SOLE 65,09400
BARRETT BUSINESS SVCS INCCOMMON STOCK06846310878210,251SH SOLE 10,25100
BAXTER INTERNATIONAL INCCOMMON STOCK07181310970,224873,108SH SOLE 873,10800
BCE INCCOMMON STOCK05534B9505,642112,651SH SOLE 112,65100
BEACON ROOFING SUPPLY INCCOMMON STOCK0736851093,61675,721SH SOLE 75,72100
BEAZER HOMES USA INCCOMMON STOCK07556Q88128216,374SH SOLE 16,37400
BECTON DICKINSON AND COCOMMON STOCK075887109122,968500,236SH SOLE 500,23600
BED BATH BEYOND INCCOMMON STOCK0758961002,484143,766SH SOLE 143,76600
BELDEN INCCOMMON STOCK0774541063,53060,590SH SOLE 60,59000
BELLRING BRANDS INC CLASS ACOMMON STOCK0798231001,66053,980SH SOLE 53,98000
BENCHMARK ELECTRONICS INCCOMMON STOCK08160H1011,30148,706SH SOLE 48,70600
BENEFITFOCUS INCCOMMON STOCK08180D10638834,986SH SOLE 34,98600
BERKSHIRE HATHAWAY INC CL BCOMMON STOCK084670702781,6312,863,748SH SOLE 2,863,74800
BERKSHIRE HILLS BANCORP INCCOMMON STOCK0846801071,84168,223SH SOLE 68,22300
BERRY GLOBAL GROUP INCCOMMON STOCK08579W10313,840227,335SH SOLE 227,33500
BEST BUY CO INCCOMMON STOCK08651610144,035416,560SH SOLE 416,56000
BEYOND MEAT INCCOMMON STOCK08862E10910,15296,443SH SOLE 96,44300
BEYONDSPRING INCCOMMON STOCKG1083010019112,099SH SOLE 12,09900
BGC PARTNERS INC CL ACOMMON STOCK05541T1012,232428,440SH SOLE 428,44000
BIG LOTS INCCOMMON STOCK0893021032,01546,464SH SOLE 46,46400
BIGLARI HOLDINGS INC BCOMMON STOCK08986R30986499SH SOLE 49900
BILL COM HOLDINGS INCCOMMON STOCK09004310035,395132,590SH SOLE 132,59000
BIO RAD LABORATORIES ACOMMON STOCK09057220727,85537,341SH SOLE 37,34100
BIO TECHNE CORPCOMMON STOCK09073M10432,78467,655SH SOLE 67,65500
BIOCRYST PHARMACEUTICALS INCCOMMON STOCK09058V1033,479242,118SH SOLE 242,11800
BIODELIVERY SCIENCES INTLCOMMON STOCK09060J106429118,804SH SOLE 118,80400
BIOGEN INCCOMMON STOCK09062X10375,383266,379SH SOLE 266,37900
BIOHAVEN PHARMACEUTICAL HOLDCOMMON STOCKG1119610510,85178,118SH SOLE 78,11800
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BIOMARIN PHARMACEUTICAL INCCOMMON STOCK09061G10124,418315,924SH SOLE 315,92400
BIOXCEL THERAPEUTICS INCCOMMON STOCK09075P10576525,198SH SOLE 25,19800
BJ S RESTAURANTS INCCOMMON STOCK09180C1061,30031,124SH SOLE 31,12400
BJ S WHOLESALE CLUB HOLDINGSCOMMON STOCK05550J10110,237186,393SH SOLE 186,39300
BLACK HILLS CORPCOMMON STOCK0921131095,37085,561SH SOLE 85,56100
BLACK KNIGHT INCCOMMON STOCK09215C10519,337268,565SH SOLE 268,56500
BLACKBAUD INCCOMMON STOCK09227Q1004,37162,127SH SOLE 62,12700
BLACKLINE INCCOMMON STOCK09239B1098,92375,577SH SOLE 75,57700
BLACKROCK INCCOMMON STOCK09247X101214,819256,145SH SOLE 256,14500
BLACKSTONE MORTGAGE TRU CL AREIT09257W1005,890194,246SH SOLE 194,24600
BLOOM ENERGY CORP ACOMMON STOCK0937121073,623193,555SH SOLE 193,55500
BLOOMIN BRANDS INCCOMMON STOCK0942351082,830113,180SH SOLE 113,18000
BLUCORA INCCOMMON STOCK0952291001,02765,869SH SOLE 65,86900
BLUE BIRD CORPCOMMON STOCK09530610646522,289SH SOLE 22,28900
BLUEBIRD BIO INCCOMMON STOCK09609G1001,75191,629SH SOLE 91,62900
BLUEPRINT MEDICINES CORPCOMMON STOCK09627Y1097,91977,025SH SOLE 77,02500
BOEING CO THECOMMON STOCK097023105208,708948,933SH SOLE 948,93300
BOISE CASCADE COCOMMON STOCK09739D1002,89053,532SH SOLE 53,53200
BOK FINANCIAL CORPORATIONCOMMON STOCK05561Q2014,65651,998SH SOLE 51,99800
BOOKING HOLDINGS INCCOMMON STOCK09857L108170,61771,873SH SOLE 71,87300
BOOT BARN HOLDINGS INCCOMMON STOCK0994061003,52939,713SH SOLE 39,71300
BOOZ ALLEN HAMILTON HOLDINGSCOMMON STOCK09950210619,307243,317SH SOLE 243,31700
BORGWARNER INCCOMMON STOCK09972410617,778411,433SH SOLE 411,43300
BOSTON BEER COMPANY INC ACOMMON STOCK1005571078,25516,194SH SOLE 16,19400
BOSTON OMAHA CORP CL ACOMMON STOCK10104410590823,413SH SOLE 23,41300
BOSTON PROPERTIES INCREIT10112110128,910266,822SH SOLE 266,82200
BOSTON SCIENTIFIC CORPCOMMON STOCK101137107106,9962,465,916SH SOLE 2,465,91600
BOTTOMLINE TECHNOLOGIES DECOMMON STOCK1013881062,40161,131SH SOLE 61,13100
BOX INC CLASS ACOMMON STOCK10316T1044,975210,163SH SOLE 210,16300
BOYD GAMING CORPCOMMON STOCK1033041018,841139,752SH SOLE 139,75200
BRADY CORPORATION CL ACOMMON STOCK1046741063,31165,304SH SOLE 65,30400
BRANDYWINE REALTY TRUSTREIT1053682033,111231,807SH SOLE 231,80700
BRIDGEBIO PHARMA INCCOMMON STOCK10806X1025,302113,122SH SOLE 113,12200
BRIDGEWATER BANCSHARES INCCOMMON STOCK10862110320511,680SH SOLE 11,68000
BRIGHAM MINERALS INC CL ACOMMON STOCK10918L1031,13659,299SH SOLE 59,29900
BRIGHT HORIZONS FAMILY SOLUTCOMMON STOCK10919410014,747105,774SH SOLE 105,77400
BRIGHTCOVECOMMON STOCK10921T10157449,782SH SOLE 49,78200
BRIGHTHOUSE FINANCIAL INCCOMMON STOCK10922N1036,398141,461SH SOLE 141,46100
BRIGHTSPHERE INVESTMENT GROUCOMMON STOCK10948W1032,09180,035SH SOLE 80,03500
BRIGHTVIEW HOLDINGS INCCOMMON STOCK10948C10783056,223SH SOLE 56,22300
BRINK S CO THECOMMON STOCK1096961044,23666,921SH SOLE 66,92100
BRINKER INTERNATIONAL INCCOMMON STOCK1096411003,03761,919SH SOLE 61,91900
BRISTOL MYERS SQUIBB COCOMMON STOCK110122108235,5043,980,127SH SOLE 3,980,12700
BRIXMOR PROPERTY GROUP INCREIT11120U10511,053499,927SH SOLE 499,92700
BROADCOM INCCOMMON STOCK11135F101353,238728,431SH SOLE 728,43100
BROADRIDGE FINANCIAL SOLUTIOCOMMON STOCK11133T10333,958203,778SH SOLE 203,77800
BROOKDALE SENIOR LIVING INCCOMMON STOCK1124631041,582251,163SH SOLE 251,16300
BROOKLINE BANCORP INCCOMMON STOCK11373M1071,609105,413SH SOLE 105,41300
BROOKS AUTOMATION INCCOMMON STOCK11434010212,746124,533SH SOLE 124,53300
BROWN BROWN INCCOMMON STOCK11523610122,672408,868SH SOLE 408,86800
BROWN FORMAN CORP CLASS ACOMMON STOCK1156371003,10649,566SH SOLE 49,56600
BROWN FORMAN CORP CLASS BCOMMON STOCK11563720929,162435,194SH SOLE 435,19400
BRP GROUP INC ACOMMON STOCK05589G1022,34570,433SH SOLE 70,43300
BRT APARTMENTS CORPREIT0556453031256,472SH SOLE 6,47200
BRUKER CORPCOMMON STOCK11679410813,749176,042SH SOLE 176,04200
BRUNSWICK CORPCOMMON STOCK11704310912,502131,222SH SOLE 131,22200
BRYN MAWR BANK CORPCOMMON STOCK1176651091,24727,132SH SOLE 27,13200
BUCKLE INC THECOMMON STOCK1184401061,60240,459SH SOLE 40,45900
BUILDERS FIRSTSOURCE INCCOMMON STOCK12008R10717,458337,414SH SOLE 337,41400
BUNGE LTDCOMMON STOCKG1696210519,419238,803SH SOLE 238,80300
BURLINGTON STORES INCCOMMON STOCK12201710632,919116,088SH SOLE 116,08800
BUSINESS FIRST BANCSHARESCOMMON STOCK12326C10525010,685SH SOLE 10,68500
BWX TECHNOLOGIES INCCOMMON STOCK05605H1008,648160,559SH SOLE 160,55900
BYLINE BANCORP INCCOMMON STOCK12441110984734,485SH SOLE 34,48500
C H ROBINSON WORLDWIDE INCCOMMON STOCK12541W20920,000229,881SH SOLE 229,88100
CABLE ONE INCCOMMON STOCK12685J10517,0859,423SH SOLE 9,42300
CABOT CORPCOMMON STOCK1270551013,85576,907SH SOLE 76,90700
CACI INTERNATIONAL INC CL ACOMMON STOCK12719030410,32639,398SH SOLE 39,39800
CACTUS INC ACOMMON STOCK1272031072,78973,940SH SOLE 73,94000
CADENCE BANCORPCOMMON STOCK12739A1003,711169,000SH SOLE 169,00000
CADENCE DESIGN SYS INCCOMMON STOCK12738710873,044482,329SH SOLE 482,32900
CADIZ INCCOMMON STOCK12753720730843,773SH SOLE 43,77300
CAESARSTONE LTDCOMMON STOCKM2059810449239,646SH SOLE 39,64600
CAI INTERNATIONAL INCCOMMON STOCK12477X1061,24422,244SH SOLE 22,24400
CAL MAINE FOODS INCCOMMON STOCK1280302021,80749,976SH SOLE 49,97600
CALAMP CORPCOMMON STOCK12812610918718,831SH SOLE 18,83100
CALAVO GROWERS INCCOMMON STOCK12824610588423,116SH SOLE 23,11600
CALERES INCCOMMON STOCK1295001041,13751,187SH SOLE 51,18700
CALIFORNIA WATER SERVICE GRPCOMMON STOCK1307881024,07969,217SH SOLE 69,21700
CALIX INCCOMMON STOCK13100M5093,75776,004SH SOLE 76,00400
CALLAWAY GOLF COMPANYCOMMON STOCK1311931044,442160,775SH SOLE 160,77500
CAMBIUM NETWORKS CORPCOMMON STOCKG1776610948713,455SH SOLE 13,45500
CAMBRIDGE BANCORPCOMMON STOCK1321521093243,684SH SOLE 3,68400
CAMDEN NATIONAL CORPCOMMON STOCK13303410896920,235SH SOLE 20,23500
CAMDEN PROPERTY TRUSTREIT13313110225,134170,435SH SOLE 170,43500
CAMPBELL SOUP COCOMMON STOCK13442910914,374343,802SH SOLE 343,80200
CAMPING WORLD HOLDINGS INC ACOMMON STOCK13462K1092,21056,844SH SOLE 56,84400
CANNAE HOLDINGS INCCOMMON STOCK13765N1073,533113,571SH SOLE 113,57100
CAPITAL BANCORP INC MDCOMMON STOCK1397371001014,185SH SOLE 4,18500
CAPITAL CITY BANK GROUP INCCOMMON STOCK13967410545418,344SH SOLE 18,34400
CAPITAL ONE FINANCIAL CORPCOMMON STOCK14040H105125,642775,710SH SOLE 775,71000
CAPITOL FEDERAL FINANCIAL INCOMMON STOCK14057J1012,051178,504SH SOLE 178,50400
CAPRI HOLDINGS LTDCOMMON STOCKG1890L10712,531258,848SH SOLE 258,84800
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CAPSTEAD MORTGAGE CORPREIT14067E506877131,097SH SOLE 131,09700
CARA THERAPEUTICS INCCOMMON STOCK14075510987756,767SH SOLE 56,76700
CARDINAL HEALTH INCCOMMON STOCK14149Y10825,360512,737SH SOLE 512,73700
CARDIOVASCULAR SYSTEMS INCCOMMON STOCK1416191061,78254,267SH SOLE 54,26700
CARDLYTICS INCCOMMON STOCK14161W1053,70944,182SH SOLE 44,18200
CAREDX INCCOMMON STOCK14167L1034,42469,814SH SOLE 69,81400
CARETRUST REIT INCREIT14174T1072,664131,091SH SOLE 131,09100
CARGURUS INCCOMMON STOCK1417881093,637115,792SH SOLE 115,79200
CARLISLE COS INCCOMMON STOCK14233910017,38187,435SH SOLE 87,43500
CARMAX INCCOMMON STOCK14313010236,123282,296SH SOLE 282,29600
CARNIVAL CORPCOMMON STOCK14365830035,2391,408,980SH SOLE 1,408,98000
CARNIVAL PLC ADRCOMMON STOCK14365C1031,14150,000SH SOLE 50,00000
CARPENTER TECHNOLOGYCOMMON STOCK1442851032,13565,215SH SOLE 65,21500
CARRIAGE SERVICES INCCOMMON STOCK1439051071,01722,808SH SOLE 22,80800
CARROLS RESTAURANT GROUP INCCOMMON STOCK14574X1046718,181SH SOLE 18,18100
CARS COM INCCOMMON STOCK14575E1051,17692,938SH SOLE 92,93800
CARTER S INCCOMMON STOCK1462291097,13273,349SH SOLE 73,34900
CARVANA COCOMMON STOCK14686910239,606131,347SH SOLE 131,34700
CASA SYSTEMS INCCOMMON STOCK14713L10230745,246SH SOLE 45,24600
CASELLA WASTE SYSTEMS INC ACOMMON STOCK1474481045,14367,726SH SOLE 67,72600
CASEY S GENERAL STORES INCCOMMON STOCK14752810312,02663,815SH SOLE 63,81500
CASS INFORMATION SYSTEMS INCCOMMON STOCK14808P10979719,050SH SOLE 19,05000
CASTLE BIOSCIENCES INCCOMMON STOCK14843C1051,85627,906SH SOLE 27,90600
CATALENT INCCOMMON STOCK14880610238,378288,405SH SOLE 288,40500
CATALYST PHARMACEUTICALS INCCOMMON STOCK14888U101703132,626SH SOLE 132,62600
CATCHMARK TIMBER TRUST INC AREIT14912Y20278766,325SH SOLE 66,32500
CATERPILLAR INCCOMMON STOCK149123101183,786957,366SH SOLE 957,36600
CATHAY GENERAL BANCORPCOMMON STOCK1491501044,250102,676SH SOLE 102,67600
CATO CORP CLASS ACOMMON STOCK14920510618511,165SH SOLE 11,16500
CAVCO INDUSTRIES INCCOMMON STOCK1495681072,79011,785SH SOLE 11,78500
CBIZ INCCOMMON STOCK1248051022,14166,202SH SOLE 66,20200
CBOE GLOBAL MARKETS INCCOMMON STOCK12503M10823,078186,320SH SOLE 186,32000
CBRE GROUP INC ACOMMON STOCK12504L10956,977585,221SH SOLE 585,22100
CBTX INCCOMMON STOCK12481V10464824,580SH SOLE 24,58000
CDK GLOBAL INCCOMMON STOCK12508E1018,753205,714SH SOLE 205,71400
CDW CORP DECOMMON STOCK12514G10846,280254,259SH SOLE 254,25900
CECO ENVIRONMENTAL CORPCOMMON STOCK12514110111816,798SH SOLE 16,79800
CEL SCI CORPCOMMON STOCK15083760757852,559SH SOLE 52,55900
CELANESE CORPCOMMON STOCK15087010330,603203,151SH SOLE 203,15100
CELSIUS HOLDINGS INCCOMMON STOCK15118V2075,02055,724SH SOLE 55,72400
CENTENE CORPCOMMON STOCK15135B10162,7031,006,308SH SOLE 1,006,30800
CENTERPOINT ENERGY INCCOMMON STOCK15189T10725,0371,017,763SH SOLE 1,017,76300
CENTRAL GARDEN PET COCOMMON STOCK15352710663713,278SH SOLE 13,27800
CENTRAL GARDEN AND PET CO ACOMMON STOCK1535272052,35754,809SH SOLE 54,80900
CENTRAL PACIFIC FINANCIAL COCOMMON STOCK15476040997337,890SH SOLE 37,89000
CENTURY ALUMINUM COMPANYCOMMON STOCK15643110897272,273SH SOLE 72,27300
CENTURY BANCORP INC CL ACOMMON STOCK1564321064283,711SH SOLE 3,71100
CENTURY CASINOS INCCOMMON STOCK15649210019814,714SH SOLE 14,71400
CENTURY COMMUNITIES INCCOMMON STOCK1565043002,51940,992SH SOLE 40,99200
CERENCE INCCOMMON STOCK1567271094,94351,430SH SOLE 51,43000
CERIDIAN HCM HOLDING INCCOMMON STOCK15677J10826,883238,708SH SOLE 238,70800
CERNER CORPCOMMON STOCK15678210436,697520,382SH SOLE 520,38200
CERUS CORPCOMMON STOCK1570851011,405230,723SH SOLE 230,72300
CEVA INCCOMMON STOCK1572101051,31230,759SH SOLE 30,75900
CF INDUSTRIES HOLDINGS INCCOMMON STOCK12526910020,165361,242SH SOLE 361,24200
CHANGE HEALTHCARE INCCOMMON STOCK15912K1008,494405,646SH SOLE 405,64600
CHANNELADVISOR CORPCOMMON STOCK1591791001,01640,285SH SOLE 40,28500
CHARLES RIVER LABORATORIESCOMMON STOCK15986410735,74386,615SH SOLE 86,61500
CHART INDUSTRIES INCCOMMON STOCK16115Q3089,45849,488SH SOLE 49,48800
CHARTER COMMUNICATIONS INC ACOMMON STOCK16119P108165,433227,381SH SOLE 227,38100
CHASE CORPCOMMON STOCK16150R1041,03910,168SH SOLE 10,16800
CHATHAM LODGING TRUSTREIT16208T10279965,218SH SOLE 65,21800
CHECK POINT SOFTWARE TECHCOMMON STOCKM2246510416,232143,592SH SOLE 143,59200
CHEESECAKE FACTORY INC THECOMMON STOCK1630721012,86760,993SH SOLE 60,99300
CHEFS WAREHOUSE INC THECOMMON STOCK1630861011,45844,773SH SOLE 44,77300
CHEGG INCCOMMON STOCK16309210916,818247,245SH SOLE 247,24500
CHEMED CORPCOMMON STOCK16359R10312,24826,334SH SOLE 26,33400
CHEMOCENTRYX INCCOMMON STOCK16383L1061,18269,097SH SOLE 69,09700
CHEMOURS CO THECOMMON STOCK1638511088,128279,704SH SOLE 279,70400
CHENIERE ENERGY INCCOMMON STOCK16411R20842,736437,550SH SOLE 437,55000
CHESAPEAKE UTILITIES CORPCOMMON STOCK1653031082,84123,668SH SOLE 23,66800
CHEVRON CORPCOMMON STOCK166764100340,9003,360,277SH SOLE 3,360,27700
CHICO S FAS INCCOMMON STOCK16861510230167,016SH SOLE 67,01600
CHILDREN S PLACE INC THECOMMON STOCK1689051071,43019,007SH SOLE 19,00700
CHIMERA INVESTMENT CORPREIT16934Q2084,704316,753SH SOLE 316,75300
CHIMERIX INCCOMMON STOCK16934W10661499,186SH SOLE 99,18600
CHIPOTLE MEXICAN GRILL INCCOMMON STOCK16965610591,70550,456SH SOLE 50,45600
CHOICE HOTELS INTL INCCOMMON STOCK1699051067,57959,978SH SOLE 59,97800
CHROMADEX CORPCOMMON STOCK17107740715925,313SH SOLE 25,31300
CHUBB LTDCOMMON STOCKH1467J104133,732770,876SH SOLE 770,87600
CHURCH DWIGHT CO INCCOMMON STOCK17134010235,627431,473SH SOLE 431,47300
CHURCHILL DOWNS INCCOMMON STOCK17148410814,53260,529SH SOLE 60,52900
CHUY S HOLDINGS INCCOMMON STOCK17160410185127,003SH SOLE 27,00300
CIENA CORPCOMMON STOCK17177930913,328259,547SH SOLE 259,54700
CIGNA CORPCOMMON STOCK125523100120,540602,218SH SOLE 602,21800
CIMAREX ENERGY COCOMMON STOCK17179810114,902170,890SH SOLE 170,89000
CIMPRESS PLCCOMMON STOCKG2143T1031,99522,975SH SOLE 22,97500
CINCINNATI FINANCIAL CORPCOMMON STOCK17206210130,202264,416SH SOLE 264,41600
CINEMARK HOLDINGS INCCOMMON STOCK17243V1022,748143,051SH SOLE 143,05100
CINTAS CORPCOMMON STOCK17290810560,905159,999SH SOLE 159,99900
CIRCOR INTERNATIONAL INCCOMMON STOCK17273K10987226,424SH SOLE 26,42400
CIRRUS LOGIC INCCOMMON STOCK1727551007,98796,990SH SOLE 96,99000
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CIT GROUP INCCOMMON STOCK1255818017,075136,197SH SOLE 136,19700
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COMCAST CORP CLASS ACOMMON STOCK20030N101458,3738,195,483SH SOLE 8,195,48300
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CTS CORPCOMMON STOCK1265011051,27241,159SH SOLE 41,15900
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CUE BIOPHARMA INCCOMMON STOCK22978P10657239,229SH SOLE 39,22900
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DMC GLOBAL INCCOMMON STOCK23291C10393425,316SH SOLE 25,31600
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DOMINO S PIZZA INCCOMMON STOCK25754A20131,46565,970SH SOLE 65,97000
DOMO INC CLASS BCOMMON STOCK2575541053,22038,129SH SOLE 38,12900
DOMTAR CORPCOMMON STOCK2575592033,78469,389SH SOLE 69,38900
DONALDSON CO INCCOMMON STOCK25765110912,192212,371SH SOLE 212,37100
DONEGAL GROUP INC CL ACOMMON STOCK25770120127719,111SH SOLE 19,11100
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DOUGLAS EMMETT INCREIT25960P1099,602303,760SH SOLE 303,76000
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DR HORTON INCCOMMON STOCK23331A10949,371587,957SH SOLE 587,95700
DRIL QUIP INCCOMMON STOCK2620371041,20747,924SH SOLE 47,92400
DROPBOX INC CLASS ACOMMON STOCK26210C10416,724572,357SH SOLE 572,35700
DSP GROUP INCCOMMON STOCK23332B10667730,911SH SOLE 30,91100
DTE ENERGY COMPANYCOMMON STOCK23333110736,381325,673SH SOLE 325,67300
DUCOMMUN INCCOMMON STOCK26414710973714,647SH SOLE 14,64700
DUKE ENERGY CORPCOMMON STOCK26441C204126,0301,291,423SH SOLE 1,291,42300
DUKE REALTY CORPREIT26441150531,288653,596SH SOLE 653,59600
DULUTH HOLDINGS INC CL BCOMMON STOCK26443V10132523,840SH SOLE 23,84000
DUPONT DE NEMOURS INCCOMMON STOCK26614N10264,630950,578SH SOLE 950,57800
DXC TECHNOLOGY COCOMMON STOCK23355L10614,398428,385SH SOLE 428,38500
DXP ENTERPRISES INCCOMMON STOCK23337740772124,387SH SOLE 24,38700
DYCOM INDUSTRIES INCCOMMON STOCK2674751012,94841,384SH SOLE 41,38400
DYNATRACE INCCOMMON STOCK26815010923,518331,382SH SOLE 331,38200
DYNAVAX TECHNOLOGIES CORPCOMMON STOCK2681582012,920152,021SH SOLE 152,02100
DYNEX CAPITAL INCREIT26817Q88674843,273SH SOLE 43,27300
EAGLE BANCORP INCCOMMON STOCK2689481062,47843,088SH SOLE 43,08800
EAGLE BULK SHIPPING INCCOMMON STOCKY2187A1502354,669SH SOLE 4,66900
EAGLE MATERIALS INCCOMMON STOCK26969P1088,95968,306SH SOLE 68,30600
EAGLE PHARMACEUTICALS INCCOMMON STOCK26979610886515,504SH SOLE 15,50400
EARTHSTONE ENERGY INC ACOMMON STOCK27032D30411812,874SH SOLE 12,87400
EAST WEST BANCORP INCCOMMON STOCK27579R10419,035245,483SH SOLE 245,48300
EASTERLY GOVERNMENT PROPERTIREIT27616P1032,350113,725SH SOLE 113,72500
EASTGROUP PROPERTIES INCREIT2772761019,03554,220SH SOLE 54,22000
EASTMAN CHEMICAL COCOMMON STOCK27743210023,272231,010SH SOLE 231,01000
EATON CORP PLCCOMMON STOCKG29183103106,224711,433SH SOLE 711,43300
EBAY INCCOMMON STOCK27864210381,0101,162,770SH SOLE 1,162,77000
EBIX INCCOMMON STOCK27871520697336,132SH SOLE 36,13200
ECHO GLOBAL LOGISTICS INCCOMMON STOCK27875T1011,71836,014SH SOLE 36,01400
ECHOSTAR CORP ACOMMON STOCK2787681061,40154,933SH SOLE 54,93300
ECOLAB INCCOMMON STOCK27886510093,163446,570SH SOLE 446,57000
EDGEWELL PERSONAL CARE COCOMMON STOCK28035Q1022,60271,693SH SOLE 71,69300
EDISON INTERNATIONALCOMMON STOCK28102010737,779681,065SH SOLE 681,06500
EDITAS MEDICINE INCCOMMON STOCK28106W1033,79892,460SH SOLE 92,46000
EDWARDS LIFESCIENCES CORPCOMMON STOCK28176E108122,4281,081,427SH SOLE 1,081,42700
EGAIN CORPCOMMON STOCK28225C80629228,642SH SOLE 28,64200
EHEALTH INCCOMMON STOCK28238P1091,35633,486SH SOLE 33,48600
EIGER BIOPHARMACEUTICALS INCCOMMON STOCK28249U10511517,267SH SOLE 17,26700
EL POLLO LOCO HOLDINGS INCCOMMON STOCK26860310744726,439SH SOLE 26,43900
ELANCO ANIMAL HEALTH INCCOMMON STOCK28414H10324,290761,669SH SOLE 761,66900
ELASTIC NVCOMMON STOCKN1450610416,709112,147SH SOLE 112,14700
ELECTRONIC ARTS INCCOMMON STOCK28551210970,093492,745SH SOLE 492,74500
ELEMENT SOLUTIONS INCCOMMON STOCK28618M1068,268381,362SH SOLE 381,36200
ELF BEAUTY INCCOMMON STOCK26856L1031,85763,925SH SOLE 63,92500
ELI LILLY COCOMMON STOCK532457108345,6621,496,047SH SOLE 1,496,04700
ELLINGTON FINANCIAL INCREIT28852N1091,17264,076SH SOLE 64,07600
EMCOR GROUP INCCOMMON STOCK29084Q1008,53173,941SH SOLE 73,94100
EMERGENT BIOSOLUTIONS INCCOMMON STOCK29089Q1053,30866,068SH SOLE 66,06800
EMERSON ELECTRIC COCOMMON STOCK29101110498,3331,043,871SH SOLE 1,043,87100
EMPIRE STATE REALTY TRUST AREIT2921041061,972196,627SH SOLE 196,62700
EMPLOYERS HOLDINGS INCCOMMON STOCK2922181041,52738,676SH SOLE 38,67600
ENANTA PHARMACEUTICALS INCCOMMON STOCK29251M1061,43625,284SH SOLE 25,28400
ENCOMPASS HEALTH CORPCOMMON STOCK29261A10012,808170,678SH SOLE 170,67800
ENCORE CAPITAL GROUP INCCOMMON STOCK2925541022,05441,679SH SOLE 41,67900
ENCORE WIRE CORPCOMMON STOCK2925621052,63827,814SH SOLE 27,81400
ENDO INTERNATIONAL PLCCOMMON STOCKG304011061,018314,276SH SOLE 314,27600
ENERGIZER HOLDINGS INCCOMMON STOCK29272W1093,40987,305SH SOLE 87,30500
ENERGY FUELS INCCOMMON STOCK29267170856079,833SH SOLE 79,83300
ENERGY RECOVERY INCCOMMON STOCK29270J1001,01353,225SH SOLE 53,22500
ENERSYSCOMMON STOCK29275Y1024,33158,178SH SOLE 58,17800
ENNIS INCCOMMON STOCK29338910266035,021SH SOLE 35,02100
ENOVA INTERNATIONAL INCCOMMON STOCK29357K1031,73850,304SH SOLE 50,30400
ENPHASE ENERGY INCCOMMON STOCK29355A10734,302228,727SH SOLE 228,72700
