Holdings Channel
EntityShares/Amount
Change
Position Value
Change
FI +2,644,240+$351,525
UNIT +1,669,150+$9,714
BEKE +486,801+$7,957
ADT +987,548+$6,696
VLTO +61,728+$5,075
FLO +223,035+$5,018
SKY +64,314+$4,775
POST +53,386+$4,698
SKT +159,151+$4,450
BZ +260,002+$4,311
EntityShares/Amount
Change
Position Value
Change
FISV -3,506,330-$397,758
VMW -1,287,229-$215,675
ATVI -120,743-$11,331
PECO -291,291-$9,881
MGRC -86,052-$8,725
VERX -303,499-$7,078
KRG -298,106-$6,454
BPOP -92,318-$5,857
OUT -497,956-$5,109
JACK -71,855-$5,023
EntityShares/Amount
Change
Position Value
Change
OGN +2,980,945+$42,084
SFM +2,614,241+$128,080
A +1,867,377+$280,700
WFC +1,729,132+$118,917
SBUX +1,591,206+$167,443
EMR +1,558,903+$152,586
EW +1,488,791+$114,767
BKR +1,283,296+$43,511
CGNX +1,260,282+$52,237
TCOM +1,109,727+$39,963
EntityShares/Amount
Change
Position Value
Change
GEN -3,572,725-$64,236
T -3,387,423-$28,752
VZ -3,175,875-$51,571
AES -2,833,817-$43,346
PEG -2,201,271-$112,348
PKG -1,442,500-$220,583
MKC -1,401,652-$106,696
KNX -1,240,205-$62,325
AKAM -1,156,467-$92,161
Size ($ in 1000's)
At 12/31/2023: $78,754,980
At 09/30/2023: $72,015,028

Combined Holding Report Includes:
NORDEA INVESTMENT MANAGEMENT AB
NORDEA INVESTMENT MANAGEMENT NORTH AMERICA INC

Nordea Investment Management AB holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Nordea Investment Management AB 13F filings. Link to 13F filings: SEC filings

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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 11,096,033 -636,434 $4,168,447
     MSFT11,096,033-636,434$4,168,447
APPLE INC 16,832,764 -687,154 $3,244,684
     AAPL16,832,764-687,154$3,244,684
ALPHABET INC 15,173,707 +837,934 $2,118,705
     GOOGL15,173,707+837,934$2,118,705
NVIDIA CORPORATION 3,009,186 -141,464 $1,482,596
     NVDA3,009,186-141,464$1,482,596
VISA INC 5,048,593 -228,907 $1,317,026
     V5,048,593-228,907$1,317,026
JOHNSON & JOHNSON 7,968,831 -691,973 $1,246,883
     JNJ7,968,831-691,973$1,246,883
MASTERCARD INCORPORATED 2,492,261 +9,479 $1,062,750
     MA2,492,261+9,479$1,062,750
LINDE PLC 2,426,878 -165,465 $998,587
     LIN2,426,878-165,465$998,587
CISCO SYS INC 19,292,747 -111,622 $971,004
     CSCO19,292,747-111,622$971,004
UNITEDHEALTH GROUP INC 1,818,250 -120,840 $959,509
     UNH1,818,250-120,840$959,509
WASTE MGMT INC DEL 5,150,272 -215,745 $924,113
     WM5,150,272-215,745$924,113
ALPHABET INC 6,458,700 +278,888 $908,868
     GOOG6,458,700+278,888$908,868
META PLATFORMS INC 2,561,033 -78,074 $908,014
     META2,561,033-78,074$908,014
MERCK & CO INC 8,306,168 -131,036 $905,040
     MRK8,306,168-131,036$905,040
ADOBE INC 1,464,885 -458,637 $873,892
     ADBE1,464,885-458,637$873,892
COCA COLA CO 14,643,653 -726,530 $862,072
     KO14,643,653-726,530$862,072
AMAZON COM INC 5,397,520 +277,631 $825,065
     AMZN5,397,520+277,631$825,065
COMCAST CORP NEW 17,798,387 -329,049 $778,679
     CMCSA17,798,387-329,049$778,679
ELEVANCE HEALTH INC 1,632,123 +8,314 $768,387
     ELV1,632,123+8,314$768,387
THE CIGNA GROUP 2,422,935 -35,669 $724,506
     CI2,422,935-35,669$724,506
EMERSON ELEC CO 7,447,248 +1,558,903 $723,873
     EMR7,447,248+1,558,903$723,873
CVS HEALTH CORP 8,999,928 -543,089 $710,949
     CVS8,999,928-543,089$710,949
ABBVIE INC 4,400,992 -158,702 $681,934
     ABBV4,400,992-158,702$681,934
PEPSICO INC 3,778,533 +751,198 $641,557
     PEP3,778,533+751,198$641,557
SYNOPSYS INC 1,133,970 -110,642 $582,781
     SNPS1,133,970-110,642$582,781
BRISTOL MYERS SQUIBB CO 11,122,391 -554,040 $569,633
     BMY11,122,391-554,040$569,633
REPUBLIC SVCS INC 3,436,125 -353,927 $566,926
     RSG3,436,125-353,927$566,926
TJX COS INC NEW 5,881,507 +1,107,937 $554,156
     TJX5,881,507+1,107,937$554,156
FORTINET INC 8,859,457 -581,602 $519,208
     FTNT8,859,457-581,602$519,208
AMGEN INC 1,799,805 +51,207 $516,400
     AMGN1,799,805+51,207$516,400
CADENCE DESIGN SYSTEM INC 1,895,230 +1,052,228 $515,995
     CDNS1,895,230+1,052,228$515,995
AUTOZONE INC 195,084 +58,234 $501,512
     AZO195,084+58,234$501,512
BROADCOM INC 445,800 +132,591 $499,296
     AVGO445,800+132,591$499,296
AUTOMATIC DATA PROCESSING IN 2,125,551 +99,731 $494,552
     ADP2,125,551+99,731$494,552
STARBUCKS CORP 5,146,033 +1,591,206 $493,350
     SBUX5,146,033+1,591,206$493,350
NIKE INC 4,373,057 +502,425 $476,007
     NKE4,373,057+502,425$476,007
MONDELEZ INTL INC 6,433,996 -869,968 $466,336
     MDLZ6,433,996-869,968$466,336
BOOKING HOLDINGS INC 131,052 +29,316 $466,166
     BKNG131,052+29,316$466,166
JPMORGAN CHASE & CO 2,690,167 -100,053 $458,216
     JPM2,690,167-100,053$458,216
ELI LILLY & CO 777,330 -30,653 $454,621
     LLY777,330-30,653$454,621
EBAY INC. 10,385,744 -782,131 $452,091
     EBAY10,385,744-782,131$452,091
HERSHEY CO 2,355,807 -109,596 $438,816
     HSY2,355,807-109,596$438,816
COLGATE PALMOLIVE CO 5,447,781 -7,603 $433,262
     CL5,447,781-7,603$433,262
SALESFORCE INC 1,623,983 +28,251 $428,732
     CRM1,623,983+28,251$428,732
INTERNATIONAL FLAVORS&FRAGRA 5,225,893 -446,883 $423,350
     IFF5,225,893-446,883$423,350
ACCENTURE PLC IRELAND 1,193,577 -547,865 $418,528
     ACN1,193,577-547,865$418,528
UNITED RENTALS INC 703,838 -32,567 $403,651
     URI703,838-32,567$403,651
CHECK POINT SOFTWARE TECH LT 2,596,912 -130,671 $395,094
     CHKP2,596,912-130,671$395,094
VERIZON COMMUNICATIONS INC 10,475,097 -3,175,875 $392,973
     VZ10,475,097-3,175,875$392,973
PROCTER AND GAMBLE CO 2,665,253 +13,222 $390,833
     PG2,665,253+13,222$390,833
EVERSOURCE ENERGY 6,299,800 +475,341 $388,509
     ES6,299,800+475,341$388,509
ANSYS INC 1,069,915 -96,824 $387,737
     ANSS1,069,915-96,824$387,737
CONAGRA BRANDS INC 13,290,015 -783,457 $380,892
     CAG13,290,015-783,457$380,892
GLOBAL PMTS INC 2,980,048 +76,606 $379,777
     GPN2,980,048+76,606$379,777
AGILENT TECHNOLOGIES INC 2,666,416 +1,867,377 $370,552
     A2,666,416+1,867,377$370,552
CINTAS CORP 600,311 +85,662 $360,637
     CTAS600,311+85,662$360,637
LAM RESEARCH CORP 453,787 +48,482 $355,025
     LRCX453,787+48,482$355,025
ROPER TECHNOLOGIES INC 649,110 -90,495 $354,693
     ROP649,110-90,495$354,693
FISERV INC 2,644,240 +2,644,240 $351,525
     FI2,644,240+2,644,240$351,525
MCKESSON CORP 756,560 +40,907 $350,734
     MCK756,560+40,907$350,734
LKQ CORP 7,292,994 +143,632 $349,407
     LKQ7,292,994+143,632$349,407
NEXTERA ENERGY INC 5,692,656 -91,424 $346,113
     NEE5,692,656-91,424$346,113
AKAMAI TECHNOLOGIES INC 2,903,648 -1,156,467 $342,921
     AKAM2,903,648-1,156,467$342,921
HOME DEPOT INC 971,388 -564,097 $335,488
     HD971,388-564,097$335,488
MCDONALDS CORP 1,099,806 +66,090 $326,169
     MCD1,099,806+66,090$326,169
GENERAL MLS INC 4,993,035 -58,572 $325,396
     GIS4,993,035-58,572$325,396
WATERS CORP 973,537 +550,112 $322,017
     WAT973,537+550,112$322,017
ECOLAB INC 1,564,598 -730,240 $311,245
     ECL1,564,598-730,240$311,245
HILTON WORLDWIDE HLDGS INC 1,674,212 +98,790 $305,159
     HLT1,674,212+98,790$305,159
SERVICENOW INC 431,055 -5,989 $304,316
     NOW431,055-5,989$304,316
CATERPILLAR INC 1,016,464 +160,670 $298,861
     CAT1,016,464+160,670$298,861
ANALOG DEVICES INC 1,499,881 -218,621 $298,101
     ADI1,499,881-218,621$298,101
APPLIED MATLS INC 1,838,583 -23,595 $297,372
     AMAT1,838,583-23,595$297,372
MASTEC INC 3,963,774 +1,027,085 $297,006
     MTZ3,963,774+1,027,085$297,006
AMERICAN EXPRESS CO 1,574,663 +102,132 $294,856
     AXP1,574,663+102,132$294,856
TERADYNE INC 2,643,815 -533,441 $288,282
     TER2,643,815-533,441$288,282
WELLS FARGO CO NEW 5,780,421 +1,729,132 $285,668
     WFC5,780,421+1,729,132$285,668
STRYKER CORPORATION 918,574 -124,396 $274,993
     SYK918,574-124,396$274,993
CENTENE CORP DEL 3,697,692 -320,251 $274,849
     CNC3,697,692-320,251$274,849
MONSTER BEVERAGE CORP NEW 4,720,959 -490,460 $272,022
     MNST4,720,959-490,460$272,022
DEERE & CO 676,485 -153,543 $269,775
     DE676,485-153,543$269,775
CHART INDS INC 1,948,174 +101,404 $268,088
     GTLS1,948,174+101,404$268,088
CHUBB LIMITED 1,155,882 +5,430 $261,322
     CB1,155,882+5,430$261,322
LOWES COS INC 1,169,005 -723 $259,472
     LOW1,169,005-723$259,472
KENVUE INC 11,958,829 -749,379 $256,935
     KVUE11,958,829-749,379$256,935
GFL ENVIRONMENTAL INC 7,384,983 +1,053,530 $256,259
     GFL7,384,983+1,053,530$256,259
CITIGROUP INC 4,960,074 -72,352 $254,997
     C4,960,074-72,352$254,997
EDISON INTL 3,561,801 -177,272 $254,598
     EIX3,561,801-177,272$254,598
LENNAR CORP 1,700,016 +72,146 $253,319
     LEN1,700,016+72,146$253,319
MIDDLEBY CORP 1,696,476 +198,859 $251,621
     MIDD1,696,476+198,859$251,621
SNAP ON INC 864,565 +298,727 $249,743
     SNA864,565+298,727$249,743
