Holdings Channel
EntityShares/Amount
Change
Position Value
Change
LMT +6,405+$2,903
BA +7,805+$2,034
HUM +3,668+$1,679
GL +12,968+$1,578
EVRG +28,251+$1,475
ALL +10,433+$1,460
SYY +19,290+$1,411
TROW +12,921+$1,391
XEL +20,852+$1,291
KLAC +2,136+$1,242
EntityShares/Amount
Change
Position Value
Change
PXD -6,230-$1,430
HES -8,677-$1,328
AEP -12,402-$933
VRSK -3,017-$713
FIS -12,466-$689
WRB -9,221-$585
MCD -1,979-$521
ROST -3,526-$398
PSTG -10,648-$379
VNT -12,107-$374
EntityShares/Amount
Change
Position Value
Change
OSCR +53,307+$759
SIRI +51,877+$336
MET +43,707+$3,018
SABR +34,469+$150
UE +30,149+$608
IRWD +29,420+$369
NNN +27,659+$1,310
KMI +27,226+$512
UDMY +26,869+$460
MDXG +26,361+$311
EntityShares/Amount
Change
Position Value
Change
HPQ -13,488-$269
AAPL -13,452-$2,142
F -12,515-$161
TRMB -7,018-$380
EQR -5,899-$322
MDC -5,266-$127
WMT -5,231-$843
CVS -5,165-$313
AWK -4,309-$509
Size ($ in 1000's)
At 12/31/2023: $308,686
At 09/30/2023: $141,040

Cipher Capital LP holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Cipher Capital LP 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Cipher Capital LP
As of  12/31/2023, we find all stocks held by Cipher Capital LP to be as follows, presented in the table below with each row detailing each Cipher Capital LP position, ordered by largest to smallest position size. The all-stocks-held-by-Cipher Capital LP 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 Cipher Capital LP as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
METLIFE INC 83,570 +43,707 $5,526
     MET83,570+43,707$5,526
PRUDENTIAL FINL INC 34,934 +8,341 $3,623
     PRU34,934+8,341$3,623
ABBVIE INC 22,833 +12,561 $3,538
     ABBV22,833+12,561$3,538
SEMPRA 45,557 +22,380 $3,404
     SRE45,557+22,380$3,404
ONEOK INC NEW 41,846 +18,176 $2,938
     OKE41,846+18,176$2,938
LOCKHEED MARTIN CORP 6,405 +6,405 $2,903
     LMT6,405+6,405$2,903
BOOKING HOLDINGS INC 798 +644 $2,831
     BKNG798+644$2,831
UNITED PARCEL SERVICE INC 16,987 +9,107 $2,671
     UPS16,987+9,107$2,671
SEI INVTS CO 41,315 +9,311 $2,626
     SEIC41,315+9,311$2,626
NVIDIA CORPORATION 5,289 +489 $2,619
     NVDA5,289+489$2,619
ELI LILLY & CO 4,202 +2,051 $2,449
     LLY4,202+2,051$2,449
ENTERGY CORP NEW 24,035 +7,374 $2,432
     ETR24,035+7,374$2,432
NASDAQ INC 40,038 +14,021 $2,328
     NDAQ40,038+14,021$2,328
TEXAS ROADHOUSE INC 18,726 +6,005 $2,289
     TXRH18,726+6,005$2,289
PRINCIPAL FINANCIAL GROUP IN 26,689 +13,782 $2,100
     PFG26,689+13,782$2,100
AMGEN INC 7,288 +2,804 $2,099
     AMGN7,288+2,804$2,099
NETFLIX INC 4,274 +2,732 $2,081
     NFLX4,274+2,732$2,081
BOEING CO 7,805 +7,805 $2,034
     BA7,805+7,805$2,034
ELEVANCE HEALTH INC 4,216 +1,324 $1,988
     ELV4,216+1,324$1,988
AMAZON COM INC 12,494 +4,856 $1,898
     AMZN12,494+4,856$1,898
JEFFERIES FINL GROUP INC 45,802 +12,592 $1,851
     JEF45,802+12,592$1,851
NNN REIT INC 42,832 +27,659 $1,846
     NNN42,832+27,659$1,846
HERSHEY CO 9,786 +7,112 $1,825
     HSY9,786+7,112$1,825
PPG INDS INC 11,806 +6,479 $1,766
     PPG11,806+6,479$1,766
ATLASSIAN CORPORATION 7,410 +3,599 $1,763
     TEAM7,410+3,599$1,763
HUMANA INC 3,668 +3,668 $1,679
     HUM3,668+3,668$1,679
VENTAS INC 33,538 +566 $1,672
     VTR33,538+566$1,672
DEVON ENERGY CORP NEW 36,867 +24,068 $1,670
     DVN36,867+24,068$1,670
UNUM GROUP 36,719 +19,160 $1,660
     UNM36,719+19,160$1,660
MASCO CORP 24,644 +4,936 $1,651
     MAS24,644+4,936$1,651
HOME DEPOT INC 4,762 +3,115 $1,650
     HD4,762+3,115$1,650
XYLEM INC 14,359 +4,302 $1,642
     XYL14,359+4,302$1,642
FEDERATED HERMES INC 47,443 +22,502 $1,606
     FHI47,443+22,502$1,606
MARATHON OIL CORP 65,897 +10,897 $1,592
     MRO65,897+10,897$1,592
GLOBE LIFE INC 12,968 +12,968 $1,578
     GL12,968+12,968$1,578
NORTHROP GRUMMAN CORP 3,343 +2,824 $1,565
     NOC3,343+2,824$1,565
ULTA BEAUTY INC 3,141 +1,186 $1,539
     ULTA3,141+1,186$1,539
TARGA RES CORP 17,481 +6,206 $1,519
     TRGP17,481+6,206$1,519
WYNN RESORTS LTD 16,675 +11,999 $1,519
     WYNN16,675+11,999$1,519
HCA HEALTHCARE INC 5,583 +3,359 $1,511
     HCA5,583+3,359$1,511
EVERGY INC 28,251 +28,251 $1,475
     EVRG28,251+28,251$1,475
PROGRESSIVE CORP 9,201 +3,623 $1,466
