Holdings Channel
EntityShares/Amount
Change
Position Value
Change
COR +968,260+$235,277
BCE INC +1,552,047+$52,792
CPAY +130,575+$40,288
CVNA +183,077+$16,094
CNM +260,665+$14,923
PR +694,403+$12,263
NXT +200,112+$11,260
ANF +85,066+$10,661
DUOL +41,908+$9,244
CRBG +319,905+$9,191
EntityShares/Amount
Change
Position Value
Change
ABC -968,861-$174,376
BCE -1,399,647-$55,377
SPLK -286,961-$43,719
FLT -134,522-$38,017
DOC -1,574,844-$20,961
EQC -884,357-$16,980
KRTX -50,696-$16,046
HTHT -369,733-$12,364
SRC -261,252-$11,414
ROG -57,925-$7,650
EntityShares/Amount
Change
Position Value
Change
WMT +13,791,793+$134,803
KMI +1,844,933+$36,383
PCG +1,067,706+$10,586
ABNB +828,862+$157,581
WTRG +823,254+$30,372
CSCO +745,434+$25,767
QCOM +732,349+$205,997
TSLA +691,204-$516,450
GE +678,657+$217,476
COO +656,778+$5,274
EntityShares/Amount
Change
Position Value
Change
NEM -3,327,616-$149,026
AMZN -2,393,758+$126,816
MRK -1,980,079+$36,565
DIS -1,893,935-$18,594
VZ -1,868,968-$3,798
HST -1,281,259-$23,279
DBX -1,190,112-$37,866
TXN -1,153,540-$178,324
C -1,150,141-$16,871
Size ($ in 1000's)
At 03/31/2024: $142,208,721
At 12/31/2023: $131,702,300

California Public Employees Retirement System holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from California Public Employees Retirement System 13F filings. Link to 13F filings: SEC filings

All Stocks Held By California Public Employees Retirement System
As of  03/31/2024, we find all stocks held by California Public Employees Retirement System to be as follows, presented in the table below with each row detailing each California Public Employees Retirement System position, ordered by largest to smallest position size. The all-stocks-held-by-California Public Employees Retirement System table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by California Public Employees Retirement System as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
MICROSOFT CORP 19,999,089 -644,017 $8,414,017
     MSFT19,999,089-644,017$8,414,017
NVIDIA CORP 7,695,900 +218,515 $6,953,707
     NVDA7,695,900+218,515$6,953,707
APPLE INC 37,902,798 -725,383 $6,499,572
     AAPL37,902,798-725,383$6,499,572
AMAZON.COM INC 17,247,672 -2,393,758 $3,111,135
     AMZN17,247,672-2,393,758$3,111,135
FACEBOOK INC A 5,355,082 +481,235 $2,600,321
     META5,355,082+481,235$2,600,321
BERKSHIRE HATHAWAY INC      $2,530,318
     BRK.B4,979,128-56,352$2,093,823
     BRK.A688+37$436,495
ALPHABET INC 11,995,976 -332,590 $1,810,553
     GOOGL11,995,976-332,590$1,810,553
PEPSICO INC 10,258,502 +594,179 $1,795,340
     PEP10,258,502+594,179$1,795,340
BROADCOM INC 1,299,242 -132,247 $1,722,028
     AVGO1,299,242-132,247$1,722,028
ALPHABET INC 11,103,844 +17,691 $1,690,671
     GOOG11,103,844+17,691$1,690,671
JOHNSON JOHNSON 10,641,747 +21,483 $1,683,418
     JNJ10,641,747+21,483$1,683,418
TESLA MOTORS INC 9,467,608 +691,204 $1,664,311
     TSLA9,467,608+691,204$1,664,311
ELI LILLY CO 2,074,446 -85,844 $1,613,836
     LLY2,074,446-85,844$1,613,836
PROCTER GAMBLE CO THE 9,495,941 +3,902 $1,540,716
     PG9,495,941+3,902$1,540,716
UNITEDHEALTH GROUP INC 2,975,046 -115,940 $1,471,755
     UNH2,975,046-115,940$1,471,755
MERCK CO. INC. 11,008,863 -1,980,079 $1,452,619
     MRK11,008,863-1,980,079$1,452,619
HOME DEPOT INC 3,766,999 +410,137 $1,445,021
     HD3,766,999+410,137$1,445,021
COSTCO WHOLESALE CORP 1,775,397 +237,556 $1,300,709
     COST1,775,397+237,556$1,300,709
JPMORGAN CHASE CO 6,354,293 -100,353 $1,272,765
     JPM6,354,293-100,353$1,272,765
WAL MART STORES INC 20,921,962 +13,791,793 $1,258,874
     WMT20,921,962+13,791,793$1,258,874
ABBVIE INC 6,679,568 +598,033 $1,216,349
     ABBV6,679,568+598,033$1,216,349
MCDONALD S CORP 4,213,790 +302,026 $1,188,078
     MCD4,213,790+302,026$1,188,078
INTL BUSINESS MACHINES CORP 6,061,429 -295,618 $1,157,490
     IBM6,061,429-295,618$1,157,490
VISA INC 3,935,170 -112,854 $1,098,227
     V3,935,170-112,854$1,098,227
EXXON MOBIL CORP 8,454,510 -625,521 $982,752
     XOM8,454,510-625,521$982,752
CISCO SYSTEMS INC 19,495,671 +745,434 $973,029
     CSCO19,495,671+745,434$973,029
MASTERCARD INC 1,887,927 -42,875 $909,169
     MA1,887,927-42,875$909,169
BANK OF AMERICA CORP 22,804,818 +266,318 $864,759
     BAC22,804,818+266,318$864,759
TEXAS INSTRUMENTS INC 4,882,164 -1,153,540 $850,522
     TXN4,882,164-1,153,540$850,522
COCA COLA CO THE 13,850,817 +45,909 $847,393
     KO13,850,817+45,909$847,393
AMGEN INC 2,752,318 +36,230 $782,539
     AMGN2,752,318+36,230$782,539
SALESFORCE.COM INC 2,393,269 -38,664 $720,805
     CRM2,393,269-38,664$720,805
INTEL CORP 15,832,544 -242,216 $699,323
     INTC15,832,544-242,216$699,323
QUALCOMM INC 4,056,652 +732,349 $686,791
     QCOM4,056,652+732,349$686,791
ORACLE CORP 5,350,945 -1,039,865 $672,132
     ORCL5,350,945-1,039,865$672,132
VERIZON COMMUNICATIONS INC 15,648,335 -1,868,968 $656,604
     VZ15,648,335-1,868,968$656,604
MARSH MCLENNAN COS 3,125,541 -120,918 $643,799
     MMC3,125,541-120,918$643,799
THERMO FISHER SCIENTIFIC INC 1,052,841 -5,375 $611,922
     TMO1,052,841-5,375$611,922
AT T INC 34,020,557 -259,465 $598,762
     T34,020,557-259,465$598,762
PROGRESSIVE CORP 2,856,893 -170,745 $590,863
     PGR2,856,893-170,745$590,863
CHEVRON CORP 3,717,919 -298,759 $586,465
     CVX3,717,919-298,759$586,465
WALT DISNEY CO THE 4,752,401 -1,893,935 $581,504
     DIS4,752,401-1,893,935$581,504
ADVANCED MICRO DEVICES 3,215,788 +312,561 $580,418
     AMD3,215,788+312,561$580,418
ACCENTURE PLC 1,614,945 +389,048 $559,756
     ACN1,614,945+389,048$559,756
GILEAD SCIENCES INC 7,559,266 -285,068 $553,716
     GILD7,559,266-285,068$553,716
NEXTERA ENERGY INC 8,526,538 +538,855 $544,931
     NEE8,526,538+538,855$544,931
BRISTOL MYERS SQUIBB CO 9,963,455 -243,562 $540,318
     BMY9,963,455-243,562$540,318
AUTOMATIC DATA PROCESSING 2,119,609 +67,804 $529,351
     ADP2,119,609+67,804$529,351
LINDE PLC 1,116,068 -166,450 $518,213
     LIN1,116,068-166,450$518,213
WASTE MANAGEMENT INC 2,376,646 -74,865 $506,582
     WM2,376,646-74,865$506,582
SELECT SECTOR SPDR TR FINANCIAL (XLF) 12,000,000 UNCH $505,440
     XLF12,000,000UNCH$505,440
VERTEX PHARMACEUTICALS INC 1,180,353 -335,463 $493,399
     VRTX1,180,353-335,463$493,399
PFIZER INC 17,725,570 -403,937 $491,885
     PFE17,725,570-403,937$491,885
COMCAST CORP 11,336,874 -95,552 $491,453
     CMCSA11,336,874-95,552$491,453
T MOBILE US INC 3,005,855 -450,114 $490,616
     TMUS3,005,855-450,114$490,616
ADOBE SYSTEMS INC 966,883 +84,935 $487,889
     ADBE966,883+84,935$487,889
ABBOTT LABORATORIES 4,276,485 -91,221 $486,065
     ABT4,276,485-91,221$486,065
GENERAL ELECTRIC CO 2,731,928 +678,657 $479,535
     GE2,731,928+678,657$479,535
APPLIED MATERIALS INC 2,285,341 +125,876 $471,306
     AMAT2,285,341+125,876$471,306
LOCKHEED MARTIN CORP 1,031,197 +41,949 $469,061
     LMT1,031,197+41,949$469,061
FISERV INC 2,916,639 -273,512 $466,137
     FI2,916,639-273,512$466,137
NETFLIX INC 750,858 -34,997 $456,019
     NFLX750,858-34,997$456,019
SOUTHERN CO THE 6,349,380 -205,279 $455,505
     SO6,349,380-205,279$455,505
CME GROUP INC 2,103,004 -428,697 $452,756
     CME2,103,004-428,697$452,756
MICRON TECHNOLOGY INC 3,786,310 -755,352 $446,368
     MU3,786,310-755,352$446,368
DUKE ENERGY CORP 4,514,864 -146,113 $436,632
     DUK4,514,864-146,113$436,632
COLGATE PALMOLIVE CO 4,805,445 -171,417 $432,730
     CL4,805,445-171,417$432,730
ANALOG DEVICES INC 2,184,293 +257,706 $432,031
     ADI2,184,293+257,706$432,031
MONDELEZ INTERNATIONAL INC A 6,142,789 -92,487 $429,995
     MDLZ6,142,789-92,487$429,995
BECTON DICKINSON AND CO 1,691,819 -33,784 $418,641
     BDX1,691,819-33,784$418,641
WELLS FARGO CO 7,060,958 +127,086 $409,253
     WFC7,060,958+127,086$409,253
INTUIT INC 628,569 +40,825 $408,570
     INTU628,569+40,825$408,570
ANTHEM INC 767,648 +39,746 $398,056
     ELV767,648+39,746$398,056
AMPHENOL CORP 3,428,403 -140,355 $395,466
     APH3,428,403-140,355$395,466
O REILLY AUTOMOTIVE INC 349,385 -13,410 $394,414
     ORLY349,385-13,410$394,414
REGENERON PHARMACEUTICALS 407,058 -5,449 $391,789
     REGN407,058-5,449$391,789
DANAHER CORP 1,538,893 -14,591 $384,292
     DHR1,538,893-14,591$384,292
NORTHROP GRUMMAN CORP 765,118 -12,980 $366,231
     NOC765,118-12,980$366,231
CONOCOPHILLIPS 2,842,003 -58,167 $361,730
     COP2,842,003-58,167$361,730
SERVICENOW INC 473,197 +99,838 $360,765
     NOW473,197+99,838$360,765
AMERICAN TOWER CORP 1,825,261 +232,418 $360,653
     AMT1,825,261+232,418$360,653
CHUBB LIMITED 1,380,601 +143,759 $357,755
     CB1,380,601+143,759$357,755
EQUINIX INC 429,627 -2,715 $354,584
     EQIX429,627-2,715$354,584
AON PLC SHS 1,057,283 -20,196 $352,836
     AON1,057,283-20,196$352,836
MCKESSON CORP 654,520 -13,820 $351,379
     MCK654,520-13,820$351,379
INTERCONTINENTALEXCHANGE GRO (ICE) 2,545,307 -25,810 $349,802
     ICE2,545,307-25,810$349,802
ROPER INDUSTRIES INC 621,910 -20,381 $348,792
     ROP621,910-20,381$348,792
RAYTHEON TECHNOLOGIES CORP 3,557,508 +115,532 $346,964
     RTX3,557,508+115,532$346,964
CIGNA CORP 953,365 -14,112 $346,253
     CI953,365-14,112$346,253
MOTOROLA SOLUTIONS INC 972,646 -31,856 $345,270
     MSI972,646-31,856$345,270
CATERPILLAR INC 932,223 -276,593 $341,594
     CAT932,223-276,593$341,594
HONEYWELL INTERNATIONAL INC 1,651,132 -88,563 $338,895
     HON1,651,132-88,563$338,895
UNION PACIFIC CORP 1,377,364 -15,743 $338,735
     UNP1,377,364-15,743$338,735
MORGAN STANLEY 3,591,996 -356,337 $338,222
     MS3,591,996-356,337$338,222
AUTOZONE INC 102,669 -6,221 $323,577
     AZO102,669-6,221$323,577
UNITED PARCEL SERVICE 2,174,849 -85,106 $323,248
     UPS2,174,849-85,106$323,248
ARTHUR J GALLAGHER CO 1,262,410 -31,135 $315,653
     AJG1,262,410-31,135$315,653
ALLSTATE CORP 1,745,329 +148,935 $301,959
     ALL1,745,329+148,935$301,959
GOLDMAN SACHS GROUP INC 720,258 -12,440 $300,845
     GS720,258-12,440$300,845
CADENCE DESIGN SYS INC 940,606 +2,314 $292,792
     CDNS940,606+2,314$292,792
KLA TENCOR CORPORATION 411,102 +149,345 $287,184
     KLAC411,102+149,345$287,184
SYNOPSYS INC 501,264 -4,876 $286,472
     SNPS501,264-4,876$286,472
S&P GLOBAL INC 649,425 +67,125 $276,298
     SPGI649,425+67,125$276,298
LOWE S COS INC 1,070,828 -25,715 $272,772
     LOW1,070,828-25,715$272,772
UBER TECHNOLOGIES INC 3,471,590 -961,522 $267,278
     UBER3,471,590-961,522$267,278
PUBLIC STORAGE 920,657 -34,952 $267,046
     PSA920,657-34,952$267,046
ZOETIS INC 1,574,714 -98,694 $266,457
     ZTS1,574,714-98,694$266,457
GENERAL DYNAMICS CORP 939,034 -4,378 $265,268
     GD939,034-4,378$265,268
TRAVELERS COS INC THE 1,147,292 +211,234 $264,038
     TRV1,147,292+211,234$264,038
CROWN CASTLE INTL CORP 2,494,838 -25,553 $264,029
     CCI2,494,838-25,553$264,029
TE CONNECTIVITY LTD 1,801,016 -43,881 $261,580
     TEL1,801,016-43,881$261,580
AMERICAN ELECTRIC POWER 3,032,830 -91,108 $261,127
     AEP3,032,830-91,108$261,127
FASTENAL CO 3,376,099 -133,285 $260,432
     FAST3,376,099-133,285$260,432
LAM RESEARCH CORP 267,060 +12,985 $259,467
     LRCX267,060+12,985$259,467
AIRBNB INC 1,552,395 +828,862 $256,083
     ABNB1,552,395+828,862$256,083
