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Parametric Portfolio Associates

Filed: 15 Nov 21, 3:03pm

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 Stock88025U1098,04255,242SH SOLE 48,35706,885
1-800-FLOWERS.COM INCCommon Stock68243Q1063,231105,910SH SOLE 79,989025,921
1Life Healthcare IncCommon Stock68269G1071,43070,615SH SOLE 69,54501,070
1ST SOURCE CORPCommon Stock3369011031,20325,457SH SOLE 25,0220435
22ND CENTY GROUP INC COMCommon Stock90137F10310736,227SH SOLE 36,139088
2U INC COMCommon Stock90214J1016,641197,837SH SOLE 110,758087,079
360 DIGITECH INCADR88557W1011,22560,265SH SOLE 53,56606,699
3D SYSTEMS CORPCommon Stock88554D2058,900322,820SH SOLE 299,673023,147
3M COCommon Stock88579Y101395,7352,255,929SH SOLE 1,698,1710557,758
4D Molecular Therapeutics IncCommon Stock35104E1001,14742,532SH SOLE 10,418032,114
51 JON INC ADRADR3168271043,74653,878SH SOLE 51,31502,563
8X8 INC NEW COMCommon Stock2829141005,815248,618SH SOLE 183,639064,979
908 Devices IncCommon Stock65443P10243913,505SH SOLE 13,477028
A MARK PRECIOUS METALS COMCommon Stock00181T1075419,012SH SOLE 1,09507,917
A10 NETWORKS INC COMCommon Stock0021211013,870287,097SH SOLE 30,2970256,800
AAON INCCommon Stock0003602068,104124,036SH SOLE 108,464015,572
AAR CORPCommon Stock0003611054,250131,055SH SOLE 123,14707,908
AARON'S CO INCCommon Stock00258W1085,259190,962SH SOLE 54,2950136,667
ABB LTD SPONSORED ADRADR00037520467,3942,020,196SH SOLE 1,764,5440255,652
ABBOTT LABORATORIESCommon Stock002824100797,2356,748,795SH SOLE 5,720,44601,028,349
ABBVIE INC. COMCommon Stock00287Y109687,9826,377,885SH SOLE 5,324,73401,053,151
ABCAM PLC-SPON ADRADR0003802044,532223,574SH SOLE 223,524050
ABCL - AbCellera Biologics IncCommon Stock00288U10634,0681,700,000SH SOLE 001,700,000
ABERCROMBIE & FITCH COCommon Stock0028962077,782206,802SH SOLE 134,565072,237
ABERDEEN ASIA PACIFIC INCOMEClosed-End Fund00300910714,8153,569,839SH SOLE 3,569,83900
ABERDEEN GLOBAL DYNAMIC DIVIDEND FUNDClosed-End Fund00302M1064,487386,130SH SOLE 207,2230178,906
ABERDEEN GLOBAL PREMIER PROPERTIES FUNDClosed-End Fund00302L10823,4733,873,497SH SOLE 3,355,4240518,073
ABERDEEN STNDRD PHYSIC GLDETF00326A10410,533625,116SH SOLE 625,11600
ABIOMED INC COMCommon Stock00365410048,485148,945SH SOLE 111,980036,965
ABM INDUSTRIES INCCommon Stock00095710012,861285,739SH SOLE 143,6220142,117
ABSCI CORPCommon Stock00091E10919116,457SH SOLE 1,091015,366
ACACIA RESH CORP ACACIA TCH COMCommon Stock0038813071,070157,620SH SOLE 151,96605,654
ACADEMY SPORTS & OUTDOORS INCommon Stock00402L1072,28757,137SH SOLE 14,113043,024
ACADIA HEALTHCARE CO COMCommon Stock00404A10912,029188,597SH SOLE 148,591040,006
ACADIA PHARMACEUTICALS INC COMCommon Stock0042251083,743225,320SH SOLE 202,564022,756
ACADIA REALTY TRUST REITREIT0042391097,152350,417SH SOLE 236,8570113,560
ACCELERATE DIAGNOSTICS INCCommon Stock00430H10231854,502SH SOLE 54,0740428
ACCELERON PHARMA INCCommon Stock00434H10812,41072,110SH SOLE 59,461012,649
ACCENTURE PLCCommon StockG1151C101775,0792,422,729SH SOLE 2,022,2350400,493
ACCO BRANDS CORP COMCommon Stock00081T10820,4002,374,910SH SOLE 264,12102,110,789
ACCOLADE INCCommon Stock00437E1022926,925SH SOLE 5,41201,513
ACCURAY INCCommon Stock00439710513233,486SH SOLE 13,230020,256
ACER THERAPEUTICS INCCommon Stock00444P1083513,488SH SOLE 13,48800
ACI WORLDWIDE INCCommon Stock00449810120,235658,479SH SOLE 164,0770494,402
ACLARIS THERAPEUTICS I COMCommon Stock00461U10535619,773SH SOLE 19,4530320
ACRES Commercial Realty CorpREIT00489Q10221213,125SH SOLE 13,12500
ACTIVISION BLIZZARD INCCommon Stock00507V109182,5052,358,251SH SOLE 1,985,1800373,071
ACUITY BRANDS INCCommon Stock00508Y10213,13275,747SH SOLE 67,69708,050
ACUSHNET HOLDINGS CORPCommon Stock0050981081,54733,132SH SOLE 27,39705,735
Acutus Medical IncCommon Stock00511110973583,101SH SOLE 81,44101,660
ACV Auctions IncCommon Stock00091G10458932,921SH SOLE 22032,899
ADAGIO THERAPEUTICS INCCommon Stock00534A1022,02047,823SH SOLE 4,162043,661
ADAMS DIVERSIFIED EQUITY FUNDClosed-End Fund00621210456,7022,863,748SH SOLE 1,836,33601,027,412
ADAPTHEALTH CORPCommon Stock00653Q10276232,724SH SOLE 28,72404,000
ADAPTIVE BIOTECHNOLOGIESCommon Stock00650F1092,37269,785SH SOLE 56,993012,792
ADDUS HOMECARE CORP COMCommon Stock0067391064,09751,375SH SOLE 48,35303,022
ADECOAGRO SACommon StockL0084910664571,476SH SOLE 67,13804,338
ADICET BIO INCCommon Stock00700210813617,287SH SOLE 16,5500737
ADIENT PLCCommon StockG0084W1013,91294,377SH SOLE 89,03805,339
ADOBE INCCommon Stock00724F1011,267,8342,202,171SH SOLE 1,659,7130542,457
ADTALEM GLOBAL EDUCATION INCCommon Stock00737L1034,046107,015SH SOLE 98,11608,899
ADTRAN INCCommon Stock00738A1062,996159,714SH SOLE 121,317038,397
ADVANCE AUTO PARTS INCCommon Stock00751Y10672,978349,360SH SOLE 271,503077,857
ADVANCED DRAINAGE SYSTEMS INCCommon Stock00790R10425,958239,975SH SOLE 218,651021,325
ADVANCED EMISSIONS SOLUTIONS ICommon Stock00770C1011,245194,875SH SOLE 188,01706,858
ADVANCED ENERGY INDUSTRIES INCCommon Stock0079731009,639109,841SH SOLE 103,37006,471
ADVANCED MICRO DEVICES INCCommon Stock007903107427,3264,152,828SH SOLE 3,552,1880600,640
ADVANSIX INCCommon Stock00773T1012,80770,616SH SOLE 60,470010,146
ADVANTAGE SOLUTIONS INCCommon Stock00791N1029410,887SH SOLE 10,830057
ADVENT CONVERTIBLE AND INCOMEClosed-End Fund00764C10971,9384,001,016SH SOLE 3,277,0290723,987
Advent Technologies Holdings ICommon Stock00788A10519522,361SH SOLE 21,8170544
ADVERUM BIOTECHNOLOGIES INCCommon Stock00773U108217100,200SH SOLE 94,79305,407
AECOMCommon Stock00766T10020,866330,421SH SOLE 289,527040,894
AEGLEA BIOTHERAPEUTICS INCCommon Stock00773J10335945,106SH SOLE 42,55402,552
AEGON N V ORD AMER REGNY Reg Shrs00792410325,6925,047,517SH SOLE 4,600,0660447,451
AERCAP HOLDINGS NV SHSCommon StockN0098510628,083485,785SH SOLE 274,1430211,642
AERIE PHARMACEUTICALS INCCommon Stock00771V1081,356118,940SH SOLE 33,363085,577
AEROJET ROCKETDYNE HOLDINGS INCCommon Stock0078001055,283121,306SH SOLE 114,21207,094
Aerovate Therapeutics IncCommon Stock0080641072,972141,638SH SOLE 141,63800
AEROVIRONMENT INCCommon Stock0080731084,66554,041SH SOLE 48,79905,242
AES CORP/THECommon Stock00130H10548,4872,123,847SH SOLE 1,843,6020280,244
Aeva Technologies IncCommon Stock00835Q10334042,792SH SOLE 41,42401,368
AFC Gamma IncREIT00109K10525911,985SH SOLE 9,51302,472
AFFILIATED MANAGERS GROUPCommon Stock00825210828,323187,459SH SOLE 176,906010,553
AFFIMED N V COMCommon StockN010451081,154186,715SH SOLE 179,96506,750
Affirm Holdings IncCommon Stock00827B1063,33728,011SH SOLE 27,4020609
AFLAC INCCommon Stock001055102141,6362,716,972SH SOLE 2,065,6720651,300
AFYA LTD-CLASS ACommon StockG0112510672236,594SH SOLE 36,59400
AG MORTGAGE INVESTMENT TRUST IREIT00122850129625,916SH SOLE 25,891025
AGCO CORPCommon Stock00108410241,229336,479SH SOLE 128,0860208,393
AgEagle Aerial Systems IncCommon Stock00848K1014314,408SH SOLE 13,06301,345
AGENUS INCCommon Stock00847G70549995,127SH SOLE 89,24805,879
AGIC CONVERTIBLE & INCOME FDClosed-End Fund92838X10238464,375SH SOLE 56,20508,170
AGILENT TECHNOLOGIES INCCommon Stock00846U101188,3601,195,708SH SOLE 1,051,9370143,771
AGILYSYS INCCommon Stock00847J1053,64269,564SH SOLE 47,895021,669
AGIOS PHARMACEUTICALS INCCommon Stock00847X1043,46775,124SH SOLE 66,31008,814
AGNC INVESTMENT CORPREIT00123Q10419,6891,248,536SH SOLE 1,169,473079,063
AGNICO-EAGLE MINES LTDCommon Stock00847410810,127195,311SH SOLE 185,45809,853
AGORA INC-ADRADR00851L1031,23542,582SH SOLE 38,62203,960
AGREE REALTY CORP COM REITREIT00849210011,560174,538SH SOLE 155,346019,193
AIR LEASE GROUPCommon Stock00912X30210,684271,574SH SOLE 203,545068,028
AIR PRODUCTS & CHEMICALS INCCommon Stock009158106255,797998,778SH SOLE 790,8370207,941
AIR TRANSPORT SERVICES GROUP ICommon Stock00922R10576829,770SH SOLE 27,68702,083
AIRBNB INC-CLASS ACommon Stock00906610118,751111,777SH SOLE 94,325017,452
AKAMAI TECHNOLOGIES INCCommon Stock00971T10170,129670,510SH SOLE 591,069079,442
AKEBIA THERAPEUTICS COMCommon Stock00972D10525889,457SH SOLE 84,61104,846
AKERO THERAPEUTICS INCCommon Stock00973Y1082079,254SH SOLE 9,212042
Akouos IncCommon Stock00973J10187875,633SH SOLE 72,61903,014
AKOUSTIS TECHNOLOGIES INCCommon Stock00973N10247649,091SH SOLE 45,79303,298
AKOYA BIOSCIENCES INCCommon Stock00974H10415411,031SH SOLE 11,03100
ALAMO GROUP INCCommon Stock0113111073,80527,271SH SOLE 25,22402,047
ALAMOS GOLD INCCommon Stock011532108959133,163SH SOLE 00133,163
ALARM COM HLDGS INC COMCommon Stock0116421058,483108,498SH SOLE 84,428024,070
ALASKA AIR GROUP INCCommon Stock01165910948,808832,906SH SOLE 680,9510151,955
ALBANY INTERNATIONAL CORPCommon Stock0123481085,40870,354SH SOLE 59,892010,461
ALBEMARLE CORPCommon Stock01265310164,670295,337SH SOLE 255,654039,683
ALBERTSONS COS INC - CLASS ACommon Stock0130911034,056130,297SH SOLE 121,13909,158
ALBIREO PHARMA INCCommon Stock01345P1062,08966,968SH SOLE 7,584059,384
ALCOA CORPCommon Stock01387210627,921570,515SH SOLE 334,2110236,304
Alcon IncCommon StockH0130112864,238798,287SH SOLE 708,120090,167
ALDEYRA THERAPEUTICS INCCommon Stock01438T10627431,184SH SOLE 31,095089
ALECTOR INCCommon Stock0144421071,78578,230SH SOLE 48,761029,469
ALEXANDER & BALDWIN INCREIT0144911046,952296,605SH SOLE 254,509042,096
ALEXANDERS INC COMREIT0147521093741,435SH SOLE 1,339096
ALEXANDRIA REAL ESTATE EQ IN COM REITREIT01527110967,952355,639SH SOLE 306,279049,361
ALGONQUIN POWER & UTILITIESCommon Stock0158571052,292156,314SH SOLE 2,7280153,586
ALIBABA GROUP HLDG LTD SPONSORED ADSADR01609W102105,121710,037SH SOLE 610,915099,122
ALIGN TECHNOLOGY INCCommon Stock016255101213,002320,096SH SOLE 254,012066,084
ALIGNMENT HEALTHCARE INCCommon Stock01625V10416710,464SH SOLE 8,29102,173
ALKAMI TECHNOLOGY INCCommon Stock01644J1081,57963,976SH SOLE 41,980021,996
ALKERMES PLCCommon StockG017671057,385239,452SH SOLE 108,5420130,910
ALLAKOS INCCommon Stock01671P1001,36512,894SH SOLE 12,1820712
ALLEGHANY CORPCommon Stock01717510017,29327,695SH SOLE 24,54603,149
ALLEGHENY TECHNOLOGIES INCCommon Stock01741R1024,441267,027SH SOLE 248,733018,294
ALLEGIANCE BANCSHARES INCCommon Stock01748H1071,96851,585SH SOLE 46,48505,100
ALLEGIANT TRAVEL COCommon Stock01748X10212,11961,994SH SOLE 52,76209,232
ALLEGION PLC W/ICommon StockG0176J10942,582322,149SH SOLE 263,028059,121
ALLEGRO MICROSYSTEMS INCCommon Stock01749D1052,73385,524SH SOLE 5,991079,533
ALLETE INCCommon Stock01852230016,639279,561SH SOLE 273,83605,725
ALLIANCE BERNSTEIN GLOBAL HIGH INC FUNDClosed-End Fund01879R10634,1422,782,536SH SOLE 1,780,64801,001,888
ALLIANCE DATA SYSTEMS CORPCommon Stock01858110850,883504,337SH SOLE 307,3000197,037
ALLIANCEBERNSTEIN NATL COMClosed-End Fund01864U10640,3852,703,159SH SOLE 1,184,69001,518,469
ALLIANT ENERGY CORPCommon Stock01880210863,2041,129,044SH SOLE 1,039,950089,094
AllianzGI Artificial IntelligeClosed-End Fund92838Y1004,759178,384SH SOLE 178,341043
ALLIED MOTION TECHNOLOGIESCommon Stock0193301092387,619SH SOLE 7,560059
ALLISON TRANSMISSION H COMCommon Stock01973R10119,859562,258SH SOLE 133,1000429,158
ALLOGENE THERAPEUTICS INCCommon Stock0197701061,09242,506SH SOLE 39,64002,866
ALLOVIR INCCommon Stock01981810331312,490SH SOLE 12,472018
ALLSCRIPTS HEALTHCARE SOLUTIONCommon Stock01988P1085,025375,853SH SOLE 336,878038,975
ALLSTATE CORP/THECommon Stock020002101187,5791,473,401SH SOLE 1,156,8550316,545
ALLY FINANCIAL INCCommon Stock02005N10035,245690,395SH SOLE 558,4170131,978
ALNYLAM PHARMACEUTICALS INCCommon Stock02043Q10739,374208,537SH SOLE 190,961017,576
ALPHA & OMEGA SEMICONDUCTOR LTCommon StockG6331P1042,72586,853SH SOLE 5,948080,905
ALPHA METALLURGICAL RESOURCESCommon Stock0207641063747,508SH SOLE 7,50800
ALPHABET INC - CL ACommon Stock02079K3053,079,5581,151,874SH SOLE 950,4060201,468
ALPHABET INC - CL CCommon Stock02079K1072,497,968937,215SH SOLE 772,4360164,779
ALPHATEC HOLDINGS INCCommon Stock02081G20120216,579SH SOLE 16,4660113
ALPINE TOTAL DYNAMIC DIVIDEND FUNDClosed-End Fund00326L100114,11411,716,015SH SOLE 8,475,50803,240,507
ALTABANCORPCommon Stock0213471092,86364,831SH SOLE 40,026024,805
ALTAIR ENGINEERING INCCommon Stock0213691034,10059,476SH SOLE 41,323018,153
ALTERYX INC COM CL ACommon Stock02156B1034,64763,572SH SOLE 58,60504,967
ALTICE USA INC CL ACommon Stock02156K1036,236300,978SH SOLE 275,010025,968
ALTIMMUNE INCCommon Stock02155H20030226,745SH SOLE 26,3000445
ALTRA INDUSTRIAL MOTION CORPCommon Stock02208R10612,534226,452SH SOLE 152,588073,864
ALTRIA GROUP INCCommon Stock02209S103310,1266,812,959SH SOLE 5,090,15901,722,800
ALTUS MIDSTREAM CO -ACommon Stock02215L20997014,047SH SOLE 12,76401,283
ALUMINUM CORP CHINA LTD SPON ADR H SHSADR0222761093,726199,378SH SOLE 180,936018,442
ALX Oncology Holdings IncCommon Stock00166B1054796,487SH SOLE 6,1900297
AMAZON.COM INCCommon Stock0231351064,793,1801,459,093SH SOLE 1,199,4170259,676
AMBAC FINL GROUP INC COM NEWCommon Stock02313988497668,140SH SOLE 65,07803,062
AMBARELLA INC SHSCommon StockG037AX10111,13971,520SH SOLE 43,848027,672
AMBEV SAADR02319V1038,6653,139,577SH SOLE 2,832,6840306,893
AMC ENTERTAINMENT HLDS-CL ACommon Stock00165C10415,225400,018SH SOLE 379,304020,714
AMC NETWORKS INC ACommon Stock00164V1035,671121,731SH SOLE 81,255040,476
AMCOR PLCCommon StockG0250X10745,5163,927,149SH SOLE 3,444,1410483,008
AMDOCS LTDCommon StockG0260210336,997488,669SH SOLE 317,5250171,144
AMEDISYS INCCommon Stock0234361089,86866,187SH SOLE 48,120018,067
AMERCO INCCommon Stock02358610015,43223,888SH SOLE 21,89001,998
AMEREN CORPCommon Stock02360810269,004851,898SH SOLE 726,4950125,403
AMERESCO INC CL ACommon Stock02361E1082,89949,612SH SOLE 48,10501,507
AMERICA MOVIL S A DE C V SPON ADR L SHSADR02364W1055,897333,727SH SOLE 311,128022,599
