Holdings Channel
EntityShares/Amount
Change
Position Value
Change
ARMK +2,686,000+$75,477
BIRK +600,000+$29,238
ALKS +346,300+$9,606
AWI +91,680+$9,014
AMR +24,541+$8,317
NCR +277,900+$7,526
ACIW +225,614+$6,904
KSS +229,692+$6,588
CWEN +242,808+$6,527
FTRE +184,270+$6,431
EntityShares/Amount
Change
Position Value
Change
VCIT -1,350,000-$102,573
ARGX -77,375-$38,040
DEN -324,000-$31,755
ATVI -276,632-$25,901
TWNK -714,213-$23,790
TFII -174,262-$22,484
STN -239,731-$15,627
HZNP -128,000-$14,808
GFL -446,656-$14,249
DSGX -183,659-$13,542
EntityShares/Amount
Change
Position Value
Change
FXI +7,000,000+$189,460
VCSH +1,625,000+$133,663
USFD +1,000,000+$48,265
LUMN +847,718+$2,062
CCEP +589,500+$39,657
SLF +577,015+$30,551
PEP +522,821+$88,855
OGN +503,159+$7,176
CAE +496,640+$4,709
DLTR +482,461+$87,132
EntityShares/Amount
Change
Position Value
Change
MFC -3,574,921-$64,055
FTNT -1,633,404-$95,850
MDLZ -1,388,673-$96,278
RTX -1,196,668-$85,753
TD -1,074,466-$57,716
KVUE -859,970-$10,493
GOOGL -846,022-$94,250
AMZN -724,346-$44,837
MRK -712,390-$68,090
Size ($ in 1000's)
At 12/31/2023: $13,423,829
At 09/30/2023: $13,975,681

Public Sector Pension Investment Board holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Public Sector Pension Investment Board 13F filings. Link to 13F filings: SEC filings

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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 2,287,109 -249,205 $860,044
     MSFT2,287,109-249,205$860,044
APPLE INC 2,599,107 -558,369 $500,406
     AAPL2,599,107-558,369$500,406
VANGUARD SCOTTSDALE FDS (VCSH) 5,200,000 +1,625,000 $402,324
     VCSH5,200,000+1,625,000$402,324
NVIDIA CORPORATION 729,507 +72,727 $361,266
     NVDA729,507+72,727$361,266
AMAZON COM INC 1,903,392 -724,346 $289,201
     AMZN1,903,392-724,346$289,201
ALPHABET INC 1,864,083 -846,022 $260,394
     GOOGL1,864,083-846,022$260,394
BROADCOM INC 220,827 +81,317 $246,498
     AVGO220,827+81,317$246,498
UNITEDHEALTH GROUP INC 420,319 -77,709 $221,285
     UNH420,319-77,709$221,285
EVERSOURCE ENERGY 3,366,542 -40,281 $207,783
     ES3,366,542-40,281$207,783
VISA INC 745,132 -126,579 $193,995
     V745,132-126,579$193,995
UNION PAC CORP 787,360 +216,577 $193,391
     UNP787,360+216,577$193,391
TELESAT CORP 18,211,203 UNCH $190,868
     TSAT18,211,203UNCH$190,868
ELI LILLY & CO 290,581 -146,782 $169,385
     LLY290,581-146,782$169,385
MASTERCARD INCORPORATED 346,078 +166,955 $147,606
     MA346,078+166,955$147,606
DOLLAR TREE INC      $142,744
     DLTR504,887-17,539$71,719
     Call500,000+500,000$71,025
AVERY DENNISON CORP 696,026 -2,598 $140,709
     AVY696,026-2,598$140,709
FORTIS INC 3,397,746 -38,580 $140,460
     FTS3,397,746-38,580$140,460
SALESFORCE INC 522,437 -4,828 $137,474
     CRM522,437-4,828$137,474
MICROCHIP TECHNOLOGY INC. 1,434,945 +372,334 $129,403
     MCHP1,434,945+372,334$129,403
AVISTA CORP 3,539,985 +26,454 $126,519
     AVA3,539,985+26,454$126,519
EATON CORP PLC 488,818 -12,781 $117,717
     ETN488,818-12,781$117,717
PEPSICO INC 670,277 +522,821 $113,840
     PEP670,277+522,821$113,840
TORONTO DOMINION BK ONT 1,659,968 -1,074,466 $107,786
     TD1,659,968-1,074,466$107,786
AUTOLIV INC 958,304 +278,800 $105,596
     ALV958,304+278,800$105,596
JPMORGAN CHASE & CO 601,625 -223,324 $102,336
     JPM601,625-223,324$102,336
KENVUE INC      $100,604
     KVUE3,672,726-859,970$79,074
     Call1,000,000UNCH$21,530
BERKSHIRE HATHAWAY INC DEL      $100,111
     BRK.B280,690-75,907$100,111
META PLATFORMS INC 278,709 -33,277 $98,652
     META278,709-33,277$98,652
ROYAL BK CDA 968,346 -203,557 $98,406
     RY968,346-203,557$98,406
COMCAST CORP NEW 2,152,191 -756 $94,374
     CMCSA2,152,191-756$94,374
MERCK & CO INC 865,003 -712,390 $94,303
     MRK865,003-712,390$94,303
LOWES COS INC 416,887 +121,497 $92,778
     LOW416,887+121,497$92,778
PARKER HANNIFIN CORP 195,522 +60,425 $90,077
     PH195,522+60,425$90,077
EXXON MOBIL CORP 872,017 -65,224 $87,184
     XOM872,017-65,224$87,184
CAE INC 3,932,914 +496,640 $85,304
     CAE3,932,914+496,640$85,304
ABBVIE INC 542,700 +353,634 $84,102
     ABBV542,700+353,634$84,102
ANALOG DEVICES INC 412,227 -140,229 $81,852
     ADI412,227-140,229$81,852
SPDR S&P 500 ETF TR (SPY) 165,233 +50,701 $78,537
     SPY165,233+50,701$78,537
INTEL CORP 1,548,577 +49,970 $77,816
     INTC1,548,577+49,970$77,816
SYNOPSYS INC 151,034 +35,111 $77,769
     SNPS151,034+35,111$77,769
ARAMARK 2,686,000 +2,686,000 $75,477
     ARMK2,686,000+2,686,000$75,477
BANK AMERICA CORP 2,229,003 -556,112 $75,051
     BAC2,229,003-556,112$75,051
TAIWAN SEMICONDUCTOR MFG LTD 720,772 +182,390 $74,960
     TSM720,772+182,390$74,960
HILTON WORLDWIDE HLDGS INC 398,355 +78,773 $72,536
     HLT398,355+78,773$72,536
WALMART INC 450,386 -316,662 $71,003
     WMT450,386-316,662$71,003
FEDEX CORP 272,170 -60,826 $68,851
     FDX272,170-60,826$68,851
US FOODS HLDG CORP      $68,115
     Call1,500,000UNCH$68,115
STARBUCKS CORP 700,227 +72,713 $67,229
     SBUX700,227+72,713$67,229
THERMO FISHER SCIENTIFIC INC 124,437 -33,729 $66,050
     TMO124,437-33,729$66,050
INTUITIVE SURGICAL INC 194,068 +6,934 $65,471
     ISRG194,068+6,934$65,471
ABBOTT LABS 585,152 -410,971 $64,408
     ABT585,152-410,971$64,408
T MOBILE US INC 388,955 -40,563 $62,361
     TMUS388,955-40,563$62,361
CANADIAN NATL RY CO 493,692 +411,531 $62,357
     CNI493,692+411,531$62,357
AVANTOR INC 2,725,045 +186,050 $62,213
     AVTR2,725,045+186,050$62,213
LABORATORY CORP AMER HLDGS 270,483 +260,993 $61,478
     LH270,483+260,993$61,478
TJX COS INC NEW 589,876 -110,972 $55,336
     TJX589,876-110,972$55,336
UBER TECHNOLOGIES INC 880,256 +74,256 $54,197
     UBER880,256+74,256$54,197
WELLS FARGO CO NEW 1,067,458 -280,826 $52,540
     WFC1,067,458-280,826$52,540
D WAVE QUANTUM INC 59,431,311 UNCH $52,305
     QBTS59,431,311UNCH$52,305
PDD HOLDINGS INC 350,465 +34,691 $51,277
     PDD350,465+34,691$51,277
UBS GROUP AG 1,616,592 +34,519 $50,131
     UBS1,616,592+34,519$50,131
BOSTON SCIENTIFIC CORP 858,054 -158,849 $49,604
     BSX858,054-158,849$49,604
CITIGROUP INC 949,015 -149,509 $48,817
     C949,015-149,509$48,817
PROCTER AND GAMBLE CO 323,732 -198,776 $47,440
     PG323,732-198,776$47,440
TESLA INC 189,291 -468,018 $47,035
     TSLA189,291-468,018$47,035
AMERICAN EXPRESS CO 249,288 -50,651 $46,702
     AXP249,288-50,651$46,702
CANADIAN IMPERIAL BK COMM TO 957,010 -33,595 $46,305
     CM957,010-33,595$46,305
APTIV PLC 504,913 +474,618 $45,301
     APTV504,913+474,618$45,301
CDW CORP 195,667 -8,338 $44,479
     CDW195,667-8,338$44,479
COCA COLA EUROPACIFIC PARTNE 663,146 +589,500 $44,258
     CCEP663,146+589,500$44,258
AUTOZONE INC 16,881 -20,744 $43,648
     AZO16,881-20,744$43,648
TELEDYNE TECHNOLOGIES INC 93,325 +88,294 $41,650
     TDY93,325+88,294$41,650
LIVE NATION ENTERTAINMENT IN 428,732 +413,545 $40,129
     LYV428,732+413,545$40,129
CHEVRON CORP NEW 263,106 -155,110 $39,245
     CVX263,106-155,110$39,245
SUN LIFE FINANCIAL INC. 731,780 +577,015 $38,137
     SLF731,780+577,015$38,137
GODADDY INC 356,370 -157,080 $37,832
     GDDY356,370-157,080$37,832
NETFLIX INC 69,259 +21,790 $33,721
     NFLX69,259+21,790$33,721
BIRKENSTOCK HOLDING PLC      $29,238
     BIRK300,000+300,000$14,619
     Call300,000+300,000$14,619
PFIZER INC 928,485 +323,705 $26,731
     PFE928,485+323,705$26,731
COSTCO WHSL CORP NEW 40,016 -37,453 $26,414
     COST40,016-37,453$26,414
TEXAS INSTRS INC 150,620 +53,361 $25,675
     TXN150,620+53,361$25,675
NEXTERA ENERGY INC 393,168 -232,072 $23,881
     NEE393,168-232,072$23,881
CVS HEALTH CORP 301,266 -108,315 $23,788
     CVS301,266-108,315$23,788
MATCH GROUP INC NEW 639,340 -23,578 $23,336
     MTCH639,340-23,578$23,336
SPOTIFY TECHNOLOGY S A 120,000 UNCH $22,549
     SPOT120,000UNCH$22,549
S&P GLOBAL INC 50,617 -25,033 $22,298
     SPGI50,617-25,033$22,298
NISOURCE INC 830,102 -7,138 $22,039
     NI830,102-7,138$22,039
ORACLE CORP 208,822 -139,810 $22,016
     ORCL208,822-139,810$22,016
BROOKFIELD ASSET MANAGMT LTD 528,364 -13,276 $21,325
     BAM528,364-13,276$21,325
PHILIP MORRIS INTL INC 225,332 -130,951 $21,199
     PM225,332-130,951$21,199
CONOCOPHILLIPS 177,921 -102,573 $20,651
     COP177,921-102,573$20,651
SHOPIFY INC 253,843 -57,655 $19,859
     SHOP253,843-57,655$19,859
GOLDMAN SACHS GROUP INC 50,973 -25,718 $19,664
     GS50,973-25,718$19,664
PIONEER NAT RES CO 84,919 +30,497 $19,097
     PXD84,919+30,497$19,097
STELLANTIS N.V 792,031 +3,106 $18,504
     STLA792,031+3,106$18,504
MORGAN STANLEY 197,295 -95,185 $18,398
     MS197,295-95,185$18,398
BLACKROCK INC 21,907 -11,807 $17,784
     BLK21,907-11,807$17,784
CRH PLC 253,288 -5,462 $17,468
     CRH253,288-5,462$17,468
PATHWARD FINANCIAL INC 329,894 +21,929 $17,461
     CASH329,894+21,929$17,461
CYTOKINETICS INC 203,472 +84,820 $16,988
     CYTK203,472+84,820$16,988
ENBRIDGE INC 462,454 -96,823 $16,729
     ENB462,454-96,823$16,729
E L F BEAUTY INC 114,546 +47,238 $16,534
     ELF114,546+47,238$16,534
MERCADOLIBRE INC 10,292 +926 $16,174
     MELI10,292+926$16,174
BANK MONTREAL QUE 161,136 -26,871 $16,022
     BMO161,136-26,871$16,022
SCHWAB CHARLES CORP 232,337 -114,075 $15,985
     SCHW232,337-114,075$15,985
CANADIAN NAT RES LTD 238,072 -53,285 $15,673
     CNQ238,072-53,285$15,673
FERRARI N V 45,125 +177 $15,213
     RACE45,125+177$15,213
EXTREME NETWORKS 842,963 +111,035 $14,870
     EXTR842,963+111,035$14,870
SPS COMM INC 76,157 +30,857 $14,762
     SPSC76,157+30,857$14,762
PROLOGIS INC. 110,672 -77,453 $14,753
     PLD110,672-77,453$14,753
CISCO SYS INC 291,807 -144,702 $14,742
     CSCO291,807-144,702$14,742
MARSH & MCLENNAN COS INC 77,142 -37,314 $14,616
     MMC77,142-37,314$14,616
PROGRESSIVE CORP 91,383 -44,187 $14,555
     PGR91,383-44,187$14,555
BLACKSTONE INC 110,872 -53,049 $14,515
     BX110,872-53,049$14,515
CHUBB LIMITED 63,747 -31,834 $14,407
     CB63,747-31,834$14,407
FABRINET 75,394 +30,532 $14,350
     FN75,394+30,532$14,350
ALCON AG 178,890 +701 $13,952
     ALC178,890+701$13,952
PAR PAC HOLDINGS INC 383,504 +46,064 $13,948
     PARR383,504+46,064$13,948
APPLIED INDL TECHNOLOGIES IN 80,439 +32,663 $13,891
     AIT80,439+32,663$13,891
CHENIERE ENERGY INC 80,594 -14,117 $13,758
     LNG80,594-14,117$13,758
MERITAGE HOMES CORP 76,296 +30,855 $13,291
     MTH76,296+30,855$13,291
BANK NOVA SCOTIA HALIFAX 269,971 -45,159 $13,206
     BNS269,971-45,159$13,206
ENSIGN GROUP INC 117,145 +47,682 $13,145
     ENSG117,145+47,682$13,145
DEUTSCHE BANK A G 952,675 +21,230 $13,012
     DB952,675+21,230$13,012
APPLIED MATLS INC 78,951 -11,001 $12,796
     AMAT78,951-11,001$12,796
BROOKFIELD CORP 313,475 -64,335 $12,636
     BN313,475-64,335$12,636
AMERICAN TOWER CORP NEW 55,818 -39,136 $12,050
     AMT55,818-39,136$12,050
ATI INC 264,742 +105,813 $12,038
     ATI264,742+105,813$12,038
CME GROUP INC 56,212 -27,125 $11,838
     CME56,212-27,125$11,838
ALPHABET INC 82,937 -457,669 $11,688
     GOOG82,937-457,669$11,688
INTERCONTINENTAL EXCHANGE IN (ICE) 89,431 -43,821 $11,486
     ICE89,431-43,821$11,486
MUELLER INDS INC 235,585 +165,407 $11,108
     MLI235,585+165,407$11,108
SCHLUMBERGER LTD 212,974 -118,506 $11,083
     SLB212,974-118,506$11,083
SOLAREDGE TECHNOLOGIES INC 117,890 +111,836 $11,035
     SEDG117,890+111,836$11,035
SEMPRA 146,492 -10,906 $10,947
     SRE146,492-10,906$10,947
SEALED AIR CORP NEW 299,720 +284,209 $10,946
     SEE299,720+284,209$10,946
WELLTOWER INC 120,956 +14,601 $10,907
     WELL120,956+14,601$10,907
DOUBLEVERIFY HLDGS INC 289,242 +134,061 $10,638
     DV289,242+134,061$10,638
BOISE CASCADE CO DEL 82,155 +33,222 $10,628
     BCC82,155+33,222$10,628
EOG RES INC 87,296 -48,614 $10,558