ENPRO INDUSTRIES INCCOMMON STOCK29355X1072,36727,175SH SOLE 27,17500
ENSIGN GROUP INC THECOMMON STOCK29358P1015,32671,122SH SOLE 71,12200
ENSTAR GROUP LTDCOMMON STOCKG3075P1013,90216,623SH SOLE 16,62300
ENTEGRIS INCCOMMON STOCK29362U10428,761228,442SH SOLE 228,44200
ENTERGY CORPCOMMON STOCK29364G10333,560337,934SH SOLE 337,93400
ENTERPRISE BANCORP INCCOMMON STOCK2936681091805,005SH SOLE 5,00500
ENTERPRISE FINANCIAL SERVICECOMMON STOCK2937121052,25449,786SH SOLE 49,78600
ENTRAVISION COMMUNICATIONS ACOMMON STOCK29382R10722832,059SH SOLE 32,05900
ENVESTNET INCCOMMON STOCK29404K1065,93473,951SH SOLE 73,95100
EOG RESOURCES INCCOMMON STOCK26875P10178,638979,672SH SOLE 979,67200
EPAM SYSTEMS INCCOMMON STOCK29414B10454,82096,095SH SOLE 96,09500
EPIZYME INCCOMMON STOCK29428V104548106,965SH SOLE 106,96500
EPLUS INCCOMMON STOCK2942681071,87418,266SH SOLE 18,26600
EPR PROPERTIESREIT26884U1096,176125,081SH SOLE 125,08100
EQT CORPCOMMON STOCK26884L1099,901483,935SH SOLE 483,93500
EQUIFAX INCCOMMON STOCK29442910555,475218,904SH SOLE 218,90400
EQUINIX INCREIT29444U700123,285156,031SH SOLE 156,03100
EQUITRANS MIDSTREAM CORPCOMMON STOCK2946001015,649557,142SH SOLE 557,14200
EQUITY BANCSHARES INC CL ACOMMON STOCK29460X1092537,593SH SOLE 7,59300
EQUITY COMMONWEALTHREIT2946281024,249163,562SH SOLE 163,56200
EQUITY LIFESTYLE PROPERTIESREIT29472R10823,807304,821SH SOLE 304,82100
EQUITY RESIDENTIALREIT29476L10751,468636,033SH SOLE 636,03300
ERIE INDEMNITY COMPANY CL ACOMMON STOCK29530P1027,88144,169SH SOLE 44,16900
ESCALADE INCCOMMON STOCK2960561041045,519SH SOLE 5,51900
ESCO TECHNOLOGIES INCCOMMON STOCK2963151042,71035,201SH SOLE 35,20100
ESPERION THERAPEUTICS INCCOMMON STOCK29664W10541434,360SH SOLE 34,36000
ESSENT GROUP LTDCOMMON STOCKG3198U1026,706152,382SH SOLE 152,38200
ESSENTIAL PROPERTIES REALTYREIT29670E1074,451159,419SH SOLE 159,41900
ESSEX PROPERTY TRUST INCREIT29717810537,255116,517SH SOLE 116,51700
ESTEE LAUDER COMPANIES CL ACOMMON STOCK518439104124,250414,262SH SOLE 414,26200
ETHAN ALLEN INTERIORS INCCOMMON STOCK29760210471230,039SH SOLE 30,03900
ETSY INCCOMMON STOCK29786A10647,479228,306SH SOLE 228,30600
EURONET WORLDWIDE INCCOMMON STOCK29873610911,09887,196SH SOLE 87,19600
EVELO BIOSCIENCES INCCOMMON STOCK29973410311516,344SH SOLE 16,34400
EVENTBRITE INC CLASS ACOMMON STOCK29975E1091,86898,779SH SOLE 98,77900
EVERBRIDGE INCCOMMON STOCK29978A1049,70664,264SH SOLE 64,26400
EVERCORE INC ACOMMON STOCK29977A1058,97367,127SH SOLE 67,12700
EVEREST RE GROUP LTDCOMMON STOCKG3223R10817,37369,275SH SOLE 69,27500
EVERGY INCCOMMON STOCK30034W10624,045386,580SH SOLE 386,58000
EVERI HOLDINGS INCCOMMON STOCK30034T1032,849117,814SH SOLE 117,81400
EVERQUOTE INC CLASS ACOMMON STOCK30041R10844423,835SH SOLE 23,83500
EVERSOURCE ENERGYCOMMON STOCK30040W10852,081636,994SH SOLE 636,99400
EVERTEC INCCOMMON STOCK30040P1033,79182,916SH SOLE 82,91600
EVI INDUSTRIES INCCOMMON STOCK26929N102833,046SH SOLE 3,04600
EVO PAYMENTS INC CLASS ACOMMON STOCK26927E1041,50463,505SH SOLE 63,50500
EVOLENT HEALTH INC ACOMMON STOCK30050B1013,502112,953SH SOLE 112,95300
EVOLUS INCCOMMON STOCK30052C10713317,401SH SOLE 17,40100
EVOQUA WATER TECHNOLOGIES COCOMMON STOCK30057T1056,040160,818SH SOLE 160,81800
EW SCRIPPS CO THE ACOMMON STOCK8110544021,33673,954SH SOLE 73,95400
EXACT SCIENCES CORPCOMMON STOCK30063P10528,661300,271SH SOLE 300,27100
EXAGEN INCCOMMON STOCK30068X103795,788SH SOLE 5,78800
EXELIXIS INCCOMMON STOCK30161Q10411,117525,892SH SOLE 525,89200
EXELON CORPCOMMON STOCK30161N10182,9581,716,142SH SOLE 1,716,14200
EXLSERVICE HOLDINGS INCCOMMON STOCK3020811045,55545,115SH SOLE 45,11500
EXP WORLD HOLDINGS INCCOMMON STOCK30212W1003,47187,272SH SOLE 87,27200
EXPEDIA GROUP INCCOMMON STOCK30212P30341,318252,093SH SOLE 252,09300
EXPEDITORS INTL WASH INCCOMMON STOCK30213010935,067294,362SH SOLE 294,36200
EXPONENT INCCOMMON STOCK30214U1028,00070,701SH SOLE 70,70100
EXTRA SPACE STORAGE INCREIT30225T10238,777230,831SH SOLE 230,83100
EXTREME NETWORKS INCCOMMON STOCK30226D1061,670169,496SH SOLE 169,49600
EXXON MOBIL CORPCOMMON STOCK30231G102433,6977,373,286SH SOLE 7,373,28600
EZCORP INC CL ACOMMON STOCK30230110621728,686SH SOLE 28,68600
F5 NETWORKS INCCOMMON STOCK31561610220,580103,530SH SOLE 103,53000
FABRINETCOMMON STOCKG3323L1005,14350,170SH SOLE 50,17000
FACTSET RESEARCH SYSTEMS INCCOMMON STOCK30307510525,83565,441SH SOLE 65,44100
FAIR ISAAC CORPCOMMON STOCK30325010419,40248,757SH SOLE 48,75700
FALCON MINERALS CORPCOMMON STOCK30607B10910121,489SH SOLE 21,48900
FARMERS NATL BANC CORPCOMMON STOCK30962710722114,045SH SOLE 14,04500
FARMLAND PARTNERS INCREIT31154R10918315,239SH SOLE 15,23900
FARO TECHNOLOGIES INCCOMMON STOCK3116421021,62124,637SH SOLE 24,63700
FASTENAL COCOMMON STOCK31190010452,0851,009,208SH SOLE 1,009,20800
FATE THERAPEUTICS INCCOMMON STOCK31189P1026,253105,495SH SOLE 105,49500
FB FINANCIAL CORPCOMMON STOCK30257X1041,93645,157SH SOLE 45,15700
FEDERAL AGRIC MTG CORP CL CCOMMON STOCK3131483061,35512,482SH SOLE 12,48200
FEDERAL REALTY INVS TRUSTREIT31374720614,593123,679SH SOLE 123,67900
FEDERAL SIGNAL CORPCOMMON STOCK3138551083,17782,271SH SOLE 82,27100
FEDEX CORPCOMMON STOCK31428X10694,852432,543SH SOLE 432,54300
FERRO CORPCOMMON STOCK3154051002,140105,223SH SOLE 105,22300
FIBROGEN INCCOMMON STOCK31572Q8081,174114,855SH SOLE 114,85500
FIDELITY DD BANCORP INCCOMMON STOCK31609R1001082,143SH SOLE 2,14300
FIDELITY NATIONAL FINANCIALCOMMON STOCK31620R30321,902483,064SH SOLE 483,06400
FIDELITY NATIONAL INFO SERVCOMMON STOCK31620M106131,1401,077,748SH SOLE 1,077,74800
FIESTA RESTAURANT GROUPCOMMON STOCK31660B1011049,524SH SOLE 9,52400
FIFTH THIRD BANCORPCOMMON STOCK31677310051,9021,222,960SH SOLE 1,222,96000
FINANCIAL INSTITUTIONS INCCOMMON STOCK3175854042658,657SH SOLE 8,65700
FIRST AMERICAN FINANCIALCOMMON STOCK31847R10212,216182,192SH SOLE 182,19200
FIRST BANCORP INC MECOMMON STOCK31866P1021635,590SH SOLE 5,59000
FIRST BANCORP PUERTO RICOCOMMON STOCK3186727063,782287,636SH SOLE 287,63600
FIRST BANCORP NCCOMMON STOCK3189101061,65638,500SH SOLE 38,50000
FIRST BANCSHARES INC MSCOMMON STOCK3189161031,09728,283SH SOLE 28,28300
FIRST BANK HAMILTON NJCOMMON STOCK31931U1021188,369SH SOLE 8,36900
FIRST BUSEY CORPCOMMON STOCK3193832041,71769,722SH SOLE 69,72200
FIRST CITIZENS BCSHS CL ACOMMON STOCK31946M1038,59510,194SH SOLE 10,19400
FIRST COMMONWEALTH FINL CORPCOMMON STOCK3198291071,774130,163SH SOLE 130,16300
FIRST COMMUNITY BANKSHARESCOMMON STOCK31983A10370422,188SH SOLE 22,18800
FIRST FINANCIAL BANCORPCOMMON STOCK3202091093,070131,149SH SOLE 131,14900
FIRST FINANCIAL CORP INDIANACOMMON STOCK32021810066815,891SH SOLE 15,89100
FIRST FINL BANKSHARES INCCOMMON STOCK32020R1098,309180,834SH SOLE 180,83400
FIRST FOUNDATION INCCOMMON STOCK32026V1041,40453,386SH SOLE 53,38600
FIRST HAWAIIAN INCCOMMON STOCK32051X1086,419218,693SH SOLE 218,69300
FIRST INDUSTRIAL REALTY TRREIT32054K10311,273216,450SH SOLE 216,45000
FIRST INTERNET BANCORPCOMMON STOCK3205571011554,978SH SOLE 4,97800
FIRST INTERSTATE BANCSYS ACOMMON STOCK32055Y2012,25556,012SH SOLE 56,01200
FIRST MERCHANTS CORPCOMMON STOCK3208171093,07673,512SH SOLE 73,51200
FIRST MID BANCSHARES INCCOMMON STOCK32086610681919,942SH SOLE 19,94200
FIRST MIDWEST BANCORP INC ILCOMMON STOCK3208671042,949155,110SH SOLE 155,11000
FIRST OF LONG ISLAND CORPCOMMON STOCK32073410665231,647SH SOLE 31,64700
FIRST REPUBLIC BANK CACOMMON STOCK33616C10059,249307,183SH SOLE 307,18300
FIRST SOLAR INCCOMMON STOCK33643310716,183169,524SH SOLE 169,52400
FIRSTCASH INCCOMMON STOCK33767D1054,82855,174SH SOLE 55,17400
FIRSTENERGY CORPCOMMON STOCK33793210732,704918,149SH SOLE 918,14900
FISERV INCCOMMON STOCK337738108112,9901,041,380SH SOLE 1,041,38000
FIVE BELOWCOMMON STOCK33829M10116,60493,908SH SOLE 93,90800
FIVE9 INCCOMMON STOCK33830710118,076113,156SH SOLE 113,15600
FLAGSTAR BANCORP INCCOMMON STOCK3379307053,62971,462SH SOLE 71,46200
FLEETCOR TECHNOLOGIES INCCOMMON STOCK33904110536,757140,687SH SOLE 140,68700
FLEX LTDCOMMON STOCKY2573F1027,186406,460SH SOLE 406,46000
FLEXION THERAPEUTICS INCCOMMON STOCK33938J10635858,674SH SOLE 58,67400
FLOOR DECOR HOLDINGS INC ACOMMON STOCK33975010121,101174,692SH SOLE 174,69200
FLOWERS FOODS INCCOMMON STOCK3434981017,731327,184SH SOLE 327,18400
FLOWSERVE CORPCOMMON STOCK34354P1057,617219,705SH SOLE 219,70500
FLUENT INCCOMMON STOCK34380C1025323,278SH SOLE 23,27800
FLUIDIGM CORPCOMMON STOCK34385P10865899,791SH SOLE 99,79100
FLUOR CORPCOMMON STOCK3434121023,142196,761SH SOLE 196,76100
FLUSHING FINANCIAL CORPCOMMON STOCK34387310584637,416SH SOLE 37,41600
FMC CORPCOMMON STOCK30249130321,914239,342SH SOLE 239,34200
FNB CORPCOMMON STOCK3025201016,221535,349SH SOLE 535,34900
FOCUS FINANCIAL PARTNERS ACOMMON STOCK34417P1004,00176,407SH SOLE 76,40700
FOOT LOCKER INCCOMMON STOCK3448491047,070154,844SH SOLE 154,84400
FORD MOTOR COCOMMON STOCK34537086096,6826,827,845SH SOLE 6,827,84500
FORESTAR GROUP INCCOMMON STOCK34623210143123,154SH SOLE 23,15400
FORMFACTOR INCCOMMON STOCK3463751083,950105,819SH SOLE 105,81900
FORRESTER RESEARCH INCCOMMON STOCK34656310975915,403SH SOLE 15,40300
FORTERRA INCCOMMON STOCK34960W10694740,176SH SOLE 40,17600
FORTINET INCCOMMON STOCK34959E10969,454237,824SH SOLE 237,82400
FORTIVE CORPCOMMON STOCK34959J10841,801592,340SH SOLE 592,34000
FORTUNE BRANDS HOME SECURICOMMON STOCK34964C10621,743243,151SH SOLE 243,15100
FORWARD AIR CORPCOMMON STOCK3498531013,07537,038SH SOLE 37,03800
FOSSIL GROUP INCCOMMON STOCK34988V10630625,852SH SOLE 25,85200
FOUR CORNERS PROPERTY TRUSTREIT35086T1092,778103,438SH SOLE 103,43800
FOX CORP CLASS ACOMMON STOCK35137L10519,932496,944SH SOLE 496,94400
FOX CORP CLASS BCOMMON STOCK35137L20412,066325,055SH SOLE 325,05500
FOX FACTORY HOLDING CORPCOMMON STOCK35138V1028,26857,202SH SOLE 57,20200
FRANK S INTERNATIONAL NVCOMMON STOCKN33462107652221,859SH SOLE 221,85900
FRANKLIN COVEY COCOMMON STOCK3534691092746,712SH SOLE 6,71200
FRANKLIN ELECTRIC CO INCCOMMON STOCK3535141024,57757,323SH SOLE 57,32300
FRANKLIN RESOURCES INCCOMMON STOCK35461310115,476520,727SH SOLE 520,72700
FRANKLIN STREET PROPERTIES CREIT35471R106653140,693SH SOLE 140,69300
FREEPORT MCMORAN INCCOMMON STOCK35671D85783,2862,560,298SH SOLE 2,560,29800
FREQUENCY THERAPEUTICS INCCOMMON STOCK35803L10826136,926SH SOLE 36,92600
FRESH DEL MONTE PRODUCE INCCOMMON STOCKG367381051,52447,312SH SOLE 47,31200
FRESHPET INCCOMMON STOCK35803910510,13371,016SH SOLE 71,01600
FRONTDOOR INCCOMMON STOCK35905A1096,066144,766SH SOLE 144,76600
FRP HOLDINGS INCCOMMON STOCK30292L1074978,888SH SOLE 8,88800
FS BANCORP INCCOMMON STOCK30263Y1041434,139SH SOLE 4,13900
FTI CONSULTING INCCOMMON STOCK3029411097,65756,848SH SOLE 56,84800
FULCRUM THERAPEUTICS INCCOMMON STOCK35961610940614,396SH SOLE 14,39600
FULTON FINANCIAL CORPCOMMON STOCK3602711003,347219,068SH SOLE 219,06800
FUNKO INC CLASS ACOMMON STOCK36100810556731,148SH SOLE 31,14800
FUTUREFUEL CORPCOMMON STOCK36116M10625135,203SH SOLE 35,20300
G III APPAREL GROUP LTDCOMMON STOCK36237H1011,70060,060SH SOLE 60,06000
G1 THERAPEUTICS INCCOMMON STOCK3621LQ10960845,319SH SOLE 45,31900
GAMCO INVESTORS INC ACOMMON STOCK361438104742,815SH SOLE 2,81500
GAMESTOP CORP CLASS ACOMMON STOCK36467W10919,893113,370SH SOLE 113,37000
GAMING AND LEISURE PROPERTIEREIT36467J10817,200371,322SH SOLE 371,32200
GANNETT CO INCCOMMON STOCK36472T1091,248186,818SH SOLE 186,81800
GAP INC THECOMMON STOCK3647601088,401370,109SH SOLE 370,10900
GARMIN LTDCOMMON STOCKH2906T10941,467266,739SH SOLE 266,73900
GARTNER INCCOMMON STOCK36665110744,911147,791SH SOLE 147,79100
GATES INDUSTRIAL CORP PLCCOMMON STOCKG391081082,108129,577SH SOLE 129,57700
GATX CORPCOMMON STOCK3614481034,19146,796SH SOLE 46,79600
GCP APPLIED TECHNOLOGIESCOMMON STOCK36164Y1011,37262,578SH SOLE 62,57800
GENCO SHIPPING TRADING LTDCOMMON STOCKY2685T13179839,666SH SOLE 39,66600
GENERAC HOLDINGS INCCOMMON STOCK36873610444,581109,089SH SOLE 109,08900
GENERAL DYNAMICS CORPCOMMON STOCK36955010883,682426,885SH SOLE 426,88500
GENERAL ELECTRIC COCOMMON STOCK369604301196,5531,907,729SH SOLE 1,907,72900
GENERAL MILLS INCCOMMON STOCK37033410463,8231,066,923SH SOLE 1,066,92300
GENERAL MOTORS COCOMMON STOCK37045V100122,8182,330,062SH SOLE 2,330,06200
GENESCO INCCOMMON STOCK3715321021,13819,714SH SOLE 19,71400
GENPACT LTDCOMMON STOCKG3922B1077,523158,353SH SOLE 158,35300
GENTEX CORPCOMMON STOCK37190110913,363405,198SH SOLE 405,19800
GENTHERM INCCOMMON STOCK37253A1033,64545,041SH SOLE 45,04100
GENUINE PARTS COCOMMON STOCK37246010530,604252,447SH SOLE 252,44700
GENWORTH FINANCIAL INC CL ACOMMON STOCK37247D1062,632701,799SH SOLE 701,79900
GERMAN AMERICAN BANCORPCOMMON STOCK3738651041,30733,826SH SOLE 33,82600
GERON CORPCOMMON STOCK374163103492359,054SH SOLE 359,05400
GETTY REALTY CORPREIT3742971091,52552,037SH SOLE 52,03700
GIBRALTAR INDUSTRIES INCCOMMON STOCK3746891073,10544,584SH SOLE 44,58400
GILEAD SCIENCES INCCOMMON STOCK375558103152,9812,190,135SH SOLE 2,190,13500
GLACIER BANCORP INCCOMMON STOCK37637Q1057,193129,954SH SOLE 129,95400
GLADSTONE COMMERCIAL CORPREIT3765361081,03249,079SH SOLE 49,07900
GLADSTONE LAND CORPREIT37654910135315,497SH SOLE 15,49700
GLAUKOS CORPCOMMON STOCK3773221022,99562,168SH SOLE 62,16800
GLOBAL BLOOD THERAPEUTICS INCOMMON STOCK37890U1081,99578,293SH SOLE 78,29300
GLOBAL MEDICAL REIT INCREIT37954A2041,16379,125SH SOLE 79,12500
GLOBAL NET LEASE INCREIT3793782012,125132,645SH SOLE 132,64500
GLOBAL PAYMENTS INCCOMMON STOCK37940X10280,474510,685SH SOLE 510,68500
GLOBAL WATER RESOURCES INCCOMMON STOCK3794631021286,828SH SOLE 6,82800
GLOBE LIFE INCCOMMON STOCK37959E10215,377172,716SH SOLE 172,71600
GLOBUS MEDICAL INC ACOMMON STOCK3795772089,964130,040SH SOLE 130,04000
GMS INCCOMMON STOCK36251C1032,39454,661SH SOLE 54,66100
GODADDY INC CLASS ACOMMON STOCK38023710720,311291,406SH SOLE 291,40600
GOGO INCCOMMON STOCK38046C1091,25072,283SH SOLE 72,28300
GOLAR LNG LTDCOMMON STOCKG9456A10072055,512SH SOLE 55,51200
GOLDEN ENTERTAINMENT INCCOMMON STOCK3810131011,20124,462SH SOLE 24,46200
GOLDMAN SACHS GROUP INCCOMMON STOCK38141G104220,423583,083SH SOLE 583,08300
GOODYEAR TIRE RUBBER COCOMMON STOCK3825501016,844386,675SH SOLE 386,67500
GOOSEHEAD INSURANCE INC ACOMMON STOCK38267D1093,75724,667SH SOLE 24,66700
GOPRO INC CLASS ACOMMON STOCK38268T1031,551165,671SH SOLE 165,67100
GORMAN RUPP COCOMMON STOCK3830821041,05429,422SH SOLE 29,42200
GOSSAMER BIO INCCOMMON STOCK38341P10293174,092SH SOLE 74,09200
GP STRATEGIES CORPCOMMON STOCK36225V1041467,034SH SOLE 7,03400
GRACO INCCOMMON STOCK38410910419,924284,748SH SOLE 284,74800
GRAFTECH INTERNATIONAL LTDCOMMON STOCK3843135082,608252,702SH SOLE 252,70200
GRAHAM HOLDINGS CO CLASS BCOMMON STOCK3846371043,1895,412SH SOLE 5,41200
GRAND CANYON EDUCATION INCCOMMON STOCK38526M1066,72376,427SH SOLE 76,42700
GRANITE CONSTRUCTION INCCOMMON STOCK3873281072,46262,259SH SOLE 62,25900
GRANITE POINT MORTGAGE TRUSTREIT38741L10798374,645SH SOLE 74,64500
GRAPHIC PACKAGING HOLDING COCOMMON STOCK3886891019,112478,563SH SOLE 478,56300
GRAY TELEVISION INCCOMMON STOCK3893751062,542111,389SH SOLE 111,38900
GREAT AJAX CORPREIT38983D30016212,011SH SOLE 12,01100
GREAT LAKES DREDGE DOCK COCOMMON STOCK3906071091,33788,598SH SOLE 88,59800
GREAT SOUTHERN BANCORP INCCOMMON STOCK39090510780614,699SH SOLE 14,69900
GREAT WESTERN BANCORP INCCOMMON STOCK3914161042,46275,193SH SOLE 75,19300
GREEN BRICK PARTNERS INCCOMMON STOCK39270910189643,663SH SOLE 43,66300
GREEN DOT CORP CLASS ACOMMON STOCK39304D1023,47869,094SH SOLE 69,09400
GREEN PLAINS INCCOMMON STOCK3932221042,26369,311SH SOLE 69,31100
GREENBRIER COMPANIES INCCOMMON STOCK3936571011,91044,439SH SOLE 44,43900
GREENHILL CO INCCOMMON STOCK3952591041167,968SH SOLE 7,96800
GREENLANE HOLDINGS INC ACOMMON STOCK395330103218,864SH SOLE 8,86400
GREENLIGHT CAPITAL RE LTD ACOMMON STOCKG4095J10910814,561SH SOLE 14,56100
GREIF INC CL ACOMMON STOCK3976241072,23234,548SH SOLE 34,54800
GREIF INC CL BCOMMON STOCK3976242064426,817SH SOLE 6,81700
GRIFFON CORPCOMMON STOCK3984331021,58864,572SH SOLE 64,57200
GROCERY OUTLET HOLDING CORPCOMMON STOCK39874R1013,139145,521SH SOLE 145,52100
GROUP 1 AUTOMOTIVE INCCOMMON STOCK3989051094,48723,883SH SOLE 23,88300
GROUPON INCCOMMON STOCK39947320675232,966SH SOLE 32,96600
GTY TECHNOLOGY HOLDINGS INCCOMMON STOCK36240910413417,877SH SOLE 17,87700
GUARANTY BANCSHARES INCCOMMON STOCK4007641061554,310SH SOLE 4,31000
GUARDANT HEALTH INCCOMMON STOCK40131M10918,591148,719SH SOLE 148,71900
GUESS INCCOMMON STOCK4016171051,12853,669SH SOLE 53,66900
GUIDEWIRE SOFTWARE INCCOMMON STOCK40171V10016,762141,011SH SOLE 141,01100
H B FULLER COCOMMON STOCK3596941064,57770,900SH SOLE 70,90000
HE EQUIPMENT SERVICES INCCOMMON STOCK4040301081,52443,907SH SOLE 43,90700
HR BLOCK INCCOMMON STOCK0936711057,631305,231SH SOLE 305,23100
HACKETT GROUP INC THECOMMON STOCK40460910967134,181SH SOLE 34,18100
HAEMONETICS CORP MASSCOMMON STOCK4050241004,87269,016SH SOLE 69,01600
HAIN CELESTIAL GROUP INCCOMMON STOCK4052171006,051141,435SH SOLE 141,43500
HALLIBURTON COCOMMON STOCK40621610138,1841,766,160SH SOLE 1,766,16000
HALOZYME THERAPEUTICS INCCOMMON STOCK40637H1097,843192,803SH SOLE 192,80300
HAMILTON BEACH BRAND ACOMMON STOCK40701T104633,999SH SOLE 3,99900
HAMILTON LANE INC CLASS ACOMMON STOCK4074971063,95646,637SH SOLE 46,63700
HANCOCK WHITNEY CORPCOMMON STOCK4101201095,550117,784SH SOLE 117,78400
HANESBRANDS INCCOMMON STOCK41034510210,119589,659SH SOLE 589,65900
HANGER INCCOMMON STOCK41043F2081,13651,735SH SOLE 51,73500
HANMI FINANCIAL CORPORATIONCOMMON STOCK41049520434016,969SH SOLE 16,96900
HANNON ARMSTRONG SUSTAINABLEREIT41068X1005,667105,958SH SOLE 105,95800
HANOVER INSURANCE GROUP INCCOMMON STOCK4108671057,82560,368SH SOLE 60,36800
HARBORONE BANCORP INCCOMMON STOCK41165Y10096468,674SH SOLE 68,67400
HARLEY DAVIDSON INCCOMMON STOCK4128221089,483259,037SH SOLE 259,03700
HARMONIC INCCOMMON STOCK4131601021,144130,686SH SOLE 130,68600
HARPOON THERAPEUTICS INCCOMMON STOCK41358P1068010,100SH SOLE 10,10000
HARSCO CORPCOMMON STOCK4158641071,813106,953SH SOLE 106,95300
HARTFORD FINANCIAL SVCS GRPCOMMON STOCK41651510444,741636,882SH SOLE 636,88200
HASBRO INCCOMMON STOCK41805610720,317227,716SH SOLE 227,71600
HAVERTY FURNITURECOMMON STOCK41959610175022,256SH SOLE 22,25600
HAWAIIAN ELECTRIC INDSCOMMON STOCK4198701007,353180,084SH SOLE 180,08400
HAWAIIAN HOLDINGS INCCOMMON STOCK41987910181337,544SH SOLE 37,54400
HAWKINS INCCOMMON STOCK42026110991126,127SH SOLE 26,12700
HAWTHORN BANCSHARES INCCOMMON STOCK42047610310416SH SOLE 41600
HAYNES INTERNATIONAL INCCOMMON STOCK4208772012526,764SH SOLE 6,76400
HBT FINANCIAL INC DECOMMON STOCK404111106805,171SH SOLE 5,17100
HCA HEALTHCARE INCCOMMON STOCK40412C101110,776456,395SH SOLE 456,39500
HCI GROUP INCCOMMON STOCK40416E1039538,600SH SOLE 8,60000
HEALTH CATALYST INCCOMMON STOCK42225T1072,90057,988SH SOLE 57,98800
HEALTHCARE REALTY TRUST INCREIT4219461045,784194,214SH SOLE 194,21400
HEALTHCARE SERVICES GROUPCOMMON STOCK4219061082,543101,756SH SOLE 101,75600
HEALTHCARE TRUST OF AME CL AREIT42225P50111,195377,428SH SOLE 377,42800
HEALTHEQUITY INCCOMMON STOCK42226A1077,284112,484SH SOLE 112,48400
HEALTHPEAK PROPERTIES INCREIT42250P10331,333935,884SH SOLE 935,88400
HEALTHSTREAM INCCOMMON STOCK42222N10398034,307SH SOLE 34,30700
HEARTLAND EXPRESS INCCOMMON STOCK4223471041,09768,468SH SOLE 68,46800
HEARTLAND FINANCIAL USA INCCOMMON STOCK42234Q1022,63454,785SH SOLE 54,78500
HECLA MINING COCOMMON STOCK4227041063,997726,720SH SOLE 726,72000
HEICO CORPCOMMON STOCK4228061099,97975,671SH SOLE 75,67100
HEICO CORP CLASS ACOMMON STOCK42280620815,638132,041SH SOLE 132,04100
HEIDRICK STRUGGLES INTLCOMMON STOCK4228191021,17426,304SH SOLE 26,30400
HELEN OF TROY LTDCOMMON STOCKG4388N1067,43033,070SH SOLE 33,07000
HELIOS TECHNOLOGIES INCCOMMON STOCK42328H1093,49242,529SH SOLE 42,52900
HELIX ENERGY SOLUTIONS GROUPCOMMON STOCK42330P107766197,428SH SOLE 197,42800
HELMERICH PAYNECOMMON STOCK4234521014,042147,479SH SOLE 147,47900
HEMISPHERE MEDIA GROUP INCCOMMON STOCK42365Q10326621,864SH SOLE 21,86400
HENRY SCHEIN INCCOMMON STOCK80640710218,733245,970SH SOLE 245,97000
HERBALIFE NUTRITION LTDCOMMON STOCKG4412G1017,316172,628SH SOLE 172,62800
HERC HOLDINGS INCCOMMON STOCK42704L1044,98130,473SH SOLE 30,47300