TAIWAN SEMICONDUCTOR MFG LTD 2,357,187 -276,357 $245,477
     TSM2,357,187-276,357$245,477
ZOETIS INC 1,212,350 -21,649 $239,209
     ZTS1,212,350-21,649$239,209
HARTFORD FINL SVCS GROUP INC 2,958,172 +497,916 $237,600
     HIG2,958,172+497,916$237,600
PFIZER INC 8,209,782 +260,425 $235,128
     PFE8,209,782+260,425$235,128
NETFLIX INC 476,365 +166,019 $231,175
     NFLX476,365+166,019$231,175
DANAHER CORPORATION 947,422 +395,706 $220,399
     DHR947,422+395,706$220,399
MARVELL TECHNOLOGY INC 3,631,896 -523,555 $219,984
     MRVL3,631,896-523,555$219,984
3M CO 2,004,575 +186,543 $219,060
     MMM2,004,575+186,543$219,060
ZEBRA TECHNOLOGIES CORPORATI 796,522 -38,370 $217,777
     ZBRA796,522-38,370$217,777
MERCADOLIBRE INC 138,046 -1,869 $217,704
     MELI138,046-1,869$217,704
ASPEN TECHNOLOGY INC 985,344 -59,615 $217,584
     AZPN985,344-59,615$217,584
ALLSTATE CORP 1,550,137 -90,037 $217,391
     ALL1,550,137-90,037$217,391
QUALCOMM INC 1,477,469 +147,725 $213,339
     QCOM1,477,469+147,725$213,339
AT&T INC 12,537,974 -3,387,423 $209,572
     T12,537,974-3,387,423$209,572
LAUDER ESTEE COS INC 1,413,702 +2,539 $207,447
     EL1,413,702+2,539$207,447
CUMMINS INC 863,509 -45,040 $207,156
     CMI863,509-45,040$207,156
KIMBERLY CLARK CORP 1,671,948 +368,505 $202,740
     KMB1,671,948+368,505$202,740
FLOWSERVE CORP 4,905,322 -330,913 $202,345
     FLS4,905,322-330,913$202,345
APTIV PLC 2,220,817 -404,357 $199,807
     APTV2,220,817-404,357$199,807
TEXAS ROADHOUSE INC 1,616,399 -165,051 $197,104
     TXRH1,616,399-165,051$197,104
QUANTA SVCS INC 912,413 +901,548 $196,205
     PWR912,413+901,548$196,205
TESLA INC 776,765 +81,729 $193,935
     TSLA776,765+81,729$193,935
EXPEDITORS INTL WASH INC 1,523,357 -126,493 $193,725
     EXPD1,523,357-126,493$193,725
S&P GLOBAL INC 432,635 +2,604 $191,052
     SPGI432,635+2,604$191,052
NUCOR CORP 1,094,177 +22,596 $190,376
     NUE1,094,177+22,596$190,376
ORACLE CORP 1,791,505 +9,072 $188,430
     ORCL1,791,505+9,072$188,430
PUBLIC SVC ENTERPRISE GRP IN 3,062,897 -2,201,271 $186,867
     PEG3,062,897-2,201,271$186,867
MEDTRONIC PLC 2,236,177 +926,973 $184,619
     MDT2,236,177+926,973$184,619
PROGRESSIVE CORP 1,147,066 -254,352 $182,796
     PGR1,147,066-254,352$182,796
XCEL ENERGY INC 2,954,907 +86,696 $182,643
     XEL2,954,907+86,696$182,643
VERISK ANALYTICS INC 761,430 +98,880 $181,692
     VRSK761,430+98,880$181,692
WESTROCK CO 4,330,869 -675,644 $180,922
     WRK4,330,869-675,644$180,922
AMDOCS LTD 2,058,800 -50,385 $180,495
     DOX2,058,800-50,385$180,495
MORGAN STANLEY 1,918,298 -11,940 $179,303
     MS1,918,298-11,940$179,303
AMERICAN TOWER CORP NEW 828,104 +163,635 $179,011
     AMT828,104+163,635$179,011
METLIFE INC 2,664,012 +240,564 $176,304
     MET2,664,012+240,564$176,304
LEAR CORP 1,237,016 +149,958 $174,382
     LEA1,237,016+149,958$174,382
AIRBNB INC 1,268,390 +273,191 $172,742
     ABNB1,268,390+273,191$172,742
COCA COLA EUROPACIFIC PARTNE 2,570,146 -80,549 $171,789
     CCEP2,570,146-80,549$171,789
PAYPAL HLDGS INC 2,746,185 -492,795 $169,522
     PYPL2,746,185-492,795$169,522
BERKSHIRE HATHAWAY INC DEL      $169,041
     BRK.B472,749+25,801$169,041
WALMART INC 1,054,265 -35,150 $166,342
     WMT1,054,265-35,150$166,342
ALLEGION PLC 1,310,495 +23,155 $165,516
     ALLE1,310,495+23,155$165,516
KLA CORP 283,956 -9,661 $164,902
     KLAC283,956-9,661$164,902
ADVANCED MICRO DEVICES INC 1,111,693 -39 $164,842
     AMD1,111,693-39$164,842
SMUCKER J M CO 1,274,015 +999,315 $160,258
     SJM1,274,015+999,315$160,258
IQVIA HLDGS INC 686,526 -26,323 $158,931
     IQV686,526-26,323$158,931
HCA HEALTHCARE INC 578,179 -27,752 $157,091
     HCA578,179-27,752$157,091
UNITED PARCEL SERVICE INC 993,736 +182,630 $156,215
     UPS993,736+182,630$156,215
MARSH & MCLENNAN COS INC 806,598 -190,365 $152,608
     MMC806,598-190,365$152,608
TORO CO 1,529,678 -126,499 $147,124
     TTC1,529,678-126,499$147,124
TEXAS INSTRS INC 860,219 -8,139 $146,676
     TXN860,219-8,139$146,676
SPROUTS FMRS MKT INC 3,039,640 +2,614,241 $146,359
     SFM3,039,640+2,614,241$146,359
ROCKWELL AUTOMATION INC 472,024 -12,414 $146,327
     ROK472,024-12,414$146,327
AIR PRODS & CHEMS INC 518,197 +489,350 $142,344
     APD518,197+489,350$142,344
PALO ALTO NETWORKS INC 481,324 +42,584 $141,273
     PANW481,324+42,584$141,273
THERMO FISHER SCIENTIFIC INC 262,930 -265,430 $139,718
     TMO262,930-265,430$139,718
AFLAC INC 1,693,249 +348,400 $139,676
     AFL1,693,249+348,400$139,676
TRIMBLE INC 2,612,897 -172,579 $139,372
     TRMB2,612,897-172,579$139,372
AMERICAN INTL GROUP INC 2,032,907 +319,948 $138,014
     AIG2,032,907+319,948$138,014
ALIBABA GROUP HLDG LTD 1,775,231 -102,950 $136,746
     BABA1,775,231-102,950$136,746
NASDAQ INC 2,326,799 +40,215 $135,396
     NDAQ2,326,799+40,215$135,396
MASCO CORP 1,957,357 +254,285 $131,437
     MAS1,957,357+254,285$131,437
VERTEX PHARMACEUTICALS INC 321,331 +11,259 $131,180
     VRTX321,331+11,259$131,180
STATE STR CORP 1,689,793 +8,142 $131,128
     STT1,689,793+8,142$131,128
CROWDSTRIKE HLDGS INC 510,362 +40,222 $130,096
     CRWD510,362+40,222$130,096
ROSS STORES INC 925,553 -81,207 $128,439
     ROST925,553-81,207$128,439
INTUIT 202,561 -3,049 $126,653
     INTU202,561-3,049$126,653
WORKDAY INC 455,413 +17,850 $125,348
     WDAY455,413+17,850$125,348
BECTON DICKINSON & CO 513,301 -206,396 $125,112
     BDX513,301-206,396$125,112
MSCI INC 218,623 +35,277 $124,786
     MSCI218,623+35,277$124,786
EDWARDS LIFESCIENCES CORP 1,610,412 +1,488,791 $123,261
     EW1,610,412+1,488,791$123,261
LABORATORY CORP AMER HLDGS 525,105 -42,809 $119,288
     LH525,105-42,809$119,288
STEEL DYNAMICS INC 1,008,853 +11,026 $118,787
     STLD1,008,853+11,026$118,787
TD SYNNEX CORPORATION 1,096,498 -18,427 $118,049
     SNX1,096,498-18,427$118,049
KEYSIGHT TECHNOLOGIES INC 726,913 +8,616 $115,739
     KEYS726,913+8,616$115,739
TE CONNECTIVITY LTD 812,537 +41,198 $114,430
     TEL812,537+41,198$114,430
TAKE TWO INTERACTIVE SOFTWAR 706,322 +52,976 $114,389
     TTWO706,322+52,976$114,389
LIVE NATION ENTERTAINMENT IN 1,189,279 +606,743 $112,268
     LYV1,189,279+606,743$112,268
SYSCO CORP 1,531,838 -109,970 $112,054
     SYY1,531,838-109,970$112,054
SENSIENT TECHNOLOGIES CORP 1,688,101 +303,612 $111,617
     SXT1,688,101+303,612$111,617
EQUINIX INC 135,495 +12,129 $109,459
     EQIX135,495+12,129$109,459
ENPHASE ENERGY INC 817,164 +501,385 $109,083
     ENPH817,164+501,385$109,083
TRANE TECHNOLOGIES PLC 440,134 +57,201 $107,401
     TT440,134+57,201$107,401
OWENS CORNING NEW 717,743 +94,185 $106,556
     OC717,743+94,185$106,556
EXXON MOBIL CORP 1,063,492 +10,747 $106,190
     XOM1,063,492+10,747$106,190
HOLOGIC INC 1,488,063 -128,936 $105,920
     HOLX1,488,063-128,936$105,920
FORTUNE BRANDS INNOVATIONS I 1,386,155 +534,901 $105,888
     FBIN1,386,155+534,901$105,888
CITIZENS FINL GROUP INC 3,144,999 +135,116 $104,414
     CFG3,144,999+135,116$104,414
DUKE ENERGY CORP NEW 1,044,174 +739,112 $101,348
     DUK1,044,174+739,112$101,348
BAXTER INTL INC 2,609,981 -241,282 $101,293
     BAX2,609,981-241,282$101,293
NXP SEMICONDUCTORS N V 428,967 -104,094 $98,336
     NXPI428,967-104,094$98,336
METTLER TOLEDO INTERNATIONAL 79,639 -3,749 $97,274
     MTD79,639-3,749$97,274
CROWN CASTLE INC 823,472 -52,824 $94,889
     CCI823,472-52,824$94,889
ZIFF DAVIS INC 1,388,827 -40,908 $93,579
     ZD1,388,827-40,908$93,579
AUTODESK INC 379,342 -12,482 $92,624
     ADSK379,342-12,482$92,624
GILEAD SCIENCES INC 1,123,740 +385,630 $91,079
     GILD1,123,740+385,630$91,079
INGERSOLL RAND INC 1,171,335 +33,963 $90,872
     IR1,171,335+33,963$90,872
PARKER HANNIFIN CORP 196,523 +37,578 $90,803
     PH196,523+37,578$90,803
MKS INSTRS INC 880,884 +840,322 $90,432
     MKSI880,884+840,322$90,432
GRAINGER W W INC 108,919 -13,259 $90,358
     GWW108,919-13,259$90,358
VAIL RESORTS INC 417,293 +400,941 $89,931
     MTN417,293+400,941$89,931
UNUM GROUP 1,952,763 +866,531 $88,616
     UNM1,952,763+866,531$88,616
ARCHER DANIELS MIDLAND CO 1,227,250 +139,064 $88,534
     ADM1,227,250+139,064$88,534
COGNEX CORP 2,065,693 +1,260,282 $86,862
     CGNX2,065,693+1,260,282$86,862
DOVER CORP 557,953 +29,096 $85,612
     DOV557,953+29,096$85,612
QUEST DIAGNOSTICS INC 613,535 -385,484 $84,668
     DGX613,535-385,484$84,668
VALERO ENERGY CORP 645,726 +18,575 $83,867
     VLO645,726+18,575$83,867
GENPACT LIMITED 2,417,117 -67,664 $83,342
     G2,417,117-67,664$83,342
HENRY JACK & ASSOC INC 509,905 -35,700 $83,288
     JKHY509,905-35,700$83,288
FASTENAL CO 1,280,071 +4,673 $82,949
     FAST1,280,071+4,673$82,949
DOW INC 1,511,046 +138,876 $82,745
     DOW1,511,046+138,876$82,745
FREEPORT MCMORAN INC 1,912,532 -3,803 $81,302