     PGR9,201+3,623$1,466
ALLSTATE CORP 10,433 +10,433 $1,460
     ALL10,433+10,433$1,460
FIRST SOLAR INC 8,429 +4,001 $1,452
     FSLR8,429+4,001$1,452
APPLE INC 7,534 -13,452 $1,451
     AAPL7,534-13,452$1,451
TRAVELERS COMPANIES INC 7,568 +2,663 $1,442
     TRV7,568+2,663$1,442
ACADIA PHARMACEUTICALS INC 45,389 +25,033 $1,421
     ACAD45,389+25,033$1,421
LENNAR CORP 9,467 -1,429 $1,411
     LEN9,467-1,429$1,411
SYSCO CORP 19,290 +19,290 $1,411
     SYY19,290+19,290$1,411
PNC FINL SVCS GROUP INC 9,098 +3,012 $1,409
     PNC9,098+3,012$1,409
PRICE T ROWE GROUP INC 12,921 +12,921 $1,391
     TROW12,921+12,921$1,391
NEUROCRINE BIOSCIENCES INC 10,203 +3,411 $1,344
     NBIX10,203+3,411$1,344
CADENCE DESIGN SYSTEM INC 4,863 +2,774 $1,325
     CDNS4,863+2,774$1,325
AMERICAN INTL GROUP INC 19,494 +10,550 $1,321
     AIG19,494+10,550$1,321
MURPHY OIL CORP 30,790 +14,890 $1,314
     MUR30,790+14,890$1,314
BLACKROCK INC 1,604 +588 $1,302
     BLK1,604+588$1,302
DRAFTKINGS INC NEW 36,702 +26,239 $1,294
     DKNG36,702+26,239$1,294
XCEL ENERGY INC 20,852 +20,852 $1,291
     XEL20,852+20,852$1,291
CINCINNATI FINL CORP 12,300 +7,163 $1,273
     CINF12,300+7,163$1,273
KLA CORP 2,136 +2,136 $1,242
     KLAC2,136+2,136$1,242
OLD DOMINION FREIGHT LINE IN 3,037 +2,022 $1,231
     ODFL3,037+2,022$1,231
KIMBERLY CLARK CORP 10,121 +6,053 $1,230
     KMB10,121+6,053$1,230
ENBRIDGE INC 33,608 +15,003 $1,211
     ENB33,608+15,003$1,211
LPL FINL HLDGS INC 5,316 +623 $1,210
     LPLA5,316+623$1,210
L3HARRIS TECHNOLOGIES INC 5,708 +3,260 $1,202
     LHX5,708+3,260$1,202
ADOBE INC 2,012 +853 $1,200
     ADBE2,012+853$1,200
OSCAR HEALTH INC 129,231 +53,307 $1,182
     OSCR129,231+53,307$1,182
CENTERPOINT ENERGY INC 40,364 +6,824 $1,153
     CNP40,364+6,824$1,153
SHERWIN WILLIAMS CO 3,657 -454 $1,141
     SHW3,657-454$1,141
NEXTERA ENERGY INC 18,617 +9,721 $1,131
     NEE18,617+9,721$1,131
GOLDMAN SACHS GROUP INC 2,929 +429 $1,130
     GS2,929+429$1,130
RPM INTL INC 10,117 +10,117 $1,129
     RPM10,117+10,117$1,129
INSULET CORP 4,959 +3,640 $1,076
     PODD4,959+3,640$1,076
MORGAN STANLEY 11,472 +5,420 $1,070
     MS11,472+5,420$1,070
HILTON WORLDWIDE HLDGS INC 5,852 +5,852 $1,066
     HLT5,852+5,852$1,066
ROYAL BK CDA 10,534 +6,820 $1,065
     RY10,534+6,820$1,065
BLOCK INC 13,600 +1,910 $1,052
     SQ13,600+1,910$1,052
MARKETAXESS HLDGS INC 3,550 +2,434 $1,040
     MKTX3,550+2,434$1,040
PAYCHEX INC 8,619 +612 $1,027
     PAYX8,619+612$1,027
FREEPORT MCMORAN INC 23,666 +9,496 $1,007
     FCX23,666+9,496$1,007
KINDER MORGAN INC DEL 57,026 +27,226 $1,006
     KMI57,026+27,226$1,006
BRISTOL MYERS SQUIBB CO 19,311 +13,315 $991
     BMY19,311+13,315$991
E L F BEAUTY INC 6,845 +3,145 $988
     ELF6,845+3,145$988
BRIXMOR PPTY GROUP INC 41,836 +8,479 $974
     BRX41,836+8,479$974
FERGUSON PLC NEW 4,982 +1,608 $962
     FERG4,982+1,608$962
IDEXX LABS INC 1,715 +800 $952
     IDXX1,715+800$952
FIDELITY NATIONAL FINANCIAL FNF GROUP 18,631 +7,222 $951
     FNF18,631+7,222$951
METTLER TOLEDO INTERNATIONAL 779 +779 $945
     MTD779+779$945
COCA COLA CO 16,009 +7,936 $943
     KO16,009+7,936$943
KELLANOVA 16,740 +1,420 $936
     K16,740+1,420$936
KIMCO RLTY CORP 43,590 +25,133 $929
     KIM43,590+25,133$929
MSCI INC 1,642 +621 $929
     MSCI1,642+621$929
CITIZENS FINL GROUP INC 27,942 +15,424 $926
     CFG27,942+15,424$926
WEATHERFORD INTL PLC 9,439 +2,569 $923
     WFRD9,439+2,569$923
SAREPTA THERAPEUTICS INC 9,472 +5,084 $913
     SRPT9,472+5,084$913
HESS MIDSTREAM LP 28,575 +8,923 $904
     HESM28,575+8,923$904
HEALTHPEAK PROPERTIES INC 45,667 -3,990 $904
     PEAK45,667-3,990$904
FAIR ISAAC CORP 776 +252 $903
     FICO776+252$903
NIKE INC 8,292 +8,292 $900
     NKE8,292+8,292$900
URBAN EDGE PPTYS 48,928 +30,149 $895
     UE48,928+30,149$895
MANHATTAN ASSOCIATES INC 4,146 +1,883 $893
     MANH4,146+1,883$893
LOEWS CORP 12,825 +6,562 $892
     L12,825+6,562$892
KEURIG DR PEPPER INC 26,591 +871 $886
     KDP26,591+871$886
MASTERCARD INCORPORATED 2,077 +2,077 $886
     MA2,077+2,077$886
SMARTSHEET INC 18,477 +8,915 $884
     SMAR18,477+8,915$884
MGM RESORTS INTERNATIONAL 19,740 +19,740 $882
     MGM19,740+19,740$882
PAYPAL HLDGS INC 14,320 +4,530 $879
