UBS GROUP AG

Taken From the combined 2019-03-31 13F-HR Filing of UBS ASSET MANAGEMENT AMERICAS INC

Stock Symbol Security Type Shares Market Value
Amazon.com Inc. AMZN SH 308871 550.022 Million
Microsoft Corp. MSFT SH 4613422 544.107 Million
Apple Inc AAPL SH 1980297 376.157 Million
Johnson & Johnson Co. JNJ SH 1986995 277.762 Million
VISA Inc V SH 1674086 261.475 Million
Alphabet Inc. Class A GOOGL SH 221854 261.098 Million
Vanguard Total Stock Market ETF VTI SH 1797876 260.171 Million
Facebook Inc FB SH 1558280 259.75 Million
iShares Core MSCI Emerging Markets ETF IEMG SH 4242827 219.397 Million
Walt Disney Co. (The) DIS SH 1704946 189.3 Million
JPMorgan Chase & Co. (Chemical Bank) JPM SH 1799804 182.194 Million
iShares Core MSCI EAFE ETF IEFA SH 2890696 175.668 Million
Alibaba Group Holding Ltd ADR BABA SH 949406 173.219 Million
Abbott Laboratories ABT SH 2132910 170.505 Million
Danaher Corp. DHR SH 1254005 165.554 Million
UnitedHealth Group Inc. UNH SH 606473 149.957 Million
Union Pacific Corp. UNP SH 852816 142.591 Million
Salesforce.com Inc. CRM SH 844399 133.727 Million
INCYTE Corporation INCY SH 1525551 131.213 Million
American Express Co AXP SH 1172215 128.123 Million
Universal Display Corp OLED SH 819155 125.208 Million
Wells Fargo & Co. (Northwest Bancorporation) WFC SH 2547881 123.114 Million
NIKE Inc. NKE SH 1335285 112.444 Million
AGCO Corp AGCO SH 1589505 110.55 Million
LKQ Corp LKQ SH 3786091 107.449 Million
Marsh & McLennan Companies, Inc. MMC SH 1133176 106.405 Million
Berkshire Hathaway Inc Class B BRK.B SH 522977 105.061 Million
Synchrony Financial SYF SH 3281776 104.689 Million
Alphabet Inc. Class C GOOG SH 88899 104.306 Million
TJX Companies Inc. TJX SH 1947447 103.624 Million
Bank of America Corp. (North Carolina National Bank) BAC SH 3738688 103.15 Million
Laboratory Corp of America Holdings LH SH 653775 100.015 Million
ExxonMobil Corp. (Standard Oil of New Jersey) XOM SH 1225779 99.043 Million
Ecolab Inc. ECL SH 560724 98.99 Million
Caterpillar Inc. CAT SH 723685 98.052 Million
Netflix Inc NFLX SH 271834 96.925 Million
Adobe Systems, Inc. ADBE SH 363615 96.9 Million
Allergan Plc AGN SH 653593 95.693 Million
Marvell Technology Group Ltd MRVL SH 4733405 94.147 Million
Mastercard Inc MA SH 397435 93.576 Million
Simon Property Group, Inc. SPG SH 507871 92.539 Million
Vanguard FTSEEuropean ETF VGK SH 1638199 87.824 Million
Lilly (Eli) & Co. LLY SH 670111 86.954 Million
Medtronic Plc MDT SH 951998 86.708 Million
Intel Corp. INTC SH 1609932 86.453 Million
Stericycle Inc. SRCL SH 1579022 85.93 Million
Mondelez International Inc. (Kraft Foods) MDLZ SH 1714391 85.582 Million
McDonalds Corp. MCD SH 445908 84.678 Million
SPDR S&P Financial ETF XLF SH 3208417 82.488 Million
Micron Technology, Inc. MU SH 1960594 81.031 Million
ServiceNow Inc NOW SH 327175 80.645 Million
Procter & Gamble Co. (OH) (1905) PG SH 770403 80.16 Million
Boeing Company BA SH 209266 79.818 Million
SPDR S&P Technology ETF XLK SH 1077217 79.714 Million
Take-Two Interactive Software, Inc. TTWO SH 802291 75.712 Million
Delta Air Lines Inc. DAL SH 1453928 75.095 Million
Philip Morris International Inc PM SH 838762 74.138 Million
Crown Castle International Corp CCI SH 568130 72.721 Million
American Water Works Co Inc AWK SH 696305 72.597 Million
Cisco Systems, Inc. CSCO SH 1338996 72.292 Million
Masco Corp. MAS SH 1838870 72.286 Million
Anthem Inc ANTM SH 248887 71.426 Million
Sherwin-Williams Co. SHW SH 165511 71.287 Million
NVIDIA Corp. NVDA SH 396930 71.273 Million
SPDR Energy Select Sector Fund XLE SH 1070159 70.759 Million
Pfizer, Inc. PFE SH 1662119 70.59 Million
iShares JP Morgan USD Emerging Markets B EMB PRN 631673 69.522 Million
Expedia Group Inc EXPE SH 578527 68.845 Million
Merck & Co MRK SH 809062 67.29 Million
Alexion Pharmaceuticals Inc. ALXN SH 490574 66.316 Million
iShares Inc. MSCI Japan Index EWJ SH 1209954 66.209 Million
Verizon Communications VZ SH 1118246 66.122 Million
Dollar General Corp. DG SH 553113 65.986 Million
iShares Trust Core S&P Small Cap Index Fund IJR SH 852161 65.744 Million
Chevron Corp. (Standard Oil of California) CVX SH 532104 65.545 Million
Ross Stores Inc. (DE) ROST SH 701984 65.355 Million
Rockwell Automation, Inc. ROK SH 371220 65.134 Million
Estee Lauder Companies Inc. EL SH 393121 65.081 Million
Autodesk, Inc. ADSK SH 415782 64.787 Million
Ameriprise Financial, Inc. AMP SH 504892 64.677 Million
Johnson Controls International plc (Tyco Laboratories) JCI SH 1733849 64.048 Million
Comcast Corp. Class A CMCSA SH 1596663 63.835 Million
Hess Corp HES SH 1049164 63.191 Million
Pepsico Inc. (Loft, Inc.) PEP SH 511935 62.738 Million
SPDR S&P Industrial ETF XLI SH 835243 62.668 Million
TAL Education Group American Depositary ADR TAL SH 1724442 62.218 Million
Gardner Denver Holdings Inc GDI SH 2216622 61.644 Million
NXP Semiconductors N.V. NXPI SH 671321 59.338 Million
AT&T Inc. (Southwestern Bell - SBC Corp.) T SH 1831000 57.42 Million
Trimble Navigation Ltd. TRMB SH 1378969 55.71 Million
Hyatt Hotels Corp H SH 753892 54.71 Million
MetLife Inc. MET SH 1267832 53.972 Million
Home Depot, Inc. (The) HD SH 280312 53.789 Million
Bio-Rad Laboratories Inc Class A BIO SH 175392 53.614 Million
Concho Resources Inc CXO SH 478906 53.139 Million
Cooper Companies (The) COO SH 175189 51.886 Million
Western Digital Corp WDC SH 1061661 51.023 Million
Lululemon Athletica inc. LULU SH 305881 50.125 Million
SPDR S&P Health Care ETF XLV SH 538304 49.389 Million
Vanguard Russell 1000 ETF VONE SH 379871 49.338 Million
Worldpay Inc Class A WP SH 434558 49.322 Million
Coca Cola Co. KO SH 1042872 48.869 Million
Honeywell International Inc. (Allied Chemical and Dye - Allied Signal) HON SH 303907 48.297 Million
Amgen, Inc. AMGN SH 246722 46.872 Million
AbbVie Inc ABBV SH 577202 46.517 Million
Broadcom Ltd. (Avago Technologies) AVGO SH 153968 46.3 Million
Donaldson Company, Inc. DCI SH 908687 45.489 Million
iShares Trust - Core S&P Mid-Cap 400 Exchange Traded Fund IJH SH 238789 45.227 Million
Spirit Aerosystems Holdings Inc. Class A SPR SH 484923 44.385 Million
U.S. Bancorp (First National Bank of Cincinnati) USB SH 917809 44.229 Million
Citigroup, Inc. C SH 693612 43.157 Million
Deutsche X-Trackers USD High Yield Corporate Bond ETF HYLB SH 862465 42.873 Million
iShares Core U.S. Treasury Bond ETF GOVT SH 1690315 42.664 Million
IAC/InterActiveCorp IAC SH 200217 42.068 Million
Vanguard Short-Term Corporate Bond ETF VCSH SH 526996 42.033 Million
Westinghouse Air Brake Technologies Corp WAB SH 555989 40.988 Million
Intuit, Inc. INTU SH 154435 40.371 Million
SPDR Consumer Discretionary Select Sector ETF XLY SH 351700 40.041 Million
Steel Dynamics, Inc. STLD SH 1121779 39.565 Million
Elanco Animal Health Inc ELAN SH 1210525 38.822 Million
Oracle Corp ORCL SH 721962 38.777 Million
Accenture Plc ACN SH 217681 38.316 Million
Vanguard Long-Term Corporate Bond ETF VCLT SH 410139 37.54 Million
Aptiv PLC APTV SH 457516 36.368 Million
Halliburton Co. HAL SH 1239392 36.314 Million
First Republic Bank (CA) FRC SH 356471 35.811 Million
Vanguard Tax-Exempt Bond ETF VTEB SH 685079 35.727 Million
General Motors Co GM SH 959355 35.592 Million
EOG Resources Inc EOG SH 371041 35.316 Million
Schwab U.S. TIPS ETF SCHP SH 638727 35.13 Million
Allegion plc ALLE SH 379262 34.403 Million
Norwegian Cruise Line Holdings Ltd NCLH SH 625584 34.382 Million
NetApp Inc. NTAP SH 493508 34.22 Million
Ironwood Pharmaceuticals Inc IRWD SH 2513318 34.005 Million
Vanguard Intermediate-Term Corp Bond ETF VCIT SH 391016 33.968 Million
Lam Research Corp. LRCX SH 187703 33.601 Million
Bristol-Myers Squibb Co BMY SH 702636 33.523 Million
Invesco Natl AMT-Free Muni Bd ETFo PZA SH 1297322 33.289 Million
Communication Services Select Sector SPDR Fund XLC SH 711749 33.289 Million
Align Technology Inc ALGN SH 115294 32.782 Million
SPDR S&P 500 ETF Trust SPY SH 113916 32.179 Million
Badger Meter Inc BMI SH 573150 31.89 Million
Ish Jpm Lc Cr Bd LEMB PRN 723889 31.735 Million
Booking Holdings Inc. (Priceline) BKNG SH 17299 30.185 Million
Invesco Optimum Yield Diver Commodity St PDBC SH 1804295 29.969 Million
Linde PLC LIN SH 169648 29.846 Million
ConocoPhillips (Phillips Petroleum) COP SH 446558 29.803 Million
KLA - Tencor Corp KLAC SH 249410 29.782 Million
PayPal Holdings Inc PYPL SH 285902 29.688 Million
Allstate Corp (The) ALL SH 312078 29.392 Million
Electronic Arts, Inc. EA SH 288851 29.356 Million
T-Mobile US Inc TMUS SH 422114 29.168 Million
Itron, Inc. ITRI SH 608691 28.395 Million
Biogen Inc BIIB SH 119116 28.157 Million
Walgreens Boots Alliance Inc. WBA SH 444332 28.113 Million
LivaNova PLC LIVN SH 287976 28.006 Million
SunPower Corp SPWR SH 4300987 27.999 Million
Altria Group, Inc. (Philip Morris) MO SH 482730 27.723 Million