     FCX1,912,532-3,803$81,302
TRADEWEB MKTS INC 895,926 +11,361 $81,090
     TW895,926+11,361$81,090
PAYCHEX INC 680,257 +466,890 $80,794
     PAYX680,257+466,890$80,794
TRACTOR SUPPLY CO 369,244 -380,324 $79,873
     TSCO369,244-380,324$79,873
FACTSET RESH SYS INC 167,340 -17,763 $79,821
     FDS167,340-17,763$79,821
BANK AMERICA CORP 2,365,960 +104,102 $79,792
     BAC2,365,960+104,102$79,792
INGREDION INC 727,756 -24,700 $78,896
     INGR727,756-24,700$78,896
PULTE GROUP INC 753,768 +28,833 $78,030
     PHM753,768+28,833$78,030
SYNCHRONY FINANCIAL 2,011,232 -18,274 $76,608
     SYF2,011,232-18,274$76,608
KROGER CO 1,647,862 +115,264 $75,175
     KR1,647,862+115,264$75,175
SCHLUMBERGER LTD 1,424,625 +380,185 $74,080
     SLB1,424,625+380,185$74,080
PATTERSON COS INC 2,594,944 +523,226 $73,852
     PDCO2,594,944+523,226$73,852
TARGET CORP 519,634 +24,066 $73,819
     TGT519,634+24,066$73,819
CROWN HLDGS INC 788,447 -320,175 $72,955
     CCK788,447-320,175$72,955
ALIGN TECHNOLOGY INC 259,984 +21,048 $71,698
     ALGN259,984+21,048$71,698
HEWLETT PACKARD ENTERPRISE C 4,205,386 +180,667 $71,365
     HPE4,205,386+180,667$71,365
COPART INC 1,441,839 +563,233 $70,448
     CPRT1,441,839+563,233$70,448
TRUIST FINL CORP 1,878,800 +123,688 $69,647
     TFC1,878,800+123,688$69,647
YUM BRANDS INC 531,103 +198,069 $69,596
     YUM531,103+198,069$69,596
SBA COMMUNICATIONS CORP NEW 272,065 +16,244 $68,854
     SBAC272,065+16,244$68,854
GOLDMAN SACHS GROUP INC 176,230 +42,409 $67,889
     GS176,230+42,409$67,889
FEDEX CORP 265,127 -31,686 $67,220
     FDX265,127-31,686$67,220
KRAFT HEINZ CO 1,812,512 -57,266 $66,845
     KHC1,812,512-57,266$66,845
CHIPOTLE MEXICAN GRILL INC 29,192 +14,915 $66,555
     CMG29,192+14,915$66,555
BORGWARNER INC 1,844,607 +59,974 $66,277
     BWA1,844,607+59,974$66,277
DROPBOX INC 2,228,624 +81,729 $65,934
     DBX2,228,624+81,729$65,934
CBOE GLOBAL MKTS INC 366,514 +55,951 $65,463
     CBOE366,514+55,951$65,463
CHEVRON CORP NEW 434,911 +16,274 $64,945
     CVX434,911+16,274$64,945
NORFOLK SOUTHN CORP 268,246 -250,744 $63,333
     NSC268,246-250,744$63,333
SERVICE CORP INTL 917,859 -26,798 $62,910
     SCI917,859-26,798$62,910
APOLLO GLOBAL MGMT INC 658,008 +371,721 $61,497
     APO658,008+371,721$61,497
GE HEALTHCARE TECHNOLOGIES I 743,815 -54,802 $57,489
     GEHC743,815-54,802$57,489
WEYERHAEUSER CO MTN BE 1,632,050 +41,196 $56,926
     WY1,632,050+41,196$56,926
INTEL CORP 1,101,597 -57,204 $55,179
     INTC1,101,597-57,204$55,179
JONES LANG LASALLE INC 292,232 -10,866 $55,165
     JLL292,232-10,866$55,165
SONOCO PRODS CO 981,765 -27,969 $54,940
     SON981,765-27,969$54,940
OREILLY AUTOMOTIVE INC 57,843 +2,676 $54,883
     ORLY57,843+2,676$54,883
INFOSYS LTD 2,949,835 -187,749 $54,247
     INFY2,949,835-187,749$54,247
WELLTOWER INC 594,677 +555,353 $54,062
     WELL594,677+555,353$54,062
PAYCOM SOFTWARE INC 260,122 -1,306 $53,848
     PAYC260,122-1,306$53,848
SKYWORKS SOLUTIONS INC 461,001 -45,847 $52,029
     SWKS461,001-45,847$52,029
HOULIHAN LOKEY INC 429,245 +1,920 $51,703
     HLI429,245+1,920$51,703
PACKAGING CORP AMER 314,392 -1,442,500 $51,296
     PKG314,392-1,442,500$51,296
HUBBELL INC 153,810 +83,581 $50,388
     HUBB153,810+83,581$50,388
CSX CORP 1,448,653 -416,353 $50,304
     CSX1,448,653-416,353$50,304
CAMPBELL SOUP CO 1,161,768 +72,701 $50,142
     CPB1,161,768+72,701$50,142
BAKER HUGHES COMPANY 1,458,833 +1,283,296 $49,732
     BKR1,458,833+1,283,296$49,732
PALOMAR HLDGS INC 868,323 -271,101 $48,487
     PLMR868,323-271,101$48,487
SEA LTD 1,165,677 +1,579 $48,084
     SE1,165,677+1,579$48,084
WATSCO INC 110,925 -9,639 $47,642
     WSO110,925-9,639$47,642
VIATRIS INC 4,379,808 +625,220 $47,171
     VTRS4,379,808+625,220$47,171
SPOTIFY TECHNOLOGY S A 248,659 +18,105 $46,927
     SPOT248,659+18,105$46,927
TRAVELERS COMPANIES INC 246,837 +16,580 $46,919
     TRV246,837+16,580$46,919
AUTOLIV INC 426,260 -547,345 $46,889
     ALV426,260-547,345$46,889
XP INC 1,765,035 -211,446 $46,191
     XP1,765,035-211,446$46,191
LITTELFUSE INC 169,583 -29,276 $45,465
     LFUS169,583-29,276$45,465
CARRIER GLOBAL CORPORATION 779,952 +447,191 $44,964
     CARR779,952+447,191$44,964
ORGANON & CO 3,128,810 +2,980,945 $44,648
     OGN3,128,810+2,980,945$44,648
PRUDENTIAL FINL INC 429,179 -32,591 $44,647
     PRU429,179-32,591$44,647
THE TRADE DESK INC 613,441 +147,717 $44,226
     TTD613,441+147,717$44,226
DISCOVER FINL SVCS 386,074 -703,408 $43,507
     DFS386,074-703,408$43,507
PDD HOLDINGS INC 297,090 +20,045 $43,334
     PDD297,090+20,045$43,334
MOTOROLA SOLUTIONS INC 136,996 +225 $42,935
     MSI136,996+225$42,935
TRIP COM GROUP LTD 1,177,866 +1,109,727 $42,368
     TCOM1,177,866+1,109,727$42,368
QORVO INC 369,657 +86,134 $41,893
     QRVO369,657+86,134$41,893
BAIDU INC 347,788 +22,797 $41,429
     BIDU347,788+22,797$41,429
ALTRIA GROUP INC 1,011,345 +4,789 $40,727
     MO1,011,345+4,789$40,727
AVALONBAY CMNTYS INC 213,727 +204,186 $40,347
     AVB213,727+204,186$40,347
PRESTIGE CONSMR HEALTHCARE I 648,849 -18,982 $39,761
     PBH648,849-18,982$39,761
FORTIVE CORP 527,199 +134,259 $38,828
     FTV527,199+134,259$38,828
MATCH GROUP INC NEW 1,045,186 +191,615 $37,961
     MTCH1,045,186+191,615$37,961
MARRIOTT INTL INC NEW 164,045 +116,615 $36,904
     MAR164,045+116,615$36,904
ABBOTT LABS 333,730 -331,534 $36,860
     ABT333,730-331,534$36,860
ZTO EXPRESS CAYMAN INC 1,661,908 +216,367 $35,432
     ZTO1,661,908+216,367$35,432
BIOGEN INC 136,730 -81,258 $35,391
     BIIB136,730-81,258$35,391
ULTA BEAUTY INC 71,491 +55,508 $35,061
     ULTA71,491+55,508$35,061
OTIS WORLDWIDE CORP 387,312 +16,787 $34,711
     OTIS387,312+16,787$34,711
PRICE T ROWE GROUP INC 317,349 +10,680 $34,299
     TROW317,349+10,680$34,299
LAS VEGAS SANDS CORP 698,686 +451,710 $34,264
     LVS698,686+451,710$34,264
FIRST CTZNS BANCSHARES INC N (FCNCA) 23,905 +23,156 $34,203
     FCNCA23,905+23,156$34,203
DAVITA INC 326,968 -16,213 $34,139
     DVA326,968-16,213$34,139
AMERICAN ELEC PWR CO INC 414,150 +389,675 $33,612
     AEP414,150+389,675$33,612
HEALTHCARE RLTY TR 1,926,498 +297,603 $33,405
     HR1,926,498+297,603$33,405
WASTE CONNECTIONS INC 220,327 +74,995 $32,895
     WCN220,327+74,995$32,895
PINTEREST INC 882,233 +323,547 $32,766
     PINS882,233+323,547$32,766
ROLLINS INC 728,142 +436,858 $31,914
     ROL728,142+436,858$31,914
VEEVA SYS INC 163,247 +8,007 $31,730
     VEEV163,247+8,007$31,730
ENTERGY CORP NEW 313,888 -21,244 $31,693
     ETR313,888-21,244$31,693
NEWMONT CORP 761,343 -90,267 $31,558
     NEM761,343-90,267$31,558
DARLING INGREDIENTS INC 629,795 +35,290 $31,301
     DAR629,795+35,290$31,301
ASSURANT INC 181,885 +13,395 $30,586
     AIZ181,885+13,395$30,586
IDEX CORP 135,825 +125,348 $29,598
     IEX135,825+125,348$29,598
DYNATRACE INC 534,840 +3,244 $29,368
     DT534,840+3,244$29,368
DOCUSIGN INC 476,656 +61,033 $28,523
     DOCU476,656+61,033$28,523
OCCIDENTAL PETE CORP 476,498 -250,000 $28,471
     OXY476,498-250,000$28,471
NETAPP INC 317,073 +65,644 $27,855
     NTAP317,073+65,644$27,855
HALLIBURTON CO 768,057 +561,020 $27,781
     HAL768,057+561,020$27,781
FIFTH THIRD BANCORP 737,397 +269,152 $25,551
     FITB737,397+269,152$25,551
HP INC 845,060 -15,387 $25,483
     HPQ845,060-15,387$25,483
NUTANIX INC 536,435 -12,227 $25,475
     NTNX536,435-12,227$25,475
NETEASE INC 271,915 -16,370 $25,386
     NTES271,915-16,370$25,386
CAESARS ENTERTAINMENT INC NE 534,723 +412,631 $25,223
     CZR534,723+412,631$25,223
ROYAL CARIBBEAN GROUP 194,018 +106,203 $25,149
     RCL194,018+106,203$25,149
ELECTRONIC ARTS INC 183,910 -16,174 $25,139
     EA183,910-16,174$25,139
C H ROBINSON WORLDWIDE INC 288,144 -20,930 $24,950
     CHRW288,144-20,930$24,950
SHERWIN WILLIAMS CO 79,018 -1,463 $24,746
     SHW79,018-1,463$24,746
COMFORT SYS USA INC 119,374 -6,085 $24,645
     FIX119,374-6,085$24,645
REALTY INCOME CORP 423,986 -5,259 $24,502
     O423,986-5,259$24,502
VIPSHOP HLDGS LTD 1,322,433 +233,438 $23,592
     VIPS1,322,433+233,438$23,592
TRINET GROUP INC 191,959 -4,554 $22,795
     TNET191,959-4,554$22,795
CUBESMART 484,855 +113,571 $22,633
     CUBE484,855+113,571$22,633
CONSTELLATION ENERGY CORP 193,092 -13,697 $22,621
     CEG193,092-13,697$22,621
ON SEMICONDUCTOR CORP 269,214 -473,695 $22,466
     ON269,214-473,695$22,466
SIMON PPTY GROUP INC NEW 152,740 +6,703 $21,923
     SPG152,740+6,703$21,923
EMCOR GROUP INC 101,220 +9,752 $21,880
     EME101,220+9,752$21,880
MEDPACE HLDGS INC 70,638 -1,416 $21,752
     MEDP70,638-1,416$21,752
UNION PAC CORP 87,905 +28,052 $21,596
     UNP87,905+28,052$21,596
MID AMER APT CMNTYS INC 155,151 +13,045 $21,020
     MAA155,151+13,045$21,020