BOSTON SCIENTIFIC CORP 3,728,348 -70,163 $255,355
     BSX3,728,348-70,163$255,355
KIMBERLY CLARK CORP 1,964,476 -93,873 $254,105
     KMB1,964,476-93,873$254,105
INTUITIVE SURGICAL INC 613,056 -16,488 $244,665
     ISRG613,056-16,488$244,665
BOOKING HLDGS INC 67,354 -3,244 $244,352
     BKNG67,354-3,244$244,352
DOMINION RESOURCES INC VA 4,855,022 -159,541 $238,819
     D4,855,022-159,541$238,819
MEDTRONIC PLC 2,727,566 -80,863 $237,707
     MDT2,727,566-80,863$237,707
PROLOGIS INC 1,820,562 -43,369 $237,074
     PLD1,820,562-43,369$237,074
GENERAL MILLS INC 3,384,884 -166,815 $236,840
     GIS3,384,884-166,815$236,840
AMERICAN EXPRESS CO 1,039,843 -29,249 $236,762
     AXP1,039,843-29,249$236,762
AMERISOURCEBERGEN CORP 968,260 +968,260 $235,277
     COR968,260+968,260$235,277
STARBUCKS CORP 2,571,476 -151,238 $235,007
     SBUX2,571,476-151,238$235,007
REPUBLIC SERVICES INC 1,218,463 -49,333 $233,263
     RSG1,218,463-49,333$233,263
STRYKER CORP 648,432 -18,271 $232,054
     SYK648,432-18,271$232,054
PAYCHEX INC 1,887,089 -66,236 $231,735
     PAYX1,887,089-66,236$231,735
SEMPRA ENERGY 3,195,762 +223,780 $229,552
     SRE3,195,762+223,780$229,552
CITIGROUP INC 3,584,163 -1,150,141 $226,662
     C3,584,163-1,150,141$226,662
TJX COMPANIES INC 2,230,475 -86,201 $226,215
     TJX2,230,475-86,201$226,215
EATON CORP PLC 713,425 -16,506 $223,074
     ETN713,425-16,506$223,074
CVS CAREMARK CORP 2,775,700 -63,589 $221,390
     CVS2,775,700-63,589$221,390
KROGER CO 3,835,629 -124,915 $219,129
     KR3,835,629-124,915$219,129
EXELON CORP 5,826,868 -212,155 $218,915
     EXC5,826,868-212,155$218,915
BLACKROCK INC 262,219 -5,812 $218,612
     BLK262,219-5,812$218,612
COGNIZANT TECH SOLUTIONS A 2,956,353 -175,625 $216,671
     CTSH2,956,353-175,625$216,671
DEERE CO 526,066 -19,116 $216,076
     DE526,066-19,116$216,076
GARTNER INC 452,703 -10,442 $215,790
     IT452,703-10,442$215,790
ELECTRONIC ARTS INC 1,604,984 -60,057 $212,933
     EA1,604,984-60,057$212,933
CDW CORP 810,239 -11,854 $207,243
     CDW810,239-11,854$207,243
TARGET CORP 1,164,859 +310,016 $206,425
     TGT1,164,859+310,016$206,425
L3HARRIS TECHNOLOGIES INC 946,522 -12,763 $201,704
     LHX946,522-12,763$201,704
PUBLIC SERVICE ENTERPRISE GP 2,968,555 -79,515 $198,240
     PEG2,968,555-79,515$198,240
NIKE INC 2,104,026 -81,351 $197,736
     NKE2,104,026-81,351$197,736
CONSTELLATION BRANDS INC A 720,823 -9,745 $195,891
     STZ720,823-9,745$195,891
BOEING CO THE 985,118 -21,351 $190,118
     BA985,118-21,351$190,118
VERISK ANALYTICS INC 806,033 -10,190 $190,006
     VRSK806,033-10,190$190,006
SCHWAB CHARLES CORP 2,617,556 -72,532 $189,354
     SCHW2,617,556-72,532$189,354
CONSOLIDATED EDISON INC 2,084,525 -65,103 $189,296
     ED2,084,525-65,103$189,296
EMERSON ELECTRIC CO 1,666,055 -30,700 $188,964
     EMR1,666,055-30,700$188,964
WORKDAY INC 684,935 +316,522 $186,816
     WDAY684,935+316,522$186,816
XCEL ENERGY INC 3,460,906 +105,570 $186,024
     XEL3,460,906+105,570$186,024
REALTY INCOME CORP 3,409,244 +205,232 $184,440
     O3,409,244+205,232$184,440
3M CO 1,709,634 -35,499 $181,341
     MMM1,709,634-35,499$181,341
HUMANA INC 512,662 +35,724 $177,750
     HUM512,662+35,724$177,750
CENTENE CORP 2,244,115 +82,753 $176,118
     CNC2,244,115+82,753$176,118
YUM BRANDS INC 1,260,564 -5,550 $174,777
     YUM1,260,564-5,550$174,777
KRAFT HEINZ CO 4,732,316 -211,130 $174,622
     KHC4,732,316-211,130$174,622
HERSHEY CO THE 888,679 -20,558 $172,848
     HSY888,679-20,558$172,848
KEURIG DR PEPPER INC 5,592,094 -188,422 $171,510
     KDP5,592,094-188,422$171,510
CARDINAL HEALTH INC 1,493,529 -22,506 $167,126
     CAH1,493,529-22,506$167,126
SHERWIN WILLIAMS CO THE 465,096 -21,136 $161,542
     SHW465,096-21,136$161,542
PALO ALTO NETWORKS INC 557,281 -7,706 $158,340
     PANW557,281-7,706$158,340
ARCH CAPITAL GROUP LTD 1,693,887 +655,708 $156,583
     ACGL1,693,887+655,708$156,583
WEC ENERGY GROUP INC 1,890,705 -65,078 $155,265
     WEC1,890,705-65,078$155,265
ANSYS INC 445,455 -287 $154,644
     ANSS445,455-287$154,644
CHURCH DWIGHT CO INC 1,459,872 -50,641 $152,279
     CHD1,459,872-50,641$152,279
HP INC 5,004,293 -26,689 $151,230
     HPQ5,004,293-26,689$151,230
EDISON INTERNATIONAL 2,100,327 +586,324 $148,556
     EIX2,100,327+586,324$148,556
WILLIS TOWERS WATSON PUB LTD 537,472 -3,321 $147,805
     WTW537,472-3,321$147,805
CORNING INC 4,481,003 -83,270 $147,694
     GLW4,481,003-83,270$147,694
MARATHON PETROLEUM CORP 729,268 -50,449 $146,948
     MPC729,268-50,449$146,948
BROADRIDGE FINANCIAL SOLUTIO 710,211 -22,983 $145,494
     BR710,211-22,983$145,494
ILLINOIS TOOL WORKS 541,073 -23,643 $145,186
     ITW541,073-23,643$145,186
CHIPOTLE MEXICAN GRILL INC 49,911 -693 $145,080
     CMG49,911-693$145,080
NXP SEMICONDUCTORS NV 568,582 +67,057 $140,878
     NXPI568,582+67,057$140,878
AMERICAN WATER WORKS CO INC 1,147,151 -18,634 $140,193
     AWK1,147,151-18,634$140,193
MOLINA HEALTHCARE INC 340,026 +2,732 $139,693
     MOH340,026+2,732$139,693
DTE ENERGY COMPANY 1,229,111 -13,809 $137,833
     DTE1,229,111-13,809$137,833
PHILLIPS 66 842,450 -30,507 $137,606
     PSX842,450-30,507$137,606
HEWLETT PACKARD ENTERPRISE C 7,744,459 -133,031 $137,309
     HPE7,744,459-133,031$137,309
EOG RESOURCES INC 1,073,136 -51,370 $137,190
     EOG1,073,136-51,370$137,190
GARMIN LTD 916,331 -15,968 $136,414
     GRMN916,331-15,968$136,414
SCHLUMBERGER LTD 2,480,423 -98,560 $135,952
     SLB2,480,423-98,560$135,952
ENTERGY CORP 1,255,700 -52,470 $132,702
     ETR1,255,700-52,470$132,702
NETAPP INC 1,255,814 -14,898 $131,823
     NTAP1,255,814-14,898$131,823
GENUINE PARTS CO 840,517 -34,234 $130,221
     GPC840,517-34,234$130,221
PARKER HANNIFIN CORP 233,898 -5,001 $129,998
     PH233,898-5,001$129,998
AUTODESK INC 498,480 +93,415 $129,814
     ADSK498,480+93,415$129,814
CSX CORP 3,488,672 -138,175 $129,325
     CSX3,488,672-138,175$129,325
PAYPAL HLDGS INC 1,928,902 -43,283 $129,217
     PYPL1,928,902-43,283$129,217
WW GRAINGER INC 126,982 -2,161 $129,179
     GWW126,982-2,161$129,179
AFLAC INC 1,502,318 +390,767 $128,989
     AFL1,502,318+390,767$128,989
ARISTA NETWORKS INC 444,378 -17,251 $128,861
     ANET444,378-17,251$128,861
FEDEX CORP 443,451 -1,153 $128,485
     FDX443,451-1,153$128,485
NASDAQ OMX GROUP THE 2,035,470 -69,939 $128,438
     NDAQ2,035,470-69,939$128,438
PTC INC 674,142 -12,060 $127,372
     PTC674,142-12,060$127,372
BROWN BROWN INC 1,440,561 -59,876 $126,107
     BRO1,440,561-59,876$126,107
BAXTER INTERNATIONAL INC 2,949,612 -146,298 $126,066
     BAX2,949,612-146,298$126,066
TRANE TECHNOLOGIES PLC 419,467 -9,726 $125,924
     TT419,467-9,726$125,924
EVERSOURCE ENERGY 2,101,499 -47,410 $125,607
     ES2,101,499-47,410$125,607
US BANCORP 2,809,173 -38,079 $125,570
     USB2,809,173-38,079$125,570
MARKEL CORP 81,532 -2,680 $124,049
     MKL81,532-2,680$124,049
MERCADOLIBRE INC 81,500 -4,490 $123,225
     MELI81,500-4,490$123,225
PINDUODUO INC 1,050,396 -34,027 $122,109
     PDD1,050,396-34,027$122,109
CROWDSTRIKE HLDGS INC 379,704 -10,827 $121,729
     CRWD379,704-10,827$121,729
PACCAR INC 981,663 -24,844 $121,618
     PCAR981,663-24,844$121,618
MODERNA INC 1,129,939 +538,866 $120,406
     MRNA1,129,939+538,866$120,406
HCA HOLDINGS INC 359,237 -15,967 $119,816
     HCA359,237-15,967$119,816
TRANSDIGM GROUP INC 96,962 -1,112 $119,418
     TDG96,962-1,112$119,418
FIRSTENERGY CORP 3,064,833 UNCH $118,364
     FE3,064,833UNCH$118,364
KKR & CO INC 1,176,033 -26,808 $118,285
     KKR1,176,033-26,808$118,285
FREEPORT MCMORAN COPPER 2,512,063 -41,597 $118,117
     FCX2,512,063-41,597$118,117
CBOE HOLDINGS INC 642,061 -28,174 $117,966
     CBOE642,061-28,174$117,966
BOOZ ALLEN HAMILTON HOLDINGS 784,274 -28,652 $116,418
     BAH784,274-28,652$116,418
PNC FINANCIAL SERVICES GROUP 716,696 -13,841 $115,818
     PNC716,696-13,841$115,818
PPL CORPORATION 4,199,086 -70,601 $115,601
     PPL4,199,086-70,601$115,601
AMEREN CORPORATION 1,558,386 -71,255 $115,258
     AEE1,558,386-71,255$115,258
P G E CORP 6,822,555 +1,067,706 $114,346
     PCG6,822,555+1,067,706$114,346
MOODY S CORP 290,474 -5,935 $114,165
     MCO290,474-5,935$114,165
CLOROX COMPANY 733,791 -21,859 $112,351
     CLX733,791-21,859$112,351
VALERO ENERGY CORP 644,122 -13,242 $109,945
     VLO644,122-13,242$109,945
EXPEDITORS INTL WASH INC 903,325 -50,101 $109,817
     EXPD903,325-50,101$109,817
PIONEER NATURAL RESOURCES CO 416,234 -8,296 $109,261
     PXD416,234-8,296$109,261
SBA COMMUNICATIONS CORP 500,365 -5,454 $108,429
     SBAC500,365-5,454$108,429
HOLOGIC INC 1,389,799 -32,518 $108,349
     HOLX1,389,799-32,518$108,349
CINTAS CORP 157,294 -4,330 $108,066
     CTAS157,294-4,330$108,066
MARRIOTT INTERNATIONAL 427,907 -26,412 $107,965
     MAR427,907-26,412$107,965
CAPITAL ONE FINANCIAL CORP 712,324 -11,240 $106,058
     COF712,324-11,240$106,058
CONSTELLATION ENERGY CORP 572,858 -17,367 $105,893
     CEG572,858-17,367$105,893
LEIDOS HLDGS INC 803,766 -10,254 $105,366
     LDOS803,766-10,254$105,366
MARVELL TECHNOLOGY INC 1,482,495 -62,070 $105,079
     MRVL1,482,495-62,070$105,079
GODADDY INC 885,109 -38,013 $105,045
     GDDY885,109-38,013$105,045
WR BERKLEY CORP 1,184,628 +221 $104,768
     WRB1,184,628+221$104,768
ATMOS ENERGY CORP 881,081 -8,143 $104,734
     ATO881,081-8,143$104,734
DOMINO S PIZZA INC 210,308 -10,612 $104,498
     DPZ210,308-10,612$104,498
APOLLO GLOBAL MGMT INC 928,190 -24,215 $104,375
     APO928,190-24,215$104,375
AMERICAN INTERNATIONAL GROUP 1,324,940 -41,950 $103,571
     AIG1,324,940-41,950$103,571
EDWARDS LIFESCIENCES CORP 1,080,317 -33,949 $103,235
     EW1,080,317-33,949$103,235
ECOLAB INC 446,379 -13,517 $103,069
     ECL446,379-13,517$103,069
OMNICOM GROUP 1,062,026 -42,591 $102,762
     OMC1,062,026-42,591$102,762
CENTERPOINT ENERGY INC 3,596,567 -68,268 $102,466
     CNP3,596,567-68,268$102,466
CMS ENERGY CORP 1,698,131 -114,905 $102,465
     CMS1,698,131-114,905$102,465
NORFOLK SOUTHERN CORP 401,359 -11,901 $102,294
     NSC401,359-11,901$102,294
TYLER TECHNOLOGIES INC 240,556 -1,048 $102,239
     TYL240,556-1,048$102,239
KINDER MORGAN INC 5,483,572 +1,844,933 $100,569
     KMI5,483,572+1,844,933$100,569
JOHNSON CTLS INTL PLC 1,531,387 -38,324 $100,030
     JCI1,531,387-38,324$100,030
VERISIGN INC 523,503 -36,125 $99,209
     VRSN523,503-36,125$99,209
AMETEK INC 534,271 -8,413 $97,718
     AME534,271-8,413$97,718
LABORATORY CRP OF AMER HLDGS 445,204 -7,227 $97,259
     LH445,204-7,227$97,259
BIOMARIN PHARMACEUTICAL INC 1,105,016 -44,660 $96,512
     BMRN1,105,016-44,660$96,512
AKAMAI TECHNOLOGIES INC 884,665 -65,941 $96,216
     AKAM884,665-65,941$96,216
GENERAL MOTORS CO 2,112,902 -392,632 $95,820
     GM2,112,902-392,632$95,820
DR HORTON INC 577,420 -23,488 $95,014
     DHI577,420-23,488$95,014
DOW INC 1,629,649 +328,719 $94,406
     DOW1,629,649+328,719$94,406
HILTON WORLDWIDE HLDGS INC 442,552 -19,789 $94,401
     HLT442,552-19,789$94,401
EVEREST RE GROUP LTD 236,864 +71,808 $94,153
     EG236,864+71,808$94,153
TRUIST FINL CORP 2,413,189 -26,865 $94,066
     TFC2,413,189-26,865$94,066
AIR PRODUCTS CHEMICALS INC 387,968 -14,067 $93,993
