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Ensign Peak Advisor's stock holdings

The Church of Jesus Christ of Latter-day Saints' Ensign Peak


Advisors manages nearly $38 billion in stock. Here are those holdings
according to a recent SEC filing.
Source: Ensign Peak's filing with the Securities and Exchange Commission

Stock Value
Apple Inc $1,574,498,000
Microsoft Corp $1,496,120,000
Google Inc $930,020,000
Amazon.com Inc $855,534,000
Johnson & Johnson $645,924,000
Intel Corp $604,282,000
Facebook Inc $537,903,000
Visa Inc $532,653,000
JPMorgan Chase & Co $486,018,000
UnitedHealth Group Inc $471,534,000
Merck & Co Inc $418,963,000
Berkshire Hathaway Inc $418,386,000
Walt Disney Co/The $384,017,000
Chevron Corp $381,260,000
Home Depot Inc/The $369,978,000
Stryker Corp $348,720,000
Thermo Fisher Scientific Inc $343,760,000
Abbott Laboratories $335,744,000
Danaher Corp $325,424,000
O'Reilly Automotive Inc $324,716,000
Mastercard Inc $321,394,000
Bank of America Corp $307,855,000
Enterprise Products Partners LP $305,734,000
Union Pacific Corp $303,780,000
Adobe Systems Inc $295,533,000
iShares Core MSCI Emerging Markets ETF $291,015,000
Exxon Mobil Corp $290,841,000
TJX Cos Inc $290,390,000
Fastenal Co $287,527,000
Air Products & Chemicals Inc $278,951,000
iShares Core S&P 500 ETF $276,936,000
First Republic Bank/CA $276,216,000
Wells Fargo & Co $275,660,000
CME Group Inc/IL $269,317,000
NextEra Energy Inc $269,317,000
Halfmoon Parent Inc $268,635,000
Applied Materials Inc $264,078,000
Wal-Mart Stores Inc $260,994,000
American Tower Corp $258,537,000
Citigroup Inc $244,567,000
IntercontinentalExchange Inc $239,340,000
Marriott International Inc/DE $239,201,000
Boeing Co/The $231,123,000
NIKE Inc $227,488,000
US Bancorp/MN $213,961,000
Exact Sciences Corp $207,864,000
Fortive Corp $207,779,000
Knight-Swift Transportation Holdings Inc $205,436,000
Prologis Inc $200,143,000
Illinois Tool Works Inc $190,926,000
Southern Co. $189,891,000
LKQ Corp $184,203,000
Shopify Inc $182,043,000
Vertex Pharmaceuticals Inc $177,374,000
NVIDIA Corp $175,687,000
Vanguard FTSE Emerging Markets ETF $175,020,000
Salesforce.com Inc $168,393,000
Texas Instruments Inc $165,509,000
Intuitive Surgical Inc $160,317,000
Aon PLC $158,972,000
Costco Wholesale Corp $147,773,000
iShares Russell 2000 ETF $145,790,000
Delta Air Lines Inc $144,628,000
Procter & Gamble Co/The $144,424,000
Dominion Resources Inc/VA $142,691,000
ConocoPhillips $142,413,000
AT&T Inc $136,523,000
LyondellBasell Industries NV $134,902,000
Quintiles Transnational Holdings Inc $134,202,000
Verizon Communications Inc $132,076,000
Cisco Systems Inc $130,918,000
CoStar Group Inc $130,097,000
Charter Communications Inc $127,824,000
Teladoc Inc $126,526,000
Royal Bank of Canada $123,585,000
Google Inc $119,453,000
Cognizant Technology Solutions Corp $113,676,000
Comcast Corp $107,928,000
Splunk Inc $102,774,000
Wabtec Corp/DE $102,661,000
ONEOK Inc $99,618,000
Northern Trust Corp $95,217,000
Zions Bancorporation $91,814,000
Duke Energy Corp $90,864,000
Kinder Morgan Inc/DE $88,258,000
McDonald's Corp $88,145,000
Xilinx Inc $84,405,000
AO Smith Corp $83,450,000
Biogen Idec Inc $81,986,000
Motorola Solutions Inc $81,668,000
Pfizer Inc $80,705,000
Ross Stores Inc $77,764,000
SPDR S&P 500 ETF Trust $77,163,000
Pluralsight Inc $76,776,000
Bristol-Myers Squibb Co $73,796,000
Magellan Midstream Partners LP $72,646,000
Amgen Inc $71,837,000
Snap-on Inc $71,817,000
Sherwin-Williams Co/The $70,780,000
Avago Technologies Ltd $70,198,000
Dollar General Corp $69,159,000
Target Corp $68,818,000
Toronto-Dominion Bank/The $68,599,000
Sysco Corp $67,571,000
Ritchie Bros Auctioneers Inc $66,494,000
TC Pipelines LP $64,504,000
American Electric Power Co Inc $63,848,000
Cummins Inc $63,306,000
FMC Corp $63,175,000
AutoZone Inc $60,301,000
Honeywell International Inc $60,166,000
Clorox Co/The $59,776,000
Medtronic Inc $58,471,000
Accenture PLC $57,407,000
Gilead Sciences Inc $56,885,000
Waste Management Inc $56,611,000
International Business Machines Corp $55,986,000
Lincoln National Corp $54,776,000
United Continental Holdings Inc $53,378,000
Skyworks Solutions Inc $53,368,000
Lam Research Corp $52,431,000
MetLife Inc $51,976,000
Voya Financial Inc $51,902,000
Xerox Corp $51,048,000
Reliance Steel & Aluminum Co $49,810,000
Vistra Energy Corp $49,618,000
Pinnacle West Capital Corp $48,926,000
Mondelez International Inc $48,612,000
F5 Networks Inc $48,387,000
Insperity Inc $47,531,000
PACCAR Inc $47,243,000
iShares MSCI EAFE ETF $46,770,000
Exelon Corp $46,665,000
Ryder System Inc $46,496,000
Eaton Corp PLC $46,422,000
Public Storage $46,349,000
Host Hotels & Resorts Inc $46,312,000
Jazz Pharmaceuticals Plc $46,179,000
DuPont de Nemours Inc $46,145,000
Caterpillar Inc $45,641,000
Southwest Airlines Co $45,543,000
Kimberly-Clark Corp $45,163,000
Synchrony Financial $45,014,000
ETF $44,896,000
Ally Financial Inc $44,772,000
Morgan Stanley $44,627,000
Royal Caribbean Cruises Ltd $44,229,000
Estee Lauder Cos Inc/The $44,210,000
HCA Holdings Inc $43,852,000
Humana Inc $42,688,000
AbbVie Inc $42,452,000
EPAM Systems Inc $42,078,000
Capital One Financial Corp $41,458,000
Steel Dynamics Inc $41,132,000
Walgreens Boots Alliance Inc $40,832,000
Qorvo Inc $40,510,000
Xcel Energy Inc $40,327,000
Citizens Financial Group Inc $40,310,000
Allstate Corp/The $39,843,000
iShares Core S&P Mid-Cap ETF $39,643,000
Prudential Financial Inc $39,491,000
Oracle Corp $39,323,000
eBay Inc $39,106,000
Darden Restaurants Inc $38,992,000
Laboratory Corp of America Holdings $38,988,000
Eli Lilly & Co $38,973,000
Quest Diagnostics Inc $38,901,000
Nucor Corp $38,666,000
VeriSign Inc $38,582,000
Allison Transmission Holdings Inc $38,541,000
Universal Health Services Inc $38,445,000
Analog Devices Inc $38,274,000
Ingredion Inc $37,789,000
Goldman Sachs ActiveBeta International Equity ETF $37,735,000
Manpowergroup Inc $37,421,000
CBRE Group Inc $37,040,000
Discover Financial Services $36,922,000
PayPal Holdings Inc $36,856,000
Norwegian Cruise Line Holdings Ltd $36,685,000
International Paper Co $36,645,000
Kroger Co/The $36,499,000
BorgWarner Inc $36,391,000
Discovery Communications Inc $36,221,000
Citrix Systems Inc $35,778,000
Lockheed Martin Corp $35,340,000
Vanguard Small-Cap ETF $35,278,000
Best Buy Co Inc $35,220,000
Brixmor Property Group Inc $35,092,000
Hewlett Packard Enterprise Co $34,915,000
Athene Holding Ltd $34,826,000
Colgate-Palmolive Co $34,347,000
Avnet Inc $34,144,000
