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GMO Grantham, Mayo, Van Otterloo LLC 13F filings

Manager(s): Jeremy Grantham

Holdings as of 2021-03-31

Filed on 2021-05-13 under CIK 1352662

Company
Investment Type
Change
Value (x$1000)
increase or decrease
MICROSOFT CORP
3,017,777 sh
-49,790 sh
-2%
$711,501
$29,213
UnitedHealth Group
1,472,524 sh
-91,257 sh
-6%
$547,882
-$505
US BANCORP DEL COM NEW
9,758,351 sh
100,204 sh
1%
$539,734
$89,761
APPLE INC
4,301,960 sh
-53,257 sh
-1%
$525,484
-$52,410
COCA COLA CO
9,392,699 sh
39,277 sh
0%
$495,089
-$17,853
ACCENTURE PLC IRELAND
1,700,582 sh
8,746 sh
1%
$469,786
$27,862
Oracle Corp
6,553,087 sh
17,148 sh
0%
$459,830
$37,020
WELLS FARGO CO NEW COM
11,220,607 sh
-591,426 sh
-5%
$438,389
$81,902
TEXAS INSTRS INC
2,077,730 sh
164,966 sh
9%
$392,670
$78,728
LAM RESEARCH CORP
652,501 sh
-22,277 sh
-3%
$388,395
$69,718
JOHNSON & JOHNSON
2,345,205 sh
11,452 sh
0%
$385,434
$18,148
Facebook, Inc.
1,265,144 sh
86,648 sh
7%
$372,623
$50,705
ANTHEM INC
1,035,227 sh
10,920 sh
1%
$371,595
$42,700
Alphabet Inc., Cl. A
175,146 sh
1,871 sh
1%
$361,242
$57,553
MEDTRONIC PLC SHS
2,981,364 sh
-32,127 sh
-1%
$352,189
-$811
TJX COS INC NEW
4,873,168 sh
32,303 sh
1%
$322,360
-$8,223
Cisco Systems
6,059,595 sh
110,939 sh
2%
$313,342
$47,140
AMERICAN EXPRESS CO
2,194,757 sh
-393,958 sh
-15%
$310,426
-$2,576
Merck & Co Inc.
3,280,683 sh
254,063 sh
8%
$252,908
$5,330
ALIBABA GROUP HLDG LTD SPONSORED ADS
1,106,517 sh
-383,211 sh
-26%
$250,881
-$95,823
Alphabet Inc., Cl. C
120,084 sh
-2,408 sh
-2%
$248,409
$33,818
3M Company
1,186,608 sh
-463,957 sh
-28%
$228,636
-$59,866
LILLY ELI & CO
1,175,721 sh
23,403 sh
2%
$219,648
$25,091
BAIDU INC SPON ADR REP A
989,010 sh
725,010 sh
275%
$215,159
$158,072
Lyft Inc
3,283,964 sh
-470,872 sh
-13%
$207,481
$23,006
ABBOTT LABS
1,724,413 sh
-53,582 sh
-3%
$206,654
$11,981
QUEST DIAGNOSTICS INC
1,539,355 sh
-11,859 sh
-1%
$197,561
$12,703
Adobe Inc Com
375,855 sh
60,689 sh
19%
$178,670
$21,049
THE CHARLES SCHWAB CORPORATI
2,696,099 sh
-469,211 sh
-15%
$175,732
$7,844
Visa Inc.
800,178 sh
7,123 sh
1%
$169,422
-$4,043
Salesforce.com
732,206 sh
-15,571 sh
-2%
$155,132
-$11,271
CIGNA CORP NEW COM
617,027 sh
536,363 sh
665%
$149,160
$132,367
WILLIS TOWERS WATSON PUB LTD SHS
609,023 sh
-945 sh
0%
$139,393
$10,885
GLOBAL PAYMENTS INC
682,199 sh
682,199 sh
NEW
$137,518
$137,518
OTIS WORLDWIDE CORP
1,967,811 sh
-50,487 sh
-3%
$134,697
-$1,639
Maxim Integrated Prods Inc
1,442,275 sh
486,090 sh
51%
$131,781
$47,015
NETEASE INC SPONSORED ADS
1,070,565 sh
-769,335 sh
-42%
$110,547
-$65,660
IHS MARKIT LTD SHS
1,115,432 sh
531,332 sh
91%
$107,952
$55,482
ISHARES TR CORE S&P500 ETF
260,200 sh
3,000 sh
1%
$103,513
$6,963
XILINX INC
833,527 sh
302,127 sh
57%
$103,274
$27,937
ALEXION PHARMACEUTICALS INC
669,323 sh
397,440 sh
146%
$102,346
$59,867
INPHI CORP COM
530,832 sh
103,932 sh
24%
$94,706
$26,201
RENEWABLE ENERGY GROUP INC
1,418,084 sh
641,916 sh
83%
$93,650
$38,682
ROYAL BK CDA MONTREAL QUE COM
988,835 sh
-56,100 sh
-5%
$91,161
$5,376
SLACK TECHNOLOGIES INC
2,225,987 sh
1,477,187 sh
197%
$90,442
$58,813
BRITISH AMERN TOB PLC SPONSORED ADR
2,254,158 sh
213,158 sh
10%
$87,326
$10,809
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
665,177 sh
300,377 sh
82%
$78,677
$38,899
KLA CORPORATION COM NEW
236,273 sh
227,796 sh
2687%
$78,065
$75,870
PRA HEALTH SCIENCES
507,891 sh
507,891 sh
NEW
$77,875
$77,875
FLIR SYS INC COM
1,354,767 sh
1,354,767 sh
NEW
$76,504
$76,504
PNM RESOURCES INC COM
1,501,643 sh
851,943 sh
131%
$73,656
$42,126
GW PHARMACEUTICALS PLC ADS
334,864 sh
334,864 sh
NEW
$72,632
$72,632
Change Healthcare, Inc.
3,214,356 sh
3,214,356 sh
NEW
$71,037
$71,037
AEROJET ROCKETDYNE HLDGS INC
1,411,368 sh
913,461 sh
183%
$66,278
$39,964
BORGWARNER INC
1,387,576 sh
308,765 sh
29%
$64,328
$22,643
ROYAL DUTCH SHELL PLC SPON ADR B
1,679,795 sh
-1,268,588 sh
-43%
$61,867
-$37,228
KOSMOS ENERGY LTD
19,270,300 sh
-1,061,178 sh
-5%
$59,160
$11,381
AMAZON COM INC
18,734 sh
1,834 sh
11%
$57,964
$2,922
DARLING INGREDIENTS INC
765,427 sh
-148,810 sh
-16%
$56,320
$3,587
CANADIAN SOLAR INC COM
1,049,204 sh
664,774 sh
173%
$52,072
$32,374
VARIAN MEDICAL SYSTM COM
287,767 sh
-117,806 sh
-29%
$50,800
-$20,179
INFOSYS LTD SPONSORED ADR
2,710,134 sh
1,110,334 sh
69%
$50,734
$23,617
VANECK VECTORS ETF TRUST RUSSIA ETF
1,903,049 sh
328,349 sh
21%
$49,118
$11,089
GRAFTECH INTL LTD
3,851,449 sh
-177,323 sh
-4%
$47,103
$4,156
CANTEL MEDICAL CORP COM
585,765 sh
585,765 sh
NEW
$46,767
$46,767
SOLAREDGE TECHNOLOGIES INC
153,222 sh
59,196 sh
63%
$44,042
$14,036
HP Inc
1,333,489 sh
698,416 sh
110%
$42,338
$26,722
MICRON TECHNOLOGY INC
478,900 sh
150,802 sh
46%
$42,244
$17,578
EXXON MOBIL CORP
755,709 sh
271,704 sh
56%
$42,191
$22,240
INTEL CORP
638,953 sh
95,100 sh
17%
$40,893
$13,798
TORONTO DOMINION BK ONT COM NEW
619,300 sh
97,800 sh
19%
$40,385
$10,945
FREEPORT-MCMORAN INC
1,197,488 sh
-787,866 sh
-40%
$39,433
-$12,226
LIBERTY BROADBAND CORP
255,091 sh
-70,290 sh
-22%
$38,302
-$13,229
SUNRUN INC
631,299 sh
631,299 sh
NEW
$38,181
$38,181
KANSAS CITY SOUTHERN
143,744 sh
143,744 sh
NEW
$37,937
$37,937
FOX CORP CL B COM
1,072,602 sh
646,302 sh
152%
$37,466
$25,154
PHILLIPS 66
431,850 sh
144,594 sh
50%
$35,213
$15,122
SENSATA TECHNOLOGIES HLDNG P SHS
602,799 sh
60,024 sh
11%
$34,932
$6,306
VALE S A SPONSORED ADS
1,939,700 sh
1,939,700 sh
NEW
$33,712
$33,712
Comcast Corp
612,728 sh
165,400 sh
37%
$33,155
$9,715
KROGER CO
920,724 sh
458,400 sh
99%
$33,137
$18,454
D.R Horton, Inc.
364,654 sh
120,900 sh
50%
$32,498
$15,698
EOG RESOURCES INC
447,679 sh
24,687 sh
6%
$32,470
$11,375
CRH PLC ADR
690,276 sh
-29,800 sh
-4%
$32,429
$1,768
AGCO CORP
217,873 sh
-3,826 sh
-2%
$31,297
$8,442
CARRIER GLOBAL CORPORATION
731,884 sh
369,784 sh
102%
$30,900
$17,242
Capital One Financial COM
241,933 sh
17,400 sh
8%
$30,781
$8,586
INTERNATIONAL BUSINESS MACHS
230,300 sh
70,000 sh
44%
$30,690
$10,511
LYONDELLBASELL INDUSTRIES N SHS - A
289,942 sh
54,400 sh
23%
$30,168
$8,578
PLURALSIGHT INC COM CL A
1,346,440 sh
1,346,440 sh
NEW
$30,079
$30,079
CITIGROUP INC
412,601 sh
31,011 sh
8%
$30,017
$6,488
Discovery Comm. C
803,790 sh
803,790 sh
NEW
$29,652
$29,652
Synchrony Financial
726,281 sh
83,254 sh
13%
$29,531
$7,212
GENERAL MOTORS
496,240 sh
45,040 sh
10%
$28,514
$9,726
CORTEVA INC REG SHS
601,123 sh
175,700 sh
41%
$28,024
$11,552
AERCAP HOLDINGS NV SHS
473,800 sh
82,500 sh
21%
$27,831
$9,996
KINDER MORGAN INC. DEL
1,648,731 sh
293,931 sh
22%
$27,451
$8,931
METLIFE INC
450,900 sh
78,700 sh
21%
$27,410
$9,935
CBRE GROUP INC CLASS A
345,485 sh
39,785 sh
13%
$27,331
$8,157
EXELON CORP COM
615,151 sh
95,500 sh
18%
$26,907
$4,967
ARROW ELECTRS INC
239,828 sh
50,900 sh
27%
$26,578
$8,195
ISHARES TR MSCI SAUDI ARBIA
737,800 sh
737,800 sh
NEW
$26,509
$26,509
PEPSICO INC
185,330 sh
52,100 sh
39%
$26,215
$6,457
PULTE GROUP INC
499,439 sh
345,815 sh
225%
$26,191
$19,567
PRUDENTIAL FINL INC
285,000 sh
37,200 sh
15%
$25,964
$6,618
ATHENE HLDG LTD CL A
513,500 sh
94,100 sh
22%
$25,880
$7,787
DEERE & CO
69,029 sh
69,029 sh
NEW
$25,827
$25,827
LINCOLN NATL CORP IND
411,127 sh
41,927 sh
11%
$25,601
$7,027
V F CORP
316,971 sh
32,900 sh
12%
$25,332
$1,069
LENNAR CORP
250,000 sh
58,400 sh
30%
$25,308
$10,702
GOLDMAN SACHS GROUP INC
77,103 sh
-8,197 sh
-10%
$25,213
$2,719
ALLIANCE DATA SYSTEMS CORP
224,300 sh
-35,800 sh
-14%
$25,142
$5,869
CHEVRON CORP NEW
239,824 sh
53,024 sh
28%
$25,131
$9,356
FORD MTR CO DEL
2,039,400 sh
-100,900 sh
-5%
$24,983
$6,170
TARGET CORP
125,056 sh
109,856 sh
723%
$24,770
$22,087
YANDEX N V SHS CLASS A
386,642 sh
28,342 sh
8%
$24,768
-$163
DISH NETWORK CORP
670,502 sh
139,307 sh
26%
$24,272
$7,093
Molson Coors Brewing Co
474,200 sh
61,200 sh
15%
$24,255
$5,592
UNIVERSAL HLTH SVCS INC
181,400 sh
36,400 sh
25%
$24,197
$4,259
LUMEN TECHNOLOGIES INC COM Stock
1,809,500 sh
1,809,500 sh
NEW
$24,157
$24,157
STMICROELECTRONICS N V NY REGISTRY
625,645 sh
-1,670,118 sh
-73%
$23,981
-$61,238
ISHARES INC CORE MSCI EMKT
372,370 sh
-2,410,248 sh
-87%
$23,966
-$148,668
RAYTHEON TECHNOLOGIES CORP COM
308,858 sh
-2,419,906 sh
-89%
$23,865
-$171,269
GROUP 1 AUTOMOTIVE INC
150,840 sh
-10,416 sh
-6%
$23,801
$2,654
CVS HEALTH CORP
315,132 sh
75,632 sh
32%
$23,707
$7,349
UFP INDUSTRIES INC
309,058 sh
58,747 sh
23%
$23,439
$9,534
BROOKFIELD ASSET MGMT INC CL A LTD VT SH
521,596 sh
31,200 sh
6%
$23,210
$2,971
MAGNA INTL INC COM
263,028 sh
-60,672 sh
-19%
$23,162
$267
Booking Holdings Inc
9,910 sh
160 sh
2%
$23,089
$1,373
CDN IMPERIAL BK COMM TORONTO COM
235,600 sh
67,800 sh
40%
$23,066
$8,746
TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS
1,993,900 sh
178,300 sh
10%
$23,010
$5,489
MARKEL CORP
20,095 sh
2,100 sh
12%
$22,901
$4,307
AT&T INC
727,981 sh
230,181 sh
46%
$22,036
$7,719
WALGREENS BOOTS ALLIANCE INC
401,300 sh
77,500 sh
24%
$22,031
$9,118
APPLIED MATLS INC
163,841 sh
39,075 sh
31%
$21,889
$11,122
GLOBANT S A COM
104,868 sh
-5,032 sh
-5%
$21,772
-$2,143
INVESCO LTD F COM
857,800 sh
126,000 sh
17%
$21,634
$8,879
WESTERN DIGITAL CORP
323,242 sh
-76,958 sh
-19%
$21,576
-$591
BP PLC SPONSORED ADR
884,181 sh
586,781 sh
197%
$21,530
$15,427
HILTON WORLDWIDE HOLDINGS INC
177,501 sh
6,361 sh
4%
$21,463
$2,422
KOHLS CORP
357,200 sh
58,400 sh
20%
$21,293
$9,135
Mosaic Co.
660,848 sh
-902,415 sh
-58%
$20,889
-$15,082
CITIZENS FINL GROUP INC COM
470,364 sh
121,895 sh
35%
$20,767
$8,306
TYSON FOODS INC
279,100 sh
73,335 sh
36%
$20,737
$7,478
WESTERN UN CO
840,000 sh
216,800 sh
35%
$20,714
$7,041
LABORATORY CORP OF AMERICA HOL
81,167 sh
37,400 sh
85%
$20,700
$11,791
Biogen Idec, Inc.
72,600 sh
13,924 sh
24%
$20,310
$5,943
Centene Corp.
315,000 sh
107,900 sh
52%
$20,132
$7,700
COGNIZANT TECHNOLOGY SOLUTIO
256,900 sh
85,800 sh
50%
$20,069
$6,047
VMWARE INC
131,100 sh
38,300 sh
41%
$19,724
$6,708
Regeneron Pharmaceuticals
41,600 sh
13,444 sh
48%
$19,683
$6,081
HASBRO INC
203,800 sh
20,600 sh
11%
$19,589
$2,452
Ally Financial Inc
431,286 sh
142,676 sh
49%
$19,498
$9,206
JAZZ PHARMACEUTICALS PLC SHS USD
117,800 sh
27,600 sh
31%
$19,363
$4,475
NUTRIEN LTD COM
358,199 sh
-1,900 sh
-1%
$19,303
$1,961
CARNIVAL CORP
721,600 sh
306,500 sh
74%
$19,151
$10,160
COHERENT INC
74,995 sh
74,995 sh
NEW
$18,965
$18,965
ALBEMARLE CORP
128,195 sh
83,273 sh
185%
$18,731
$12,104
LAS VEGAS SANDS CORP
307,996 sh
6,244 sh
2%
$18,714
$730
FLEETCOR TECHNOLOGIES INC
69,384 sh
33,884 sh
95%
$18,639
$8,954
SOCIEDAD QUIMICA MINERA DE C SPON ADR SER B
351,173 sh
-437,762 sh
-55%
$18,637
-$20,092
SANMINA CORPORATION
446,785 sh
-15,300 sh
-3%
$18,488
$3,752
GILEAD SCIENCES INC
283,900 sh
108,870 sh
62%
$18,348
$8,151
VIATRIS INC COM Stock
1,301,789 sh
644,032 sh
98%
$18,186
$5,860
KRAFT HEINZ CO
453,800 sh
226,600 sh
100%
$18,152
$10,277
SS&C TECHNOLOGIES HLDGS INC
258,900 sh
165,000 sh
176%
$18,089
$11,258
AMERESCO INC
371,410 sh
371,410 sh
NEW
$18,062
$18,062
HARTFORD FINL SVCS GROUP INC
269,632 sh
269,632 sh
NEW
$18,009
$18,009
TEXTRON INC
318,055 sh
129,880 sh
69%
$17,837
$8,743
DR REDDYS LABS LTD ADR
281,508 sh
-129,000 sh
-31%
$17,282
-$11,983
M D C HLDGS INC
290,609 sh
138,876 sh
92%
$17,262
$9,888
MOMO INC ADR
1,160,400 sh
403,200 sh
53%
$17,104
$6,533
WORLD FUEL SVCS CORP
485,561 sh
45,778 sh
10%
$17,092
$3,388
TE CONNECTIVITY LTD REG SHS
132,111 sh
65,133 sh
97%
$17,057
$8,948
SK TELECOM LTD SPONSORED ADR
625,265 sh
-184,500 sh
-23%
$17,026
-$2,797
MILLER HERMAN INC
404,106 sh
41,500 sh
11%
$16,629
$4,373
ViacomCBS Inc.
368,590 sh
-164,910 sh
-31%
$16,623
-$3,255
ADECOAGRO S A COM
2,104,047 sh
-8,839 sh
0%
$16,538
$2,170
TELEPHONE & DATA SYS INC
715,066 sh
309,777 sh
76%
$16,418
$8,892
ISHARES INC MSCI STH AFR ETF
325,800 sh
-7,500 sh
-2%
$16,088
$1,476
MOHAWK INDS INC
81,508 sh
