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Parametric Portfolio Associates

Filed: 13 Feb 20, 7:00pm

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
10X GENOMICS INC-CLASS ACommon Stock88025U1091,30017,050SH SOLE 9,95207,098
1-800-FLOWERS.COM INCCommon Stock68243Q1061,884129,910SH SOLE 78,036051,874
1ST BUS FINL SVCS INC COMCommon Stock3193901002198,312SH SOLE 2,84605,466
1ST SOURCE CORPCommon Stock3369011031,42927,537SH SOLE 20,56606,971
22ND CENTY GROUP INC COMCommon Stock90137F1031311,528SH SOLE 11,3360192
2U INC COMCommon Stock90214J1014,545189,437SH SOLE 128,258061,179
3D SYSTEMS CORPCommon Stock88554D2051,165133,189SH SOLE 110,995022,194
3M COCommon Stock88579Y101318,3041,804,238SH SOLE 1,341,1070463,130
51 JON INC ADRADR3168271042,28326,890SH SOLE 25,49601,394
58.COM INC- ADRADR31680Q1047,896121,990SH SOLE 119,55802,432
8X8 INC NEW COMCommon Stock2829141002,640144,254SH SOLE 131,950012,304
A P MOLLAR-MAERSK A/S ADRADR00202F10210,0011,392,928SH SOLE 1,290,9500101,978
A10 NETWORKS INC COMCommon Stock0021211017210,528SH SOLE 9,6860842
AAC ACOUSTIC TECHNOLOG ADRADR0003041055,953686,649SH SOLE 671,654014,995
AAON INCCommon Stock0003602064,61093,309SH SOLE 68,938024,371
AAR CORPCommon Stock0003611055,200115,301SH SOLE 93,629021,672
AARON'S INCCommon Stock00253530013,503236,434SH SOLE 129,3840107,050
ABB LTD SPONSORED ADRADR00037520452,6182,184,243SH SOLE 1,500,3530683,890
ABBOTT LABORATORIESCommon Stock002824100566,9686,527,376SH SOLE 4,802,82701,724,549
ABBVIE INC. COMCommon Stock00287Y109408,5214,613,976SH SOLE 3,554,32501,059,651
ABEONA THERAPEUTICS INCCommon Stock00289Y10721364,987SH SOLE 64,906081
ABERCROMBIE & FITCH COCommon Stock0028962077,114411,425SH SOLE 258,4590152,966
ABERDEEN GLOBAL DYNAMIC DIVIDEND FUNDClosed-End Fund00302M1061,946187,122SH SOLE 171,437015,685
ABERDEEN GLOBAL PREMIER PROPERTIES FUNDClosed-End Fund00302L1089,1281,408,708SH SOLE 956,0080452,700
ABIOMED INC COMCommon Stock00365410015,17088,928SH SOLE 79,33609,592
ABM INDUSTRIES INCCommon Stock0009571008,368221,893SH SOLE 151,590070,303
ABRAXAS PETROLEUM CORPCommon Stock00383010638108,942SH SOLE 104,14904,793
ACACIA COMMUNICATIONS INCCommon Stock00401C1083,68154,284SH SOLE 19,627034,657
ACACIA RESH CORP ACACIA TCH COMCommon Stock003881307560210,374SH SOLE 208,25702,117
ACADIA HEALTHCARE CO COMCommon Stock00404A1099,323280,653SH SOLE 211,959068,694
ACADIA PHARMACEUTICALS INC COMCommon Stock0042251086,307147,428SH SOLE 91,162056,266
ACADIA REALTY TRUST REITREIT0042391094,570176,261SH SOLE 137,978038,283
ACCELERATE DIAGNOSTICS INCCommon Stock00430H10298958,502SH SOLE 24,847033,655
ACCELERON PHARMA INCCommon Stock00434H1082,09439,487SH SOLE 33,00006,487
ACCENTURE PLCCommon StockG1151C101464,8522,207,590SH SOLE 1,727,6410479,949
ACCO BRANDS CORP COMCommon Stock00081T1087,680820,511SH SOLE 295,2310525,280
ACCOR SA SPONSORED ADRADR00435F30911,1931,194,521SH SOLE 1,063,4860131,035
ACCURAY INCCommon Stock0043971057225,426SH SOLE 14,629010,797
ACELRX PHARMACEUTICALS INCCommon Stock00444T1002310,738SH SOLE 10,73800
ACER THERAPEUTICS INCCommon Stock00444P10839097,203SH SOLE 96,3850818
ACHILLION PHARMACEUTIC COMCommon Stock00448Q20111218,619SH SOLE 18,4300189
ACI WORLDWIDE INCCommon Stock00449810133,470883,462SH SOLE 179,1600704,302
ACLARIS THERAPEUTICS I COMCommon Stock00461U105247130,565SH SOLE 130,480085
ACORDA THERAPEUTICS INCCommon Stock00484M106577283,058SH SOLE 250,439032,619
ACS ACTIVIDADES CONS-UNS ADRADR00089H10615,4931,958,721SH SOLE 1,762,2540196,467
ACTIVISION BLIZZARD INCCommon Stock00507V109102,2691,721,116SH SOLE 1,412,9630308,153
ACTUA CORPCommon Stock00509410730106,129SH SOLE 1,0740105,055
ACUITY BRANDS INCCommon Stock00508Y1029,76470,755SH SOLE 65,46905,286
ACUSHNET HOLDINGS CORPCommon Stock0050981082,18967,347SH SOLE 38,547028,800
ADAMS DIVERSIFIED EQUITY FUNDClosed-End Fund0062121048,110514,244SH SOLE 421,910092,334
ADAPTIVE BIOTECHNOLOGIESCommon Stock00650F1091,15438,575SH SOLE 19,129019,446
ADDUS HOMECARE CORP COMCommon Stock0067391064,04841,634SH SOLE 17,577024,057
ADECCO SA - REG - UNSPON ADRADR00675420419,103603,862SH SOLE 546,792057,070
ADECOAGRO SACommon StockL008491062,787332,999SH SOLE 305,499027,500
Adesto Technologies CorpCommon Stock00687D10123427,562SH SOLE 16,707010,855
ADIDAS-SALOMON AG-SPON ADRADR00687A10767,633415,435SH SOLE 371,699043,736
ADIENT PLCCommon StockG0084W10111,791554,858SH SOLE 395,3380159,520
ADMA BIOLOGICS INCCommon Stock0008991047719,153SH SOLE 19,0330120
ADMIRAL GROUP ADRADR0071921073,432110,706SH SOLE 99,520011,186
ADOBE INCCommon Stock00724F101620,2421,880,603SH SOLE 1,292,9410587,662
ADTALEM GLOBAL EDUCATION INCCommon Stock00737L1034,052115,861SH SOLE 88,792027,069
ADTRAN INCCommon Stock00738A1062,000202,196SH SOLE 143,841058,355
ADVANCE AUTO PARTS INCCommon Stock00751Y10632,153200,754SH SOLE 169,717031,037
ADVANCED DISPOSAL SERVICES ICommon Stock00790X1014,613140,346SH SOLE 88,313052,033
ADVANCED DRAINAGE SYSTEMS INCCommon Stock00790R10411,034284,090SH SOLE 250,538033,552
ADVANCED EMISSIONS SOLUTIONS ICommon Stock00770C10125724,446SH SOLE 24,2030243
ADVANCED ENERGY INDUSTRIES INCCommon Stock0079731008,955125,771SH SOLE 115,491010,280
ADVANCED MICRO DEVICES INCCommon Stock007903107124,7302,719,801SH SOLE 2,400,2370319,564
ADVANSIX INCCommon Stock00773T1011,68684,486SH SOLE 68,077016,409
ADVANTEST CORP SPONSORED ADRADR00762U20074412,939SH SOLE 10,93902,000
ADVENT CONVERTIBLE AND INCOMEClosed-End Fund00764C10924,3851,568,154SH SOLE 1,079,8970488,257
ADVERUM BIOTECHNOLOGIES INCCommon Stock00773U10823320,264SH SOLE 15,21005,054
AECOMCommon Stock00766T10010,662247,210SH SOLE 199,072048,138
AEGEAN MARINE PETROLEUM NETWORCommon StockY0017S102039,600SH SOLE 0039,600
AEGION CORPCommon Stock00770F1041,74778,094SH SOLE 64,104013,990
AEGON N V ORD AMER REGNY Reg Shrs00792410310,3182,277,797SH SOLE 2,065,2140212,583