Walmart Inc WMT SH 283871 27.686 Million
Cigna Holding Co CI SH 171957 27.654 Million
Costco Co. COST SH 114068 27.62 Million
Carvana Co CVNA SH 471629 27.383 Million
Zimmer Biomet Holdings Inc ZBH SH 213573 27.273 Million
International Business Machines Corp IBM SH 190727 26.912 Million
Activision Blizzard Inc ATVI SH 586230 26.691 Million
Pentair Plc PNR SH 593074 26.398 Million
Gilead Sciences Inc. GILD SH 400934 26.065 Million
Applied Materials Inc. AMAT SH 654228 25.947 Million
MSA Safety Inc MSA SH 248551 25.7 Million
Aon Plc AON SH 149392 25.501 Million
Alnylam Pharmaceuticals Inc ALNY SH 272846 25.497 Million
DuPont de Nemours, Inc. (Dow Chemical) DD SH 463480 24.708 Million
GoDaddy Inc GDDY SH 327264 24.607 Million
DXC Technology Company DXC SH 374126 24.06 Million
United Technologies Corp. (United Aircraft Corp.) UTX SH 186119 23.989 Million
NextEra Energy Inc. NEE SH 123196 23.816 Million
iShares iBoxx Investment Grade Corporate Bond Fund LQD PRN 199509 23.754 Million
3M Co. (Minnesota Mining & Manufacturing) MMM SH 114193 23.727 Million
Valero Energy Corp. VLO SH 275288 23.353 Million
Companhia de Saneamento Basico do Estado de Sao Paulo-SABESP ADS ADR SBS SH 2200094 23.277 Million
Discover Financial Services DFS SH 326913 23.263 Million
Goldman Sachs Group Inc GS SH 120451 23.125 Million
Bluebird Bio Inc BLUE SH 146502 23.049 Million
Arista Networks Inc ANET SH 73253 23.035 Million
Thermo Fisher Scientific, Inc. TMO SH 83463 22.845 Million
NRG Energy Inc NRG SH 536574 22.794 Million
Monster Beverage Corp. MNST SH 409128 22.33 Million
Texas Instruments, Inc. TXN SH 209792 22.253 Million
Starbucks Corp. SBUX SH 294084 21.862 Million
Exelon Corp. (Philadelphia Electric Co.) EXC SH 434996 21.806 Million
Best Buy Co., Inc. BBY SH 305469 21.707 Million
Lowes Companies, Inc. LOW SH 197798 21.653 Million
SPDR S&P Consumer Staples Etf XLP SH 384417 21.57 Million
CBRE Group Inc Common Stock Class A CBRE SH 435575 21.539 Million
Voya Financial Inc VOYA SH 413953 20.681 Million
HP Inc HPQ SH 1060368 20.603 Million
Heico Corp. Class A HEI.A SH 244454 20.549 Million
Kroger Co. KR SH 831619 20.458 Million
United Continental Holdings Inc UAL SH 256410 20.456 Million
Edwards Lifesciences Corp. EW SH 105516 20.188 Million
Raytheon Co. RTN SH 110556 20.13 Million
Norfolk Southern Corp. NSC SH 107472 20.085 Million
Athene Holding Ltd Class A ATH SH 489951 19.99 Million
Progressive Corp. PGR SH 277087 19.975 Million
Automatic Data Processing Inc ADP SH 124172 19.835 Million
Rexnord Corp. RXN SH 785831 19.756 Million
HCA Healthcare Inc HCA SH 151266 19.722 Million
F5 Networks Inc FFIV SH 125231 19.653 Million
PACCAR Inc. PCAR SH 287178 19.568 Million
Southwest Airlines Co. LUV SH 373623 19.395 Million
Yum! Brands, Inc. (Tricon Global Restaurants) YUM SH 189610 18.925 Million
Duke Energy Corp. DUK SH 210126 18.911 Million
Kohls Corp. KSS SH 274560 18.881 Million
iShares MSCI Pacific ex-Japan Index Fund EPP SH 409180 18.781 Million
Reinsurance Group of America Inc RGA SH 132001 18.742 Million
nVent Electric PLC NVT SH 669595 18.066 Million
HealthEquity Inc HQY SH 242703 17.955 Million
Robert Half International, Inc. RHI SH 272760 17.773 Million
IPG Photonics Corp IPGP SH 116325 17.656 Million
Cummins Inc CMI SH 111206 17.556 Million
Skyworks Solutions, Inc. SWKS SH 212109 17.495 Million
American Tower Corp., Class A AMT SH 88280 17.396 Million
Banco Bradesco S.A. ADR BBD SH 1593943 17.39 Million
Teradyne Inc TER SH 436418 17.387 Million
Block (H&R) Inc. HRB SH 725081 17.358 Million
Sysco Corp. SYY SH 258949 17.287 Million
Jazz Pharmaceuticals plc JAZZ SH 120913 17.285 Million
Intercontinental Exchange Inc ICE SH 226170 17.221 Million
eBay Inc. EBAY SH 463266 17.206 Million
Companhia Vale de Rio Doce S.A. ADR VALE SH 1303063 17.018 Million
General Electric Co GE SH 1698828 16.971 Million
iShares Core U.S. Aggregate Bond ETF AGG SH 154171 16.815 Million
Capital One Financial Corp COF SH 205682 16.802 Million
Qorvo Inc QRVO SH 234097 16.792 Million
Schwab U.S. Large-Cap ETF SCHX SH 247755 16.751 Million
C.H. Robinson Worldwide Inc CHRW SH 192194 16.719 Million
Square Inc SQ SH 221311 16.581 Million
Westlake Chemical Corp WLK SH 242342 16.445 Million
CME Group Inc CME SH 99774 16.421 Million
iShares Edge MSCI USA Quality Factor ETF QUAL SH 174737 15.473 Million
Michaels Companies Inc. (The) MIK SH 1346883 15.381 Million
Ashland Inc. ASH SH 194874 15.226 Million
Itau Unibnco ADR ITUB SH 1711134 15.075 Million
Church & Dwight Co., Inc. CHD SH 211193 15.043 Million
AFLAC Inc. AFL SH 299592 14.98 Million
United Parcel Service, Inc. Class B UPS SH 133621 14.931 Million
Lockheed Martin Corp. LMT SH 49037 14.719 Million
Target Corp. TGT SH 181963 14.604 Million
Lamb Weston Holdings Inc LW SH 193347 14.489 Million
iShares MSCI Canada ETF EWC SH 522659 14.446 Million
T. Rowe Price Group TROW SH 143180 14.335 Million
Viacom Inc. Class B VIAB SH 507759 14.253 Million
Hollyfrontier Corp HFC SH 285901 14.086 Million
QUALCOMM Inc. QCOM SH 246554 14.061 Million
Hubspot Inc HUBS SH 84433 14.034 Million
Zoetis, Inc. ZTS SH 139308 14.024 Million
Taiwan Semiconductor Manufacturing Co Ltd ADR TSM SH 339829 13.919 Million
Fortinet Inc FTNT SH 165452 13.893 Million
Intuitive Surgical Inc ISRG SH 24316 13.874 Million
Chegg Inc CHGG SH 363332 13.85 Million
Citrix Systems Inc. CTXS SH 137814 13.735 Million
CVS Health Corp. (Melville Shoe) CVS SH 254577 13.729 Million
Stryker Corp. SYK SH 69425 13.713 Million
Unilever N.V. ADR UN SH 234499 13.669 Million
Waste Connections Inc WCN SH 154136 13.655 Million
BlackRock Inc. Class A BLK SH 31786 13.584 Million
Morgan Stanley MS SH 315430 13.311 Million
Becton, Dickinson and Co. BDX SH 53109 13.263 Million
Schlumberger Ltd. SLB SH 303450 13.221 Million
Waters Corporation WAT SH 52335 13.173 Million
Ventas, Inc. VTR SH 204894 13.074 Million
Celgene Corp. CELG SH 137107 12.935 Million
Chubb Limited CB SH 92177 12.912 Million
PNC Financial Services Group, Inc. (The) (Provident National Trust Co.) PNC SH 105202 12.904 Million
Expeditors International of Washington Inc EXPD SH 169099 12.835 Million
Fifth Third Bancorp (1927) (Cincinnati, OH) FITB SH 508379 12.821 Million
Takeda Pharmaceutical Co Ltd TAK SH 616253 12.553 Million
Equinor ASA EQNR SH 571207 12.549 Million
Travelers Companies, Inc. (The) (St. Paul Fire and Marine Insurance) TRV SH 90969 12.477 Million
Dicks Sporting Goods, Inc DKS SH 337487 12.423 Million
Sumitomo Mitsui Financial Group Inc. ADR SMFG SH 1758489 12.362 Million
New Oriental Education & Tech Group Inc ADR EDU SH 137023 12.344 Million
Charter Communications Inc CHTR SH 35407 12.283 Million
Plains Group Holdings L.P. PAGP SH 480659 11.978 Million
Prudential Financial Inc. PRU SH 127052 11.674 Million
Varian Medical Systems, Inc. VAR SH 82329 11.668 Million
Chegg Inc CHGG SH 305589 11.649 Million
Colgate-Palmolive Co. CL SH 169603 11.625 Million
CSX Corp CSX SH 155328 11.622 Million
Wix.com Ltd WIX SH 96064 11.607 Million
Dominion Energy Inc D SH 151381 11.605 Million
Alteryx Inc AYX SH 137557 11.537 Million
Barclays PLC iPath Exchange Traded Notes OIL SH 186068 11.408 Million
iShares Russell 1000 Value ETF IWD SH 92152 11.38 Million
Host Hotels & Resorts Inc. HST SH 601544 11.369 Million
S&P Global Inc. (McGraw-Hill Inc.) SPGI SH 53018 11.163 Million
Illinois Tool Works Inc ITW SH 77679 11.149 Million
EXACT Sciences Corp EXAS SH 127185 11.017 Million
Universal Display Corp OLED SH 71087 10.866 Million
Planet Fitness Inc PLNT SH 156699 10.768 Million
Boston Scientific Inc. BSX SH 275334 10.567 Million
Southern Co. SO SH 202071 10.443 Million
Archer-Daniels-Midland Co. ADM SH 242058 10.44 Million
Tractor Supply Company TSCO SH 106690 10.43 Million
LyondellBasell Industries NV LYB SH 123883 10.416 Million
Deere & Co. DE SH 64383 10.291 Million
Twilio Inc TWLO SH 78164 10.097 Million
Vanguard FTSE Developed Markets ETF VEA SH 246987 10.094 Million
Baxter International Inc. BAX SH 124092 10.09 Million
Charles Schwab Corp SCHW SH 233823 9.998 Million
Comerica, Inc. (Detroit, MI) (Detroit Bank & Trust) CMA SH 135488 9.934 Million
Alliance Data Systems Corp ADS SH 56670 9.916 Million
SunTrust Banks, Inc. STI SH 167170 9.905 Million
Wix.com Ltd WIX SH 81100 9.799 Million
Occidental Petroleum Corp. OXY SH 147719 9.779 Million
Alteryx Inc AYX SH 116043 9.733 Million
Humana, Inc. HUM SH 36551 9.723 Million
Proofpoint Inc PFPT SH 79838 9.695 Million
Amphenol Corp. (1987) APH SH 102478 9.678 Million
General Dynamics Corp. (Electric Boat) GD SH 56308 9.532 Million
Northrop Grumman Corp. NOC SH 35305 9.518 Million
NetEase Inc ADR NTES SH 39344 9.5 Million
Bank Of New York Mellon Corp BK SH 187657 9.464 Million
Ametek Inc. AME SH 114000 9.459 Million
E*Trade Financial Corp. ETFC SH 203698 9.458 Million
