Holdings Channel



EntityShares/Amount
Change
Position Value
Change
ARM +228,200+$28,523
NVO +200,000+$25,680
SOFI +1,000,000+$7,300
IBB +50,000+$6,861
CPAY +19,784+$6,104
XBI +50,000+$4,744
PSTG +72,900+$3,790
AMH +78,100+$2,873
HIMS +180,000+$2,785
ELF +13,600+$2,666
EntityShares/Amount
Change
Position Value
Change
AGG -977,500-$97,017
TLT -200,000-$19,776
XLE -200,000-$16,768
FOUR -175,000-$13,010
PATH -260,949-$6,482
SNAP -359,370-$6,084
FLT -19,784-$5,591
BB -1,000,000-$3,540
TDOC -133,000-$2,866
ROVR -137,631-$1,497
EntityShares/Amount
Change
Position Value
Change
NEE +2,250,500+$145,610
IJH +1,545,348+$5,187
BMY +1,300,400+$72,343
MBB +1,025,000+$93,833
WMT +782,280+$9,000
PTON +480,000+$1,847
AMD +142,400+$51,198
VLUE +132,900+$16,708
MSFT +99,300+$148,493
SMCI +54,900+$64,015
EntityShares/Amount
Change
Position Value
Change
APO -500,658-$33,849
SFIX -350,000-$1,554
SPY -234,900+$38,404
GOOGL -224,100-$7,775
PANW -209,360-$62,665
AAPL -125,500-$114,891
PEP -99,800-$14,909
EXPE -75,600-$12,070
MTUM -75,200+$30,883
Size ($ in 1000's)
At 03/31/2024: $18,601,832
At 12/31/2023: $16,807,858

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

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

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
SPDR S P 500 ETF TR (SPY) 3,141,840 -234,900 $1,643,402
     SPY3,141,840-234,900$1,643,402
MICROSOFT CORP 2,487,727 +99,300 $1,046,637
     MSFT2,487,727+99,300$1,046,637
NVIDIA CORPORATION 905,506 +500 $818,179
     NVDA905,506+500$818,179
APPLE INC 4,310,125 -125,500 $739,100
     AAPL4,310,125-125,500$739,100
AMAZON COM INC 2,987,420 +14,800 $538,871
     AMZN2,987,420+14,800$538,871
META PLATFORMS INC 863,614 +40,100 $419,354
     META863,614+40,100$419,354
VERIZON COMMUNICATIONS INC 8,215,050 +900 $344,703
     VZ8,215,050+900$344,703
AT T INC 18,410,513 +1,500 $324,025
     T18,410,513+1,500$324,025
ALPHABET INC 2,093,380 -224,100 $315,954
     GOOGL2,093,380-224,100$315,954
ISHARES TR (MTUM) 1,401,240 -75,200 $262,522
     MTUM1,401,240-75,200$262,522
ISHARES TR (LQD) 2,172,400 UNCH $236,618
     LQD2,172,400UNCH$236,618
BROADCOM INC 174,466 +6,600 $231,239
     AVGO174,466+6,600$231,239
BERKSHIRE HATHAWAY INC DEL      $228,619
     BRK.B368,649+3,800$155,024
     BRK.A116UNCH$73,595
ELI LILLY CO 269,704 +30,200 $209,819
     LLY269,704+30,200$209,819
ALPHABET INC 1,376,060 -11,800 $209,519
     GOOG1,376,060-11,800$209,519
NEXTERA ENERGY INC 2,812,198 +2,250,500 $179,728
     NEE2,812,198+2,250,500$179,728
ADVANCED MICRO DEVICES INC 913,140 +142,400 $164,813
     AMD913,140+142,400$164,813
VISA INC 585,523 -3,100 $163,408
     V585,523-3,100$163,408
JPMORGAN CHASE CO 792,131 +600 $158,664
     JPM792,131+600$158,664
MASTERCARD INCORPORATED 325,981 -36,200 $156,983
     MA325,981-36,200$156,983
ISHARES TR (MBB) 1,565,800 +1,025,000 $144,711
     MBB1,565,800+1,025,000$144,711
TESLA INC 759,157 +2,000 $133,452
     TSLA759,157+2,000$133,452
UNITEDHEALTH GROUP INC 262,419 -49,800 $129,819
     UNH262,419-49,800$129,819
EXXON MOBIL CORP 1,088,074 -8,600 $126,478
     XOM1,088,074-8,600$126,478
ISHARES TR (IJH) 1,955,110 +1,545,348 $118,753
     IJH1,955,110+1,545,348$118,753
HOME DEPOT INC 302,684 -8,100 $116,110
     HD302,684-8,100$116,110
COSTCO WHSL CORP NEW 157,969 +30,400 $115,733
     COST157,969+30,400$115,733
ADOBE INC 223,623 -900 $112,840
     ADBE223,623-900$112,840
INTUIT 167,590 UNCH $108,934
     INTU167,590UNCH$108,934
JOHNSON JOHNSON 685,767 +500 $108,481
     JNJ685,767+500$108,481
PROCTER AND GAMBLE CO 644,737 -500 $104,609
     PG644,737-500$104,609
BRISTOL MYERS SQUIBB CO 1,924,733 +1,300,400 $104,378
     BMY1,924,733+1,300,400$104,378
DISNEY WALT CO 782,566 +31,600 $95,755
     DIS782,566+31,600$95,755
TRANSDIGM GROUP INC 76,192 UNCH $93,838
     TDG76,192UNCH$93,838
RITHM CAPITAL CORP 8,404,734 UNCH $93,797
     RITM8,404,734UNCH$93,797
NETFLIX INC 153,149 +18,700 $93,012
     NFLX153,149+18,700$93,012
MERCK CO INC 694,290 +500 $91,612
     MRK694,290+500$91,612
ABBVIE INC 499,908 +300 $91,033
     ABBV499,908+300$91,033
THERMO FISHER SCIENTIFIC INC 143,910 +100 $83,642
     TMO143,910+100$83,642
SALESFORCE INC 265,243 -1,100 $79,886
     CRM265,243-1,100$79,886
INTUITIVE SURGICAL INC 197,053 -19,800 $78,642
     ISRG197,053-19,800$78,642
BANK AMERICA CORP 1,982,612 +1,400 $75,181
     BAC1,982,612+1,400$75,181
CHEVRON CORP NEW 475,215 -5,400 $74,960
     CVX475,215-5,400$74,960
CROWDSTRIKE HLDGS INC 233,643 +643 $74,904
     CRWD233,643+643$74,904
APOLLO GLOBAL MGMT INC 665,000 -500,658 $74,779
     APO665,000-500,658$74,779
MSCI INC 126,102 UNCH $70,674
     MSCI126,102UNCH$70,674
WALMART INC 1,172,820 +782,280 $70,569
     WMT1,172,820+782,280$70,569
PEPSICO INC 394,922 -99,800 $69,115
     PEP394,922-99,800$69,115
CISCO SYS INC 1,384,166 +4,400 $69,084
     CSCO1,384,166+4,400$69,084
COCA COLA CO 1,120,048 +800 $68,525
     KO1,120,048+800$68,525
SUPER MICRO COMPUTER INC 66,700 +54,900 $67,369
     SMCI66,700+54,900$67,369
INTEL CORP 1,474,283 +4,200 $65,119
     INTC1,474,283+4,200$65,119
LINDE PLC 139,504 +100 $64,774
     LIN139,504+100$64,774
ACCENTURE PLC IRELAND 181,738 UNCH $62,992
     ACN181,738UNCH$62,992
WELLS FARGO CO NEW 1,062,549 -8,200 $61,585
     WFC1,062,549-8,200$61,585
CHIPOTLE MEXICAN GRILL INC 20,698 UNCH $60,164
     CMG20,698UNCH$60,164
ONEMAIN HLDGS INC 1,135,000 -75,000 $57,987
     OMF1,135,000-75,000$57,987
MCDONALDS CORP 198,715 +100 $56,028
     MCD198,715+100$56,028
APPLIED MATLS INC 271,355 -1,000 $55,962
     AMAT271,355-1,000$55,962
INTERNATIONAL BUSINESS MACHS 289,986 +700 $55,376
     IBM289,986+700$55,376
ORACLE CORP 436,832 +1,800 $54,870
     ORCL436,832+1,800$54,870
QUALCOMM INC 322,066 +1,000 $54,526
     QCOM322,066+1,000$54,526
ABBOTT LABS 475,657 +500 $54,063
     ABT475,657+500$54,063
GENERAL ELECTRIC CO 298,161 +200 $52,336
     GE298,161+200$52,336
CATERPILLAR INC 139,472 -200 $51,107
     CAT139,472-200$51,107
ISHARES TR (VLUE) 456,400 +132,900 $49,433
     VLUE456,400+132,900$49,433
PFIZER INC 1,778,484 +1,200 $49,353
     PFE1,778,484+1,200$49,353
COMCAST CORP NEW 1,085,689 -13,700 $47,065
     CMCSA1,085,689-13,700$47,065
CONOCOPHILLIPS 365,791 -2,300 $46,558
     COP365,791-2,300$46,558
TEXAS INSTRS INC 265,165 +500 $46,194
     TXN265,165+500$46,194
DANAHER CORPORATION 180,146 +100 $44,986
     DHR180,146+100$44,986
UBER TECHNOLOGIES INC 563,800 -2,317 $43,407
     UBER563,800-2,317$43,407
SERVICENOW INC 56,155 UNCH $42,813
     NOW56,155UNCH$42,813
AMGEN INC 146,597 +100 $41,680
     AMGN146,597+100$41,680
UNION PAC CORP 167,045 +100 $41,081
     UNP167,045+100$41,081
LOWES COS INC 157,570 -400 $40,138
     LOW157,570-400$40,138
GOLDMAN SACHS GROUP INC 95,673 +100 $39,962
     GS95,673+100$39,962
RTX CORPORATION 402,032 -30,200 $39,210
     RTX402,032-30,200$39,210
PHILIP MORRIS INTL INC 425,358 +300 $38,971
     PM425,358+300$38,971
ISHARES TR (QUAL) 234,950 +19,000 $38,614
     QUAL234,950+19,000$38,614
SELECT SECTOR SPDR TR (XLV) 255,788 +5,500 $37,788
     XLV255,788+5,500$37,788
S P GLOBAL INC 88,053 -700 $37,462
     SPGI88,053-700$37,462
CITIGROUP INC 589,536 -2,600 $37,282
     C589,536-2,600$37,282
LAM RESEARCH CORP 38,180 -200 $37,095
     LRCX38,180-200$37,095
HONEYWELL INTL INC 180,615 +100 $37,071
     HON180,615+100$37,071
NIKE INC 386,315 -1,600 $36,306
     NKE386,315-1,600$36,306
ELEVANCE HEALTH INC 69,351 UNCH $35,961
     ELV69,351UNCH$35,961
INTERCONTINENTAL EXCHANGE IN (ICE) 260,442 +200 $35,793
     ICE260,442+200$35,793
AMERICAN EXPRESS CO 156,677 -900 $35,674
     AXP156,677-900$35,674
MICRON TECHNOLOGY INC 302,442 +1,800 $35,655
     MU302,442+1,800$35,655
AMPHENOL CORP NEW 304,537 +500 $35,128
     APH304,537+500$35,128
PROLOGIS INC 267,218 +200 $34,797
     PLD267,218+200$34,797
BOOKING HOLDINGS INC 9,559 UNCH $34,679
     BKNG9,559UNCH$34,679
EATON CORP PLC 109,356 UNCH $34,193
     ETN109,356UNCH$34,193
BLACKROCK INC 40,771 UNCH $33,991