HERITAGE COMMERCE CORPCOMMON STOCK42692710993380,249SH SOLE 80,24900
HERITAGE CRYSTAL CLEAN INCCOMMON STOCK42726M10661521,224SH SOLE 21,22400
HERITAGE FINANCIAL CORPCOMMON STOCK42722X1061,24048,630SH SOLE 48,63000
HERITAGE INSURANCE HOLDINGSCOMMON STOCK42727J10224235,580SH SOLE 35,58000
HERON THERAPEUTICS INCCOMMON STOCK4277461021,380129,071SH SOLE 129,07100
HERSHA HOSPITALITY TRUSTREIT42782550017218,401SH SOLE 18,40100
HERSHEY CO THECOMMON STOCK42786610844,605263,548SH SOLE 263,54800
HESKA CORPCOMMON STOCK42805E3063,46213,391SH SOLE 13,39100
HESS CORPCOMMON STOCK42809H10736,501467,308SH SOLE 467,30800
HEWLETT PACKARD ENTERPRISECOMMON STOCK42824C10933,0972,322,603SH SOLE 2,322,60300
HEXCEL CORPCOMMON STOCK4282911088,384141,167SH SOLE 141,16700
HF FOODS GROUP INCCOMMON STOCK40417F10912220,204SH SOLE 20,20400
HIGHWOODS PROPERTIES INCREIT4312841087,625173,838SH SOLE 173,83800
HILL ROM HOLDINGS INCCOMMON STOCK43147510217,173114,488SH SOLE 114,48800
HILLENBRAND INCCOMMON STOCK4315711084,306100,952SH SOLE 100,95200
HILLTOP HOLDINGS INCCOMMON STOCK4327481012,89388,537SH SOLE 88,53700
HILTON GRAND VACATIONS INCCOMMON STOCK43283X1055,531116,263SH SOLE 116,26300
HILTON WORLDWIDE HOLDINGS INCOMMON STOCK43300A20363,839483,227SH SOLE 483,22700
HINGHAM INSTITUTION FOR SVGSCOMMON STOCK433323102269800SH SOLE 80000
HNI CORPCOMMON STOCK4042511002,16658,992SH SOLE 58,99200
HOLLYFRONTIER CORPCOMMON STOCK4361061088,587259,182SH SOLE 259,18200
HOLOGIC INCCOMMON STOCK43644010132,583441,448SH SOLE 441,44800
HOME BANCORP INCCOMMON STOCK43689E1071644,228SH SOLE 4,22800
HOME BANCSHARES INCCOMMON STOCK4368932004,961210,850SH SOLE 210,85000
HOME DEPOT INCCOMMON STOCK437076102629,2951,917,064SH SOLE 1,917,06400
HOMESTREET INCCOMMON STOCK43785V1021,16928,416SH SOLE 28,41600
HOMETRUST BANCSHARES INCCOMMON STOCK4378721042348,356SH SOLE 8,35600
HOMOLOGY MEDICINES INCCOMMON STOCK43808310742954,452SH SOLE 54,45200
HONEYWELL INTERNATIONAL INCCOMMON STOCK438516106257,0291,210,804SH SOLE 1,210,80400
HOOKIPA PHARMA INCCOMMON STOCK43906K1006010,265SH SOLE 10,26500
HOPE BANCORP INCCOMMON STOCK43940T1092,390165,489SH SOLE 165,48900
HORACE MANN EDUCATORSCOMMON STOCK4403271042,25056,559SH SOLE 56,55900
HORIZON BANCORP INC INCOMMON STOCK4404071041,01455,784SH SOLE 55,78400
HORIZON THERAPEUTICS PLCCOMMON STOCKG4618810142,002383,444SH SOLE 383,44400
HORMEL FOODS CORPCOMMON STOCK44045210020,733505,679SH SOLE 505,67900
HOST HOTELS RESORTS INCREIT44107P10420,4771,253,921SH SOLE 1,253,92100
HOSTESS BRANDS INCCOMMON STOCK44109J1063,090177,868SH SOLE 177,86800
HOUGHTON MIFFLIN HARCOURT COCOMMON STOCK44157R1092,332173,633SH SOLE 173,63300
HOULIHAN LOKEY INCCOMMON STOCK4415931006,41969,699SH SOLE 69,69900
HOWARD BANCORP INCCOMMON STOCK4424961051437,055SH SOLE 7,05500
HOWARD HUGHES CORP THECOMMON STOCK44267D1076,10569,525SH SOLE 69,52500
HP INCCOMMON STOCK40434L10558,9122,153,234SH SOLE 2,153,23400
HUB GROUP INC CL ACOMMON STOCK4433201063,12445,438SH SOLE 45,43800
HUBBELL INCCOMMON STOCK44351060716,49191,276SH SOLE 91,27600
HUBSPOT INCCOMMON STOCK44357310054,74080,966SH SOLE 80,96600
HUDSON PACIFIC PROPERTIES INREIT4440971096,589250,821SH SOLE 250,82100
HUMANA INCCOMMON STOCK44485910286,888223,276SH SOLE 223,27600
HUNT JB TRANSPRT SVCS INCCOMMON STOCK44565810724,448146,203SH SOLE 146,20300
HUNTINGTON BANCSHARES INCCOMMON STOCK44615010439,3302,543,958SH SOLE 2,543,95800
HUNTINGTON INGALLS INDUSTRIECOMMON STOCK44641310613,45069,668SH SOLE 69,66800
HUNTSMAN CORPCOMMON STOCK44701110710,535356,048SH SOLE 356,04800
HURON CONSULTING GROUP INCCOMMON STOCK4474621021,60030,777SH SOLE 30,77700
HYATT HOTELS CORP CL ACOMMON STOCK4485791026,23380,844SH SOLE 80,84400
HYSTER YALE MATERIALSCOMMON STOCK44917210556511,251SH SOLE 11,25100
I3 VERTICALS INC CLASS ACOMMON STOCK46571Y10771729,598SH SOLE 29,59800
IAA INCCOMMON STOCK44925310312,435227,867SH SOLE 227,86700
IAC INTERACTIVECORPCOMMON STOCK44891N20817,543134,647SH SOLE 134,64700
ICF INTERNATIONAL INCCOMMON STOCK44925C1032,27525,484SH SOLE 25,48400
ICHOR HOLDINGS LTDCOMMON STOCKG4740B1051,56838,158SH SOLE 38,15800
ICON PLCCOMMON STOCKG4705A10052198SH SOLE 19800
ICU MEDICAL INCCOMMON STOCK44930G1077,84833,628SH SOLE 33,62800
IDACORP INCCOMMON STOCK4511071068,75884,717SH SOLE 84,71700
IDEX CORPCOMMON STOCK45167R10427,298131,907SH SOLE 131,90700
IDEXX LABORATORIES INCCOMMON STOCK45168D10492,308148,429SH SOLE 148,42900
IDT CORP CLASS BCOMMON STOCK44894750745310,809SH SOLE 10,80900
IES HOLDINGS INCCOMMON STOCK44951W10656712,401SH SOLE 12,40100
IGM BIOSCIENCES INCCOMMON STOCK44958510870610,740SH SOLE 10,74000
IHS MARKIT LTDCOMMON STOCKG4756710582,364706,258SH SOLE 706,25800
II VI INCCOMMON STOCK9021041088,451142,362SH SOLE 142,36200
ILLINOIS TOOL WORKSCOMMON STOCK452308109117,275567,561SH SOLE 567,56100
ILLUMINA INCCOMMON STOCK452327109103,321254,730SH SOLE 254,73000
IMAX CORPCOMMON STOCK45245E1091,29368,099SH SOLE 68,09900
IMMUNOGEN INCCOMMON STOCK45253H1011,525268,915SH SOLE 268,91500
IMPINJ INCCOMMON STOCK4532041091,41824,826SH SOLE 24,82600
INCYTE CORPCOMMON STOCK45337C10222,856332,313SH SOLE 332,31300
INDEPENDENCE HOLDING COCOMMON STOCK4534403073236,521SH SOLE 6,52100
INDEPENDENCE REALTY TRUST INREIT45378A1062,856140,337SH SOLE 140,33700
INDEPENDENT BANK CORP MICHCOMMON STOCK45383860961428,593SH SOLE 28,59300
INDEPENDENT BANK CORP MACOMMON STOCK4538361083,41344,824SH SOLE 44,82400
INDEPENDENT BANK GROUP INCCOMMON STOCK45384B1063,57950,387SH SOLE 50,38700
INDUSTRIAL LOGISTICS PROPERTREIT4562371062,24988,507SH SOLE 88,50700
INFINERA CORPCOMMON STOCK45667G1031,999240,250SH SOLE 240,25000
INGEVITY CORPCOMMON STOCK45688C1073,87254,253SH SOLE 54,25300
INGLES MARKETS INC CLASS ACOMMON STOCK4570301041,26619,175SH SOLE 19,17500
INGREDION INCCOMMON STOCK45718710210,079113,238SH SOLE 113,23800
INNOSPEC INCCOMMON STOCK45768S1052,81533,426SH SOLE 33,42600
INNOVATIVE INDUSTRIAL PROPERREIT45781V1017,49832,435SH SOLE 32,43500
INNOVIVA INCCOMMON STOCK45781M1011,29677,578SH SOLE 77,57800
INOGEN INCCOMMON STOCK45780L1041,13126,240SH SOLE 26,24000
INOVALON HOLDINGS INC ACOMMON STOCK45781D1014,209104,471SH SOLE 104,47100
INOVIO PHARMACEUTICALS INCCOMMON STOCK45773H2012,020282,122SH SOLE 282,12200
INSEEGO CORPCOMMON STOCK45782B104719107,976SH SOLE 107,97600
INSIGHT ENTERPRISES INCCOMMON STOCK45765U1034,31547,899SH SOLE 47,89900
INSMED INCCOMMON STOCK4576693074,269155,005SH SOLE 155,00500
INSPERITY INCCOMMON STOCK45778Q1075,50449,699SH SOLE 49,69900
INSPIRE MEDICAL SYSTEMS INCCOMMON STOCK4577301098,57536,821SH SOLE 36,82100
INSTALLED BUILDING PRODUCTSCOMMON STOCK45780R1013,46432,324SH SOLE 32,32400
INSTEEL INDUSTRIES INCCOMMON STOCK45774W10898725,932SH SOLE 25,93200
INSULET CORPCOMMON STOCK45784P10132,827115,496SH SOLE 115,49600
INTEGER HOLDINGS CORPCOMMON STOCK45826H1094,00544,825SH SOLE 44,82500
INTEGRA LIFESCIENCES HOLDINGCOMMON STOCK4579852088,286120,999SH SOLE 120,99900
INTEL CORPCOMMON STOCK458140100386,6797,257,495SH SOLE 7,257,49500
INTELLIA THERAPEUTICS INCCOMMON STOCK45826J10511,73087,436SH SOLE 87,43600
INTELLIGENT SYSTEMS CORPCOMMON STOCK45816D1001674,110SH SOLE 4,11000
INTER PARFUMS INCCOMMON STOCK4583341091,79724,028SH SOLE 24,02800
INTERACTIVE BROKERS GRO CL ACOMMON STOCK45841N1078,486136,126SH SOLE 136,12600
INTERCEPT PHARMACEUTICALS INCOMMON STOCK45845P10856638,147SH SOLE 38,14700
INTERCONTINENTAL EXCHANGE INCOMMON STOCK45866F104111,297969,313SH SOLE 969,31300
INTERDIGITAL INCCOMMON STOCK45867G1012,84841,995SH SOLE 41,99500
INTERFACE INCCOMMON STOCK4586653041,20479,449SH SOLE 79,44900
INTERNATIONAL BANCSHARES CRPCOMMON STOCK4590441033,04573,118SH SOLE 73,11800
INTERNATIONAL GAME TECHNOLOGCOMMON STOCKG4863A1081,42354,047SH SOLE 54,04700
INTERNATIONAL MONEY EXPRESSCOMMON STOCK46005L10169841,786SH SOLE 41,78600
INTERNATIONAL PAPER COCOMMON STOCK46014610336,195647,262SH SOLE 647,26200
INTERNATIONAL SEAWAYS INCCOMMON STOCKY410531021,01755,843SH SOLE 55,84300
INTERPUBLIC GROUP OF COS INCCOMMON STOCK46069010025,467694,484SH SOLE 694,48400
INTERSECT ENT INCCOMMON STOCK46071F1031,20144,137SH SOLE 44,13700
INTL BUSINESS MACHINES CORPCOMMON STOCK459200101217,2081,563,432SH SOLE 1,563,43200
INTL FLAVORS FRAGRANCESCOMMON STOCK45950610158,450437,110SH SOLE 437,11000
INTRA CELLULAR THERAPIES INCCOMMON STOCK46116X1013,52994,668SH SOLE 94,66800
INTREPID POTASH INCCOMMON STOCK46121Y2011675,401SH SOLE 5,40100
INTUIT INCCOMMON STOCK461202103259,284480,592SH SOLE 480,59200
INTUITIVE SURGICAL INCCOMMON STOCK46120E602205,139206,346SH SOLE 206,34600
INVACARE CORPCOMMON STOCK4612031019419,647SH SOLE 19,64700
INVESCO LTDCOMMON STOCKG491BT10814,441598,970SH SOLE 598,97000
INVESCO MORTGAGE CAPITALREIT46131B1001,232391,056SH SOLE 391,05600
INVESTORS BANCORP INCCOMMON STOCK46146L1014,778316,214SH SOLE 316,21400
INVESTORS TITLE COCOMMON STOCK461804106128701SH SOLE 70100
INVITAE CORPCOMMON STOCK46185L1037,504263,946SH SOLE 263,94600
INVITATION HOMES INCREIT46187W10737,909989,009SH SOLE 989,00900
IONIS PHARMACEUTICALS INCCOMMON STOCK4622221007,580225,991SH SOLE 225,99100
IOVANCE BIOTHERAPEUTICS INCCOMMON STOCK4622601005,597226,963SH SOLE 226,96300
IPG PHOTONICS CORPCOMMON STOCK44980X10910,03663,358SH SOLE 63,35800
IQVIA HOLDINGS INCCOMMON STOCK46266C10580,377335,549SH SOLE 335,54900
IRADIMED CORPCOMMON STOCK46266A1091143,402SH SOLE 3,40200
IRHYTHM TECHNOLOGIES INCCOMMON STOCK4500561062,33839,919SH SOLE 39,91900
IRIDIUM COMMUNICATIONS INCCOMMON STOCK46269C1026,464162,205SH SOLE 162,20500
IROBOT CORPCOMMON STOCK4627261002,99138,101SH SOLE 38,10100
IRON MOUNTAIN INCREIT46284V10122,142509,591SH SOLE 509,59100
IRONWOOD PHARMACEUTICALS INCCOMMON STOCK46333X1082,665204,070SH SOLE 204,07000
ISTAR INCREIT45031U1012,44397,390SH SOLE 97,39000
ITERIS INCCOMMON STOCK46564T10711822,432SH SOLE 22,43200
ITRON INCCOMMON STOCK4657411064,64161,371SH SOLE 61,37100
ITT INCCOMMON STOCK45073V10812,449145,022SH SOLE 145,02200
ITURAN LOCATION AND CONTROLCOMMON STOCKM6158M10454821,595SH SOLE 21,59500
J J SNACK FOODS CORPCOMMON STOCK4660321093,12320,436SH SOLE 20,43600
JABIL INCCOMMON STOCK46631310314,061240,893SH SOLE 240,89300
JACK HENRY ASSOCIATES INCCOMMON STOCK42628110121,347130,115SH SOLE 130,11500
JACK IN THE BOX INCCOMMON STOCK4663671092,92030,004SH SOLE 30,00400
JACOBS ENGINEERING GROUP INCCOMMON STOCK46981410730,086227,013SH SOLE 227,01300
JAMES RIVER GROUP HOLDINGS LCOMMON STOCKG5005R1071,89650,254SH SOLE 50,25400
JAZZ PHARMACEUTICALS PLCCOMMON STOCKG5087110513,855106,405SH SOLE 106,40500
JBG SMITH PROPERTIESREIT46590V1006,024203,443SH SOLE 203,44300
JEFFERIES FINANCIAL GROUP INCOMMON STOCK47233W10913,418361,374SH SOLE 361,37400
JELD WEN HOLDING INCCOMMON STOCK47580P1033,033121,171SH SOLE 121,17100
JETBLUE AIRWAYS CORPCOMMON STOCK4771431015,149336,765SH SOLE 336,76500
JM SMUCKER CO THECOMMON STOCK83269640522,994191,568SH SOLE 191,56800
JOHN B SANFILIPPO SON INCCOMMON STOCK80042210798712,073SH SOLE 12,07300
JOHN BEAN TECHNOLOGIES CORPCOMMON STOCK4778391046,03542,936SH SOLE 42,93600
JOHNSON JOHNSONCOMMON STOCK478160104762,5744,721,821SH SOLE 4,721,82100
JOHNSON CONTROLS INTERNATIONCOMMON STOCKG5150210585,8691,261,300SH SOLE 1,261,30000
JOHNSON OUTDOORS INC ACOMMON STOCK4791671088017,575SH SOLE 7,57500
JOINT CORP THECOMMON STOCK47973J1021,87419,116SH SOLE 19,11600
JONES LANG LASALLE INCCOMMON STOCK48020Q10721,31085,896SH SOLE 85,89600
JOUNCE THERAPEUTICS INCCOMMON STOCK48111610113217,796SH SOLE 17,79600
JPMORGAN CHASE COCOMMON STOCK46625H100879,7465,374,465SH SOLE 5,374,46500
JUNIPER NETWORKS INCCOMMON STOCK48203R10415,580566,144SH SOLE 566,14400
KADANT INCCOMMON STOCK48282T1043,20715,714SH SOLE 15,71400
KADMON HOLDINGS INCCOMMON STOCK48283N1061,797206,346SH SOLE 206,34600
KAISER ALUMINUM CORPCOMMON STOCK4830077042,34421,512SH SOLE 21,51200
KALA PHARMACEUTICALS INCCOMMON STOCK48311910316161,386SH SOLE 61,38600
KALEIDO BIOSCIENCES INCCOMMON STOCK4833471005710,385SH SOLE 10,38500
KALVISTA PHARMACEUTICALS INCCOMMON STOCK48349710318710,733SH SOLE 10,73300
KAMAN CORPCOMMON STOCK4835481031,26435,436SH SOLE 35,43600
KANSAS CITY SOUTHERNCOMMON STOCK48517030242,994158,859SH SOLE 158,85900
KAR AUCTION SERVICES INCCOMMON STOCK48238T1092,729166,495SH SOLE 166,49500
KARUNA THERAPEUTICS INCCOMMON STOCK48576A1003,53228,869SH SOLE 28,86900
KARYOPHARM THERAPEUTICS INCCOMMON STOCK48576U10651287,951SH SOLE 87,95100
KB HOMECOMMON STOCK48666K1094,400113,061SH SOLE 113,06100
KBR INCCOMMON STOCK48242W1067,598192,845SH SOLE 192,84500
KEARNY FINANCIAL CORP MDCOMMON STOCK48716P1081,23599,367SH SOLE 99,36700
KELLOGG COCOMMON STOCK48783610829,265457,842SH SOLE 457,84200
KELLY SERVICES INC ACOMMON STOCK48815220891648,508SH SOLE 48,50800
KEMPER CORPCOMMON STOCK4884011006,985104,583SH SOLE 104,58300
KENNAMETAL INCCOMMON STOCK4891701003,777110,352SH SOLE 110,35200
KENNEDY WILSON HOLDINGS INCCOMMON STOCK4893981073,527168,610SH SOLE 168,61000
KEURIG DR PEPPER INCCOMMON STOCK49271V10042,0961,232,323SH SOLE 1,232,32300
KEYCORPCOMMON STOCK49326710836,8021,702,242SH SOLE 1,702,24200
KEYSIGHT TECHNOLOGIES INCOMMON STOCK49338L10352,550319,861SH SOLE 319,86100
KEZAR LIFE SCIENCES INCCOMMON STOCK49372L10015818,334SH SOLE 18,33400
KFORCE INCCOMMON STOCK4937321011,62427,231SH SOLE 27,23100
KILROY REALTY CORPREIT49427F10812,295185,693SH SOLE 185,69300
KIMBALL ELECTRONICS INCCOMMON STOCK49428J10986733,626SH SOLE 33,62600
KIMBALL INTERNATIONAL BCOMMON STOCK49427410355349,411SH SOLE 49,41100
KIMBERLY CLARK CORPCOMMON STOCK49436810378,056589,365SH SOLE 589,36500
KIMCO REALTY CORPREIT49446R10920,339980,213SH SOLE 980,21300
KINDER MORGAN INCCOMMON STOCK49456B10162,3303,725,669SH SOLE 3,725,66900
KINIKSA PHARMACEUTICALS ACOMMON STOCKG5269C10140335,406SH SOLE 35,40600
KINSALE CAPITAL GROUP INCCOMMON STOCK49714P1084,75229,386SH SOLE 29,38600
KIRBY CORPCOMMON STOCK4972661063,07164,038SH SOLE 64,03800
KITE REALTY GROUP TRUSTREIT49803T3002,328114,329SH SOLE 114,32900
KKR REAL ESTATE FINANCE TRUSREIT48251K10091343,291SH SOLE 43,29100
KLA CORPCOMMON STOCK48248010089,475267,482SH SOLE 267,48200
KNIGHT SWIFT TRANSPORTATIONCOMMON STOCK49904910414,125276,140SH SOLE 276,14000
KNOWLES CORPCOMMON STOCK49926D1092,332124,426SH SOLE 124,42600
KODIAK SCIENCES INCCOMMON STOCK50015M1094,15443,278SH SOLE 43,27800
KOHLS CORPCOMMON STOCK50025510412,612267,818SH SOLE 267,81800
KONTOOR BRANDS INCCOMMON STOCK50050N1033,40068,068SH SOLE 68,06800
KOPPERS HOLDINGS INCCOMMON STOCK50060P10688928,448SH SOLE 28,44800
KORN FERRYCOMMON STOCK5006432005,35073,934SH SOLE 73,93400
KORNIT DIGITAL LTDCOMMON STOCKM6372Q1137,28650,337SH SOLE 50,33700
KOSMOS ENERGY LTDCOMMON STOCK5006881061,634551,892SH SOLE 551,89200
KRAFT HEINZ CO THECOMMON STOCK50075410643,2181,173,762SH SOLE 1,173,76200
KRATON CORPCOMMON STOCK50077C1061,97543,282SH SOLE 43,28200
KRATOS DEFENSE SECURITYCOMMON STOCK50077B2073,742167,725SH SOLE 167,72500
KROGER COCOMMON STOCK50104410152,8361,306,862SH SOLE 1,306,86200
KRONOS WORLDWIDE INCCOMMON STOCK50105F10538230,791SH SOLE 30,79100
KRYSTAL BIOTECH INCCOMMON STOCK5011471021,12121,462SH SOLE 21,46200
KURA ONCOLOGY INCCOMMON STOCK50127T1091,50980,566SH SOLE 80,56600
KURA SUSHI USA INC CLASS ACOMMON STOCK501270102942,160SH SOLE 2,16000
KVH INDUSTRIES INCCOMMON STOCK482738101798,168SH SOLE 8,16800
L3HARRIS TECHNOLOGIES INCCOMMON STOCK50243110977,366351,279SH SOLE 351,27900
LA Z BOY INCCOMMON STOCK5053361072,00162,094SH SOLE 62,09400
LABORATORY CRP OF AMER HLDGSCOMMON STOCK50540R40947,567169,014SH SOLE 169,01400
LADDER CAPITAL CORP REITREIT5057431041,707154,436SH SOLE 154,43600
LAKELAND BANCORP INCCOMMON STOCK5116371001,19767,898SH SOLE 67,89800
LAKELAND FINANCIAL CORPCOMMON STOCK5116561002,41933,961SH SOLE 33,96100
LAM RESEARCH CORPCOMMON STOCK512807108141,459248,544SH SOLE 248,54400
LAMAR ADVERTISING CO AREIT51281610916,600146,318SH SOLE 146,31800
LAMB WESTON HOLDINGS INCCOMMON STOCK51327210415,796257,389SH SOLE 257,38900
LANCASTER COLONY CORPCOMMON STOCK5138471034,39526,033SH SOLE 26,03300
LANDEC CORPCOMMON STOCK51476610435238,132SH SOLE 38,13200
LANDS END INCCOMMON STOCK51509F10543518,475SH SOLE 18,47500
LANDSTAR SYSTEM INCCOMMON STOCK51509810110,24564,918SH SOLE 64,91800
LANTHEUS HOLDINGS INCCOMMON STOCK5165441032,35191,550SH SOLE 91,55000
LAS VEGAS SANDS CORPCOMMON STOCK51783410721,802595,671SH SOLE 595,67100
LATTICE SEMICONDUCTOR CORPCOMMON STOCK51841510411,969185,129SH SOLE 185,12900
LAUREATE EDUCATION INC ACOMMON STOCK5186132032,526148,668SH SOLE 148,66800
LAWSON PRODUCTS INCCOMMON STOCK5207761051282,569SH SOLE 2,56900
LAZARD LTD CL ACOMMON STOCKG540501023,97886,855SH SOLE 86,85500
LCI INDUSTRIESCOMMON STOCK50189K1034,58534,053SH SOLE 34,05300
LEAR CORPCOMMON STOCK52186520416,118103,001SH SOLE 103,00100
LEGACY HOUSING CORPCOMMON STOCK52472M101774,273SH SOLE 4,27300
LEGGETT PLATT INCCOMMON STOCK52466010710,066224,481SH SOLE 224,48100
LEIDOS HOLDINGS INCCOMMON STOCK52532710223,362243,023SH SOLE 243,02300
LEMAITRE VASCULAR INCCOMMON STOCK5255582011,34525,333SH SOLE 25,33300
LENDINGCLUB CORPCOMMON STOCK52603A2083,634128,700SH SOLE 128,70000
LENDINGTREE INCCOMMON STOCK52603B1072,24716,069SH SOLE 16,06900
LENNAR CORP B SHSCOMMON STOCK5260573022,60233,529SH SOLE 33,52900
LENNAR CORP ACOMMON STOCK52605710442,704455,855SH SOLE 455,85500
LENNOX INTERNATIONAL INCCOMMON STOCK52610710717,49559,473SH SOLE 59,47300
LEXICON PHARMACEUTICALS INCCOMMON STOCK52887230240483,888SH SOLE 83,88800
LEXINGTON REALTY TRUSTREIT5290431014,797376,257SH SOLE 376,25700
LGI HOMES INCCOMMON STOCK50187T1064,28630,205SH SOLE 30,20500
LHC GROUP INCCOMMON STOCK50187A1076,45841,159SH SOLE 41,15900
LIBERTY BROADBAND ACOMMON STOCK5303071077,13242,365SH SOLE 42,36500
LIBERTY BROADBAND CCOMMON STOCK53030730544,628258,412SH SOLE 258,41200
LIBERTY GLOBAL PLC CCOMMON STOCKG5480U1209,735330,460SH SOLE 330,46000
LIBERTY GLOBAL PLC ACOMMON STOCKG5480U1044,261142,990SH SOLE 142,99000
LIBERTY LATIN AMERIC CL ACOMMON STOCKG9001E10281362,134SH SOLE 62,13400
LIBERTY LATIN AMERIC CL CCOMMON STOCKG9001E1282,755209,951SH SOLE 209,95100
LIBERTY MEDIA COR SIRIUSXM ACOMMON STOCK5312294097,138151,327SH SOLE 151,32700
LIBERTY MEDIA COR SIRIUSXM CCOMMON STOCK53122960713,343281,092SH SOLE 281,09200
LIBERTY MEDIA CORP BRAVES ACOMMON STOCK53122970633212,353SH SOLE 12,35300
LIBERTY MEDIA CORP BRAVES CCOMMON STOCK5312298881,36551,654SH SOLE 51,65400
LIBERTY MEDIA CORP LIBERTY ACOMMON STOCK5312298704,776101,516SH SOLE 101,51600
LIBERTY MEDIA CORP LIBERTY CCOMMON STOCK53122985413,226257,256SH SOLE 257,25600
LIBERTY OILFIELD SERVICES ACOMMON STOCK53115L1041,516124,950SH SOLE 124,95000
LIBERTY TRIPADVISOR HDG ACOMMON STOCK53146510212139,189SH SOLE 39,18900
LIFE STORAGE INCREIT53223X10714,909129,933SH SOLE 129,93300
LIFETIME BRANDS INCCOMMON STOCK53222Q1031236,782SH SOLE 6,78200
LIGAND PHARMACEUTICALSCOMMON STOCK53220K5043,03721,796SH SOLE 21,79600
LIMELIGHT NETWORKS INCCOMMON STOCK53261M104403169,452SH SOLE 169,45200
LIMONEIRA COCOMMON STOCK5327461041378,469SH SOLE 8,46900
LINCOLN ELECTRIC HOLDINGSCOMMON STOCK53390010612,44796,645SH SOLE 96,64500
LINCOLN NATIONAL CORPCOMMON STOCK53418710923,101336,015SH SOLE 336,01500
LINDBLAD EXPEDITIONS HOLDINGCOMMON STOCK53521910960241,285SH SOLE 41,28500
LINDE PLCCOMMON STOCKG5494J103134,419458,173SH SOLE 458,17300
LINDSAY CORPCOMMON STOCK5355551062,24714,801SH SOLE 14,80100
LIONS GATE ENTERTAINMENT ACOMMON STOCK5359194011,13279,795SH SOLE 79,79500
LIONS GATE ENTERTAINMENT BCOMMON STOCK5359195002,091160,870SH SOLE 160,87000
LIQUIDITY SERVICES INCCOMMON STOCK53635B10731514,561SH SOLE 14,56100
LITTELFUSE INCCOMMON STOCK53700810411,11840,686SH SOLE 40,68600
LIVANOVA PLCCOMMON STOCKG5509L1015,45368,860SH SOLE 68,86000
LIVE NATION ENTERTAINMENT INCOMMON STOCK53803410923,796261,122SH SOLE 261,12200
LIVE OAK BANCSHARES INCCOMMON STOCK53803X1052,74543,144SH SOLE 43,14400
LIVENT CORPCOMMON STOCK53814L1084,796207,512SH SOLE 207,51200
LIVEPERSON INCCOMMON STOCK5381461015,22588,639SH SOLE 88,63900
LIVERAMP HOLDINGS INCCOMMON STOCK53815P1084,32391,535SH SOLE 91,53500
LKQ CORPCOMMON STOCK50188920824,514487,172SH SOLE 487,17200
LOCKHEED MARTIN CORPCOMMON STOCK539830109150,184435,189SH SOLE 435,18900
LOEWS CORPCOMMON STOCK54042410821,692402,234SH SOLE 402,23400