QUALCOMM Inc $34,054,000
Lear Corp $34,010,000
ServiceNow Inc $33,861,000
Vanguard FTSE All World ex-US Small-Cap ETF $33,795,000
Hormel Foods Corp $33,671,000
SVB Financial Group $33,668,000
Centene Corp $33,581,000
AXA Equitable Holdings Inc $33,382,000
Unum Group $33,285,000
Monro Muffler Brake Inc $33,161,000
Ameriprise Financial Inc $33,009,000
AmerisourceBergen Corp $32,300,000
Booking Holdings Inc $32,246,000
Fidelity National Information Services Inc $31,934,000
Alaska Air Group Inc $31,495,000
Sprouts Farmers Market Inc $31,490,000
Republic Services Inc $31,406,000
Becton Dickinson and Co $31,404,000
HealthEquity Inc $31,115,000
Cardinal Health Inc $30,928,000
Lowe's Cos Inc $30,840,000
JetBlue Airways Corp $30,676,000
Owens Corning $30,552,000
Assured Guaranty Ltd $30,549,000
Principal Financial Group Inc $30,417,000
National Fuel Gas Co $30,382,000
United Technologies Corp $30,339,000
Whiting Petroleum Corp $30,188,000
Jabil Circuit Inc $30,134,000
Equinix Inc $29,866,000
Janus Henderson Group PLC $29,649,000
Hewlett-Packard Co $29,601,000
Hershey Co/The $29,512,000
WestRock Co $29,427,000
Healthcare Services Group Inc $28,868,000
WNS Holdings Ltd $28,728,000
AvalonBay Communities Inc $28,451,000
Weingarten Realty Investors $28,374,000
Timken Co $28,313,000
Northrop Grumman Corp $28,126,000
Hospitality Properties Trust $28,039,000
WellPoint Inc $28,012,000
Amdocs Ltd $27,805,000
iShares MSCI South Korea ETF $27,778,000
STAAR Surgical Co $27,743,000
Monolithic Power Systems Inc $27,643,000
Health Care REIT Inc $27,603,000
Leucadia National Corp $27,461,000
Navient Corp $27,445,000
NRG Energy Inc $27,376,000
Micron Technology Inc $27,343,000
NetApp Inc $27,276,000
Evergy Inc $26,809,000
Park Hotels & Resorts Inc $26,623,000
Gentex Corp/MI $26,350,000
American Express Co $25,861,000
Oshkosh Corp $25,694,000
Santander Consumer USA Holdings Inc $25,624,000
Intuit Inc $25,616,000
Fastly Inc $25,605,000
Brighthouse Financial Inc $25,415,000
Western Union Co/The $24,903,000
Twenty-First Century Fox Inc $24,795,000
Old Republic International Corp $24,697,000
Dorman Products Inc $24,666,000
Extended Stay America Inc $24,323,000
HCP Inc $23,847,000
Tyson Foods Inc $23,586,000
Fortinet Inc $23,515,000
McKesson Corp $23,405,000
PPL Corp $23,302,000
Telephone & Data Systems Inc $23,066,000
Boston Scientific Corp $22,998,000
Fiserv Inc $22,874,000
Dollar Tree Inc $22,815,000
Domtar Corp $22,442,000
People's United Financial Inc $22,279,000
Paychex Inc $22,101,000
DaVita HealthCare Partners Inc $21,932,000
Consolidated Edison Inc $21,761,000
Akamai Technologies Inc $21,552,000
Marsh & McLennan Cos Inc $21,544,000
Teradyne Inc $21,515,000
HealthSouth Corp $21,513,000
Leidos Holdings Inc $21,492,000
HollyFrontier Corp $21,401,000
Cinemark Holdings Inc $21,351,000
Valero Energy Corp $21,284,000
Apple Hospitality REIT Inc $21,281,000
OneMain Holdings Inc $21,225,000
Reinsurance Group of America Inc $21,206,000
Carlisle Cos Inc $20,891,000
United Rentals Inc $20,724,000
McGraw Hill Financial Inc $20,661,000
Henry Schein Inc $20,628,000
Crown Castle International Corp $20,590,000
Omnicom Group Inc $20,481,000
Kimco Realty Corp $20,436,000
Interactive Brokers Group Inc $20,401,000
FactSet Research Systems Inc $20,284,000
L3 Harris Corp $20,065,000
EOG Resources Inc $19,729,000
NorthWestern Corp $19,722,000
PetIQ Inc $19,540,000
General Motors Co $19,246,000
Phathom Pharmaceuticals Inc $19,208,000
WPX Energy Inc $19,009,000
Marathon Oil Corp $18,895,000
Patterson-UTI Energy Inc $18,783,000
LogMeIn Inc $18,450,000
Sterling Bancorp/DE $18,005,000
ON Semiconductor Corp $18,001,000
Nu Skin Enterprises Inc $17,980,000
Coach Inc $17,871,000
Edwards Lifesciences Corp $17,813,000
Norfolk Southern Corp $17,610,000
Endava PLC $17,609,000
Cognex Corp $17,577,000
Old Dominion Freight Line Inc $17,522,000
Robert Half International Inc $17,463,000
Charles Schwab Corp/The $17,420,000
Zoetis Inc $17,415,000
CVS Caremark Corp $17,330,000
ETRADE Financial Corp $17,322,000
ASML Holding NV $17,055,000
Hartford Financial Services Group Inc $16,989,000
Chubb Corp/The $16,953,000
Juniper Networks Inc $16,866,000
Expedia Inc $16,813,000
PulteGroup Inc $16,416,000
Liberty SiriusXM Group $16,370,000
Ulta Salon Cosmetics & Fragrance Inc $16,332,000
Phillips 66 $16,257,000
PNC Financial Services Group Inc/The $16,250,000
CSX Corp $16,229,000
Aflac Inc $16,106,000
IHS Markit Ltd $15,979,000
Albemarle Corp $15,977,000
Regeneron Pharmaceuticals Inc $15,970,000
Cerner Corp $15,956,000
SBA Communications Corp $15,902,000
Interpublic Group of Cos Inc/The $15,832,000
Marathon Petroleum Corp $15,815,000
Masco Corp $15,785,000
Acuity Brands Inc $15,635,000
Cadence Design Systems Inc $15,598,000
Fortress Transportation & Infrastructure Investors $15,573,000
CDW Corp/DE $15,528,000
Newmont Mining Corp $15,525,000
Palo Alto Networks Inc $15,440,000
BB&T Corp $15,402,000
Twenty-First Century Fox Inc $15,064,000
Cabot Oil & Gas Corp $15,024,000
Yum! Brands Inc $14,991,000
Blackline Inc $14,916,000
Wisconsin Energy Corp $14,790,000
Johnson Controls International PLC $14,724,000
SITE CTRS CORP $14,332,000
Progressive Corp/The $14,289,000
CF Industries Holdings Inc $14,048,000
Torchmark Corp $13,993,000
UGI Corp $13,942,000
Illumina Inc $13,924,000
LIN Media LLC $13,834,000
Automatic Data Processing Inc $13,819,000
Mohawk Industries Inc $13,808,000
Hilton Worldwide Holdings Inc $13,761,000
Electronic Arts Inc $13,688,000
Alexion Pharmaceuticals Inc $13,590,000
Ventas Inc $13,504,000
Premier Inc $13,493,000
Amphenol Corp $13,466,000
Goldman Sachs Group Inc/The $13,452,000
Popular Inc $13,354,000
WR Grace & Co $13,312,000
Ecolab Inc $13,302,000
DXC Technology Co $13,177,000
Keysight Technologies Inc $13,138,000
FedEx Corp $13,086,000
Ford Motor Co $13,055,000
Ameren Corp $13,024,000
East West Bancorp Inc $13,015,000
United Parcel Service Inc $12,902,000
Mettler-Toledo International Inc $12,840,000
Aqua America Inc $12,745,000
PacWest Bancorp $12,667,000
Archer-Daniels-Midland Co $12,633,000
Bank of New York Mellon Corp/The $12,586,000
Evercore Partners Inc $12,554,000
Medical Properties Trust Inc $12,494,000
Crown Holdings Inc $12,328,000
Alexandria Real Estate Equities Inc $12,280,000
Spirit Aerosystems Holdings Inc $12,247,000
Taiwan Semiconductor Manufacturing Co Ltd $12,236,000
Domino's Pizza Inc $12,234,000
Veeva Systems Inc $12,079,000
Verisk Analytics Inc $12,000,000
CMS Energy Corp $11,988,000
Neurocrine Biosciences Inc $11,915,000
