Holdings Channel
EntityShares/Amount
Change
Position Value
Change
RVTY +534,393+$58,414
FI +225,601+$29,969
SBH +615,384+$8,172
EG +22,576+$7,982
EAT +75,361+$3,254
BGS +243,874+$2,561
BIRK +40,000+$1,949
VLTO +19,006+$1,563
HG +100,000+$1,495
VSTS +45,495+$962
EntityShares/Amount
Change
Position Value
Change
PKI -446,866-$49,468
YUMC -837,034-$46,640
FISV -268,400-$30,318
MNSO -473,353-$12,260
TSM -124,778-$10,843
MLNK -594,617-$10,144
SGEN -37,222-$7,897
KGS -440,000-$7,867
RE -18,106-$6,729
HZNP -57,564-$6,660
EntityShares/Amount
Change
Position Value
Change
COMM +1,068,969+$2,748
BUR +565,000+$18,630
CXW +506,522+$7,489
HPQ +486,799+$15,033
TME +304,876+$3,138
BEKE +304,189+$5,215
CPRT +253,298+$14,208
EBAY +238,608+$10,324
GTES +233,834+$3,325
GEN +222,786+$5,314
EntityShares/Amount
Change
Position Value
Change
NFYS -1,675,000-$17,452
EAF -875,715-$4,105
GM -551,187-$15,532
AAPL -549,477-$14,775
AMN -546,243-$46,629
VGR -525,167-$5,557
CYH -478,428-$1,103
CSCO -341,370-$22,382
FOXA -302,555-$9,571
Size ($ in 1000's)
At 12/31/2023: $14,643,466
At 09/30/2023: $15,080,246

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

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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE INC 3,719,588 -549,477 $716,132
     AAPL3,719,588-549,477$716,132
MICROSOFT CORP 1,708,899 -242,058 $642,614
     MSFT1,708,899-242,058$642,614
AMAZON COM INC 2,226,114 -236,166 $338,236
     AMZN2,226,114-236,166$338,236
ALPHABET INC 2,326,605 -205,041 $325,003
     GOOGL2,326,605-205,041$325,003
VANGUARD INDEX FDS (VOO) 704,609 UNCH $307,773
     VOO704,609UNCH$307,773
ISHARES TR (IVV) 644,046 UNCH $307,616
     IVV644,046UNCH$307,616
NVIDIA CORPORATION 618,766 -70,819 $306,425
     NVDA618,766-70,819$306,425
META PLATFORMS INC 569,686 -80,865 $201,646
     META569,686-80,865$201,646
TESLA INC 611,904 -81,208 $152,046
     TSLA611,904-81,208$152,046
JPMORGAN CHASE & CO 837,016 -72,485 $142,376
     JPM837,016-72,485$142,376
UNITEDHEALTH GROUP INC 258,241 -25,641 $135,956
     UNH258,241-25,641$135,956
BERKSHIRE HATHAWAY INC DEL      $126,919
     BRK.B355,853-51,038$126,919
EXXON MOBIL CORP 1,219,368 -173,108 $121,912
     XOM1,219,368-173,108$121,912
BROADCOM INC 103,407 -24,520 $115,428
     AVGO103,407-24,520$115,428
PROCTER AND GAMBLE CO 732,050 -82,195 $107,275
     PG732,050-82,195$107,275
CRESCENT ENERGY CO 8,029,515 +34,631 $106,069
     CRGY8,029,515+34,631$106,069
BURFORD CAP LTD 6,700,000 +565,000 $104,520
     BUR6,700,000+565,000$104,520
LINDE PLC 254,447 -45,693 $104,504
     LIN254,447-45,693$104,504
ELI LILLY & CO 176,299 -43,861 $102,768
     LLY176,299-43,861$102,768
CLAROS MTG TR INC 7,499,285 -11,081 $102,215
     CMTG7,499,285-11,081$102,215
JOHNSON & JOHNSON 625,458 -67,088 $98,034
     JNJ625,458-67,088$98,034
VISA INC 371,125 +14,511 $96,622
     V371,125+14,511$96,622
VANGUARD INTL EQUITY INDEX F (VWO) 2,266,156 UNCH $93,139
     VWO2,266,156UNCH$93,139
MASTERCARD INCORPORATED 213,329 -47,696 $90,987
     MA213,329-47,696$90,987
COCA COLA CO 1,439,872 -175,286 $84,852
     KO1,439,872-175,286$84,852
HOME DEPOT INC 243,791 -52,792 $84,486
     HD243,791-52,792$84,486
MERCADOLIBRE INC 52,160 -500 $81,972
     MELI52,160-500$81,972
MARKETAXESS HLDGS INC 272,870 +62,736 $79,910
     MKTX272,870+62,736$79,910
ADOBE INC 129,959 -30,979 $77,534
     ADBE129,959-30,979$77,534
CHEVRON CORP NEW 510,581 -150,105 $76,158
     CVX510,581-150,105$76,158
ABBVIE INC 477,328 -89,408 $73,972
     ABBV477,328-89,408$73,972
COSTCO WHSL CORP NEW 112,056 -31,910 $73,966
     COST112,056-31,910$73,966
WALMART INC 465,823 -144,078 $73,437
     WMT465,823-144,078$73,437
COMCAST CORP NEW 1,649,503 +163,017 $72,331
     CMCSA1,649,503+163,017$72,331
STONECO LTD 3,930,893 UNCH $70,874
     STNE3,930,893UNCH$70,874
BANK AMERICA CORP 2,078,326 +53,886 $69,977
     BAC2,078,326+53,886$69,977
PEPSICO INC 406,655 -79,446 $69,066
     PEP406,655-79,446$69,066
MERCK & CO INC 629,087 -8,302 $68,583
     MRK629,087-8,302$68,583
VERIZON COMMUNICATIONS INC 1,795,539 +208,880 $67,692
     VZ1,795,539+208,880$67,692
SALESFORCE INC 243,724 -49,291 $64,134
     CRM243,724-49,291$64,134
AZENTA INC 982,534 -165,219 $64,002
     AZTA982,534-165,219$64,002
CISCO SYS INC 1,243,778 -341,370 $62,836
     CSCO1,243,778-341,370$62,836
GENERAL ELECTRIC CO 488,262 -45,648 $62,317
     GE488,262-45,648$62,317
WELLS FARGO CO NEW 1,247,211 -33,086 $61,388
     WFC1,247,211-33,086$61,388
MCDONALDS CORP 202,021 -23,171 $59,901
     MCD202,021-23,171$59,901
REVVITY INC 534,393 +534,393 $58,414
     RVTY534,393+534,393$58,414
ASML HOLDING N V 74,205 UNCH $56,167
     ASML74,205UNCH$56,167
TJX COS INC NEW 596,384 -110,747 $55,947
     TJX596,384-110,747$55,947
ABBOTT LABS 501,778 +32,427 $55,231
     ABT501,778+32,427$55,231
API GROUP CORP 1,590,259 -28,751 $55,023
     APG1,590,259-28,751$55,023
ACCENTURE PLC IRELAND 150,877 -5,662 $52,944
     ACN150,877-5,662$52,944
CASEYS GEN STORES INC 188,813 -2,609 $51,874
     CASY188,813-2,609$51,874
ADVANCED MICRO DEVICES INC 337,763 +17,093 $49,790
     AMD337,763+17,093$49,790
NETFLIX INC 102,211 -46,567 $49,764
     NFLX102,211-46,567$49,764
CATERPILLAR INC 165,818 -40,539 $49,027
     CAT165,818-40,539$49,027
BOOKING HOLDINGS INC 13,673 -1,620 $48,501
     BKNG13,673-1,620$48,501
INTUIT 74,728 -1,938 $46,707
     INTU74,728-1,938$46,707
UNION PAC CORP 187,696 -12,913 $46,102
     UNP187,696-12,913$46,102
APPLIED MATLS INC 276,603 -90,029 $44,829
     AMAT276,603-90,029$44,829
QUALCOMM INC 309,223 +74,361 $44,723
     QCOM309,223+74,361$44,723
INTEL CORP 879,837 +30,373 $44,212
     INTC879,837+30,373$44,212
ELEVANCE HEALTH INC 93,699 +4,258 $44,185
     ELV93,699+4,258$44,185
PTC INC 252,445 -127,548 $44,168
     PTC252,445-127,548$44,168
MOTOROLA SOLUTIONS INC 140,668 +43,790 $44,042
     MSI140,668+43,790$44,042
TEXAS INSTRS INC 252,965 -31,647 $43,120
     TXN252,965-31,647$43,120
INTERNATIONAL BUSINESS MACHS 259,758 +26,701 $42,483
     IBM259,758+26,701$42,483
CONOCOPHILLIPS 362,354 -64,281 $42,058
     COP362,354-64,281$42,058
NIKE INC 386,825 -59,760 $41,998
     NKE386,825-59,760$41,998
ISHARES INC (EEMV) 753,315 +19,447 $41,877
     EEMV753,315+19,447$41,877
AMERICAN EXPRESS CO 223,451 +20,086 $41,861
     AXP223,451+20,086$41,861
PARKER HANNIFIN CORP 89,825 -190 $41,382
     PH89,825-190$41,382
AMERICA MOVIL SAB DE CV 2,161,100 UNCH $40,024
     AMX2,161,100UNCH$40,024
MCKESSON CORP 85,926 -15,871 $39,782
     MCK85,926-15,871$39,782
CVS HEALTH CORP 498,153 +45,525 $39,334
     CVS498,153+45,525$39,334
HONEYWELL INTL INC 186,811 -25,105 $39,176
     HON186,811-25,105$39,176
DOVER CORP 252,768 +208,378 $38,878
     DOV252,768+208,378$38,878
AUTOMATIC DATA PROCESSING IN 165,685 -65,729 $38,600
     ADP165,685-65,729$38,600
ORACLE CORP 361,247 -107,689 $38,086
     ORCL361,247-107,689$38,086
PACCAR INC 383,538 -41,540 $37,452
     PCAR383,538-41,540$37,452
DANAHER CORPORATION 159,336 -15,865 $36,861
     DHR159,336-15,865$36,861
INTUITIVE SURGICAL INC 107,995 -24,658 $36,433
     ISRG107,995-24,658$36,433
WILLSCOT MOBIL MINI HLDNG CO 818,717 -211,526 $36,433
     WSC818,717-211,526$36,433
THERMO FISHER SCIENTIFIC INC 68,489 -11,390 $36,353
     TMO68,489-11,390$36,353
ROSS STORES INC 261,916 -11,934 $36,247
     ROST261,916-11,934$36,247
AMGEN INC 125,087 -16,343 $36,028
     AMGN125,087-16,343$36,028
MARSH & MCLENNAN COS INC 189,747 -38,868 $35,951
     MMC189,747-38,868$35,951
SERVICENOW INC 50,114 -11,880 $35,405
     NOW50,114-11,880$35,405
ARCHER DANIELS MIDLAND CO 489,779 -68,555 $35,372
     ADM489,779-68,555$35,372
PROLOGIS INC. 265,034 -131,718 $35,329
     PLD265,034-131,718$35,329
LAM RESEARCH CORP 44,346 -20,765 $34,734
     LRCX44,346-20,765$34,734
LOCKHEED MARTIN CORP 75,059 -19,659 $34,020
     LMT75,059-19,659$34,020
ALPHABET INC 240,068 -240,914 $33,833
     GOOG240,068-240,914$33,833
TRANE TECHNOLOGIES PLC 136,845 -10,491 $33,376
     TT136,845-10,491$33,376
PFIZER INC 1,152,969 -249,104 $33,194
     PFE1,152,969-249,104$33,194
STRYKER CORPORATION 110,486 -25,169 $33,086
     SYK110,486-25,169$33,086
HUMANA INC 71,618 -8,813 $32,787
     HUM71,618-8,813$32,787
EOG RES INC 265,872 -24,512 $32,157
     EOG265,872-24,512$32,157
GENERAL MTRS CO 895,252 -551,187 $32,157
     GM895,252-551,187$32,157
CSX CORP 924,562 -107,524 $32,055
     CSX924,562-107,524$32,055
COLGATE PALMOLIVE CO 401,663 +44,893 $32,017
     CL401,663+44,893$32,017
OREILLY AUTOMOTIVE INC 33,555 -8,065 $31,880
     ORLY33,555-8,065$31,880
PHILIP MORRIS INTL INC 336,907 -89,575 $31,696
     PM336,907-89,575$31,696
STARBUCKS CORP 327,672 +53,906 $31,460
     SBUX327,672+53,906$31,460
SHERWIN WILLIAMS CO 99,319 -11,731 $30,978
     SHW99,319-11,731$30,978
CITIGROUP INC 596,866 -219,349 $30,703
     C596,866-219,349$30,703
CME GROUP INC 145,485 -13,599 $30,639
     CME145,485-13,599$30,639
MONDELEZ INTL INC 421,059 -235,962 $30,497
     MDLZ421,059-235,962$30,497
S&P GLOBAL INC 69,134 -16,166 $30,455
     SPGI69,134-16,166$30,455
THE CIGNA GROUP 100,872 -14,386 $30,206
     CI100,872-14,386$30,206
PULTE GROUP INC 291,265 -122,982 $30,064
     PHM291,265-122,982$30,064
FISERV INC 225,601 +225,601 $29,969
     FI225,601+225,601$29,969
NUCOR CORP 169,710 -45,029 $29,536
     NUE169,710-45,029$29,536
ALTRIA GROUP INC 729,684 -114,633 $29,435
     MO729,684-114,633$29,435
KLA CORP 50,144 -15,747 $29,149
     KLAC50,144-15,747$29,149
AT&T INC 1,730,661 -192,137 $29,040
     T1,730,661-192,137$29,040
DISNEY WALT CO 319,742 -8,411 $28,870
     DIS319,742-8,411$28,870
NEXTERA ENERGY INC 468,862 -183,234 $28,479
     NEE468,862-183,234$28,479
BUILDERS FIRSTSOURCE INC 169,096 -118,590 $28,229
     BLDR169,096-118,590$28,229
ILLINOIS TOOL WKS INC 105,669 -39,508 $27,679
     ITW105,669-39,508$27,679
D R HORTON INC 181,046 -42,059 $27,515
     DHI181,046-42,059$27,515
BOSTON SCIENTIFIC CORP 474,141 -136,849 $27,410
     BSX474,141-136,849$27,410
BRISTOL MYERS SQUIBB CO 533,463 -91,387 $27,372
     BMY533,463-91,387$27,372
COPART INC 557,377 +253,298 $27,311
     CPRT557,377+253,298$27,311
SYNOPSYS INC 52,061 -9,528 $26,807
     SNPS52,061-9,528$26,807
ISHARES GOLD TR (IAUM) 1,300,000 UNCH $26,780
     IAUM1,300,000UNCH$26,780
ECOLAB INC 131,376 +44,245 $26,058
     ECL131,376+44,245$26,058
UBER TECHNOLOGIES INC 420,418 +63,018 $25,885
     UBER420,418+63,018$25,885
EMERSON ELEC CO 265,278 +14,341 $25,820
     EMR265,278+14,341$25,820
CADENCE DESIGN SYSTEM INC 94,355 -33,559 $25,699
     CDNS94,355-33,559$25,699
TRAVELERS COMPANIES INC 134,774 -12,683 $25,673
     TRV134,774-12,683$25,673
OWENS CORNING NEW 172,643 +8,391 $25,591
     OC172,643+8,391$25,591
LENNOX INTL INC 56,506 -16,820 $25,288
     LII56,506-16,820$25,288
GOLDMAN SACHS GROUP INC 65,237 -3,270 $25,166
     GS65,237-3,270$25,166
MORGAN STANLEY 269,520 -17,940 $25,133
     MS269,520-17,940$25,133
LENNAR CORP 168,568 -82,018 $25,123
     LEN168,568-82,018$25,123
ELECTRONIC ARTS INC 181,757 +10,405 $24,866
     EA181,757+10,405$24,866
KIMBERLY CLARK CORP 204,422 +6,037 $24,839
     KMB204,422+6,037$24,839
SYSCO CORP 337,440 -93,511 $24,677
     SYY337,440-93,511$24,677
DEERE & CO 61,699 -21,635 $24,672
     DE61,699-21,635$24,672
ANALOG DEVICES INC 124,106 -44,751 $24,642
     ADI124,106-44,751$24,642
CORTEVA INC 513,106 -31,154 $24,588
     CTVA513,106-31,154$24,588
VERTEX PHARMACEUTICALS INC 60,343 -7,828 $24,553
     VRTX60,343-7,828$24,553
CARDINAL HEALTH INC 243,417 +17,972 $24,536
     CAH243,417+17,972$24,536
GRAINGER W W INC 29,602 +2,105 $24,531
     GWW29,602+2,105$24,531
MEDTRONIC PLC 296,845 +1,364 $24,454
     MDT296,845+1,364$24,454
CHUBB LIMITED 107,762 -63,721 $24,354
     CB107,762-63,721$24,354
DELL TECHNOLOGIES INC 318,055 +123,770 $24,331
     DELL318,055+123,770$24,331
NVR INC 3,467 -1,770 $24,271
     NVR3,467-1,770$24,271
EATON CORP PLC 99,968 +13,668 $24,074
     ETN99,968+13,668$24,074
PPG INDS INC 160,205 +32,367 $23,959
     PPG160,205+32,367$23,959
GILEAD SCIENCES INC 291,502 -38,658 $23,615
     GILD291,502-38,658$23,615
H WORLD GROUP LTD 705,113 -6,973 $23,579
     HTHT705,113-6,973$23,579
BANK NEW YORK MELLON CORP 452,420 +38,142 $23,548
     BK452,420+38,142$23,548
ULTA BEAUTY INC 47,519 -9,673 $23,284
     ULTA47,519-9,673$23,284
FREEPORT MCMORAN INC 541,778 -113,136 $23,063
     FCX541,778-113,136$23,063
TE CONNECTIVITY LTD 163,889 +33,635 $23,026
     TEL163,889+33,635$23,026
EQUINIX INC 28,577 -19,083 $23,016
     EQIX28,577-19,083$23,016
PDD HOLDINGS INC 156,643 -2,123 $22,918
     PDD156,643-2,123$22,918
NETAPP INC 257,711 -49,595 $22,720
     NTAP257,711-49,595$22,720
CHIPOTLE MEXICAN GRILL INC 9,865 -3,392 $22,561
     CMG9,865-3,392$22,561
UNITED PARCEL SERVICE INC 141,499 -17,307 $22,248
     UPS141,499-17,307$22,248
SEMPRA 297,595 +83,446 $22,239
     SRE297,595+83,446$22,239
GENERAL DYNAMICS CORP 85,523 -11,721 $22,208
     GD85,523-11,721$22,208
BERKLEY W R CORP 312,607 +54,016 $22,108
     WRB312,607+54,016$22,108
REGENERON PHARMACEUTICALS 24,967 -3,591 $21,928
     REGN24,967-3,591$21,928
CHENIERE ENERGY INC 128,315 +6,372 $21,905
     LNG128,315+6,372$21,905
T MOBILE US INC 136,269 -9,216 $21,848
     TMUS136,269-9,216$21,848
HUBBELL INC 64,979 -1,197 $21,374
     HUBB64,979-1,197$21,374
GLOBE LIFE INC 174,326 +74,099 $21,219
     GL174,326+74,099$21,219
COCA COLA EUROPACIFIC PARTNE 317,380 -79,735 $21,182
     CCEP317,380-79,735$21,182
AON PLC 72,310 -10,641 $21,044
     AON72,310-10,641$21,044
HARTFORD FINL SVCS GROUP INC 261,366 +77,199 $21,009
     HIG261,366+77,199$21,009
CONSOLIDATED EDISON INC 230,114 +917 $20,933
     ED230,114+917$20,933
VICI PPTYS INC 649,612 -105,697 $20,710
     VICI649,612-105,697$20,710
AMETEK INC 125,588 -41,131 $20,708
     AME125,588-41,131$20,708
CENTENE CORP DEL 278,063 +91,983 $20,635
     CNC278,063+91,983$20,635
FEDEX CORP 81,363 -2,897 $20,582
     FDX81,363-2,897$20,582
SNAP ON INC 70,740 +19,061 $20,433
     SNA70,740+19,061$20,433
AMPHENOL CORP NEW 204,322 -56,764 $20,254
     APH204,322-56,764$20,254
REPUBLIC SVCS INC 122,300 -10,122 $20,168
     RSG122,300-10,122$20,168
LOWES COS INC 90,519 -31,619 $20,145
     LOW90,519-31,619$20,145
BROWN & BROWN INC 280,400 +125,990 $19,939
     BRO280,400+125,990$19,939
PUBLIC STORAGE 65,141 -65,472 $19,868
     PSA65,141-65,472$19,868
MANHATTAN ASSOCIATES INC 90,747 +50,664 $19,540
     MANH90,747+50,664$19,540
ILLUMINA INC 137,738 +125,488 $19,179
     ILMN137,738+125,488$19,179
DUKE ENERGY CORP NEW 197,419 +38,245 $19,158
     DUK197,419+38,245$19,158
BOEING CO 73,405 -27,031 $19,134
     BA73,405-27,031$19,134
WASTE CONNECTIONS INC 126,269 -203 $18,848
     WCN126,269-203$18,848
INTERCONTINENTAL EXCHANGE IN (ICE) 145,556 -66,886 $18,694
     ICE145,556-66,886$18,694
TARGET CORP 131,157 +95,397 $18,679
     TGT131,157+95,397$18,679
VANECK ETF TRUST (GDX) 601,000 UNCH $18,637
     GDX601,000UNCH$18,637
KRAFT HEINZ CO 503,615 +87,967 $18,624
     KHC503,615+87,967$18,624
COTERRA ENERGY INC 725,779 +132,228 $18,522
     CTRA725,779+132,228$18,522
AERCAP HOLDINGS NV 248,313 -148,279 $18,455
     AER248,313-148,279$18,455
SIMON PPTY GROUP INC NEW 129,044 -93,911 $18,407
     SPG129,044-93,911$18,407
EBAY INC. 416,746 +238,608 $18,178
     EBAY416,746+238,608$18,178
KROGER CO 397,691 +65,123 $18,178
     KR397,691+65,123$18,178
XCEL ENERGY INC 291,321 -31,909 $18,036
     XEL291,321-31,909$18,036
CF INDS HLDGS INC 222,874 -25,504 $17,718
     CF222,874-25,504$17,718
SOUTHERN CO 251,813 -80,870 $17,657
     SO251,813-80,870$17,657
NORTHROP GRUMMAN CORP 37,583 -3,133 $17,594
     NOC37,583-3,133$17,594
SCHWAB CHARLES CORP 254,692 -174,480 $17,523
     SCHW254,692-174,480$17,523
BROADRIDGE FINL SOLUTIONS IN 85,003 +12,321 $17,489
     BR85,003+12,321$17,489
WASTE MGMT INC DEL 97,202 +21,000 $17,409
     WM97,202+21,000$17,409
HP INC 574,625 +486,799 $17,290
     HPQ574,625+486,799$17,290
CINTAS CORP 28,227 -20,782 $17,011
     CTAS28,227-20,782$17,011
GAMING & LEISURE PPTYS INC 341,580 -158,804 $16,857
     GLPI341,580-158,804$16,857
ROPER TECHNOLOGIES INC 30,890 -4,434 $16,840
     ROP30,890-4,434$16,840
CINCINNATI FINL CORP 160,543 +61,136 $16,610