BOISE CASCADE CO DEL 161,036 -10,832 $20,919
     BCC161,036-10,832$20,919
REGENERON PHARMACEUTICALS 23,700 -87 $20,867
     REGN23,700-87$20,867
ATKORE INC 126,530 -3,508 $20,371
     ATKR126,530-3,508$20,371
AMPHASTAR PHARMACEUTICALS IN 331,805 -6,638 $20,346
     AMPH331,805-6,638$20,346
POOL CORP 49,129 +4,877 $19,720
     POOL49,129+4,877$19,720
EXELON CORP 550,934 -40,294 $19,690
     EXC550,934-40,294$19,690
HDFC BANK LTD 287,500 -31,188 $19,283
     HDB287,500-31,188$19,283
WILLIAMS SONOMA INC 94,096 -2,600 $19,030
     WSM94,096-2,600$19,030
MORNINGSTAR INC 65,606 -1,487 $18,809
     MORN65,606-1,487$18,809
CARDINAL HEALTH INC 184,537 +61,933 $18,649
     CAH184,537+61,933$18,649
HERC HLDGS INC 124,063 -2,601 $18,621
     HRI124,063-2,601$18,621
ACADIA PHARMACEUTICALS INC 586,002 -12,401 $18,547
     ACAD586,002-12,401$18,547
WIPRO LTD 3,319,915 UNCH $18,426
     WIT3,319,915UNCH$18,426
DELL TECHNOLOGIES INC 232,231 +142,337 $17,762
     DELL232,231+142,337$17,762
ZOOM VIDEO COMMUNICATIONS IN 244,351 +7,349 $17,679
     ZM244,351+7,349$17,679
BROADRIDGE FINL SOLUTIONS IN 85,325 +74,387 $17,584
     BR85,325+74,387$17,584
PLANET FITNESS INC 238,296 -6,519 $17,515
     PLNT238,296-6,519$17,515
DEVON ENERGY CORP NEW 385,422 +11,665 $17,479
     DVN385,422+11,665$17,479
HUMANA INC 38,115 -158 $17,473
     HUM38,115-158$17,473
INTUITIVE SURGICAL INC 51,150 +640 $17,284
     ISRG51,150+640$17,284
QUALYS INC 88,183 -2,023 $17,262
     QLYS88,183-2,023$17,262
DEXCOM INC 138,964 -1,966 $17,247
     DXCM138,964-1,966$17,247
SK TELECOM LTD 795,154 -75,316 $17,000
     SKM795,154-75,316$17,000
BEACON ROOFING SUPPLY INC 191,811 -3,685 $16,828
     BECN191,811-3,685$16,828
FAIR ISAAC CORP 13,992 -2,636 $16,278
     FICO13,992-2,636$16,278
YUM CHINA HLDGS INC 369,621 +54,958 $15,657
     YUMC369,621+54,958$15,657
ADVANCED DRAIN SYS INC DEL 110,428 -1,930 $15,641
     WMS110,428-1,930$15,641
PALANTIR TECHNOLOGIES INC 902,906 -153,253 $15,503
     PLTR902,906-153,253$15,503
DARDEN RESTAURANTS INC 92,997 -5,908 $15,286
     DRI92,997-5,908$15,286
INSPERITY INC 130,338 -3,109 $15,278
     NSP130,338-3,109$15,278
SPX TECHNOLOGIES INC 146,770 -3,422 $14,949
     SPXC146,770-3,422$14,949
SS&C TECHNOLOGIES HLDGS INC 242,712 +135,775 $14,839
     SSNC242,712+135,775$14,839
GRAPHIC PACKAGING HLDG CO 594,134 -17,388 $14,678
     GPK594,134-17,388$14,678
BRIGHT HORIZONS FAM SOL IN D 151,032 -3,106 $14,285
     BFAM151,032-3,106$14,285
MANHATTAN ASSOCIATES INC 66,176 +61,953 $14,265
     MANH66,176+61,953$14,265
DT MIDSTREAM INC 257,739 -22,803 $14,150
     DTM257,739-22,803$14,150
M I HOMES INC 102,065 -2,496 $14,104
     MHO102,065-2,496$14,104
COSTCO WHSL CORP NEW 21,113 +129 $13,910
     COST21,113+129$13,910
TENABLE HLDGS INC 300,222 -7,734 $13,899
     TENB300,222-7,734$13,899
TWIST BIOSCIENCE CORP 373,320 -12,665 $13,832
     TWST373,320-12,665$13,832
CARNIVAL CORP 740,750 +413,082 $13,782
     CCL740,750+413,082$13,782
GENERAL ELECTRIC CO 106,181 +6,782 $13,612
     GE106,181+6,782$13,612
REINSURANCE GRP OF AMERICA I 83,029 -1,721 $13,415
     RGA83,029-1,721$13,415
AMERIPRISE FINL INC 34,932 -307 $13,331
     AMP34,932-307$13,331
ONTO INNOVATION INC 86,652 -5,240 $13,270
     ONTO86,652-5,240$13,270
JUNIPER NETWORKS INC 452,455 +431,855 $13,212
     JNPR452,455+431,855$13,212
DISNEY WALT CO 145,865 -995,460 $13,145
     DIS145,865-995,460$13,145
WEST PHARMACEUTICAL SVSC INC 37,107 -347 $13,123
     WST37,107-347$13,123
WYNN RESORTS LTD 143,480 +81,338 $13,101
     WYNN143,480+81,338$13,101
SPLUNK INC 84,838 +73,990 $12,909
     SPLK84,838+73,990$12,909
OLD REP INTL CORP 436,420 +49,329 $12,826
     ORI436,420+49,329$12,826
WATTS WATER TECHNOLOGIES INC 60,686 -1,683 $12,814
     WTS60,686-1,683$12,814
JD.COM INC 442,453 +43,175 $12,734
     JD442,453+43,175$12,734
SCOTTS MIRACLE GRO CO 194,791 +117,314 $12,576
     SMG194,791+117,314$12,576
COMMERCIAL METALS CO 249,780 -6,889 $12,534
     CMC249,780-6,889$12,534
INTERNATIONAL PAPER CO 346,452 -25,386 $12,503
     IP346,452-25,386$12,503
WINNEBAGO INDS INC 169,261 -4,141 $12,402
     WGO169,261-4,141$12,402
H WORLD GROUP LTD 367,343 +284,742 $12,324
     HTHT367,343+284,742$12,324
LIVENT CORP 666,669 +30,985 $12,120
     LTHM666,669+30,985$12,120
PURE STORAGE INC 333,708 -8,336 $11,920
     PSTG333,708-8,336$11,920
DIGITALOCEAN HLDGS INC 317,314 -6,854 $11,744
     DOCN317,314-6,854$11,744
TENCENT MUSIC ENTMT GROUP 1,321,517 +265,093 $11,735
     TME1,321,517+265,093$11,735
FIVERR INTL LTD 422,626 +229,653 $11,728
     FVRR422,626+229,653$11,728
ZIONS BANCORPORATION N A 264,384 +94,077 $11,678
     ZION264,384+94,077$11,678
RLJ LODGING TR 985,402 +659,261 $11,647
     RLJ985,402+659,261$11,647
ARVINAS INC 278,737 -6,317 $11,582
     ARVN278,737-6,317$11,582
UFP INDUSTRIES INC 89,254 -2,618 $11,240
     UFPI89,254-2,618$11,240
EXPEDIA GROUP INC 72,989 +38,140 $11,109
     EXPE72,989+38,140$11,109
BOX INC 423,722 -8,457 $10,907
     BOX423,722-8,457$10,907
COPT DEFENSE PROPERTIES 421,293 -11,601 $10,806
     OFC421,293-11,601$10,806
JOHNSON CTLS INTL PLC 184,599 -2,409 $10,657
     JCI184,599-2,409$10,657
HAEMONETICS CORP MASS 123,329 -2,357 $10,621
     HAE123,329-2,357$10,621
INTERNATIONAL BUSINESS MACHS 64,850 +1,061 $10,594
     IBM64,850+1,061$10,594
KB HOME 168,352 -3,035 $10,576
     KBH168,352-3,035$10,576
T MOBILE US INC 65,678 -672 $10,549
     TMUS65,678-672$10,549
ARCBEST CORP 87,507 -1,570 $10,531
     ARCB87,507-1,570$10,531
VEECO INSTRS INC DEL 339,466 -7,153 $10,527
     VECO339,466-7,153$10,527
FIRST AMERN FINL CORP 160,071 -3,634 $10,350
     FAF160,071-3,634$10,350
BALCHEM CORP 68,793 -1,807 $10,301
     BCPC68,793-1,807$10,301
ARAMARK 368,303 +201,623 $10,268
     ARMK368,303+201,623$10,268
OLD NATL BANCORP IND 597,043 -13,062 $10,144
     ONB597,043-13,062$10,144
ACADIA HEALTHCARE COMPANY IN 128,316 -3,303 $10,018
     ACHC128,316-3,303$10,018
HILTON GRAND VACATIONS INC 249,812 +6,223 $10,012
     HGV249,812+6,223$10,012
MARATHON OIL CORP 410,692 +16,486 $9,947
     MRO410,692+16,486$9,947
SYNOVUS FINL CORP 263,983 -6,242 $9,910
     SNV263,983-6,242$9,910
MGIC INVT CORP WIS 505,877 -10,347 $9,839
     MTG505,877-10,347$9,839
TERADATA CORP DEL 223,492 -5,259 $9,751
     TDC223,492-5,259$9,751
UNITI GROUP INC 1,669,150 +1,669,150 $9,714
     UNIT1,669,150+1,669,150$9,714
OSHKOSH CORP 88,855 -3,277 $9,649
     OSK88,855-3,277$9,649
JOHN BEAN TECHNOLOGIES CORP 95,967 -2,398 $9,632
     JBT95,967-2,398$9,632
MATERION CORP 73,261 -2,175 $9,590
     MTRN73,261-2,175$9,590
RYDER SYS INC 82,778 -2,424 $9,452
     R82,778-2,424$9,452
CHEMED CORP NEW 16,158 -327 $9,412
     CHE16,158-327$9,412
BRUNSWICK CORP 95,807 -1,945 $9,330
     BC95,807-1,945$9,330
MAGNITE INC 990,673 -23,874 $9,317
     MGNI990,673-23,874$9,317
PROLOGIS INC. 69,373 -352,220 $9,317
     PLD69,373-352,220$9,317
FULLER H B CO 111,838 -2,282 $9,134
     FUL111,838-2,282$9,134
ASHLAND INC 107,813 +67,556 $9,070
     ASH107,813+67,556$9,070
HURON CONSULTING GROUP INC 88,066 -1,843 $9,008
     HURN88,066-1,843$9,008
GIBRALTAR INDS INC 113,760 +8,055 $9,005
     ROCK113,760+8,055$9,005
ACI WORLDWIDE INC 290,880 -8,418 $8,869
     ACIW290,880-8,418$8,869
BANNER CORP 163,903 -3,309 $8,838
     BANR163,903-3,309$8,838
KILROY RLTY CORP 218,961 -4,786 $8,833
     KRC218,961-4,786$8,833
CENCORA INC 48,755 -1,318 $8,775
     ABC48,755-1,318$8,775
EVERCORE INC 50,737 -1,745 $8,764
     EVR50,737-1,745$8,764
DINE BRANDS GLOBAL INC 172,399 +15,546 $8,680
     DIN172,399+15,546$8,680
UNITED THERAPEUTICS CORP DEL 38,698 +23,532 $8,427
     UTHR38,698+23,532$8,427
FRONTDOOR INC 236,313 -6,477 $8,394
     FTDR236,313-6,477$8,394
VERISIGN INC 40,474 -6,948 $8,325
     VRSN40,474-6,948$8,325
BLACKROCK INC 10,213 +278 $8,301
     BLK10,213+278$8,301
JANUS HENDERSON GROUP PLC 273,602 -3,353 $8,290
     JHG273,602-3,353$8,290
HOWMET AEROSPACE INC 151,642 -7,729 $8,228
     HWM151,642-7,729$8,228
HANCOCK WHITNEY CORPORATION 167,651 -5,270 $8,190
     HWC167,651-5,270$8,190
OSI SYSTEMS INC 62,799 -1,318 $8,175
     OSIS62,799-1,318$8,175
MAGNOLIA OIL & GAS CORP 380,656 -9,877 $8,116
     MGY380,656-9,877$8,116
HANOVER INS GROUP INC 66,657 -1,615 $8,097
     THG66,657-1,615$8,097
KYNDRYL HLDGS INC 385,842 -81,812 $8,076
     KD385,842-81,812$8,076
EVEREST GROUP LTD 22,873 +19,943 $8,065
     RE22,873+19,943$8,065
CATHAY GEN BANCORP 178,450 +24,317 $7,996
     CATY178,450+24,317$7,996
KE HLDGS INC 486,801 +486,801 $7,957
     BEKE486,801+486,801$7,957
LA Z BOY INC 212,981 -6,825 $7,906
     LZB212,981-6,825$7,906
UBER TECHNOLOGIES INC 126,969 +5,652 $7,892
     UBER126,969+5,652$7,892