Juniper Networks Inc JNPR SH 357277 9.457 Million
Real Estate Select Sector SPDR Fund XLRE SH 260616 9.44 Million
LPL Financial Holdings Inc LPLA SH 134477 9.366 Million
SPDR Materials Select Sector ETF XLB SH 168647 9.36 Million
Vertex Pharmaceuticals, Inc. VRTX SH 50650 9.317 Million
Xilinx, Inc XLNX SH 72953 9.25 Million
Chart Industries Inc GTLS SH 102097 9.242 Million
Cardinal Health, Inc. CAH SH 190985 9.196 Million
ProLogis, Inc. PLD SH 126641 9.112 Million
Digital Realty Trust, Inc. DLR SH 76331 9.083 Million
Seagate Technology plc STX SH 189659 9.083 Million
Planet Fitness Inc PLNT SH 130847 8.992 Million
Illumina Inc ILMN SH 28676 8.909 Million
Moodys Corp MCO SH 49188 8.907 Million
FedEx Corporation FDX SH 49052 8.899 Million
Centurylink Inc CTL SH 740263 8.876 Million
Waste Management, Inc. WM SH 84932 8.825 Million
Paycom Software Inc PAYC SH 46337 8.764 Million
American Electric Power Co. (American Gas & Electric) AEP SH 103133 8.637 Million
Upland Software Inc UPLD SH 202238 8.567 Million
Ingevity Corp NGVT SH 81108 8.566 Million
Performance Food Group Co PFGC SH 215669 8.549 Million
Emerson Electric Co. EMR SH 123947 8.487 Million
Ollies Bargain Outlet Holdings Inc OLLI SH 98346 8.392 Million
Kimberly-Clark Corp. KMB SH 67546 8.369 Million
Verisk Analytics Inc VRSK SH 62893 8.365 Million
Cognizant Technology Solutions Corp CTSH SH 115414 8.362 Million
ForeScout Technologies Inc FSCT SH 198192 8.306 Million
Ultimate Software Group Inc. ULTI SH 24989 8.25 Million
Ally Financial Inc ALLY SH 299768 8.241 Million
Mercury Computer Systems Inc. MRCY SH 128104 8.209 Million
Aarons Inc. Class A AAN SH 154778 8.141 Million
TechnipFMC plc Ordinary Share FTI SH 345684 8.13 Million
Advance Auto Parts, Inc. AAP SH 47655 8.127 Million
Air Products & Chemicals Inc APD SH 42423 8.101 Million
Regal Beloit Corp RBC SH 98824 8.091 Million
Phillips 66 PSX SH 84358 8.028 Million
SAP SE ADR SAP SH 69524 8.027 Million
Cboe Global Markets Inc CBOE SH 83501 7.969 Million
Roku Inc ROKU SH 123316 7.955 Million
Marathon Petroleum Corp MPC SH 132658 7.94 Million
LivePerson Inc. LPSN SH 273484 7.937 Million
Prudential plc ADS ADR PUK SH 196082 7.886 Million
Novartis AG ADS NVS SH 81550 7.84 Million
CF Industries Holdings Inc CF SH 191521 7.829 Million
LYFT Inc LYFT SH 100000 7.829 Million
iShares Edge MSCI Min Vol Emerging Markets ETF EEMV SH 131975 7.822 Million
Globus Medical Inc GMED SH 158193 7.816 Million
Roper Technologies Inc ROP SH 22835 7.809 Million
Chart Industries Inc GTLS SH 85398 7.73 Million
Dicks Sporting Goods, Inc DKS SH 209571 7.714 Million
SPDR Bloomberg Barclays TIPS ETF IPE SH 138158 7.693 Million
Macys Inc M SH 318619 7.656 Million
NovoCure Ltd NVCR SH 158694 7.644 Million
Kinder Morgan Inc. (DE) KMI SH 380849 7.621 Million
Post Holdings Inc POST SH 69588 7.613 Million
Analog Devices Inc ADI SH 72101 7.59 Million
Royal Caribbean Cruises Ltd RCL SH 66149 7.582 Million
EXACT Sciences Corp EXAS SH 87384 7.569 Million
Aspen Technology Inc AZPN SH 72474 7.556 Million
Regions Financial Corp. (Birmingham, AL) RF SH 532209 7.531 Million
American International Group, Inc. AIG SH 174702 7.523 Million
Fortive Corp FTV SH 89669 7.522 Million
Fidelity National Information Services Inc FIS SH 66347 7.504 Million
SEI Investments Co. SEIC SH 143393 7.492 Million
Vanguard High Dividend Yield ETF VYM SH 87453 7.491 Million
FIserv Inc. FISV SH 83377 7.361 Million
QTS Realty Trust Inc QTS SH 163367 7.35 Million
Equinix Inc EQIX SH 16207 7.344 Million
Tesla Inc TSLA SH 26183 7.328 Million
8x8 Inc EGHT SH 362030 7.313 Million
Eaton Corp. ETN SH 90111 7.259 Million
Upland Software Inc UPLD SH 171211 7.252 Million
Cheesecake Factory, Inc. (The) CAKE SH 147948 7.238 Million
CEMEX S.A. de C.V. Series A (Sponsored ADR) ADR CX SH 1554300 7.212 Million
Proofpoint Inc PFPT SH 59350 7.207 Million
Performance Food Group Co PFGC SH 181094 7.179 Million
International Paper Co. IP SH 155023 7.173 Million
United Therapeutics Corp UTHR SH 60843 7.141 Million
Invesco Fdamental High Yield Corporate B PHB SH 381680 7.118 Million
Accenture Plc ACN SH 40392 7.11 Million
EMCOR Group, Inc. EME SH 97212 7.104 Million
HDFC Bank Ltd ADR HDB SH 61277 7.103 Million
BB&T Corp. BBT SH 152413 7.092 Million
Ingevity Corp NGVT SH 67047 7.081 Million
Wendys Co. (The) WEN SH 394698 7.061 Million
Webster Financial Corp. WBS SH 138996 7.043 Million
ForeScout Technologies Inc FSCT SH 167981 7.04 Million
Ollies Bargain Outlet Holdings Inc OLLI SH 82326 7.025 Million
Delta Air Lines Inc. DAL SH 135713 7.01 Million
Mondelez International Inc. (Kraft Foods) MDLZ SH 139163 6.947 Million
Waters Corporation WAT SH 27554 6.936 Million
Pepsico Inc. (Loft, Inc.) PEP SH 56571 6.933 Million
Procter & Gamble Co. (OH) (1905) PG SH 66557 6.925 Million
Target Corp. TGT SH 86227 6.921 Million
Starbucks Corp. SBUX SH 93016 6.915 Million
Wabco Holdings Inc WBC SH 52368 6.904 Million
Mercury Computer Systems Inc. MRCY SH 107709 6.902 Million
Marriott International Inc/MD MAR SH 55135 6.897 Million
Honeywell International Inc. (Allied Chemical and Dye - Allied Signal) HON SH 43381 6.894 Million
Cisco Systems, Inc. CSCO SH 127690 6.894 Million
Home Depot, Inc. (The) HD SH 35915 6.892 Million
Altra Industrial Motion Corp AIMC SH 221685 6.883 Million
Amgen, Inc. AMGN SH 36195 6.876 Million
CSX Corp CSX SH 91647 6.857 Million
VISA Inc V SH 43888 6.855 Million
Baxter International Inc. BAX SH 84292 6.854 Million
PPG Industries, Inc. (Pittsburgh Plate Glass) PPG SH 60711 6.852 Million
Landstar System Inc LSTR SH 62635 6.852 Million
Travelers Companies, Inc. (The) (St. Paul Fire and Marine Insurance) TRV SH 49950 6.851 Million
Western Union Co (The) WU SH 370858 6.85 Million
International Business Machines Corp IBM SH 48521 6.846 Million
Aon Plc AON SH 40100 6.845 Million
Oracle Corp ORCL SH 127185 6.831 Million
Mimecast Ltd MIME SH 144187 6.827 Million
3M Co. (Minnesota Mining & Manufacturing) MMM SH 32842 6.824 Million
AES Corp. (The) AES SH 376920 6.815 Million
Hewlett Packard Enterprise Co HPE SH 441398 6.811 Million
Franklin Resources Inc BEN SH 205146 6.799 Million
United Rentals, Inc. URI SH 59419 6.789 Million
Monolithic Power Systems Inc MPWR SH 50103 6.788 Million
Yum! Brands, Inc. (Tricon Global Restaurants) YUM SH 67963 6.783 Million
Reliance Steel & Aluminum Co. RS SH 75053 6.774 Million
AFLAC Inc. AFL SH 135457 6.773 Million
General Dynamics Corp. (Electric Boat) GD SH 40000 6.771 Million
Loews Corp L SH 140945 6.755 Million
Union Pacific Corp. UNP SH 40400 6.755 Million
TJX Companies Inc. TJX SH 126916 6.753 Million
Generac Holdlings Inc GNRC SH 131752 6.75 Million
Broadcom Ltd. (Avago Technologies) AVGO SH 22429 6.745 Million
Intercontinental Exchange Inc ICE SH 88557 6.743 Million
Ameriprise Financial, Inc. AMP SH 52581 6.736 Million
Williams Cos. (The) WMB SH 234222 6.727 Million
Robert Half International, Inc. RHI SH 103180 6.723 Million
Vanguard Russell 2000 ETF VTWO SH 54653 6.722 Million
Ross Stores Inc. (DE) ROST SH 72203 6.722 Million
Twilio Inc TWLO SH 52023 6.72 Million
V.F. Corp. VFC SH 77270 6.716 Million
Williams-Sonoma Inc. WSM SH 119236 6.709 Million
Roku Inc ROKU SH 103711 6.69 Million
Ingredion Inc. INGR SH 70591 6.684 Million
Huntington Ingalls Industries Inc HII SH 32216 6.675 Million
Assured Guaranty Ltd. ADR AGO SH 150100 6.669 Million
LHC Group Inc. LHCG SH 60102 6.663 Million
Cognizant Technology Solutions Corp CTSH SH 91963 6.663 Million
Walgreens Boots Alliance Inc. WBA SH 105272 6.661 Million
Gentex Corp. GNTX SH 321953 6.658 Million
Sempra Energy, Inc. SRE SH 52859 6.653 Million
NVR Inc NVR SH 2404 6.652 Million
Mastercard Inc MA SH 28251 6.652 Million
Occidental Petroleum Corp. OXY SH 100437 6.649 Million
Pfizer, Inc. PFE SH 156419 6.643 Million
Dollar General Corp. DG SH 55673 6.642 Million
Johnson & Johnson Co. JNJ SH 47511 6.642 Million
Ryanair Holdings ADR RYAAY SH 88597 6.639 Million
T. Rowe Price Group TROW SH 66305 6.638 Million
Cummins Inc CMI SH 42034 6.636 Million
BlackRock Inc. Class A BLK SH 15520 6.633 Million
NIKE Inc. NKE SH 78662 6.624 Million
Vanguard FTSE Emerging Markets ETF VWO SH 155725 6.618 Million
PPG Industries, Inc. (Pittsburgh Plate Glass) PPG SH 58613 6.616 Million
MasTec Inc. (Burnup & Sims, Inc.) MTZ SH 137531 6.615 Million
Equity Commonwealth Inc. EQC SH 202000 6.603 Million
Expeditors International of Washington Inc EXPD SH 86967 6.601 Million
Ford Motor Co. F SH 751713 6.6 Million
Best Buy Co., Inc. BBY SH 92864 6.599 Million
LivePerson Inc. LPSN SH 227202 6.593 Million
Valero Energy Corp. VLO SH 77672 6.589 Million
Avnet Inc AVT SH 151873 6.587 Million
Alleghany Corp (NY) Y SH 10754 6.586 Million
AmerisourceBergen Corp (Holding Co) ABC SH 82808 6.585 Million
Gap (The) GPS SH 251455 6.583 Million