     CINF160,543+61,136$16,610
AIR PRODS & CHEMS INC 60,539 +2,232 $16,576
     APD60,539+2,232$16,576
AFLAC INC 200,903 -9,560 $16,574
     AFL200,903-9,560$16,574
BECTON DICKINSON & CO 67,648 -20,548 $16,495
     BDX67,648-20,548$16,495
GARTNER INC 36,116 -46,615 $16,292
     IT36,116-46,615$16,292
MARATHON PETE CORP 108,899 -14,136 $16,156
     MPC108,899-14,136$16,156
PAYCHEX INC 134,882 -24,622 $16,066
     PAYX134,882-24,622$16,066
VALERO ENERGY CORP 123,377 -9,362 $16,039
     VLO123,377-9,362$16,039
RELIANCE STEEL & ALUMINUM CO 57,078 -4,262 $15,964
     RS57,078-4,262$15,964
PHILLIPS 66 118,721 -10,654 $15,807
     PSX118,721-10,654$15,807
NXP SEMICONDUCTORS N V 68,138 -91 $15,650
     NXPI68,138-91$15,650
STEEL DYNAMICS INC 131,284 -160,169 $15,505
     STLD131,284-160,169$15,505
ARCH CAP GROUP LTD 208,714 +36,159 $15,501
     ACGL208,714+36,159$15,501
GARMIN LTD 119,997 +68,001 $15,424
     GRMN119,997+68,001$15,424
LULULEMON ATHLETICA INC 30,112 -44,691 $15,396
     LULU30,112-44,691$15,396
VULCAN MATLS CO 67,218 -41,268 $15,259
     VMC67,218-41,268$15,259
VERISIGN INC 73,939 -31,408 $15,228
     VRSN73,939-31,408$15,228
IDEXX LABS INC 27,200 -7,694 $15,097
     IDXX27,200-7,694$15,097
ZOETIS INC 75,870 -18,455 $14,974
     ZTS75,870-18,455$14,974
BAKER HUGHES COMPANY 436,762 +19,832 $14,929
     BKR436,762+19,832$14,929
PPL CORP 550,332 -8,117 $14,914
     PPL550,332-8,117$14,914
ENTERGY CORP NEW 146,713 +75 $14,846
     ETR146,713+75$14,846
FAIR ISAAC CORP 12,751 +529 $14,842
     FICO12,751+529$14,842
BUNGE GLOBAL SA 144,670 +37,194 $14,604
     BG144,670+37,194$14,604
PNC FINL SVCS GROUP INC 94,059 -13,830 $14,565
     PNC94,059-13,830$14,565
KEURIG DR PEPPER INC 436,818 +103,473 $14,555
     KDP436,818+103,473$14,555
LPL FINL HLDGS INC 63,920 -9,611 $14,549
     LPLA63,920-9,611$14,549
FIRST CTZNS BANCSHARES INC N (FCNCA) 10,233 -2,770 $14,520
     FCNCA10,233-2,770$14,520
AUTOLIV INC 130,184 -60,434 $14,345
     ALV130,184-60,434$14,345
ARISTA NETWORKS INC 60,744 -39,833 $14,306
     ANET60,744-39,833$14,306
MARKEL GROUP INC 10,015 +1,377 $14,220
     MKL10,015+1,377$14,220
JOHNSON CTLS INTL PLC 245,303 -64,431 $14,139
     JCI245,303-64,431$14,139
3M CO 129,278 +29,772 $14,133
     MMM129,278+29,772$14,133
HERSHEY CO 75,327 -48,889 $14,044
     HSY75,327-48,889$14,044
FORD MTR CO DEL 1,150,123 +93,141 $14,020
     F1,150,123+93,141$14,020
OLD DOMINION FREIGHT LINE IN 34,383 +11,095 $13,936
     ODFL34,383+11,095$13,936
CAPITAL ONE FINL CORP 106,245 +73,006 $13,931
     COF106,245+73,006$13,931
GRACO INC 157,122 +9,510 $13,632
     GGG157,122+9,510$13,632
TEXTRON INC 169,187 +127,039 $13,606
     TXT169,187+127,039$13,606
VISTRA CORP 351,298 -222,707 $13,532
     VST351,298-222,707$13,532
LOEWS CORP 192,772 +3,397 $13,415
     L192,772+3,397$13,415
GENUINE PARTS CO 96,722 -38,539 $13,396
     GPC96,722-38,539$13,396
ATMOS ENERGY CORP 115,208 +95,713 $13,353
     ATO115,208+95,713$13,353
DECKERS OUTDOOR CORP 19,884 +264 $13,291
     DECK19,884+264$13,291
INGERSOLL RAND INC 171,403 -35,970 $13,256
     IR171,403-35,970$13,256
AUTODESK INC 54,292 +7,850 $13,219
     ADSK54,292+7,850$13,219
LYONDELLBASELL INDUSTRIES N 135,400 +93,651 $12,874
     LYB135,400+93,651$12,874
F5 INC 71,876 +59,275 $12,864
     FFIV71,876+59,275$12,864
SOUTHERN COPPER CORP 149,259 +53,002 $12,847
     SCCO149,259+53,002$12,847
RPM INTL INC 114,852 +51,347 $12,821
     RPM114,852+51,347$12,821
STATE STR CORP 164,491 +100,956 $12,741
     STT164,491+100,956$12,741
ALKERMES PLC 452,217 -206,144 $12,545
     ALKS452,217-206,144$12,545
FERGUSON PLC NEW 63,959 +23,592 $12,349
     FERG63,959+23,592$12,349
GALLAGHER ARTHUR J & CO 54,781 -605 $12,319
     AJG54,781-605$12,319
AMERICAN INTL GROUP INC 181,212 -70,038 $12,277
     AIG181,212-70,038$12,277
RTX CORPORATION 143,791 -88,751 $12,099
     RTX143,791-88,751$12,099
CBOE GLOBAL MKTS INC 66,879 +10,114 $11,942
     CBOE66,879+10,114$11,942
CLARIVATE PLC 1,274,992 -12,302 $11,806
     CLVT1,274,992-12,302$11,806
DEVON ENERGY CORP NEW 259,817 +161,206 $11,770
     DVN259,817+161,206$11,770
MONSTER BEVERAGE CORP NEW 203,709 -93,242 $11,736
     MNST203,709-93,242$11,736
CENCORA INC 64,650 -4,335 $11,636
     ABC64,650-4,335$11,636
PUBLIC SVC ENTERPRISE GRP IN 190,077 -70,656 $11,623
     PEG190,077-70,656$11,623
KE HLDGS INC 716,870 +304,189 $11,620
     BEKE716,870+304,189$11,620
STERLING INFRASTRUCTURE INC 131,069 +67,172 $11,525
     STRL131,069+67,172$11,525
JACOBS SOLUTIONS INC 88,589 -8,063 $11,499
     J88,589-8,063$11,499
PALO ALTO NETWORKS INC 38,720 -27,494 $11,418
     PANW38,720-27,494$11,418
AUTOZONE INC 4,377 -1,908 $11,317
     AZO4,377-1,908$11,317
HOST HOTELS & RESORTS INC 574,807 -20,348 $11,191
     HST574,807-20,348$11,191
PROGRESSIVE CORP 70,113 +24,763 $11,168
     PGR70,113+24,763$11,168
NEWMONT CORP 269,024 +50,519 $11,135
     NEM269,024+50,519$11,135
WELLTOWER INC 121,647 -70,564 $10,969
     WELL121,647-70,564$10,969
VIPSHOP HLDGS LTD 612,416 -69,373 $10,877
     VIPS612,416-69,373$10,877
MARATHON OIL CORP 448,266 -224,360 $10,830
     MRO448,266-224,360$10,830
AKAMAI TECHNOLOGIES INC 90,686 +18,895 $10,733
     AKAM90,686+18,895$10,733
EXPEDIA GROUP INC 70,491 -37,289 $10,700
     EXPE70,491-37,289$10,700
FASTENAL CO 163,138 +63,823 $10,566
     FAST163,138+63,823$10,566
SEI INVTS CO 165,602 -8,293 $10,524
     SEIC165,602-8,293$10,524
VANECK ETF TRUST (GDXJ) 272,500 UNCH $10,330
     GDXJ272,500UNCH$10,330
VALARIS LTD 145,838 -2,003 $10,000
     VAL145,838-2,003$10,000
VERISK ANALYTICS INC 41,041 +7,692 $9,803
     VRSK41,041+7,692$9,803
LEAR CORP 68,392 +59,095 $9,658
     LEA68,392+59,095$9,658
EDISON INTL 133,472 +72,460 $9,542
     EIX133,472+72,460$9,542
BEAZER HOMES USA INC 280,213 +89,848 $9,468
     BZH280,213+89,848$9,468
HILTON WORLDWIDE HLDGS INC 51,496 -9,466 $9,377
     HLT51,496-9,466$9,377
PAYPAL HLDGS INC 152,251 -56,209 $9,350
     PYPL152,251-56,209$9,350
GENERAL MLS INC 142,465 -121,588 $9,280
     GIS142,465-121,588$9,280
TRUIST FINL CORP 250,279 +147,076 $9,240
     TFC250,279+147,076$9,240
AMERIPRISE FINL INC 24,259 -16,695 $9,214
     AMP24,259-16,695$9,214
NEWMARKET CORP 16,820 -8,373 $9,181
     NEU16,820-8,373$9,181
HCA HEALTHCARE INC 33,677 -68,418 $9,116
     HCA33,677-68,418$9,116
SPDR GOLD TR (GLD) 47,293 UNCH $9,041
     GLD47,293UNCH$9,041
WEYERHAEUSER CO MTN BE 258,490 -167,358 $8,988
     WY258,490-167,358$8,988
CENTERPOINT ENERGY INC 313,545 +188,405 $8,958
     CNP313,545+188,405$8,958
WABTEC 70,593 -5,049 $8,958
     WAB70,593-5,049$8,958
OMNICOM GROUP INC 102,437 +1,432 $8,862
     OMC102,437+1,432$8,862
PENTAIR PLC 121,709 -9,065 $8,849
     PNR121,709-9,065$8,849
EASTMAN CHEM CO 97,866 +17,371 $8,790
     EMN97,866+17,371$8,790
BIOGEN INC 33,870 -4,442 $8,765
     BIIB33,870-4,442$8,765
MOSAIC CO NEW 245,002 +7,745 $8,754
     MOS245,002+7,745$8,754
ASSURANT INC 51,011 +46,520 $8,595
     AIZ51,011+46,520$8,595
MARRIOTT INTL INC NEW 37,978 -14,171 $8,564
     MAR37,978-14,171$8,564
ENPHYS ACQUISITION CORP 800,000 -1,675,000 $8,536
     NFYS800,000-1,675,000$8,536
YUM BRANDS INC 64,005 -1,885 $8,363
     YUM64,005-1,885$8,363
SYNCHRONY FINANCIAL 217,520 -123,157 $8,307
     SYF217,520-123,157$8,307
IRON MTN INC DEL 118,611 -5,688 $8,300
     IRM118,611-5,688$8,300
STERIS PLC 37,624 +29,977 $8,272
     STE37,624+29,977$8,272
LIBERTY MEDIA CORP DEL 286,439 +47,032 $8,244
     LSXMK286,439+47,032$8,244
OCCIDENTAL PETE CORP 138,066 +35,419 $8,244
     OXY138,066+35,419$8,244
FTAI AVIATION LTD 177,099 -37,945 $8,217
     FTAI177,099-37,945$8,217
SALLY BEAUTY HLDGS INC 615,384 +615,384 $8,172
     SBH615,384+615,384$8,172
DAVITA INC 76,700 +70,020 $8,035
     DVA76,700+70,020$8,035
ROYAL CARIBBEAN GROUP 61,935 -31,717 $8,020
     RCL61,935-31,717$8,020
APTIV PLC 89,128 +6,719 $7,997
     APTV89,128+6,719$7,997
EVEREST GROUP LTD 22,576 +22,576 $7,982
     EG22,576+22,576$7,982
CORECIVIC INC 545,967 +506,522 $7,933
     CXW545,967+506,522$7,933
ESSEX PPTY TR INC 31,837 -8,116 $7,894
     ESS31,837-8,116$7,894
WORKDAY INC 28,222 +12,260 $7,791
     WDAY28,222+12,260$7,791
TOLL BROTHERS INC 75,489 +6,770 $7,760
     TOL75,489+6,770$7,760
U S SILICA HLDGS INC 685,604 -31,907 $7,754
     SLCA685,604-31,907$7,754
COGNIZANT TECHNOLOGY SOLUTIO 102,420 -23,093 $7,736
     CTSH102,420-23,093$7,736
MSCI INC 13,580 +2,259 $7,682
     MSCI13,580+2,259$7,682
ALLY FINL INC 219,804 +183,209 $7,676
     ALLY219,804+183,209$7,676
AMERICAN AXLE & MFG HLDGS IN 870,948 -954 $7,673
     AXL870,948-954$7,673
AGILENT TECHNOLOGIES INC 55,157 +32,272 $7,668
     A55,157+32,272$7,668
INVITATION HOMES INC 222,928 -13,711 $7,604
     INVH222,928-13,711$7,604
BLACKSTONE INC 57,863 +3,155 $7,575
     BX57,863+3,155$7,575
MODERNA INC 75,700 -10,124 $7,528
     MRNA75,700-10,124$7,528
CUMMINS INC 31,327 -15,797 $7,505
     CMI31,327-15,797$7,505
VERTIV HOLDINGS CO 156,065 +35,222 $7,496
     VRT156,065+35,222$7,496
CONCENTRIX CORP 76,309 +71,195 $7,494
     CNXC76,309+71,195$7,494
DIGITAL RLTY TR INC 54,951 -57,715 $7,395
     DLR54,951-57,715$7,395
REALTY INCOME CORP 128,667 -131,680 $7,388
     O128,667-131,680$7,388
NORFOLK SOUTHN CORP 31,008 -20,040 $7,330
     NSC31,008-20,040$7,330
MASCO CORP 108,322 -6,480 $7,255
     MAS108,322-6,480$7,255
SUPER MICRO COMPUTER INC 24,948 -12,270 $7,092
     SMCI24,948-12,270$7,092
PERFORMANCE FOOD GROUP CO 101,104 +23,728 $6,991
     PFGC101,104+23,728$6,991
MARTIN MARIETTA MATLS INC 13,899 -21,756 $6,934
     MLM13,899-21,756$6,934
BEST BUY INC 88,442 -17,316 $6,923
     BBY88,442-17,316$6,923
STEVANATO GROUP S P A 250,000 UNCH $6,823
     STVN250,000UNCH$6,823
EDWARDS LIFESCIENCES CORP 88,618 -95,126 $6,757
     EW88,618-95,126$6,757
TANGER INC 239,289 -43,294 $6,633
     SKT239,289-43,294$6,633
PIONEER NAT RES CO 28,539 -93,310 $6,418
     PXD28,539-93,310$6,418
ALAMO GROUP INC 30,530 -18,950 $6,417
     ALG30,530-18,950$6,417
AMERICAN HOMES 4 RENT 178,128 -55,461 $6,405
     AMH178,128-55,461$6,405
WEST PHARMACEUTICAL SVSC INC 18,144 -9,871 $6,389
     WST18,144-9,871$6,389
AVALONBAY CMNTYS INC 33,850 -30,312 $6,337
     AVB33,850-30,312$6,337
VICTORY CAP HLDGS INC 179,266 +152,984 $6,174
     VCTR179,266+152,984$6,174
EXTRA SPACE STORAGE INC 38,348 -43,327 $6,148
     EXR38,348-43,327$6,148
GEN DIGITAL INC 267,463 +222,786 $6,104
     GEN267,463+222,786$6,104
TAPESTRY INC 164,134 +34,301 $6,042
     TPR164,134+34,301$6,042
PACKAGING CORP AMER 36,911 +29,943 $6,013
     PKG36,911+29,943$6,013
ERIE INDTY CO 17,930 -9,248 $6,005
     ERIE17,930-9,248$6,005
BERRY GLOBAL GROUP INC 89,008 +7,215 $5,998
     BERY89,008+7,215$5,998
METLIFE INC 89,930 -18,891 $5,947
     MET89,930-18,891$5,947
PRINCIPAL FINANCIAL GROUP IN 75,519 -70,190 $5,941
     PFG75,519-70,190$5,941
HEWLETT PACKARD ENTERPRISE C 349,844 +133,203 $5,940
     HPE349,844+133,203$5,940
ZIMMER BIOMET HOLDINGS INC 48,579 -49,473 $5,912
     ZBH48,579-49,473$5,912
SCHLUMBERGER LTD 113,486 -80,374 $5,906
     SLB113,486-80,374$5,906
AMERICAN TOWER CORP NEW 27,288 -16,809 $5,891
     AMT27,288-16,809$5,891
TRANSDIGM GROUP INC 5,696 -431 $5,762
     TDG5,696-431$5,762
DARLING INGREDIENTS INC 115,294 +1,637 $5,746
     DAR115,294+1,637$5,746
CAMPBELL SOUP CO 132,708 +115,099 $5,737
     CPB132,708+115,099$5,737
HF SINCLAIR CORP 102,578 +39,111 $5,700
     DINO102,578+39,111$5,700
FMC CORP 90,180 +692 $5,686
     FMC90,180+692$5,686
APA CORPORATION 156,657 +76,403 $5,621
     APA156,657+76,403$5,621
KELLANOVA 100,252 +30,040 $5,605
     K100,252+30,040$5,605
ALNYLAM PHARMACEUTICALS INC 29,214 -3,744 $5,592
     ALNY29,214-3,744$5,592
US FOODS HLDG CORP 122,659 -29,887 $5,570
     USFD122,659-29,887$5,570
MODINE MFG CO 93,198 -51,720 $5,564
     MOD93,198-51,720$5,564
KINDER MORGAN INC DEL 315,337 +159,025 $5,563
     KMI315,337+159,025$5,563
CACI INTL INC 16,785 +5,521 $5,436
     CACI16,785+5,521$5,436
CHECK POINT SOFTWARE TECH LT 35,089 +1,525 $5,361
     CHKP35,089+1,525$5,361
MOLINA HEALTHCARE INC 14,837 -2,764 $5,361
     MOH14,837-2,764$5,361
US BANCORP DEL 123,082 -141,936 $5,327
     USB123,082-141,936$5,327
MICRON TECHNOLOGY INC 62,271 -22,598 $5,314
     MU62,271-22,598$5,314
HOLOGIC INC 73,757 -12,736 $5,270
     HOLX73,757-12,736$5,270
GRIFFON CORP 86,339 +69,359 $5,262
     GFF86,339+69,359$5,262
L3HARRIS TECHNOLOGIES INC 24,818 -20,688 $5,227
     LHX24,818-20,688$5,227
HECLA MNG CO 1,076,873 -17,386 $5,180
     HL1,076,873-17,386$5,180
WILLIAMS COS INC 147,923 +39,215 $5,152
     WMB147,923+39,215$5,152
BLOCK H & R INC 105,363 +36,517 $5,096
     HRB105,363+36,517$5,096
WIX COM LTD 41,149 +24,703 $5,062
     WIX41,149+24,703$5,062
HESS CORP 33,779 -23,790 $4,870
     HES33,779-23,790$4,870
M & T BK CORP 35,292 +22,393 $4,838
     MTB35,292+22,393$4,838
REINSURANCE GRP OF AMERICA I 29,466 -11,859 $4,767
     RGA29,466-11,859$4,767
SCIENCE APPLICATIONS INTL CO 38,248 +3,588 $4,755
     SAIC38,248+3,588$4,755
FLEX LTD 155,249 -31,606 $4,729
     FLEX155,249-31,606$4,729
OTIS WORLDWIDE CORP 51,699 -87,268 $4,626
     OTIS51,699-87,268$4,626
INTEGER HLDGS CORP 46,493 +21,460 $4,607
     ITGR46,493+21,460$4,607
OPTION CARE HEALTH INC 136,639 -26,159 $4,603
     OPCH136,639-26,159$4,603
APPLIED INDL TECHNOLOGIES IN 26,390 -34,939 $4,557
     AIT26,390-34,939$4,557
GATES INDL CORP PLC 337,246 +233,834 $4,526
     GTES337,246+233,834$4,526
AMNEAL PHARMACEUTICALS INC 744,752 +24,651 $4,521
     AMRX744,752+24,651$4,521
MID AMER APT CMNTYS INC 33,532 -24,085 $4,509
     MAA33,532-24,085$4,509
CROWDSTRIKE HLDGS INC 17,346 -20 $4,429
     CRWD17,346-20$4,429
MOOG INC      $4,423
     MOG.A30,550+684$4,423
CONAGRA BRANDS INC 154,013 +117,042 $4,414
     CAG154,013+117,042$4,414
BRINKS CO 50,171 -70,221 $4,413
     BCO50,171-70,221$4,413
COMMSCOPE HLDG CO INC 1,561,443 +1,068,969 $4,403
     COMM1,561,443+1,068,969$4,403
M D C HLDGS INC 79,693 -24,447 $4,403
     MDC79,693-24,447$4,403
BEACON ROOFING SUPPLY INC 49,733 +23,149 $4,328
     BECN49,733+23,149$4,328
UDR INC 112,273 -47,231 $4,299
     UDR112,273-47,231$4,299
AMERICAN WOODMARK CORPORATIO 46,137 -12,668 $4,284
     AMWD46,137-12,668$4,284
BIOMARIN PHARMACEUTICAL INC 43,992 -5,691 $4,242
     BMRN43,992-5,691$4,242
HENRY JACK & ASSOC INC 25,636 +19,989 $4,189
     JKHY25,636+19,989$4,189
LIGHT & WONDER INC 50,253 -23,550 $4,126
     LNW50,253-23,550$4,126
O I GLASS INC 251,581 +148,418 $4,121
     OI251,581+148,418$4,121
FACTSET RESH SYS INC 8,575 -4,795 $4,091
     FDS8,575-4,795$4,091
TENCENT MUSIC ENTMT GROUP 453,563 +304,876 $4,087
     TME453,563+304,876$4,087
MOODYS CORP 10,435 -27,008 $4,075
     MCO10,435-27,008$4,075
XEROX HOLDINGS CORP 222,087 +168,713 $4,071
     XRX222,087+168,713$4,071
OLD REP INTL CORP 137,815 -14,386 $4,052
     ORI137,815-14,386$4,052
MIRUM PHARMACEUTICALS INC 137,216 +130,210 $4,051
     MIRM137,216+130,210$4,051
CUBESMART 87,356 -66,214 $4,049
     CUBE87,356-66,214$4,049
INTERNATIONAL PAPER CO 111,644 +72,255 $4,036
     IP111,644+72,255$4,036
CDW CORP 17,687 +6,659 $4,021
     CDW17,687+6,659$4,021
EMCOR GROUP INC 18,663 -7,769 $4,021
     EME18,663-7,769$4,021
EQUITY RESIDENTIAL 65,355 -107,721 $3,997
     EQR65,355-107,721$3,997
UNUM GROUP 88,365 -36,105 $3,996
     UNM88,365-36,105$3,996
TEGNA INC 260,717 -276,375 $3,989
     TGNA260,717-276,375$3,989
ADIENT PLC 109,359 +99,040 $3,976
     ADNT109,359+99,040$3,976
JANUS INTERNATIONAL GROUP IN 303,632 +139,420 $3,962
     JBI303,632+139,420$3,962
TOPBUILD CORP 10,509 -3,696 $3,933
     BLD10,509-3,696$3,933
COMMUNITY HEALTH SYS INC NEW 1,236,840 -478,428 $3,871
     CYH1,236,840-478,428$3,871
ALEXANDRIA REAL ESTATE EQ IN 29,837 -33,725 $3,782
     ARE29,837-33,725$3,782
NNN REIT INC 86,471 -59,147 $3,727
     NNN86,471-59,147$3,727
KEYSIGHT TECHNOLOGIES INC 23,376 -32,994 $3,719
     KEYS23,376-32,994$3,719
HOWMET AEROSPACE INC 68,564 -2,177 $3,711
     HWM68,564-2,177$3,711
EASTGROUP PPTYS INC 20,154 -8,819 $3,699
     EGP20,154-8,819$3,699
ROCKWELL AUTOMATION INC 11,891 -2,097 $3,692
     ROK11,891-2,097$3,692
REXFORD INDL RLTY INC 65,648 -44,898 $3,683
     REXR65,648-44,898$3,683
PRUDENTIAL FINL INC 35,425 +3,329 $3,674
     PRU35,425+3,329$3,674
VENTAS INC 72,933 -81,773 $3,635