     EOG87,296-48,614$10,558
US BANCORP DEL 243,032 -114,482 $10,518
     USB243,032-114,482$10,518
ALASKA AIR GROUP INC 265,720 +252,144 $10,382
     ALK265,720+252,144$10,382
WARRIOR MET COAL INC 169,949 +43,655 $10,362
     HCC169,949+43,655$10,362
AAON INC 139,935 +56,215 $10,337
     AAON139,935+56,215$10,337
ACADEMY SPORTS & OUTDOORS IN 154,670 +60,173 $10,208
     ASO154,670+60,173$10,208
INSIGHT ENTERPRISES INC 57,469 +20,097 $10,183
     NSIT57,469+20,097$10,183
SIGNET JEWELERS LIMITED 93,153 +37,028 $9,992
     SIG93,153+37,028$9,992
BALCHEM CORP 66,912 +27,064 $9,953
     BCPC66,912+27,064$9,953
FEDERAL SIGNAL CORP 126,439 +51,052 $9,703
     FSS126,439+51,052$9,703
MOODYS CORP 24,746 -12,687 $9,665
     MCO24,746-12,687$9,665
PNC FINL SVCS GROUP INC 62,156 -30,121 $9,625
     PNC62,156-30,121$9,625
ASBURY AUTOMOTIVE GROUP INC 42,707 +17,277 $9,608
     ABG42,707+17,277$9,608
ALKERMES PLC 346,300 +346,300 $9,606
     ALKS346,300+346,300$9,606
SPX TECHNOLOGIES INC 94,733 +38,384 $9,569
     SPXC94,733+38,384$9,569
LINCOLN NATL CORP IND 352,074 +142,404 $9,495
     LNC352,074+142,404$9,495
BADGER METER INC 60,901 +24,665 $9,401
     BMI60,901+24,665$9,401
SM ENERGY CO 241,372 +94,702 $9,346
     SM241,372+94,702$9,346
CLARIVATE PLC 1,000,000 UNCH $9,260
     CLVT1,000,000UNCH$9,260
ABERCROMBIE & FITCH CO 104,500 +42,621 $9,219
     ANF104,500+42,621$9,219
DXC TECHNOLOGY CO 401,832 +379,855 $9,190
     DXC401,832+379,855$9,190
SUNCOR ENERGY INC NEW 284,515 -63,771 $9,159
     SU284,515-63,771$9,159
FULLER H B CO 112,103 +45,520 $9,126
     FUL112,103+45,520$9,126
LOEWS CORP 130,958 -14,975 $9,113
     L130,958-14,975$9,113
AON PLC 31,309 -15,835 $9,112
     AON31,309-15,835$9,112
MERIT MED SYS INC 119,844 +48,608 $9,103
     MMSI119,844+48,608$9,103
MANULIFE FINL CORP 409,103 -3,574,921 $9,084
     MFC409,103-3,574,921$9,084
RADIAN GROUP INC 317,824 +123,248 $9,074
     RDN317,824+123,248$9,074
PHILLIPS EDISON & CO INC 248,185 +103,080 $9,054
     PECO248,185+103,080$9,054
EQUINIX INC 11,226 -7,826 $9,041
     EQIX11,226-7,826$9,041
ARMSTRONG WORLD INDS INC NEW 91,680 +91,680 $9,014
     AWI91,680+91,680$9,014
SOUTHERN CO 128,051 -125,878 $8,979
     SO128,051-125,878$8,979
INSTALLED BLDG PRODS INC 48,935 +19,789 $8,946
     IBP48,935+19,789$8,946
MR COOPER GROUP INC 136,675 +54,051 $8,900
     COOP136,675+54,051$8,900
AXCELIS TECHNOLOGIES INC 67,954 +27,392 $8,813
     ACLS67,954+27,392$8,813
TC ENERGY CORP 224,511 -46,849 $8,813
     TRP224,511-46,849$8,813
DUKE ENERGY CORP NEW 90,512 -89,021 $8,783
     DUK90,512-89,021$8,783
PHILLIPS 66 65,944 -39,451 $8,780
     PSX65,944-39,451$8,780
CREDICORP LTD 58,468 -300 $8,766
     BAP58,468-300$8,766
OREILLY AUTOMOTIVE INC 9,212 -5,258 $8,752
     ORLY9,212-5,258$8,752
GROUP 1 AUTOMOTIVE INC 28,689 +11,322 $8,743
     GPI28,689+11,322$8,743
DOMINION ENERGY INC 185,218 -11,400 $8,705
     D185,218-11,400$8,705
MOOG INC      $8,638
     MOG.A59,662+24,162$8,638
JOHNSON & JOHNSON 54,766 -203,175 $8,584
     JNJ54,766-203,175$8,584
MARATHON PETE CORP 57,068 -39,126 $8,467
     MPC57,068-39,126$8,467
ASSURED GUARANTY LTD 112,806 +44,032 $8,441
     AGO112,806+44,032$8,441
ADVANCED ENERGY INDS 77,365 +30,829 $8,427
     AEIS77,365+30,829$8,427
ARCOSA INC 101,187 +40,918 $8,362
     ACA101,187+40,918$8,362
ALPHA METALLURGICAL RESOUR I 24,541 +24,541 $8,317
     AMR24,541+24,541$8,317
ESSENTIAL PPTYS RLTY TR INC 323,771 +131,126 $8,276
     EPRT323,771+131,126$8,276
AMERICAN EAGLE OUTFITTERS IN 385,214 +155,810 $8,151
     AEO385,214+155,810$8,151
GLAUKOS CORP 101,102 +40,971 $8,037
     GKOS101,102+40,971$8,037
M I HOMES INC 57,795 +23,436 $7,961
     MHO57,795+23,436$7,961
FRANKLIN ELEC INC 82,321 +33,148 $7,956
     FELE82,321+33,148$7,956
VERRA MOBILITY CORP 345,126 +135,415 $7,948
     VRRM345,126+135,415$7,948
MATSON INC 72,499 +28,883 $7,946
     MATX72,499+28,883$7,946
HOME DEPOT INC 22,668 -85,025 $7,856
     HD22,668-85,025$7,856
CAPITAL ONE FINL CORP 59,537 -28,759 $7,806
     COF59,537-28,759$7,806
MOELIS & CO 138,345 +56,062 $7,765
     MC138,345+56,062$7,765
PNM RES INC 186,000 UNCH $7,738
     PNM186,000UNCH$7,738
WALKER & DUNLOP INC 69,420 +28,206 $7,706
     WD69,420+28,206$7,706
TRUIST FINL CORP 208,020 -100,354 $7,680
     TFC208,020-100,354$7,680
DIODES INC 95,336 +38,791 $7,676
     DIOD95,336+38,791$7,676
ORGANON & CO 530,412 +503,159 $7,649
     OGN530,412+503,159$7,649
BLACKSTONE MTG TR INC 357,545 +144,570 $7,605
     BXMT357,545+144,570$7,605
PEMBINA PIPELINE CORP 219,446 +69,834 $7,592
     PBA219,446+69,834$7,592
GALLAGHER ARTHUR J & CO 33,707 -16,014 $7,580
     AJG33,707-16,014$7,580
ADVANCE AUTO PARTS INC 123,408 +49,937 $7,532
     AAP123,408+49,937$7,532
NCR VOYIX CORPORATION 277,900 +277,900 $7,526
     NCR277,900+277,900$7,526
JACKSON FINANCIAL INC 146,832 +56,728 $7,518
     JXN146,832+56,728$7,518
HELMERICH & PAYNE INC 206,327 +83,437 $7,473
     HP206,327+83,437$7,473
SIMPLY GOOD FOODS CO 188,096 +76,128 $7,449
     SMPL188,096+76,128$7,449
AMERICAN INTL GROUP INC 109,775 -56,527 $7,437
     AIG109,775-56,527$7,437
OTTER TAIL CORP 86,555 +35,000 $7,355
     OTTR86,555+35,000$7,355
APPLE HOSPITALITY REIT INC 441,568 +178,572 $7,334
     APLE441,568+178,572$7,334
CALIFORNIA RES CORP 133,859 +53,737 $7,319
     CRC133,859+53,737$7,319
CARPENTER TECHNOLOGY CORP 102,312 +42,305 $7,244
     CRS102,312+42,305$7,244
AMERICAN EQTY INVT LIFE HLD 129,549 +53,097 $7,229
     AEL129,549+53,097$7,229
UNITED CMNTY BKS BLAIRSVLE G 246,904 +100,003 $7,224
     UCBI246,904+100,003$7,224
PATTERSON UTI ENERGY INC 666,754 +270,589 $7,201
     PTEN666,754+270,589$7,201
AMERIS BANCORP 134,696 +54,369 $7,146
     ABCB134,696+54,369$7,146
ITRON INC 94,409 +38,221 $7,129
     ITRI94,409+38,221$7,129
TRI POINTE HOMES INC 201,398 +79,043 $7,129
     TPH201,398+79,043$7,129
NORTHERN OIL & GAS INC 189,794 +86,316 $7,036
     NOG189,794+86,316$7,036
DYCOM INDS INC 60,876 +24,631 $7,006
     DY60,876+24,631$7,006
MSCI INC 12,376 -6,044 $7,000
     MSCI12,376-6,044$7,000
PG&E CORP 388,168 -74,297 $6,999
     PCG388,168-74,297$6,999
ENCORE WIRE CORP 32,739 +11,968 $6,993
     WIRE32,739+11,968$6,993
CONMED CORP 63,815 +25,821 $6,988
     CNMD63,815+25,821$6,988
GMS INC 84,237 +33,841 $6,944
     GMS84,237+33,841$6,944
HILLENBRAND INC 145,088 +58,674 $6,942
     HI145,088+58,674$6,942
ACI WORLDWIDE INC 225,614 +225,614 $6,904
     ACIW225,614+225,614$6,904
MACERICH CO 447,085 +181,032 $6,899
     MAC447,085+181,032$6,899
AEROVIRONMENT INC 54,561 +22,160 $6,877
     AVAV54,561+22,160$6,877
AFLAC INC 83,337 -46,036 $6,875
     AFL83,337-46,036$6,875
NEWELL BRANDS INC 790,756 +319,767 $6,864
     NWL790,756+319,767$6,864
INTEGER HLDGS CORP 69,164 +27,995 $6,853
     ITGR69,164+27,995$6,853
M D C HLDGS INC 123,944 +50,233 $6,848
     MDC123,944+50,233$6,848
COGENT COMMUNICATIONS HLDGS 89,802 +36,028 $6,830
     CCOI89,802+36,028$6,830
TRAVELERS COMPANIES INC 35,755 -17,474 $6,811
     TRV35,755-17,474$6,811
ENPRO INC 43,388 +17,551 $6,801
     NPO43,388+17,551$6,801
SERVISFIRST BANCSHARES INC (SFBS) 101,667 +41,127 $6,774
     SFBS101,667+41,127$6,774
FORMFACTOR INC 161,539 +65,557 $6,738
     FORM161,539+65,557$6,738
YELP INC 142,098 +57,168 $6,727
     YELP142,098+57,168$6,727
WD 40 CO 28,136 +11,372 $6,726
     WDFC28,136+11,372$6,726
CATHAY GEN BANCORP 150,757 +61,103 $6,719
     CATY150,757+61,103$6,719
CANADIAN PACIFIC KANSAS CITY 84,761 -44,942 $6,713
     CP84,761-44,942$6,713
ALARM COM HLDGS INC 103,738 +42,055 $6,704
     ALRM103,738+42,055$6,704
VALERO ENERGY CORP 51,114 -32,176 $6,645
     VLO51,114-32,176$6,645
LCI INDS 52,553 +21,253 $6,606
     LCII52,553+21,253$6,606
KOHLS CORP 229,692 +229,692 $6,588
     KSS229,692+229,692$6,588
JOHN BEAN TECHNOLOGIES CORP 66,078 +26,727 $6,571
     JBT66,078+26,727$6,571
CLEARWAY ENERGY INC      $6,527
     CWEN170,976+170,976$4,690
     CWEN.A71,832+71,832$1,837
KORN FERRY 109,376 +43,145 $6,491
     KFY109,376+43,145$6,491
KONTOOR BRANDS INC 103,762 +42,024 $6,477
     KTB103,762+42,024$6,477
METLIFE INC 97,292 -51,422 $6,434
     MET97,292-51,422$6,434
FORTREA HLDGS INC 184,270 +184,270 $6,431
     FTRE184,270+184,270$6,431
RUSH ENTERPRISES INC 127,600 +127,600 $6,418
     RUSHA127,600+127,600$6,418
KULICKE & SOFFA INDS INC 117,194 +47,394 $6,413
     KLIC117,194+47,394$6,413
HANNON ARMSTRONG SUST INFR C 230,680 +98,268 $6,362
     HASI230,680+98,268$6,362
KKR & CO INC 76,773 +1,632 $6,361
     KKR76,773+1,632$6,361
ALBANY INTL CORP 64,738 +26,201 $6,359
     AIN64,738+26,201$6,359
INNOSPEC INC 51,602 +20,868 $6,359
     IOSP51,602+20,868$6,359
WILLIAMS COS INC 182,263 -101,241 $6,348
     WMB182,263-101,241$6,348
SOUTHERN COPPER CORP 73,488 -500 $6,325
     SCCO73,488-500$6,325
PRESTIGE CONSMR HEALTHCARE I 102,966 +41,737 $6,304
     PBH102,966+41,737$6,304
MADISON SQUARE GRDN SPRT COR 34,638 +14,055 $6,298
     MSGS34,638+14,055$6,298
VARONIS SYS INC 139,000 UNCH $6,294
     VRNS139,000UNCH$6,294
ARTISAN PARTNERS ASSET MGMT 142,101 +57,476 $6,278
     APAM142,101+57,476$6,278
ESCO TECHNOLOGIES INC 53,507 +21,639 $6,262
     ESE53,507+21,639$6,262
BANK NEW YORK MELLON CORP 120,236 -60,066 $6,258
     BK120,236-60,066$6,258
GENWORTH FINL INC 935,887 +363,518 $6,252
     GNW935,887+363,518$6,252
CALIFORNIA WTR SVC GROUP 119,763 +48,445 $6,212
     CWT119,763+48,445$6,212
AMER STATES WTR CO 76,741 +31,038 $6,172
     AWR76,741+31,038$6,172
PLEXUS CORP 57,027 +23,061 $6,166
     PLXS57,027+23,061$6,166
YUM CHINA HLDGS INC 144,793 +200 $6,147
     YUMC144,793+200$6,147
ADOBE INC 10,299 -38,525 $6,144
     ADBE10,299-38,525$6,144
QUAKER HOUGHTON 28,743 +11,616 $6,134
     KWR28,743+11,616$6,134
ONEOK INC NEW 87,300 -48,670 $6,130
     OKE87,300-48,670$6,130
MADDEN STEVEN LTD 145,536 +58,033 $6,113
     SHOO145,536+58,033$6,113
SANMINA CORPORATION 118,756 +48,024 $6,100
     SANM118,756+48,024$6,100
ABM INDS INC 135,990 +54,235 $6,096
     ABM135,990+54,235$6,096
FIDELITY NATL INFORMATION SV 101,294 UNCH $6,085
     FIS101,294UNCH$6,085
CORCEPT THERAPEUTICS INC 187,264 +75,727 $6,082
     CORT187,264+75,727$6,082
TANGER INC 218,627 +88,626 $6,060
     SKT218,627+88,626$6,060
FIRST HAWAIIAN INC 264,817 +107,093 $6,054
     FHB264,817+107,093$6,054
SL GREEN RLTY CORP 133,673 +54,090 $6,038
     SLG133,673+54,090$6,038
LXP INDUSTRIAL TRUST 607,254 +245,597 $6,024
     LXP607,254+245,597$6,024
AMERIPRISE FINL INC 15,831 -8,166 $6,013
     AMP15,831-8,166$6,013
INDEPENDENT BK CORP MASS 91,009 +36,459 $5,989
     INDB91,009+36,459$5,989
CROWN CASTLE INC 51,934 -36,350 $5,982
     CCI51,934-36,350$5,982
BANK HAWAII CORP 82,493 +33,389 $5,977
     BOH82,493+33,389$5,977
HESS CORP 41,399 -22,952 $5,968
     HES41,399-22,952$5,968
HUB GROUP INC 64,731 +25,902 $5,951
     HUBG64,731+25,902$5,951
ARBOR REALTY TRUST INC 391,297 +160,783 $5,940
     ABR391,297+160,783$5,940
OCCIDENTAL PETE CORP 99,436 -55,759 $5,937
     OXY99,436-55,759$5,937
ARCBEST CORP 49,106 +19,412 $5,903
     ARCB49,106+19,412$5,903
FIRST BANCORP P R 358,073 +137,700 $5,890
     FBP358,073+137,700$5,890
PRUDENTIAL FINL INC 56,668 -27,734 $5,877
     PRU56,668-27,734$5,877
AMN HEALTHCARE SVCS INC 78,422 +31,469 $5,872
     AMN78,422+31,469$5,872
INNOVATIVE INDL PPTYS INC 58,191 +23,534 $5,867
     IIPR58,191+23,534$5,867
RAPID7 INC 102,000 UNCH $5,824
     RPD102,000UNCH$5,824
AXOS FINANCIAL INC 106,623 +41,785 $5,822
     AX106,623+41,785$5,822
CONSOL ENERGY INC NEW 57,918 +22,338 $5,822
     CEIX57,918+22,338$5,822
FRONTDOOR INC 165,216 +65,919 $5,819
     FTDR165,216+65,919$5,819
PACIFIC PREMIER BANCORP 199,009 +80,477 $5,793