AEON CO LTD ADRADR0076271024,064195,936SH SOLE 168,137027,799
AERCAP HOLDINGS NV SHSCommon StockN0098510657,025927,695SH SOLE 487,3800440,315
AERIE PHARMACEUTICALS INCCommon Stock00771V1084,143171,419SH SOLE 87,599083,820
AEROJET ROCKETDYNE HOLDINGS INCCommon Stock0078001055,177113,379SH SOLE 104,61908,760
AEROVIRONMENT INCCommon Stock0080731083,23152,330SH SOLE 41,223011,107
AES CORP/THECommon Stock00130H10561,7773,104,385SH SOLE 2,007,30201,097,083
AFFILIATED MANAGERS GROUPCommon Stock00825210825,252297,991SH SOLE 179,7460118,245
AFFIMED N V COMCommon StockN010451087527,448SH SOLE 25,94301,505
AFLAC INCCommon Stock001055102193,3893,655,746SH SOLE 2,180,51001,475,237
AFYA LTD-CLASS ACommon StockG011251062629,664SH SOLE 9,66400
AG MORTGAGE INVESTMENT TRUST IREIT0012281051,35787,999SH SOLE 65,424022,575
AGC INC ADRADR00109C10310,6431,496,904SH SOLE 1,374,1430122,761
AGCO CORPCommon Stock00108410235,143454,921SH SOLE 185,1460269,775
AGEAS ADRADR00844W20840,412681,768SH SOLE 634,830046,938
AGENUS INCCommon Stock00847G70513733,686SH SOLE 32,30801,378
AGIC EQUITY & CONVERTIBLE INCOME FUNDClosed-End Fund0188291011,11048,995SH SOLE 33,240015,755
AGILENT TECHNOLOGIES INCCommon Stock00846U10175,211881,622SH SOLE 775,2740106,348
AGILYSYS INCCommon Stock00847J1051,32452,108SH SOLE 48,31203,796
AGIOS PHARMACEUTICALS INCCommon Stock00847X1044,39091,944SH SOLE 82,32309,621
AGL ENERGY LTD-SPON ADRADR0012012018,229581,127SH SOLE 529,743051,384
AGNC INVESTMENT CORPREIT00123Q10412,553710,038SH SOLE 450,9140259,124
AGNICO-EAGLE MINES LTDCommon Stock00847410811,757190,835SH SOLE 181,98208,853
AGREE REALTY CORP COM REITREIT0084921007,409105,581SH SOLE 97,15908,422
AGRICULTURAL BK CHINA ADRADR00850M1026,639604,059SH SOLE 590,108013,951
AIA GROUP LTDCommon StockY002A110524823,304SH SOLE 12,737010,567
AIA GROUP LTD SPONSORED ADRADR001317205118,5812,817,312SH SOLE 2,459,0660358,246
AIMMUNE THERAPEUTICS I COMCommon Stock00900T1073,08792,232SH SOLE 35,385056,847
AIR FRANCE KLM SPONSORED ADRADR00911910834631,432SH SOLE 31,43200
AIR LEASE GROUPCommon Stock00912X30210,497220,899SH SOLE 191,166029,733
AIR LIQUIDE ADRADR00912620256,1462,001,657SH SOLE 1,695,2070306,450
AIR PRODUCTS & CHEMICALS INCCommon Stock009158106173,364737,749SH SOLE 634,2540103,495
AIR TRANSPORT SERVICES GROUP ICommon Stock00922R1051,75274,660SH SOLE 28,714045,946
AIRBUS GROUP NVADR00927910058,0471,579,500SH SOLE 1,381,0290198,471
AIRBUS SECommon StockN0280G1002611,798SH SOLE 8880910
AIRCASTLE LTDCommon StockG0129K1047,701240,572SH SOLE 138,4780102,094
AISIN SEIKO CO LTD-UNSP ADRADR00956Q10679921,191SH SOLE 11,73709,454
AJINOMOTO INC UNSPON ADRADR00970710083950,109SH SOLE 44,97605,133
AK STEEL HOLDING CORPCommon Stock0015471085,6251,709,678SH SOLE 1,446,7000262,978
AKAMAI TECHNOLOGIES INCCommon Stock00971T10146,919543,169SH SOLE 483,757059,413
AKBANK TAS - ADRADR0097195012,700996,463SH SOLE 971,658024,805
AKCEA THERAPEUTICS INCCommon Stock00972L10719211,322SH SOLE 10,28001,042
AKEBIA THERAPEUTICS COMCommon Stock00972D10543268,283SH SOLE 34,323033,960
AKORN INC COMCommon Stock009728106289192,772SH SOLE 100,766092,006
AKOUSTIS TECHNOLOGIES INCCommon Stock00973N10216019,989SH SOLE 13,89806,091
AKTIEBOLAGETT ELECTROLUX SPONSORED ADRADR0101982089,947203,176SH SOLE 180,874022,302
AKZO NOBEL NV SPONSORED ADRADR01019950326,752785,674SH SOLE 513,4800272,194
ALAMO GROUP INCCommon Stock0113111072,48219,766SH SOLE 17,08002,686
ALARM COM HLDGS INC COMCommon Stock0116421052,60260,546SH SOLE 39,246021,300
ALASKA AIR GROUP INCCommon Stock01165910927,062399,433SH SOLE 221,8100177,623
ALBANY INTERNATIONAL CORPCommon Stock0123481085,53072,843SH SOLE 62,197010,646
ALBEMARLE CORPCommon Stock01265310119,139262,036SH SOLE 226,622035,414
ALBIREO PHARMA INCCommon Stock01345P10672428,464SH SOLE 2,601025,863
ALCOA CORPCommon Stock0138721069,208428,085SH SOLE 254,5880173,497
ALCON INCCommon StockH0130112834,258605,593SH SOLE 513,935091,658
ALDEYRA THERAPEUTICS INCCommon Stock01438T10615626,828SH SOLE 16,475010,353
ALEXANDER & BALDWIN INCREIT0144911043,006143,416SH SOLE 111,677031,739
ALEXANDERS INC COMREIT0147521091,1953,617SH SOLE 2,6950922
ALEXANDRIA REAL ESTATE EQ IN COM REITREIT01527110932,095198,633SH SOLE 157,557041,076
ALEXION PHARMACEUTICALS INCCommon Stock01535110934,097315,278SH SOLE 271,962043,316
ALFA LAVAL AB SWEDEN ADRADR01539310111,048439,475SH SOLE 395,194044,281
ALGONQUIN POWER & UTILITIESCommon Stock0158571052,552180,358SH SOLE 1,6380178,720
ALIBABA GROUP HLDG LTD SPONSORED ADSADR01609W102292,8351,380,645SH SOLE 993,0870387,558
ALICO INCCommon Stock0162301042867,992SH SOLE 7,6890303
ALIGN TECHNOLOGY INCCommon Stock01625510167,496241,885SH SOLE 191,392050,493
ALKERMES PLCCommon StockG017671052,996146,841SH SOLE 127,376019,465
ALL NIPPON AWYS LTD SPONSORED ADRADR03235010015724,034SH SOLE 15,68508,349
ALLAKOS INCCommon Stock01671P1001,91620,097SH SOLE 4,004016,093
ALLEGHANY CORPCommon Stock01717510025,43731,813SH SOLE 28,97802,835
ALLEGHENY TECHNOLOGIES INCCommon Stock01741R1025,681274,962SH SOLE 170,8230104,139
ALLEGIANCE BANCSHARES INCCommon Stock01748H10750613,456SH SOLE 11,84101,615
ALLEGIANT TRAVEL COCommon Stock01748X1028,86650,942SH SOLE 34,639016,303
ALLEGION PLC W/ICommon StockG0176J10931,826255,552SH SOLE 201,274054,278
ALLERGAN PLCCommon StockG0177J108160,827841,276SH SOLE 620,3650220,911
ALLETE INCCommon Stock01852230012,342152,047SH SOLE 111,828040,219
ALLIANCE BERNSTEIN GLOBAL HIGH INC FUNDClosed-End Fund01879R1063,577294,874SH SOLE 251,447043,427
ALLIANCE DATA SYSTEMS CORPCommon Stock01858110814,424128,556SH SOLE 94,206034,349
ALLIANCEBERNSTEIN NATL COMClosed-End Fund01864U10624,1461,727,179SH SOLE 1,476,3650250,814
ALLIANT ENERGY CORPCommon Stock01880210844,142806,691SH SOLE 736,932069,759
ALLIANZ AKTIENGESELLSCHAFT SP ADR 1/10 SHADR01880510193,6563,868,504SH SOLE 3,401,6610466,842