     PYPL14,320+4,530$879
ELME COMMUNITIES 59,980 +23,122 $876
     ELME59,980+23,122$876
ARCHER DANIELS MIDLAND CO 11,959 +8,318 $864
     ADM11,959+8,318$864
CLOROX CO DEL 6,059 +1,245 $864
     CLX6,059+1,245$864
REXFORD INDL RLTY INC 15,344 +3,792 $861
     REXR15,344+3,792$861
CORTEVA INC 17,950 +266 $860
     CTVA17,950+266$860
NUTANIX INC 17,807 +9,644 $849
     NTNX17,807+9,644$849
BLACK HILLS CORP 15,624 +8,471 $843
     BKH15,624+8,471$843
TRANSDIGM GROUP INC 828 +828 $838
     TDG828+828$838
GRAINGER W W INC 1,002 +1,002 $830
     GWW1,002+1,002$830
AT&T INC 48,527 +13,874 $814
     T48,527+13,874$814
ECOLAB INC 4,083 +2,657 $810
     ECL4,083+2,657$810
OREILLY AUTOMOTIVE INC 836 +506 $794
     ORLY836+506$794
EXACT SCIENCES CORP 10,530 +3,089 $779
     EXAS10,530+3,089$779
MONGODB INC 1,900 +457 $777
     MDB1,900+457$777
HUBBELL INC 2,353 +1,574 $774
     HUBB2,353+1,574$774
RESMED INC 4,470 +1,338 $769
     RMD4,470+1,338$769
EPAM SYS INC 2,567 +1,014 $763
     EPAM2,567+1,014$763
BURLINGTON STORES INC 3,915 +1,933 $761
     BURL3,915+1,933$761
LAUDER ESTEE COS INC 5,199 +5,199 $760
     EL5,199+5,199$760
LADDER CAP CORP 64,824 +25,172 $746
     LADR64,824+25,172$746
WINGSTOP INC 2,900 +1,459 $744
     WING2,900+1,459$744
WAYFAIR INC 11,989 +5,920 $740
     W11,989+5,920$740
ALKERMES PLC 26,567 +11,404 $737
     ALKS26,567+11,404$737
KEYSIGHT TECHNOLOGIES INC 4,625 +942 $736
     KEYS4,625+942$736
CARETRUST REIT INC 32,668 +21,557 $731
     CTRE32,668+21,557$731
EXLSERVICE HOLDINGS INC 23,569 +9,521 $727
     EXLS23,569+9,521$727
UPSTART HLDGS INC 17,706 +8,218 $723
     UPST17,706+8,218$723
APPFOLIO INC 4,137 +2,221 $717
     APPF4,137+2,221$717
HOLOGIC INC 9,998 +9,998 $714
     HOLX9,998+9,998$714
YELP INC 15,081 +9,660 $714
     YELP15,081+9,660$714
KITE RLTY GROUP TR 31,129 +17,231 $712
     KRG31,129+17,231$712
DUOLINGO INC 3,134 +3,134 $711
     DUOL3,134+3,134$711
MIMEDX GROUP INC 80,480 +26,361 $706
     MDXG80,480+26,361$706
BANK AMERICA CORP 20,912 +20,912 $704
     BAC20,912+20,912$704
AXON ENTERPRISE INC 2,719 +2,719 $702
     AXON2,719+2,719$702
MEDPACE HLDGS INC 2,282 +923 $700
     MEDP2,282+923$700
MARRIOTT VACATIONS WORLDWIDE 8,221 +8,221 $698
     VAC8,221+8,221$698
RTX CORPORATION 8,216 +8,216 $691
     RTX8,216+8,216$691
MANULIFE FINL CORP 31,224 +18,789 $690
     MFC31,224+18,789$690
BOOZ ALLEN HAMILTON HLDG COR 5,382 +2,762 $688
     BAH5,382+2,762$688
BLOCK H & R INC 14,216 +14,216 $688
     HRB14,216+14,216$688
AFFIRM HLDGS INC 13,985 +4,061 $687
     AFRM13,985+4,061$687
LULULEMON ATHLETICA INC 1,344 +56 $687
     LULU1,344+56$687
TARGET CORP 4,810 +2,212 $685
     TGT4,810+2,212$685
NEW JERSEY RES CORP 15,072 +7,952 $672
     NJR15,072+7,952$672
IRON MTN INC DEL 9,441 +9,441 $661
     IRM9,441+9,441$661
MOTOROLA SOLUTIONS INC 2,109 +729 $660
     MSI2,109+729$660
CHOICE HOTELS INTL INC 5,793 +5,793 $656
     CHH5,793+5,793$656
ITRON INC 8,677 +4,307 $655
     ITRI8,677+4,307$655
PAYCOM SOFTWARE INC 3,156 +3,156 $652
     PAYC3,156+3,156$652
EOG RES INC 5,357 +3,359 $648
     EOG5,357+3,359$648
INCYTE CORP 10,321 +4,368 $648
     INCY10,321+4,368$648
COINBASE GLOBAL INC 3,673 +3,673 $639
     COIN3,673+3,673$639
FORTINET INC 10,758 +532 $630
     FTNT10,758+532$630
WOODWARD INC 4,619 +4,619 $629
     WWD4,619+4,619$629
SYNOPSYS INC 1,218 -140 $627
     SNPS1,218-140$627
ROLLINS INC 14,252 +14,252 $622
     ROL14,252+14,252$622
T MOBILE US INC 3,849 -2,835 $617
     TMUS3,849-2,835$617
EQUITY RESIDENTIAL 10,036 -5,899 $614
     EQR10,036-5,899$614
TERADATA CORP DEL 14,029 +7,870 $610
     TDC14,029+7,870$610
BILL HOLDINGS INC 7,468 +4,386 $609
     BILL7,468+4,386$609
DT MIDSTREAM INC 11,064 +4,511 $606
     DTM11,064+4,511$606
FIRST HORIZON CORPORATION 42,800 +12,810 $606
     FHN42,800+12,810$606
INTEGRA LIFESCIENCES HLDGS C 13,831 +3,697 $602
     IART13,831+3,697$602
UGI CORP NEW 24,368 +8,769 $599
     UGI24,368+8,769$599
LIFE TIME GROUP HOLDINGS INC 39,129 +20,634 $590
     LTH39,129+20,634$590
ELECTRONIC ARTS INC 4,306 +2,268 $589
     EA4,306+2,268$589
HASHICORP INC 24,914 +13,141 $589
     HCP24,914+13,141$589