     APD387,968-14,067$93,993
SIMON PROPERTY GROUP INC 599,846 -19,157 $93,870
     SPG599,846-19,157$93,870
FORD MOTOR CO 7,036,230 -141,927 $93,441
     F7,036,230-141,927$93,441
DEXCOM INC 671,224 -20,458 $93,099
     DXCM671,224-20,458$93,099
KEYSIGHT TECHNOLOGIES INC 592,661 -64,118 $92,680
     KEYS592,661-64,118$92,680
CHECK POINT SOFTWARE TECH 563,866 -21,131 $92,480
     CHKP563,866-21,131$92,480
FACTSET RESEARCH SYSTEMS INC 202,682 -3,392 $92,097
     FDS202,682-3,392$92,097
WELLTOWER INC 981,591 +4,229 $91,720
     WELL981,591+4,229$91,720
QUEST DIAGNOSTICS INC 688,551 -20,914 $91,653
     DGX688,551-20,914$91,653
NUCOR CORP 460,963 -20,254 $91,225
     NUE460,963-20,254$91,225
SUPER MICRO COMPUTER INC 89,964 -471 $90,866
     SMCI89,964-471$90,866
DARDEN RESTAURANTS INC 543,610 -10,111 $90,864
     DRI543,610-10,111$90,864
COPART INC 1,547,519 -65,190 $89,632
     CPRT1,547,519-65,190$89,632
MANHATTAN ASSOCIATES INC 356,728 -4,748 $89,264
     MANH356,728-4,748$89,264
COOPER COS INC 878,322 +656,778 $89,115
     COO878,322+656,778$89,115
UNITED RENTALS INC 123,212 -4,201 $88,849
     URI123,212-4,201$88,849
SNOWFLAKE INC 549,481 -17,649 $88,796
     SNOW549,481-17,649$88,796
ROSS STORES INC 600,444 -25,511 $88,121
     ROST600,444-25,511$88,121
KELLOGG CO 1,529,413 -88,444 $87,620
     K1,529,413-88,444$87,620
SYSCO CORP 1,076,566 +135,385 $87,396
     SYY1,076,566+135,385$87,396
BIOGEN IDEC INC 404,419 +41,210 $87,205
     BIIB404,419+41,210$87,205
MICROCHIP TECHNOLOGY INC 971,875 -53,377 $87,187
     MCHP971,875-53,377$87,187
CARRIER GLOBAL CORPORATION 1,498,463 -35,126 $87,106
     CARR1,498,463-35,126$87,106
AGILENT TECHNOLOGIES INC 597,553 -21,776 $86,950
     A597,553-21,776$86,950
WILLIAMS COS INC 2,225,504 +13,973 $86,728
     WMB2,225,504+13,973$86,728
HARTFORD FINANCIAL SVCS GRP 832,261 +258,738 $85,764
     HIG832,261+258,738$85,764
IQVIA HLDGS INC 334,079 -11,876 $84,485
     IQV334,079-11,876$84,485
METLIFE INC 1,130,887 -54,599 $83,810
     MET1,130,887-54,599$83,810
CONAGRA FOODS INC 2,815,414 -153,665 $83,449
     CAG2,815,414-153,665$83,449
SS C TECHNOLOGIES HOLDINGS 1,293,170 -11,006 $83,241
     SSNC1,293,170-11,006$83,241
BANK OF NEW YORK MELLON CORP 1,427,051 -57,428 $82,227
     BK1,427,051-57,428$82,227
AMERIPRISE FINANCIAL INC 186,696 -8,586 $81,855
     AMP186,696-8,586$81,855
ONEOK INC 1,019,737 +14,833 $81,752
     OKE1,019,737+14,833$81,752
FIDELITY NATIONAL INFORMATIO 1,099,305 -929,084 $81,546
     FIS1,099,305-929,084$81,546
COINBASE GLOBAL INC 303,620 -1,376 $80,496
     COIN303,620-1,376$80,496
LENNAR CORP A 467,928 -17,483 $80,474
     LEN467,928-17,483$80,474
IDEXX LABORATORIES INC 148,862 -4,537 $80,375
     IDXX148,862-4,537$80,375
OLD DOMINION FREIGHT LINE 365,846 +177,919 $80,234
     ODFL365,846+177,919$80,234
MONSTER BEVERAGE CORP 1,352,379 -67,732 $80,169
     MNST1,352,379-67,732$80,169
NEUROCRINE BIOSCIENCES INC 580,617 -6,333 $80,079
     NBIX580,617-6,333$80,079
JACK HENRY ASSOCIATES INC 456,305 -9,196 $79,274
     JKHY456,305-9,196$79,274
PALANTIR TECHNOLOGIES INC 3,429,864 -58,591 $78,921
     PLTR3,429,864-58,591$78,921
FORTINET INC 1,150,150 -86,971 $78,567
     FTNT1,150,150-86,971$78,567
GE HEALTHCARE TECHNOLOGIES I 857,740 +12,043 $77,977
     GEHC857,740+12,043$77,977
DIGITAL REALTY TRUST INC 538,996 -12,346 $77,637
     DLR538,996-12,346$77,637
OCCIDENTAL PETROLEUM CORP 1,193,983 -47,851 $77,597
     OXY1,193,983-47,851$77,597
LOEWS CORP 989,682 +640,882 $77,482
     L989,682+640,882$77,482
TRACTOR SUPPLY COMPANY 295,305 -7,467 $77,287
     TSCO295,305-7,467$77,287
LULULEMON ATHLETICA INC 196,757 -3,835 $76,863
     LULU196,757-3,835$76,863
NORTONLIFELOCK INC 3,413,148 -69,548 $76,455
     GEN3,413,148-69,548$76,455
HESS CORP 498,103 -10,319 $76,030
     HES498,103-10,319$76,030
JM SMUCKER CO THE 603,604 -28,604 $75,976
     SJM603,604-28,604$75,976
MSCI INC 135,319 -6,110 $75,840
     MSCI135,319-6,110$75,840
DOORDASH INC 550,413 -1,860 $75,803
     DASH550,413-1,860$75,803
VICI PPTYS INC 2,540,671 -47,180 $75,687
     VICI2,540,671-47,180$75,687
ALLIANT ENERGY CORP 1,498,102 -84,821 $75,504
     LNT1,498,102-84,821$75,504
PRUDENTIAL FINANCIAL INC 640,603 -15,693 $75,207
     PRU640,603-15,693$75,207
TRADEWEB MKTS INC 713,923 -14,077 $74,369
     TW713,923-14,077$74,369
CORTEVA INC 1,276,993 -46,322 $73,644
     CTVA1,276,993-46,322$73,644
CUMMINS INC 248,342 -19,593 $73,174
     CMI248,342-19,593$73,174
OTIS WORLDWIDE CORP 736,402 -17,061 $73,103
     OTIS736,402-17,061$73,103
NEWMONT MINING CORP 2,035,222 -3,327,616 $72,942
     NEM2,035,222-3,327,616$72,942
CHENIERE ENERGY INC 446,228 -13,483 $71,968
     LNG446,228-13,483$71,968
F5 NETWORKS INC 374,857 -12,741 $71,069
     FFIV374,857-12,741$71,069
SEAGATE TECHNOLOGY HLDNGS 762,890 +370,189 $70,987
     STX762,890+370,189$70,987
NISOURCE INC 2,560,210 -22,352 $70,815
     NI2,560,210-22,352$70,815
CINCINNATI FINANCIAL CORP 568,175 +8,500 $70,550
     CINF568,175+8,500$70,550
EVERGY INC 1,320,785 -85,578 $70,504
     EVRG1,320,785-85,578$70,504
INGERSOLL RAND INC 733,205 -21,212 $69,618
     IR733,205-21,212$69,618
FLEXTRONICS INTL LTD 2,412,231 -11,173 $69,014
     FLEX2,412,231-11,173$69,014
CASEY S GENERAL STORES INC 215,555 -2,161 $68,643
     CASY215,555-2,161$68,643
COSTAR GROUP INC 709,750 -18,536 $68,562
     CSGP709,750-18,536$68,562
MARTIN MARIETTA MATERIALS 111,594 -2,326 $68,512
     MLM111,594-2,326$68,512
ROLLINS INC 1,478,464 -17,330 $68,409
     ROL1,478,464-17,330$68,409
JUNIPER NETWORKS INC 1,845,134 -168,628 $68,381
     JNPR1,845,134-168,628$68,381
QUANTA SERVICES INC 259,280 -9,443 $67,361
     PWR259,280-9,443$67,361
THE TRADE DESK INC 766,507 -20,178 $67,008
     TTD766,507-20,178$67,008
SPOTIFY TECHNOLOGY S A 253,591 -7,829 $66,923
     SPOT253,591-7,829$66,923
IDEX CORP 270,258 +1,235 $65,948
     IEX270,258+1,235$65,948
AVALONBAY COMMUNITIES INC 353,425 +2,546 $65,582
     AVB353,425+2,546$65,582
ASSURANT INC 346,872 -3,809 $65,295
     AIZ346,872-3,809$65,295
WP CAREY INC 1,153,360 -10,930 $65,096
     WPC1,153,360-10,930$65,096
ROYALTY PHARMA PLC 2,134,904 -1,995 $64,837
     RPRX2,134,904-1,995$64,837
VULCAN MATERIALS CO 237,273 -6,725 $64,757
     VMC237,273-6,725$64,757
HUNTINGTON INGALLS INDUSTRIE 221,895 -1,578 $64,676
     HII221,895-1,578$64,676
SQUARE INC 758,520 -203,847 $64,156
     SQ758,520-203,847$64,156
MOLSON COORS BREWING CO B 950,744 +495,167 $63,938
     TAP950,744+495,167$63,938
ESTEE LAUDER COMPANIES 413,658 +63,816 $63,765
     EL413,658+63,816$63,765
INCYTE CORP 1,109,249 -60,746 $63,194
     INCY1,109,249-60,746$63,194
HENRY SCHEIN INC 832,849 -16,458 $62,897
     HSIC832,849-16,458$62,897
LAMB WESTON HLDGS INC 588,876 -68,420 $62,733
     LW588,876-68,420$62,733
DIAMONDBACK ENERGY INC 315,614 -11,652 $62,545
     FANG315,614-11,652$62,545
HALLIBURTON CO 1,584,678 -47,077 $62,468
     HAL1,584,678-47,077$62,468
DISCOVER FINANCIAL SERVICES 474,133 -6,233 $62,154
     DFS474,133-6,233$62,154
AMDOCS LTD 686,331 -19,278 $62,024
     DOX686,331-19,278$62,024
GLOBAL PAYMENTS INC 461,936 -12,354 $61,742
     GPN461,936-12,354$61,742
HORMEL FOODS CORP 1,763,234 -12,546 $61,519
     HRL1,763,234-12,546$61,519
BJS WHSL CLUB HLDGS INC 806,228 -10,365 $60,991
     BJ806,228-10,365$60,991
ARCHER DANIELS MIDLAND CO 966,720 -25,948 $60,720
     ADM966,720-25,948$60,720
ROCKWELL AUTOMATION INC 208,218 -4,901 $60,660
     ROK208,218-4,901$60,660
DATADOG INC 487,685 -573 $60,278
     DDOG487,685-573$60,278
DUPONT DE NEMOURS INC 784,877 -67,670 $60,177
     DD784,877-67,670$60,177
PPG INDUSTRIES INC 412,053 -13,049 $59,706
     PPG412,053-13,049$59,706
UNITED THERAPEUTICS CORP 256,736 -223 $58,977
     UTHR256,736-223$58,977
ROYAL CARIBBEAN CRUISES LTD 422,837 -18,187 $58,779
     RCL422,837-18,187$58,779
EQUITY RESIDENTIAL 928,239 -22,259 $58,581
     EQR928,239-22,259$58,581
VEEVA SYS INC 252,449 -6,464 $58,490
     VEEV252,449-6,464$58,490
BAKER HUGHES 1,739,595 -111,707 $58,276
     BKR1,739,595-111,707$58,276
TEXAS ROADHOUSE INC 375,132 +3,871 $57,947
     TXRH375,132+3,871$57,947
FAIR ISAAC CORP 46,333 -754 $57,898
     FICO46,333-754$57,898
BENTLEY SYS INC 1,098,638 -4,196 $57,371
     BSY1,098,638-4,196$57,371
EXTRA SPACE STORAGE INC 389,756 -106,753 $57,294
     EXR389,756-106,753$57,294
EQUIFAX INC 211,955 -6,481 $56,702
     EFX211,955-6,481$56,702
DEVON ENERGY CORPORATION 1,127,566 -30,585 $56,581
     DVN1,127,566-30,585$56,581
EQUITY LIFESTYLE PROPERTIES 874,304 +219,485 $56,305
     ELS874,304+219,485$56,305
DELTA AIR LINES INC 1,162,026 +4,401 $55,626
     DAL1,162,026+4,401$55,626
GLOBE LIFE INC 475,481 -9,501 $55,332
     GL475,481-9,501$55,332
FORTIVE CORP 641,515 -14,090 $55,183
     FTV641,515-14,090$55,183
RENAISSANCERE HOLDINGS LTD 234,228 -9,934 $55,051
     RNR234,228-9,934$55,051
MONOLITHIC POWER SYSTEMS INC 81,130 -1,647 $54,959
     MPWR81,130-1,647$54,959
KNIGHT SWIFT TRANSN HLDGS 988,887 -20,599 $54,409
     KNX988,887-20,599$54,409
ESSEX PROPERTY TRUST INC 221,971 +863 $54,341
     ESS221,971+863$54,341
CHARTER COMMUNICATIONS INC 186,386 -8,617 $54,169
     CHTR186,386-8,617$54,169
C.H. ROBINSON WORLDWIDE INC 711,413 -29,931 $54,167
     CHRW711,413-29,931$54,167
CHEMED CORP 84,157 -1,720 $54,023
     CHE84,157-1,720$54,023
KBR INC 844,610 +10,250 $53,768
     KBR844,610+10,250$53,768
WEST PHARMACEUTICAL SERVICES 135,770 -5,141 $53,726
     WST135,770-5,141$53,726
ALBERTSONS COS INC 2,486,188 +1,043 $53,304
     ACI2,486,188+1,043$53,304
BCE INC      $52,792
     PUT1,552,047+1,552,047$52,792
ATLASSIAN CORPORATION 268,957 -4,626 $52,476
     TEAM268,957-4,626$52,476
EBAY INC 994,141 -39,309 $52,471
     EBAY994,141-39,309$52,471
HUBSPOT INC 83,234 +96 $52,151
     HUBS83,234+96$52,151
CBRE GROUP INC A 534,213 -22,191 $51,947
     CBRE534,213-22,191$51,947
METTLER TOLEDO INTERNATIONAL 38,830 -1,684 $51,694
     MTD38,830-1,684$51,694
PULTEGROUP INC 426,973 -10,859 $51,501
     PHM426,973-10,859$51,501
RESMED INC 257,720 -4,237 $51,036
     RMD257,720-4,237$51,036
VERTIV HOLDINGS CO 622,763 -9,195 $50,861
     VRT622,763-9,195$50,861
ICON PLC 150,911 -4,662 $50,699
     ICLR150,911-4,662$50,699
NU HLDGS LTD 4,248,945 -107,457 $50,690
     NU4,248,945-107,457$50,690
CAMPBELL SOUP CO 1,137,049 -88,050 $50,542
     CPB1,137,049-88,050$50,542
REINSURANCE GROUP OF AMERICA 260,926 +41,774 $50,327
     RGA260,926+41,774$50,327
LYONDELLBASELL INDU 490,399 -18,787 $50,158
     LYB490,399-18,787$50,158
CLOUDFLARE INC 517,145 -7,602 $50,075
     NET517,145-7,602$50,075
ZIMMER HOLDINGS INC 378,597 -11,321 $49,967
     ZBH378,597-11,321$49,967
PINNACLE WEST CAPITAL 665,960 +16,224 $49,767
     PNW665,960+16,224$49,767
WEYERHAEUSER CO 1,379,141 -45,904 $49,525
     WY1,379,141-45,904$49,525
T ROWE PRICE GROUP INC 402,923 -1,579 $49,124
     TROW402,923-1,579$49,124
MURPHY USA INC 117,096 UNCH $49,087
     MUSA117,096UNCH$49,087
NVR INC 6,030 -52 $48,843
     NVR6,030-52$48,843
WABTEC CORP 333,694 -8,529 $48,613
     WAB333,694-8,529$48,613
VISTRA ENERGY CORP 697,435 -24,643 $48,576