AMERICAN AIRLINES GROUP INCCommon Stock02376R10228,0381,366,359SH SOLE 1,102,2200264,139
AMERICAN ASSETS TR INC COM REITREIT0240131048,647231,092SH SOLE 193,840037,252
AMERICAN AXLE & MANUFACTURINGCommon Stock0240611034,538515,086SH SOLE 409,6190105,467
AMERICAN CAMPUS COMMUNITIES REITREIT02483510017,243355,893SH SOLE 291,364064,529
AMERICAN EAGLE OUTFITTERS INCCommon Stock02553E10611,927462,290SH SOLE 174,5700287,720
AMERICAN ELECTRIC POWER CO INCCommon Stock025537101141,5831,744,068SH SOLE 1,474,8440269,224
AMERICAN EQUITY INVESTMENT LIFCommon Stock02567620620,550694,974SH SOLE 413,4420281,532
AMERICAN EXPRESS COCommon Stock025816109412,8342,464,238SH SOLE 2,035,0250429,213
AMERICAN FINANCE TRUST INCREIT02607T1091,275158,550SH SOLE 141,575016,975
AMERICAN FINANCIAL GROUP INC/OCommon Stock02593210441,848332,574SH SOLE 253,242079,332
AMERICAN HOMES 4 RENT CLASS AREIT02665T30625,525669,593SH SOLE 583,815085,777
AMERICAN INTERNATIONAL GROUP ICommon Stock026874784143,6652,617,320SH SOLE 2,342,3690274,951
AMERICAN NATIONAL INSURANCE COCommon Stock02772A1099,81951,945SH SOLE 43,60208,343
AMERICAN OUTDOOR BRANDS INCCommon Stock02875D10928211,479SH SOLE 9,44602,033
AMERICAN PUBLIC EDUCATION INCCommon Stock02913V10381331,756SH SOLE 23,15808,598
AMERICAN SOFTWARE INC/GEORGIACommon Stock0296831092,410101,485SH SOLE 70,019031,466
AMERICAN STATES WATER COCommon Stock02989910112,115141,664SH SOLE 121,311020,353
AMERICAN SUPERCONDUCTOR CORPCommon Stock03011120740227,551SH SOLE 26,9620589
AMERICAN TOWER REIT INCREIT03027X100459,1651,730,021SH SOLE 1,371,0660358,955
AMERICAN VANGUARD CORPCommon Stock03037110835523,615SH SOLE 21,21902,396
AMERICAN WATER WORKS CO INCCommon Stock030420103106,995632,958SH SOLE 543,367089,591
American Well CorpCommon Stock03044L1052,091229,482SH SOLE 210,783018,699
AMERICAN WOODMARK CORPCommon Stock0305061092,76042,228SH SOLE 32,31409,914
AMERICA'S CAR-MART INCCommon Stock03062T1052,34120,050SH SOLE 10,81609,234
AMERICOLD REALTY TRUSTREIT03064D1087,383254,147SH SOLE 164,694089,453
AMERIPRISE FINANCIAL INCCommon Stock03076C106218,813828,460SH SOLE 564,2930264,167
AMERIS BANCORPCommon Stock03076K10811,232216,506SH SOLE 199,803016,703
AMERISAFE INCCommon Stock03071H1003,77167,153SH SOLE 53,706013,447
AMERISOURCEBERGEN CORP COMCommon Stock03073E105129,5761,084,774SH SOLE 722,2970362,477
AMETEK INC NEW COMCommon Stock031100100106,886861,913SH SOLE 714,0720147,841
AMGEN INCCommon Stock031162100509,3472,395,237SH SOLE 1,824,4270570,810
AMICUS THERAPEUTICS COMCommon Stock03152W1092,898303,410SH SOLE 268,476034,934
AMKOR TECHNOLOGY INCCommon Stock03165210012,634506,358SH SOLE 182,1550324,202
AMN HEALTHCARE SERVICES INCCommon Stock00174410128,527248,599SH SOLE 124,8000123,799
AMNEAL PHARMACEUTICALS INCCommon Stock03168L1051,298243,047SH SOLE 102,8730140,174
AMPHASTAR PHARMACEUTICALSCommon Stock03209R1032,866150,788SH SOLE 131,077019,711
AMPHENOL CORPCommon Stock032095101179,7002,453,918SH SOLE 1,984,5080469,410
AMPIO PHARMACEUTICALS INCCommon Stock03209T1093621,487SH SOLE 21,48700
AMRYT PHARMA LTD - SPNR ADRADR03217L10613311,008SH SOLE 10,7530255
AMYRIS INCCommon Stock03236M2001,31996,042SH SOLE 95,2370805
ANALOG DEVICES INCCommon Stock032654105341,5332,039,247SH SOLE 1,575,1320464,115
ANAPLAN INCCommon Stock03272L10810,941179,684SH SOLE 171,97907,705
ANAPTYSBIO INCCommon Stock0327241061,55357,279SH SOLE 46,832010,447
ANAVEX LIFE SCIENCES C COM NEWCommon Stock03279730073140,714SH SOLE 34,66806,046
ANDERSONS INC/THECommon Stock0341641032,34375,986SH SOLE 68,45507,531
ANGI INCCommon Stock00183L10214912,055SH SOLE 10,20301,852
ANGIODYNAMICS INCCommon Stock03475V1012,813108,431SH SOLE 100,62707,804
ANGLOGOLD ASHANTI LTD SPONSORED ADRADR0351282065,337333,741SH SOLE 318,607015,134
ANHEUSER-BUSCH INBEV SA N.V.ADR03524A10838,496682,804SH SOLE 607,439075,365
ANI PHARMACEUTICALS IN COMCommon Stock00182C10383325,366SH SOLE 23,56901,797
ANIKA THERAPEUTICS INCCommon Stock0352551081,41433,212SH SOLE 20,774012,438
ANNALY MTG MGMT INC COM REITREIT03571040930,4483,616,174SH SOLE 2,727,4570888,716
ANSYS INCCommon Stock03662Q10597,764287,161SH SOLE 253,360033,801
ANTARES PHARMA INCCommon Stock036642106534146,765SH SOLE 60,647086,118
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BIOSIG TECHNOLOGIES INCCommon Stock09073N2015618,919SH SOLE 18,820099
BIO-TECHNE CORPCommon Stock09073M10455,052113,609SH SOLE 100,136013,473
BIOXCEL THERAPEUTICS INCCommon Stock09075P10535011,525SH SOLE 11,457068
BJ'S RESTAURANTS INCCommon Stock09180C1061,74941,885SH SOLE 38,07403,811
BJ'S WHOLESALE CLUB INCCommon Stock05550J10113,503245,870SH SOLE 157,592088,278
Black Diamond Therapeutics IncCommon Stock09203E10556566,758SH SOLE 66,0720686
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BM TECHNOLOGIES INCCommon Stock05591L10711112,473SH SOLE 11,9020570
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BOK FINANCIAL CORPCommon Stock05561Q2018,18091,351SH SOLE 86,94604,405
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BOOKING HOLDINGS INCCommon Stock09857L108283,638119,483SH SOLE 101,859017,624
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BOYD GAMING CORPCommon Stock10330410116,270257,189SH SOLE 232,168025,021
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BRIDGEBIO PHARMA INCCommon Stock10806X1022,89061,664SH SOLE 56,19005,474
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BRIGHTHOUSE FINANCIAL INCCommon Stock10922N10314,075311,183SH SOLE 274,849036,334
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BRINKER INTERNATIONAL INCCommon Stock10964110020,795423,958SH SOLE 112,9290311,029
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BRISTOL-MYERS SQUIBB COCommon Stock110122108584,0919,871,400SH SOLE 5,866,18604,005,214
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BROADSTONE NET LEASE INC-AREIT11135E2032,548102,698SH SOLE 92,670010,028
BROOKDALE SENIOR LIVING INCCommon Stock1124631041,610255,614SH SOLE 240,623014,991
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BROOKFIELD RENEWABLE COR-ACommon Stock11284V1055,959153,549SH SOLE 125,780027,769
BROOKLINE BANCORP INCCommon Stock11373M1072,891189,442SH SOLE 150,783038,659
BROOKS AUTOMATION INCCommon Stock11434010213,719134,044SH SOLE 116,659017,385
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BROWN FORMAN CORP CL ACommon Stock1156371009,132145,710SH SOLE 141,52904,180
Brown-Forman CorpCommon Stock11563720970,2031,047,654SH SOLE 920,3980127,256
BRP GROUP INC-ACommon Stock05589G1022,73082,016SH SOLE 45,834036,182
BRP INC/CA- SUB VOTINGCommon Stock05577W2005,36157,844SH SOLE 10,438047,406
BRT APARTMENTS CORPREIT05564530344523,089SH SOLE 21,06202,026
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BUILD-A-BEAR WORKSHOP INCCommon Stock12007610431018,304SH SOLE 18,30400
BUILDERS FIRSTSOURCE INCCommon Stock12008R10717,312334,604SH SOLE 273,081061,523
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BUNGE LTDCommon StockG1696210531,101382,451SH SOLE 173,1250209,326
BURLINGTON STORES INCCommon Stock12201710632,199113,549SH SOLE 97,439016,110
Burning Rock Biotech LtdADR12233L1071,43580,235SH SOLE 77,64902,586
BUTTERFLY NETWORK INCCommon Stock12415510233532,131SH SOLE 30,91801,213
BWX TECHNOLOGIESCommon Stock05605H10021,750403,823SH SOLE 159,2630244,560
BYLINE BANCORP INCCommon Stock1244111092,33394,984SH SOLE 24,179070,805
Byrna Technologies IncCommon Stock12448X20171432,643SH SOLE 14,406018,237
C3.AI INC-ACommon Stock12468P1042,40251,839SH SOLE 48,41503,424
C4 THERAPEUTICS INCCommon Stock12529R1071,20426,942SH SOLE 10,392016,550
CABLE ONE INCCommon Stock12685J10520,00411,033SH SOLE 8,17502,858
CABOT CORPCommon Stock12705510120,633411,664SH SOLE 135,2430276,421
CABOT OIL & GAS CORPCommon Stock12709710342,1871,938,731SH SOLE 1,629,6200309,111
CACI INTERNATIONAL INCCommon Stock12719030419,99576,287SH SOLE 65,880010,407
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CADENCE BANCORPCommon Stock12739A10013,678622,872SH SOLE 579,966042,906
CADENCE DESIGN SYSTEMS INCCommon Stock127387108150,279992,332SH SOLE 802,2270190,105
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CAE INCCommon Stock1247651088,269276,825SH SOLE 270,21606,609
CAESARS ENTERTAINMENT INCCommon Stock12769G10031,892284,042SH SOLE 262,029022,013
CAESARSTONE LTDCommon StockM205981041,19295,936SH SOLE 82,994012,942
CAI INTERNATIONAL INCCommon Stock12477X1062,67947,915SH SOLE 24,336023,579
CALAMOS LNG/SHRT EQ & DYNClosed-End Fund12812C1063,918192,533SH SOLE 184,73207,801
CALAMP CORPCommon Stock1281261091,336134,260SH SOLE 128,30605,954
CALAVO GROWERS INCCommon Stock1282461054,680122,386SH SOLE 84,063038,323
CALERES INCCommon Stock1295001043,250146,254SH SOLE 138,78507,469
CALIFORNIA RESOURCES CORPCommon Stock13057Q3051,80744,081SH SOLE 2,417041,664
CALIFORNIA WATER SERVICE GROUPCommon Stock1307881029,394159,405SH SOLE 139,520019,885
CALIX INC COMCommon Stock13100M5096,974141,093SH SOLE 33,9580107,135
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CALLON PETROLEUM COCommon Stock13123X5084,07983,104SH SOLE 72,665010,439
CAL-MAINE FOODS INCCommon Stock1280302024,945136,758SH SOLE 106,952029,806
CAMBIUM NETWORKS CORPCommon StockG177661091,48841,130SH SOLE 18,064023,066
CAMDEN NATIONAL CORPCommon Stock1330341082,33048,644SH SOLE 5,762042,882
CAMDEN PPTY TR SH BEN INT REITREIT13313110247,825324,300SH SOLE 286,369037,931
CAMECO CORPCommon Stock13321L10817,891823,320SH SOLE 794,490028,831
CAMPBELL SOUP COCommon Stock13442910930,126720,544SH SOLE 564,9810155,563
CAMPING WORLD HOLDINGS INC-ACommon Stock13462K1092,62167,421SH SOLE 43,027024,394
Camtek Ltd/IsraelCommon StockM2079110554313,401SH SOLE 13,358043
CANADIAN IMPERIAL BANK OF COMMCommon Stock13606910129,002260,572SH SOLE 247,339013,232
Canadian National Railway CoCommon Stock13637510264,489557,618SH SOLE 515,390042,228
CANADIAN NATURAL RESOURCESCommon Stock13638510142,2661,156,708SH SOLE 511,8670644,840
Canadian Pacific Railway LtdCommon Stock13645T10040,531622,890SH SOLE 591,272031,618
CANADIAN SOLAR INCCommon Stock13663510954415,739SH SOLE 15,73900
CANNAE HOLDINGS INCCommon Stock13765N1071,95262,741SH SOLE 60,34702,394
CANON INC ADRADR13800630952,6202,158,326SH SOLE 1,963,9390194,388
CANOO INCCommon Stock13803R10270591,616SH SOLE 85,90305,713
CANOPY GROWTH CORPCommon Stock13803510053038,226SH SOLE 37,8930333
CANTALOUPE INCCommon Stock13810310623321,607SH SOLE 21,594013
CAPITAL CITY BANK GROUP INCCommon Stock13967410552321,127SH SOLE 11,28209,845
CAPITAL ONE FINANCIAL CORPCommon Stock14040H105259,5311,602,339SH SOLE 1,153,2980449,041
CAPITOL FEDERAL FINANCIAL INCCommon Stock14057J1014,554396,345SH SOLE 369,720026,625
CAPRI HOLDINGS LTDCommon StockG1890L10736,722758,558SH SOLE 600,9330157,625
CAPSTAR FINANCIAL HOLDINGS INCCommon Stock14070T10240118,874SH SOLE 13,93804,936
CAPSTEAD MORTGAGE CORP REITREIT14067E5062,726407,548SH SOLE 375,926031,622
CARA THERAPEUTICS INCCommon Stock1407551092,924189,240SH SOLE 168,210021,030
Cardiff Oncology IncCommon Stock14147L10810015,039SH SOLE 14,8120227
CARDINAL HEALTH INCCommon Stock14149Y10861,3891,241,193SH SOLE 885,6100355,583
CARDIOVASCULAR SYSTEMS INCCommon Stock1416191064,211128,277SH SOLE 86,565041,712
CARDLYTICSCommon Stock14161W1052,64131,457SH SOLE 28,71402,743
CAREDX INCCommon Stock14167L1034,97878,556SH SOLE 37,714040,842
CARETRUST REIT INCREIT14174T1075,292260,422SH SOLE 179,475080,947
CARGURUS INCCommon Stock1417881092,34974,799SH SOLE 72,83501,964
CARLISLE COS INCCommon Stock14233910039,226197,324SH SOLE 172,203025,121
CARLOTZ INCCommon Stock14255210835091,837SH SOLE 90,60801,229
CARMAX INCCommon Stock14313010271,706560,379SH SOLE 486,193074,186
CARNIVAL CORPCommon Stock143658300103,0014,118,391SH SOLE 3,042,48501,075,906
CARNIVAL PLC ADRADR14365C1035,506241,404SH SOLE 230,992010,412
CarParts.com IncCommon Stock14427M10771445,766SH SOLE 19,237026,529
CARPENTER TECHNOLOGY CORPCommon Stock1442851035,600171,057SH SOLE 160,231010,826
CARRIAGE SERVICES INCCommon Stock1439051071,54234,587SH SOLE 7,474027,113
CARRIER GLOBAL CORPCommon Stock14448C104164,4863,177,869SH SOLE 2,192,7410985,128
CARROLS RESTAURANT GROUP INCCommon Stock14574X10433892,430SH SOLE 87,83804,592
CARS.COM INCCommon Stock14575E1053,094244,546SH SOLE 161,689082,857
CARTER BANK & TRUSTCommon Stock1461031061,30992,061SH SOLE 79,463012,598
CARTER'S INCCommon Stock14622910914,244146,479SH SOLE 78,744067,735
CARVANA COCommon Stock14686910235,841118,858SH SOLE 80,682038,176
CASA SYSTEMS INCCommon Stock14713L10211817,332SH SOLE 16,26501,067
CASELLA WASTE SYSTEMS INCCommon Stock1474481045,88977,544SH SOLE 70,92406,620
CASEY'S GENERAL STORES INCCommon Stock14752810325,100133,190SH SOLE 81,766051,424
CASPER SLEEP INCCommon Stock1476261055011,796SH SOLE 10,76101,035
CASS INFORMATION SYSTEMS INCCommon Stock14808P1092,23053,285SH SOLE 42,884010,400
CASSAVA SCIENCES INCCommon Stock14817C10794615,242SH SOLE 13,42401,818
CASTLE BIOSCIENCES INCCommon Stock14843C1052,20233,110SH SOLE 21,178011,932
CATALENT INC COMCommon Stock14880610282,020616,371SH SOLE 374,4060241,965
CATALYST PHARM PARTNER COMCommon Stock14888U101893168,398SH SOLE 49,4350118,963
CATCHMARK TIMBER TR IN CL AREIT14912Y2024,619389,133SH SOLE 273,4260115,707
CATERPILLAR INCCommon Stock149123101331,2191,725,371SH SOLE 1,487,6720237,699
CATHAY GENERAL BANCORPCommon Stock14915010413,846334,514SH SOLE 272,448062,066
CATO CORP/THECommon Stock14920510693456,471SH SOLE 53,25403,217
CAVCO INDUSTRIES INCCommon Stock1495681074,16817,606SH SOLE 15,81401,792
CBIZ INCCommon Stock1248051025,611173,498SH SOLE 158,870014,628
CBOE GLOBAL MARKETS INCCommon Stock12503M10838,189308,323SH SOLE 188,9700119,353