Merck & Co MRK SH 79119 6.58 Million
Walmart Inc WMT SH 67398 6.573 Million
Intel Corp. INTC SH 122243 6.564 Million
SVB Financial Group SIVB SH 29502 6.56 Million
Foot Locker Inc. (F. W. Woolworth) FL SH 108236 6.559 Million
Amdocs Ltd DOX SH 121156 6.556 Million
Cabot Oil & Gas Corp. COG SH 250797 6.546 Million
Rockwell Automation, Inc. ROK SH 37270 6.539 Million
Steven Madden Ltd SHOO SH 192590 6.517 Million
Evergy (Kansas Power & Light - Western Resources - Westar Energy Inc.) EVRG SH 112253 6.516 Million
TE Connectivity Ltd TEL SH 80677 6.515 Million
Allstate Corp (The) ALL SH 69138 6.511 Million
Phillips 66 PSX SH 68375 6.507 Million
Nucor Corp. NUE SH 111473 6.504 Million
Southwest Airlines Co. LUV SH 125270 6.503 Million
ASML Holding NV (ADR) ASML SH 34576 6.502 Million
Jones Lang Lasalle Inc JLL SH 42155 6.499 Million
Discover Financial Services DFS SH 91175 6.488 Million
Marathon Petroleum Corp MPC SH 108225 6.477 Million
Apple Inc AAPL SH 34078 6.473 Million
Regeneron Pharmaceuticals Inc. REGN SH 15731 6.459 Million
E*Trade Financial Corp. ETFC SH 139062 6.457 Million
Booking Holdings Inc. (Priceline) BKNG SH 3698 6.453 Million
ConocoPhillips (Phillips Petroleum) COP SH 96396 6.433 Million
NovoCure Ltd NVCR SH 133181 6.415 Million
McKesson Corp. MCK SH 54793 6.414 Million
Foot Locker Inc. (F. W. Woolworth) FL SH 105729 6.407 Million
NewMarket Corp. (Albermarle Paper Manufacturing - Ethyl Corp.) NEU SH 14762 6.4 Million
Corning Inc. GLW SH 193344 6.4 Million
Adtalem Global Education Inc. (Kellery & Taylor Corp. -Devry Inc.) ATGE SH 138097 6.397 Million
Public Storage, Inc. PSA SH 29300 6.381 Million
iShares MSCI Emerging Index Fund EEM SH 148322 6.366 Million
Shake Shack Inc SHAK SH 107584 6.364 Million
SailPoint Technologies Holdings Inc SAIL SH 220997 6.347 Million
Bank Of New York Mellon Corp BK SH 125802 6.344 Million
MetLife Inc. MET SH 149007 6.343 Million
Omnicom Group Inc. OMC SH 86881 6.341 Million
Wells Fargo & Co. (Northwest Bancorporation) WFC SH 130582 6.31 Million
Texas Instruments, Inc. TXN SH 59361 6.296 Million
LyondellBasell Industries NV LYB SH 74806 6.29 Million
Red Hat Inc RHT SH 34409 6.287 Million
Vanguard Energy ETF VDE SH 70136 6.269 Million
Public Storage, Inc. PSA SH 28690 6.248 Million
Spirit Aerosystems Holdings Inc. Class A SPR SH 68256 6.247 Million
M&T Bank Corp. (Buffalo, NY) (Manufacturers & Traders Trust) MTB SH 39692 6.232 Million
QTS Realty Trust Inc QTS SH 137636 6.192 Million
American Eagle Outfitters Inc AEO SH 279259 6.191 Million
OReilly Automotive Inc. ORLY SH 15920 6.182 Million
America Movil S.A.B. de C.V. ADS AMX SH 432500 6.176 Million
8x8 Inc EGHT SH 305183 6.165 Million
Nordson Corporation NDSN SH 46474 6.159 Million
Teladoc Health Inc TDOC SH 110703 6.155 Million
Discovery Inc Series A DISCA SH 226635 6.124 Million
Yandex N.V. YNDX SH 177688 6.102 Million
Nordstrom Inc. JWN SH 137417 6.099 Million
First Financial Bankshares Inc FFIN SH 105383 6.089 Million
TransDigm Group Inc TDG SH 13407 6.087 Million
Tactile Systems Technology Inc TCMD SH 115354 6.081 Million
Woodward Inc WWD SH 63971 6.07 Million
Varonis Systems Inc VRNS SH 101781 6.069 Million
Gap (The) GPS SH 231425 6.059 Million
Pinnacle Financial Partners Inc PNFP SH 110618 6.051 Million
Deckers Outdoor Corp DECK SH 41159 6.05 Million
Carnival Corp. CCL SH 118597 6.015 Million
ASGN Inc. (On Assignment Inc.) ASGN SH 94719 6.014 Million
General Mills Co. GIS SH 114906 5.946 Million
Clorox Co. CLX SH 36913 5.923 Million
Graco Inc. GGG SH 119299 5.908 Million
Agilent Technologies Inc A SH 73374 5.898 Million
Public Service Enterprise Group Inc PEG SH 99241 5.896 Million
Paycom Software Inc PAYC SH 31173 5.896 Million
Tenable Holdings Inc TENB SH 185396 5.87 Million
SPDR Nuveen Bloomberg Barclays Short Ter SHM SH 121036 5.868 Million
GlaxoSmithKline Plc ADR GSK SH 139566 5.832 Million
MaxLinear Inc MXL SH 228138 5.824 Million
Devon Energy Corp. DVN SH 183581 5.794 Million
Altra Industrial Motion Corp AIMC SH 186046 5.777 Million
Mimecast Ltd MIME SH 122000 5.777 Million
Monster Beverage Corp. MNST SH 105651 5.766 Million
Welltower Inc WELL SH 73738 5.722 Million
Regal Beloit Corp RBC SH 69853 5.719 Million
Kroger Co. KR SH 232184 5.712 Million
Xcel Energy Inc. (Northern States Power Co. (MN)) XEL SH 101587 5.71 Million
Generac Holdlings Inc GNRC SH 110994 5.686 Million
National Bank Holdings Corp NBHC SH 170848 5.682 Million
iShares Russell 2000 ETF IWM SH 37022 5.668 Million
Vanguard Small-Cap ETF VB SH 37039 5.66 Million
V.F. Corp. VFC SH 65063 5.655 Million
Kadant Inc. KAI SH 64102 5.638 Million
Essent Group Ltd ESNT SH 129594 5.631 Million
Cadence Design Systems, Inc. CDNS SH 88657 5.631 Million
EMCOR Group, Inc. EME SH 76636 5.601 Million
LHC Group Inc. LHCG SH 50493 5.598 Million
Werner Enterprises, Inc. WERN SH 163229 5.574 Million
ONEOK Inc. (Oklahoma Natural Gas) OKE SH 79795 5.573 Million
Array Biopharma Inc ARRY SH 228225 5.564 Million
iShares MSCI EAFE Index Fund EFA SH 85750 5.562 Million
Lincoln National Corp. LNC SH 94689 5.558 Million
Mettler-Toledo International, Inc. MTD SH 7680 5.553 Million
MasTec Inc. (Burnup & Sims, Inc.) MTZ SH 115264 5.544 Million
Booz Allen Hamilton Holding Corp BAH SH 95310 5.541 Million
Sony Corp. Sponsored ADR SNE SH 130763 5.523 Million
iShares Core MSCI Europe ETF IEUR SH 120078 5.508 Million
Steven Madden Ltd SHOO SH 162694 5.506 Million
Ryman Hospitality Properties, Inc. REIT RHP SH 66459 5.466 Million
Broadridge Financial Solutions Inc BR SH 52559 5.45 Million
Wendys Co. (The) WEN SH 303402 5.428 Million
Adtalem Global Education Inc. (Kellery & Taylor Corp. -Devry Inc.) ATGE SH 116527 5.398 Million
Corning Inc. GLW SH 162165 5.368 Million
Workday Inc WDAY SH 27802 5.362 Million
SailPoint Technologies Holdings Inc SAIL SH 186637 5.36 Million
AvalonBay Communities, Inc. AVB SH 26622 5.344 Million
Childrens Place Inc PLCE SH 54781 5.329 Million
AmerisourceBergen Corp (Holding Co) ABC SH 67006 5.328 Million
OGE Energy Corp. (Oklahoma Gas & Electric) OGE SH 123564 5.328 Million
Consolidated Edison Co. of New York Inc. (Consolidated Gas Co. of New York) ED SH 62728 5.32 Million
iShares TIPS Bond ETF TIP SH 46720 5.283 Million
Paychex Inc. PAYX SH 65744 5.273 Million
Shake Shack Inc SHAK SH 88431 5.231 Million
M&T Bank Corp. (Buffalo, NY) (Manufacturers & Traders Trust) MTB SH 33295 5.228 Million
iShares Russell 2000 Growth ETF IWO SH 26577 5.227 Million
China Mobile Ltd. ADR CHL SH 102311 5.217 Million
Ingersoll-Rand Co. Ltd. IR SH 48227 5.206 Million
Teladoc Health Inc TDOC SH 93561 5.202 Million
Equity Residential EQR SH 68943 5.193 Million
Darden Restaurants Inc DRI SH 42686 5.185 Million
Webster Financial Corp. WBS SH 102169 5.177 Million
AutoZone Inc. AZO SH 5045 5.167 Million
Lear Corp LEA SH 37982 5.155 Million
Exponent Inc. EXPO SH 88545 5.111 Million
Dollar Tree Inc. DLTR SH 48548 5.099 Million
Varonis Systems Inc VRNS SH 85505 5.099 Million
Woodward Inc WWD SH 53712 5.097 Million
Mylan NV MYL SH 179686 5.092 Million
Tactile Systems Technology Inc TCMD SH 96505 5.088 Million
Boise Cascade L.L.C. BCC SH 190101 5.087 Million
ASGN Inc. (On Assignment Inc.) ASGN SH 80116 5.087 Million
American Eagle Outfitters Inc AEO SH 229273 5.083 Million
Carnival Corp. CCL SH 99613 5.052 Million
Pioneer Natural Resources Co. PXD SH 32776 4.991 Million
Kennametal Inc. KMT SH 135498 4.98 Million
Vocera Communications Inc VCRA SH 156650 4.955 Million
Tenable Holdings Inc TENB SH 156202 4.945 Million
Semtech Corp SMTC SH 97075 4.942 Million
Popular Inc (Puerto Rico) BPOP SH 94478 4.925 Million
Biogen Inc BIIB SH 20831 4.924 Million
Owens Corning Inc OC SH 104444 4.921 Million
Gentex Corp. GNTX SH 237626 4.914 Million
iShares MSCI Eurozone ETF EZU SH 127132 4.907 Million
TripAdvisor Inc TRIP SH 95239 4.9 Million
Tabula Rasa HealthCare Inc TRHC SH 86229 4.865 Million
WEC Energy Group (Wisconsin Electric Power) WEC SH 61232 4.842 Million
Omnicom Group Inc. OMC SH 66287 4.838 Million
IQVIA Holdings Inc IQV SH 33614 4.835 Million
Lennox International, Inc. LII SH 18215 4.816 Million
National Bank Holdings Corp NBHC SH 144677 4.812 Million
MaxLinear Inc MXL SH 188152 4.804 Million
State Street Corp. (State Street Bank & Trust Co., Boston, MA) STT SH 72588 4.777 Million
Centene Corp CNC SH 89893 4.773 Million
iShares Russell 2000 Growth ETF IWO SH 24226 4.764 Million
Yum China Holdings Inc YUMC SH 105536 4.74 Million
Everest Re Group Ltd. RE SH 21945 4.739 Million
Cabot Oil & Gas Corp. COG SH 181158 4.728 Million
iShares International Select Dividnd ETF IDV SH 152942 4.72 Million
Investors Bancorp Inc ISBC SH 397654 4.712 Million
Array Biopharma Inc ARRY SH 193267 4.712 Million
Vistra Energy Cp VST SH 180797 4.706 Million