     VST697,435-24,643$48,576
HOWMET AEROSPACE INC 709,587 -12,792 $48,557
     HWM709,587-12,792$48,557
CACI INTERNATIONAL INC 128,119 -684 $48,535
     CACI128,119-684$48,535
BUILDERS FIRSTSOURCE INC 231,978 -14,056 $48,379
     BLDR231,978-14,056$48,379
NATIONAL RETAIL PROPERTIES 1,127,975 +35,924 $48,210
     NNN1,127,975+35,924$48,210
ULTA SALON COSMETICS FRAGR 91,383 -2,464 $47,782
     ULTA91,383-2,464$47,782
DOLLAR GENERAL CORP 305,286 -13,034 $47,643
     DG305,286-13,034$47,643
DOLLAR TREE INC 356,982 -88,159 $47,532
     DLTR356,982-88,159$47,532
ESSENTIAL UTILS INC 1,252,960 +823,254 $46,422
     WTRG1,252,960+823,254$46,422
DECKERS OUTDOOR CORP 49,242 -1,674 $46,350
     DECK49,242-1,674$46,350
EXELIXIS INC 1,935,822 -38,469 $45,937
     EXEL1,935,822-38,469$45,937
FIFTH THIRD BANCORP 1,232,405 -22,991 $45,858
     FITB1,232,405-22,991$45,858
M T BANK CORP 314,384 +23 $45,724
     MTB314,384+23$45,724
GAMING & LEISURE PPTYS INC 980,164 +55,776 $45,156
     GLPI980,164+55,776$45,156
DOVER CORP 253,968 -4,755 $45,001
     DOV253,968-4,755$45,001
TARGA RESOURCES CORP 399,652 -10,029 $44,757
     TRGP399,652-10,029$44,757
ALIGN TECHNOLOGY INC 135,959 -3,304 $44,584
     ALGN135,959-3,304$44,584
RAYMOND JAMES FINANCIAL INC 342,110 -12,148 $43,934
     RJF342,110-12,148$43,934
ENCOMPASS HEALTH CORP 530,873 +15,156 $43,839
     EHC530,873+15,156$43,839
ARROW ELECTRONICS INC 338,111 -10,940 $43,772
     ARW338,111-10,940$43,772
STATE STREET CORP 565,727 -28,374 $43,742
     STT565,727-28,374$43,742
ON SEMICONDUCTOR CORPORATION 591,057 -194,707 $43,472
     ON591,057-194,707$43,472
OLD REPUBLIC INTL CORP 1,412,551 +31,934 $43,394
     ORI1,412,551+31,934$43,394
IRON MTN INC 540,387 -14,454 $43,344
     IRM540,387-14,454$43,344
OMEGA HEALTHCARE INVESTORS 1,365,079 +88,803 $43,232
     OHI1,365,079+88,803$43,232
MONGODB INC 120,180 -1,210 $43,101
     MDB120,180-1,210$43,101
XYLEM INC 329,453 -95,827 $42,579
     XYL329,453-95,827$42,579
QORVO INC 365,364 +176,082 $41,955
     QRVO365,364+176,082$41,955
STEEL DYNAMICS INC 279,423 -28,698 $41,419
     STLD279,423-28,698$41,419
HUBBELL INC 99,617 -2,102 $41,346
     HUBB99,617-2,102$41,346
MICROSTRATEGY INC 23,821 +1,039 $40,604
     MSTR23,821+1,039$40,604
CORPAY INC 130,575 +130,575 $40,288
     CPAY130,575+130,575$40,288
SCIENCE APPLICATNS INTL CP N 308,817 -9,414 $40,267
     SAIC308,817-9,414$40,267
ARES MANAGEMENT CORPORATION 302,291 +1,564 $40,199
     ARES302,291+1,564$40,199
BWX TECHNOLOGIES INC 388,484 +1,446 $39,866
     BWXT388,484+1,446$39,866
STERIS PLC 176,093 -4,841 $39,589
     STE176,093-4,841$39,589
ROYAL GOLD INC 324,462 +77,350 $39,523
     RGLD324,462+77,350$39,523
WESTERN DIGITAL CORP 575,425 +98,478 $39,267
     WDC575,425+98,478$39,267
ALEXANDRIA REAL ESTATE EQUIT 303,826 -467,766 $39,166
     ARE303,826-467,766$39,166
OGE ENERGY CORP 1,133,271 +38,202 $38,871
     OGE1,133,271+38,202$38,871
SPROUTS FMRS MKT INC 597,952 +26,073 $38,556
     SFM597,952+26,073$38,556
RELIANCE STEEL ALUMINUM 114,475 -8,579 $38,255
     RS114,475-8,579$38,255
INVITATION HOMES INC 1,073,823 -26,993 $38,239
     INVH1,073,823-26,993$38,239
WILLIAMS SONOMA INC 119,922 +741 $38,079
     WSM119,922+741$38,079
CABOT OIL GAS CORP 1,346,574 -29,005 $37,542
     CTRA1,346,574-29,005$37,542
APTIV PLC 470,203 -11,388 $37,452
     APTV470,203-11,388$37,452
JAZZ PHARMACEUTICALS PLC 310,125 +31,831 $37,345
     JAZZ310,125+31,831$37,345
PRINCIPAL FINANCIAL GROUP 432,684 -20,155 $37,345
     PFG432,684-20,155$37,345
HUNTINGTON BANCSHARES INC (HBAN) 2,665,374 -57,353 $37,182
     HBAN2,665,374-57,353$37,182
REGIONS FINANCIAL CORP 1,765,103 -29,502 $37,138
     RF1,765,103-29,502$37,138
LPL FINANCIAL HOLDINGS INC 140,118 -4,719 $37,019
     LPLA140,118-4,719$37,019
ENTEGRIS INC 259,551 +2,404 $36,477
     ENTG259,551+2,404$36,477
TELEDYNE TECHNOLOGIES INC 83,853 -1,535 $36,000
     TDY83,853-1,535$36,000
BALL CORP 530,978 +90,253 $35,767
     BALL530,978+90,253$35,767
WESTERN UNION CO 2,544,018 -69,265 $35,565
     WU2,544,018-69,265$35,565
CARLISLE COS INC 90,564 -4,210 $35,488
     CSL90,564-4,210$35,488
PINTEREST INC 1,022,282 -26,345 $35,443
     PINS1,022,282-26,345$35,443
JACOBS SOLUTIONS INC COM ADDED 228,815 -5,640 $35,176
     J228,815-5,640$35,176
TAKE TWO INTERACTIVE SOFTWRE 236,612 -67,682 $35,135
     TTWO236,612-67,682$35,135
SELECTIVE INSURANCE GROUP 320,587 -3,411 $34,998
     SIGI320,587-3,411$34,998
FIRST CITIZENS BCSHS 21,399 +140 $34,987
     FCNCA21,399+140$34,987
TEXTRON INC 363,860 -5,762 $34,905
     TXT363,860-5,762$34,905
EXPEDIA INC 249,205 -13,387 $34,328
     EXPE249,205-13,387$34,328
ENSIGN GROUP INC THE 274,053 -4,849 $34,098
     ENSG274,053-4,849$34,098
DRAFTKINGS INC 750,352 -16,176 $34,073
     DKNG750,352-16,176$34,073
JABIL CIRCUIT INC 252,231 -532,438 $33,786
     JBL252,231-532,438$33,786
EMCOR GROUP INC 96,465 -5,799 $33,782
     EME96,465-5,799$33,782
VERALTO CORP 380,683 -8,979 $33,751
     VLTO380,683-8,979$33,751
CAMDEN PROPERTY TRUST 339,876 +5,328 $33,444
     CPT339,876+5,328$33,444
QUALYS INC 200,401 +7,345 $33,441
     QLYS200,401+7,345$33,441
WARNER BROS DISCOVERY INC 3,819,696 -66,349 $33,346
     WBD3,819,696-66,349$33,346
LAS VEGAS SANDS CORP 642,035 +120 $33,193
     LVS642,035+120$33,193
AVERY DENNISON CORP 148,458 -538 $33,143
     AVY148,458-538$33,143
MASCO CORP 415,565 -4,233 $32,780
     MAS415,565-4,233$32,780
SKYWORKS SOLUTIONS INC 300,510 -8,518 $32,551
     SWKS300,510-8,518$32,551
NORTHERN TRUST CORP 365,940 -13,973 $32,539
     NTRS365,940-13,973$32,539
ALNYLAM PHARMACEUTICALS INC 214,330 +35,000 $32,032
     ALNY214,330+35,000$32,032
PACKAGING CORP OF AMERICA 167,521 -4,898 $31,792
     PKG167,521-4,898$31,792
VENTAS INC 728,271 -20,820 $31,709
     VTR728,271-20,820$31,709
AXON ENTERPRISE INC 101,195 -3,443 $31,662
     AXON101,195-3,443$31,662
RLI CORP 212,895 +835 $31,609
     RLI212,895+835$31,609
POST HOLDINGS INC 295,964 +8,790 $31,455
     POST295,964+8,790$31,455
SYNCHRONY FINL 727,960 -22,358 $31,390
     SYF727,960-22,358$31,390
CURTISS WRIGHT CORP 122,440 -216 $31,337
     CW122,440-216$31,337
AERCAP HOLDINGS NV 360,442 +1,753 $31,326
     AER360,442+1,753$31,326
AVANTOR INC 1,217,883 +192,663 $31,141
     AVTR1,217,883+192,663$31,141
AGREE REALTY CORP 541,765 +15,084 $30,946
     ADC541,765+15,084$30,946
SOUTHWEST AIRLINES CO 1,055,596 -25,560 $30,813
     LUV1,055,596-25,560$30,813
TERADYNE INC 272,721 -10,676 $30,771
     TER272,721-10,676$30,771
OWENS CORNING 183,950 -3,196 $30,683
     OC183,950-3,196$30,683
HEALTHCARE RLTY TR 2,157,926 +57,537 $30,535
     HR2,157,926+57,537$30,535
INTL FLAVORS FRAGRANCES 353,858 -12,849 $30,428
     IFF353,858-12,849$30,428
LENNOX INTERNATIONAL INC 62,173 +455 $30,388
     LII62,173+455$30,388
SYNNEX CORP 268,188 +8,784 $30,332
     SNX268,188+8,784$30,332
ZSCALER INC 157,107 -3,902 $30,264
     ZS157,107-3,902$30,264
CELANESE CORP SERIES A 176,091 -1,470 $30,263
     CE176,091-1,470$30,263
CITIZENS FINL GROUP INC 831,042 -37,412 $30,159
     CFG831,042-37,412$30,159
TYSON FOODS INC 512,066 -10,822 $30,074
     TSN512,066-10,822$30,074
MARATHON OIL CORP 1,059,758 -62,532 $30,034
     MRO1,059,758-62,532$30,034
ILLUMINA INC 218,295 -6,878 $29,976
     ILMN218,295-6,878$29,976
BEST BUY CO INC 365,279 -14,975 $29,964
     BBY365,279-14,975$29,964
SNAP ON INC 100,569 -7,046 $29,791
     SNA100,569-7,046$29,791
MIDDLEBY CORP 185,123 +1,120 $29,766
     MIDD185,123+1,120$29,766
HEICO CORP      $29,637
     HEI.A134,304-20,989$20,675
     HEI46,921-27,204$8,962
WATERS CORP 85,823 -1,774 $29,543
     WAT85,823-1,774$29,543
LIVE NATION ENTERTAINMENT IN 277,150 -11,342 $29,314
     LYV277,150-11,342$29,314
H R BLOCK INC 594,730 +43,574 $29,207
     HRB594,730+43,574$29,207
CF INDUSTRIES HOLDINGS INC 350,751 -17,376 $29,186
     CF350,751-17,376$29,186
ZOOM VIDEO COMMUNICATIONS IN 446,155 -2,285 $29,165
     ZM446,155-2,285$29,165
DOLBY LABORATORIES INC 348,147 -8,869 $29,164
     DLB348,147-8,869$29,164
CARNIVAL CORP 1,782,298 -33,151 $29,123
     CCL1,782,298-33,151$29,123
ACADIA HEALTHCARE CO INC 367,216 +7,409 $29,091
     ACHC367,216+7,409$29,091
SAIA INC 49,409 -793 $28,904
     SAIA49,409-793$28,904
HUNT JB TRANSPRT SVCS INC 144,662 -4,502 $28,824
     JBHT144,662-4,502$28,824
NORDSON CORP 104,934 -4,581 $28,809
     NDSN104,934-4,581$28,809
NRG ENERGY INC 422,335 -16,195 $28,588
     NRG422,335-16,195$28,588
TRIMBLE NAVIGATION LTD 443,611 -14,479 $28,551
     TRMB443,611-14,479$28,551
HOST HOTELS RESORTS INC 1,377,746 -1,281,259 $28,492
     HST1,377,746-1,281,259$28,492
INSIGHT ENTERPRISES INC 152,775 +3,930 $28,343
     NSIT152,775+3,930$28,343
MID AMERICA APARTMENT COMM 214,215 +1,091 $28,186
     MAA214,215+1,091$28,186
POOL CORP 69,343 -2,080 $27,980
     POOL69,343-2,080$27,980
VIATRIS INC 2,340,478 -34,957 $27,945
     VTRS2,340,478-34,957$27,945
SUN COMMUNITIES INC 217,071 -5,453 $27,911
     SUI217,071-5,453$27,911
GRACO INC 297,577 -7,045 $27,812
     GGG297,577-7,045$27,812
OKTA INC 264,437 -4,167 $27,665
     OKTA264,437-4,167$27,665
STANLEY BLACK DECKER INC 282,285 +1,148 $27,644
     SWK282,285+1,148$27,644
TOLL BROTHERS INC 213,307 -6,485 $27,596
     TOL213,307-6,485$27,596
RPM INTERNATIONAL INC 231,477 -3,244 $27,534
     RPM231,477-3,244$27,534
LINCOLN ELECTRIC HOLDINGS 107,741 -1,762 $27,521
     LECO107,741-1,762$27,521
WALGREENS BOOTS ALLIANCE INC 1,258,439 -23,587 $27,296
     WBA1,258,439-23,587$27,296
LIBERTY GLOBAL LTD 1,543,846 -149,208 $27,233
     LBTYK1,543,846-149,208$27,233
FLOWERS FOODS INC 1,145,313 -15,442 $27,201
     FLO1,145,313-15,442$27,201
BUNGE GLOBAL SA 265,046 -10,588 $27,173
     BG265,046-10,588$27,173
WATSCO INC 62,892 -488 $27,167
     WSO62,892-488$27,167
NUTANIX INC 438,527 +21,615 $27,066
     NTNX438,527+21,615$27,066
APPLOVIN CORP COM 390,299 -16,001 $27,016
     APP390,299-16,001$27,016
TOPBUILD CORP 61,174 -1,587 $26,961
     BLD61,174-1,587$26,961
UNITED CONTINENTAL HOLDINGS 561,873 -24,608 $26,902
     UAL561,873-24,608$26,902
PENTAIR PLC 313,810 -8,449 $26,812
     PNR313,810-8,449$26,812
COCA COLA EUROPEAN PARTNERS 381,726 -18,602 $26,702
     CCEP381,726-18,602$26,702
EPAM SYSTEMS INC 96,547 -2,307 $26,662
     EPAM96,547-2,307$26,662
COUPANG INC 1,496,391 -64,363 $26,621
     CPNG1,496,391-64,363$26,621
ALBEMARLE CORP 201,698 +34,240 $26,572
     ALB201,698+34,240$26,572
PURE STORAGE INC 507,360 +6,632 $26,378
     PSTG507,360+6,632$26,378
SOUTHWEST GAS CORP 344,406 -3,341 $26,220
     SWX344,406-3,341$26,220
FIDELITY NATIONAL FINANCIAL FNF GROUP 492,173 -11,120 $26,134
     FNF492,173-11,120$26,134
LKQ CORP 487,039 -2,270 $26,013
     LKQ487,039-2,270$26,013
BURLINGTON STORES INC 111,032 -3,795 $25,781
     BURL111,032-3,795$25,781
CHARLES RIVER LABORATORIES 95,128 -883 $25,775
     CRL95,128-883$25,775
INTERNATIONAL PAPER CO 659,197 -11,433 $25,722
     IP659,197-11,433$25,722
XPO LOGISTICS INC 210,347 -2,896 $25,669
     XPO210,347-2,896$25,669
AMERICAN FINANCIAL GROUP INC 187,201 +7,029 $25,549
     AFG187,201+7,029$25,549
KEYCORP 1,598,223 -85,101 $25,268