UNIVERSAL HLTH SVCS INC 51,317 -733 $7,800
     UHS51,317-733$7,800
RYMAN HOSPITALITY PPTYS INC 70,424 -2,669 $7,768
     RHP70,424-2,669$7,768
MONGODB INC 18,657 +13,972 $7,735
     MDB18,657+13,972$7,735
ACUITY BRANDS INC 37,561 -846 $7,674
     AYI37,561-846$7,674
BUNGE GLOBAL SA 75,691 +30,999 $7,621
     BG75,691+30,999$7,621
CARGURUS INC 309,651 +91,626 $7,503
     CARG309,651+91,626$7,503
AGCO CORP 61,828 +1,036 $7,492
     AGCO61,828+1,036$7,492
GINKGO BIOWORKS HOLDINGS INC 4,412,457 +216,434 $7,435
     DNA4,412,457+216,434$7,435
TEREX CORP NEW 128,447 -3,183 $7,390
     TEX128,447-3,183$7,390
VULCAN MATLS CO 32,713 +10,991 $7,384
     VMC32,713+10,991$7,384
FULTON FINL CORP PA 443,353 -6,468 $7,364
     FULT443,353-6,468$7,364
COMPANHIA DE SANEAMENTO BASI 483,335 -792,079 $7,347
     SBS483,335-792,079$7,347
INTERCONTINENTAL EXCHANGE IN (ICE) 56,870 +12,208 $7,311
     ICE56,870+12,208$7,311
PERFICIENT INC 110,125 -2,218 $7,300
     PRFT110,125-2,218$7,300
AMN HEALTHCARE SVCS INC 96,748 -2,337 $7,288
     AMN96,748-2,337$7,288
TELUS CORPORATION 406,171 -15,555 $7,242
     TU406,171-15,555$7,242
MICRON TECHNOLOGY INC 83,628 -29 $7,167
     MU83,628-29$7,167
SCHWAB CHARLES CORP 103,544 +3,280 $7,154
     SCHW103,544+3,280$7,154
ILLINOIS TOOL WKS INC 27,081 +1,266 $7,099
     ITW27,081+1,266$7,099
PORTLAND GEN ELEC CO 162,905 -3,861 $7,067
     POR162,905-3,861$7,067
COCA COLA CONS INC 7,545 -252 $7,057
     COKE7,545-252$7,057
BEST BUY INC 89,632 -815 $7,044
     BBY89,632-815$7,044
BLACKBAUD INC 80,256 +5,266 $7,033
     BLKB80,256+5,266$7,033
LINCOLN ELEC HLDGS INC 32,122 -1,048 $7,002
     LECO32,122-1,048$7,002
CURTISS WRIGHT CORP 31,482 -1,037 $6,998
     CW31,482-1,037$6,998
PHILIP MORRIS INTL INC 73,364 -437 $6,906
     PM73,364-437$6,906
EVERTEC INC 168,008 -4,270 $6,885
     EVTC168,008-4,270$6,885
CHAMPIONX CORPORATION 232,071 -8,698 $6,832
     CHX232,071-8,698$6,832
AVANTOR INC 296,349 -143,723 $6,806
     AVTR296,349-143,723$6,806
SHOCKWAVE MED INC 35,982 -821 $6,789
     SWAV35,982-821$6,789
ENCOMPASS HEALTH CORP 101,705 +17,684 $6,787
     EHC101,705+17,684$6,787
ADT INC DEL 987,548 +987,548 $6,696
     ADT987,548+987,548$6,696
CRISPR THERAPEUTICS AG 105,600 -2,500 $6,677
     CRSP105,600-2,500$6,677
PACCAR INC 68,258 +4,029 $6,656
     PCAR68,258+4,029$6,656
MODEL N INC 245,206 -5,039 $6,645
     MODN245,206-5,039$6,645
ZSCALER INC 29,803 +24,514 $6,629
     ZS29,803+24,514$6,629
BANCOLOMBIA S A 214,223 +73,656 $6,613
     CIB214,223+73,656$6,613
AFFILIATED MANAGERS GROUP IN 43,404 -898 $6,609
     AMG43,404-898$6,609
IDEXX LABS INC 11,880 +9 $6,604
     IDXX11,880+9$6,604
SIGNET JEWELERS LIMITED 61,575 -2,088 $6,597
     SIG61,575-2,088$6,597
PROTO LABS INC 168,464 +20,721 $6,575
     PRLB168,464+20,721$6,575
MOLINA HEALTHCARE INC 18,219 -97 $6,558
     MOH18,219-97$6,558
WESTERN ALLIANCE BANCORP 98,083 +18,785 $6,525
     WAL98,083+18,785$6,525
LUMENTUM HLDGS INC 122,784 -2,700 $6,462
     LITE122,784-2,700$6,462
BLACKSTONE INC 48,755 +1,312 $6,394
     BX48,755+1,312$6,394
DOUGLAS EMMETT INC 431,572 -9,102 $6,297
     DEI431,572-9,102$6,297
NEXSTAR MEDIA GROUP INC 40,150 -1,387 $6,290
     NXST40,150-1,387$6,290
HELMERICH & PAYNE INC 174,365 -6,666 $6,288
     HP174,365-6,666$6,288
RADIAN GROUP INC 218,037 -6,382 $6,273
     RDN218,037-6,382$6,273
KNOWLES CORP 339,021 +152,626 $6,096
     KN339,021+152,626$6,096
CAMDEN PPTY TR 61,057 +4,885 $6,084
     CPT61,057+4,885$6,084
CONCENTRIX CORP 61,048 -1,122 $6,008
     CNXC61,048-1,122$6,008
ANYWHERE REAL ESTATE INC 731,695 -21,089 $5,985
     HOUS731,695-21,089$5,985
CENTRAL GARDEN & PET CO 136,048 -2,425 $5,962
     CENTA136,048-2,425$5,962
YANDEX N V 314,280 UNCH $5,952
     YNDX314,280UNCH$5,952
PPL CORP 218,175 +3,633 $5,921
     PPL218,175+3,633$5,921
CASEYS GEN STORES INC 21,482 -556 $5,911
     CASY21,482-556$5,911
FIRST FINL BANCORP OH 246,979 -10,224 $5,908
     FFBC246,979-10,224$5,908
BOSTON SCIENTIFIC CORP 100,912 +5,747 $5,870
     BSX100,912+5,747$5,870
TAYLOR MORRISON HOME CORP 108,431 +25,250 $5,823
     TMHC108,431+25,250$5,823
MACYS INC 287,689 -8,395 $5,803
     M287,689-8,395$5,803
SCHNITZER STEEL INDS INC 191,183 -2,287 $5,802
     SCHN191,183-2,287$5,802
CME GROUP INC 27,387 -2,601 $5,753
     CME27,387-2,601$5,753
MANPOWERGROUP INC WIS 71,363 -2,044 $5,676
     MAN71,363-2,044$5,676
MALIBU BOATS INC 99,555 -2,541 $5,479
     MBUU99,555-2,541$5,479
PUBLIC STORAGE 17,608 +1,557 $5,405
     PSA17,608+1,557$5,405
LIBERTY LATIN AMERICA LTD 741,367 -18,698 $5,397
     LILAK741,367-18,698$5,397
VIAVI SOLUTIONS INC 531,477 -11,568 $5,312
     VIAV531,477-11,568$5,312
INCYTE CORP 84,431 -1,064 $5,296
     INCY84,431-1,064$5,296
AGIOS PHARMACEUTICALS INC 235,824 -6,146 $5,280
     AGIO235,824-6,146$5,280
SNOWFLAKE INC 26,361 -15,068 $5,263
     SNOW26,361-15,068$5,263
NATIONAL FUEL GAS CO 103,314 +21,748 $5,142
     NFG103,314+21,748$5,142
PEBBLEBROOK HOTEL TR 317,276 +112,472 $5,122
     PEB317,276+112,472$5,122
PENTAIR PLC 70,424 +46,290 $5,122
     PNR70,424+46,290$5,122
SHIFT4 PMTS INC 68,870 -879 $5,106
     FOUR68,870-879$5,106
EMPIRE ST RLTY TR INC 518,897 -5,935 $5,096
     ESRT518,897-5,935$5,096
VERALTO CORP 61,728 +61,728 $5,075
     VLTO61,728+61,728$5,075
COTERRA ENERGY INC 197,670 -606,309 $5,051
     CTRA197,670-606,309$5,051
MOODYS CORP 12,933 -361 $5,051
     MCO12,933-361$5,051
FLOWERS FOODS INC 223,035 +223,035 $5,018
     FLO223,035+223,035$5,018
US FOODS HLDG CORP 109,958 +55,554 $4,991
     USFD109,958+55,554$4,991
LIGAND PHARMACEUTICALS INC 68,971 -2,381 $4,930
     LGND68,971-2,381$4,930
MODINE MFG CO 81,788 -101,978 $4,915
     MOD81,788-101,978$4,915
CARS COM INC 258,148 -8,407 $4,907
     CARS258,148-8,407$4,907
INTAPP INC 127,232 -3,661 $4,874
     INTA127,232-3,661$4,874
ARROWHEAD PHARMACEUTICALS IN 156,152 -3,837 $4,861
     ARWR156,152-3,837$4,861
BLOCK H & R INC 99,642 -1,340 $4,850
     HRB99,642-1,340$4,850
MINISO GROUP HLDG LTD 232,040 +290 $4,813
     MNSO232,040+290$4,813
OMNICELL COM 126,430 -3,774 $4,806
     OMCL126,430-3,774$4,806
ESSENTIAL PPTYS RLTY TR INC 186,305 -5,845 $4,805
     EPRT186,305-5,845$4,805
ARISTA NETWORKS INC 20,221 +2,686 $4,779
     ANET20,221+2,686$4,779
SKYLINE CHAMPION CORPORATION 64,314 +64,314 $4,775
     SKY64,314+64,314$4,775
WILEY JOHN & SONS INC 150,552 -2,107 $4,763
     WLY150,552-2,107$4,763
EOG RES INC 39,302 -204 $4,762
     EOG39,302-204$4,762
POST HLDGS INC 53,386 +53,386 $4,698
     POST53,386+53,386$4,698
ATLASSIAN CORPORATION 19,509 -1,449 $4,665
     TEAM19,509-1,449$4,665
ROCKET PHARMACEUTICALS INC 152,861 -5,710 $4,661
     RCKT152,861-5,710$4,661
HUNTSMAN CORP 184,953 -4,887 $4,655
     HUN184,953-4,887$4,655
US BANCORP DEL 107,170 +6,785 $4,654
     USB107,170+6,785$4,654
PERMIAN RESOURCES CORP 338,042 -10,671 $4,597
     PR338,042-10,671$4,597
MAXLINEAR INC 192,182 -6,165 $4,589
     MXL192,182-6,165$4,589
F5 INC 25,518 -4,412 $4,555
     FFIV25,518-4,412$4,555
EQUITABLE HLDGS INC 136,004 -8,278 $4,548
     EQH136,004-8,278$4,548
NU SKIN ENTERPRISES INC 232,974 -4,946 $4,519
     NUS232,974-4,946$4,519
NOW INC 397,896 -12,439 $4,516
     DNOW397,896-12,439$4,516
DYNAVAX TECHNOLOGIES CORP 320,100 -7,255 $4,494
     DVAX320,100-7,255$4,494
EXTREME NETWORKS 254,097 +25,614 $4,458
     EXTR254,097+25,614$4,458
AMERIS BANCORP 83,939 -4,012 $4,455
     ABCB83,939-4,012$4,455
TANGER INC 159,151 +159,151 $4,450
     SKT159,151+159,151$4,450
EURONET WORLDWIDE INC 43,719 -1,323 $4,448
     EEFT43,719-1,323$4,448
SOUTHERN COPPER CORP 51,747 +684 $4,426
     SCCO51,747+684$4,426
TTM TECHNOLOGIES INC 278,896 -13,794 $4,414
     TTMI278,896-13,794$4,414
ADAPTIVE BIOTECHNOLOGIES COR 868,448 -25,623 $4,386
     ADPT868,448-25,623$4,386
PREMIER INC 195,217 -5,915 $4,360
     PINC195,217-5,915$4,360
PNC FINL SVCS GROUP INC 28,055 +719 $4,360
     PNC28,055+719$4,360
PIEDMONT OFFICE REALTY TR IN 603,791 -11,146 $4,353
     PDM603,791-11,146$4,353
ARCOS DORADOS HOLDINGS INC 343,237 +80,182 $4,342
     ARCO343,237+80,182$4,342
STAG INDL INC 109,803 -5,495 $4,333
     STAG109,803-5,495$4,333
KANZHUN LIMITED 260,002 +260,002 $4,311
     BZ260,002+260,002$4,311
AZENTA INC 65,022 -2,194 $4,286
     AZTA65,022-2,194$4,286
EXP WORLD HLDGS INC 276,242 +22,334 $4,257
     EXPI276,242+22,334$4,257
STRIDE INC 70,948 -1,152 $4,229
     LRN70,948-1,152$4,229
CLEARWAY ENERGY INC 154,198 -1,533 $4,217
     CWEN154,198-1,533$4,217
SILGAN HLDGS INC 92,316 -2,713 $4,198
     SLGN92,316-2,713$4,198
AMPHENOL CORP NEW 42,274 +550 $4,195
     APH42,274+550$4,195
D R HORTON INC 27,479 -1,452 $4,181
     DHI27,479-1,452$4,181
INTEGRA LIFESCIENCES HLDGS C 95,451 -4,822 $4,179