ALLIANZ GI NFJ DIVIDEND INTERESTClosed-End Fund01883A10729,5622,274,029SH SOLE 1,589,2830684,746
ALLIED MOTION TECHNOLOGIESCommon Stock0193301094188,627SH SOLE 8,602025
ALLISON TRANSMISSION H COMCommon Stock01973R10123,427484,837SH SOLE 143,0540341,783
ALLOGENE THERAPEUTICS INCCommon Stock0197701062077,963SH SOLE 5,65302,310
ALLSCRIPTS HEALTHCARE SOLUTIONCommon Stock01988P1083,896396,912SH SOLE 310,181086,731
ALLSTATE CORP/THECommon Stock020002101170,3971,515,314SH SOLE 1,049,3810465,934
ALLY FINANCIAL INCCommon Stock02005N10060,1491,968,234SH SOLE 1,088,1360880,098
ALNYLAM PHARMACEUTICALS INCCommon Stock02043Q10716,265141,222SH SOLE 122,291018,931
ALPHA & OMEGA SEMICONDUCTOR LTCommon StockG6331P10432623,902SH SOLE 23,6790223
ALPHABET INC - CL ACommon Stock02079K3051,450,8421,083,211SH SOLE 846,4630236,748
ALPHABET INC - CL CCommon Stock02079K1071,027,806768,729SH SOLE 625,9390142,790
ALPHATEC HOLDINGS INCCommon Stock02081G2011,244175,317SH SOLE 42,4280132,889
ALPINE TOTAL DYNAMIC DIVIDEND FUNDClosed-End Fund00326L10032,7083,654,570SH SOLE 2,596,35101,058,219
ALPS ELEC LTD ADRADR0210902049,476208,136SH SOLE 178,982029,154
ALPS ETF TR ALERIAN MLPETF00162Q86627832,669SH SOLE 32,66900
ALSTOM ADRADR0212442073,203683,049SH SOLE 581,2770101,772
Altaba IncClosed-End Fund02134610132316,463SH SOLE 16,400063
ALTAIR ENGINEERING INCCommon Stock02136910346412,930SH SOLE 11,15001,780
ALTERYX INC COM CL ACommon Stock02156B1035,21152,076SH SOLE 46,47505,601
ALTICE USA INC CL ACommon Stock02156K10311,196409,516SH SOLE 183,2320226,284
ALTISOURCE PORTFOLIO SOLUTIONSCommon StockL0175J10419810,248SH SOLE 6,54703,701
ALTRA INDUSTRIAL MOTION CORPCommon Stock02208R1066,490179,238SH SOLE 118,600060,638
ALTRIA GROUP INCCommon Stock02209S103262,9735,268,934SH SOLE 3,773,54601,495,389
ALTUS MIDSTREAM CO -ACommon Stock02215L10015152,929SH SOLE 34,425018,504
ALUMINA LTD SPONSORED ADRADR02220510813,1462,050,808SH SOLE 1,836,3740214,434
ALUMINUM CORP CHINA LTD SPON ADR H SHSADR0222761094,180480,975SH SOLE 470,314010,661
AMADEUS IT HLDG S A ADSADR02263T10445,876557,284SH SOLE 509,211048,073
AMAG PHARMACEUTICALS INCCommon Stock00163U1061,19698,246SH SOLE 69,391028,855
AMAZON.COM INCCommon Stock0231351062,203,2951,192,363SH SOLE 939,7280252,635
AMBAC FINL GROUP INC COM NEWCommon Stock0231398844,203194,844SH SOLE 149,722045,122
AMBARELLA INC SHSCommon StockG037AX1013,54258,491SH SOLE 49,60608,885
AMBEV SAADR02319V10322,2104,766,092SH SOLE 3,257,05001,509,042
AMC ENTERTAINMENT HLDS-CL ACommon Stock00165C1041,694233,967SH SOLE 131,7010102,266
AMC NETWORKS INC ACommon Stock00164V1033,80796,392SH SOLE 57,924038,468
AMCOR PLCCommon StockG0250X10730,4252,806,711SH SOLE 2,319,7440486,967
AMDOCS LTDCommon StockG0260210330,396421,050SH SOLE 283,4900137,560
AMEDISYS INCCommon Stock02343610814,58887,396SH SOLE 42,553044,843
AMERANT BANCORP INCCommon Stock02357610125311,615SH SOLE 11,2860329
AMERCO INCCommon Stock0235861007,65120,357SH SOLE 19,8650492
AMEREN CORPCommon Stock02360810269,691907,431SH SOLE 646,1590261,271
AMERESCO INC CL ACommon Stock02361E10832518,547SH SOLE 15,43803,109
AMERICA MOVIL S A DE C V SPON ADR L SHSADR02364W10563,3113,956,948SH SOLE 2,682,86901,274,079
AMERICAN AIRLINES GROUP INCCommon Stock02376R10268,3242,382,277SH SOLE 998,05001,384,227
AMERICAN ASSETS TR INC COM REITREIT0240131047,946173,113SH SOLE 145,291027,822
AMERICAN AXLE & MANUFACTURINGCommon Stock0240611035,194482,679SH SOLE 357,9250124,754
AMERICAN CAMPUS COMMUNITIES REITREIT02483510013,378284,457SH SOLE 262,811021,646
AMERICAN EAGLE OUTFITTERS INCCommon Stock02553E1065,479372,688SH SOLE 293,032079,656
AMERICAN ELECTRIC POWER CO INCCommon Stock025537101163,8511,733,695SH SOLE 1,247,6600486,035
AMERICAN EQUITY INVESTMENT LIFCommon Stock02567620630,1691,007,990SH SOLE 316,6400691,350
AMERICAN EXPRESS COCommon Stock025816109303,3842,437,018SH SOLE 1,983,9900453,028
AMERICAN FINANCE TRUST INCREIT02607T1091,482111,797SH SOLE 72,312039,485
AMERICAN FINANCIAL GROUP INC/OCommon Stock02593210428,590260,737SH SOLE 183,068077,669
AMERICAN HOMES 4 RENT CLASS AREIT02665T30614,463551,819SH SOLE 431,8890119,930
AMERICAN INTERNATIONAL GROUP ICommon Stock026874784227,1294,424,877SH SOLE 3,054,83301,370,044
AMERICAN NATIONAL BANKSHARES ICommon Stock0277451083609,108SH SOLE 8,7040404
AMERICAN NATIONAL INSURANCE COCommon Stock0285911055,10243,352SH SOLE 36,73606,616
AMERICAN OUTDOOR BRANDS CORPCommon Stock02874P10358663,156SH SOLE 59,34803,808
AMERICAN PUBLIC EDUCATION INCCommon Stock02913V10381929,906SH SOLE 18,554011,352
AMERICAN RENAl ASSOCIATES HOCommon Stock02922710510710,321SH SOLE 10,2070114
AMERICAN SOFTWARE INC/GEORGIACommon Stock0296831091,877126,125SH SOLE 38,288087,837
AMERICAN STATES WATER COCommon Stock02989910113,365154,258SH SOLE 95,227059,031
AMERICAN TOWER REIT INCREIT03027X100378,7541,648,048SH SOLE 1,231,6200416,428
AMERICAN VANGUARD CORPCommon Stock03037110885343,804SH SOLE 41,48602,318
AMERICAN WATER WORKS CO INCCommon Stock03042010359,587485,041SH SOLE 405,136079,905
AMERICAN WOODMARK CORPCommon Stock0305061094,59443,954SH SOLE 27,394016,560
AMERICA'S CAR-MART INCCommon Stock03062T1052,36821,596SH SOLE 6,635014,961
AMERICOLD REALTY TRUSTREIT03064D1085,055144,179SH SOLE 49,829094,350
AMERIPRISE FINANCIAL INCCommon Stock03076C106127,784767,105SH SOLE 454,0850313,021
AMERIS BANCORPCommon Stock03076K1086,662156,615SH SOLE 104,913051,702
AMERISAFE INCCommon Stock03071H1004,09662,025SH SOLE 42,425019,600
AMERISOURCEBERGEN CORP COMCommon Stock03073E10579,174931,240SH SOLE 546,0870385,153
AMETEK INC NEW COMCommon Stock03110010057,304574,530SH SOLE 493,207081,323
AMGEN INCCommon Stock031162100577,6602,396,233SH SOLE 1,640,9540755,279
AMICUS THERAPEUTICS COMCommon Stock03152W1091,587162,919SH SOLE 153,65809,261