     KEY1,598,223-85,101$25,268
WHITE MOUNTAINS INSURANCE GP 14,078 UNCH $25,260
     WTM14,078UNCH$25,260
AVNET INC 503,969 -5,744 $24,987
     AVT503,969-5,744$24,987
BOX INC 881,308 -12,933 $24,959
     BOX881,308-12,933$24,959
FIRST SOLAR INC 146,394 -5,900 $24,711
     FSLR146,394-5,900$24,711
ROBLOX CORP 645,543 -33,509 $24,647
     RBLX645,543-33,509$24,647
WESTROCK CO 497,912 +1,105 $24,622
     WRK497,912+1,105$24,622
PERKINELMER INC 233,083 -2,416 $24,474
     RVTY233,083-2,416$24,474
HEALTHPEAK PPTYS INC 1,302,864 +261,094 $24,429
     PEAK1,302,864+261,094$24,429
NVENT ELECTRIC PLC 322,771 -4,208 $24,337
     NVT322,771-4,208$24,337
AECOM TECHNOLOGY CORP 247,850 -1,887 $24,309
     ACM247,850-1,887$24,309
DICK S SPORTING GOODS INC 107,204 -10,177 $24,106
     DKS107,204-10,177$24,106
EQUITABLE HLDGS INC 628,884 -35,226 $23,904
     EQH628,884-35,226$23,904
EQT CORP 641,196 -24,929 $23,769
     EQT641,196-24,929$23,769
PERRIGO CO PLC 734,283 +41,367 $23,637
     PRGO734,283+41,367$23,637
OVINTIV INC 453,818 -16,344 $23,553
     OVV453,818-16,344$23,553
GRAND CANYON EDUCATION INC 172,874 -1,954 $23,547
     LOPE172,874-1,954$23,547
IDACORP INC 253,448 -8,170 $23,543
     IDA253,448-8,170$23,543
KINSALE CAP GROUP INC 44,129 -394 $23,156
     KNSL44,129-394$23,156
RYAN SPECIALTY HOLDINGS INC 415,267 +278,614 $23,047
     RYAN415,267+278,614$23,047
KIMCO REALTY CORP 1,174,460 +14,443 $23,031
     KIM1,174,460+14,443$23,031
INTERPUBLIC GROUP OF COS INC 703,644 -47,001 $22,960
     IPG703,644-47,001$22,960
US FOODS HLDG CORP 424,623 -1,995 $22,917
     USFD424,623-1,995$22,917
INTERACTIVE BROKERS GRO 202,845 +585 $22,660
     IBKR202,845+585$22,660
WENDY S CO THE 1,197,597 +101,434 $22,563
     WEN1,197,597+101,434$22,563
LIBERTY MEDIA CORP 342,585 -15,388 $22,474
     FWONK342,585-15,388$22,474
UDR INC 596,163 +662 $22,302
     UDR596,163+662$22,302
MGM RESORTS INTERNATIONAL 470,068 -28,589 $22,192
     MGM470,068-28,589$22,192
ENPHASE ENERGY INC 183,309 -52,176 $22,177
     ENPH183,309-52,176$22,177
ROBINHOOD MKTS INC 1,096,821 +157,019 $22,079
     HOOD1,096,821+157,019$22,079
AMERICAN HOMES 4 RENT 598,712 +4,740 $22,021
     AMH598,712+4,740$22,021
CASELLA WASTE SYS INC 221,463 -18,130 $21,896
     CWST221,463-18,130$21,896
LANCASTER COLONY CORP 105,143 -2,898 $21,831
     LANC105,143-2,898$21,831
EASTMAN CHEMICAL CO 217,658 -6,156 $21,814
     EMN217,658-6,156$21,814
ADVANCED DRAIN SYS INC 126,262 -1,066 $21,747
     WMS126,262-1,066$21,747
CELSIUS HLDGS INC 261,897 -4,756 $21,716
     CELH261,897-4,756$21,716
ZEBRA TECHNOLOGIES CORP 71,815 -20,685 $21,648
     ZBRA71,815-20,685$21,648
AES CORP 1,206,939 -47,288 $21,640
     AES1,206,939-47,288$21,640
ITT INC 157,986 -310 $21,491
     ITT157,986-310$21,491
ALLEGION PUB LTD CO 158,828 -4,961 $21,396
     ALLE158,828-4,961$21,396
GENPACT LTD 648,609 +33,807 $21,372
     G648,609+33,807$21,372
PERFORMANCE FOOD GROUP CO 284,867 +834 $21,262
     PFGC284,867+834$21,262
CREDICORP LTD 125,014 -1,820 $21,181
     BAP125,014-1,820$21,181
EXACT SCIENCES CORP 306,213 -25,442 $21,147
     EXAS306,213-25,442$21,147
TEXAS PACIFIC LAND CORPORATI 36,420 +24,294 $21,069
     TPL36,420+24,294$21,069
EAST WEST BANCORP INC 265,968 -680 $21,041
     EWBC265,968-680$21,041
TRANSUNION 263,563 -75,949 $21,032
     TRU263,563-75,949$21,032
REGAL BELOIT CORP 116,590 -5,477 $20,998
     RRX116,590-5,477$20,998
BLACKBAUD INC 282,827 -2,818 $20,969
     BLKB282,827-2,818$20,969
COMFORT SYS USA INC 65,991 +1,340 $20,966
     FIX65,991+1,340$20,966
PORTLAND GENERAL ELECTRIC CO 499,016 -4,927 $20,959
     POR499,016-4,927$20,959
DOCUSIGN INC 349,658 -4,077 $20,822
     DOCU349,658-4,077$20,822
NEW JERSEY RESOURCES CORP 484,988 -4,791 $20,811
     NJR484,988-4,791$20,811
TORO CO 227,010 -32,524 $20,801
     TTC227,010-32,524$20,801
PRIMERICA INC 82,196 -3,637 $20,792
     PRI82,196-3,637$20,792
TECHNIPFMC PLC 824,365 -26,611 $20,700
     FTI824,365-26,611$20,700
LAMAR ADVERTISING CO 172,858 -1,033 $20,641
     LAMR172,858-1,033$20,641
SMITH A.O. CORP 230,434 -726 $20,615
     AOS230,434-726$20,615
UNUM GROUP 383,264 -16,151 $20,566
     UNM383,264-16,151$20,566
WINGSTOP INC 56,046 -945 $20,535
     WING56,046-945$20,535
CLEAN HARBORS INC 101,459 -1,587 $20,425
     CLH101,459-1,587$20,425
DYNATRACE INC 439,693 +8,624 $20,419
     DT439,693+8,624$20,419
HAEMONETICS CORP MASS 238,101 +8,384 $20,322
     HAE238,101+8,384$20,322
PNM RESOURCES INC 539,001 -693 $20,288
     PNM539,001-693$20,288
TENET HEALTHCARE CORP 190,796 -4,932 $20,055
     THC190,796-4,932$20,055
TAPESTRY INC 420,763 -7,678 $19,978
     TPR420,763-7,678$19,978
BATH & BODY WORKS INC 399,289 -17,354 $19,972
     BBWI399,289-17,354$19,972
E L F BEAUTY INC 101,757 -1,798 $19,947
     ELF101,757-1,798$19,947
REGENCY CENTERS CORP 328,704 -6,736 $19,906
     REG328,704-6,736$19,906
UNIVERSAL HEALTH SERVICES B 109,041 -3,814 $19,896
     UHS109,041-3,814$19,896
EAGLE MATERIALS INC 73,204 -4,064 $19,893
     EXP73,204-4,064$19,893
TELEFLEX INC 87,865 -1,472 $19,872
     TFX87,865-1,472$19,872
ALLETE INC 332,096 +229,328 $19,806
     ALE332,096+229,328$19,806
FORTUNE BRANDS HOME SECURI 233,336 -5,722 $19,757
     FBIN233,336-5,722$19,757
SERVICE CORP INTERNATIONAL 265,141 +3,045 $19,676
     SCI265,141+3,045$19,676
CLEVELAND CLIFFS INC 859,130 -28,905 $19,537
     CLF859,130-28,905$19,537
CHESAPEAKE ENERGY CORP 219,685 -6,273 $19,515
     CHK219,685-6,273$19,515
BOSTON PROPERTIES INC 298,578 -1,074 $19,500
     BXP298,578-1,074$19,500
CYBERARK SOFTWARE LTD 73,318 +2,033 $19,475
     CYBR73,318+2,033$19,475
ALLY FINL INC 479,527 -19,837 $19,464
     ALLY479,527-19,837$19,464
BLACK HILLS CORP 355,888 +19,213 $19,431
     BKH355,888+19,213$19,431
BIO TECHNE CORP 274,772 -6,983 $19,341
     TECH274,772-6,983$19,341
SILGAN HOLDINGS INC 396,780 +29,662 $19,268
     SLGN396,780+29,662$19,268
TREX COMPANY INC 192,473 +37,188 $19,199
     TREX192,473+37,188$19,199
ONE GAS INC 296,879 -2,465 $19,158
     OGS296,879-2,465$19,158
TEGNA INC 1,282,302 +64,437 $19,158
     TGNA1,282,302+64,437$19,158
SIMPSON MANUFACTURING CO INC 92,883 -3,113 $19,058
     SSD92,883-3,113$19,058
LATTICE SEMICONDUCTOR CORP 243,395 -6,106 $19,041
     LSCC243,395-6,106$19,041
TETRA TECH INC 102,824 -1,682 $18,993
     TTEK102,824-1,682$18,993
CNH INDL N V 1,452,499 -274,166 $18,824
     CNHI1,452,499-274,166$18,824
WEX INC 78,798 -1,208 $18,717
     WEX78,798-1,208$18,717
CARMAX INC 214,834 -11,307 $18,714
     KMX214,834-11,307$18,714
MEDPACE HLDGS INC 46,165 +703 $18,658
     MEDP46,165+703$18,658
FLOOR & DECOR HLDGS INC 141,964 -40,326 $18,401
     FND141,964-40,326$18,401
APA CORPORATION 534,102 -38,437 $18,362
     APA534,102-38,437$18,362
WYNN RESORTS LTD 178,881 -5,439 $18,287
     WYNN178,881-5,439$18,287
MOSAIC CO THE 559,284 -35,634 $18,154
     MOS559,284-35,634$18,154
REXFORD INDL RLTY INC 360,712 -6,221 $18,144
     REXR360,712-6,221$18,144
AUTOLIV INC 149,653 -15,159 $18,023
     ALV149,653-15,159$18,023
CUBESMART 398,509 -7,687 $18,021
     CUBE398,509-7,687$18,021
GUIDEWIRE SOFTWARE INC 152,527 -9,433 $17,801
     GWRE152,527-9,433$17,801
AMERICAN AIRLS GROUP INC 1,154,622 -11,776 $17,723
     AAL1,154,622-11,776$17,723
MADISON SQUARE GARDEN CO 95,974 UNCH $17,709
     MSGS95,974UNCH$17,709
BRUKER CORP 188,310 -8,950 $17,690
     BRKR188,310-8,950$17,690
TWILIO INC 288,191 +48,474 $17,623
     TWLO288,191+48,474$17,623
HF SINCLAIR CORPORATION 290,441 +28,648 $17,534
     DINO290,441+28,648$17,534
WILLSCOT MOBIL MINI HLDNG CO 371,495 -3,401 $17,275
     WSC371,495-3,401$17,275
GRAPHIC PACKAGING HOLDING CO 591,855 -14,590 $17,270
     GPK591,855-14,590$17,270
MATCH GROUP INC 475,789 -24,688 $17,262
     MTCH475,789-24,688$17,262
PAYCOM SOFTWARE INC 86,688 -4,096 $17,252
     PAYC86,688-4,096$17,252
WOODWARD INC 111,737 -2,961 $17,221
     WWD111,737-2,961$17,221
APTARGROUP INC 119,059 -6,010 $17,131
     ATR119,059-6,010$17,131
CARLYLE GROUP INC 364,700 -3,762 $17,108
     CG364,700-3,762$17,108
WEATHERFORD INTL PLC 147,694 UNCH $17,047
     WFRD147,694UNCH$17,047
TEMPUR PEDIC INTERNATIONAL 299,799 -12,984 $17,035
     TPX299,799-12,984$17,035
LIBERTY GLOBAL LTD 992,587 -16,191 $16,795
     LBTYA992,587-16,191$16,795
LEAR CORP 114,772 -251 $16,628
     LEA114,772-251$16,628
JONES LANG LASALLE INC 85,159 -2,470 $16,614
     JLL85,159-2,470$16,614
ACUITY BRANDS INC 61,672 +1,269 $16,573
     AYI61,672+1,269$16,573
FOX CORP 529,783 -20,629 $16,566
     FOXA529,783-20,629$16,566
INSULET CORP 96,102 -3,151 $16,472
     PODD96,102-3,151$16,472
SCIENTIFIC GAMES CORP 161,100 -1,927 $16,447
     LNW161,100-1,927$16,447
ONTO INNOVATION INC 90,710 +815 $16,426
     ONTO90,710+815$16,426
SHOCKWAVE MED INC 50,437 -2,384 $16,424
     SWAV50,437-2,384$16,424
SOUTHERN COPPER CORP 152,523 -16,931 $16,247
     SCCO152,523-16,931$16,247
DONALDSON CO INC 217,370 -5,011 $16,233
     DCI217,370-5,011$16,233
GRAB HOLDINGS 5,153,853 -109,132 $16,183
     GRAB5,153,853-109,132$16,183
CARVANA CO 183,077 +183,077 $16,094
     CVNA183,077+183,077$16,094
SAREPTA THERAPEUTICS INC 123,785 -2,601 $16,025
     SRPT123,785-2,601$16,025
SPIRE INC 260,440 -3,399 $15,983
     SR260,440-3,399$15,983
BALCHEM CORP 102,817 -658 $15,931
     BCPC102,817-658$15,931
API GROUP CORP 403,629 -7,900 $15,851
     APG403,629-7,900$15,851
VAIL RESORTS INC 70,935 -2,839 $15,806
     MTN70,935-2,839$15,806
ALLISON TRANSMISSION HOLDING 194,566 +525 $15,791
     ALSN194,566+525$15,791
CROWN HOLDINGS INC 198,074 -4,555 $15,699
     CCK198,074-4,555$15,699
UNITED STATES STEEL CORP 384,050 -7,331 $15,662
     X384,050-7,331$15,662
DAVITA HEALTHCARE PARTNERS I 113,286 -2,402 $15,639
     DVA113,286-2,402$15,639
EXPONENT INC 189,030 -2,380 $15,631
     EXPO189,030-2,380$15,631
WEBSTER FINANCIAL CORP 307,076 -3,104 $15,590
     WBS307,076-3,104$15,590
XP INC 606,088 -10,615 $15,552
     XP606,088-10,615$15,552
ROBERT HALF INTL INC 195,577 -7,225 $15,505
     RHI195,577-7,225$15,505
MKS INSTRUMENTS INC 116,517 +2,754 $15,497
     MKSI116,517+2,754$15,497
CROCS INC 107,579 -4,636 $15,470
     CROX107,579-4,636$15,470
SKECHERS USA INC 251,336 -8,933 $15,397
     SKX251,336-8,933$15,397
BORGWARNER INC 442,649 -26,831 $15,378
     BWA442,649-26,831$15,378
CAESARS ENTERTAINMENT INC 351,019 -9,665 $15,354
     CZR351,019-9,665$15,354
OSHKOSH CORP 123,037 +793 $15,344
     OSK123,037+793$15,344
NORWEGIAN CRUISE LINE HOLDIN 731,832 -6,813 $15,317
     NCLH731,832-6,813$15,317
MSA SAFETY INC 79,065 -1,455 $15,306
     MSA79,065-1,455$15,306
STIFEL FINANCIAL CORP 194,926 -7,465 $15,237
     SF194,926-7,465$15,237
JEFFERIES FINL GROUP INC 343,321 -14,789 $15,140
     JEF343,321-14,789$15,140
SOUTHWESTERN ENERGY CO 1,993,469 -41,162 $15,110
     SWN1,993,469-41,162$15,110
FRANKLIN RESOURCES INC 535,333 +10,014 $15,048
     BEN535,333+10,014$15,048
BELLRING BRANDS INC 254,585 -3,287 $15,028
     BRBR254,585-3,287$15,028
FIRST HORIZON NATIONAL CORP 972,735 -15,459 $14,980
     FHN972,735-15,459$14,980
HANOVER INSURANCE GROUP INC 110,003 +3,725 $14,979
     THG110,003+3,725$14,979