30,888 sh
61%
$15,675
$8,540
TRI Pointe Group, Inc.
768,346 sh
342,704 sh
81%
$15,644
$8,302
GARMIN LTD SHS
117,121 sh
88,618 sh
311%
$15,442
$12,031
UNITED RENTALS INC
46,600 sh
6,000 sh
15%
$15,346
$5,930
SYNOPSYS INC
61,200 sh
38,774 sh
173%
$15,164
$9,350
GRUBHUB INC
249,194 sh
-274,299 sh
-52%
$14,952
-$23,928
TEGNA, Inc.
789,384 sh
-180,721 sh
-19%
$14,864
$1,331
LEIDOS HLDGS INC
153,636 sh
86,536 sh
129%
$14,792
$7,738
PACCAR INC
156,443 sh
123,200 sh
371%
$14,537
$11,669
OCCIDENTAL PETE CORP
545,142 sh
84,442 sh
18%
$14,512
$6,537
SLM CORPORATION
785,873 sh
-241,949 sh
-24%
$14,122
$1,387
AVNET INC
340,104 sh
131,537 sh
63%
$14,118
$6,795
PFIZER INC
379,185 sh
214,000 sh
130%
$13,738
$7,658
LUFAX HOLDING LTD ADS REP SHS CL A
941,344 sh
44,104 sh
5%
$13,668
$927
PROGRESSIVE CORP OHIO
142,338 sh
107,500 sh
309%
$13,609
$10,164
ENOVA INTL INC
380,503 sh
19,268 sh
5%
$13,500
$4,552
SUN LIFE FINL INC COM
265,000 sh
-303,800 sh
-53%
$13,391
-$11,879
ALLSTATE CORP
114,736 sh
76,234 sh
198%
$13,183
$8,950
Penske Automotive
161,812 sh
97,112 sh
150%
$12,984
$9,141
RESIDEO TECHNOLOGIES INC
459,144 sh
1,600 sh
0%
$12,971
$3,244
Xerox Holdings Corp Com New
533,994 sh
218,244 sh
69%
$12,960
$5,638
Activision Blizzard, Inc.
138,322 sh
56,682 sh
69%
$12,864
$5,284
McKesson Corp
65,958 sh
46,095 sh
232%
$12,864
$9,409
FLAGSTAR BANCORP INC COM PAR .001
279,622 sh
-63,200 sh
-18%
$12,611
-$1,362
OWENS CORNING NEW
135,334 sh
21,120 sh
18%
$12,463
$3,810
MOOG INC
149,753 sh
-11,100 sh
-7%
$12,452
-$304
QURATE RETAIL INC. QVC GROUP
1,043,029 sh
69,100 sh
7%
$12,266
$1,582
MONTAUK RENEWABLES INC COM
1,014,298 sh
1,014,298 sh
NEW
$12,253
$12,253
CUMMINS INC
47,252 sh
30,440 sh
181%
$12,243
$8,425
WHIRLPOOL CORP
55,100 sh
55,100 sh
NEW
$12,141
$12,141
REALOGY HOLDINGS CO
802,323 sh
140,623 sh
21%
$12,139
$3,457
BRADY CORP
226,845 sh
-22,800 sh
-9%
$12,125
-$1,061
INSIGHT ENTERPRISES INC
126,320 sh
-40,300 sh
-24%
$12,053
-$625
ITAU UNIBANCO HLDG SA SPON ADR REP PFD
2,406,300 sh
2,121,600 sh
745%
$11,935
$10,201
FOX CORP CL A COM
328,279 sh
-4,810 sh
-1%
$11,854
$2,154
UNIVERSAL CORP VA
198,827 sh
9,080 sh
5%
$11,729
$2,505
UBS GROUP AG SHS
753,943 sh
673,007 sh
832%
$11,724
$10,582
IMPERIAL OIL LTD COM NEW
482,300 sh
66,000 sh
16%
$11,681
$3,786
BIG LOTS INC
170,757 sh
-184,804 sh
-52%
$11,663
-$3,601
JD.COM INC SPON ADR CL A
138,100 sh
-307,200 sh
-69%
$11,646
-$27,496
QIWI PLC SPON ADR REP B
1,086,194 sh
552,774 sh
104%
$11,568
$6,074
ASSOCIATED BANC CORP COM
537,060 sh
96,741 sh
22%
$11,461
$3,954
DISCOVER FINL SVCS
119,887 sh
100,400 sh
515%
$11,388
$9,624
FEDERATED INVS INC PA
363,503 sh
125,299 sh
53%
$11,378
$4,496
NIU TECHNOLOGIES ADS
310,103 sh
310,103 sh
NEW
$11,365
$11,365
SUNSTONE HOTEL INVS INC NEW
886,864 sh
45,613 sh
5%
$11,050
$1,519
LA Z BOY INC
257,007 sh
96,007 sh
60%
$10,918
$4,504
YUM CHINA HLDGS INC COM
184,000 sh
21,000 sh
13%
$10,895
$1,589
PRESTIGE BRANDS HOLD
245,936 sh
16,736 sh
7%
$10,841
$2,849
SIMON PPTY GROUP INC NEW
94,674 sh
33,197 sh
54%
$10,771
$5,528
TRANE TECHNOLOGIES PLC
64,398 sh
59,422 sh
1194%
$10,662
$9,940
Sm Energy Company
645,292 sh
576,692 sh
841%
$10,563
$10,143
REGENCY CTRS CORP COM
180,309 sh
74,734 sh
71%
$10,225
$5,412
Walker & Dunlop, Inc.
99,300 sh
-46,800 sh
-32%
$10,202
-$3,242
FEDERAL REALTY INVT TR
98,419 sh
43,404 sh
79%
$9,985
$5,302
CHECK POINT SOFTWARE TECH LT ORD
88,900 sh
88,900 sh
NEW
$9,954
$9,954
MICHAELS COMPANIES COM
452,804 sh
142,004 sh
46%
$9,935
$5,891
FIRST SOLAR INC
112,879 sh
-28,696 sh
-20%
$9,854
-$4,151
AFLAC INC
190,136 sh
155,739 sh
453%
$9,731
$8,201
XENIA HOTELS & RESORTS INC
485,398 sh
-91,000 sh
-16%
$9,465
$704
HOLLYSYS AUTOMATION TECHNOLO SHS
752,653 sh
73,453 sh
11%
$9,423
-$554
MGM GROWTH PPTYS LLC CL A COM
285,570 sh
82,770 sh
41%
$9,315
$2,967
Wintrust Financial COM
122,309 sh
88,209 sh
259%
$9,271
$7,188
BRISTOL MYERS SQUIBB CO
146,391 sh
70,300 sh
92%
$9,242
$4,522
ASBURY AUTOMOTIVE GROUP INC
46,775 sh
35,375 sh
310%
$9,191
$7,530
WADDELL & REED FINL INC CL A
363,833 sh
-19,167 sh
-5%
$9,114
-$641
NEW ORIENTAL ED & TECH GRP I SPON ADR
649,300 sh
602,800 sh
1296%
$9,090
$450
NEWMARK GROUP INC
874,500 sh
-58,600 sh
-6%
$8,749
$1,947
GLAXOSMITHKLINE PLC SPONSORED ADR
241,600 sh
202,500 sh
518%
$8,623
$7,184
EQUITY RESIDENTIAL REIT
117,716 sh
44,770 sh
61%
$8,432
$4,108
AUTONATION INC
89,316 sh
-138,710 sh
-61%
$8,326
-$7,588
OWENS & MINOR INC NEW
220,319 sh
-278,181 sh
-56%
$8,282
-$5,202
LIVENT CORP
475,055 sh
-148,309 sh
-24%
$8,228
-$3,516
SLEEP NUMBER CORP
56,925 sh
3,500 sh
7%
$8,168
$3,795
PINDUODUO INC SPONSORED ADS
60,900 sh
28,600 sh
89%
$8,153
$2,414
SCHWEITZER-MAUDUIT INTL INC
165,000 sh
-40,700 sh
-20%
$8,080
-$191
AVALONBAY CMNTYS INC
43,753 sh
17,363 sh
66%
$8,073
$3,839
ESSEX PPTY TR INC
29,656 sh
11,977 sh
68%
$8,062
$3,865
ELECTRONIC ARTS INC
58,955 sh
-10,408 sh
-15%
$7,981
-$1,980
CADENCE DESIGN SYSTEM INC
58,209 sh
11,434 sh
24%
$7,974
$1,592
LOWES COS INC
41,674 sh
21,100 sh
103%
$7,926
$4,624
APARTMENT INCOME REIT CORP COM
184,590 sh
75,435 sh
69%
$7,893
$3,700
MID-AMER APT CMNTYS INC COM
54,517 sh
23,165 sh
74%
$7,870
$3,898
CAMDEN PPTY TR
70,728 sh
27,633 sh
64%
$7,774
$3,468
PNC FINL SVCS GROUP INC COM
43,633 sh
27,000 sh
162%
$7,654
$5,176
TEMPUR SEALY INTL INC COM
208,153 sh
-79,153 sh
-28%
$7,610
-$147
TEREX CORP NEW
165,045 sh
-39,055 sh
-19%
$7,604
$483
SHERWIN WILLIAMS CO
10,235 sh
7,100 sh
226%
$7,554
$5,250
INVESTORS BANCORP INC NEW COM
506,889 sh
-267,300 sh
-35%
$7,446
-$729
HILLTOP HOLDINGS INC COM
215,740 sh
-86,548 sh
-29%
$7,363
-$953
VIPSHOP HLDGS LTD SPONSORED ADS A
243,654 sh
-2,216,846 sh
-90%
$7,276
-$61,889
ETHAN ALLEN INTERIORS INC
261,457 sh
-3,943 sh
-1%
$7,219
$1,855
INTERNATIONAL BANCSHARES COR COM
152,300 sh
-11,000 sh
-7%
$7,070
$956
BILIBILI INC SPONS ADS REP Z
64,400 sh
-5,900 sh
-8%
$6,895
$869
Hewlett Packard Enterprise Co.
437,792 sh
248,057 sh
131%
$6,891
$4,643
BOOZ ALLEN HAMILTON HLDG COR
85,477 sh
72,000 sh
534%
$6,883
$5,708
PARKER HANNIFIN CORP
21,433 sh
12,371 sh
137%
$6,761
$4,292
ON SEMICONDUCTOR CORP
159,870 sh
17,625 sh
12%
$6,652
$1,996
VERSO CORP
441,588 sh
-44,200 sh
-9%
$6,443
$604
SHOE CARNIVAL INC
103,800 sh
-8,300 sh
-7%
$6,423
$2,031
LKQ CORP
148,400 sh
54,900 sh
59%
$6,282
$2,987
BANK NEW YORK MELLON CORP COM
131,988 sh
75,700 sh
134%
$6,242
$3,853
CELESTICA INC SUB VTG SHS
746,558 sh
233,500 sh
46%
$6,238
$2,102
Enphase Energy, Inc.
38,450 sh
-34,507 sh
-47%
$6,235
-$6,567
FIFTH THIRD BANCORP COM
165,384 sh
96,889 sh
141%
$6,194
$4,306
DONNELLEY FINL SOLUTIONS INC
220,200 sh
-2,400 sh
-1%
$6,128
$2,350
BENCHMARK ELECTRONICS INC
191,830 sh
-38,800 sh
-17%
$5,931
-$298
STEWART INFORMATION SVCS COR
110,917 sh
62,417 sh
129%
$5,771
$3,426
STEELCASE INC
395,897 sh
-10,400 sh
-3%
$5,697
$192
CORE MARK HOLDING CO INC
147,047 sh
14,547 sh
11%
$5,689
$1,797
COLGATE PALMOLIVE CO
72,020 sh
45,700 sh
174%
$5,677
$3,426
ACCO BRANDS CORP COM
668,016 sh
-23,000 sh
-3%
$5,638
-$201
HAVERTY FURNITURE INC
151,242 sh
-9,700 sh
-6%
$5,625
$1,172
DOLLAR GEN CORP NEW
27,723 sh
13,000 sh
88%
$5,617
$2,521
GRUPO FINANCIERO GALICIA S A SPONSORED ADR
737,600 sh
-5,700 sh
-1%
$5,613
-$883
EATON CORP PLC SHS
40,159 sh
-18,700 sh
-32%
$5,553
-$1,518
CATHAY GEN BANCORP COM
135,200 sh
32,900 sh
32%
$5,513
$2,220
GEO GROUP INC NEW
709,085 sh
-93,915 sh
-12%
$5,502
-$1,613
BRP INC COM SUN VTG
63,415 sh
-129,168 sh
-67%
$5,498
-$7,213
CLEAN ENERGY FUELS CORP
396,593 sh
396,593 sh
NEW
$5,449
$5,449
Macquarie Infrastructure Corporation
170,030 sh
4,610 sh
3%
$5,409
-$803
HOST HOTELS & RESORTS, INC
320,394 sh
30,700 sh
11%
$5,399
$1,161
CANADIAN NAT RES LTD COM
173,800 sh
173,800 sh
NEW
$5,372
$5,372
ABERCROMBIE & FITCH CO
156,128 sh
156,128 sh
NEW
$5,357
$5,357
First Industrial Realty Trust
116,319 sh
62,114 sh
115%
$5,326
$3,042
PACWEST BANCORP DEL COM
139,300 sh
127,000 sh
1033%
$5,314
$5,002
SYKES ENTERPRISES INC
118,312 sh
-8,101 sh
-6%
$5,215
$453
Prologis Inc REIT
49,094 sh
24,235 sh
97%
$5,204
$2,727
SUPER MICRO COMPUTER INC
132,844 sh
76,044 sh
134%
$5,189
$3,391
DUKE REALTY CORP
123,461 sh
66,260 sh
116%
$5,177
$2,891
BAKER HUGHES COMPANY
236,088 sh
-7,123 sh
-3%
$5,102
$31
PPL CORP COM
176,900 sh
176,900 sh
NEW
$5,102
$5,102
Akamai Technologies, Inc.
50,035 sh
44,175 sh
754%
$5,099
$4,484
G-III APPAREL GROUP LTD
168,233 sh
-24,267 sh
-13%
$5,071
$501
MASONITE INTL CORP NEW
43,970 sh
-17,520 sh
-28%
$5,067
-$980
EASTGROUP PPTY INC
35,281 sh
17,168 sh
95%
$5,055
$2,554
OFG BANCORP COM
223,250 sh
-13,200 sh
-6%
$5,050
$666
HNI CORP
127,374 sh
32,662 sh
34%
$5,039
$1,775
DIAMONDROCK HOSPITALITY CO
479,756 sh
10,900 sh
2%
$4,941
$1,073
VECTRUS INC
91,800 sh
-10,800 sh
-11%
$4,906
-$195
CEMEX SAB DE CV SPON ADR NEW
703,500 sh
-10,300 sh
-1%
$4,903
$1,213
PG&E CORP COM
418,054 sh
2,900 sh
1%
$4,895
-$278
TEXAS CAPITAL BANCSHARES INC COM
68,900 sh
54,100 sh
366%
$4,886
$4,005
Sonic Automotive Inc Cl A
98,282 sh
-84,800 sh
-46%
$4,872
-$2,189
LIBERTY TRIPADVISOR HLDGS IN
762,600 sh
-13,000 sh
-2%
$4,865
$1,499
EMPIRE ST RLTY TR INC
434,348 sh
164,431 sh
61%
$4,834
$2,318
GENESCO INC
101,700 sh
-500 sh
0%
$4,831
$1,756
INTUIT
12,495 sh
-1,820 sh
-13%
$4,786
-$652
VORNADO RLTY TR
105,449 sh
37,122 sh
54%
$4,786
$2,235
DELUXE CORP
113,679 sh
17,879 sh
19%
$4,770
$1,973
MYR GROUP INC
66,472 sh
-4,128 sh
-6%
$4,764
$521
EMCOR GROUP INC
42,419 sh
11,060 sh
35%
$4,758
$1,890
PROPETRO HLDG CORP
442,251 sh
-25,485 sh
-5%
$4,714
$1,257
Principal Financial Group, Inc
78,450 sh
26,471 sh
51%
$4,704
$2,125
ISHARES INC MSCI CHILE ETF
136,900 sh
136,900 sh
NEW
$4,689
$4,689
HYSTER YALE MATLS HANDLING I
53,800 sh
-3,900 sh
-7%
$4,687
$1,251
JOYY INC ADS REPSTG COM A
50,000 sh
50,000 sh
NEW
$4,687
$4,687
SILGAN HOLDINGS INC
110,118 sh
-92,350 sh
-46%
$4,628
-$2,880
STATE STR CORP COM
54,410 sh
22,477 sh
70%
$4,571
$2,247
EBAY INC
73,900 sh
-23,605 sh
-24%
$4,526
-$374
GRIFFON CORP
166,121 sh
-40,429 sh
-20%
$4,514
$305
FULTON FINL CORP PA COM
264,261 sh
224,961 sh
572%
$4,500
$4,000
VANECK VECTORS ETF TRUST VIETNAM ETF
245,000 sh
1,000 sh
0%
$4,435
$167
MUELLER INDS INC
106,138 sh
-15,362 sh
-13%
$4,389
$123
ENERSYS
48,300 sh
-11,200 sh
-19%
$4,386
-$556
ATLANTICA YIELD PLC SHS
119,709 sh
29,000 sh
32%
$4,385
$940
COOPER TIRE & RUBR CO COM
77,901 sh
-40,399 sh
-34%
$4,361
-$430
RAYMOND JAMES FINANCIAL INC
35,572 sh
24,097 sh
210%
$4,360
$3,262
BOSTON PROPERTIES INC
42,953 sh
42,953 sh
NEW
$4,349
$4,349
HUDSON PAC PPTYS INC
160,234 sh
60,236 sh
60%
$4,347
$1,945
Valvoline Inc
165,925 sh
-261,531 sh
-61%
$4,326
-$5,565
HIGHWOODS PPTYS INC
100,562 sh
100,562 sh
NEW
$4,318
$4,318
JOHNSON OUTDOORS INC CL A
30,117 sh
-7,500 sh
-20%
$4,299
$62
MATERION CORP
64,707 sh
-48,900 sh
-43%
$4,286
-$2,953
ICICI BK LTD ADR
266,800 sh
-84,700 sh
-24%
$4,277
-$946
ZUMIEZ INC
99,401 sh
-35,899 sh
-27%
$4,264
-$712
VIAD CORP
100,214 sh
100,214 sh
NEW
$4,184
$4,184
COUSINS PPTYS INC
118,196 sh
44,330 sh
60%
$4,178
$1,703
MURPHY USA INC COM
28,854 sh
21,656 sh
301%
$4,171
$3,229
FUTUREFUEL CORPORATION
281,736 sh
-61,582 sh
-18%
$4,094
-$266
AMERISOURCEBERGEN CORP
34,401 sh
17,300 sh
101%
$4,062
$2,390
BANK MONTREAL QUE COM
45,000 sh
18,200 sh
68%
$4,011
$1,975
GREIF INC
70,300 sh
-64,900 sh
-48%
$4,007
-$2,331
SOUTHWESTERN ENERGY CO
850,600 sh
-2,327,300 sh
-73%
$3,955
-$5,515
M & T BK CORP COM
25,845 sh
21,946 sh
563%
$3,918
$3,422
AUTOHOME INC SP ADR RP CL A
41,600 sh
-5,300 sh
-11%
$3,880
-$792
ALEXANDRIA REAL ESTATE EQ IN
23,497 sh
8,410 sh
56%
$3,861
$1,172
AGORA INC ADS
76,616 sh
76,616 sh
NEW
$3,851
$3,851
JPMORGAN CHASE & CO
25,274 sh
-32,118 sh
-56%
$3,847
-$3,446
OLD NATL BANCORP IND COM
198,400 sh
83,300 sh
72%
$3,837
$1,931
DESIGNER BRANDS INC
220,000 sh
 