LORAL SPACE COMMUNICATIONSCOMMON STOCK54388110667615,724SH SOLE 15,72400
LOUISIANA PACIFIC CORPCOMMON STOCK54634710510,157165,499SH SOLE 165,49900
LOVESAC CO THECOMMON STOCK54738L1091,14517,332SH SOLE 17,33200
LOWE S COS INCCOMMON STOCK548661107250,8261,236,450SH SOLE 1,236,45000
LPL FINANCIAL HOLDINGS INCCOMMON STOCK50212V10021,202135,253SH SOLE 135,25300
LTC PROPERTIES INCREIT5021751021,68353,104SH SOLE 53,10400
LULULEMON ATHLETICA INCCOMMON STOCK55002110986,514213,772SH SOLE 213,77200
LUMBER LIQUIDATORS HOLDINGSCOMMON STOCK55003T10773739,463SH SOLE 39,46300
LUMENTUM HOLDINGS INCCOMMON STOCK55024U10910,629127,236SH SOLE 127,23600
LUTHER BURBANK CORPCOMMON STOCK55055010728421,197SH SOLE 21,19700
LUXFER HOLDINGS PLCCOMMON STOCKG5698W11675538,484SH SOLE 38,48400
LYDALL INCCOMMON STOCK5508191065879,448SH SOLE 9,44800
LYFT INC ACOMMON STOCK55087P10425,606477,806SH SOLE 477,80600
LYONDELLBASELL INDU CL ACOMMON STOCKN5374510042,900457,108SH SOLE 457,10800
M T BANK CORPCOMMON STOCK55261F10433,732225,876SH SOLE 225,87600
M I HOMES INCCOMMON STOCK55305B1012,27439,351SH SOLE 39,35100
MACATAWA BANK CORPCOMMON STOCK55422510211414,184SH SOLE 14,18400
MACERICH CO THEREIT5543821014,798287,134SH SOLE 287,13400
MACK CALI REALTY CORPREIT5544891041,834107,145SH SOLE 107,14500
MACOM TECHNOLOGY SOLUTIONS HCOMMON STOCK55405Y1004,25965,650SH SOLE 65,65000
MACROGENICS INCCOMMON STOCK5560991091,50171,677SH SOLE 71,67700
MACY S INCCOMMON STOCK55616P1049,878437,074SH SOLE 437,07400
MADRIGAL PHARMACEUTICALS INCCOMMON STOCK5588681051,13714,250SH SOLE 14,25000
MAGELLAN HEALTH INCCOMMON STOCK5590792072,96131,322SH SOLE 31,32200
MAGENTA THERAPEUTICS INCCOMMON STOCK55910K10811716,080SH SOLE 16,08000
MAGNOLIA OIL GAS CORP ACOMMON STOCK5596631093,385190,268SH SOLE 190,26800
MALIBU BOATS INC ACOMMON STOCK56117J1001,97528,221SH SOLE 28,22100
MANHATTAN ASSOCIATES INCCOMMON STOCK56275010916,372106,984SH SOLE 106,98400
MANITOWOC COMPANY INCCOMMON STOCK5635714051,00446,860SH SOLE 46,86000
MANNKIND CORPCOMMON STOCK56400P7061,423327,095SH SOLE 327,09500
MANPOWERGROUP INCCOMMON STOCK56418H10010,30295,139SH SOLE 95,13900
MANTECH INTERNATIONAL CORP ACOMMON STOCK5645631042,83937,400SH SOLE 37,40000
MARATHON OIL CORPCOMMON STOCK56584910618,8101,375,998SH SOLE 1,375,99800
MARATHON PETROLEUM CORPCOMMON STOCK56585A10269,9331,131,415SH SOLE 1,131,41500
MARCUS MILLICHAP INCCOMMON STOCK5663241091,30932,232SH SOLE 32,23200
MARCUS CORPORATIONCOMMON STOCK56633010652630,158SH SOLE 30,15800
MARINE PRODUCTS CORPCOMMON STOCK568427108554,397SH SOLE 4,39700
MARINEMAX INCCOMMON STOCK5679081081,44629,799SH SOLE 29,79900
MARINUS PHARMACEUTICALS INCCOMMON STOCK56854Q20022719,912SH SOLE 19,91200
MARKEL CORPCOMMON STOCK57053510428,29823,678SH SOLE 23,67800
MARKETAXESS HOLDINGS INCCOMMON STOCK57060D10827,73865,935SH SOLE 65,93500
MARLIN BUSINESS SERVICES INCCOMMON STOCK5711571066,437289,567SH SOLE 289,56700
MARRIOTT INTERNATIONAL CL ACOMMON STOCK57190320270,609476,796SH SOLE 476,79600
MARRIOTT VACATIONS WORLDCOMMON STOCK57164Y10710,88769,196SH SOLE 69,19600
MARRONE BIO INNOVATIONS INCCOMMON STOCK57165B1064853,817SH SOLE 53,81700
MARSH MCLENNAN COSCOMMON STOCK571748102134,231886,420SH SOLE 886,42000
MARTEN TRANSPORT LTDCOMMON STOCK5730751081,30483,090SH SOLE 83,09000
MARTIN MARIETTA MATERIALSCOMMON STOCK57328410637,248109,014SH SOLE 109,01400
MASCO CORPCOMMON STOCK57459910624,602442,889SH SOLE 442,88900
MASIMO CORPCOMMON STOCK57479510023,81387,966SH SOLE 87,96600
MASONITE INTERNATIONAL CORPCOMMON STOCK5753851093,40832,114SH SOLE 32,11400
MASTEC INCCOMMON STOCK5763231098,41597,535SH SOLE 97,53500
MASTERCARD INC ACOMMON STOCK57636Q104550,8781,584,440SH SOLE 1,584,44000
MASTERCRAFT BOAT HOLDINGS INCOMMON STOCK57637H10326110,414SH SOLE 10,41400
MATADOR RESOURCES COCOMMON STOCK5764852055,911155,378SH SOLE 155,37800
MATCH GROUP INCCOMMON STOCK57667L10773,250466,588SH SOLE 466,58800
MATERION CORPCOMMON STOCK5766901011,91127,841SH SOLE 27,84100
MATRIX SERVICE COCOMMON STOCK57685310515614,915SH SOLE 14,91500
MATSON INCCOMMON STOCK57686G1052,58732,048SH SOLE 32,04800
MATTEL INCCOMMON STOCK57708110211,254606,365SH SOLE 606,36500
MATTHEWS INTL CORP CLASS ACOMMON STOCK5771281011,48242,728SH SOLE 42,72800
MAXAR TECHNOLOGIES INCCOMMON STOCK57778K1052,76397,575SH SOLE 97,57500
MAXIMUS INCCOMMON STOCK5779331046,97283,795SH SOLE 83,79500
MAXLINEAR INCCOMMON STOCK57776J1004,77797,001SH SOLE 97,00100
MAYVILLE ENGINEERING CO INCCOMMON STOCK578605107904,768SH SOLE 4,76800
MBIA INCCOMMON STOCK55262C10084565,777SH SOLE 65,77700
MCCORMICK CO NON VTG SHRSCOMMON STOCK57978020636,056444,975SH SOLE 444,97500
MCDONALD S CORPCOMMON STOCK580135101323,1521,340,266SH SOLE 1,340,26600
MCGRATH RENTCORPCOMMON STOCK5805891092,36132,815SH SOLE 32,81500
MDC HOLDINGS INCCOMMON STOCK5526761083,59376,905SH SOLE 76,90500
MDU RESOURCES GROUP INCCOMMON STOCK55269010910,020337,722SH SOLE 337,72200
MEDALLIA INCCOMMON STOCK5840211095,933175,178SH SOLE 175,17800
MEDICAL PROPERTIES TRUST INCREIT58463J30420,5771,025,259SH SOLE 1,025,25900
MEDIFAST INCCOMMON STOCK58470H1012,97315,435SH SOLE 15,43500
MEDNAX INCCOMMON STOCK58502B1062,972104,541SH SOLE 104,54100
MEDPACE HOLDINGS INCCOMMON STOCK58506Q1097,42239,211SH SOLE 39,21100
MEDTRONIC PLCCOMMON STOCKG5960L103302,7092,414,914SH SOLE 2,414,91400
MEI PHARMA INCCOMMON STOCK55279B20216158,383SH SOLE 58,38300
MEIRAGTX HOLDINGS PLCCOMMON STOCKG5966510244833,957SH SOLE 33,95700
MELCO RESORTS ENTERT ADRCOMMON STOCK5854641002,846277,953SH SOLE 277,95300
MERCADOLIBRE INCCOMMON STOCK58733R10266,48639,589SH SOLE 39,58900
MERCANTILE BANK CORPCOMMON STOCK58737610468521,376SH SOLE 21,37600
MERCHANTS BANCORP INCOMMON STOCK58844R10853213,488SH SOLE 13,48800
MERCK CO INCCOMMON STOCK58933Y105349,3214,650,792SH SOLE 4,650,79200
MERCURY GENERAL CORPCOMMON STOCK5894001002,54045,627SH SOLE 45,62700
MERCURY SYSTEMS INCCOMMON STOCK5893781084,44193,644SH SOLE 93,64400
MEREDITH CORPCOMMON STOCK5894331013,05654,871SH SOLE 54,87100
MERIDIAN BANCORP INCCOMMON STOCK58958U1031,32463,761SH SOLE 63,76100
MERIDIAN BIOSCIENCE INCCOMMON STOCK5895841011,09957,127SH SOLE 57,12700
MERIT MEDICAL SYSTEMS INCCOMMON STOCK5898891044,94568,872SH SOLE 68,87200
MERITAGE HOMES CORPCOMMON STOCK59001A1024,96151,145SH SOLE 51,14500
MERITOR INCCOMMON STOCK59001K1002,05196,263SH SOLE 96,26300
MERSANA THERAPEUTICS INCCOMMON STOCK59045L10678983,710SH SOLE 83,71000
MESA AIR GROUP INCCOMMON STOCK59047913514619,092SH SOLE 19,09200
MESA LABORATORIES INCCOMMON STOCK59064R1092,0866,899SH SOLE 6,89900
META FINANCIAL GROUP INCCOMMON STOCK59100U1082,19541,828SH SOLE 41,82800
METHODE ELECTRONICS INCCOMMON STOCK5915202002,18551,953SH SOLE 51,95300
METLIFE INCCOMMON STOCK59156R10882,1011,329,995SH SOLE 1,329,99500
METROCITY BANKSHARES INCCOMMON STOCK59165J10521510,251SH SOLE 10,25100
METROPOLITAN BANK HOLDING COCOMMON STOCK5917741043574,234SH SOLE 4,23400
METTLER TOLEDO INTERNATIONALCOMMON STOCK59268810555,59740,365SH SOLE 40,36500
MFA FINANCIAL INCREIT55272X1022,589566,538SH SOLE 566,53800
MGE ENERGY INCCOMMON STOCK55277P1043,63049,382SH SOLE 49,38200
MGIC INVESTMENT CORPCOMMON STOCK5528481038,511568,917SH SOLE 568,91700
MGM RESORTS INTERNATIONALCOMMON STOCK55295310129,894692,785SH SOLE 692,78500
MGP INGREDIENTS INCCOMMON STOCK55303J1061,20218,462SH SOLE 18,46200
MICROCHIP TECHNOLOGY INCCOMMON STOCK59501710472,906474,986SH SOLE 474,98600
MICRON TECHNOLOGY INCCOMMON STOCK595112103138,2781,948,132SH SOLE 1,948,13200
MICROSOFT CORPCOMMON STOCK5949181043,731,38113,235,603SH SOLE 13,235,60300
MICROSTRATEGY INC CL ACOMMON STOCK5949724086,07310,499SH SOLE 10,49900
MID AMERICA APARTMENT COMMREIT59522J10337,022198,243SH SOLE 198,24300
MID PENN BANCORP INCCOMMON STOCK59540G1071465,307SH SOLE 5,30700
MIDDLEBY CORPCOMMON STOCK59627810115,87993,124SH SOLE 93,12400
MIDDLESEX WATER COCOMMON STOCK5966801082,43523,689SH SOLE 23,68900
MIDLAND STATES BANCORP INCCOMMON STOCK59774210573129,558SH SOLE 29,55800
MIDWESTONE FINANCIAL GROUP ICOMMON STOCK59851110361020,215SH SOLE 20,21500
MILLER INDUSTRIES INC TENNCOMMON STOCK6005512042176,373SH SOLE 6,37300
MINERALS TECHNOLOGIES INCCOMMON STOCK6031581063,20045,813SH SOLE 45,81300
MIRATI THERAPEUTICS INCCOMMON STOCK60468T10511,25363,606SH SOLE 63,60600
MIRUM PHARMACEUTICALS INCCOMMON STOCK604749101381,900SH SOLE 1,90000
MISONIX INCCOMMON STOCK6048711031766,958SH SOLE 6,95800
MISTRAS GROUP INCCOMMON STOCK60649T10711010,790SH SOLE 10,79000
MITEK SYSTEMS INCCOMMON STOCK6067102001,07958,303SH SOLE 58,30300
MKS INSTRUMENTS INCCOMMON STOCK55306N10414,11393,519SH SOLE 93,51900
MODEL N INCCOMMON STOCK6075251021,51345,173SH SOLE 45,17300
MODERNA INCCOMMON STOCK60770K107227,609591,406SH SOLE 591,40600
MODINE MANUFACTURING COCOMMON STOCK60782810078469,213SH SOLE 69,21300
MOELIS CO CLASS ACOMMON STOCK60786M1055,15083,238SH SOLE 83,23800
MOHAWK INDUSTRIES INCCOMMON STOCK60819010417,839100,556SH SOLE 100,55600
MOLECULAR TEMPLATES INCCOMMON STOCK60855010932548,422SH SOLE 48,42200
MOLINA HEALTHCARE INCCOMMON STOCK60855R10027,374100,895SH SOLE 100,89500
MOLSON COORS BEVERAGE CO BCOMMON STOCK60871R20915,196327,648SH SOLE 327,64800
MONARCH CASINO RESORT INCCOMMON STOCK6090271071,22618,305SH SOLE 18,30500
MONDELEZ INTERNATIONAL INC ACOMMON STOCK609207105142,1912,443,986SH SOLE 2,443,98600
MONGODB INCCOMMON STOCK60937P10648,404102,657SH SOLE 102,65700
MONMOUTH REAL ESTATE INV CORREIT6097201072,384127,855SH SOLE 127,85500
MONOLITHIC POWER SYSTEMS INCCOMMON STOCK60983910537,14976,646SH SOLE 76,64600
MONRO INCCOMMON STOCK6102361012,61145,405SH SOLE 45,40500
MONSTER BEVERAGE CORPCOMMON STOCK61174X10959,768672,832SH SOLE 672,83200
MOODY S CORPCOMMON STOCK615369105105,679297,595SH SOLE 297,59500
MOOG INC CLASS ACOMMON STOCK6153942023,01939,608SH SOLE 39,60800
MORGAN STANLEYCOMMON STOCK617446448240,6402,472,924SH SOLE 2,472,92400
MORNINGSTAR INCCOMMON STOCK61770010910,28639,708SH SOLE 39,70800
MORPHIC HOLDING INCCOMMON STOCK61775R1051,47326,008SH SOLE 26,00800
MOSAIC CO THECOMMON STOCK61945C10322,988643,572SH SOLE 643,57200
MOTORCAR PARTS OF AMERICA INCOMMON STOCK62007110019810,134SH SOLE 10,13400
MOTOROLA SOLUTIONS INCCOMMON STOCK62007630768,038292,862SH SOLE 292,86200
MOVADO GROUP INCCOMMON STOCK62458010667321,380SH SOLE 21,38000
MR COOPER GROUP INCCOMMON STOCK62482R1073,92895,409SH SOLE 95,40900
MRC GLOBAL INCCOMMON STOCK55345K103794108,122SH SOLE 108,12200
MSA SAFETY INCCOMMON STOCK5534981069,05662,153SH SOLE 62,15300
MSC INDUSTRIAL DIRECT CO ACOMMON STOCK5535301066,20177,325SH SOLE 77,32500
MSCI INCCOMMON STOCK55354G10086,267141,808SH SOLE 141,80800
MUELLER INDUSTRIES INCCOMMON STOCK6247561022,98472,596SH SOLE 72,59600
MUELLER WATER PRODUCTS INC ACOMMON STOCK6247581083,275215,207SH SOLE 215,20700
MURPHY OIL CORPCOMMON STOCK6267171025,196208,097SH SOLE 208,09700
MURPHY USA INCCOMMON STOCK6267551025,75734,418SH SOLE 34,41800
MUSTANG BIO INCCOMMON STOCK62818Q10410137,583SH SOLE 37,58300
MVB FINANCIAL CORPCOMMON STOCK5538101022285,312SH SOLE 5,31200
MYERS INDUSTRIES INCCOMMON STOCK62846410987644,784SH SOLE 44,78400
MYR GROUP INC DELAWARECOMMON STOCK55405W1042,25722,684SH SOLE 22,68400
MYRIAD GENETICS INCCOMMON STOCK62855J1043,388104,909SH SOLE 104,90900
N B T BANCORP INCCOMMON STOCK6287781022,11958,675SH SOLE 58,67500
NABORS INDUSTRIES LTDCOMMON STOCKG6359F13798310,193SH SOLE 10,19300
NANOSTRING TECHNOLOGIES INCCOMMON STOCK63009R1092,95361,513SH SOLE 61,51300
NAPCO SECURITY TECHNOLOGIESCOMMON STOCK63040210585319,803SH SOLE 19,80300
NASDAQ INCCOMMON STOCK63110310838,352198,697SH SOLE 198,69700
NATERA INCCOMMON STOCK63230710415,323137,501SH SOLE 137,50100
NATHAN S FAMOUS INCCOMMON STOCK632347100941,536SH SOLE 1,53600
NATIONAL BANK HOLD CL ACOMMON STOCK6337071041,66441,095SH SOLE 41,09500
NATIONAL BEVERAGE CORPCOMMON STOCK6350171061,67731,948SH SOLE 31,94800
NATIONAL CINEMEDIA INCCOMMON STOCK63530910711331,766SH SOLE 31,76600
NATIONAL ENERGY SERVICES REUCOMMON STOCKG6375R10725720,516SH SOLE 20,51600
NATIONAL FUEL GAS COCOMMON STOCK6361801017,665145,951SH SOLE 145,95100
NATIONAL HEALTHCARE CORPCOMMON STOCK6359061001,22517,505SH SOLE 17,50500
NATIONAL INSTRUMENTS CORPCOMMON STOCK6365181028,712222,063SH SOLE 222,06300
NATIONAL PRESTO INDS INCCOMMON STOCK6372151045777,026SH SOLE 7,02600
NATIONAL RESEARCH CORPCOMMON STOCK63737220280219,011SH SOLE 19,01100
NATIONAL RETAIL PROPERTIESREIT63741710613,080302,847SH SOLE 302,84700
NATIONAL STORAGE AFFILIATESREIT6378701065,901111,774SH SOLE 111,77400
NATIONAL VISION HOLDINGS INCCOMMON STOCK63845R1076,282110,665SH SOLE 110,66500
NATIONAL WESTERN LIFE GROU ACOMMON STOCK6385171027243,436SH SOLE 3,43600
NATL HEALTH INVESTORS INCREIT63633D1043,16259,094SH SOLE 59,09400
NATURAL GROCERS BY VITAMIN CCOMMON STOCK63888U108564,992SH SOLE 4,99200
NATURES SUNSHINE PRODS INCCOMMON STOCK6390271017,565516,351SH SOLE 516,35100
NATUS MEDICAL INCCOMMON STOCK6390501031,15446,002SH SOLE 46,00200
NAVIENT CORPCOMMON STOCK63938C1084,790242,782SH SOLE 242,78200
NCR CORPORATIONCOMMON STOCK62886E1088,471218,557SH SOLE 218,55700
NEENAH INCCOMMON STOCK6400791091,06822,903SH SOLE 22,90300
NEKTAR THERAPEUTICSCOMMON STOCK6402681085,418301,694SH SOLE 301,69400
NELNET INC CL ACOMMON STOCK64031N1081,84423,265SH SOLE 23,26500
NEOGEN CORPCOMMON STOCK6404911066,337145,922SH SOLE 145,92200
NEOGENOMICS INCCOMMON STOCK64049M2097,378152,934SH SOLE 152,93400
NEOPHOTONICS CORPCOMMON STOCK64051T10060169,047SH SOLE 69,04700
NETAPP INCCOMMON STOCK64110D10435,072390,727SH SOLE 390,72700
NETFLIX INCCOMMON STOCK64110L106497,408814,968SH SOLE 814,96800
NETGEAR INCCOMMON STOCK64111Q1041,32041,382SH SOLE 41,38200
NETSCOUT SYSTEMS INCCOMMON STOCK64115T1042,65898,611SH SOLE 98,61100
NEUROCRINE BIOSCIENCES INCCOMMON STOCK64125C10915,731164,014SH SOLE 164,01400
NEVRO CORPCOMMON STOCK64157F1035,32245,726SH SOLE 45,72600
NEW JERSEY RESOURCES CORPCOMMON STOCK6460251064,566131,168SH SOLE 131,16800
NEW RELIC INCCOMMON STOCK64829B1006,60091,957SH SOLE 91,95700
NEW RESIDENTIAL INVESTMENTREIT64828T2018,349759,021SH SOLE 759,02100
NEW YORK COMMUNITY BANCORPCOMMON STOCK6494451039,940772,371SH SOLE 772,37100
NEW YORK MORTGAGE TRUST INCREIT6496045012,194515,016SH SOLE 515,01600
NEW YORK TIMES CO ACOMMON STOCK65011110713,566275,335SH SOLE 275,33500
NEWELL BRANDS INCCOMMON STOCK65122910615,041679,377SH SOLE 679,37700
NEWMARK GROUP INC CLASS ACOMMON STOCK65158N1023,151220,229SH SOLE 220,22900
NEWMARKET CORPCOMMON STOCK6515871074,38412,942SH SOLE 12,94200
NEWMONT CORPCOMMON STOCK65163910678,4841,445,386SH SOLE 1,445,38600
NEWPARK RESOURCES INCCOMMON STOCK65171850415948,232SH SOLE 48,23200
NEWS CORP CLASS ACOMMON STOCK65249B10914,792628,631SH SOLE 628,63100
NEWS CORP CLASS BCOMMON STOCK65249B2083,597154,860SH SOLE 154,86000
NEXPOINT RESIDENTIALREIT65341D1021,89130,567SH SOLE 30,56700
NEXSTAR MEDIA GROUP INC CL ACOMMON STOCK65336K10310,58969,686SH SOLE 69,68600
NEXTERA ENERGY INCCOMMON STOCK65339F101268,1743,415,358SH SOLE 3,415,35800
NEXTGEN HEALTHCARE INCCOMMON STOCK65343C1021,08176,697SH SOLE 76,69700
NEXTIER OILFIELD SOLUTIONS ICOMMON STOCK65290C1051,038225,663SH SOLE 225,66300
NGM BIOPHARMACEUTICALS INCCOMMON STOCK62921N10589142,375SH SOLE 42,37500
NI HOLDINGS INCCOMMON STOCK65342T106814,628SH SOLE 4,62800
NICOLET BANKSHARES INCCOMMON STOCK65406E1021,08714,655SH SOLE 14,65500
NIELSEN HOLDINGS PLCCOMMON STOCKG6518L10811,749612,257SH SOLE 612,25700
NIKE INC CL BCOMMON STOCK654106103338,5262,330,966SH SOLE 2,330,96600
NISOURCE INCCOMMON STOCK65473P10516,005660,546SH SOLE 660,54600
NL INDUSTRIESCOMMON STOCK629156407264,519SH SOLE 4,51900
NLIGHT INCCOMMON STOCK65487K1001,53754,506SH SOLE 54,50600
NMI HOLDINGS INC CLASS ACOMMON STOCK6292093052,530111,908SH SOLE 111,90800
NN INCCOMMON STOCK62933710612123,031SH SOLE 23,03100
NOODLES COCOMMON STOCK65540B10525821,901SH SOLE 21,90100
NORDIC AMERICAN TANKERS LTDCOMMON STOCKG6577310620881,207SH SOLE 81,20700
NORDSON CORPCOMMON STOCK65566310223,46798,539SH SOLE 98,53900
NORDSTROM INCCOMMON STOCK6556641004,999189,016SH SOLE 189,01600
NORFOLK SOUTHERN CORPCOMMON STOCK655844108103,394432,158SH SOLE 432,15800
NORTHERN TRUST CORPCOMMON STOCK66585910437,965352,146SH SOLE 352,14600
NORTHFIELD BANCORP INCCOMMON STOCK66611T1081,07962,885SH SOLE 62,88500
NORTHRIM BANCORP INCCOMMON STOCK6667621091383,241SH SOLE 3,24100
NORTHROP GRUMMAN CORPCOMMON STOCK66680710298,193272,645SH SOLE 272,64500
NORTHWEST BANCSHARES INCCOMMON STOCK6673401032,199165,559SH SOLE 165,55900
NORTHWEST NATURAL HOLDING COCOMMON STOCK66765N1051,91041,537SH SOLE 41,53700
NORTHWEST PIPE COCOMMON STOCK6677461011305,506SH SOLE 5,50600
NORTHWESTERN CORPCOMMON STOCK6680743053,98169,481SH SOLE 69,48100
NORTONLIFELOCK INCCOMMON STOCK66877110826,1221,032,481SH SOLE 1,032,48100
NORWEGIAN CRUISE LINE HOLDINCOMMON STOCKG6672110416,648623,289SH SOLE 623,28900
NOVAGOLD RESOURCES INCCOMMON STOCK66987E206881128,068SH SOLE 128,06800
NOVANTA INCCOMMON STOCK67000B1047,41347,983SH SOLE 47,98300
NOVAVAX INCCOMMON STOCK67000240126,197126,368SH SOLE 126,36800
NOVOCURE LTDCOMMON STOCKG6674U10819,939171,634SH SOLE 171,63400
NOW INCCOMMON STOCK67011P1001,146149,746SH SOLE 149,74600
NRG ENERGY INCCOMMON STOCK62937750817,372425,465SH SOLE 425,46500
NU SKIN ENTERPRISES INC ACOMMON STOCK67018T1052,76668,348SH SOLE 68,34800
NUANCE COMMUNICATIONS INCCOMMON STOCK67020Y10026,462480,769SH SOLE 480,76900
NUCOR CORPCOMMON STOCK67034610549,958507,242SH SOLE 507,24200
NUTANIX INC ACOMMON STOCK67059N10812,307326,445SH SOLE 326,44500
NUVASIVE INCCOMMON STOCK6707041054,20270,203SH SOLE 70,20300
NV5 GLOBAL INCCOMMON STOCK62945V1091,73217,567SH SOLE 17,56700
NVE CORPCOMMON STOCK6294452061652,573SH SOLE 2,57300
NVENT ELECTRIC PLCCOMMON STOCKG6700G1079,099281,437SH SOLE 281,43700
NVIDIA CORPCOMMON STOCK67066G104910,0654,393,054SH SOLE 4,393,05400
NVR INCCOMMON STOCK62944T10527,7155,781SH SOLE 5,78100
NXP SEMICONDUCTORS NVCOMMON STOCKN6596X10992,427471,877SH SOLE 471,87700
O I GLASS INCCOMMON STOCK67098H1043,107217,725SH SOLE 217,72500
O REILLY AUTOMOTIVE INCCOMMON STOCK67103H10773,294119,946SH SOLE 119,94600
OCCIDENTAL PETROLEUM CORPCOMMON STOCK67459910544,5191,505,037SH SOLE 1,505,03700
OCEANEERING INTL INCCOMMON STOCK6752321021,803135,371SH SOLE 135,37100
OCEANFIRST FINANCIAL CORPCOMMON STOCK6752341081,75281,842SH SOLE 81,84200
OCULAR THERAPEUTIX INCCOMMON STOCK67576A10094394,335SH SOLE 94,33500
OFFICE PROPERTIES INCOME TRUREIT67623C1091,66065,537SH SOLE 65,53700
OFG BANCORPCOMMON STOCK67103X1021,74969,364SH SOLE 69,36400
OGE ENERGY CORPCOMMON STOCK67083710311,104336,907SH SOLE 336,90700
OIL DRI CORP OF AMERICACOMMON STOCK677864100982,814SH SOLE 2,81400
OIL STATES INTERNATIONAL INCCOMMON STOCK67802610520932,781SH SOLE 32,78100
OKTA INCCOMMON STOCK67929510553,967227,382SH SOLE 227,38200
OLD DOMINION FREIGHT LINECOMMON STOCK67958010050,129175,288SH SOLE 175,28800
OLD NATIONAL BANCORPCOMMON STOCK6800331073,812224,895SH SOLE 224,89500
OLD REPUBLIC INTL CORPCOMMON STOCK68022310411,108480,234SH SOLE 480,23400
OLD SECOND BANCORP INCCOMMON STOCK68027710020315,562SH SOLE 15,56200
OLIN CORPCOMMON STOCK68066520512,132251,439SH SOLE 251,43900
OLLIE S BARGAIN OUTLET HOLDICOMMON STOCK6811161096,298104,473SH SOLE 104,47300
OLYMPIC STEEL INCCOMMON STOCK68162K1061235,064SH SOLE 5,06400
OMEGA FLEX INCCOMMON STOCK6820951045964,180SH SOLE 4,18000
OMEGA HEALTHCARE INVESTORSREIT68193610012,488416,832SH SOLE 416,83200
OMEROS CORPCOMMON STOCK6821431021,11781,036SH SOLE 81,03600
OMNICELL INCCOMMON STOCK68213N1099,17461,808SH SOLE 61,80800
OMNICOM GROUPCOMMON STOCK68191910627,092373,892SH SOLE 373,89200
ON SEMICONDUCTOR CORPCOMMON STOCK68218910533,568733,400SH SOLE 733,40000
ONCOCYTE CORPCOMMON STOCK68235C10711632,513SH SOLE 32,51300
ONE GAS INCCOMMON STOCK68235P1084,57072,123SH SOLE 72,12300
ONE LIBERTY PROPERTIES INCREIT68240610367422,091SH SOLE 22,09100
ONEMAIN HOLDINGS INCCOMMON STOCK68268W1038,639156,134SH SOLE 156,13400
ONEOK INCCOMMON STOCK68268010346,345799,187SH SOLE 799,18700
ONESPAN INCCOMMON STOCK68287N10085645,587SH SOLE 45,58700
ONESPAWORLD HOLDINGS LTDCOMMON STOCKP7368411383283,447SH SOLE 83,44700
ONTO INNOVATION INCCOMMON STOCK6833441054,80066,437SH SOLE 66,43700
OOMA INCCOMMON STOCK68341610121811,739SH SOLE 11,73900
OPKO HEALTH INCCOMMON STOCK68375N1032,091572,908SH SOLE 572,90800