MEDNAX Inc $11,893,000
Emerson Electric Co $11,856,000
DISH Network Corp $11,831,000
Essex Property Trust Inc $11,805,000
Church & Dwight Co Inc $11,748,000
Global Payments Inc $11,702,000
Kellogg Co $11,693,000
MKS Instruments Inc $11,667,000
Carnival Corp $11,597,000
Cable One Inc $11,508,000
Tyler Technologies Inc $11,499,000
US Foods Holding Corp $11,489,000
McCormick & Co Inc/MD $11,477,000
Halliburton Co $11,444,000
Simon Property Group Inc $11,417,000
CIT Group Inc $11,403,000
VistaPrint NV $11,396,000
3M Co $11,356,000
Iron Mountain Inc $11,336,000
International Flavors & Fragrances Inc $11,320,000
Gardner Denver Holdings Inc $11,311,000
SEI Investments Co $11,301,000
Schlumberger Ltd $11,214,000
WellCare Health Plans Inc $11,059,000
Alliance Data Systems Corp $11,058,000
Corning Inc $11,004,000
Baker Hughes a GE Co $10,986,000
Northeast Utilities $10,944,000
Liberty Interactive Corp $10,859,000
Saia Inc $10,791,000
Zebra Technologies Corp $10,750,000
Teledyne Technologies Inc $10,740,000
Moody's Corp $10,739,000
Omega Healthcare Investors Inc $10,721,000
Travelers Cos Inc/The $10,679,000
Dow Inc $10,678,000
STERIS Corp $10,655,000
Pool Corp $10,604,000
Vocera Communications Inc $10,568,000
Hasbro Inc $10,464,000
Roper Industries Inc $10,408,000
Chemed Corp $10,347,000
Extra Space Storage Inc $10,331,000
General Electric Co $10,260,000
Celanese Corp $10,208,000
Brown & Brown Inc $10,114,000
Sinclair Broadcast Group Inc $10,102,000
Eastman Chemical Co $10,093,000
Prospect Capital Corp $10,093,000
Liberty SiriusXM Group $10,069,000
Raytheon Co $10,006,000
Entergy Corp $9,891,000
AMETEK Inc $9,856,000
Yum China Holdings Inc $9,748,000
Post Holdings Inc $9,729,000
Camden Property Trust $9,698,000
Varian Medical Systems Inc $9,661,000
AGCO Corp $9,640,000
Equity Residential $9,640,000
General Mills Inc $9,627,000
Regal-Beloit Corp $9,567,000
Alibaba Group Holding Ltd $9,545,000
Lamar Advertising Co $9,499,000
Occidental Petroleum Corp $9,456,000
Parker Hannifin Corp $9,446,000
ConAgra Foods Inc $9,417,000
Toro Co/The $9,369,000
Assurant Inc $9,320,000
Alleghany Corp $9,277,000
AptarGroup Inc $9,235,000
OGE Energy Corp $9,207,000
National Retail Properties Inc $9,185,000
Fair Isaac Corp $9,157,000
Sabre Corp $9,142,000
American Water Works Co Inc $9,140,000
Novartis AG $9,132,000
Progressive Waste Solutions Ltd $9,113,000
Autodesk Inc $9,082,000
Service Corp International/US $9,053,000
Five Below Inc $9,042,000
Skechers U.S.A. Inc $8,921,000
Duke Realty Corp $8,916,000
Air Lease Corp $8,914,000
Alliant Energy Corp $8,874,000
HEICO Corp $8,843,000
Pioneer Natural Resources Co $8,838,000
Switch Inc $8,836,000
DTE Energy Co $8,834,000
Martin Marietta Materials Inc $8,833,000
First Trust Senior Loan ETF $8,822,000
West Pharmaceutical Services Inc $8,818,000
Devon Energy Corp $8,808,000
Atmos Energy Corp $8,701,000
John Wiley & Sons Inc $8,695,000
Brookfield Asset Management Inc $8,692,000
Western Digital Corp $8,665,000
Lamb Weston Holdings Inc $8,612,000
Advance Auto Parts Inc $8,569,000
Trimble Navigation Ltd $8,431,000
SL Green Realty Corp $8,420,000
Lazard Ltd $8,418,000
Loews Corp $8,365,000
IDEXX Laboratories Inc $8,259,000
IDEX Corp $8,253,000
CACI International Inc $8,238,000
CyrusOne Inc $8,231,000
New York Community Bancorp Inc $8,222,000
Tractor Supply Co $8,190,000
Cintas Corp $8,186,000
Live Nation Entertainment Inc $8,165,000
FirstEnergy Corp $8,130,000
WEX Inc $8,092,000
American International Group Inc $8,069,000
Royal Gold Inc $8,041,000
Wyndham Hotels & Resorts Inc $8,011,000
Packaging Corp of America $7,985,000
Public Service Enterprise Group Inc $7,980,000
ITT Inc $7,979,000
Advanced Micro Devices Inc $7,949,000
Cimarex Energy Co $7,931,000
Allergan plc $7,911,000
Trupanion Inc $7,911,000
UDR Inc $7,869,000
Jones Lang LaSalle Inc $7,844,000
Karuna Therapeutics Inc $7,795,000
NiSource Inc $7,790,000
Murphy Oil Corp $7,743,000
RPM International Inc $7,694,000
Aptiv PLC $7,663,000
Kraft Heinz Co/The $7,642,000
Cincinnati Financial Corp $7,627,000
Brandywine Realty Trust $7,619,000
VF Corp $7,592,000
Wayfair Inc $7,574,000
FLIR Systems Inc $7,523,000
Realty Income Corp $7,522,000
Huntington Ingalls Industries Inc $7,464,000
BlackRock Inc $7,443,000
Financial $7,414,000
Douglas Emmett Inc $7,405,000
XPO Logistics Inc $7,404,000
DR Horton Inc $7,387,000
Consumer Discretionary Select Sector SPDR Fund $7,353,000
Livent Corp $7,346,000
Graco Inc $7,334,000
Health Catalyst Inc $7,334,000
NASDAQ OMX Group Inc/The $7,287,000
Copart Inc $7,270,000
United States Cellular Corp $7,204,000
Kilroy Realty Corp $7,178,000
RenaissanceRe Holdings Ltd $7,158,000
Mid-America Apartment Communities Inc $7,137,000
Landstar System Inc $7,116,000
Concho Resources Inc $6,910,000
Catalent Inc $6,902,000
Arrowhead Pharmaceuticals Inc $6,869,000
PTC Inc $6,862,000
Ascendis Pharma A/S $6,861,000
Dell Inc $6,791,000
iShares Russell 1000 Growth ETF $6,785,000
Lennox International Inc $6,779,000
Diamondback Energy Inc $6,771,000
Dick's Sporting Goods Inc $6,753,000
Pra Health Sciences Inc $6,738,000
Hanover Insurance Group Inc/The $6,733,000
AECOM Technology Corp $6,721,000
Universal Display Corp $6,718,000
Nordstrom Inc $6,716,000
Huntsman Corp $6,695,000
Commerce Bancshares Inc/MO $6,676,000
First American Financial Corp $6,538,000
Activision Blizzard Inc $6,531,000
Charles River Laboratories International Inc $6,500,000
Toll Brothers Inc $6,475,000
SS&C Technologies Holdings Inc $6,462,000
Regency Centers Corp $6,422,000
Hubbell Inc $6,389,000
Ingersoll-Rand PLC $6,384,000
LHC Group Inc $6,369,000
H&R Block Inc $6,366,000
American Financial Group Inc/OH $6,362,000
Molina Healthcare Inc $6,362,000
Altice USA Inc $6,346,000
Hill-Rom Holdings Inc $6,322,000
Bio-Rad Laboratories Inc $6,316,000
KeyCorp $6,307,000
Lennar Corp $6,269,000
Michael Kors Holdings Ltd $6,256,000
CarMax Inc $6,227,000
KLA-Tencor Corp $6,226,000
Energizer Holdings Inc $6,212,000
Woodward Inc $6,160,000
BioTechne Corp $6,143,000
Masimo Corp $6,141,000
M&T Bank Corp $6,108,000
Trex Co Inc $6,097,000
Starwood Property Trust Inc $6,086,000
Genuine Parts Co $6,052,000
Polaris Industries Inc $6,038,000
Synovus Financial Corp $6,036,000
CBOE Holdings Inc $6,019,000
Rockwell Automation Inc $6,006,000
NVR Inc $5,979,000
Nexstar Broadcasting Group Inc $5,968,000
American Campus Communities Inc $5,967,000
Nordson Corp $5,928,000
Noble Energy Inc $5,920,000
Ceridian HCM Holding Inc $5,890,000
Curtiss-Wright Corp $5,885,000