     BLK40,771UNCH$33,991
STRYKER CORPORATION 92,699 +100 $33,174
     SYK92,699+100$33,174
PROGRESSIVE CORP 160,388 +200 $33,171
     PGR160,388+200$33,171
TAIWAN SEMICONDUCTOR MFG LTD 242,600 -39,000 $33,006
     TSM242,600-39,000$33,006
MORGAN STANLEY 343,226 -2,800 $32,318
     MS343,226-2,800$32,318
THE CIGNA GROUP 88,941 UNCH $32,302
     CI88,941UNCH$32,302
CVS HEALTH CORP 399,177 -6,900 $31,838
     CVS399,177-6,900$31,838
MEDTRONIC PLC 364,298 UNCH $31,749
     MDT364,298UNCH$31,749
TJX COS INC NEW 312,282 -900 $31,672
     TJX312,282-900$31,672
AUTOMATIC DATA PROCESSING IN 126,603 UNCH $31,618
     ADP126,603UNCH$31,618
VERTEX PHARMACEUTICALS INC 73,123 +100 $30,566
     VRTX73,123+100$30,566
BOEING CO 157,096 -68,600 $30,318
     BA157,096-68,600$30,318
LOCKHEED MARTIN CORP 65,218 -1,500 $29,666
     LMT65,218-1,500$29,666
SCHWAB CHARLES CORP 407,766 +300 $29,498
     SCHW407,766+300$29,498
UNITED PARCEL SERVICE INC 198,214 +200 $29,461
     UPS198,214+200$29,461
MARSH MCLENNAN COS INC 142,875 -200 $29,429
     MMC142,875-200$29,429
DEERE CO 71,357 -2,000 $29,309
     DE71,357-2,000$29,309
ARISTA NETWORKS INC 100,589 +27,700 $29,169
     ANET100,589+27,700$29,169
SPOTIFY TECHNOLOGY S A 110,031 UNCH $29,037
     SPOT110,031UNCH$29,037
CHUBB LIMITED 111,087 -600 $28,786
     CB111,087-600$28,786
ARM HOLDINGS PLC 228,200 +228,200 $28,523
     ARM228,200+228,200$28,523
STARBUCKS CORP 310,259 -2,600 $28,355
     SBUX310,259-2,600$28,355
REGENERON PHARMACEUTICALS 28,921 -400 $27,836
     REGN28,921-400$27,836
KLA CORP 39,568 -100 $27,641
     KLAC39,568-100$27,641
BOSTON SCIENTIFIC CORP 401,408 +500 $27,492
     BSX401,408+500$27,492
GILEAD SCIENCES INC 369,043 +300 $27,032
     GILD369,043+300$27,032
ANALOG DEVICES INC 135,855 -600 $26,871
     ADI135,855-600$26,871
FISERV INC 164,434 +100 $26,280
     FI164,434+100$26,280
EDWARDS LIFESCIENCES CORP 272,951 +100 $26,083
     EW272,951+100$26,083
BLACKSTONE INC 197,100 +2,600 $25,893
     BX197,100+2,600$25,893
MONDELEZ INTL INC 368,970 -3,500 $25,828
     MDLZ368,970-3,500$25,828
NOVO NORDISK A S 200,000 +200,000 $25,680
     NVO200,000+200,000$25,680
COPART INC 436,208 +200 $25,265
     CPRT436,208+200$25,265
AMERICAN TOWER CORP NEW 127,684 +100 $25,229
     AMT127,684+100$25,229
PALO ALTO NETWORKS INC 86,400 -209,360 $24,549
     PANW86,400-209,360$24,549
CADENCE DESIGN SYSTEM INC 78,523 UNCH $24,443
     CDNS78,523UNCH$24,443
SYNOPSYS INC 41,827 +200 $23,904
     SNPS41,827+200$23,904
ALTRIA GROUP INC 540,410 -1,100 $23,573
     MO540,410-1,100$23,573
ICON PLC 69,670 UNCH $23,406
     ICLR69,670UNCH$23,406
T MOBILE US INC 143,041 +3,700 $23,347
     TMUS143,041+3,700$23,347
SHERWIN WILLIAMS CO 64,556 +100 $22,422
     SHW64,556+100$22,422
TARGET CORP 126,522 +100 $22,421
     TGT126,522+100$22,421
IDEXX LABS INC 41,455 UNCH $22,383
     IDXX41,455UNCH$22,383
GENERAL MTRS CO 489,208 -58,700 $22,186
     GM489,208-58,700$22,186
ZOETIS INC 130,464 +100 $22,076
     ZTS130,464+100$22,076
ILLINOIS TOOL WKS INC 81,336 -500 $21,825
     ITW81,336-500$21,825
SCHLUMBERGER LTD 391,138 +100 $21,438
     SLB391,138+100$21,438
SOUTHERN CO 298,823 +200 $21,438
     SO298,823+200$21,438
WASTE MGMT INC DEL 100,388 UNCH $21,398
     WM100,388UNCH$21,398
CME GROUP INC 98,644 +100 $21,237
     CME98,644+100$21,237
EQUINIX INC 25,717 UNCH $21,225
     EQIX25,717UNCH$21,225
FEDEX CORP 72,167 -300 $20,910
     FDX72,167-300$20,910
NXP SEMICONDUCTORS N V 82,868 UNCH $20,532
     NXPI82,868UNCH$20,532
DUKE ENERGY CORP NEW 211,236 +200 $20,429
     DUK211,236+200$20,429
EOG RES INC 159,752 +100 $20,423
     EOG159,752+100$20,423
BLOCK INC 241,246 UNCH $20,405
     SQ241,246UNCH$20,405
COLGATE PALMOLIVE CO 225,629 +200 $20,318
     CL225,629+200$20,318
MARATHON PETE CORP 100,810 -3,100 $20,313
     MPC100,810-3,100$20,313
CSX CORP 541,484 +500 $20,073
     CSX541,484+500$20,073
US BANCORP DEL 443,682 +300 $19,833
     USB443,682+300$19,833
AIRBNB INC 119,300 +300 $19,680
     ABNB119,300+300$19,680
PAYPAL HLDGS INC 293,692 -1,500 $19,674
     PYPL293,692-1,500$19,674
BECTON DICKINSON CO 79,188 -200 $19,595
     BDX79,188-200$19,595
PACCAR INC 157,966 +100 $19,570
     PCAR157,966+100$19,570
PARKER HANNIFIN CORP 35,196 UNCH $19,562
     PH35,196UNCH$19,562
FORD MTR CO DEL 1,454,179 -7,200 $19,311
     F1,454,179-7,200$19,311
PHILLIPS 66 117,812 -2,600 $19,243
     PSX117,812-2,600$19,243
D R HORTON INC 116,899 -700 $19,236
     DHI116,899-700$19,236
FASTENAL CO 247,478 -23,200 $19,090
     FAST247,478-23,200$19,090
TRANE TECHNOLOGIES PLC 62,313 -200 $18,706
     TT62,313-200$18,706
NORTHROP GRUMMAN CORP 38,618 -200 $18,485
     NOC38,618-200$18,485
FREEPORT MCMORAN INC 392,933 +300 $18,476
     FCX392,933+300$18,476
AON PLC 54,858 UNCH $18,307
     AON54,858UNCH$18,307
OREILLY AUTOMOTIVE INC 16,163 UNCH $18,246
     ORLY16,163UNCH$18,246
VALERO ENERGY CORP 106,162 +100 $18,121
     VLO106,162+100$18,121
HCA HEALTHCARE INC 54,309 +100 $18,114
     HCA54,309+100$18,114
3M CO 169,505 +200 $17,979
     MMM169,505+200$17,979
EMERSON ELEC CO 156,620 +500 $17,764
     EMR156,620+500$17,764
PNC FINL SVCS GROUP INC 109,056 UNCH $17,623
     PNC109,056UNCH$17,623
GENERAL DYNAMICS CORP 62,212 +200 $17,574
     GD62,212+200$17,574
CINTAS CORP 25,343 -100 $17,411
     CTAS25,343-100$17,411
MARRIOTT INTL INC NEW 67,636 +100 $17,065
     MAR67,636+100$17,065
CAPITAL ONE FINL CORP 114,056 UNCH $16,982
     COF114,056UNCH$16,982
OLD DOMINION FREIGHT LINE IN 77,388 +38,694 $16,972
     ODFL77,388+38,694$16,972
MOODYS CORP 43,106 UNCH $16,942
     MCO43,106UNCH$16,942
PIONEER NAT RES CO 63,977 +100 $16,794
     PXD63,977+100$16,794
MERCADOLIBRE INC 11,000 UNCH $16,632
     MELI11,000UNCH$16,632
AMERICAN INTL GROUP INC 210,467 +100 $16,452
     AIG210,467+100$16,452
CELSIUS HLDGS INC 198,400 -17,200 $16,451
     CELH198,400-17,200$16,451
ROPER TECHNOLOGIES INC 29,311 +100 $16,439
     ROP29,311+100$16,439
CONSTELLATION ENERGY CORP 87,467 UNCH $16,168
     CEG87,467UNCH$16,168
MOTOROLA SOLUTIONS INC 45,508 +100 $16,154
     MSI45,508+100$16,154
ECOLAB INC 69,540 +100 $16,057
     ECL69,540+100$16,057
SIMON PPTY GROUP INC NEW 101,649 UNCH $15,907
     SPG101,649UNCH$15,907
NORFOLK SOUTHN CORP 61,890 UNCH $15,774
     NSC61,890UNCH$15,774
LENNAR CORP 91,015 UNCH $15,653
     LEN91,015UNCH$15,653
AIR PRODS CHEMS INC 64,021 +100 $15,510
     APD64,021+100$15,510
AUTODESK INC 59,423 +100 $15,475
     ADSK59,423+100$15,475
FACTSET RESH SYS INC 33,835 UNCH $15,374
     FDS33,835UNCH$15,374
TRUIST FINL CORP 394,343 +300 $15,371
     TFC394,343+300$15,371
UNITED RENTALS INC 21,054 -200 $15,182
     URI21,054-200$15,182
GALLAGER ARTHUR J CO 59,387 +300 $14,849
     AJG59,387+300$14,849
AUTOZONE INC 4,706 -100 $14,832
     AZO4,706-100$14,832
HILTON WORLDWIDE HLDGS INC 69,123 -1,100 $14,745
     HLT69,123-1,100$14,745
LULULEMON ATHLETICA INC 37,708 UNCH $14,731
     LULU37,708UNCH$14,731
DEXCOM INC 105,600 -200 $14,647
     DXCM105,600-200$14,647
NUCOR CORP 73,910 +100 $14,627
     NUE73,910+100$14,627
SEMPRA 201,620 +100 $14,482
     SRE201,620+100$14,482
TRAVELERS COMPANIES INC 62,553 UNCH $14,396
     TRV62,553UNCH$14,396
MICROCHIP TECHNOLOGY INC 159,618 -100 $14,319
     MCHP159,618-100$14,319
TE CONNECTIVITY LTD 98,123 -400 $14,251
     TEL98,123-400$14,251
WELLTOWER INC 151,609 +100 $14,166
     WELL151,609+100$14,166
PUBLIC STORAGE 48,021 UNCH $13,929
     PSA48,021UNCH$13,929
ALIBABA GROUP HLDG LTD 189,250 UNCH $13,694
     BABA189,250UNCH$13,694
GRAINGER W W INC 13,317 UNCH $13,547
     GWW13,317UNCH$13,547
ROSS STORES INC 92,256 -500 $13,539
     ROST92,256-500$13,539
METLIFE INC 181,956 -2,000 $13,485
     MET181,956-2,000$13,485
JOHNSON CTLS INTL PLC 204,642 +500 $13,367
     JCI204,642+500$13,367
CARRIER GLOBAL CORPORATION 228,925 -800 $13,307
     CARR228,925-800$13,307
AFLAC INC 154,507 -1,400 $13,266
     AFL154,507-1,400$13,266
FORTINET INC 193,970 +200 $13,250
     FTNT193,970+200$13,250