     PPBI199,009+80,477$5,793
INTERDIGITAL INC 53,344 +20,705 $5,790
     IDCC53,344+20,705$5,790
WSFS FINL CORP 126,032 +50,566 $5,789
     WSFS126,032+50,566$5,789
PUBLIC STORAGE 18,974 -13,253 $5,787
     PSA18,974-13,253$5,787
SENSIENT TECHNOLOGIES CORP 87,675 +35,454 $5,787
     SXT87,675+35,454$5,787
LIBERTY ENERGY INC 318,395 +126,746 $5,776
     LBRT318,395+126,746$5,776
COMMUNITY BK SYS INC 110,784 +44,626 $5,773
     CBU110,784+44,626$5,773
SHAKE SHACK INC 77,815 +31,479 $5,768
     SHAK77,815+31,479$5,768
VESTIS CORPORATION 271,270 +271,270 $5,735
     VSTS271,270+271,270$5,735
UNIFIRST CORP MASS 31,351 +12,682 $5,734
     UNF31,351+12,682$5,734
ALLSTATE CORP 40,865 -19,898 $5,720
     ALL40,865-19,898$5,720
RESIDEO TECHNOLOGIES INC 302,970 +120,473 $5,702
     REZI302,970+120,473$5,702
ATLANTIC UN BANKSHARES CORP (AUB) 155,668 +62,963 $5,688
     AUB155,668+62,963$5,688
LGI HOMES INC 42,549 +17,230 $5,666
     LGIH42,549+17,230$5,666
RXO INC 242,790 +98,202 $5,647
     RXO242,790+98,202$5,647
FULTON FINL CORP PA 340,718 +137,980 $5,608
     FULT340,718+137,980$5,608
EVERTEC INC 136,531 +56,648 $5,590
     EVTC136,531+56,648$5,590
SIMON PPTY GROUP INC NEW 39,159 -27,562 $5,586
     SPG39,159-27,562$5,586
LOGITECH INTL S A 58,873 +231 $5,579
     LOGI58,873+231$5,579
MATERION CORP 42,828 +17,321 $5,573
     MTRN42,828+17,321$5,573
CAVCO INDS INC DEL 16,070 +6,096 $5,570
     CVCO16,070+6,096$5,570
PREMIER INC 248,332 +101,287 $5,553
     PINC248,332+101,287$5,553
CVB FINL CORP 274,688 +111,072 $5,546
     CVBF274,688+111,072$5,546
CARETRUST REIT INC 247,169 +124,218 $5,532
     CTRE247,169+124,218$5,532
PIPER SANDLER COMPANIES 31,223 +12,665 $5,460
     PIPR31,223+12,665$5,460
BRADY CORP 93,017 +36,271 $5,459
     BRC93,017+36,271$5,459
ADVANCED MICRO DEVICES INC 36,761 -136,242 $5,419
     AMD36,761-136,242$5,419
PRIMO WATER CORPORATION 357,715 +10,313 $5,415
     PRMW357,715+10,313$5,415
INTER PARFUMS INC 37,170 +15,061 $5,353
     IPAR37,170+15,061$5,353
J & J SNACK FOODS CORP 32,029 +12,955 $5,353
     JJSF32,029+12,955$5,353
CENTURY CMNTYS INC 58,691 +23,468 $5,349
     CCS58,691+23,468$5,349
AERCAP HOLDINGS NV 71,683 +9,600 $5,327
     AER71,683+9,600$5,327
SEA LTD 131,165 +1,100 $5,312
     SE131,165+1,100$5,312
YANDEX N V 280,159 UNCH $5,306
     YNDX280,159UNCH$5,306
FOOT LOCKER INC 169,993 +68,996 $5,295
     FL169,993+68,996$5,295
O I GLASS INC 321,770 +130,118 $5,271
     OI321,770+130,118$5,271
PAPA JOHNS INTL INC 67,975 +27,513 $5,182
     PZZA67,975+27,513$5,182
GRIFFON CORP 84,983 +34,366 $5,180
     GFF84,983+34,366$5,180
BAKER HUGHES COMPANY 151,322 -84,144 $5,172
     BKR151,322-84,144$5,172
SIMMONS 1ST NATL CORP 259,739 +103,681 $5,153
     SFNC259,739+103,681$5,153
LIVERAMP HLDGS INC 135,953 +54,143 $5,150
     RAMP135,953+54,143$5,150
SELECT MED HLDGS CORP 218,173 +89,312 $5,127
     SEM218,173+89,312$5,127
KINDER MORGAN INC DEL 290,479 -170,884 $5,124
     KMI290,479-170,884$5,124
CHECK POINT SOFTWARE TECH LT 33,470 +100 $5,114
     CHKP33,470+100$5,114
ENVESTNET INC 103,213 +103,213 $5,111
     ENV103,213+103,213$5,111
SITE CTRS CORP 373,546 +151,098 $5,091
     SITC373,546+151,098$5,091
CENOVUS ENERGY INC 303,378 -64,202 $5,080
     CVE303,378-64,202$5,080
BLOOMIN BRANDS INC 180,148 +72,497 $5,071
     BLMN180,148+72,497$5,071
HIGHWOODS PPTYS INC 219,328 +88,714 $5,036
     HIW219,328+88,714$5,036
SEACOAST BKG CORP FLA 176,697 +71,532 $5,029
     SBCF176,697+71,532$5,029
DOUGLAS EMMETT INC 346,001 +139,915 $5,017
     DEI346,001+139,915$5,017
MYR GROUP INC DEL 34,677 +14,024 $5,015
     MYRG34,677+14,024$5,015
BANKUNITED INC 154,418 +62,442 $5,008
     BKU154,418+62,442$5,008
AMERICAN ELEC PWR CO INC 61,612 -58,402 $5,004
     AEP61,612-58,402$5,004
REALTY INCOME CORP 87,063 -53,893 $4,999
     O87,063-53,893$4,999
NMI HLDGS INC 168,253 +66,555 $4,994
     NMIH168,253+66,555$4,994
ACCENTURE PLC IRELAND 14,226 -53,343 $4,992
     ACN14,226-53,343$4,992
GIBRALTAR INDS INC 63,161 +25,558 $4,988
     ROCK63,161+25,558$4,988
APOLLO GLOBAL MGMT INC 52,985 -22,192 $4,938
     APO52,985-22,192$4,938
PROGRESS SOFTWARE CORP 90,407 +36,807 $4,909
     PRGS90,407+36,807$4,909
PRIVIA HEALTH GROUP INC 213,147 +86,946 $4,909
     PRVA213,147+86,946$4,909
DORMAN PRODS INC 58,807 +23,781 $4,905
     DORM58,807+23,781$4,905
STRIDE INC 82,478 +32,476 $4,897
     LRN82,478+32,476$4,897
DIGITAL RLTY TR INC 36,238 -24,322 $4,877
     DLR36,238-24,322$4,877
ADTALEM GLOBAL ED INC 82,653 +31,306 $4,872
     ATGE82,653+31,306$4,872
HALLIBURTON CO 134,695 -75,051 $4,869
     HAL134,695-75,051$4,869
BAUSCH HEALTH COS INC 602,663 -35,270 $4,858
     BHC602,663-35,270$4,858
CAL MAINE FOODS INC 84,357 +34,115 $4,841
     CALM84,357+34,115$4,841
TRIPADVISOR INC 224,353 +91,285 $4,830
     TRIP224,353+91,285$4,830
BOOT BARN HLDGS INC 62,847 +25,777 $4,824
     BOOT62,847+25,777$4,824
PGT INNOVATIONS INC 118,386 +46,265 $4,818
     PGTI118,386+46,265$4,818
MINERALS TECHNOLOGIES INC 67,541 +27,317 $4,816
     MTX67,541+27,317$4,816
AMPHASTAR PHARMACEUTICALS IN 77,543 +30,443 $4,796
     AMPH77,543+30,443$4,796
FOUR CORNERS PPTY TR INC 187,934 +75,996 $4,755
     FCPT187,934+75,996$4,755
PERFICIENT INC 72,164 +29,133 $4,750
     PRFT72,164+29,133$4,750
CHESAPEAKE UTILS CORP 44,947 +22,950 $4,748
     CPK44,947+22,950$4,748
MCDONALDS CORP 16,005 -62,058 $4,746
     MCD16,005-62,058$4,746
PJT PARTNERS INC 46,280 +46,280 $4,715
     PJT46,280+46,280$4,715
FIRST FINL BANCORP OH 197,390 +79,817 $4,688
     FFBC197,390+79,817$4,688
CORVEL CORP 18,820 +7,609 $4,652
     CRVL18,820+7,609$4,652
VIAVI SOLUTIONS INC 461,497 +186,553 $4,647
     VIAV461,497+186,553$4,647
GRANITE CONSTR INC 91,167 +36,883 $4,637
     GVA91,167+36,883$4,637
ROGERS CORP 34,773 +14,065 $4,592
     ROG34,773+14,065$4,592
SUNSTONE HOTEL INVS INC NEW 426,321 +170,244 $4,574
     SHO426,321+170,244$4,574
SONOS INC 266,158 +107,633 $4,562
     SONO266,158+107,633$4,562
WINNEBAGO INDS INC 62,065 +24,725 $4,523
     WGO62,065+24,725$4,523
TRINITY INDS INC 169,895 +68,725 $4,518
     TRN169,895+68,725$4,518
ALAMO GROUP INC 21,443 +8,676 $4,507
     ALG21,443+8,676$4,507
URBAN EDGE PPTYS 244,128 +98,727 $4,468
     UE244,128+98,727$4,468
EPLUS INC 55,888 +22,593 $4,462
     PLUS55,888+22,593$4,462
OCEANEERING INTL INC 209,017 +84,454 $4,448
     OII209,017+84,454$4,448
ST JOE CO 73,896 +29,887 $4,447
     JOE73,896+29,887$4,447
SKYWEST INC 84,972 +32,983 $4,436
     SKYW84,972+32,983$4,436
WAFD INC 134,338 +54,333 $4,428
     WAFD134,338+54,333$4,428
CONSTELLATION ENERGY CORP 37,784 -37,421 $4,417
     CEG37,784-37,421$4,417
NIO INC 484,303 +4,300 $4,393
     NIO484,303+4,300$4,393
ARCHROCK INC 284,980 +114,760 $4,389
     AROC284,980+114,760$4,389
DISCOVER FINL SVCS 39,041 -19,347 $4,388
     DFS39,041-19,347$4,388
SITIME CORP 35,882 +14,744 $4,380
     SITM35,882+14,744$4,380
ENERGIZER HLDGS INC NEW 137,963 +55,793 $4,371
     ENR137,963+55,793$4,371
RADNET INC 125,392 +50,840 $4,360
     RDNT125,392+50,840$4,360
LINDE PLC 10,613 -41,655 $4,359
     LIN10,613-41,655$4,359
DEVON ENERGY CORP NEW 96,003 -53,306 $4,349
     DVN96,003-53,306$4,349
AAR CORP 69,587 +28,504 $4,342
     AIR69,587+28,504$4,342
PATRICK INDS INC 43,178 +17,371 $4,333
     PATK43,178+17,371$4,333
VIASAT INC 155,027 +63,029 $4,333
     VSAT155,027+63,029$4,333
TREEHOUSE FOODS INC 104,431 +41,019 $4,329
     THS104,431+41,019$4,329
ARCH CAP GROUP LTD 58,207 -28,153 $4,323
     ACGL58,207-28,153$4,323
XEROX HOLDINGS CORP 234,649 +94,826 $4,301
     XRX234,649+94,826$4,301
CARGURUS INC 177,800 +70,548 $4,296
     CARG177,800+70,548$4,296
BANCORP INC DEL 111,349 +44,257 $4,294
     TBBK111,349+44,257$4,294
NEOGENOMICS INC 264,509 +106,825 $4,280
     NEO264,509+106,825$4,280
COSTAR GROUP INC 48,904 -34,136 $4,274
     CSGP48,904-34,136$4,274
KENNAMETAL INC 165,190 +66,668 $4,260
     KMT165,190+66,668$4,260
VICTORIAS SECRET AND CO 160,356 +65,001 $4,256
     VSCO160,356+65,001$4,256
TOPGOLF CALLAWAY BRANDS CORP 294,830 +294,830 $4,228
     MODG294,830+294,830$4,228
STRATEGIC ED INC 45,602 +18,396 $4,212
     STRA45,602+18,396$4,212
OUTFRONT MEDIA INC 301,401 +121,889 $4,208
     OUT301,401+121,889$4,208
ICU MED INC 42,080 +42,080 $4,197
     ICUI42,080+42,080$4,197
EXELON CORP 116,832 -115,066 $4,194
     EXC116,832-115,066$4,194
URBAN OUTFITTERS INC 117,438 +47,549 $4,191
     URBN117,438+47,549$4,191
TEVA PHARMACEUTICAL INDS LTD 401,308 +1,800 $4,190
     TEVA401,308+1,800$4,190
OSI SYSTEMS INC 32,429 +13,408 $4,185
     OSIS32,429+13,408$4,185
STEPAN CO 44,099 +17,855 $4,170
     SCL44,099+17,855$4,170
DIAMONDBACK ENERGY INC 26,756 -14,025 $4,149
     FANG26,756-14,025$4,149
STONEX GROUP INC 55,672 +33,568 $4,110
     SNEX55,672+33,568$4,110
NBT BANCORP INC 97,722 +39,347 $4,096
     NBTB97,722+39,347$4,096
CAMECO CORP 94,522 -20,233 $4,095
     CCJ94,522-20,233$4,095
DIAMONDROCK HOSPITALITY CO 435,005 +175,909 $4,085
     DRH435,005+175,909$4,085
PHOTRONICS INC 129,798 +52,527 $4,072
     PLAB129,798+52,527$4,072
MILLERKNOLL INC 152,488 +58,923 $4,068
     MLKN152,488+58,923$4,068
SCHRODINGER INC 113,509 +46,070 $4,064
     SDGR113,509+46,070$4,064
EXTRA SPACE STORAGE INC 25,314 -17,740 $4,059
     EXR25,314-17,740$4,059
IROBOT CORP 104,895 +23,789 $4,059
     IRBT104,895+23,789$4,059
GLOBAL NET LEASE INC 406,282 +166,081 $4,043
     GNL406,282+166,081$4,043
HNI CORP 96,665 +39,131 $4,043
     HNI96,665+39,131$4,043
XCEL ENERGY INC 64,791 -63,565 $4,011
     XEL64,791-63,565$4,011
PEBBLEBROOK HOTEL TR 250,054 +101,116 $3,996
     PEB250,054+101,116$3,996
TANDEM DIABETES CARE INC 135,050 +54,614 $3,995
     TNDM135,050+54,614$3,995
COINBASE GLOBAL INC 22,826 +2,313 $3,970
     COIN22,826+2,313$3,970
VICI PPTYS INC 124,396 -81,004 $3,966
     VICI124,396-81,004$3,966
BRINKER INTL INC 91,690 +36,939 $3,959
     EAT91,690+36,939$3,959
INTUIT 6,334 -23,665 $3,959
     INTU6,334-23,665$3,959
MERCURY SYS INC 108,245 +45,011 $3,959
     MRCY108,245+45,011$3,959
ISHARES TR (KSA) 93,508 +574 $3,958
     KSA93,508+574$3,958
PARK NATL CORP 29,772 +12,003 $3,956
     PRK29,772+12,003$3,956
WILLIS TOWERS WATSON PLC LTD 16,353 -8,110 $3,944
     WTW16,353-8,110$3,944
SJW GROUP 60,307 +24,542 $3,941
     SJW60,307+24,542$3,941
PRICESMART INC 51,959 +20,107 $3,937
     PSMT51,959+20,107$3,937
RENASANT CORP 116,501 +47,116 $3,924
     RNST116,501+47,116$3,924
STANDEX INTL CORP 24,702 +10,056 $3,912
     SXI24,702+10,056$3,912
CERTARA INC 222,240 +89,928 $3,909
     CERT222,240+89,928$3,909
MASTERBRAND INC 263,051 +105,236 $3,906
     MBC263,051+105,236$3,906
DANA INC 266,571 +107,796 $3,895
     DAN266,571+107,796$3,895
THE ODP CORP 69,040 +27,185 $3,887
     ODP69,040+27,185$3,887
EDGEWELL PERS CARE CO 105,448 +42,646 $3,863
     EPC105,448+42,646$3,863
GOOSEHEAD INS INC 50,733 +21,194 $3,846
     GSHD50,733+21,194$3,846
HARTFORD FINL SVCS GROUP INC 47,776 -23,720 $3,840
     HIG47,776-23,720$3,840
DAVE & BUSTERS ENTMT INC 71,293 +28,853 $3,839
     PLAY71,293+28,853$3,839
JETBLUE AWYS CORP 691,618 +279,726 $3,838
     JBLU691,618+279,726$3,838
LUMEN TECHNOLOGIES INC 2,093,573 +847,718 $3,831
     LUMN2,093,573+847,718$3,831
BANNER CORP 71,279 +28,829 $3,818
     BANR71,279+28,829$3,818
INDEPENDENT BANK GROUP INC 74,532 +30,136 $3,792
     IBTX74,532+30,136$3,792
ANDERSONS INC 65,840 +26,918 $3,788
     ANDE65,840+26,918$3,788
PRICE T ROWE GROUP INC 35,047 -16,938 $3,774
     TROW35,047-16,938$3,774
CUSHMAN WAKEFIELD PLC 348,972 +141,213 $3,769
     CWK348,972+141,213$3,769
DISNEY WALT CO 41,597 -154,404 $3,756
     DIS41,597-154,404$3,756