Baxter International Inc $5,873,000
Eagle Materials Inc $5,811,000
Proofpoint Inc $5,734,000
Corporate Office Properties Trust $5,723,000
Campbell Soup Co $5,714,000
Everest Re Group Ltd $5,689,000
Teleflex Inc $5,673,000
EPR Properties $5,668,000
Willis Group Holdings PLC $5,667,000
Littelfuse Inc $5,657,000
Garmin Ltd $5,575,000
Arrow Electronics Inc $5,572,000
Broadridge Financial Solutions Inc $5,570,000
Comerica Inc $5,514,000
State Street Corp $5,501,000
Associated Banc-Corp $5,469,000
Flowers Foods Inc $5,444,000
LPL Financial Holdings Inc $5,419,000
Cousins Properties Inc $5,371,000
ANSYS Inc $5,357,000
Arista Networks Inc $5,346,000
Ralph Lauren Corp $5,346,000
Ciena Corp $5,324,000
First Horizon National Corp $5,323,000
Agilent Technologies Inc $5,299,000
Silk Road Medical Inc $5,262,000
Kansas City Southern $5,250,000
HubSpot Inc $5,217,000
Vornado Realty Trust $5,213,000
Freeport-McMoRan Copper & Gold Inc $5,210,000
Thor Industries Inc $5,195,000
FleetCor Technologies Inc $5,194,000
Textron Inc $5,176,000
Acceleron Pharma Inc $5,151,000
CDK Global Inc $5,134,000
Amarin Corp PLC $5,116,000
Blackstone Group LP $5,106,000
Fifth Third Bancorp $5,102,000
STORE Capital Corp $5,098,000
Haemonetics Corp $5,064,000
Apartment Investment & Management Co $5,063,000
T Rowe Price Group Inc $5,028,000
Communications $5,015,000
Zimmer Holdings Inc $5,009,000
PVH Corp $5,002,000
IDACORP Inc $4,988,000
Exelixis Inc $4,966,000
Sonoco Products Co $4,966,000
Arthur J Gallagher & Co $4,963,000
Williams-Sonoma Inc $4,956,000
Cullen/Frost Bankers Inc $4,945,000
PerkinElmer Inc $4,937,000
Regions Financial Corp $4,927,000
Microchip Technology Inc $4,912,000
Invesco Ltd $4,880,000
MDU Resources Group Inc $4,868,000
Jack Henry & Associates Inc $4,861,000
Crowdstrike Holdings Inc $4,849,000
AES Corp/VA $4,822,000
Donaldson Co Inc $4,817,000
MFA Financial Inc $4,814,000
Etsy Inc $4,792,000
Teva Pharmaceutical Finance Co LLC $4,743,000
Helmerich & Payne Inc $4,731,000
Vulcan Materials Co $4,717,000
Kemper Corp $4,679,000
Dover Corp $4,673,000
Symantec Corp $4,657,000
Liberty Broadband Corp $4,653,000
Sempra Energy $4,623,000
EchoStar Corp $4,605,000
Watsco Inc $4,591,000
Twitter Inc $4,589,000
Lumentum Holdings Inc $4,588,000
iShares iBoxx $ Investment Grade Corporate Bond ET $4,584,000
Elanco Animal Health Inc $4,570,000
Chemical Financial Corp $4,561,000
Trade Desk Inc/The $4,543,000
Manhattan Associates Inc $4,515,000
Federal Realty Investment Trust $4,505,000
Raymond James Financial Inc $4,503,000
First Solar Inc $4,499,000
Stericycle Inc $4,492,000
Primerica Inc $4,483,000
PPG Industries Inc $4,482,000
MongoDB Inc $4,466,000
Apollo Global Management LLC $4,452,000
SYNNEX Corp $4,442,000
Boston Properties Inc $4,426,000
Lincoln Electric Holdings Inc $4,426,000
Rayonier Inc $4,391,000
Franklin Resources Inc $4,364,000
Avangrid Inc $4,354,000
Sovran Self Storage Inc $4,353,000
Hawaiian Electric Industries Inc $4,351,000
Rollins Inc $4,344,000
Silicon Laboratories Inc $4,291,000
Ball Corp $4,254,000
Exponent Inc $4,212,000
EastGroup Properties Inc $4,208,000
Marriott Vacations Worldwide Corp $4,168,000
Zoom Video Communications Inc $4,162,000
FMC Technologies Inc $4,151,000
Horizon Pharma Plc $4,140,000
Equity Lifestyle Properties Inc $4,135,000
First Industrial Realty Trust Inc $4,125,000
CenterPoint Energy Inc $4,124,000
Deere & Co $4,116,000
MAXIMUS Inc $4,093,000
Highwoods Properties Inc $4,063,000
Mercury General Corp $4,042,000
Amedisys Inc $4,032,000
Prosperity Bancshares Inc $4,028,000
TE Connectivity Ltd $4,008,000
Gossamer Bio Inc $3,976,000
Brunswick Corp/DE $3,974,000
Wendy's Co/The $3,960,000
Webster Financial Corp $3,936,000
Spirit Realty Capital Inc $3,909,000
Okta Inc $3,907,000
Eaton Vance Corp $3,894,000
Cree Inc $3,893,000
nVent Electric PLC $3,886,000
Bridgebio Pharma Inc $3,870,000
Kirby Corp $3,862,000
Hanesbrands Inc $3,857,000
Wyndham Worldwide Corp $3,856,000
Prestige Brands Holdings Inc $3,837,000
Edison International $3,834,000
Pilgrim's Pride Corp $3,829,000
First Financial Bankshares Inc $3,828,000
Synopsys Inc $3,821,000
Crane Co $3,819,000
frontdoor Inc $3,819,000
CBS Corp $3,818,000
General Dynamics Corp $3,804,000
Penumbra Inc $3,795,000
Children's Place Inc/The $3,778,000
ONE Gas Inc $3,777,000
Pinnacle Financial Partners Inc $3,776,000
Mylan Inc/PA $3,763,000
Equifax Inc $3,758,000
Kosmos Energy Ltd $3,758,000
CenturyLink Inc $3,736,000
Cirrus Logic Inc $3,735,000
Cabot Microelectronics Corp $3,733,000
Enbridge Inc $3,723,000
Cracker Barrel Old Country Store Inc $3,705,000
Align Technology Inc $3,701,000
Allegion PLC $3,674,000
Mosaic Co/The $3,647,000
ResMed Inc $3,644,000
Tetra Tech Inc $3,644,000
Darling International Inc $3,622,000
Brink's Co/The $3,612,000
New York Times Co/The $3,600,000
Bank of Hawaii Corp $3,594,000
SolarEdge Technologies Inc $3,594,000
Carter's Inc $3,561,000
NCR Corp $3,552,000
Clean Harbors Inc $3,536,000
CH Robinson Worldwide Inc $3,534,000
National Instruments Corp $3,526,000
ALLETE Inc $3,522,000
Wintrust Financial Corp $3,520,000
Macy's Inc $3,507,000
Digital Realty Trust Inc $3,506,000
Chipotle Mexican Grill Inc $3,498,000
EMCOR Group Inc $3,495,000
INC Research Holdings Inc $3,495,000
Integra LifeSciences Holdings Corp $3,495,000
Deckers Outdoor Corp $3,493,000
FNB Corp/PA $3,467,000
Healthcare Realty Trust Inc $3,466,000
KBR Inc $3,466,000
Bank of the Ozarks Inc $3,456,000
American Realty Capital Properties Inc $3,448,000
CoreLogic Inc/United States $3,448,000
Black Hills Corp $3,420,000
Williams Cos Inc/The $3,420,000
GrubHub Inc $3,419,000
Cooper Cos Inc/The $3,416,000
Waters Corp $3,415,000
Weyerhaeuser Co $3,410,000
Sabra Health Care REIT Inc $3,387,000
Ollie's Bargain Outlet Holdings Inc $3,379,000
Globus Medical Inc $3,369,000
FTI Consulting Inc $3,368,000
Corteva Inc $3,362,000
National Oilwell Varco Inc $3,360,000
Gritstone Oncology Inc $3,357,000
Ashland Inc $3,344,000
Discovery Communications Inc $3,340,000
Hologic Inc $3,340,000
Apollo Commercial Real Estate Finance Inc $3,338,000
Repligen Corp $3,332,000
Olin Corp $3,323,000
SLM Corp $3,321,000
United Therapeutics Corp $3,319,000
Amcor PLC $3,314,000
Sealed Air Corp $3,288,000
ProPetro Holding Corp $3,280,000
TransDigm Group Inc $3,276,000
Taser International Inc $3,275,000
JBG SMITH Properties $3,269,000
MSA Safety Inc $3,258,000
CoreSite Realty Corp $3,257,000
Herbalife Ltd $3,256,000
TEGNA Inc $3,250,000
10X Genomics Inc $3,235,000
ACI Worldwide Inc $3,233,000