VERTEX PHARMACEUTICALS INC 1,443 +1,443 $587
     VRTX1,443+1,443$587
SIRIUS XM HOLDINGS INC 107,034 +51,877 $585
     SIRI107,034+51,877$585
EATON CORP PLC 2,419 +2,419 $583
     ETN2,419+2,419$583
INVITATION HOMES INC 17,027 +17,027 $581
     INVH17,027+17,027$581
UDEMY INC 39,078 +26,869 $576
     UDMY39,078+26,869$576
PERRIGO CO PLC 17,670 +9,225 $569
     PRGO17,670+9,225$569
CLEARWAY ENERGY INC 20,536 +5,854 $563
     CWEN20,536+5,854$563
VICI PPTYS INC 17,408 +17,408 $555
     VICI17,408+17,408$555
HENRY JACK & ASSOC INC 3,393 +3,393 $554
     JKHY3,393+3,393$554
GLOBUS MED INC 10,281 +3,037 $548
     GMED10,281+3,037$548
UNIVERSAL HLTH SVCS INC 3,586 +1,508 $547
     UHS3,586+1,508$547
AES CORP 28,382 +28,382 $546
     AES28,382+28,382$546
GITLAB INC CLASS A 8,673 +8,673 $546
     GTLB8,673+8,673$546
IRONWOOD PHARMACEUTICALS INC 47,548 +29,420 $544
     IRWD47,548+29,420$544
RAPID7 INC 9,525 +2,492 $544
     RPD9,525+2,492$544
ELASTIC N V 4,805 +1,730 $542
     ESTC4,805+1,730$542
NVR INC 77 UNCH $539
     NVR77UNCH$539
DOCUSIGN INC 9,032 +9,032 $537
     DOCU9,032+9,032$537
LAMB WESTON HLDGS INC 4,931 +4,931 $533
     LW4,931+4,931$533
SBA COMMUNICATIONS CORP NEW 2,097 +270 $532
     SBAC2,097+270$532
CLEAR SECURE INC 25,783 +25,783 $532
     YOU25,783+25,783$532
HP INC 17,500 -13,488 $527
     HPQ17,500-13,488$527
ALTERYX INC 11,071 +1,685 $522
     AYX11,071+1,685$522
SHOALS TECHNOLOGIES GROUP IN 33,111 +18,355 $515
     SHLS33,111+18,355$515
SAIA INC 1,172 +1,172 $514
     SAIA1,172+1,172$514
GENERAL ELECTRIC CO 4,015 +2,038 $512
     GE4,015+2,038$512
LOUISIANA PAC CORP 7,232 +2,209 $512
     LPX7,232+2,209$512
EXPEDIA GROUP INC 3,369 +3,369 $511
     EXPE3,369+3,369$511
INSPERITY INC 4,342 +4,342 $509
     NSP4,342+4,342$509
SPOTIFY TECHNOLOGY S A 2,676 +864 $503
     SPOT2,676+864$503
MOLSON COORS BEVERAGE CO 8,195 +696 $502
     TAP8,195+696$502
WYNDHAM HOTELS & RESORTS INC 6,233 +6,233 $501
     WH6,233+6,233$501
AMERIPRISE FINL INC 1,315 +1,315 $499
     AMP1,315+1,315$499
EXELIXIS INC 20,703 +7,695 $497
     EXEL20,703+7,695$497
WILLIS TOWERS WATSON PLC LTD 2,049 +2,049 $494
     WTW2,049+2,049$494
COURSERA INC 25,106 +12,826 $486
     COUR25,106+12,826$486
ROKU INC 5,300 +5,300 $486
     ROKU5,300+5,300$486
IRIDIUM COMMUNICATIONS INC 11,651 +5,482 $480
     IRDM11,651+5,482$480
PROSPERITY BANCSHARES INC (PB) 7,085 -2,811 $480
     PB7,085-2,811$480
CHEGG INC 42,039 +25,709 $478
     CHGG42,039+25,709$478
NAPCO SEC TECHNOLOGIES INC 13,965 +13,965 $478
     NSSC13,965+13,965$478
TE CONNECTIVITY LTD 3,393 +3,393 $477
     TEL3,393+3,393$477
GENERAL MTRS CO 13,119 -4,228 $471
     GM13,119-4,228$471
CME GROUP INC 2,231 -591 $470
     CME2,231-591$470
GENERAL MLS INC 7,221 +7,221 $470
     GIS7,221+7,221$470
CINTAS CORP 779 +27 $469
     CTAS779+27$469
EMPIRE ST RLTY TR INC 48,263 +23,013 $468
     ESRT48,263+23,013$468
SERVICE CORP INTL 6,805 +6,805 $466
     SCI6,805+6,805$466
ROYALTY PHARMA PLC 16,468 +2,335 $463
     RPRX16,468+2,335$463
GRAND CANYON ED INC 3,500 +3,500 $462
     LOPE3,500+3,500$462
INTAPP INC 12,109 +5,881 $460
     INTA12,109+5,881$460
FEDEX CORP 1,814 +87 $459
     FDX1,814+87$459
Q2 HLDGS INC 10,547 +2,690 $458
     QTWO10,547+2,690$458
ACADIA RLTY TR 26,770 -145 $455
     AKR26,770-145$455
COUSINS PPTYS INC 18,672 +7,171 $455
     CUZ18,672+7,171$455
BADGER METER INC 2,935 +1,161 $453
     BMI2,935+1,161$453
NATIONAL VISION HLDGS INC 21,607 +8,614 $452
     EYE21,607+8,614$452
REGENERON PHARMACEUTICALS 514 +35 $451
     REGN514+35$451
WALMART INC 2,787 -5,231 $439
     WMT2,787-5,231$439
INFORMATICA INC 15,419 +5,315 $438
     INFA15,419+5,315$438
GUIDEWIRE SOFTWARE INC 4,008 +4,008 $437
     GWRE4,008+4,008$437
ESSENTIAL UTILS INC 11,687 +4,209 $437
     WTRG11,687+4,209$437
CALIX INC 9,965 +5,353 $435
     CALX9,965+5,353$435
HELIX ENERGY SOLUTIONS GRP I 42,344 +16,704 $435
     HLX42,344+16,704$435
PROCORE TECHNOLOGIES INC 6,274 +6,274 $434
     PCOR6,274+6,274$434
STRYKER CORPORATION 1,446 +386 $433
     SYK1,446+386$433
US FOODS HLDG CORP 9,544 +4,423 $433
     USFD9,544+4,423$433
AVIDXCHANGE HOLDINGS INC 34,810 +16,772 $431
     AVDX34,810+16,772$431