     VTR72,933-81,773$3,635
DOMINOS PIZZA INC 8,647 +5,909 $3,565
     DPZ8,647+5,909$3,565
TEVA PHARMACEUTICAL INDS LTD 341,487 -46,851 $3,565
     TEVA341,487-46,851$3,565
FORTUNE BRANDS INNOVATIONS I 46,469 +21,504 $3,538
     FBIN46,469+21,504$3,538
BURLINGTON STORES INC 17,990 -861 $3,499
     BURL17,990-861$3,499
ALLEGION PLC 27,302 -18,908 $3,459
     ALLE27,302-18,908$3,459
NOVAGOLD RES INC 920,816 UNCH $3,444
     NG920,816UNCH$3,444
RYMAN HOSPITALITY PPTYS INC 31,256 -22,442 $3,440
     RHP31,256-22,442$3,440
MEDPACE HLDGS INC 11,106 -5,355 $3,404
     MEDP11,106-5,355$3,404
ITT INC 28,110 -11,480 $3,354
     ITT28,110-11,480$3,354
CREDICORP LTD 22,351 -13,005 $3,351
     BAP22,351-13,005$3,351
KONTOOR BRANDS INC 53,398 +33,994 $3,333
     KTB53,398+33,994$3,333
GENTEX CORP 101,949 -14,237 $3,330
     GNTX101,949-14,237$3,330
CHEMED CORP NEW 5,604 +486 $3,277
     CHE5,604+486$3,277
APTARGROUP INC 26,333 -5,522 $3,255
     ATR26,333-5,522$3,255
BRINKER INTL INC 75,361 +75,361 $3,254
     EAT75,361+75,361$3,254
FIRST INDL RLTY TR INC 61,185 -34,827 $3,223
     FR61,185-34,827$3,223
DIAMONDBACK ENERGY INC 20,775 -5,643 $3,222
     FANG20,775-5,643$3,222
ENCOMPASS HEALTH CORP 48,222 -6,811 $3,217
     EHC48,222-6,811$3,217
DONALDSON INC 49,190 -4,490 $3,215
     DCI49,190-4,490$3,215
WOODWARD INC 23,571 +1,141 $3,209
     WWD23,571+1,141$3,209
QUEST DIAGNOSTICS INC 23,173 +3,506 $3,195
     DGX23,173+3,506$3,195
CURTISS WRIGHT CORP 14,110 -4,060 $3,144
     CW14,110-4,060$3,144
EXACT SCIENCES CORP 42,245 -5,502 $3,125
     EXAS42,245-5,502$3,125
C H ROBINSON WORLDWIDE INC 36,094 +27,069 $3,118
     CHRW36,094+27,069$3,118
ESSENT GROUP LTD 58,892 -8,237 $3,106
     ESNT58,892-8,237$3,106
WILLIAMS SONOMA INC 15,365 -4,842 $3,100
     WSM15,365-4,842$3,100
FUTU HLDGS LTD 56,323 +45,542 $3,077
     FUTU56,323+45,542$3,077
VIATRIS INC 280,534 -36,825 $3,038
     VTRS280,534-36,825$3,038
ONEOK INC NEW 43,175 -23,630 $3,032
     OKE43,175-23,630$3,032
NUTANIX INC 63,444 -19,506 $3,026
     NTNX63,444-19,506$3,026
SUN CMNTYS INC 22,583 -25,526 $3,018
     SUI22,583-25,526$3,018
NEUROCRINE BIOSCIENCES INC 22,837 -2,990 $3,009
     NBIX22,837-2,990$3,009
AMCOR PLC 311,839 +197,760 $3,006
     AMCR311,839+197,760$3,006
MOLSON COORS BEVERAGE CO 48,219 +33,508 $2,951
     TAP48,219+33,508$2,951
UNITED RENTALS INC 5,137 -18,377 $2,946
     URI5,137-18,377$2,946
AMERICOLD REALTY TRUST INC 97,069 -77,384 $2,938
     COLD97,069-77,384$2,938
FEDERAL RLTY INVT TR NEW 28,496 -14,740 $2,937
     FRT28,496-14,740$2,937
SAIA INC 6,697 -1,133 $2,935
     SAIA6,697-1,133$2,935
ABERCROMBIE & FITCH CO 32,998 -26,039 $2,911
     ANF32,998-26,039$2,911
ZTO EXPRESS CAYMAN INC 136,641 -77,138 $2,908
     ZTO136,641-77,138$2,908
VEEVA SYS INC 15,075 -27,630 $2,902
     VEEV15,075-27,630$2,902
MR COOPER GROUP INC 44,546 +1,225 $2,901
     COOP44,546+1,225$2,901
COMFORT SYS USA INC 14,041 -6,746 $2,888
     FIX14,041-6,746$2,888
OSHKOSH CORP 26,607 -3,648 $2,884
     OSK26,607-3,648$2,884
LINCOLN ELEC HLDGS INC 13,253 -5,441 $2,882
     LECO13,253-5,441$2,882
M I HOMES INC 20,855 -10,799 $2,873
     MHO20,855-10,799$2,873
INCYTE CORP 44,511 -5,679 $2,795
     INCY44,511-5,679$2,795
EAST WEST BANCORP INC 38,600 -2,834 $2,777
     EWBC38,600-2,834$2,777
BRUKER CORP 37,570 -9,162 $2,761
     BRKR37,570-9,162$2,761
UNITED STATES STL CORP NEW 56,441 -21,357 $2,746
     X56,441-21,357$2,746
NVENT ELECTRIC PLC 46,261 -26,933 $2,734
     NVT46,261-26,933$2,734
SUNCOKE ENERGY INC 254,463 -249,321 $2,733
     SXC254,463-249,321$2,733
RENAISSANCERE HLDGS LTD 13,935 -5,320 $2,731
     RNR13,935-5,320$2,731
MURPHY USA INC 7,618 -1,536 $2,716
     MUSA7,618-1,536$2,716
BRIXMOR PPTY GROUP INC 116,123 -80,387 $2,702
     BRX116,123-80,387$2,702
SELECTIVE INS GROUP INC 27,092 +123 $2,695
     SIGI27,092+123$2,695
PVH CORPORATION 21,946 -8,416 $2,680
     PVH21,946-8,416$2,680
AIRBNB INC 19,605 -12,352 $2,669
     ABNB19,605-12,352$2,669
AGREE RLTY CORP 42,352 -2,757 $2,666
     ADC42,352-2,757$2,666
NEW YORK TIMES CO 54,324 -8,288 $2,661
     NYT54,324-8,288$2,661
JABIL INC 20,844 -4,136 $2,656
     JBL20,844-4,136$2,656
FIVE BELOW INC 12,416 -2,232 $2,647
     FIVE12,416-2,232$2,647
UNIVERSAL HLTH SVCS INC 17,337 +2,871 $2,643
     UHS17,337+2,871$2,643
BOISE CASCADE CO DEL 20,308 -14,230 $2,627
     BCC20,308-14,230$2,627
HUNTINGTON BANCSHARES INC (HBAN) 205,336 -111,297 $2,612
     HBAN205,336-111,297$2,612
KINSALE CAP GROUP INC 7,780 -3,890 $2,606
     KNSL7,780-3,890$2,606
TEXAS ROADHOUSE INC 21,314 -2,304 $2,605
     TXRH21,314-2,304$2,605
WEC ENERGY GROUP INC 30,910 +4,767 $2,602
     WEC30,910+4,767$2,602
NMI HLDGS INC 87,127 -17,782 $2,586
     NMIH87,127-17,782$2,586
SNOWFLAKE INC 12,886 -7,315 $2,564
     SNOW12,886-7,315$2,564
B & G FOODS INC NEW 243,874 +243,874 $2,561
     BGS243,874+243,874$2,561
SMITH A O CORP 31,025 +21,266 $2,558
     AOS31,025+21,266$2,558
FOX CORP 85,843 -302,555 $2,547
     FOXA85,843-302,555$2,547
WINTRUST FINL CORP 27,458 -730 $2,547
     WTFC27,458-730$2,547
INGREDION INC 23,382 -16 $2,538
     INGR23,382-16$2,538
BELLRING BRANDS INC 45,756 +5,560 $2,536
     BRBR45,756+5,560$2,536
SIMPSON MFG INC 12,763 -8,336 $2,527
     SSD12,763-8,336$2,527
WINGSTOP INC 9,808 -3,736 $2,517
     WING9,808-3,736$2,517
WP CAREY INC 38,831 -43,886 $2,517
     WPC38,831-43,886$2,517
MGIC INVT CORP WIS 130,170 -49,539 $2,511
     MTG130,170-49,539$2,511
PURE STORAGE INC 70,263 -12,291 $2,506
     PSTG70,263-12,291$2,506
ROYALTY PHARMA PLC 89,225 -11,614 $2,506
     RPRX89,225-11,614$2,506
TD SYNNEX CORPORATION 23,242 +142 $2,501
     SNX23,242+142$2,501
WESTERN UN CO 209,749 -38,272 $2,500
     WU209,749-38,272$2,500
APARTMENT INCOME REIT CORP 71,853 -37,639 $2,495
     AIRC71,853-37,639$2,495
FLOWSERVE CORP 60,507 -5,494 $2,494
     FLS60,507-5,494$2,494
APPLOVIN CORP 62,527 +8,594 $2,492
     APP62,527+8,594$2,492
AXALTA COATING SYS LTD 73,066 +21,004 $2,482
     AXTA73,066+21,004$2,482
ALLISON TRANSMISSION HLDGS I 42,481 -79,905 $2,470
     ALSN42,481-79,905$2,470
AFFILIATED MANAGERS GROUP IN 16,228 -5,866 $2,457
     AMG16,228-5,866$2,457
AVNET INC 48,663 +1,089 $2,453
     AVT48,663+1,089$2,453
CLEVELAND CLIFFS INC NEW 119,032 -22,849 $2,431
     CLF119,032-22,849$2,431
GUIDEWIRE SOFTWARE INC 22,227 -1,316 $2,424
     GWRE22,227-1,316$2,424
TENET HEALTHCARE CORP 31,990 -48,691 $2,417
     THC31,990-48,691$2,417
LIBERTY ENERGY INC 133,198 +35,622 $2,416
     LBRT133,198+35,622$2,416
UNITED THERAPEUTICS CORP DEL 10,973 -1,427 $2,413
     UTHR10,973-1,427$2,413
WATTS WATER TECHNOLOGIES INC 11,581 -4,745 $2,413
     WTS11,581-4,745$2,413
WILLIS TOWERS WATSON PLC LTD 9,994 -55,829 $2,411
     WTW9,994-55,829$2,411
PRICESMART INC 31,591 -10,084 $2,394
     PSMT31,591-10,084$2,394
SKECHERS U S A INC 38,388 -10,088 $2,393
     SKX38,388-10,088$2,393
STAG INDL INC 60,760 -35,508 $2,385
     STAG60,760-35,508$2,385
MARVELL TECHNOLOGY INC 39,537 -48,792 $2,384
     MRVL39,537-48,792$2,384
EAGLE MATLS INC 11,749 -5,906 $2,383
     EXP11,749-5,906$2,383
PRIMERICA INC 11,579 -859 $2,382
     PRI11,579-859$2,382
AXIS CAP HLDGS LTD 42,833 +318 $2,372
     AXS42,833+318$2,372
ENERSYS 23,400 -17,946 $2,362
     ENS23,400-17,946$2,362
ON SEMICONDUCTOR CORP 28,271 -54,771 $2,361
     ON28,271-54,771$2,361
TETRA TECH INC NEW 14,126 -999 $2,358
     TTEK14,126-999$2,358
AGCO CORP 19,303 -10,021 $2,344
     AGCO19,303-10,021$2,344
KARUNA THERAPEUTICS INC 7,402 -1,645 $2,343
     KRTX7,402-1,645$2,343
TENNANT CO 25,227 -1,980 $2,338
     TNC25,227-1,980$2,338
MURPHY OIL CORP 54,710 -7,427 $2,334
     MUR54,710-7,427$2,334
KITE RLTY GROUP TR 101,723 -60,301 $2,325
     KRG101,723-60,301$2,325
CHORD ENERGY CORPORATION 13,916 -3,174 $2,313
     CHRD13,916-3,174$2,313
ARCH RESOURCES INC 13,925 +1,754 $2,311
     ARCH13,925+1,754$2,311
DORIAN LPG LTD 52,505 -39,584 $2,303
     LPG52,505-39,584$2,303
CROWN CASTLE INC 19,936 -13,665 $2,296
     CCI19,936-13,665$2,296
OMEGA HEALTHCARE INVS INC 74,877 -49,855 $2,296
     OHI74,877-49,855$2,296
RALPH LAUREN CORP 15,871 -2,154 $2,289
     RL15,871-2,154$2,289
INGLES MKTS INC 26,487 -20,318 $2,288
     IMKTA26,487-20,318$2,288
E L F BEAUTY INC 15,770 -23,028 $2,276
     ELF15,770-23,028$2,276
PINNACLE WEST CAP CORP 31,662 -6,893 $2,275
     PNW31,662-6,893$2,275
GODADDY INC 21,368 -5,198 $2,268
     GDDY21,368-5,198$2,268
EQUITY LIFESTYLE PPTYS INC 32,119 -36,290 $2,266
     ELS32,119-36,290$2,266
MICROCHIP TECHNOLOGY INC. 25,032 -101,643 $2,257
     MCHP25,032-101,643$2,257
FABRINET 11,835 -6,011 $2,253
     FN11,835-6,011$2,253
COCA COLA CONS INC 2,419 -1,653 $2,246
     COKE2,419-1,653$2,246
PHOTRONICS INC 71,568 -22,298 $2,245
     PLAB71,568-22,298$2,245
VALVOLINE INC 59,696 +8,839 $2,243
     VVV59,696+8,839$2,243
ADVANCED DRAIN SYS INC DEL 15,860 -809 $2,231
     WMS15,860-809$2,231
ANTERO MIDSTREAM CORP 176,626 +50,984 $2,213
     AM176,626+50,984$2,213
DEXCOM INC 17,821 -17,163 $2,211
     DXCM17,821-17,163$2,211
PENUMBRA INC 8,769 -2,329 $2,206
     PEN8,769-2,329$2,206
CARRIER GLOBAL CORPORATION 38,385 -26,306 $2,205
     CARR38,385-26,306$2,205
ALPHA METALLURGICAL RESOUR I 6,496 -2,799 $2,202
     AMR6,496-2,799$2,202
WEATHERFORD INTL PLC 22,440 -37,231 $2,195
     WFRD22,440-37,231$2,195
KKR & CO INC 26,439 -20,373 $2,190
     KKR26,439-20,373$2,190
GMS INC 26,510 -1,596 $2,185
     GMS26,510-1,596$2,185
PERDOCEO ED CORP 124,454 +20,091 $2,185
     PRDO124,454+20,091$2,185
YELP INC 46,103 +471 $2,183
     YELP46,103+471$2,183
UFP INDUSTRIES INC 17,373 -15,135 $2,181
     UFPI17,373-15,135$2,181
CLEAN HARBORS INC 12,448 -4,752 $2,172
     CLH12,448-4,752$2,172
ALLSTATE CORP 15,473 -4,893 $2,166
     ALL15,473-4,893$2,166
FIRSTCASH HOLDINGS INC 19,975 -439 $2,165
     FCFS19,975-439$2,165
CONSTELLATION BRANDS INC 8,930 -3,856 $2,159
     STZ8,930-3,856$2,159
ARMSTRONG WORLD INDS INC NEW 21,942 -2,162 $2,157
     AWI21,942-2,162$2,157
BADGER METER INC 13,970 -5,313 $2,157
     BMI13,970-5,313$2,157
CONSTELLATION ENERGY CORP 18,353 -6,792 $2,145
     CEG18,353-6,792$2,145
TECHNIPFMC PLC 106,524 -20,696 $2,145
     FTI106,524-20,696$2,145
HURON CONSULTING GROUP INC 20,848 -6,120 $2,143
     HURN20,848-6,120$2,143
TEREX CORP NEW 37,097 -4,620 $2,132
     TEX37,097-4,620$2,132
CIENA CORP 47,229 +7,251 $2,126
     CIEN47,229+7,251$2,126
DUOLINGO INC 9,354 -3,116 $2,122
     DUOL9,354-3,116$2,122
FIRST HORIZON CORPORATION 149,447 +60,090 $2,116
     FHN149,447+60,090$2,116
FRONTDOOR INC 60,086 +17,650 $2,116
     FTDR60,086+17,650$2,116
TRADEWEB MKTS INC 23,260 +14,736 $2,114
     TW23,260+14,736$2,114
PROG HOLDINGS INC 68,194 -12,678 $2,108
     PRG68,194-12,678$2,108
KB HOME 33,699 -35,202 $2,105
     KBH33,699-35,202$2,105
KIMCO RLTY CORP 98,715 -141,003 $2,104
     KIM98,715-141,003$2,104
MDU RES GROUP INC 106,236 +7,137 $2,103
     MDU106,236+7,137$2,103
FLEETCOR TECHNOLOGIES INC 7,394 +1,959 $2,090
     FLT7,394+1,959$2,090
TREX CO INC 25,091 +740 $2,077
     TREX25,091+740$2,077
WEX INC 10,652 -2,880 $2,072
     WEX10,652-2,880$2,072
INTERACTIVE BROKERS GROUP IN 24,984 -15,640 $2,071
     IBKR24,984-15,640$2,071
RYERSON HLDG CORP 59,724 -10,637 $2,071
     RYI59,724-10,637$2,071
XPO INC 23,402 -961 $2,050
     XPO23,402-961$2,050
COMMERCIAL METALS CO 40,898 -24,898 $2,047
     CMC40,898-24,898$2,047
AMERICAN EAGLE OUTFITTERS IN 96,390 -5,468 $2,040
     AEO96,390-5,468$2,040
SERVICE CORP INTL 29,796 -8,412 $2,040
     SCI29,796-8,412$2,040
UNIVERSAL DISPLAY CORP 10,570 -5,289 $2,022
     OLED10,570-5,289$2,022
PEABODY ENERGY CORP 83,089 +6,438 $2,021
     BTU83,089+6,438$2,021
REGENCY CTRS CORP 30,160 -34,099 $2,021
     REG30,160-34,099$2,021
QUALYS INC 10,292 -672 $2,020
     QLYS10,292-672$2,020
LAMAR ADVERTISING CO NEW 18,969 -3,947 $2,016
     LAMR18,969-3,947$2,016
STEELCASE INC 148,974 +18,972 $2,014
     SCS148,974+18,972$2,014
GULFPORT ENERGY CORP 15,087 -2,711 $2,010
     GPOR15,087-2,711$2,010
ITRON INC 26,617 -7,846 $2,010
     ITRI26,617-7,846$2,010
MERITAGE HOMES CORP 11,522 -6,822 $2,007
     MTH11,522-6,822$2,007
RITHM CAPITAL CORP 187,905 -54,482 $2,007
     RITM187,905-54,482$2,007
JEFFERIES FINL GROUP INC 49,614 +8,456 $2,005
     JEF49,614+8,456$2,005
NATIONAL FUEL GAS CO 39,939 -6,561 $2,004
     NFG39,939-6,561$2,004
BUCKLE INC 42,059 -31,457 $1,999
     BKE42,059-31,457$1,999
BRADY CORP 34,059 -7,408 $1,999
     BRC34,059-7,408$1,999
ATKORE INC 12,464 -17,361 $1,994
     ATKR12,464-17,361$1,994
VONTIER CORPORATION 57,688 -5,390 $1,993
     VNT57,688-5,390$1,993
RADIAN GROUP INC 69,683 -29,441 $1,989
     RDN69,683-29,441$1,989
HEALTHCARE RLTY TR 114,961 -32,246 $1,981
     HR114,961-32,246$1,981
INSIGHT ENTERPRISES INC 11,163 -408 $1,978
     NSIT11,163-408$1,978
THE ODP CORP 34,994 -15,481 $1,970
     ODP34,994-15,481$1,970
WARRIOR MET COAL INC 32,260 -1,901 $1,967
     HCC32,260-1,901$1,967
DISCOVER FINL SVCS 17,487 -35,894 $1,966
     DFS17,487-35,894$1,966
HEALTHPEAK PROPERTIES INC 99,298 -112,231 $1,966
     PEAK99,298-112,231$1,966
TRI POINTE HOMES INC 55,488 -41,987 $1,964
     TPH55,488-41,987$1,964
CARGURUS INC 81,042 -62,001 $1,958
     CARG81,042-62,001$1,958
ESAB CORPORATION 22,544 -2,644 $1,953
     ESAB22,544-2,644$1,953
BLOCK INC 25,248 -16,922 $1,953
     SQ25,248-16,922$1,953
EQUITY COMWLTH 101,566 -13,634 $1,950
     EQC101,566-13,634$1,950
BIRKENSTOCK HOLDING PLC 40,000 +40,000 $1,949
     BIRK40,000+40,000$1,949
COUSINS PPTYS INC 80,055 -16,967 $1,949
     CUZ80,055-16,967$1,949
IQVIA HLDGS INC 8,421 -5,957 $1,948
     IQV8,421-5,957$1,948
EXLSERVICE HOLDINGS INC 63,110 -15,317 $1,947
     EXLS63,110-15,317$1,947
MASTERBRAND INC 130,966 +71,844 $1,945
     MBC130,966+71,844$1,945
WEBSTER FINL CORP 38,044 +24,507 $1,931
     WBS38,044+24,507$1,931
NASDAQ INC 33,179 -106,010 $1,929
     NDAQ33,179-106,010$1,929
SPS COMM INC 9,946 -2,025 $1,928
     SPSC9,946-2,025$1,928
CAMDEN PPTY TR 19,380 -23,178 $1,924
     CPT19,380-23,178$1,924
AMERICAN ELEC PWR CO INC 23,664 -16,221 $1,922
     AEP23,664-16,221$1,922
GRAND CANYON ED INC 14,548 -27 $1,921
     LOPE14,548-27$1,921
OGE ENERGY CORP 54,683 -23,363 $1,910
     OGE54,683-23,363$1,910
SOUTHWESTERN ENERGY CO 291,615 -61,081 $1,910
     SWN291,615-61,081$1,910
MCGRATH RENTCORP 15,936 -4,517 $1,906
     MGRC15,936-4,517$1,906
GRAPHIC PACKAGING HLDG CO 77,160 -33,871 $1,902
     GPK77,160-33,871$1,902
BOSTON PROPERTIES INC 27,049 -30,569 $1,898
     BXP27,049-30,569$1,898
NEW JERSEY RES CORP 42,445 -8,292 $1,892
     NJR42,445-8,292$1,892
SUMMIT MATLS INC 49,172 +2,426 $1,891
     SUM49,172+2,426$1,891
PBF ENERGY INC 42,780 -13,316 $1,881
     PBF42,780-13,316$1,881
MUELLER INDS INC 39,859 +17,806 $1,879
     MLI39,859+17,806$1,879
RLI CORP 14,078 -18,148 $1,874
     RLI14,078-18,148$1,874
RAMBUS INC DEL 27,357 -20,984 $1,867
     RMBS27,357-20,984$1,867
ALEXANDER & BALDWIN INC NEW 97,683 -10,981 $1,858
     ALEX97,683-10,981$1,858
EQT CORP 47,762 -7,639 $1,846
     EQT47,762-7,639$1,846
HALLIBURTON CO 51,027 -18,877 $1,845
     HAL51,027-18,877$1,845
OPTHEA LTD 625,000 UNCH $1,844
     OPT625,000UNCH$1,844
ALLETE INC 30,103 -8,408 $1,841
     ALE30,103-8,408$1,841
ARROW ELECTRS INC 15,018 -23,686 $1,836
     ARW15,018-23,686$1,836
WYNDHAM HOTELS & RESORTS INC 22,750 -3,839 $1,829
     WH22,750-3,839$1,829
MERIT MED SYS INC 23,997 -13,342 $1,823
     MMSI23,997-13,342$1,823
LIVERAMP HLDGS INC 48,089 +7,445 $1,822
     RAMP48,089+7,445$1,822
EPLUS INC 22,734 -6,685 $1,815
     PLUS22,734-6,685$1,815
OSI SYSTEMS INC 14,048 -3,826 $1,813
     OSIS14,048-3,826$1,813
RANGE RES CORP 59,416 -19,544 $1,809
     RRC59,416-19,544$1,809
DOMINION ENERGY INC 38,423 -26,341 $1,806
     D38,423-26,341$1,806
ARAMARK 63,973 +44,790 $1,798
     ARMK63,973+44,790$1,798
ELASTIC N V 15,956 -477 $1,798
     ESTC15,956-477$1,798
FORTINET INC 30,683 -62,618 $1,796
     FTNT30,683-62,618$1,796
ROYAL GOLD INC 14,824 +963 $1,793
     RGLD14,824+963$1,793
FIFTH THIRD BANCORP 51,887 -14,842 $1,790
     FITB51,887-14,842$1,790
HAEMONETICS CORP MASS 20,922 -13,950 $1,789
     HAE20,922-13,950$1,789
SPX TECHNOLOGIES INC 17,580 -5,066 $1,776
     SPXC17,580-5,066$1,776
TERADATA CORP DEL 40,795 -7,435 $1,775