Umpqua Holdings Corp $3,231,000
Nektar Therapeutics $3,227,000
BGC Partners Inc $3,222,000
j2 Global Inc $3,218,000
Stanley Black & Decker Inc $3,213,000
Canadian National Railway Co $3,207,000
PNM Resources Inc $3,201,000
Expeditors International of Washington Inc $3,189,000
Helen of Troy Ltd $3,189,000
Maxim Integrated Products Inc $3,187,000
Incyte Corp Ltd $3,174,000
Texas Roadhouse Inc $3,166,000
Booz Allen Hamilton Holding Corp $3,152,000
Community Bank System Inc $3,149,000
Bank of Nova Scotia/The $3,134,000
Louisiana-Pacific Corp $3,134,000
MyoKardia Inc $3,125,000
PBF Energy Inc $3,122,000
WW Grainger Inc $3,120,000
Science Applications International Corp $3,111,000
Seagate Technology PLC $3,108,000
VanEck Vectors International High Yield Bond ETF $3,106,000
Scotts Miracle-Gro Co/The $3,104,000
Atlassian Corp PLC $3,103,000
Apache Corp $3,101,000
MSC Industrial Direct Co Inc $3,089,000
Coherent Inc $3,083,000
MSCI Inc $3,072,000
Aaron's Inc $3,067,000
Stifel Financial Corp $3,062,000
Jacobs Engineering Group Inc $3,057,000
Glacier Bancorp Inc $3,054,000
Mattel Inc $3,050,000
TopBuild Corp $3,032,000
NuVasive Inc $3,031,000
Lindsay Corp $3,017,000
ServiceMaster Global Holdings Inc $3,015,000
Tenet Healthcare Corp $3,015,000
Under Armour Inc $3,011,000
Blackbaud Inc $2,996,000
United Bankshares Inc/WV $2,990,000
DENTSPLY International Inc $2,987,000
Six Flags Entertainment Corp $2,982,000
JDS Uniphase Corp $2,976,000
NewMarket Corp $2,968,000
J&J Snack Foods Corp $2,967,000
Gartner Inc $2,952,000
Huntington Bancshares Inc/OH $2,950,000
Hess Corp $2,945,000
Sanderson Farms Inc $2,940,000
Fulton Financial Corp $2,933,000
Kohl's Corp $2,926,000
Hancock Holding Co $2,922,000
Tempur Sealy International Inc $2,921,000
MasTec Inc $2,919,000
Laclede Group Inc/The $2,915,000
Zogenix Inc $2,909,000
ICU Medical Inc $2,907,000
Restoration Hardware Holdings Inc $2,903,000
Chimera Investment Corp $2,894,000
Selective Insurance Group Inc $2,893,000
On Assignment Inc $2,884,000
Avery Dennison Corp $2,878,000
Bright Horizons Family Solutions Inc $2,874,000
American States Water Co $2,872,000
Genpact Ltd $2,872,000
Mercury Systems Inc $2,870,000
Valvoline Inc $2,863,000
TripAdvisor Inc $2,853,000
Arconic Inc $2,840,000
Fortune Brands Home & Security Inc $2,836,000
AstraZeneca PLC $2,834,000
IGM Biosciences Inc $2,832,000
Under Armour Inc $2,830,000
Perspecta Inc $2,829,000
ViaSat Inc $2,815,000
Power Integrations Inc $2,809,000
World Fuel Services Corp $2,808,000
Twist Bioscience Corp $2,802,000
US Physical Therapy Inc $2,798,000
Leggett & Platt Inc $2,796,000
LivaNova PLC $2,794,000
MarketAxess Holdings Inc $2,786,000
Newell Rubbermaid Inc $2,786,000
TreeHouse Foods Inc $2,772,000
Wingstop Inc $2,771,000
Xylem Inc/NY $2,765,000
Semtech Corp $2,763,000
Trinity Industries Inc $2,752,000
Argenx SE $2,750,000
Lithia Motors Inc $2,746,000
RLI Corp $2,744,000
EQT Corp $2,740,000
American Airlines Group Inc $2,736,000
News Corp $2,735,000
JB Hunt Transport Services Inc $2,733,000
Old National Bancorp/IN $2,729,000
Washington Federal Inc $2,724,000
PS Business Parks Inc $2,723,000
BP PLC $2,720,000
Fluor Corp $2,720,000
Lancaster Colony Corp $2,719,000
Nielsen Holdings NV $2,718,000
John Bean Technologies Corp $2,717,000
Murphy USA Inc $2,714,000
Westlake Chemical Corp $2,705,000
New Jersey Resources Corp $2,683,000
IPG Photonics Corp $2,677,000
Southwest Gas Corp $2,673,000
Omnicell Inc $2,672,000
Whirlpool Corp $2,669,000
Pentair Ltd $2,663,000
Coty Inc $2,655,000
Equitrans Midstream Corp $2,652,000
Ingevity Corp $2,642,000
CONMED Corp $2,641,000
II-VI Inc $2,638,000
News Corp $2,626,000
Acadia Healthcare Co Inc $2,625,000
Kennametal Inc $2,622,000
Columbia Banking System Inc $2,616,000
Colfax Corp $2,612,000
Albany International Corp $2,607,000
Neogen Corp $2,603,000
CNO Financial Group Inc $2,597,000
GATX Corp $2,596,000
Gap Inc/The $2,595,000
UMB Financial Corp $2,595,000
Anaplan Inc $2,577,000
UBS Group AG $2,575,000
Qualys Inc $2,562,000
Harley-Davidson Inc $2,555,000
Valley National Bancorp $2,549,000
Aerojet Rocketdyne Holdings Inc $2,546,000
Legg Mason Inc $2,541,000
WD-40 Co $2,540,000
World Wrestling Entertainment Inc $2,529,000
Washington Post Co/The $2,525,000
Commercial Metals Co $2,521,000
Acxiom Corp $2,518,000
Flowserve Corp $2,510,000
Itron Inc $2,510,000
Bank of Montreal $2,500,000
EnerSys Inc $2,481,000
ABIOMED Inc $2,479,000
First Midwest Bancorp Inc/IL $2,478,000
AutoNation Inc $2,467,000
Apergy Corp $2,466,000
Affiliated Managers Group Inc $2,463,000
Strayer Education Inc $2,463,000
SkyWest Inc $2,459,000
Steven Madden Ltd $2,457,000
Agree Realty Corp $2,455,000
Quanta Services Inc $2,451,000
Vishay Intertechnology Inc $2,451,000
Macerich Co/The $2,446,000
Potlatch Corp $2,440,000
South Jersey Industries Inc $2,440,000
Chemours Co/The $2,429,000
Simmons First National Corp $2,415,000
AMN Healthcare Services Inc $2,411,000
Bed Bath & Beyond Inc $2,398,000
United Community Banks Inc/GA $2,398,000
DiamondRock Hospitality Co $2,390,000
Brooks Automation Inc $2,386,000
HB Fuller Co $2,381,000
UniFirst Corp/MA $2,370,000
Kontoor Brands Inc $2,369,000
Valmont Industries Inc $2,367,000
NeoGenomics Inc $2,363,000
Advanced Energy Industries Inc $2,357,000
Sensient Technologies Corp $2,353,000
BancorpSouth Inc $2,352,000
Brady Corp $2,351,000
Simpson Manufacturing Co Inc $2,350,000
PolyOne Corp $2,344,000
Balchem Corp $2,331,000
NXP Semiconductor NV $2,331,000
INTEGER HOLDINGS CORP $2,319,000
Synaptics Inc $2,318,000
Teradata Corp $2,314,000
Trustmark Corp $2,311,000
First BanCorp/Puerto Rico $2,309,000
Pebblebrook Hotel Trust $2,298,000
Watts Water Technologies Inc $2,295,000
Global Blood Therapeutics Inc $2,287,000
Cathay General Bancorp $2,278,000
Jack in the Box Inc $2,260,000
Marvell Technology Group Ltd $2,260,000
Cantel Medical Corp $2,256,000
Wolverine World Wide Inc $2,256,000
Matador Resources Co $2,255,000
Suncor Energy Inc $2,250,000
Weight Watchers International Inc $2,247,000
American Equity Investment Life Holding Co $2,245,000
Alarm.com Holdings Inc $2,244,000
Cogent Communications Holdings Inc $2,244,000
Dana Holding Corp $2,244,000
Four Corners Property Trust Inc $2,239,000
Lexington Realty Trust $2,239,000
American Assets Trust Inc $2,233,000
Federated Investors Inc $2,229,000
Cabot Corp $2,217,000
Spotify Technology SA $2,213,000
Easterly Government Properties Inc $2,205,000
TransCanada Corp $2,199,000
Goodyear Tire & Rubber Co/The $2,195,000
Universal Forest Products Inc $2,195,000