$3,828
MERCADOLIBRE INC COM
2,600 sh
2,600 sh
NEW
$3,828
$3,828
TRUSTMARK CORP COM
113,153 sh
53,653 sh
90%
$3,809
$2,184
SCIPLAY CORP
233,944 sh
-58,958 sh
-20%
$3,785
-$272
CARS COM INC
287,851 sh
-67,449 sh
-19%
$3,731
-$284
ANTERO RESOURCES CORP
365,600 sh
309,400 sh
551%
$3,729
$3,423
PREMIER FINANCIAL CORP COMMON STOCK
111,998 sh
-7,400 sh
-6%
$3,725
$979
Stoneridge Inc
116,500 sh
-44,500 sh
-28%
$3,706
-$1,161
CURO GROUP HLDGS CORP
253,671 sh
171,571 sh
209%
$3,701
$2,525
VERIZON COMMUNICATIONS
62,975 sh
48,400 sh
332%
$3,662
$2,806
SALLY BEAUTY HLDGS INC
180,221 sh
38,621 sh
27%
$3,628
$1,782
NVR, Inc.
766 sh
530 sh
225%
$3,609
$2,646
L BRANDS INC
57,931 sh
23,700 sh
69%
$3,584
$2,311
LOGITECH INTL S A SHS
33,272 sh
833 sh
3%
$3,505
$352
METHODE ELECTRS INC
82,709 sh
5,909 sh
8%
$3,472
$532
AMC NETWORKS INC
65,100 sh
-88,200 sh
-58%
$3,461
-$2,023
FIRST BANCORP P R COM NEW
302,135 sh
244,835 sh
427%
$3,402
$2,874
CBIZ INC
103,387 sh
-12,484 sh
-11%
$3,377
$294
SEAGATE TECHNOLOGY PLC SHS
43,783 sh
2,200 sh
5%
$3,360
$775
COTY INC COM CL A
372,525 sh
-609,075 sh
-62%
$3,356
-$3,535
MCDONALDS CORP
14,945 sh
14,945 sh
NEW
$3,350
$3,350
DROPBOX INC
125,500 sh
77,300 sh
160%
$3,346
$2,276
DENBURY INC COM
69,627 sh
69,627 sh
NEW
$3,334
$3,334
Paypal Hldgs Inc.
13,700 sh
13,700 sh
NEW
$3,327
$3,327
MONDELEZ INTL INC
56,422 sh
34,512 sh
158%
$3,302
$2,021
TAL EDUCATION GROUP SPONSORED ADS
60,600 sh
-71,600 sh
-54%
$3,263
-$6,191
BEST BUY INC
28,239 sh
-3,134 sh
-10%
$3,242
$111
NUCOR CORP
40,367 sh
16,800 sh
71%
$3,240
$1,986
BED BATH & BEYOND INC
109,900 sh
-24,400 sh
-18%
$3,204
$819
PATRICK INDS INC
37,368 sh
-6,032 sh
-14%
$3,176
$210
BRIGHTSHERE INVESTMENT
154,511 sh
-77,889 sh
-34%
$3,149
-$1,332
UNITED STATES CELLULAR CORP
86,006 sh
22,406 sh
35%
$3,137
$1,185
ARCHER DANIELS MIDLAND CO
54,997 sh
46,200 sh
525%
$3,135
$2,692
KFORCE INC
58,176 sh
18,776 sh
48%
$3,118
$1,460
Primoris Services Corp
93,889 sh
66,189 sh
239%
$3,111
$2,346
SUMMIT HOTEL PPTYS INC
303,789 sh
-133,011 sh
-30%
$3,086
-$850
FNB CORP PA COM
242,200 sh
168,300 sh
228%
$3,076
$2,374
AVERY DENNISON CORP
16,716 sh
6,876 sh
70%
$3,070
$1,544
COSTCO WHOLESALE CRP DEL
8,708 sh
7,300 sh
518%
$3,069
$2,538
Axos Financial Inc COM
64,078 sh
51,278 sh
401%
$3,012
$2,532
APOLLO INVT CORP COM NEW
218,330 sh
 