     TDC40,795-7,435$1,775
DOW INC 32,342 -22,463 $1,774
     DOW32,342-22,463$1,774
GROUP 1 AUTOMOTIVE INC 5,810 -2,328 $1,771
     GPI5,810-2,328$1,771
OLLIES BARGAIN OUTLET HLDGS 23,308 +1,014 $1,769
     OLLI23,308+1,014$1,769
SAREPTA THERAPEUTICS INC 18,347 -4,161 $1,769
     SRPT18,347-4,161$1,769
MSA SAFETY INC 10,456 -1,942 $1,765
     MSA10,456-1,942$1,765
TAYLOR MORRISON HOME CORP 33,073 -42,042 $1,764
     TMHC33,073-42,042$1,764
SABRA HEALTH CARE REIT INC 123,526 +4,205 $1,763
     SBRA123,526+4,205$1,763
FIRST AMERN FINL CORP 27,258 +877 $1,757
     FAF27,258+877$1,757
INTERNATIONAL BANCSHARES COR (IBOC) 32,300 -16,407 $1,755
     IBOC32,300-16,407$1,755
EPR PPTYS 36,189 -12,789 $1,753
     EPR36,189-12,789$1,753
DENTSPLY SIRONA INC 49,037 +32,566 $1,745
     XRAY49,037+32,566$1,745
OLD NATL BANCORP IND 103,144 -26,656 $1,742
     ONB103,144-26,656$1,742
CHARTER COMMUNICATIONS INC N 4,475 -12,456 $1,739
     CHTR4,475-12,456$1,739
GAP INC 83,166 +21,689 $1,739
     GPS83,166+21,689$1,739
LAS VEGAS SANDS CORP 35,324 +8,675 $1,738
     LVS35,324+8,675$1,738
LITTELFUSE INC 6,491 -1,788 $1,737
     LFUS6,491-1,788$1,737
ENERPAC TOOL GROUP CORP 55,765 +3,421 $1,734
     EPAC55,765+3,421$1,734
GIBRALTAR INDS INC 21,882 -10,412 $1,728
     ROCK21,882-10,412$1,728
JAZZ PHARMACEUTICALS PLC 14,029 -2,948 $1,726
     JAZZ14,029-2,948$1,726
ONEMAIN HLDGS INC 35,070 -8,707 $1,725
     OMF35,070-8,707$1,725
AUTONATION INC 11,422 -2,575 $1,715
     AN11,422-2,575$1,715
SS&C TECHNOLOGIES HLDGS INC 28,018 +10,638 $1,712
     SSNC28,018+10,638$1,712
PAR PAC HOLDINGS INC 46,945 -26,473 $1,707
     PARR46,945-26,473$1,707
KENVUE INC 79,246 -39,453 $1,706
     KVUE79,246-39,453$1,706
NCR VOYIX CORPORATION 62,920 +12,891 $1,704
     NCR62,920+12,891$1,704
ESCO TECHNOLOGIES INC 14,556 +4,466 $1,703
     ESE14,556+4,466$1,703
TERRENO RLTY CORP 27,125 -21,586 $1,700
     TRNO27,125-21,586$1,700
VOYA FINANCIAL INC 23,292 -4,274 $1,699
     VOYA23,292-4,274$1,699
ATLASSIAN CORPORATION 7,125 -4,643 $1,695
     TEAM7,125-4,643$1,695
EVERCORE INC 9,882 -1,325 $1,690
     EVR9,882-1,325$1,690
PLEXUS CORP 15,617 +1,248 $1,689
     PLXS15,617+1,248$1,689
CYTOKINETICS INC 20,200 -5,609 $1,686
     CYTK20,200-5,609$1,686
WESTAMERICA BANCORPORATION 29,880 -12,059 $1,686
     WABC29,880-12,059$1,686
PG&E CORP 93,187 -168,288 $1,680
     PCG93,187-168,288$1,680
HEALTHEQUITY INC 25,308 +78 $1,678
     HQY25,308+78$1,678
RYDER SYS INC 14,528 -14,723 $1,672
     R14,528-14,723$1,672
NEW YORK CMNTY BANCORP INC 162,583 -62,966 $1,663
     NYCB162,583-62,966$1,663
LAUREATE EDUCATION INC 121,204 -104,356 $1,662
     LAUR121,204-104,356$1,662
BLUE BIRD CORP 61,207 +48,178 $1,650
     BLBD61,207+48,178$1,650
FEDERAL SIGNAL CORP 21,498 -6,990 $1,650
     FSS21,498-6,990$1,650
INTERDIGITAL INC 15,190 -7,944 $1,649
     IDCC15,190-7,944$1,649
COMERICA INC 29,507 -7,957 $1,647
     CMA29,507-7,957$1,647
CULLEN FROST BANKERS INC 15,174 -2,778 $1,646
     CFR15,174-2,778$1,646
LITHIA MTRS INC 4,996 -758 $1,645
     LAD4,996-758$1,645
HUB GROUP INC 17,879 -9,130 $1,644
     HUBG17,879-9,130$1,644
COSTAR GROUP INC 18,782 -12,874 $1,641
     CSGP18,782-12,874$1,641
EXELON CORP 45,722 -31,339 $1,641
     EXC45,722-31,339$1,641
CARPENTER TECHNOLOGY CORP 23,155 -11,879 $1,639
     CRS23,155-11,879$1,639
COMMVAULT SYS INC 20,499 -11,816 $1,637
     CVLT20,499-11,816$1,637
FIDELITY NATL INFORMATION SV 27,240 -18,667 $1,636
     FIS27,240-18,667$1,636
NATIONAL HEALTH INVS INC 29,225 -6,739 $1,632
     NHI29,225-6,739$1,632
ARCOSA INC 19,735 -15,165 $1,631
     ACA19,735-15,165$1,631
SM ENERGY CO 42,072 -8,734 $1,629
     SM42,072-8,734$1,629
KILROY RLTY CORP 40,863 -3,845 $1,628
     KRC40,863-3,845$1,628
WESCO INTL INC 9,364 +543 $1,628
     WCC9,364+543$1,628
LANDSTAR SYS INC 8,397 -1,070 $1,626
     LSTR8,397-1,070$1,626
STIFEL FINL CORP 23,519 -12,127 $1,626
     SF23,519-12,127$1,626
DUPONT DE NEMOURS INC 21,100 -14,463 $1,623
     DD21,100-14,463$1,623
AAON INC 21,952 -11,907 $1,622
     AAON21,952-11,907$1,622
IMMUNOGEN INC 54,685 -7,455 $1,621
     IMGN54,685-7,455$1,621
CNX RES CORP 80,749 -9,870 $1,615
     CNX80,749-9,870$1,615
BJS WHSL CLUB HLDGS INC 24,152 -2,602 $1,610
     BJ24,152-2,602$1,610
SMARTSHEET INC 33,636 -1,103 $1,608
     SMAR33,636-1,103$1,608
EXELIXIS INC 66,618 -16,546 $1,598
     EXEL66,618-16,546$1,598
NORTHERN TR CORP 18,906 +2,765 $1,595
     NTRS18,906+2,765$1,595
ELANCO ANIMAL HEALTH INC 106,775 -30,926 $1,591
     ELAN106,775-30,926$1,591
CORVEL CORP 6,433 -2,896 $1,590
     CRVL6,433-2,896$1,590
CONSOL ENERGY INC NEW 15,797 +4,521 $1,588
     CEIX15,797+4,521$1,588
POWELL INDS INC 17,941 +8,874 $1,586
     POWL17,941+8,874$1,586
ENSIGN GROUP INC 14,113 -8,537 $1,584
     ENSG14,113-8,537$1,584
BROADSTONE NET LEASE INC 91,710 -45,660 $1,579
     BNL91,710-45,660$1,579
POLARIS INC 16,665 -8,025 $1,579
     PII16,665-8,025$1,579
ESSENTIAL PPTYS RLTY TR INC 61,683 -59,963 $1,577
     EPRT61,683-59,963$1,577
CABOT CORP 18,878 +7,556 $1,576
     CBT18,878+7,556$1,576
NOV INC 77,361 -6,182 $1,569
     NOV77,361-6,182$1,569
VERALTO CORP 19,006 +19,006 $1,563
     VLTO19,006+19,006$1,563
LAUDER ESTEE COS INC 10,658 -7,305 $1,559
     EL10,658-7,305$1,559
UNITED BANKSHARES INC WEST V (UBSI) 41,515 +3,265 $1,559
     UBSI41,515+3,265$1,559
BANK OZK LITTLE ROCK ARK 31,182 -1,025 $1,554
     OZK31,182-1,025$1,554
ADTALEM GLOBAL ED INC 26,285 -11,457 $1,550
     ATGE26,285-11,457$1,550
PINNACLE FINL PARTNERS INC 17,735 +1,440 $1,547
     PNFP17,735+1,440$1,547
IDACORP INC 15,688 -4,423 $1,542
     IDA15,688-4,423$1,542
ACADIA HEALTHCARE COMPANY IN 19,789 -9,762 $1,539
     ACHC19,789-9,762$1,539
JANUS HENDERSON GROUP PLC 50,948 -33,903 $1,536
     JHG50,948-33,903$1,536
DOLBY LABORATORIES INC 17,793 -6,438 $1,533
     DLB17,793-6,438$1,533
URBAN OUTFITTERS INC 42,816 -17,418 $1,528
     URBN42,816-17,418$1,528
GLOBUS MED INC 28,662 -17,144 $1,527
     GMED28,662-17,144$1,527
CSW INDUSTRIALS INC 7,333 -19,645 $1,521
     CSWI7,333-19,645$1,521
GLOBAL PMTS INC 11,965 -10,718 $1,520
     GPN11,965-10,718$1,520
SOLARWINDS CORP 121,010 +68,592 $1,511
     SWI121,010+68,592$1,511
IONIS PHARMACEUTICALS INC 29,844 -6,734 $1,510
     IONS29,844-6,734$1,510
MATTEL INC 79,960 -10,148 $1,510
     MAT79,960-10,148$1,510
DRAFTKINGS INC NEW 42,737 +10,493 $1,506
     DKNG42,737+10,493$1,506
EMPLOYERS HLDGS INC 38,144 +2,126 $1,503
     EIG38,144+2,126$1,503
ACUITY BRANDS INC 7,332 +289 $1,502
     AYI7,332+289$1,502
HAMILTON INSURANCE GROUP LTD 100,000 +100,000 $1,495
     HG100,000+100,000$1,495
TEMPUR SEALY INTL INC 29,247 -8,563 $1,491
     TPX29,247-8,563$1,491
GREEN BRICK PARTNERS INC 28,670 -13,287 $1,489
     GRBK28,670-13,287$1,489
GRAHAM HLDGS CO 2,133 -130 $1,486
     GHC2,133-130$1,486
FEDERAL AGRIC MTG CORP 7,766 -2,316 $1,485
     AGM7,766-2,316$1,485
FORESTAR GROUP INC 44,911 -14,083 $1,485
     FOR44,911-14,083$1,485
PGT INNOVATIONS INC 36,463 +45 $1,484
     PGTI36,463+45$1,484
STRIDE INC 24,986 -1,337 $1,483
     LRN24,986-1,337$1,483
INTERNATIONAL SEAWAYS INC 32,454 -40,703 $1,476
     INSW32,454-40,703$1,476
THE TRADE DESK INC 20,451 -14,016 $1,472
     TTD20,451-14,016$1,472
SANMINA CORPORATION 28,606 -8,363 $1,469
     SANM28,606-8,363$1,469
LXP INDUSTRIAL TRUST 147,667 -62,253 $1,465
     LXP147,667-62,253$1,465
MONARCH CASINO & RESORT INC 21,148 -2,564 $1,462
     MCRI21,148-2,564$1,462
PALANTIR TECHNOLOGIES INC 84,866 -55,565 $1,457
     PLTR84,866-55,565$1,457
GE HEALTHCARE TECHNOLOGIES I 18,813 -77,727 $1,455
     GEHC18,813-77,727$1,455
CHURCHILL DOWNS INC 10,742 -3,358 $1,449
     CHDN10,742-3,358$1,449
ANSYS INC 3,984 -2,730 $1,446
     ANSS3,984-2,730$1,446
HOULIHAN LOKEY INC 12,013 -240 $1,440
     HLI12,013-240$1,440
QUANTA SVCS INC 6,674 -4,574 $1,440
     PWR6,674-4,574$1,440
SPROUTS FMRS MKT INC 29,902 -13,620 $1,439
     SFM29,902-13,620$1,439
OLIN CORP 26,632 -13,268 $1,437
     OLN26,632-13,268$1,437
BOYD GAMING CORP 22,892 -18,966 $1,433
     BYD22,892-18,966$1,433
INTRA CELLULAR THERAPIES INC 20,007 -4,478 $1,433
     ITCI20,007-4,478$1,433
APPFOLIO INC 8,261 +924 $1,431
     APPF8,261+924$1,431
SKYWORKS SOLUTIONS INC 12,731 +275 $1,431
     SWKS12,731+275$1,431
APOGEE ENTERPRISES INC 26,767 -17,776 $1,430
     APOG26,767-17,776$1,430
FIRST MERCHANTS CORP 38,320 -1,235 $1,421
     FRME38,320-1,235$1,421
OFG BANCORP 37,889 -26,241 $1,420
     OFG37,889-26,241$1,420
DATADOG INC 11,682 -7,831 $1,418
     DDOG11,682-7,831$1,418
URBAN EDGE PPTYS 77,308 +26,171 $1,415
     UE77,308+26,171$1,415
COMMERCE BANCSHARES INC (CBSH) 26,423 -2,571 $1,411
     CBSH26,423-2,571$1,411
LIVE NATION ENTERTAINMENT IN 15,072 +2,626 $1,411
     LYV15,072+2,626$1,411
ARCHROCK INC 91,330 +18,927 $1,406
     AROC91,330+18,927$1,406
F N B CORP 102,095 +1,036 $1,406
     FNB102,095+1,036$1,406
CNO FINL GROUP INC 50,338 -18,976 $1,404
     CNO50,338-18,976$1,404
CRANE COMPANY 11,870 +1,004 $1,402
     CR11,870+1,004$1,402
OVINTIV INC 31,756 -7,437 $1,395
     OVV31,756-7,437$1,395
EQUIFAX INC 5,638 -3,864 $1,394
     EFX5,638-3,864$1,394
ZIONS BANCORPORATION N A 31,703 +15,114 $1,391
     ZION31,703+15,114$1,391
ANDERSONS INC 23,952 -4 $1,378
     ANDE23,952-4$1,378
PROSPERITY BANCSHARES INC (PB) 20,333 -5,585 $1,377
     PB20,333-5,585$1,377
JONES LANG LASALLE INC 7,286 +3,475 $1,376
     JLL7,286+3,475$1,376
MSC INDL DIRECT INC 13,573 -9,890 $1,374
     MSM13,573-9,890$1,374
BLACKBAUD INC 15,829 -342 $1,372
     BLKB15,829-342$1,372
DOLLAR GEN CORP NEW 10,083 -6,911 $1,371
     DG10,083-6,911$1,371
DOLLAR TREE INC 9,626 -6,597 $1,367
     DLTR9,626-6,597$1,367
COINBASE GLOBAL INC 7,853 -5,179 $1,366
     COIN7,853-5,179$1,366
TIMKEN CO 16,952 -8,668 $1,359
     TKR16,952-8,668$1,359
SCHOLASTIC CORP 35,999 -6,760 $1,357
     SCHL35,999-6,760$1,357
AXCELIS TECHNOLOGIES INC 10,426 -5,857 $1,352
     ACLS10,426-5,857$1,352
PHILLIPS EDISON & CO INC 37,067 -17,775 $1,352
     PECO37,067-17,775$1,352
SIGNET JEWELERS LIMITED 12,599 -1,002 $1,351
     SIG12,599-1,002$1,351
MONGODB INC 3,279 -2,190 $1,341
     MDB3,279-2,190$1,341
PREMIER INC 59,954 +17,694 $1,341
     PINC59,954+17,694$1,341
GOLDEN ENTMT INC 33,410 -1,500 $1,334
     GDEN33,410-1,500$1,334
CORE & MAIN INC 32,986 +9,443 $1,333
     CNM32,986+9,443$1,333
CBRE GROUP INC 14,289 -9,794 $1,330
     CBRE14,289-9,794$1,330
HOME BANCSHARES INC (HOMB) 52,505 -41,099 $1,330
     HOMB52,505-41,099$1,330
SONOCO PRODS CO 23,789 +1,372 $1,329
     SON23,789+1,372$1,329
METTLER TOLEDO INTERNATIONAL 1,095 -2,416 $1,328
     MTD1,095-2,416$1,328
TELEPHONE & DATA SYS INC 72,132 +14,203 $1,324
     TDS72,132+14,203$1,324
J & J SNACK FOODS CORP 7,868 +1,687 $1,315
     JJSF7,868+1,687$1,315
INNOSPEC INC 10,653 -5,652 $1,313
     IOSP10,653-5,652$1,313
INSTALLED BLDG PRODS INC 7,142 -3,624 $1,306
     IBP7,142-3,624$1,306
MONOLITHIC PWR SYS INC 2,070 -1,420 $1,306
     MPWR2,070-1,420$1,306
THOR INDS INC 11,016 -2,896 $1,303
     THO11,016-2,896$1,303
PATHWARD FINANCIAL INC 24,599 +7,934 $1,302
     CASH24,599+7,934$1,302
AMERICAN EQTY INVT LIFE HLD 23,265 -3,572 $1,298
     AEL23,265-3,572$1,298
ONTO INNOVATION INC 8,484 +1,804 $1,297
     ONTO8,484+1,804$1,297
AGILYSYS INC 15,247 -1,073 $1,293
     AGYS15,247-1,073$1,293
INNOVATIVE INDL PPTYS INC 12,807 -4,467 $1,291
     IIPR12,807-4,467$1,291
APPLE HOSPITALITY REIT INC 77,494 -80,460 $1,287
     APLE77,494-80,460$1,287
INSPERITY INC 10,973 +4,337 $1,286
     NSP10,973+4,337$1,286
ADDUS HOMECARE CORP 13,772 -2,993 $1,279
     ADUS13,772-2,993$1,279
CONMED CORP 11,620 -1,587 $1,273
     CNMD11,620-1,587$1,273
SCANSOURCE INC 32,100 +12,410 $1,271
     SCSC32,100+12,410$1,271
ACADEMY SPORTS & OUTDOORS IN 19,248 -10,775 $1,270
     ASO19,248-10,775$1,270
TURNING PT BRANDS INC 48,250 -57,577 $1,270
     TPB48,250-57,577$1,270
FTI CONSULTING INC 6,370 +3,745 $1,269
     FCN6,370+3,745$1,269
SBA COMMUNICATIONS CORP NEW 4,980 -3,413 $1,263
     SBAC4,980-3,413$1,263
AMERICAN ASSETS TR INC 55,968 -21,875 $1,260
     AAT55,968-21,875$1,260
HUBSPOT INC 2,167 -1,485 $1,258
     HUBS2,167-1,485$1,258
XYLEM INC 11,001 -7,542 $1,258
     XYL11,001-7,542$1,258
NATIONAL STORAGE AFFILIATES 30,277 -14,509 $1,256
     NSA30,277-14,509$1,256
FRESH DEL MONTE PRODUCE INC 47,774 +1,315 $1,254
     FDP47,774+1,315$1,254
TAKE TWO INTERACTIVE SOFTWAR 7,785 -5,335 $1,253
     TTWO7,785-5,335$1,253
MFA FINL INC 110,352 -21,938 $1,244
     MFA110,352-21,938$1,244
PLAINS GP HLDGS L P 77,909 -27,042 $1,243
     PAGP77,909-27,042$1,243
PROGYNY INC 33,433 -8,420 $1,243
     PGNY33,433-8,420$1,243
BLUEPRINT MEDICINES CORP 13,468 -3,676 $1,242
     BPMC13,468-3,676$1,242
WESTERN ALLIANCE BANCORP 18,841 +3,223 $1,240
     WAL18,841+3,223$1,240
HEARTLAND FINL USA INC 32,948 +3,226 $1,239
     HTLF32,948+3,226$1,239
DTE ENERGY CO 11,230 -4,739 $1,238
     DTE11,230-4,739$1,238
CARS COM INC 65,224 +13,770 $1,237
     CARS65,224+13,770$1,237
PARK HOTELS & RESORTS INC 80,691 -29,097 $1,235
     PK80,691-29,097$1,235
UNIFIRST CORP MASS 6,748 +3,739 $1,234
     UNF6,748+3,739$1,234
RAYMOND JAMES FINL INC 10,972 -4,732 $1,223
     RJF10,972-4,732$1,223
MIDDLEBY CORP 8,293 -1,361 $1,220
     MIDD8,293-1,361$1,220
AZEK CO INC 31,870 +19,927 $1,219
     AZEK31,870+19,927$1,219
CALIFORNIA RES CORP 22,296 -14,891 $1,219
     CRC22,296-14,891$1,219
H & E EQUIPMENT SERVICES INC 23,265 -67,533 $1,217
     HEES23,265-67,533$1,217
MACYS INC 60,493 +15,566 $1,217
     M60,493+15,566$1,217
MAXIMUS INC 14,504 -320 $1,216
     MMS14,504-320$1,216
VISTEON CORP 9,728 -766 $1,215
     VC9,728-766$1,215
WARNER BROS DISCOVERY INC 106,375 -72,925 $1,211
     WBD106,375-72,925$1,211
CARTERS INC 16,147 +9,812 $1,209
     CRI16,147+9,812$1,209
LADDER CAP CORP 104,965 -14,252 $1,208
     LADR104,965-14,252$1,208
MATADOR RES CO 21,159 -5,818 $1,203
     MTDR21,159-5,818$1,203
HEXCEL CORP NEW 16,242 -3,061 $1,198
     HXL16,242-3,061$1,198
IAC INC 22,864 -4,831 $1,198
     IAC22,864-4,831$1,198
ENCORE WIRE CORP 5,609 -3,903 $1,198
     WIRE5,609-3,903$1,198
FORTIVE CORP 16,251 -43,915 $1,197
     FTV16,251-43,915$1,197
CENTERSPACE 20,540 +2,891 $1,195
     CSR20,540+2,891$1,195
THERMON GROUP HLDGS INC 36,663 -14,549 $1,194
     THR36,663-14,549$1,194
RBC BEARINGS INC 4,188 -1,635 $1,193
     RBC4,188-1,635$1,193
SHOCKWAVE MED INC 6,257 -5,191 $1,192
     SWAV6,257-5,191$1,192
POPULAR INC 14,483 -7,526 $1,189
     BPOP14,483-7,526$1,189
LABORATORY CORP AMER HLDGS 5,233 -3,544 $1,189
     LH5,233-3,544$1,189
GENERAC HLDGS INC 9,183 +4,393 $1,187
     GNRC9,183+4,393$1,187
FEDERATED HERMES INC 35,033 -9,638 $1,186
     FHI35,033-9,638$1,186
ARCBEST CORP 9,848 -363 $1,184
     ARCB9,848-363$1,184
GATX CORP 9,839 -1,045 $1,183
     GATX9,839-1,045$1,183
AMERICAN WTR WKS CO INC NEW 8,947 -6,134 $1,181
     AWK8,947-6,134$1,181
BLACK HILLS CORP 21,890 +3,168 $1,181
     BKH21,890+3,168$1,181
TEXAS PACIFIC LAND CORPORATI 751 -258 $1,181
     TPL751-258$1,181
AFFIRM HLDGS INC 24,014 +8,647 $1,180
     AFRM24,014+8,647$1,180
HAWKINS INC 16,753 -7,948 $1,180
     HWKN16,753-7,948$1,180
INTERFACE INC 93,353 +70,666 $1,178
     TILE93,353+70,666$1,178
COGNEX CORP 28,138 +14,764 $1,174
     CGNX28,138+14,764$1,174
PRIMORIS SVCS CORP 35,303 +8,456 $1,172
     PRIM35,303+8,456$1,172
MYR GROUP INC DEL 8,076 -9,793 $1,168
     MYRG8,076-9,793$1,168
FRANKLIN ELEC INC 12,076 -9,858 $1,167
     FELE12,076-9,858$1,167
DOORDASH INC 11,770 -7,786 $1,164
     DASH11,770-7,786$1,164
RESMED INC 6,754 -39,668 $1,162
     RMD6,754-39,668$1,162
MILLERKNOLL INC 42,962 +29,482 $1,146
     MLKN42,962+29,482$1,146
SANFILIPPO JOHN B & SON INC 11,082 -7,158 $1,142
     JBSS11,082-7,158$1,142
APELLIS PHARMACEUTICALS INC 19,031 -4,068 $1,139
     APLS19,031-4,068$1,139
ALARM COM HLDGS INC 17,595 +4,669 $1,137
     ALRM17,595+4,669$1,137
AMKOR TECHNOLOGY INC 34,087 -5,478 $1,134
     AMKR34,087-5,478$1,134
UNIVERSAL INS HLDGS INC 70,962 -2,223 $1,134
     UVE70,962-2,223$1,134
FLOOR & DECOR HLDGS INC 10,146 -1,374 $1,132
     FND10,146-1,374$1,132
CORNING INC 37,130 -25,448 $1,131
     GLW37,130-25,448$1,131
HALOZYME THERAPEUTICS INC 30,535 -7,161 $1,129
     HALO30,535-7,161$1,129