West Pharmaceutical Services Inc WST SH 42605 4.695 Million
Monolithic Power Systems Inc MPWR SH 34621 4.691 Million
SBA Communications Corp. SBAC SH 23491 4.69 Million
Werner Enterprises, Inc. WERN SH 136826 4.673 Million
Charles River Laboratories International Inc CRL SH 32107 4.664 Million
Essent Group Ltd ESNT SH 106558 4.63 Million
Kadant Inc. KAI SH 52630 4.629 Million
Advanced Micro Devices Inc AMD SH 180347 4.602 Million
Total System Services Inc TSS SH 48383 4.597 Million
Green Dot Corp GDOT SH 75349 4.57 Million
Motorola Solutions Inc MSI SH 32479 4.561 Million
Parker-Hannifin Corp. PH SH 26423 4.535 Million
Twitter Inc TWTR SH 137855 4.533 Million
Keysight Technologies Inc KEYS SH 51937 4.529 Million
Columbia Banking System, Inc. COLB SH 138263 4.52 Million
Willis Towers Watson plc WLTW SH 25631 4.502 Million
Hilton Worldwide Holdings Inc HLT SH 54170 4.502 Million
PTC Inc. PTC SH 48801 4.498 Million
International Flavors and Fragrances, Inc. IFF SH 34869 4.491 Million
Ryman Hospitality Properties, Inc. REIT RHP SH 54454 4.478 Million
WisdomTree Emerging Markets Equity Income Fund DEM SH 102017 4.472 Million
Childrens Place Inc PLCE SH 45897 4.465 Million
Blueprint Medicines Corp BPMC SH 55722 4.461 Million
McKesson Corp. MCK SH 37923 4.439 Million
Anadarko Petroleum Corp. APC SH 97125 4.417 Million
PPL Corp. (Pennsylvania Power & Light) PPL SH 138782 4.405 Million
Eversource Energy (Western Massachusetts Cos./Northeast Utilities) ES SH 62005 4.399 Million
Signature Bank (New York, NY) SBNY SH 34289 4.391 Million
DTE Energy Co. (Detroit Edison) DTE SH 35113 4.38 Million
Liberty Expedia Holdings Inc, Series A LEXEA SH 101528 4.345 Million
Matador Resources Co MTDR SH 223760 4.325 Million
Capri Holdings Ltd CPRI SH 93762 4.29 Million
Tencent Music Entertainment Group TME SH 236937 4.289 Million
Global Payments Inc. GPN SH 31314 4.275 Million
Vmware Inc VMW SH 23524 4.246 Million
FleetCor Technologies Inc FLT SH 17170 4.234 Million
Palo Alto Networks Inc PANW SH 17407 4.228 Million
Insulet Corp PODD SH 44448 4.227 Million
Realty Income Corp. O SH 57244 4.211 Million
Kennametal Inc. KMT SH 114116 4.194 Million
Boise Cascade L.L.C. BCC SH 156393 4.185 Million
Eastman Chemical Co. EMN SH 54594 4.143 Million
Martin Marietta Materials Inc. MLM SH 20590 4.142 Million
Ingredion Inc. INGR SH 43555 4.124 Million
Xerox Corp. (Haloid Co.) XRX SH 128458 4.108 Million
Semtech Corp SMTC SH 80541 4.1 Million
KeyCorp, Inc. (Cleveland, Ohio) KEY SH 260169 4.098 Million
Ligand Pharmaceuticals, Inc. LGND SH 32570 4.094 Million
Huntington Bancshares, Inc. (Huntington National Bank, Columbus, OH) HBAN SH 322083 4.084 Million
Coherus BioSciences Inc CHRS SH 299280 4.082 Million
Vocera Communications Inc VCRA SH 127876 4.045 Million
Inogen Inc INGN SH 42221 4.027 Million
Tabula Rasa HealthCare Inc TRHC SH 70956 4.003 Million
IHS Markit Ltd INFO SH 73588 4.002 Million
Stanley Black & Decker Inc. SWK SH 29301 3.99 Million
Boston Properties, Inc. BXP SH 29710 3.978 Million
Synopsys Inc. SNPS SH 34276 3.947 Million
FirstEnergy Corp. FE SH 94813 3.945 Million
Equity Commonwealth Inc. EQC SH 119880 3.919 Million
Ball Corp. BLL SH 67173 3.887 Million
Newmont Goldcorp Corp NEM SH 108188 3.87 Million
Ulta Beauty Inc ULTA SH 11092 3.868 Million
Brooks Automation Inc BRKS SH 131865 3.868 Million
Vanguard Emerging Markets Government Bond ETF VWOB SH 49325 3.86 Million
iShares Broad USD Inv Gr Corp Bd ETF USIG SH 69659 3.851 Million
Green Dot Corp GDOT SH 63312 3.84 Million
Kraft Heinz Co. (The) KHC SH 117588 3.839 Million
Western Union Co (The) WU SH 207771 3.838 Million
Edison International (Southern California Edison) EIX SH 61908 3.833 Million
Weyerhaeuser Corp. WY SH 145410 3.83 Million
Ra Pharmaceuticals Inc RARX SH 170677 3.823 Million
IDEXX Laboratories Inc. IDXX SH 17013 3.804 Million
Cymabay Therapeutics Inc CBAY SH 284926 3.784 Million
ON Semiconductor Corp ON SH 183882 3.782 Million
ICICI Bank Ltd. ADS ADR IBN SH 329358 3.774 Million
Sanofi SA SNY SH 85097 3.768 Million
Nektar Therapeutics, Inc. NKTR SH 111183 3.736 Million
Blueprint Medicines Corp BPMC SH 46621 3.732 Million
Citizens Financial Group Inc CFG SH 114715 3.728 Million
iShares Core S&P 500 ETF IVV SH 13077 3.721 Million
VeriSign Inc. VRSN SH 20448 3.713 Million
Microchip Technology Inc MCHP SH 44685 3.707 Million
WisdomTree Europe Hedged SmallCap Equity Fund EUSC SH 122537 3.696 Million
Harris Corp. (Harris-Seybold-Potter - Harris Intertype) HRS SH 22992 3.672 Million
The Medicines Co MDCO SH 131347 3.671 Million
Essex Property Trust, Inc. ESS SH 12615 3.649 Million
iShares MBS ETF MBB PRN 34028 3.619 Million
Freeport-McMoRan Copper & Gold, Inc FCX SH 279140 3.598 Million
Columbia Banking System, Inc. COLB SH 109569 3.582 Million
Splunk Inc SPLK SH 28553 3.558 Million
Sirius XM Holdings Inc SIRI SH 626050 3.55 Million
Cerner Corp. CERN SH 62021 3.548 Million
Hartford Financial Services Group HIG SH 71364 3.548 Million
Fastenal Co. FAST SH 55158 3.547 Million
Northern Trust Corp. NTRS SH 39158 3.54 Million
Nucor Corp. NUE SH 60650 3.539 Million
McCormick & Co. Non-Voting Shares MKC SH 23373 3.521 Million
SPDR Bloomberg Barclays Short Term High Yie SJNK SH 129125 3.519 Million
Copart Inc. CPRT SH 58034 3.516 Million
Matador Resources Co MTDR SH 181796 3.514 Million
Ameren Corporation AEE SH 47538 3.496 Million
Vanguard Large-Cap ETF VV SH 26852 3.485 Million
AnaptysBio Inc ANAB SH 47688 3.484 Million
Xencor Inc XNCR SH 112113 3.482 Million
Cintas Corporation CTAS SH 17163 3.469 Million
HCP Inc. HCP SH 110207 3.449 Million
SS&C Technologies Holdings Inc SSNC SH 53756 3.424 Million
L3 Technologies Inc LLL SH 16554 3.416 Million
Pinnacle West Capital Corp PNW SH 35727 3.415 Million
MSCI Inc MSCI SH 17154 3.411 Million
Celanese Corp CE SH 34465 3.399 Million
Sonos Inc SONO SH 328788 3.383 Million
Argenx SE ADS ADR ARGX SH 26958 3.365 Million
Inogen Inc INGN SH 35223 3.359 Million
Republic Services Inc. RSG SH 41658 3.348 Million
SPDR Nuveen Bloomberg Barclays Municipal TFI SH 67630 3.333 Million
Chipotle Mexican Grill, Inc. CMG SH 4683 3.326 Million
Entergy Corp. ETR SH 34621 3.311 Million
Immunomedics Inc. IMMU SH 172005 3.304 Million
Vanguard Real Estate ETF VNQ SH 37970 3.3 Million
CoStar Group Inc CSGP SH 6984 3.257 Million
Ra Pharmaceuticals Inc RARX SH 144155 3.229 Million
Alexandria Real Estate Equities, Inc. ARE SH 22499 3.207 Million
Hershey Company (The) HSY SH 27766 3.188 Million
Voyager Therapeutics Inc VYGR SH 165619 3.17 Million
Cymabay Therapeutics Inc CBAY SH 238188 3.163 Million
ANSYS, Inc. ANSS SH 17188 3.14 Million
Maxim Integrated Products Inc MXIM SH 58966 3.135 Million
Garmin Ltd GRMN SH 36262 3.131 Million
Genuine Parts Co. GPC SH 27877 3.123 Million
VanEck Vectors AMT-Free Intermediate Mun ITM SH 63883 3.117 Million
BioMarin Pharmaceutical Inc BMRN SH 35071 3.115 Million
Allogene Therapeutics Inc ALLO SH 107309 3.102 Million
Diamondback Energy Inc FANG SH 30511 3.098 Million
Amphastar Pharmaceuticals Inc AMPH SH 151390 3.093 Million
REGENXBIO Inc RGNX SH 53849 3.086 Million
WageWorks Inc WAGE SH 81701 3.085 Million
Ligand Pharmaceuticals, Inc. LGND SH 24389 3.066 Million
Iron Mountain, Inc. IRM SH 86306 3.06 Million
Veeva Systems Inc VEEV SH 24075 3.054 Million
CDW Corp. CDW SH 31656 3.051 Million
China Biologic Products Holdings Inc CBPO SH 33270 3.036 Million
Del Taco Restaurants Inc TACO SH 301221 3.03 Million
CBS Corp CBS SH 63707 3.028 Million
CMS Energy Corp. (Consumers Power Co.) CMS SH 54515 3.028 Million
Cheniere Energy Inc LNG SH 44153 3.018 Million
ConAgra Brands Inc CAG SH 108539 3.011 Million
Akamai Technologies Inc. AKAM SH 41718 2.992 Million
Vulcan Materials Company VMC SH 25169 2.98 Million
Dave & Busters Entertainment Inc PLAY SH 59668 2.976 Million
CenterPoint Energy Inc CNP SH 96779 2.971 Million
AMN Healthcare Services Inc AMN SH 62641 2.95 Million
AnaptysBio Inc ANAB SH 40377 2.95 Million
Xencor Inc XNCR SH 94857 2.946 Million
First Data Corp FDC SH 111697 2.934 Million
PIMCO Enhanced Short Maturity ETF MINT SH 28845 2.929 Million
Evergy (Kansas Power & Light - Western Resources - Westar Energy Inc.) EVRG SH 50365 2.924 Million
WAVE Life Sciences Ltd WVE SH 74780 2.905 Million
Quest Diagnostics, Inc. DGX SH 32017 2.879 Million
D.R. Horton, Inc. DHI SH 69064 2.858 Million
Chemours Co (The) CC SH 76325 2.836 Million
Sientra Inc SIEN SH 330262 2.834 Million
Catalent Inc CTLT SH 69809 2.834 Million
Sonos Inc SONO SH 274996 2.83 Million
Argenx SE ADS ADR ARGX SH 22631 2.825 Million
Qurate Retail Group Inc Series A (Formerly Liberty Interactive) QRTEA SH 176413 2.819 Million
Symantec Corp. SYMC SH 121855 2.801 Million
ResMed Inc. RMD SH 26940 2.801 Million
Annaly Mortgage Management, Inc. NLY SH 280360 2.801 Million