TELEPHONE & DATA SYS INC 204,565 +83,555 $3,754
     TDS204,565+83,555$3,754
DYNAVAX TECHNOLOGIES CORP 268,236 +109,045 $3,750
     DVAX268,236+109,045$3,750
KE HLDGS INC 231,126 +2,900 $3,747
     BEKE231,126+2,900$3,747
CENTRAL GARDEN & PET CO 85,072 +34,402 $3,747
     CENTA85,072+34,402$3,747
STATE STR CORP 48,348 -27,338 $3,745
     STT48,348-27,338$3,745
SIX FLAGS ENTMT CORP NEW 149,084 +60,557 $3,739
     SIX149,084+60,557$3,739
CALLON PETE CO DEL 115,329 +46,252 $3,737
     CPE115,329+46,252$3,737
CONSOLIDATED EDISON INC 40,536 -39,953 $3,688
     ED40,536-39,953$3,688
FIFTH THIRD BANCORP 106,379 -51,260 $3,669
     FITB106,379-51,260$3,669
RETAIL OPPORTUNITY INVTS COR 261,468 +105,729 $3,668
     ROIC261,468+105,729$3,668
MAXLINEAR INC 154,021 +62,899 $3,661
     MXL154,021+62,899$3,661
OFG BANCORP 97,654 +39,401 $3,660
     OFG97,654+39,401$3,660
BANC OF CALIFORNIA INC 271,411 +206,646 $3,645
     BANC271,411+206,646$3,645
WORTHINGTON ENTERPRISES INC 63,254 +63,254 $3,640
     WOR63,254+63,254$3,640
VEECO INSTRS INC DEL 116,918 +47,275 $3,628
     VECO116,918+47,275$3,628
VERIZON COMMUNICATIONS INC 95,677 -354,648 $3,607
     VZ95,677-354,648$3,607
TRIUMPH FINANCIAL INC 44,957 +18,202 $3,605
     TFIN44,957+18,202$3,605
SYLVAMO CORP 73,301 +29,318 $3,600
     SLVM73,301+29,318$3,600
COCA COLA CO 61,061 -355,830 $3,598
     KO61,061-355,830$3,598
TENNANT CO 38,769 +15,801 $3,593
     TNC38,769+15,801$3,593
QUALCOMM INC 24,815 -94,728 $3,589
     QCOM24,815-94,728$3,589
PUBLIC SVC ENTERPRISE GRP IN 58,566 -57,845 $3,581
     PEG58,566-57,845$3,581
AGILYSYS INC 42,126 +17,056 $3,573
     AGYS42,126+17,056$3,573
GENTHERM INC 68,058 +27,281 $3,564
     THRM68,058+27,281$3,564
VISTA OUTDOOR INC 120,510 +48,817 $3,563
     VSTO120,510+48,817$3,563
HAYWARD HLDGS INC 261,640 +105,440 $3,558
     HAYW261,640+105,440$3,558
M & T BK CORP 25,916 -12,577 $3,553
     MTB25,916-12,577$3,553
QIAGEN NV 81,635 +320 $3,553
     QGEN81,635+320$3,553
OMNICELL COM 94,359 +38,478 $3,551
     OMCL94,359+38,478$3,551
CRACKER BARREL OLD CTRY STOR 45,986 +18,607 $3,545
     CBRL45,986+18,607$3,545
TRUSTMARK CORP 126,731 +51,249 $3,533
     TRMK126,731+51,249$3,533
COGNIZANT TECHNOLOGY SOLUTIO 46,745 -11,003 $3,531
     CTSH46,745-11,003$3,531
VERICEL CORP 99,037 +40,152 $3,527
     VCEL99,037+40,152$3,527
MYRIAD GENETICS INC 183,998 +82,792 $3,522
     MYGN183,998+82,792$3,522
WASTE CONNECTIONS INC 23,444 -12,430 $3,518
     WCN23,444-12,430$3,518
ENERPAC TOOL GROUP CORP 112,772 +43,428 $3,506
     EPAC112,772+43,428$3,506
AMGEN INC 12,152 -45,145 $3,500
     AMGN12,152-45,145$3,500
BROOKFIELD INFRAST PARTNERS 110,425 UNCH $3,497
     BIP110,425UNCH$3,497
CATALYST PHARMACEUTICALS INC 207,964 +84,133 $3,496
     CPRX207,964+84,133$3,496
COHU INC 98,586 +39,755 $3,489
     COHU98,586+39,755$3,489
SABRE CORP 787,462 +209,951 $3,465
     SABR787,462+209,951$3,465
NORFOLK SOUTHN CORP 14,631 -9,687 $3,458
     NSC14,631-9,687$3,458
CBRE GROUP INC 37,106 -26,085 $3,454
     CBRE37,106-26,085$3,454
DECIPHERA PHARMACEUTICALS IN 214,000 UNCH $3,452
     DCPH214,000UNCH$3,452
CATERPILLAR INC 11,640 -43,005 $3,442
     CAT11,640-43,005$3,442
LAKELAND FINL CORP 52,780 +21,345 $3,439
     LKFN52,780+21,345$3,439
BARNES GROUP INC 105,160 +42,585 $3,431
     B105,160+42,585$3,431
ENOVA INTL INC 61,982 +23,930 $3,431
     ENVA61,982+23,930$3,431
UNIVERSAL CORP VA 50,970 +20,519 $3,431
     UVV50,970+20,519$3,431
JACK IN THE BOX INC 41,728 +16,874 $3,406
     JACK41,728+16,874$3,406
NATIONAL VISION HLDGS INC 162,372 +65,770 $3,398
     EYE162,372+65,770$3,398
CITY HLDG CO 30,787 +12,239 $3,395
     CHCO30,787+12,239$3,395
CHEESECAKE FACTORY INC 96,934 +38,628 $3,394
     CAKE96,934+38,628$3,394
INTERNATIONAL BUSINESS MACHS 20,732 -76,820 $3,391
     IBM20,732-76,820$3,391
VIRTUS INVT PARTNERS INC 14,019 +5,590 $3,389
     VRTS14,019+5,590$3,389
CUSTOMERS BANCORP INC 58,675 +23,867 $3,381
     CUBI58,675+23,867$3,381
HILLTOP HOLDINGS INC 96,024 +38,903 $3,381
     HTH96,024+38,903$3,381
BREAD FINANCIAL HOLDINGS INC 102,374 +40,298 $3,372
     BFH102,374+40,298$3,372
NCR ATLEOS CORPORATION 138,838 +138,838 $3,372
     NATL138,838+138,838$3,372
READY CAPITAL CORP 328,606 +133,321 $3,368
     RC328,606+133,321$3,368
ACADIA RLTY TR 197,843 +80,192 $3,361
     AKR197,843+80,192$3,361
KNOWLES CORP 187,296 +74,644 $3,354
     KN187,296+74,644$3,354
TTM TECHNOLOGIES INC 212,170 +83,787 $3,354
     TTMI212,170+83,787$3,354
FORWARD AIR CORP 53,261 +21,501 $3,349
     FWRD53,261+21,501$3,349
STEWART INFORMATION SVCS COR 56,783 +22,984 $3,336
     STC56,783+22,984$3,336
SERVICENOW INC 4,720 -17,132 $3,335
     NOW4,720-17,132$3,335
OPENLANE INC 224,157 +88,872 $3,320
     KAR224,157+88,872$3,320
APOLLO MED HLDGS INC 86,227 +34,113 $3,302
     AMEH86,227+34,113$3,302
INGEVITY CORP 69,922 +28,284 $3,302
     NGVT69,922+28,284$3,302
LA Z BOY INC 89,341 +35,844 $3,298
     LZB89,341+35,844$3,298
SBA COMMUNICATIONS CORP NEW 12,987 -9,104 $3,295
     SBAC12,987-9,104$3,295
NORTHWEST BANCSHARES INC MD (NWBI) 263,759 +106,670 $3,292
     NWBI263,759+106,670$3,292
CYBERARK SOFTWARE LTD 14,999 +100 $3,286
     CYBR14,999+100$3,286
BCE INC 83,018 -44,016 $3,285
     BCE83,018-44,016$3,285
RAYMOND JAMES FINL INC 29,433 -15,769 $3,282
     RJF29,433-15,769$3,282
SUPERNUS PHARMACEUTICALS INC 113,372 +45,895 $3,281
     SUPN113,372+45,895$3,281
FIRST COMWLTH FINL CORP PA 211,896 +85,324 $3,272
     FCF211,896+85,324$3,272
NAVIENT CORPORATION 175,663 +67,449 $3,271
     NAVI175,663+67,449$3,271
IRONWOOD PHARMACEUTICALS INC 285,108 +115,401 $3,262
     IRWD285,108+115,401$3,262
PACIRA BIOSCIENCES INC 96,366 +38,996 $3,251
     PCRX96,366+38,996$3,251
HANESBRANDS INC 726,374 +293,919 $3,240
     HBI726,374+293,919$3,240
NETSCOUT SYS INC 147,332 +58,158 $3,234
     NTCT147,332+58,158$3,234
EDISON INTL 44,992 -44,325 $3,216
     EIX44,992-44,325$3,216
DONNELLEY FINL SOLUTIONS INC 51,328 +20,519 $3,201
     DFIN51,328+20,519$3,201
MGP INGREDIENTS INC NEW 32,444 +13,125 $3,196
     MGPI32,444+13,125$3,196
AVALONBAY CMNTYS INC 16,974 -12,040 $3,178
     AVB16,974-12,040$3,178
ULTRA CLEAN HLDGS INC 93,031 +37,785 $3,176
     UCTT93,031+37,785$3,176
BOEING CO 12,156 -48,596 $3,169
     BA12,156-48,596$3,169
APOLLO COML REAL EST FIN INC 269,874 +109,141 $3,168
     ARI269,874+109,141$3,168
GENERAL ELECTRIC CO 24,822 -91,762 $3,168
     GE24,822-91,762$3,168
AMERICAN WOODMARK CORPORATIO 34,081 +13,839 $3,164
     AMWD34,081+13,839$3,164
STAAR SURGICAL CO 101,307 +41,362 $3,162
     STAA101,307+41,362$3,162
FIRST BANCORP N C 85,276 +34,498 $3,156
     FBNC85,276+34,498$3,156
UPBOUND GROUP INC 92,388 +35,653 $3,138
     UPBD92,388+35,653$3,138
CSG SYS INTL INC 58,943 +21,351 $3,136
     CSGS58,943+21,351$3,136
ADDUS HOMECARE CORP 33,650 +13,609 $3,124
     ADUS33,650+13,609$3,124
WESTAMERICA BANCORPORATION 55,302 +22,364 $3,120
     WABC55,302+22,364$3,120
GREEN PLAINS INC 123,496 +49,920 $3,115
     GPRE123,496+49,920$3,115
WEC ENERGY GROUP INC 36,999 -36,551 $3,114
     WEC36,999-36,551$3,114
DORIAN LPG LTD 70,786 +28,850 $3,105
     LPG70,786+28,850$3,105
VECTOR GROUP LTD 275,046 +111,225 $3,103
     VGR275,046+111,225$3,103
CINEMARK HLDGS INC 220,137 +86,336 $3,102
     CNK220,137+86,336$3,102
NASDAQ INC 52,997 -26,061 $3,081
     NDAQ52,997-26,061$3,081
JBG SMITH PPTYS 180,722 +64,379 $3,074
     JBGS180,722+64,379$3,074
OWENS & MINOR INC NEW 158,748 +64,157 $3,059
     OMI158,748+64,157$3,059
DELTA AIR LINES INC DEL 75,972 +6,925 $3,056
     DAL75,972+6,925$3,056
OXFORD INDS INC 30,474 +12,209 $3,047
     OXM30,474+12,209$3,047
KENNEDY WILSON HOLDINGS INC 245,868 +99,425 $3,044
     KW245,868+99,425$3,044
WEYERHAEUSER CO MTN BE 87,478 -61,525 $3,042
     WY87,478-61,525$3,042
NIKE INC 27,996 -103,230 $3,040
     NKE27,996-103,230$3,040
HARMONIC INC 232,807 +94,482 $3,036
     HLIT232,807+94,482$3,036
AZZ INC 52,040 +21,125 $3,023
     AZZ52,040+21,125$3,023
HELIX ENERGY SOLUTIONS GRP I 293,984 +118,760 $3,022
     HLX293,984+118,760$3,022
AMERICAN WTR WKS CO INC NEW 22,883 -22,491 $3,020
     AWK22,883-22,491$3,020
EQUINOX GOLD CORP 616,500 UNCH $3,011
     EQX616,500UNCH$3,011
HONEYWELL INTL INC 14,356 -56,765 $3,011
     HON14,356-56,765$3,011
HOPE BANCORP INC 249,238 +100,898 $3,011
     HOPE249,238+100,898$3,011
XENIA HOTELS & RESORTS INC 220,072 +87,500 $2,997
     XHR220,072+87,500$2,997
DISH NETWORK CORPORATION 515,884 +209,166 $2,977
     DISH515,884+209,166$2,977
NORTHWEST NAT HLDG CO 76,319 +14,588 $2,972
     NWN76,319+14,588$2,972
SALLY BEAUTY HLDGS INC 223,642 +90,440 $2,970
     SBH223,642+90,440$2,970
TALOS ENERGY INC 208,558 +84,359 $2,968
     TALO208,558+84,359$2,968
LINDSAY CORP 22,849 +9,242 $2,951
     LNN22,849+9,242$2,951
CBOE GLOBAL MKTS INC 16,470 -8,028 $2,941
     CBOE16,470-8,028$2,941
SERVICE PPTYS TR 343,991 +139,478 $2,938
     SVC343,991+139,478$2,938
BUCKLE INC 61,767 +24,973 $2,935
     BKE61,767+24,973$2,935
PHINIA INC 96,881 +38,772 $2,935
     PHIN96,881+38,772$2,935
NV5 GLOBAL INC 26,390 +10,679 $2,932
     NVEE26,390+10,679$2,932
BANCFIRST CORP 30,061 +12,146 $2,926
     BANF30,061+12,146$2,926
SEMTECH CORP 133,170 +54,119 $2,918
     SMTC133,170+54,119$2,918
NATIONAL BK HLDGS CORP 78,360 +31,739 $2,914
     NBHC78,360+31,739$2,914
TARGA RES CORP 33,498 -17,496 $2,910
     TRGP33,498-17,496$2,910
GETTY RLTY CORP NEW 99,520 +42,719 $2,908
     GTY99,520+42,719$2,908
FB FINL CORP 72,912 +29,529 $2,906
     FBK72,912+29,529$2,906
BARRICK GOLD CORP 159,739 -84,697 $2,900
     GOLD159,739-84,697$2,900
COTERRA ENERGY INC 113,547 -63,296 $2,898
     CTRA113,547-63,296$2,898
U S PHYSICAL THERAPY 31,105 +12,581 $2,897
     USPH31,105+12,581$2,897
HUNTINGTON BANCSHARES INC (HBAN) 226,177 -107,198 $2,877
     HBAN226,177-107,198$2,877
G III APPAREL GROUP LTD 84,449 +34,294 $2,870
     GIII84,449+34,294$2,870
PROG HOLDINGS INC 92,804 +36,307 $2,869
     PRG92,804+36,307$2,869
ALEXANDER & BALDWIN INC NEW 150,525 +60,761 $2,863
     ALEX150,525+60,761$2,863
UNITI GROUP INC 495,271 +200,255 $2,863
     UNIT495,271+200,255$2,863
GREENBRIER COS INC 64,546 +26,375 $2,852
     GBX64,546+26,375$2,852
PALOMAR HLDGS INC 51,320 +20,739 $2,848
     PLMR51,320+20,739$2,848
WORLD KINECT CORPORATION 124,927 +124,927 $2,846
     WKC124,927+124,927$2,846
COMPANIA DE MINAS BUENAVENTU 186,453 -1,300 $2,842
     BVN186,453-1,300$2,842
REGIONS FINANCIAL CORP NEW 146,526 -70,986 $2,840
     RF146,526-70,986$2,840
CTS CORP 64,666 +25,912 $2,828
     CTS64,666+25,912$2,828
FACTSET RESH SYS INC 5,923 -2,969 $2,826
     FDS5,923-2,969$2,826
PROVIDENT FINL SVCS INC 156,757 +63,392 $2,826
     PFS156,757+63,392$2,826
PAYONEER GLOBAL INC 540,572 +220,943 $2,816
     PAYO540,572+220,943$2,816
ANGLOGOLD ASHANTI PLC 145,317 -9,177 $2,808
     AU145,317-9,177$2,808
WILEY JOHN & SONS INC 88,183 +35,586 $2,799
     WLY88,183+35,586$2,799
SEAGATE TECHNOLOGY HLDNGS PL 32,597 UNCH $2,783
     STX32,597UNCH$2,783
TWO HBRS INVT CORP 199,606 +80,746 $2,781
     TWO199,606+80,746$2,781
HORACE MANN EDUCATORS CORP N 84,741 +34,261 $2,771
     HMN84,741+34,261$2,771
HAWKINS INC 39,258 +15,524 $2,765
     HWKN39,258+15,524$2,765
LTC PPTYS INC 85,940 +34,759 $2,760
     LTC85,940+34,759$2,760
ZTO EXPRESS CAYMAN INC 129,697 +800 $2,760
     ZTO129,697+800$2,760
ADEIA INC 222,397 +90,452 $2,755
     ADEA222,397+90,452$2,755
PRINCIPAL FINANCIAL GROUP IN 34,895 -19,162 $2,745
     PFG34,895-19,162$2,745
GREEN BRICK PARTNERS INC 52,736 +21,327 $2,739
     GRBK52,736+21,327$2,739
AMBAC FINL GROUP INC 165,792 +37,797 $2,732
     AMBC165,792+37,797$2,732
AT&T INC 162,665 -603,116 $2,730