KOPPERS HOLDINGS INC 22,037 -3,964 $1,129
     KOP22,037-3,964$1,129
PENSKE AUTOMOTIVE GRP INC 7,029 -19,195 $1,128
     PAG7,029-19,195$1,128
ACI WORLDWIDE INC 36,659 +161 $1,122
     ACIW36,659+161$1,122
SPIRIT RLTY CAP INC NEW 25,648 -47,066 $1,121
     SRC25,648-47,066$1,121
SPLUNK INC 7,352 -4,836 $1,120
     SPLK7,352-4,836$1,120
EURONET WORLDWIDE INC 11,030 +925 $1,119
     EEFT11,030+925$1,119
WORTHINGTON ENTERPRISES INC 19,407 -444 $1,117
     WOR19,407-444$1,117
HAMILTON LANE INC 9,804 -1,700 $1,112
     HLNE9,804-1,700$1,112
PRICE T ROWE GROUP INC 10,325 -7,076 $1,112
     TROW10,325-7,076$1,112
OTTER TAIL CORP 13,066 -860 $1,110
     OTTR13,066-860$1,110
NOW INC 97,790 -12,819 $1,107
     DNOW97,790-12,819$1,107
ENOVA INTL INC 19,978 -30,697 $1,106
     ENVA19,978-30,697$1,106
SITEONE LANDSCAPE SUPPLY INC 6,798 -855 $1,105
     SITE6,798-855$1,105
CAL MAINE FOODS INC 19,232 -8,446 $1,104
     CALM19,232-8,446$1,104
VIRTU FINL INC 54,415 -22,736 $1,102
     VIRT54,415-22,736$1,102
MATTHEWS INTL CORP 29,936 -71 $1,097
     MATW29,936-71$1,097
MATERION CORP 8,431 -1,756 $1,097
     MTRN8,431-1,756$1,097
COTY INC 88,281 -37,959 $1,096
     COTY88,281-37,959$1,096
ALBANY INTL CORP 11,113 -162 $1,092
     AIN11,113-162$1,092
CRISPR THERAPEUTICS AG 17,438 -3,846 $1,092
     CRSP17,438-3,846$1,092
CIRRUS LOGIC INC 13,123 +889 $1,092
     CRUS13,123+889$1,092
COPT DEFENSE PROPERTIES 42,624 -56,885 $1,092
     OFC42,624-56,885$1,092
EXPEDITORS INTL WASH INC 8,576 -4,215 $1,091
     EXPD8,576-4,215$1,091
COMPANIA DE MINAS BUENAVENTU 71,501 -1,010 $1,090
     BVN71,501-1,010$1,090
INTER PARFUMS INC 7,572 -5,237 $1,090
     IPAR7,572-5,237$1,090
VAXCYTE INC 17,358 -2,615 $1,090
     PCVX17,358-2,615$1,090
ENLINK MIDSTREAM LLC 89,572 -37,822 $1,089
     ENLC89,572-37,822$1,089
KIRBY CORP 13,877 -151 $1,089
     KEX13,877-151$1,089
SKYWEST INC 20,871 +13,858 $1,089
     SKYW20,871+13,858$1,089
VIMEO INC 277,311 +104,167 $1,087
     VMEO277,311+104,167$1,087
CBIZ INC 17,333 -21,499 $1,085
     CBZ17,333-21,499$1,085
TRACTOR SUPPLY CO 5,037 -3,453 $1,083
     TSCO5,037-3,453$1,083
BWX TECHNOLOGIES INC 14,097 -1,364 $1,082
     BWXT14,097-1,364$1,082
SCRIPPS E W CO OHIO 134,821 -1,812 $1,077
     SSP134,821-1,812$1,077
HOVNANIAN ENTERPRISES INC 6,917 +2,314 $1,076
     HOV6,917+2,314$1,076
MAGNOLIA OIL & GAS CORP 50,496 +2,263 $1,075
     MGY50,496+2,263$1,075
SEABOARD CORP DEL 301 -11 $1,075
     SEB301-11$1,075
AGNC INVT CORP 109,493 -32,981 $1,074
     AGNC109,493-32,981$1,074
AMER STATES WTR CO 13,328 -1,005 $1,072
     AWR13,328-1,005$1,072
UPBOUND GROUP INC 31,548 +3,574 $1,072
     UPBD31,548+3,574$1,072
ZURN ELKAY WATER SOLNS CORP 36,410 +15,273 $1,071
     ZWS36,410+15,273$1,071
AMERIS BANCORP 20,179 +5,133 $1,070
     ABCB20,179+5,133$1,070
AVIENT CORPORATION 25,728 -2,087 $1,070
     AVNT25,728-2,087$1,070
CITY HLDG CO 9,684 -1,223 $1,068
     CHCO9,684-1,223$1,068
ORION S.A. 38,457 -1,902 $1,066
     OEC38,457-1,902$1,066
CLEARWATER PAPER CORP 29,477 +3,648 $1,065
     CLW29,477+3,648$1,065
ASSOCIATED BANC CORP 49,715 +6,375 $1,063
     ASB49,715+6,375$1,063
CHESAPEAKE ENERGY CORP 13,811 -3,614 $1,063
     CHK13,811-3,614$1,063
ORASURE TECHNOLOGIES INC 129,621 -12,408 $1,063
     OSUR129,621-12,408$1,063
BOK FINL CORP 12,402 -16,174 $1,062
     BOKF12,402-16,174$1,062
CHURCH & DWIGHT CO INC 11,228 -7,697 $1,062
     CHD11,228-7,697$1,062
SLM CORP 55,314 -15,401 $1,058
     SLM55,314-15,401$1,058
ENDEAVOR GROUP HLDGS INC 44,487 -1,956 $1,056
     EDR44,487-1,956$1,056
BANCORP INC DEL 27,354 -19,626 $1,055
     TBBK27,354-19,626$1,055
CLOUDFLARE INC 12,645 -8,665 $1,053
     NET12,645-8,665$1,053
NATERA INC 16,810 +1,293 $1,053
     NTRA16,810+1,293$1,053
VARONIS SYS INC 23,188 +14,686 $1,050
     VRNS23,188+14,686$1,050
STARWOOD PPTY TR INC 49,922 -16,105 $1,049
     STWD49,922-16,105$1,049
NEXSTAR MEDIA GROUP INC 6,681 -2,234 $1,047
     NXST6,681-2,234$1,047
BRUNSWICK CORP 10,787 -4,485 $1,044
     BC10,787-4,485$1,044
ENACT HLDGS INC 36,040 +393 $1,041
     ACT36,040+393$1,041
CROCS INC 11,130 -9,433 $1,040
     CROX11,130-9,433$1,040
S & T BANCORP INC 30,912 -3,805 $1,033
     STBA30,912-3,805$1,033
AMERISAFE INC 22,067 -2,536 $1,032
     AMSF22,067-2,536$1,032
FLOWERS FOODS INC 45,742 -471 $1,030
     FLO45,742-471$1,030
PARSONS CORP DEL 16,372 -957 $1,027
     PSN16,372-957$1,027
LANCASTER COLONY CORP 6,158 -2,777 $1,025
     LANC6,158-2,777$1,025
HELIX ENERGY SOLUTIONS GRP I 99,552 +46,368 $1,023
     HLX99,552+46,368$1,023
SELECT MED HLDGS CORP 43,504 +1,387 $1,022
     SEM43,504+1,387$1,022
INSPIRE MED SYS INC 5,010 -3,213 $1,019
     INSP5,010-3,213$1,019
ENOVIS CORPORATION 18,170 -8,071 $1,018
     ENOV18,170-8,071$1,018
GXO LOGISTICS INCORPORATED 16,612 -3,975 $1,016
     GXO16,612-3,975$1,016
STANDEX INTL CORP 6,398 -6,404 $1,013
     SXI6,398-6,404$1,013
PERRIGO CO PLC 31,333 -7,099 $1,008
     PRGO31,333-7,099$1,008
REGAL REXNORD CORPORATION 6,810 -4,220 $1,008
     RRX6,810-4,220$1,008
STONEX GROUP INC 13,623 +5,306 $1,006
     SNEX13,623+5,306$1,006
GRAFTECH INTL LTD 457,907 -875,715 $1,003
     EAF457,907-875,715$1,003
FIRST FINL BANCORP OH 42,138 -9,524 $1,001
     FFBC42,138-9,524$1,001
ELEMENT SOLUTIONS INC 43,181 -16,526 $999
     ESI43,181-16,526$999
FIRST BANCORP P R 60,626 -40,093 $997
     FBP60,626-40,093$997
CIVITAS RESOURCES INC 14,556 -12,932 $995
     CIVI14,556-12,932$995
FRANKLIN BSP RLTY TR INC 73,530 +21,557 $993
     FBRT73,530+21,557$993
PINTEREST INC 26,795 -19,255 $992
     PINS26,795-19,255$992
EVERSOURCE ENERGY 16,036 -10,991 $990
     ES16,036-10,991$990
GENWORTH FINL INC 147,022 -34,242 $982
     GNW147,022-34,242$982
WENDYS CO 50,403 +3,290 $982
     WEN50,403+3,290$982
AVISTA CORP 27,440 +7,238 $981
     AVA27,440+7,238$981
INSMED INC 31,609 -7,152 $980
     INSM31,609-7,152$980
SKYWARD SPECIALTY INS GROUP 28,911 -6,077 $980
     SKWD28,911-6,077$980
UMB FINL CORP 11,722 +3,255 $979
     UMBF11,722+3,255$979
BARRETT BUSINESS SVCS INC 8,438 -753 $977
     BBSI8,438-753$977
MADDEN STEVEN LTD 23,237 -4,547 $976
     SHOO23,237-4,547$976
PIPER SANDLER COMPANIES 5,558 -2,871 $972
     PIPR5,558-2,871$972
GUESS INC 42,101 -749 $971
     GES42,101-749$971
HYSTER YALE MATLS HANDLING I 15,581 -1,865 $969
     HY15,581-1,865$969
TELEDYNE TECHNOLOGIES INC 2,163 -1,481 $965
     TDY2,163-1,481$965
VIRTUS INVT PARTNERS INC 3,992 +949 $965
     VRTS3,992+949$965
FLUOR CORP NEW 24,577 +3,531 $963
     FLR24,577+3,531$963
VESTIS CORPORATION 45,495 +45,495 $962
     VSTS45,495+45,495$962
PATTERSON COS INC 33,749 -62,954 $960
     PDCO33,749-62,954$960
LKQ CORP 20,058 -177,138 $959
     LKQ20,058-177,138$959
AIR LEASE CORP 22,783 -1,365 $956
     AL22,783-1,365$956
MGE ENERGY INC 13,227 -441 $956
     MGEE13,227-441$956
INTERNATIONAL FLAVORS&FRAGRA 11,727 -8,037 $950
     IFF11,727-8,037$950
RLJ LODGING TR 81,072 -5,936 $950
     RLJ81,072-5,936$950
MORNINGSTAR INC 3,311 -772 $948
     MORN3,311-772$948
VORNADO RLTY TR 33,509 -29,539 $947
     VNO33,509-29,539$947
COLUMBUS MCKINNON CORP N Y 24,251 +1,417 $946
     CMCO24,251+1,417$946
VISHAY INTERTECHNOLOGY INC 39,478 -44,133 $946
     VSH39,478-44,133$946
EDGEWELL PERS CARE CO 25,735 -641 $943
     EPC25,735-641$943
ATI INC 20,710 -8,511 $942
     ATI20,710-8,511$942
MASONITE INTL CORP 11,104 +864 $940
     DOOR11,104+864$940
SOUTHSTATE CORPORATION 11,135 -1,101 $940
     SSB11,135-1,101$940
TKO GROUP HOLDINGS INC 11,506 +5,703 $939
     TKO11,506+5,703$939
EQUITRANS MIDSTREAM CORP 91,080 +31,275 $927
     ETRN91,080+31,275$927
ANTERO RESOURCES CORP 40,755 +4,732 $924
     AR40,755+4,732$924
PENNYMAC MTG INVT TR 61,504 -17,009 $919
     PMT61,504-17,009$919
FIRSTENERGY CORP 25,015 -17,148 $917
     FE25,015-17,148$917
ALIGN TECHNOLOGY INC 3,342 -10,430 $916
     ALGN3,342-10,430$916
DONNELLEY FINL SOLUTIONS INC 14,686 -1,541 $916
     DFIN14,686-1,541$916
KBR INC 16,490 -16,684 $914
     KBR16,490-16,684$914
DARDEN RESTAURANTS INC 5,559 -40,093 $913
     DRI5,559-40,093$913
CARETRUST REIT INC 40,578 -28,006 $908
     CTRE40,578-28,006$908
TRINET GROUP INC 7,627 -3,614 $907
     TNET7,627-3,614$907
PC CONNECTION INC 13,477 -3,686 $906
     CNXN13,477-3,686$906
HEICO CORP NEW      $906
     HEI.A3,836-1,903$546
     HEI2,011-1,370$360
EVERTEC INC 22,096 -26,401 $905
     EVTC22,096-26,401$905
ASHLAND INC 10,682 -4,516 $901
     ASH10,682-4,516$901
ACCO BRANDS CORP 148,010 +87,871 $900
     ACCO148,010+87,871$900
BAXTER INTL INC 23,237 -15,929 $898
     BAX23,237-15,929$898
INDEPENDENCE RLTY TR INC 58,663 -48,896 $898
     IRT58,663-48,896$898
WHITE MTNS INS GROUP LTD 596 -83 $897
     WTM596-83$897
WATERS CORP 2,715 -1,860 $894
     WAT2,715-1,860$894
ARES MANAGEMENT CORPORATION 7,497 -4,950 $892
     ARES7,497-4,950$892
ZSCALER INC 4,024 -2,758 $892
     ZS4,024-2,758$892
MICROSTRATEGY INC 1,411 +563 $891
     MSTR1,411+563$891
EXPONENT INC 10,094 -7,979 $889
     EXPO10,094-7,979$889
ASBURY AUTOMOTIVE GROUP INC 3,942 -392 $887
     ABG3,942-392$887
CSG SYS INTL INC 16,677 +303 $887
     CSGS16,677+303$887
ETHAN ALLEN INTERIORS INC 27,796 -16,167 $887
     ETD27,796-16,167$887
HEALTHSTREAM INC 32,773 +3,066 $886
     HSTM32,773+3,066$886
ROBLOX CORP 19,327 -13,248 $884
     RBLX19,327-13,248$884
WALGREENS BOOTS ALLIANCE INC 33,738 -23,122 $881
     WBA33,738-23,122$881
LEGEND BIOTECH CORP 14,601 +2,752 $879
     LEGN14,601+2,752$879
PORTLAND GEN ELEC CO 20,245 -1,554 $877
     POR20,245-1,554$877
G III APPAREL GROUP LTD 25,707 +15,855 $874
     GIII25,707+15,855$874
AMEREN CORP 12,071 -15,316 $873
     AEE12,071-15,316$873
EMPIRE ST RLTY TR INC 89,823 -3,803 $870
     ESRT89,823-3,803$870
ASSETMARK FINL HLDGS INC 29,010 -7,811 $869
     AMK29,010-7,811$869
BEL FUSE INC 13,022 +5,521 $869
     BELFB13,022+5,521$869
DYCOM INDS INC 7,520 -1,614 $865
     DY7,520-1,614$865
HERC HLDGS INC 5,807 -1,103 $865
     HRI5,807-1,103$865
SPARTANNASH CO 37,698 +12,382 $865
     SPTN37,698+12,382$865
CUSTOMERS BANCORP INC 14,958 +14,958 $862
     CUBI14,958+14,958$862
COOPER COS INC 2,275 -1,559 $861
     COO2,275-1,559$861
FULLER H B CO 10,582 -2,913 $861
     FUL10,582-2,913$861
BERRY CORP 122,346 -45,418 $860
     BRY122,346-45,418$860
CARNIVAL CORP 46,293 -31,741 $858
     CCL46,293-31,741$858
TARGA RES CORP 9,872 -6,766 $858
     TRGP9,872-6,766$858
BRIGHTSPHERE INVT GROUP INC 44,607 -5,743 $855
     BSIG44,607-5,743$855
LEMAITRE VASCULAR INC 15,068 -3,576 $855
     LMAT15,068-3,576$855
LAMB WESTON HLDGS INC 7,902 -67,973 $854
     LW7,902-67,973$854
ORGANON & CO 59,129 -13,290 $853
     OGN59,129-13,290$853
ARGAN INC 18,210 +8,704 $852
     AGX18,210+8,704$852
SHAKE SHACK INC 11,486 +4,381 $851
     SHAK11,486+4,381$851
WABASH NATL CORP 33,227 -52,146 $851
     WNC33,227-52,146$851
NATIONAL HEALTHCARE CORP 9,198 -1,798 $850
     NHC9,198-1,798$850
AXOS FINANCIAL INC 15,550 -24,425 $849
     AX15,550-24,425$849
SL GREEN RLTY CORP 18,771 -6,113 $848
     SLG18,771-6,113$848
ASSURED GUARANTY LTD 11,315 -751 $847
     AGO11,315-751$847
KORN FERRY 14,263 +7,375 $847
     KFY14,263+7,375$847
CHOICE HOTELS INTL INC 7,458 +2,210 $845
     CHH7,458+2,210$845
TENABLE HLDGS INC 18,353 -5,956 $845
     TENB18,353-5,956$845
ENTERPRISE FINL SVCS CORP 18,832 -11,745 $841
     EFSC18,832-11,745$841
AVIS BUDGET GROUP 4,740 -1,019 $840
     CAR4,740-1,019$840
HARLEY DAVIDSON INC 22,795 -25,523 $840
     HOG22,795-25,523$840
SYNOVUS FINL CORP 22,254 -5,574 $838
     SNV22,254-5,574$838
FIDELITY NATIONAL FINANCIAL 16,414 -3,621 $837
     FNF16,414-3,621$837
REGIONS FINANCIAL CORP NEW 43,126 -29,567 $836
     RF43,126-29,567$836
AXON ENTERPRISE INC 3,226 -2,212 $833
     AXON3,226-2,212$833
BRIDGEBIO PHARMA INC 20,632 -4,436 $833
     BBIO20,632-4,436$833
BALL CORP 14,459 -9,911 $832
     BALL14,459-9,911$832
ENPHASE ENERGY INC 6,300 -4,318 $832
     ENPH6,300-4,318$832
VIPER ENERGY INC 26,328 -12,441 $826
     VNOM26,328-12,441$826
ENTEGRIS INC 6,880 -4,716 $824
     ENTG6,880-4,716$824
REV GROUP INC 45,357 +45,357 $824
     REVG45,357+45,357$824
HANOVER INS GROUP INC 6,784 -751 $824
     THG6,784-751$824
UNIVERSAL CORP VA 12,188 +216 $820
     UVV12,188+216$820
NORWEGIAN CRUISE LINE HLDG L 40,854 -12,761 $819
     NCLH40,854-12,761$819
BGC GROUP INC 113,168 -16,996 $817
     BGC113,168-16,996$817
CADENCE BANK 27,624 -5,231 $817
     CADE27,624-5,231$817
BROWN FORMAN CORP      $814
     BF.B14,257-9,771$814
FB FINL CORP 20,364 +20,364 $812
     FBK20,364+20,364$812
SENSATA TECHNOLOGIES HLDG PL 21,623 +9,827 $812
     ST21,623+9,827$812
CLOROX CO DEL 5,683 -73,030 $810
     CLX5,683-73,030$810
SOFI TECHNOLOGIES INC 81,352 -9,094 $809
     SOFI81,352-9,094$809
SQUARESPACE INC 24,419 +1,349 $806
     SQSP24,419+1,349$806
1ST SOURCE CORP 14,662 -736 $806
     SRCE14,662-736$806
TYLER TECHNOLOGIES INC 1,926 -1,320 $805
     TYL1,926-1,320$805
FIRST SOLAR INC 4,665 -3,197 $804
     FSLR4,665-3,197$804
JACKSON FINANCIAL INC 15,674 -10,801 $803
     JXN15,674-10,801$803
PREMIER FINANCIAL CORP 33,227 -24,498 $801
     PFC33,227-24,498$801
ACUSHNET HLDGS CORP 12,638 +12,638 $798
     GOLF12,638+12,638$798
HUNTINGTON INGALLS INDS INC 3,065 -25 $796
     HII3,065-25$796
BOSTON BEER INC 2,301 +1,113 $795
     SAM2,301+1,113$795
WHIRLPOOL CORP 6,527 +2,312 $795
     WHR6,527+2,312$795
NAPCO SEC TECHNOLOGIES INC 23,190 +23,190 $794
     NSSC23,190+23,190$794
ULTRAGENYX PHARMACEUTICAL IN 16,578 -3,496 $793
     RARE16,578-3,496$793
EPAM SYS INC 2,663 -4,378 $792
     EPAM2,663-4,378$792
SIMPLY GOOD FOODS CO 20,007 +326 $792
     SMPL20,007+326$792
CATHAY GEN BANCORP 17,749 -10,187 $791
     CATY17,749-10,187$791
SNAP INC 46,708 -32,013 $791
     SNAP46,708-32,013$791
MCCORMICK & CO INC 11,543 -42,075 $790
     MKC11,543-42,075$790
VALMONT INDS INC 3,379 -7,493 $789
     VMI3,379-7,493$789
ZOOM VIDEO COMMUNICATIONS IN 10,962 -7,514 $788
     ZM10,962-7,514$788
VERADIGM INC 74,821 +1,331 $785
     MDRX74,821+1,331$785
KULICKE & SOFFA INDS INC 14,272 +5,585 $781
     KLIC14,272+5,585$781
HIMS & HERS HEALTH INC 87,659 +15,406 $780
     HIMS87,659+15,406$780
YEXT INC 132,379 -26,320 $780
     YEXT132,379-26,320$780
ALBEMARLE CORP 5,394 -3,697 $779
     ALB5,394-3,697$779
SANDRIDGE ENERGY INC 57,002 +12,844 $779
     SD57,002+12,844$779
CMS ENERGY CORP 13,404 -9,190 $778
     CMS13,404-9,190$778
SEAGATE TECHNOLOGY HLDNGS PL 9,080 -5,358 $775
     STX9,080-5,358$775
CHAMPIONX CORPORATION 26,503 -22,450 $774
     CHX26,503-22,450$774
TERADYNE INC 7,130 -4,851 $774
     TER7,130-4,851$774
JUNIPER NETWORKS INC 26,217 -74,561 $773
     JNPR26,217-74,561$773
DIAMONDROCK HOSPITALITY CO 82,162 -43,571 $772
     DRH82,162-43,571$772
ENSTAR GROUP LIMITED 2,623 +917 $772
     ESGR2,623+917$772
WAYFAIR INC 12,514 +454 $772
     W12,514+454$772
ACADIA PHARMACEUTICALS INC 24,624 -5,450 $771
     ACAD24,624-5,450$771
BOOZ ALLEN HAMILTON HLDG COR 6,026 -7,617 $771
     BAH6,026-7,617$771
UPWORK INC 51,867 +51,867 $771
     UPWK51,867+51,867$771
NORTHWEST BANCSHARES INC MD (NWBI) 61,674 +45,922 $770
     NWBI61,674+45,922$770
WESTERN DIGITAL CORP. 14,702 -10,082 $770
     WDC14,702-10,082$770
BELDEN INC 9,937 -43,092 $768
     BDC9,937-43,092$768
NAVIENT CORPORATION 41,262 -4,747 $768
     NAVI41,262-4,747$768
IES HLDGS INC 9,668 +904 $766
     IESC9,668+904$766
DELTA AIR LINES INC DEL 19,005 -6,593 $765
     DAL19,005-6,593$765
BANCFIRST CORP 7,839 -1,520 $763
     BANF7,839-1,520$763
BRIGHT HORIZONS FAM SOL IN D 8,096 +958 $763
     BFAM8,096+958$763
NORTHWEST NAT HLDG CO 19,589 -3,327 $763
     NWN19,589-3,327$763
HUNT J B TRANS SVCS INC 3,811 -13,855 $761
     JBHT3,811-13,855$761
KNIFE RIVER CORP 11,472 -675 $759
     KNF11,472-675$759
IDEX CORP 3,474 -2,381 $754
     IEX3,474-2,381$754
MOHAWK INDS INC 7,284 +3,099 $754
     MHK7,284+3,099$754
VERINT SYS INC 27,894 +18,895 $754
     VRNT27,894+18,895$754
LINDSAY CORP 5,829 +5,829 $753
     LNN5,829+5,829$753
CRANE NXT CO 13,217 +2,221 $752
     CXT13,217+2,221$752
WD 40 CO 3,142 +2,093 $751
     WDFC3,142+2,093$751
AVERY DENNISON CORP 3,712 -2,544 $750
     AVY3,712-2,544$750
IRIDIUM COMMUNICATIONS INC 18,212 -461 $750
     IRDM18,212-461$750
BALCHEM CORP 5,038 -680 $749
     BCPC5,038-680$749
N ABLE INC 56,496 +2,729 $749