Principal Financial Group PFG SH 55780 2.8 Million
Arthur J. Gallagher & Co Inc AJG SH 35711 2.789 Million
Xylem Inc XYL SH 35119 2.776 Million
Lennar Corp. Class A LEN SH 56519 2.775 Million
Baker Hughes Class A BHGE SH 99284 2.752 Million
Equifax Inc. EFX SH 23065 2.733 Million
Kellogg Co. K SH 47518 2.727 Million
VanEck Vectors JP Morgan EM Local Curren EMLC SH 80893 2.699 Million
TD Ameritrade Holding Corp Class A AMTD SH 53981 2.699 Million
Grainger (W.W.) Inc. GWW SH 8948 2.693 Million
Insulet Corp PODD SH 28223 2.684 Million
Charles River Laboratories International Inc CRL SH 18471 2.683 Million
Marathon Oil Corp. (1901) (old U.S. Steel) MRO SH 159870 2.671 Million
WellCare Health Plans Inc WCG SH 9901 2.671 Million
Markel Corp. (Holding Co.) MKL SH 2678 2.668 Million
Immunomedics Inc. IMMU SH 138341 2.658 Million
Dover Corp. DOV SH 28277 2.652 Million
Fox Corp. Class A FOXA SH 72130 2.648 Million
REGENXBIO Inc RGNX SH 46115 2.643 Million
Teleflex, Inc. TFX SH 8722 2.635 Million
Gartner, Inc. IT SH 17331 2.629 Million
Allogene Therapeutics Inc ALLO SH 90816 2.625 Million
UDR Inc. UDR SH 57374 2.608 Million
Zebra Technologies Corp ZBRA SH 12435 2.606 Million
Loews Corp L SH 53824 2.58 Million
Del Taco Restaurants Inc TACO SH 255508 2.57 Million
Pultegroup Inc PHM SH 91892 2.569 Million
Amphastar Pharmaceuticals Inc AMPH SH 125688 2.568 Million
Voyager Therapeutics Inc VYGR SH 133775 2.56 Million
WisdomTree US SmallCap ETF EES SH 70890 2.56 Million
Arch Capital Group Ltd. ACGL SH 79195 2.56 Million
Cincinnati Financial Corp. CINF SH 29725 2.553 Million
Hunt (J.B.) Transport Services, Inc. JBHT SH 25034 2.536 Million
Apache Corp. APA SH 73157 2.536 Million
Supernus Pharmaceuticals Inc SUPN SH 72324 2.534 Million
American Airlines Group Inc AAL SH 79414 2.522 Million
Hologic Inc. HOLX SH 51966 2.515 Million
Tiffany & Co. (DE) TIF SH 23653 2.497 Million
Banco Bilbao Vizcaya Argentaria SA ADR BBVA SH 435128 2.493 Million
Atlassian Corp Plc TEAM SH 22177 2.492 Million
WageWorks Inc WAGE SH 65715 2.481 Million
Vanguard Mid-Cap ETF VO SH 15418 2.478 Million
Smucker (J.M.) Co. SJM SH 21252 2.476 Million
Houlihan Lokey Inc HLI SH 53751 2.464 Million
Collegium Pharmaceutical Inc COLL SH 162779 2.464 Million
Molson Coors Brewing Company TAP SH 41250 2.461 Million
Vail Resorts Inc MTN SH 11321 2.46 Million
Textron Inc. TXT SH 48453 2.455 Million
Abiomed Inc ABMD SH 8521 2.434 Million
Sientra Inc SIEN SH 280837 2.41 Million
iShares Russell 1000 Growth ETF IWF SH 15887 2.405 Million
Mid-America Apartment Communities, Inc. MAA SH 21989 2.404 Million
Kansas City Southern Industries Inc. KSU SH 20708 2.402 Million
Extra Space Storage, Inc. EXR SH 23383 2.383 Million
Dave & Busters Entertainment Inc PLAY SH 47692 2.378 Million
W.P. Carey Inc WPC SH 30363 2.378 Million
WAVE Life Sciences Ltd WVE SH 61128 2.375 Million
TransUnion TRU SH 35485 2.372 Million
Avery Dennison Corp. AVY SH 20906 2.362 Million
Vanguard FTSE Pacific ETF VPL SH 35603 2.345 Million
Ralph Lauren Corp. Class A RL SH 18052 2.341 Million
CarMax Inc. KMX SH 33393 2.331 Million
Noble Energy, Inc NBL SH 92843 2.296 Million
Atmos Energy Corp ATO SH 22092 2.274 Million
Alliant Energy Corp LNT SH 47998 2.262 Million
IDEX Corp. IEX SH 14785 2.243 Million
Vornado Realty Trust VNO SH 32899 2.219 Million
Universal Health Services Class B UHS SH 16248 2.173 Million
Canadian Pacific Railway Ltd. (2001) CP SH 10465 2.156 Million
Continental Resources Inc CLR SH 48015 2.15 Million
CDK Global Inc CDK SH 36226 2.131 Million
Burlington Stores Inc BURL SH 13540 2.121 Million
PerkinElmer Inc. PKI SH 22001 2.12 Million
Vanguard Financials ETF VFH SH 32838 2.119 Million
Henry (Jack) & Associates, Inc. JKHY SH 15267 2.118 Million
iShares Russell Mid-Cap ETF IWR SH 39080 2.108 Million
Smith (A.O.) Corp., Class B AOS SH 39522 2.107 Million
Supernus Pharmaceuticals Inc SUPN SH 59965 2.101 Million
DENTSPLY International Inc. (1983) XRAY SH 42235 2.094 Million
Nasdaq Inc NDAQ SH 23900 2.091 Million
Duke Realty Corp. DRE SH 68372 2.091 Million
AXA Equitable Holdings Inc EQH SH 103729 2.089 Million
Dominos Pizza Inc DPZ SH 8074 2.084 Million
STERIS Corp. STE SH 16269 2.083 Million
Patterson-UTI Energy Inc PTEN SH 148168 2.077 Million
Spirit Airlines Inc SAVE SH 39124 2.068 Million
iShares S&P 500 Growth ETF IVW SH 11873 2.046 Million
Raymond James Financial Inc. RJF SH 25340 2.038 Million
Gritstone Oncology Inc GRTS SH 153164 2.037 Million
NiSource Inc. NI SH 70293 2.015 Million
DexCom Inc DXCM SH 16788 1.999 Million
MAXIMUS, Inc. MMS SH 28029 1.989 Million
National Oilwell Varco, Inc. NOV SH 74466 1.984 Million
Tapestry Inc TPR SH 60963 1.981 Million
Regency Centers Corp REG SH 29005 1.958 Million
NVR Inc NVR SH 705 1.951 Million
Teva Pharmaceutical Industries Ltd, ADR TEVA SH 124099 1.946 Million
Collegium Pharmaceutical Inc COLL SH 128369 1.944 Million
Ionis Phrmacutls IONS SH 23864 1.937 Million
Fidelity National Financial Inc FNF SH 52892 1.933 Million
Hasbro Inc. HAS SH 22697 1.93 Million
UGI Corp. (United Gas Improvement) UGI SH 34777 1.927 Million
Sun Communities, Inc. SUI SH 16207 1.921 Million
Franklin Resources Inc BEN SH 57917 1.919 Million
Federal Realty Investment Trust FRT SH 13911 1.918 Million
SPDR S&P Utilities ETF XLU SH 32870 1.912 Million
Berkeley (W.R.) Corp. WRB SH 22475 1.904 Million
Jacobs Engineering Group JEC SH 25283 1.901 Million
Domtar Corp UFS SH 37924 1.883 Million
American Capital Agency Corp. AGNC SH 104502 1.881 Million
PVH Corp. (Phillips Jones - Phillips Van Heusen Corp.) PVH SH 15370 1.874 Million
Equity Lifestyle Properties Inc ELS SH 16385 1.873 Million
Fox Corp FOX SH 52031 1.867 Million
Avrobio Inc AVRO SH 84361 1.86 Million
WestRock Co WRK SH 48312 1.853 Million
Liberty Broadband Corp Class C LBRDK SH 20183 1.852 Million
Arrow Electronics Corp. ARW SH 24002 1.85 Million
Old Dominion Freight Line Inc ODFL SH 12777 1.845 Million
iShares MSCI India Index Fund INDA SH 52093 1.836 Million
Mosaic Company (The) MOS SH 67226 1.836 Million
FactSet Research Systems Inc FDS SH 7325 1.819 Million
Packaging Corp. of America PKG SH 18296 1.818 Million
EPAM Systems, Inc. EPAM SH 10731 1.815 Million
Huntington Ingalls Industries Inc HII SH 8714 1.806 Million
Camden Property Trust CPT SH 17695 1.796 Million
Targa Resources Inc TRGP SH 43195 1.795 Million
Schein (Henry) Inc. HSIC SH 29841 1.794 Million
NuCana PLC ADR NCNA SH 104800 1.782 Million
Tableau Software Inc DATA SH 13872 1.766 Million
Snap-On Inc. SNA SH 11260 1.762 Million
PG&E Corp. (Pacific Gas & Electric) PCG SH 98786 1.758 Million
MarketAxess Holdings Inc MKTX SH 7111 1.75 Million
Leidos Holdings Inc LDOS SH 27269 1.748 Million
Tech Data Corp. TECD SH 16833 1.724 Million
Qiagen N.V. QGEN SH 42324 1.722 Million
Dell Technologies Inc DELL SH 29279 1.718 Million
Molina Healthcare Inc MOH SH 12104 1.718 Million
Sage Therapeutics Inc SAGE SH 10802 1.718 Million
Discovery Inc Series C DISCK SH 67246 1.709 Million
Alleghany Corp (NY) Y SH 2787 1.707 Million
Zendesk Inc ZEN SH 20077 1.707 Million
National Retail Properties, Inc. NNN SH 30694 1.7 Million
Invitation Homes Inc INVH SH 69497 1.691 Million
iShares Emerging Markets Dividend Index Fund ETF DVYE SH 41932 1.686 Million
Callon Petroleum Co. (1994) CPE SH 223039 1.684 Million
Live Nation Entertainment Inc LYV SH 26441 1.68 Million
American Financial Group Inc. (Holding Co.) AFG SH 17437 1.678 Million
VICI Properties Inc VICI SH 76554 1.675 Million
Albemarle Corp. ALB SH 20409 1.673 Million
Zions Bancorp ZION SH 36820 1.672 Million
Interpublic Group of Companies Inc (The) IPG SH 79507 1.67 Million
Mobile Telesystems OJSC ADS ADR MBT SH 220668 1.668 Million
Cognex Corp CGNX SH 32684 1.662 Million
JPMorgan BetaBuilders Japan ETF BBJP SH 72515 1.648 Million
QEP Resources Inc QEP SH 211393 1.647 Million
Tyson Foods, Inc. TSN SH 23662 1.643 Million
Merit Medical Systems Inc. MMSI SH 26415 1.633 Million
Torchmark Corp. (Liberty National Life Insurance) TMK SH 19838 1.626 Million
Gritstone Oncology Inc GRTS SH 122031 1.623 Million
Wayfair Inc Class A W SH 10912 1.62 Million
Nielsen N.V. NLSN SH 68092 1.612 Million
Vanguard FTSE All World Ex US ETF VEU SH 32015 1.606 Million
Teledyne Technologies, Inc. TDY SH 6773 1.605 Million
Whirlpool Corp. (DE) WHR SH 12023 1.598 Million
New Residential Investment Corp. NRZ SH 93678 1.584 Million
MKS Instruments Inc MKSI SH 16999 1.582 Million
Arconic Inc. (Alcoa) ARNC SH 82621 1.579 Million
Tyler Technologies Inc TYL SH 7712 1.576 Million
Cimarex Energy Co. XEC SH 22525 1.574 Million
Schwab U.S. Mid Cap ETF SCHM SH 28277 1.566 Million
Gaming and Leisure Properties Inc GLPI SH 40510 1.562 Million
Vanguard Industrials ETF VIS SH 11120 1.556 Million
VEREIT Inc VER SH 185197 1.55 Million
Black Knight Inc BKI SH 28314 1.543 Million