BEACON ROOFING SUPPLY INC 4,914 +4,914 $428
     BECN4,914+4,914$428
TRANSUNION 6,169 +6,169 $424
     TRU6,169+6,169$424
KEMPER CORP 8,701 +3,767 $423
     KMPR8,701+3,767$423
OLD REP INTL CORP 14,335 +14,335 $421
     ORI14,335+14,335$421
VERISIGN INC 2,041 +2,041 $420
     VRSN2,041+2,041$420
CAMPBELL SOUP CO 9,647 +278 $417
     CPB9,647+278$417
RINGCENTRAL INC 12,180 +3,048 $414
     RNG12,180+3,048$414
BLACKLINE INC 6,607 +6,607 $413
     BL6,607+6,607$413
ABERCROMBIE & FITCH CO 4,660 +805 $411
     ANF4,660+805$411
MCCORMICK & CO INC 6,001 +2,134 $411
     MKC6,001+2,134$411
CVS HEALTH CORP 5,188 -5,165 $410
     CVS5,188-5,165$410
DEXCOM INC 3,292 +3,292 $409
     DXCM3,292+3,292$409
PPL CORP 15,040 +15,040 $408
     PPL15,040+15,040$408
BOX INC 15,800 +15,800 $405
     BOX15,800+15,800$405
CURTISS WRIGHT CORP 1,820 +1,820 $405
     CW1,820+1,820$405
PARKER HANNIFIN CORP 877 +877 $404
     PH877+877$404
ALEXANDER & BALDWIN INC NEW 21,033 +10,885 $400
     ALEX21,033+10,885$400
NERDWALLET INC 27,168 +11,859 $400
     NRDS27,168+11,859$400
AMERICAN WTR WKS CO INC NEW 3,003 -4,309 $396
     AWK3,003-4,309$396
SITE CTRS CORP 29,041 +29,041 $396
     SITC29,041+29,041$396
ADTALEM GLOBAL ED INC 6,682 +6,682 $394
     ATGE6,682+6,682$394
MOODYS CORP 1,006 +240 $393
     MCO1,006+240$393
FMC CORP 6,225 +1,884 $392
     FMC6,225+1,884$392
SIMON PPTY GROUP INC NEW 2,719 +2,719 $388
     SPG2,719+2,719$388
HOWMET AEROSPACE INC 7,070 +7,070 $383
     HWM7,070+7,070$383
INSTALLED BLDG PRODS INC 2,088 +284 $382
     IBP2,088+284$382
CORCEPT THERAPEUTICS INC 11,719 +11,719 $381
     CORT11,719+11,719$381
PLANET FITNESS INC 5,224 +5,224 $381
     PLNT5,224+5,224$381
GAMESTOP CORP NEW 21,569 +21,569 $378
     GME21,569+21,569$378
MOHAWK INDS INC 3,650 +3,650 $378
     MHK3,650+3,650$378
FORWARD AIR CORP 5,976 +5,976 $376
     FWRD5,976+5,976$376
BLOOMIN BRANDS INC 13,312 +4,483 $375
     BLMN13,312+4,483$375
QORVO INC 3,322 +797 $374
     QRVO3,322+797$374
APPLOVIN CORP 9,338 +9,338 $372
     APP9,338+9,338$372
SYMBOTIC INC CLASS A 7,225 +7,225 $371
     SYM7,225+7,225$371
AVANGRID INC 11,312 +11,312 $367
     AGR11,312+11,312$367
COMMVAULT SYS INC 4,591 +4,591 $367
     CVLT4,591+4,591$367
WELLS FARGO CO NEW 7,455 +7,455 $367
     WFC7,455+7,455$367
UDR INC 9,529 +9,529 $365
     UDR9,529+9,529$365
VICTORIAS SECRET AND CO 13,718 +13,718 $364
     VSCO13,718+13,718$364
VERIZON COMMUNICATIONS INC 9,647 +9,647 $364
     VZ9,647+9,647$364
BAKER HUGHES COMPANY 10,609 +3,551 $363
     BKR10,609+3,551$363
BROWN & BROWN INC 5,099 +5,099 $363
     BRO5,099+5,099$363
SQUARESPACE INC 10,929 +10,929 $361
     SQSP10,929+10,929$361
D R HORTON INC 2,368 +2,368 $360
     DHI2,368+2,368$360
M D C HLDGS INC 6,452 -5,266 $356
     MDC6,452-5,266$356
AIR PRODS & CHEMS INC 1,288 +349 $353
     APD1,288+349$353
NOV INC 17,195 -885 $349
     NOV17,195-885$349
CMS ENERGY CORP 5,966 +5,966 $346
     CMS5,966+5,966$346
PAGERDUTY INC 14,962 +14,962 $346
     PD14,962+14,962$346
TOPBUILD CORP 913 UNCH $342
     BLD913UNCH$342
FRONTDOOR INC 9,698 +9,698 $342
     FTDR9,698+9,698$342
GATES INDL CORP PLC 25,360 +10,538 $340
     GTES25,360+10,538$340
JETBLUE AWYS CORP 61,186 +61,186 $340
     JBLU61,186+61,186$340
ADVANCE AUTO PARTS INC 5,552 +1,265 $339
     AAP5,552+1,265$339
REGENCY CTRS CORP 5,051 -3,747 $338
     REG5,051-3,747$338
AMERICAN EXPRESS CO 1,771 +1,771 $332
     AXP1,771+1,771$332
CREDO TECHNOLOGY GROUP HOLDI 17,065 +5,572 $332
     CRDO17,065+5,572$332
COMPASS MINERALS INTL INC 13,015 +5,359 $330
     CMP13,015+5,359$330
PACCAR INC 3,345 +3,345 $327
     PCAR3,345+3,345$327
UNITEDHEALTH GROUP INC 621 -1,167 $327
     UNH621-1,167$327
ARCHROCK INC 21,072 +21,072 $325
     AROC21,072+21,072$325
EXTREME NETWORKS 18,338 +18,338 $323
     EXTR18,338+18,338$323
ZSCALER INC 1,459 +1,459 $323
     ZS1,459+1,459$323
AXALTA COATING SYS LTD 9,483 +9,483 $322
     AXTA9,483+9,483$322
LEGALZOOM COM INC 28,422 +10,862 $321
     LZ28,422+10,862$321
MERCK & CO INC 2,947 +2,947 $321
     MRK2,947+2,947$321
PLYMOUTH INDL REIT INC 13,286 +13,286 $320
     PLYM13,286+13,286$320
ROYAL CARIBBEAN GROUP 2,464 +2,464 $319
     RCL2,464+2,464$319