     NABL56,496+2,729$749
MOVADO GROUP INC 24,767 -2,981 $747
     MOV24,767-2,981$747
PROCORE TECHNOLOGIES INC 10,795 +1,254 $747
     PCOR10,795+1,254$747
STANDARD MTR PRODS INC 18,644 +1,948 $742
     SMP18,644+1,948$742
CELANESE CORP DEL 4,757 -3,324 $739
     CE4,757-3,324$739
SPIRE INC 11,816 -538 $737
     SR11,816-538$737
UNITED STATES CELLULAR CORP 17,739 +5,376 $737
     USM17,739+5,376$737
HIGHWOODS PPTYS INC 31,965 -28,711 $734
     HIW31,965-28,711$734
HANCOCK WHITNEY CORPORATION 15,086 -604 $733
     HWC15,086-604$733
FIRST HAWAIIAN INC 32,009 -482 $732
     FHB32,009-482$732
AMN HEALTHCARE SVCS INC 9,747 -546,243 $730
     AMN9,747-546,243$730
TEXAS CAP BANCSHARES INC (TCBI) 11,295 +5,749 $730
     TCBI11,295+5,749$730
LANTHEUS HLDGS INC 11,765 -4,894 $729
     LNTH11,765-4,894$729
INDEPENDENT BK CORP MASS 11,064 -3,366 $728
     INDB11,064-3,366$728
DILLARDS INC 1,800 -3,920 $727
     DDS1,800-3,920$727
INVESCO LTD 40,768 +14,183 $727
     IVZ40,768+14,183$727
IDT CORP 21,295 -12,968 $726
     IDT21,295-12,968$726
UNITED STS LIME & MINERALS I 3,151 -515 $726
     USLM3,151-515$726
A10 NETWORKS INC 54,807 -8,350 $722
     ATEN54,807-8,350$722
CVR ENERGY INC 23,831 +12,991 $722
     CVI23,831+12,991$722
UGI CORP NEW 29,368 +13,162 $722
     UGI29,368+13,162$722
ALEXANDERS INC 3,378 +363 $721
     ALX3,378+363$721
ARROWHEAD PHARMACEUTICALS IN 23,556 -5,394 $721
     ARWR23,556-5,394$721
CITIZENS FINL GROUP INC 21,752 -15,748 $721
     CFG21,752-15,748$721
INTEGRA LIFESCIENCES HLDGS C 16,565 -11,395 $721
     IART16,565-11,395$721
DIAMOND HILL INVT GROUP INC 4,351 +925 $720
     DHIL4,351+925$720
GREIF INC 10,971 -7,255 $720
     GEF10,971-7,255$720
ROIVANT SCIENCES LTD 64,074 -1,323 $720
     ROIV64,074-1,323$720
CARLISLE COS INC 2,300 -1,651 $719
     CSL2,300-1,651$719
HESS MIDSTREAM LP 22,661 -1,447 $717
     HESM22,661-1,447$717
ATRICURE INC 20,051 +3,417 $716
     ATRC20,051+3,417$716
POOL CORP 1,794 -1,230 $715
     POOL1,794-1,230$715
NEWPARK RES INC 107,176 +107,176 $712
     NR107,176+107,176$712
RIVIAN AUTOMOTIVE INC 30,248 -20,276 $710
     RIVN30,248-20,276$710
AVANTOR INC 31,034 -21,273 $709
     AVTR31,034-21,273$709
BENCHMARK ELECTRS INC 25,544 -18,326 $706
     BHE25,544-18,326$706
AMICUS THERAPEUTICS INC 49,747 -10,786 $706
     FOLD49,747-10,786$706
Q2 HLDGS INC 16,254 +7,941 $706
     QTWO16,254+7,941$706
TYSON FOODS INC 13,128 -9,000 $706
     TSN13,128-9,000$706
MACOM TECH SOLUTIONS HLDGS I 7,574 -2,516 $704
     MTSI7,574-2,516$704
PRESTIGE CONSMR HEALTHCARE I 11,466 -2,616 $702
     PBH11,466-2,616$702
POST HLDGS INC 7,967 -18,761 $702
     POST7,967-18,761$702
BROOKDALE SR LIVING INC 119,691 +46,565 $697
     BKD119,691+46,565$697
INSULET CORP 3,203 -2,196 $695
     PODD3,203-2,196$695
STANLEY BLACK & DECKER INC 7,039 -4,825 $691
     SWK7,039-4,825$691
DT MIDSTREAM INC 12,534 -2,574 $687
     DTM12,534-2,574$687
WINMARK CORP 1,638 -5,395 $684
     WINA1,638-5,395$684
CEREVEL THERAPEUTICS HLDNG I 16,032 -1,786 $680
     CERE16,032-1,786$680
PETIQ INC 34,440 +34,440 $680
     PETQ34,440+34,440$680
ASGN INC 7,055 +1,407 $678
     ASGN7,055+1,407$678
UNITIL CORP 12,900 +1,314 $678
     UTL12,900+1,314$678
FRESHWORKS INC 28,714 +3,503 $674
     FRSH28,714+3,503$674
MATSON INC 6,137 -1,357 $673
     MATX6,137-1,357$673
ZIFF DAVIS INC 10,009 -2,533 $673
     ZD10,009-2,533$673
BIOHAVEN LTD 15,674 -812 $671
     BHVN15,674-812$671
HCI GROUP INC 7,675 +7,675 $671
     HCI7,675+7,675$671
REVOLUTION MEDICINES INC 23,375 +2,238 $670
     RVMD23,375+2,238$670
MERCHANTS BANCORP IND 15,519 +2,581 $661
     MBIN15,519+2,581$661
WATSCO INC 1,536 -1,053 $658
     WSO1,536-1,053$658
KELLY SVCS INC 30,277 +17,588 $655
     KELYA30,277+17,588$655
LEGGETT & PLATT INC 25,042 +4,521 $655
     LEG25,042+4,521$655
CORCEPT THERAPEUTICS INC 20,137 -4,394 $654
     CORT20,137-4,394$654
PIEDMONT OFFICE REALTY TR IN 91,667 +1,454 $652
     PDM91,667+1,454$652
CHUYS HLDGS INC 16,968 -16,641 $649
     CHUY16,968-16,641$649
LEIDOS HOLDINGS INC 5,989 -29,440 $648
     LDOS5,989-29,440$648
VEECO INSTRS INC DEL 20,865 -4,016 $647
     VECO20,865-4,016$647
ALTAIR ENGR INC 7,680 +3,545 $646
     ALTR7,680+3,545$646
FOUR CORNERS PPTY TR INC 25,539 -58,075 $646
     FCPT25,539-58,075$646
MYERS INDS INC 33,069 -1,239 $646
     MYE33,069-1,239$646
ZEBRA TECHNOLOGIES CORPORATI 2,365 -1,620 $646
     ZBRA2,365-1,620$646
OKTA INC 7,125 -4,885 $645
     OKTA7,125-4,885$645
XENON PHARMACEUTICALS INC 13,988 -430 $644
     XENE13,988-430$644
MANPOWERGROUP INC WIS 8,052 -2,468 $640
     MAN8,052-2,468$640
RYAN SPECIALTY HOLDINGS INC 14,855 +6,058 $639
     RYAN14,855+6,058$639
TRUSTCO BK CORP N Y 20,390 -2,685 $633
     TRST20,390-2,685$633
DIODES INC 7,781 -9,539 $627
     DIOD7,781-9,539$627
DYNATRACE INC 11,456 -7,851 $627
     DT11,456-7,851$627
STRATEGIC ED INC 6,756 +6,756 $624
     STRA6,756+6,756$624
NORDSON CORP 2,359 -1,599 $623
     NDSN2,359-1,599$623
AECOM 6,734 -3,496 $622
     ACM6,734-3,496$622
JELD WEN HLDG INC 32,959 +32,959 $622
     JELD32,959+32,959$622
KEYCORP 42,990 -29,470 $619
     KEY42,990-29,470$619
PREFERRED BK LOS ANGELES CA 8,469 -6,640 $619
     PFBC8,469-6,640$619
QCR HOLDINGS INC 10,600 +540 $619
     QCRH10,600+540$619
AMALGAMATED FINANCIAL CORP 22,937 +76 $618
     AMAL22,937+76$618
KOHLS CORP 21,549 +100 $618
     KSS21,549+100$618
DXC TECHNOLOGY CO 26,989 +10,602 $617
     DXC26,989+10,602$617
SMUCKER J M CO 4,875 -9,120 $616
     SJM4,875-9,120$616
COVENANT LOGISTICS GROUP INC 13,298 -9,004 $612
     CVLG13,298-9,004$612
MINERALS TECHNOLOGIES INC 8,583 +8,583 $612
     MTX8,583+8,583$612
BLACKLINE INC 9,776 +2,786 $610
     BL9,776+2,786$610
MERCURY GENL CORP NEW 16,338 +8,851 $610
     MCY16,338+8,851$610
TRANSUNION 8,880 -6,089 $610
     TRU8,880-6,089$610
WSFS FINL CORP 13,218 +781 $607
     WSFS13,218+781$607
TRIMBLE INC 11,387 -7,806 $606
     TRMB11,387-7,806$606
OCEANEERING INTL INC 28,431 -3,357 $605
     OII28,431-3,357$605
RENASANT CORP 17,954 -4,124 $605
     RNST17,954-4,124$605
MACERICH CO 39,065 -44,626 $603
     MAC39,065-44,626$603
UNIVEST FINANCIAL CORPORATIO 27,335 -8,122 $602
     UVSP27,335-8,122$602
TWILIO INC 7,922 -5,418 $601
     TWLO7,922-5,418$601
PROGRESS SOFTWARE CORP 11,025 -31,748 $599
     PRGS11,025-31,748$599
HORACE MANN EDUCATORS CORP N 18,242 +9,014 $597
     HMN18,242+9,014$597
LIBERTY LATIN AMERICA LTD 81,513 +37,038 $596
     LILA81,513+37,038$596
SUNSTONE HOTEL INVS INC NEW 55,529 -28,012 $596
     SHO55,529-28,012$596
MONDAY COM LTD 3,166 -142,043 $595
     MNDY3,166-142,043$595
QUANEX BLDG PRODS CORP 19,460 +11,018 $595
     NX19,460+11,018$595
WHITESTONE REIT 48,379 -21,998 $595
     COM48,379-21,998$595
HACKETT GROUP INC 26,039 -3,109 $593
     HCKT26,039-3,109$593
ALLIANT ENERGY CORP 11,556 -7,921 $593
     LNT11,556-7,921$593
AES CORP 30,768 -21,090 $592
     AES30,768-21,090$592
AMBAC FINL GROUP INC 35,844 -11,664 $591
     AMBC35,844-11,664$591
BLUELINX HLDGS INC 5,197 -709 $589
     BXC5,197-709$589
PLAYA HOTELS & RESORTS NV 68,066 -62,222 $589
     PLYA68,066-62,222$589
INTELLIA THERAPEUTICS INC 19,239 -3,292 $587
     NTLA19,239-3,292$587
EXTREME NETWORKS 33,155 -63,590 $585
     EXTR33,155-63,590$585
FRANKLIN COVEY CO 13,444 -3,203 $585
     FC13,444-3,203$585
NOBLE CORP PLC 12,140 +1,964 $585
     NE12,140+1,964$585
PEGASYSTEMS INC 11,961 +11,961 $584
     PEGA11,961+11,961$584
BLACKSTONE MTG TR INC 27,407 -17,283 $583
     BXMT27,407-17,283$583
PENNYMAC FINL SVCS INC NEW 6,594 -3,180 $583
     PFSI6,594-3,180$583
CONSTRUCTION PARTNERS INC 13,391 +13,391 $583
     ROAD13,391+13,391$583
ROLLINS INC 13,354 -5,736 $583
     ROL13,354-5,736$583
DXP ENTERPRISES INC 17,200 -9,060 $580
     DXPE17,200-9,060$580
INTERPUBLIC GROUP COS INC 17,755 -12,164 $580
     IPG17,755-12,164$580
KYNDRYL HLDGS INC 27,913 +7,592 $580
     KD27,913+7,592$580
IPG PHOTONICS CORP 5,328 -3,934 $578
     IPGP5,328-3,934$578
MGM RESORTS INTERNATIONAL 12,908 -9,663 $577
     MGM12,908-9,663$577
OLD SECOND BANCORP INC ILL 37,356 -10,102 $577
     OSBC37,356-10,102$577
PHYSICIANS RLTY TR 43,283 -87,622 $576
     DOC43,283-87,622$576
BLOOMIN BRANDS INC 20,433 -16,656 $575
     BLMN20,433-16,656$575
LIBERTY MEDIA CORP DEL 9,083 -25,246 $573
     FWONK9,083-25,246$573
AXSOME THERAPEUTICS INC 7,188 -2,079 $572
     AXSM7,188-2,079$572
NATIONAL BEVERAGE CORP 11,495 +4,563 $572
     FIZZ11,495+4,563$572
MADRIGAL PHARMACEUTICALS INC 2,474 -385 $572
     MDGL2,474-385$572
MIRATI THERAPEUTICS INC 9,741 -4,727 $572
     MRTX9,741-4,727$572
NORTHERN OIL & GAS INC 15,424 +1,681 $572
     NOG15,424+1,681$572
ELME COMMUNITIES 39,039 -24,580 $570
     ELME39,039-24,580$570
AAR CORP 9,063 -9,404 $566
     AIR9,063-9,404$566
TG THERAPEUTICS INC 33,117 -6,987 $566
     TGTX33,117-6,987$566
WORKIVA INC 5,570 +483 $566
     WK5,570+483$566
ARBOR REALTY TRUST INC 37,065 +1,750 $563
     ABR37,065+1,750$563
SEA LTD 13,897 -120,918 $563
     SE13,897-120,918$563
CNH INDL N V 46,018 +46,018 $560
     CNHI46,018+46,018$560
AMPHASTAR PHARMACEUTICALS IN 9,025 -1,942 $558
     AMPH9,025-1,942$558
CARMAX INC 7,273 -4,984 $558
     KMX7,273-4,984$558
BIO TECHNE CORP 7,236 -4,961 $558
     TECH7,236-4,961$558
CHARLES RIV LABS INTL INC 2,352 -1,612 $556
     CRL2,352-1,612$556
PERMIAN RESOURCES CORP 40,919 -21,343 $556
     PR40,919-21,343$556
DOCUSIGN INC 9,299 -6,376 $553
     DOCU9,299-6,376$553
GROCERY OUTLET HLDG CORP 20,505 +4,244 $553
     GO20,505+4,244$553
RMR GROUP INC 19,600 -4,705 $553
     RMR19,600-4,705$553
EVERGY INC 10,559 -48,766 $551
     EVRG10,559-48,766$551
FIVE9 INC 7,002 +1,474 $551
     FIVN7,002+1,474$551
LTC PPTYS INC 17,120 -6,189 $550
     LTC17,120-6,189$550
AZZ INC 9,446 -1,187 $549
     AZZ9,446-1,187$549
COHERENT CORP 12,578 +1,832 $548
     COHR12,578+1,832$548
NORTHWESTERN ENERGY GROUP IN 10,765 +188 $548
     NWE10,765+188$548
NRG ENERGY INC 10,586 -7,242 $547
     NRG10,586-7,242$547
DENALI THERAPEUTICS INC 25,426 -5,676 $546
     DNLI25,426-5,676$546
KIMBALL ELECTRONICS INC 20,251 -8,759 $546
     KE20,251-8,759$546
TELEFLEX INCORPORATED 2,160 -1,479 $539
     TFX2,160-1,479$539
TTM TECHNOLOGIES INC 34,031 +683 $538
     TTMI34,031+683$538
WESBANCO INC 17,129 -15,764 $537
     WSBC17,129-15,764$537
VECTOR GROUP LTD 47,529 -525,167 $536
     VGR47,529-525,167$536
ABM INDS INC 11,940 +6,828 $535
     ABM11,940+6,828$535
EQUITABLE HLDGS INC 16,006 -11,560 $533
     EQH16,006-11,560$533
MEDICAL PPTYS TRUST INC 108,618 -122,662 $533
     MPW108,618-122,662$533
BANKUNITED INC 16,396 +16,396 $532
     BKU16,396+16,396$532
CASELLA WASTE SYS INC 6,224 -2,352 $532
     CWST6,224-2,352$532
CALERES INC 17,293 +5,751 $531
     CAL17,293+5,751$531
CENTURY CMNTYS INC 5,766 -10,135 $526
     CCS5,766-10,135$526
KENNAMETAL INC 20,412 -1,746 $526
     KMT20,412-1,746$526
GLOBAL INDUSTRIAL COMPANY 13,513 -556 $525
     GIC13,513-556$525
COMMUNITY TR BANCORP INC 11,936 -3,483 $524
     CTBI11,936-3,483$524
PROTO LABS INC 13,446 +13,446 $524
     PRLB13,446+13,446$524
ARMADA HOFFLER PPTYS INC 42,191 +437 $522
     AHH42,191+437$522
KRYSTAL BIOTECH INC 4,198 -890 $521
     KRYS4,198-890$521
ROKU INC 5,667 -3,886 $519
     ROKU5,667-3,886$519
VITAL FARMS INC 33,074 +5,881 $519
     VITL33,074+5,881$519
BYLINE BANCORP INC 21,886 +464 $516
     BY21,886+464$516
PAYCOM SOFTWARE INC 2,496 -1,540 $516
     PAYC2,496-1,540$516
HANMI FINL CORP 26,417 -2,188 $512
     HAFC26,417-2,188$512
AXONICS INC 8,214 +72 $511
     AXNX8,214+72$511
QORVO INC 4,538 -3,131 $511
     QRVO4,538-3,131$511
FULTON FINL CORP PA 30,908 -15,098 $509
     FULT30,908-15,098$509
ACADIA RLTY TR 29,875 -6,927 $508
     AKR29,875-6,927$508
CROWN HLDGS INC 5,521 -3,784 $508
     CCK5,521-3,784$508
HEIDRICK & STRUGGLES INTL IN 17,193 +2,149 $508
     HSII17,193+2,149$508
BENTLEY SYS INC 9,716 -6,658 $507
     BSY9,716-6,658$507
FIRST COMWLTH FINL CORP PA 32,684 -2,785 $505
     FCF32,684-2,785$505
LINCOLN NATL CORP IND 18,695 +5,586 $504
     LNC18,695+5,586$504
NISOURCE INC 18,990 -142,138 $504
     NI18,990-142,138$504
TELADOC HEALTH INC 23,382 +3,695 $504
     TDOC23,382+3,695$504
CVB FINL CORP 24,833 -22,302 $501
     CVBF24,833-22,302$501
LIQUIDITY SVCS INC 29,017 +1,637 $499
     LQDT29,017+1,637$499
NELNET INC 5,655 -9,785 $499
     NNI5,655-9,785$499
DESIGNER BRANDS INC 56,118 +25,496 $497
     DBI56,118+25,496$497
EZCORP INC 56,807 -1,228 $496
     EZPW56,807-1,228$496
HNI CORP 11,823 -16,875 $495
     HNI11,823-16,875$495
IMMUNOVANT INC 11,723 -4,978 $494
     IMVT11,723-4,978$494
PLANET FITNESS INC 6,764 +182 $494
     PLNT6,764+182$494
RPT REALTY 38,416 +4,917 $493
     RPT38,416+4,917$493
NOVANTA INC 2,914 +146 $491
     NOVT2,914+146$491
REYNOLDS CONSUMER PRODS INC 18,302 +18,302 $491
     REYN18,302+18,302$491
TWIST BIOSCIENCE CORP 13,263 -2,943 $489
     TWST13,263-2,943$489
WESTROCK CO 11,770 -8,071 $489
     WRK11,770-8,071$489
YORK WTR CO 12,642 -1,359 $488
     YORW12,642-1,359$488
VITA COCO CO INC 18,991 +18,991 $487
     COCO18,991+18,991$487
RHYTHM PHARMACEUTICALS INC 10,534 -2,382 $484
     RYTM10,534-2,382$484
NETSCOUT SYS INC 22,001 -39,331 $483
     NTCT22,001-39,331$483
RAPID7 INC 8,458 -2,126 $483
     RPD8,458-2,126$483
CCC INTELLIGENT SOLUTIONS HL 42,282 +28,183 $482
     CCCS42,282+28,183$482
APARTMENT INVT & MGMT CO 61,438 -184,348 $481
     AIV61,438-184,348$481
ENNIS INC 21,952 -1,193 $481
     EBF21,952-1,193$481
HAVERTY FURNITURE COS INC 13,530 -11,115 $480
     HVT13,530-11,115$480
DREAM FINDERS HOMES INC 13,485 +13,485 $479
     DFH13,485+13,485$479
SITE CTRS CORP 35,133 -37,679 $479
     SITC35,133-37,679$479
VALLEY NATL BANCORP 44,071 -22,156 $479
     VLY44,071-22,156$479
LA Z BOY INC 12,896 -612 $476
     LZB12,896-612$476
PATRICK INDS INC 4,718 -992 $473
     PATK4,718-992$473
GORMAN RUPP CO 13,222 -340 $470
     GRC13,222-340$470
PATTERSON UTI ENERGY INC 43,546 +4,407 $470
     PTEN43,546+4,407$470
UNITY SOFTWARE INC 11,461 -6,141 $469
     U11,461-6,141$469
OLYMPIC STEEL INC 7,009 +7,009 $468
     ZEUS7,009+7,009$468
MATCH GROUP INC NEW 12,804 -39,873 $467
     MTCH12,804-39,873$467
PENNANT GROUP INC 33,557 -4,279 $467
     PNTG33,557-4,279$467
ROCKET PHARMACEUTICALS INC 15,594 -361 $467
     RCKT15,594-361$467
ACCEL ENTERTAINMENT INC 45,404 +18,003 $466
     ACEL45,404+18,003$466
CARVANA CO 8,760 +1,789 $464
     CVNA8,760+1,789$464
CAESARS ENTERTAINMENT INC NE 9,892 -6,781 $464
     CZR9,892-6,781$464
HUNTSMAN CORP 18,408 +4,920 $463
     HUN18,408+4,920$463
ETSY INC 5,679 -3,894 $460
     ETSY5,679-3,894$460
NATIONAL RESH CORP 11,637 +4,102 $460
     NRC11,637+4,102$460
JFROG LTD 13,274 +13,274 $459
     FROG13,274+13,274$459
TORO CO 4,777 -3,230 $459
     TTC4,777-3,230$459
CENTRAL PAC FINL CORP 23,197 -4,392 $457
     CPF23,197-4,392$457
HENRY SCHEIN INC 6,023 -4,127 $456
     HSIC6,023-4,127$456
CERIDIAN HCM HLDG INC 6,768 -4,640 $454
     CDAY6,768-4,640$454
INTEGRAL AD SCIENCE HLDNG CO 31,580 -69,448 $454
     IAS31,580-69,448$454
VERACYTE INC 16,468 -1,399 $453
     VCYT16,468-1,399$453
OWENS & MINOR INC NEW 23,422 +9,950 $451
     OMI23,422+9,950$451
CELLDEX THERAPEUTICS INC NEW 11,356 -44 $450
     CLDX11,356-44$450
INTAPP INC 11,796 -13,531 $448
     INTA11,796-13,531$448
WEAVE COMMUNICATIONS INC 39,040 +39,040 $448
     WEAV39,040+39,040$448
ENGAGESMART INC 19,492 -9,417 $446
     ESMT19,492-9,417$446
XENIA HOTELS & RESORTS INC 32,763 -11,527 $446
     XHR32,763-11,527$446
HORMEL FOODS CORP 13,812 -9,467 $444
     HRL13,812-9,467$444
LIBERTY BROADBAND CORP 5,504 -38,408 $444
     LBRDK5,504-38,408$444
DOUGLAS EMMETT INC 30,426 -35,670 $441
     DEI30,426-35,670$441
ANNALY CAPITAL MANAGEMENT IN 22,703 -15,563 $440
     NLY22,703-15,563$440
UIPATH INC 17,717 -9,834 $440
     PATH17,717-9,834$440
ROGERS CORP 3,332 +1,259 $440
     ROG3,332+1,259$440
LATTICE SEMICONDUCTOR CORP 6,327 -4,337 $437
     LSCC6,327-4,337$437
REPLIGEN CORP 2,432 -1,666 $437
     RGEN2,432-1,666$437
HERITAGE COMM CORP 43,902 -1,196 $436
     HTBK43,902-1,196$436
NUVALENT INC 5,923 +77 $436
     NUVL5,923+77$436
ROBERT HALF INC. 4,957 -3,395 $436
     RHI4,957-3,395$436
CYMABAY THERAPEUTICS INC 18,430 -4,705 $435
     CBAY18,430-4,705$435