CBRE Global Real Estate IncomeClosed-End Fund12504G10062,1257,431,267SH SOLE 5,032,75602,398,510
CBRE GROUP INC - ACommon Stock12504L109122,7391,260,674SH SOLE 1,055,4580205,216
CBTX INCCommon Stock12481V1041,14343,321SH SOLE 42,8790442
CDK GLOBAL INCCommon Stock12508E1019,926233,282SH SOLE 181,990051,292
CDW CORP/DECommon Stock12514G10871,963395,357SH SOLE 346,854048,503
CECO ENVIRONMENTAL CORPCommon Stock12514110131244,315SH SOLE 44,0100305
CELANESE CORPCommon Stock15087010389,854596,481SH SOLE 403,5480192,933
CELESTICA INCCommon Stock15101Q108892100,464SH SOLE 100,3340130
CELLDEX THERAPEUTICS INCCommon Stock15117B2022,50646,408SH SOLE 15,105031,303
CEL-SCI CORPCommon Stock15083760728626,045SH SOLE 25,969076
CELSIUS HOLDINGS INCCommon Stock15118V20717,431193,483SH SOLE 131,974061,509
CEMEX S A SPON ADR 5 ORDADR15129088913,5341,887,524SH SOLE 1,826,908060,616
CENOVUS ENERGY INCCommon Stock15135U10911,3581,128,994SH SOLE 1,107,254021,740
CENTENE CORPCommon Stock15135B101110,7651,777,648SH SOLE 1,539,3630238,285
CENTENNIAL RESOURCE DEVELO-ACommon Stock15136A10256183,736SH SOLE 83,2470489
CENTERPOINT ENERGY INCCommon Stock15189T10758,2592,368,267SH SOLE 2,125,1950243,071
CENTERSPACEREIT15202L1074,22644,721SH SOLE 26,263018,458
CENTRAIS ELEC BRAS - SP ADR (ELETROBRAS)ADR15234Q2072,492350,989SH SOLE 328,476022,513
CENTRAIS ELETRICAS BR-SP ADRADR15234Q10864088,614SH SOLE 79,62708,987
CENTRAL GARDEN AND PET COCommon Stock1535271061,56332,571SH SOLE 20,852011,719
CENTRAL GARDEN AND PET COCommon Stock1535272055,367124,816SH SOLE 90,032034,784
CENTRAL PACIFIC FINANCIAL CORPCommon Stock1547604095,541215,755SH SOLE 135,403080,352
CENTRAL SECS CORP COMClosed-End Fund1551231025,988141,726SH SOLE 97,574044,152
CENTRAL VY CMNTY BANC COMCommon Stock15568510042819,903SH SOLE 19,3800523
CENTURY ALUMINUM COCommon Stock1564311086,505483,667SH SOLE 173,0090310,658
CENTURY BANCORP INC CL A NON VTGCommon Stock1564321064944,283SH SOLE 4,1470136
CENTURY COMMUNITIES INCCommon Stock1565043005,99297,506SH SOLE 59,533037,973
CERENCE INCCommon Stock1567271096,48567,470SH SOLE 59,13908,331
CEREVEL THERAPEUTICS HOLDINGCommon Stock15678U1281,64155,639SH SOLE 17,888037,751
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CERNER CORPCommon Stock15678210485,4291,211,418SH SOLE 1,062,2250149,193
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ENNIS INCCommon Stock2933891021,47077,967SH SOLE 23,527054,440
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ERIE INDEMNITY COCommon Stock29530P10210,85460,834SH SOLE 51,25009,584
ERO COPPER CORPCommon Stock29600610944725,178SH SOLE 25,104074
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ESCO TECHNOLOGIES INCCommon Stock2963151045,51771,649SH SOLE 61,90809,741
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ESSENTIAL UTILITIES INCCommon Stock29670G10222,523488,785SH SOLE 459,524029,261
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ETHAN ALLEN INTERIORS INCCommon Stock2976021041,92881,336SH SOLE 58,767022,569
ETSY INC COMCommon Stock29786A10684,643407,015SH SOLE 277,1630129,852
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EURONET WORLDWIDE INCCommon Stock29873610922,564177,281SH SOLE 103,762073,519
EVELO BIOSCIENCES INCCommon Stock29973410314120,075SH SOLE 3,764016,311
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EVERBRIDGE INCCommon Stock29978A1046,80645,063SH SOLE 36,31908,744
EVERCORE INC.Common Stock29977A10519,872148,665SH SOLE 108,775039,889
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EVERGY INCCommon Stock30034W10654,999884,221SH SOLE 818,797065,424
EVERI HOLDINGS INCCommon Stock30034T1034,679193,512SH SOLE 19,1840174,328
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EVERSOURCE ENERGYCommon Stock30040W108106,7171,305,252SH SOLE 995,2950309,957
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EVO PAYMENTS INC-CLASS ACommon Stock26927E1041,10346,591SH SOLE 30,626015,965
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FIRSTENERGY CORPCommon Stock33793210773,6412,067,401SH SOLE 1,553,1450514,257
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FLAGSTAR BANCORP INCCommon Stock3379307058,695171,225SH SOLE 110,778060,447
FLEETCOR TECHNOLOGIES INCCommon Stock33904110568,982264,026SH SOLE 232,521031,505
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FOOT LOCKER INCCommon Stock34484910419,073417,707SH SOLE 213,6780204,030
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FORMFACTOR INCCommon Stock3463751089,043242,235SH SOLE 226,721015,514
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FORWARD AIR CORPCommon Stock3498531019,086109,438SH SOLE 66,360043,077
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FRANCO-NEVADA CORPCommon Stock35185810512,55496,635SH SOLE 90,47706,158
FRANKLIN COVEY COCommon Stock35346910953613,140SH SOLE 3,051010,089
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FREEPORT-MCMORAN INCCommon Stock35671D857146,7824,512,197SH SOLE 3,627,3170884,880
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FRESH DEL MONTE PRODUCE INCCommon StockG367381052,25069,840SH SOLE 42,700027,140
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FTI CONSULTING INCCommon Stock3029411099,11267,649SH SOLE 52,657014,992
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G1 THERAPEUTICS INCCommon Stock3621LQ10999073,805SH SOLE 71,34602,459
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GANNETT CO INCCommon Stock36472T1091,370205,032SH SOLE 188,946016,086
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GARRETT MOTION INCCommon Stock3665051057810,538SH SOLE 8,11702,420
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GEMINI THERAPEUTICS INCCommon Stock36870G1059022,206SH SOLE 21,18601,020
GENCO SHIPPING & TRADING LTDCommon StockY2685T1311,08453,860SH SOLE 48,72205,138
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GENESCO INCCommon Stock3715321023,95768,539SH SOLE 55,712012,827
GENIE ENERGY LTDCommon Stock37228420810616,161SH SOLE 16,16100
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GERON CORP COMCommon Stock3741631039569,400SH SOLE 61,52807,872
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GEVO INCCommon Stock37439640626239,420SH SOLE 19,136020,284
GFL Environmental IncCommon Stock36168Q10491224,540SH SOLE 24,54000
GIBRALTAR INDUSTRIES INCCommon Stock3746891074,77168,499SH SOLE 63,04805,451
G-III APPAREL GROUP LTDCommon Stock36237H1017,549266,745SH SOLE 227,482039,263
GILDAN ACTIVEWEAR INCCommon Stock3759161039,183251,514SH SOLE 243,57407,940
GILEAD SCIENCES INCCommon Stock375558103284,2914,070,025SH SOLE 3,308,4600761,565
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Glatfelter CorpCommon Stock3773201063,130221,953SH SOLE 213,40708,546
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GLOBAL BLOOD THERAPEUT COMCommon Stock37890U1082,46996,918SH SOLE 68,301028,617
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GODADDY INC CL ACommon Stock38023710714,255204,519SH SOLE 171,756032,763
GOGO INCCommon Stock38046C1092,290132,354SH SOLE 43,534088,820
GoHealth IncCommon Stock38046W1051,106219,908SH SOLE 166,541053,367
GOLAR LNG LTDCommon StockG9456A1003,634280,205SH SOLE 266,896013,309
GOLD FIELDS LTD SPONS ADRADR38059T1067,702948,537SH SOLE 888,091060,446
GOLDEN ENTERTAINMENT INCCommon Stock3810131014,923100,289SH SOLE 60,286040,003
Golden Nugget Online Gaming InCommon Stock38113L1071,16266,915SH SOLE 65,12101,794
GOLDEN OCEAN GROUP LTDCommon StockG3963720511911,055SH SOLE 11,05500
GOLDMAN SACHS GROUP INC/THECommon Stock38141G104428,0761,132,386SH SOLE 938,5210193,865
GOLUB CAPITAL BDC INCCommon Stock38173M1021,03165,203SH SOLE 65,20300
GOODYEAR TIRE & RUBBER CO/THECommon Stock38255010135,5982,011,170SH SOLE 1,185,4870825,683
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GOPRO INC-CLASS ACommon Stock38268T1031,519162,256SH SOLE 26,6950135,561
GORMAN-RUPP CO/THECommon Stock3830821042,67674,725SH SOLE 60,743013,982
GOSSAMER BIO INCCommon Stock38341P10242333,613SH SOLE 29,10404,509
GRACO INCCommon Stock38410910487,4631,250,005SH SOLE 467,8720782,133
GRAFTECH INTERNATIONAL LTDCommon Stock3843135081,03199,859SH SOLE 95,04504,814
GRAHAM CORPCommon Stock38455610616713,440SH SOLE 152013,288
GRAHAM HOLDINGS COCommon Stock3846371048,25514,012SH SOLE 4,70109,311
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HELIOS TECHNOLOGIES INCCommon Stock42328H1095,83171,015SH SOLE 29,725041,290
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HENRY SCHEIN INCCommon Stock80640710234,970459,165SH SOLE 390,790068,375
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HERON THERAPEUTICS INC COMCommon Stock4277461021,900177,772SH SOLE 66,2220111,550
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HF FOODS GROUP INCCommon Stock40417F1091,122185,509SH SOLE 175,82609,683
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HILLENBRAND INCCommon Stock43157110819,457456,208SH SOLE 347,9940108,215
HILL-ROM HOLDINGS INCCommon Stock43147510226,758178,389SH SOLE 112,339066,050
HILLTOP HOLDINGS INCCommon Stock4327481014,541138,985SH SOLE 86,310052,674
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HNI CORPCommon Stock4042511004,362118,787SH SOLE 90,944027,843
HOLLYFRONTIER CORPCommon Stock43610610866,7892,015,974SH SOLE 1,547,7330468,242
HOLOGIC INCCommon Stock43644010146,920635,684SH SOLE 540,244095,440
HOME BANCSHARES INC/ARCommon Stock4368932009,007382,769SH SOLE 250,0670132,702
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HOMESTREET INC COMCommon Stock43785V1024,202102,108SH SOLE 39,678062,430
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HONDA MOTOR LTD AMERN SHSADR43812830853,8111,754,520SH SOLE 1,578,1320176,388
HONEYWELL INTERNATIONAL INCCommon Stock438516106553,8722,609,157SH SOLE 2,087,6680521,489
Hooker Furnishings CorpCommon Stock43903810059021,848SH SOLE 21,7480100
HOPE BANCORP INCCommon Stock43940T10916,0211,109,504SH SOLE 947,7070161,797
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HORIZON THERAPEUTICS PLCCommon StockG4618810148,271440,674SH SOLE 298,5050142,169
HORMEL FOODS CORPCommon Stock44045210051,1871,248,458SH SOLE 977,6180270,841
HOST HOTELS & RESORTS INC REITREIT44107P10434,2282,096,037SH SOLE 1,706,6790389,358
HOSTESS BRAND INCCommon Stock44109J10621,6171,244,530SH SOLE 272,0010972,529
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HOULIHAN LOKEY INCCommon Stock44159310015,371166,892SH SOLE 148,839018,053
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HOWARD HUGHES CORP/THECommon Stock44267D10711,558131,620SH SOLE 36,940094,680
HOWMET AEROSPACE INCCommon Stock44320110829,808955,398SH SOLE 812,8970142,501
HP INCCommon Stock40434L105151,9615,554,143SH SOLE 3,796,60301,757,539
HSBC HLDGS PLC-SPON ADRADR40428040666,2032,531,667SH SOLE 2,237,2740294,393
HUANENG PWR INTL INC SPON ADR NADR4433041006,005285,539SH SOLE 268,740016,799
HUAZHU GROUP LTD-ADRADR44332N1062,86062,374SH SOLE 57,72104,653
HUB GROUP INCCommon Stock4433201067,470108,650SH SOLE 87,704020,946
HUBBELL INCCommon Stock44351060729,720164,497SH SOLE 154,95509,543
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HUDSON PAC PPTYS INC COM REITREIT4440971094,370166,368SH SOLE 132,553033,816
HUDSON TECHNOLOGIES COMCommon Stock4441441091,105312,934SH SOLE 1590312,775
HUMANA INCCommon Stock444859102225,900580,496SH SOLE 419,4170161,079
Humanigen IncCommon Stock44486320328047,139SH SOLE 47,13900
HUNTINGTON BANCSHARES INC/OHCommon Stock446150104110,8727,171,551SH SOLE 6,332,8620838,688
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HUNTSMAN CORPCommon Stock44701110752,8661,786,623SH SOLE 600,73901,185,884
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HUTCHISON CHINA MEDITECH - ADRADR44842L1033,36491,896SH SOLE 87,26704,629
HUYA INC-ADRADR44852D1081,293155,058SH SOLE 147,37107,687
HYATT HOTELS CORP - CL ACommon Stock4485791028,196106,298SH SOLE 87,285019,013
HYDROFARM HOLDINGS GROUP INCCommon Stock44888K2092265,975SH SOLE 5,890085
HYLIION HOLDINGS CORPCommon Stock44910910764476,670SH SOLE 69,45007,220
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I3 VERTICALS INC-CLASS ACommon Stock46571Y10796539,839SH SOLE 26,780013,059
IAA INCCommon Stock44925310321,277389,909SH SOLE 276,1620113,747
IAC/INTERACTIVECORPCommon Stock44891N20824,128185,190SH SOLE 167,161018,029
ICF INTERNATIONAL INCCommon Stock44925C1031,35915,225SH SOLE 9,73305,492
ICHOR HOLDINGS LTDCommon StockG4740B1053,22278,404SH SOLE 50,133028,271
ICICI BK LTD ADRADR45104G10439,7962,108,963SH SOLE 1,841,3830267,580
ICL Group LtdCommon StockM5321310017,7602,442,972SH SOLE 2,186,7540256,217
ICON PLCCommon StockG4705A10025,99799,218SH SOLE 79,693019,525
ICU MEDICAL INCCommon Stock44930G10715,15164,920SH SOLE 55,45109,469
IDACORP INCCommon Stock45110710633,249321,617SH SOLE 279,568042,049
IDEANOMICS INCCommon Stock45166V1063819,166SH SOLE 18,7830383
IDENTIV INCCommon Stock45170X20529415,598SH SOLE 15,552046
IDEX CORPCommon Stock45167R10460,244291,103SH SOLE 261,338029,765
IDEXX LABORATORIES INCCommon Stock45168D104222,007356,982SH SOLE 276,296080,686
IDT CORPCommon Stock4489475071,99947,643SH SOLE 41,23906,404
IGIB - iShares Trust iShares 5-10 Year Investment Grade Corporate Bond ETFETF4642886382,77146,130SH SOLE 46,13000
IGM Biosciences IncCommon Stock4495851083555,398SH SOLE 4,28501,113
iHeartMedia IncCommon Stock45174J5094,931197,096SH SOLE 134,868062,228
IHS MARKIT LTDCommon StockG47567105131,5591,128,096SH SOLE 1,019,0490109,047
II-VI INCCommon Stock9021041089,705163,502SH SOLE 140,010023,492
ILLINOIS TOOL WORKS INCCommon Stock452308109291,0241,408,429SH SOLE 1,121,5360286,893
ILLUMINA INCCommon Stock452327109186,372459,486SH SOLE 403,422056,064
I-MAB-ADR EQUITYADR44975P1032,32232,037SH SOLE 29,74302,294