RAMBUS INC DEL 4,671 +4,671 $319
     RMBS4,671+4,671$319
SYNCHRONY FINANCIAL 8,351 +8,351 $319
     SYF8,351+8,351$319
APTARGROUP INC 2,571 UNCH $318
     ATR2,571UNCH$318
JANUS HENDERSON GROUP PLC 10,512 +10,512 $317
     JHG10,512+10,512$317
MYRIAD GENETICS INC 16,526 +16,526 $316
     MYGN16,526+16,526$316
ANYWHERE REAL ESTATE INC 38,853 +7,562 $315
     HOUS38,853+7,562$315
ZUORA INC 33,531 +13,468 $315
     ZUO33,531+13,468$315
THE TRADE DESK INC 4,329 +4,329 $312
     TTD4,329+4,329$312
VERALTO CORP 3,745 +3,745 $308
     VLTO3,745+3,745$308
FEDERAL SIGNAL CORP 4,000 +4,000 $307
     FSS4,000+4,000$307
SPROUT SOCIAL INC 4,997 +4,997 $307
     SPT4,997+4,997$307
SEALED AIR CORP NEW 8,374 +8,374 $306
     SEE8,374+8,374$306
BRIGHTSPIRE CAPITAL INC 40,957 +8,494 $305
     BRSP40,957+8,494$305
ARLO TECHNOLOGIES INC 31,964 +6,226 $304
     ARLO31,964+6,226$304
STEEL DYNAMICS INC 2,570 +2,570 $304
     STLD2,570+2,570$304
ASGN INC 3,150 +3,150 $303
     ASGN3,150+3,150$303
TRI POINTE HOMES INC 8,567 -3,852 $303
     TPH8,567-3,852$303
VERIS RESIDENTIAL INC 19,288 +7,075 $303
     VRE19,288+7,075$303
MR COOPER GROUP INC 4,608 +4,608 $300
     COOP4,608+4,608$300
PENTAIR PLC 4,096 +311 $298
     PNR4,096+311$298
BANK OZK LITTLE ROCK ARK 5,943 +5,943 $296
     OZK5,943+5,943$296
SENTINELONE INC 10,742 +10,742 $295
     S10,742+10,742$295
EMBECTA CORP 15,556 +15,556 $294
     EMBC15,556+15,556$294
FORD MTR CO DEL 24,153 -12,515 $294
     F24,153-12,515$294
MGIC INVT CORP WIS 15,191 +15,191 $293
     MTG15,191+15,191$293
CACTUS INC 6,445 +6,445 $293
     WHD6,445+6,445$293
CDW CORP 1,276 -2,672 $290
     CDW1,276-2,672$290
PACIFIC PREMIER BANCORP 9,885 +9,885 $288
     PPBI9,885+9,885$288
DIAMOND OFFSHORE DRILLING IN 22,109 +9,430 $287
     DO22,109+9,430$287
G III APPAREL GROUP LTD 8,417 +8,417 $286
     GIII8,417+8,417$286
BRIGHTSPHERE INVT GROUP INC 14,862 +14,862 $285
     BSIG14,862+14,862$285
INTERNATIONAL MNY EXPRESS IN 12,919 +12,919 $285
     IMXI12,919+12,919$285
HANOVER INS GROUP INC 2,350 +2,350 $285
     THG2,350+2,350$285
TRUSTMARK CORP 10,238 +10,238 $285
     TRMK10,238+10,238$285
IDEX CORP 1,308 +1,308 $284
     IEX1,308+1,308$284
LEIDOS HOLDINGS INC 2,616 -167 $283
     LDOS2,616-167$283
ARES CAPITAL CORP 14,024 +14,024 $281
     ARCC14,024+14,024$281
CEREVEL THERAPEUTICS HLDNG I 6,530 +6,530 $277
     CERE6,530+6,530$277
ENVISTA HOLDINGS CORPORATION 11,500 +11,500 $277
     NVST11,500+11,500$277
GENUINE PARTS CO 1,986 +1,986 $275
     GPC1,986+1,986$275
OGE ENERGY CORP 7,868 +7,868 $275
     OGE7,868+7,868$275
DOMINOS PIZZA INC 664 +664 $274
     DPZ664+664$274
FLUOR CORP NEW 6,993 +6,993 $274
     FLR6,993+6,993$274
LAS VEGAS SANDS CORP 5,542 +5,542 $273
     LVS5,542+5,542$273
AMERICAN HOMES 4 RENT 7,494 +7,494 $269
     AMH7,494+7,494$269
CORE & MAIN INC 6,662 +6,662 $269
     CNM6,662+6,662$269
FRANKLIN ELEC INC 2,781 +2,781 $269
     FELE2,781+2,781$269
COGNIZANT TECHNOLOGY SOLUTIO 3,534 +3,534 $267
     CTSH3,534+3,534$267
GLOBAL PMTS INC 2,104 -541 $267
     GPN2,104-541$267
PTC THERAPEUTICS INC 9,704 +9,704 $267
     PTCT9,704+9,704$267
CHEWY INC 11,240 +11,240 $266
     CHWY11,240+11,240$266
TEMPUR SEALY INTL INC 5,226 +5,226 $266
     TPX5,226+5,226$266
UMH PPTYS INC 17,275 +17,275 $265
     UMH17,275+17,275$265
PROG HOLDINGS INC 8,545 +8,545 $264
     PRG8,545+8,545$264
NEW YORK TIMES CO 5,357 +5,357 $262
     NYT5,357+5,357$262
CROWN CASTLE INC 2,265 +2,265 $261
     CCI2,265+2,265$261
CARDINAL HEALTH INC 2,584 +2,584 $260
     CAH2,584+2,584$260
GENERAC HLDGS INC 2,006 -64 $259
     GNRC2,006-64$259
HIMS & HERS HEALTH INC 28,923 +15,646 $257
     HIMS28,923+15,646$257
FULLER H B CO 3,127 +3,127 $255
     FUL3,127+3,127$255
PEMBINA PIPELINE CORP 7,420 +7,420 $255
     PBA7,420+7,420$255
TANGER INC 9,206 +9,206 $255
     SKT9,206+9,206$255
DANAHER CORPORATION 1,098 +1,098 $254
     DHR1,098+1,098$254
HONEYWELL INTL INC 1,207 -408 $253
     HON1,207-408$253
MFA FINL INC 22,432 +581 $253
     MFA22,432+581$253
SMART GLOBAL HLDGS INC 13,350 +13,350 $253
     SGH13,350+13,350$253
SHAKE SHACK INC 3,413 +3,413 $253
     SHAK3,413+3,413$253
BRIGHTHOUSE FINL INC 4,760 +4,760 $252