SOUTHWEST GAS HLDGS INC 6,861 +1,346 $435
     SWX6,861+1,346$435
CRINETICS PHARMACEUTICALS IN 12,198 -1,659 $434
     CRNX12,198-1,659$434
ARVINAS INC 10,520 -2,367 $433
     ARVN10,520-2,367$433
BATH & BODY WORKS INC 9,996 -6,852 $431
     BBWI9,996-6,852$431
PLYMOUTH INDL REIT INC 17,908 -2,181 $431
     PLYM17,908-2,181$431
PTC THERAPEUTICS INC 15,642 -3,299 $431
     PTCT15,642-3,299$431
ESSENTIAL UTILS INC 11,540 -7,914 $431
     WTRG11,540-7,914$431
NEWS CORP NEW 17,518 -11,841 $430
     NWSA17,518-11,841$430
WERNER ENTERPRISES INC 10,146 -6,959 $430
     WERN10,146-6,959$430
ONE GAS INC 6,726 -15,852 $429
     OGS6,726-15,852$429
WYNN RESORTS LTD 4,708 -3,226 $429
     WYNN4,708-3,226$429
KNIGHT SWIFT TRANSN HLDGS IN 7,403 -5,073 $427
     KNX7,403-5,073$427
DICKS SPORTING GOODS INC 2,879 -1,974 $423
     DKS2,879-1,974$423
TRAVEL PLUS LEISURE CO 10,833 +1,157 $423
     TNL10,833+1,157$423
BEAM THERAPEUTICS INC 15,466 -2,952 $421
     BEAM15,466-2,952$421
TITAN INTL INC ILL 28,295 -135,054 $421
     TWI28,295-135,054$421
GOOSEHEAD INS INC 5,533 +5,533 $419
     GSHD5,533+5,533$419
IOVANCE BIOTHERAPEUTICS INC 51,598 -11,691 $419
     IOVA51,598-11,691$419
NATIONAL PRESTO INDS INC 5,204 -565 $418
     NPK5,204-565$418
TRUSTMARK CORP 15,001 -10,868 $418
     TRMK15,001-10,868$418
SCOTTS MIRACLE GRO CO 6,543 +6,543 $417
     SMG6,543+6,543$417
TRIPADVISOR INC 19,387 +1,972 $417
     TRIP19,387+1,972$417
COLUMBIA BKG SYS INC 15,604 -516 $416
     COLB15,604-516$416
DYNAVAX TECHNOLOGIES CORP 29,775 -6,709 $416
     DVAX29,775-6,709$416
IRADIMED CORP 8,746 +8,746 $415
     IRMD8,746+8,746$415
FRANKLIN RESOURCES INC 13,813 -9,469 $411
     BEN13,813-9,469$411
SAUL CTRS INC 10,427 +1,333 $409
     BFS10,427+1,333$409
ZILLOW GROUP INC 7,067 -4,838 $409
     Z7,067-4,838$409
CLEARWAY ENERGY INC      $407
     CWEN.A15,915-15,857$407
GREAT SOUTHN BANCORP INC 6,862 -1,460 $407
     GSBC6,862-1,460$407
NATIONAL BK HLDGS CORP 10,938 +1,687 $407
     NBHC10,938+1,687$407
CARLYLE GROUP INC 9,988 -6,809 $406
     CG9,988-6,809$406
JOHN BEAN TECHNOLOGIES CORP 4,080 +1,620 $406
     JBT4,080+1,620$406
OSCAR HEALTH INC 44,383 +44,383 $406
     OSCR44,383+44,383$406
INDEPENDENT BK CORP MICH 15,575 -6,233 $405
     IBCP15,575-6,233$405
FIRST FINL CORP IND 9,408 -4,719 $405
     THFF9,408-4,719$405
VIAD CORP 11,183 +11,183 $405
     VVI11,183+11,183$405
SERVICE PPTYS TR 47,292 -27,512 $404
     SVC47,292-27,512$404
ICF INTL INC 3,002 -117 $403
     ICFI3,002-117$403
GITLAB INC 6,324 +722 $398
     GTLB6,324+722$398
BANNER CORP 7,417 +112 $397
     BANR7,417+112$397
AMERICAN FINL GROUP INC OHIO 3,328 -2,282 $396
     AFG3,328-2,282$396
RADNET INC 11,388 -15,511 $396
     RDNT11,388-15,511$396
TRIMAS CORP 15,619 +15,619 $396
     TRS15,619+15,619$396
DELEK US HLDGS INC NEW 15,306 +15,306 $395
     DK15,306+15,306$395
NEWMARK GROUP INC 36,038 +24,821 $395
     NMRK36,038+24,821$395
LSB INDS INC 42,334 -2,402 $394
     LXU42,334-2,402$394
RUSH ENTERPRISES INC 7,792 -3,594 $392
     RUSHA7,792-3,594$392
RED ROCK RESORTS INC 7,331 -73,370 $391
     RRR7,331-73,370$391
ONESPAWORLD HOLDINGS LIMITED 27,561 -6,180 $389
     OSW27,561-6,180$389
BORGWARNER INC 10,774 -7,385 $386
     BWA10,774-7,385$386
CHIMERA INVT CORP 77,115 +54,689 $385
     CIM77,115+54,689$385
MARTEN TRANS LTD 18,243 -38,436 $383
     MRTN18,243-38,436$383
VISHAY PRECISION GROUP INC 11,132 -2,815 $379
     VPG11,132-2,815$379
SJW GROUP 5,779 -1,925 $378
     SJW5,779-1,925$378
CATALYST PHARMACEUTICALS INC 22,438 -6,244 $377
     CPRX22,438-6,244$377
NORDSTROM INC 20,355 +8,799 $376
     JWN20,355+8,799$376
VAIL RESORTS INC 1,761 -1,363 $376
     MTN1,761-1,363$376
CELSIUS HLDGS INC 6,885 +280 $375
     CELH6,885+280$375
SPRINGWORKS THERAPEUTICS INC 10,268 +498 $375
     SWTX10,268+498$375
SAFETY INS GROUP INC 4,908 +345 $373
     SAFT4,908+345$373
VERICEL CORP 10,464 -2,359 $373
     VCEL10,464-2,359$373
ARCELLX INC 6,706 -1,480 $372
     ACLX6,706-1,480$372
CATALENT INC 8,286 -5,680 $372
     CTLT8,286-5,680$372
IRONWOOD PHARMACEUTICALS INC 32,469 -7,172 $371
     IRWD32,469-7,172$371
VIKING THERAPEUTICS INC 19,916 -5,973 $371
     VKTX19,916-5,973$371
VERRA MOBILITY CORP 16,130 +16,130 $371
     VRRM16,130+16,130$371
CRA INTL INC 3,747 -790 $370
     CRAI3,747-790$370
HELMERICH & PAYNE INC 10,212 +2,132 $370
     HP10,212+2,132$370
MIDLAND STATES BANCORP INC 13,429 -5,575 $370
     MSBI13,429-5,575$370
FORTREA HLDGS INC 10,566 +10,566 $369
     FTRE10,566+10,566$369
F&G ANNUITIES & LIFE INC 7,989 +7,989 $367
     FG7,989+7,989$367
SUPERNUS PHARMACEUTICALS INC 12,630 -2,840 $366
     SUPN12,630-2,840$366
HIBBETT INC 5,064 +5,064 $365
     HIBB5,064+5,064$365
SPECTRUM BRANDS HLDGS INC NE 4,570 +1,400 $365
     SPB4,570+1,400$365
IDEAYA BIOSCIENCES INC 10,242 -3,499 $364
     IDYA10,242-3,499$364
ALBERTSONS COS INC 15,794 -8,737 $363
     ACI15,794-8,737$363
JOHNSON OUTDOORS INC 6,793 -4,807 $363
     JOUT6,793-4,807$363
MYRIAD GENETICS INC 18,936 -4,234 $362
     MYGN18,936-4,234$362
PACIRA BIOSCIENCES INC 10,724 -2,340 $362
     PCRX10,724-2,340$362
BILL HOLDINGS INC 4,395 -3,014 $359
     BILL4,395-3,014$359
ARTISAN PARTNERS ASSET MGMT 8,113 -10,821 $358
     APAM8,113-10,821$358
BOX INC 13,960 -14,471 $358
     BOX13,960-14,471$358
SILVERBOW RES INC 12,319 +4,873 $358
     SBOW12,319+4,873$358
MERCANTILE BK CORP 8,784 -3,715 $355
     MBWM8,784-3,715$355
DROPBOX INC 11,937 -16,124 $352
     DBX11,937-16,124$352
GLOBAL NET LEASE INC 35,348 -39,542 $352
     GNL35,348-39,542$352
PEBBLEBROOK HOTEL TR 22,019 -25,731 $352
     PEB22,019-25,731$352
CYBERARK SOFTWARE LTD 1,585 -1,819 $347
     CYBR1,585-1,819$347
FIRST CMNTY BANKSHARES INC V (FCBC) 9,275 -2,627 $344
     FCBC9,275-2,627$344
FORWARD AIR CORP 5,456 -1,508 $343
     FWRD5,456-1,508$343
HEALTHCARE SVCS GROUP INC 33,102 +7,065 $343
     HCSG33,102+7,065$343
JBG SMITH PPTYS 20,139 -20,954 $343
     JBGS20,139-20,954$343
WORLD ACCEP CORPORATION 2,626 +2,626 $343
     WRLD2,626+2,626$343
WAFD INC 10,384 -11,141 $342
     WAFD10,384-11,141$342
RESIDEO TECHNOLOGIES INC 18,090 +6,754 $340
     REZI18,090+6,754$340
PAYLOCITY HLDG CORP 2,053 -1,406 $338
     PCTY2,053-1,406$338
NEOGENOMICS INC 20,839 -10,555 $337
     NEO20,839-10,555$337
PROTHENA CORP PLC 9,266 -1,965 $337
     PRTA9,266-1,965$337
SEALED AIR CORP NEW 9,127 -2,039 $333
     SEE9,127-2,039$333
PARAMOUNT GLOBAL 22,464 -15,398 $332
     PARA22,464-15,398$332
SKYLINE CHAMPION CORPORATION 4,466 -6,620 $332
     SKY4,466-6,620$332
BOOT BARN HLDGS INC 4,303 -4,167 $330
     BOOT4,303-4,167$330
SHIFT4 PMTS INC 4,438 -5,708 $330
     FOUR4,438-5,708$330
HELEN OF TROY LTD 2,730 -850 $330
     HELE2,730-850$330
BIO RAD LABS INC 1,016 -695 $328
     BIO1,016-695$328
PALOMAR HLDGS INC 5,917 +5,917 $328
     PLMR5,917+5,917$328
BUSINESS FIRST BANCSHARES IN (BFST) 13,218 +13,218 $326
     BFST13,218+13,218$326
ST JOE CO 5,409 +5,409 $326
     JOE5,409+5,409$326
KADANT INC 1,154 +251 $323
     KAI1,154+251$323
RETAIL OPPORTUNITY INVTS COR 22,868 -25,765 $321
     ROIC22,868-25,765$321
LOUISIANA PAC CORP 4,515 -497 $320
     LPX4,515-497$320
RECURSION PHARMACEUTICALS IN 32,432 -4,227 $320
     RXRX32,432-4,227$320
FREEDOM HLDG CORP NEV 3,948 -568 $318
     FRHC3,948-568$318
COGENT COMMUNICATIONS HLDGS 4,153 -7,852 $316
     CCOI4,153-7,852$316
GERMAN AMERN BANCORP INC 9,760 -534 $316
     GABC9,760-534$316
KNOWLES CORP 17,576 +17,576 $315
     KN17,576+17,576$315
U HAUL HOLDING COMPANY      $314
     UHAL.B4,462-3,043$314
TOWNEBANK PORTSMOUTH VA 10,522 -3,797 $313
     TOWN10,522-3,797$313
ARDELYX INC 50,270 -10,087 $312
     ARDX50,270-10,087$312
INVENTRUST PPTYS CORP 12,257 -13,836 $311
     IVT12,257-13,836$311
HASBRO INC 6,053 -4,148 $309
     HAS6,053-4,148$309
WEIS MKTS INC 4,813 -7,539 $308
     WMK4,813-7,539$308
STURM RUGER & CO INC 6,744 -12,171 $307
     RGR6,744-12,171$307
DAQO NEW ENERGY CORP 11,520 +48 $306
     DQ11,520+48$306
CASS INFORMATION SYS INC 6,746 -7,685 $304
     CASS6,746-7,685$304
RAMACO RES INC 17,447 +17,447 $300
     METC17,447+17,447$300
BRANDYWINE RLTY TR 55,414 -14,252 $299
     BDN55,414-14,252$299
MKS INSTRS INC 2,910 -1,730 $299
     MKSI2,910-1,730$299
STERICYCLE INC 6,017 -8,882 $298
     SRCL6,017-8,882$298
RAYONIER INC 8,875 -1,958 $297
     RYN8,875-1,958$297
ZOOMINFO TECHNOLOGIES INC 16,044 -4,283 $297
     ZI16,044-4,283$297
HILTON GRAND VACATIONS INC 7,366 -11,817 $296
     HGV7,366-11,817$296
QUAKER HOUGHTON 1,385 +122 $296
     KWR1,385+122$296
ASPEN TECHNOLOGY INC 1,342 -912 $295
     AZPN1,342-912$295
DOUBLEVERIFY HLDGS INC 8,023 -2,598 $295
     DV8,023-2,598$295
LEGALZOOM COM INC 26,140 +26,140 $295
     LZ26,140+26,140$295
TIPTREE INC 15,490 -127 $294
     TIPT15,490-127$294
NEXPOINT RESIDENTIAL TR INC 8,452 -5,986 $291
     NXRT8,452-5,986$291
SYNDAX PHARMACEUTICALS INC 13,481 -2,138 $291
     SNDX13,481-2,138$291
UFP TECHNOLOGIES INC 1,672 -8,201 $288
     UFPT1,672-8,201$288
AGIOS PHARMACEUTICALS INC 12,894 -2,876 $287
     AGIO12,894-2,876$287
SENTINELONE INC 10,442 -7,716 $287
     S10,442-7,716$287
V F CORP 15,190 -10,357 $286
     VFC15,190-10,357$286
MASIMO CORP 2,422 -1,035 $284
     MASI2,422-1,035$284
AURINIA PHARMACEUTICALS INC 31,520 -7,110 $283
     AUPH31,520-7,110$283
SUMMIT HOTEL PPTYS INC 42,017 +516 $282
     INN42,017+516$282
WORTHINGTON STL INC 10,050 +10,050 $282
     WS10,050+10,050$282
GAMESTOP CORP NEW 16,034 -5,218 $281
     GME16,034-5,218$281
HYATT HOTELS CORP 2,155 -1,516 $281
     H2,155-1,516$281
REPUBLIC BANCORP INC KY 5,101 -2,084 $281
     RBCAA5,101-2,084$281
ALCOA CORP 8,198 -5,590 $279
     AA8,198-5,590$279
PEOPLES BANCORP INC 8,232 -12,419 $278
     PEBO8,232-12,419$278
AMC NETWORKS INC 14,658 +14,658 $275
     AMCX14,658+14,658$275
TOAST INC 15,042 -8,896 $275
     TOST15,042-8,896$275
CAPITAL CITY BK GROUP INC 9,243 +271 $272
     CCBG9,243+271$272
LIGAND PHARMACEUTICALS INC 3,814 -836 $272
     LGND3,814-836$272
CAPRI HOLDINGS LIMITED 5,396 -3,699 $271
     CPRI5,396-3,699$271
EQUITY BANCSHARES INC (EQBK) 7,996 +7,996 $271
     EQBK7,996+7,996$271
SAGE THERAPEUTICS INC 12,469 -2,809 $270
     SAGE12,469-2,809$270
RESOURCES CONNECTION INC 18,980 -4,904 $269
     RGP18,980-4,904$269
TRINITY INDS INC 10,104 +10,104 $269
     TRN10,104+10,104$269
XENCOR INC 12,626 -2,802 $268
     XNCR12,626-2,802$268
POWER INTEGRATIONS INC 3,253 -1,169 $267
     POWI3,253-1,169$267
SERVISFIRST BANCSHARES INC (SFBS) 4,001 -3,059 $267
     SFBS4,001-3,059$267
NEXTRACKER INC 5,652 +5,652 $265
     NXT5,652+5,652$265
ATRION CORP 696 -312 $264
     ATRI696-312$264
BIOCRYST PHARMACEUTICALS INC 43,827 -9,813 $263
     BCRX43,827-9,813$263
CHART INDS INC 1,931 -1,315 $263
     GTLS1,931-1,315$263
PEDIATRIX MEDICAL GROUP INC 28,197 -12,859 $262
     MD28,197-12,859$262
HERBALIFE LTD 16,912 +16,912 $258
     HLF16,912+16,912$258
CHATHAM LODGING TR 24,019 -5,435 $257
     CLDT24,019-5,435$257
NCR ATLEOS CORPORATION 10,490 +10,490 $255
     NATL10,490+10,490$255
SPRINKLR INC 21,078 -43,422 $254
     CXM21,078-43,422$254
ALIGNMENT HEALTHCARE INC 29,350 -33,657 $253
     ALHC29,350-33,657$253
GETTY RLTY CORP NEW 8,665 -9,518 $253
     GTY8,665-9,518$253
EASTERLY GOVT PPTYS INC 18,747 -17,229 $252
     DEA18,747-17,229$252
MADISON SQUARE GRDN SPRT COR 1,387 -1,850 $252
     MSGS1,387-1,850$252
FIRST BUSEY CORP 10,127 -18,853 $251
     BUSE10,127-18,853$251
HARMONY BIOSCIENCES HLDGS IN 7,765 -2,451 $251
     HRMY7,765-2,451$251
MOONLAKE IMMUNOTHERAPEUTICS 4,149 -991 $251
     MLTX4,149-991$251
GOODYEAR TIRE & RUBR CO 17,484 -4,420 $250
     GT17,484-4,420$250
ROBINHOOD MKTS INC 19,609 -13,439 $250
     HOOD19,609-13,439$250
PJT PARTNERS INC 2,453 +2,453 $250
     PJT2,453+2,453$250
ENERGIZER HLDGS INC NEW 7,858 +7,858 $249
     ENR7,858+7,858$249
WOLFSPEED INC 5,722 -3,898 $249
     WOLF5,722-3,898$249
COLLEGIUM PHARMACEUTICAL INC 8,025 -1,794 $247
     COLL8,025-1,794$247
GRANITE RIDGE RESOURCES INC 41,037 -1,586 $247
     GRNT41,037-1,586$247
WESTLAKE CORPORATION 1,760 -1,202 $246
     WLK1,760-1,202$246
BLUE OWL CAPITAL INC 16,396 -11,167 $244
     OWL16,396-11,167$244
PROTAGONIST THERAPEUTICS INC 10,640 -2,314 $244
     PTGX10,640-2,314$244
BRIGHTSPIRE CAPITAL INC 32,658 -5,361 $243
     BRSP32,658-5,361$243
GRAB HOLDINGS LIMITED 71,918 -80,776 $242
     GRAB71,918-80,776$242
MERUS N V 8,787 -3,297 $242
     MRUS8,787-3,297$242
SOLAREDGE TECHNOLOGIES INC 2,589 -1,774 $242
     SEDG2,589-1,774$242
UNDER ARMOUR INC 27,524 +7,771 $242
     UAA27,524+7,771$242
SOUTH PLAINS FINANCIAL INC 8,331 -2,050 $241
     SPFI8,331-2,050$241
AKERO THERAPEUTICS INC 10,285 -2,289 $240
     AKRO10,285-2,289$240
OXFORD INDS INC 2,400 +2,400 $240
     OXM2,400+2,400$240
BRIGHTHOUSE FINL INC 4,499 -738 $238
     BHF4,499-738$238
IMAX CORP 15,845 +15,845 $238
     IMAX15,845+15,845$238
BAR HBR BANKSHARES (BHB) 8,000 -2,204 $235
     BHB8,000-2,204$235
DIGITALBRIDGE GROUP INC 13,399 +905 $235
     DBRG13,399+905$235
MIMEDX GROUP INC 26,852 -6,011 $235
     MDXG26,852-6,011$235
LIBERTY MEDIA CORP DEL 6,265 +6,265 $234
     LLYVK6,265+6,265$234
USANA HEALTH SCIENCES INC 4,330 -734 $232
     USNA4,330-734$232
CTS CORP 5,251 -1,770 $230
     CTS5,251-1,770$230
LYFT INC 15,290 -10,425 $229
     LYFT15,290-10,425$229
MARATHON DIGITAL HOLDINGS IN 9,590 -3,347 $225
     MARA9,590-3,347$225
MANNKIND CORP 61,883 -13,166 $225
     MNKD61,883-13,166$225
HERITAGE FINL CORP WASH 10,481 -9,530 $224
     HFWA10,481-9,530$224
ADMA BIOLOGICS INC 48,815 -8,010 $221
     ADMA48,815-8,010$221
CREDIT ACCEP CORP MICH 415 -81 $221
     CACC415-81$221
COURSERA INC 11,341 -1,822 $220
     COUR11,341-1,822$220
MASTEC INC 2,899 -1,974 $220
     MTZ2,899-1,974$220
INNOVIVA INC 13,590 -3,344 $218
     INVA13,590-3,344$218
TREEHOUSE FOODS INC 5,235 -6,579 $217
     THS5,235-6,579$217
CHEMOURS CO 6,862 -4,651 $216
     CC6,862-4,651$216
VIR BIOTECHNOLOGY INC 21,434 -3,306 $216
     VIR21,434-3,306$216
HUDSON PAC PPTYS INC 23,068 -25,995 $215
     HPP23,068-25,995$215
10X GENOMICS INC 3,846 -2,628 $215
     TXG3,846-2,628$215
VIAVI SOLUTIONS INC 21,395 -4,829 $215
     VIAV21,395-4,829$215
FRONTIER COMMUNICATIONS PARE 8,458 -5,763 $214
     FYBR8,458-5,763$214
FIRST INTST BANCSYSTEM INC 6,918 -5,235 $213
     FIBK6,918-5,235$213
ARCUS BIOSCIENCES INC 11,155 -2,341 $213
     RCUS11,155-2,341$213
SHUTTERSTOCK INC 4,422 +4,422 $213
     SSTK4,422+4,422$213
KYMERA THERAPEUTICS INC 8,316 -1,885 $212
     KYMR8,316-1,885$212
NETSTREIT CORP 11,860 -11,459 $212
     NTST11,860-11,459$212
CLEAR SECURE INC 10,251 +10,251 $212
     YOU10,251+10,251$212
GLACIER BANCORP INC NEW 5,097 -3,476 $211
     GBCI5,097-3,476$211
VERIS RESIDENTIAL INC 13,369 -14,966 $210
     VRE13,369-14,966$210
LIVANOVA PLC 4,044 -98 $209
     LIVN4,044-98$209
CASSAVA SCIENCES INC 9,219 -2,050 $208
     SAVA9,219-2,050$208
SYNAPTICS INC 1,818 -28,863 $207
     SYNA1,818-28,863$207
YETI HLDGS INC 3,982 -2,716 $206
     YETI3,982-2,716$206
REX AMERICAN RES CORP 4,342 +4,342 $205
     REX4,342+4,342$205
SCHOLAR ROCK HLDG CORP 10,903 +221 $205
     SRRK10,903+221$205
TWO HBRS INVT CORP 14,721 +305 $205
     TWO14,721+305$205
DUCKHORN PORTFOLIO INC 20,483 +6,771 $202
     NAPA20,483+6,771$202
RELAY THERAPEUTICS INC 18,357 -4,090 $202
     RLAY18,357-4,090$202
NEW YORK MTG TR INC 23,613 +23,613 $201
     NYMT23,613+23,613$201
TRANSOCEAN LTD 31,701 -22,025 $201
     RIG31,701-22,025$201
EAGLE BANCORP INC MD 6,652 +6,652 $200
     EGBN6,652+6,652$200
GERON CORP 93,858 -36,238 $198
     GERN93,858-36,238$198
LIBERTY GLOBAL LTD 10,484 -57,774 $195
     LBTYK10,484-57,774$195
SIRIUS XM HOLDINGS INC 35,582 -24,581 $195
     SIRI35,582-24,581$195
HOPE BANCORP INC 15,274 -4,672 $185
     HOPE15,274-4,672$185
PLIANT THERAPEUTICS INC 10,232 -1,741 $185
     PLRX10,232-1,741$185
MRC GLOBAL INC 16,126 -13,016 $178
     MRC16,126-13,016$178
NEWELL BRANDS INC 20,381 -10,042 $177
     NWL20,381-10,042$177
ANAVEX LIFE SCIENCES CORP 18,908 -3,961 $176
     AVXL18,908-3,961$176
EDITAS MEDICINE INC 17,337 -5,783 $176
     EDIT17,337-5,783$176
89BIO INC 15,791 +1,299 $176
     ETNB15,791+1,299$176
LUCID GROUP INC 41,809 -27,969 $176
     LCID41,809-27,969$176
AGILON HEALTH INC 13,958 -19,317 $175