$2,995
MOVADO GROUP INC
104,320 sh
-9,300 sh
-8%
$2,968
$1,080
CORNERSTONE BLDG BRANDS INC
211,554 sh
31,094 sh
17%
$2,968
$1,293
BOK Financial COM
33,200 sh
23,800 sh
253%
$2,965
$2,321
Cardinal Health
48,740 sh
32,100 sh
193%
$2,961
$2,070
CHINA PETE & CHEM CORP SPON ADR H SHS
55,748 sh
27,500 sh
97%
$2,940
$1,680
SOUTHWEST AIRLS CO
47,006 sh
47,006 sh
NEW
$2,870
$2,870
ALTRIA GROUP INC
55,900 sh
55,900 sh
NEW
$2,860
$2,860
INTERPUBLIC GROUP COS INC
97,902 sh
44,429 sh
83%
$2,859
$1,601
VISHAY INTERTECHNOLOGY INC
117,794 sh
117,794 sh
NEW
$2,836
$2,836
APOGEE ENTERPRISES INC
69,298 sh
30,898 sh
80%
$2,833
$1,616
EDWARDS LIFESCIENCES CORP
33,763 sh
-152,900 sh
-82%
$2,824
-$14,205
ENDO INTL PLC SHS
379,886 sh
-880,814 sh
-70%
$2,815
-$6,237
ENERPLUS CORP COM
559,621 sh
559,621 sh
NEW
$2,804
$2,804
Fortive Corp
39,576 sh
19,723 sh
99%
$2,796
$1,390
AMDOCS LTD SHS
39,566 sh
18,882 sh
91%
$2,776
$1,309
TILRAY INC NOTE 5.000\%10/0
$3,000,000 in bonds
$3,000,000 in bonds
$2,754
$2,754
MANULIFE FINL CORP COM
127,800 sh
-302,500 sh
-70%
$2,748
-$4,903
PROVIDENT FINL SVCS INC COM
122,511 sh
103,511 sh
545%
$2,730
$2,389
MOTOROLA SOLUTIONS INC COM NEW
14,425 sh
5,600 sh
63%
$2,713
$1,212
MERIDIAN BIOSCIENCE INC
102,217 sh
-158,883 sh
-61%
$2,683
-$2,197
FIRST COMWLTH FINL CORP PA COM
186,268 sh
186,268 sh
NEW
$2,677
$2,677
DUCOMMUN INC DEL
44,400 sh
-2,800 sh
-6%
$2,664
$129
UMB FINL CORP COM
28,765 sh
25,700 sh
838%
$2,656
$2,445
Talos Energy
216,066 sh
-15,894 sh
-7%
$2,601
$690
TRICO BANCSHARES COM
54,866 sh
-5,514 sh
-9%
$2,599
$469
WASHINGTON FED INC COM
83,966 sh
83,966 sh
NEW
$2,586
$2,586
WEIBO CORP SPONSORED ADR
51,100 sh
51,100 sh
NEW
$2,579
$2,579
EASTMAN CHEMICAL CO
23,343 sh
3,500 sh
18%
$2,571
$581
BERKSHIRE HATHAWAY INC DEL
10,000 sh
10,000 sh
NEW
$2,555
$2,555
FIRST FINL BANCORP OH COM
105,798 sh
105,798 sh
NEW
$2,539
$2,539
WILLIAMS SONOMA INC
14,119 sh
200 sh
1%
$2,530
$1,112
GRAHAM HLDGS CO
4,464 sh
-1,900 sh
-30%
$2,511
-$883
F M C CORP
22,546 sh
12,889 sh
133%
$2,494
$1,384
RELIANCE STEEL & ALUMINUM CO
16,312 sh
-1,000 sh
-6%
$2,484
$411
RENT A CTR INC NEW
42,879 sh
17,879 sh
72%
$2,472
$1,515
COMTECH TELECOMMUNICATIONS C
98,918 sh
-89,682 sh
-48%
$2,457
-$1,445
SPOK HLDGS INC
233,178 sh
7,600 sh
3%
$2,446
-$65
STONEX GROUP INC
37,404 sh
-38,896 sh
-51%
$2,445
-$1,973
Uniti Group Inc
218,810 sh
218,810 sh
NEW
$2,413
$2,413
Fidelity National Financial, I
59,092 sh
27,301 sh
86%
$2,403
$1,160
CONSOLIDATED EDISON INC COM
31,800 sh
31,800 sh
NEW
$2,379
$2,379
SMITH A O CORP
34,018 sh
21,692 sh
176%
$2,300
$1,624
BUILDERS FIRSTSOURCE INC
49,300 sh
28,974 sh
143%
$2,286
$1,456
BOSTON PRIVATE FINL HLDGS IN COM
170,970 sh
-15,630 sh
-8%
$2,277
$700
STANLEY BLACK & DECKER INC
11,394 sh
4,725 sh
71%
$2,275
$1,084
VALMONT INDS INC
9,500 sh
600 sh
7%
$2,258
$701
OMNICOM GROUP INC
30,399 sh
5,800 sh
24%
$2,254
$720
PROCTER & GAMBLE CO
16,631 sh
16,631 sh
NEW
$2,252
$2,252
CTS CORP
72,261 sh
-239 sh
0%
$2,244
-$245
GAP INC
75,234 sh
55,389 sh
279%
$2,240
$1,839
TENCENT MUSIC ENTMT GROUP SPON ADS
108,900 sh
108,900 sh
NEW
$2,231
$2,231
ADTRAN INC
133,169 sh
-27,300 sh
-17%
$2,221
-$149
CRA INTL INC
29,633 sh
-2,200 sh
-7%
$2,212
$591
GYRODYNE LLC COM
148,088 sh
 