     BHF4,760+4,760$252
PROVIDENT FINL SVCS INC 13,967 +13,967 $252
     PFS13,967+13,967$252
DRIVEN BRANDS HLDGS INC 17,561 +17,561 $250
     DRVN17,561+17,561$250
KINSALE CAP GROUP INC 741 +741 $248
     KNSL741+741$248
UNITED BANKSHARES INC WEST V (UBSI) 6,592 +6,592 $248
     UBSI6,592+6,592$248
AUTODESK INC 1,014 +1,014 $247
     ADSK1,014+1,014$247
BELLRING BRANDS INC 4,464 +4,464 $247
     BRBR4,464+4,464$247
CHORD ENERGY CORPORATION 1,483 +100 $247
     CHRD1,483+100$247
DELTA AIR LINES INC DEL 6,062 +6,062 $244
     DAL6,062+6,062$244
INTUIT 388 -318 $243
     INTU388-318$243
ZETA GLOBAL HOLDINGS CORP 27,386 +27,386 $242
     ZETA27,386+27,386$242
DISCOVER FINL SVCS 2,110 -1,532 $237
     DFS2,110-1,532$237
HUBSPOT INC 409 -10 $237
     HUBS409-10$237
PARSONS CORP DEL 3,782 +3,782 $237
     PSN3,782+3,782$237
OPENDOOR TECHNOLOGIES INC 52,772 +52,772 $236
     OPEN52,772+52,772$236
ENVESTNET INC 4,738 +4,738 $235
     ENV4,738+4,738$235
LEGGETT & PLATT INC 8,978 +8,978 $235
     LEG8,978+8,978$235
NATERA INC 3,723 +3,723 $233
     NTRA3,723+3,723$233
FARO TECHNOLOGIES INC 10,232 +10,232 $231
     FARO10,232+10,232$231
AMICUS THERAPEUTICS INC 16,162 +16,162 $229
     FOLD16,162+16,162$229
IMPERIAL OIL LTD 3,997 +3,997 $229
     IMO3,997+3,997$229
NETSCOUT SYS INC 10,275 +10,275 $226
     NTCT10,275+10,275$226
WEAVE COMMUNICATIONS INC 19,716 +19,716 $226
     WEAV19,716+19,716$226
COMFORT SYS USA INC 1,095 -115 $225
     FIX1,095-115$225
THOR INDS INC 1,892 +1,892 $224
     THO1,892+1,892$224
WW INTL INC 25,434 +9,669 $223
     WW25,434+9,669$223
AMER STATES WTR CO 2,763 +2,763 $222
     AWR2,763+2,763$222
CLOUDFLARE INC 2,663 +2,663 $222
     NET2,663+2,663$222
PEGASYSTEMS INC 4,528 +4,528 $221
     PEGA4,528+4,528$221
MADISON SQUARE GRDN SPRT COR 1,207 +1,207 $219
     MSGS1,207+1,207$219
VALERO ENERGY CORP 1,682 -831 $219
     VLO1,682-831$219
HALOZYME THERAPEUTICS INC 5,904 +5,904 $218
     HALO5,904+5,904$218
APARTMENT INCOME REIT CORP 6,228 +6,228 $216
     AIRC6,228+6,228$216
BLUE BIRD CORP 7,934 +7,934 $214
     BLBD7,934+7,934$214
CAESARS ENTERTAINMENT INC NE 4,558 +4,558 $214
     CZR4,558+4,558$214
GLOBAL NET LEASE INC 21,535 +8,836 $214
     GNL21,535+8,836$214
HARMONY BIOSCIENCES HLDGS IN 6,611 +6,611 $214
     HRMY6,611+6,611$214
HEXCEL CORP NEW 2,883 +2,883 $213
     HXL2,883+2,883$213
EDISON INTL 2,969 +2,969 $212
     EIX2,969+2,969$212
CAMDEN PPTY TR 2,115 -2,719 $210
     CPT2,115-2,719$210
OSHKOSH CORP 1,939 +1,939 $210
     OSK1,939+1,939$210
PATTERSON UTI ENERGY INC 19,465 +19,465 $210
     PTEN19,465+19,465$210
ZIMMER BIOMET HOLDINGS INC 1,724 +1,724 $210
     ZBH1,724+1,724$210
XPERI INC 18,924 +5,896 $209
     XPER18,924+5,896$209
DOLLAR GEN CORP NEW 1,533 +1,533 $208
     DG1,533+1,533$208
CARTERS INC 2,761 +2,761 $207
     CRI2,761+2,761$207
HAWAIIAN ELEC INDUSTRIES 14,505 +14,505 $206
     HE14,505+14,505$206
MODINE MFG CO 3,447 +3,447 $206
     MOD3,447+3,447$206
PACKAGING CORP AMER 1,267 -44 $206
     PKG1,267-44$206
TRANSOCEAN LTD REG 32,490 +15,158 $206
     RIG32,490+15,158$206
SABRE CORP 46,879 +34,469 $206
     SABR46,879+34,469$206
FEDERAL RLTY INVT TR NEW 1,993 +1,993 $205
     FRT1,993+1,993$205
MARATHON PETE CORP 1,381 +44 $205
     MPC1,381+44$205
ENACT HLDGS INC 7,066 +7,066 $204
     ACT7,066+7,066$204
PORTLAND GEN ELEC CO 4,698 +4,698 $204
     POR4,698+4,698$204
TRIMBLE INC 3,830 -7,018 $204
     TRMB3,830-7,018$204
HOME BANCSHARES INC (HOMB) 7,970 +7,970 $202
     HOMB7,970+7,970$202
AMCOR PLC 20,853 +20,853 $201
     AMCR20,853+20,853$201
HAIN CELESTIAL GROUP INC 18,351 +18,351 $201
     HAIN18,351+18,351$201
VIZIO HLDG CORP 26,129 +11,352 $201
     VZIO26,129+11,352$201
HEWLETT PACKARD ENTERPRISE C 11,790 +11,790 $200
     HPE11,790+11,790$200
PROPETRO HLDG CORP 23,819 +23,819 $200
     PUMP23,819+23,819$200
ELANCO ANIMAL HEALTH INC 13,300 +3,265 $198
     ELAN13,300+3,265$198
APARTMENT INVT & MGMT CO 25,033 +5,558 $196
     AIV25,033+5,558$196
EVERI HLDGS INC 16,570 +16,570 $187
     EVRI16,570+16,570$187
LYFT INC 12,441 +12,441 $186
     LYFT12,441+12,441$186
STEELCASE INC 13,668 +13,668 $185
     SCS13,668+13,668$185