Borg Warner Inc BWA SH 40168 1.543 Million
Guidewire Software, Inc. GWRE SH 15820 1.537 Million
Kilroy Realty Corp. KRC SH 20227 1.536 Million
HD Supply Holdings Inc HDS SH 35422 1.536 Million
Invesco Ltd. ADR IVZ SH 79481 1.535 Million
Vanguard Consumer Staples ETF VDC SH 10507 1.526 Million
Toro Co TTC SH 22082 1.52 Million
WEX, Inc. WEX SH 7912 1.519 Million
Seattle Genetics Inc SGEN SH 20707 1.517 Million
Neurocrine Biosciences Inc. NBIX SH 17198 1.515 Million
Sarepta Therapeutics Inc SRPT SH 12682 1.512 Million
Mohawk Industries Inc. MHK SH 11955 1.508 Million
Biotechne Corp TECH SH 7548 1.499 Million
Apartment Investment and Management Co AIV SH 29755 1.496 Million
RPM International Inc. RPM SH 25765 1.495 Million
Fair Isaac Corp FICO SH 5498 1.493 Million
Service Corp. International, Inc. SCI SH 37033 1.487 Million
Amdocs Ltd DOX SH 27431 1.484 Million
FMC Corp. (Food Machinery & Chemical Corp.) FMC SH 19255 1.479 Million
Omega Healthcare Investors, Inc. OHI SH 38612 1.473 Million
Avrobio Inc AVRO SH 66457 1.465 Million
FB Financial Corp FBK SH 45825 1.455 Million
SiteOne Landscape Supply Inc SITE SH 25414 1.452 Million
Peoples United Financial, Inc. PBCT SH 88105 1.448 Million
Galapagos NV ADR GLPG SH 12213 1.438 Million
Kimco Realty Corp. KIM SH 77631 1.436 Million
US Foods Holding Corp USFD SH 41136 1.436 Million
Bunge Ltd. ADR BG SH 26885 1.427 Million
Ringcentral Inc RNG SH 13151 1.418 Million
SL Green Realty Corp. SLG SH 15754 1.417 Million
Middleby Corp (The) MIDD SH 10879 1.415 Million
East West Bancorp, Inc. EWBC SH 29484 1.414 Million
Sealed Air Corp. SEE SH 30536 1.406 Million
NuCana PLC ADR NCNA SH 82700 1.406 Million
Unum Group, Inc. UNM SH 41541 1.405 Million
Bright Horizons Family Solutions, Inc. BFAM SH 11009 1.399 Million
Sensata Technologies Holding N.V. ST SH 30969 1.394 Million
Berry Global Group Inc BERY SH 25721 1.386 Million
Aramark ARMK SH 46889 1.386 Million
DaVita HealthCare Partners Inc DVA SH 25301 1.374 Million
Carlisle Companies Inc CSL SH 11180 1.371 Million
Liberty Property Trust LPT SH 28234 1.367 Million
CGI GIB SH 19852 1.365 Million
Brown & Brown Inc. BRO SH 46104 1.361 Million
KAR Auction Services Inc KAR SH 26452 1.357 Million
Okta Inc OKTA SH 16355 1.353 Million
Euronet Worldwide Inc. EEFT SH 9474 1.351 Million
Crown Holdings Inc. (Crown Cork & Seal) CCK SH 24702 1.348 Million
EPR Properties EPR SH 17521 1.347 Million
Hill-Rom Holdings HRC SH 12714 1.346 Million
Newell Brands Inc NWL SH 87720 1.346 Million
Dish Network Corp, Class A DISH SH 42398 1.344 Million
Lamar Advertising Co LAMR SH 16874 1.337 Million
Exelixis Inc EXEL SH 56183 1.337 Million
VanEck Vect AMT-Free Long Muni Index ETF MLN SH 65650 1.333 Million
Liberty Media Corp Series C FWONK SH 37914 1.329 Million
Genpact Ltd G SH 37178 1.308 Million
Fortune Brands Home & Security Inc FBHS SH 27367 1.303 Million
FLIR Systems Inc FLIR SH 27201 1.294 Million
Campbell Soup Co. CPB SH 33890 1.292 Million
XPO Logistics Inc XPO SH 24043 1.292 Million
Medical Properties Trust Inc MPW SH 69759 1.291 Million
Alaska Air Group Inc ALK SH 22952 1.288 Million
Cinemark Holdings Inc CNK SH 32160 1.286 Million
Evercore Inc. Class A EVR SH 14037 1.277 Million
Schwab U.S. Small-Cap ETF SCHA SH 18257 1.277 Million
Callon Petroleum Co. (1994) CPE SH 169085 1.277 Million
Vanguard Communication Services ETF VOX SH 15247 1.273 Million
Oshkosh Corporation OSK SH 16949 1.273 Million
Patterson-UTI Energy Inc PTEN SH 90788 1.273 Million
AptarGroup, Inc. ATR SH 11909 1.267 Million
Pool Corp POOL SH 7604 1.254 Million
Liberty Sirius XM Group, Series C LSXMK SH 32706 1.251 Million
Integra LifeSciences Holdings Corp IART SH 22440 1.25 Million
American Campus Communities Inc ACC SH 26250 1.249 Million
Douglas Emmett Inc DEI SH 30798 1.245 Million
Aqua America, Inc. WTR SH 34134 1.244 Million
G1 Therapeutics Inc GTHX SH 74413 1.235 Million
Sonoco Products Co. SON SH 20045 1.233 Million
Hanesbrands, Inc. HBI SH 68953 1.233 Million
Hubbell Inc Class B HUBB SH 10440 1.232 Million
Zayo Group Holdings Inc ZAYO SH 43296 1.23 Million
iShares International Developed Real Estate ETF IFGL SH 40457 1.23 Million
STORE Capital Corp STOR SH 36629 1.227 Million
Timken (Roller Bearing Axle) Co. TKR SH 28116 1.226 Million
Watsco Inc. WSO SH 8553 1.225 Million
Masimo Corp MASI SH 8837 1.222 Million
FB Financial Corp FBK SH 38473 1.222 Million
PRA Health Sciences Inc PRAH SH 11060 1.22 Million
ServiceMaster Global Holdings Inc SERV SH 26067 1.217 Million
L Brands Inc LB SH 43737 1.206 Million
GrubHub Inc GRUB SH 17238 1.198 Million
TE Connectivity Ltd TEL SH 14818 1.197 Million
Dunkin Brands Group Inc DNKN SH 15908 1.195 Million
Park Hotels & Resorts Inc PK SH 38378 1.193 Million
Reliance Steel & Aluminum Co. RS SH 13114 1.184 Million
Flowserve Corporation FLS SH 26208 1.183 Million
Perrigo Co PLC PRGO SH 24377 1.174 Million
Check Point Software Technologies Ltd CHKP SH 9267 1.172 Million
Rollins, Inc. ROL SH 28009 1.166 Million
Starwood Property Trust Inc STWD SH 51644 1.154 Million
RenaissanceRe Holdings Ltd RNR SH 8040 1.154 Million
Sabre Corp SABR SH 53920 1.153 Million
Fluor Corp. FLR SH 31330 1.153 Million
Hexcel Corp HXL SH 16621 1.15 Million
Landstar System Inc LSTR SH 10502 1.149 Million
Toyota Motors Corp. ADR TM SH 9706 1.146 Million
Helmerich & Payne, Inc. HP SH 20472 1.137 Million
Royal Gold Inc RGLD SH 12504 1.137 Million
CubeSmart CUBE SH 35393 1.134 Million
Old Republic International Corp. ORI SH 54196 1.134 Million
Macerich Company (The) MAC SH 25961 1.125 Million
Healthcare Trust of America Inc HTA SH 39359 1.125 Million
American Homes 4 Rent AMH SH 49339 1.121 Million
Commerce Bancshares, Inc. (Commerce Trust Co., Kansas City, MO) CBSH SH 19289 1.12 Million
Harley Davidson Inc HOG SH 31314 1.117 Million
Grand Canyon Education Inc LOPE SH 9727 1.114 Million
First American Corp (The) FAF SH 21530 1.109 Million
LogMein Inc LOGM SH 13837 1.108 Million
Cullen/Frost Bankers, Inc. (Frost National Bank) (San Antonio, TX) CFR SH 11403 1.107 Million
Encompass Health Corp EHC SH 18882 1.103 Million
Herbalife Nutrition Ltd HLF SH 20720 1.098 Million
Madison Square Garden Company MSG SH 3716 1.089 Million
GCI Liberty Inc. (Liberty Interactive Corp.) GLIBA SH 19511 1.085 Million
Synovus Financial Corp. (Columbus, GA) SNV SH 31353 1.077 Million
Affiliated Managers Group Inc AMG SH 10045 1.076 Million
Alkermes Plc. ALKS SH 29376 1.072 Million
Leggett & Platt Inc. LEG SH 25120 1.061 Million
Brixmor Property Group Inc BRX SH 57616 1.058 Million
Quanta Services, Inc. PWR SH 28009 1.057 Million
ManpowerGroup Inc. MAN SH 12766 1.056 Million
New York Community Bancorp NYCB SH 91110 1.054 Million
CyrusOne Inc CONE SH 20001 1.049 Million
Versum Materials Inc VSM SH 20843 1.049 Million
Origin Bancorp Inc OBNK SH 30670 1.044 Million
JPMorgan Ultra-Short Income ETF JPST SH 20757 1.044 Million
Jefferies Financial Group Inc JEF SH 55511 1.043 Million
Hudson Pacific Properties Inc HPP SH 30302 1.043 Million
Five9 Inc FIVN SH 19723 1.042 Million
SPDR S&P Regional Banking ETF KRE SH 20194 1.037 Million
EQT Corporation (Equitable Gas Co.) EQT SH 49841 1.034 Million
Cypress Semiconductor Corp CY SH 69045 1.03 Million
Jabil Inc JBL SH 38530 1.025 Million
Nutanix Inc NTNX SH 27135 1.024 Million
Lincoln Electric Holdings Inc LECO SH 12191 1.022 Million
G1 Therapeutics Inc GTHX SH 61575 1.022 Million
Coty Inc. COTY SH 88846 1.022 Million
Axalta Coating Systems Ltd AXTA SH 40351 1.017 Million
Alcoa Corp AA SH 35688 1.005 Million
WPX Energy Inc WPX SH 76531 1.003 Million
WisdomTree International Hedged Dividend Growth Fund IHDG SH 31130 1.002 Million
SPDR S&P MidCap 400 ETF MDY SH 2877 993.716 Thousand
TeraData Corp. TDC SH 22741 992.645 Thousand
Keurig Dr Pepper Inc KDP SH 35452 991.593 Thousand
Chemed Corporation CHE SH 3096 990.936 Thousand
Grace (W.R.) & Co. (DE) GRA SH 12670 988.767 Thousand
Polaris Industries Inc. PII SH 11706 988.337 Thousand
ARRIS International Plc ARRS SH 31252 987.876 Thousand
Allison Transmission Holdings Inc ALSN SH 21890 983.299 Thousand
Genesee & Wyoming Inc, Class A GWR SH 11262 981.371 Thousand
Vanguard Short-Term Inflation-Protected Securities ETF VTIP SH 20089 977.933 Thousand
Deutsche X-trackers MSCI Japan Hedged Equity ETF DBJP SH 24576 977.879 Thousand
Dolby Laboratories DLB SH 15474 974.398 Thousand
Parsley Energy Inc PE SH 50450 973.685 Thousand
Credit Acceptance Corp. CACC SH 2152 972.553 Thousand
ITT Inc. (International Telephone and Telegraph) ITT SH 16767 972.486 Thousand
Toll Brothers, Inc. TOL SH 26791 969.834 Thousand
CIT Group Inc (DEL) CIT SH 20151 966.643 Thousand
JetBlue Airways Corp JBLU SH 58984 964.979 Thousand
National Fuel Gas Co. NFG SH 15820 964.387 Thousand
Bemis Company Inc. BMS SH 17371 963.743 Thousand