     IART95,451-4,822$4,179
EXELIXIS INC 172,508 -5,908 $4,152
     EXEL172,508-5,908$4,152
AON PLC 14,276 +341 $4,146
     AON14,276+341$4,146
CROCS INC 43,741 +5,939 $4,128
     CROX43,741+5,939$4,128
DATADOG INC 33,507 -3,305 $4,093
     DDOG33,507-3,305$4,093
ROBERT HALF INC. 46,632 +18,892 $4,092
     RHI46,632+18,892$4,092
LULULEMON ATHLETICA INC 7,940 +17 $4,063
     LULU7,940+17$4,063
ARRAY TECHNOLOGIES INC 238,998 -170 $4,046
     ARRY238,998-170$4,046
BANKUNITED INC 124,072 +24,498 $4,042
     BKU124,072+24,498$4,042
ORMAT TECHNOLOGIES INC 52,303 -1,051 $3,994
     ORA52,303-1,051$3,994
GALLAGHER ARTHUR J & CO 17,671 -4 $3,972
     AJG17,671-4$3,972
FIRST COMWLTH FINL CORP PA 254,616 -8,040 $3,972
     FCF254,616-8,040$3,972
VONTIER CORPORATION 114,099 -4,370 $3,962
     VNT114,099-4,370$3,962
ARCUS BIOSCIENCES INC 205,428 -6,356 $3,954
     RCUS205,428-6,356$3,954
QUIDELORTHO CORP 53,165 -963 $3,940
     QDEL53,165-963$3,940
XPEL INC 72,077 -2,395 $3,934
     XPEL72,077-2,395$3,934
AMETEK INC 23,795 +659 $3,920
     AME23,795+659$3,920
ESSENT GROUP LTD 73,734 -2,723 $3,914
     ESNT73,734-2,723$3,914
COLUMBIA BKG SYS INC 146,066 +25,771 $3,910
     COLB146,066+25,771$3,910
VESTIS CORPORATION 184,234 +184,234 $3,909
     VSTS184,234+184,234$3,909
OWENS & MINOR INC NEW 203,608 -1,784 $3,905
     OMI203,608-1,784$3,905
MAXEON SOLAR TECHNOLOGIES LT 541,170 -5,322 $3,864
     MAXN541,170-5,322$3,864
NVENT ELECTRIC PLC 65,188 +9,168 $3,853
     NVT65,188+9,168$3,853
DUTCH BROS INC 121,508 +121,508 $3,852
     BROS121,508+121,508$3,852
ZUORA INC 405,255 -10,611 $3,850
     ZUO405,255-10,611$3,850
WORLD KINECT CORPORATION 169,376 +169,376 $3,843
     WKC169,376+169,376$3,843
ALCOA CORP 112,082 +63,816 $3,824
     AA112,082+63,816$3,824
PERFORMANCE FOOD GROUP CO 55,010 -1,885 $3,807
     PFGC55,010-1,885$3,807
SOUTHERN CO 53,487 +1,642 $3,752
     SO53,487+1,642$3,752
ITAU UNIBANCO HLDG S A 540,888 +40,332 $3,751
     ITUB540,888+40,332$3,751
FIRST MERCHANTS CORP 99,717 -3,222 $3,726
     FRME99,717-3,222$3,726
AXON ENTERPRISE INC 14,447 +3,050 $3,722
     AXON14,447+3,050$3,722
ONE GAS INC 57,373 -1,945 $3,666
     OGS57,373-1,945$3,666
PIONEER NAT RES CO 16,156 +532 $3,627
     PXD16,156+532$3,627
ICICI BANK LIMITED 151,583 -53,109 $3,603
     IBN151,583-53,109$3,603
SHUTTERSTOCK INC 74,222 -1,051 $3,583
     SSTK74,222-1,051$3,583
IDACORP INC 36,469 -1,165 $3,582
     IDA36,469-1,165$3,582
BRANDYWINE RLTY TR 659,314 -2,059 $3,580
     BDN659,314-2,059$3,580
NEUROCRINE BIOSCIENCES INC 26,748 -1,843 $3,535
     NBIX26,748-1,843$3,535
FERGUSON PLC NEW 18,276 +581 $3,527
     FERG18,276+581$3,527
CORTEVA INC 73,731 -296 $3,524
     CTVA73,731-296$3,524
CAPITAL ONE FINL CORP 26,682 +909 $3,499
     COF26,682+909$3,499
CADENCE BANK 116,888 -3,930 $3,487
     CADE116,888-3,930$3,487
GENERAL MTRS CO 96,657 +1,526 $3,479
     GM96,657+1,526$3,479
HAWKINS INC 48,207 +48,207 $3,402
     HWKN48,207+48,207$3,402
FORD MTR CO DEL 276,238 +8,188 $3,385
     F276,238+8,188$3,385
SEMTECH CORP 153,607 -5,137 $3,382
     SMTC153,607-5,137$3,382
COMPASS MINERALS INTL INC 130,966 -531 $3,379
     CMP130,966-531$3,379
MARKETAXESS HLDGS INC 11,546 +8,771 $3,367
     MKTX11,546+8,771$3,367
POLARIS INC 35,163 -1,153 $3,344
     PII35,163-1,153$3,344
MICROCHIP TECHNOLOGY INC. 36,879 -789,269 $3,331
     MCHP36,879-789,269$3,331
HNI CORP 79,673 -572 $3,326
     HNI79,673-572$3,326
JAMF HLDG CORP 182,194 +49,120 $3,316
     JAMF182,194+49,120$3,316
EASTERLY GOVT PPTYS INC 241,677 -1,725 $3,282
     DEA241,677-1,725$3,282
ARHAUS INC 273,920 +91,356 $3,271
     ARHS273,920+91,356$3,271
KINDER MORGAN INC DEL 184,443 -625,122 $3,249
     KMI184,443-625,122$3,249
KKR & CO INC 39,047 +133 $3,241
     KKR39,047+133$3,241
NV5 GLOBAL INC 28,724 -1,171 $3,232
     NVEE28,724-1,171$3,232
USANA HEALTH SCIENCES INC 60,092 -2,188 $3,231
     USNA60,092-2,188$3,231
METHODE ELECTRS INC 141,449 -444 $3,219
     MEI141,449-444$3,219
RENAISSANCERE HLDGS LTD 16,467 -185 $3,214
     RNR16,467-185$3,214
MEDIFAST INC 47,768 -1,873 $3,203
     MED47,768-1,873$3,203
LIONS GATE ENTMNT CORP      $3,199
     LGF.A287,934+287,934$3,199
WILLIAMS COS INC 90,422 +7,692 $3,152
     WMB90,422+7,692$3,152
ZUMIEZ INC 153,092 -5,577 $3,143
     ZUMZ153,092-5,577$3,143
APOLLO MED HLDGS INC 79,770 -2,726 $3,140
     AMEH79,770-2,726$3,140
INMODE LTD 138,510 -4,265 $3,094
     INMD138,510-4,265$3,094
VERADIGM INC 293,301 -2,840 $3,088
     MDRX293,301-2,840$3,088
MODERNA INC 31,231 -6,940 $3,077
     MRNA31,231-6,940$3,077
STERLING INFRASTRUCTURE INC 34,278 +34,278 $3,030
     STRL34,278+34,278$3,030
TENET HEALTHCARE CORP 40,066 +30,623 $3,030
     THC40,066+30,623$3,030
COGNIZANT TECHNOLOGY SOLUTIO 39,470 -1,674 $2,973
     CTSH39,470-1,674$2,973
REGIONS FINANCIAL CORP NEW 151,953 -7,613 $2,952
     RF151,953-7,613$2,952
CNH INDL N V 240,351 +240,351 $2,938
     CNHI240,351+240,351$2,938
WISDOMTREE INC 416,190 -18,633 $2,915
     WT416,190-18,633$2,915
BLOCK INC 37,424 +2,872 $2,901
     SQ37,424+2,872$2,901
ENERGY RECOVERY INC 152,941 -5,158 $2,897
     ERII152,941-5,158$2,897
VALMONT INDS INC 12,189 +1,911 $2,863
     VMI12,189+1,911$2,863
ANDERSONS INC 49,332 +10,943 $2,843
     ANDE49,332+10,943$2,843
CHENIERE ENERGY INC 16,622 UNCH $2,839
     LNG16,622UNCH$2,839
AMERICAN WTR WKS CO INC NEW 21,242 +5,678 $2,820
     AWK21,242+5,678$2,820
FABRINET 14,612 -549 $2,804
     FN14,612-549$2,804
DENTSPLY SIRONA INC 78,610 -20,314 $2,792
     XRAY78,610-20,314$2,792
BANK NEW YORK MELLON CORP 53,420 +1,037 $2,783
     BK53,420+1,037$2,783
EVERI HLDGS INC 247,323 -9,528 $2,780
     EVRI247,323-9,528$2,780
DIAMONDBACK ENERGY INC 17,906 -133 $2,780
     FANG17,906-133$2,780
DIGITAL RLTY TR INC 20,486 +1,585 $2,777
     DLR20,486+1,585$2,777
MARRIOTT VACATIONS WORLDWIDE 32,586 +14,646 $2,775
     VAC32,586+14,646$2,775
GARTNER INC 6,110 +121 $2,766
     IT6,110+121$2,766
ENPRO INC 17,212 -25 $2,726
     NPO17,212-25$2,726
SAREPTA THERAPEUTICS INC 27,946 -350 $2,723
     SRPT27,946-350$2,723
RAYONIER INC 81,026 -3,704 $2,722
     RYN81,026-3,704$2,722
CHARTER COMMUNICATIONS INC N 6,942 +119 $2,708
     CHTR6,942+119$2,708
OLD DOMINION FREIGHT LINE IN 6,623 +2 $2,692
     ODFL6,623+2$2,692
CRA INTL INC 26,948 -1,026 $2,689
     CRAI26,948-1,026$2,689
PPG INDS INC 17,459 +4 $2,624
     PPG17,459+4$2,624
RAPID7 INC 45,855 -396 $2,616
     RPD45,855-396$2,616
PG&E CORP 144,732 +1,655 $2,604
     PCG144,732+1,655$2,604
HESS CORP 17,722 UNCH $2,564
     HES17,722UNCH$2,564
FLEETCOR TECHNOLOGIES INC 9,061 -800 $2,560
     FLT9,061-800$2,560
FIDELITY NATL INFORMATION SV 42,265 +303 $2,554
     FIS42,265+303$2,554
GODADDY INC 23,461 -5,000 $2,496
     GDDY23,461-5,000$2,496
WHITESTONE REIT 201,877 -8,811 $2,495
     COM201,877-8,811$2,495
DOLLAR GEN CORP NEW 17,664 +404 $2,402
     DG17,664+404$2,402
ALLOGENE THERAPEUTICS INC 740,683 -23,805 $2,381
     ALLO740,683-23,805$2,381
ONEOK INC NEW 33,813 -31 $2,379
     OKE33,813-31$2,379
OLLIES BARGAIN OUTLET HLDGS 31,253 +31,253 $2,372
     OLLI31,253+31,253$2,372
EQUIFAX INC 9,532 -448 $2,362
     EFX9,532-448$2,362
XYLEM INC 20,650 UNCH $2,360
     XYL20,650UNCH$2,360
CHEGG INC 206,558 -9,200 $2,353
     CHGG206,558-9,200$2,353
COSTAR GROUP INC 26,760 +605 $2,341
     CSGP26,760+605$2,341
MYRIAD GENETICS INC 122,096 -5,213 $2,338
     MYGN122,096-5,213$2,338
HEALTHEQUITY INC 35,222 -356 $2,337
     HQY35,222-356$2,337
EXTRA SPACE STORAGE INC 14,414 +376 $2,321
     EXR14,414+376$2,321
DREAM FINDERS HOMES INC 64,410 +64,410 $2,319
     DFH64,410+64,410$2,319
TARGET HOSPITALITY CORP 235,623 +56,471 $2,311
     TH235,623+56,471$2,311
COSAN S A 146,797 -2,224 $2,309
     CSAN146,797-2,224$2,309
VERACYTE INC 81,914 -754 $2,283
     VCYT81,914-754$2,283
HEXCEL CORP NEW 30,622 -2,949 $2,265
     HXL30,622-2,949$2,265
UNITED NAT FOODS INC 136,489 +27,005 $2,221
     UNFI136,489+27,005$2,221
BIO RAD LABS INC 6,789 -3,368 $2,206
     BIO6,789-3,368$2,206
SEMPRA 29,442 UNCH $2,198
     SRE29,442UNCH$2,198
ULTRAGENYX PHARMACEUTICAL IN 45,465 -921 $2,173
     RARE45,465-921$2,173
PROGYNY INC 56,894 -535 $2,144
     PGNY56,894-535$2,144
CDW CORP 9,373 +239 $2,132
     CDW9,373+239$2,132
INTERACTIVE BROKERS GROUP IN 25,598 -2,465 $2,121
     IBKR25,598-2,465$2,121
WK KELLOGG CO 162,028 +162,028 $2,119
     KLG162,028+162,028$2,119
IQIYI INC 427,751 +39,485 $2,115
     IQ427,751+39,485$2,115
DOLLAR TREE INC 14,874 +4 $2,112
     DLTR14,874+4$2,112
DOMINOS PIZZA INC 5,091 +1,703 $2,095
     DPZ5,091+1,703$2,095
FIGS INC 293,222 -15,272 $2,092
     FIGS293,222-15,272$2,092
MARTIN MARIETTA MATLS INC 4,158 +108 $2,073