$2,198
KIMBALL INTL INC
156,500 sh
-14,800 sh
-9%
$2,191
$144
URBAN EDGE PPTYS
132,341 sh
-22,959 sh
-15%
$2,186
$176
KB FINANCIAL GROUP INC SPONSORED ADR
44,100 sh
-12,500 sh
-22%
$2,180
-$61
Regions Financial Corp. COM
103,885 sh
27,600 sh
36%
$2,146
$916
TOWNEBANK PORTSMOUTH VA COM
70,396 sh
5,796 sh
9%
$2,140
$623
BONANZA CREEK ENERGY INC
58,768 sh
58,768 sh
NEW
$2,100
$2,100
SPARTANNASH CO
106,209 sh
-89,291 sh
-46%
$2,085
-$1,319
Applied Industrial Technologie
22,871 sh
-6,229 sh
-21%
$2,085
-$185
TERADYNE INC
17,128 sh
-600 sh
-3%
$2,084
-$41
Aramark
54,700 sh
54,700 sh
NEW
$2,067
$2,067
Koppers Holdings Inc.
59,119 sh
9,519 sh
19%
$2,055
$509
GRAINGER W W INC
5,121 sh
4,300 sh
524%
$2,053
$1,718
ROYAL CARIBBEAN CRUISES LTD
23,750 sh
5,540 sh
30%
$2,033
$673
TRIBUNE PUBLISHING COMPANY COM
112,300 sh
-12,300 sh
-10%
$2,020
$313
PERDOCEO EDUCATION CORP
165,190 sh
-98,010 sh
-37%
$1,976
-$1,348
COREPOINT LODGING INC
217,875 sh
-91,600 sh
-30%
$1,967
-$162
LIBERTY OILFIELD SVCS INC
172,770 sh
-10,859 sh
-6%
$1,951
$58
NBT BANCORP INC COM
48,826 sh
33,626 sh
221%
$1,948
$1,460
HONEYWELL INTL INC
8,946 sh
-79,783 sh
-90%
$1,942
-$16,931
VERITIV CORP
45,035 sh
3,235 sh
8%
$1,916
$1,047
NETGEAR INC
46,006 sh
6,406 sh
16%
$1,891
$282
VERA BRADLEY INC
186,429 sh
-48,600 sh
-21%
$1,883
$12
HOME DEPOT INC
6,150 sh
6,150 sh
NEW
$1,877
$1,877
NEENAH INC
36,259 sh
-9,641 sh
-21%
$1,863
-$676
CHINA YUCHAI INTL LTD COM
120,151 sh
-3,700 sh
-3%
$1,860
-$164
SCOTTS MIRACLE GRO CO
7,579 sh
2,594 sh
52%
$1,857
$864
ENCORE CAP GROUP INC
45,600 sh
-39,000 sh
-46%
$1,834
-$1,461
KELLY SVCS INC
81,300 sh
-7,300 sh
-8%
$1,811
-$12
REALPAGE INC COM
20,755 sh
20,755 sh
NEW
$1,810
$1,810
BANKUNITED INC COM
41,000 sh
4,100 sh
11%
$1,802
$519
DOMTAR CORP
48,635 sh
5,335 sh
12%
$1,797
$427
AVIENT CORP
37,989 sh
-106,211 sh
-74%
$1,796
-$4,012
Entegris, Inc.
15,645 sh
 
$1,749
SVB FINL GROUP COM COM
3,525 sh
1,700 sh
93%
$1,740
$1,032
Waterstone Financial, Inc COM
84,759 sh
-9,336 sh
-10%
$1,731
-$40
TREDEGAR CORP
114,002 sh
-14,400 sh
-11%
$1,711
-$433
TRINSEO S A SHS
26,743 sh
12,243 sh
84%
$1,703
$960
IDT CORP
74,700 sh
-6,800 sh
-8%
$1,693
$686
CNX RESOURCES CORPORATION
114,383 sh
89,983 sh
369%
$1,681
$1,417
NETAPP INC
22,822 sh
-648 sh
-3%
$1,658
$103
NORTHWEST BANCSHARES INC MD COM
114,521 sh
-30,400 sh
-21%
$1,655
-$191
TUTOR PERINI CORP
86,426 sh
21,626 sh
33%
$1,638
$799
HOPE BANCORP INC COM
105,900 sh
105,900 sh
NEW
$1,595
$1,595
PETROCHINA CO LTD SPONSORED ADR
43,900 sh
43,900 sh
NEW
$1,587
$1,587
BANNER CORP COM NEW
29,565 sh
29,565 sh
NEW
$1,577
$1,577
COMPANHIA ENERGETICA DE MINA SP ADR N-V PFD
694,900 sh
694,900 sh
NEW
$1,577
$1,577
CAMBIUM NETWORKS CORP SHS
33,742 sh
22,442 sh
199%
$1,576
$1,293
HEIDRICK & STRUGGLES INTL IN
43,971 sh
771 sh
2%
$1,571
$302
BROOKLINE BANCORP INC DEL COM
103,791 sh
10,691 sh
11%
$1,557
$436
HUNTINGTON BANCSHARES INC COM
99,038 sh
28,385 sh
40%
$1,557
$665
LEAR CORP
8,500 sh
 
$1,541
DANAHER CORPORATION
6,815 sh
6,815 sh
NEW
$1,534
$1,534
ADTALEM GLOBAL ED INC
38,700 sh
-123,000 sh
-76%
$1,530
-$3,960
NEXTIER OILFIELD SOLUTIONS I
411,032 sh
-21,858 sh
-5%
$1,529
$40
EAST WEST BANCORP INC COM COM
20,282 sh
8,700 sh
75%
$1,497
$910
CLOROX CO DEL
7,721 sh
 
$1,489
LAUDER ESTEE COS INC
5,121 sh
5,121 sh
NEW
$1,489
$1,489
Customers Bancorp COM
46,690 sh
46,690 sh
NEW
$1,486
$1,486
FIRST MIDWEST BANCORP DEL COM
67,800 sh
67,800 sh
NEW
$1,485
$1,485
STARBUCKS CORP
13,485 sh
13,485 sh
NEW
$1,474
$1,474
MERITOR INC
49,900 sh
-127,500 sh
-72%
$1,468
-$3,483
GPO AEROPORTUARIO DEL PAC SA SPON ADR B
13,900 sh
 
$1,462
INDEPENDENT BANK CORP MICH COM NEW
61,720 sh
891 sh
1%
$1,459
$335
TFII CN COM
19,300 sh
-95,000 sh
-83%
$1,447
-$4,432
STEPAN CO
11,325 sh
-34,278 sh
-75%
$1,440
-$4,001
DICKS SPORTING GOODS INC
18,900 sh
-57,300 sh
-75%
$1,439
-$2,844
HEARTLAND FINL USA INC COM
28,600 sh
18,200 sh
175%
$1,437
$1,017
DIAMONDBACK ENERGY
19,049 sh
19,049 sh
NEW
$1,400
$1,400
BARINGS BDC INC COM
139,470 sh
 
$1,392
Resources Connection Inc
102,490 sh
-11,810 sh
-10%
$1,388
-$49
BANCO BBVA ARGENTINA SA SPONSORED ADS
504,470 sh
20,970 sh
4%
$1,377
-$175
MOBILE TELESYSTEMS PJSC SPONSORED ADR
164,700 sh
-1,786,435 sh
-92%
$1,374
-$16,089
MASCO CORP
22,790 sh
5,500 sh
32%
$1,365
$415
Evoqua Water Technologies
51,692 sh
51,692 sh
NEW
$1,359
$1,359
CROWN HOLDINGS INC
13,885 sh
4,170 sh
43%
$1,347
$374
ENTERPRISE FINL SVCS CORP COM
27,204 sh
27,204 sh
NEW
$1,345
$1,345
CORNING INC
30,869 sh
11,600 sh
60%
$1,343
$649
TALEND S A ADS
21,014 sh
21,014 sh
NEW
$1,337
$1,337
ARES CAP CORP COM
71,310 sh
 
$1,334
MATTHEWS INTL CORP
33,360 sh
33,360 sh
NEW
$1,319
$1,319
TIMKEN CO
15,957 sh
5,300 sh
50%
$1,295
$471
DAQO NEW ENERGY CORP SPNSRD ADR NEW
17,000 sh
17,000 sh
NEW
$1,284
$1,284
BLACKROCK INC
1,700 sh
1,700 sh
NEW
$1,282
$1,282
ROCKY BRANDS INC
23,692 sh
-5,208 sh
-18%
$1,281
$470
SYSTEMAX INC
31,113 sh
-6,787 sh
-18%
$1,279
-$81
AUTOZONE INC
907 sh
300 sh
49%
$1,274
$554
FEDERAL SIGNAL CORP
33,157 sh
-161,490 sh
-83%
$1,270
-$5,186
STEEL DYNAMICS INC
24,660 sh
571 sh
2%
$1,252
$364
BANK AMER CORP COM
32,211 sh
-11,329 sh
-26%
$1,246
-$74
DECKERS OUTDOOR CORP
3,764 sh
 
$1,244
INTERFACE INC
99,618 sh
-30,182 sh
-23%
$1,243
-$120
Northfield Bancorp COM
77,984 sh
15,284 sh
24%
$1,242
$469
CGI INC CL A SUB VTG
14,900 sh
14,900 sh
NEW
$1,241
$1,241
GENERAC HLDGS INC
3,774 sh
-1,400 sh
-27%
$1,236
$59
Select Medical Holdings Corpor
36,032 sh
-137,468 sh
-79%
$1,229
-$3,570
TURQUOISE HILL RESOURCES LTD Common Stock
76,400 sh
76,400 sh
NEW
$1,229
$1,229
FRONTLINE LTD SHS NEW
167,145 sh
167,145 sh
NEW
$1,225
$1,225
SIERRA METALS INC COM
386,700 sh
221,900 sh
135%
$1,218
$671
Kimball Electronics
47,178 sh
-6,022 sh
-11%
$1,217
$366
CAPRI HOLDINGS LIMITED SHS
23,783 sh
-52,117 sh
-69%
$1,213
-$1,975
JUMIA TECHNOLOGIES AG SPONSORED ADS
34,200 sh
34,200 sh
NEW
$1,213
$1,213
FIRST AMERN FINL CORP
20,367 sh
3,300 sh
19%
$1,154
$273
1ST SOURCE CORP COM
24,206 sh
606 sh
3%
$1,152
$201
SEI INVESTMENTS CO
18,817 sh
 
$1,147
BROOKFIELD PROPERTY PARTRS L UNIT LTD PARTN
64,220 sh
64,220 sh
NEW
$1,142
$1,142
FULLER H B CO
18,033 sh
-53,367 sh
-75%
$1,134
-$2,570
FLUSHING FINL CORP COM
53,153 sh
12,253 sh
30%
$1,128
$447
GREAT WESTN BANCORP INC COM
37,100 sh
37,100 sh
NEW
$1,124
$1,124
Dell Technologies Inc Cl C
12,700 sh
12,700 sh
NEW
$1,120
$1,120
TRUSTCO BK CORP N Y COM
151,703 sh
-15,397 sh
-9%
$1,118
$3
AMKOR TECHNOLOGY INC
47,000 sh
-105,900 sh
-69%
$1,114
-$1,192
KNOLL INC
67,500 sh
8,000 sh
13%
$1,114
$241
FEDERAL AGRIC MTG CORP
11,000 sh
1,300 sh
13%
$1,108
$388
Envista Holdings Corp
27,009 sh
27,009 sh
NEW
$1,102
$1,102
UNIVERSAL ELECTRS INC
19,969 sh
-9,631 sh
-33%
$1,098
-$455
BANCORP INC DEL COM COM
52,491 sh
29,091 sh
124%
$1,088
$769
SNAP ON INC
4,700 sh
4,700 sh
NEW
$1,084
$1,084
WEYERHAEUSER CO
30,005 sh
30,005 sh
NEW
$1,068
$1,068
Avid Technology Inc
50,400 sh
50,400 sh
NEW
$1,064
$1,064
FEDEX CORP
3,709 sh
3,709 sh
NEW
$1,054
$1,054
WESBANCO INC COM
29,200 sh
29,200 sh
NEW
$1,053
$1,053
PPG INDS INC
7,000 sh
7,000 sh
NEW
$1,052
$1,052
SEA LTD SPONSORED ADS
4,700 sh
4,700 sh
NEW
$1,049
$1,049
FIRST BUSEY CORP COM NEW
40,129 sh
40,129 sh
NEW
$1,029
$1,029
BERRY GLOBAL GROUP INC
16,666 sh
2,100 sh
14%
$1,023
$205
UNITED THERAPEUTICS CORP DEL
6,107 sh
-9,100 sh
-60%
$1,022
-$1,286
NAVISTAR INTL CORP COM
23,208 sh
23,208 sh
NEW
$1,022
$1,022
OneMain Holdings, Inc.
18,887 sh
9,900 sh
110%
$1,015
$582
CURTISS WRIGHT CORP
8,521 sh
 