OPORTUN FINANCIAL CORPCOMMON STOCK68376D10429311,690SH SOLE 11,69000
OPPENHEIMER HOLDINGS CL ACOMMON STOCK6837971042264,991SH SOLE 4,99100
OPTIMIZERX CORPCOMMON STOCK68401U2041,88021,972SH SOLE 21,97200
OPTION CARE HEALTH INCCOMMON STOCK68404L2014,470184,255SH SOLE 184,25500
ORACLE CORPCOMMON STOCK68389X105279,7863,211,129SH SOLE 3,211,12900
ORASURE TECHNOLOGIES INCCOMMON STOCK68554V1081,10297,471SH SOLE 97,47100
ORCHID ISLAND CAPITAL INCREIT68571X10332766,789SH SOLE 66,78900
ORGANOGENESIS HOLDINGS INCCOMMON STOCK68621F10266646,784SH SOLE 46,78400
ORIGIN BANCORP INCCOMMON STOCK68621T1021,28730,385SH SOLE 30,38500
ORION ENGINEERED CARBONS SACOMMON STOCKL729671091,50282,377SH SOLE 82,37700
ORMAT TECHNOLOGIES INCCOMMON STOCK6866881024,07361,149SH SOLE 61,14900
ORRSTOWN FINL SERVICES INCCOMMON STOCK6873801051385,885SH SOLE 5,88500
ORTHOFIX MEDICAL INCCOMMON STOCK68752M10899526,105SH SOLE 26,10500
ORTHOPEDIATRICS CORPCOMMON STOCK68752L1001,22718,734SH SOLE 18,73400
OSHKOSH CORPCOMMON STOCK68823920111,820115,464SH SOLE 115,46400
OSI SYSTEMS INCCOMMON STOCK6710441052,19023,099SH SOLE 23,09900
OTTER TAIL CORPCOMMON STOCK6896481033,15456,352SH SOLE 56,35200
OUTFRONT MEDIA INCREIT69007J1064,977197,515SH SOLE 197,51500
OVERSTOCK COM INCCOMMON STOCK6903701014,56358,556SH SOLE 58,55600
OWENS MINOR INCCOMMON STOCK6907321023,05897,745SH SOLE 97,74500
OWENS CORNINGCOMMON STOCK69074210114,971175,099SH SOLE 175,09900
OXFORD INDUSTRIES INCCOMMON STOCK6914973092,03322,548SH SOLE 22,54800
OYSTER POINT PHARMA INCCOMMON STOCK69242L106715,952SH SOLE 5,95200
P G E CORPCOMMON STOCK69331C10825,1122,615,885SH SOLE 2,615,88500
P A M TRANSPORTATION SVCSCOMMON STOCK693149106861,918SH SOLE 1,91800
PACCAR INCCOMMON STOCK69371810847,358600,075SH SOLE 600,07500
PACIFIC BIOSCIENCES OF CALIFCOMMON STOCK69404D1086,627259,359SH SOLE 259,35900
PACIFIC PREMIER BANCORP INCCOMMON STOCK69478X1054,989120,394SH SOLE 120,39400
PACIRA BIOSCIENCES INCCOMMON STOCK6951271003,33359,510SH SOLE 59,51000
PACKAGING CORP OF AMERICACOMMON STOCK69515610922,292162,191SH SOLE 162,19100
PACWEST BANCORPCOMMON STOCK6952631038,901196,405SH SOLE 196,40500
PAGERDUTY INCCOMMON STOCK69553P1004,07398,327SH SOLE 98,32700
PALO ALTO NETWORKS INCCOMMON STOCK69743510580,676168,426SH SOLE 168,42600
PALOMAR HOLDINGS INCCOMMON STOCK69753M1052,68733,238SH SOLE 33,23800
PAPA JOHN S INTL INCCOMMON STOCK6988131025,53343,567SH SOLE 43,56700
PAR PACIFIC HOLDINGS INCCOMMON STOCK69888T20796061,100SH SOLE 61,10000
PAR TECHNOLOGY CORP DELCOMMON STOCK6988841032,05233,366SH SOLE 33,36600
PARAMOUNT GROUP INCREIT69924R1082,201244,832SH SOLE 244,83200
PARATEK PHARMACEUTICALS INCCOMMON STOCK69937430212024,640SH SOLE 24,64000
PARK AEROSPACE CORPCOMMON STOCK70014A10414410,507SH SOLE 10,50700
PARK HOTELS RESORTS INCREIT7005171057,630398,621SH SOLE 398,62100
PARK NATIONAL CORPCOMMON STOCK7006581072,50220,513SH SOLE 20,51300
PARK OHIO HOLDINGS CORPCOMMON STOCK7006661001174,604SH SOLE 4,60400
PARKER HANNIFIN CORPCOMMON STOCK70109410462,958225,155SH SOLE 225,15500
PARSONS CORPCOMMON STOCK70202L1021,19535,399SH SOLE 35,39900
PATRICK INDUSTRIES INCCOMMON STOCK7033431032,57030,856SH SOLE 30,85600
PATTERSON COS INCCOMMON STOCK7033951033,578118,711SH SOLE 118,71100
PATTERSON UTI ENERGY INCCOMMON STOCK7034811012,342260,263SH SOLE 260,26300
PAYCHEX INCCOMMON STOCK70432610766,812594,147SH SOLE 594,14700
PAYCOM SOFTWARE INCCOMMON STOCK70432V10244,28789,333SH SOLE 89,33300
PAYLOCITY HOLDING CORPCOMMON STOCK70438V10618,73666,818SH SOLE 66,81800
PAYPAL HOLDINGS INCCOMMON STOCK70450Y103553,0242,125,297SH SOLE 2,125,29700
PBF ENERGY INC CLASS ACOMMON STOCK69318G1061,794138,286SH SOLE 138,28600
PC CONNECTION INCCOMMON STOCK69318J10069915,886SH SOLE 15,88600
PCSB FINANCIAL CORPCOMMON STOCK69324R1041377,422SH SOLE 7,42200
PDC ENERGY INCCOMMON STOCK69327R1016,404135,139SH SOLE 135,13900
PDF SOLUTIONS INCCOMMON STOCK69328210592540,141SH SOLE 40,14100
PEAPACK GLADSTONE FINL CORPCOMMON STOCK70469910783925,152SH SOLE 25,15200
PEBBLEBROOK HOTEL TRUSTREIT70509V1003,992178,141SH SOLE 178,14100
PEGASYSTEMS INCCOMMON STOCK7055731038,75568,885SH SOLE 68,88500
PENN NATIONAL GAMING INCCOMMON STOCK70756910919,023262,527SH SOLE 262,52700
PENNANT GROUP INC THECOMMON STOCK70805E1091,00835,892SH SOLE 35,89200
PENNYMAC FINANCIAL SERVICESCOMMON STOCK70932M1073,76161,521SH SOLE 61,52100
PENNYMAC MORTGAGE INVESTMENTREIT70931T1032,622133,181SH SOLE 133,18100
PENSKE AUTOMOTIVE GROUP INCCOMMON STOCK70959W1035,46154,281SH SOLE 54,28100
PENTAIR PLCCOMMON STOCKG7S00T10421,804300,211SH SOLE 300,21100
PENUMBRA INCCOMMON STOCK70975L10715,41057,824SH SOLE 57,82400
PEOPLE S UNITED FINANCIALCOMMON STOCK71270410512,537717,636SH SOLE 717,63600
PEOPLES BANCORP INCCOMMON STOCK7097891011,12835,695SH SOLE 35,69500
PEOPLES FINANCIAL SERVICESCOMMON STOCK7110401051733,787SH SOLE 3,78700
PEPSICO INCCOMMON STOCK713448108375,1092,493,912SH SOLE 2,493,91200
PERFICIENT INCCOMMON STOCK71375U1015,17444,720SH SOLE 44,72000
PERFORMANCE FOOD GROUP COCOMMON STOCK71377A1039,738209,592SH SOLE 209,59200
PERKINELMER INCCOMMON STOCK71404610933,652194,197SH SOLE 194,19700
PERRIGO CO PLCCOMMON STOCKG9782210310,663225,284SH SOLE 225,28400
PERSONALIS INCCOMMON STOCK71535D10688846,177SH SOLE 46,17700
PETIQ INCCOMMON STOCK71639T10684933,992SH SOLE 33,99200
PETMED EXPRESS INCCOMMON STOCK71638210673827,447SH SOLE 27,44700
PFIZER INCCOMMON STOCK717081103431,63510,035,679SH SOLE 10,035,67900
PGT INNOVATIONS INCCOMMON STOCK69336V1011,52079,587SH SOLE 79,58700
PHATHOM PHARMACEUTICALS INCCOMMON STOCK71722W10772122,473SH SOLE 22,47300
PHIBRO ANIMAL HEALTH CORP ACOMMON STOCK71742Q10659727,713SH SOLE 27,71300
PHILLIPS 66COMMON STOCK71854610456,254803,278SH SOLE 803,27800
PHOTRONICS INCCOMMON STOCK7194051021,15484,665SH SOLE 84,66500
PHREESIA INCCOMMON STOCK71944F1063,92563,610SH SOLE 63,61000
PHYSICIANS REALTY TRUSTREIT71943U1045,159292,767SH SOLE 292,76700
PIEDMONT OFFICE REALTY TRU AREIT7201902062,938168,583SH SOLE 168,58300
PILGRIM S PRIDE CORPCOMMON STOCK72147K1082,35981,118SH SOLE 81,11800
PING IDENTITY HOLDING CORPCOMMON STOCK72341T1031,56463,649SH SOLE 63,64900
PINNACLE FINANCIAL PARTNERSCOMMON STOCK72346Q10411,875126,219SH SOLE 126,21900
PINNACLE WEST CAPITALCOMMON STOCK72348410114,208196,358SH SOLE 196,35800
PINTEREST INC CLASS ACOMMON STOCK72352L10651,0851,002,645SH SOLE 1,002,64500
PIONEER BANCORP INC NYCOMMON STOCK723561106796,272SH SOLE 6,27200
PIONEER NATURAL RESOURCES COCOMMON STOCK72378710770,316422,292SH SOLE 422,29200
PIPER SANDLER COSCOMMON STOCK7240781003,38724,459SH SOLE 24,45900
PITNEY BOWES INCCOMMON STOCK7244791001,719238,391SH SOLE 238,39100
PJT PARTNERS INC ACOMMON STOCK69343T1072,53832,084SH SOLE 32,08400
PLANET FITNESS INC CL ACOMMON STOCK72703H10111,036140,492SH SOLE 140,49200
PLANTRONICS INCCOMMON STOCK7274931081,42155,289SH SOLE 55,28900
PLAYAGS INCCOMMON STOCK72814N10411614,775SH SOLE 14,77500
PLEXUS CORPCOMMON STOCK7291321003,44538,525SH SOLE 38,52500
PLUG POWER INCCOMMON STOCK72919P20222,956898,827SH SOLE 898,82700
PNC FINANCIAL SERVICES GROUPCOMMON STOCK693475105145,074741,536SH SOLE 741,53600
PNM RESOURCES INCCOMMON STOCK69349H1075,589112,958SH SOLE 112,95800
POLARIS INCCOMMON STOCK73106810211,68197,618SH SOLE 97,61800
POOL CORPCOMMON STOCK73278L10529,93968,918SH SOLE 68,91800
POPULAR INCCOMMON STOCK73317470010,448134,523SH SOLE 134,52300
PORTLAND GENERAL ELECTRIC COCOMMON STOCK7365088475,771122,824SH SOLE 122,82400
POST HOLDINGS INCCOMMON STOCK73744610411,268102,285SH SOLE 102,28500
POTLATCHDELTIC CORPREIT7376301034,68190,755SH SOLE 90,75500
POWELL INDUSTRIES INCCOMMON STOCK7391281061214,917SH SOLE 4,91700
POWER INTEGRATIONS INCCOMMON STOCK7392761038,14882,314SH SOLE 82,31400
PPG INDUSTRIES INCCOMMON STOCK69350610759,963419,289SH SOLE 419,28900
PPL CORPCOMMON STOCK69351T10636,2231,299,239SH SOLE 1,299,23900
PRA GROUP INCCOMMON STOCK69354N1062,60961,918SH SOLE 61,91800
PRECISION BIOSCIENCES INCCOMMON STOCK74019P10874464,494SH SOLE 64,49400
PREFERRED BANK LOS ANGELESCOMMON STOCK7403674041,32119,818SH SOLE 19,81800
PREFORMED LINE PRODUCTS COCOMMON STOCK7404441041031,583SH SOLE 1,58300
PREMIER INC CLASS ACOMMON STOCK74051N1027,934204,692SH SOLE 204,69200
PRESTIGE CONSUMER HEALTHCARECOMMON STOCK74112D1013,80967,893SH SOLE 67,89300
PRICESMART INCCOMMON STOCK7415111092,54932,863SH SOLE 32,86300
PRIMERICA INCCOMMON STOCK74164M10810,48268,228SH SOLE 68,22800
PRIMORIS SERVICES CORPCOMMON STOCK74164F1031,78572,880SH SOLE 72,88000
PRINCIPAL FINANCIAL GROUPCOMMON STOCK74251V10231,385487,340SH SOLE 487,34000
PRIORITY TECHNOLOGY HOLDINGSCOMMON STOCK74275G107355,264SH SOLE 5,26400
PROASSURANCE CORPCOMMON STOCK74267C1061,73973,130SH SOLE 73,13000
PROCTER GAMBLE CO THECOMMON STOCK742718109612,6954,382,654SH SOLE 4,382,65400
PROGRESS SOFTWARE CORPCOMMON STOCK7433121002,93959,758SH SOLE 59,75800
PROGRESSIVE CORPCOMMON STOCK74331510391,9451,017,205SH SOLE 1,017,20500
PROGYNY INCCOMMON STOCK74340E1034,34577,594SH SOLE 77,59400
PROLOGIS INCREIT74340W103160,7001,281,189SH SOLE 1,281,18900
PROPETRO HOLDING CORPCOMMON STOCK74347M108952110,028SH SOLE 110,02800
PROS HOLDINGS INCCOMMON STOCK74346Y1031,99156,125SH SOLE 56,12500
PROSPERITY BANCSHARES INCCOMMON STOCK74360610511,215157,667SH SOLE 157,66700
PROTAGONIST THERAPEUTICS INCCOMMON STOCK74366E1021,00156,508SH SOLE 56,50800
PROTHENA CORP PLCCOMMON STOCKG728001083,14844,191SH SOLE 44,19100
PROTO LABS INCCOMMON STOCK7437131092,51037,681SH SOLE 37,68100
PROVIDENT BANCORP INCCOMMON STOCK74383L1051368,517SH SOLE 8,51700
PROVIDENT FINANCIAL SERVICESCOMMON STOCK74386T1052,459104,773SH SOLE 104,77300
PRUDENTIAL FINANCIAL INCCOMMON STOCK74432010272,874692,714SH SOLE 692,71400
PTC INCCOMMON STOCK69370C10022,630188,918SH SOLE 188,91800
PTC THERAPEUTICS INCCOMMON STOCK69366J2003,33189,521SH SOLE 89,52100
PUBLIC SERVICE ENTERPRISE GPCOMMON STOCK74457310654,902901,516SH SOLE 901,51600
PUBLIC STORAGEREIT74460D10979,934269,049SH SOLE 269,04900
PULSE BIOSCIENCES INCCOMMON STOCK74587B1011627,512SH SOLE 7,51200
PULTEGROUP INCCOMMON STOCK74586710120,877454,633SH SOLE 454,63300
PUMA BIOTECHNOLOGY INCCOMMON STOCK74587V10729842,450SH SOLE 42,45000
PURE CYCLE CORPCOMMON STOCK74622830313810,386SH SOLE 10,38600
PURE STORAGE INC CLASS ACOMMON STOCK74624M10211,385452,499SH SOLE 452,49900
PURPLE INNOVATION INCCOMMON STOCK74640Y1061,68580,148SH SOLE 80,14800
PVH CORPCOMMON STOCK69365610012,360120,244SH SOLE 120,24400
PZENA INVESTMENT MANAGM CL ACOMMON STOCK74731Q103909,098SH SOLE 9,09800
Q2 HOLDINGS INCCOMMON STOCK74736L1095,87873,348SH SOLE 73,34800
QAD INC ACOMMON STOCK74727D3061,43116,375SH SOLE 16,37500
QCR HOLDINGS INCCOMMON STOCK74727A1041,09221,224SH SOLE 21,22400
QIAGEN N VCOMMON STOCKN7248212310,094195,314SH SOLE 195,31400
QORVO INCCOMMON STOCK74736K10132,402193,806SH SOLE 193,80600
QUAKER CHEMICAL CORPCOMMON STOCK7473161074,34618,281SH SOLE 18,28100
QUALCOMM INCCOMMON STOCK747525103254,4121,972,491SH SOLE 1,972,49100
QUALYS INCCOMMON STOCK74758T3035,09045,734SH SOLE 45,73400
QUANEX BUILDING PRODUCTSCOMMON STOCK74761910497245,411SH SOLE 45,41100
QUANTA SERVICES INCCOMMON STOCK74762E10226,639234,048SH SOLE 234,04800
QUANTERIX CORPCOMMON STOCK74766Q1012,01540,464SH SOLE 40,46400
QUEST DIAGNOSTICS INCCOMMON STOCK74834L10032,038220,478SH SOLE 220,47800
QUIDEL CORPCOMMON STOCK74838J1018,89062,981SH SOLE 62,98100
QUINSTREET INCCOMMON STOCK74874Q1001,19768,166SH SOLE 68,16600
QUOTIENT TECHNOLOGY INCCOMMON STOCK749119103656112,783SH SOLE 112,78300
QURATE RETAIL INC SERIES ACOMMON STOCK74915M1006,515639,360SH SOLE 639,36000
R1 RCM INCCOMMON STOCK7493971053,537160,718SH SOLE 160,71800
RADIAN GROUP INCCOMMON STOCK7502361015,858257,816SH SOLE 257,81600
RADIANT LOGISTICS INCCOMMON STOCK75025X10013521,191SH SOLE 21,19100
RADIUS HEALTH INCCOMMON STOCK75046920772058,026SH SOLE 58,02600
RADNET INCCOMMON STOCK7504911021,79161,098SH SOLE 61,09800
RADWARE LTDCOMMON STOCKM818731071,51945,047SH SOLE 45,04700
RAFAEL HOLDINGS INC CLASS BCOMMON STOCK75062E1061705,533SH SOLE 5,53300
RALPH LAUREN CORPCOMMON STOCK7512121019,31083,847SH SOLE 83,84700
RAMBUS INCCOMMON STOCK7509171063,347150,745SH SOLE 150,74500
RANGE RESOURCES CORPCOMMON STOCK75281A1097,491331,036SH SOLE 331,03600
RAPID7 INCCOMMON STOCK7534221048,23972,895SH SOLE 72,89500
RAPT THERAPEUTICS INCCOMMON STOCK75382E10983526,892SH SOLE 26,89200
RAVEN INDUSTRIES INCCOMMON STOCK7542121082,80448,679SH SOLE 48,67900
RAYMOND JAMES FINANCIAL INCCOMMON STOCK75473010929,388318,468SH SOLE 318,46800
RAYONIER ADVANCED MATERIALSCOMMON STOCK75508B10425133,471SH SOLE 33,47100
RAYONIER INCREIT7549071038,366234,474SH SOLE 234,47400
RBB BANCORPCOMMON STOCK74930B1052007,950SH SOLE 7,95000
RBC BEARINGS INCCOMMON STOCK75524B1048,12138,270SH SOLE 38,27000
RCI HOSPITALITY HOLDINGS INCCOMMON STOCK74934Q1083084,496SH SOLE 4,49600
RE MAX HOLDINGS INC CL ACOMMON STOCK75524W10879525,503SH SOLE 25,50300
READY CAPITAL CORPREIT75574U1011,14078,997SH SOLE 78,99700
REALOGY HOLDINGS CORPCOMMON STOCK75605Y1062,823160,949SH SOLE 160,94900
REALREAL INC THECOMMON STOCK88339P1011,396105,909SH SOLE 105,90900
REALTY INCOME CORPREIT75610910443,967677,873SH SOLE 677,87300
REATA PHARMACEUTICALS INC ACOMMON STOCK75615P1033,68836,652SH SOLE 36,65200
RED RIVER BANCSHARES INCCOMMON STOCK75686R2021222,447SH SOLE 2,44700
RED ROBIN GOURMET BURGERSCOMMON STOCK75689M1011948,406SH SOLE 8,40600
RED ROCK RESORTS INC CLASS ACOMMON STOCK75700L1084,38485,597SH SOLE 85,59700
REDFIN CORPCOMMON STOCK75737F1086,852136,772SH SOLE 136,77200
REDWOOD TRUST INCREIT7580754021,978153,450SH SOLE 153,45000
REGENCY CENTERS CORPREIT75884910318,938281,278SH SOLE 281,27800
REGENERON PHARMACEUTICALSCOMMON STOCK75886F107107,263177,241SH SOLE 177,24100
REGENXBIO INCCOMMON STOCK75901B1071,98647,386SH SOLE 47,38600
REGIONAL MANAGEMENT CORPCOMMON STOCK75902K1062904,978SH SOLE 4,97800
REGIONS FINANCIAL CORPCOMMON STOCK7591EP10036,1791,697,727SH SOLE 1,697,72700
REGIS CORPCOMMON STOCK7589321074914,030SH SOLE 14,03000
REINSURANCE GROUP OF AMERICACOMMON STOCK75935160412,743114,537SH SOLE 114,53700
RELIANCE STEEL ALUMINUMCOMMON STOCK75950910215,295107,392SH SOLE 107,39200
RELIANT BANCORP INCCOMMON STOCK75956B1012608,224SH SOLE 8,22400
RENAISSANCERE HOLDINGS LTDCOMMON STOCKG7496G10311,47982,345SH SOLE 82,34500
RENASANT CORPCOMMON STOCK75970E1072,74776,197SH SOLE 76,19700
RENEWABLE ENERGY GROUP INCCOMMON STOCK75972A3013,17263,189SH SOLE 63,18900
RENT A CENTER INCCOMMON STOCK76009N1004,74884,464SH SOLE 84,46400
REPLIGEN CORPCOMMON STOCK75991610926,12290,391SH SOLE 90,39100
REPLIMUNE GROUP INCCOMMON STOCK76029N10698633,257SH SOLE 33,25700
REPUBLIC BANCORP INC CLASS ACOMMON STOCK76028120469013,618SH SOLE 13,61800
REPUBLIC FIRST BANCORP INCCOMMON STOCK7604161077423,983SH SOLE 23,98300
REPUBLIC SERVICES INCCOMMON STOCK76075910043,771364,580SH SOLE 364,58000
RESIDEO TECHNOLOGIES INCCOMMON STOCK76118Y1044,707189,873SH SOLE 189,87300
RESMED INCCOMMON STOCK76115210766,757253,301SH SOLE 253,30100
RESOURCES CONNECTION INCCOMMON STOCK76122Q10567242,581SH SOLE 42,58100
RETAIL OPPORTUNITY INVESTMENREIT76131N1012,810161,295SH SOLE 161,29500
RETAIL PROPERTIES OF AME AREIT76131V2023,771292,775SH SOLE 292,77500
RETAIL VALUE INCREIT76133Q1022489,434SH SOLE 9,43400
REV GROUP INCCOMMON STOCK74952710767239,138SH SOLE 39,13800
REVANCE THERAPEUTICS INCCOMMON STOCK7613301092,60693,535SH SOLE 93,53500
REVLON INC CLASS ACOMMON STOCK761525609383,750SH SOLE 3,75000
REX AMERICAN RESOURCES CORPCOMMON STOCK7616241055887,365SH SOLE 7,36500
REXFORD INDUSTRIAL REALTY INREIT76169C10012,958228,342SH SOLE 228,34200
RHCOMMON STOCK74967X10319,15328,719SH SOLE 28,71900
RHYTHM PHARMACEUTICALS INCCOMMON STOCK76243J10568652,492SH SOLE 52,49200
RIBBON COMMUNICATIONS INCCOMMON STOCK762544104694116,090SH SOLE 116,09000
RIGEL PHARMACEUTICALS INCCOMMON STOCK766559603839231,093SH SOLE 231,09300
RIMINI STREET INCCOMMON STOCK76674Q10749851,565SH SOLE 51,56500
RINGCENTRAL INC CLASS ACOMMON STOCK76680R20629,791136,971SH SOLE 136,97100
RITE AID CORPCOMMON STOCK7677548721,10277,590SH SOLE 77,59000
RLI CORPCOMMON STOCK7496071075,51454,995SH SOLE 54,99500
RLJ LODGING TRUSTREIT74965L1013,374227,020SH SOLE 227,02000
RMR GROUP INC THE ACOMMON STOCK74967R10670120,960SH SOLE 20,96000
ROBERT HALF INTL INCCOMMON STOCK77032310320,481204,134SH SOLE 204,13400
ROCKET PHARMACEUTICALS INCCOMMON STOCK77313F1061,58252,929SH SOLE 52,92900
ROCKWELL AUTOMATION INCCOMMON STOCK77390310959,575202,609SH SOLE 202,60900
ROCKY BRANDS INCCOMMON STOCK7745151001833,845SH SOLE 3,84500
ROGERS CORPCOMMON STOCK7751331014,74125,426SH SOLE 25,42600
ROKU INCCOMMON STOCK77543R10263,509202,679SH SOLE 202,67900
ROLLINS INCCOMMON STOCK77571110414,391407,341SH SOLE 407,34100
ROPER TECHNOLOGIES INCCOMMON STOCK77669610681,496182,674SH SOLE 182,67400
ROSS STORES INCCOMMON STOCK77829610367,309618,365SH SOLE 618,36500
ROYAL CARIBBEAN CRUISES LTDCOMMON STOCKV7780T10334,784391,053SH SOLE 391,05300
ROYAL GOLD INCCOMMON STOCK78028710810,510110,065SH SOLE 110,06500
RPC INCCOMMON STOCK74966010643890,179SH SOLE 90,17900
RPM INTERNATIONAL INCCOMMON STOCK74968510317,167221,080SH SOLE 221,08000
RPT REALTYREIT74971D1011,401109,829SH SOLE 109,82900
RUBIUS THERAPEUTICS INCCOMMON STOCK78116T1031,03357,795SH SOLE 57,79500
RUSH ENTERPRISES INC CL BCOMMON STOCK7818463083758,195SH SOLE 8,19500
RUSH ENTERPRISES INC CL ACOMMON STOCK7818462092,61557,916SH SOLE 57,91600
RUTH S HOSPITALITY GROUP INCCOMMON STOCK78333210994145,418SH SOLE 45,41800
RYDER SYSTEM INCCOMMON STOCK7835491087,44389,989SH SOLE 89,98900
RYERSON HOLDING CORPCOMMON STOCK7837541041998,950SH SOLE 8,95000
RYMAN HOSPITALITY PROPERTIESREIT78377T1076,02571,981SH SOLE 71,98100
S T BANCORP INCCOMMON STOCK7838591011,56152,976SH SOLE 52,97600
SP GLOBAL INCCOMMON STOCK78409V104172,327405,581SH SOLE 405,58100
SABRA HEALTH CARE REIT INCREIT78573L1064,356295,942SH SOLE 295,94200
SABRE CORPCOMMON STOCK78573M1046,251527,922SH SOLE 527,92200
SAFE BULKERS INCCOMMON STOCKY7388L10317133,009SH SOLE 33,00900
SAFEHOLD INCREIT78645L1001,63822,787SH SOLE 22,78700
SAFETY INSURANCE GROUP INCCOMMON STOCK78648T1001,58920,052SH SOLE 20,05200
SAGE THERAPEUTICS INCCOMMON STOCK78667J1083,87187,370SH SOLE 87,37000
SAIA INCCOMMON STOCK78709Y1058,54135,882SH SOLE 35,88200
SAILPOINT TECHNOLOGIES HOLDICOMMON STOCK78781P1055,359124,977SH SOLE 124,97700
SALESFORCE COM INCCOMMON STOCK79466L302478,0661,762,649SH SOLE 1,762,64900
SALLY BEAUTY HOLDINGS INCCOMMON STOCK79546E1042,588153,572SH SOLE 153,57200
SANDERSON FARMS INCCOMMON STOCK8000131045,20227,641SH SOLE 27,64100
SANDY SPRING BANCORP INCCOMMON STOCK8003631032,92163,753SH SOLE 63,75300
SANGAMO THERAPEUTICS INCCOMMON STOCK8006771061,473163,526SH SOLE 163,52600
SANMINA CORPCOMMON STOCK8010561023,43489,099SH SOLE 89,09900
SAREPTA THERAPEUTICS INCCOMMON STOCK80360710011,891128,580SH SOLE 128,58000
SAUL CENTERS INCREIT80439510180318,221SH SOLE 18,22100
SBA COMMUNICATIONS CORPREIT78410G10462,761189,856SH SOLE 189,85600
SCANSOURCE INCCOMMON STOCK8060371071,21634,955SH SOLE 34,95500
SCHLUMBERGER LTDCOMMON STOCK80685710876,5032,581,069SH SOLE 2,581,06900
SCHNEIDER NATIONAL INC CL BCOMMON STOCK80689H1022,07191,054SH SOLE 91,05400
SCHNITZER STEEL INDS INC ACOMMON STOCK8068821061,54435,233SH SOLE 35,23300
SCHOLAR ROCK HOLDING CORPCOMMON STOCK80706P1031,09733,222SH SOLE 33,22200
SCHOLASTIC CORPCOMMON STOCK8070661051,27335,706SH SOLE 35,70600
SCHWAB CHARLES CORPCOMMON STOCK808513105186,1292,555,317SH SOLE 2,555,31700
SCHWEITZER MAUDUIT INTL INCCOMMON STOCK8085411061,47942,682SH SOLE 42,68200
SCIENCE APPLICATIONS INTECOMMON STOCK8086251078,35497,640SH SOLE 97,64000
SCIENTIFIC GAMES CORPCOMMON STOCK80874P10910,524126,694SH SOLE 126,69400
SCORPIO TANKERS INCCOMMON STOCKY7542C13048826,315SH SOLE 26,31500
SCOTTS MIRACLE GRO COCOMMON STOCK81018610610,25270,044SH SOLE 70,04400
SCULPTOR CAPITAL MANAGEMENTCOMMON STOCK81124610732511,637SH SOLE 11,63700
SEABOARD CORPCOMMON STOCK8115431071,870456SH SOLE 45600
SEACOAST BANKING CORP FLCOMMON STOCK8117078012,53274,886SH SOLE 74,88600
SEALED AIR CORPCOMMON STOCK81211K10015,066274,974SH SOLE 274,97400
SEASPINE HOLDINGS CORPCOMMON STOCK81255T10827017,149SH SOLE 17,14900