CENTENE CORP DEL 165,527 +200 $12,991
     CNC165,527+200$12,991
WILLIAMS COS INC 333,321 +300 $12,990
     WMB333,321+300$12,990
FIDELITY NATL INFORMATION SV 174,625 +100 $12,954
     FIS174,625+100$12,954
AMERIPRISE FINL INC 29,478 -200 $12,924
     AMP29,478-200$12,924
BANK NEW YORK MELLON CORP 223,855 -2,500 $12,899
     BK223,855-2,500$12,899
ONEOK INC NEW 159,581 +100 $12,794
     OKE159,581+100$12,794
IQVIA HLDGS INC 49,994 -100 $12,643
     IQV49,994-100$12,643
MONSTER BEVERAGE CORP NEW 213,216 +200 $12,639
     MNST213,216+200$12,639
PRUDENTIAL FINL INC 107,455 +100 $12,615
     PRU107,455+100$12,615
CROWN CASTLE INC 118,852 UNCH $12,578
     CCI118,852UNCH$12,578
ALLSTATE CORP 71,889 +200 $12,438
     ALL71,889+200$12,438
AMERICAN ELEC PWR CO INC 144,058 +100 $12,403
     AEP144,058+100$12,403
SHOPIFY INC 160,000 UNCH $12,347
     SHOP160,000UNCH$12,347
REALTY INCOME CORP 227,848 +29,700 $12,327
     O227,848+29,700$12,327
L3HARRIS TECHNOLOGIES INC 57,130 UNCH $12,174
     LHX57,130UNCH$12,174
COGNIZANT TECHNOLOGY SOLUTIO 165,523 -800 $12,131
     CTSH165,523-800$12,131
AGILENT TECHNOLOGIES INC 83,181 +200 $12,104
     A83,181+200$12,104
CUMMINS INC 41,037 -1,500 $12,092
     CMI41,037-1,500$12,092
KROGER CO 210,887 +200 $12,048
     KR210,887+200$12,048
CONSTELLATION BRANDS INC 44,058 -200 $11,973
     STZ44,058-200$11,973
DOMINION ENERGY INC 243,067 +200 $11,956
     D243,067+200$11,956
DIGITAL RLTY TR INC 82,981 +100 $11,953
     DLR82,981+100$11,953
KIMBERLY CLARK CORP 92,316 -200 $11,941
     KMB92,316-200$11,941
DOW INC 204,211 +400 $11,830
     DOW204,211+400$11,830
PALANTIR TECHNOLOGIES INC 513,000 UNCH $11,804
     PLTR513,000UNCH$11,804
PAYCHEX INC 96,077 -300 $11,798
     PAYX96,077-300$11,798
OCCIDENTAL PETE CORP 180,339 -400 $11,720
     OXY180,339-400$11,720
DIAMONDBACK ENERGY INC 58,663 +100 $11,625
     FANG58,663+100$11,625
HUMANA INC 33,525 -200 $11,624
     HUM33,525-200$11,624
AMETEK INC 63,253 +100 $11,569
     AME63,253+100$11,569
GLOBAL PMTS INC 86,378 UNCH $11,545
     GPN86,378UNCH$11,545
COSTAR GROUP INC 119,500 +100 $11,544
     CSGP119,500+100$11,544
HESS CORP 75,441 -200 $11,515
     HES75,441-200$11,515
NEWMONT CORP 315,745 +200 $11,316
     NEM315,745+200$11,316
CORTEVA INC 192,310 -600 $11,091
     CTVA192,310-600$11,091
ARCHER DANIELS MIDLAND CO 176,541 +100 $11,089
     ADM176,541+100$11,089
SYSCO CORP 136,417 -1,600 $11,074
     SYY136,417-1,600$11,074
OTIS WORLDWIDE CORP 111,107 -900 $11,030
     OTIS111,107-900$11,030
GENERAL MLS INC 155,602 -3,500 $10,887
     GIS155,602-3,500$10,887
PG E CORP 646,260 +500 $10,831
     PCG646,260+500$10,831
PULTE GROUP INC 89,269 -900 $10,768
     PHM89,269-900$10,768
PUBLIC SVC ENTERPRISE GRP IN 161,066 +100 $10,756
     PEG161,066+100$10,756
REPUBLIC SVCS INC 55,987 UNCH $10,718
     RSG55,987UNCH$10,718
YUM BRANDS INC 77,014 +300 $10,678
     YUM77,014+300$10,678
KENVUE INC 492,439 +400 $10,568
     KVUE492,439+400$10,568
GE HEALTHCARE TECHNOLOGIES I 115,953 +8,800 $10,541
     GEHC115,953+8,800$10,541
INGERSOLL RAND INC 110,923 +100 $10,532
     IR110,923+100$10,532
MARTIN MARIETTA MATLS INC 16,937 UNCH $10,398
     MLM16,937UNCH$10,398
QUANTA SVCS INC 39,848 +100 $10,353
     PWR39,848+100$10,353
ON SEMICONDUCTOR CORP 139,736 -800 $10,278
     ON139,736-800$10,278
EXELON CORP 272,703 +200 $10,245
     EXC272,703+200$10,245
GARTNER INC 21,347 UNCH $10,175
     IT21,347UNCH$10,175
VERISK ANALYTICS INC 43,156 +100 $10,173
     VRSK43,156+100$10,173
KRAFT HEINZ CO 271,339 +100 $10,012
     KHC271,339+100$10,012
CBRE GROUP INC 102,260 -2,000 $9,944
     CBRE102,260-2,000$9,944
VULCAN MATLS CO 36,376 UNCH $9,928
     VMC36,376UNCH$9,928
DEVON ENERGY CORP NEW 197,491 +200 $9,910
     DVN197,491+200$9,910
LAUDER ESTEE COS INC 63,838 +200 $9,841
     EL63,838+200$9,841
KINDER MORGAN INC DEL 529,845 +400 $9,717
     KMI529,845+400$9,717
MODERNA INC 90,841 UNCH $9,680
     MRNA90,841UNCH$9,680
HALLIBURTON CO 243,922 -1,100 $9,615
     HAL243,922-1,100$9,615
ARCH CAP GROUP LTD 101,700 -500 $9,401
     ACGL101,700-500$9,401
CDW CORP 36,745 +100 $9,399
     CDW36,745+100$9,399
DOLLAR GEN CORP NEW 60,154 +100 $9,388
     DG60,154+100$9,388
PPG INDS INC 64,643 +100 $9,367
     PPG64,643+100$9,367
CONSOLIDATED EDISON INC 102,842 UNCH $9,339
     ED102,842UNCH$9,339
MONOLITHIC PWR SYS INC 13,770 UNCH $9,328
     MPWR13,770UNCH$9,328
ELECTRONIC ARTS INC 69,554 -400 $9,228
     EA69,554-400$9,228
HP INC 304,262 +800 $9,195
     HPQ304,262+800$9,195
BAKER HUGHES COMPANY 274,212 -1,300 $9,186
     BKR274,212-1,300$9,186
ROCKWELL AUTOMATION INC 31,413 UNCH $9,152
     ROK31,413UNCH$9,152
DUPONT DE NEMOURS INC 117,894 +200 $9,039
     DD117,894+200$9,039
EQUIFAX INC 33,778 UNCH $9,036
     EFX33,778UNCH$9,036
TRACTOR SUPPLY CO 34,467 UNCH $9,021
     TSCO34,467UNCH$9,021
DISCOVER FINL SVCS 68,501 UNCH $8,980
     DFS68,501UNCH$8,980
ROYAL CARIBBEAN GROUP 64,601 +100 $8,980
     RCL64,601+100$8,980
HARTFORD FINL SVCS GROUP INC 86,641 -600 $8,928
     HIG86,641-600$8,928
WEYERHAEUSER CO MTN BE 246,229 +100 $8,842
     WY246,229+100$8,842
DELTA AIR LINES INC DEL 184,303 -700 $8,823
     DAL184,303-700$8,823
HEWLETT PACKARD ENTERPRISE C 495,581 +5,000 $8,787
     HPE495,581+5,000$8,787
KEURIG DR PEPPER INC 285,400 +9,800 $8,753
     KDP285,400+9,800$8,753
CORNING INC 262,459 +200 $8,651
     GLW262,459+200$8,651
BIOGEN INC 39,703 UNCH $8,561
     BIIB39,703UNCH$8,561
XYLEM INC 66,075 +100 $8,540
     XYL66,075+100$8,540
EXTRA SPACE STORAGE INC 57,879 UNCH $8,508
     EXR57,879UNCH$8,508
FAIR ISAAC CORP 6,800 UNCH $8,497
     FICO6,800UNCH$8,497
NVR INC 1,046 UNCH $8,473
     NVR1,046UNCH$8,473
VICI PPTYS INC 283,500 +300 $8,445
     VICI283,500+300$8,445
HERSHEY CO 43,334 UNCH $8,428
     HSY43,334UNCH$8,428
BUILDERS FIRSTSOURCE INC 40,000 UNCH $8,342
     BLDR40,000UNCH$8,342
ULTA BEAUTY INC 15,953 -100 $8,342
     ULTA15,953-100$8,342
WEST PHARMACEUTICAL SVSC INC 21,056 UNCH $8,332
     WST21,056UNCH$8,332
ANSYS INC 23,811 UNCH $8,266
     ANSS23,811UNCH$8,266
FORTIVE CORP 96,060 -200 $8,263
     FTV96,060-200$8,263
RESMED INC 41,711 UNCH $8,260
     RMD41,711UNCH$8,260
XCEL ENERGY INC 151,194 +100 $8,127
     XEL151,194+100$8,127
STRATASYS LTD 697,503 UNCH $8,105
     SSYS697,503UNCH$8,105
PRICE T ROWE GROUP INC 65,313 +100 $7,963
     TROW65,313+100$7,963
CHARTER COMMUNICATIONS INC N 27,097 -400 $7,875
     CHTR27,097-400$7,875
WABTEC 53,916 +100 $7,854
     WAB53,916+100$7,854
METTLER TOLEDO INTERNATIONAL 5,896 UNCH $7,849
     MTD5,896UNCH$7,849
KEYSIGHT TECHNOLOGIES INC 50,031 -800 $7,824
     KEYS50,031-800$7,824
DECKERS OUTDOOR CORP 8,300 +784 $7,812
     DECK8,300+784$7,812
ZOOM VIDEO COMMUNICATIONS IN 118,266 UNCH $7,731
     ZM118,266UNCH$7,731
LYONDELLBASELL INDUSTRIES N 75,565 UNCH $7,729
     LYB75,565UNCH$7,729
WILLIS TOWERS WATSON PLC LTD 28,092 -200 $7,725
     WTW28,092-200$7,725
AVALONBAY CMNTYS INC 41,111 UNCH $7,629
     AVB41,111UNCH$7,629
ZIMMER BIOMET HOLDINGS INC 57,215 UNCH $7,551
     ZBH57,215UNCH$7,551
DOLLAR TREE INC 56,669 -600 $7,545
     DLTR56,669-600$7,545
EBAY INC 142,228 +100 $7,507
     EBAY142,228+100$7,507
COTERRA ENERGY INC 267,959 +100 $7,471
     CTRA267,959+100$7,471
EDISON INTL 105,112 +200 $7,435
     EIX105,112+200$7,435
FIFTH THIRD BANCORP 199,216 +200 $7,413
     FITB199,216+200$7,413
HOWMET AEROSPACE INC 107,145 +100 $7,332
     HWM107,145+100$7,332
SOFI TECHNOLOGIES INC 1,000,000 +1,000,000 $7,300
     SOFI1,000,000+1,000,000$7,300
NETAPP INC 69,529 -700 $7,298
     NTAP69,529-700$7,298
GARMIN LTD 48,397 UNCH $7,205
     GRMN48,397UNCH$7,205
M T BK CORP 48,901 +100 $7,112
     MTB48,901+100$7,112
WEC ENERGY GROUP INC 86,384 UNCH $7,094
     WEC86,384UNCH$7,094
STEEL DYNAMICS INC 47,760 +100 $7,079
     STLD47,760+100$7,079
EXACT SCIENCES CORP 102,204 UNCH $7,058
     EXAS102,204UNCH$7,058
CHURCH DWIGHT CO INC 67,551 +100 $7,046
     CHD67,551+100$7,046
STATE STR CORP 88,928 -1,800 $6,876