PERDOCEO ED CORP 10,320 +10,320 $181
     PRDO10,320+10,320$181
ENERPLUS CORP 11,660 +11,660 $179
     ERF11,660+11,660$179
GOLUB CAP BDC INC 11,879 +11,879 $179
     GBDC11,879+11,879$179
MARQETA INC CLASS A 25,405 +15,329 $177
     MQ25,405+15,329$177
TTM TECHNOLOGIES INC 11,130 +11,130 $176
     TTMI11,130+11,130$176
WESTERN UN CO 14,456 +14,456 $172
     WU14,456+14,456$172
YEXT INC 29,182 +12,372 $172
     YEXT29,182+12,372$172
VERADIGM INC 16,183 +16,183 $170
     MDRX16,183+16,183$170
ZIPRECRUITER INC 12,169 +12,169 $169
     ZIP12,169+12,169$169
WARBY PARKER INC 11,908 +11,908 $168
     WRBY11,908+11,908$168
REDFIN CORP 16,062 +16,062 $166
     RDFN16,062+16,062$166
WK KELLOGG CO 12,478 +12,478 $164
     KLG12,478+12,478$164
XPONENTIAL FITNESS INC 12,656 +12,656 $163
     XPOF12,656+12,656$163
SPRINKLR INC 13,230 +13,230 $159
     CXM13,230+13,230$159
ROBINHOOD MKTS INC 11,898 +11,898 $152
     HOOD11,898+11,898$152
CINEMARK HLDGS INC 10,475 -3,687 $148
     CNK10,475-3,687$148
DOMO INC 14,262 +3,621 $147
     DOMO14,262+3,621$147
KENNEDY WILSON HOLDINGS INC 11,861 +11,861 $147
     KW11,861+11,861$147
AMERICAN VANGUARD CORP (AVD) 13,021 +13,021 $143
     AVD13,021+13,021$143
SOLARWINDS CORP 11,450 +11,450 $143
     SWI11,450+11,450$143
HOPE BANCORP INC 11,632 -1,486 $141
     HOPE11,632-1,486$141
MISTER CAR WASH INC 15,083 +15,083 $130
     MCW15,083+15,083$130
RITHM CAPITAL CORP 10,769 -2,169 $115
     RITM10,769-2,169$115
ECOVYST INC 10,830 +10,830 $106
     ECVT10,830+10,830$106
MIRION TECHNOLOGIES INC 10,076 -54 $103
     MIR10,076-54$103
BRIGHTVIEW HLDGS INC 11,749 +11,749 $99
     BV11,749+11,749$99
CRESCENT PT ENERGY CORP 14,105 +14,105 $98
     CPG14,105+14,105$98
MARAVAI LIFESCIENCES HLDGS I 14,002 +14,002 $92
     MRVI14,002+14,002$92
NEW YORK MTG TR INC 10,392 +10,392 $89
     NYMT10,392+10,392$89
GRANITE RIDGE RESOURCES INC 14,130 +14,130 $85
     GRNT14,130+14,130$85
OLO INC 14,546 +14,546 $83
     OLO14,546+14,546$83
OIL STS INTL INC 11,031 +130 $75
     OIS11,031+130$75
PETCO HEALTH & WELLNESS CO I 21,140 +4,937 $67
     WOOF21,140+4,937$67
TETRA TECHNOLOGIES INC DEL 13,760 +13,760 $62
     TTI13,760+13,760$62
COMPASS INC      $51
     CL A13,463+13,463$51
STITCH FIX INC 13,399 +13,399 $48
     SFIX13,399+13,399$48
COEUR MNG INC 12,242 +12,242 $40
     CDE12,242+12,242$40
AMERICAN ELEC PWR CO INC $0 (exited)
     AEP0-12,402$0
AFLAC INC $0 (exited)
     AFL0-2,950$0
ASSURANT INC $0 (exited)
     AIZ0-1,851$0
ALLY FINL INC $0 (exited)
     ALLY0-9,705$0
DOMINION ENERGY INC $0 (exited)
     D0-6,607$0
ETSY INC $0 (exited)
     ETSY0-4,691$0
FIRST BANCORP P R $0 (exited)
     FBP0-10,349$0
FIDELITY NATL INFORMATION SV $0 (exited)
     FIS0-12,466$0
HESS CORP $0 (exited)
     HES0-8,677$0
IONQ INC $0 (exited)
     IONQ0-11,858$0
SAMSARA INC $0 (exited)
     IOT0-14,665$0
LIBERTY LATIN AMERICA LTD $0 (exited)
     LILAK0-11,843$0
LINCOLN NATL CORP IND $0 (exited)
     LNC0-8,822$0
MID AMER APT CMNTYS INC $0 (exited)
     MAA0-2,670$0
MCDONALDS CORP $0 (exited)
     MCD0-1,979$0
NORFOLK SOUTHN CORP $0 (exited)
     NSC0-1,392$0
NORTHWEST BANCSHARES INC MD $0 (exited)
     NWBI0-12,366$0
OKTA INC $0 (exited)
     OKTA0-2,978$0
PULTE GROUP INC $0 (exited)
     PHM0-4,519$0
PLAYA HOTELS & RESORTS NV $0 (exited)
     PLYA0-12,325$0
PINNACLE WEST CAP CORP $0 (exited)
     PNW0-3,278$0
PURE STORAGE INC $0 (exited)
     PSTG0-10,648$0
PIONEER NAT RES CO $0 (exited)
     PXD0-6,230$0
RESTAURANT BRANDS INTL INC $0 (exited)
     QSR0-4,555$0
ROSS STORES INC $0 (exited)
     ROST0-3,526$0
SKYLINE CHAMPION CORPORATION $0 (exited)
     SKY0-3,139$0
SUNPOWER CORP $0 (exited)
     SPWR0-11,509$0
TORONTO DOMINION BK ONT $0 (exited)
     TD0-3,381$0
TJX COS INC NEW $0 (exited)
     TJX0-4,065$0
THERMO FISHER SCIENTIFIC INC $0 (exited)
     TMO0-497$0
VONTIER CORPORATION $0 (exited)
     VNT0-12,107$0
VERISK ANALYTICS INC $0 (exited)
     VRSK0-3,017$0
BERKLEY W R CORP $0 (exited)
     WRB0-9,221$0
XEROX HOLDINGS CORP 0 -16,502 $0 (exited)
     XRX0-16,502$0

See Summary: Cipher Capital LP Top Holdings
See Details: Top 10 Stocks Held By Cipher Capital LP

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