SEAWORLD ENTERTAINMENT INCCOMMON STOCK81282V1003,86569,858SH SOLE 69,85800
SECUREWORKS CORP ACOMMON STOCK81374A1051035,162SH SOLE 5,16200
SEI INVESTMENTS COMPANYCOMMON STOCK78411710311,453193,143SH SOLE 193,14300
SELECT ENERGY SERVICES INC ACOMMON STOCK81617J30142581,809SH SOLE 81,80900
SELECT MEDICAL HOLDINGS CORPCOMMON STOCK81619Q1055,352147,961SH SOLE 147,96100
SELECTIVE INSURANCE GROUPCOMMON STOCK8163001076,13981,285SH SOLE 81,28500
SEMPRA ENERGYCOMMON STOCK81685110973,495580,988SH SOLE 580,98800
SEMTECH CORPCOMMON STOCK8168501016,87088,109SH SOLE 88,10900
SENECA FOODS CORP CL ACOMMON STOCK8170705011693,495SH SOLE 3,49500
SENSATA TECHNOLOGIES HOLDINGCOMMON STOCKG8060N10215,734287,535SH SOLE 287,53500
SENSIENT TECHNOLOGIES CORPCOMMON STOCK81725T1005,23557,479SH SOLE 57,47900
SERES THERAPEUTICS INCCOMMON STOCK81750R10265494,000SH SOLE 94,00000
SERITAGE GROWTH PROP A REITREIT81752R10076051,274SH SOLE 51,27400
SERVICE CORP INTERNATIONALCOMMON STOCK81756510416,808278,925SH SOLE 278,92500
SERVICE PROPERTIES TRUSTREIT81761L1022,547227,176SH SOLE 227,17600
SERVICENOW INCCOMMON STOCK81762P102214,050343,982SH SOLE 343,98200
SERVISFIRST BANCSHARES INCCOMMON STOCK81768T1085,21367,001SH SOLE 67,00100
SFL CORP LTDCOMMON STOCKG7738W10647356,443SH SOLE 56,44300
SHAKE SHACK INC CLASS ACOMMON STOCK8190471013,97150,607SH SOLE 50,60700
SHENANDOAH TELECOMMUNICATIONCOMMON STOCK82312B1062,06065,231SH SOLE 65,23100
SHERWIN WILLIAMS CO THECOMMON STOCK824348106122,203436,860SH SOLE 436,86000
SHOCKWAVE MEDICAL INCCOMMON STOCK82489T1049,06044,007SH SOLE 44,00700
SHOE CARNIVAL INCCOMMON STOCK82488910979724,589SH SOLE 24,58900
SHOTSPOTTER INCCOMMON STOCK82536T10742511,689SH SOLE 11,68900
SHUTTERSTOCK INCCOMMON STOCK8256901003,63632,087SH SOLE 32,08700
SI BONE INCCOMMON STOCK82570410983138,798SH SOLE 38,79800
SIENTRA INCCOMMON STOCK82621J10517831,030SH SOLE 31,03000
SIERRA BANCORPCOMMON STOCK82620P1021887,735SH SOLE 7,73500
SIGA TECHNOLOGIES INCCOMMON STOCK82691710648465,496SH SOLE 65,49600
SIGNATURE BANKCOMMON STOCK82669G10427,547101,173SH SOLE 101,17300
SIGNET JEWELERS LTDCOMMON STOCKG812761005,67871,912SH SOLE 71,91200
SILGAN HOLDINGS INCCOMMON STOCK8270481095,537144,344SH SOLE 144,34400
SILICON LABORATORIES INCCOMMON STOCK8269191028,49960,639SH SOLE 60,63900
SILK ROAD MEDICAL INCCOMMON STOCK82710M1002,48345,119SH SOLE 45,11900
SILVERGATE CAPITAL CORP CL ACOMMON STOCK82837P4083,80732,962SH SOLE 32,96200
SIMMONS FIRST NATL CORP CL ACOMMON STOCK8287302004,342146,892SH SOLE 146,89200
SIMON PROPERTY GROUP INCREIT82880610974,860575,977SH SOLE 575,97700
SIMPLY GOOD FOODS CO THECOMMON STOCK82900L1024,027116,749SH SOLE 116,74900
SIMPSON MANUFACTURING CO INCCOMMON STOCK8290731056,32759,144SH SOLE 59,14400
SIMULATIONS PLUS INCCOMMON STOCK82921410584521,387SH SOLE 21,38700
SINCLAIR BROADCAST GROUP ACOMMON STOCK8292261092,06865,270SH SOLE 65,27000
SIRIUS XM HOLDINGS INCCOMMON STOCK82968B10310,1561,664,853SH SOLE 1,664,85300
SITE CENTERS CORPREIT82981J1093,578231,734SH SOLE 231,73400
SITEONE LANDSCAPE SUPPLY INCCOMMON STOCK82982L10314,87274,560SH SOLE 74,56000
SIX FLAGS ENTERTAINMENT CORPCOMMON STOCK83001A1025,393126,883SH SOLE 126,88300
SJW GROUPCOMMON STOCK7843051042,51838,112SH SOLE 38,11200
SKECHERS USA INC CL ACOMMON STOCK8305661059,443224,201SH SOLE 224,20100
SKYLINE CHAMPION CORPCOMMON STOCK8308301054,22070,271SH SOLE 70,27100
SKYWEST INCCOMMON STOCK8308791021,84237,339SH SOLE 37,33900
SKYWORKS SOLUTIONS INCCOMMON STOCK83088M10247,421287,782SH SOLE 287,78200
SL GREEN REALTY CORPREIT78440X8048,146114,991SH SOLE 114,99100
SLEEP NUMBER CORPCOMMON STOCK83125X1033,04132,536SH SOLE 32,53600
SLM CORPCOMMON STOCK78442P1068,848502,708SH SOLE 502,70800
SM ENERGY COCOMMON STOCK78454L1004,126156,416SH SOLE 156,41600
SMART GLOBAL HOLDINGS INCCOMMON STOCKG8232Y1011,22027,408SH SOLE 27,40800
SMARTFINANCIAL INCCOMMON STOCK83190L2081987,674SH SOLE 7,67400
SMARTSHEET INC CLASS ACOMMON STOCK83200N10314,482210,428SH SOLE 210,42800
SMITH A O CORPCOMMON STOCK83186520914,622239,428SH SOLE 239,42800
SNAP INC ACOMMON STOCK83304A10661,846837,234SH SOLE 837,23400
SNAP ON INCCOMMON STOCK83303410119,65494,059SH SOLE 94,05900
SOLARIS OILFIELD INFRAST ACOMMON STOCK83418M10314116,874SH SOLE 16,87400
SOLARWINDS CORPCOMMON STOCK83417Q2041,06363,568SH SOLE 63,56800
SOLID BIOSCIENCES INCCOMMON STOCK83422E1057732,042SH SOLE 32,04200
SOLITON INCCOMMON STOCK8342511001296,320SH SOLE 6,32000
SONIC AUTOMOTIVE INC CLASS ACOMMON STOCK83545G1021,57229,928SH SOLE 29,92800
SONOCO PRODUCTS COCOMMON STOCK8354951029,978167,464SH SOLE 167,46400
SONOS INCCOMMON STOCK83570H1085,402166,938SH SOLE 166,93800
SORRENTO THERAPEUTICS INCCOMMON STOCK83587F2022,844372,698SH SOLE 372,69800
SOUTH JERSEY INDUSTRIESCOMMON STOCK8385181083,139147,663SH SOLE 147,66300
SOUTH PLAINS FINANCIAL INCCOMMON STOCK83946P1071405,736SH SOLE 5,73600
SOUTHERN CO THECOMMON STOCK842587107110,0311,775,560SH SOLE 1,775,56000
SOUTHERN COPPER CORPCOMMON STOCK84265V1054,43178,936SH SOLE 78,93600
SOUTHERN FIRST BANCSHARESCOMMON STOCK8428731012254,211SH SOLE 4,21100
SOUTHERN MISSOURI BANCORPCOMMON STOCK8433801061874,173SH SOLE 4,17300
SOUTHSIDE BANCSHARES INCCOMMON STOCK84470P1091,62642,456SH SOLE 42,45600
SOUTHWEST AIRLINES COCOMMON STOCK84474110832,469631,323SH SOLE 631,32300
SOUTHWEST GAS HOLDINGS INCCOMMON STOCK8448951025,32979,676SH SOLE 79,67600
SOUTHWESTERN ENERGY COCOMMON STOCK8454671095,104921,252SH SOLE 921,25200
SP PLUS CORPCOMMON STOCK78469C10396431,442SH SOLE 31,44200
SPARTANNASH COCOMMON STOCK8472151001,10650,496SH SOLE 50,49600
SPECTRUM BRANDS HOLDINGS INCCOMMON STOCK84790A1056,62669,264SH SOLE 69,26400
SPECTRUM PHARMACEUTICALS INCCOMMON STOCK84763A108478219,328SH SOLE 219,32800
SPERO THERAPEUTICS INCCOMMON STOCK84833T10324013,044SH SOLE 13,04400
SPIRE INCCOMMON STOCK84857L1014,26569,720SH SOLE 69,72000
SPIRIT AEROSYSTEMS HOLD CL ACOMMON STOCK8485741097,882178,371SH SOLE 178,37100
SPIRIT AIRLINES INCCOMMON STOCK8485771021,95575,350SH SOLE 75,35000
SPIRIT OF TEXAS BANCSHARES ICOMMON STOCK84861D1031717,086SH SOLE 7,08600
SPIRIT REALTY CAPITAL INCREIT84860W3009,042196,398SH SOLE 196,39800
SPLUNK INCCOMMON STOCK84863710441,383285,973SH SOLE 285,97300
SPORTSMAN S WAREHOUSE HOLDINCOMMON STOCK84920Y1061,05259,774SH SOLE 59,77400
SPOTIFY TECHNOLOGY SACOMMON STOCKL8681T10228,699127,359SH SOLE 127,35900
SPRINGWORKS THERAPEUTICS INCCOMMON STOCK85205L1072,02131,861SH SOLE 31,86100
SPROUT SOCIAL INC CLASS ACOMMON STOCK85209W1096,72255,124SH SOLE 55,12400
SPROUTS FARMERS MARKET INCCOMMON STOCK85208M1023,715160,353SH SOLE 160,35300
SPS COMMERCE INCCOMMON STOCK78463M1077,88348,866SH SOLE 48,86600
SPX CORPCOMMON STOCK7846351043,23760,565SH SOLE 60,56500
SPX FLOW INCCOMMON STOCK78469X1074,17557,116SH SOLE 57,11600
SQUARE INC ACOMMON STOCK852234103172,906720,921SH SOLE 720,92100
SSC TECHNOLOGIES HOLDINGSCOMMON STOCK78467J10027,544396,886SH SOLE 396,88600
ST JOE CO THECOMMON STOCK7901481001,87444,514SH SOLE 44,51400
STAAR SURGICAL COCOMMON STOCK8523123057,24856,391SH SOLE 56,39100
STAG INDUSTRIAL INCREIT85254J1028,591218,881SH SOLE 218,88100
STAMPS COM INCCOMMON STOCK8528572008,13224,658SH SOLE 24,65800
STANDARD MOTOR PRODSCOMMON STOCK8536661051,21327,753SH SOLE 27,75300
STANDEX INTERNATIONAL CORPCOMMON STOCK8542311071,65016,677SH SOLE 16,67700
STANLEY BLACK DECKER INCCOMMON STOCK85450210149,516282,449SH SOLE 282,44900
STARBUCKS CORPCOMMON STOCK855244109233,1622,113,702SH SOLE 2,113,70200
STARTEK INCCOMMON STOCK85569C107509,043SH SOLE 9,04300
STARWOOD PROPERTY TRUST INCREIT85571B10511,527472,236SH SOLE 472,23600
STATE AUTO FINANCIAL CORPCOMMON STOCK8557071051,22223,977SH SOLE 23,97700
STATE STREET CORPCOMMON STOCK85747710354,115638,751SH SOLE 638,75100
STEEL DYNAMICS INCCOMMON STOCK85811910020,540351,227SH SOLE 351,22700
STEELCASE INC CL ACOMMON STOCK8581552031,489117,395SH SOLE 117,39500
STEPAN COCOMMON STOCK8585861003,29729,196SH SOLE 29,19600
STERICYCLE INCCOMMON STOCK85891210810,451153,756SH SOLE 153,75600
STERIS PLCCOMMON STOCKG8473T10032,548159,330SH SOLE 159,33000
STERLING BANCORP DECOMMON STOCK85917A1008,042322,198SH SOLE 322,19800
STERLING CONSTRUCTION COCOMMON STOCK85924110186938,328SH SOLE 38,32800
STEVEN MADDEN LTDCOMMON STOCK5562691084,499112,035SH SOLE 112,03500
STEWART INFORMATION SERVICESCOMMON STOCK8603721012,29536,283SH SOLE 36,28300
STIFEL FINANCIAL CORPCOMMON STOCK86063010211,815173,855SH SOLE 173,85500
STITCH FIX INC CLASS ACOMMON STOCK8608971073,39284,910SH SOLE 84,91000
STOCK YARDS BANCORP INCCOMMON STOCK8610251041,97733,705SH SOLE 33,70500
STOKE THERAPEUTICS INCCOMMON STOCK86150R10753020,830SH SOLE 20,83000
STONERIDGE INCCOMMON STOCK86183P10273936,243SH SOLE 36,24300
STORE CAPITAL CORPREIT86212110013,550423,035SH SOLE 423,03500
STRATEGIC EDUCATION INCCOMMON STOCK86272C1032,27732,294SH SOLE 32,29400
STRYKER CORPCOMMON STOCK863667101157,955598,949SH SOLE 598,94900
SUMMIT FINANCIAL GROUP INCCOMMON STOCK86606G1011506,139SH SOLE 6,13900
SUMMIT HOTEL PROPERTIES INCREIT8660821001,373142,572SH SOLE 142,57200
SUMMIT MATERIALS INC CL ACOMMON STOCK86614U1005,123160,240SH SOLE 160,24000
SUN COMMUNITIES INCREIT86667410438,155206,130SH SOLE 206,13000
SUNCOKE ENERGY INCCOMMON STOCK86722A103710113,023SH SOLE 113,02300
SUNNOVA ENERGY INTERNATIONALCOMMON STOCK86745K1043,796115,227SH SOLE 115,22700
SUNPOWER CORPCOMMON STOCK8676524062,587114,056SH SOLE 114,05600
SUNRUN INCCOMMON STOCK86771W10514,907338,794SH SOLE 338,79400
SUNSTONE HOTEL INVESTORS INCREIT8678921013,524295,142SH SOLE 295,14200
SUPERIOR GROUP OF COS INCCOMMON STOCK8683581021446,171SH SOLE 6,17100
SUPERNUS PHARMACEUTICALS INCCOMMON STOCK8684591081,86369,837SH SOLE 69,83700
SURGERY PARTNERS INCCOMMON STOCK86881A1001,86844,125SH SOLE 44,12500
SURMODICS INCCOMMON STOCK8688731001,03218,566SH SOLE 18,56600
SUTRO BIOPHARMA INCCOMMON STOCK86936710294149,799SH SOLE 49,79900
SVB FINANCIAL GROUPCOMMON STOCK78486Q10163,14697,616SH SOLE 97,61600
SWITCH INC ACOMMON STOCK87105L1044,588180,687SH SOLE 180,68700
SYNAPTICS INCCOMMON STOCK87157D1098,61147,909SH SOLE 47,90900
SYNCHRONY FINANCIALCOMMON STOCK87165B10348,659995,475SH SOLE 995,47500
SYNDAX PHARMACEUTICALS INCCOMMON STOCK87164F1051,06755,847SH SOLE 55,84700
SYNEOS HEALTH INCCOMMON STOCK87166B10215,113172,755SH SOLE 172,75500
SYNNEX CORPCOMMON STOCK87162W1007,52472,279SH SOLE 72,27900
SYNOPSYS INCCOMMON STOCK87160710779,094264,166SH SOLE 264,16600
SYNOVUS FINANCIAL CORPCOMMON STOCK87161C50110,826246,669SH SOLE 246,66900
SYROS PHARMACEUTICALS INCCOMMON STOCK87184Q10713931,093SH SOLE 31,09300
SYSCO CORPCOMMON STOCK87182910768,952878,375SH SOLE 878,37500
T MOBILE US INCCOMMON STOCK872590104138,7881,086,319SH SOLE 1,086,31900
T ROWE PRICE GROUP INCCOMMON STOCK74144T10877,446393,729SH SOLE 393,72900
TABULA RASA HEALTHCARE INCCOMMON STOCK87337910182331,414SH SOLE 31,41400
TACTILE SYSTEMS TECHNOLOGY ICOMMON STOCK87357P1001,17426,401SH SOLE 26,40100
TAKE TWO INTERACTIVE SOFTWRECOMMON STOCK87405410930,867200,341SH SOLE 200,34100
TALOS ENERGY INCCOMMON STOCK87484T10859643,280SH SOLE 43,28000
TANDEM DIABETES CARE INCCOMMON STOCK87537220312,479104,532SH SOLE 104,53200
TANGER FACTORY OUTLET CENTERREIT8754651062,246137,796SH SOLE 137,79600
TAPESTRY INCCOMMON STOCK87603010717,872482,770SH SOLE 482,77000
TARGA RESOURCES CORPCOMMON STOCK87612G10118,596377,895SH SOLE 377,89500
TARGET CORPCOMMON STOCK87612E106202,775886,372SH SOLE 886,37200
TARGET HOSPITALITY CORPCOMMON STOCK87615L1075013,473SH SOLE 13,47300
TAYLOR MORRISON HOME CORPCOMMON STOCK87724P1064,455172,809SH SOLE 172,80900
TCR2 THERAPEUTICS INCCOMMON STOCK87808K10631336,768SH SOLE 36,76800
TE CONNECTIVITY LTDCOMMON STOCKH8498910440,592295,817SH SOLE 295,81700
TEAM INCCOMMON STOCK8781551004615,326SH SOLE 15,32600
TECHTARGETCOMMON STOCK87874R1002,84934,569SH SOLE 34,56900
TEGNA INCCOMMON STOCK87901J1055,742291,176SH SOLE 291,17600
TEJON RANCH COCOMMON STOCK87908010950728,560SH SOLE 28,56000
TELADOC HEALTH INCCOMMON STOCK87918A10532,039252,653SH SOLE 252,65300
TELEDYNE TECHNOLOGIES INCCOMMON STOCK87936010534,43380,155SH SOLE 80,15500
TELEFLEX INCCOMMON STOCK87936910630,50181,001SH SOLE 81,00100
TELEPHONE AND DATA SYSTEMSCOMMON STOCK8794338292,653136,075SH SOLE 136,07500
TELLURIAN INCCOMMON STOCK87968A1041,630416,952SH SOLE 416,95200
TEMPUR SEALY INTERNATIONAL ICOMMON STOCK88023U10114,642315,497SH SOLE 315,49700
TENABLE HOLDINGS INCCOMMON STOCK88025T1025,051109,479SH SOLE 109,47900
TENET HEALTHCARE CORPCOMMON STOCK88033G4078,819132,731SH SOLE 132,73100
TENNANT COCOMMON STOCK8803451031,85825,128SH SOLE 25,12800
TENNECO INC CLASS ACOMMON STOCK8803491051,434100,489SH SOLE 100,48900
TERADATA CORPCOMMON STOCK88076W10310,642185,563SH SOLE 185,56300
TERADYNE INCCOMMON STOCK88077010231,767290,988SH SOLE 290,98800
TEREX CORPCOMMON STOCK8807791033,95793,980SH SOLE 93,98000
TERRENO REALTY CORPREIT88146M1015,96094,264SH SOLE 94,26400
TESLA INCCOMMON STOCK88160R1011,124,9031,450,589SH SOLE 1,450,58900
TETRA TECH INCCOMMON STOCK88162G10310,97173,465SH SOLE 73,46500
TEVA PHARMACEUTICAL SP ADRCOMMON STOCK88162420910,5141,079,482SH SOLE 1,079,48200
TEXAS CAPITAL BANCSHARES INCCOMMON STOCK88224Q1074,14569,068SH SOLE 69,06800
TEXAS INSTRUMENTS INCCOMMON STOCK882508104319,1181,660,257SH SOLE 1,660,25700
TEXAS ROADHOUSE INCCOMMON STOCK8826811098,40592,033SH SOLE 92,03300
TEXTAINER GROUP HOLDINGS LTDCOMMON STOCKG8766E10990425,905SH SOLE 25,90500
TEXTRON INCCOMMON STOCK88320310127,593395,259SH SOLE 395,25900
TFS FINANCIAL CORPCOMMON STOCK87240R1071,68688,470SH SOLE 88,47000
TG THERAPEUTICS INCCOMMON STOCK88322Q1085,580167,682SH SOLE 167,68200
THERAPEUTICSMD INCCOMMON STOCK88338N107368496,631SH SOLE 496,63100
THERAVANCE BIOPHARMA INCCOMMON STOCKG8807B10655875,440SH SOLE 75,44000
THERMO FISHER SCIENTIFIC INCCOMMON STOCK883556102402,067703,739SH SOLE 703,73900
THERMON GROUP HOLDINGS INCCOMMON STOCK88362T10378845,505SH SOLE 45,50500
THOR INDUSTRIES INCCOMMON STOCK88516010111,26991,801SH SOLE 91,80100
TIDEWATER INCCOMMON STOCK88642R10926521,960SH SOLE 21,96000
TILLY S INC CLASS A SHRSCOMMON STOCK88688510217212,263SH SOLE 12,26300
TIMKEN COCOMMON STOCK8873891047,276111,221SH SOLE 111,22100
TIMKENSTEEL CORPCOMMON STOCK88739910332124,540SH SOLE 24,54000
TIPTREE INCCOMMON STOCK88822Q10312312,258SH SOLE 12,25800
TITAN MACHINERY INCCOMMON STOCK88830R10127110,460SH SOLE 10,46000
TIVITY HEALTH INCCOMMON STOCK88870R1021,29055,950SH SOLE 55,95000
TJX COMPANIES INCCOMMON STOCK872540109142,8522,165,084SH SOLE 2,165,08400
TOLL BROTHERS INCCOMMON STOCK88947810310,720193,889SH SOLE 193,88900
TOMPKINS FINANCIAL CORPCOMMON STOCK8901101091,61719,979SH SOLE 19,97900
TOOTSIE ROLL INDSCOMMON STOCK89051610765721,602SH SOLE 21,60200
TOPBUILD CORPCOMMON STOCK89055F10311,42255,767SH SOLE 55,76700
TORO COCOMMON STOCK89109210817,727181,987SH SOLE 181,98700
TOWNE BANKCOMMON STOCK89214P1092,98796,000SH SOLE 96,00000
TPG RE FINANCE TRUST INCREIT87266M10790973,459SH SOLE 73,45900
TPI COMPOSITES INCCOMMON STOCK87266J1041,66549,334SH SOLE 49,33400
TRACTOR SUPPLY COMPANYCOMMON STOCK89235610641,862206,613SH SOLE 206,61300
TRADE DESK INC THE CLASS ACOMMON STOCK88339J10552,870752,067SH SOLE 752,06700
TRANSCAT INCCOMMON STOCK8935291072463,819SH SOLE 3,81900
TRANSDIGM GROUP INCCOMMON STOCK89364110056,55990,556SH SOLE 90,55600
TRANSMEDICS GROUP INCCOMMON STOCK89377M1091,14434,579SH SOLE 34,57900
TRANSOCEAN LTDCOMMON STOCKH8817H1001,874494,457SH SOLE 494,45700
TRANSUNIONCOMMON STOCK89400J10737,771336,307SH SOLE 336,30700
TRAVELERS COS INC THECOMMON STOCK89417E10966,828439,627SH SOLE 439,62700
TREDEGAR CORPCOMMON STOCK89465010044236,294SH SOLE 36,29400
TREEHOUSE FOODS INCCOMMON STOCK89469A1042,95173,998SH SOLE 73,99800
TREX COMPANY INCCOMMON STOCK89531P10519,913195,355SH SOLE 195,35500
TRICO BANCSHARESCOMMON STOCK8960951061,70639,305SH SOLE 39,30500
TRIMAS CORPCOMMON STOCK8962152091,90158,750SH SOLE 58,75000
TRIMBLE INCCOMMON STOCK89623910036,016437,884SH SOLE 437,88400
TRINET GROUP INCCOMMON STOCK8962881075,13054,241SH SOLE 54,24100
TRINITY INDUSTRIES INCCOMMON STOCK8965221092,981109,733SH SOLE 109,73300
TRINSEO SACOMMON STOCKL9340P1012,50346,361SH SOLE 46,36100
TRIPADVISOR INCCOMMON STOCK8969452015,647166,817SH SOLE 166,81700
TRISTATE CAPITAL HLDGS INCCOMMON STOCK89678F10083039,223SH SOLE 39,22300
TRIUMPH BANCORP INCCOMMON STOCK89679E3003,21432,100SH SOLE 32,10000
TRIUMPH GROUP INCCOMMON STOCK8968181011,62086,980SH SOLE 86,98000
TRONOX HOLDINGS PLC ACOMMON STOCKG9087Q1028,773355,908SH SOLE 355,90800
TRUEBLUE INCCOMMON STOCK89785X1011,29547,814SH SOLE 47,81400
TRUECAR INCCOMMON STOCK89785L107529127,263SH SOLE 127,26300
TRUIST FINANCIAL CORPCOMMON STOCK89832Q109137,2722,340,527SH SOLE 2,340,52700
TRUPANION INCCOMMON STOCK8982021063,76548,477SH SOLE 48,47700
TRUSTCO BANK CORP NYCOMMON STOCK89834920482925,923SH SOLE 25,92300
TRUSTMARK CORPCOMMON STOCK8984021022,75385,455SH SOLE 85,45500
TTEC HOLDINGS INCCOMMON STOCK89854H1022,37025,342SH SOLE 25,34200
TTM TECHNOLOGIESCOMMON STOCK87305R1091,775141,192SH SOLE 141,19200
TUCOWS INC CLASS ACOMMON STOCK8986972061,00312,702SH SOLE 12,70200
TUPPERWARE BRANDS CORPCOMMON STOCK8998961041,42467,423SH SOLE 67,42300
TURNING POINT THERAPEUTICS ICOMMON STOCK90041T1083,92259,034SH SOLE 59,03400
TUTOR PERINI CORPCOMMON STOCK90110910878060,059SH SOLE 60,05900
TWILIO INC ACOMMON STOCK90138F10290,945285,048SH SOLE 285,04800
TWIST BIOSCIENCE CORPCOMMON STOCK90184D1006,77763,358SH SOLE 63,35800
TWITTER INCCOMMON STOCK90184L10282,9611,373,756SH SOLE 1,373,75600
TWO HARBORS INVESTMENT CORPREIT90187B4082,705426,620SH SOLE 426,62000
TYLER TECHNOLOGIES INCCOMMON STOCK90225210532,36670,569SH SOLE 70,56900
TYSON FOODS INC CL ACOMMON STOCK90249410340,062507,499SH SOLE 507,49900
U S PHYSICAL THERAPY INCCOMMON STOCK90337L1081,92517,406SH SOLE 17,40600
UBER TECHNOLOGIES INCCOMMON STOCK90353T100110,5842,468,383SH SOLE 2,468,38300
UBIQUITI INCCOMMON STOCK90353W1031,7095,723SH SOLE 5,72300
UDR INCREIT90265310427,394517,059SH SOLE 517,05900
UFP TECHNOLOGIES INCCOMMON STOCK9026731022323,769SH SOLE 3,76900
UGI CORPCOMMON STOCK90268110516,077377,216SH SOLE 377,21600
ULTA BEAUTY INCCOMMON STOCK90384S30334,14094,592SH SOLE 94,59200
ULTRA CLEAN HOLDINGS INCCOMMON STOCK90385V1072,54959,832SH SOLE 59,83200
ULTRAGENYX PHARMACEUTICAL INCOMMON STOCK90400D10810,023111,128SH SOLE 111,12800
UMB FINANCIAL CORPCOMMON STOCK9027881085,92461,255SH SOLE 61,25500
UMH PROPERTIES INCREIT9030021031,37259,913SH SOLE 59,91300
UMPQUA HOLDINGS CORPCOMMON STOCK9042141037,486369,664SH SOLE 369,66400
UNDER ARMOUR INC CLASS ACOMMON STOCK9043111076,409317,613SH SOLE 317,61300
UNDER ARMOUR INC CLASS CCOMMON STOCK9043112065,840333,329SH SOLE 333,32900
UNIFI INCCOMMON STOCK9046772001677,634SH SOLE 7,63400
UNIFIRST CORP MACOMMON STOCK9047081044,38920,643SH SOLE 20,64300
UNION PACIFIC CORPCOMMON STOCK907818108225,4381,150,135SH SOLE 1,150,13500
UNISYS CORPCOMMON STOCK9092143062,28090,697SH SOLE 90,69700
UNITED AIRLINES HOLDINGS INCCOMMON STOCK91004710913,310279,802SH SOLE 279,80200
UNITED BANKSHARES INCCOMMON STOCK9099071076,304173,284SH SOLE 173,28400
UNITED COMMUNITY BANKS GACOMMON STOCK90984P3033,877118,124SH SOLE 118,12400
UNITED FIRE GROUP INCCOMMON STOCK91034010866228,670SH SOLE 28,67000
UNITED INSURANCE HOLDINGS COCOMMON STOCK9107101023910,772SH SOLE 10,77200
UNITED NATURAL FOODS INCCOMMON STOCK9111631033,78978,257SH SOLE 78,25700
UNITED PARCEL SERVICE CL BCOMMON STOCK911312106237,4931,304,190SH SOLE 1,304,19000
UNITED RENTALS INCCOMMON STOCK91136310944,691127,350SH SOLE 127,35000
UNITED STATES LIME MINERALCOMMON STOCK9119221023552,939SH SOLE 2,93900
UNITED STATES STEEL CORPCOMMON STOCK9129091089,986454,541SH SOLE 454,54100
UNITED THERAPEUTICS CORPCOMMON STOCK91307C10213,81974,869SH SOLE 74,86900
UNITEDHEALTH GROUP INCCOMMON STOCK91324P102675,1821,727,958SH SOLE 1,727,95800
UNITI GROUP INCREIT91325V1083,665296,263SH SOLE 296,26300
UNITIL CORPCOMMON STOCK91325910788420,671SH SOLE 20,67100
UNIVAR SOLUTIONS INCCOMMON STOCK91336L1076,790285,073SH SOLE 285,07300
UNIVERSAL DISPLAY CORPCOMMON STOCK91347P10513,28777,719SH SOLE 77,71900
UNIVERSAL ELECTRONICS INCCOMMON STOCK91348310390518,383SH SOLE 18,38300
UNIVERSAL HEALTH RLTY INCOMEREIT91359E1051,00718,226SH SOLE 18,22600