     T162,665-603,116$2,730
NORTHERN TR CORP 32,342 -15,776 $2,729
     NTRS32,342-15,776$2,729
STELLAR BANCORP INC 97,263 +39,282 $2,708
     STEL97,263+39,282$2,708
PENNYMAC MTG INVT TR 180,040 +72,806 $2,692
     PMT180,040+72,806$2,692
XENCOR INC 126,331 +51,414 $2,682
     XNCR126,331+51,414$2,682
DTE ENERGY CO 24,207 -23,905 $2,669
     DTE24,207-23,905$2,669
ELME COMMUNITIES 182,271 +73,723 $2,661
     ELME182,271+73,723$2,661
EASTERLY GOVT PPTYS INC 197,547 +82,086 $2,655
     DEA197,547+82,086$2,655
S & T BANCORP INC 79,346 +32,079 $2,652
     STBA79,346+32,079$2,652
TRIUMPH GROUP INC NEW 159,490 -115,326 $2,644
     TGI159,490-115,326$2,644
LESLIES INC 381,837 +154,410 $2,638
     LESL381,837+154,410$2,638
VERITEX HLDGS INC 112,724 +45,659 $2,623
     VBTX112,724+45,659$2,623
VERIS RESIDENTIAL INC 166,500 +67,502 $2,619
     VRE166,500+67,502$2,619
SILVERBOW RES INC 90,000 UNCH $2,617
     SBOW90,000UNCH$2,617
BROWN & BROWN INC 36,781 -18,314 $2,615
     BRO36,781-18,314$2,615
ARES MANAGEMENT CORPORATION 21,794 +1,798 $2,592
     ARES21,794+1,798$2,592
UNITED PARCEL SERVICE INC 16,481 -60,994 $2,591
     UPS16,481-60,994$2,591
ALLEGIANT TRAVEL CO 31,317 +12,621 $2,587
     ALGT31,317+12,621$2,587
NATIONAL HEALTHCARE CORP 27,980 +27,980 $2,586
     NHC27,980+27,980$2,586
RTX CORPORATION 30,446 -1,196,668 $2,562
     RTX30,446-1,196,668$2,562
NUTRIEN LTD 44,999 -493,860 $2,548
     NTR44,999-493,860$2,548
CINCINNATI FINL CORP 24,463 -11,792 $2,531
     CINF24,463-11,792$2,531
ENTERGY CORP NEW 24,840 -24,435 $2,514
     ETR24,840-24,435$2,514
MARTEN TRANS LTD 119,799 +48,453 $2,513
     MRTN119,799+48,453$2,513
ELEVANCE HEALTH INC 5,321 -19,921 $2,509
     ELV5,321-19,921$2,509
UFP TECHNOLOGIES INC 14,584 +5,898 $2,509
     UFPT14,584+5,898$2,509
MEDTRONIC PLC 30,354 -112,236 $2,501
     MDT30,354-112,236$2,501
EQUITY RESIDENTIAL 40,859 -30,800 $2,499
     EQR40,859-30,800$2,499
NOW INC 220,655 +88,752 $2,498
     DNOW220,655+88,752$2,498
SYNCHRONY FINANCIAL 65,344 -32,577 $2,495
     SYF65,344-32,577$2,495
AGNICO EAGLE MINES LTD 45,032 -23,876 $2,481
     AEM45,032-23,876$2,481
ENCORE CAP GROUP INC 48,833 +19,806 $2,478
     ECPG48,833+19,806$2,478
EXP WORLD HLDGS INC 159,581 +64,665 $2,477
     EXPI159,581+64,665$2,477
HUDSON PAC PPTYS INC 263,221 +106,443 $2,451
     HPP263,221+106,443$2,451
WABASH NATL CORP 95,638 +37,548 $2,450
     WNC95,638+37,548$2,450
APOGEE ENTERPRISES INC 45,811 +18,523 $2,447
     APOG45,811+18,523$2,447
CITIZENS FINL GROUP INC 73,779 -37,223 $2,445
     CFG73,779-37,223$2,445
IRON MTN INC DEL 34,944 -24,330 $2,445
     IRM34,944-24,330$2,445
BOOKING HOLDINGS INC 689 -3,135 $2,444
     BKNG689-3,135$2,444
LIGAND PHARMACEUTICALS INC 34,018 +13,854 $2,430
     LGND34,018+13,854$2,430
CARS COM INC 127,813 +51,411 $2,425
     CARS127,813+51,411$2,425
MIDDLESEX WTR CO 36,957 +15,021 $2,425
     MSEX36,957+15,021$2,425
H WORLD GROUP LTD 72,453 +700 $2,423
     HTHT72,453+700$2,423
LIBERTY BROADBAND CORP 30,000 UNCH $2,418
     LBRDK30,000UNCH$2,418
NATIONAL BEVERAGE CORP 48,437 +19,591 $2,408
     FIZZ48,437+19,591$2,408
VENTAS INC 48,214 -33,513 $2,403
     VTR48,214-33,513$2,403
SHUTTERSTOCK INC 49,659 +19,781 $2,398
     SSTK49,659+19,781$2,398
VERTEX PHARMACEUTICALS INC 5,893 -21,776 $2,398
     VRTX5,893-21,776$2,398
EVEREST GROUP LTD 6,780 +6,780 $2,397
     EG6,780+6,780$2,397
PERDOCEO ED CORP 136,316 +55,223 $2,394
     PRDO136,316+55,223$2,394
MARKEL GROUP INC 1,683 +104 $2,390
     MKL1,683+104$2,390
WIX COM LTD 19,402 +200 $2,387
     WIX19,402+200$2,387
VERADIGM INC 226,727 +91,683 $2,378
     MDRX226,727+91,683$2,378
XPEL INC 44,156 +17,867 $2,378
     XPEL44,156+17,867$2,378
KAISER ALUMINUM CORP 33,236 +13,444 $2,366
     KALU33,236+13,444$2,366
TENCENT MUSIC ENTMT GROUP 262,529 +2,300 $2,365
     TME262,529+2,300$2,365
EQT CORP 61,104 -23,190 $2,362
     EQT61,104-23,190$2,362
NEXPOINT RESIDENTIAL TR INC 68,421 +19,179 $2,356
     NXRT68,421+19,179$2,356
TELUS CORPORATION 131,658 -69,808 $2,354
     TU131,658-69,808$2,354
PPL CORP 86,531 -85,377 $2,345
     PPL86,531-85,377$2,345
VITAL ENERGY INC 51,425 +30,738 $2,339
     VTLE51,425+30,738$2,339
LEMAITRE VASCULAR INC 41,120 +16,630 $2,334
     LMAT41,120+16,630$2,334
SAFETY INS GROUP INC 30,704 +12,422 $2,333
     SAFT30,704+12,422$2,333
ALEXANDRIA REAL ESTATE EQ IN 18,385 -14,143 $2,331
     ARE18,385-14,143$2,331
MATTHEWS INTL CORP 63,225 +25,567 $2,317
     MATW63,225+25,567$2,317
INVITATION HOMES INC 67,765 -52,844 $2,311
     INVH67,765-52,844$2,311
LAM RESEARCH CORP 2,941 -11,337 $2,304
     LRCX2,941-11,337$2,304
FRANKLIN BSP RLTY TR INC 170,317 +68,705 $2,301
     FBRT170,317+68,705$2,301
GILEAD SCIENCES INC 28,402 -105,068 $2,301
     GILD28,402-105,068$2,301
LPL FINL HLDGS INC 10,106 +452 $2,300
     LPLA10,106+452$2,300
GRAB HOLDINGS LIMITED 678,580 +10,500 $2,287
     GRAB678,580+10,500$2,287
MONDELEZ INTL INC 31,573 -1,388,673 $2,287
     MDLZ31,573-1,388,673$2,287
IMPERIAL OIL LTD 39,900 -10,171 $2,284
     IMO39,900-10,171$2,284
BROOKFIELD BUSINESS PARTNERS 109,552 +4,026 $2,272
     BBU109,552+4,026$2,272
AMERICAN ASSETS TR INC 100,814 +40,770 $2,269
     AAT100,814+40,770$2,269
TRUPANION INC 74,150 +30,174 $2,262
     TRUP74,150+30,174$2,262
SHENANDOAH TELECOMMUNICATION 104,307 +42,182 $2,255
     SHEN104,307+42,182$2,255
EMBECTA CORP 118,918 +48,091 $2,251
     EMBC118,918+48,091$2,251
BERKLEY W R CORP 31,792 -16,079 $2,248
     WRB31,792-16,079$2,248
AMEREN CORP 30,880 -30,329 $2,234
     AEE30,880-30,329$2,234
RESTAURANT BRANDS INTL INC 28,418 -65,067 $2,231
     QSR28,418-65,067$2,231
KOPPERS HOLDINGS INC 43,210 +17,413 $2,213
     KOP43,210+17,413$2,213
BERKSHIRE HILLS BANCORP INC 88,974 +34,580 $2,209
     BHLB88,974+34,580$2,209
HARMONY BIOSCIENCES HLDGS IN 68,065 +26,536 $2,198
     HRMY68,065+26,536$2,198
MARATHON OIL CORP 90,745 -51,558 $2,192
     MRO90,745-51,558$2,192
FIRSTENERGY CORP 59,707 -64,046 $2,189
     FE59,707-64,046$2,189
AUTOMATIC DATA PROCESSING IN 9,375 -34,756 $2,184
     ADP9,375-34,756$2,184
AVANOS MED INC 97,124 +39,190 $2,178
     AVNS97,124+39,190$2,178
SIRIUSPOINT LTD 187,778 +187,778 $2,178
     SPNT187,778+187,778$2,178
SAFEHOLD INC 92,914 +37,577 $2,174
     SAFE92,914+37,577$2,174
DANAHER CORPORATION 9,375 -64,016 $2,169
     DHR9,375-64,016$2,169
STRYKER CORPORATION 7,226 -28,980 $2,164
     SYK7,226-28,980$2,164
VIPSHOP HLDGS LTD 121,649 +3,900 $2,160
     VIPS121,649+3,900$2,160
MARCUS & MILLICHAP INC 49,390 +19,917 $2,157
     MMI49,390+19,917$2,157
CHEFS WHSE INC 73,259 +29,625 $2,156
     CHEF73,259+29,625$2,156
DEERE & CO 5,379 -23,829 $2,151
     DE5,379-23,829$2,151
REGENERON PHARMACEUTICALS 2,444 -8,990 $2,147
     REGN2,444-8,990$2,147
PALO ALTO NETWORKS INC 7,264 -25,498 $2,142
     PANW7,264-25,498$2,142
AMERICAN AXLE & MFG HLDGS IN 242,917 +98,235 $2,140
     AXL242,917+98,235$2,140
LOCKHEED MARTIN CORP 4,715 -19,293 $2,137
     LMT4,715-19,293$2,137
ARCUS BIOSCIENCES INC 111,846 +45,544 $2,136
     RCUS111,846+45,544$2,136
SCHOLASTIC CORP 56,661 +22,204 $2,136
     SCHL56,661+22,204$2,136
PRA GROUP INC 81,442 +32,940 $2,134
     PRAA81,442+32,940$2,134
CALERES INC 69,326 +27,184 $2,130
     CAL69,326+27,184$2,130
CENTERPOINT ENERGY INC 74,124 -73,012 $2,118
     CNP74,124-73,012$2,118
KEYCORP 146,207 -70,102 $2,105
     KEY146,207-70,102$2,105
VICOR CORP 46,831 +46,831 $2,105
     VICR46,831+46,831$2,105
EMPLOYERS HLDGS INC 53,383 +21,169 $2,103
     EIG53,383+21,169$2,103
MICRON TECHNOLOGY INC 24,553 -92,773 $2,095
     MU24,553-92,773$2,095
QUANEX BLDG PRODS CORP 68,458 +27,729 $2,093
     NX68,458+27,729$2,093
PROTO LABS INC 53,510 +21,257 $2,085
     PRLB53,510+21,257$2,085
COLLEGIUM PHARMACEUTICAL INC 67,676 +24,745 $2,083
     COLL67,676+24,745$2,083
ZOETIS INC 10,520 -38,788 $2,076
     ZTS10,520-38,788$2,076
ELLINGTON FINANCIAL INC 162,885 +78,817 $2,070
     EFC162,885+78,817$2,070
MERCURY GENL CORP NEW 55,153 +22,303 $2,058
     MCY55,153+22,303$2,058
SCANSOURCE INC 51,813 +21,037 $2,052
     SCSC51,813+21,037$2,052
ICHOR HOLDINGS 60,974 +24,819 $2,051
     ICHR60,974+24,819$2,051
FIRST CTZNS BANCSHARES INC N (FCNCA) 1,444 +102 $2,049
     FCNCA1,444+102$2,049
BENCHMARK ELECTRS INC 74,051 +29,962 $2,047
     BHE74,051+29,962$2,047
CGI INC 19,014 -10,079 $2,047
     GIB19,014-10,079$2,047
WHEATON PRECIOUS METALS CORP 41,208 -21,848 $2,043
     WPM41,208-21,848$2,043
PDF SOLUTIONS INC 63,525 +25,825 $2,042
     PDFS63,525+25,825$2,042
SMART GLOBAL HLDGS INC 107,739 +45,855 $2,039
     SGH107,739+45,855$2,039
HAIN CELESTIAL GROUP INC 186,161 +75,610 $2,038
     HAIN186,161+75,610$2,038
BRISTOL MYERS SQUIBB CO 39,643 -184,136 $2,034
     BMY39,643-184,136$2,034
SOUTHWEST AIRLS CO 70,328 +6,399 $2,031
     LUV70,328+6,399$2,031
UNITED AIRLS HLDGS INC 49,120 +14,079 $2,027
     UAL49,120+14,079$2,027
ELBIT SYS LTD 9,488 UNCH $2,024
     ESLT9,488UNCH$2,024
ATMOS ENERGY CORP 17,399 -16,703 $2,017
     ATO17,399-16,703$2,017
BROOKLINE BANCORP INC DEL 184,408 +74,819 $2,012
     BRKL184,408+74,819$2,012
THOMSON REUTERS CORP. 13,635 -7,230 $2,003
     TRI13,635-7,230$2,003
UNITED NAT FOODS INC 123,279 +50,850 $2,001
     UNFI123,279+50,850$2,001
NU SKIN ENTERPRISES INC 102,529 +40,780 $1,991
     NUS102,529+40,780$1,991
CMS ENERGY CORP 34,267 -33,796 $1,990
     CMS34,267-33,796$1,990
BALL CORP 34,243 +496 $1,970
     BALL34,243+496$1,970
ARMOUR RESIDENTIAL REIT INC 101,670 -180,517 $1,964
     ARR101,670-180,517$1,964
DIME CMNTY BANCSHARES INC (DCOM) 72,506 +29,315 $1,953
     DCOM72,506+29,315$1,953
DELUXE CORP 90,673 +36,763 $1,945
     DLX90,673+36,763$1,945
FRANCO NEV CORP 17,477 -9,266 $1,945
     FNV17,477-9,266$1,945
TAL EDUCATION GROUP 153,982 +800 $1,945
     TAL153,982+800$1,945
CHICOS FAS INC 256,191 +103,601 $1,942
     CHS256,191+103,601$1,942
DIGI INTL INC 74,645 +30,188 $1,941
     DGII74,645+30,188$1,941
BRANDYWINE RLTY TR 357,126 +144,416 $1,928
     BDN357,126+144,416$1,928
COLGATE PALMOLIVE CO 24,082 -64,471 $1,920
     CL24,082-64,471$1,920
SANFILIPPO JOHN B & SON INC 18,624 +7,552 $1,919
     JBSS18,624+7,552$1,919
MONARCH CASINO & RESORT INC 27,705 +11,142 $1,916
     MCRI27,705+11,142$1,916
MONRO INC 65,258 +26,426 $1,915
     MNRO65,258+26,426$1,915
N ABLE INC 144,247 +58,523 $1,911
     NABL144,247+58,523$1,911
ESSEX PPTY TR INC 7,691 -5,393 $1,907
     ESS7,691-5,393$1,907
A10 NETWORKS INC 144,622 +58,518 $1,905
     ATEN144,622+58,518$1,905
PREFERRED BK LOS ANGELES CA 25,933 +9,767 $1,894
     PFBC25,933+9,767$1,894
MID AMER APT CMNTYS INC 13,971 -9,804 $1,879
     MAA13,971-9,804$1,879
INNOVIVA INC 117,032 +46,227 $1,877
     INVA117,032+46,227$1,877
CYTEK BIOSCIENCES INC 205,337 +82,317 $1,873
     CTKB205,337+82,317$1,873
EAGLE BANCORP INC MD 62,105 +25,142 $1,872
     EGBN62,105+25,142$1,872
ARLO TECHNOLOGIES INC 196,365 +80,114 $1,869
     ARLO196,365+80,114$1,869
TIMKENSTEEL CORPORATION 79,703 +31,902 $1,869
     TMST79,703+31,902$1,869
TECHTARGET INC 53,598 +22,307 $1,868
     TTGT53,598+22,307$1,868
SUNCOKE ENERGY INC 173,807 +70,286 $1,867
     SXC173,807+70,286$1,867
THE CIGNA GROUP 6,232 -25,472 $1,866
     CI6,232-25,472$1,866
SOUTHSIDE BANCSHARES INC (SBSI) 59,537 +23,686 $1,865
     SBSI59,537+23,686$1,865
AMERISAFE INC 39,812 +16,106 $1,862
     AMSF39,812+16,106$1,862
NABORS INDUSTRIES LTD      $1,862
     NBR18,464+7,374$1,507
     Call4,346UNCH$355
ANYWHERE REAL ESTATE INC 229,278 +92,720 $1,859
     HOUS229,278+92,720$1,859
HIBBETT INC 25,724 +9,969 $1,853
     HIBB25,724+9,969$1,853
FRESH DEL MONTE PRODUCE INC 69,901 +28,268 $1,835
     FDP69,901+28,268$1,835