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ASPEN TECHNOLOGY INCCommon Stock04532710316,121133,310SH SOLE 77,556055,754
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CAPITAL ONE FINANCIAL CORPCommon Stock14040H105221,3532,150,942SH SOLE 1,298,3140852,628
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CARNIVAL CORPCommon Stock14365830073,1131,438,379SH SOLE 1,089,8630348,516
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CARVANA COCommon Stock1468691022,64128,691SH SOLE 27,67601,015
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FLAGSTAR BANCORP INCCommon Stock3379307054,344113,567SH SOLE 59,436054,131
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HNI CORPCommon Stock4042511003,30888,294SH SOLE 54,878033,416
HOLCIM LTD SPONSORED ADRADR50586V10818,1821,643,942SH SOLE 1,461,3460182,596
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HOLOGIC INCCommon Stock43644010125,867495,437SH SOLE 421,020074,417
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HONDA MOTOR LTD AMERN SHSADR43812830833,0341,166,858SH SOLE 1,014,9860151,872
HONEYWELL INTERNATIONAL INCCommon Stock438516106465,0592,627,455SH SOLE 1,862,9940764,460
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HONGKONG ELEC HOLDGS LTD SPONSORED ADRADR7391972005,349728,734SH SOLE 683,942044,792
HOOKER FURNITURE CORPCommon Stock43903810047818,600SH SOLE 14,62203,978
HOPE BANCORP INCCommon Stock43940T1099,206619,525SH SOLE 510,5600108,965
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HOULIHAN LOKEY INCCommon Stock4415931001,14623,457SH SOLE 19,93303,524
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HP INCCommon Stock40434L105106,0635,161,212SH SOLE 3,158,10602,003,106
HSBC HLDGS PLC-SPON ADRADR404280406101,4332,594,851SH SOLE 2,128,7820466,069
HUAMI CORPADR44331K10325120,877SH SOLE 20,87700
HUANENG PWR INTL INC SPON ADR NADR4433041002,055102,277SH SOLE 99,87602,401
HUAZHU GROUP LTD-ADRADR44332N1066,515162,582SH SOLE 159,20603,376
HUB GROUP INCCommon Stock4433201064,38985,578SH SOLE 72,938012,640
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HUDSON TECHNOLOGIES COMCommon Stock444144109202206,315SH SOLE 00206,315
HUGO BOSS AG-SPN ADRADR4445601061,997208,452SH SOLE 195,025013,427
HUMANA INCCommon Stock444859102217,650593,828SH SOLE 389,7610204,066
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HUNTINGTON INGLASS INDUSTRIES INCCommon Stock44641310649,131195,833SH SOLE 86,9900108,844
HUNTSMAN CORPCommon Stock44701110739,0811,617,610SH SOLE 534,95401,082,656
HURCO COS INCCommon Stock44732410459515,510SH SOLE 13,37402,136
HURON CONSULTING GROUP INCCommon Stock4474621028,631125,590SH SOLE 21,9070103,683
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HUTCHISON CHINA MEDITECH - ADRADR44842L1031,59863,751SH SOLE 62,09201,659
HUYA INC-ADRADR44852D10827815,468SH SOLE 15,3480120
HYATT HOTELS CORP - CL ACommon Stock4485791028,29092,406SH SOLE 57,381035,025
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HYSAN DEV LTD SPONSORED ADRADR44916230418623,260SH SOLE 22,5410719
HYSTER-YALE MATERIALS HANDLINGCommon Stock4491721051,42424,145SH SOLE 20,70003,445
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IAA INCCommon Stock44925310324,276515,856SH SOLE 150,3170365,539
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IBERDROLA SA - SPONSORED ADRADR45073710169,5851,684,464SH SOLE 1,513,9230170,540
IBERIABANK CORPCommon Stock4508281088,953119,645SH SOLE 50,403069,242
ICF INTERNATIONAL INCCommon Stock44925C10310,108110,325SH SOLE 21,814088,511
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ICON PLCCommon StockG4705A10021,215123,177SH SOLE 58,154065,023
ICU MEDICAL INCCommon Stock44930G10712,18165,099SH SOLE 55,051010,048
IDACORP INCCommon Stock45110710617,593164,724SH SOLE 130,934033,791
IDEX CORPCommon Stock45167R10433,696195,907SH SOLE 170,518025,389
IDEXX LABORATORIES INCCommon Stock45168D10480,034306,492SH SOLE 199,5480106,944
IDT CORPCommon Stock44894750757579,805SH SOLE 54,579025,226
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IHS MARKIT LTDCommon StockG4756710556,602751,191SH SOLE 669,533081,658
II-VI INCCommon Stock90210410814,274423,943SH SOLE 90,3160333,627
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ILLUMINA INCCommon Stock452327109124,038373,901SH SOLE 312,025061,876
IMAX CORPCommon Stock45245E1091,15456,474SH SOLE 53,23503,239
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IMPERIAL BRANDS PLC-SPON ADRADR45262P1029,578386,220SH SOLE 352,411033,809
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IMPERIAL OIL LTDCommon Stock4530384083,460130,725SH SOLE 125,64205,083
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INDITEX - ADRADR45579310932,5031,839,440SH SOLE 1,660,8690178,571
INDUSTRIAL & COMMERCIAL BANK OF CHINA ADRADR45580710713,543881,417SH SOLE 865,693015,724
INDUSTRIAL LOGISTICS PROPERTREIT4562371064,616205,903SH SOLE 135,371070,532
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INFINEON TECHNOLOGIES - ADRADR45662N10327,8901,245,068SH SOLE 957,9610287,107
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ING GROUP N V SPONSORED ADRADR45683710334,8482,891,940SH SOLE 2,170,7600721,180
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INGERSOLL-RAND PLCCommon StockG47791101123,680930,485SH SOLE 658,1040272,381
INGEVITY CORPCommon Stock45688C10711,987137,180SH SOLE 71,667065,513
INGLES MARKETS INCCommon Stock4570301044,959104,371SH SOLE 78,939025,432
INGREDION INCCommon Stock45718710245,781492,539SH SOLE 195,9630296,576
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INNOPHOS HOLDINGS INCCommon Stock45774N1084,224132,088SH SOLE 110,339021,749
INNOSPEC INCCommon Stock45768S1057,12168,845SH SOLE 34,507034,337
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INNOVIVA INCCommon Stock45781M1013,956279,345SH SOLE 165,8060113,539
INOGEN INC.Common Stock45780L1044,10560,072SH SOLE 55,80404,268