$1,011
HCA Healthcare Co.
5,360 sh
-6,600 sh
-55%
$1,010
-$957
SERVICE PPTYS TR
85,151 sh
85,151 sh
NEW
$1,010
$1,010
CARMAX INC
7,600 sh
7,600 sh
NEW
$1,008
$1,008
HANMI FINL CORP COM NEW
50,689 sh
50,689 sh
NEW
$1,000
$1,000
DaVita HealthCare Partners, In
9,112 sh
9,112 sh
NEW
$982
$982
MILLER INDS INC TENN
21,168 sh
-1,832 sh
-8%
$978
$104
TRUEBLUE INC
43,593 sh
5,893 sh
16%
$960
$255
COMMUNITY TR BANCORP INC COM
21,696 sh
4,701 sh
28%
$955
$325
FIRST HAWAIIAN INC COM
34,700 sh
34,700 sh
NEW
$950
$950
Broadcom Inc. COM
2,000 sh
2,000 sh
NEW
$927
$927
ALPHA & OMEGA SEMICONDUCTOR SHS
27,962 sh
-41,038 sh
-59%
$914
-$717
VERTIV HOLDINGS LLC VERTIV HOLDINGS LLC
45,399 sh
45,399 sh
NEW
$908
$908
JUNIPER NETWORKS INC
35,369 sh
-16,900 sh
-32%
$896
-$281
WESTROCK CO COM
17,205 sh
-3,913 sh
-19%
$896
-$23
REPUBLIC SVCS INC
8,995 sh
8,995 sh
NEW
$894
$894
FINANCIAL INSTNS INC COM
29,426 sh
-3,196 sh
-10%
$891
$157
Marriott Vacations
5,061 sh
5,061 sh
NEW
$882
$882
LAKELAND FINL CORP COM
12,713 sh
-30,819 sh
-71%
$880
-$1,452
HANCOCK WHITNEY CORPORATION COM
20,875 sh
20,875 sh
NEW
$877
$877
MURPHY OIL CORP COM
53,400 sh
53,400 sh
NEW
$876
$876
WYNN RESORTS LTD
6,909 sh
6,909 sh
NEW
$866
$866
MERIDIAN BANCORP INC MD COM
46,728 sh
-4,872 sh
-9%
$861
$92
SIERRA BANCORP COM
31,790 sh
-1,110 sh
-3%
$852
$65
FORESTAR GROUP INC
36,570 sh
36,570 sh
NEW
$851
$851
MGIC INVT CORP WIS
61,229 sh
-530,338 sh
-90%
$848
-$6,576
GORMAN RUPP CO
24,825 sh
-22,900 sh
-48%
$822
-$727
INGLES MKTS INC
13,301 sh
-20,699 sh
-61%
$820
-$630
INTL PAPER CO
15,000 sh
4,900 sh
49%
$811
$309
BLOCK H & R INC
37,143 sh
-45,000 sh
-55%
$810
-$493
NIC INC COM
23,870 sh
23,870 sh
NEW
$810
$810
LOUISIANA PAC CORP
14,552 sh
14,552 sh
NEW
$807
$807
Sealed Air Corp
17,281 sh
1,200 sh
7%
$792
$56
EXTENDED STAY AMERICA COM
39,938 sh
39,938 sh
NEW
$789
$789
NASDAQ INC
5,342 sh
800 sh
18%
$788
$185
INSTEEL INDUSTRIES
25,447 sh
-2,553 sh
-9%
$785
$161
KEYCORP NEW COM
38,800 sh
22,400 sh
137%
$775
$506
NEWMARKET CORP
2,030 sh
 
$772
NORFOLK SOUTHERN CORP
2,873 sh
2,873 sh
NEW
$771
$771
UNIVEST FINANCIAL CORPORATIO COM
26,829 sh
26,829 sh
NEW
$767
$767
TRIPLE-S MGMT CORP
29,314 sh
3,914 sh
15%
$763
$221
NORTONLIFELOCK INC
35,758 sh
13,558 sh
61%
$760
$299
HERSHA HOSPITALITY TR
71,837 sh
32,237 sh
81%
$758
$446
ENNIS INC
35,400 sh
-19,400 sh
-35%
$756
-$222
KEZAR LIFE SCIENCES INC
122,919 sh
-18,281 sh
-13%
$733
-$4
SCHOLASTIC CORP
23,990 sh
-54,510 sh
-69%
$722
-$1,241
T ROWE PRICE ASSOCIATES
4,200 sh
4,200 sh
NEW
$721
$721
ZIMMER BIOMET HOLDINGS INC
4,436 sh
4,436 sh
NEW
$710
$710
GREAT SOUTHN BANCORP INC COM
12,512 sh
-1,188 sh
-9%
$709
$39
ALLIED MOTION TECHNOLOGIES I
13,666 sh
-1,734 sh
-11%
$701
-$86
UNION PACIFIC CORP
3,163 sh
3,163 sh
NEW
$697
$697
PC CONNECTION INC
15,000 sh
-17,100 sh
-53%
$696
-$822
HILTON GRAND VACATIONS INC COM
18,496 sh
-84,984 sh
-82%
$693
-$2,551
FIRST FNDTN INC COM
29,453 sh
-15,047 sh
-34%
$691
-$199
PARK OHIO HLDGS CORP
21,852 sh
-2,748 sh
-11%
$688
-$72
AMERICAN PUBLIC EDUCATION IN
19,300 sh
-4,200 sh
-18%
$688
-$28
CAMDEN NATL CORP COM
14,240 sh
-300 sh
-2%
$682
$162
SIGNATURE BANK COM
3,000 sh
1,100 sh
58%
$678
$421
CNA FINL CORP
15,021 sh
15,021 sh
NEW
$670
$670
NAVIENT CORPORATION
46,200 sh
46,200 sh
NEW
$661
$661
PLAINS GP HLDGS L P LTD PARTNR INT A
70,254 sh
70,254 sh
NEW
$660
$660
LINDE PLC
2,346 sh
2,346 sh
NEW
$657
$657
SIBANYE STILLWATER LTD ADR A D COMMON STOCK
36,600 sh
-30,000 sh
-45%
$654
-$404
NEWS CORP NEW COM
25,732 sh
25,732 sh
NEW
$654
$654
BANCOLOMBIA S A SPON ADR PREF
20,300 sh
2,700 sh
15%
$649
-$58
EMPLOYERS HOLDINGS INC
15,000 sh
-42,000 sh
-74%
$646
-$1,189
WASHINGTON TR BANCORP COM
12,399 sh
12,399 sh
NEW
$640
$640
AMALGAMATED FINANCIAL CORP COM
37,525 sh
37,525 sh
NEW
$623
$623
SURFACE ONCOLOGY INC COM
79,588 sh
-172,412 sh
-68%
$621
-$1,707
MARINEMAX INC
12,577 sh
-7,723 sh
-38%
$621
-$90
AMCOR PLC ORD
52,600 sh
-17,800 sh
-25%
$614
-$215
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR
72,100 sh
72,100 sh
NEW
$611
$611
QUANEX BUILDING PRODUCTS COR
23,200 sh
5,600 sh
32%
$609
$219
NIKE INC
4,536 sh
4,536 sh
NEW
$603
$603
ESSENTIAL UTILS INC COM COM
13,416 sh
13,416 sh
NEW
$600
$600
ADIENT PLC ORD SHS
13,526 sh
13,526 sh
NEW
$598
$598
SANTANDER CONSUMER USA HDG I COM
22,107 sh
22,107 sh
NEW
$598
$598
WESCO INTERNATIONAL INC
6,882 sh
-23,718 sh
-78%
$595
-$1,807
APTARGROUP INC
4,200 sh
2,100 sh
100%
$595
$308
INNOSPEC INC
5,769 sh
-51,100 sh
-90%
$592
-$4,568
POPULAR INC COM NEW
8,400 sh
3,000 sh
56%
$591
$287
EASTERN BANKSHARES INC COM
30,494 sh
30,494 sh
NEW
$588
$588
FIRST CMNTY BANKSHARES INC V COM
19,577 sh
-1,671 sh
-8%
$587
$128
CONOCOPHILLIPS
10,868 sh
10,868 sh
NEW
$576
$576
AMERICAN VANGUARD CORP
28,108 sh
-9,392 sh
-25%
$574
-$8
FB FINL CORP COM
12,800 sh
4,500 sh
54%
$569
$281
SUNCOR ENERGY INC NEW COM
27,200 sh
27,200 sh
NEW
$569
$569
NXP SEMICONDUCTORS N V COM
2,823 sh
2,823 sh
NEW
$568
$568
EURONET WORLDWIDE INC COM
4,089 sh
4,089 sh
NEW
$566
$566
URBAN OUTFITTERS INC
14,800 sh
14,800 sh
NEW
$550
$550
WYNDHAM HOTELS & RESORTS INC
7,889 sh
7,889 sh
NEW
$550
$550
SENECA FOODS CORP NEW
11,544 sh
-5,572 sh
-33%
$544
-$139
SHAW COMMUNICATIONS INC CL B CONV
20,712 sh
20,712 sh
NEW
$543
$543
CITRIX SYS INC
3,853 sh
-4,900 sh
-56%
$541
-$598
NRG ENERGY INC COM NEW
14,154 sh
14,154 sh
NEW
$534
$534
DIAMOND HILL INVESTMENT GROUP
3,408 sh
-292 sh
-8%
$532
-$20
CENTENNIAL RESOURCE DEV INC
126,600 sh
126,600 sh
NEW
$532
$532
ZYNGA INC CLASS A
50,716 sh
-120,886 sh
-70%
$518
-$1,176
SANDY SPRING BANCORP INC COM
11,900 sh
 
$517
DSP GROUP INC
36,200 sh
-107,000 sh
-75%
$516
-$1,860
KINGSOFT CLOUD HLDGS LTD ADS
13,100 sh
13,100 sh
NEW
$515
$515
COMMERCE BANCSHARES INC COM
6,614 sh
6,614 sh
NEW
$507
$507
CHUBB LIMITED COM
3,200 sh
3,200 sh
NEW
$506
$506
TORO CO
4,900 sh
 
$505
JACOBS ENGR GROUP INC
3,900 sh
3,900 sh
NEW
$504
$504
SIGNET JEWELERS LTD SHS
8,600 sh
8,600 sh
NEW
$499
$499
Olympic Steel Inc
16,800 sh
-300 sh
-2%
$495
$267
MARVELL TECHNOLOGY GROUP LTD
10,067 sh
10,067 sh
NEW
$493
$493
DISNEY WALT CO COM DISNEY
2,662 sh
2,662 sh
NEW
$491
$491
DHI GROUP INC
143,483 sh
-14,617 sh
-9%
$481
$130
HERITAGE FINL CORP WASH COM
17,000 sh
-17,800 sh
-51%
$480
-$334
CATO CORP NEW
39,820 sh
-4,580 sh
-10%
$478
$52
CACI INTL INC
1,925 sh
-75 sh
-4%
$475
-$24
WESTWOOD HLDGS GROUP INC
32,814 sh
-3,586 sh
-10%
$474
-$54
MAGNACHIP SEMICONDUCTOR CORP COM
18,990 sh
18,990 sh
NEW
$473
$473
GENERAL MLS INC
7,642 sh
-33,726 sh
-82%
$469
-$1,963
HANOVER INS GROUP INC
3,614 sh
-1,053 sh
-23%
$468
-$78
SPDR SERIES TRUST S&P BK ETF
9,011 sh
9,011 sh
NEW
$467
$467
DANA INCORPORATED
19,114 sh
-63,786 sh
-77%
$465
-$1,153
CATERPILLAR INC DEL
2,005 sh
2,005 sh
NEW
$465
$465
FRANKLIN RES INC
15,685 sh
15,685 sh
NEW
$464
$464
OSHKOSH CORP
3,867 sh
-8,711 sh
-69%
$459
-$624
FIRST HORIZON NATL CORP COM
26,883 sh
 
$455
ARLO TECHNOLOGIES INC
72,300 sh
-380,500 sh
-84%
$454
-$3,073
BANCO MACRO SA SPON ADR B
33,900 sh
-7,900 sh
-19%
$453
-$198
COCA COLA FEMSA S A B DE C V SPONSORD ADR REP
9,700 sh
9,700 sh
NEW
$448
$448
CENTRAIS ELETRICAS BRASILEIR SPONSORED ADR
72,800 sh
72,800 sh
NEW
$444
$444
Public Storage
1,800 sh
1,800 sh
NEW
$444
$444
MERCHANTS BANCORP IND COM
10,548 sh
-1,052 sh
-9%
$442
$121
CONCENTRIX CORP COM
2,954 sh
2,954 sh
NEW
$442
$442
CARLISLE COS INC
2,677 sh
 
$441
MERCANTILE BANK CORP COM
13,336 sh
13,336 sh
NEW
$433
$433
GREEN BRICK PARTNERS INC
18,900 sh
18,900 sh
NEW
$429
$429
HELEN OF TROY CORP LTD
2,002 sh
-598 sh
-23%
$422
-$156
VEDANTA LTD SPONSORED ADR
33,300 sh
33,300 sh
NEW
$419
$419
PARK NATL CORP COM
3,200 sh
-1,800 sh
-36%
$414
-$111
PENNYMAC FINL SVCS INC
6,141 sh
-112,637 sh
-95%
$411
-$7,383
CoStar Group, Inc.
500 sh
500 sh
NEW
$411
$411
LITHIA MTRS INC
1,048 sh
 