AFFIRM HLDGS INC 401,215 +70,729 $14,949
     AFRM401,215+70,729$14,949
UIPATH INC 658,704 +16,879 $14,933
     PATH658,704+16,879$14,933
CORE & MAIN INC 260,665 +260,665 $14,923
     CNM260,665+260,665$14,923
KE HLDGS INC 1,086,752 -47,497 $14,921
     BEKE1,086,752-47,497$14,921
INGREDION INC 127,619 -4,747 $14,912
     INGR127,619-4,747$14,912
ARAMARK HLDGS CORP COM ADDED 455,214 +22,261 $14,804
     ARMK455,214+22,261$14,804
RANGE RES CORP 426,794 -16,819 $14,695
     RRC426,794-16,819$14,695
PVH CORP 104,496 -7,019 $14,693
     PVH104,496-7,019$14,693
PREMIER INC 661,362 -54,479 $14,616
     PINC661,362-54,479$14,616
FEDERAL RLTY INVT TR 143,100 -10,935 $14,613
     FRT143,100-10,935$14,613
UFP INDUSTRIES INC 118,798 -2,351 $14,613
     UFPI118,798-2,351$14,613
GLOBANT S A 71,953 -1,422 $14,527
     GLOB71,953-1,422$14,527
FMC CORP 227,552 -3,585 $14,495
     FMC227,552-3,585$14,495
J2 GLOBAL INC 229,680 +1,689 $14,479
     ZD229,680+1,689$14,479
EASTGROUP PROPERTIES INC 80,356 -2,295 $14,446
     EGP80,356-2,295$14,446
LXP INDUSTRIAL TRUST 1,596,458 +119,271 $14,400
     LXP1,596,458+119,271$14,400
GENTEX CORP 398,114 -1,550 $14,380
     GNTX398,114-1,550$14,380
VONTIER CORPORATION 316,775 +11,328 $14,369
     VNT316,775+11,328$14,369
EVERCORE PARTNERS INC 74,475 -4,557 $14,343
     EVR74,475-4,557$14,343
MORNINGSTAR INC 46,416 +6,525 $14,313
     MORN46,416+6,525$14,313
ANTERO RESOURCES CORP 493,114 -11,166 $14,300
     AR493,114-11,166$14,300
ETSY INC 208,072 -10,019 $14,299
     ETSY208,072-10,019$14,299
RALPH LAUREN CORP 76,047 -429 $14,279
     RL76,047-429$14,279
SITEONE LANDSCAPE SUPPLY INC 81,271 +562 $14,186
     SITE81,271+562$14,186
AGCO CORP 114,622 -2,811 $14,101
     AGCO114,622-2,811$14,101
ELANCO ANIMAL HEALTH INC 864,318 -35,742 $14,071
     ELAN864,318-35,742$14,071
ROKU INC 215,892 -3,101 $14,070
     ROKU215,892-3,101$14,070
RBC BEARINGS INC 51,844 +806 $14,016
     RBC51,844+806$14,016
REPLIGEN CORP 76,062 -3,386 $13,989
     RGEN76,062-3,386$13,989
AXALTA COATING SYS LTD 405,502 -1,115 $13,945
     AXTA405,502-1,115$13,945
FIVE BELOW 76,691 -21,866 $13,910
     FIVE76,691-21,866$13,910
BIO RAD LABORATORIES A 40,147 -740 $13,886
     BIO40,147-740$13,886
UNIVERSAL DISPLAY CORP 82,404 -2,905 $13,881
     OLED82,404-2,905$13,881
SABRA HEALTH CARE REIT INC 938,248 +497,652 $13,858
     SBRA938,248+497,652$13,858
WESCO INTERNATIONAL INC 80,659 -3,922 $13,815
     WCC80,659-3,922$13,815
ELASTIC N V 137,736 +6,005 $13,807
     ESTC137,736+6,005$13,807
CHORD ENERGY CORPORATION 77,302 -1,550 $13,778
     CHRD77,302-1,550$13,778
CATALENT INC 243,879 -10,985 $13,767
     CTLT243,879-10,985$13,767
NATERA INC 150,189 -3,424 $13,736
     NTRA150,189-3,424$13,736
BERRY PLASTICS GROUP INC 226,757 -5,060 $13,714
     BERY226,757-5,060$13,714
SPS COMMERCE INC 73,778 -125,566 $13,642
     SPSC73,778-125,566$13,642
LANDSTAR SYSTEM INC 70,751 -1,338 $13,638
     LSTR70,751-1,338$13,638
BRIXMOR PPTY GROUP INC 581,539 -4,807 $13,637
     BRX581,539-4,807$13,637
COHERENT CORP 223,989 +44,854 $13,578
     COHR223,989+44,854$13,578
CERIDIAN HCM HLDG INC 201,892 -8,897 $13,367
     CDAY201,892-8,897$13,367
APPLIED INDL TECHNOLOGIES IN 67,615 +3,412 $13,357
     AIT67,615+3,412$13,357
VOYA FINL INC 180,653 -4,141 $13,354
     VOYA180,653-4,141$13,354
MATADOR RES CO 199,841 -9,315 $13,343
     MTDR199,841-9,315$13,343
ATKORE INC 69,639 -4,387 $13,256
     ATKR69,639-4,387$13,256
CRANE COMPANY 97,956 -2,460 $13,237
     CR97,956-2,460$13,237
ANNALY CAPITAL MANAGEMENT IN 672,288 -47,949 $13,237
     NLY672,288-47,949$13,237
MGIC INVESTMENT CORP 591,917 +653 $13,235
     MTG591,917+653$13,235
SOUTH ST CORP 155,596 +1,779 $13,230
     SSB155,596+1,779$13,230
MOHAWK INDUSTRIES INC 100,698 +3,730 $13,180
     MHK100,698+3,730$13,180
TAYLOR MORRISON HOME CORP 211,769 -8,555 $13,166
     TMHC211,769-8,555$13,166
BRUNSWICK CORP 135,722 -2,074 $13,100
     BC135,722-2,074$13,100
WIX COM LTD 95,078 +701 $13,071
     WIX95,078+701$13,071
OLIN CORP 221,990 -16,228 $13,053
     OLN221,990-16,228$13,053
DROPBOX INC 536,943 -1,190,112 $13,048
     DBX536,943-1,190,112$13,048
HYATT HOTELS CORP 81,185 -221 $12,959
     H81,185-221$12,959
CHURCHILL DOWNS INC 104,542 -25,849 $12,937
     CHDN104,542-25,849$12,937
ESSENT GROUP LTD 217,376 -5,735 $12,936
     ESNT217,376-5,735$12,936
POPULAR INC 146,701 -6,758 $12,923
     BPOP146,701-6,758$12,923
WESTERN ALLIANCE BANCORP 201,223 +3,400 $12,917
     WAL201,223+3,400$12,917
PAYLOCITY HLDG CORP 75,129 -133 $12,912
     PCTY75,129-133$12,912
LITTELFUSE INC 53,174 -2,574 $12,887
     LFUS53,174-2,574$12,887
HASBRO INC 227,869 -8,686 $12,879
     HAS227,869-8,686$12,879
COMERICA INC 233,546 -13,379 $12,843
     CMA233,546-13,379$12,843
RYMAN HOSPITALITY PROPERTIES 110,840 +202 $12,814
     RHP110,840+202$12,814
AZEK CO INC 255,133 +5,882 $12,813
     AZEK255,133+5,882$12,813
AMERICOLD RLTY TR 513,955 +11,220 $12,808
     COLD513,955+11,220$12,808
CHAMPIONX CORPORATION 356,722 -21,087 $12,803
     CHX356,722-21,087$12,803
ESAB CORPORATION 115,435 -1,275 $12,764
     ESAB115,435-1,275$12,764
DENTSPLY SIRONA INC 382,796 -17,914 $12,705
     XRAY382,796-17,914$12,705
COGNEX CORP 298,776 -4,728 $12,674
     CGNX298,776-4,728$12,674
WINTRUST FINANCIAL CORP 121,184 -1,341 $12,650
     WTFC121,184-1,341$12,650
NOVANTA INC 72,115 +668 $12,604
     NOVT72,115+668$12,604
NEW YORK TIMES CO A 290,792 -8,293 $12,568
     NYT290,792-8,293$12,568
HOULIHAN LOKEY INC 98,004 +1,823 $12,563
     HLI98,004+1,823$12,563
FTI CONSULTING INC 59,332 -136,611 $12,477
     FCN59,332-136,611$12,477
MUELLER INDS INC 231,183 +344 $12,468
     MLI231,183+344$12,468
TOAST INC 500,197 -1,690 $12,465
     TOST500,197-1,690$12,465
CULLEN FROST BANKERS INC 110,311 +621 $12,418
     CFR110,311+621$12,418
CIENA CORP 250,933 +47,959 $12,409
     CIEN250,933+47,959$12,409
COMMERCIAL METALS CO 209,434 -13,547 $12,308
     CMC209,434-13,547$12,308
PERMIAN RESOURCES CORP 694,403 +694,403 $12,263
     PR694,403+694,403$12,263
MURPHY OIL CORP 267,632 -6,899 $12,231
     MUR267,632-6,899$12,231
FIRST INDUSTRIAL REALTY TR 232,705 -11,387 $12,226
     FR232,705-11,387$12,226
AFFILIATED MANAGERS GROUP 72,883 -3,274 $12,206
     AMG72,883-3,274$12,206
WYNDHAM HOTELS & RESORTS INC 159,013 +1,014 $12,204
     WH159,013+1,014$12,204
SOFI TECHNOLOGIES INC 1,668,284 +376,254 $12,178
     SOFI1,668,284+376,254$12,178
PBF ENERGY INC 211,381 -8,392 $12,169
     PBF211,381-8,392$12,169
MATTEL INC 614,078 +4,490 $12,165
     MAT614,078+4,490$12,165
HEALTHEQUITY INC 147,147 +1,245 $12,012
     HQY147,147+1,245$12,012
TENCENT MUSIC ENTMT GROUP 1,072,944 -37,367 $12,006
     TME1,072,944-37,367$12,006
STAG INDUSTRIAL INC 311,670 -11,214 $11,981
     STAG311,670-11,214$11,981
LITHIA MOTORS INC 39,707 -7,500 $11,946
     LAD39,707-7,500$11,946
SEI INVESTMENTS COMPANY 165,652 -7,920 $11,910
     SEIC165,652-7,920$11,910
COMMERCE BANCSHARES INC (CBSH) 223,670 -3,438 $11,899
     CBSH223,670-3,438$11,899
MERITAGE HOMES CORP 67,674 -5,995 $11,874
     MTH67,674-5,995$11,874
PINNACLE FINANCIAL PARTNERS 137,132 -6,362 $11,777
     PNFP137,132-6,362$11,777
RAMBUS INC DEL COM 189,787 -23,533 $11,731
     RMBS189,787-23,533$11,731
ZILLOW GROUP INC 239,967 -10,665 $11,706
     Z239,967-10,665$11,706
MARKETAXESS HOLDINGS INC 53,349 -15,594 $11,697
     MKTX53,349-15,594$11,697
FABRINET 61,814 +1,539 $11,684
     FN61,814+1,539$11,684
YANDEX NV A 608,396 UNCH $11,523
     YNDX608,396UNCH$11,523
NEXSTAR BROADCASTING GROUP A 66,809 -5,690 $11,511
     NXST66,809-5,690$11,511
BRIGHT HORIZONS FAMILY SOLUT 100,765 UNCH $11,423
     BFAM100,765UNCH$11,423
THOR INDUSTRIES INC 97,346 +1,816 $11,423
     THO97,346+1,816$11,423
HEXCEL CORP 156,730 -1,005 $11,418
     HXL156,730-1,005$11,418
WHIRLPOOL CORP 95,360 +1,817 $11,408
     WHR95,360+1,817$11,408
PROCORE TECHNOLOGIES INC 138,151 -2,013 $11,352
     PCOR138,151-2,013$11,352
FIRST AMERICAN FINANCIAL 185,730 -3,181 $11,339
     FAF185,730-3,181$11,339
VALVOLINE INC 253,569 -35,441 $11,302
     VVV253,569-35,441$11,302
NEXTRACKER INC 200,112 +200,112 $11,260
     NXT200,112+200,112$11,260
AMEDISYS INC 121,956 +63,411 $11,239
     AMED121,956+63,411$11,239
PENUMBRA INC 50,078 -14,930 $11,176
     PEN50,078-14,930$11,176
GXO LOGISTICS INCORPORATED 206,390 +960 $11,096
     GXO206,390+960$11,096
FRANKLIN ELECTRIC CO INC 102,999 -2,562 $11,001
     FELE102,999-2,562$11,001
FLOWSERVE CORP 239,594 -4,368 $10,945
     FLS239,594-4,368$10,945
RADIAN GROUP INC 324,808 -9,957 $10,871
     RDN324,808-9,957$10,871
SM ENERGY CO 218,001 -4,673 $10,867
     SM218,001-4,673$10,867
CIVITAS RESOURCES INC 143,063 +8,100 $10,860
     CIVI143,063+8,100$10,860
ZIONS BANCORPORATION 250,061 +31,968 $10,853
     ZION250,061+31,968$10,853
DT MIDSTREAM INC 176,442 +6,863 $10,781
     DTM176,442+6,863$10,781
VAXCYTE INC 156,986 +58,851 $10,724
     PCVX156,986+58,851$10,724
SYNOVUS FINL CORP 267,339 -5,487 $10,710
     SNV267,339-5,487$10,710
RYDER SYSTEM INC 88,997 -2,574 $10,697
     R88,997-2,574$10,697
ABERCROMBIE & FITCH CO 85,066 +85,066 $10,661
     ANF85,066+85,066$10,661
STARWOOD PROPERTY TRUST INC 521,684 -12,092 $10,606
     STWD521,684-12,092$10,606
UNITY SOFTWARE INC 396,726 -20,558 $10,593
     U396,726-20,558$10,593
FRONTIER COMMUNICATIONS PARE 429,187 -9,702 $10,515
     FYBR429,187-9,702$10,515
INVESCO LTD 633,796 -7,108 $10,515
     IVZ633,796-7,108$10,515
TIMKEN CO 119,757 UNCH $10,470
     TKR119,757UNCH$10,470
KIRBY CORP 109,742 -3,120 $10,461
     KEX109,742-3,120$10,461
ONEMAIN HLDGS INC 204,748 -9,865 $10,461
     OMF204,748-9,865$10,461
NEW RESIDENTIAL INVT CORP 935,136 UNCH $10,436
     RITM935,136UNCH$10,436
NOV INC 530,231 -42,651 $10,350
     NOV530,231-42,651$10,350
RIVIAN AUTOMOTIVE INC 945,042 UNCH $10,348
     RIVN945,042UNCH$10,348
SONOCO PRODUCTS CO 178,805 -10,457 $10,342
     SON178,805-10,457$10,342
GENERAC HOLDINGS INC 81,799 -6,711 $10,318
     GNRC81,799-6,711$10,318
KB HOME 145,430 -4,466 $10,308
     KBH145,430-4,466$10,308
HARLEY DAVIDSON INC 235,433 -5,716 $10,298
     HOG235,433-5,716$10,298
EURONET WORLDWIDE INC 93,275 +1,907 $10,254
     EEFT93,275+1,907$10,254
ON HLDG AG NAMEN 289,607 -81,701 $10,246
     ONON289,607-81,701$10,246
ASSURED GUARANTY LTD 116,737 +8,187 $10,185
     AGO116,737+8,187$10,185
ARMSTRONG WORLD INDUSTRIES 81,921 -2,339 $10,176
     AWI81,921-2,339$10,176
OPTION CARE HEALTH INC 302,626 -6,746 $10,150
     OPCH302,626-6,746$10,150
ELEMENT SOLUTIONS INC 405,912 -10,117 $10,140
     ESI405,912-10,117$10,140
POLARIS INDUSTRIES INC 101,209 -5,732 $10,133
     PII101,209-5,732$10,133
PROSPERITY BANCSHARES INC (PB) 153,439 +793 $10,093
     PB153,439+793$10,093
DARLING INTERNATIONAL INC 216,917 -6,703 $10,089
     DAR216,917-6,703$10,089
TENABLE HLDGS INC 203,768 +2,141 $10,072
     TENB203,768+2,141$10,072
SEALED AIR CORP 270,529 -3,580 $10,064
     SEE270,529-3,580$10,064
ASPEN TECHNOLOGY INC 47,092 +5,739 $10,044
     AZPN47,092+5,739$10,044
AIR LEASE CORP 193,749 -3,447 $9,966
     AL193,749-3,447$9,966
VIPSHOP HOLDINGS LTD ADS 602,118 -19,042 $9,965