     STT88,928-1,800$6,876
ISHARES TR (IBB) 50,000 +50,000 $6,861
     IBB50,000+50,000$6,861
TARGA RES CORP 61,100 +100 $6,843
     TRGP61,100+100$6,843
MOLINA HEALTHCARE INC 16,532 UNCH $6,792
     MOH16,532UNCH$6,792
DOVER CORP 38,323 UNCH $6,790
     DOV38,323UNCH$6,790
WARNER BROS DISCOVERY INC 758,925 +500 $6,625
     WBD758,925+500$6,625
RAYMOND JAMES FINL INC 51,544 +100 $6,619
     RJF51,544+100$6,619
BROADRIDGE FINL SOLUTIONS IN 32,260 +100 $6,609
     BR32,260+100$6,609
NASDAQ INC 103,990 +10,800 $6,562
     NDAQ103,990+10,800$6,562
AMERICAN WTR WKS CO INC NEW 53,397 +100 $6,526
     AWK53,397+100$6,526
TAKE TWO INTERACTIVE SOFTWAR 43,492 +200 $6,458
     TTWO43,492+200$6,458
IRON MTN INC DEL 80,046 +100 $6,420
     IRM80,046+100$6,420
SBA COMMUNICATIONS CORP NEW 29,542 UNCH $6,402
     SBAC29,542UNCH$6,402
ALIGN TECHNOLOGY INC 19,500 UNCH $6,394
     ALGN19,500UNCH$6,394
DTE ENERGY CO 56,577 +100 $6,345
     DTE56,577+100$6,345
EQUITY RESIDENTIAL 99,625 -100 $6,287
     EQR99,625-100$6,287
PPL CORP 225,248 +200 $6,201
     PPL225,248+200$6,201
PTC INC 32,754 +200 $6,189
     PTC32,754+200$6,189
ENTERGY CORP NEW 57,902 UNCH $6,119
     ETR57,902UNCH$6,119
CORPAY INC 19,784 +19,784 $6,104
     CPAY19,784+19,784$6,104
EVERSOURCE ENERGY 102,133 +100 $6,104
     ES102,133+100$6,104
HUBBELL INC 14,700 UNCH $6,101
     HUBB14,700UNCH$6,101
APTIV PLC 76,449 -1,000 $6,089
     APTV76,449-1,000$6,089
STERIS PLC 27,048 UNCH $6,081
     STE27,048UNCH$6,081
WESTERN DIGITAL CORP 88,857 +100 $6,064
     WDC88,857+100$6,064
AXON ENTERPRISE INC 19,300 UNCH $6,039
     AXON19,300UNCH$6,039
INTERNATIONAL FLAVORS FRAGRA 69,915 UNCH $6,012
     IFF69,915UNCH$6,012
BEST BUY INC 73,003 -500 $5,988
     BBY73,003-500$5,988
ILLUMINA INC 43,530 +100 $5,978
     ILMN43,530+100$5,978
SKYWORKS SOLUTIONS INC 55,183 +300 $5,977
     SWKS55,183+300$5,977
GENUINE PARTS CO 38,429 UNCH $5,954
     GPC38,429UNCH$5,954
BAXTER INTL INC 139,128 +200 $5,946
     BAX139,128+200$5,946
DUTCH BROS INC 180,000 UNCH $5,940
     BROS180,000UNCH$5,940
EXPEDIA GROUP INC 42,364 -75,600 $5,836
     EXPE42,364-75,600$5,836
BALL CORP 86,401 +100 $5,820
     BALL86,401+100$5,820
WATERS CORP 16,897 UNCH $5,816
     WAT16,897UNCH$5,816
HUNTINGTON BANCSHARES INC (HBAN) 416,050 +400 $5,804
     HBAN416,050+400$5,804
TEXTRON INC 60,471 +100 $5,801
     TXT60,471+100$5,801
ATMOS ENERGY CORP 48,710 +700 $5,790
     ATO48,710+700$5,790
REGIONS FINANCIAL CORP NEW 273,139 -1,500 $5,747
     RF273,139-1,500$5,747
VISTRA CORP 82,500 +1,900 $5,746
     VST82,500+1,900$5,746
SIMULATIONS PLUS INC 139,500 UNCH $5,740
     SLP139,500UNCH$5,740
TYSON FOODS INC 96,728 +400 $5,681
     TSN96,728+400$5,681
BROWN BROWN INC 64,751 +100 $5,668
     BRO64,751+100$5,668
MARATHON OIL CORP 198,505 +100 $5,626
     MRO198,505+100$5,626
INVITATION HOMES INC 157,600 +100 $5,612
     INVH157,600+100$5,612
LABORATORY CORP AMER HLDGS 25,587 UNCH $5,590
     LH25,587UNCH$5,590
TELEDYNE TECHNOLOGIES INC 12,969 +100 $5,568
     TDY12,969+100$5,568
ALEXANDRIA REAL ESTATE EQ IN 43,118 +300 $5,558
     ARE43,118+300$5,558
COOPER COS INC 54,444 +40,908 $5,524
     COO54,444+40,908$5,524
OMNICOM GROUP INC 56,584 UNCH $5,475
     OMC56,584UNCH$5,475
DARDEN RESTAURANTS INC 32,712 -200 $5,468
     DRI32,712-200$5,468
FIRSTENERGY CORP 141,544 +200 $5,466
     FE141,544+200$5,466
WALGREENS BOOTS ALLIANCE INC 251,100 -200 $5,446
     WBA251,100-200$5,446
FIRST SOLAR INC 32,000 UNCH $5,402
     FSLR32,000UNCH$5,402
EQT CORP 144,100 +100 $5,342
     EQT144,100+100$5,342
CINCINNATI FINL CORP 43,006 UNCH $5,340
     CINF43,006UNCH$5,340
LEIDOS HOLDINGS INC 40,692 +100 $5,334
     LDOS40,692+100$5,334
AMEREN CORP 72,087 +100 $5,332
     AEE72,087+100$5,332
VERALTO CORP 60,048 UNCH $5,324
     VLTO60,048UNCH$5,324
CBOE GLOBAL MKTS INC 28,903 UNCH $5,310
     CBOE28,903UNCH$5,310
MCCORMICK CO INC 68,910 +100 $5,293
     MKC68,910+100$5,293
JACOBS SOLUTIONS INC 34,399 -100 $5,288
     J34,399-100$5,288
TWIST BIOSCIENCE CORP 153,172 UNCH $5,255
     TWST153,172UNCH$5,255
EXPEDITORS INTL WASH INC 43,108 UNCH $5,241
     EXPD43,108UNCH$5,241
LAS VEGAS SANDS CORP 101,201 +100 $5,232
     LVS101,201+100$5,232
SYNCHRONY FINANCIAL 120,940 -1,900 $5,215
     SYF120,940-1,900$5,215
CLOROX CO DEL 34,051 +100 $5,214
     CLX34,051+100$5,214
PRINCIPAL FINANCIAL GROUP IN 60,080 UNCH $5,186
     PFG60,080UNCH$5,186
CITIZENS FINL GROUP INC 142,873 +100 $5,185
     CFG142,873+100$5,185
JABIL INC 38,000 -100 $5,090
     JBL38,000-100$5,090
EVEREST GROUP LTD 12,711 UNCH $5,053
     EG12,711UNCH$5,053
IDEX CORP 20,680 UNCH $5,046
     IEX20,680UNCH$5,046
SOUTHWEST AIRLS CO 172,003 +300 $5,021
     LUV172,003+300$5,021
HOLOGIC INC 64,265 -2,800 $5,010
     HOLX64,265-2,800$5,010
POOL CORP 12,389 UNCH $4,999
     POOL12,389UNCH$4,999
NORTHERN TR CORP 56,213 -500 $4,998
     NTRS56,213-500$4,998
WILLIAMS SONOMA INC 15,720 +300 $4,992
     WSM15,720+300$4,992
RELIANCE INC 14,897 +300 $4,978
     RS14,897+300$4,978
SEAGATE TECHNOLOGY HLDNGS PL 53,405 +100 $4,969
     STX53,405+100$4,969
TERADYNE INC 43,935 +100 $4,957
     TER43,935+100$4,957
CF INDS HLDGS INC 59,554 UNCH $4,955
     CF59,554UNCH$4,955
AVERY DENNISON CORP 22,087 UNCH $4,931
     AVY22,087UNCH$4,931
CENTERPOINT ENERGY INC 172,947 +100 $4,927
     CNP172,947+100$4,927
BERKLEY W R CORP 55,546 -200 $4,912
     WRB55,546-200$4,912
TYLER TECHNOLOGIES INC 11,537 UNCH $4,903
     TYL11,537UNCH$4,903
PACKAGING CORP AMER 25,663 -200 $4,870
     PKG25,663-200$4,870
CMS ENERGY CORP 80,699 +800 $4,869
     CMS80,699+800$4,869
NRG ENERGY INC 71,748 +100 $4,857
     NRG71,748+100$4,857
VENTAS INC 110,205 UNCH $4,798
     VTR110,205UNCH$4,798
VIATRIS INC 400,120 +200 $4,777
     VTRS400,120+200$4,777
DOMINOS PIZZA INC 9,580 UNCH $4,760
     DPZ9,580UNCH$4,760
MASCO CORP 60,217 -1,200 $4,750
     MAS60,217-1,200$4,750
SPDR SER TR (XBI) 50,000 +50,000 $4,744
     XBI50,000+50,000$4,744
CELANESE CORP DEL 27,452 UNCH $4,718
     CE27,452UNCH$4,718
LKQ CORP 88,083 +100 $4,705
     LKQ88,083+100$4,705
CARLISLE COS INC 11,972 +300 $4,691
     CSL11,972+300$4,691
SNAP ON INC 15,822 UNCH $4,687
     SNA15,822UNCH$4,687
ALBEMARLE CORP 35,507 UNCH $4,678
     ALB35,507UNCH$4,678
VERISIGN INC 24,179 -100 $4,582
     VRSN24,179-100$4,582
LENNOX INTL INC 9,244 +200 $4,518
     LII9,244+200$4,518
CARNIVAL CORP 276,044 +200 $4,511
     CCL276,044+200$4,511
ENPHASE ENERGY INC 37,215 -200 $4,502
     ENPH37,215-200$4,502
OWENS CORNING NEW 26,988 +500 $4,502
     OC26,988+500$4,502
AKAMAI TECHNOLOGIES INC 41,289 UNCH $4,491
     AKAM41,289UNCH$4,491
CONAGRA BRANDS INC 151,001 +200 $4,476
     CAG151,001+200$4,476
HUNT J B TRANS SVCS INC 22,295 UNCH $4,442
     JBHT22,295UNCH$4,442
MID AMER APT CMNTYS INC 33,599 +100 $4,421
     MAA33,599+100$4,421
LAMB WESTON HLDGS INC 41,332 -100 $4,403
     LW41,332-100$4,403
QUEST DIAGNOSTICS INC 33,017 -400 $4,395
     DGX33,017-400$4,395
TRIMBLE INC 68,123 UNCH $4,384
     TRMB68,123UNCH$4,384
EPAM SYS INC 15,827 UNCH $4,371
     EPAM15,827UNCH$4,371
KEYCORP 274,328 +300 $4,337
     KEY274,328+300$4,337
MOLSON COORS BEVERAGE CO 64,070 UNCH $4,309
     TAP64,070UNCH$4,309
UNITED AIRLS HLDGS INC 89,828 UNCH $4,301
     UAL89,828UNCH$4,301
ESSEX PPTY TR INC 17,560 UNCH $4,299
     ESS17,560UNCH$4,299
ZEBRA TECHNOLOGIES CORPORATI 14,091 UNCH $4,248
     ZBRA14,091UNCH$4,248
SMUCKER J M CO 33,461 UNCH $4,212
     SJM33,461UNCH$4,212
LOEWS CORP 53,752 -200 $4,208
     L53,752-200$4,208
GRACO INC 44,464 +1,000 $4,156
     GGG44,464+1,000$4,156
OVINTIV INC 79,800 +1,200 $4,142
     OVV79,800+1,200$4,142
KELLANOVA 72,221 UNCH $4,138
     K72,221UNCH$4,138
LIVE NATION ENTERTAINMENT IN 38,911 +100 $4,116
     LYV38,911+100$4,116
STANLEY BLACK DECKER INC 42,031 +100 $4,116
     SWK42,031+100$4,116
GODADDY INC 34,600 +800 $4,106
     GDDY34,600+800$4,106
BUNGE GLOBAL SA 39,800 UNCH $4,080
     BG39,800UNCH$4,080
NORDSON CORP 14,851 UNCH $4,077