$409
ARCONIC CORPORATION
16,053 sh
16,053 sh
NEW
$408
$408
HOOKER FURNITURE CORP
11,146 sh
-5,554 sh
-33%
$406
-$133
FOOT LOCKER INC
7,121 sh
-4,306 sh
-38%
$401
-$61
AVIAT NETWORKS INC
5,600 sh
5,600 sh
NEW
$398
$398
AMERIPRISE FINL
1,688 sh
-8,600 sh
-84%
$392
-$1,607
CLARUS CORP NEW
22,945 sh
 
$391
CRANE CO
4,144 sh
-7,636 sh
-65%
$389
-$526
FONAR CORP
21,419 sh
-2,981 sh
-12%
$387
-$37
SIMMONS 1ST NATL CORP CL A $1 PAR
13,000 sh
 
$386
BAR HBR BANKSHARES COM
12,904 sh
-896 sh
-6%
$380
$68
BOISE CASCADE CO DEL
6,347 sh
6,347 sh
NEW
$380
$380
FIVE POINT HOLDINGS LLC COM CL A
50,281 sh
50,281 sh
NEW
$380
$380
Kronos Worldwide, Inc.
24,500 sh
-17,300 sh
-41%
$375
-$248
CHATHAM LODGING TR
28,475 sh
28,475 sh
NEW
$375
$375
PROGRESS SOFTWARE CORP
8,491 sh
-2,557 sh
-23%
$374
-$125
GIBRALTAR INDS INC
4,061 sh
-7,539 sh
-65%
$372
-$463
MICROCHIP TECHNOLOGY INC
2,395 sh
2,395 sh
NEW
$372
$372
SandRidge Energy
94,900 sh
-28,000 sh
-23%
$371
-$10
Allison Transmission Holdings
9,059 sh
-6,660 sh
-42%
$370
-$308
NORWEGIAN CRUISE LINE HLDG L SHS
13,284 sh
13,284 sh
NEW
$367
$367
CIMPRESS PLC SHS EURO
3,636 sh
-254 sh
-7%
$364
$23
TRANSDIGM GROUP INC
613 sh
613 sh
NEW
$360
$360
API GROUP CORP
17,342 sh
17,342 sh
NEW
$359
$359
THOMSON REUTERS CORP COM NEW
4,100 sh
4,100 sh
NEW
$359
$359
RPT REALTY
31,300 sh
31,300 sh
NEW
$357
$357
WEIS MKTS INC
6,300 sh
-23,700 sh
-79%
$356
-$1,078
SPDR SERIES TRUST S&P RETAIL ETF
3,988 sh
3,988 sh
NEW
$356
$356
OREILLY AUTOMOTIVE INC
700 sh
700 sh
NEW
$355
$355
BEAZER HOMES USA INC
16,700 sh
16,700 sh
NEW
$349
$349
CNB FINL CORP PA COM
13,867 sh
13,867 sh
NEW
$341
$341
BANK N S HALIFAX COM
5,400 sh
5,400 sh
NEW
$338
$338
TENNANT CO
4,200 sh
-16,500 sh
-80%
$336
-$1,117
NEWELL BRANDS INC
12,500 sh
12,500 sh
NEW
$335
$335
VONTIER CORPORATION COM
10,974 sh
10,974 sh
NEW
$332
$332
OLD REP INTL CORP
15,147 sh
-1,300 sh
-8%
$331
$7
GENIE ENERGY LTD CL B
51,889 sh
-9,500 sh
-15%
$329
-$114
DIME CMNTY BANCSHARES Common Stock
10,864 sh
10,864 sh
NEW
$327
$327
PACTIV EVERGREEN INC COM Stock
23,756 sh
23,756 sh
NEW
$326
$326
QCR HOLDINGS INC COM
6,900 sh
6,900 sh
NEW
$326
$326
LIFEVANTAGE CORP
34,243 sh
-3,157 sh
-8%
$320
-$29
TERRITORIAL BANCORP INC COM
12,016 sh
-584 sh
-5%
$318
$15
AdvanSix Inc
11,648 sh
11,648 sh
NEW
$312
$312
REPUBLIC BANCORP KY CL A
7,047 sh
7,047 sh
NEW
$312
$312
NU SKIN ENTERPRISES INC
5,884 sh
-752 sh
-11%
$311
-$52
WERNER ENTERPRISES INC
6,592 sh
-1,485 sh
-18%
$311
-$6
CORELOGIC INC COM
3,868 sh
-35,577 sh
-90%
$307
-$2,743
ACUSHNET HOLDINGS CORP
7,440 sh
-46,400 sh
-86%
$307
-$1,876
CIRRUS LOGIC INC
3,606 sh
-4,208 sh
-54%
$306
-$336
CABOT CORP
5,800 sh
-29,400 sh
-84%
$304
-$1,276
HUNTSMAN CORP
10,542 sh
10,542 sh
NEW
$304
$304
COMERICA INC COM
4,100 sh
-900 sh
-18%
$294
$15
ASHLAND GLOBAL HLDGS INC COM
3,274 sh
-426 sh
-12%
$291
-$2
GLU MOBILE INC COM
23,001 sh
23,001 sh
NEW
$287
$287
REX AMERICAN RESOURCES CORP
3,382 sh
-818 sh
-19%
$285
-$24
ORIGIN BANCORP INC COM
6,696 sh
6,696 sh
NEW
$284
$284
HDFC BANK LTD SPONSORED ADS
3,604 sh
 
$280
CVB FINL CORP COM
12,500 sh
12,500 sh
NEW
$276
$276
QUANTA SERVICES INC
3,100 sh
3,100 sh
NEW
$273
$273
RBB BANCORP COM
13,395 sh
13,395 sh
NEW
$272
$272
AMERICAN NATL GROUP INC COM
2,500 sh
2,500 sh
NEW
$270
$270
DARDEN RESTAURANTS INC
1,844 sh
1,844 sh
NEW
$262
$262
LENSAR INC COM
35,703 sh
-2,531 sh
-7%
$259
-$18
Valero Energy Corp.
3,602 sh
3,602 sh
NEW
$258
$258
CENTURY BANCORP INC MASS CL A NON VTG
2,735 sh
-565 sh
-17%
$255
NCR CORP
6,730 sh
6,730 sh
NEW
$255
$255
FOSSIL GROUP INC
20,500 sh
20,500 sh
NEW
$254
$254
BancorpSouth Bank Tupelo Miss COM
7,800 sh
7,800 sh
NEW
$253
$253
Devon Energy Corporation
11,389 sh
11,389 sh
NEW
$249
$249
TRIPADVISOR INC
4,569 sh
4,569 sh
NEW
$246
$246
COMMERCIAL METALS CO
7,894 sh
-26,106 sh
-77%
$243
-$455
CEDAR REALTY TRUST REIT INC
16,335 sh
16,335 sh
NEW
$243
$243
LOCKHEED MARTIN CORP
651 sh
-4,981 sh
-88%
$241
-$1,758
WEYCO GROUP INC
11,094 sh
-506 sh
-4%
$240
$56
NELNET INC
3,300 sh
3,300 sh
NEW
$240
$240
OLD DOMINION FREIGHT LINE IN
1,000 sh
1,000 sh
NEW
$240
$240
NEWS CORP NEW CL B
10,153 sh
10,153 sh
NEW
$238
$238
BASSETT FURNITURE INDS INC
9,500 sh
9,500 sh
NEW
$231
$231
DISCOVERY COMMUNICATIONS INC
5,201 sh
-3,310,667 sh
-100%
$226
-$86,617
AIR PRODS & CHEMS INC
800 sh
800 sh
NEW
$225
$225
MIX TELEMATICS LTD SPONSORED ADR
16,079 sh
 
$222
T MOBILE US INC
1,766 sh
1,766 sh
NEW
$221
$221
VICI PPTYS INC
7,826 sh
7,826 sh
NEW
$221
$221
KULICKE & SOFFA INDS INC
4,400 sh
4,400 sh
NEW
$216
$216
LEGGETT & PLATT INC
4,634 sh
-2,066 sh
-31%
$212
-$85
MIDLAND STS BANCORP INC ILL COM
7,500 sh
7,500 sh
NEW
$208
$208
AUTOLIV INC
2,228 sh
-5,900 sh
-73%
$207
-$542
MODINE MFG CO
13,900 sh
-42,900 sh
-76%
$205
-$508
MERCER INTL INC
13,980 sh
13,980 sh
NEW
$201
$201
SOCIEDAD QUIMI Y MNR CHL RTS WI COM
64,838 sh
64,838 sh
NEW
$201
$201
HARBORONE BANCORP INC NEW COM NEW
14,800 sh
14,800 sh
NEW
$199
$199
ADAMAS PHARMACEUTICALS INC
39,400 sh
39,400 sh
NEW
$189
$189
Geospace Technologies
20,531 sh
-4,969 sh
-19%
$187
-$31
Evolution Petroleum Corp.
52,060 sh
-11,440 sh
-18%
$176
-$5
PRIMO WATER CORP COMMON STOCK
10,480 sh
10,480 sh
NEW
$170
$170
CONDUENT INC
21,900 sh
21,900 sh
NEW
$146
$146
PETROLEO BRASILEIRO SA PETRO SP ADR NON VTG
16,900 sh
16,900 sh
NEW
$144
$144
BORQS TECHNOLOGIES INC SHS
61,731 sh
61,731 sh
NEW
$92
$92
Concho Resources Inc COM
0 sh
-1,041,830 sh
-100%
$0
-$60,791
Redfin Corp
0 sh
-835,407 sh
-100%
$0
-$57,334
Cardlytics Inc.
0 sh
-339,530 sh
-100%
$0
-$48,475
CARVANA CO
0 sh
-178,564 sh
-100%
$0
-$42,773
Wayfair
0 sh
-155,229 sh
-100%
$0
-$35,052
FIRSTENERGY CORP COM