UNIVERSAL HEALTH SERVICES BCOMMON STOCK91390310018,288132,164SH SOLE 132,16400
UNIVERSAL INSURANCE HOLDINGSCOMMON STOCK91359V10748737,358SH SOLE 37,35800
UNIVERSAL LOGISTICS HOLDINGSCOMMON STOCK91388P105834,135SH SOLE 4,13500
UNIVEST FINANCIAL CORPCOMMON STOCK9152711001,09139,829SH SOLE 39,82900
UNUM GROUPCOMMON STOCK91529Y1068,660345,553SH SOLE 345,55300
UPLAND SOFTWARE INCCOMMON STOCK91544A1091,21736,382SH SOLE 36,38200
UPWORK INCCOMMON STOCK91688F1047,437165,154SH SOLE 165,15400
URANIUM ENERGY CORPCOMMON STOCK916896103380124,703SH SOLE 124,70300
URBAN EDGE PROPERTIESREIT91704F1042,906158,704SH SOLE 158,70400
URBAN OUTFITTERS INCCOMMON STOCK9170471022,79894,250SH SOLE 94,25000
UROGEN PHARMA LTDCOMMON STOCKM9608810555432,956SH SOLE 32,95600
URSTADT BIDDLE CLASS AREIT91728620576940,649SH SOLE 40,64900
US BANCORPCOMMON STOCK902973304147,3422,478,843SH SOLE 2,478,84300
US CELLULAR CORPCOMMON STOCK91168410861119,156SH SOLE 19,15600
US ECOLOGY INCCOMMON STOCK91734M1031,38642,830SH SOLE 42,83000
US FOODS HOLDING CORPCOMMON STOCK91200810912,672365,617SH SOLE 365,61700
US SILICA HOLDINGS INCCOMMON STOCK90346E103805100,797SH SOLE 100,79700
US XPRESS ENTERPRISES INC ACOMMON STOCK90338N20212514,524SH SOLE 14,52400
USANA HEALTH SCIENCES INCCOMMON STOCK90328M1071,54916,802SH SOLE 16,80200
UTAH MEDICAL PRODUCTS INCCOMMON STOCK9174881081711,842SH SOLE 1,84200
VAIL RESORTS INCCOMMON STOCK91879Q10923,63870,763SH SOLE 70,76300
VALERO ENERGY CORPCOMMON STOCK91913Y10053,174753,491SH SOLE 753,49100
VALLEY NATIONAL BANCORPCOMMON STOCK9197941077,298548,323SH SOLE 548,32300
VALMONT INDUSTRIESCOMMON STOCK9202531018,31935,383SH SOLE 35,38300
VALUE LINE INCCOMMON STOCK92043710018529SH SOLE 52900
VALVOLINE INCCOMMON STOCK92047W1019,480304,056SH SOLE 304,05600
VANDA PHARMACEUTICALS INCCOMMON STOCK9216591081,28574,958SH SOLE 74,95800
VAPOTHERM INCCOMMON STOCK92210710755725,024SH SOLE 25,02400
VAREX IMAGING CORPCOMMON STOCK92214X1061,49252,923SH SOLE 52,92300
VARONIS SYSTEMS INCCOMMON STOCK9222801028,769144,114SH SOLE 144,11400
VBI VACCINES INCCOMMON STOCK91822J103765246,080SH SOLE 246,08000
VECTRUS INCCOMMON STOCK92242T10179415,795SH SOLE 15,79500
VEECO INSTRUMENTS INCCOMMON STOCK9224171001,51568,223SH SOLE 68,22300
VEEVA SYSTEMS INC CLASS ACOMMON STOCK92247510869,489241,138SH SOLE 241,13800
VENTAS INCREIT92276F10037,806684,759SH SOLE 684,75900
VERA BRADLEY INCCOMMON STOCK92335C10613814,665SH SOLE 14,66500
VERACYTE INCCOMMON STOCK92337F1074,24991,469SH SOLE 91,46900
VEREIT INCREIT92339V30818,344405,581SH SOLE 405,58100
VERICEL CORPCOMMON STOCK92346J1082,79957,358SH SOLE 57,35800
VERINT SYSTEMS INCCOMMON STOCK92343X1003,94688,090SH SOLE 88,09000
VERISIGN INCCOMMON STOCK92343E10235,147171,438SH SOLE 171,43800
VERISK ANALYTICS INCCOMMON STOCK92345Y10655,104275,147SH SOLE 275,14700
VERITEX HOLDINGS INCCOMMON STOCK9234511082,60766,240SH SOLE 66,24000
VERITIV CORPCOMMON STOCK9234541021,80120,110SH SOLE 20,11000
VERIZON COMMUNICATIONS INCCOMMON STOCK92343V104402,8527,458,850SH SOLE 7,458,85000
VERRA MOBILITY CORPCOMMON STOCK92511U1022,800185,776SH SOLE 185,77600
VERRICA PHARMACEUTICALS INCCOMMON STOCK92511W108876,981SH SOLE 6,98100
VERSO CORP ACOMMON STOCK92531L20730214,577SH SOLE 14,57700
VERTEX PHARMACEUTICALS INCCOMMON STOCK92532F10081,368448,582SH SOLE 448,58200
VF CORPCOMMON STOCK91820410839,871595,179SH SOLE 595,17900
VIACOMCBS INC CLASS ACOMMON STOCK92556H1073067,273SH SOLE 7,27300
VIACOMCBS INC CLASS BCOMMON STOCK92556H20642,3271,071,295SH SOLE 1,071,29500
VIAD CORPCOMMON STOCK92552R4061,25627,667SH SOLE 27,66700
VIASAT INCCOMMON STOCK92552V1005,751104,429SH SOLE 104,42900
VIAVI SOLUTIONS INCCOMMON STOCK9255501054,888310,537SH SOLE 310,53700
VICI PROPERTIES INCREIT92565210929,4441,036,410SH SOLE 1,036,41000
VICOR CORPCOMMON STOCK9258151023,96729,570SH SOLE 29,57000
VIEWRAY INCCOMMON STOCK92672L1071,256174,186SH SOLE 174,18600
VIKING THERAPEUTICS INCCOMMON STOCK92686J10659194,060SH SOLE 94,06000
VILLAGE SUPER MARKET CLASS ACOMMON STOCK92710740924811,435SH SOLE 11,43500
VIR BIOTECHNOLOGY INCCOMMON STOCK92764N1023,73085,697SH SOLE 85,69700
VIRNETX HOLDING CORPCOMMON STOCK92823T10833886,344SH SOLE 86,34400
VIRTU FINANCIAL INC CLASS ACOMMON STOCK9282541013,720152,292SH SOLE 152,29200
VIRTUS INVESTMENT PARTNERSCOMMON STOCK92828Q1093,16510,200SH SOLE 10,20000
VISA INC CLASS A SHARESCOMMON STOCK92826C839696,3963,126,355SH SOLE 3,126,35500
VISHAY INTERTECHNOLOGY INCCOMMON STOCK9282981083,639181,154SH SOLE 181,15400
VISHAY PRECISION GROUPCOMMON STOCK92835K10359016,978SH SOLE 16,97800
VISTA OUTDOOR INCCOMMON STOCK9283771003,15878,343SH SOLE 78,34300
VISTEON CORPCOMMON STOCK92839U2063,62438,399SH SOLE 38,39900
VMWARE INC CLASS ACOMMON STOCK92856340221,267143,020SH SOLE 143,02000
VOCERA COMMUNICATIONS INCCOMMON STOCK92857F1072,13046,557SH SOLE 46,55700
VONAGE HOLDINGS CORPCOMMON STOCK92886T2015,254325,947SH SOLE 325,94700
VORNADO REALTY TRUSTREIT92904210912,703302,378SH SOLE 302,37800
VOYA FINANCIAL INCCOMMON STOCK92908910012,367201,457SH SOLE 201,45700
VSE CORPCOMMON STOCK9182841002755,718SH SOLE 5,71800
VULCAN MATERIALS COCOMMON STOCK92916010939,221231,860SH SOLE 231,86000
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WABTEC CORPCOMMON STOCK92974010827,217315,710SH SOLE 315,71000
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WALKER DUNLOP INCCOMMON STOCK93148P1024,59240,457SH SOLE 40,45700
WALMART INCCOMMON STOCK931142103373,5182,679,852SH SOLE 2,679,85200
WALT DISNEY CO THECOMMON STOCK254687106567,9013,356,985SH SOLE 3,356,98500
WARRIOR MET COAL INCCOMMON STOCK93627C1011,62769,905SH SOLE 69,90500
WASHINGTON FEDERAL INCCOMMON STOCK9388241093,29395,966SH SOLE 95,96600
WASHINGTON REITREIT9396531012,849115,113SH SOLE 115,11300
WASHINGTON TRUST BANCORPCOMMON STOCK9406101081,23823,369SH SOLE 23,36900
WASTE MANAGEMENT INCCOMMON STOCK94106L109110,636740,736SH SOLE 740,73600
WATERS CORPCOMMON STOCK94184810338,588107,999SH SOLE 107,99900
WATERSTONE FINANCIAL INCCOMMON STOCK94188P10160129,329SH SOLE 29,32900
WATSCO INCCOMMON STOCK94262220015,04556,856SH SOLE 56,85600
WATTS WATER TECHNOLOGIES ACOMMON STOCK9427491026,29337,440SH SOLE 37,44000
WAVE LIFE SCIENCES LTDCOMMON STOCKY953081059920,220SH SOLE 20,22000
WAYFAIR INC CLASS ACOMMON STOCK94419L10133,294130,306SH SOLE 130,30600
WD 40 COCOMMON STOCK9292361074,31118,623SH SOLE 18,62300
WEBSTER FINANCIAL CORPCOMMON STOCK9478901098,248151,450SH SOLE 151,45000
WEC ENERGY GROUP INCCOMMON STOCK92939U10648,126545,647SH SOLE 545,64700
WEIS MARKETS INCCOMMON STOCK9488491041,22223,245SH SOLE 23,24500
WELBILT INCCOMMON STOCK9490901044,208181,079SH SOLE 181,07900
WELLS FARGO COCOMMON STOCK949746101345,3287,440,811SH SOLE 7,440,81100
WELLTOWER INCREIT95040Q10460,581735,207SH SOLE 735,20700
WENDY S CO THECOMMON STOCK95058W1006,737310,725SH SOLE 310,72500
WERNER ENTERPRISES INCCOMMON STOCK9507551083,71383,875SH SOLE 83,87500
WESBANCO INCCOMMON STOCK9508101013,05289,552SH SOLE 89,55200
WESCO INTERNATIONAL INCCOMMON STOCK95082P1057,12261,757SH SOLE 61,75700
WEST BANCORPORATIONCOMMON STOCK95123P1062618,679SH SOLE 8,67900
WEST PHARMACEUTICAL SERVICESCOMMON STOCK95530610554,494128,361SH SOLE 128,36100
WESTAMERICA BANCORPORATIONCOMMON STOCK9570901032,03136,093SH SOLE 36,09300
WESTERN ALLIANCE BANCORPCOMMON STOCK95763810918,722172,046SH SOLE 172,04600
WESTERN DIGITAL CORPCOMMON STOCK95810210531,600559,889SH SOLE 559,88900
WESTERN UNION COCOMMON STOCK95980210914,657724,878SH SOLE 724,87800
WESTLAKE CHEMICAL CORPCOMMON STOCK9604131025,49260,264SH SOLE 60,26400
WESTROCK COCOMMON STOCK96145D10522,487451,276SH SOLE 451,27600
WEX INCCOMMON STOCK96208T10413,86478,709SH SOLE 78,70900
WEYERHAEUSER COREIT96216610448,0661,351,303SH SOLE 1,351,30300
WHIRLPOOL CORPCOMMON STOCK96332010622,099108,401SH SOLE 108,40100
WHITE MOUNTAINS INSURANCE GPCOMMON STOCKG9618E1075,5035,145SH SOLE 5,14500
WHITESTONE REITREIT96608420422222,710SH SOLE 22,71000
WIDEOPENWEST INCCOMMON STOCK96758W1011,39771,090SH SOLE 71,09000
WILEY JOHN SONS CLASS ACOMMON STOCK9682232063,11759,701SH SOLE 59,70100
WILLDAN GROUP INCCOMMON STOCK96924N10057116,053SH SOLE 16,05300
WILLIAMS COS INCCOMMON STOCK96945710057,4172,213,441SH SOLE 2,213,44100
WILLIAMS SONOMA INCCOMMON STOCK96990410123,245131,085SH SOLE 131,08500
WILLIS LEASE FINANCE CORPCOMMON STOCK970646105551,479SH SOLE 1,47900
WILLIS TOWERS WATSON PLCCOMMON STOCKG9662910363,826274,567SH SOLE 274,56700
WINGSTOP INCCOMMON STOCK9741551036,63740,485SH SOLE 40,48500
WINMARK CORPCOMMON STOCK9742501029414,374SH SOLE 4,37400
WINNEBAGO INDUSTRIESCOMMON STOCK9746371003,16843,730SH SOLE 43,73000
WINTRUST FINANCIAL CORPCOMMON STOCK97650W1087,66195,327SH SOLE 95,32700
WISDOMTREE INVESTMENTS INCCOMMON STOCK97717P104948167,271SH SOLE 167,27100
WIX COM LTDCOMMON STOCKM9806810519,962101,860SH SOLE 101,86000
WOLVERINE WORLD WIDE INCCOMMON STOCK9780971033,328111,518SH SOLE 111,51800
WOODWARD INCCOMMON STOCK98074510311,14198,417SH SOLE 98,41700
WORKDAY INC CLASS ACOMMON STOCK98138H10181,786327,288SH SOLE 327,28800
WORKIVA INCCOMMON STOCK98139A1057,64454,226SH SOLE 54,22600
WORLD ACCEPTANCE CORPCOMMON STOCK9814191041,0975,785SH SOLE 5,78500
WORLD FUEL SERVICES CORPCOMMON STOCK9814751062,99489,049SH SOLE 89,04900
WORLD WRESTLING ENTERTAIN ACOMMON STOCK98156Q1084,26475,794SH SOLE 75,79400
WORTHINGTON INDUSTRIESCOMMON STOCK9818111022,44446,378SH SOLE 46,37800
WP CAREY INCREIT92936U10922,635309,897SH SOLE 309,89700
WR BERKLEY CORPCOMMON STOCK08442310217,675241,521SH SOLE 241,52100
WSFS FINANCIAL CORPCOMMON STOCK9293281023,30164,327SH SOLE 64,32700
WW GRAINGER INCCOMMON STOCK38480210432,26682,088SH SOLE 82,08800
WW INTERNATIONAL INCCOMMON STOCK98262P1011,29871,112SH SOLE 71,11200
WYNDHAM HOTELS RESORTS INCCOMMON STOCK98311A10512,051156,122SH SOLE 156,12200
WYNN RESORTS LTDCOMMON STOCK98313410715,711185,380SH SOLE 185,38000
XBIOTECH INCCOMMON STOCK98400H10230823,789SH SOLE 23,78900
XCEL ENERGY INCCOMMON STOCK98389B10056,678906,846SH SOLE 906,84600
XENCOR INCCOMMON STOCK98401F1052,39773,400SH SOLE 73,40000
XENIA HOTELS RESORTS INCREIT9840171032,746154,815SH SOLE 154,81500
XEROX HOLDINGS CORPCOMMON STOCK98421M1065,223258,936SH SOLE 258,93600
XILINX INCCOMMON STOCK98391910170,898469,551SH SOLE 469,55100
XPO LOGISTICS INCCOMMON STOCK98379310012,923162,394SH SOLE 162,39400
XYLEM INCCOMMON STOCK98419M10039,338318,065SH SOLE 318,06500
Y MABS THERAPEUTICS INCCOMMON STOCK9842411091,14840,232SH SOLE 40,23200
YELP INCCOMMON STOCK9858171053,70999,609SH SOLE 99,60900
YETI HOLDINGS INCCOMMON STOCK98585X10412,205142,431SH SOLE 142,43100
YEXT INCCOMMON STOCK98585N1061,711142,212SH SOLE 142,21200
YORK WATER COCOMMON STOCK98718410877417,711SH SOLE 17,71100
YUM BRANDS INCCOMMON STOCK98849810163,729521,044SH SOLE 521,04400
YUM CHINA HOLDINGS INCCOMMON STOCK98850P10923,714408,080SH SOLE 408,08000
ZEBRA TECHNOLOGIES CORP CL ACOMMON STOCK98920710548,14993,417SH SOLE 93,41700
ZENDESK INCCOMMON STOCK98936J10125,023214,996SH SOLE 214,99600
ZILLOW GROUP INC ACOMMON STOCK98954M1019,050102,169SH SOLE 102,16900
ZILLOW GROUP INC CCOMMON STOCK98954M20027,460311,554SH SOLE 311,55400
ZIMMER BIOMET HOLDINGS INCCOMMON STOCK98956P10253,362364,592SH SOLE 364,59200
ZIONS BANCORP NACOMMON STOCK98970110716,866272,523SH SOLE 272,52300
ZIOPHARM ONCOLOGY INCCOMMON STOCK98973P101525288,592SH SOLE 288,59200
ZIX CORPCOMMON STOCK98974P10021129,869SH SOLE 29,86900
ZOETIS INCCOMMON STOCK98978V103160,699827,750SH SOLE 827,75000
ZOGENIX INCCOMMON STOCK98978L2041,08571,439SH SOLE 71,43900
ZSCALER INCCOMMON STOCK98980G10236,327138,536SH SOLE 138,53600
ZUMIEZ INCCOMMON STOCK9898171011,17829,630SH SOLE 29,63000
ZUORA INC CLASS ACOMMON STOCK98983V1062,508151,286SH SOLE 151,28600
ZYNEX INCCOMMON STOCK98986M10331827,944SH SOLE 27,94400
ZYNGA INC CL ACOMMON STOCK98986T10812,2201,622,862SH SOLE 1,622,86200
1LIFE HEALTHCARE INCCOMMON STOCK68269G1072,642130,456SH SOLE 130,45600
ARCUTIS BIOTHERAPEUTICS INCCOMMON STOCK03969K10884835,513SH SOLE 35,51300
BEAM THERAPEUTICS INCCOMMON STOCK07373V1054,57252,546SH SOLE 52,54600
BERRY CORPCOMMON STOCK08579X10126336,441SH SOLE 36,44100
BLACK DIAMOND THERAPEUTICS ICOMMON STOCK09203E10525730,321SH SOLE 30,32100
CASPER SLEEP INCCOMMON STOCK1476261056615,569SH SOLE 15,56900
EMERALD HOLDING INCCOMMON STOCK29103W1046013,852SH SOLE 13,85200
ENERPAC TOOL GROUP CORPCOMMON STOCK2927651041,69781,849SH SOLE 81,84900
ENVISTA HOLDINGS CORPCOMMON STOCK29415F10411,318270,697SH SOLE 270,69700
EQUITABLE HOLDINGS INCCOMMON STOCK29452E10120,477690,841SH SOLE 690,84100
ESSENTIAL UTILITIES INCCOMMON STOCK29670G10221,365463,640SH SOLE 463,64000
FEDERATED HERMES INCCOMMON STOCK3142111034,150127,701SH SOLE 127,70100
HOWMET AEROSPACE INCCOMMON STOCK44320110821,346684,162SH SOLE 684,16200
INGERSOLL RAND INCCOMMON STOCK45687V10635,487703,974SH SOLE 703,97400
ONEWATER MARINE INC CL ACOMMON STOCK68280L1012235,544SH SOLE 5,54400
PERDOCEO EDUCATION CORPCOMMON STOCK71363P1061,01095,616SH SOLE 95,61600
PPD INCCOMMON STOCK69355F10211,856253,378SH SOLE 253,37800
PRECIGEN INCCOMMON STOCK74017N105634127,005SH SOLE 127,00500
REVOLUTION MEDICINES INCCOMMON STOCK76155X1001,95671,114SH SOLE 71,11400
REYNOLDS CONSUMER PRODUCTS ICOMMON STOCK76171L1062,69198,416SH SOLE 98,41600
SCHRODINGER INCCOMMON STOCK80810D1033,53464,635SH SOLE 64,63500
SITIME CORPCOMMON STOCK82982T1063,48117,051SH SOLE 17,05100
TRANE TECHNOLOGIES PLCCOMMON STOCKG8994E10372,782421,557SH SOLE 421,55700
10X GENOMICS INC CLASS ACOMMON STOCK88025U10920,202138,766SH SOLE 138,76600
A MARK PRECIOUS METALS INCCOMMON STOCK00181T1072834,711SH SOLE 4,71100
ADAPTHEALTH CORPCOMMON STOCK00653Q1022,380102,184SH SOLE 102,18400
ALTA EQUIPMENT GROUP INCCOMMON STOCK02128L10614710,739SH SOLE 10,73900
AON PLC CLASS ACOMMON STOCKG0403H10896,589337,996SH SOLE 337,99600
API GROUP CORPCOMMON STOCK00187Y1004,534222,793SH SOLE 222,79300
APOLLO GLOBAL MANAGEMENT INCCOMMON STOCK03768E10519,233312,269SH SOLE 312,26900
ARBOR REALTY TRUST INCREIT0389231083,278176,903SH SOLE 176,90300
ARCONIC CORPCOMMON STOCK03966V1074,623146,589SH SOLE 146,58900
ARCTURUS THERAPEUTICS HOLDINCOMMON STOCK03969T1091,36828,640SH SOLE 28,64000
ASPEN AEROGELS INCCOMMON STOCK04523Y10555011,954SH SOLE 11,95400
ASPIRA WOMEN S HEALTH INCCOMMON STOCK04537Y10926280,504SH SOLE 80,50400
ATLANTICUS HOLDINGS CORPCOMMON STOCK04914Y1021633,078SH SOLE 3,07800
ATOMERA INCCOMMON STOCK04965B10025310,963SH SOLE 10,96300
BRISTOW GROUP INCCOMMON STOCK11040G10360018,849SH SOLE 18,84900
BROADMARK REALTY CAPITAL INCREIT11135B1001,707173,078SH SOLE 173,07800
BROOKFIELD INFRASTRUCTURE ACOMMON STOCK11275Q1071,73628,990SH SOLE 28,99000
CARLYLE GROUP INC THECOMMON STOCK14316J10813,370282,775SH SOLE 282,77500
CARRIER GLOBAL CORPCOMMON STOCK14448C10477,0911,489,396SH SOLE 1,489,39600
CASSAVA SCIENCES INCCOMMON STOCK14817C1073,22551,956SH SOLE 51,95600
CHAMPIONX CORPCOMMON STOCK15872M1046,135274,367SH SOLE 274,36700
CLOUDFLARE INC CLASS ACOMMON STOCK18915M10748,224428,090SH SOLE 428,09000
CONTANGO OIL GASCOMMON STOCK21075N204773169,115SH SOLE 169,11500
COVENANT LOGISTICS GROUP INCCOMMON STOCK22284P1051886,807SH SOLE 6,80700
CROWDSTRIKE HOLDINGS INC ACOMMON STOCK22788C10582,995337,681SH SOLE 337,68100
CTO REALTY GROWTH INCREIT22948Q1011703,155SH SOLE 3,15500
DERMTECH INCCOMMON STOCK24984K10587727,315SH SOLE 27,31500
DURECT CORPORATIONCOMMON STOCK266605104391305,080SH SOLE 305,08000
EASTMAN KODAK COCOMMON STOCK27746140639357,769SH SOLE 57,76900
EXONE CO THECOMMON STOCK3021041042159,213SH SOLE 9,21300
FASTLY INC CLASS ACOMMON STOCK31188V1007,352181,796SH SOLE 181,79600
FORTRESS BIOTECH INCCOMMON STOCK34960Q10912438,565SH SOLE 38,56500
FRANCHISE GROUP INCCOMMON STOCK35180X1051,24235,064SH SOLE 35,06400
FRONTLINE LTDCOMMON STOCKG3682E19260464,489SH SOLE 64,48900
FUELCELL ENERGY INCCOMMON STOCK35952H6012,948440,624SH SOLE 440,62400
FULGENT GENETICS INCCOMMON STOCK3596641092,39226,594SH SOLE 26,59400
GAN LTDCOMMON STOCKG3728V10973149,169SH SOLE 49,16900
GLOBANT SACOMMON STOCKL4438510911,42040,640SH SOLE 40,64000
GREENSKY INC CLASS ACOMMON STOCK39572G10043338,720SH SOLE 38,72000
GRID DYNAMICS HOLDINGS INCCOMMON STOCK39813G1091,59254,468SH SOLE 54,46800
GROWGENERATION CORPCOMMON STOCK39986L1091,67267,758SH SOLE 67,75800
HARVARD BIOSCIENCE INCCOMMON STOCK41690610515321,851SH SOLE 21,85100
IBIO INCCOMMON STOCK451033203123116,255SH SOLE 116,25500
ICAD INCCOMMON STOCK44934S20612711,814SH SOLE 11,81400
IDEAYA BIOSCIENCES INCCOMMON STOCK45166A10245117,700SH SOLE 17,70000
IHEARTMEDIA INC CLASS ACOMMON STOCK45174J5093,801151,916SH SOLE 151,91600
IMMUNIC INCCOMMON STOCK4525EP101889,956SH SOLE 9,95600
IMMUNOVANT INCCOMMON STOCK45258J10243850,396SH SOLE 50,39600
INFUSYSTEM HOLDINGS INCCOMMON STOCK45685K1021269,653SH SOLE 9,65300
IVERIC BIO INCCOMMON STOCK46583P1021,795110,554SH SOLE 110,55400
KEROS THERAPEUTICS INCCOMMON STOCK49232710174718,895SH SOLE 18,89500
KKR CO INCCOMMON STOCK48251W10457,044936,992SH SOLE 936,99200
LUNA INNOVATIONS INCCOMMON STOCK55035110015616,384SH SOLE 16,38400
MADISON SQUARE GARDEN ENTERTCOMMON STOCK55826T1022,48134,144SH SOLE 34,14400
MADISON SQUARE GARDEN SPORTSCOMMON STOCK55825T1035,27728,381SH SOLE 28,38100
MIMECAST LTDCOMMON STOCKG148381095,31483,554SH SOLE 83,55400
MONEYGRAM INTERNATIONAL INCCOMMON STOCK60935Y20838848,388SH SOLE 48,38800
NANTHEALTH INCCOMMON STOCK6301041072213,853SH SOLE 13,85300
NAUTILUS INCCOMMON STOCK63910B10238341,100SH SOLE 41,10000
NEOLEUKIN THERAPEUTICS INCCOMMON STOCK64049K10435348,775SH SOLE 48,77500
ORIC PHARMACEUTICALS INCCOMMON STOCK68622P10976236,443SH SOLE 36,44300
OTIS WORLDWIDE CORPCOMMON STOCK68902V10761,970753,157SH SOLE 753,15700
OVINTIV INCCOMMON STOCK69047Q10212,200371,040SH SOLE 371,04000
PAE INCCOMMON STOCK69290Y10954991,800SH SOLE 91,80000
PASSAGE BIO INCCOMMON STOCK70271210039739,810SH SOLE 39,81000
PAVMED INCCOMMON STOCK70387R10633238,831SH SOLE 38,83100
PELOTON INTERACTIVE INC ACOMMON STOCK70614W10040,794468,628SH SOLE 468,62800
PLYMOUTH INDUSTRIAL REIT INCREIT72964010236015,822SH SOLE 15,82200
PREMIER FINANCIAL CORPCOMMON STOCK74052F1081,61150,601SH SOLE 50,60100
PRIMO WATER CORPCOMMON STOCK74167P1081,33584,916SH SOLE 84,91600
PROVENTION BIO INCCOMMON STOCK74374N10244168,885SH SOLE 68,88500
QUANTUM CORPCOMMON STOCK74790650116531,802SH SOLE 31,80200
QUOTIENT LTDCOMMON STOCKG73268107246105,258SH SOLE 105,25800
RANPAK HOLDINGS CORPCOMMON STOCK75321W1031,41252,662SH SOLE 52,66200
RAYTHEON TECHNOLOGIES CORPCOMMON STOCK75513E101226,6482,636,673SH SOLE 2,636,67300
RELMADA THERAPEUTICS INCCOMMON STOCK75955J40246317,656SH SOLE 17,65600
REPAY HOLDINGS CORPCOMMON STOCK76029L1002,520109,406SH SOLE 109,40600
RETRACTABLE TECHNOLOGIES INCCOMMON STOCK76129W1051039,361SH SOLE 9,36100
SAPIENS INTERNATIONAL CORPCOMMON STOCKG7T16G10348116,699SH SOLE 16,69900
SELECTA BIOSCIENCES INCCOMMON STOCK81621210421050,415SH SOLE 50,41500
SHARPS COMPLIANCE CORPCOMMON STOCK820017101647,679SH SOLE 7,67900
SHYFT GROUP INC THECOMMON STOCK8256981031,70144,751SH SOLE 44,75100
SMITH MICRO SOFTWARE INCCOMMON STOCK83215420712625,965SH SOLE 25,96500
SOLAREDGE TECHNOLOGIES INCCOMMON STOCK83417M10412,17545,904SH SOLE 45,90400
STEREOTAXIS INCCOMMON STOCK85916J40914426,749SH SOLE 26,74900
STONECO LTD ACOMMON STOCKG851581066,690192,690SH SOLE 192,69000
SUPER MICRO COMPUTER INCCOMMON STOCK86800U1042,05956,293SH SOLE 56,29300
TRADEWEB MARKETS INC CLASS ACOMMON STOCK89267210614,871184,088SH SOLE 184,08800
TURTLE BEACH CORPCOMMON STOCK9004502062258,077SH SOLE 8,07700
UFP INDUSTRIES INCCOMMON STOCK90278Q1085,67683,496SH SOLE 83,49600
VAXART INCCOMMON STOCK92243A2001,308164,534SH SOLE 164,53400
VERASTEM INCCOMMON STOCK92337C10428692,888SH SOLE 92,88800
VERITONE INCCOMMON STOCK92347M10091138,143SH SOLE 38,14300
VERTIV HOLDINGS COCOMMON STOCK92537N10811,113461,291SH SOLE 461,29100
VERU INCCOMMON STOCK92536C10373586,156SH SOLE 86,15600
VIEMED HEALTHCARE INCCOMMON STOCK92663R10510619,113SH SOLE 19,11300
VIRGIN GALACTIC HOLDINGS INCCOMMON STOCK92766K1066,681264,085SH SOLE 264,08500
VISTRA CORPCOMMON STOCK92840M10213,642797,780SH SOLE 797,78000
VIVINT SMART HOME INCCOMMON STOCK928542109950100,499SH SOLE 100,49900
VOXX INTERNATIONAL CORPCOMMON STOCK91829F1041038,960SH SOLE 8,96000
WORKHORSE GROUP INCCOMMON STOCK98138J2061,204157,340SH SOLE 157,34000