IMAX CORPCommon Stock45245E1091,46977,371SH SOLE 72,89804,473
IMMUNITYBIO INCCommon Stock45256X10325025,692SH SOLE 25,3520340
IMMUNOGEN INC COMCommon Stock45253H1011,265223,156SH SOLE 170,383052,773
IMMUNOVANT INCCommon Stock45258J1021,131130,140SH SOLE 125,41404,726
IMPERIAL OIL LTDCommon Stock45303840816,093509,929SH SOLE 499,208010,721
IMPINJ INC COMCommon Stock45320410958410,225SH SOLE 8,96701,258
INARI MEDICAL INCCommon Stock45332Y1092,52531,132SH SOLE 25,67905,453
INCYTE CORPCommon Stock45337C10233,327484,548SH SOLE 416,534068,014
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INDUSTRIAL SEL SEC SPDR FDETF81369Y7043,68837,691SH SOLE 34,89102,800
INFINERA CORPCommon Stock45667G1031,005120,738SH SOLE 93,969026,769
INFINITY PHARMACEUTICALS INCCommon Stock45665G30310029,361SH SOLE 29,36100
INFORMATION SERVICES GROUPCommon Stock45675Y1041,493207,902SH SOLE 1,9460205,956
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ING GROUP N V SPONSORED ADRADR45683710373,6335,081,651SH SOLE 4,053,01701,028,634
Ingersoll Rand IncCommon Stock45687V10653,2691,056,713SH SOLE 851,8430204,871
INGEVITY CORPCommon Stock45688C10713,782193,110SH SOLE 102,162090,948
INGLES MARKETS INCCommon Stock4570301044,71771,431SH SOLE 45,803025,628
INGREDION INCCommon Stock45718710246,050517,357SH SOLE 204,4310312,926
Inhibrx IncCommon Stock45720L1071,25537,667SH SOLE 2,966034,701
Inmode LtdCommon StockM5425M1035623,525SH SOLE 3,3600165
INNOSPEC INCCommon Stock45768S1056,89481,859SH SOLE 59,649022,210
INNOVAGE HOLDING CORPCommon Stock45784A10430145,586SH SOLE 43,06302,523
INNOVATIVE INDUSTRIAL PROPERREIT45781V10117,65976,390SH SOLE 51,548024,841
INNOVIVA INCCommon Stock45781M1015,693340,665SH SOLE 204,3820136,283
INOGEN INC.Common Stock45780L1042,76264,093SH SOLE 60,37803,715
INOVALON HLDGS INC COM CL ACommon Stock45781D10111,404283,041SH SOLE 126,8200156,221
INOVIO BIOMEDICAL CORP COMCommon Stock45773H201942131,545SH SOLE 127,67603,869
INSEEGO CORPCommon Stock45782B10419228,826SH SOLE 21,50407,322
INSIGHT ENTERPRISES INCCommon Stock45765U10313,183146,350SH SOLE 92,901053,449
INSMED INC COM NEWCommon Stock4576693072,769100,535SH SOLE 64,510036,025
INSPERITY INCCommon Stock45778Q1075,24247,338SH SOLE 44,36802,970
INSPIRE MEDICAL SYSTEMS INCCommon Stock4577301099,63641,379SH SOLE 23,142018,237
INSPIRED ENTERTAINMENT INCCommon Stock45782N10850743,346SH SOLE 0043,346
INSTALLED BUILDING PRODUCTSCommon Stock45780R1016,13057,211SH SOLE 52,16005,051
INSTEEL INDUSTRIES INCCommon Stock45774W1081,28133,664SH SOLE 30,90602,758
Instil Bio IncCommon Stock45783C10171740,088SH SOLE 14,120025,968
INSULET CORP COMCommon Stock45784P10122,09477,733SH SOLE 69,81707,916
INTEGER HLDGS CORP COMCommon Stock45826H10910,551118,101SH SOLE 96,680021,421
INTEGRA LIFESCIENCES HOLDINGSCommon Stock45798520814,747215,344SH SOLE 139,324076,020
INTEGRATED ELECTRICAL SERVICCommon Stock44951W1063166,920SH SOLE 6,4880432
INTEL CORPCommon Stock458140100811,93015,238,932SH SOLE 11,944,01203,294,920
INTELLIA THERAPEUTICS INCCommon Stock45826J10510,93781,531SH SOLE 49,744031,787
INTELLIGENT SYSTEMS CORPCommon Stock45816D1003288,073SH SOLE 6,54201,531
INTER PARFUMS INCCommon Stock4583341095,59974,880SH SOLE 55,236019,644
INTERACTIVE BROKERS GROUP INCCommon Stock45841N1074,87378,162SH SOLE 69,17308,989
INTERCEPT PHARMACEUTICALS INCCommon Stock45845P10843629,361SH SOLE 28,24601,115
INTERCONTINENTAL EXCHANGE INCCommon Stock45866F104256,4122,233,166SH SOLE 1,837,2020395,963
INTERCONTINENTAL HTLS GRP PL SPONSORED ADRADR45857P80625,191391,831SH SOLE 350,989040,842
INTERCORP FINANCIAL SERVICESCommon StockP5626F12849122,008SH SOLE 21,962046
INTERDIGITAL INCCommon Stock45867G1015,24377,312SH SOLE 61,317015,995
INTERFACE INCCommon Stock4586653042,516166,103SH SOLE 108,870057,233
INTERNATIONAL BANCSHARES CORPCommon Stock4590441034,450106,874SH SOLE 104,42202,452
INTERNATIONAL BUSINESS MACHINECommon Stock459200101295,0002,123,370SH SOLE 1,787,4540335,916
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INTERNATIONAL MONEY EXPRESSCommon Stock46005L1011,08765,110SH SOLE 37,875027,235
INTERNATIONAL PAPER COCommon Stock460146103108,9511,948,332SH SOLE 1,468,4900479,842
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INTERPUBLIC GROUP OF COS INC/TCommon Stock46069010064,1581,749,616SH SOLE 1,526,0740223,543
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INTREPID POTASH INCCommon Stock46121Y2012688,668SH SOLE 8,66800
INTUIT INCCommon Stock461202103755,1231,399,645SH SOLE 909,8450489,800
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INVACARE CORPCommon Stock4612031011,563328,259SH SOLE 322,03906,220
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INVESCO FTSE RAFI EMERGING METF46138E72724310,893SH SOLE 10,89300
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INVESCO FTSE RAFI US 1500 SMETF46137V5973441,886SH SOLE 1,868018
INVESCO LTDCommon StockG491BT10875,6523,137,780SH SOLE 2,747,6230390,157
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Invesco S&P 500 Enhanced ValueETF46138E3967,445180,737SH SOLE 180,73700
INVESCO S&P 500 LOW VOLATILITY ETFETF46138E3545248,619SH SOLE 7,01701,602
INVESCO S&P 500 PURE GROWTH ETFETF46137V2664022,087SH SOLE 2,08700
INVESCO S&P 500 PURE VALUE EETF46137V258188,8372,490,924SH SOLE 2,490,92400
INVESCO S&P EQUAL WEIGHT ETFETF46137V35717,168114,593SH SOLE 24,681089,912
Invesco Senior Income TrustClosed-End Fund46131H10713,7663,093,578SH SOLE 003,093,578
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INVESTORS BANCORP INCCommon Stock46146L10113,827915,071SH SOLE 730,8250184,246
INVITAE CORP COMCommon Stock46185L1031,98569,826SH SOLE 66,06103,765
INVITATION HOMES INCREIT46187W10741,5471,083,938SH SOLE 918,7630165,175
IONIS PHARMACEUTICALS INCCommon Stock4622221007,765231,506SH SOLE 206,700024,806
IOVANCE BIOTHERAPEUTICS INCCommon Stock46226010013,089530,781SH SOLE 428,6460102,135
IPG PHOTONICS CORPCommon Stock44980X10914,70592,833SH SOLE 82,184010,649
IQIYI INC-ADRADR46267X1081,515188,691SH SOLE 175,772012,919
IQVIA HOLDINGS INCCommon Stock46266C105132,911554,859SH SOLE 474,869079,990
IRADIMED CORP COMCommon Stock46266A1091,75052,096SH SOLE 20,030032,066
IRHYTHM TECHNOLOGIES I COMCommon Stock4500561061,53226,157SH SOLE 24,93601,221
IRIDIUM COMMUNICATIONS INCCommon Stock46269C10221,504539,627SH SOLE 426,1820113,445
IROBOT CORPCommon Stock4627261006,38181,287SH SOLE 59,216022,071
IRON MOUNTAIN INCREIT46284V10145,3251,043,163SH SOLE 828,8070214,357
IRONWOOD PHARMACEUTICALS INCCommon Stock46333X1086,049463,155SH SOLE 135,0220328,133
ISHARES BARCLAYS 3-7 YEAR TREASURY - ETFETF4642886612,76521,238SH SOLE 173021,065
ISHARES BARCLAYS MBS BOND FD - ETFETF4642885882,83126,178SH SOLE 62026,116
iShares Biotechnology ETFETF4642875561,5479,570SH SOLE 7,59001,980
ISHARES BROAD USD HIGH YIELDETF46435U8531,20128,951SH SOLE 1,491027,460
ISHARES CMBS ETFETF46429B3661,03019,045SH SOLE 0019,045
ISHARES COMEX GOLD TR ISHARESETF4642852046,980208,915SH SOLE 139,082069,833
ISHARES CORE HIGH DIVIDEND ETFETF46429B6632042,168SH SOLE 2,16800
ISHARES CORE MSCI EMERGINGETF46434G103180,9402,929,733SH SOLE 2,922,52007,214
ISHARES CORE MSCI EUROETF46434V73857810,318SH SOLE 10,31800
ISHARES CORE S&P 500 ETFETF464287200612,4931,421,692SH SOLE 1,045,3460376,346
ISHARES CORE S&P MIDCAP ETFETF4642875075,13219,510SH SOLE 19,2240286
ISHARES CORE S&P SMALL CAP ETFETF46428780411,611106,338SH SOLE 97,04109,297
ISHARES CORE S&P TOTAL US STOCK MKT ETFETF464287150234,6442,385,077SH SOLE 2,372,569012,508
ISHARES CORE S&P U.S US GROWTH EETF4642876714003,908SH SOLE 2,03701,871
ISHARES CORE S&P U.S. VALUE ETETF46428766395213,431SH SOLE 11,41502,016
ISHARES CORE U.S. AGGREGATE BOETF464287226162,0841,411,517SH SOLE 1,337,740073,776
ISHARES CORE US REIT ETFETF4642885214,46276,079SH SOLE 76,050029
ISHARES DJ SELECT DIVIDENDETF4642871682,46021,448SH SOLE 20,5530895
ISHARES DJ US AEROSPACE AND DEFENSE ETFETF4642887601,22311,735SH SOLE 11,73500
ISHARES DJ US MEDICAL DEVICES INDEX ETFETF4642888102223,534SH SOLE 3,53400
iShares ESG Aware MSCI USA ETFETF46435G4252762,800SH SOLE 2,80000
ISHARES EXPANDED TECH SECTORETF464287549243602SH SOLE 3450257
ISHARES GLOBAL MATERIALS ETFETF46428869554,727642,489SH SOLE 642,442047
ISHARES GS $ INVESTOP CORP BOND FNDETF4642872422551,917SH SOLE 1,2500667
ISHARES INC MSCI JAPANETF46434G8224,32161,507SH SOLE 60,46701,040
iShares JP Morgan EM CorporateETF4642862511,19122,953SH SOLE 1,188021,765
ISHARES MSCI AUSTRALIA ETFETF46428610364025,783SH SOLE 25,78300
I-SHARES MSCI CANADAETF46428650913,527372,637SH SOLE 372,3820255
ISHARES MSCI EAFE GROWTH ETFETF4642888851,53714,436SH SOLE 14,0120424
iShares MSCI EAFE Min Vol Factor ETFETF46429B6892453,257SH SOLE 3,25700
ISHARES MSCI EAFE SMALL-CAP ETETF4642882731,08114,529SH SOLE 14,3120217
ISHARES MSCI EMERG MRKT ASIAETF4642864265,63766,771SH SOLE 11,579055,192
ISHARES MSCI EMERGING MARKETETF4642864751,31221,638SH SOLE 21,63800
ISHARES MSCI EURO FL ETFETF4642891806,792346,183SH SOLE 56,8160289,367
ISHARES MSCI FRONTIER AND SELECT EM ETFETF4642861453,704109,238SH SOLE 109,23800
iShares MSCI Global Min Vol Factor ETFETF4642865258,37881,554SH SOLE 80,8810673
iShares MSCI International Quality Factor ETFETF46434V4562205,804SH SOLE 5,80400
ISHARES MSCI MALAYASIAETF46434G81436414,357SH SOLE 14,35700
ISHARES MSCI POLAND ETFETF46429B6062,426110,691SH SOLE 110,69100
ISHARES MSCI SAUDI ARABIA ETETF46434V42344,7391,070,322SH SOLE 955,9520114,370
ISHARES MSCI SOUTH KOREA ETFETF464286772159,0831,972,271SH SOLE 1,972,27100
ISHARES MSCI TAIWAN ETFETF46434G7721,24920,136SH SOLE 20,13600
ISHARES MSCI THAILAND ETFETF4642866247039,427SH SOLE 9,42700
ISHARES MSCI USA ESG SELECTETF4642888021,45215,138SH SOLE 15,13800
iShares MSCI USA Min Vol Factor ETFETF46429B6972,15929,369SH SOLE 25,22304,146
iShares MSCI USA Momentum Factor ETFETF46432F3963471,975SH SOLE 1,8190156
iShares MSCI USA Quality Factor ETFETF46432F3397665,815SH SOLE 5,6680147
ISHARES MSCI WORLD ETFETF4642863927105,612SH SOLE 5,61200
ISHARES NATIONAL MUNI BOND ETFETF46428841450,161431,787SH SOLE 428,13803,649
ISHARES PREFERRED & INCOME SECURITIES ETFETF46428868713,213340,465SH SOLE 301,161039,304
ISHARES RUSSELL TOP 200 GROWETF4642894381,1307,399SH SOLE 7,39900
ISHARES S&P GLOBAL INFO TECH SECTOR ETFETF4642872913155,559SH SOLE 3,18902,370
ISHARES S&P MID-CAP 400 VALUETF4642877051,50014,561SH SOLE 12,50402,057
ISHARES S&P SMALL CAP 600 GROETF4642878872662,047SH SOLE 1,02101,026
iShares Semiconductor ETFETF4642875231,2202,737SH SOLE 2,720017
iShares Short-Term National MuETF4642881584884,539SH SOLE 2,23002,309
ISHARES TRETF46428987565314,601SH SOLE 14,60100
ISHARES TR 20 YR TRS BDETF4642874322561,777SH SOLE 1,77700
ISHARES TR CORE DIV GRWTHETF46434V62162012,336SH SOLE 10,16702,169
ISHARES TR CORE MSCI EAFEETF46432F842330,3044,448,538SH SOLE 4,431,259017,280
ISHARES TR DJ INTL SEL DIVDETF46428844877325,404SH SOLE 25,40400
ISHARES TR DJ US TECH SECETF4642877212612,574SH SOLE 1,7750799
ISHARES TR GLMN SCHS SOFTETF4642875159,86524,715SH SOLE 4,365020,350
ISHARES TR GLOBAL REIT ETFETF46434V64728310,342SH SOLE 10,34200
ISHARES TR HDG MSCI EAFEETF46434V8031,62647,279SH SOLE 46,8790400
ISHARES TR MSCI ACJPN IDXETF4642881824685,508SH SOLE 5,446062
ISHARES TR MSCI EAFE IDXETF4642874656,46282,833SH SOLE 51,096031,737
ISHARES TR MSCI EMERG MKTETF46428723480,7111,602,051SH SOLE 1,590,521011,530
ISHARES TR MSCI INDIA IDXETF46429B59829,281601,373SH SOLE 594,44306,930
ISHARES TR MSCI VAL IDXETF46428887770,7151,390,655SH SOLE 1,390,65500
ISHARES TR RUSL 2000 GROWETF4642876482,3558,023SH SOLE 7,7400283
ISHARES TR RUSL 2000 VALUETF46428763081,567509,059SH SOLE 508,5050554
ISHARES TR RUSSELL 1000ETF4642876221,9047,878SH SOLE 6,12301,755
ISHARES TR RUSSELL 2000ETF46428765514,71967,288SH SOLE 34,499032,789
ISHARES TR RUSSELL 3000ETF46428768915,20459,658SH SOLE 59,4940164
ISHARES TR RUSSELL MCP GRETF4642874813,19628,516SH SOLE 24,29204,224
ISHARES TR RUSSELL MCP VLETF4642874732,10918,623SH SOLE 8,71909,904
ISHARES TR RUSSELL MIDCAPETF4642874999,993127,756SH SOLE 117,351010,405
ISHARES TR RUSSELL1000GRWETF46428761411,63142,442SH SOLE 37,55104,891
ISHARES TR RUSSELL1000VALETF464287598147,894944,949SH SOLE 939,68405,265
ISHARES TR S&P 100 IDX FDETF4642871011,0505,316SH SOLE 5,31600
ISHARES TR S&P MIDCP GROWETF4642876067179,051SH SOLE 6,50602,545
ISHARES TR S&P500/BAR GRWETF4642873094,88666,113SH SOLE 40,259025,854
ISHARES TR S&P500/BAR VALETF4642874081,98213,631SH SOLE 7,87005,761
ISHARES TR US TIPS BD FDETF4642871765164,042SH SOLE 96003,082
ISHARES TRUST ISHARES 1-5 YEARETF46428864613,471246,542SH SOLE 152,422094,120
iShares Trust iShares ESG AwarETF46435G51687011,096SH SOLE 11,09600
ISHARES TRUST ISHARES MSCI ACWI INDEX FUNDETF4642882573,66636,693SH SOLE 36,5740119
iShares US Transportation ETFETF4642871923,12012,830SH SOLE 12,7260104
ISTAR INCREIT45031U1019,294370,576SH SOLE 248,5730122,003
ITAMAR MEDICAL LTD-SPON ADRADR46543710192330,554SH SOLE 16030,538
Itau Unibanco Holding SAADR4655621067,0061,329,378SH SOLE 1,153,1480176,230
iTeos Therapeutics IncCommon Stock46565G1042097,736SH SOLE 7,637099
ITERIS INC COMCommon Stock46564T10721841,270SH SOLE 40,3180952
ITRON INCCommon Stock4657411066,63487,710SH SOLE 78,14509,565
ITT CORPCommon Stock45073V10820,305236,548SH SOLE 175,750060,798
IVERIC BIO INCCommon Stock46583P1022,219136,663SH SOLE 21,2780115,385
Ivy High Income OpportunitiesClosed-End Fund2461071061,08779,507SH SOLE 67,241012,267
J&J SNACK FOODS CORPCommon Stock46603210910,61969,489SH SOLE 53,377016,112
J2 GLOBAL INCCommon Stock48123V10245,206330,890SH SOLE 53,2500277,640
JABIL INCCommon Stock46631310331,626541,823SH SOLE 334,5070207,316
JACK HENRY & ASSOCIATES INCCommon Stock42628110145,712278,630SH SOLE 245,703032,927