CVR ENERGY INC 60,498 +24,464 $1,833
     CVI60,498+24,464$1,833
REDWOOD TRUST INC 246,185 +105,063 $1,824
     RWT246,185+105,063$1,824
KLA CORP 3,129 -11,516 $1,819
     KLAC3,129-11,516$1,819
CENTERSPACE 31,245 +12,768 $1,818
     CSR31,245+12,768$1,818
U S SILICA HLDGS INC 160,109 +64,793 $1,811
     SLCA160,109+64,793$1,811
WK KELLOGG CO 136,824 +136,824 $1,798
     KLG136,824+136,824$1,798
VIR BIOTECHNOLOGY INC 178,659 +72,462 $1,797
     VIR178,659+72,462$1,797
MONDAY COM LTD 9,500 +1,800 $1,784
     MNDY9,500+1,800$1,784
PAYPAL HLDGS INC 29,012 -88,607 $1,782
     PYPL29,012-88,607$1,782
TECK RESOURCES LTD 41,927 -22,228 $1,781
     TECK41,927-22,228$1,781
GOLDEN ENTMT INC 44,538 +17,782 $1,778
     GDEN44,538+17,782$1,778
WORTHINGTON STL INC 63,224 +63,224 $1,777
     WS63,224+63,224$1,777
COMPASS MINERALS INTL INC 70,036 +28,342 $1,773
     CMP70,036+28,342$1,773
FIDELITY NATIONAL FINANCIAL 34,524 +2,382 $1,761
     FNF34,524+2,382$1,761
UNITED THERAPEUTICS CORP DEL 8,000 UNCH $1,759
     UTHR8,000UNCH$1,759
3 D SYS CORP DEL 276,898 +111,922 $1,758
     DDD276,898+111,922$1,758
ASTEC INDS INC 47,195 +19,092 $1,756
     ASTE47,195+19,092$1,756
UNITIL CORP 33,412 +13,523 $1,756
     UTL33,412+13,523$1,756
BJS RESTAURANTS INC 48,228 +19,092 $1,737
     BJRI48,228+19,092$1,737
SONIC AUTOMOTIVE INC 30,842 +11,164 $1,734
     SAH30,842+11,164$1,734
ARMADA HOFFLER PPTYS INC 139,869 +55,887 $1,730
     AHH139,869+55,887$1,730
ANI PHARMACEUTICALS INC 31,287 +11,484 $1,725
     ANIP31,287+11,484$1,725
VAREX IMAGING CORP 84,112 +34,178 $1,724
     VREX84,112+34,178$1,724
MATIV HOLDINGS INC 112,482 +44,864 $1,722
     MATV112,482+44,864$1,722
MARKETAXESS HLDGS INC 5,861 -2,849 $1,716
     MKTX5,861-2,849$1,716
B & G FOODS INC NEW 163,155 +73,803 $1,713
     BGS163,155+73,803$1,713
CORE LABORATORIES INC 96,958 +39,262 $1,712
     CLB96,958+39,262$1,712
METHODE ELECTRS INC 74,734 +30,225 $1,699
     MEI74,734+30,225$1,699
CADENCE DESIGN SYSTEM INC 6,232 -22,882 $1,697
     CDNS6,232-22,882$1,697
CAPITOL FED FINL INC 262,342 +105,799 $1,692
     CFFN262,342+105,799$1,692
COMSTOCK RES INC 190,671 +77,085 $1,687
     CRK190,671+77,085$1,687
KIMCO RLTY CORP 79,000 -46,986 $1,683
     KIM79,000-46,986$1,683
ADVANSIX INC 55,936 +22,301 $1,676
     ASIX55,936+22,301$1,676
POWELL INDS INC 18,953 +7,664 $1,675
     POWL18,953+7,664$1,675
STURM RUGER & CO INC 36,784 +14,879 $1,672
     RGR36,784+14,879$1,672
GLOBE LIFE INC 13,656 -6,957 $1,662
     GL13,656-6,957$1,662
HOST HOTELS & RESORTS INC 85,217 -60,096 $1,659
     HST85,217-60,096$1,659
FISERV INC 12,470 +12,470 $1,657
     FI12,470+12,470$1,657
APA CORPORATION 46,052 -25,751 $1,652
     APA46,052-25,751$1,652
DRIL QUIP INC 70,923 +28,683 $1,650
     DRQ70,923+28,683$1,650
SPARTANNASH CO 71,852 +28,912 $1,649
     SPTN71,852+28,912$1,649
CERENCE INC 83,703 +33,852 $1,646
     CRNC83,703+33,852$1,646
MISTER CAR WASH INC 189,001 +76,988 $1,633
     MCW189,001+76,988$1,633
ALTRIA GROUP INC 40,377 -149,714 $1,629
     MO40,377-149,714$1,629
BECTON DICKINSON & CO 6,649 -24,427 $1,621
     BDX6,649-24,427$1,621
SUN CMNTYS INC 12,098 +119 $1,617
     SUI12,098+119$1,617
MARINEMAX INC 41,381 +16,738 $1,610
     HZO41,381+16,738$1,610
NEW YORK MTG TR INC 188,180 +75,396 $1,605
     NYMT188,180+75,396$1,605
DINE BRANDS GLOBAL INC 32,278 +13,057 $1,603
     DIN32,278+13,057$1,603
PEDIATRIX MEDICAL GROUP INC 171,888 +69,615 $1,599
     MD171,888+69,615$1,599
KKR REAL ESTATE FIN TR INC 120,822 +49,074 $1,598
     KREF120,822+49,074$1,598
ROGERS COMMUNICATIONS INC 33,805 -17,925 $1,590
     RCI33,805-17,925$1,590
HEALTHCARE SVCS GROUP INC 153,247 +61,543 $1,589
     HCSG153,247+61,543$1,589
WISDOMTREE INC 229,140 +87,933 $1,588
     WT229,140+87,933$1,588
PC CONNECTION INC 23,449 +9,494 $1,576
     CNXN23,449+9,494$1,576
VIAD CORP 43,416 +17,610 $1,572
     VVI43,416+17,610$1,572
TITAN INTL INC ILL 104,988 +41,413 $1,562
     TWI104,988+41,413$1,562
TOMPKINS FINL CORP 25,907 +10,463 $1,560
     TMP25,907+10,463$1,560
CROSS CTRY HEALTHCARE INC 68,571 +26,974 $1,552
     CCRN68,571+26,974$1,552
HERITAGE FINL CORP WASH 72,433 +29,115 $1,549
     HFWA72,433+29,115$1,549
INSTEEL INDS INC 40,372 +16,353 $1,546
     IIIN40,372+16,353$1,546
EQUITABLE HLDGS INC 46,379 +1,896 $1,544
     EQH46,379+1,896$1,544
STANDARD MTR PRODS INC 38,781 +15,688 $1,544
     SMP38,781+15,688$1,544
LEGEND BIOTECH CORP 25,489 +4,800 $1,534
     LEGN25,489+4,800$1,534
INTERFACE INC 120,582 +48,763 $1,522
     TILE120,582+48,763$1,522
ALLIANT ENERGY CORP 29,655 -29,060 $1,521
     LNT29,655-29,060$1,521
MEDIFAST INC 22,607 +9,148 $1,520
     MED22,607+9,148$1,520
AES CORP 78,666 -77,033 $1,514
     AES78,666-77,033$1,514
ETHAN ALLEN INTERIORS INC 47,440 +19,234 $1,514
     ETD47,440+19,234$1,514
REGENXBIO INC 83,993 +34,006 $1,508
     RGNX83,993+34,006$1,508
HAYNES INTL INC 26,422 +10,686 $1,507
     HAYN26,422+10,686$1,507
SUMMIT HOTEL PPTYS INC 223,235 +90,272 $1,500
     INN223,235+90,272$1,500
REX AMERICAN RES CORP 31,603 +12,903 $1,495
     REX31,603+12,903$1,495
MYERS INDS INC 76,389 +30,893 $1,493
     MYE76,389+30,893$1,493
TARGET CORP 10,473 -38,968 $1,492
     TGT10,473-38,968$1,492
ENVIRI CORP 165,673 +165,673 $1,491
     NVRI165,673+165,673$1,491
SIMULATIONS PLUS INC 33,105 +13,402 $1,481
     SLP33,105+13,402$1,481
PROPETRO HLDG CORP 176,146 +68,820 $1,476
     PUMP176,146+68,820$1,476
FUTU HLDGS LTD 26,976 +511 $1,474
     FUTU26,976+511$1,474
AIRBNB INC 10,810 -34,860 $1,472
     ABNB10,810-34,860$1,472
WOLVERINE WORLD WIDE INC 165,040 +66,760 $1,467
     WWW165,040+66,760$1,467
PROASSURANCE CORP 105,766 +41,414 $1,459
     PRA105,766+41,414$1,459
OVINTIV INC 32,961 +58 $1,448
     OVV32,961+58$1,448
ARTIVION INC 80,929 +32,741 $1,447
     AORT80,929+32,741$1,447
MAGNA INTL INC 24,230 -312,847 $1,439
     MGA24,230-312,847$1,439
KELLY SVCS INC 66,310 +26,681 $1,434
     KELYA66,310+26,681$1,434
NORTHROP GRUMMAN CORP 3,059 -12,175 $1,432
     NOC3,059-12,175$1,432
CSX CORP 41,145 -173,768 $1,426
     CSX41,145-173,768$1,426
EVERGY INC 26,985 -26,396 $1,409
     EVRG26,985-26,396$1,409
BRISTOW GROUP INC 49,828 +20,227 $1,409
     VTOL49,828+20,227$1,409
KAMAN CORP 58,566 +23,687 $1,403
     KAMN58,566+23,687$1,403
COMMUNITY HEALTHCARE TR INC 52,612 +22,083 $1,402
     CHCT52,612+22,083$1,402
PITNEY BOWES INC 318,347 +129,065 $1,401
     PBI318,347+129,065$1,401
ASSURANT INC 8,308 -3,990 $1,400
     AIZ8,308-3,990$1,400
ICL GROUP LTD 274,918 UNCH $1,398
     ICL274,918UNCH$1,398
AIR PRODS & CHEMS INC 5,089 -18,707 $1,393
     APD5,089-18,707$1,393
CHIPOTLE MEXICAN GRILL INC 609 -2,346 $1,393
     CMG609-2,346$1,393
SHERWIN WILLIAMS CO 4,461 -20,881 $1,391
     SHW4,461-20,881$1,391
NRG ENERGY INC 26,884 -26,530 $1,390
     NRG26,884-26,530$1,390
FREEPORT MCMORAN INC 32,592 -120,975 $1,387
     FCX32,592-120,975$1,387
QUINSTREET INC 107,598 +44,054 $1,379
     QNST107,598+44,054$1,379
UDR INC 36,008 -26,605 $1,379
     UDR36,008-26,605$1,379
CHUYS HLDGS INC 36,017 +13,721 $1,377
     CHUY36,017+13,721$1,377
3M CO 12,520 -46,608 $1,369
     MMM12,520-46,608$1,369
LULULEMON ATHLETICA INC 2,663 -3,237 $1,362
     LULU2,663-3,237$1,362
HEARTLAND EXPRESS INC 95,117 +38,465 $1,356
     HTLD95,117+38,465$1,356
OLYMPIC STEEL INC 20,335 +8,226 $1,356
     ZEUS20,335+8,226$1,356
NXP SEMICONDUCTORS N V 5,873 -21,742 $1,349
     NXPI5,873-21,742$1,349
WP CAREY INC 20,801 +190 $1,348
     WPC20,801+190$1,348
AMERICAN AIRLS GROUP INC 97,947 +28,319 $1,346
     AAL97,947+28,319$1,346
AMPHENOL CORP NEW 13,557 -50,398 $1,344
     APH13,557-50,398$1,344
HEALTHSTREAM INC 49,653 +19,690 $1,342
     HSTM49,653+19,690$1,342
DHT HOLDINGS INC 136,000 -137,000 $1,334
     DHT136,000-137,000$1,334
REKOR SYSTEMS INC 400,000 UNCH $1,332
     REKR400,000UNCH$1,332
FRANKLIN RESOURCES INC 44,557 -23,332 $1,327
     BEN44,557-23,332$1,327
TRADEWEB MKTS INC 14,542 +926 $1,322
     TW14,542+926$1,322
REGENCY CTRS CORP 19,661 -14,156 $1,317
     REG19,661-14,156$1,317
ROPER TECHNOLOGIES INC 2,413 -9,038 $1,315
     ROP2,413-9,038$1,315
GUESS INC 56,712 +22,967 $1,308
     GES56,712+22,967$1,308
THRYV HLDGS INC 64,210 +26,572 $1,307
     THRY64,210+26,572$1,307
CENTURY ALUM CO 107,385 +43,441 $1,304
     CENX107,385+43,441$1,304
GOGO INC 128,337 +51,985 $1,300
     GOGO128,337+51,985$1,300
DIGITAL TURBINE INC 189,205 +77,391 $1,298
     APPS189,205+77,391$1,298
HEALTHPEAK PROPERTIES INC 65,457 -46,012 $1,296
     PEAK65,457-46,012$1,296
MCKESSON CORP 2,794 -11,657 $1,294
     MCK2,794-11,657$1,294
BRIGHTSPHERE INVT GROUP INC 67,189 +27,172 $1,287
     BSIG67,189+27,172$1,287
RPC INC 176,554 +71,333 $1,285
     RES176,554+71,333$1,285
TAPESTRY INC 34,791 +9,889 $1,281
     TPR34,791+9,889$1,281
KANZHUN LIMITED 77,006 +1,100 $1,279
     BZ77,006+1,100$1,279
NORWEGIAN CRUISE LINE HLDG L 63,741 +18,603 $1,277
     NCLH63,741+18,603$1,277
ANNALY CAPITAL MANAGEMENT IN 65,948 +4,690 $1,277
     NLY65,948+4,690$1,277
GLOBAL E ONLINE LTD 32,200 UNCH $1,276
     GLBE32,200UNCH$1,276
SUN CTRY AIRLS HLDGS INC 80,883 +31,037 $1,272
     SNCY80,883+31,037$1,272
CAMDEN PPTY TR 12,786 -8,974 $1,270
     CPT12,786-8,974$1,270
EMERSON ELEC CO 13,034 -48,184 $1,269
     EMR13,034-48,184$1,269
FIRSTSERVICE CORP NEW 7,781 -1,766 $1,267
     FSV7,781-1,766$1,267
PARAMOUNT GLOBAL 85,649 UNCH $1,267
     PARA85,649UNCH$1,267
ALLY FINL INC 36,246 +2,687 $1,266
     ALLY36,246+2,687$1,266
CORSAIR GAMING INC 89,752 +36,396 $1,266
     CRSR89,752+36,396$1,266
TRANE TECHNOLOGIES PLC 5,171 -19,328 $1,261
     TT5,171-19,328$1,261
GAMING & LEISURE PPTYS INC 25,538 +242 $1,260
     GLPI25,538+242$1,260
VIATRIS INC 115,534 -12,952 $1,251
     VTRS115,534-12,952$1,251
ORASURE TECHNOLOGIES INC 152,492 +61,752 $1,250
     OSUR152,492+61,752$1,250
CLEARWATER PAPER CORP 34,376 +13,719 $1,242
     CLW34,376+13,719$1,242
ADAPTHEALTH CORP 169,817 +68,882 $1,238
     AHCO169,817+68,882$1,238
TRANSDIGM GROUP INC 1,222 -4,689 $1,236
     TDG1,222-4,689$1,236
HUMANA INC 2,695 -10,578 $1,234
     HUM2,695-10,578$1,234
USANA HEALTH SCIENCES INC 23,028 +9,191 $1,234
     USNA23,028+9,191$1,234
HEIDRICK & STRUGGLES INTL IN 41,758 +17,029 $1,233
     HSII41,758+17,029$1,233
TEXAS PACIFIC LAND CORPORATI 781 +19 $1,228
     TPL781+19$1,228
TRUSTCO BK CORP N Y 39,485 +15,971 $1,226
     TRST39,485+15,971$1,226
HANMI FINL CORP 63,073 +25,393 $1,224
     HAFC63,073+25,393$1,224
PINNACLE WEST CAP CORP 17,008 +4,889 $1,222
     PNW17,008+4,889$1,222
ALPHA & OMEGA SEMICONDUCTOR 46,707 +19,022 $1,217
     AOSL46,707+19,022$1,217
EQUITY LIFESTYLE PPTYS INC 17,207 +122 $1,214
     ELS17,207+122$1,214
GENERAC HLDGS INC 9,359 +2,625 $1,210
     GNRC9,359+2,625$1,210
FULGENT GENETICS INC 41,816 +16,664 $1,209
     FLGT41,816+16,664$1,209
BOSTON PROPERTIES INC 17,148 -12,517 $1,203
     BXP17,148-12,517$1,203
WHITESTONE REIT 97,753 +39,607 $1,201
     COM97,753+39,607$1,201
INVESCO LTD 67,234 -24,233 $1,199
     IVZ67,234-24,233$1,199
VISTRA CORP 31,126 -11,239 $1,199
     VST31,126-11,239$1,199
MOTOROLA SOLUTIONS INC 3,812 -14,078 $1,193
     MSI3,812-14,078$1,193
TOOTSIE ROLL INDS INC 35,850 +14,330 $1,192
     TR35,850+14,330$1,192
AUTODESK INC 4,891 -18,003 $1,191
     ADSK4,891-18,003$1,191
AMC NETWORKS INC 63,232 +25,634 $1,188
     AMCX63,232+25,634$1,188
STIFEL FINL CORP 17,000 -23,000 $1,176
     SF17,000-23,000$1,176
CARLYLE GROUP INC 28,837 +1,892 $1,173
     CG28,837+1,892$1,173
BIOLIFE SOLUTIONS INC 72,085 +29,620 $1,171
     BLFS72,085+29,620$1,171
PACCAR INC 11,933 -44,068 $1,165
     PCAR11,933-44,068$1,165
GENERAL DYNAMICS CORP 4,462 -19,813 $1,159