Paycom Software Inc $2,188,000
Independent Bank Corp/Rockland MA $2,177,000
KB Home $2,173,000
Diodes Inc $2,163,000
Korn/Ferry International $2,163,000
Northwest Bancshares Inc $2,159,000
International Bancshares Corp $2,158,000
Ameris Bancorp $2,149,000
Esperion Therapeutics Inc $2,144,000
Retail Opportunity Investments Corp $2,136,000
HMS Holdings Corp $2,135,000
Allegiant Travel Co $2,123,000
Allegheny Technologies Inc $2,120,000
Silgan Holdings Inc $2,117,000
Crocs Inc $2,102,000
American Eagle Outfitters Inc $2,094,000
Barnes Group Inc $2,086,000
Herman Miller Inc $2,085,000
National Storage Affiliates Trust $2,084,000
Drew Industries Inc $2,075,000
ABM Industries Inc $2,070,000
Select Medical Holdings Corp $2,067,000
California Water Service Group $2,064,000
Chart Industries Inc $2,063,000
Fox Factory Holding Corp $2,063,000
LivePerson Inc $2,063,000
Moog Inc $2,058,000
Urban Edge Properties $2,057,000
Insight Enterprises Inc $2,055,000
Sanmina Corp $2,051,000
Asbury Automotive Group Inc $2,050,000
NMI Holdings Inc $2,044,000
TRI Pointe Group Inc $2,040,000
Home BancShares Inc/AR $2,037,000
CVB Financial Corp $2,034,000
Cheesecake Factory Inc/The $2,021,000
Banner Corp $2,014,000
Deluxe Corp $2,014,000
CareTrust REIT Inc $2,010,000
Iridium Communications Inc $2,007,000
OrthoPediatrics Corp $2,001,000
Visteon Corp $2,000,000
Innospec Inc $1,991,000
Callaway Golf Co $1,981,000
Fabrinet $1,981,000
Select Comfort Corp $1,979,000
Medpace Holdings Inc $1,975,000
Group 1 Automotive Inc $1,972,000
Choice Hotels International Inc $1,967,000
Canadian Imperial Bank of Commerce/Canada $1,962,000
ExlService Holdings Inc $1,962,000
Plexus Corp $1,960,000
Bloomin' Brands Inc $1,958,000
Manulife Financial Corp $1,958,000
Meritage Homes Corp $1,954,000
Applied Industrial Technologies Inc $1,952,000
Ensign Group Inc/The $1,951,000
Bottomline Technologies de Inc $1,947,000
Owens-Illinois Inc $1,946,000
Great Western Bancorp Inc $1,928,000
Proto Labs Inc $1,925,000
Northwest Natural Hldg Co. $1,922,000
FormFactor Inc $1,919,000
Quaker Chemical Corp $1,917,000
Tree.com Inc $1,912,000
Mack-Cali Realty Corp $1,911,000
LTC Properties Inc $1,910,000
Acadia Realty Trust $1,905,000
VMware Inc $1,905,000
Yelp Inc $1,898,000
HOPE BANCORP INC $1,897,000
Belden Inc $1,893,000
Emergent BioSolutions Inc $1,890,000
Compass Minerals International Inc $1,881,000
SPX Corp $1,877,000
Rogers Corp $1,871,000
Blueprint Medicines Corp $1,829,000
MDC Holdings Inc $1,820,000
First Financial Bancorp $1,819,000
Kaman Corp $1,818,000
Macquarie Infrastructure Co LLC $1,807,000
Sally Beauty Holdings Inc $1,807,000
United States Steel Corp $1,806,000
PennyMac Mortgage Investment Trust $1,805,000
Kulicke & Soffa Industries Inc $1,800,000
Carpenter Technology Corp $1,795,000
Shake Shack Inc $1,777,000
Brinker International Inc $1,774,000
Arcosa Inc $1,764,000
Canadian Pacific Railway Ltd $1,761,000
Columbia Sportswear Co $1,759,000
Kaiser Aluminum Corp $1,756,000
Ligand Pharmaceuticals Inc $1,756,000
QIAGEN NV $1,756,000
Kite Realty Group Trust $1,755,000
SPX FLOW Inc $1,750,000
Taubman Centers Inc $1,747,000
Avis Budget Group Inc $1,742,000
DeVry Inc $1,742,000
Patterson Cos Inc $1,737,000
Senior Housing Properties Trust $1,721,000
Bunge Ltd $1,712,000
Hillenbrand Inc $1,712,000
ProAssurance Corp $1,710,000
Terex Corp $1,702,000
Forward Air Corp $1,699,000
Dril-Quip Inc $1,690,000
Walker & Dunlop Inc $1,685,000
Spectrum Brands Holdings Inc $1,676,000
Werner Enterprises Inc $1,672,000
Magellan Health Inc $1,669,000
Allscripts Healthcare Solutions Inc $1,668,000
CONSOL Energy Inc $1,660,000
Canadian Natural Resources Ltd $1,658,000
Westamerica Bancorporation $1,656,000
Portfolio Recovery Associates Inc $1,654,000
DineEquity Inc $1,653,000
PDC Energy Inc $1,651,000
Worthington Industries Inc $1,647,000
American Woodmark Corp $1,641,000
Knowles Corp $1,640,000
Papa John's International Inc $1,640,000
Hub Group Inc $1,637,000
Invesco Mortgage Capital Inc $1,630,000
SPS Commerce Inc $1,628,000
eHealth Inc $1,625,000
Cubic Corp $1,623,000
InterDigital Inc/PA $1,623,000
Momenta Pharmaceuticals Inc $1,623,000
Vonage Holdings Corp $1,620,000
Federal Signal Corp $1,618,000
Government Properties Income Trust $1,617,000
CSG Systems International Inc $1,616,000
Minerals Technologies Inc $1,615,000
Core Laboratories NV $1,613,000
Uniti Group Inc $1,610,000
Progress Software Corp $1,607,000
CommVault Systems Inc $1,601,000
Horace Mann Educators Corp $1,599,000
Intelligent Systems Corp $1,598,000
Mobile Mini Inc $1,585,000
Magenta Therapeutics Inc $1,579,000
Harsco Corp $1,577,000
Stepan Co $1,556,000
Comfort Systems USA Inc $1,555,000
Myriad Genetics Inc $1,555,000
Edgewell Personal Care Co $1,551,000
Oceaneering International Inc $1,547,000
Rambus Inc $1,541,000
Stamps.com Inc $1,541,000
Netscout Systems Inc $1,540,000
Badger Meter Inc $1,536,000
WESCO International Inc $1,532,000
Gibraltar Industries Inc $1,529,000
Calavo Growers Inc $1,522,000
OSI Systems Inc $1,521,000
Avista Corp $1,520,000
Adient plc $1,515,000
Dave & Buster's Entertainment Inc $1,502,000
Helix Energy Solutions Group Inc $1,501,000
Virtusa Corp $1,500,000
ServisFirst Bancshares Inc $1,497,000
EVERTEC Inc $1,494,000
Tanger Factory Outlet Centers Inc $1,493,000
8x8 Inc $1,487,000
AAON Inc $1,487,000
Benchmark Electronics Inc $1,482,000
Franklin Electric Co Inc $1,478,000
Redwood Trust Inc $1,475,000
BofI Holding Inc $1,474,000
Perficient Inc $1,461,000
Merit Medical Systems Inc $1,459,000
Sun Life Financial Inc $1,457,000
TTM Technologies Inc $1,451,000
Ultra Clean Holdings Inc $1,450,000
BioTelemetry Inc $1,446,000
Smartsheet Inc $1,444,000
Waddell & Reed Financial Inc $1,443,000
Cardtronics Inc $1,440,000
SM Energy Co $1,438,000
Foot Locker Inc $1,427,000
Essential Properties Realty Trust Inc $1,412,000
Barrick Gold Corp $1,410,000
AAR Corp $1,408,000
Cardiovascular Systems Inc $1,399,000
Chesapeake Energy Corp $1,399,000
Avanos Medical Inc $1,397,000
Sage Therapeutics Inc $1,397,000
Meredith Corp $1,395,000
Replimune Group Inc $1,395,000
Boise Cascade Co $1,389,000
Sykes Enterprises Inc $1,387,000
Biohaven Pharmaceutical Holding Co Ltd $1,384,000
Winnebago Industries Inc $1,371,000
KAR Auction Services Inc $1,364,000
Dycom Industries Inc $1,363,000
Xencor Inc $1,362,000
US Ecology Inc $1,359,000
Alcon Inc $1,357,000
Nutrien Ltd $1,354,000
Actuant Corp $1,342,000
Cal-Maine Foods Inc $1,339,000
HomeStreet Inc $1,337,000
Resideo Technologies Inc $1,334,000