INOVALON HLDGS INC COM CL ACommon Stock45781D10112,897685,282SH SOLE 668,479016,803
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INPEX CORP ADRADR45790H10118,4681,784,373SH SOLE 1,568,6520215,721
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INSIGHT ENTERPRISES INCCommon Stock45765U10313,519192,336SH SOLE 92,657099,679
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INSPIRE MEDICAL SYSTEMS INCCommon Stock4577301091,41519,068SH SOLE 6,550012,518
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INSTEEL INDUSTRIES INCCommon Stock45774W10866230,788SH SOLE 29,59201,196
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INSULET CORP COMCommon Stock45784P1018,66050,586SH SOLE 37,930012,656
INTEGER HLDGS CORP COMCommon Stock45826H1099,762121,374SH SOLE 90,134031,240
INTEGRA LIFESCIENCES HOLDINGSCommon Stock4579852086,873117,926SH SOLE 60,108057,818
INTEL CORPCommon Stock458140100997,21116,661,840SH SOLE 12,307,75504,354,085
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INTELSAT S A COMCommon StockL5140P101963137,005SH SOLE 55,034081,971
INTER PARFUMS INCCommon Stock4583341095,46775,184SH SOLE 46,242028,942
INTERACTIVE BROKERS GROUP INCCommon Stock45841N1073,58276,824SH SOLE 66,370010,454
INTERCEPT PHARMACEUTICALS INCCommon Stock45845P1085,34843,155SH SOLE 33,96009,195
INTERCONTINENTAL EXCHANGE INCCommon Stock45866F104207,8322,245,620SH SOLE 1,683,7510561,869
INTERCONTINENTAL HTLS GRP PL SPONSORED ADRADR45857P80623,833347,061SH SOLE 314,614032,447
INTERDIGITAL INCCommon Stock45867G1018,001146,830SH SOLE 133,306013,524
INTERFACE INCCommon Stock4586653041,867112,527SH SOLE 87,846024,681
INTERNATIONAL BANCSHARES CORPCommon Stock4590441035,496127,602SH SOLE 98,383029,219
INTERNATIONAL BUSINESS MACHINECommon Stock459200101426,2623,180,112SH SOLE 2,163,47701,016,635
INTERNATIONAL CONSOLIDATED AIRLINES GRPADR45934810868841,601SH SOLE 40,45901,142
INTERNATIONAL FLAVORS & FRAGRACommon Stock45950610129,569229,179SH SOLE 192,425036,754
INTERNATIONAL GAME TECHNOLOGYCommon StockG4863A1084,935329,653SH SOLE 171,6380158,015
INTERNATIONAL PAPER COCommon Stock46014610386,9041,887,170SH SOLE 1,185,3630701,807
INTERNATIONAL SEAWAYS INCCommon StockY410531022,06169,262SH SOLE 18,515050,747
INTERPUBLIC GROUP OF COS INC/TCommon Stock46069010056,4202,442,421SH SOLE 1,799,6400642,780
INTERSECT ENT INC COMCommon Stock46071F10365826,438SH SOLE 22,79903,639
INTERTEK GROUP PLC ADRADR4611301062,79936,626SH SOLE 30,46206,164
INTERXION HOLDING N.V SHSCommon StockN472791094,99559,600SH SOLE 58,57501,025
INTESA SANPAOLO-SPON ADRADR46115H10734,9702,223,129SH SOLE 1,941,0430282,086
INTL. FCSTONE INCCommon Stock46116V1051,64633,714SH SOLE 29,06704,647
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INTREPID POTASH INCCommon Stock46121Y1028129,740SH SOLE 29,74000
INTREXON CORPCommon Stock46122T10226548,430SH SOLE 42,05206,378
INTUIT INCCommon Stock461202103313,5581,197,105SH SOLE 740,4650456,640
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INVACARE CORPCommon Stock4612031012,251249,534SH SOLE 211,841037,693
INVESCO AD MIT IIClosed-End Fund46132E1032,707242,349SH SOLE 242,34900
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INVESCO FTSE RAFI EMERGING METF46138E7275,930265,908SH SOLE 265,90800
INVESCO LTDCommon StockG491BT10847,8702,662,408SH SOLE 1,507,19701,155,210
INVESCO MORTGAGE CAPITAL REITREIT46131B1008,000480,492SH SOLE 312,3950168,097
INVESCO MUN TR COMClosed-End Fund46131J10311,085896,856SH SOLE 896,85600
INVESCO QQQ TRUST SERIES 1ETF46090E1035,08323,909SH SOLE 17,87906,030
INVESCO QUALITY MUNI INC TRClosed-End Fund46133G1079,708771,678SH SOLE 771,67800
INVESCO S&P 500 LOW VOLATILITY ETFETF46138E3542764,731SH SOLE 4,2940437
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INVESCO S&P GLOBAL WATER INDEX ETFETF46138E2632,77467,445SH SOLE 2,532064,913
INVESCO SENIOR INCOME TRUSTClosed-End Fund46131H107676157,586SH SOLE 157,58600
INVESCO TRUST FOR INVESTMENClosed-End Fund46131M10610,807841,014SH SOLE 841,01400
INVESCO VAN KAMPEN MUNICIPALClosed-End Fund46132C1075,479443,310SH SOLE 443,31000
INVESCO WATER RESOURCES ETFETF46137V1422797,226SH SOLE 4,30402,922
INVESTORS BANCORP INCCommon Stock46146L10111,861995,505SH SOLE 876,3420119,163
INVESTORS REAL ESTATE TRUST REITREIT4617305093,68150,774SH SOLE 13,943036,831
INVITAE CORP COMCommon Stock46185L10350831,519SH SOLE 30,5480971
INVITATION HOMES INCREIT46187W10714,728491,432SH SOLE 219,9150271,518
ION GEOPHYSICAL CORPCommon Stock4620442079611,017SH SOLE 10,3510666
IONIS PHARMACEUTICALS INCCommon Stock46222210011,635192,596SH SOLE 173,886018,710
IOVANCE BIOTHERAPEUTICS INCCommon Stock4622601002,42087,417SH SOLE 41,911045,506
IPG PHOTONICS CORPCommon Stock44980X10915,237105,139SH SOLE 66,800038,339
IQIYI INC-ADRADR46267X1082,208104,572SH SOLE 99,29505,277
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ISRAEL CHEMICALS LTD SHSCommon StockM5920A10910,8562,266,316SH SOLE 2,077,0990189,217
ISTAR INCREIT45031U1013,972273,709SH SOLE 246,222027,487
ISUZU MOTORS LTD ADRADR4652542099,037753,086SH SOLE 668,950084,136
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ITOCHU CORP ADRADR46571710645,094975,849SH SOLE 881,500094,349
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ITRON INCCommon Stock46574110614,325170,636SH SOLE 72,164098,472
ITT CORPCommon Stock45073V10812,880174,266SH SOLE 106,474067,792
ITV PLC ADRADR45069P10717,667882,461SH SOLE 784,367098,094
IVY HIGH INC OPPORTUN COMClosed-End Fund46589310588063,295SH SOLE 63,29500
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J SAINSBURY PLC SPON ADR NEWADR46624920824,9832,055,386SH SOLE 1,897,2340158,152
J&J SNACK FOODS CORPCommon Stock46603210915,35183,305SH SOLE 49,985033,320
J2 GLOBAL INCCommon Stock48123V10220,368217,350SH SOLE 54,8470162,503
JABIL INCCommon Stock46631310326,660645,044SH SOLE 365,2340279,810