     GD4,462-19,813$1,159
AMERICAN FINL GROUP INC OHIO 9,632 +627 $1,145
     AFG9,632+627$1,145
UNIVERSAL HEALTH RLTY INCOME 26,391 +10,674 $1,141
     UHT26,391+10,674$1,141
AMERICAN HOMES 4 RENT 31,624 +306 $1,137
     AMH31,624+306$1,137
ERIE INDTY CO 3,392 +227 $1,136
     ERIE3,392+227$1,136
FEDERAL RLTY INVT TR NEW 11,017 +3,180 $1,135
     FRT11,017+3,180$1,135
ECHOSTAR CORP 68,500 +68,500 $1,135
     SATS68,500+68,500$1,135
HF SINCLAIR CORP 20,415 +1,068 $1,134
     DINO20,415+1,068$1,134
SHOE CARNIVAL INC 37,474 +15,175 $1,132
     SCVL37,474+15,175$1,132
DENTSPLY SIRONA INC 31,743 +8,916 $1,130
     XRAY31,743+8,916$1,130
MODIVCARE INC 25,614 +10,365 $1,127
     MODV25,614+10,365$1,127
GENERAL MTRS CO 31,302 -116,081 $1,124
     GM31,302-116,081$1,124
CHARTER COMMUNICATIONS INC N 2,873 -8,029 $1,117
     CHTR2,873-8,029$1,117
MESA LABS INC 10,631 +4,309 $1,114
     MLAB10,631+4,309$1,114
ROSS STORES INC 8,053 -28,437 $1,114
     ROST8,053-28,437$1,114
CEVA INC 48,894 +19,684 $1,110
     CEVA48,894+19,684$1,110
CENTRAL PAC FINL CORP 56,125 +22,703 $1,105
     CPF56,125+22,703$1,105
COMERICA INC 19,779 +5,707 $1,104
     CMA19,779+5,707$1,104
CHESAPEAKE ENERGY CORP 14,304 +42 $1,101
     CHK14,304+42$1,101
CARRIER GLOBAL CORPORATION 19,100 -70,625 $1,097
     CARR19,100-70,625$1,097
FORD MTR CO DEL 89,489 -331,629 $1,091
     F89,489-331,629$1,091
HCI GROUP INC 12,483 +5,047 $1,091
     HCI12,483+5,047$1,091
DEXCOM INC 8,781 -32,863 $1,090
     DXCM8,781-32,863$1,090
CHATHAM LODGING TR 101,388 +41,001 $1,087
     CLDT101,388+41,001$1,087
NEWMONT CORP 26,215 -59,162 $1,085
     NEM26,215-59,162$1,085
CALAVO GROWERS INC 36,861 +14,881 $1,084
     CVGW36,861+14,881$1,084
ADTRAN HOLDINGS INC 146,982 +59,487 $1,079
     ADTN146,982+59,487$1,079
ENHABIT INC 104,034 +42,112 $1,077
     EHAB104,034+42,112$1,077
IDEXX LABS INC 1,937 -6,964 $1,075
     IDXX1,937-6,964$1,075
MARRIOTT INTL INC NEW 4,757 -22,079 $1,073
     MAR4,757-22,079$1,073
ECOLAB INC 5,401 -21,772 $1,071
     ECL5,401-21,772$1,071
SAUL CTRS INC 26,837 +10,857 $1,054
     BFS26,837+10,857$1,054
EDWARDS LIFESCIENCES CORP 13,804 -51,322 $1,053
     EW13,804-51,322$1,053
D R HORTON INC 6,889 -25,725 $1,047
     DHI6,889-25,725$1,047
OPEN TEXT CORP 24,677 -13,085 $1,042
     OTEX24,677-13,085$1,042
NORTHFIELD BANCORP INC DEL 82,101 +33,169 $1,033
     NFBK82,101+33,169$1,033
HCA HEALTHCARE INC 3,769 -17,791 $1,020
     HCA3,769-17,791$1,020
COPART INC 20,682 -72,396 $1,013
     CPRT20,682-72,396$1,013
WHIRLPOOL CORP 8,186 +2,373 $997
     WHR8,186+2,373$997
XPERI INC 90,200 +36,686 $994
     XPER90,200+36,686$994
CENTRAL GARDEN & PET CO 19,778 +8,003 $991
     CENT19,778+8,003$991
TRUEBLUE INC 64,620 +26,299 $991
     TBI64,620+26,299$991
AGILENT TECHNOLOGIES INC 7,093 -24,547 $986
     A7,093-24,547$986
HAVERTY FURNITURE COS INC 27,679 +11,079 $983
     HVT27,679+11,079$983
MOVADO GROUP INC 32,507 +13,203 $980
     MOV32,507+13,203$980
SCRIPPS E W CO OHIO 122,179 +49,549 $976
     SSP122,179+49,549$976
ZIONS BANCORPORATION N A 22,235 +6,196 $975
     ZION22,235+6,196$975
ARISTA NETWORKS INC 4,126 -22,700 $972
     ANET4,126-22,700$972
CONSENSUS CLOUD SOLUTIONS IN 36,967 +14,344 $969
     CCSI36,967+14,344$969
IQVIA HLDGS INC 4,167 -15,448 $964
     IQV4,167-15,448$964
SEI INVTS CO 15,022 +918 $955
     SEIC15,022+918$955
EZCORP INC 108,125 +43,728 $945
     EZPW108,125+43,728$945
RESOURCES CONNECTION INC 66,437 +26,899 $941
     RGP66,437+26,899$941
TE CONNECTIVITY LTD 6,661 -26,968 $936
     TEL6,661-26,968$936
KIMBERLY CLARK CORP 7,694 -28,551 $935
     KMB7,694-28,551$935
DXP ENTERPRISES INC 27,527 +10,574 $928
     DXPE27,527+10,574$928
GREEN DOT CORP 93,612 +37,976 $927
     GDOT93,612+37,976$927
WORLD ACCEP CORPORATION 7,055 +2,840 $921
     WRLD7,055+2,840$921
AMERICAS CAR MART INC 12,059 +4,678 $914
     CRMT12,059+4,678$914
NUCOR CORP 5,226 -21,417 $910
     NUE5,226-21,417$910
LENNAR CORP 6,100 -20,950 $909
     LEN6,100-20,950$909
GENERAL MLS INC 13,853 -48,830 $902
     GIS13,853-48,830$902
L3HARRIS TECHNOLOGIES INC 4,276 -15,984 $901
     LHX4,276-15,984$901
OIL STS INTL INC 132,584 +53,601 $900
     OIS132,584+53,601$900
RUSH STREET INTERACTIVE INC 200,000 UNCH $898
     RSI200,000UNCH$898
JOHNSON CTLS INTL PLC 15,437 -57,437 $890
     JCI15,437-57,437$890
UNITED FIRE GROUP INC 44,047 +17,846 $886
     UFCS44,047+17,846$886
UNITED RENTALS INC 1,542 -5,772 $884
     URI1,542-5,772$884
ARCHER DANIELS MIDLAND CO 12,233 -45,193 $883
     ADM12,233-45,193$883
ESSENTIAL UTILS INC 23,643 -7,988 $883
     WTRG23,643-7,988$883
DOW INC 15,972 -59,340 $876
     DOW15,972-59,340$876
RALPH LAUREN CORP 6,066 +1,648 $875
     RL6,066+1,648$875
NATIONAL PRESTO INDS INC 10,880 +4,407 $873
     NPK10,880+4,407$873
MERCER INTL INC 91,120 +36,852 $864
     MERC91,120+36,852$864
MONOLITHIC PWR SYS INC 1,366 -3,752 $862
     MPWR1,366-3,752$862
AMETEK INC 5,218 -19,542 $860
     AME5,218-19,542$860
SUNPOWER CORP 178,139 +72,037 $860
     SPWR178,139+72,037$860
ZILLOW GROUP INC 14,871 +38 $860
     Z14,871+38$860
BIOGEN INC 3,296 -12,254 $853
     BIIB3,296-12,254$853
TTEC HLDGS INC 39,365 +15,922 $853
     TTEC39,365+15,922$853
ATN INTL INC 21,769 +8,656 $848
     ATNI21,769+8,656$848
MODERNA INC 8,523 -26,946 $848
     MRNA8,523-26,946$848
SYSCO CORP 11,585 -42,521 $847
     SYY11,585-42,521$847
FASTENAL CO 13,036 -48,274 $844
     FAST13,036-48,274$844
OTIS WORLDWIDE CORP 9,412 -34,693 $842
     OTIS9,412-34,693$842
CENTENE CORP DEL 11,232 -46,770 $834
     CNC11,232-46,770$834
YUM BRANDS INC 6,354 -23,662 $830
     YUM6,354-23,662$830
ON SEMICONDUCTOR CORP 9,823 -36,401 $821
     ON9,823-36,401$821
MOHAWK INDS INC 7,875 +2,269 $815
     MHK7,875+2,269$815
PPG INDS INC 5,414 -19,877 $810
     PPG5,414-19,877$810
DESIGNER BRANDS INC 90,998 +30,133 $805
     DBI90,998+30,133$805
ALGONQUIN PWR UTILS CORP 126,640 -51,557 $803
     AQN126,640-51,557$803
ROCKWELL AUTOMATION INC 2,585 -9,718 $803
     ROK2,585-9,718$803
PAYCHEX INC 6,730 -27,643 $802
     PAYX6,730-27,643$802
LIQUIDITY SVCS INC 46,495 +18,804 $800
     LQDT46,495+18,804$800
GRAINGER W W INC 960 -3,807 $796
     GWW960-3,807$796
VERISK ANALYTICS INC 3,316 -12,239 $792
     VRSK3,316-12,239$792
TRAVERE THERAPEUTICS INC 87,000 UNCH $782
     TVTX87,000UNCH$782
CONSTELLATION BRANDS INC 3,200 -14,078 $774
     STZ3,200-14,078$774
CUMMINS INC 3,225 -11,942 $773
     CMI3,225-11,942$773
CORTEVA INC 16,115 -59,913 $772
     CTVA16,115-59,913$772
CINTAS CORP 1,276 -7,994 $769
     CTAS1,276-7,994$769
LAUDER ESTEE COS INC 5,215 -19,649 $763
     EL5,215-19,649$763
GLOBAL PMTS INC 5,926 -21,924 $753
     GPN5,926-21,924$753
IQIYI INC 154,332 UNCH $753
     IQ154,332UNCH$753
GARTNER INC 1,665 -6,779 $751
     IT1,665-6,779$751
MARCUS CORP DEL 51,089 +20,669 $745
     MCS51,089+20,669$745
CONSOLIDATED COMM HLDGS INC 170,465 +4,071 $742
     CNSL170,465+4,071$742
LIGHT & WONDER INC 9,000 UNCH $739
     LNW9,000UNCH$739
ROBINHOOD MKTS INC 57,588 +4,488 $734
     HOOD57,588+4,488$734
ILLINOIS TOOL WKS INC 2,780 -26,696 $728
     ITW2,780-26,696$728
B. RILEY FINANCIAL INC 34,279 +13,873 $720
     RILY34,279+13,873$720
INGERSOLL RAND INC 9,221 -34,167 $713
     IR9,221-34,167$713
MARTIN MARIETTA MATLS INC 1,429 -5,191 $713
     MLM1,429-5,191$713
QUANTA SVCS INC 3,298 -12,298 $712
     PWR3,298-12,298$712
ANSYS INC 1,948 -7,362 $707
     ANSS1,948-7,362$707
KINROSS GOLD CORP 115,965 -54,967 $705
     KGC115,965-54,967$705
JAMES RIV GROUP LTD 75,956 UNCH $702
     JRVR75,956UNCH$702
EQUIFAX INC 2,779 -10,371 $687
     EFX2,779-10,371$687
DOLLAR GEN CORP NEW 5,021 -18,518 $683
     DG5,021-18,518$683
VULCAN MATLS CO 2,980 -11,252 $676
     VMC2,980-11,252$676
WASTE MGMT INC DEL 3,758 -35,726 $673
     WM3,758-35,726$673
MONSTER BEVERAGE CORP NEW 11,624 -68,043 $670
     MNST11,624-68,043$670
FAIR ISAAC CORP 571 -2,092 $665
     FICO571-2,092$665
KEYSIGHT TECHNOLOGIES INC 4,169 -14,963 $663
     KEYS4,169-14,963$663
AUTOHOME INC 23,491 UNCH $659
     ATHM23,491UNCH$659
FORRESTER RESH INC 23,954 +9,706 $642
     FORR23,954+9,706$642
HERSHEY CO 3,430 -12,621 $639
     HSY3,430-12,621$639
XYLEM INC 5,507 -20,290 $630
     XYL5,507-20,290$630
FORTINET INC 10,735 -1,633,404 $628
     FTNT10,735-1,633,404$628
QIFU TECHNOLOGY INC 39,142 UNCH $619
     QFIN39,142UNCH$619
CENCORA INC 3,334 -14,523 $600
     ABC3,334-14,523$600
METTLER TOLEDO INTERNATIONAL 494 -1,848 $599
     MTD494-1,848$599
FLEETCOR TECHNOLOGIES INC 2,112 -5,798 $597
     FLT2,112-5,798$597
WEST PHARMACEUTICAL SVSC INC 1,682 -6,229 $592
     WST1,682-6,229$592
FORTIVE CORP 8,024 -29,684 $591
     FTV8,024-29,684$591
KEURIG DR PEPPER INC 17,533 -90,230 $584
     KDP17,533-90,230$584
ZIMMER BIOMET HOLDINGS INC 4,797 -17,636 $584
     ZBH4,797-17,636$584
ELECTRONIC ARTS INC 4,233 -22,175 $579
     EA4,233-22,175$579
AGILITI INC 72,752 +29,256 $576
     AGTI72,752+29,256$576
RESMED INC 3,334 -12,431 $574
     RMD3,334-12,431$574
CARDINAL HEALTH INC 5,673 -21,679 $572
     CAH5,673-21,679$572
ROYAL CARIBBEAN GROUP 4,402 -20,843 $570
     RCL4,402-20,843$570
ULTA BEAUTY INC 1,160 -4,174 $568
     ULTA1,160-4,174$568
KROGER CO 12,076 -58,656 $552
     KR12,076-58,656$552
BROADRIDGE FINL SOLUTIONS IN 2,680 -9,941 $551
     BR2,680-9,941$551
GILDAN ACTIVEWEAR INC 16,586 -7,862 $551
     GIL16,586-7,862$551
JOYY INC 13,584 -2,000 $539
     YY13,584-2,000$539
DAQO NEW ENERGY CORP 20,068 UNCH $534
     DQ20,068UNCH$534
SIRIUS XM HOLDINGS INC 97,649 +97,649 $534
     SIRI97,649+97,649$534
FIRST SOLAR INC 3,074 -8,369 $530
     FSLR3,074-8,369$530
CHURCH & DWIGHT CO INC 5,566 -20,790 $526
     CHD5,566-20,790$526
TRACTOR SUPPLY CO 2,448 -9,207 $526
     TSCO2,448-9,207$526
TRINSEO PLC 62,385 UNCH $522
     TSE62,385UNCH$522
PULTE GROUP INC 5,047 -18,460 $521
     PHM5,047-18,460$521
WABTEC 4,094 -15,093 $520
     WAB4,094-15,093$520
LYONDELLBASELL INDUSTRIES N 5,454 -21,981 $519
     LYB5,454-21,981$519
HEWLETT PACKARD ENTERPRISE C 30,528 -107,816 $518
     HPE30,528-107,816$518
GE HEALTHCARE TECHNOLOGIES I 6,644 -35,354 $514
     GEHC6,644-35,354$514
HP INC 16,947 -76,186 $510
     HPQ16,947-76,186$510
ILLUMINA INC 3,626 -13,359 $505
     ILMN3,626-13,359$505
MOLINA HEALTHCARE INC 1,360 -4,893 $491
     MOH1,360-4,893$491
PHIBRO ANIMAL HEALTH CORP 42,213 +17,075 $489
     PAHC42,213+17,075$489
DUPONT DE NEMOURS INC 6,330 -42,843 $487
     DD6,330-42,843$487
DOVER CORP 3,168 -11,830 $487
     DOV3,168-11,830$487
LUCID GROUP INC 115,248 +115,248 $485
     LCID115,248+115,248$485
STERIS PLC 2,206 -8,361 $485
     STE2,206-8,361$485
HOWMET AEROSPACE INC 8,910 -33,037 $482
     HWM8,910-33,037$482
PTC INC 2,687 -10,042 $470
     PTC2,687-10,042$470
INTERNATIONAL FLAVORS&FRAGRA 5,779 -21,539 $468
     IFF5,779-21,539$468
DARDEN RESTAURANTS INC 2,816 -10,176 $463
     DRI2,816-10,176$463
WATERS CORP 1,394 -4,971 $459
     WAT1,394-4,971$459
GARMIN LTD 3,495 -12,915 $449
     GRMN3,495-12,915$449
BAXTER INTL INC 11,526 -42,818 $446
     BAX11,526-42,818$446
NEWS CORP NEW 17,336 +4,748 $446
     NWS17,336+4,748$446
REPUBLIC SVCS INC 2,705 -19,381 $446
     RSG2,705-19,381$446
EBAY INC. 10,199 -46,804 $445
     EBAY10,199-46,804$445
NETAPP INC 5,018 -17,564 $442
     NTAP5,018-17,564$442
GENUINE PARTS CO 3,173 -11,877 $439
     GPC3,173-11,877$439
COOPER COS INC 1,155 -4,136 $437
     COO1,155-4,136$437
NVR INC 62 -288 $434
     NVR62-288$434
LEIDOS HOLDINGS INC 4,002 -10,666 $433
     LDOS4,002-10,666$433
WARNER BROS DISCOVERY INC 38,039 -200,119 $433
     WBD38,039-200,119$433
BUILDERS FIRSTSOURCE INC 2,587 +2,587 $432
     BLDR2,587+2,587$432