MaxLinear Inc $1,322,000
Meta Financial Group Inc $1,314,000
Installed Building Products Inc $1,311,000
Datadog Inc $1,310,000
Triumph Group Inc $1,306,000
Matson Inc $1,297,000
HNI Corp $1,295,000
Archrock Inc $1,294,000
Summit Hotel Properties Inc $1,290,000
G-III Apparel Group Ltd $1,287,000
Cerence Inc $1,277,000
Employers Holdings Inc $1,277,000
Delphi Automotive PLC $1,276,000
ARMOUR Residential REIT Inc $1,272,000
Zendesk Inc $1,271,000
Cavco Industries Inc $1,270,000
Mueller Industries Inc $1,269,000
Methode Electronics Inc $1,268,000
Granite Construction Inc $1,265,000
Morphic Holding Inc $1,265,000
B&G Foods Inc $1,260,000
La-Z-Boy Inc $1,259,000
Rent-A-Center Inc/TX $1,255,000
Cooper Tire & Rubber Co $1,254,000
EnPro Industries Inc $1,252,000
Neenah Paper Inc $1,250,000
Signet Jewelers Ltd $1,250,000
Xenia Hotels & Resorts Inc $1,243,000
NIC Inc $1,240,000
Central Garden & Pet Co $1,237,000
Hawaiian Holdings Inc $1,237,000
CGI Group Inc $1,232,000
Global Net Lease Inc $1,231,000
LGI Homes Inc $1,229,000
Banc of California Inc $1,224,000
Supernus Pharmaceuticals Inc $1,224,000
AZZ Inc $1,222,000
Trinseo SA $1,220,000
Gentherm Inc $1,219,000
Green Plains Renewable Energy Inc $1,219,000
Inter Parfums Inc $1,217,000
Oil States International Inc $1,215,000
NOW Inc/DE $1,214,000
Simulations Plus Inc $1,205,000
Alexander & Baldwin Inc $1,204,000
iRobot Corp $1,192,000
American Axle & Manufacturing Holdings Inc $1,186,000
Blucora Inc $1,185,000
Dolby Laboratories Inc $1,178,000
Renewable Energy Group Inc $1,178,000
Schneider National Inc $1,177,000
Big Lots Inc $1,169,000
RealPage Inc $1,168,000
Tactile Systems Technology Inc $1,154,000
AMERISAFE Inc $1,149,000
Boot Barn Holdings Inc $1,149,000
BJ's Wholesale Club Holdings Inc $1,144,000
Patrick Industries Inc $1,143,000
Customers Bancorp Inc $1,142,000
John B Sanfilippo & Son Inc $1,135,000
Greenbrier Cos Inc $1,131,000
Medifast Inc $1,129,000
Oxford Industries Inc $1,129,000
Phillips 66 Partners LP $1,129,000
Ichor Holdings Ltd $1,125,000
Aerovironment Inc $1,124,000
Dillard's Inc $1,114,000
Ambac Financial Group Inc $1,111,000
OFG Bancorp $1,110,000
Capstead Mortgage Corp $1,109,000
CyberArk Software Ltd $1,105,000
Medallia Inc $1,105,000
HS Spinco Inc $1,102,000
Paylocity Holding Corp $1,101,000
Caleres Inc $1,100,000
Theravance Inc $1,100,000
New Relic Inc $1,094,000
REGENXBIO Inc $1,094,000
Addus HomeCare Corp $1,089,000
Twilio Inc $1,081,000
Entegris Inc $1,080,000
CVR Energy Inc $1,079,000
Boston Private Financial Holdings Inc $1,074,000
Atlas Air Worldwide Holdings Inc $1,073,000
Pembina Pipeline Corp $1,069,000
Tennant Co $1,069,000
Tesla Motors Inc $1,068,000
Open Text Corp $1,063,000
Piper Jaffray Cos $1,061,000
TiVo Inc $1,059,000
CubeSmart $1,056,000
BCE Inc $1,055,000
Inogen Inc $1,055,000
MicroStrategy Inc $1,053,000
Alteryx Inc $1,052,000
Encore Capital Group Inc $1,050,000
Annaly Capital Management Inc $1,048,000
Eagle Bancorp Inc $1,041,000
Iterum Therapeutics plc $1,039,000
Axcelis Technologies Inc $1,036,000
Euronet Worldwide Inc $1,035,000
AMERCO $1,034,000
Green Dot Corp $1,028,000
3D Systems Corp $1,027,000
Tabula Rasa HealthCare Inc $1,027,000
Encore Wire Corp $1,026,000
Ferrari NV $1,021,000
Pacific Premier Bancorp Inc $1,021,000
Cohu Inc $1,019,000
Interface Inc $1,017,000
Workday Inc $1,016,000
GMS Inc $1,010,000
iStar Financial Inc $1,010,000
Franco-Nevada Corp $1,008,000
Lululemon Athletica Inc $1,008,000
Matthews International Corp $1,004,000
Greif Inc $1,003,000
Cheniere Energy Inc $997,000
Varex Imaging Corp $996,000
ePlus Inc $993,000
Veritex Holdings Inc $993,000
M/I Homes Inc $990,000
RE/MAX Holdings Inc $989,000
DSW Inc $982,000
New York Mortgage Trust Inc $982,000
Virtus Investment Partners Inc $974,000
Sonic Automotive Inc $972,000
EW Scripps Co $965,000
TELUS Corp $954,000
Restaurant Brands International Inc $952,000
Chefs' Warehouse Inc/The $949,000
Industrial Select Sector SPDR Fund $949,000
Astec Industries Inc $947,000
Pure Storage Inc $946,000
Scholastic Corp $936,000
DexCom Inc $930,000
Tootsie Roll Industries Inc $927,000
Tessera Technologies Inc $924,000
Enanta Pharmaceuticals Inc $921,000
Rogers Communications Inc $918,000
Veeco Instruments Inc $911,000
BankUnited Inc $910,000
Heartland Express Inc $908,000
Hexcel Corp $902,000
Luminex Corp $902,000
Thomson Reuters Corp $901,000
Genesco Inc $898,000
SEACOR Holdings Inc $897,000
BioMarin Pharmaceutical Inc $892,000
Cliffs Natural Resources Inc $892,000
Kraton Performance Polymers Inc $889,000
Markel Corp $886,000
Enova International Inc $885,000
Standard Motor Products Inc $885,000
Standex International Corp $882,000
Healthways Inc $878,000
USANA Health Sciences Inc $872,000
Washington Real Estate Investment Trust $872,000
Ramco-Gershenson Properties Trust $871,000
IAA Inc $870,000
Natus Medical Inc $869,000
Gildan Activewear Inc $867,000
Career Education Corp $866,000
United Fire Group Inc $860,000
Change Healthcare Inc $859,000
ManTech International Corp/VA $855,000
Ferro Corp $851,000
Par Pacific Holdings Inc $851,000
PGT Inc $848,000
United Natural Foods Inc $842,000
Towers Watson & Co $841,000
TrueBlue Inc $840,000
Anika Therapeutics Inc $830,000
Universal Insurance Holdings Inc $826,000
Arkansas Best Corp $823,000
Buckle Inc/The $822,000
Sturm Ruger & Co Inc $822,000
Apogee Enterprises Inc $819,000
ANI Pharmaceuticals Inc $813,000
Shutterstock Inc $808,000
SpartanNash Co $807,000
American National Insurance Co $806,000
PTC Therapeutics Inc $806,000
Shaw Communications Inc $799,000
Seacoast Banking Corp of Florida $795,000
Central Pacific Financial Corp $790,000
Quality Systems Inc $789,000
FARO Technologies Inc $788,000
IAC/InterActiveCorp $787,000
Plantronics Inc $785,000
AerCap Holdings NV $781,000
Extreme Networks $775,000
Innovative Industrial Properties Inc $774,000
Mesa Laboratories Inc $773,000
Pennant Group Inc/The $769,000
Vanda Pharmaceuticals Inc $768,000
Agnico Eagle Mines Ltd $767,000
Wix.com Ltd $763,000
ScanSource Inc $761,000
SMART Global Holdings Inc $759,000
Red Robin Gourmet Burgers Inc $758,000
Franklin Street Properties Corp $757,000
Koppers Holdings Inc $755,000
Wabash National Corp $752,000
CNA Financial Corp $745,000
CNH Industrial NV $745,000
Lantheus Holdings Inc $745,000
Parsley Energy Inc $740,000
Fortis Inc/Canada $738,000
Franklin Financial Network Inc $735,000
Matrix Service Co $734,000
WP Carey Inc $732,000
PH Glatfelter Co $730,000
TriNet Group Inc $729,000
Vicor Corp $729,000