JACK IN THE BOX INCCommon Stock4663671096,07862,450SH SOLE 45,694016,756
JACKSON FINANCIAL INCCommon Stock46817M1072,940113,059SH SOLE 88,415024,644
JACOBS ENGINEERING GROUP INCCommon Stock46981410759,381448,055SH SOLE 395,766052,288
JAMES HARDIE INDS N V SPONSORED ADRADR47030M10663,7331,786,229SH SOLE 1,620,1660166,062
JAMES RIVER GROUP INCCommon StockG5005R1074,418117,086SH SOLE 111,52305,564
Jamf Holding CorpCommon Stock47074L10582421,380SH SOLE 17,98103,399
JANUS HENDERSON GROUP PLCCommon StockG4474Y21423,303563,829SH SOLE 551,056012,773
JANUS INTERNATIONAL EQUITYCommon Stock47103N10631125,444SH SOLE 25,44400
JANUX THERAPEUTICS INCCommon Stock47103J1051,28459,366SH SOLE 59,36600
JAWS ACQUISITION CORP-CL ACommon Stock13781Y1031,843145,356SH SOLE 560145,300
JAZZ PHARMACEUTICALS PLCCommon StockG5087110527,118208,264SH SOLE 75,1510133,113
JB HUNT TRANSPORT SERVICES INCCommon Stock44565810769,765417,202SH SOLE 367,870049,332
JBG SMITH PROPERTIES REITREIT46590V1005,101172,272SH SOLE 140,418031,855
JD COM INC SPON ADR CL AADR47215P10633,057457,600SH SOLE 361,271096,329
JEFFERIES FINANCIAL GROUP INCCommon Stock47233W10918,446496,788SH SOLE 418,235078,553
JELD-WEN HOLDING INCCommon Stock47580P1032,39795,765SH SOLE 95,0700695
JETBLUE AIRWAYS CORPCommon Stock47714310121,2671,390,907SH SOLE 628,0070762,900
JFrog LtdCommon StockM6191J1001,38541,347SH SOLE 38,21303,134
JINKOSOLAR HLDG CO LTD SPONSORED ADRADR47759T1001,98243,269SH SOLE 42,4570812
JM SMUCKER CO/THECommon Stock83269640587,243726,841SH SOLE 353,8500372,991
JOHN B SANFILIPPO & SON INCCommon Stock8004221074,29952,605SH SOLE 36,273016,332
JOHN BEAN TECHNOLOGIES CORPCommon Stock47783910414,756104,991SH SOLE 79,829025,162
John Hancock Multi-Factor MidETF47804J20691217,657SH SOLE 17,65700
JOHN HANCOCK PFD INCOME IIClosed-End Fund41013X1062,00792,467SH SOLE 83,56908,898
JOHN WILEY & SONS INCCommon Stock96822320618,507354,477SH SOLE 82,5960271,881
JOHNSON & JOHNSONCommon Stock4781601041,745,84810,810,207SH SOLE 8,072,25602,737,951
JOHNSON CONTROLS INTERNATIONAL PLCCommon StockG51502105208,1113,056,866SH SOLE 1,969,97901,086,887
JOHNSON OUTDOORS INC -CL ACommon Stock4791671086726,353SH SOLE 5,6040749
JOINT CORP/THECommon Stock47973J1022,14921,926SH SOLE 20,33801,588
JONES LANG LASALLE INCCommon Stock48020Q10730,734123,883SH SOLE 109,119014,764
JOUNCE THERAPEUTICS IN COMCommon Stock48111610110714,372SH SOLE 14,1760196
JOYY INC ADS REPCOM CLAADR46591M1094,01173,158SH SOLE 68,06005,098
JPMORGAN ALERIAN MLP ETNETN46625H3652,613143,783SH SOLE 143,78300
JPMORGAN CHASE & COCommon Stock46625H1001,819,58211,116,024SH SOLE 8,858,67602,257,348
JUNIPER NETWORKS INCCommon Stock48203R10450,3171,828,387SH SOLE 1,388,4210439,966
JUST EAT-S ADR EQUITYADR48214T30513,939959,322SH SOLE 891,018068,304
KADANT INCCommon Stock48282T1045,74028,122SH SOLE 6,801021,321
KADMON HOLDINGS INCCommon Stock48283N1061,421163,158SH SOLE 135,006028,152
KAISER ALUMINUM CORPCommon Stock4830077047,53769,177SH SOLE 61,97407,202
KALA PHARMACEUTICALS INCCommon Stock483119103311118,669SH SOLE 107,044011,625
KALEIDO BIOSCIENCES INCCommon Stock48334710047987,799SH SOLE 87,79900
KAMAN CORPCommon Stock4835481037,223202,498SH SOLE 125,689076,809
KANSAS CITY SOUTHERNCommon Stock485170302118,026436,101SH SOLE 383,208052,893
KAR AUCTION SERVICES INCCommon Stock48238T1098,864540,846SH SOLE 120,0440420,802
KARUNA THERAPEUTICS INCCommon Stock48576A1007466,095SH SOLE 5,1800915
KARYOPHARM THERAPEUTICS INCCommon Stock48576U1061,706293,130SH SOLE 108,9200184,210
Kayne Anderson NextGen EnergyClosed-End Fund48661E10812,0751,658,690SH SOLE 777,7550880,935
KB FINANCIAL GROUP INC - ADRADR48241A10534,114735,065SH SOLE 693,439041,626
KB HOMECommon Stock48666K10912,814329,231SH SOLE 232,597096,634
KBR INCCommon Stock48242W1068,920226,406SH SOLE 210,479015,927
KE HOLDINGS INCADR4824971046,381349,427SH SOLE 317,364032,063
KEARNY FINANCIAL CORPCommon Stock48716P1081,502120,797SH SOLE 119,00501,792
KELLOGG COCommon Stock48783610850,191785,212SH SOLE 699,396085,816
KELLY SERVICES INCCommon Stock4881522084,833255,989SH SOLE 135,8650120,124
KEMPER CORPCommon Stock4884011005,96689,325SH SOLE 63,633025,692
KENNAMETAL INCCommon Stock4891701006,043176,527SH SOLE 163,586012,941
KENNEDY-WILSON HLDGS I COMCommon Stock4893981075,484262,139SH SOLE 91,5140170,625
KEURIG DR PEPPER INCCommon Stock49271V10034,1971,001,094SH SOLE 941,923059,171
KEYCORPCommon Stock493267108148,5066,868,935SH SOLE 5,052,48001,816,455
KEYSIGHT TECHNOLOGIES INCCommon Stock49338L103115,339702,043SH SOLE 523,2000178,843
KEZAR LIFE SCIENCES INCCommon Stock49372L10037343,163SH SOLE 42,4050758
KFORCE INCCommon Stock4937321014,79280,347SH SOLE 29,222051,125
KILROY REALTY CORP REITREIT49427F1087,490113,119SH SOLE 86,551026,568
KIMBALL ELECTRONICS INCCommon Stock49428J10958422,678SH SOLE 21,7480930
KIMBALL INTL INC CL BCommon Stock49427410353347,569SH SOLE 43,16604,403
KIMBERLY-CLARK CORPCommon Stock494368103205,7841,553,788SH SOLE 1,170,2330383,554
KIMCO REALTY CORP COM REITREIT49446R10936,8911,777,873SH SOLE 1,515,5930262,281
KINDER MORGAN INC DELAWARECommon Stock49456B101101,0586,040,531SH SOLE 5,264,7890775,742
Kingsoft Cloud Holdings LtdADR49639K1011,51353,418SH SOLE 49,93503,483
KINIKSA PHARMACEUTICALS-ACommon StockG5269C10179970,146SH SOLE 12,466057,680
Kinnate Biopharma IncCommon Stock49705R10562026,923SH SOLE 26,3110612
KINROSS GOLD CORPCommon Stock4969024048,9451,668,786SH SOLE 1,636,989031,797
KINSALE CAPITAL GROUP INCCommon Stock49714P1086,27738,816SH SOLE 31,02007,796
KIRBY CORPCommon Stock4972661069,959207,647SH SOLE 176,136031,511
KIRKLAND LAKE GOLD LTDCommon Stock49741E1006,380153,393SH SOLE 145,94507,448
KITE RLTY GROUP TR COM REITREIT49803T3007,400363,449SH SOLE 222,5900140,859
KKR & CO INC- ACommon Stock48251W10436,458598,848SH SOLE 279,0390319,809
KKR REAL ESTATE FIN TR COMREIT48251K1002,423114,823SH SOLE 105,25909,564
KLA CORPCommon Stock482480100191,280571,822SH SOLE 460,3000111,522
KLX ENERGY SERVICES HOLDINGS INCCommon Stock48253L20523148,604SH SOLE 1,614046,990
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INCCommon Stock49904910421,084412,203SH SOLE 392,940019,263
KNOWLES CORP COMCommon Stock49926D1094,517241,050SH SOLE 219,395021,655
KODIAK SCIENCES INCCommon Stock50015M1092,30323,994SH SOLE 11,353012,641
KOHL'S CORPCommon Stock50025510429,178619,612SH SOLE 474,3080145,304
KONINKLIJKE PHILIPS ELECTRS NY REG SH NEWNY Reg Shrs50047230342,328952,474SH SOLE 792,0730160,401
KONTOOR BRANDS INCCommon Stock50050N10310,236204,921SH SOLE 172,232032,688
KOPPERS HOLDINGS INCCommon Stock50060P1063,636116,301SH SOLE 84,504031,797
KOREA ELECTRIC PWR SPONSORED ADRADR50063110617,0451,726,905SH SOLE 1,631,049095,856
KORN FERRYCommon Stock50064320021,559297,935SH SOLE 185,0220112,912
KORNIT DIGITAL LTD SHSCommon StockM6372Q1136,71046,361SH SOLE 46,1090252
KOSMOS ENERGY LTD SHSCommon Stock5006881061,110374,851SH SOLE 288,855085,996
KRAFT HEINZ CO/THECommon Stock500754106114,5203,110,264SH SOLE 2,515,1490595,115
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KRATON CORPCommon Stock50077C1069,691212,327SH SOLE 184,119028,208
KRATOS DEFENSE & SECURITY SOLUCommon Stock50077B2072,660119,207SH SOLE 93,710025,497
KROGER CO/THECommon Stock501044101264,0376,530,711SH SOLE 3,529,91703,000,793
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KRONOS WORLDWIDE INCCommon Stock50105F1052,520203,031SH SOLE 197,40805,623
KRYSTAL BIOTECH INCCommon Stock5011471023095,922SH SOLE 4,9590963
KT CORP SPONSORED ADRADR48268K1018,129596,818SH SOLE 587,46409,354
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Kura Oncology IncCommon Stock50127T1091,52281,251SH SOLE 76,36204,889
KVH INDS INC COMCommon Stock48273810147549,276SH SOLE 47,74801,528
Kymera Therapeutics IncCommon Stock50157510480913,778SH SOLE 13,5430235
L3HARRIS TECHNOLOGIES INCCommon Stock502431109187,256850,238SH SOLE 701,3410148,897
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LADDER CAPITAL CORP CLASS AREIT5057431041,507136,418SH SOLE 134,79401,624
LAIRD SUPERFOOD INCCommon Stock50736T10252327,404SH SOLE 26,6770727
LAKELAND BANCORP INCCommon Stock5116371005,248297,691SH SOLE 244,666053,025
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LAMB WESTON HOLDING INCCommon Stock51327210427,888454,422SH SOLE 361,698092,725
LANCASTER COLONY CORPCommon Stock5138471036,31137,385SH SOLE 30,15107,234
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LANDS END INC COMCommon Stock51509F10540317,123SH SOLE 16,9260197
LANDSEA HOMES CO EQUITYCommon Stock51509P10324227,941SH SOLE 27,2710670
LANDSTAR SYSTEM INCCommon Stock51509810136,206229,412SH SOLE 181,990047,422
LANNET INC COMCommon Stock5160121015618,646SH SOLE 10,65907,987
LANTHEUS HLDGS INC COMCommon Stock5165441034,327168,508SH SOLE 156,090012,418
LAREDO PETROLEUM INCCommon Stock5168062051,98724,506SH SOLE 20,45004,056
LAS VEGAS SANDS CORPCommon Stock51783410722,840624,049SH SOLE 546,029078,020
Latch IncCommon Stock51818V1061,11699,002SH SOLE 50098,952
LATTICE SEMICONDUCTOR CORPCommon Stock51841510415,601241,317SH SOLE 138,7060102,611
LAUREATE EDUCATION INC-ACommon Stock51861320384249,576SH SOLE 48,35701,219
LAZARD LTD SHS ACommon StockG540501023517,654SH SOLE 4,81002,844
LA-Z-BOY INCCommon Stock5053361075,087157,819SH SOLE 118,777039,042
LAZR - Luminar Technologies IncCommon Stock5504241051,560100,000SH SOLE 00100,000
LCI INDUSTRIESCommon Stock50189K10320,716153,872SH SOLE 121,067032,804
LEAR CORPCommon Stock52186520451,953332,010SH SOLE 163,2340168,776
LEGALZOOMCOM INCCommon Stock52466B1032138,068SH SOLE 79607,272
LEGGETT & PLATT INCCommon Stock52466010730,586682,115SH SOLE 627,872054,243
LEIDOS HOLDINGS INCCommon Stock52532710254,726569,287SH SOLE 501,769067,518
LEMAITRE VASCULAR INC COMCommon Stock5255582016,833128,709SH SOLE 41,765086,943
Lemonade IncCommon Stock52567D1072,79941,776SH SOLE 37,19904,577
LENDINGCLUB CORPCommon Stock52603A2084,879172,779SH SOLE 37,5050135,274
LENDINGTREE INCCommon Stock52603B1073,29823,588SH SOLE 22,8580730
LENNAR CORPCommon Stock526057104118,3031,262,840SH SOLE 1,006,6230256,217
LENNAR CORP CL BCommon Stock5260573023,69247,583SH SOLE 44,72802,856
LENNOX INTERNATIONAL INCCommon Stock52610710723,66080,430SH SOLE 72,48807,942
LESLIE'S INCCommon Stock5270641091,32364,402SH SOLE 61,54802,854
LEXICON PHARMACEUTICAL COMCommon Stock52887230237978,798SH SOLE 78,2730525
LEXINGTON REALTY TRUST REITREIT52904310112,9271,013,897SH SOLE 822,5440191,353
LG PHILIP LCD CO LTD SPONS ADR REPADR50186V10218,9792,387,238SH SOLE 2,242,0000145,238
LGI HOMES INC COMCommon Stock50187T10610,01770,588SH SOLE 66,71103,877
LHC GROUP INCCommon Stock50187A10713,35285,096SH SOLE 71,829013,267
LI AUTO INC - ADRADR50202M1022,839107,992SH SOLE 100,70007,292
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LIBERTY BRAVES GROUP-CTracking Stk5312298881,45254,946SH SOLE 51,13503,811
LIBERTY BROADBAND-ACommon Stock5303071077,23642,979SH SOLE 39,46403,515
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LIBERTY GLOBAL PLCCommon StockG5480U10410,688358,652SH SOLE 115,3300243,322
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LIBERTY LATIN AMERICA CLASS CCommon StockG9001E1283,178242,194SH SOLE 182,868059,326
LIBERTY MEDIA CORP-LIBERTY-ATracking Stk5312298701,67935,690SH SOLE 32,58403,106
LIBERTY MEDIA CORP-LIBERTY-CTracking Stk53122985412,716247,341SH SOLE 206,927040,414
LIBERTY OILFIELD SERVICES -ACommon Stock53115L1043,426282,471SH SOLE 279,36603,105
LIBERTY SIRIUSXM GROUPTracking Stk5312294096,132129,990SH SOLE 120,63409,356
LIBERTY SIRIUSXM GROUP-CTracking Stk53122960715,878334,481SH SOLE 305,600028,881
LIBERTY TRIPADVISOR HOLDINGS INCCommon Stock53146510224880,244SH SOLE 79,7960448
LIFE STORAGE INCREIT53223X10715,797137,679SH SOLE 118,183019,496
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Lightspeed Commerce IncCommon Stock53229C1079089,414SH SOLE 9,41400
LIMELIGHT NETWORKS INCCommon Stock53261M104401168,473SH SOLE 157,640010,833
LIMONEIRA CO COMCommon Stock53274610426616,436SH SOLE 13,49502,941
LINCOLN ELECTRIC HOLDINGS INCCommon Stock53390010614,451112,207SH SOLE 103,34508,862
LINCOLN NATIONAL CORPCommon Stock534187109143,1782,082,591SH SOLE 1,540,1750542,415
LINDBLAD EXPEDITIONS H COMCommon Stock5352191091,703116,705SH SOLE 114,83101,874
LINDE PLCCommon StockG5494J103438,1671,493,515SH SOLE 1,148,0240345,492
LINDSAY CORPCommon Stock5355551063,39722,377SH SOLE 20,73501,642
LINEAGE CELL THERAPEUTICS INCommon Stock53566P1097128,103SH SOLE 28,10300
LIONS GATE ENTERTAINMENT-ACommon Stock53591940113,344940,378SH SOLE 76,3720864,006
LIONS GATE ENTERTAINMENT-BCommon Stock5359195006,782521,718SH SOLE 497,743023,975
LIQUIDITY SERVICES INCCommon Stock53635B1072,283105,645SH SOLE 94,269011,376
LITHIA MOTORS INCCommon Stock53679710345,914144,821SH SOLE 42,0570102,763
LITTELFUSE INCCommon Stock53700810417,32463,396SH SOLE 45,440017,955
LIVANOVA PLCCommon StockG5509L1014,08851,621SH SOLE 43,72407,897
LIVE NATION ENTERTAINMENT INCCommon Stock53803410949,845546,967SH SOLE 357,0470189,920
LIVE OAK BANCSHARES IN COMCommon Stock53803X1051,09717,239SH SOLE 16,5280711
LIVENT CORPCommon Stock53814L10817,210744,691SH SOLE 476,0960268,595
LIVEPERSON INCCommon Stock5381461018,696147,512SH SOLE 128,947018,565
LIVERAMP HOLDINGS INCCommon Stock53815P1085,106108,115SH SOLE 102,93205,183
LIVEXLIVE MEDIA INCCommon Stock53839L20813444,834SH SOLE 29,546015,288
LKQ CORPCommon Stock50188920852,3981,041,294SH SOLE 880,5470160,747
LLOYDS TSB GROUP PLC SPONSORED ADRADR53943910919,6668,027,099SH SOLE 7,277,3650749,734
LMP Capital and Income Fund InClosed-End Fund50208A1021,586115,226SH SOLE 100,844014,382