     NDSN14,851UNCH$4,077
EMCOR GROUP INC 11,548 +300 $4,044
     EME11,548+300$4,044
MANHATTAN ASSOCIATES INC 16,131 +400 $4,036
     MANH16,131+400$4,036
GEN DIGITAL INC 179,275 -800 $4,016
     GEN179,275-800$4,016
HOST HOTELS RESORTS INC 193,329 +200 $3,998
     HST193,329+200$3,998
INTERNATIONAL PAPER CO 100,548 +100 $3,923
     IP100,548+100$3,923
JUNIPER NETWORKS INC 105,624 +900 $3,914
     JNPR105,624+900$3,914
APA CORPORATION 113,473 +14,900 $3,901
     APA113,473+14,900$3,901
PENTAIR PLC 45,264 UNCH $3,867
     PNR45,264UNCH$3,867
WESTROCK CO 77,264 +200 $3,821
     WRK77,264+200$3,821
ROLLINS INC 82,358 UNCH $3,811
     ROL82,358UNCH$3,811
EVERGY INC 71,281 +100 $3,805
     EVRG71,281+100$3,805
CHARLES RIV LABS INTL INC 14,030 UNCH $3,801
     CRL14,030UNCH$3,801
SAIA INC 6,486 +100 $3,794
     SAIA6,486+100$3,794
PURE STORAGE INC 72,900 +72,900 $3,790
     PSTG72,900+72,900$3,790
CARMAX INC 43,248 -200 $3,767
     KMX43,248-200$3,767
AMCOR PLC 395,976 +300 $3,766
     AMCR395,976+300$3,766
RPM INTL INC 31,618 +700 $3,761
     RPM31,618+700$3,761
QORVO INC 32,419 -200 $3,723
     QRVO32,419-200$3,723
HENRY JACK ASSOC INC 21,316 UNCH $3,703
     JKHY21,316UNCH$3,703
DICKS SPORTING GOODS INC 16,370 -500 $3,681
     DKS16,370-500$3,681
BURLINGTON STORES INC 15,700 +100 $3,645
     BURL15,700+100$3,645
F5 INC 19,188 -200 $3,638
     FFIV19,188-200$3,638
HEALTHPEAK PROPERTIES INC 193,993 +44,200 $3,637
     PEAK193,993+44,200$3,637
LINCOLN ELEC HLDGS INC 14,089 +400 $3,599
     LECO14,089+400$3,599
KIMCO RLTY CORP 182,533 +12,800 $3,579
     KIM182,533+12,800$3,579
WATSCO INC 8,283 -400 $3,578
     WSO8,283-400$3,578
FIDELITY NATIONAL FINANCIAL FNF GROUP 67,200 +1,500 $3,568
     FNF67,200+1,500$3,568
INTERPUBLIC GROUP COS INC 109,292 +100 $3,566
     IPG109,292+100$3,566
REVVITY INC 33,838 +100 $3,553
     RVTY33,838+100$3,553
MGM RESORTS INTERNATIONAL 74,844 UNCH $3,533
     MGM74,844UNCH$3,533
ALLIANT ENERGY CORP 69,959 +100 $3,526
     LNT69,959+100$3,526
XPO INC 28,542 +700 $3,483
     XPO28,542+700$3,483
HUNTINGTON INGALLS INDS INC 11,890 -100 $3,466
     HII11,890-100$3,466
TOPBUILD CORP 7,757 +100 $3,419
     BLD7,757+100$3,419
UNIVERSAL HLTH SVCS INC 18,674 UNCH $3,407
     UHS18,674UNCH$3,407
EASTMAN CHEM CO 33,968 -300 $3,404
     EMN33,968-300$3,404
FLOOR DECOR HLDGS INC 26,200 +600 $3,396
     FND26,200+600$3,396
NEUROCRINE BIOSCIENCES INC 24,481 +900 $3,376
     NBIX24,481+900$3,376
TOLL BROTHERS INC 25,626 -200 $3,315
     TOL25,626-200$3,315
AES CORP 183,495 +200 $3,290
     AES183,495+200$3,290
MOSAIC CO NEW 101,076 UNCH $3,281
     MOS101,076UNCH$3,281
AECOM 33,376 +100 $3,274
     ACM33,376+100$3,274
INSULET CORP 19,100 UNCH $3,274
     PODD19,100UNCH$3,274
ALLEGION PLC 24,028 UNCH $3,237
     ALLE24,028UNCH$3,237
EQUITABLE HLDGS INC 84,486 +800 $3,211
     EQH84,486+800$3,211
CLEVELAND CLIFFS INC NEW 138,027 +1,200 $3,139
     CLF138,027+1,200$3,139
NISOURCE INC 113,269 +100 $3,133
     NI113,269+100$3,133
REINSURANCE GRP OF AMERICA I 16,152 +300 $3,115
     RGA16,152+300$3,115
UDR INC 82,945 +100 $3,103
     UDR82,945+100$3,103
BATH BODY WORKS INC 61,871 -400 $3,095
     BBWI61,871-400$3,095
NVENT ELECTRIC PLC 40,706 +900 $3,069
     NVT40,706+900$3,069
GREAT AJAX CORP 805,165 UNCH $3,060
     AJX805,165UNCH$3,060
HF SINCLAIR CORP 50,600 +700 $3,055
     DINO50,600+700$3,055
RENAISSANCERE HLDGS LTD 12,965 +400 $3,047
     RNR12,965+400$3,047
ALLY FINL INC 74,964 +1,600 $3,043
     ALLY74,964+1,600$3,043
WP CAREY INC 53,700 +1,200 $3,031
     WPC53,700+1,200$3,031
BIO TECHNE CORP 43,044 -300 $3,030
     TECH43,044-300$3,030
GAMING LEISURE PPTYS INC 65,600 +1,500 $3,022
     GLPI65,600+1,500$3,022
SMITH A O CORP 33,633 UNCH $3,009
     AOS33,633UNCH$3,009
US FOODS HLDG CORP 55,500 +1,200 $2,995
     USFD55,500+1,200$2,995
TAPESTRY INC 62,799 +100 $2,982
     TPR62,799+100$2,982
SHOCKWAVE MED INC 9,100 +200 $2,963
     SWAV9,100+200$2,963
EQUITY LIFESTYLE PPTYS INC 45,800 +1,100 $2,950
     ELS45,800+1,100$2,950
FORTUNE BRANDS INNOVATIONS I 34,842 +700 $2,950
     FBIN34,842+700$2,950
INTERACTIVE BROKERS GROUP IN 26,279 +600 $2,936
     IBKR26,279+600$2,936
REGAL REXNORD CORPORATION 16,301 +400 $2,936
     RRX16,301+400$2,936
TELEFLEX INCORPORATED 12,917 +100 $2,921
     TFX12,917+100$2,921
CASEYS GEN STORES INC 9,121 +200 $2,905
     CASY9,121+200$2,905
INCYTE CORP 50,959 UNCH $2,903
     INCY50,959UNCH$2,903
ADVANCED DRAIN SYS INC DEL 16,800 +400 $2,894
     WMS16,800+400$2,894
BORGWARNER INC 83,182 -1,400 $2,890
     BWA83,182-1,400$2,890
CAMDEN PPTY TR 29,300 +100 $2,883
     CPT29,300+100$2,883
AMERICAN HOMES 4 RENT 78,100 +78,100 $2,873
     AMH78,100+78,100$2,873
CHESAPEAKE ENERGY CORP 32,200 +600 $2,860
     CHK32,200+600$2,860
KINSALE CAP GROUP INC 5,445 +200 $2,857
     KNSL5,445+200$2,857
PERFORMANCE FOOD GROUP CO 38,203 +900 $2,851
     PFGC38,203+900$2,851
DAYFORCE INC 42,810 +100 $2,834
     CDAY42,810+100$2,834
UNITED THERAPEUTICS CORP DEL 12,232 +300 $2,810
     UTHR12,232+300$2,810
CATALENT INC 49,483 +100 $2,793
     CTLT49,483+100$2,793
HIMS HERS HEALTH INC 180,000 +180,000 $2,785
     HIMS180,000+180,000$2,785
HORMEL FOODS CORP 79,375 +100 $2,769
     HRL79,375+100$2,769
COMFORT SYS USA INC 8,700 +100 $2,764
     FIX8,700+100$2,764
AMERICAN AIRLS GROUP INC 179,305 +400 $2,752
     AAL179,305+400$2,752
EAST WEST BANCORP INC 34,622 +800 $2,739
     EWBC34,622+800$2,739
ITT INC 20,129 +400 $2,738
     ITT20,129+400$2,738
DYNATRACE INC 58,900 +1,700 $2,735
     DT58,900+1,700$2,735
GLOBE LIFE INC 23,436 UNCH $2,727
     GL23,436UNCH$2,727
NEWS CORP NEW 104,154 UNCH $2,727
     NWSA104,154UNCH$2,727
REGENCY CTRS CORP 45,004 UNCH $2,725
     REG45,004UNCH$2,725
MATCH GROUP INC NEW 74,453 UNCH $2,701
     MTCH74,453UNCH$2,701
ANNALY CAPITAL MANAGEMENT IN 137,031 +2,800 $2,698
     NLY137,031+2,800$2,698
SERVICE CORP INTL 36,262 +800 $2,691
     SCI36,262+800$2,691
HENRY SCHEIN INC 35,588 -200 $2,688
     HSIC35,588-200$2,688
ASSURANT INC 14,267 -100 $2,686
     AIZ14,267-100$2,686
E L F BEAUTY INC 13,600 +13,600 $2,666
     ELF13,600+13,600$2,666
LEAR CORP 18,393 +100 $2,665
     LEA18,393+100$2,665
WYNN RESORTS LTD 26,072 -200 $2,665
     WYNN26,072-200$2,665
WINGSTOP INC 7,272 +200 $2,664
     WING7,272+200$2,664
TREX CO INC 26,622 +600 $2,656
     TREX26,622+600$2,656
LATTICE SEMICONDUCTOR CORP 33,862 +700 $2,649
     LSCC33,862+700$2,649
KNIGHT SWIFT TRANSN HLDGS IN 47,731 +900 $2,626
     KNX47,731+900$2,626
ERIE INDTY CO 6,532 +100 $2,623
     ERIE6,532+100$2,623
PAYCOM SOFTWARE INC 13,173 -300 $2,622
     PAYC13,173-300$2,622
TENET HEALTHCARE CORP 24,893 +500 $2,617
     THC24,893+500$2,617
REXFORD INDL RLTY INC 51,782 +1,100 $2,605
     REXR51,782+1,100$2,605
CAESARS ENTERTAINMENT INC NE 59,097 UNCH $2,585
     CZR59,097UNCH$2,585
BOSTON PROPERTIES INC 39,557 UNCH $2,583
     BXP39,557UNCH$2,583
LAMAR ADVERTISING CO NEW 21,538 +500 $2,572
     LAMR21,538+500$2,572
FOX CORP 82,012 -2,100 $2,565
     FOXA82,012-2,100$2,565
BROWN FORMAN CORP      $2,559
     BF.B49,581-500$2,559
PELOTON INTERACTIVE INC 596,477 +480,000 $2,556
     PTON596,477+480,000$2,556
TEXAS ROADHOUSE INC 16,378 +400 $2,530
     TXRH16,378+400$2,530
CARLYLE GROUP INC 53,200 +1,300 $2,496
     CG53,200+1,300$2,496
CUBESMART 55,200 +1,300 $2,496
     CUBE55,200+1,300$2,496
WEX INC 10,475 +200 $2,488
     WEX10,475+200$2,488
CLEAN HARBORS INC 12,307 +200 $2,478
     CLH12,307+200$2,478
BJS WHSL CLUB HLDGS INC 32,715 +600 $2,475
     BJ32,715+600$2,475
FRANKLIN RESOURCES INC 87,595 +5,100 $2,462
     BEN87,595+5,100$2,462
FIVE BELOW INC 13,522 +200 $2,453
     FIVE13,522+200$2,453
NORWEGIAN CRUISE LINE HLDG L 116,579 +100 $2,440
     NCLH116,579+100$2,440
C H ROBINSON WORLDWIDE INC 31,992 +100 $2,436
     CHRW31,992+100$2,436
TETRA TECH INC NEW 13,108 +300 $2,421
     TTEK13,108+300$2,421
ROBERT HALF INC 30,492 -500 $2,417
     RHI30,492-500$2,417
MARKETAXESS HLDGS INC 11,021 UNCH $2,416