Diebold Inc $728,000
Ardagh Group SA $725,000
TransUnion $721,000
REX American Resources Corp $717,000
MTS Systems Corp $714,000
ESCO Technologies Inc $712,000
WR Berkley Corp $712,000
Bonanza Creek Energy Inc $710,000
Eagle Pharmaceuticals Inc/DE $710,000
Mellanox Technologies Ltd $709,000
World Acceptance Corp $708,000
Columbia Property Trust Inc $706,000
Ebix Inc $706,000
Michaels Cos Inc/The $705,000
Silver Wheaton Corp $703,000
Aegion Corp $701,000
Castle Biosciences Inc $699,000
Cytokinetics Inc $699,000
Energy Transfer Equity LP $698,000
Zumiez Inc $698,000
Providence Service Corp/The $694,000
Uber Technologies Inc $692,000
US Concrete Inc $692,000
Plains All American Pipeline LP $691,000
Lovesac Co/The $685,000
SolarWinds Inc $685,000
CEVA Inc $683,000
Check Point Software Technologies Ltd $682,000
AMAG Pharmaceuticals Inc $680,000
Penn Virginia Corp $680,000
Hibbett Sports Inc $677,000
Echo Global Logistics Inc $673,000
QuinStreet Inc $672,000
El Pollo Loco Holdings Inc $665,000
Fiat Chrysler Automobiles NV $655,000
CIRCOR International Inc $652,000
Deutsche Bank AG $652,000
NETGEAR Inc $652,000
Cooper-Standard Holding Inc $648,000
Dynamic Materials Corp $643,000
Newpark Resources Inc $640,000
CONSOL Energy Inc $635,000
Universal Electronics Inc $630,000
Regis Corp $624,000
Reata Pharmaceuticals Inc $617,000
Century Aluminum Co $593,000
Magna International Inc $593,000
PetMed Express Inc $593,000
Century Communities Inc $591,000
Atlantic Tele-Network Inc $587,000
Griffon Corp $585,000
MarineMax Inc $584,000
Materials Select Sector SPDR Fund $567,000
Communication Services Select Sector SPDR Fund $559,000
Lion Biotechnologies Inc $558,000
Parametric Sound Corp $543,000
Aspen Technology Inc $541,000
Alnylam Pharmaceuticals Inc $540,000
Hanmi Financial Corp $540,000
Clearwater Paper Corp $534,000
Akero Therapeutics Inc $529,000
Team Inc $521,000
Fiesta Restaurant Group Inc $514,000
Teck Resources Ltd $514,000
Realogy Holdings Corp $509,000
Cross Country Healthcare Inc $505,000
Shoe Carnival Inc $503,000
Verso Corp $501,000
Unisys Corp $499,000
Quanex Building Products Corp $498,000
Cato Corp/The $495,000
AdvanSix Inc $491,000
Lumber Liquidators Holdings Inc $487,000
Care.com Inc $485,000
VASCO Data Security International Inc $483,000
Lannett Co Inc $481,000
Surmodics Inc $481,000
OraSure Technologies Inc $480,000
SPDR Bloomberg Barclays International Corporate Bo $480,000
Dropbox Inc $479,000
Pegasystems Inc $474,000
Garrett Motion Inc $473,000
Tredegar Corp $468,000
Coupa Software Inc $463,000
Ethan Allen Interiors Inc $462,000
Lydall Inc $462,000
Zscaler Inc $462,000
RingCentral Inc $460,000
Valeant Pharmaceuticals International Inc $459,000
Applied Optoelectronics Inc $451,000
ADTRAN Inc $443,000
Elastic NV $440,000
Motorcar Parts of America Inc $437,000
CloudFlare Inc $436,000
TechTarget Inc $436,000
Kirkland Lake Gold Ltd $433,000
Donnelley Financial Solutions Inc $429,000
Hawkins Inc $428,000
American Vanguard Corp $421,000
Pacira Pharmaceuticals Inc/DE $421,000
Antero Midstream Partners LP $420,000
CalAmp Corp $420,000
Greenhill & Co Inc $419,000
Upland Software Inc $414,000
Eidos Therapeutics Inc $412,000
Five9 Inc $407,000
Inphi Corp $405,000
uniQure NV $402,000
Granite Point Mortgage Trust Inc $399,000
Imperial Oil Ltd $397,000
Continental Resources Inc/OK $391,000
Cenovus Energy Inc $388,000
Chuy's Holdings Inc $384,000
Cutera Inc $383,000
Veritiv Corp $375,000
Mirati Therapeutics Inc $373,000
Fossil Group Inc $371,000
Flextronics International Ltd $368,000
Alcoa Corp $366,000
GrafTech International Ltd $366,000
Sarepta Therapeutics Inc $362,000
Movado Group Inc $359,000
Spectrum Pharmaceuticals Inc $359,000
Ares Capital Corp $357,000
Square Inc $357,000
ANGI Homeservices Inc $353,000
Crosstex Energy Inc $353,000
Beyond Meat Inc $349,000
Cabaletta Bio Inc $349,000
Avantor Inc $348,000
Principia Biopharma Inc $343,000
Tupperware Brands Corp $343,000
Pagerduty Inc $342,000
Ruth's Hospitality Group Inc $342,000
Exterran Corp $341,000
MercadoLibre Inc $339,000
Morningstar Inc $339,000
MeiraGTx Holdings plc $338,000
Isis Pharmaceuticals Inc $337,000
United Insurance Holdings Corp $336,000
Geospace Technologies Corp $334,000
Conn's Inc $332,000
Colony NorthStar Inc $331,000
Galera Therapeutics Inc $329,000
Marcus Corp/The $321,000
Coherus Biosciences Inc $319,000
Halozyme Therapeutics Inc $316,000
Theravance Biopharma Inc $315,000
Apellis Pharmaceuticals Inc $314,000
Grand Canyon Education Inc $314,000
Translate Bio Inc $308,000
BeiGene Ltd $307,000
BELLUS Health Inc $306,000
Photronics Inc $295,000
Orthofix International NV $291,000
Seneca Foods Corp $291,000
Encana Corp $290,000
FutureFuel Corp $282,000
Fate Therapeutics Inc $279,000
Andersons Inc/The $276,000
Y-mAbs Therapeutics Inc $275,000
Hersha Hospitality Trust $274,000
Appfolio Inc $273,000
DocuSign Inc $271,000
Era Group Inc $270,000
Homology Medicines Inc $268,000
Q2 Holdings Inc $258,000
Everbridge Inc $256,000
Stoke Therapeutics Inc $256,000
Heron Therapeutics Inc $253,000
Adeptus Health Inc $252,000
Triumph Bancorp Inc $251,000
Healthcare Trust of America Inc $250,000
Molecular Templates Inc $245,000
Algonquin Power & Utilities Corp $224,000
Slack Technologies Inc $220,000
Syndax Pharmaceuticals Inc $204,000
Pieris Pharmaceuticals Inc $201,000
Verint Systems Inc $200,000
Envestnet Inc $199,000
Grocery Outlet Holding Corp $197,000
Third Point Reinsurance Ltd $195,000
CAE Inc $191,000
SAP SE $190,000
Kura Oncology Inc $183,000
Ambarella Inc $176,000
Kinross Gold Corp $176,000
Alector Inc $174,000
Altera Corp $165,000
Life Technologies Corp $158,000
Cameco Corp $156,000
Natera Inc $156,000
Carbylan Therapeutics Inc $151,000
ChemoCentryx Inc $146,000
GoDaddy Inc $145,000
Box Inc $142,000
Denali Therapeutics Inc $139,000
Arsanis Inc $131,000
Amicus Therapeutics Inc $129,000
Invitae Corp $128,000
Bristol-Myers Squibb Co $124,000
Nutanix Inc $122,000
Cloudera Inc $120,000
ChannelAdvisor Corp $119,000
Sangamo Biosciences Inc $119,000
Mirum Pharmaceuticals Inc $116,000
Paramount Group Inc $113,000
DXP Enterprises Inc $100,000
Methanex Corp $96,000
BlackBerry Ltd $94,000
Armstrong World Industries Inc $80,000
Israel Chemicals Ltd $79,000
Crinetics Pharmaceuticals Inc $55,000
Brookfield Property Partners LP $49,000
Elbit Systems Ltd $47,000
HEICO Corp $46,000
Vanguard Intermediate-Term Corporate Bond ETF $46,000
Talend SA $39,000
Tenable Holdings Inc $37,000
Yext Inc $32,000
CareDx Inc $22,000
Total $37,857,975,000