NORDSON CORP 1,627 -4,138 $430
     NDSN1,627-4,138$430
CARNIVAL CORP 22,908 -84,997 $425
     CCL22,908-84,997$425
EXPEDITORS INTL WASH INC 3,329 -12,514 $423
     EXPD3,329-12,514$423
TYLER TECHNOLOGIES INC 1,003 -3,500 $419
     TYL1,003-3,500$419
AKAMAI TECHNOLOGIES INC 3,521 -12,830 $417
     AKAM3,521-12,830$417
SKYWORKS SOLUTIONS INC 3,654 -13,510 $411
     SWKS3,654-13,510$411
HUBBELL INC 1,247 +1,247 $410
     HUBB1,247+1,247$410
ENPHASE ENERGY INC 3,092 -11,514 $409
     ENPH3,092-11,514$409
EPAM SYS INC 1,364 -4,857 $406
     EPAM1,364-4,857$406
ALIGN TECHNOLOGY INC 1,475 -6,170 $404
     ALGN1,475-6,170$404
CLOROX CO DEL 2,820 -10,419 $402
     CLX2,820-10,419$402
AXON ENTERPRISE INC 1,551 -5,989 $401
     AXON1,551-5,989$401
HOLOGIC INC 5,566 -20,671 $398
     HOLX5,566-20,671$398
STEEL DYNAMICS INC 3,322 -13,357 $392
     STLD3,322-13,357$392
MCCORMICK & CO INC 5,661 -21,287 $387
     MKC5,661-21,287$387
OMNICOM GROUP INC 4,463 -16,700 $386
     OMC4,463-16,700$386
IDEX CORP 1,774 -6,345 $385
     IEX1,774-6,345$385
OLD DOMINION FREIGHT LINE IN 946 -8,652 $383
     ODFL946-8,652$383
ALBEMARLE CORP 2,645 -9,929 $382
     ALB2,645-9,929$382
KRAFT HEINZ CO 10,337 -75,361 $382
     KHC10,337-75,361$382
EXPEDIA GROUP INC 2,487 -12,278 $378
     EXPE2,487-12,278$378
TERADYNE INC 3,467 -13,030 $376
     TER3,467-13,030$376
LAMB WESTON HLDGS INC 3,420 -12,233 $370
     LW3,420-12,233$370
REVANCE THERAPEUTICS INC 42,000 -134,000 $369
     RVNC42,000-134,000$369
BROOKFIELD RENEWABLE CORP 12,732 -4,315 $368
     BEPC12,732-4,315$368
CORNING INC 12,049 -70,147 $367
     GLW12,049-70,147$367
JACOBS SOLUTIONS INC 2,827 -10,661 $367
     J2,827-10,661$367
WALGREENS BOOTS ALLIANCE INC 14,030 -62,771 $366
     WBA14,030-62,771$366
POOL CORP 915 -3,291 $365
     POOL915-3,291$365
INTERNATIONAL PAPER CO 10,040 -27,244 $363
     IP10,040-27,244$363
TEXTRON INC 4,465 -16,751 $359
     TXT4,465-16,751$359
SNAP ON INC 1,240 -4,424 $358
     SNA1,240-4,424$358
WESTERN DIGITAL CORP. 6,765 -27,606 $354
     WDC6,765-27,606$354
AMCOR PLC 36,623 -121,455 $353
     AMCR36,623-121,455$353
QUEST DIAGNOSTICS INC 2,556 -9,478 $352
     DGX2,556-9,478$352
HUNT J B TRANS SVCS INC 1,749 -6,996 $349
     JBHT1,749-6,996$349
VERISIGN INC 1,695 -7,916 $349
     VRSN1,695-7,916$349
CHEWY INC 14,731 +14,731 $348
     CHWY14,731+14,731$348
CF INDS HLDGS INC 4,359 -16,309 $347
     CF4,359-16,309$347
TYSON FOODS INC 6,456 -24,194 $347
     TSN6,456-24,194$347
MASCO CORP 5,131 -19,024 $344
     MAS5,131-19,024$344
PACKAGING CORP AMER 2,101 -7,560 $342
     PKG2,101-7,560$342
STANLEY BLACK & DECKER INC 3,491 -12,961 $342
     SWK3,491-12,961$342
INSULET CORP 1,555 -5,933 $337
     PODD1,555-5,933$337
BEST BUY INC 4,255 -16,653 $333
     BBY4,255-16,653$333
TAKE TWO INTERACTIVE SOFTWAR 2,049 -14,870 $330
     TTWO2,049-14,870$330
DOMINOS PIZZA INC 795 -2,965 $328
     DPZ795-2,965$328
ZEBRA TECHNOLOGIES CORPORATI 1,188 -4,349 $325
     ZBRA1,188-4,349$325
JABIL INC 2,520 +2,520 $321
     JBL2,520+2,520$321
CONAGRA BRANDS INC 10,857 -40,481 $311
     CAG10,857-40,481$311
REVVITY INC 2,839 -10,458 $310
     RVTY2,839-10,458$310
WEIBO CORP 28,103 UNCH $308
     WB28,103UNCH$308
SMUCKER J M CO 2,432 -8,505 $307
     SJM2,432-8,505$307
CERIDIAN HCM HLDG INC 4,496 -12,159 $302
     CDAY4,496-12,159$302
TRIMBLE INC 5,666 -20,783 $301
     TRMB5,666-20,783$301
BATH & BODY WORKS INC 6,898 -17,593 $298
     BBWI6,898-17,593$298
LAS VEGAS SANDS CORP 5,949 -29,203 $293
     LVS5,949-29,203$293
LKQ CORP 6,076 -22,583 $290
     LKQ6,076-22,583$290
CHARLES RIV LABS INTL INC 1,215 -4,264 $287
     CRL1,215-4,264$287
INTERPUBLIC GROUP COS INC 8,747 -32,487 $286
     IPG8,747-32,487$286
CELANESE CORP DEL 1,823 -8,869 $283
     CE1,823-8,869$283
MGM RESORTS INTERNATIONAL 6,341 -23,728 $283
     MGM6,341-23,728$283
HENRY JACK & ASSOC INC 1,706 -6,137 $279
     JKHY1,706-6,137$279
CARMAX INC 3,593 -13,313 $276
     KMX3,593-13,313$276
PENTAIR PLC 3,777 -13,876 $275
     PNR3,777-13,876$275
TELEFLEX INCORPORATED 1,097 -3,949 $274
     TFX1,097-3,949$274
MOSAIC CO NEW 7,579 -28,099 $271
     MOS7,579-28,099$271
BUNGE GLOBAL SA 2,669 -13,509 $269
     BG2,669-13,509$269
BIO TECHNE CORP 3,481 -13,366 $269
     TECH3,481-13,366$269
KELLANOVA 4,706 -36,131 $263
     K4,706-36,131$263
ALLEGION PLC 2,036 -7,412 $258
     ALLE2,036-7,412$258
GEN DIGITAL INC 11,156 -49,119 $255
     GEN11,156-49,119$255
VERALTO CORP 3,057 +3,057 $251
     VLTO3,057+3,057$251
QORVO INC 2,202 -8,286 $248
     QRVO2,202-8,286$248
EASTMAN CHEM CO 2,698 -10,123 $242
     EMN2,698-10,123$242
HUNTINGTON INGALLS INDS INC 931 -3,324 $242
     HII931-3,324$242
WESTROCK CO 5,805 -21,456 $241
     WRK5,805-21,456$241
F5 INC 1,340 -5,013 $240
     FFIV1,340-5,013$240
SMITH A O CORP 2,813 -10,567 $232
     AOS2,813-10,567$232
CAESARS ENTERTAINMENT INC NE 4,942 -18,067 $232
     CZR4,942-18,067$232
INCYTE CORP 3,686 -16,104 $231
     INCY3,686-16,104$231
ETSY INC 2,832 -10,420 $230
     ETSY2,832-10,420$230
HENRY SCHEIN INC 2,994 -11,079 $227
     HSIC2,994-11,079$227
C H ROBINSON WORLDWIDE INC 2,616 -9,893 $226
     CHRW2,616-9,893$226
MOLSON COORS BEVERAGE CO 3,698 -16,185 $226
     TAP3,698-16,185$226
ROLLINS INC 5,132 -24,945 $224
     ROL5,132-24,945$224
UNIVERSAL HLTH SVCS INC 1,460 -5,197 $223
     UHS1,460-5,197$223
LUFAX HOLDING LTD 70,125 -169,175 $215
     LU70,125-169,175$215
JUNIPER NETWORKS INC 7,273 -27,426 $214
     JNPR7,273-27,426$214
ROBERT HALF INC. 2,419 -9,179 $213
     RHI2,419-9,179$213
NEWS CORP NEW 8,592 -32,367 $211
     NWSA8,592-32,367$211
CAMPBELL SOUP CO 4,869 -16,205 $210
     CPB4,869-16,205$210
BORGWARNER INC 5,373 -19,661 $193
     BWA5,373-19,661$193
CATALENT INC 4,109 -15,126 $185
     CTLT4,109-15,126$185
FOX CORP 6,169 -21,005 $183
     FOXA6,169-21,005$183
FMC CORP 2,872 -10,594 $181
     FMC2,872-10,594$181
HORMEL FOODS CORP 5,175 -25,830 $166
     HRL5,175-25,830$166
HASBRO INC 2,784 -11,072 $142
     HAS2,784-11,072$142
V F CORP 7,529 -27,816 $142
     VFC7,529-27,816$142
OMNIAB INC      $138
     Call22,296+22,296$138
WYNN RESORTS LTD 1,454 -8,920 $132
     WYNN1,454-8,920$132
DAVITA INC 1,090 -4,776 $114
     DVA1,090-4,776$114
BIO RAD LABS INC 338 -1,899 $109
     BIO338-1,899$109
BROWN FORMAN CORP      $104
     BF.B1,820-17,759$104
PAYCOM SOFTWARE INC 498 -4,778 $103
     PAYC498-4,778$103
FOX CORP 1,792 -12,340 $50
     FOX1,792-12,340$50
BRIGHT HEALTH GROUP INC 2,647 UNCH $20
     BHG2,647UNCH$20
SEAGEN INC      $-13,724
     Put60,000+60,000$13,724
ISHARES TR (FXI)      $-36,045
     Put1,500,000-7,000,000$36,045
ISHARES TR (EEM) +1,000,000 $-40,210
     Put1,000,000UNCH$40,210
FIRST MAJESTIC SILVER CORP $0 (exited)
     AG0-619,920$0
ALAMOS GOLD INC NEW $0 (exited)
     AGI0-855,745$0
ARGENX SE $0 (exited)
     ARGX0-77,375$0
ALGOMA STL GROUP INC $0 (exited)
     ASTL0-210,337$0
ATS CORPORATION $0 (exited)
     ATS0-173,047$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-276,632$0
AMERICAN VANGUARD CORP $0 (exited)
     AVD0-33,676$0
AVID TECHNOLOGY INC $0 (exited)
     AVID0-41,911$0
AVANTAX INC $0 (exited)
     AVTA0-45,435$0
BLACKBERRY LTD $0 (exited)
     BB0-1,134,077$0
BROOKFIELD RENEWABLE PARTNER $0 (exited)
     BEP0-467,942$0
BALLARD PWR SYS INC NEW $0 (exited)
     BLDP0-542,101$0
BAYTEX ENERGY CORP $0 (exited)
     BTE0-1,490,241$0
B2GOLD CORP $0 (exited)
     BTG0-2,798,820$0
AVID BIOSERVICES INC $0 (exited)
     CDMO0-77,532$0
CENTERRA GOLD INC $0 (exited)
     CGAU0-468,889$0
COLLIERS INTL GROUP INC $0 (exited)
     CIGI0-84,209$0
CIRCOR INTL INC $0 (exited)
     CIR0-35,814$0
CLEARFIELD INC $0 (exited)
     CLFD0-16,025$0
CELESTICA INC $0 (exited)
     CLS0-243,104$0
CNH INDL N V $0 (exited)
     CNHI0-364,900$0
CRESCENT PT ENERGY CORP $0 (exited)
     CPG0-1,158,285$0
COMMUNITY HEALTH SYS INC NEW $0 (exited)
     CYH0-157,240$0
DENBURY INC $0 (exited)
     DEN0-324,000$0
DENISON MINES CORP $0 (exited)
     DNN0-1,679,528$0
BRP INC $0 (exited)
     DOOO0-77,125$0
DESCARTES SYS GROUP INC $0 (exited)
     DSGX0-183,659$0
EBIX INC $0 (exited)
     EBIX0-30,383$0
ELDORADO GOLD CORP NEW $0 (exited)
     EGO0-438,238$0
ENERPLUS CORP $0 (exited)
     ERF0-455,248$0
ERO COPPER CORP $0 (exited)
     ERO0-175,208$0
ENDEAVOUR SILVER CORP $0 (exited)
     EXK0-410,380$0
FIRST HORIZON CORPORATION $0 (exited)
     FHN0-65,877$0
FISERV INC $0 (exited)
     FISV0-65,300$0
COMFORT SYS USA INC $0 (exited)
     FIX0-44,211$0
FORTUNA SILVER MINES INC $0 (exited)
     FSM0-628,534$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-109,508$0
GFL ENVIRONMENTAL INC $0 (exited)
     GFL0-446,656$0
CANADA GOOSE HLDGS INC $0 (exited)
     GOOS0-113,436$0
GRANITE REAL ESTATE INVT TR $0 (exited)
     GRP.U0-137,721$0
HAWAIIAN HOLDINGS INC $0 (exited)
     HA0-63,816$0
HUDBAY MINERALS INC $0 (exited)
     HBM0-748,020$0
HEALTHCARE RLTY TR $0 (exited)
     HR0-36,762$0
ENVIRI CORP $0 (exited)
     HSC0-98,576$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-128,000$0
IAMGOLD CORP $0 (exited)
     IAG0-987,468$0
ISHARES TR $0 (exited)
     IJR0-86,402$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-74,402$0
ITEOS THERAPEUTICS INC $0 (exited)
     ITOS0-32,728$0
INVESCO MORTGAGE CAPITAL INC $0 (exited)
     IVR0-55,101$0
LITHIUM AMERS CORP NEW $0 (exited)
     LAC0-252,223$0
LIGHTSPEED COMMERCE INC $0 (exited)
     LSPD0-295,780$0
LIVENT CORP $0 (exited)
     LTHM0-222,125$0
MAG SILVER CORP $0 (exited)
     MAG0-200,173$0
METHANEX CORP $0 (exited)
     MEOH0-145,650$0
MINISO GROUP HLDG LTD $0 (exited)
     MNSO0-32,800$0
NOVAGOLD RES INC $0 (exited)
     NG0-526,993$0
NUVEI CORPORATION $0 (exited)
     NVEI0-135,202$0
NEXGEN ENERGY LTD $0 (exited)
     NXE0-891,741$0
NEXTGEN HEALTHCARE INC $0 (exited)
     NXGN0-67,095$0
ORTHOFIX MED INC $0 (exited)
     OFIX0-44,932$0
ONTO INNOVATION INC $0 (exited)
     ONTO0-60,645$0
OSISKO GOLD ROYALTIES LTD $0 (exited)
     OR0-399,966$0
ORLA MNG LTD NEW $0 (exited)
     ORLA0-453,633$0
ONESPAN INC $0 (exited)
     OSPN0-44,472$0
PAN AMERN SILVER CORP $0 (exited)
     PAAS0-787,385$0
PACWEST BANCORP DEL $0 (exited)
     PACW0-726,517$0
PRECISION DRILLING CORP $0 (exited)
     PDS0-29,202$0
PROTAGONIST THERAPEUTICS INC $0 (exited)
     PTGX0-49,000$0
EVEREST GROUP LTD $0 (exited)
     RE0-9,965$0
RAMBUS INC DEL $0 (exited)
     RMBS0-134,884$0
RPT REALTY $0 (exited)
     RPT0-98,664$0
SEABRIDGE GOLD INC $0 (exited)
     SA0-149,542$0
SANA BIOTECHNOLOGY INC $0 (exited)
     SANA0-1,635,514$0
SANDSTORM GOLD LTD $0 (exited)
     SAND0-531,072$0
SPROTT INC $0 (exited)
     SII0-44,451$0
SILVERCREST METALS INC $0 (exited)
     SILV0-315,505$0
SLEEP NUMBER CORP $0 (exited)
     SNBR0-26,083$0
SSR MINING IN $0 (exited)
     SSRM0-440,472$0
STANTEC INC $0 (exited)
     STN0-239,731$0
TRANSALTA CORP $0 (exited)
     TAC0-455,269$0
TRICON RESIDENTIAL INC $0 (exited)
     TCN0-559,934$0
TFI INTL INC $0 (exited)
     TFII0-174,262$0
TELUS INTL CDA INC $0 (exited)
     TIXT0-159,158$0
TILRAY BRANDS INC $0 (exited)
     TLRY0-1,519,415$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-714,213$0
ENERGY FUELS INC $0 (exited)
     UUUU0-341,903$0
VANGUARD SCOTTSDALE FDS $0 (exited)
     VCIT0-1,350,000$0
VERMILION ENERGY INC $0 (exited)
     VET0-354,964$0
VERITIV CORP $0 (exited)
     VRTV0-16,749$0
WEBSTER FINL CORP $0 (exited)
     WBS0-21,702$0
WEST FRASER TIMBER CO LTD $0 (exited)
     WFG0-129,979$0

See Summary: Public Sector Pension Investment Board Top Holdings
See Details: Top 10 Stocks Held By Public Sector Pension Investment Board

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