JACK HENRY & ASSOCIATES INCCommon Stock42628110132,542223,397SH SOLE 192,979030,418
JACK IN THE BOX INCCommon Stock4663671099,259118,664SH SOLE 40,653078,011
JACOBS ENGINEERING GROUP INCCommon Stock46981410730,647341,167SH SOLE 295,810045,357
JAGGED PEAK ENERGY INCCommon Stock47009K1073,626427,049SH SOLE 416,390010,659
JAMES HARDIE INDS N V SPONSORED ADRADR47030M10625,3071,288,542SH SOLE 1,172,4650116,077
JAMES RIVER GROUP INCCommon StockG5005R1072,85869,359SH SOLE 65,43003,929
JANUS HENDERSON GROUP PLCCommon StockG4474Y2147,831320,283SH SOLE 295,463024,820
JAPAN AIRLS LTD ADRADR47103810913,241853,154SH SOLE 794,715058,439
JAPAN AIRPORT TERMI-UNSP ADRADR4710421012,11976,695SH SOLE 61,086015,609
JAPAN EXCHANGE GROUP INC ADRADR47105910514,0631,607,154SH SOLE 1,473,2980133,856
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JAPAN TOB INC ADRADR47110520515,8951,429,397SH SOLE 1,345,111084,286
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JARDINE STRATEGIC HLDG ADRADR4711222007,634497,666SH SOLE 452,179045,487
JAZZ PHARMACEUTICALS PLCCommon StockG5087110528,194188,867SH SOLE 52,8680135,999
JB HUNT TRANSPORT SERVICES INCCommon Stock44565810736,148309,539SH SOLE 271,610037,929
JBG SMITH PROPERTIES REITREIT46590V1005,994150,270SH SOLE 130,492019,778
JBS S A SPONSORED ADRADR4661101035,126396,381SH SOLE 387,76308,618
JC PENNEY CO INCCommon Stock7081601061,2121,082,497SH SOLE 345,4530737,044
JD COM INC SPON ADR CL AADR47215P10624,071683,246SH SOLE 655,573027,673
JEFFERIES FINANCIAL GROUP INCCommon Stock47233W10926,3211,231,699SH SOLE 880,4780351,221
JELD-WEN HOLDING INCCommon Stock47580P1032,830120,894SH SOLE 114,80106,093
JERNIGAN CAP INC COMREIT4764051051,78693,309SH SOLE 60,439032,870
JERONIMO MARTINS SGPS SA - ADRADR4764931011,21336,595SH SOLE 32,94703,648
JETBLUE AIRWAYS CORPCommon Stock47714310124,5291,310,320SH SOLE 408,0260902,294
JGC CORP ADRADR4661401005,247164,726SH SOLE 149,001015,725
JIANGSU EXPRESS CO-SPONS ADRADR47737310428810,567SH SOLE 10,56700
JM SMUCKER CO/THECommon Stock83269640581,024778,100SH SOLE 289,1230488,977
JOHN B SANFILIPPO & SON INCCommon Stock8004221073,75041,081SH SOLE 27,362013,719
JOHN BEAN TECHNOLOGIES CORPCommon Stock4778391049,90387,899SH SOLE 52,873035,026
JOHN HANCOCK FINANCIAL OPPORTUNITYClosed-End Fund4097352062015,538SH SOLE 5,53800
JOHN HANCOCK MULTI FACT MIDETF47804J20683321,266SH SOLE 21,26600
JOHN WILEY & SONS INCCommon Stock9682232068,886183,147SH SOLE 76,2560106,891
JOHNSON & JOHNSONCommon Stock4781601041,454,6579,972,282SH SOLE 6,875,86903,096,412
JOHNSON CONTROLS INTERNATIONAL PLCCommon StockG51502105103,6612,546,321SH SOLE 1,739,3590806,962
JOHNSON MATTHEY PUB LTD CO SPONSORED ADRADR4791425073,34541,615SH SOLE 6,104035,511
JOHNSON OUTDOORS INC -CL ACommon Stock4791671084095,334SH SOLE 3,43701,897
JOINT CORP/THECommon Stock47973J10226116,156SH SOLE 3,824012,332
JONES LANG LASALLE INCCommon Stock48020Q10726,705153,395SH SOLE 123,901029,494
JOUNCE THERAPEUTICS IN COMCommon Stock48111610116218,604SH SOLE 18,3570247
JOYY INC ADS REPCOM CLAADR46591M1093,52366,734SH SOLE 53,436013,298
JPMORGAN ALERIAN MLP ETNETN46625H36548,7302,234,316SH SOLE 2,232,02902,287
JPMORGAN CHASE & COCommon Stock46625H1001,602,88711,498,469SH SOLE 8,238,34103,260,128
JSC MMC NORILSK NICKEL SPONSORED ADRADR55315J10217,430571,655SH SOLE 508,094063,561
JSR CORP ADRADR46632X10628715,426SH SOLE 11,24304,183
JULIUS BAER GROUP LTD ADRADR48137C10825,9072,525,709SH SOLE 1,966,8320558,877
JUMBO SA-ADRADR48138V10526113,161SH SOLE 13,16100
JUNIPER NETWORKS INCCommon Stock48203R10431,3661,273,467SH SOLE 901,6710371,796
K PLUS S AG ADRADR48265W10811318,229SH SOLE 17,2910938
K12 INCCommon Stock48273U1022,867140,886SH SOLE 32,1730108,713
KADANT INCCommon Stock48282T1042,96028,100SH SOLE 5,961022,139
KADMON HOLDINGS INCCommon Stock48283N10619142,120SH SOLE 40,36201,758
KAISER ALUMINUM CORPCommon Stock4830077048,99581,113SH SOLE 68,236012,877
KAJIMA CORP - UNSPON ADRADR48311120967751,844SH SOLE 39,848011,996
KALA PHARMACEUTICALS INCCommon Stock483119103515139,441SH SOLE 135,70203,739
KAMAN CORPCommon Stock48354810311,290171,269SH SOLE 75,572095,697
KANSAS CITY SOUTHERNCommon Stock48517030249,506323,232SH SOLE 282,097041,135
KAO CORPADR48553740160,3083,637,413SH SOLE 3,181,1260456,287
KAR AUCTION SERVICES INCCommon Stock48238T10912,839589,197SH SOLE 128,6900460,507
KARUNA THERAPEUTICS INCCommon Stock48576A1001,13515,071SH SOLE 338014,733
KARYOPHARM THERAPEUTICS INCCommon Stock48576U1061,944101,395SH SOLE 32,958068,437
KASIKORNBANK PUB CO LT ADRADR48578510919,271961,129SH SOLE 946,291014,838
KAWASAKI HEAVY INDS LTD SPONSORED ADRADR48635920132137,300SH SOLE 19,504017,796
KAZ MINERALS PLC-UNSP ADRADR48667P1071,071293,321SH SOLE 00293,321
KB FINANCIAL GROUP INC - ADRADR48241A10529,449711,848SH SOLE 693,029018,819
KB HOMECommon Stock48666K1099,135266,569SH SOLE 223,855042,714
KBC GROUP NV ADRADR48241F10423,732632,019SH SOLE 516,6600115,359
KBR INCCommon Stock48242W1069,491311,194SH SOLE 178,3420132,852
KDDI CORP - UNSP ADRADR48667L10664,4464,328,139SH SOLE 3,374,1650953,974
KEARNY FINANCIAL CORPCommon Stock48716P10898170,930SH SOLE 58,094012,836
KELLOGG COCommon Stock48783610842,594615,872SH SOLE 535,074080,798
KELLY SERVICES INCCommon Stock4881522085,234231,811SH SOLE 106,6730125,138
KEMET CORPCommon Stock4883602073,916144,757SH SOLE 121,349023,408
KEMPER CORPCommon Stock4884011007,61398,226SH SOLE 74,530023,696
KENNAMETAL INCCommon Stock4891701008,083219,103SH SOLE 165,605053,497
KENNEDY-WILSON HLDGS I COMCommon Stock4893981074,690210,301SH SOLE 85,1550125,146
KEPPEL LTD SPONSORED ADRADR49205130510,2351,023,983SH SOLE 967,349056,634
KERING-UNSPONSORED ADRADR49208910742,427649,130SH SOLE 574,649074,481
KERRY GROUP PLC ADRADR4924601008,55066,940SH SOLE 35,769031,171
KEURIG DR PEPPER INCCommon Stock49271V10011,976413,671SH SOLE 344,382069,289