     MKTX11,021UNCH$2,416
TEMPUR SEALY INTL INC 42,338 +1,000 $2,406
     TPX42,338+1,000$2,406
CORE MAIN INC 41,900 +9,100 $2,399
     CNM41,900+9,100$2,399
CAMPBELL SOUP CO 53,901 +100 $2,396
     CPB53,901+100$2,396
CURTISS WRIGHT CORP 9,361 +200 $2,396
     CW9,361+200$2,396
UNUM GROUP 44,600 +600 $2,393
     UNM44,600+600$2,393
CHEMED CORP NEW 3,709 +100 $2,381
     CHE3,709+100$2,381
TORO CO 25,632 +700 $2,349
     TTC25,632+700$2,349
REPLIGEN CORP 12,753 +300 $2,346
     RGEN12,753+300$2,346
AMERICAN FINL GROUP INC OHIO 17,110 +300 $2,335
     AFG17,110+300$2,335
APTARGROUP INC 16,210 +400 $2,332
     ATR16,210+400$2,332
CROWN HLDGS INC 29,400 +500 $2,330
     CCK29,400+500$2,330
PINNACLE WEST CAP CORP 31,061 UNCH $2,321
     PNW31,061UNCH$2,321
BWX TECHNOLOGIES INC 22,500 +600 $2,309
     BWXT22,500+600$2,309
MEDPACE HLDGS INC 5,699 +100 $2,303
     MEDP5,699+100$2,303
EAGLE MATLS INC 8,429 +100 $2,291
     EXP8,429+100$2,291
ESSENTIAL UTILS INC 61,771 +1,500 $2,289
     WTRG61,771+1,500$2,289
JONES LANG LASALLE INC 11,711 +300 $2,285
     JLL11,711+300$2,285
WOODWARD INC 14,810 +300 $2,283
     WWD14,810+300$2,283
FMC CORP 35,758 UNCH $2,278
     FMC35,758UNCH$2,278
ETSY INC 32,843 +100 $2,257
     ETSY32,843+100$2,257
LIGHT WONDER INC 22,099 +500 $2,256
     LNW22,099+500$2,256
UNITED STATES STL CORP NEW 54,899 +1,400 $2,239
     X54,899+1,400$2,239
DONALDSON INC 29,458 +500 $2,200
     DCI29,458+500$2,200
DAVITA INC 15,939 UNCH $2,200
     DVA15,939UNCH$2,200
GRAPHIC PACKAGING HLDG CO 75,200 +1,800 $2,194
     GPK75,200+1,800$2,194
ONTO INNOVATION INC 12,100 +300 $2,191
     ONTO12,100+300$2,191
AUTOLIV INC 18,100 +100 $2,180
     ALV18,100+100$2,180
PRIMERICA INC 8,619 +200 $2,180
     PRI8,619+200$2,180
SIMPSON MFG INC 10,527 +300 $2,160
     SSD10,527+300$2,160
DELL TECHNOLOGIES INC 18,896 +4,138 $2,156
     DELL18,896+4,138$2,156
WEBSTER FINL CORP 42,244 +1,000 $2,145
     WBS42,244+1,000$2,145
BRUKER CORP 22,793 +500 $2,141
     BRKR22,793+500$2,141
JAZZ PHARMACEUTICALS PLC 17,764 +400 $2,139
     JAZZ17,764+400$2,139
CROCS INC 14,838 +300 $2,134
     CROX14,838+300$2,134
PENUMBRA INC 9,514 +300 $2,123
     PEN9,514+300$2,123
GENERAC HLDGS INC 16,816 UNCH $2,121
     GNRC16,816UNCH$2,121
FIRST HORIZON CORPORATION 137,256 +3,200 $2,114
     FHN137,256+3,200$2,114
MIDDLEBY CORP 13,120 +300 $2,110
     MIDD13,120+300$2,110
PARAMOUNT GLOBAL 179,148 +100 $2,109
     PARA179,148+100$2,109
EASTGROUP PPTYS INC 11,727 +600 $2,108
     EGP11,727+600$2,108
KBR INC 33,111 +700 $2,108
     KBR33,111+700$2,108
ARAMARK 64,500 +1,900 $2,098
     ARMK64,500+1,900$2,098
CACI INTL INC 5,521 +200 $2,092
     CACI5,521+200$2,092
VAIL RESORTS INC 9,300 +200 $2,072
     MTN9,300+200$2,072
GENTEX CORP 57,240 +1,300 $2,068
     GNTX57,240+1,300$2,068
CHURCHILL DOWNS INC 16,680 +400 $2,064
     CHDN16,680+400$2,064
FEDERAL RLTY INVT TR NEW 20,162 UNCH $2,059
     FRT20,162UNCH$2,059
MKS INSTRS INC 15,440 +400 $2,054
     MKSI15,440+400$2,054
WEATHERFORD INTL PLC 17,800 +500 $2,054
     WFRD17,800+500$2,054
PVH CORPORATION 14,600 +100 $2,053
     PVH14,600+100$2,053
SOUTHWESTERN ENERGY CO 270,500 +6,200 $2,050
     SWN270,500+6,200$2,050
INVESCO LTD 123,198 +100 $2,044
     IVZ123,198+100$2,044
LITHIA MTRS INC 6,787 +200 $2,042
     LAD6,787+200$2,042
RANGE RES CORP 59,286 +1,400 $2,041
     RRC59,286+1,400$2,041
ENCOMPASS HEALTH CORP 24,645 +600 $2,035
     EHC24,645+600$2,035
EDITAS MEDICINE INC 273,721 UNCH $2,031
     EDIT273,721UNCH$2,031
HASBRO INC 35,712 UNCH $2,018
     HAS35,712UNCH$2,018
ACUITY BRANDS INC 7,494 +100 $2,014
     AYI7,494+100$2,014
ANTERO RESOURCES CORP 69,400 +1,600 $2,013
     AR69,400+1,600$2,013
SKECHERS U S A INC 32,844 +800 $2,012
     SKX32,844+800$2,012
OSHKOSH CORP 16,108 +400 $2,009
     OSK16,108+400$2,009
RALPH LAUREN CORP 10,680 -200 $2,005
     RL10,680-200$2,005
DARLING INGREDIENTS INC 43,074 +900 $2,003
     DAR43,074+900$2,003
PERMIAN RESOURCES CORP 112,700 +22,300 $1,990
     PR112,700+22,300$1,990
BIO RAD LABS INC 5,750 UNCH $1,989
     BIO5,750UNCH$1,989
COMERICA INC 36,170 +100 $1,989
     CMA36,170+100$1,989
MORNINGSTAR INC 6,400 +200 $1,974
     MORN6,400+200$1,974
OLD REP INTL CORP 64,078 +1,500 $1,968
     ORI64,078+1,500$1,968
ROYAL GOLD INC 16,148 +400 $1,967
     RGLD16,148+400$1,967
COHERENT CORP 32,406 +800 $1,964
     COHR32,406+800$1,964
STIFEL FINL CORP 25,087 +600 $1,961
     SF25,087+600$1,961
MURPHY USA INC 4,624 UNCH $1,938
     MUSA4,624UNCH$1,938
DENTSPLY SIRONA INC 58,060 +100 $1,927
     XRAY58,060+100$1,927
RBC BEARINGS INC 7,100 +100 $1,919
     RBC7,100+100$1,919
NNN REIT INC 44,784 +1,000 $1,914
     NNN44,784+1,000$1,914
SEI INVTS CO 26,624 +500 $1,914
     SEIC26,624+500$1,914
OMEGA HEALTHCARE INVS INC 60,263 +1,500 $1,909
     OHI60,263+1,500$1,909
BELLRING BRANDS INC 32,145 +600 $1,898
     BRBR32,145+600$1,898
MOHAWK INDS INC 14,445 UNCH $1,891
     MHK14,445UNCH$1,891
NOV INC 96,777 +2,300 $1,889
     NOV96,777+2,300$1,889
ASPEN TECHNOLOGY INC 8,807 +200 $1,878
     AZPN8,807+200$1,878
AGCO CORP 15,258 +300 $1,877
     AGCO15,258+300$1,877
APPLIED INDL TECHNOLOGIES IN 9,500 +9,500 $1,877
     AIT9,500+9,500$1,877
VOYA FINANCIAL INC 25,316 +300 $1,871
     VOYA25,316+300$1,871
UFP INDUSTRIES INC 15,200 +400 $1,870
     UFPI15,200+400$1,870
INGREDION INC 15,988 +300 $1,868
     INGR15,988+300$1,868
AXALTA COATING SYS LTD 54,000 +1,200 $1,857
     AXTA54,000+1,200$1,857
WESCO INTL INC 10,800 +300 $1,850
     WCC10,800+300$1,850
JEFFERIES FINL GROUP INC 41,616 +1,200 $1,835
     JEF41,616+1,200$1,835
PAYLOCITY HLDG CORP 10,672 +300 $1,834
     PCTY10,672+300$1,834
MATADOR RES CO 27,200 +600 $1,816
     MTDR27,200+600$1,816
UNIVERSAL DISPLAY CORP 10,705 +300 $1,803
     OLED10,705+300$1,803
CHORD ENERGY CORPORATION 10,100 +200 $1,800
     CHRD10,100+200$1,800
ACADIA HEALTHCARE COMPANY IN 22,630 +500 $1,793
     ACHC22,630+500$1,793
COGNEX CORP 42,253 +1,000 $1,792
     CGNX42,253+1,000$1,792
FTI CONSULTING INC 8,504 UNCH $1,788
     FCN8,504UNCH$1,788
CULLEN FROST BANKERS INC 15,764 +400 $1,775
     CFR15,764+400$1,775
FLUOR CORP NEW 41,797 +900 $1,767
     FLR41,797+900$1,767
EXELIXIS INC 74,416 -200 $1,766
     EXEL74,416-200$1,766
CIENA CORP 35,596 +100 $1,760
     CIEN35,596+100$1,760
MSA SAFETY INC 9,055 +200 $1,753
     MSA9,055+200$1,753
HYATT HOTELS CORP 10,900 +300 $1,740
     H10,900+300$1,740
NEW YORK TIMES CO 40,216 +1,000 $1,738
     NYT40,216+1,000$1,738
BRIXMOR PPTY GROUP INC 73,807 +1,700 $1,731
     BRX73,807+1,700$1,731
BERRY GLOBAL GROUP INC 28,500 +200 $1,724
     BERY28,500+200$1,724
VONTIER CORPORATION 37,915 +900 $1,720
     VNT37,915+900$1,720
MATTEL INC 86,733 +2,000 $1,718
     MAT86,733+2,000$1,718
HEALTHEQUITY INC 21,022 +500 $1,716
     HQY21,022+500$1,716
STAG INDL INC 44,600 +1,000 $1,714
     STAG44,600+1,000$1,714
LANDSTAR SYS INC 8,870 +200 $1,710
     LSTR8,870+200$1,710
ARROW ELECTRS INC 13,175 +200 $1,706
     ARW13,175+200$1,706
FIRST INDL RLTY TR INC 32,468 +700 $1,706
     FR32,468+700$1,706
CHART INDS INC 10,300 +200 $1,697
     GTLS10,300+200$1,697
CYTOKINETICS INC 24,100 +24,100 $1,690
     CYTK24,100+24,100$1,690
OGE ENERGY CORP 49,214 +1,200 $1,688
     OGE49,214+1,200$1,688
CHAMPIONX CORPORATION 46,895 +200 $1,683
     CHX46,895+200$1,683
BLOCK H R INC 34,268 -300 $1,683
     HRB34,268-300$1,683
COMMERCIAL METALS CO 28,537 +500 $1,677
     CMC28,537+500$1,677
SCIENCE APPLICATIONS INTL CO 12,755 +100 $1,663
     SAIC12,755+100$1,663
HOULIHAN LOKEY INC 12,800 +400 $1,641
     HLI12,800+400$1,641
TAYLOR MORRISON HOME CORP 26,395 +600 $1,641
     TMHC26,395+600$1,641
EVERCORE INC 8,505 +200 $1,638
     EVR8,505+200$1,638
RAMBUS INC DEL 26,400 +600 $1,632
     RMBS26,400+600$1,632
MURPHY OIL CORP 35,647 +400 $1,629
     MUR35,647+400$1,629
BRUNSWICK CORP 16,870 +400 $1,628
     BC16,870+400$1,628
SELECTIVE INS GROUP INC 14,881 +300 $1,625
     SIGI14,881+300$1,625
CRANE COMPANY 11,972 +300 $1,618
     CR11,972+300$1,618