     VIPS602,118-19,042$9,965
CIRRUS LOGIC INC 107,331 -194,743 $9,935
     CRUS107,331-194,743$9,935
TRINET GROUP INC 74,831 -3,544 $9,914
     TNET74,831-3,544$9,914
CHART INDUSTRIES INC 60,159 UNCH $9,909
     GTLS60,159UNCH$9,909
EQUITRANS MIDSTREAM CORP 789,945 +27,387 $9,866
     ETRN789,945+27,387$9,866
MAXIMUS INC 117,561 -593 $9,863
     MMS117,561-593$9,863
AGNC INVT CORP 994,236 -154,544 $9,843
     AGNC994,236-154,544$9,843
WESTLAKE CORPORATION 64,413 -2,193 $9,842
     WLK64,413-2,193$9,842
RH 28,098 -1,467 $9,785
     RH28,098-1,467$9,785
WAYFAIR INC 143,862 +29,852 $9,765
     W143,862+29,852$9,765
FNB CORP 692,422 +4,641 $9,763
     FNB692,422+4,641$9,763
GATX CORP 72,752 -13,267 $9,751
     GATX72,752-13,267$9,751
CADENCE BANK COM 335,240 +5,355 $9,722
     CADE335,240+5,355$9,722
SENSATA TECHNOLOGIES HLDNG 263,560 -6,846 $9,683
     ST263,560-6,846$9,683
MSC INDUSTRIAL DIRECT CO A 99,608 -348 $9,666
     MSM99,608-348$9,666
BILL COM HLDGS INC 140,536 -4,511 $9,658
     BILL140,536-4,511$9,658
LOUISIANA PACIFIC CORP 114,976 -217 $9,648
     LPX114,976-217$9,648
BANK OZK 211,800 -6,430 $9,628
     OZK211,800-6,430$9,628
KANZHUN LIMITED 548,690 -13,144 $9,619
     BZ548,690-13,144$9,619
VALMONT INDUSTRIES 41,996 -1,071 $9,587
     VMI41,996-1,071$9,587
ASGN INC 91,368 -2,872 $9,572
     ASGN91,368-2,872$9,572
GAP INC THE 346,145 -1,448 $9,536
     GPS346,145-1,448$9,536
JACKSON FINANCIAL INC 143,584 -4,548 $9,497
     JXN143,584-4,548$9,497
HALOZYME THERAPEUTICS INC 233,173 -7,005 $9,485
     HALO233,173-7,005$9,485
TERRENO REALTY CORP 142,112 -1,400 $9,436
     TRNO142,112-1,400$9,436
AXIS CAPITAL HOLDINGS LTD 144,981 -815 $9,427
     AXS144,981-815$9,427
MACY S INC 468,818 -6,410 $9,372
     M468,818-6,410$9,372
BOISE CASCADE CO 61,098 +4,618 $9,371
     BCC61,098+4,618$9,371
ASBURY AUTOMOTIVE GROUP INC 39,693 -2,276 $9,359
     ABG39,693-2,276$9,359
LYFT INC 482,818 -17,084 $9,343
     LYFT482,818-17,084$9,343
UGI CORP 378,422 +17,659 $9,286
     UGI378,422+17,659$9,286
LINCOLN NATIONAL CORP 290,721 +61,897 $9,283
     LNC290,721+61,897$9,283
RAYONIER INC 278,783 -14,318 $9,267
     RYN278,783-14,318$9,267
AMERICAN EQTY INVT LIFE HLD 164,461 +4,703 $9,246
     AEL164,461+4,703$9,246
DUOLINGO INC 41,908 +41,908 $9,244
     DUOL41,908+41,908$9,244
OLLIES BARGAIN OUTLT HLDGS 115,814 -3,777 $9,215
     OLLI115,814-3,777$9,215
VARONIS SYS INC 195,361 +4,445 $9,215
     VRNS195,361+4,445$9,215
VORNADO REALTY TRUST 320,216 -11,799 $9,213
     VNO320,216-11,799$9,213
CYTOKINETICS INC 131,141 -4,580 $9,194
     CYTK131,141-4,580$9,194
COREBRIDGE FINL INC 319,905 +319,905 $9,191
     CRBG319,905+319,905$9,191
INTRA CELLULAR THERAPIES INC 132,703 -27,673 $9,183
     ITCI132,703-27,673$9,183
SLM CORP 419,723 -4,292 $9,146
     SLM419,723-4,292$9,146
EXLSERVICE HOLDINGS INC 286,967 +12,351 $9,126
     EXLS286,967+12,351$9,126
NATIONAL FUEL GAS CO 169,599 -7,960 $9,111
     NFG169,599-7,960$9,111
AMERICAN EAGLE OUTFITTERS 352,474 +24,143 $9,090
     AEO352,474+24,143$9,090
CABOT CORP 98,558 +1,846 $9,087
     CBT98,558+1,846$9,087
SUMMIT MATLS INC 203,534 -19,567 $9,072
     SUM203,534-19,567$9,072
MDU RESOURCES GROUP INC 359,165 -4,045 $9,051
     MDU359,165-4,045$9,051
MASIMO CORPORATION 61,615 -15,843 $9,048
     MASI61,615-15,843$9,048
STONECO LTD COM 544,647 +6,542 $9,047
     STNE544,647+6,542$9,047
NOBLE CORP 186,436 -1,986 $9,040
     NE186,436-1,986$9,040
BOYD GAMING CORP 134,208 -6,789 $9,035
     BYD134,208-6,789$9,035
STERICYCLE INC 170,674 -4,530 $9,003
     SRCL170,674-4,530$9,003
BRINK S CO THE 96,875 -4,393 $8,949
     BCO96,875-4,393$8,949
ATI INC 174,685 -81,289 $8,939
     ATI174,685-81,289$8,939
TKO GROUP HOLDINGS INC 103,186 +9,776 $8,916
     TKO103,186+9,776$8,916
IONIS PHARMACEUTICALS INC 203,945 -5,491 $8,841
     IONS203,945-5,491$8,841
OLD NATL BANCORP IND 507,398 +3,171 $8,834
     ONB507,398+3,171$8,834
UNITED BANKSHARES INC (UBSI) 245,157 -4,131 $8,774
     UBSI245,157-4,131$8,774
DOUBLEVERIFY HLDGS INC 248,722 +26,371 $8,745
     DV248,722+26,371$8,745
CAPRI HOLDINGS LIMITED 193,010 -774 $8,743
     CPRI193,010-774$8,743
GLOBUS MEDICAL INC A 161,691 -14,611 $8,673
     GMED161,691-14,611$8,673
INSPIRE MED SYS INC 40,337 UNCH $8,664
     INSP40,337UNCH$8,664
ZURN WATER SOLUTIONS CORP 258,477 +15,008 $8,651
     ZWS258,477+15,008$8,651
KYNDRYL HLDGS INC 397,313 -2,661 $8,646
     KD397,313-2,661$8,646
ORGANON & CO 459,160 +6,626 $8,632
     OGN459,160+6,626$8,632
ASHLAND GLOBAL HLDGS INC 88,283 +1,606 $8,596
     ASH88,283+1,606$8,596
APARTMENT INCOME REIT CORP 264,429 +11,167 $8,586
     AIRC264,429+11,167$8,586
SKYLINE CHAMPION CORPORATION COM 100,967 -5,354 $8,583
     SKY100,967-5,354$8,583
APELLIS PHARMACEUTICALS INC 145,833 UNCH $8,572
     APLS145,833UNCH$8,572
LIBERTY MEDIA CORP 288,274 -271 $8,565
     LSXMK288,274-271$8,565
ALKERMES 315,761 -649,431 $8,548
     ALKS315,761-649,431$8,548
AUTONATION INC 51,289 -7,347 $8,492
     AN51,289-7,347$8,492
AAON INC 96,237 +14,381 $8,478
     AAON96,237+14,381$8,478
SMARTSHEET INC 219,164 -4,702 $8,438
     SMAR219,164-4,702$8,438
BLUEPRINT MEDICINES CORP 88,725 +2,024 $8,416
     BPMC88,725+2,024$8,416
KITE RLTY GROUP TR 385,344 -17,915 $8,354
     KRG385,344-17,915$8,354
ALCOA CORP 247,045 UNCH $8,348
     AA247,045UNCH$8,348
SILICON LABORATORIES INC 58,055 UNCH $8,344
     SLAB58,055UNCH$8,344
ACADEMY SPORTS & OUTDOORS IN 123,343 -3,807 $8,331
     ASO123,343-3,807$8,331
MONDAY COM LTD 36,783 +36,783 $8,308
     MNDY36,783+36,783$8,308
MATSON INC 73,794 -1,725 $8,294
     MATX73,794-1,725$8,294
FULL TRUCK ALLIANCE CO LTD 1,127,120 -42,424 $8,194
     YMM1,127,120-42,424$8,194
ZOOMINFO TECHNOLOGIES INC 510,553 +81,101 $8,184
     ZI510,553+81,101$8,184
GLACIER BANCORP INC 202,992 -5,208 $8,177
     GBCI202,992-5,208$8,177
BEACON ROOFING SUPPLY INC 83,335 +18,882 $8,168
     BECN83,335+18,882$8,168
HOME BANCSHARES INC (HOMB) 332,360 -6,221 $8,166
     HOMB332,360-6,221$8,166
SIGNET JEWELERS LIMITED 81,461 -1,815 $8,152
     SIG81,461-1,815$8,152
KILROY REALTY CORP 223,242 -4,720 $8,133
     KRC223,242-4,720$8,133
JANUS HENDERSON GROUP PLC 246,854 -9,292 $8,119
     JHG246,854-9,292$8,119
MAGNOLIA OIL & GAS CORP 312,468 -28,704 $8,109
     MGY312,468-28,704$8,109
FLUOR CORP 191,617 +793 $8,102
     FLR191,617+793$8,102
MASTEC INC 86,852 -26,356 $8,099
     MTZ86,852-26,356$8,099
GITLAB INC 138,680 +138,680 $8,088
     GTLB138,680+138,680$8,088
ADVANCED ENERGY INDUSTRIES 78,957 -3,776 $8,052
     AEIS78,957-3,776$8,052
UMB FINANCIAL CORP 92,097 +1,194 $8,012
     UMBF92,097+1,194$8,012
CONFLUENT INC 262,256 -59,372 $8,004
     CFLT262,256-59,372$8,004
WATTS WATER TECHNOLOGIES INC 37,613 -2,658 $7,995
     WTS37,613-2,658$7,995
WD 40 CO 31,362 -58,274 $7,944
     WDFC31,362-58,274$7,944
TEREX CORP 122,861 -14,690 $7,912
     TEX122,861-14,690$7,912
ENERSYS 83,128 -5,503 $7,852
     ENS83,128-5,503$7,852
LAZARD INC 187,044 +2,718 $7,832
     LAZ187,044+2,718$7,832
KNIFE RIVER CORP COMMON STOCK ADDED 96,177 +5,221 $7,798
     KNF96,177+5,221$7,798
TAL EDUCATION GROUP 685,532 -95,585 $7,781
     TAL685,532-95,585$7,781
VF CORP 507,015 -28,896 $7,778
     VFC507,015-28,896$7,778
WORKIVA INC 91,374 +2,501 $7,749
     WK91,374+2,501$7,749
HUNTSMAN CORP 296,510 -9,399 $7,718
     HUN296,510-9,399$7,718
CREDIT ACCEPTANCE CORP 13,922 -1,103 $7,679
     CACC13,922-1,103$7,679
FIVE9 INC 123,333 -1,975 $7,660
     FIVN123,333-1,975$7,660
FIRST FINL BANKSHARES INC (FFIN) 232,984 +8,946 $7,644
     FFIN232,984+8,946$7,644
COTY INC 638,431 -18,635 $7,636
     COTY638,431-18,635$7,636
LANTHEUS HLDGS INC 122,221 +1,496 $7,607
     LNTH122,221+1,496$7,607
JOHN BEAN TECHNOLOGIES CORP 72,323 -466 $7,586
     JBT72,323-466$7,586
HERC HLDGS INC 44,688 +3,830 $7,521
     HRI44,688+3,830$7,521
ITRON INC 81,268 -7,317 $7,519
     ITRI81,268-7,317$7,519
ALASKA AIR GROUP INC 174,555 -38,822 $7,504
     ALK174,555-38,822$7,504
POTLATCH CORP 158,140 UNCH $7,436
     PCH158,140UNCH$7,436
AVIENT CORPORATION 170,832 +3,804 $7,414
     AVNT170,832+3,804$7,414
HILLENBRAND INC 147,312 +3,178 $7,408
     HI147,312+3,178$7,408
DXC TECHNOLOGY CO 348,175 -26,307 $7,385
     DXC348,175-26,307$7,385
CRISPR THERAPEUTICS AG NAMEN 107,729 UNCH $7,343
     CRSP107,729UNCH$7,343
POWER INTEGRATIONS INC 101,543 -2,892 $7,265
     POWI101,543-2,892$7,265
CHOICE HOTELS INTL INC 57,451 -1,995 $7,259
     CHH57,451-1,995$7,259
GLAUKOS CORP 76,804 UNCH $7,242
     GKOS76,804UNCH$7,242
MARATHON DIGITAL HOLDINGS IN 320,251 +320,251 $7,231
     MARA320,251+320,251$7,231
FTAI AVIATION LTD 107,343 +107,343 $7,224
     FTAI107,343+107,343$7,224
MANPOWER INC 92,434 -8,132 $7,177
     MAN92,434-8,132$7,177
PLANET FITNESS INC 113,343 -35,563 $7,099
     PLNT113,343-35,563$7,099
FRESHPET INC 61,183 -3,535 $7,089
     FRPT61,183-3,535$7,089
ALARM COM HLDGS INC 96,925 -824 $7,024
     ALRM96,925-824$7,024
HELMERICH & PAYNE INC COM 166,712 -3,288 $7,012
     HP166,712-3,288$7,012
TERADATA CORP 179,637 -20,846 $6,947
     TDC179,637-20,846$6,947
ACI WORLDWIDE INC 208,776 -1,334 $6,933
     ACIW208,776-1,334$6,933
SYNAPTICS INC 70,808 UNCH $6,908
     SYNA70,808UNCH$6,908
SHAKE SHACK INC 66,312 -1,951 $6,898
     SHAK66,312-1,951$6,898
COUSINS PPTYS INC 286,122 -20,991 $6,878
     CUZ286,122-20,991$6,878
QUAKER CHEMICAL CORP 33,454 +752 $6,866
     KWR33,454+752$6,866
FORMFACTOR INC 150,130 -6,347 $6,850
     FORM150,130-6,347$6,850
ADVANCE AUTO PARTS INC 80,190 -14,795 $6,823
     AAP80,190-14,795$6,823
AXCELIS TECHNOLOGIES INC 61,161 -4,636 $6,821
     ACLS61,161-4,636$6,821
PHILLIPS EDISON & CO INC COMMON STOCK 189,000 +9,358 $6,779
     PECO189,000+9,358$6,779
VISTEON CORP 57,621 +989 $6,777
     VC57,621+989$6,777
HILTON GRAND VACATIONS INC 143,219 +2,845 $6,761
     HGV143,219+2,845$6,761
GOODYEAR TIRE & RUBR CO 492,258 -14,514 $6,759
     GT492,258-14,514$6,759
TRAVEL PLUS LEISURE CO 137,978 +3,366 $6,755
     TNL137,978+3,366$6,755
CHEMOURS CO 257,101 -14,665 $6,751
     CC257,101-14,665$6,751
PARK HOTELS RESORTS INC 383,696 -11,673 $6,711
     PK383,696-11,673$6,711
MERIT MED SYS INC 88,341 +6,590 $6,692
     MMSI88,341+6,590$6,692
MARRIOTT VACATIONS WORLD 62,064 -1,453 $6,686
     VAC62,064-1,453$6,686
IAC INTERACTIVECORP 125,164 +7,138 $6,676
     IAC125,164+7,138$6,676
SENTINELONE INC 285,395 +285,395 $6,653
     S285,395+285,395$6,653
COLUMBIA BKG SYS INC 339,568 +65,708 $6,571
     COLB339,568+65,708$6,571
BLACKSTONE MTG TR INC 329,439 +7,593 $6,559
     BXMT329,439+7,593$6,559
INSPERITY INC COM 59,811 +195 $6,556
     NSP59,811+195$6,556
VALLEY NATIONAL BANCORP 822,492 +24,049 $6,547
     VLY822,492+24,049$6,547
BLACKLINE INC 101,065 -1,286 $6,527
     BL101,065-1,286$6,527
CRANE HLDGS CO 104,650 UNCH $6,478
     CXT104,650UNCH$6,478
INDEPENDENCE RLTY TR INC 398,763 +4,319 $6,432
     IRT398,763+4,319$6,432
HANCOCK WHITNEY CORPORATION 139,655 UNCH $6,430
     HWC139,655UNCH$6,430
UNIFIRST CORP MA 37,018 UNCH $6,420
     UNF37,018UNCH$6,420
LCI INDS 52,028 -2,048 $6,403
     LCII52,028-2,048$6,403
SL GREEN RLTY CORP 114,997 -2,660 $6,340