     MLM4,158+108$2,073
LANTHEUS HLDGS INC 33,175 -582 $2,066
     LNTH33,175-582$2,066
RADWARE LTD 122,235 -5,905 $2,036
     RDWR122,235-5,905$2,036
COINBASE GLOBAL INC 11,665 +652 $2,025
     COIN11,665+652$2,025
CBRE GROUP INC 21,548 +578 $2,014
     CBRE21,548+578$2,014
HIGHWOODS PPTYS INC 87,137 -1,414 $2,012
     HIW87,137-1,414$2,012
PEDIATRIX MEDICAL GROUP INC 212,611 -6,950 $2,001
     MD212,611-6,950$2,001
LYONDELLBASELL INDUSTRIES N 20,914 +3,363 $1,987
     LYB20,914+3,363$1,987
ARCH CAP GROUP LTD 26,509 +570 $1,966
     ACGL26,509+570$1,966
SOCIEDAD QUIMICA Y MINERA DE 32,625 -304 $1,957
     SQM32,625-304$1,957
ALBEMARLE CORP 13,585 +24 $1,948
     ALB13,585+24$1,948
CONSTELLATION BRANDS INC 8,040 +507 $1,945
     STZ8,040+507$1,945
HF SINCLAIR CORP 34,915 +19,595 $1,940
     DINO34,915+19,595$1,940
Q2 HLDGS INC 44,631 +44,631 $1,938
     QTWO44,631+44,631$1,938
WARNER BROS DISCOVERY INC 170,263 +4,163 $1,938
     WBD170,263+4,163$1,938
TARGA RES CORP 22,309 +4,308 $1,925
     TRGP22,309+4,308$1,925
DOMINION ENERGY INC 40,619 UNCH $1,907
     D40,619UNCH$1,907
ILLUMINA INC 13,598 +248 $1,897
     ILMN13,598+248$1,897
CORNING INC 61,812 +460 $1,881
     GLW61,812+460$1,881
EQUITY RESIDENTIAL 30,529 -2,024 $1,878
     EQR30,529-2,024$1,878
EAST WEST BANCORP INC 25,933 -563 $1,876
     EWBC25,933-563$1,876
WILLIS TOWERS WATSON PLC LTD 7,771 +203 $1,872
     WTW7,771+203$1,872
MONOLITHIC PWR SYS INC 2,988 +123 $1,864
     MPWR2,988+123$1,864
AURINIA PHARMACEUTICALS INC 203,400 -11,100 $1,855
     AUPH203,400-11,100$1,855
ALCON AG 23,700 +3,000 $1,850
     ALC23,700+3,000$1,850
TETRA TECH INC NEW 11,048 -518 $1,848
     TTEK11,048-518$1,848
HUBSPOT INC 3,091 +41 $1,807
     HUBS3,091+41$1,807
DOORDASH INC 18,049 -50,680 $1,795
     DASH18,049-50,680$1,795
XENIA HOTELS & RESORTS INC 130,056 -6,616 $1,788
     XHR130,056-6,616$1,788
AECOM 19,165 -1,589 $1,772
     ACM19,165-1,589$1,772
NORDSON CORP 6,678 -73 $1,768
     NDSN6,678-73$1,768
CONSOLIDATED EDISON INC 19,465 -1,152 $1,765
     ED19,465-1,152$1,765
NEW YORK CMNTY BANCORP INC 170,150 +170,150 $1,755
     NYCB170,150+170,150$1,755
M & T BK CORP 12,407 +396 $1,707
     MTB12,407+396$1,707
RAYMOND JAMES FINL INC 15,102 +176 $1,692
     RJF15,102+176$1,692
RESMED INC 9,753 +324 $1,682
     RMD9,753+324$1,682
ALNYLAM PHARMACEUTICALS INC 8,690 UNCH $1,674
     ALNY8,690UNCH$1,674
UNIVERSAL INS HLDGS INC 104,959 -4,244 $1,668
     UVE104,959-4,244$1,668
DR REDDYS LABS LTD 23,855 UNCH $1,656
     RDY23,855UNCH$1,656
ZIMMER BIOMET HOLDINGS INC 13,603 -17,367 $1,656
     ZBH13,603-17,367$1,656
WABTEC 12,922 +878 $1,641
     WAB12,922+878$1,641
CHURCH & DWIGHT CO INC 16,599 +488 $1,567
     CHD16,599+488$1,567
PTC INC 8,918 +320 $1,562
     PTC8,918+320$1,562
BUILDERS FIRSTSOURCE INC 9,311 UNCH $1,558
     BLDR9,311UNCH$1,558
CLOUDFLARE INC 18,657 -17,921 $1,557
     NET18,657-17,921$1,557
KEURIG DR PEPPER INC 46,268 +4,637 $1,542
     KDP46,268+4,637$1,542
NEOGENOMICS INC 93,543 -5,477 $1,541
     NEO93,543-5,477$1,541
VIR BIOTECHNOLOGY INC 148,474 -2,687 $1,503
     VIR148,474-2,687$1,503
ALECTOR INC 190,290 -12,417 $1,501
     ALEC190,290-12,417$1,501
DIGI INTL INC 57,026 -3,296 $1,494
     DGII57,026-3,296$1,494
HUNTINGTON BANCSHARES INC (HBAN) 117,128 +9,575 $1,493
     HBAN117,128+9,575$1,493
VICI PPTYS INC 46,421 -19,981 $1,485
     VICI46,421-19,981$1,485
NVR INC 212 +8 $1,483
     NVR212+8$1,483
UIPATH INC 59,390 -1,090 $1,479
     PATH59,390-1,090$1,479
COOPER COS INC 3,883 UNCH $1,474
     COO3,883UNCH$1,474
IRON MTN INC DEL 20,928 +778 $1,468
     IRM20,928+778$1,468
INVITATION HOMES INC 42,490 +1,488 $1,461
     INVH42,490+1,488$1,461
APA CORPORATION 40,534 +6,939 $1,457
     APA40,534+6,939$1,457
EXACT SCIENCES CORP 19,528 +670 $1,452
     EXAS19,528+670$1,452
DIGITAL TURBINE INC 211,414 -13,050 $1,451
     APPS211,414-13,050$1,451
CF INDS HLDGS INC 18,271 -671 $1,447
     CF18,271-671$1,447
OMNICOM GROUP INC 16,621 UNCH $1,435
     OMC16,621UNCH$1,435
PACIFIC BIOSCIENCES CALIF IN 142,757 -6,374 $1,410
     PACB142,757-6,374$1,410
ALEXANDRIA REAL ESTATE EQ IN 10,979 -186,597 $1,407
     ARE10,979-186,597$1,407
EQUITY LIFESTYLE PPTYS INC 19,529 -135,751 $1,391
     ELS19,529-135,751$1,391
STERIS PLC 6,301 +206 $1,388
     STE6,301+206$1,388
BROWN & BROWN INC 19,332 +665 $1,370
     BRO19,332+665$1,370
CLOROX CO DEL 9,551 +364 $1,362
     CLX9,551+364$1,362
RELIANCE STEEL & ALUMINUM CO 4,846 +291 $1,355
     RS4,846+291$1,355
KEYCORP 92,968 -9,174 $1,342
     KEY92,968-9,174$1,342
WALGREENS BOOTS ALLIANCE INC 51,729 +2,099 $1,341
     WBA51,729+2,099$1,341
SNAP INC 78,752 UNCH $1,335
     SNAP78,752UNCH$1,335
PAYONEER GLOBAL INC 251,314 -1,650 $1,326
     PAYO251,314-1,650$1,326
ARES MANAGEMENT CORPORATION 10,973 +461 $1,310
     ARES10,973+461$1,310
PRINCIPAL FINANCIAL GROUP IN 16,440 UNCH $1,299
     PFG16,440UNCH$1,299
VENTAS INC 25,664 +460 $1,289
     VTR25,664+460$1,289
LPL FINL HLDGS INC 5,629 +198 $1,287
     LPLA5,629+198$1,287
CRYOPORT INC 81,952 -1,881 $1,275
     CYRX81,952-1,881$1,275
AERCAP HOLDINGS NV 16,882 +1,966 $1,257
     AER16,882+1,966$1,257
ROBLOX CORP 27,194 UNCH $1,255
     RBLX27,194UNCH$1,255
GARMIN LTD 9,681 -13,745 $1,247
     GRMN9,681-13,745$1,247
FIRST BANCORP N C 33,163 -1,952 $1,238
     FBNC33,163-1,952$1,238
ACCOLADE INC 100,251 -6,513 $1,237
     ACCD100,251-6,513$1,237
WEC ENERGY GROUP INC 14,679 UNCH $1,237
     WEC14,679UNCH$1,237
GENUINE PARTS CO 8,908 UNCH $1,233
     GPC8,908UNCH$1,233
DUCKHORN PORTFOLIO INC 124,997 -6,857 $1,229
     NAPA124,997-6,857$1,229
FIDELITY NATIONAL FINANCIAL 24,080 +1,122 $1,226
     FNF24,080+1,122$1,226
CLEARFIELD INC 41,740 -645 $1,213
     CLFD41,740-645$1,213
BALL CORP 20,998 UNCH $1,212
     BALL20,998UNCH$1,212
AVERY DENNISON CORP 5,902 +268 $1,196
     AVY5,902+268$1,196
ENTEGRIS INC 9,878 UNCH $1,191
     ENTG9,878UNCH$1,191
RPM INTL INC 10,620 +15 $1,188
     RPM10,620+15$1,188
DECKERS OUTDOOR CORP 1,755 UNCH $1,183
     DECK1,755UNCH$1,183
MARKEL GROUP INC 835 UNCH $1,183
     MKL835UNCH$1,183
UDR INC 30,361 -2,955 $1,170
     UDR30,361-2,955$1,170
LAMB WESTON HLDGS INC 10,702 +502 $1,160
     LW10,702+502$1,160
MCCORMICK & CO INC 16,831 -1,401,652 $1,151
     MKC16,831-1,401,652$1,151
NORTHERN TR CORP 13,599 +637 $1,149
     NTRS13,599+637$1,149
WESTERN DIGITAL CORP. 21,881 +135 $1,148
     WDC21,881+135$1,148
GLOBE LIFE INC 9,398 -405 $1,146
     GL9,398-405$1,146
SEAGATE TECHNOLOGY HLDNGS PL 13,293 +630 $1,144
     STX13,293+630$1,144
JABIL INC 8,921 UNCH $1,139
     JBL8,921UNCH$1,139
STANLEY BLACK & DECKER INC 11,554 +554 $1,136
     SWK11,554+554$1,136
LENNOX INTL INC 2,535 +1 $1,135
     LII2,535+1$1,135
TRUPANION INC 37,268 +26,540 $1,126
     TRUP37,268+26,540$1,126
BIOMARIN PHARMACEUTICAL INC 11,594 +544 $1,121
     BMRN11,594+544$1,121
CARLISLE COS INC 3,567 +176 $1,118
     CSL3,567+176$1,118
INSULET CORP 5,088 UNCH $1,104
     PODD5,088UNCH$1,104
HUNT J B TRANS SVCS INC 5,426 -273 $1,091
     JBHT5,426-273$1,091
TYLER TECHNOLOGIES INC 2,600 +115 $1,091
     TYL2,600+115$1,091
FIRST SOLAR INC 6,336 UNCH $1,090
     FSLR6,336UNCH$1,090
GRACO INC 12,498 +1,886 $1,087
     GGG12,498+1,886$1,087
GREEN DOT CORP 108,100 -6,745 $1,083
     GDOT108,100-6,745$1,083
HANESBRANDS INC 244,769 -1,585 $1,079
     HBI244,769-1,585$1,079
KIMCO RLTY CORP 49,351 +2,402 $1,068
     KIM49,351+2,402$1,068
TYSON FOODS INC 19,857 -210,320 $1,065
     TSN19,857-210,320$1,065
TASKUS INC 79,622 -5,310 $1,062
     TASK79,622-5,310$1,062
DTE ENERGY CO 9,474 UNCH $1,046
     DTE9,474UNCH$1,046
EPAM SYS INC 3,469 -51,183 $1,045
     EPAM3,469-51,183$1,045
KELLANOVA 18,701 +931 $1,044
     K18,701+931$1,044
VERTIV HOLDINGS CO 21,456 +21,456 $1,040
     VRT21,456+21,456$1,040
GEN DIGITAL INC 45,455 -3,572,725 $1,036
     GEN45,455-3,572,725$1,036
CHARLES RIV LABS INTL INC 4,381 +253 $1,035
     CRL4,381+253$1,035
OKTA INC 11,433 +646 $1,033
     OKTA11,433+646$1,033
ESSEX PPTY TR INC 4,115 +208 $1,026
     ESS4,115+208$1,026
MOSAIC CO NEW 28,619 +1,422 $1,021
     MOS28,619+1,422$1,021
SUN CMNTYS INC 7,594 -69,371 $1,020
     SUI7,594-69,371$1,020
NICE LTD 5,022 -1,000 $1,001
     NICE5,022-1,000$1,001
BOSTON PROPERTIES INC 14,042 -812 $998
     BXP14,042-812$998
RIVIAN AUTOMOTIVE INC 42,401 UNCH $990
     RIVN42,401UNCH$990
CINCINNATI FINL CORP 9,563 UNCH $987
     CINF9,563UNCH$987
SUPER MICRO COMPUTER INC 3,422 +187 $973
     SMCI3,422+187$973
CARMAX INC 12,547 UNCH $962
     KMX12,547UNCH$962
FIRSTENERGY CORP 26,086 UNCH $954
     FE26,086UNCH$954
LOEWS CORP 13,668 +690 $951
     L13,668+690$951
CLEAR SECURE INC 45,551 +45,551 $943