WHIRLPOOL CORP 13,500 -1,485 $1,615
     WHR13,500-1,485$1,615
PINNACLE FINL PARTNERS INC 18,727 +300 $1,608
     PNFP18,727+300$1,608
SPROUTS FMRS MKT INC 24,896 +500 $1,605
     SFM24,896+500$1,605
CIVITAS RESOURCES INC 21,100 +600 $1,602
     CIVI21,100+600$1,602
MASIMO CORP 10,896 +200 $1,600
     MASI10,896+200$1,600
SOUTHSTATE CORPORATION 18,700 +500 $1,590
     SSB18,700+500$1,590
TD SYNNEX CORPORATION 14,021 +1,700 $1,586
     SNX14,021+1,700$1,586
ZIONS BANCORPORATION N A 36,400 -4,117 $1,580
     ZION36,400-4,117$1,580
WINTRUST FINL CORP 15,063 +400 $1,572
     WTFC15,063+400$1,572
GXO LOGISTICS INCORPORATED 29,227 +700 $1,571
     GXO29,227+700$1,571
WYNDHAM HOTELS RESORTS INC 20,353 +400 $1,562
     WH20,353+400$1,562
ESSENT GROUP LTD 26,133 +500 $1,555
     ESNT26,133+500$1,555
FIRST AMERN FINL CORP 25,364 +600 $1,548
     FAF25,364+600$1,548
COMMERCE BANCSHARES INC (CBSH) 29,081 +600 $1,547
     CBSH29,081+600$1,547
THOR INDS INC 13,118 +300 $1,539
     THO13,118+300$1,539
NOVANTA INC 8,800 +200 $1,538
     NOVT8,800+200$1,538
ESAB CORPORATION 13,902 +300 $1,537
     ESAB13,902+300$1,537
PBF ENERGY INC 26,700 +600 $1,537
     PBF26,700+600$1,537
DROPBOX INC 62,900 +1,400 $1,528
     DBX62,900+1,400$1,528
GLOBUS MED INC 28,361 +700 $1,521
     GMED28,361+700$1,521
QUALYS INC 9,076 +300 $1,515
     QLYS9,076+300$1,515
PROSPERITY BANCSHARES INC (PB) 22,997 +500 $1,513
     PB22,997+500$1,513
HEXCEL CORP NEW 20,697 +500 $1,508
     HXL20,697+500$1,508
MGIC INVT CORP WIS 66,917 +400 $1,496
     MTG66,917+400$1,496
LITTELFUSE INC 6,153 +200 $1,491
     LFUS6,153+200$1,491
STARWOOD PPTY TR INC 73,100 +1,700 $1,486
     STWD73,100+1,700$1,486
ALCOA CORP 43,875 +1,100 $1,483
     AA43,875+1,100$1,483
FLOWSERVE CORP 32,268 +800 $1,474
     FLS32,268+800$1,474
DT MIDSTREAM INC 23,855 +600 $1,458
     DTM23,855+600$1,458
OPTION CARE HEALTH INC 43,459 +1,000 $1,458
     OPCH43,459+1,000$1,458
RLI CORP 9,816 +200 $1,457
     RLI9,816+200$1,457
GAP INC 52,830 +1,400 $1,455
     GPS52,830+1,400$1,455
SYNOVUS FINL CORP 35,904 +800 $1,438
     SNV35,904+800$1,438
WATTS WATER TECHNOLOGIES INC 6,695 +100 $1,423
     WTS6,695+100$1,423
VALVOLINE INC 31,815 -1,500 $1,418
     VVV31,815-1,500$1,418
AGREE RLTY CORP 24,600 +500 $1,405
     ADC24,600+500$1,405
AFFILIATED MANAGERS GROUP IN 8,319 +200 $1,393
     AMG8,319+200$1,393
TIMKEN CO 15,923 +400 $1,392
     TKR15,923+400$1,392
SONOCO PRODS CO 24,051 +500 $1,391
     SON24,051+500$1,391
V F CORP 90,546 UNCH $1,389
     VFC90,546UNCH$1,389
KIRBY CORP 14,559 +400 $1,388
     KEX14,559+400$1,388
MASTEC INC 14,839 +300 $1,384
     MTZ14,839+300$1,384
SENSATA TECHNOLOGIES HLDG PL 37,200 +900 $1,367
     ST37,200+900$1,367
HARLEY DAVIDSON INC 31,161 +800 $1,363
     HOG31,161+800$1,363
NEXSTAR MEDIA GROUP INC 7,900 +200 $1,361
     NXST7,900+200$1,361
MACYS INC 67,270 +1,600 $1,345
     M67,270+1,600$1,345
WESTLAKE CORPORATION 8,800 +200 $1,345
     WLK8,800+200$1,345
GENPACT LIMITED 40,584 +500 $1,337
     G40,584+500$1,337
FRONTIER COMMUNICATIONS PARE 54,300 +1,200 $1,330
     FYBR54,300+1,200$1,330
EQUITRANS MIDSTREAM CORP 106,402 +2,500 $1,329
     ETRN106,402+2,500$1,329
HEALTHCARE RLTY TR 93,553 +2,200 $1,324
     HR93,553+2,200$1,324
LOUISIANA PAC CORP 15,758 +400 $1,322
     LPX15,758+400$1,322
HALOZYME THERAPEUTICS INC 32,438 +700 $1,320
     HALO32,438+700$1,320
PLANET FITNESS INC 21,000 +500 $1,315
     PLNT21,000+500$1,315
RYDER SYS INC 10,930 +300 $1,314
     R10,930+300$1,314
POST HLDGS INC 12,347 +200 $1,312
     POST12,347+200$1,312
POLARIS INC 13,079 +300 $1,309
     PII13,079+300$1,309
CADENCE BANK 44,810 +1,000 $1,299
     CADE44,810+1,000$1,299
CAPRI HOLDINGS LIMITED 28,665 +800 $1,299
     CPRI28,665+800$1,299
RH 3,715 UNCH $1,294
     RH3,715UNCH$1,294
MACOM TECH SOLUTIONS HLDGS I 13,500 +500 $1,291
     MTSI13,500+500$1,291
FOX CORP 45,031 +100 $1,289
     FOX45,031+100$1,289
EXLSERVICE HOLDINGS INC 40,500 +900 $1,288
     EXLS40,500+900$1,288
KB HOME 18,038 -300 $1,279
     KBH18,038-300$1,279
TKO GROUP HOLDINGS INC 14,710 +300 $1,271
     TKO14,710+300$1,271
UGI CORP NEW 51,458 +1,200 $1,263
     UGI51,458+1,200$1,263
MDU RES GROUP INC 50,020 +1,200 $1,261
     MDU50,020+1,200$1,261
MAXIMUS INC 15,018 +400 $1,260
     MMS15,018+400$1,260
CABOT CORP 13,565 +300 $1,251
     CBT13,565+300$1,251
OLD NATL BANCORP IND 71,842 +1,600 $1,251
     ONB71,842+1,600$1,251
F N B CORP 88,151 +2,100 $1,243
     FNB88,151+2,100$1,243
KYNDRYL HLDGS INC 56,534 +1,500 $1,230
     KD56,534+1,500$1,230
CIRRUS LOGIC INC 13,241 +300 $1,226
     CRUS13,241+300$1,226
DOLBY LABORATORIES INC 14,600 +300 $1,223
     DLB14,600+300$1,223
ASGN INC 11,621 +300 $1,217
     ASGN11,621+300$1,217
NATIONAL FUEL GAS CO 22,612 +600 $1,215
     NFG22,612+600$1,215
APPFOLIO INC 4,900 +4,900 $1,209
     APPF4,900+4,900$1,209
HANOVER INS GROUP INC 8,832 +300 $1,203
     THG8,832+300$1,203
WESTERN UN CO 86,066 -1,400 $1,203
     WU86,066-1,400$1,203
OLLIES BARGAIN OUTLET HLDGS 15,103 +300 $1,202
     OLLI15,103+300$1,202
ASHLAND INC 12,339 UNCH $1,201
     ASH12,339UNCH$1,201
STERICYCLE INC 22,719 +500 $1,198
     SRCL22,719+500$1,198
UNITED BANKSHARES INC WEST V (UBSI) 33,013 +600 $1,182
     UBSI33,013+600$1,182
SLM CORP 54,099 -200 $1,179
     SLM54,099-200$1,179
EURONET WORLDWIDE INC 10,717 +200 $1,178
     EEFT10,717+200$1,178
ANTERO MIDSTREAM CORP 83,625 +1,900 $1,176
     AM83,625+1,900$1,176
BANK OZK LITTLE ROCK ARK 25,812 +600 $1,173
     OZK25,812+600$1,173
GATX CORP 8,712 +200 $1,168
     GATX8,712+200$1,168
KITE RLTY GROUP TR 53,895 +1,300 $1,168
     KRG53,895+1,300$1,168
ZOOMINFO TECHNOLOGIES INC 72,700 +1,600 $1,165
     ZI72,700+1,600$1,165
FIRSTCASH HOLDINGS INC 9,115 +200 $1,163
     FCFS9,115+200$1,163
VALMONT INDS INC 5,088 +100 $1,161
     VMI5,088+100$1,161
VALARIS LTD 15,400 +400 $1,159
     VAL15,400+400$1,159
IDACORP INC 12,420 +300 $1,154
     IDA12,420+300$1,154
APARTMENT INCOME REIT CORP 35,450 +200 $1,151
     AIRC35,450+200$1,151
OMEGA THERAPEUTICS INC 314,117 UNCH $1,147
     OMGA314,117UNCH$1,147
BOYD GAMING CORP 17,024 +400 $1,146
     BYD17,024+400$1,146
HOME BANCSHARES INC (HOMB) 46,030 +1,000 $1,131
     HOMB46,030+1,000$1,131
VORNADO RLTY TR 39,300 +900 $1,131
     VNO39,300+900$1,131
KNIFE RIVER CORP 13,855 +300 $1,123
     KNF13,855+300$1,123
SILICON LABORATORIES INC 7,797 +200 $1,121
     SLAB7,797+200$1,121
SOUTHWEST GAS HLDGS INC 14,729 +300 $1,121
     SWX14,729+300$1,121
FLOWERS FOODS INC 47,142 +1,000 $1,120
     FLO47,142+1,000$1,120
RAYONIER INC 33,493 +800 $1,113
     RYN33,493+800$1,113
COTY INC 92,298 +2,400 $1,104
     COTY92,298+2,400$1,104
NEWMARKET CORP 1,737 +100 $1,102
     NEU1,737+100$1,102
AVNET INC 22,205 +500 $1,101
     AVT22,205+500$1,101
GLACIER BANCORP INC NEW 27,236 +600 $1,097
     GBCI27,236+600$1,097
MSC INDL DIRECT INC 11,265 +100 $1,093
     MSM11,265+100$1,093
ARCADIUM LITHIUM PLC 253,158 +253,158 $1,091
     ALTM253,158+253,158$1,091
COMMVAULT SYS INC 10,712 +200 $1,087
     CVLT10,712+200$1,087
PERRIGO CO PLC 33,258 +700 $1,071
     PRGO33,258+700$1,071
JANUS HENDERSON GROUP PLC 32,513 +700 $1,069
     JHG32,513+700$1,069
HAEMONETICS CORP MASS 12,474 +300 $1,065
     HAE12,474+300$1,065
TEREX CORP NEW 16,418 +300 $1,057
     TEX16,418+300$1,057
AUTONATION INC 6,348 +100 $1,051
     AN6,348+100$1,051
LANTHEUS HLDGS INC 16,800 +400 $1,046
     LNTH16,800+400$1,046
LANCASTER COLONY CORP 5,032 +100 $1,045
     LANC5,032+100$1,045
PORTLAND GEN ELEC CO 24,800 +500 $1,042
     POR24,800+500$1,042
NEW JERSEY RES CORP 24,185 +800 $1,038
     NJR24,185+800$1,038
FIRST FINL BANKSHARES INC (FFIN) 31,563 +700 $1,036
     FFIN31,563+700$1,036
EXPONENT INC 12,400 +300 $1,025
     EXPO12,400+300$1,025
BRINKS CO 11,077 +300 $1,023
     BCO11,077+300$1,023
COCA COLA CONS INC 1,200 +100 $1,016
     COKE1,200+100$1,016
GITLAB INC 17,276 +17,276 $1,008
     GTLB17,276+17,276$1,008
AFFIRM HLDGS INC 26,895 +26,895 $1,002