     AGL13,958-19,317$175
COMPASS INC      $175
     CL A46,631-25,576$175
KURA ONCOLOGY INC 12,202 -3,288 $175
     KURA12,202-3,288$175
KIMBELL RTY PARTNERS LP 11,483 -4,820 $173
     KRP11,483-4,820$173
ZENTALIS PHARMACEUTICALS INC 11,425 -2,588 $173
     ZNTL11,425-2,588$173
ENVIRI CORP 18,945 +18,945 $171
     NVRI18,945+18,945$171
REVANCE THERAPEUTICS INC 19,357 -4,503 $170
     RVNC19,357-4,503$170
UMH PPTYS INC 11,045 -11,207 $169
     UMH11,045-11,207$169
VERVE THERAPEUTICS INC 12,158 +100 $169
     VERV12,158+100$169
ECOVYST INC 16,775 -2,131 $164
     ECVT16,775-2,131$164
OPENLANE INC 11,073 +11,073 $164
     KAR11,073+11,073$164
DAY ONE BIOPHARMACEUTICALS I 10,860 -2,023 $159
     DAWN10,860-2,023$159
MARINE PRODS CORP 13,568 +13,568 $155
     MPX13,568+13,568$155
PACTIV EVERGREEN INC 11,322 -18,295 $155
     PTVE11,322-18,295$155
IMMUNITYBIO INC 30,746 -6,381 $154
     IBRX30,746-6,381$154
PARAMOUNT GROUP INC 29,621 -33,393 $153
     PGRE29,621-33,393$153
TRAVERE THERAPEUTICS INC 17,001 -1,803 $153
     TVTX17,001-1,803$153
HALLADOR ENERGY COMPANY 16,236 +16,236 $144
     HNRG16,236+16,236$144
KOSMOS ENERGY LTD 21,134 -14,396 $142
     KOS21,134-14,396$142
GRAY TELEVISION INC 15,682 -7,825 $141
     GTN15,682-7,825$141
PROPETRO HLDG CORP 16,294 +16,294 $137
     PUMP16,294+16,294$137
LIBERTY LATIN AMERICA LTD 18,215 -12,763 $134
     LILAK18,215-12,763$134
DENNYS CORP 12,257 -19,597 $133
     DENN12,257-19,597$133
ALIGHT INC 14,872 -10,193 $127
     ALIT14,872-10,193$127
GLOBAL MED REIT INC 11,305 -12,760 $125
     GMRE11,305-12,760$125
MARQETA INC 17,954 -12,067 $125
     MQ17,954-12,067$125
AVIDITY BIOSCIENCES INC 13,589 -2,753 $123
     RNA13,589-2,753$123
AURORA INNOVATION INC 26,979 -18,490 $118
     AUR26,979-18,490$118
DUN & BRADSTREET HLDGS INC 10,092 -6,750 $118
     DNB10,092-6,750$118
ALECTOR INC 14,509 -3,209 $116
     ALEC14,509-3,209$116
DIVERSIFIED HEALTHCARE TR 30,469 -34,443 $114
     DHC30,469-34,443$114
THERAVANCE BIOPHARMA INC 10,100 -3,969 $114
     TBPH10,100-3,969$114
PLUG POWER INC 24,848 -16,482 $112
     PLUG24,848-16,482$112
EVOLUS INC 10,398 -1,686 $109
     EOLS10,398-1,686$109
OPENDOOR TECHNOLOGIES INC 23,844 -15,914 $107
     OPEN23,844-15,914$107
PACIFIC BIOSCIENCES CALIF IN 10,913 -7,438 $107
     PACB10,913-7,438$107
UNITI GROUP INC 18,507 +61 $107
     UNIT18,507+61$107
URANIUM ENERGY CORP 16,509 -11,098 $106
     UEC16,509-11,098$106
ARLO TECHNOLOGIES INC 10,708 -3,994 $102
     ARLO10,708-3,994$102
QUANTUMSCAPE CORP 14,484 -9,927 $101
     QS14,484-9,927$101
NOVAVAX INC 20,604 -2,984 $99
     NVAX20,604-2,984$99
AVID BIOSERVICES INC 14,589 -3,219 $95
     CDMO14,589-3,219$95
WISDOMTREE INC 13,635 +13,635 $94
     WT13,635+13,635$94
BRIGHTVIEW HLDGS INC 10,933 +10,933 $92
     BV10,933+10,933$92
SANA BIOTECHNOLOGY INC 22,226 -2,253 $91
     SANA22,226-2,253$91
PELOTON INTERACTIVE INC 14,681 -9,392 $89
     PTON14,681-9,392$89
RPC INC 11,851 -1,466 $86
     RES11,851-1,466$86
WAVE LIFE SCIENCES LTD 17,105 +17,105 $86
     WVE17,105+17,105$86
LUMEN TECHNOLOGIES INC 45,947 -31,533 $84
     LUMN45,947-31,533$84
SUMMIT THERAPEUTICS INC 32,303 -7,343 $84
     SMMT32,303-7,343$84
GINKGO BIOWORKS HOLDINGS INC 47,373 -32,470 $80
     DNA47,373-32,470$80
ALLOGENE THERAPEUTICS INC 24,230 -571 $78
     ALLO24,230-571$78
COHERUS BIOSCIENCES INC 22,718 -3,311 $76
     CHRS22,718-3,311$76
HANESBRANDS INC 16,067 -10,955 $72
     HBI16,067-10,955$72
TILRAY BRANDS INC 30,468 -20,883 $70
     TLRY30,468-20,883$70
COGENT BIOSCIENCES INC 11,213 -4,200 $66
     COGT11,213-4,200$66
DISH NETWORK CORPORATION 11,512 -7,730 $66
     DISH11,512-7,730$66
GLOBALSTAR INC 33,328 -22,680 $65
     GSAT33,328-22,680$65
PAYONEER GLOBAL INC 12,403 -10,263 $65
     PAYO12,403-10,263$65
AGENUS INC 74,158 -13,865 $61
     AGEN74,158-13,865$61
ROCKET LAB USA INC 11,000 -7,467 $61
     RKLB11,000-7,467$61
SABRE CORP 13,780 -9,144 $61
     SABR13,780-9,144$61
LYELL IMMUNOPHARMA INC 29,018 -6,442 $56
     LYEL29,018-6,442$56
COEUR MNG INC 15,150 -9,598 $49
     CDE15,150-9,598$49
FUBOTV INC 13,417 -9,196 $43
     FUBO13,417-9,196$43
LUMINAR TECHNOLOGIES INC 11,609 -7,957 $39
     LAZR11,609-7,957$39
SCILEX HOLDING CO 19,209 UNCH $39
     SCLX19,209UNCH$39
ERASCA INC 17,776 -5,186 $38
     ERAS17,776-5,186$38
CHARGEPOINT HOLDINGS INC 13,807 -9,462 $32
     CHPT13,807-9,462$32
MATTERPORT INC 11,451 -7,589 $31
     MTTR11,451-7,589$31
FUELCELL ENERGY INC 18,697 -12,680 $30
     FCEL18,697-12,680$30
OPKO HEALTH INC 19,775 -13,326 $30
     OPK19,775-13,326$30
VIRGIN GALACTIC HOLDINGS INC 11,585 -7,823 $28
     SPCE11,585-7,823$28
VENTYX BIOSCIENCES INC 10,066 -1,576 $25
     VTYX10,066-1,576$25
CLEAR CHANNEL OUTDOOR HLDGS 13,453 -10,581 $24
     CCO13,453-10,581$24
NIKOLA CORP 26,362 -18,070 $23
     NKLA26,362-18,070$23
TELLURIAN INC NEW 24,413 -16,814 $18
     TELL24,413-16,814$18
MULTIPLAN CORPORATION 11,946 -8,342 $17
     MPLN11,946-8,342$17
CLOVER HEALTH INVESTMENTS CO 16,269 -10,989 $15
     CLOV16,269-10,989$15
SHARECARE INC 13,907 -8,161 $15
     SHCR13,907-8,161$15
ACLARIS THERAPEUTICS INC 11,458 -2,630 $12
     ACRS11,458-2,630$12
23ANDME HOLDING CO 12,153 -7,988 $11
     ME12,153-7,988$11
DESKTOP METAL INC 10,340 -9,231 $8
     DM10,340-9,231$8
CANOO INC 19,190 -8,324 $5
     GOEV19,190-8,324$5
NUTEX HEALTH INC 16,589 -11,052 $3
     NUTX16,589-11,052$3
AMERICAN AIRLS GROUP INC $0 (exited)
     AAL0-12,619$0
THE AARONS COMPANY INC $0 (exited)
     AAN0-27,730$0
ADVANCE AUTO PARTS INC $0 (exited)
     AAP0-4,596$0
AMBEV SA $0 (exited)
     ABEV0-139,666$0
ARCHER AVIATION INC $0 (exited)
     ACHR0-10,022$0
ACM RESH INC $0 (exited)
     ACMR0-29,707$0
ADEIA INC $0 (exited)
     ADEA0-19,498$0
ADT INC DEL $0 (exited)
     ADT0-16,758$0
AEHR TEST SYS $0 (exited)
     AEHR0-4,584$0
ADVANCED ENERGY INDS $0 (exited)
     AEIS0-8,448$0
ALDEYRA THERAPEUTICS INC $0 (exited)
     ALDX0-13,314$0
ALLEGRO MICROSYSTEMS INC $0 (exited)
     ALGM0-24,524$0
ALLAKOS INC $0 (exited)
     ALLK0-12,249$0
ALLOVIR INC $0 (exited)
     ALVR0-13,508$0
AMEDISYS INC $0 (exited)
     AMED0-2,516$0
ALLIENT INC $0 (exited)
     AMOT0-9,384$0
AMYRIS INC $0 (exited)
     AMRS0-18,073$0
AMERICAN WELL CORP $0 (exited)
     AMWL0-16,080$0
ANI PHARMACEUTICALS INC $0 (exited)
     ANIP0-4,581$0
APOLLO COML REAL EST FIN INC $0 (exited)
     ARI0-64,631$0
ARROW FINL CORP $0 (exited)
     AROW0-16,601$0
ARCUTIS BIOTHERAPEUTICS INC $0 (exited)
     ARQT0-12,839$0
ARMOUR RESIDENTIAL REIT INC $0 (exited)
     ARR0-14,889$0
ARRAY TECHNOLOGIES INC $0 (exited)
     ARRY0-17,871$0
ASTEC INDS INC $0 (exited)
     ASTE0-13,379$0
ATAI LIFE SCIENCES NV $0 (exited)
     ATAI0-35,376$0
ALTICE USA INC $0 (exited)
     ATUS0-16,806$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-60,915$0
AEROVIRONMENT INC $0 (exited)
     AVAV0-2,030$0
AVIDXCHANGE HOLDINGS INC $0 (exited)
     AVDX0-11,660$0
BARNES GROUP INC $0 (exited)
     B0-11,435$0
ATLANTA BRAVES HLDGS INC $0 (exited)
     BATRK0-33,836$0
BLOOM ENERGY CORP $0 (exited)
     BE0-14,142$0
BUTTERFLY NETWORK INC $0 (exited)
     BFLY0-10,878$0
BLUEBIRD BIO INC $0 (exited)
     BLUE0-30,220$0
BUMBLE INC $0 (exited)
     BMBL0-11,191$0
CABLE ONE INC $0 (exited)
     CABO0-352$0
CALIX INC $0 (exited)
     CALX0-18,709$0
CANO HEALTH INC $0 (exited)
     CANO0-16,215$0
COASTAL FINL CORP WA $0 (exited)
     CCB0-11,127$0
CAREDX INC $0 (exited)
     CDNA0-15,274$0
CERUS CORP $0 (exited)
     CERS0-13,739$0
CAPITOL FED FINL INC $0 (exited)
     CFFN0-10,005$0
CONFLUENT INC $0 (exited)
     CFLT0-12,680$0
COMMUNITY HEALTHCARE TR INC $0 (exited)
     CHCT0-9,641$0
CHICOS FAS INC $0 (exited)
     CHS0-190,592$0
CLEAN ENERGY FUELS CORP $0 (exited)
     CLNE0-13,789$0
CIMPRESS PLC $0 (exited)
     CMPR0-47,241$0
COMPASS THERAPEUTICS INC $0 (exited)
     CMPX0-21,566$0
CONDUENT INC $0 (exited)
     CNDT0-12,697$0
CINEMARK HLDGS INC $0 (exited)
     CNK0-11,666$0
COHU INC $0 (exited)
     COHU0-18,646$0
COLUMBIA SPORTSWEAR CO $0 (exited)
     COLM0-2,884$0
CHESAPEAKE UTILS CORP $0 (exited)
     CPK0-10,737$0
CAVCO INDS INC DEL $0 (exited)
     CVCO0-1,705$0
CUSHMAN WAKEFIELD PLC $0 (exited)
     CWK0-12,253$0
CALIFORNIA WTR SVC GROUP $0 (exited)
     CWT0-4,298$0
DANA INC $0 (exited)
     DAN0-10,042$0
DUCOMMUN INC DEL $0 (exited)
     DCO0-33,714$0
DECIPHERA PHARMACEUTICALS IN $0 (exited)
     DCPH0-11,903$0
3 D SYS CORP DEL $0 (exited)
     DDD0-10,089$0
DENBURY INC $0 (exited)
     DEN0-3,855$0
EASTERN BANKSHARES INC $0 (exited)
     EBC0-12,272$0
EMERGENT BIOSOLUTIONS INC $0 (exited)
     EBS0-12,894$0
EQRX INC $0 (exited)
     EQRX0-62,354$0
E2OPEN PARENT HOLDINGS INC $0 (exited)
     ETWO0-14,094$0
EVOLENT HEALTH INC $0 (exited)
     EVH0-8,293$0
EVERI HLDGS INC $0 (exited)
     EVRI0-22,077$0
FATE THERAPEUTICS INC $0 (exited)
     FATE0-22,348$0
FUTUREFUEL CORP $0 (exited)
     FF0-37,305$0
FIRST FINL BANKSHARES INC $0 (exited)
     FFIN0-10,483$0
FIDELIS INSURANCE HOLDINGS L $0 (exited)
     FIHL0-200,000$0
FISERV INC $0 (exited)
     FISV0-268,400$0
FLYWIRE CORPORATION $0 (exited)
     FLYW0-6,690$0
FOMENTO ECONOMICO MEXICANO S $0 (exited)
     FMX0-7,128$0
FORMFACTOR INC $0 (exited)
     FORM0-5,965$0
FOX CORP $0 (exited)
     FOX0-11,029$0
FOX FACTORY HLDG CORP $0 (exited)
     FOXF0-3,270$0
FARMLAND PARTNERS INC $0 (exited)
     FPI0-19,250$0
FRESHPET INC $0 (exited)
     FRPT0-3,370$0
FISKER INC $0 (exited)
     FSR0-14,489$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-9,715$0
GREEN DOT CORP $0 (exited)
     GDOT0-14,525$0
GUARDANT HEALTH INC $0 (exited)
     GH0-8,616$0
GLAUKOS CORP $0 (exited)
     GKOS0-3,524$0
GLOBAL E ONLINE LTD $0 (exited)
     GLBE0-7,363$0
MONTE ROSA THERAPEUTICS INC $0 (exited)
     GLUE0-11,925$0
GLADSTONE COMMERCIAL CORP $0 (exited)
     GOOD0-15,489$0
HAYWARD HLDGS INC $0 (exited)
     HAYW0-11,436$0
HDFC BANK LTD $0 (exited)
     HDB0-93,168$0
HOWARD HUGHES HOLDINGS INC $0 (exited)
     HHH0-2,706$0
HILLENBRAND INC $0 (exited)
     HI0-5,564$0
HILLMAN SOLUTIONS CORP $0 (exited)
     HLMN0-15,038$0
ENVIRI CORP $0 (exited)
     HSC0-22,245$0
HILLTOP HOLDINGS INC $0 (exited)
     HTH0-13,236$0
HERTZ GLOBAL HLDGS INC $0 (exited)
     HTZ0-42,529$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-57,564$0
INTERCEPT PHARMACEUTICALS IN $0 (exited)
     ICPT0-10,066$0
INFINERA CORP $0 (exited)
     INFN0-15,634$0
INFOSYS LTD $0 (exited)
     INFY0-294,970$0
INMODE LTD $0 (exited)
     INMD0-31,578$0
IONQ INC $0 (exited)
     IONQ0-11,687$0
IRHYTHM TECHNOLOGIES INC $0 (exited)
     IRTC0-2,355$0
ITURAN LOCATION AND CONTROL $0 (exited)
     ITRN0-13,052$0
JACK IN THE BOX INC $0 (exited)
     JACK0-3,458$0
JOBY AVIATION INC $0 (exited)
     JOBY0-13,414$0
JAMES RIV GROUP LTD $0 (exited)
     JRVR0-33,377$0
KODIAK GAS SVCS INC $0 (exited)
     KGS0-440,000$0
KEMPER CORP $0 (exited)
     KMPR0-4,945$0
GLADSTONE LD CORP $0 (exited)
     LAND0-13,113$0
LCI INDS $0 (exited)
     LCII0-1,956$0
LESLIES INC $0 (exited)
     LESL0-13,491$0
LUMENTUM HLDGS INC $0 (exited)
     LITE0-5,295$0
EL POLLO LOCO HLDGS INC $0 (exited)
     LOCO0-43,751$0
LIVENT CORP $0 (exited)
     LTHM0-13,892$0
SOUTHWEST AIRLS CO $0 (exited)
     LUV0-11,500$0
LEXICON PHARMACEUTICALS INC $0 (exited)
     LXRX0-30,937$0
MALIBU BOATS INC $0 (exited)
     MBUU0-10,052$0
MOELIS & CO $0 (exited)
     MC0-5,149$0
MASTERCRAFT BOAT HLDGS INC $0 (exited)
     MCFT0-10,078$0
SERES THERAPEUTICS INC $0 (exited)
     MCRB0-28,958$0
MIRION TECHNOLOGIES INC $0 (exited)
     MIR0-13,472$0
MERIDIANLINK INC $0 (exited)
     MLNK0-594,617$0
MAKEMYTRIP LIMITED MAURITIUS $0 (exited)
     MMYT0-45,949$0
MINISO GROUP HLDG LTD $0 (exited)
     MNSO0-473,353$0
TOPGOLF CALLAWAY BRANDS CORP $0 (exited)
     MODG0-11,464$0
MERSANA THERAPEUTICS INC $0 (exited)
     MRSN0-24,067$0
MICROVISION INC DEL $0 (exited)
     MVIS0-13,566$0
MUELLER WTR PRODS INC $0 (exited)
     MWA0-12,083$0
PLAYSTUDIOS INC $0 (exited)
     MYPS0-28,733$0
INARI MED INC $0 (exited)
     NARI0-3,987$0
NATIONAL INSTRS CORP $0 (exited)
     NATI0-10,281$0
NEOGEN CORP $0 (exited)
     NEOG0-15,883$0
NEXTERA ENERGY PARTNERS LP $0 (exited)
     NEP0-6,881$0
NEW RELIC INC $0 (exited)
     NEWR0-4,349$0
ENPRO INDS INC $0 (exited)
     NPO0-4,619$0
NURIX THERAPEUTICS INC $0 (exited)
     NRIX0-11,074$0
NUVATION BIO INC $0 (exited)
     NUVB0-34,151$0
ENVISTA HOLDINGS CORPORATION $0 (exited)
     NVST0-37,117$0
OCEANFIRST FINL CORP $0 (exited)
     OCFC0-10,272$0
OLAPLEX HLDGS INC $0 (exited)
     OLPX0-10,082$0
ORION OFFICE REIT INC $0 (exited)
     ONL0-20,816$0
OFFICE PPTYS INCOME TR $0 (exited)
     OPI0-20,872$0
ORMAT TECHNOLOGIES INC $0 (exited)
     ORA0-4,154$0
ORGANOGENESIS HLDGS INC $0 (exited)
     ORGO0-20,523$0
OUTFRONT MEDIA INC $0 (exited)
     OUT0-11,454$0
PITNEY BOWES INC $0 (exited)
     PBI0-12,888$0
POTLATCHDELTIC CORPORATION $0 (exited)
     PCH0-6,182$0
PDF SOLUTIONS INC $0 (exited)
     PDFS0-16,567$0
PENN ENTERTAINMENT INC $0 (exited)
     PENN0-18,633$0
REVVITY INC $0 (exited)
     PKI0-446,866$0
PEAKSTONE REALTY TRUST $0 (exited)
     PKST0-13,901$0
PLANET LABS PBC $0 (exited)
     PL0-14,638$0
DOUGLAS DYNAMICS INC $0 (exited)
     PLOW0-9,944$0
PNM RES INC $0 (exited)
     PNM0-6,304$0
POINT BIOPHARMA GLOBAL INC $0 (exited)
     PNT0-18,016$0
PERIMETER SOLUTIONS SA $0 (exited)
     PRM0-11,046$0
PROS HOLDINGS INC $0 (exited)
     PRO0-7,053$0
QUIDELORTHO CORP $0 (exited)
     QDEL0-3,861$0
QURATE RETAIL INC $0 (exited)
     QRTEA0-27,513$0
UNIQURE NV $0 (exited)
     QURE0-12,625$0
READY CAPITAL CORP $0 (exited)
     RC0-13,976$0
R1 RCM INC $0 (exited)
     RCM0-12,934$0
EVEREST GROUP LTD $0 (exited)
     RE0-18,106$0
REMITLY GLOBAL INC $0 (exited)
     RELY0-10,536$0
REPLIMUNE GROUP INC $0 (exited)
     REPL0-10,009$0
REGENXBIO INC $0 (exited)
     RGNX0-10,950$0
RH $0 (exited)
     RH0-1,452$0
RIOT PLATFORMS INC $0 (exited)
     RIOT0-13,771$0
ROVER GROUP INC $0 (exited)
     ROVR0-66,386$0
SUNRUN INC $0 (exited)
     RUN0-16,581$0
SAFEHOLD INC $0 (exited)
     SAFE0-17,856$0
SEAGEN INC $0 (exited)
     SGEN0-37,222$0
SAGIMET BIOSCIENCES INC $0 (exited)
     SGMT0-25,000$0
SHOALS TECHNOLOGIES GROUP IN $0 (exited)
     SHLS0-13,121$0
SIGA TECHNOLOGIES INC $0 (exited)
     SIGA0-11,188$0
SILICON LABORATORIES INC $0 (exited)
     SLAB0-2,474$0
SOMALOGIC INC $0 (exited)
     SLGC0-12,292$0
SILGAN HLDGS INC $0 (exited)
     SLGN0-6,810$0
SMARTRENT INC $0 (exited)
     SMRT0-12,239$0
SCHNEIDER NATIONAL INC $0 (exited)
     SNDR0-24,113$0
SOUNDHOUND AI INC $0 (exited)
     SOUN0-11,173$0
SP PLUS CORP $0 (exited)
     SP0-65,998$0
ARS PHARMACEUTICALS INC $0 (exited)
     SPRY0-10,760$0
STEM INC $0 (exited)
     STEM0-11,356$0
STOCK YDS BANCORP INC $0 (exited)
     SYBT0-15,016$0
TACTILE SYS TECHNOLOGY INC $0 (exited)
     TCMD0-28,552$0
TIDEWATER INC NEW $0 (exited)
     TDW0-9,658$0
TRIUMPH GROUP INC NEW $0 (exited)
     TGI0-160,194$0
TARGET HOSPITALITY CORP $0 (exited)
     TH0-19,028$0
TITAN MACHY INC $0 (exited)
     TITN0-12,609$0
TANGO THERAPEUTICS INC $0 (exited)
     TNGX0-13,522$0
TEJON RANCH CO $0 (exited)
     TRC0-13,078$0
TAIWAN SEMICONDUCTOR MFG LTD $0 (exited)
     TSM0-124,778$0
TUSIMPLE HLDGS INC $0 (exited)
     TSP0-10,138$0
2SEVENTY BIO INC $0 (exited)
     TSVT0-12,807$0
TTEC HLDGS INC $0 (exited)
     TTEC0-26,215$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-10,321$0
UNDER ARMOUR INC $0 (exited)
     UA0-17,724$0
UNITED CMNTY BKS BLAIRSVLE G $0 (exited)
     UCBI0-9,181$0
UNIVERSAL HEALTH RLTY INCOME $0 (exited)
     UHT0-7,214$0
MARRIOTT VACATIONS WORLDWIDE $0 (exited)
     VAC0-2,722$0
VERTEX INC $0 (exited)
     VERX0-9,346$0
VMWARE INC $0 (exited)
     VMW0-18,340$0
VANDA PHARMACEUTICALS INC $0 (exited)
     VNDA0-16,271$0
WISDOMTREE INC $0 (exited)
     WETF0-88,485$0
CACTUS INC $0 (exited)
     WHD0-4,984$0
XPEL INC $0 (exited)
     XPEL0-6,488$0
YUM CHINA HLDGS INC $0 (exited)
     YUMC0-837,034$0
ZETA GLOBAL HOLDINGS CORP 0 -11,194 $0 (exited)
     ZETA0-11,194$0

See Summary: Teacher Retirement System of Texas Top Holdings
See Details: Top 10 Stocks Held By Teacher Retirement System of Texas

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