XOMA CORPCOMMON STOCK98419J206803,237SH SOLE 3,23700
XPEL INCCOMMON STOCK98379L1001,76823,304SH SOLE 23,30400
XPERI HOLDING CORPCOMMON STOCK98390M1032,693142,962SH SOLE 142,96200
ZENTALIS PHARMACEUTICALS INCCOMMON STOCK98943L1072,41836,286SH SOLE 36,28600
ZOOM VIDEO COMMUNICATIONS ACOMMON STOCK98980L10197,114371,373SH SOLE 371,37300
WASTE CONNECTIONS INCCOMMON STOCK94106B10127,779220,591SH SOLE 220,59100
COMPUGEN LTDCOMMON STOCKM2572210555793,319SH SOLE 93,31900
FIVERR INTERNATIONAL LTDCOMMON STOCKM4R82T1065,75231,485SH SOLE 31,48500
INMODE LTDCOMMON STOCKM5425M1034,31827,083SH SOLE 27,08300
ACCEL ENTERTAINMENT INCCOMMON STOCK00436Q10692776,361SH SOLE 76,36100
ACCOLADE INCCOMMON STOCK00437E1022,26353,655SH SOLE 53,65500
ACUTUS MEDICAL INCCOMMON STOCK005111109859,599SH SOLE 9,59900
AKOUOS INCCOMMON STOCK00973J10132828,225SH SOLE 28,22500
ALBERTSONS COS INC CLASS ACOMMON STOCK0130911034,156133,509SH SOLE 133,50900
ALLOVIR INCCOMMON STOCK0198181031,13645,343SH SOLE 45,34300
ALTABANCORPCOMMON STOCK02134710987419,790SH SOLE 19,79000
ALX ONCOLOGY HOLDINGS INCCOMMON STOCK00166B1051,19416,170SH SOLE 16,17000
AMERICAN NATIONAL GROUP INCCOMMON STOCK02772A1092,01310,651SH SOLE 10,65100
AMERICAN OUTDOOR BRANDS INCCOMMON STOCK02875D1091967,984SH SOLE 7,98400
ANNEXON INCCOMMON STOCK03589W10254729,379SH SOLE 29,37900
APPLIED MOLECULAR TRANSPORTCOMMON STOCK03824M10958622,667SH SOLE 22,66700
AVIDITY BIOSCIENCES INCCOMMON STOCK05370A1081,19348,422SH SOLE 48,42200
AVIENT CORPCOMMON STOCK05368V1065,745123,943SH SOLE 123,94300
AZEK CO INC THECOMMON STOCK05478C1056,603180,764SH SOLE 180,76400
BERKELEY LIGHTS INCCOMMON STOCK08431010150725,917SH SOLE 25,91700
BIGCOMMERCE HOLDINGS SER 1COMMON STOCK08975P1082,90457,352SH SOLE 57,35200
BROOKFIELD RENEWABLE COR ACOMMON STOCK11284V1055,065130,510SH SOLE 130,51000
CAESARS ENTERTAINMENT INCCOMMON STOCK12769G10040,524360,915SH SOLE 360,91500
CARPARTS COM INCCOMMON STOCK14427M10787155,772SH SOLE 55,77200
DANAHER CORPCOMMON STOCK235851102347,6111,141,804SH SOLE 1,141,80400
DUCK CREEK TECHNOLOGIES INCCOMMON STOCK2641201064,17194,270SH SOLE 94,27000
DUN BRADSTREET HOLDINGS INCOMMON STOCK26484T1062,323138,220SH SOLE 138,22000
DZS INCCOMMON STOCK2682111091119,055SH SOLE 9,05500
EROS STX GLOBAL CORPCOMMON STOCKG3788M114157171,134SH SOLE 171,13400
FATHOM HOLDINGS INCCOMMON STOCK31189V109742,786SH SOLE 2,78600
FORMA THERAPEUTICS HOLDINGSCOMMON STOCK34633R10473831,845SH SOLE 31,84500
GENERATION BIO COCOMMON STOCK37148K1001,34853,775SH SOLE 53,77500
GOHEALTH INC CLASS ACOMMON STOCK38046W10541582,447SH SOLE 82,44700
IBEX LTDCOMMON STOCKG4690M101513,026SH SOLE 3,02600
INARI MEDICAL INCCOMMON STOCK45332Y1092,80634,596SH SOLE 34,59600
INOZYME PHARMA INCCOMMON STOCK45790W108907,730SH SOLE 7,73000
ITEOS THERAPEUTICS INCCOMMON STOCK46565G10429410,902SH SOLE 10,90200
JAMF HOLDING CORPCOMMON STOCK47074L1052,88975,008SH SOLE 75,00800
LEMONADE INCCOMMON STOCK52567D1074,36065,068SH SOLE 65,06800
MAGNITE INCCOMMON STOCK55955D1004,770170,349SH SOLE 170,34900
MAXEON SOLAR TECHNOLOGIECOMMON STOCKY58473102181SH SOLE 8100
MCKESSON CORPCOMMON STOCK58155Q10356,069281,217SH SOLE 281,21700
MONTROSE ENVIRONMENTAL GROUPCOMMON STOCK6151111011,89030,617SH SOLE 30,61700
NCINO INCCOMMON STOCK63947U1075,46676,955SH SOLE 76,95500
NETSTREIT CORPREIT64119V3031,27253,776SH SOLE 53,77600
NEWAGE INCCOMMON STOCK65019410310071,728SH SOLE 71,72800
NKARTA INCCOMMON STOCK65487U10839914,356SH SOLE 14,35600
NURIX THERAPEUTICS INCCOMMON STOCK67080M10399833,312SH SOLE 33,31200
OAK STREET HEALTH INCCOMMON STOCK67181A1077,456175,304SH SOLE 175,30400
ODP CORP THECOMMON STOCK88337F1052,88971,933SH SOLE 71,93300
ONTRAK INCCOMMON STOCK68337310411311,302SH SOLE 11,30200
PLIANT THERAPEUTICS INCCOMMON STOCK72913910539123,163SH SOLE 23,16300
POSEIDA THERAPEUTICS INCCOMMON STOCK73730P10811315,514SH SOLE 15,51400
RACKSPACE TECHNOLOGY INCCOMMON STOCK75010210589562,911SH SOLE 62,91100
RELAY THERAPEUTICS INCCOMMON STOCK75943R1021,85558,843SH SOLE 58,84300
ROCKET COS INC CLASS ACOMMON STOCK77311W1015,310331,044SH SOLE 331,04400
ROYALTY PHARMA PLC CL ACOMMON STOCKG7709Q10415,800437,188SH SOLE 437,18800
SELECTQUOTE INCCOMMON STOCK8163073001,542119,237SH SOLE 119,23700
STONEX GROUP INCCOMMON STOCK8618961081,50422,815SH SOLE 22,81500
TREAN INSURANCE GROUP INCCOMMON STOCK89457R101989,470SH SOLE 9,47000
VAXCYTE INCCOMMON STOCK92243G10897038,238SH SOLE 38,23800
VITAL FARMS INCCOMMON STOCK92847W10346126,225SH SOLE 26,22500
VROOM INCCOMMON STOCK92918V1093,531159,984SH SOLE 159,98400
WHITING PETROLEUM CORPCOMMON STOCK9663875083,11653,350SH SOLE 53,35000
WILLSCOT MOBILE MINI HOLDINGCOMMON STOCK9713781048,063254,203SH SOLE 254,20300
CHEWY INC CLASS ACOMMON STOCK16679L1096,40193,980SH SOLE 93,98000
AARON S CO INC THECOMMON STOCK00258W1081,26345,845SH SOLE 45,84500
ACADEMY SPORTS OUTDOORS INCOMMON STOCK00402L1074,449111,181SH SOLE 111,18100
ALIGOS THERAPEUTICS INCCOMMON STOCK01626L10549832,126SH SOLE 32,12600
ALLEGRO MICROSYSTEMS INCCOMMON STOCK01749D1052,60781,558SH SOLE 81,55800
AMERICAN WELL CORP CLASS ACOMMON STOCK03044L1051,290141,569SH SOLE 141,56900
APARTMENT INCOME REIT COREIT03750L10913,243271,311SH SOLE 271,31100
ARRAY TECHNOLOGIES INCCOMMON STOCK04271T1003,016162,868SH SOLE 162,86800
ATEA PHARMACEUTICALS INCCOMMON STOCK04683R1061,69948,466SH SOLE 48,46600
ATHIRA PHARMA INCCOMMON STOCK04746L10416317,419SH SOLE 17,41900
BALLY S CORPCOMMON STOCK05875B1062,19243,711SH SOLE 43,71100
BIODESIX INCCOMMON STOCK09075X108546,559SH SOLE 6,55900
BLUEGREEN VACATIONS HOLDINGCOMMON STOCK0963081012118,191SH SOLE 8,19100
C4 THERAPEUTICS INCCOMMON STOCK12529R1071,32829,732SH SOLE 29,73200
CARTER BANKSHARES INCCOMMON STOCK14610310619913,963SH SOLE 13,96300
CENTERSPACEREIT15202L1071,73618,367SH SOLE 18,36700
CHINOOK THERAPEUTICS INCCOMMON STOCK16961L10622717,762SH SOLE 17,76200
CMC MATERIALS INCCOMMON STOCK12571T1004,90539,802SH SOLE 39,80200
CODIAK BIOSCIENCES INCCOMMON STOCK1920101061388,426SH SOLE 8,42600
CONCENTRIX CORPCOMMON STOCK20602D10113,19974,570SH SOLE 74,57000
CORSAIR GAMING INCCOMMON STOCK22041X10296737,298SH SOLE 37,29800
DATTO HOLDING CORPCOMMON STOCK23821D10049020,515SH SOLE 20,51500
DYNE THERAPEUTICS INCCOMMON STOCK26818M10857135,183SH SOLE 35,18300
EARGO INCCOMMON STOCK27008710913419,843SH SOLE 19,84300
EASTERN BANKSHARES INCCOMMON STOCK27627N1054,687230,863SH SOLE 230,86300
FIRST HORIZON CORPCOMMON STOCK32051710515,036922,999SH SOLE 922,99900
FOGHORN THERAPEUTICS INCCOMMON STOCK34417410715811,371SH SOLE 11,37100
GATOS SILVER INCCOMMON STOCK36803610929225,070SH SOLE 25,07000
GLATFELTER CORPCOMMON STOCK37732010684459,887SH SOLE 59,88700
HARMONY BIOSCIENCES HOLDINGSCOMMON STOCK4131971041,00026,080SH SOLE 26,08000
INHIBRX INCCOMMON STOCK45720L10776022,823SH SOLE 22,82300
JFROG LTDCOMMON STOCKM6191J1001,98759,309SH SOLE 59,30900
KRONOS BIO INCCOMMON STOCK50107A10472834,743SH SOLE 34,74300
KYMERA THERAPEUTICS INCCOMMON STOCK5015751042,40640,964SH SOLE 40,96400
LAIRD SUPERFOOD INCCOMMON STOCK50736T102633,322SH SOLE 3,32200
LESLIE S INCCOMMON STOCK5270641094,453216,812SH SOLE 216,81200
MCAFEE CORP CLASS ACOMMON STOCK5790631082,609117,986SH SOLE 117,98600
MEDIAALPHA INC CLASS ACOMMON STOCK58450V10444323,732SH SOLE 23,73200
MISSION PRODUCE INCCOMMON STOCK60510V10858131,614SH SOLE 31,61400
ONCORUS INCCOMMON STOCK68236R10310310,994SH SOLE 10,99400
OUTSET MEDICAL INCCOMMON STOCK6901451072,80356,687SH SOLE 56,68700
PACTIV EVERGREEN INCCOMMON STOCK69526K10574559,511SH SOLE 59,51100
PMV PHARMACEUTICALS INCCOMMON STOCK69353Y10369623,362SH SOLE 23,36200
PRAXIS PRECISION MEDICINES ICOMMON STOCK74006W10865435,358SH SOLE 35,35800
PRELUDE THERAPEUTICS INCCOMMON STOCK74065P10142313,524SH SOLE 13,52400
PROG HOLDINGS INCCOMMON STOCK74319R1013,84591,523SH SOLE 91,52300
PULMONX CORPCOMMON STOCK7458481011,09330,368SH SOLE 30,36800
SEAGEN INCCOMMON STOCK81181C10439,827234,553SH SOLE 234,55300
SHATTUCK LABS INCCOMMON STOCK82024L10353726,342SH SOLE 26,34200
SPRUCE BIOSCIENCES INCCOMMON STOCK85209E109284,640SH SOLE 4,64000
SQZ BIOTECHNOLOGIES COCOMMON STOCK78472W10417612,224SH SOLE 12,22400
STEPSTONE GROUP INC CLASS ACOMMON STOCK85914M1072,27853,433SH SOLE 53,43300
STRIDE INCCOMMON STOCK86333M1082,01055,921SH SOLE 55,92100
SUMO LOGIC INCCOMMON STOCK86646P10374746,358SH SOLE 46,35800
TARSUS PHARMACEUTICALS INCCOMMON STOCK87650L103974,520SH SOLE 4,52000
TAYSHA GENE THERAPIES INCCOMMON STOCK87761910648325,954SH SOLE 25,95400
TERMINIX GLOBAL HOLDINGS INCCOMMON STOCK88087E1008,865212,746SH SOLE 212,74600
TRAVERE THERAPEUTICS INCCOMMON STOCK89422G1071,84476,030SH SOLE 76,03000
UNITY SOFTWARE INCCOMMON STOCK91332U10124,166191,413SH SOLE 191,41300
VIATRIS INCCOMMON STOCK92556V10628,7102,118,851SH SOLE 2,118,85100
VONTIER CORPCOMMON STOCK9288811019,574284,928SH SOLE 284,92800
CALIFORNIA RESOURCES CORPCOMMON STOCK13057Q3053,40483,013SH SOLE 83,01300
DRAFTKINGS INC CL ACOMMON STOCK26142R10426,067541,254SH SOLE 541,25400
SNOWFLAKE INC CLASS ACOMMON STOCK83344510999,439328,801SH SOLE 328,80100
ATLAS CORPCOMMON STOCKY0436Q1091,42793,942SH SOLE 93,94200
FUTU HOLDINGS LTD ADRCOMMON STOCK36118L1065,92965,142SH SOLE 65,14200
NANO X IMAGING LTDCOMMON STOCKM7070010584237,436SH SOLE 37,43600
TARO PHARMACEUTICAL INDUSCOMMON STOCKM8737E10868910,823SH SOLE 10,82300
4D MOLECULAR THERAPEUTICS INCOMMON STOCK35104E10060022,265SH SOLE 22,26500
908 DEVICES INCCOMMON STOCK65443P10241412,716SH SOLE 12,71600
AMALGAMATED FINANCIAL CORPCOMMON STOCK02267110130119,054SH SOLE 19,05400
ANGION BIOMEDICA CORPCOMMON STOCK03476J10711511,762SH SOLE 11,76200
APA CORPCOMMON STOCK03743Q10813,666637,717SH SOLE 637,71700
APRIA INCCOMMON STOCK03836A10173319,725SH SOLE 19,72500
ATKORE INCCOMMON STOCK0476491085,50763,355SH SOLE 63,35500
AXONICS INCCOMMON STOCK05465P1013,42652,630SH SOLE 52,63000
BIOATLA INCCOMMON STOCK09077B10471224,183SH SOLE 24,18300
BIOVENTUS INC ACOMMON STOCK09075A1081238,676SH SOLE 8,67600
BM TECHNOLOGIES INCCOMMON STOCK05591L107596,632SH SOLE 6,63200
BOLT BIOTHERAPEUTICS INCCOMMON STOCK09770210429423,230SH SOLE 23,23000
BROADSTONE NET LEASE INCREIT11135E2035,035202,938SH SOLE 202,93800
C3 AI INC ACOMMON STOCK12468P1042,88862,314SH SOLE 62,31400
CERTARA INCCOMMON STOCK15687V1094,727142,796SH SOLE 142,79600
COGNYTE SOFTWARE LTDCOMMON STOCKM251331051,46071,059SH SOLE 71,05900
CULLINAN ONCOLOGY INCCOMMON STOCK23003110655724,668SH SOLE 24,66800
DIME COMMUNITY BANCSHARES INCOMMON STOCK25432X1021,50346,031SH SOLE 46,03100
DRIVEN BRANDS HOLDINGS INCCOMMON STOCK26210V1022,32980,632SH SOLE 80,63200
HOME POINT CAPITAL INCCOMMON STOCK43734L106163,823SH SOLE 3,82300
HYDROFARM HOLDINGS GROUP INCCOMMON STOCK44888K2091,53540,563SH SOLE 40,56300
IMMUNITYBIO INCCOMMON STOCK45256X10397499,968SH SOLE 99,96800
INDUS REALTY TRUST INCREIT45580R1031642,342SH SOLE 2,34200
KINNATE BIOPHARMA INCCOMMON STOCK49705R10552622,837SH SOLE 22,83700
LANDOS BIOPHARMA INCCOMMON STOCK515069102372,530SH SOLE 2,53000
LUMEN TECHNOLOGIES INCCOMMON STOCK55024110322,5131,817,032SH SOLE 1,817,03200
MARAVAI LIFESCIENCES HLDGS ACOMMON STOCK56600D1079,361190,724SH SOLE 190,72400
MODIVCARE INCCOMMON STOCK60783X1043,09517,041SH SOLE 17,04100
NEOGAMES SACOMMON STOCKL6673X1073569,707SH SOLE 9,70700
NEXIMMUNE INCCOMMON STOCK65344D1091449,539SH SOLE 9,53900
NOV INCCOMMON STOCK62955J1038,706664,077SH SOLE 664,07700
OLEMA PHARMACEUTICALS INCCOMMON STOCK68062P10637513,613SH SOLE 13,61300
ON24 INCCOMMON STOCK68339B10444022,053SH SOLE 22,05300
ORTHO CLINICAL DIAGNOSTICS HCOMMON STOCKG6829J1072,531136,957SH SOLE 136,95700
PETCO HEALTH AND WELLNESS COCOMMON STOCK71601V1052,569121,766SH SOLE 121,76600
PLAYTIKA HOLDING CORPCOMMON STOCK72815L1072,50390,575SH SOLE 90,57500
PRIMIS FINANCIAL CORPCOMMON STOCK74167B10918812,994SH SOLE 12,99400
SANA BIOTECHNOLOGY INCCOMMON STOCK7995661041,05146,652SH SOLE 46,65200
SEER INCCOMMON STOCK81578P1061,65848,012SH SOLE 48,01200
SENSEI BIOTHERAPEUTICS INCCOMMON STOCK81728A10811911,291SH SOLE 11,29100
SHOALS TECHNOLOGIES GROUP ACOMMON STOCK82489W1074,485160,879SH SOLE 160,87900
SIGILON THERAPEUTICS INCCOMMON STOCK82657L107427,402SH SOLE 7,40200
SIGNIFY HEALTH INC CLASS ACOMMON STOCK82671G1001,46281,800SH SOLE 81,80000
SILVERBACK THERAPEUTICS INCCOMMON STOCK82835W10819619,684SH SOLE 19,68400
SIRIUSPOINT LTDCOMMON STOCKG8192H1061,108119,701SH SOLE 119,70100
SOTERA HEALTH COCOMMON STOCK83601L1024,089156,377SH SOLE 156,37700
TALIS BIOMEDICAL CORPCOMMON STOCK87424L108497,775SH SOLE 7,77500
TELOS CORPORATIONCOMMON STOCK87969B1011,00435,322SH SOLE 35,32200
TERNS PHARMACEUTICALS INCCOMMON STOCK880881107484,639SH SOLE 4,63900
TRAVEL LEISURE COCOMMON STOCK8941641027,894144,771SH SOLE 144,77100
TRI POINTE HOMES INCCOMMON STOCK87265H1093,349159,306SH SOLE 159,30600
TRIPLE S MANAGEMENT CORPCOMMON STOCK8967491081,12331,757SH SOLE 31,75700
TRITON INTERNATIONAL LTDCOMMON STOCKG9078F1074,75391,324SH SOLE 91,32400
UPSTART HOLDINGS INCCOMMON STOCK91680M10718,40458,160SH SOLE 58,16000
VIANT TECHNOLOGY INC ACOMMON STOCK92557A101786,398SH SOLE 6,39800
VOR BIOPHARMA INCCOMMON STOCK92903310816110,252SH SOLE 10,25200
NEW ORIENTAL EDUCATIO SP ADRCOMMON STOCK6475811079948,206SH SOLE 48,20600
TAL EDUCATION GROUP ADRCOMMON STOCK8740801046413,206SH SOLE 13,20600
TRIP COM GROUP LTD ADRCOMMON STOCK89677Q10781326,450SH SOLE 26,45000
JANUS HENDERSON GROUP PLCCOMMON STOCKG4474Y21411,358274,819SH SOLE 274,81900
9 METERS BIOPHARMA INCCOMMON STOCK654405109149114,426SH SOLE 114,42600
ACLARIS THERAPEUTICS INCCOMMON STOCK00461U1051,14963,821SH SOLE 63,82100
ADICET BIO INCCOMMON STOCK0070021088811,240SH SOLE 11,24000
ADVANTAGE SOLUTIONS INCCOMMON STOCK00791N10281394,029SH SOLE 94,02900
ADVENT TECHNOLOGIES HOLDINGSCOMMON STOCK00788A105809,204SH SOLE 9,20400
AEMETIS INCCOMMON STOCK00770K20227815,230SH SOLE 15,23000
AERSALE CORPCOMMON STOCK00810F106834,876SH SOLE 4,87600
AEVA TECHNOLOGIES INCCOMMON STOCK00835Q10332941,442SH SOLE 41,44200
AFC GAMMA INCREIT00109K1051175,414SH SOLE 5,41400
AGEAGLE AERIAL SYSTEMS INCCOMMON STOCK00848K10110936,214SH SOLE 36,21400
AGILITI INCCOMMON STOCK00848J10423212,203SH SOLE 12,20300
AGILON HEALTH INCCOMMON STOCK00857U1071,55459,295SH SOLE 59,29500
AKOYA BIOSCIENCES INCCOMMON STOCK00974H104574,074SH SOLE 4,07400
ALDEYRA THERAPEUTICS INCCOMMON STOCK01438T10623026,203SH SOLE 26,20300
ALIGNMENT HEALTHCARE INCCOMMON STOCK01625V10422714,220SH SOLE 14,22000
ALKAMI TECHNOLOGY INCCOMMON STOCK01644J108923,737SH SOLE 3,73700
ALPINE IMMUNE SCIENCES INCCOMMON STOCK02083G100666,215SH SOLE 6,21500
ALTIMMUNE INCCOMMON STOCK02155H20024221,418SH SOLE 21,41800
ALTO INGREDIENTS INCCOMMON STOCK02151310647295,617SH SOLE 95,61700
ALTUS MIDSTREAM CO ACOMMON STOCK02215L2091201,745SH SOLE 1,74500
AMMO INCCOMMON STOCK00175J10728646,526SH SOLE 46,52600
AMPIO PHARMACEUTICALS INCCOMMON STOCK03209T109180108,326SH SOLE 108,32600
APPHARVEST INCCOMMON STOCK03783T10353982,653SH SOLE 82,65300
AQUABOUNTY TECHNOLOGIESCOMMON STOCK03842K20011528,330SH SOLE 28,33000
ARBUTUS BIOPHARMA CORPCOMMON STOCK03879J10018142,163SH SOLE 42,16300
ARCIMOTO INCCOMMON STOCK03958710016914,800SH SOLE 14,80000
ARKO CORPCOMMON STOCK0412421081,072106,128SH SOLE 106,12800
ASANA INC CL ACOMMON STOCK04342Y10410,572101,814SH SOLE 101,81400
ASENSUS SURGICAL INCCOMMON STOCK04367G103234126,397SH SOLE 126,39700
ASHFORD HOSPITALITY TRUSTREIT0441038691359,188SH SOLE 9,18800
ATERIAN INCCOMMON STOCK02156U10127325,185SH SOLE 25,18500
ATLAS TECHNICAL CONSULTANTSCOMMON STOCK049430101747,276SH SOLE 7,27600
ATOSSA THERAPEUTICS INCCOMMON STOCK04962H50620663,052SH SOLE 63,05200
AUDACY INCCOMMON STOCK05070N103606164,706SH SOLE 164,70600
AVEANNA HEALTHCARE HOLDINGSCOMMON STOCK05356F10516620,758SH SOLE 20,75800
AVIAT NETWORKS INCCOMMON STOCK05366Y2011715,201SH SOLE 5,20100
AVITA MEDICAL INCCOMMON STOCK05380C10222812,886SH SOLE 12,88600
BABCOCK WILCOX ENTERPRCOMMON STOCK05614L20919229,894SH SOLE 29,89400
BARNES NOBLE EDUCATION INCCOMMON STOCK06777U10121721,694SH SOLE 21,69400
BASSETT FURNITURE INDSCOMMON STOCK070203104975,364SH SOLE 5,36400
BEAM GLOBALCOMMON STOCK07373B1091304,753SH SOLE 4,75300
BEAUTY HEALTH CO THECOMMON STOCK88331L1081,22447,127SH SOLE 47,12700
BENTLEY SYSTEMS INC CLASS BCOMMON STOCK08265T20817,543289,290SH SOLE 289,29000
BIG 5 SPORTING GOODS CORPCOMMON STOCK08915P10125911,255SH SOLE 11,25500
BIOMEA FUSION INCCOMMON STOCK09077A106554,597SH SOLE 4,59700
BIONANO GENOMICS INCCOMMON STOCK09075F1072,096381,095SH SOLE 381,09500
BLACKSTONE INCCOMMON STOCK09260D107138,8091,193,130SH SOLE 1,193,13000
BLINK CHARGING COCOMMON STOCK09354A1001,45250,745SH SOLE 50,74500
BLUE RIDGE BANKSHARES INCCOMMON STOCK0958251051659,365SH SOLE 9,36500
BLUELINX HOLDINGS INCCOMMON STOCK09624H2082465,041SH SOLE 5,04100
BRAEMAR HOTELS RESORTS INCREIT10482B10113728,305SH SOLE 28,30500
BRIGHTSPIRE CAPITAL INCREIT10949T1091,083115,310SH SOLE 115,31000
BROOKLYN IMMUNOTHERAPEUTICSCOMMON STOCK11408210014916,029SH SOLE 16,02900
BTRS HOLDINGS INCCOMMON STOCK11778X10490084,546SH SOLE 84,54600
BUTTERFLY NETWORK INCCOMMON STOCK1241551021,879179,944SH SOLE 179,94400
BYRNA TECHNOLOGIES INCCOMMON STOCK12448X20122810,424SH SOLE 10,42400
CALLON PETROLEUM COCOMMON STOCK13123X5082,91959,474SH SOLE 59,47400
CANOO INCCOMMON STOCK13803R1021,117145,282SH SOLE 145,28200
CANTALOUPE INCCOMMON STOCK13810310680975,039SH SOLE 75,03900
CARDIFF ONCOLOGY INCCOMMON STOCK14147L10813019,539SH SOLE 19,53900
CARLOTZ INCCOMMON STOCK14255210836194,711SH SOLE 94,71100
CASTLIGHT HEALTH INC BCOMMON STOCK14862Q10010164,092SH SOLE 64,09200
CELCUITY INCCOMMON STOCK15102K100764,241SH SOLE 4,24100
CELLDEX THERAPEUTICS INCCOMMON STOCK15117B2023,06056,683SH SOLE 56,68300
CENTENNIAL RESOURCE DEVELO ACOMMON STOCK15136A1021,650246,248SH SOLE 246,24800
CENTRUS ENERGY CORP CLASS ACOMMON STOCK15643U1041965,074SH SOLE 5,07400
CEREVEL THERAPEUTICS HOLDINGCOMMON STOCK15678U1281,66656,480SH SOLE 56,48000
CHARGEPOINT HOLDINGS INCCOMMON STOCK15961R1051,80190,120SH SOLE 90,12000
CHESAPEAKE ENERGY CORPCOMMON STOCK1651677356,987113,438SH SOLE 113,43800
CHICKEN SOUP FOR THE SOUL ENCOMMON STOCK16842Q100883,852SH SOLE 3,85200
CITIUS PHARMACEUTICALS INCCOMMON STOCK17322U20712461,070SH SOLE 61,07000
CLARIVATE PLCCOMMON STOCKG2181010915,094689,216SH SOLE 689,21600
CLEANSPARK INCCOMMON STOCK18452B20920517,694SH SOLE 17,69400
CLEAR CHANNEL OUTDOOR HOLDINCOMMON STOCK18453H1061,261465,238SH SOLE 465,23800
CLEARPOINT NEURO INCCOMMON STOCK18507C10319010,723SH SOLE 10,72300
CLENE INCCOMMON STOCK1856341028412,238SH SOLE 12,23800
COGENT BIOSCIENCES INCCOMMON STOCK19240Q20116920,059SH SOLE 20,05900
COMMERCIAL VEHICLE GROUP INCCOMMON STOCK20260810516417,292SH SOLE 17,29200
CONSTELLIUM SECOMMON STOCKF211071011,25166,618SH SOLE 66,61800
COURSERA INCCOMMON STOCK22266M10498731,193SH SOLE 31,19300
CUREVAC NVCOMMON STOCKN2451R1052,53046,318SH SOLE 46,31800
CURIOSITYSTREAM INCCOMMON STOCK23130Q10739837,799SH SOLE 37,79900
CURIS INCCOMMON STOCK231269200806102,877SH SOLE 102,87700
CUSTOM TRUCK ONE SOURCE INCCOMMON STOCK23204X10323324,972SH SOLE 24,97200
DANIMER SCIENTIFIC INCCOMMON STOCK2362721001,50392,013SH SOLE 92,01300
DARIOHEALTH CORPCOMMON STOCK23725P209997,281SH SOLE 7,28100
DENBURY INCCOMMON STOCK24790A1014,78968,166SH SOLE 68,16600
DESIGN THERAPEUTICS INCCOMMON STOCK25056L1031067,242SH SOLE 7,24200
DESKTOP METAL INC ACOMMON STOCK25058X1051,485207,061SH SOLE 207,06100
DIGITAL MEDIA SOLUTIONS ACOMMON STOCK25401G106162,157SH SOLE 2,15700
DIGITALBRIDGE GROUP INCREIT25401T1084,018666,389SH SOLE 666,38900
DIGITALOCEAN HOLDINGS INCCOMMON STOCK25402D1022,07826,769SH SOLE 26,76900
DIVERSEY HOLDINGS LTDCOMMON STOCKG2892310369743,461SH SOLE 43,46100
DOORDASH INC ACOMMON STOCK25809K10538,286185,870SH SOLE 185,87000
DOUBLEVERIFY HOLDINGS INCCOMMON STOCK25862V10545613,362SH SOLE 13,36200
DRIVE SHACK INCCOMMON STOCK26207710012544,547SH SOLE 44,54700
DUCKHORN PORTFOLIO INC THECOMMON STOCK26414D10625010,900SH SOLE 10,90000
E2OPEN PARENT HOLDINGS INCCOMMON STOCK29788T1031,686149,164SH SOLE 149,16400
EDGEWISE THERAPEUTICS INCCOMMON STOCK28036F1051106,624SH SOLE 6,62400
EMCORE CORPCOMMON STOCK29084620314719,642SH SOLE 19,64200
EOS ENERGY ENTERPRISES INCCOMMON STOCK29415C10132623,222SH SOLE 23,22200
ESPORTS TECHNOLOGIES INC