     AFRM26,895+26,895$1,002
POWER INTEGRATIONS INC 13,918 +300 $996
     POWI13,918+300$996
COLUMBIA BKG SYS INC 51,241 +1,200 $992
     COLB51,241+1,200$992
GRAND CANYON ED INC 7,259 +200 $989
     LOPE7,259+200$989
AVIENT CORPORATION 22,424 +600 $973
     AVNT22,424+600$973
HANCOCK WHITNEY CORPORATION 21,140 +500 $973
     HWC21,140+500$973
SILGAN HLDGS INC 19,900 +500 $966
     SLGN19,900+500$966
CHEMOURS CO 36,479 +900 $958
     CC36,479+900$958
KILROY RLTY CORP 26,265 +700 $957
     KRC26,265+700$957
GOODYEAR TIRE RUBR CO 69,626 +1,600 $956
     GT69,626+1,600$956
INSPERITY INC 8,650 +200 $948
     NSP8,650+200$948
BELDEN INC 10,198 +200 $944
     BDC10,198+200$944
ENERSYS 9,972 +300 $942
     ENS9,972+300$942
SYNAPTICS INC 9,633 +200 $940
     SYNA9,633+200$940
UMB FINL CORP 10,741 +300 $934
     UMBF10,741+300$934
TERADATA CORP DEL 24,042 +600 $930
     TDC24,042+600$930
MANPOWERGROUP INC WIS 11,963 +300 $929
     MAN11,963+300$929
KEMPER CORP 14,896 +400 $922
     KMPR14,896+400$922
POTLATCHDELTIC CORPORATION 19,531 +500 $918
     PCH19,531+500$918
BLACK HILLS CORP 16,700 +400 $912
     BKH16,700+400$912
WOLFSPEED INC 30,922 +900 $912
     WOLF30,922+900$912
ENVISTA HOLDINGS CORPORATION 42,163 +1,000 $901
     NVST42,163+1,000$901
PARK HOTELS RESORTS INC 51,529 +1,100 $901
     PK51,529+1,100$901
COUSINS PPTYS INC 37,244 +800 $895
     CUZ37,244+800$895
INDEPENDENCE RLTY TR INC 55,100 +1,200 $889
     IRT55,100+1,200$889
CNX RES CORP 37,302 -800 $885
     CNX37,302-800$885
ONE GAS INC 13,604 +300 $878
     OGS13,604+300$878
ORMAT TECHNOLOGIES INC 13,200 +300 $874
     ORA13,200+300$874
MARRIOTT VACATIONS WORLDWIDE 8,113 +200 $874
     VAC8,113+200$874
TRAVEL PLUS LEISURE CO 17,807 +400 $872
     TNL17,807+400$872
ARROWHEAD PHARMACEUTICALS IN 30,470 +4,800 $871
     ARWR30,470+4,800$871
STITCH FIX INC 326,983 -350,000 $863
     SFIX326,983-350,000$863
ROIVANT SCIENCES LTD 80,900 +80,900 $853
     ROIV80,900+80,900$853
FERGUSON PLC NEW 3,900 UNCH $852
     FERG3,900UNCH$852
NEWS CORP NEW 31,445 UNCH $851
     NWS31,445UNCH$851
ALLETE INC 14,146 +400 $844
     ALE14,146+400$844
SABRA HEALTH CARE REIT INC 56,749 +1,300 $838
     SBRA56,749+1,300$838
VALLEY NATL BANCORP 104,781 +2,500 $834
     VLY104,781+2,500$834
SPIRE INC 13,536 +900 $831
     SR13,536+900$831
AZENTA INC 13,717 -700 $827
     AZTA13,717-700$827
GAMESTOP CORP NEW 66,000 +1,600 $826
     GME66,000+1,600$826
HILTON GRAND VACATIONS INC 17,500 +400 $826
     HGV17,500+400$826
YETI HLDGS INC 21,347 +500 $823
     YETI21,347+500$823
AMKOR TECHNOLOGY INC 25,349 +600 $817
     AMKR25,349+600$817
BRIGHTHOUSE FINL INC 15,768 +400 $813
     BHF15,768+400$813
DOXIMITY INC 30,000 +1,700 $807
     DOCS30,000+1,700$807
VISTEON CORP 6,807 +100 $801
     VC6,807+100$801
IRIDIUM COMMUNICATIONS INC 30,459 +700 $797
     IRDM30,459+700$797
PNM RES INC 21,089 +500 $794
     PNM21,089+500$794
ASSOCIATED BANC CORP 36,478 +800 $785
     ASB36,478+800$785
EPR PPTYS 18,489 +400 $785
     EPR18,489+400$785
LUMENTUM HLDGS INC 16,528 +500 $783
     LITE16,528+500$783
PROGYNY INC 20,479 +500 $781
     PGNY20,479+500$781
PENSKE AUTOMOTIVE GRP INC 4,800 +100 $778
     PAG4,800+100$778
WENDYS CO 40,985 +900 $772
     WEN40,985+900$772
CONCENTRIX CORP 11,591 +200 $768
     CNXC11,591+200$768
SCOTTS MIRACLE GRO CO 10,300 +300 $768
     SMG10,300+300$768
BLACKBAUD INC 10,348 UNCH $767
     BLKB10,348UNCH$767
CARTERS INC 9,029 +200 $765
     CRI9,029+200$765
NORTHWESTERN ENERGY GROUP IN 15,028 +300 $765
     NWE15,028+300$765
NEOGEN CORP 48,353 +1,100 $763
     NEOG48,353+1,100$763
CHOICE HOTELS INTL INC 6,032 +100 $762
     CHH6,032+100$762
ENOVIS CORPORATION 12,202 +300 $762
     ENOV12,202+300$762
NATIONAL STORAGE AFFILIATES 19,001 +500 $744
     NSA19,001+500$744
ADIENT PLC 22,456 UNCH $739
     ADNT22,456UNCH$739
LIVANOVA PLC 13,211 +300 $739
     LIVN13,211+300$739
CNO FINL GROUP INC 26,851 -100 $738
     CNO26,851-100$738
INTERNATIONAL BANCSHARES COR (IBOC) 13,112 +300 $736
     IBOC13,112+300$736
PERSONALIS INC 493,798 +50,000 $736
     PSNL493,798+50,000$736
AMEDISYS INC 7,975 +100 $735
     AMED7,975+100$735
CRANE NXT CO 11,872 +300 $735
     CXT11,872+300$735
FEDERATED HERMES INC 20,076 -600 $725
     FHI20,076-600$725
TEGNA INC 48,371 +1,100 $723
     TGNA48,371+1,100$723
ZIFF DAVIS INC 11,340 +300 $715
     ZD11,340+300$715
TEXAS CAP BANCSHARES INC (TCBI) 11,552 UNCH $711
     TCBI11,552UNCH$711
VISHAY INTERTECHNOLOGY INC 30,988 +700 $703
     VSH30,988+700$703
GROCERY OUTLET HLDG CORP 24,380 +600 $702
     GO24,380+600$702
BOSTON BEER INC 2,283 UNCH $695
     SAM2,283UNCH$695
TEXAS PACIFIC LAND CORPORATI 1,200 +800 $694
     TPL1,200+800$694
COLUMBIA SPORTSWEAR CO 8,474 +200 $688
     COLM8,474+200$688
HELEN OF TROY LTD 5,827 +100 $672
     HELE5,827+100$672
PENN ENTERTAINMENT INC 36,600 +200 $666
     PENN36,600+200$666
COPT DEFENSE PROPERTIES 27,513 +27,513 $665
     CDP27,513+27,513$665
IPG PHOTONICS CORP 7,300 +200 $662
     IPGP7,300+200$662
GRAHAM HLDGS CO 824 +12 $633
     GHC824+12$633
LEGGETT PLATT INC 32,748 +800 $627
     LEG32,748+800$627
R1 RCM INC 48,401 +1,200 $623
     RCM48,401+1,200$623
WERNER ENTERPRISES INC 15,198 UNCH $595
     WERN15,198UNCH$595
INTEGRA LIFESCIENCES HLDGS C 16,690 +400 $592
     IART16,690+400$592
QUIDELORTHO CORP 12,127 +300 $581
     QDEL12,127+300$581
AVIS BUDGET GROUP 4,573 +100 $560
     CAR4,573+100$560
NEW YORK CMNTY BANCORP INC 173,343 UNCH $558
     NYCB173,343UNCH$558
FOX FACTORY HLDG CORP 10,189 UNCH $531
     FOXF10,189UNCH$531
ZILLOW GROUP INC 10,800 UNCH $527
     Z10,800UNCH$527
SS C TECHNOLOGIES HLDGS INC 7,970 UNCH $513
     SSNC7,970UNCH$513
MP MATERIALS CORP 35,400 +800 $506
     MP35,400+800$506
CABLE ONE INC 1,159 +100 $490
     CABO1,159+100$490
NORDSTROM INC 23,908 +600 $485
     JWN23,908+600$485
ALLEGRO MICROSYSTEMS INC 17,500 +400 $472
     ALGM17,500+400$472
LIBERTY GLOBAL LTD 25,950 UNCH $458
     LBTYK25,950UNCH$458
LPL FINL HLDGS INC 1,700 UNCH $449
     LPLA1,700UNCH$449
GREIF INC 6,139 UNCH $424
     GEF6,139UNCH$424
CNH INDL N V 29,900 UNCH $388
     CNHI29,900UNCH$388
SOTERA HEALTH CO 30,500 +6,800 $366
     SHC30,500+6,800$366
ROYALTY PHARMA PLC 11,900 UNCH $361
     RPRX11,900UNCH$361
PILGRIMS PRIDE CORP 9,871 +200 $339
     PPC9,871+200$339
UNDER ARMOUR INC 45,300 UNCH $334
     UAA45,300UNCH$334
UNDER ARMOUR INC 46,400 UNCH $331
     UA46,400UNCH$331
VEEVA SYS INC 1,400 UNCH $324
     VEEV1,400UNCH$324
U HAUL HOLDING COMPANY      $304
     UHAL.B4,554UNCH$304
COUCHBASE INC 10,581 -2,697 $278
     BASE10,581-2,697$278
HERTZ GLOBAL HLDGS INC 31,800 UNCH $249
     HTZ31,800UNCH$249
ALBERTSONS COS INC 11,500 UNCH $247
     ACI11,500UNCH$247
TWILIO INC 3,800 +0 $232
     TWLO3,800UNCH$232
ISHARES TR $0 (exited)
     AGG0-977,500$0
BLACKBERRY LTD $0 (exited)
     BB0-1,000,000$0
CALIX INC $0 (exited)
     CALX0-14,018$0
DERMTECH INC $0 (exited)
     DMTK0-60,000$0
PHYSICIANS RLTY TR $0 (exited)
     DOC0-57,220$0
FLEETCOR TECHNOLOGIES INC $0 (exited)
     FLT0-19,784$0
SHIFT4 PMTS INC $0 (exited)
     FOUR0-175,000$0
LIVENT CORP $0 (exited)
     LTHM0-43,000$0
MEDICAL PPTYS TRUST INC $0 (exited)
     MPW0-143,700$0
INARI MED INC $0 (exited)
     NARI0-12,300$0
INVITAE CORP $0 (exited)
     NVTA0-959,939$0
COPT DEFENSE PROPERTIES $0 (exited)
     OFC0-27,013$0
UIPATH INC $0 (exited)
     PATH0-260,949$0
PATTERSON COS INC $0 (exited)
     PDCO0-20,426$0
ROVER GROUP INC $0 (exited)
     ROVR0-137,631$0
SUNRUN INC $0 (exited)
     RUN0-52,147$0
SNAP INC $0 (exited)
     SNAP0-359,370$0
SPIRIT RLTY CAP INC NEW $0 (exited)
     SRC0-33,916$0
TELADOC HEALTH INC $0 (exited)
     TDOC0-133,000$0
ISHARES TR $0 (exited)
     TLT0-200,000$0
SELECT SECTOR SPDR TR 0 -200,000 $0 (exited)
     XLE0-200,000$0

See Summary: State of Michigan Retirement System Top Holdings
See Details: Top 10 Stocks Held By State of Michigan Retirement System

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