KEYCORPCommon Stock493267108102,2615,052,434SH SOLE 3,271,11101,781,323
KEYENCE CORPCommon StockJ32491102340948SH SOLE 3900558
KEYSIGHT TECHNOLOGIES INCCommon Stock49338L10371,451696,199SH SOLE 369,6410326,558
KEZAR LIFE SCIENCES INCCommon Stock49372L10014435,966SH SOLE 35,96600
KFORCE INCCommon Stock4937321012,90773,235SH SOLE 40,068033,167
KILROY REALTY CORP REITREIT49427F1089,818117,022SH SOLE 98,373018,649
KIMBALL ELECTRONICS INCCommon Stock49428J10926715,211SH SOLE 15,0390172
KIMBALL INTL INC CL BCommon Stock49427410394245,586SH SOLE 33,601011,985
KIMBERLY-CLARK CORPCommon Stock494368103219,8001,597,968SH SOLE 1,022,0050575,962
KIMBERLY-CLARK DE MEXICO-ADRADR4943862041,828185,267SH SOLE 183,47301,794
KIMCO REALTY CORP COM REITREIT49446R10947,5772,297,305SH SOLE 1,966,1120331,193
KINDER MORGAN INC DELAWARECommon Stock49456B101141,0366,662,056SH SOLE 4,848,93001,813,126
KINDRED BIOSCIENCES IN COMCommon Stock494577109941110,909SH SOLE 109,62701,282
KINGFISHER PLC SPON ADR PARADR49572440315,4822,701,884SH SOLE 2,449,6930252,191
KINIKSA PHARMACEUTICALS-ACommon StockG5269C10165158,857SH SOLE 317058,540
KINROSS GOLD CORPCommon Stock49690240411,3782,400,414SH SOLE 2,377,846022,568
KINSALE CAPITAL GROUP INCCommon Stock49714P1085,26751,810SH SOLE 20,762031,048
KIRBY CORPCommon Stock49726610613,229147,762SH SOLE 124,544023,218
KIRIN BREWERY LTD SPONSORED ADRADR49735030620,772951,981SH SOLE 857,641094,340
KIRKLAND LAKE GOLD LTDCommon Stock49741E1002,87665,252SH SOLE 59,23906,013
KIRKLAND'S INCCommon Stock4974981054738,057SH SOLE 7,774030,283
KITE RLTY GROUP TR COM REITREIT49803T30010,570541,221SH SOLE 291,6390249,582
KKR & CO INC- ACommon Stock48251W1049,099311,946SH SOLE 45,0310266,915
KKR REAL ESTATE FIN TR COMREIT48251K1001,82889,538SH SOLE 23,722065,816
KLA CORPCommon Stock48248010087,042488,532SH SOLE 380,9240107,608
KLX ENERGY SERVICES HOLDINGS INCCommon Stock48253L10627943,396SH SOLE 42,6140782
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INCCommon Stock49904910412,476348,092SH SOLE 337,649010,443
KNOLL INCCommon Stock4989042004,473177,078SH SOLE 76,2200100,858
KNORR-BREMSE - UNSP ADRADR4991801071,81571,798SH SOLE 39,091032,707
KNOWLES CORP COMCommon Stock49926D1096,912326,827SH SOLE 222,5630104,264
KOC HLDG ADRADR49989A1096,921405,942SH SOLE 397,91208,030
KODIAK SCIENCES INCCommon Stock50015M1091,49720,803SH SOLE 3,627017,176
KOHL'S CORPCommon Stock50025510458,3211,144,677SH SOLE 698,1200446,557
KOMATSU LTD SPON ADR NEWADR50045840122,895952,364SH SOLE 823,9860128,379
KONAMI CORP SPONSORED ADRADR50046R10183220,478SH SOLE 15,59904,879
KONE OYJ ADRADR50048H10127,414840,282SH SOLE 749,859090,423
KONINKLIJKE AHOLD NVADR50046750150,0481,993,958SH SOLE 1,823,7400170,218
KONINKLIJKE PHILIPS ELECTRS NY REG SH NEWNY Reg Shrs50047230337,482768,074SH SOLE 681,873086,201
KONINKLIJKE VOPAK N V ADRADR50048T10514,340263,700SH SOLE 238,810024,890
KONTOOR BRANDS INCCommon Stock50050N1038,983213,928SH SOLE 174,261039,667
KOPPERS HOLDINGS INCCommon Stock50060P1067,367192,758SH SOLE 123,448069,310
KOREA ELECTRIC PWR SPONSORED ADRADR50063110623,5501,990,724SH SOLE 1,957,815032,909
KORN FERRYCommon Stock5006432007,709181,816SH SOLE 117,884063,932
KORNIT DIGITAL LTD SHSCommon StockM6372Q1131,49243,593SH SOLE 43,59300
KOSE CORP-UNSPONSORED ADRADR5006791051,26243,247SH SOLE 40,50302,744
KOSMOS ENERGY LTD SHSCommon Stock5006881064,366765,933SH SOLE 713,327052,606
KRAFT HEINZ CO/THECommon Stock50075410665,1032,026,245SH SOLE 1,627,2820398,963
KRATON CORPCommon Stock50077C1062,643104,387SH SOLE 71,214033,173
KRATOS DEFENSE & SECURITY SOLUCommon Stock50077B2071,988110,379SH SOLE 55,218055,161
KROGER CO/THECommon Stock501044101198,7596,856,108SH SOLE 3,355,24303,500,865
KRONOS WORLDWIDE INCCommon Stock50105F1052,096156,385SH SOLE 121,436034,949
KRYSTAL BIOTECH INCCommon Stock5011471021,20021,672SH SOLE 2,319019,353
KT CORP SPONSORED ADRADR48268K10129,3042,526,169SH SOLE 2,506,381019,788
KUBOTA CORP ADRADR50117320720,709262,141SH SOLE 207,803054,337
KUEHNE & NAGEL INTL AG ADRADR5011871083,18293,737SH SOLE 79,064014,673
KULICKE & SOFFA INDUSTRIES INCCommon Stock5012421014,633170,338SH SOLE 129,189041,149
KURA ONCOLOGY INC COMCommon Stock50127T10914410,451SH SOLE 6,91503,536
KURARAY CO LTD ADRADR50127R10347012,639SH SOLE 9,72402,915
KVH INDS INC COMCommon Stock48273810133930,416SH SOLE 28,99001,426
KYOCERA CORP - SPONS ADRADR50155620334,578505,826SH SOLE 458,684047,142
L BRANDS INCCommon Stock50179710415,953880,418SH SOLE 554,7220325,696
L OREAL CO ADRADR50211720382,7421,405,500SH SOLE 1,199,1690206,331
L3HARRIS TECHNOLOGIES INCCommon Stock502431109143,164723,526SH SOLE 533,3350190,191
LA JOLLA PHARMACEUTICL COMCommon Stock50345960412932,699SH SOLE 20,073012,626
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LIVERAMP HOLDINGS INCCommon Stock53815P1086,539136,035SH SOLE 124,326011,709
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LOUISIANA-PACIFIC CORPCommon Stock54634710512,196411,059SH SOLE 357,526053,533
LOWE'S COS INCCommon Stock548661107413,3403,451,402SH SOLE 2,187,11901,264,283
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LUMENTUM HOLDINGS INCCommon Stock55024U10912,696160,105SH SOLE 130,511029,594
LUMINEX CORPCommon Stock55027E1023,613156,017SH SOLE 101,087054,930
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LUTHER BURBANK CORPCommon Stock55055010761253,065SH SOLE 23,054030,011
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LYFT INC-ACommon Stock55087P1042,49357,946SH SOLE 53,00104,945
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LYON WILLIAM HOMES CL A NEWCommon Stock5520747002,867143,480SH SOLE 127,651015,829
LYONDELLBASELL INDUSTRIES NVCommon StockN53745100135,9661,439,099SH SOLE 814,2830624,816
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MAGELLAN HEALTH INCCommon Stock55907920721,381273,235SH SOLE 74,7520198,483