     SLG114,997-2,660$6,340
SPECTRUM BRANDS HLDGS INC NE 70,516 -1,726 $6,277
     SPB70,516-1,726$6,277
DIODES INC 87,504 UNCH $6,169
     DIOD87,504UNCH$6,169
YETI HLDGS INC 159,037 +1,877 $6,131
     YETI159,037+1,877$6,131
BRIGHTHOUSE FINL INC 118,588 -18,279 $6,112
     BHF118,588-18,279$6,112
BELDEN INC 65,891 -2,031 $6,102
     BDC65,891-2,031$6,102
CLARIVATE ANALYTICS PLC 819,363 +38,895 $6,088
     CLVT819,363+38,895$6,088
ORMAT TECHNOLOGIES INC 91,522 +1,840 $6,058
     ORA91,522+1,840$6,058
VALARIS LIMITED 79,346 -4,036 $5,972
     VAL79,346-4,036$5,972
INNOVATIVE INDL PPTYS INC 57,150 +1,059 $5,917
     IIPR57,150+1,059$5,917
ZILLOW GROUP INC 123,585 +7,400 $5,915
     ZG123,585+7,400$5,915
CARTER S INC 69,531 +479 $5,888
     CRI69,531+479$5,888
LIVANOVA PLC 105,078 -4,047 $5,878
     LIVN105,078-4,047$5,878
ANTERO MIDSTREAM CORP 410,443 +51,909 $5,771
     AM410,443+51,909$5,771
TRANSOCEAN LTD 916,543 -96,002 $5,756
     RIG916,543-96,002$5,756
PENSKE AUTOMOTIVE GRP INC COM 35,518 -5,388 $5,754
     PAG35,518-5,388$5,754
CNO FINANCIAL GROUP INC 209,174 UNCH $5,748
     CNO209,174UNCH$5,748
BROOKS AUTOMATION INC 95,188 +3,212 $5,738
     AZTA95,188+3,212$5,738
NATIONAL STORAGE AFFILIATES 146,048 -3,506 $5,719
     NSA146,048-3,506$5,719
TEXAS CAPITAL BANCSHARES INC (TCBI) 92,800 UNCH $5,712
     TCBI92,800UNCH$5,712
IPG PHOTONICS CORP 62,959 +112 $5,710
     IPGP62,959+112$5,710
RESIDEO TECHNOLOGIES INC 253,714 -8,821 $5,688
     REZI253,714-8,821$5,688
SCOTTS MIRACLE GRO CO 75,656 +793 $5,643
     SMG75,656+793$5,643
KOHLS CORP 193,240 -4,620 $5,633
     KSS193,240-4,620$5,633
NOMAD FOODS LTD 285,586 UNCH $5,586
     NOMD285,586UNCH$5,586
CONCENTRIX CORP 84,119 +3,312 $5,570
     CNXC84,119+3,312$5,570
FOX CORP 194,065 -10,443 $5,554
     FOX194,065-10,443$5,554
SOLAREDGE TECHNOLOGIES INC 77,796 UNCH $5,522
     SEDG77,796UNCH$5,522
SPIRIT AEROSYSTEMS HOLD 152,818 +2,736 $5,512
     SPR152,818+2,736$5,512
IRIDIUM COMMUNICATIONS INC 210,279 -11,531 $5,501
     IRDM210,279-11,531$5,501
CABLE ONE INC 12,903 -175 $5,460
     CABO12,903-175$5,460
INSTALLED BLDG PRODS INC 21,051 +21,051 $5,447
     IBP21,051+21,051$5,447
Q2 HLDGS INC 103,502 +4,441 $5,440
     QTWO103,502+4,441$5,440
FRONTDOOR INC 166,176 -6,956 $5,414
     FTDR166,176-6,956$5,414
MADRIGAL PHARMACEUTICALS INC 20,190 UNCH $5,392
     MDGL20,190UNCH$5,392
DOXIMITY INC 199,354 -7,224 $5,365
     DOCS199,354-7,224$5,365
MEDICAL PROPERTIES TRUST INC 1,138,725 +1,340 $5,352
     MPW1,138,725+1,340$5,352
GLOBALFOUNDRIES INC 101,931 -5,717 $5,312
     GFS101,931-5,717$5,312
KEMPER CORP 85,349 -35,318 $5,285
     KMPR85,349-35,318$5,285
ADIENT PLC 159,455 -3,927 $5,249
     ADNT159,455-3,927$5,249
FULLER H B CO 65,691 +1,886 $5,238
     FUL65,691+1,886$5,238
RAPID7 INC 106,659 +2,031 $5,231
     RPD106,659+2,031$5,231
BADGER METER INC 32,245 +4,364 $5,218
     BMI32,245+4,364$5,218
HIGHWOODS PROPERTIES INC 197,675 +7,790 $5,175
     HIW197,675+7,790$5,175
INSMED INC 190,717 -588 $5,174
     INSM190,717-588$5,174
WOLFSPEED INC 174,151 UNCH $5,137
     WOLF174,151UNCH$5,137
IRHYTHM TECHNOLOGIES INC COM 44,152 -2,793 $5,122
     IRTC44,152-2,793$5,122
HELEN OF TROY LTD 44,394 +2,790 $5,116
     HELE44,394+2,790$5,116
FIRST HAWAIIAN INC 231,842 -14,172 $5,091
     FHB231,842-14,172$5,091
RINGCENTRAL INC 145,139 -5,315 $5,042
     RNG145,139-5,315$5,042
SENSIENT TECHNOLOGIES CORP 72,792 +1,289 $5,036
     SXT72,792+1,289$5,036
NEWELL RUBBERMAID INC 626,872 +84,267 $5,034
     NWL626,872+84,267$5,034
ULTRAGENYX PHARMACEUTICAL IN 107,572 +5,900 $5,023
     RARE107,572+5,900$5,023
UNITED CMNTY BKS BLAIRSVLE G 190,328 +3,811 $5,009
     UCBI190,328+3,811$5,009
ENVISTA HLDGS CORP 232,197 -16,998 $4,964
     NVST232,197-16,998$4,964
COMMUNITY BANK SYSTEM INC 101,916 UNCH $4,895
     CBU101,916UNCH$4,895
FORTREA HLDGS INC 121,918 -39,152 $4,894
     FTRE121,918-39,152$4,894
ENOVIS CORPORATION 77,437 +4,003 $4,836
     ENOV77,437+4,003$4,836
BROADSTONE NET LEASE INC 307,906 +7,748 $4,825
     BNL307,906+7,748$4,825
INTEGRA LIFESCIENCES HOLDING 135,321 -6,356 $4,797
     IART135,321-6,356$4,797
HOWARD HUGHES HOLDINGS INC 65,778 -4,162 $4,777
     HHH65,778-4,162$4,777
ENVESTNET INC 82,223 -18,343 $4,762
     ENV82,223-18,343$4,762
AMN HEALTHCARE SERVICES INC 75,951 -4,272 $4,748
     AMN75,951-4,272$4,748
ARROWHEAD PHARMACEUTICALS IN 163,095 +9,036 $4,665
     ARWR163,095+9,036$4,665
LEGGETT PLATT INC 242,999 +4,866 $4,653
     LEG242,999+4,866$4,653
DUN & BRADSTREET HLDGS INC 460,494 -17,481 $4,623
     DNB460,494-17,481$4,623
PENN NATIONAL GAMING INC 250,956 -11,709 $4,570
     PENN250,956-11,709$4,570
SIRIUS XM HLDGS INC 1,172,608 -107,487 $4,550
     SIRI1,172,608-107,487$4,550
10X GENOMICS INC 121,217 -7,895 $4,549
     TXG121,217-7,895$4,549
QUIDELORTHO CORP 94,696 UNCH $4,540
     QDEL94,696UNCH$4,540
DOUGLAS EMMETT INC 326,052 -22,356 $4,522
     DEI326,052-22,356$4,522
LUMENTUM HLDGS INC 95,211 -3,050 $4,508
     LITE95,211-3,050$4,508
NCINO INC 119,975 +21,794 $4,485
     NCNO119,975+21,794$4,485
FOX FACTORY HLDG CORP 85,587 UNCH $4,457
     FOXF85,587UNCH$4,457
TELADOC INC 293,995 +1,726 $4,439
     TDOC293,995+1,726$4,439
NEOGEN CORP 281,256 -19,419 $4,438
     NEOG281,256-19,419$4,438
ARCADIUM LITHIUM PLC 993,398 +993,398 $4,282
     ALTM993,398+993,398$4,282
HANNON ARMSTRONG SUST INFR C 149,985 UNCH $4,260
     HASI149,985UNCH$4,260
RXO INC 194,138 +4,706 $4,246
     RXO194,138+4,706$4,246
NEW YORK COMMUNITY BANCORP 1,306,978 +13,937 $4,208
     NYCB1,306,978+13,937$4,208
ICU MEDICAL INC 38,669 +474 $4,150
     ICUI38,669+474$4,150
PAPA JOHN S INTL INC 61,615 -705 $4,104
     PZZA61,615-705$4,104
VIAVI SOLUTIONS INC 451,179 UNCH $4,101
     VIAV451,179UNCH$4,101
SPROUT SOCIAL INC 68,549 UNCH $4,093
     SPT68,549UNCH$4,093
WALKER & DUNLOP INC 39,271 +5,348 $3,969
     WD39,271+5,348$3,969
AVIS BUDGET GROUP 32,207 -5,471 $3,944
     CAR32,207-5,471$3,944
NORDSTROM INC 192,629 -11,488 $3,905
     JWN192,629-11,488$3,905
VESTIS CORPORATION 202,619 -11,318 $3,904
     VSTS202,619-11,318$3,904
SUNRUN INC 295,549 UNCH $3,895
     RUN295,549UNCH$3,895
BANK OF HAWAII CORP 59,736 UNCH $3,727
     BOH59,736UNCH$3,727
MR COOPER GROUP INC 47,120 +47,120 $3,673
     COOP47,120+47,120$3,673
360 FINANCE INC 198,929 -7,656 $3,666
     QFIN198,929-7,656$3,666
PAGERDUTY INC 161,579 +8,065 $3,665
     PD161,579+8,065$3,665
JETBLUE AIRWAYS CORP 491,899 UNCH $3,650
     JBLU491,899UNCH$3,650
ALTAIR ENGR INC 41,894 +41,894 $3,609
     ALTR41,894+41,894$3,609
FEDERAL SIGNAL CORP 42,335 +42,335 $3,593
     FSS42,335+42,335$3,593
INTELLIA THERAPEUTICS INC 126,624 UNCH $3,483
     NTLA126,624UNCH$3,483
MACOM TECH SOLUTIONS HLDGS I 36,382 +36,382 $3,480
     MTSI36,382+36,382$3,480
GUARDANT HEALTH INC 166,476 UNCH $3,434
     GH166,476UNCH$3,434
CONMED CORP 42,709 -9,202 $3,420
     CNMD42,709-9,202$3,420
INDEPENDENT BK CORP 62,630 +2,264 $3,258
     INDB62,630+2,264$3,258
FOOT LOCKER INC 112,742 -26,373 $3,213
     FL112,742-26,373$3,213
IQIYI INC 745,972 -46,064 $3,155
     IQ745,972-46,064$3,155
LUCID GROUP INC 1,055,273 UNCH $3,008
     LCID1,055,273UNCH$3,008
SERVISFIRST BANCSHARES INC (SFBS) 45,116 +3,852 $2,994
     SFBS45,116+3,852$2,994
VIASAT INC 164,682 UNCH $2,979
     VSAT164,682UNCH$2,979
QUANTUMSCAPE CORP 446,427 UNCH $2,808
     QS446,427UNCH$2,808
HOLLYSYS AUTOMATION TECHNOLO 103,719 -165,681 $2,653
     HOLI103,719-165,681$2,653
PLUG POWER INC 769,612 UNCH $2,647
     PLUG769,612UNCH$2,647
AUTOHOME INC 99,163 -7,632 $2,600
     ATHM99,163-7,632$2,600
SPX TECHNOLOGIES INC 20,752 +20,752 $2,555
     SPXC20,752+20,752$2,555
DAQO NEW ENERGY CORP 84,626 -1,835 $2,382
     DQ84,626-1,835$2,382
GAMESTOP CORP 165,615 UNCH $2,074
     GME165,615UNCH$2,074
JINKOSOLAR HOLDING CO 71,014 UNCH $1,789
     JKS71,014UNCH$1,789
GSX TECHEDU INC SPONSORED 264,212 -6,935 $1,731
     GOTU264,212-6,935$1,731
CANADIAN SOLAR INC 86,239 -2,657 $1,704
     CSIQ86,239-2,657$1,704
JOYY INC ADS REPSTG 52,735 -7,316 $1,622
     YY52,735-7,316$1,622
HELLO GROUP INC 253,496 -9,145 $1,574
     MOMO253,496-9,145$1,574
EHANG HLDGS LTD 72,144 -2,809 $1,484
     EH72,144-2,809$1,484
FINVOLUTION GROUP 272,492 UNCH $1,373
     FINV272,492UNCH$1,373
LUFAX HOLDING LTD 289,155 -9,517 $1,220
     LU289,155-9,517$1,220
WEIBO CORP 114,747 -7,986 $1,043
     WB114,747-7,986$1,043
TUYA INC 449,017 -10,725 $786
     TUYA449,017-10,725$786
ZHIHU INC 847,002 UNCH $579
     ZH847,002UNCH$579
SOHU COM LTD SPONSORED 43,932 UNCH $464
     SOHU43,932UNCH$464
SINOVAC BIOTECH LTD 68,732 UNCH $445
     SVA68,732UNCH$445
CANAAN INC 249,096 +33,113 $379
     CAN249,096+33,113$379
21VIANET GROUP INC 213,972 UNCH $332
     VNET213,972UNCH$332
DINGDONG CAYMAN LTD 228,602 UNCH $279
     DDL228,602UNCH$279
DADA NEXUS LTD 134,095 +16,671 $275
     DADA134,095+16,671$275
HUYA INC 58,621 UNCH $267
     HUYA58,621UNCH$267
YOUDAO INC 57,603 +0 $232
     DAO57,603UNCH$232
AMERISOURCEBERGEN CORP $0 (exited)
     ABC0-968,861$0
AGILON HEALTH INC $0 (exited)
     AGL0-402,879$0
AMBARELLA INC $0 (exited)
     AMBA0-64,751$0
AMC ENTMT HLDGS INC $0 (exited)
     AMC0-263,623$0
APPIAN CORP $0 (exited)
     APPN0-68,091$0
BCE INC $0 (exited)
     PUT0-1,399,647$0
BLOOM ENERGY CORP $0 (exited)
     BE0-263,224$0
ALLIANCE DATA SYSTEMS CORP $0 (exited)
     BFH0-108,003$0
BANKUNITED INC $0 (exited)
     BKU0-140,676$0
CRACKER BARREL OLD COUNTRY $0 (exited)
     CBRL0-40,768$0
DENALI THERAPEUTICS INC $0 (exited)
     DNLI0-176,131$0
PHYSICIANS RLTY TR $0 (exited)
     DOC0-1,574,844$0
DOUYU INTERNATIONAL HLDNGS L $0 (exited)
     DOYU0-276,129$0
EQUITY COMWLTH COM $0 (exited)
     EQC0-884,357$0
FLEETCOR TECHNOLOGIES INC $0 (exited)
     FLT0-134,522$0
HANESBRANDS INC $0 (exited)
     HBI0-578,697$0
HUAZHU GROUP LTD SPONSORED $0 (exited)
     HTHT0-369,733$0
WK KELLOGG CO $0 (exited)
     KLG0-117,454$0
KARUNA THERAPEUTICS INC $0 (exited)
     KRTX0-50,696$0
LIVENT CORP $0 (exited)
     LTHM0-250,975$0
LEXINFINTECH HLDGS LTD $0 (exited)
     LX0-201,657$0
MINISO GROUP HLDG LTD $0 (exited)
     MNSO0-156,866$0
MERCURY SYSTEMS INC $0 (exited)
     MRCY0-78,648$0
MURAL ONCOLOGY PUB LTD $0 (exited)
     MURAV0-30,357$0
NCR ATLEOS CORPORATION $0 (exited)
     NATL0-120,235$0
NCR CORPORATION $0 (exited)
     NCR0-220,670$0
NIU TECHNOLOGIES $0 (exited)
     NIU0-80,683$0
NET LEASE OFFICE PROPERTIES $0 (exited)
     NLOP0-25,894$0
NOAH HOLDINGS LTD SPON ADS $0 (exited)
     NOAH0-65,981$0
NOVOCURE LTD $0 (exited)
     NVCR0-153,406$0
OMNICELL INC $0 (exited)
     OMCL0-75,523$0
PTC THERAPEUTICS INC $0 (exited)
     PTCT0-108,222$0
PELOTON INTERACTIVE INC $0 (exited)
     PTON0-460,759$0
ROGERS CORP $0 (exited)
     ROG0-57,925$0
SPLUNK INC $0 (exited)
     SPLK0-286,961$0
SPIRIT RLTY CAP INC $0 (exited)
     SRC0-261,252$0
STAAR SURGICAL CO $0 (exited)
     STAA0-70,788$0
TANDEM DIABETES CARE INC $0 (exited)
     TNDM0-91,206$0
VERINT SYSTEMS INC $0 (exited)
     VRNT0-117,301$0
YATSEN HLDG LTD 0 -511,730 $0 (exited)
     YSG0-511,730$0

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