Put options for 0 sh
-1,092,700 sh
-100%
$0
-$33,448
LIBERTY MEDIA CORP DELAWARE
0 sh
-751,636 sh
-100%
$0
-$32,704
ISHARES TR IBOXX HI YD ETF
0 sh
-358,914 sh
-100%
$0
-$31,333
NATIONAL GEN HLDGS CORP COM
0 sh
-847,750 sh
-100%
$0
-$28,976
ISHARES TR CHINA LG-CAP ETF
0 sh
-591,100 sh
-100%
$0
-$27,445
HEICO CORP NEW
0 sh
-162,409 sh
-100%
$0
-$21,503
EXPEDIA GROUP INC.
0 sh
-151,200 sh
-100%
$0
-$20,019
ISHARES INC MSCI MEXICO ETF
0 sh
-456,800 sh
-100%
$0
-$19,638
TELUS CORP COM
0 sh
-950,100 sh
-100%
$0
-$18,801
CENTURYLINK INC
0 sh
-1,796,500 sh
-100%
$0
-$17,516
INTERACTIVE BROKERS GROUP IN
0 sh
-247,620 sh
-100%
$0
-$15,085
ISHARES INC MSCI BRAZIL ETF
0 sh
-391,300 sh
-100%
$0
-$14,505
AT HOME GROUP INC
0 sh
-919,939 sh
-100%
$0
-$14,222
MORGAN STANLEY
0 sh
-206,100 sh
-100%
$0
-$14,124
VIRTUSA CORP COM
0 sh
-269,401 sh
-100%
$0
-$13,774
GOLD FIELDS LTD NEW SPONSORED ADR
0 sh
-828,100 sh
-100%
$0
-$7,676
QUALCOMM INC
0 sh
-50,200 sh
-100%
$0
-$7,647
NAUTILUS INC
0 sh
-382,700 sh
-100%
$0
-$6,942
GENWORTH FINL INC
0 sh
-1,659,000 sh
-100%
$0
-$6,271
CORECIVIC INC
0 sh
-931,200 sh
-100%
$0
-$6,099
IHEARTMEDIA INC COM CL A
0 sh
-457,410 sh
-100%
$0
-$5,937
ATLAS AIR WORLDWIDE HLDGS IN
0 sh
-81,400 sh
-100%
$0
-$4,440
JELD-WEN HLDG INC
0 sh
-168,390 sh
-100%
$0
-$4,270
TWITTER INC NOTE 0.250\% 6/1
$0 in bonds
-$3,250,000
-100%
$0
-$3,928
CI FINANCIAL CORP. COM
0 sh
-316,800 sh
-100%
$0
-$3,924
PROVIDENCE SVC CORP
0 sh
-25,500 sh
-100%
$0
-$3,535
BEST INC SPONSORED ADS
0 sh
-1,689,200 sh
-100%
$0
-$3,446
NORTHROP GRUMMAN CORP
0 sh
-11,200 sh
-100%
$0
-$3,413
AbbVie, Inc.
0 sh
-31,210 sh
-100%
$0
-$3,344
NVENT ELECTRIC PLC SHS
0 sh
-138,900 sh
-100%
$0
-$3,235
WORTHINGTON INDS INC
0 sh
-62,292 sh
-100%
$0
-$3,198
APTIV PLC
0 sh
-23,867 sh
-100%
$0
-$3,110
LEVI STRAUSS & CO NEW
0 sh
-150,200 sh
-100%
$0
-$3,016
PATTERSON COMPANIES INC
0 sh
-99,600 sh
-100%
$0
-$2,951
Integer Holdings Corp
0 sh
-35,900 sh
-100%
$0
-$2,915
WIX COM LTD SHS
0 sh
-11,626 sh
-100%
$0
-$2,906
SL GREEN RLTY CORP
0 sh
-46,136 sh
-100%
$0
-$2,749
BRINKER INTL INC
0 sh
-47,400 sh
-100%
$0
-$2,681
ISHARES TR MSCI CHINA A
0 sh
-59,797 sh
-100%
$0
-$2,546
CALIX INC
0 sh
-84,200 sh
-100%
$0
-$2,506
Arcbest Corp
0 sh
-57,800 sh
-100%
$0
-$2,466
AZZ INC
0 sh
-47,800 sh
-100%
$0
-$2,268
W & T OFFSHORE INC
0 sh
-986,190 sh
-100%
$0
-$2,140
DIME CMNTY BANCSHARES COM
0 sh
-130,500 sh
-100%
$0
-$2,058
TENET HEALTHCARE CORP COM
0 sh
-49,138 sh
-100%
$0
-$1,962
QEP Resources COM
0 sh
-814,900 sh
-100%
$0
-$1,948
COMPUTER PROGRAMS & SYS INC
0 sh
-71,100 sh
-100%
$0
-$1,908
OPPENHEIMER HLDGS INC
0 sh
-60,078 sh
-100%
$0
-$1,888
COMFORT SYS USA INC
0 sh
-35,600 sh
-100%
$0
-$1,875
CACTUS INC
0 sh
-71,509 sh
-100%
$0
-$1,864
USANA HEALTH SCIENCES INC
0 sh
-20,900 sh
-100%
$0
-$1,611
REXNORD CORP NEW
0 sh
-39,500 sh
-100%
$0
-$1,560
ENEL AMERICAS S A SPONSORED ADR
0 sh
-189,690 sh
-100%
$0
-$1,559
PENN VA CORP NEW
0 sh
-149,400 sh
-100%
$0
-$1,516
Luminex Corp.
0 sh
-60,470 sh
-100%
$0
-$1,398
GENUINE PARTS CO
0 sh
-13,667 sh
-100%
$0
-$1,373
LIBERTY MEDIA CORP DELAWARE
0 sh
-32,010 sh
-100%
$0
-$1,364
ANGIODYNAMICS INC
0 sh
-87,100 sh
-100%
$0
-$1,335
GENERAL DYNAMICS CORP
0 sh
-8,900 sh
-100%
$0
-$1,324
CSG SYS INTL INC
0 sh
-29,178 sh
-100%
$0
-$1,315
ARCOSA INC
0 sh
-23,800 sh
-100%
$0
-$1,307
POLARIS INC
0 sh
-13,624 sh
-100%
$0
-$1,298
BLOOMIN BRANDS INC
0 sh
-64,400 sh
-100%
$0
-$1,251
ISHARES INC MSCI STH KOR ETF
0 sh
-14,500 sh
-100%
$0
-$1,248
HYATT HOTELS CORP
0 sh
-16,710 sh
-100%
$0
-$1,241
NATIONAL PRESTO INDS INC
0 sh
-14,000 sh
-100%
$0
-$1,238
NEXTGEN HEALTHCARE INC COM
0 sh
-66,100 sh
-100%
$0
-$1,206
HIBBETT SPORTS INC
0 sh
-25,800 sh
-100%
$0
-$1,191
TELEDYNE TECHNOLOGIES INC
0 sh
-2,921 sh
-100%
$0
-$1,145
FLEX LTD ORD
0 sh
-61,816 sh
-100%
$0
-$1,111
EMERSON ELEC CO
0 sh
-13,474 sh
-100%
$0
-$1,083
GENTEX CORP
0 sh
-30,248 sh
-100%
$0
-$1,026
HUB GROUP INC
0 sh
-18,000 sh
-100%
$0
-$1,026
F5 NETWORKS INC
0 sh
-5,754 sh
-100%
$0
-$1,012
CHINA MOBILE LIMITED SPONSORED ADR
0 sh
-33,800 sh
-100%
$0
-$965
SURMODICS INC
0 sh
-21,800 sh
-100%
$0
-$949
MEDNAX INC
0 sh
-37,500 sh
-100%
$0
-$920
INTER PARFUMS INC
0 sh
-15,100 sh
-100%
$0
-$913
BRISTOL MYERS SQUIBB CO RIGHT 99/99/9999
0 sh
-1,289,231 sh
-100%
$0
-$890
CARRIAGE SVCS INC
0 sh
-28,000 sh
-100%
$0
-$877
EATON VANCE CORP COM NON VTG
0 sh
-11,766 sh
-100%
$0
-$799
ENPRO INDS INC
0 sh
-10,200 sh
-100%
$0
-$770
KE HLDGS INC COM
0 sh
-12,500 sh
-100%
$0
-$769
Cytomx Therapeutics Inc
0 sh
-115,084 sh
-100%
$0
-$754
JABIL INC
0 sh
-16,845 sh
-100%
$0
-$716
CERENCE INC
0 sh
-7,100 sh
-100%
$0
-$713
SKECHERS U S A INC
0 sh
-19,715 sh
-100%
$0
-$709
AMNEAL PHARMACEUTICALS INC
0 sh
-154,700 sh
-100%
$0
-$707
VISTA OUTDOOR INC
0 sh
-29,100 sh
-100%
$0
-$691
SANOFI SPONSORED ADR
0 sh
-14,100 sh
-100%
$0
-$685
STANDARD MTR PRODS INC
0 sh
-16,100 sh
-100%
$0
-$651
ENCORE WIRE CORP
0 sh
-10,200 sh
-100%
$0
-$618
COVETRUS INC
0 sh
-21,100 sh
-100%
$0
-$606
AFFILIATED MANAGERS GROUP IN
0 sh
-5,904 sh
-100%
$0
-$600
PHOTRONICS INC
0 sh
-53,100 sh
-100%
$0
-$593
GRUPO AEROPORTUARIO CTR NORT SPON ADR
0 sh
-11,436 sh
-100%
$0
-$591
RALPH LAUREN CORP
0 sh
-5,700 sh
-100%
$0
-$591
AMALGAMATED BK NEW YORK N Y CLASS A
0 sh
-42,300 sh
-100%
$0
-$581
HANESBRANDS INC
0 sh
-38,551 sh
-100%
$0
-$562
BRUNSWICK CORP
0 sh
-7,345 sh
-100%
$0
-$560
SUPERNUS PHARMACEUTICALS INC
0 sh
-21,900 sh
-100%
$0
-$551
DUPONT DE NEMOURS INC
0 sh
-7,700 sh
-100%
$0
-$548
CONSOLIDATED COMM HLDGS INC
0 sh
-110,700 sh
-100%
$0
-$541
J2 Global Inc.
0 sh
-5,516 sh
-100%
$0
-$539
COMPANHIA PARANAENSE ENERG C SPON ADR PFD
0 sh
-36,500 sh
-100%
$0
-$522
BMC Stock Holdings, Inc. COM
0 sh
-9,713 sh
-100%
$0
-$521
ACUITY BRANDS INC
0 sh
-4,200 sh
-100%
$0
-$509
Kraton Corp.
0 sh
-18,000 sh
-100%
$0
-$500
FERRO CORP
0 sh
-33,400 sh
-100%
$0
-$489
II VI INC
0 sh
-6,400 sh
-100%
$0
-$486
SYNNEX CORPORATION
0 sh
-5,938 sh
-100%
$0
-$484
ARTISAN PARTNERS ASSET MGMT
0 sh
-9,469 sh
-100%
$0
-$477
Skyworks Solutions, Inc.
0 sh
-3,100 sh
-100%
$0
-$474
CUSHMAN WAKEFIELD PLC SHS
0 sh
-31,800 sh
-100%
$0
-$472
HAWKINS INC
0 sh
-9,000 sh
-100%
$0
-$471
Visteon Corp
0 sh
-3,700 sh
-100%
$0
-$464
TEEKAY TANKERS LTD CL A
0 sh
-41,800 sh
-100%
$0
-$460
VILLAGE SUPER MKT INC
0 sh
-20,600 sh
-100%
$0
-$454
WW INTL INC
0 sh
-18,500 sh
-100%
$0
-$451
NATIONAL INSTRS CORP
0 sh
-9,749 sh
-100%
$0
-$428
EPLUS INC
0 sh
-4,800 sh
-100%
$0
-$422
CHURCH & DWIGHT INC
0 sh
-4,771 sh
-100%
$0
-$416
Phibro Animal Health Corporation
0 sh
-20,600 sh
-100%
$0
-$400
FIRST FINL CORP IND COM
0 sh
-10,100 sh
-100%
$0
-$392
CONAGRA BRANDS INC
0 sh
-10,720 sh
-100%
$0
-$389
UNITED NAT FOODS INC
0 sh
-23,800 sh
-100%
$0
-$380
GRAPHIC PACKAGING HLDG CO
0 sh
-22,039 sh
-100%
$0
-$373
WEST PHARMACEUTICAL SVSC INC
0 sh
-1,297 sh
-100%
$0
-$367
PGT INNOVATIONS INC
0 sh
-17,100 sh
-100%
$0
-$348
BRIDGE BANCORP INC COM
0 sh
-14,100 sh
-100%
$0
-$341
O-I GLASS INC
0 sh
-28,500 sh
-100%
$0
-$339
MADDEN STEVEN LTD
0 sh
-9,500 sh
-100%
$0
-$336
SENSIENT TECHNOLOGIES CORP
0 sh
-4,500 sh
-100%
$0
-$332
COOPER STD HLDGS INC
0 sh
-9,500 sh
-100%
$0
-$329
SPROUTS FMRS MKT INC COM
0 sh
-15,269 sh
-100%
$0
-$307
KONTOOR BRANDS INC
0 sh
-7,300 sh
-100%
$0
-$296
Maxar Technologies Holdings Inc.
0 sh
-7,300 sh
-100%
$0
-$282
GRUPO AEROPORTUARIO DEL SURE SPON ADR SER B
0 sh
-1,700 sh
-100%
$0
-$280
SYNAPTICS INC
0 sh
-2,800 sh
-100%
$0
-$270
PROG Holdings, Inc. Common Stock
0 sh
-4,700 sh
-100%
$0
-$253
AMETEK INC NEW
0 sh
-2,044 sh
-100%
$0
-$247
NATUS MEDICAL INC
0 sh
-11,900 sh
-100%
$0
-$238
PREFORMED LINE PRODS CO
0 sh
-3,400 sh
-100%
$0
-$233
MINERALS TECHNOLOGIES INC
0 sh
-3,700 sh
-100%
$0
-$230
ENDURANCE INTERNATIONAL GROUP COM
0 sh
-21,700 sh
-100%
$0
-$205
VISHAY PRECISION
0 sh
-6,526 sh
-100%
$0
-$205
UNISYS CORP
0 sh
-10,000 sh
-100%
$0
-$197
VANDA PHARMACEUTICALS INC
0 sh
-14,600 sh
-100%
$0
-$192
SEASPINE HLDGS CORP
0 sh
-10,500 sh
-100%
$0
-$183
COMMUNITY HEALTH SYS INC NEW
0 sh
-23,000 sh
-100%
$0
-$171
BROOKDALE SR LIVING INC
0 sh
-37,500 sh
-100%
$0
-$166
GOPRO INC CL A
0 sh
-19,800 sh
-100%
$0
-$164
FLUOR CORP NEW
0 sh
-10,000 sh
-100%
$0
-$160
RTI BIOLOGICS INC COM
0 sh
-71,500 sh
-100%
$0
-$157
PROTECTIVE INS CORP CL B
0 sh
-11,300 sh
-100%
$0
-$155
MARCHEX INC
0 sh
-69,800 sh
-100%
$0
-$137
APTINYX INC
0 sh
-28,100 sh
-100%
$0
-$97
YPF SOCIEDAD ANONIMA SPON ADR CL D
0 sh
-15,200 sh
-100%
$0
-$71
TRUECAR INC
0 sh
-16,700 sh
-100%
$0
-$70