LOCKHEED MARTIN CORPCommon Stock539830109272,755790,364SH SOLE 596,5400193,824
LOEWS CORPCommon Stock54042410839,481732,074SH SOLE 647,906084,168
LOGITECH INTL S A SHSCommon StockH5043023227,689314,111SH SOLE 287,607026,504
LORAL SPACE & COMMUNICATIONS ICommon Stock54388110658413,585SH SOLE 12,7660819
LORDSTOWN MOTORS CORP-CL ACommon Stock54405Q10042352,956SH SOLE 51,28701,669
LOUISIANA-PACIFIC CORPCommon Stock54634710512,086196,937SH SOLE 119,958076,979
LOVESAC CO/THECommon Stock54738L1091,76226,665SH SOLE 11,169015,496
LOWE'S COS INCCommon Stock548661107669,4703,300,156SH SOLE 2,361,1750938,982
LPL FINANCIAL HOLDINGS INCCommon Stock50212V10021,559137,532SH SOLE 107,483030,049
LTC PROPERTIES INC REITREIT5021751022,31072,880SH SOLE 65,47607,403
LUFAX HOLDING LTDADR54975P1022,609373,835SH SOLE 341,854031,981
LULULEMON ATHLETICA INCCommon Stock55002110987,209215,492SH SOLE 192,446023,046
LUMBER LIQUIDATORS HOLDINGS INCommon Stock55003T1071,46378,316SH SOLE 73,47504,841
LUMEN TECHNOLOGIES INCCommon Stock55024110374,1785,986,962SH SOLE 5,291,5380695,425
LUMENTUM HOLDINGS INCCommon Stock55024U10916,399196,300SH SOLE 143,842052,458
Luna Innovations IncCommon Stock55035110011111,679SH SOLE 11,1130566
LUTHER BURBANK CORPCommon Stock55055010726119,491SH SOLE 13,38306,108
LUXFER HLDGS PLCCommon StockG5698W11620810,573SH SOLE 9,9760597
LYDALL INCCommon Stock5508191063,60157,999SH SOLE 52,94205,057
LYFT INC-ACommon Stock55087P10416,020298,934SH SOLE 281,606017,328
LYONDELLBASELL INDUSTRIES NVCommon StockN53745100102,6841,094,125SH SOLE 840,0720254,053
M&T BANK CORPCommon Stock55261F10479,754534,045SH SOLE 471,222062,824
M/I HOMES INCCommon Stock55305B1014,96085,814SH SOLE 70,471015,343
MACATAWA BK CORP COMCommon Stock5542251023,316412,930SH SOLE 377,765035,165
MACERICH CO/THE REITREIT55438210119,0681,141,132SH SOLE 1,100,785040,347
MACK CALI RLTY CORP COM REITREIT5544891043,269190,921SH SOLE 169,586021,335
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INCCommon Stock55405Y1006,19195,434SH SOLE 30,592064,842
Macquarie Global InfrastructurClosed-End Fund55608D1019,295398,746SH SOLE 125,8210272,925
Macquarie Infrastructure Holdings LLCCommon Stock55608B1054,837119,261SH SOLE 98,073021,188
MACROGENICS INCCommon Stock5560991091,71882,045SH SOLE 40,230041,815
MACY'S INCCommon Stock55616P10431,7271,403,869SH SOLE 1,155,2700248,599
MADISON SQUARE GARDEN ENTERTAINMENT CORP CLASS ACommon Stock55826T1024,36560,072SH SOLE 30,997029,075
MADISON SQUARE GARDEN SPORTSCommon Stock55825T1037,51140,395SH SOLE 23,733016,662
MADRIGAL PHARMACEUTICA COMCommon Stock5588681051,48618,624SH SOLE 17,25001,374
MAGELLAN HEALTH INCCommon Stock5590792077,92783,837SH SOLE 79,09504,742
MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LMLP5590801062,65858,319SH SOLE 47,454010,865
MAGENTA THERAPEUTICS INCCommon Stock55910K10811115,205SH SOLE 15,193012
MAGNA INTERNATIONAL INCCommon Stock55922240135,271468,786SH SOLE 313,7530155,033
Magnachip Semiconductor CorpCommon Stock55933J20352129,351SH SOLE 29,284067
Magnite IncCommon Stock55955D1002,71897,065SH SOLE 89,63007,435
MAGNOLIA OIL & GAS CORPCommon Stock55966310917,8251,001,991SH SOLE 822,8930179,098
MAKEMYTRIP LIMITED SHSCommon StockV5633W10945816,855SH SOLE 15,41601,439
MALIBU BOATS INC - ACommon Stock56117J1002,74439,213SH SOLE 25,314013,899
MANCHESTER UNITED PLC-CL ACommon StockG5784H1061,15359,530SH SOLE 59,53000
MANHATTAN ASSOCIATES INCCommon Stock56275010938,233249,837SH SOLE 170,984078,853
MANITOWOC CO INC/THECommon Stock56357140553625,014SH SOLE 23,70601,308
MANNKIND CORPCommon Stock56400P706755173,587SH SOLE 85,218088,369
MANPOWER INCCommon Stock56418H10028,298261,341SH SOLE 116,9980144,343
MANTECH INTERNATIONAL CORPCommon Stock5645631047,23595,292SH SOLE 48,923046,368
MANULIFE FINANCIAL CORPCommon Stock56501R10626,0501,353,961SH SOLE 1,306,732047,229
Marathon Digital Holdings IncCommon Stock5657881062,27972,167SH SOLE 60,014012,153
MARATHON OIL CORPCommon Stock565849106128,7409,417,677SH SOLE 7,992,57501,425,102
MARATHON PETROLEUM CORPCommon Stock56585A102188,4833,049,401SH SOLE 2,294,9740754,427
Maravai LifeSciences HoldingsCommon Stock56600D1073,48270,941SH SOLE 16,062054,879
MARCUS & MILLICHAP INCCommon Stock5663241092,39658,982SH SOLE 53,74105,241
MARCUS CORPCommon Stock5663301061,22370,089SH SOLE 65,09504,994
MARINE PRODS CORP COMCommon Stock56842710831024,783SH SOLE 23,8570926
MARINEMAX INCCommon Stock5679081083,70576,365SH SOLE 51,285025,080
MARKEL CORPCommon Stock57053510445,83338,350SH SOLE 19,752018,598
MARKER THERAPEUTICS INCCommon Stock57055L1077544,472SH SOLE 43,8820590
MARKETAXESS HOLDINGS INCCommon Stock57060D10836,68687,205SH SOLE 73,227013,978
MARLIN BUSINESS SERVICES CORPCommon Stock57115710667030,124SH SOLE 30,025099
MARRIOTT INTERNATIONAL INC/DECommon Stock571903202133,534901,707SH SOLE 792,9390108,767
MARRIOTT VACATIONS WORLDCommon Stock57164Y10710,95469,624SH SOLE 64,43805,186
MARSH & MCLENNAN COS INCCommon Stock571748102319,1212,107,384SH SOLE 1,627,3370480,047
MARTEN TRANSPORT LTDCommon Stock5730751084,861309,798SH SOLE 264,448045,350
MARTIN MARIETTA MATERIALS INCCommon Stock57328410678,961231,096SH SOLE 201,889029,206
MARVELL TECHNOLOGY INCCommon Stock573874104118,5951,966,429SH SOLE 1,236,3320730,098
MASCO CORPCommon Stock57459910663,3691,140,764SH SOLE 1,001,1210139,643
MASIMO CORPCommon Stock57479510025,93595,802SH SOLE 80,443015,359
MASONITE INTERNATIONAL CORPCommon Stock57538510912,409116,923SH SOLE 46,175070,748
MASTEC INCCommon Stock5763231098,01592,901SH SOLE 70,327022,574
MASTERCARD INCCommon Stock57636Q1041,196,3063,440,826SH SOLE 2,750,7730690,053
MATADOR RES CO COMCommon Stock57648520523,175609,239SH SOLE 516,399092,840
MATCH GROUP INCCommon Stock57667L10786,540551,243SH SOLE 461,535089,708
MATERIALISE NV-ADRADR57667T10071635,609SH SOLE 35,60900
MATERIALS SELECT SECTOR SPDR FDETF81369Y10081510,304SH SOLE 9,28101,023
MATERION CORPCommon Stock5766901016,25091,059SH SOLE 54,913036,146
MATRIX SERVICE COCommon Stock57685310554351,919SH SOLE 47,53904,380
MATSON INC COMCommon Stock57686G10519,179237,635SH SOLE 117,3450120,289
MATTEL INCCommon Stock5770811027,169386,270SH SOLE 343,423042,847
MATTHEWS INTERNATIONAL CORPCommon Stock5771281016,681192,586SH SOLE 58,1310134,455
MAXAR TECHNOLOGIES LTDCommon Stock57778K1054,224149,144SH SOLE 134,908014,236
MAXCYTE INCCommon Stock57777K10661550,403SH SOLE 1,429048,974
MAXEON SOLAR TECHNOLOGIECommon StockY5847310230217,139SH SOLE 17,13504
MAXIMUS INCCommon Stock57793310424,860298,798SH SOLE 224,488074,310
MAXLINEAR INC CL ACommon Stock57776J10011,117225,721SH SOLE 165,852059,869
MBIA INCCommon Stock55262C10066851,973SH SOLE 49,08502,888
McAfee CorpCommon Stock57906310859626,950SH SOLE 21,59005,360
MCCORMICK & CO INC/MDCommon Stock57978020689,3161,102,253SH SOLE 827,3930274,860
MCDONALD'S CORPCommon Stock580135101676,0232,803,795SH SOLE 2,316,7460487,049
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MCKESSON CORPCommon Stock58155Q103144,288723,685SH SOLE 555,7320167,953
MDC HOLDINGS INCCommon Stock55267610820,558440,022SH SOLE 392,177047,845
MDU RESOURCES GROUP INCCommon Stock55269010922,886771,359SH SOLE 287,9320483,427
MECHEL - ADRADR5838406084811,923SH SOLE 4,37807,545
MEDALLIA INCCommon Stock5840211093,10291,594SH SOLE 85,97005,624
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MEDIFAST INCCommon Stock58470H10113,59170,552SH SOLE 34,169036,383
MEDNAX INCCommon Stock58502B10613,714482,386SH SOLE 411,108071,278
MEDPACE HOLDINGS INCCommon Stock58506Q10914,66177,459SH SOLE 50,690026,769
MEDTRONIC PLCCommon StockG5960L103633,2445,051,804SH SOLE 3,932,52201,119,282
MEI Pharma IncCommon Stock55279B2025620,366SH SOLE 19,7990567
Melco Resorts & EntertainmentADR5854641006,162601,712SH SOLE 555,599046,113
MERCADOLIBRE INCCommon Stock58733R10290,94954,156SH SOLE 42,821011,335
MERCANTILE BANK CORP COMCommon Stock5873761042,83988,651SH SOLE 65,974022,677
MERCER INTL INC-SBICommon Stock58805610169760,161SH SOLE 53,66806,493
MERCHANTS BANCORPCommon Stock58844R1082,02351,250SH SOLE 5,809045,441
MERCK & CO INCCommon Stock58933Y105767,49010,218,208SH SOLE 7,685,85102,532,358
MERCURY GENERAL CORPCommon Stock5894001003,82268,663SH SOLE 58,172010,491
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MEREDITH CORPCommon Stock5894331016,882123,556SH SOLE 114,77008,786
MERIDIAN BANCORP INCCommon Stock58958U10386141,469SH SOLE 39,95701,512
MERIDIAN BIOSCIENCE INCCommon Stock5895841012,229115,871SH SOLE 82,417033,454
MERIT MEDICAL SYSTEMS INCCommon Stock58988910416,488229,643SH SOLE 144,384085,259
MERITAGE HOMES CORPCommon Stock59001A10213,404138,183SH SOLE 108,838029,345
MERITOR INCCommon Stock59001K1007,001328,511SH SOLE 214,7700113,741
MERSANA THERAPEUTICS I COMCommon Stock59045L10631733,572SH SOLE 32,56401,008
MESA AIR GROUP INCCommon Stock590479135844110,232SH SOLE 90,496019,736
MESA LABS INC COMCommon Stock59064R1093,75012,402SH SOLE 8,83103,571
META FINL GROUP INC COMCommon Stock59100U1084,07577,640SH SOLE 57,886019,754
Meta Platforms IncCommon Stock30303M1023,211,4079,462,291SH SOLE 6,636,35902,825,932
METHANEX CORPCommon Stock59151K1087,857170,663SH SOLE 167,33903,323
METHODE ELECTRONICS INCCommon Stock5915202006,603157,017SH SOLE 123,844033,173
METLIFE INCCommon Stock59156R108143,1682,319,264SH SOLE 1,914,5100404,754
METROMILE INCCommon Stock5916971075816,256SH SOLE 16,0270229
METROPOLITAN BANK HOLDING COCommon Stock5917741045606,648SH SOLE 6,605043
METTLER-TOLEDO INTERNATIONAL ICommon Stock592688105214,495155,729SH SOLE 86,912068,817
MFA MTG INVTS INC COM REITREIT55272X1027,2301,582,059SH SOLE 881,4230700,636
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MGE ENERGY INCCommon Stock55277P1045,53675,324SH SOLE 52,255023,069
MGIC INVESTMENT CORPCommon Stock55284810316,8081,123,497SH SOLE 412,3140711,183
MGM Growth Properties LLC - AREIT55303A1053,11481,297SH SOLE 81,0650232
MGM RESORTS INTERNATIONALCommon Stock55295310176,5551,774,151SH SOLE 1,273,5950500,555
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MODINE MANUFACTURING COCommon Stock60782810011,8181,043,115SH SOLE 42,16101,000,954
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MOELIS & CO.Common Stock60786M10517,903289,359SH SOLE 247,502041,857
MOHAWK INDUSTRIES INCCommon Stock60819010426,149147,404SH SOLE 125,089022,315
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MOMO INC - SPON ADRADR42340310499193,630SH SOLE 87,00806,622
MONARCH CASINO & RESORT INCCommon Stock6090271073,73355,728SH SOLE 28,178027,550
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MONGODB INCCommon Stock60937P10627,52658,378SH SOLE 49,25809,120
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MONOLITHIC POWER SYSTEMS INCCommon Stock60983910565,109134,333SH SOLE 111,004023,330
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MONSTER BEVERAGE CORPCommon Stock61174X109144,3781,625,328SH SOLE 1,375,0640250,264
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MOODY'S CORPCommon Stock615369105381,5581,074,477SH SOLE 603,4310471,046
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Morgan Stanley Emerging MarketClosed-End Fund6174771048,9591,531,368SH SOLE 001,531,368
MORNINGSTAR INCCommon Stock61770010930,442117,524SH SOLE 48,127069,397
MORPHIC HOLDING INCCommon Stock61775R1054578,076SH SOLE 7,02901,047
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MOTOROLA SOLUTIONS INCCommon Stock620076307178,160766,874SH SOLE 563,1410203,734
MOVADO GROUP INCCommon Stock6245801062,48178,789SH SOLE 45,957032,832
MP Materials CorpCommon Stock55336810156017,388SH SOLE 16,22201,166
MPLX LPMLP55336V1003,730131,020SH SOLE 105,540025,480
MR COOPER GROUP INCCommon Stock62482R1077,295177,183SH SOLE 137,174040,009
MRC GLOBAL INC COMCommon Stock55345K1032,129290,025SH SOLE 276,514013,511
MSA SAFETY INCCommon Stock5534981067,84053,812SH SOLE 37,811016,001
MSC INDUSTRIAL DIRECT CO-ACommon Stock55353010617,222214,759SH SOLE 166,338048,421
MSCI INCCommon Stock55354G100225,631370,897SH SOLE 197,9760172,921
MUELLER INDUSTRIES INCCommon Stock6247561027,303177,695SH SOLE 137,380040,315
MUELLER WATER PRODUCTS INCCommon Stock6247581082,598170,704SH SOLE 148,887021,818
Multiplan CorpCommon Stock62548M10036965,508SH SOLE 62,02303,485
MURPHY OIL CORPCommon Stock62671710216,972679,707SH SOLE 560,8190118,888
MURPHY USA INCCommon Stock62675510217,473104,464SH SOLE 58,645045,819
MUSTANG BIO INCCommon Stock62818Q1045018,635SH SOLE 18,63500
MVB FINANCIAL CORPCommon Stock5538101022746,389SH SOLE 46305,926
MYERS INDUSTRIES INCCommon Stock6284641092,710138,473SH SOLE 132,29406,179
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MYR GROUP INCCommon Stock55405W1047,82078,596SH SOLE 45,272033,324
MYRIAD GENETICS INCCommon Stock62855J1048,897275,522SH SOLE 169,1410106,381
N-Able IncCommon Stock62878D1001,04484,099SH SOLE 81,15502,944
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NATIONAL BEVERAGE CORPCommon Stock6350171066,934132,108SH SOLE 123,09509,013
NATIONAL BK HLDGS CORP CL ACommon Stock6337071042,80669,315SH SOLE 64,34804,967
NATIONAL CINEMEDIA INCCommon Stock6353091072,153604,711SH SOLE 583,047021,664
NATIONAL ENERGY SERVICES REUNITED CORPCommon StockG6375R1071,16893,284SH SOLE 31,073062,211
NATIONAL FUEL GAS COCommon Stock63618010117,769338,330SH SOLE 211,0010127,329
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NATIONAL HEALTHCARE CORPCommon Stock6359061002,74539,228SH SOLE 20,806018,422
NATIONAL INSTRUMENTS CORPCommon Stock63651810215,284389,602SH SOLE 360,224029,379
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NATIONAL RESEARCH CORPCommon Stock63737220257613,659SH SOLE 11,70701,952
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NATIONAL VISION HOLDINGS INCCommon Stock63845R1073,80166,950SH SOLE 32,434034,516