     YOU45,551+45,551$943
CMS ENERGY CORP 16,168 UNCH $941
     CMS16,168UNCH$941
BERKLEY W R CORP 13,225 UNCH $932
     WRB13,225UNCH$932
TEVA PHARMACEUTICAL INDS LTD 89,136 +1,521 $931
     TEVA89,136+1,521$931
FRANKLIN RESOURCES INC 30,865 -1,004 $919
     BEN30,865-1,004$919
REVVITY INC 8,355 +8,355 $917
     RVTY8,355+8,355$917
WP CAREY INC 14,017 UNCH $913
     WPC14,017UNCH$913
SMITH A O CORP 10,836 +1,325 $894
     AOS10,836+1,325$894
TELEDYNE TECHNOLOGIES INC 2,005 UNCH $893
     TDY2,005UNCH$893
BATH & BODY WORKS INC 20,338 -248,306 $882
     BBWI20,338-248,306$882
BURLINGTON STORES INC 4,382 +289 $860
     BURL4,382+289$860
TWILIO INC 11,100 +773 $847
     TWLO11,100+773$847
TRANSUNION 12,303 UNCH $846
     TRU12,303UNCH$846
ALLY FINL INC 23,442 +1,755 $816
     ALLY23,442+1,755$816
BIO TECHNE CORP 10,494 +761 $815
     TECH10,494+761$815
ETSY INC 9,785 UNCH $800
     ETSY9,785UNCH$800
AMEREN CORP 10,949 UNCH $793
     AEE10,949UNCH$793
B & G FOODS INC NEW 74,707 UNCH $788
     BGS74,707UNCH$788
ATMOS ENERGY CORP 6,774 -263 $786
     ATO6,774-263$786
CELANESE CORP DEL 5,026 UNCH $785
     CE5,026UNCH$785
INTERPUBLIC GROUP COS INC 24,047 UNCH $782
     IPG24,047UNCH$782
LIBERTY MEDIA CORP DEL 12,326 +660 $775
     FWONK12,326+660$775
CENTERPOINT ENERGY INC 26,943 UNCH $768
     CNP26,943UNCH$768
BENTLEY SYS INC 14,423 UNCH $756
     BSY14,423UNCH$756
EASTMAN CHEM CO 8,392 UNCH $754
     EMN8,392UNCH$754
BROWN FORMAN CORP      $753
     BF.B13,136UNCH$753
FORTREA HLDGS INC 21,350 +21,350 $747
     FTRE21,350+21,350$747
JAZZ PHARMACEUTICALS PLC 6,126 -440 $744
     JAZZ6,126-440$744
AMERICAN HOMES 4 RENT 20,568 +1,362 $741
     AMH20,568+1,362$741
TELEFLEX INCORPORATED 2,964 +239 $738
     TFX2,964+239$738
FMC CORP 11,635 -2,560 $729
     FMC11,635-2,560$729
OVINTIV INC 16,437 UNCH $727
     OVV16,437UNCH$727
ESSENTIAL UTILS INC 19,403 -2,513 $727
     WTRG19,403-2,513$727
VISTRA CORP 18,667 UNCH $723
     VST18,667UNCH$723
ERIE INDTY CO 2,133 UNCH $713
     ERIE2,133UNCH$713
PARAMOUNT GLOBAL 47,815 -3,809 $710
     PARA47,815-3,809$710
REGENCY CTRS CORP 10,548 UNCH $709
     REG10,548UNCH$709
AMCOR PLC 72,765 -15,030 $703
     AMCR72,765-15,030$703
DRAFTKINGS INC NEW 19,785 UNCH $699
     DKNG19,785UNCH$699
CERIDIAN HCM HLDG INC 10,252 +796 $689
     CDAY10,252+796$689
LIBERTY BROADBAND CORP 8,435 UNCH $680
     LBRDK8,435UNCH$680
HENRY SCHEIN INC 8,987 -390 $677
     HSIC8,987-390$677
EQT CORP 17,194 UNCH $669
     EQT17,194UNCH$669
ROKU INC 7,247 +551 $669
     ROKU7,247+551$669
ANNALY CAPITAL MANAGEMENT IN 34,306 +2,248 $668
     NLY34,306+2,248$668
UNITY SOFTWARE INC 16,384 UNCH $665
     U16,384UNCH$665
HEALTHPEAK PROPERTIES INC 32,418 UNCH $647
     PEAK32,418UNCH$647
REPLIGEN CORP 3,563 +291 $646
     RGEN3,563+291$646
FOX CORP 21,708 UNCH $643
     FOXA21,708UNCH$643
NRG ENERGY INC 12,398 UNCH $643
     NRG12,398UNCH$643
MGM RESORTS INTERNATIONAL 14,317 -93,352 $641
     MGM14,317-93,352$641
LATTICE SEMICONDUCTOR CORP 9,168 UNCH $637
     LSCC9,168UNCH$637
ROYALTY PHARMA PLC 22,671 UNCH $634
     RPRX22,671UNCH$634
DELTA AIR LINES INC DEL 15,622 -9,242 $626
     DAL15,622-9,242$626
KNIGHT SWIFT TRANSN HLDGS IN 10,795 -1,240,205 $625
     KNX10,795-1,240,205$625
CYBERARK SOFTWARE LTD 2,841 +250 $624
     CYBR2,841+250$624
MOLSON COORS BEVERAGE CO 10,182 UNCH $623
     TAP10,182UNCH$623
CARLYLE GROUP INC 15,265 +3,450 $622
     CG15,265+3,450$622
FTI CONSULTING INC 3,094 -1,290 $618
     FCN3,094-1,290$618
AES CORP 32,003 -2,833,817 $616
     AES32,003-2,833,817$616
SEI INVTS CO 9,445 +841 $601
     SEIC9,445+841$601
HOST HOTELS & RESORTS INC 30,533 UNCH $598
     HST30,533UNCH$598
DICKS SPORTING GOODS INC 4,012 UNCH $594
     DKS4,012UNCH$594
HORMEL FOODS CORP 18,118 UNCH $581
     HRL18,118UNCH$581
GAMING & LEISURE PPTYS INC 11,489 UNCH $568
     GLPI11,489UNCH$568
ZILLOW GROUP INC 9,718 -416,893 $568
     Z9,718-416,893$568
BILL HOLDINGS INC 6,350 UNCH $525
     BILL6,350UNCH$525
V F CORP 27,478 UNCH $516
     VFC27,478UNCH$516
AMERICAN FINL GROUP INC OHIO 4,334 UNCH $515
     AFG4,334UNCH$515
ALLIANT ENERGY CORP 10,024 UNCH $514
     LNT10,024UNCH$514
TOAST INC 28,004 UNCH $513
     TOST28,004UNCH$513
EVERGY INC 9,803 UNCH $511
     EVRG9,803UNCH$511
CLEVELAND CLIFFS INC NEW 23,725 UNCH $485
     CLF23,725UNCH$485
CATALENT INC 10,778 UNCH $485
     CTLT10,778UNCH$485
HASBRO INC 9,541 UNCH $485
     HAS9,541UNCH$485
CHESAPEAKE ENERGY CORP 6,222 UNCH $480
     CHK6,222UNCH$480
GRAB HOLDINGS LIMITED 139,798 +16,746 $474
     GRAB139,798+16,746$474
WIX COM LTD 3,792 +450 $472
     WIX3,792+450$472
SOUTHWEST AIRLS CO 15,827 -807,952 $457
     LUV15,827-807,952$457
WESTLAKE CORPORATION 3,260 +377 $455
     WLK3,260+377$455
CELSIUS HLDGS INC 8,138 -19,753 $447
     CELH8,138-19,753$447
NISOURCE INC 16,833 UNCH $446
     NI16,833UNCH$446
U HAUL HOLDING COMPANY      $446
     UHAL.B6,312+421$446
CREDICORP LTD 2,968 -19,055 $444
     BAP2,968-19,055$444
TEXAS PACIFIC LAND CORPORATI 271 UNCH $433
     TPL271UNCH$433
PAYLOCITY HLDG CORP 2,580 -3,700 $426
     PCTY2,580-3,700$426
CONSENSUS CLOUD SOLUTIONS IN 15,596 -2,245 $416
     CCSI15,596-2,245$416
UMH PPTYS INC 25,602 -180,974 $395
     UMH25,602-180,974$395
LAUREATE EDUCATION INC 28,628 +28,628 $390
     LAUR28,628+28,628$390
ENERSYS 3,726 +328 $381
     ENS3,726+328$381
SIRIUS XM HOLDINGS INC 68,897 +11,160 $376
     SIRI68,897+11,160$376
LIBERTY MEDIA CORP DEL 13,095 UNCH $374
     LSXMK13,095UNCH$374
ROBINHOOD MKTS INC 29,405 UNCH $372
     HOOD29,405UNCH$372
NEWS CORP NEW 14,434 UNCH $355
     NWSA14,434UNCH$355
LUCID GROUP INC 84,235 UNCH $350
     LCID84,235UNCH$350
VOYA FINANCIAL INC 4,718 -2,058 $344
     VOYA4,718-2,058$344
PVH CORPORATION 2,671 -1,091 $326
     PVH2,671-1,091$326
LIBERTY GLOBAL LTD 16,874 UNCH $314
     LBTYK16,874UNCH$314
ALBERTSONS COS INC 13,454 +1,041 $308
     ACI13,454+1,041$308
MONDAY COM LTD 1,596 +1,596 $302
     MNDY1,596+1,596$302
AXCELIS TECHNOLOGIES INC 2,206 +287 $286
     ACLS2,206+287$286
HYATT HOTELS CORP 2,170 -48,927 $283
     H2,170-48,927$283
INSTALLED BLDG PRODS INC 1,462 +1,462 $269
     IBP1,462+1,462$269
CONFLUENT INC 11,143 +3,361 $265
     CFLT11,143+3,361$265
CAPRI HOLDINGS LIMITED 5,012 -1,858 $252
     CPRI5,012-1,858$252
TOPBUILD CORP 589 +589 $222
     BLD589+589$222
FOX CORP 8,039 UNCH $222
     FOX8,039UNCH$222
GOODYEAR TIRE & RUBR CO 13,319 -7,133 $192
     GT13,319-7,133$192
THE AARONS COMPANY INC $0 (exited)
     AAN0-123,953$0
ARROW ELECTRS INC $0 (exited)
     ARW0-4,560$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-120,743$0
BJS WHSL CLUB HLDGS INC $0 (exited)
     BJ0-57,923$0
POPULAR INC $0 (exited)
     BPOP0-92,318$0
CLARIVATE PLC $0 (exited)
     CLVT0-42,935$0
EMERGENT BIOSOLUTIONS INC $0 (exited)
     EBS0-62,403$0
ENHABIT INC $0 (exited)
     EHAB0-37,304$0
FIRST HORIZON CORPORATION $0 (exited)
     FHN0-30,069$0
FISERV INC $0 (exited)
     FISV0-3,506,330$0
1 800 FLOWERS COM INC $0 (exited)
     FLWS0-263,743$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-21,366$0
GENERAC HLDGS INC $0 (exited)
     GNRC0-4,263$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-174,943$0
INVESCO LTD $0 (exited)
     IVZ0-26,536$0
JACK IN THE BOX INC $0 (exited)
     JACK0-71,855$0
KITE RLTY GROUP TR $0 (exited)
     KRG0-298,106$0
LENDINGCLUB CORP $0 (exited)
     LC0-609,966$0
MACERICH CO $0 (exited)
     MAC0-11,068$0
MCGRATH RENTCORP $0 (exited)
     MGRC0-86,052$0
MOHAWK INDS INC $0 (exited)
     MHK0-3,366$0
MODIVCARE INC $0 (exited)
     MODV0-56,663$0
NOBLE CORP PLC $0 (exited)
     NE0-51,271$0
NEXTERA ENERGY PARTNERS LP $0 (exited)
     NEP0-56,962$0
ENVISTA HOLDINGS CORPORATION $0 (exited)
     NVST0-35,143$0
OLINK HLDG AB $0 (exited)
     OLK0-59,401$0
OUTFRONT MEDIA INC $0 (exited)
     OUT0-497,956$0
PHILLIPS EDISON & CO INC $0 (exited)
     PECO0-291,291$0
REVVITY INC $0 (exited)
     PKI0-8,355$0
UNIQURE NV $0 (exited)
     QURE0-297,267$0
SOLAREDGE TECHNOLOGIES INC $0 (exited)
     SEDG0-4,055$0
SEALED AIR CORP NEW $0 (exited)
     SEE0-11,359$0
SEAGEN INC $0 (exited)
     SGEN0-9,331$0
SENSATA TECHNOLOGIES HLDG PL $0 (exited)
     ST0-19,560$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-147,533$0
2U INC $0 (exited)
     TWOU0-1,235,703$0
UFP TECHNOLOGIES INC $0 (exited)
     UFPT0-21,653$0
VERTEX INC $0 (exited)
     VERX0-303,499$0
VMWARE INC $0 (exited)
     VMW0-1,287,229$0
WEBSTER FINL CORP $0 (exited)
     WBS0-11,713$0
WHIRLPOOL CORP $0 (exited)
     WHR0-3,987$0
WOLFSPEED INC $0 (exited)
     WOLF0-10,082$0
ZOOMINFO TECHNOLOGIES INC 0 -17,208 $0 (exited)
     ZI0-17,208$0

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