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MAGNA INTERNATIONAL INCCommon Stock55922240141,592758,427SH SOLE 404,3280354,099
MAGNOLIA OIL & GAS CORPCommon Stock5596631092,383189,438SH SOLE 182,87106,567
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MAKITA CORP ADR NEWADR56087730011,116319,390SH SOLE 288,400030,990
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MANHATTAN ASSOCIATES INCCommon Stock56275010919,654246,440SH SOLE 187,379059,061
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MATCH GROUPCommon Stock57665R1066,90084,033SH SOLE 66,174017,859
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MATERION CORPCommon Stock5766901015,25588,385SH SOLE 61,299027,086
MATRIX SERVICE COCommon Stock5768531052,13893,463SH SOLE 81,105012,358
MATSON INC COMCommon Stock57686G1057,971195,361SH SOLE 138,639056,722
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MAXAR TECHNOLOGIES LTDCommon Stock57778K1051,17574,964SH SOLE 67,98306,981
MAXIM INTEGRATED PRODUCTS INCCommon Stock57772K10135,173571,827SH SOLE 518,347053,480
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MAXLINEAR INC CL ACommon Stock57776J1002,434114,706SH SOLE 107,50007,206
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MBIA INCCommon Stock55262C1004,050435,519SH SOLE 279,2540156,265
MCCORMICK & CO INC/MDCommon Stock57978020681,559480,522SH SOLE 328,5690151,952
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MDU RESOURCES GROUP INCCommon Stock55269010915,938536,457SH SOLE 446,514089,943
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MEDALLIA INCCommon Stock5840211093,08299,078SH SOLE 97,25401,824
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MEI PHARMA INCCommon Stock55279B20224598,897SH SOLE 56,886042,011
MELCO RESORTS & ENTERT-ADRADR58546410015,247630,823SH SOLE 585,442045,381
MELLANOX TECHNOLOGIES LTDCommon StockM513631133,63631,027SH SOLE 30,1530874
MENLO THERAPEUTICS INCCommon Stock58685810214932,177SH SOLE 31,09701,080
MERCADOLIBRE INCCommon Stock58733R10265,540114,592SH SOLE 96,281018,311
MERCANTILE BANK CORP COMCommon Stock5873761041,72547,305SH SOLE 26,739020,566
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MERCURY GENERAL CORPCommon Stock5894001003,13764,369SH SOLE 41,544022,825
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META FINL GROUP INC COMCommon Stock59100U1081,55942,714SH SOLE 35,59507,119
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METHODE ELECTRONICS INCCommon Stock5915202007,269184,736SH SOLE 145,711039,025
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METSO CORP SPONSORED ADRADR5926711011,115114,000SH SOLE 96,893017,107
METTLER-TOLEDO INTERNATIONAL ICommon Stock592688105116,906147,371SH SOLE 71,230076,141
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OIL STATES INTERNATIONAL INCCommon Stock6780261053,481213,404SH SOLE 163,180050,224
OKTA INC CL ACommon Stock67929510521,634187,522SH SOLE 172,851014,671
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OLIN CORPCommon Stock6806652054,785277,383SH SOLE 188,470088,913
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ONEOK INCCommon Stock68268010399,4971,314,881SH SOLE 1,180,2870134,594
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OOMA INCCommon Stock68341610119915,031SH SOLE 14,5420489
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OREILLY AUTOMOTIVE INCCommon Stock67103H107130,835298,534SH SOLE 220,240078,294
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ORIENTAL LAND CO LTD-ADRADR68620X10435113,105SH SOLE 1,199011,906
ORION ENERGY SYSTEMS INCCommon Stock6862751088425,195SH SOLE 5,397019,798
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ORMAT TECHNOLOGIES INCCommon Stock6866881023,62748,677SH SOLE 26,877021,800
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ORTHOFIX MEDICAL INCCommon Stock68752M1081,89140,942SH SOLE 32,63908,303
OSHKOSH CORPCommon Stock68823920126,249277,329SH SOLE 155,9100121,419
OSI SYSTEMS INCCommon Stock6710441055,32052,814SH SOLE 35,587017,227
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OTSUKA HLDGS CO LTD ADRADR68916410128,2491,267,887SH SOLE 1,158,6580109,229
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OWENS & MINOR INCCommon Stock6907321023,660707,914SH SOLE 544,0300163,884
OWENS CORNINGCommon Stock69074210113,546208,012SH SOLE 168,068039,944
OXFORD INDUSTRIES INCCommon Stock6914973095,04166,834SH SOLE 35,461031,373
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PARK NATIONAL CORPCommon Stock7006581072,03719,899SH SOLE 14,25105,648
PARK24 CO LTD-SPN ADRADR7014911024,756195,334SH SOLE 171,442023,892
PARKER HANNIFIN CORPCommon Stock70109410494,903461,099SH SOLE 412,900048,199
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PEARSON PLC SPONSORED ADRADR7050151057,604901,972SH SOLE 841,645060,327
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PEGASYSTEMS INCCommon Stock7055731032,28828,730SH SOLE 24,05704,673
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PENSKE AUTOMOTIVE GROUP INCCommon Stock70959W1033,43768,444SH SOLE 56,602011,842
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PEOPLE'S UNITED FINANCIAL INCCommon Stock71270410539,2842,324,497SH SOLE 1,880,5040443,993
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PERFICIENT INCCommon Stock71375U10113,524293,559SH SOLE 90,4170203,142
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PERKINELMER INCCommon Stock71404610928,350291,962SH SOLE 226,554065,408
PERNOD RICARD S A SPONSORED ADRADR71426420749,1751,368,246SH SOLE 1,129,0210239,225
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PERSPECTA INCCommon Stock7153471008,856334,932SH SOLE 284,947049,984
PETIQ INC COM CL ACommon Stock71639T10654421,711SH SOLE 3,109018,602
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