NATL HEALTH INVESTORS INC REITREIT63633D1042,70250,497SH SOLE 47,28803,209
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NATWEST GROUP PLCADR63905710838,3256,293,093SH SOLE 5,683,8320609,261
NAVIENT CORPCommon Stock63938C10817,514887,689SH SOLE 530,8570356,833
NBT BANCORP INCCommon Stock6287781023,768104,314SH SOLE 82,163022,151
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NCR CORPCommon Stock62886E10812,659326,587SH SOLE 192,5920133,995
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NET 1 UEPS TECHNOLOGIES INCCommon Stock64107N20641288,632SH SOLE 88,63200
NETAPP INCCommon Stock64110D10485,458952,073SH SOLE 727,0320225,041
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NETFLIX INCCommon Stock64110L106905,9461,484,330SH SOLE 1,240,5780243,752
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NETSCOUT SYSTEMS INCCommon Stock64115T1041,71363,561SH SOLE 45,145018,416
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NEVRO CORPCommon Stock64157F1034,39837,787SH SOLE 29,29308,494
New Fortress Energy LLCCommon Stock64439310039714,303SH SOLE 11,82002,483
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NEW MTN FIN CORP COMCommon Stock64755110053139,866SH SOLE 0039,866
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NEW RESIDENTIAL INVT C COMREIT64828T20122,2492,022,625SH SOLE 1,580,3940442,231
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NEW YORK MTG TR INC COM PAR $.02REIT6496045019,8762,318,232SH SOLE 2,147,9670170,265
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NEWELL BRANDS INCCommon Stock65122910631,2501,411,476SH SOLE 1,253,0750158,401
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NEWMARKET CORPCommon Stock6515871077,57022,347SH SOLE 14,70007,647
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NEWS CORPCommon Stock65249B10924,6291,046,715SH SOLE 914,0710132,643
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NEXTDECADE CORPCommon Stock65342K1053613,019SH SOLE 13,01900
NEXTERA ENERGY INCCommon Stock65339F101660,1238,407,066SH SOLE 6,630,37101,776,695
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NEXTGEN HEALTHCARE INCCommon Stock65343C1023,221228,451SH SOLE 86,3020142,149
NEXTIER OILFIELD SOLUTIONS ICommon Stock65290C105529114,926SH SOLE 111,00003,926
NGM BIOPHARMACEUTICALS INCCommon Stock62921N10566731,741SH SOLE 27,10704,634
NICE SYS LTD SPONSORED ADRADR65365610859,398209,117SH SOLE 190,708018,409
NIELSEN HOLDINGS PLCCommon StockG6518L10811,688609,043SH SOLE 511,781097,262
NIKE INCCommon Stock654106103793,3505,462,715SH SOLE 4,173,01201,289,703
Nikola CorpCommon Stock6541101051,415132,589SH SOLE 130,46802,121
NIO INC - ADRADR62914V10612,677355,807SH SOLE 310,032045,775
NISOURCE INCCommon Stock65473P10546,2851,910,246SH SOLE 1,185,2660724,980
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NL INDS INC COM NEWCommon Stock62915640716428,411SH SOLE 27,5830828
NLIGHT INCCommon Stock65487K1001,08038,317SH SOLE 37,8700447
NMI HOLDINGS INCCommon Stock6292093054,081180,515SH SOLE 166,249014,266
NN INCCommon Stock6293371061,968374,949SH SOLE 16,9120358,037
NOAH HLDGS LTD SPONSORED ADSADR65487X1022,64971,341SH SOLE 63,12108,220
NOBLE INTL LTD COMETF74348A4675105,761SH SOLE 5,5490212
NOKIA CORP SPONSORED ADRADR65490220431,7445,824,502SH SOLE 5,299,3600525,142
NOMAD FOODS LTDCommon StockG6564A1056,623240,307SH SOLE 181,441058,866
NOMURA HLDGS INC SPONSORED ADRADR65535H20834,5716,998,273SH SOLE 6,292,1580706,115
NORDIC AMERICAN TANKERS LTDCommon StockG657731061,456568,745SH SOLE 534,476034,269
NORDSON CORPCommon Stock65566310229,629124,413SH SOLE 102,969021,444
NORDSTROM INCCommon Stock6556641004,298162,482SH SOLE 143,488018,994
NORFOLK SOUTHERN CORPCommon Stock655844108214,509896,588SH SOLE 773,3910123,197
NORTHERN OIL & GAS INCCommon Stock66553130767531,533SH SOLE 3,242028,291
NORTHERN TRUST CORPCommon Stock66585910464,283596,261SH SOLE 521,545074,716
NORTHFIELD BANCORP INC/NJCommon Stock66611T1082,659154,959SH SOLE 140,469014,490
NORTHRIM BANCORP INCCommon Stock66676210998523,161SH SOLE 21,30201,859
NORTHROP GRUMMAN CORPCommon Stock666807102214,545595,709SH SOLE 487,1130108,596
NORTHWEST BANCSHARES INCCommon Stock6673401037,107535,136SH SOLE 501,077034,060
NORTHWEST NATURAL HOLDING COCommon Stock66765N1055,234113,804SH SOLE 93,232020,571
NORTHWEST PIPE COCommon Stock66774610161625,985SH SOLE 24,67701,308
NORTHWESTERN CORPCommon Stock6680743058,115141,631SH SOLE 130,139011,491
NORTONLIFELOCK INCCommon Stock66877110830,7371,214,910SH SOLE 1,050,8480164,063
NORWEGIAN CRUISE LINE SHSCommon StockG6672110443,5141,629,109SH SOLE 1,336,4340292,675
NOV INCCommon Stock62955J10319,4451,483,247SH SOLE 1,345,1000138,147
Nova LtdCommon StockM7516K1034,30742,106SH SOLE 25,437016,669
NOVAGOLD RES INC COM NEWCommon Stock66987E2062,002290,987SH SOLE 188,9950101,992
NOVANTA INCCommon Stock67000B1049,48461,384SH SOLE 36,357025,027
NOVARTIS A G SPONSORED ADRADR66987V109227,3712,780,272SH SOLE 2,023,6270756,646
NOVAVAX INC COMCommon Stock67000240122,425108,172SH SOLE 103,22004,952
NOVOCURE LTDCommon StockG6674U10810,24788,211SH SOLE 81,69206,519
NOVO-NORDISK A S ADRADR670100205225,2522,346,130SH SOLE 2,043,4930302,637
NOW INC/DECommon Stock67011P1001,218159,172SH SOLE 146,801012,371
NRG ENERGY INCCommon Stock62937750868,1541,669,221SH SOLE 1,285,3280383,893
NU SKIN ENTERPRISES INCCommon Stock67018T10514,956369,550SH SOLE 348,294021,256
NUANCE COMMUNICATIONS INCCommon Stock67020Y10022,408407,124SH SOLE 335,999071,125
NUCOR CORPCommon Stock670346105118,6001,204,185SH SOLE 1,056,5480147,637
Nurix Therapeutics IncCommon Stock67080M10334211,407SH SOLE 11,1920215
NUSTAR ENERGY LP UNIT COMMLP67058H10271945,668SH SOLE 36,00109,667
NUTANIX INC-ACommon Stock67059N1087,192190,779SH SOLE 150,848039,931
NUTRIEN LTDCommon Stock67077M10821,838336,846SH SOLE 293,239043,608
NUVASIVE INCCommon Stock6707041054,13469,072SH SOLE 44,925024,147
Nuvation Bio IncCommon Stock67080N10111411,427SH SOLE 11,408019
Nuveen AMT-Free Municipal CredClosed-End Fund67071L1061,858108,337SH SOLE 8,677099,660
Nuveen AMT-Free Quality MuniciClosed-End Fund67065710559,6833,929,113SH SOLE 2,340,46801,588,645
Nuveen Credit Strategies IncomClosed-End Fund67073D10238,8195,917,469SH SOLE 2,427,31403,490,155
Nuveen Diversified Dividend anClosed-End Fund6706EP1051,490143,725SH SOLE 137,95305,772
NUVEEN FLT RATE INC OPP FDClosed-End Fund6706EN1001,614161,747SH SOLE 145,357016,390
Nuveen Global High Income FundClosed-End Fund67075G10312,481777,154SH SOLE 464,4980312,656
Nuveen Municipal Credit IncomeClosed-End Fund67070X1011,889112,958SH SOLE 9,0160103,942
Nuveen Preferred & Income OppoClosed-End Fund67073B10610,8761,098,585SH SOLE 961,4580137,127
Nuveen Preferred & Income SecuClosed-End Fund67072C1059,640983,701SH SOLE 834,8810148,820
Nuveen Quality Municipal IncomClosed-End Fund67066V10164,2864,115,604SH SOLE 2,539,81501,575,790
Nuveen Real Asset Income and GClosed-End Fund67074Y10538,6912,537,126SH SOLE 1,899,1900637,936
Nuveen Real Estate Income FundClosed-End Fund67071B1081,06099,847SH SOLE 118099,729
Nuveen Senior Income FundClosed-End Fund67067Y1043,232552,398SH SOLE 476,249076,150
Nuveen Tax-Advantaged DividendClosed-End Fund67073G10540725,667SH SOLE 22,50803,159
Nuveen Tax-Advantaged Total ReClosed-End Fund67090H10275467,854SH SOLE 59,31908,535
NV5 GLOBAL INC COMCommon Stock62945V1093303,347SH SOLE 2,8840463
NVE CORP COM NEWCommon Stock6294452061,01315,840SH SOLE 6,16109,679
NVENT ELECTRICCommon StockG6700G10713,270410,445SH SOLE 379,534030,911
NVIDIA CORPCommon Stock67066G1041,781,7358,600,766SH SOLE 7,290,07501,310,691
NVR INCCommon Stock62944T10533,6167,012SH SOLE 6,4670545
NXP SEMICONDUCTORS N V COMCommon StockN6596X109117,578600,288SH SOLE 439,6090160,679
OAK STREET HEALTH INCCommon Stock67181A10778218,398SH SOLE 14,26104,137
OASIS PETROLEUM INCCommon Stock6742152073,58736,076SH SOLE 5,413030,663
OATLY GROUP ABADR67421J10855636,762SH SOLE 34,60202,160
OCCIDENTAL PETROLEUM CORPCommon Stock67459910589,8853,038,704SH SOLE 2,696,8980341,806
OCEANEERING INTERNATIONAL INCCommon Stock6752321026,102458,089SH SOLE 385,574072,515
OCEANFIRST FINANCIAL CORPCommon Stock67523410869332,375SH SOLE 32,1140261
Ocugen IncCommon Stock67577C105853118,844SH SOLE 116,62902,215
OCULAR THERAPEUTIXCommon Stock67576A10015815,800SH SOLE 15,733067
OFFICE PROPERTIES INCOME TRUREIT67623C1093,503138,314SH SOLE 108,552029,762
OFG BANCORPCommon Stock67103X10214,986594,231SH SOLE 222,8280371,403
OGE ENERGY CORPCommon Stock67083710325,901785,821SH SOLE 696,060089,761
O-I GLASS INCCommon Stock67098H10415,1301,060,251SH SOLE 260,0920800,159
OIL STATES INTERNATIONAL INCCommon Stock6780261053,938616,204SH SOLE 586,894029,310
OIL-DRI CORP OF AMERICACommon Stock6778641002587,379SH SOLE 6,36801,011
OKTA INC CL ACommon Stock67929510562,196262,056SH SOLE 240,199021,857
OLD DOMINION FREIGHT LINE INCCommon Stock67958010086,793303,493SH SOLE 256,951046,542
OLD NATIONAL BANCORP/INCommon Stock6800331077,897465,913SH SOLE 382,513083,401
OLD REPUBLIC INTERNATIONAL CORCommon Stock68022310424,9681,079,466SH SOLE 1,021,446058,020
OLD SECOND BANCORP INCCommon Stock6802771001,664127,428SH SOLE 121,37406,054
Olema Pharmaceuticals IncCommon Stock68062P10676127,612SH SOLE 7,471020,141
OLIN CORPCommon Stock68066520515,137313,718SH SOLE 253,319060,399
OLLIES BARGAIN OUTLT H COMCommon Stock68111610911,079183,799SH SOLE 132,520051,279
OLYMPIC STEEL INCCommon Stock68162K1061,04042,694SH SOLE 41,9520742
OMEGA HEALTHCARE INVESTORS REITREIT68193610017,058569,350SH SOLE 377,3990191,951
OMEROS CORP COMCommon Stock68214310244532,296SH SOLE 30,12302,173
OMNICELL INCCommon Stock68213N10928,244190,284SH SOLE 131,933058,351
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Ouster IncCommon Stock68989M10322230,396SH SOLE 30,378018
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PEARSON PLC SPONSORED ADRADR70501510515,2861,580,798SH SOLE 1,452,1320128,667
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PEGASYSTEMS INCCommon Stock7055731034,23033,280SH SOLE 30,58002,700
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PENN VIRGINIA CORPCommon Stock70788V1026,548245,512SH SOLE 194,671050,841
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PENSKE AUTOMOTIVE GROUP INCCommon Stock70959W10310,966109,009SH SOLE 85,301023,708
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PENUMBRA INC COMCommon Stock70975L1079,98437,462SH SOLE 33,40104,061
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PEOPLE'S UNITED FINANCIAL INCCommon Stock71270410536,6632,098,599SH SOLE 1,771,5950327,005
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PERDOCEO EDUCATION CORPCommon Stock71363P1062,081197,077SH SOLE 112,665084,412
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PERFORMANCE FOOD GROUP CO COMCommon Stock71377A1038,391180,606SH SOLE 152,933027,673
PERKINELMER INCCommon Stock71404610975,932438,179SH SOLE 302,2130135,965
Perpetua Resources CorpCommon Stock71426610331663,460SH SOLE 60,50602,954
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PETCO HEALTH AND WELLNESS COCommon Stock71601V1051,83086,726SH SOLE 82,65704,069
PETIQ INC COM CL ACommon Stock71639T10650020,020SH SOLE 9,769010,251
PETMED EXPRESS INCCommon Stock7163821062,940109,407SH SOLE 105,56203,845
PETROCHINA CO LTD SPONSORED ADRADR71646E1006,084130,053SH SOLE 119,875010,178
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PETROLEO BRASILEIRO SA PETRO SPONSORED ADRADR71654V40811,8041,141,559SH SOLE 1,084,778056,781
PFIZER INCCommon Stock717081103890,55420,705,752SH SOLE 16,009,52504,696,227
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PGT INNOVATIONS INCCommon Stock69336V1012,607136,502SH SOLE 129,56006,942
PHATHOM PHARMACEUTICALS INCCommon Stock71722W10743813,640SH SOLE 2,098011,542
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PHILIP MORRIS INTERNATIONAL INCommon Stock718172109471,5004,974,158SH SOLE 3,603,11501,371,043
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PHILLIPS 66 COMCommon Stock718546104130,1491,858,474SH SOLE 1,447,9520410,523
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PHOTRONICS INCCommon Stock7194051029,285681,246SH SOLE 142,4780538,768
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PIEDMONT OFFICE REALTY TUR-A REITREIT7201902063,858221,333SH SOLE 125,731095,603
PILGRIM'S PRIDE CORPCommon Stock72147K1085,597192,479SH SOLE 140,373052,106
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PINDUODUO INC-ADRADR72230410213,554149,492SH SOLE 137,623011,869
PING IDENTITY HOLDING CORPCommon Stock72341T1032,26892,305SH SOLE 39,965052,340
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PIONEER NATURAL RESOURCES COCommon Stock723787107114,175685,692SH SOLE 582,0600103,632
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PITNEY BOWES INCCommon Stock7244791003,704513,781SH SOLE 372,4430141,339
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PLAINS ALL AMER PIPELINE LPMLP7265031052,247220,963SH SOLE 174,080046,883
PLAINS GP HOLDINGS LP-CL ACommon Stock72651A20751848,032SH SOLE 48,03200
PLANET FITNESS INC CL ACommon Stock72703H1015,72372,863SH SOLE 57,737015,126
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PLAYAGS INCCommon Stock72814N1041,444183,248SH SOLE 41,5540141,694
PLAYTIKA HOLDING CORPCommon Stock72815L1072,04073,836SH SOLE 68,36405,472
PLEXUS CORPCommon Stock7291321009,388104,998SH SOLE 99,72505,273
PLUG POWER INC COMCommon Stock72919P20214,650573,601SH SOLE 542,926030,675
PLX PHARMA INC EQUITYCommon Stock72942A1071,53579,541SH SOLE 0079,541
PMV PHARMACEUTICALS INCCommon Stock69353Y10383928,145SH SOLE 11,046017,099
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PNM RESOURCES INCCommon Stock69349H1079,006182,017SH SOLE 172,13009,887
POLARIS INCCommon Stock73106810218,850157,530SH SOLE 147,87009,660
POLYMET MINING CORPCommon Stock7319164099932,583SH SOLE 30,62201,961
POOL CORPCommon Stock73278L10553,132122,308SH SOLE 92,535029,773
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PORCH GROUP INCCommon Stock73324510420211,405SH SOLE 10,8950510
PORTLAND GENERAL ELECTRIC COCommon Stock73650884722,871486,726SH SOLE 318,9850167,741
POSCO SPONSORED ADRADR69348310930,646444,339SH SOLE 417,833026,506
POST HOLDINGS INCCommon Stock73744610412,198110,727SH SOLE 94,962015,765
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POTLATCHDELTIC CORPREIT7376301036,245121,069SH SOLE 73,926047,144
POWELL INDUSTRIES INCCommon Stock7391281061,47660,058SH SOLE 56,25203,806
POWER INTEGRATIONS INCCommon Stock73927610331,113314,300SH SOLE 218,021096,279
PPD IncCommon Stock69355F1022,23947,858SH SOLE 39,84008,018
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PRA GROUP INCCommon Stock69354N1064,524107,348SH SOLE 98,53308,815
Praxis Precision Medicines IncCommon Stock74006W10829215,804SH SOLE 15,727077
PRECIGEN INCCommon Stock74017N105676135,387SH SOLE 37,370098,017
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Premier Financial CorpCommon Stock74052F10887027,316SH SOLE 23,79603,520
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PRICESMART INCCommon Stock7415111095,35769,080SH SOLE 52,405016,675
PRIMERICA INCCommon Stock74164M10810,93071,142SH SOLE 65,00606,137
Primis Financial CorpCommon Stock74167B1091,40096,842SH SOLE 88,30208,540
PRIMO WATER CORPCommon Stock74167P1082,390152,032SH SOLE 119,393032,638
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PRINCIPAL FINANCIAL GROUP INCCommon Stock74251V10289,7891,394,245SH SOLE 1,242,5180151,727
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PRIVIA HEALTH GROUP INCCommon Stock74276R10262526,549SH SOLE 2,175024,374
PROASSURANCE CORPCommon Stock74267C1066,097256,395SH SOLE 244,985011,410
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PROG HOLDINGS INCCommon Stock74319R1017,650182,106SH SOLE 79,9050102,201
PROGRESS SOFTWARE CORPCommon Stock7433121008,204166,789SH SOLE 140,906025,883
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PROS HOLDINGS INCCommon Stock74346Y1031,17032,988SH SOLE 31,37301,615
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PROTHENA CORP PLC SHSCommon StockG728001088,848124,221SH SOLE 57,890066,331
PROTO LABS INC COMCommon Stock7437131094,46267,004SH SOLE 64,42102,583
Provention Bio IncCommon Stock74374N1021,154180,378SH SOLE 171,94308,435
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PRUDENTIAL FINANCIAL INCCommon Stock744320102204,0071,939,233SH SOLE 1,588,0600351,173
PRUDENTIAL PLC ADRADR74435K20468,1221,738,701SH SOLE 1,253,0630485,638
PS BUSINESS PARKS INC/CA REITREIT69360J1075,72036,496SH SOLE 28,08308,413
PSYCHEMEDICS CORP COM NEWCommon Stock74437520512414,769SH SOLE 14,76900
PTC INCCommon Stock69370C10027,266227,613SH SOLE 182,445045,168
PTC THERAPEUTICS INC COMCommon Stock69366J2003,23286,862SH SOLE 80,76106,101
PUBLIC SERVICE ENTERPRISE GROUPCommon Stock744573106112,0241,839,467SH SOLE 1,612,6680226,799
PUBLIC STORAGE INC COM REITREIT74460D109137,015461,176SH SOLE 395,729065,447
Pulmonx CorpCommon Stock74584810164017,775SH SOLE 9,24708,528
PULSE BIOSCIENCES INC COMCommon Stock74587B10190942,100SH SOLE 41,3620738
PULTEGROUP INCCommon Stock74586710192,3512,011,125SH SOLE 1,073,9430937,182
PUMA BIOTECHNOLOGY INC COMCommon Stock74587V1071,805257,426SH SOLE 64,7600192,666
PURE CYCLE CORPCommon Stock74622830395171,428SH SOLE 66,79104,637
PURE STORAGE INC CL ACommon Stock74624M1026,902274,334SH SOLE 232,159042,175
PURPLE INNOVATION INCCommon Stock74640Y10686040,915SH SOLE 11,317029,598
Putnam Master Intermediate IncClosed-End Fund746909100627154,117SH SOLE 147,79806,319
PUTNAM PREMIER INCM TR SH BEN INTClosed-End Fund7468531006,6011,444,413SH SOLE 1,311,4620132,951
PVH CORPCommon Stock69365610028,433276,616SH SOLE 240,017036,599
PZENA INVESTMENT MANAGEMENTCommon Stock74731Q10360761,656SH SOLE 57,17904,477
Q2 HLDGS INC COMCommon Stock74736L1095,45468,052SH SOLE 59,78608,266
QAD INCCommon Stock74727D3061,89621,698SH SOLE 11,568010,130
QCR HOLDINGS INC COMCommon Stock74727A1042995,805SH SOLE 5,1610644
QI PLC SPONSERED ADRADR74735M1081,428170,364SH SOLE 170,305059
QIAGEN NVCommon StockN7248212346,881907,132SH SOLE 754,0220153,110
QORVO INCCommon Stock74736K10180,790483,223SH SOLE 339,7610143,462
QUADRATIC INT RTE VOL INFL HETF5007677368,286297,311SH SOLE 42,1760255,135
Quaker HoughtonCommon Stock7473161078,89337,411SH SOLE 25,641011,770
QUALCOMM INCCommon Stock747525103535,1064,148,755SH SOLE 3,347,7580800,997
QUALTRICS INTERNATIONAL-CL ACommon Stock74760120150811,886SH SOLE 10,64601,240
QUALYS INC COMCommon Stock74758T3036,86061,642SH SOLE 42,413019,229
QUANEX BUILDING PRODUCTS CORPCommon Stock7476191041,23557,690SH SOLE 44,446013,244
QUANTA SERVICES INCCommon Stock74762E10264,504566,717SH SOLE 483,064083,653
QUANTERIX CORPCommon Stock74766Q1014218,461SH SOLE 8,1130348
QUANTUM CORPCommon Stock74790650112323,788SH SOLE 12,013011,775
QUANTUMSCAPE CORPCommon Stock74767V1094,419180,075SH SOLE 175,87204,203
QUEST DIAGNOSTICS INC/DECommon Stock74834L10093,940646,478SH SOLE 568,684077,794
QUEST RESOURCE HLDG CO COMCommon Stock74836W2039014,796SH SOLE 0014,796
QUIDEL CORPCommon Stock74838J10111,99184,951SH SOLE 71,163013,788
QUINSTREET INCCommon Stock74874Q1003,349190,740SH SOLE 130,696060,044
QUOTIENT LTDCommon StockG732681076728,528SH SOLE 28,472056
QUOTIENT TECHNOLOGY INCCommon Stock74911910337263,985SH SOLE 62,77401,211
QURATE RETAIL INCCommon Stock74915M10010,6871,048,734SH SOLE 895,1670153,567
R1 RCM INC COMCommon Stock7493971052,731124,059SH SOLE 99,289024,770
RACKSPACE TECHNOLOGY INCCommon Stock7501021051,905133,988SH SOLE 24,0280109,960
RADIAN GROUP INCCommon Stock7502361018,753385,233SH SOLE 134,5370250,697
RADIANT LOGISTICS INC COMCommon Stock75025X100884138,319SH SOLE 76,825061,494
Radius Global Infrastructure ICommon Stock75048110318811,489SH SOLE 11,48108
RADIUS HEALTH INCCommon Stock75046920733827,211SH SOLE 25,35901,852
RADNET INCCommon Stock7504911021,86063,456SH SOLE 59,00304,453
RADWARE LTD ORDCommon StockM818731072,46973,235SH SOLE 20,663052,572
RAFAEL HOLDINGS INCCommon Stock75062E1062618,487SH SOLE 8,476011
Rain Therapeutics IncCommon Stock75082Q10519613,093SH SOLE 12,7210372
RALPH LAUREN CORPCommon Stock75121210124,225218,164SH SOLE 127,485090,680
RAMACO RES INC COMCommon Stock75134P3032,571208,832SH SOLE 2,7190206,113
RAMBUS INCCommon Stock7509171066,526293,983SH SOLE 249,160044,823
RANGE RESOURCES CORPCommon Stock75281A10934,6581,531,517SH SOLE 1,401,3660130,151
RANPAK HOLDINGS CORPCommon Stock75321W1033,252121,265SH SOLE 12,2120109,053
RAPID7 INC COMCommon Stock7534221049,41683,313SH SOLE 59,600023,713
RAPT THERAPEUTICS INCCommon Stock75382E1091,08735,016SH SOLE 2,742032,274
RATTLER MIDSTREAM LPLtd Part75419T1033,512299,168SH SOLE 00299,168
RAVEN INDUSTRIES INCCommon Stock7542121089,949172,696SH SOLE 151,099021,596
RAYMOND JAMES FINANCIAL INCCommon Stock75473010956,248609,539SH SOLE 457,8760151,663
RAYONIER ADVANCED MATERIALSCommon Stock75508B1041,451193,453SH SOLE 161,075032,378
RAYONIER INC COM REITREIT7549071035,302148,612SH SOLE 134,176014,436
RAYTHEON TECHNOLOGIES CORPCommon Stock75513E101424,9134,943,143SH SOLE 3,633,21401,309,929
RBB BANCORPCommon Stock74930B10533313,220SH SOLE 7,61005,610
RBC BEARINGS INCCommon Stock75524B10411,48454,117SH SOLE 43,767010,350
RE/MAX HOLDINGS INCL - CL ACommon Stock75524W1082,20370,690SH SOLE 51,522019,168
READY CAPITAL CORPREIT75574U1012,467170,954SH SOLE 162,73508,219
REAL ESTATE SELECT SECT SPDRETF81369Y86047810,750SH SOLE 10,5340216
REALOGY HLDGS CORP COMCommon Stock75605Y1067,161408,272SH SOLE 257,5760150,696
REALREAL INC/THECommon Stock88339P1011,15087,262SH SOLE 79,17408,088
REALTY INCOME CORP COM REITREIT75610910460,323930,050SH SOLE 816,3360113,715
REATA PHARMACEUTICALS CL ACommon Stock75615P1035,25152,188SH SOLE 25,852026,336
RECRO PHARMA INCCommon Stock75629F1093617,473SH SOLE 16,9750498
RED ROBIN GOURMET BURGERS INCCommon Stock75689M10187037,737SH SOLE 34,62003,117
RED ROCK RESORTS INC -CLASS ACommon Stock75700L1085,961116,371SH SOLE 53,748062,623
REDFIN CORPCommon Stock75737F1083,52270,307SH SOLE 64,31105,996
REDHILL BIOPHARMA LTD-SP ADRADR75746810322248,561SH SOLE 48,56100
REDWOOD TRUST INC REITREIT7580754024,935382,827SH SOLE 353,999028,827
REGAL BELOIT CORP COMCommon Stock75875010319,858132,084SH SOLE 91,690040,395
REGENCY CENTERS CORP REITREIT75884910338,769575,809SH SOLE 476,623099,186
REGENERON PHARMACEUTICALSCommon Stock75886F107173,501286,692SH SOLE 230,078056,615
REGENXBIO INC COMCommon Stock75901B1073,34679,825SH SOLE 71,69608,129
REGIONAL MGMT CORP COMCommon Stock75902K1062714,655SH SOLE 4,3750280
REGIONS FINANCIAL CORPCommon Stock7591EP100157,3057,381,751SH SOLE 5,269,55002,112,201
REGIS CORPCommon Stock758932107530152,186SH SOLE 149,23502,951
REINSURANCE GROUP OF AMERICA ICommon Stock75935160428,954260,241SH SOLE 218,115042,126
RELAY THERAPEUTICS INCCommon Stock75943R1021,35542,983SH SOLE 22,793020,190
RELIANCE STEEL & ALUMINUM COCommon Stock75950910245,437319,036SH SOLE 218,2240100,812
RELIANT BANCORP INC COMCommon Stock75956B1011,73654,969SH SOLE 5,360049,609
RELMADA THERAPEUTICS INCCommon Stock75955J40247518,117SH SOLE 4,687013,430
RELX PLC - SPONSORED ADRADR75953010886,7543,006,023SH SOLE 2,381,2320624,792
RENAISSANCERE HOLDINGS LTDCommon StockG7496G10314,952107,263SH SOLE 88,335018,928
RENALYTIX AI PLC-ADRADR75973T10136318,081SH SOLE 0018,081
RENASANT CORPCommon Stock75970E1073,724103,304SH SOLE 96,08707,217
RENEWABLE ENERGY GROUP INCCommon Stock75972A3014,66592,921SH SOLE 87,26405,657
RENT-A-CENTER INC/TXCommon Stock76009N10010,796192,071SH SOLE 122,287069,784
Repay Holdings CorpCommon Stock76029L10093040,362SH SOLE 39,32401,038
REPLIGEN CORP COMCommon Stock75991610939,008134,979SH SOLE 104,446030,533
REPLIMUNE GROUP INCCommon Stock76029N10632010,802SH SOLE 10,80200
REPUBLIC BANCORP INC/KYCommon Stock7602812041,75834,712SH SOLE 7,495027,217
REPUBLIC FIRST BANCORP INCCommon Stock76041610727990,529SH SOLE 76,610013,919
REPUBLIC SERVICES INCCommon Stock76075910088,344735,834SH SOLE 638,722097,113
RESIDEO TECHNOLOGIES INCCommon Stock76118Y10414,427581,970SH SOLE 483,117098,853
RESMED INCCommon Stock761152107117,776446,885SH SOLE 389,646057,239
RESOLUTE FOREST PRODUCTSCommon Stock76117W1092,494209,621SH SOLE 25,5660184,055
RESOURCES CONNECTION INCCommon Stock76122Q1052,995189,818SH SOLE 123,622066,196
RESTAURANT BRANDS INTERNCommon Stock76131D1039,961162,792SH SOLE 148,044014,748
RETAIL OPPORTUNITY INVESTMEN REITREIT76131N10111,731673,429SH SOLE 622,045051,384
RETAIL PPTYS AMER INC CL AREIT76131V20213,9491,083,000SH SOLE 911,9820171,018
RETAIL VALUE INC - W/IREIT76133Q10250819,278SH SOLE 12,64406,634
Retractable Technologies IncCommon Stock76129W10513011,759SH SOLE 6,47505,284
REV GROUP INC COMCommon Stock7495271071,25873,322SH SOLE 37,329035,993
REVANCE THERAPEUTICS INCCommon Stock7613301097,496269,068SH SOLE 134,0050135,063
REVOLUTION Medicines IncCommon Stock76155X10064423,402SH SOLE 22,5820820
REVOLVE GROUP INCCommon Stock76156B1072,39338,734SH SOLE 27,024011,710
REX AMERICAN RESOURCES CORPCommon Stock7616241053,38242,349SH SOLE 41,6900659
REXFORD INDUSTRIAL REALTY INREIT76169C10015,964281,300SH SOLE 221,257060,043
REXNORD CORP NEW COMCommon Stock76169B10211,614180,653SH SOLE 91,349089,304
Reynolds Consumer Products IncCommon Stock76171L1061,77364,841SH SOLE 34,855029,986
RHCommon Stock74967X10321,45032,164SH SOLE 30,10902,055
Rhythm Pharmaceuticals IncCommon Stock76243J10524618,850SH SOLE 17,78801,062
RIBBON COMMUNICATIONS INCCommon Stock762544104804134,405SH SOLE 120,982013,423
RICHMOND MUTUAL BANCORPORATICommon Stock76525P10016410,394SH SOLE 9,4270967
RIGEL PHARMACEUTICALS INC COM NEWCommon Stock766559603821226,099SH SOLE 108,7830117,316
RIMINI STREET INCCommon Stock76674Q10781584,501SH SOLE 22,752061,749
RINGCENTRAL INC -CLASS ACommon Stock76680R20626,785123,147SH SOLE 108,583014,564
RIO TINTO PLC SPONSORED ADRADR76720410092,9941,391,715SH SOLE 1,235,1020156,613
RIOT BLOCKCHAIN INCCommon Stock7672921051,55460,453SH SOLE 55,25905,194
RITCHIE BROS AUCTIONEERS INCCommon Stock7677441059,399152,426SH SOLE 99,387053,039
RITE AID CORP COMCommon Stock7677548722,459173,153SH SOLE 80,023093,130
RIVERNORTH RIGHTSRight76882G156043,258SH SOLE 43,25800
RiverNorth/DoubleLine StrategiClosed-End Fund76882G1077,323502,637SH SOLE 459,631043,006
RIVERVIEW BANCORP INCCommon Stock76939710052472,117SH SOLE 70,46501,652
RLI CORPCommon Stock7496071077,71476,928SH SOLE 72,68804,240
RLJ LODGING TR COMREIT74965L1019,810660,157SH SOLE 610,388049,770
RLX TECHNOLOGY INC-ADRADR74969N1031,352299,024SH SOLE 285,396013,628
RMR GROUP INC/THE - ACommon Stock74967R1062,18365,267SH SOLE 33,017032,250
ROBERT HALF INTERNATIONAL INCCommon Stock77032310362,634624,280SH SOLE 534,851089,429
ROBLOX CORP - CLASS ACommon Stock7710491037,36097,425SH SOLE 87,44709,978
ROCKET COS INC-CLASS ACommon Stock77311W1011,58498,755SH SOLE 41,318057,437
ROCKET PHARMACEUTICALS INCCommon Stock77313F1061,48749,734SH SOLE 46,95502,779
ROCKWELL AUTOMATION INCCommon Stock773903109124,313422,775SH SOLE 359,417063,358
ROCKY BRANDS INCCommon Stock7745151003226,762SH SOLE 6,680082
ROGERS COMMUNICATIONS INCCommon Stock77510920010,447223,999SH SOLE 212,961011,038
ROGERS CORPCommon Stock77513310112,66467,910SH SOLE 48,364019,546
ROKU INCCommon Stock77543R10257,293182,839SH SOLE 119,323063,516
ROLLINS INCCommon Stoc