MDU Resources Group MDU SH 37162 959.895 Thousand
BWX Technologies Inc BWXT SH 19292 956.497 Thousand
Curtiss-Wright Corp. CW SH 8412 953.416 Thousand
National Instruments Corp NATI SH 21403 949.437 Thousand
Murphy Oil Corp. MUR SH 32217 943.958 Thousand
Schwab Emerging Markets Equity ETF SCHE SH 36291 943.929 Thousand
Eaton Vance Corp. EV SH 23386 942.69 Thousand
Assurant Inc. AIZ SH 9921 941.602 Thousand
Wyndham Hotels & Resorts Inc WH SH 18819 940.762 Thousand
Huntsman Corp HUN SH 41746 938.868 Thousand
iShares 1-3 Year Treasury Bond ETF SHY SH 11065 930.788 Thousand
USG Corp. (United States Gypsum) USG SH 21341 924.066 Thousand
Nuance Communications, Inc. NUAN SH 54577 923.989 Thousand
Hanover Insurance Group, Inc. (The) THG SH 8093 923.978 Thousand
Prosperity Bancshares Inc PB SH 13321 919.948 Thousand
Avnet Inc AVT SH 21121 916.018 Thousand
Acuity Brands Inc (Holding Company) AYI SH 7610 913.276 Thousand
PacWest Bancorp (DE) PACW SH 24213 910.651 Thousand
News Inc. Class A NWSA SH 73120 909.613 Thousand
Highwoods Properties, Inc. HIW SH 19404 907.719 Thousand
Caseys General Stores, Inc. CASY SH 6934 892.891 Thousand
Armstrong World Industries Inc. AWI SH 11220 891.093 Thousand
Assured Guaranty Ltd. ADR AGO SH 20036 890.2 Thousand
Transocean Ltd RIG SH 102015 888.551 Thousand
First Horizon National Corp. (First National Bank, Memphis, TN) FHN SH 63549 888.418 Thousand
Emergent BioSolutions Inc EBS SH 17534 885.818 Thousand
Aecom ACM SH 29781 883.602 Thousand
Equitrans Midstream Corp ETRN SH 40523 882.591 Thousand
Bruker Corp BRKR SH 22946 882.044 Thousand
Carters Inc CRI SH 8731 879.997 Thousand
Hospitality Properties Trust HPT SH 33388 878.438 Thousand
Axis Capital Holdings Ltd AXS SH 15921 872.152 Thousand
First Solar Inc FSLR SH 16333 863.036 Thousand
Williams-Sonoma Inc. WSM SH 15331 862.675 Thousand
Penumbra Inc PEN SH 5849 859.861 Thousand
Knight Transportation Inc. KNX SH 26192 855.955 Thousand
Mattel Inc. MAT SH 65730 854.49 Thousand
Life Storage Inc LSI SH 8775 853.544 Thousand
Brunswick Corp. BC SH 16866 848.866 Thousand
Hawaiian Electric Industries HE SH 20813 848.546 Thousand
Skechers USA, Inc. Class A SKX SH 25244 848.451 Thousand
Kirby Corp KEX SH 11268 846.339 Thousand
Erie Indemnity Co, Class A ERIE SH 4734 845.114 Thousand
Littelfuse Inc. LFUS SH 4619 842.875 Thousand
Malibu Boats Inc MBUU SH 21155 837.315 Thousand
Brighthouse Financial Inc BHF SH 22974 833.727 Thousand
RealPage Inc RP SH 13650 828.419 Thousand
Crane Company CR SH 9763 826.145 Thousand
JBG SMITH Properties JBGS SH 19950 824.933 Thousand
SLM Corp SLM SH 83102 823.541 Thousand
Manhattan Associates, Inc. MANH SH 14918 822.131 Thousand
Goodyear Tire and Rubber Co. GT SH 45209 820.543 Thousand
SM Energy Co SM SH 46814 818.777 Thousand
Howard Hughes Corp (The) HHC SH 7419 816.09 Thousand
Sterling Bancorp, Inc. (PRovident Bancorp) STL SH 43565 811.616 Thousand
Cable One Inc CABO SH 823 807.676 Thousand
SPDR S&P Oil & Gas Exploration & Production ETF XOP SH 26259 807.202 Thousand
ICU Medical Inc ICUI SH 3370 806.542 Thousand
Zillow Group Inc Class C Z SH 23178 805.204 Thousand
Lazard Ltd. Class A LAZ SH 22180 801.585 Thousand
Wynn Resorts Ltd WYNN SH 6716 801.353 Thousand
NewMarket Corp. (Albermarle Paper Manufacturing - Ethyl Corp.) NEU SH 1832 794.282 Thousand
CommScope Holding Co Inc COMM SH 36231 787.3 Thousand
Pembina Pipeline Corp PBA SH 21328 783.709 Thousand
Colfax Corp CFX SH 26327 781.386 Thousand
Zynga, Inc. ZNGA SH 146171 779.091 Thousand
UniFirst Corp UNF SH 5070 778.245 Thousand
Origin Bancorp Inc OBNK SH 22832 777.43 Thousand
Tribune Media Co TRCO SH 16812 775.706 Thousand
Rayonier Inc. RYN SH 24591 775.108 Thousand
Western Alliance Bancorporation WAL SH 18764 770.075 Thousand
Graphic Packaging Holding Company GPK SH 60530 764.494 Thousand
Nice Ltd Adr ADR NICE SH 6209 760.665 Thousand
Eagle Materials Inc. EXP SH 8973 756.424 Thousand
Associated Banc-Corp ASB SH 35216 751.861 Thousand
Under Armour Inc UAA SH 35455 749.519 Thousand
2U, Inc TWOU SH 10533 746.263 Thousand
CoreSite Realty Corp COR SH 6966 745.501 Thousand
Wyndham Destinations Inc WYND SH 18306 741.21 Thousand
Olin Corp. (Mathieson Chemical) OLN SH 31952 739.369 Thousand
Interactive Brokers Group Inc IBKR SH 14236 738.564 Thousand
Heico Corp. HEI SH 7698 730.309 Thousand
Flowers Foods FLO SH 34228 729.741 Thousand
Wintrust Financial Corp. WTFC SH 10834 729.453 Thousand
DocuSign Inc DOCU SH 14044 728.041 Thousand
Floor & Decor Holdings Inc FND SH 17621 726.338 Thousand
MSC Industrial Direct, Inc. MSM SH 8741 722.968 Thousand
PBF Energy Inc PBF SH 23183 721.919 Thousand
Aercap Holdings N.V. AER SH 15290 711.597 Thousand
Sprint Corp S SH 124902 705.696 Thousand
Clean Harbors Inc. CLH SH 9856 705 Thousand
Vanguard Mega Cap 300 Value Index ETF MGV SH 8984 701.022 Thousand
Vanguard Health Care ETF VHT SH 4063 700.786 Thousand
Umpqua Holdings Corp. UMPQ SH 42450 700.426 Thousand
Bank of the Ozarks OZK SH 24158 700.099 Thousand
White Mountains Insurance Group Inc WTM SH 756 699.663 Thousand
Pure Storage Inc PSTG SH 32084 699.11 Thousand
F.N.B. Corp. FNB SH 64581 684.558 Thousand
Columbia Sportswear Co COLM SH 6568 684.254 Thousand
Under Armour Inc Cl C UA SH 36258 684.189 Thousand
Vanguard Mega Cap 300 Growth Index ETF MGK SH 5501 684.049 Thousand
Ryder System Inc. R SH 11014 682.758 Thousand
Six Flags Entertainment Corp. SIX SH 13799 680.981 Thousand
Valvoline Inc VVV SH 36593 679.166 Thousand
TCF Financial Corp TCF SH 32749 677.576 Thousand
iShares MSCI South Korea Capped ETF EWY SH 11113 677.337 Thousand
Apple Hospitality REIT Inc APLE SH 41271 672.717 Thousand
TreeHouse Foods Inc THS SH 10398 671.191 Thousand
Weingarten Realty Investors WRI SH 22796 669.519 Thousand
Chimera Investment Corp CIM SH 35548 666.17 Thousand
Upwork Inc UPWK SH 34800 666.072 Thousand
Banner Corp BANR SH 12223 662.12 Thousand
Coherent Inc. COHR SH 4634 656.731 Thousand
Upwork Inc UPWK SH 34300 656.502 Thousand
United States Steel Corp. X SH 33679 656.404 Thousand
Air Lease Corp AL SH 19082 655.467 Thousand
First Hawaiian Inc FHB SH 25142 654.949 Thousand
Bank of Hawaii Corp. (Honolulu, HI) BOH SH 8258 651.309 Thousand
Agios Pharmaceuticals Inc AGIO SH 9644 650.391 Thousand
Extended Stay America Inc STAY SH 36151 648.91 Thousand
Spirit Realty Capital, Inc. SRC SH 16325 648.592 Thousand
Thor Industries, Inc. THO SH 10337 644.718 Thousand
BankUnited Inc BKU SH 19285 644.119 Thousand
iShares Russell 1000 ETF IWB SH 4051 637.263 Thousand
Two Harbors Investments Corp TWO SH 46960 635.369 Thousand
Scotts Miracle-Gro Co. (The) SMG SH 8061 633.434 Thousand
Liberty Sirius XM Group, Series A LSXMA SH 16576 632.872 Thousand
Southern Copper Corp. SCCO SH 15845 628.73 Thousand
Macquarie Infrastructure Co MIC SH 15181 625.761 Thousand
MFA Financial, Inc. MFA SH 85417 620.982 Thousand
NCR Corp. NCR SH 22750 620.847 Thousand
OUTFRONT Media Inc OUT SH 26448 618.883 Thousand
FireEye Inc FEYE SH 36849 618.695 Thousand
Chesapeake Energy Corp. CHK SH 199274 617.749 Thousand
First Citizens BancShares, Inc. Class A FCNCA SH 1511 615.279 Thousand
Apergy Corp APY SH 14878 610.891 Thousand
Trinity Industries Inc TRN SH 27814 604.398 Thousand
iShares Russell Midcap Growth ETF IWP SH 4414 598.847 Thousand
Taubman Centers, Inc. TCO SH 11311 598.126 Thousand
Integrated Device Technology Inc. IDTI SH 12090 592.289 Thousand
Owens-Illinois, Inc. OI SH 31157 591.36 Thousand
Integer Holdings Corp ITGR SH 7814 589.332 Thousand
Energizer Holdings Inc ENR SH 13110 589.032 Thousand
Telephone and Data Systems Inc TDS SH 19131 587.896 Thousand
Navient Corp NAVI SH 50053 579.113 Thousand
CoreLogic Inc. (First American Financial) CLGX SH 15531 578.685 Thousand
Hilton Grand Vacations Inc HGV SH 18483 570.201 Thousand
Paramount Group Inc PGRE SH 39053 554.162 Thousand
Graham Holdings, Inc. GHC SH 801 547.227 Thousand
Corporate Office Properties Trust OFC SH 19827 541.277 Thousand
Avangrid Inc AGR SH 10706 539.047 Thousand
Valmont Industries, Inc. VMI SH 4127 536.923 Thousand
Senior Housing Properties Trust SNH SH 45434 535.212 Thousand
Brandywine Realty Trust BDN SH 33687 534.276 Thousand
Vanguard Information Technology ETF VGT SH 2644 530.466 Thousand
NU Skin Enterprises Inc. Class A NUS SH 11040 528.374 Thousand
Match Group Inc MTCH SH 9294 526.134 Thousand
Texas Capital Bancshares Inc TCBI SH 9595 523.791 Thousand
Orix Corp ADS IX SH 7208 518.039 Thousand
Sprouts Farmers Market Inc SFM SH 23889 514.569 Thousand
Tempur Sealy International Inc TPX SH 8838 509.687 Thousand
Columbia Property Trust Inc CXP SH 22588 508.456 Thousand
iShares Russell 2000 Value ETF IWN SH 4240 508.376 Thousand
Choice Hotels International, Inc. CHH SH 6539 508.342 Thousand
iShares Trust iShares S&P MidCap 400 Growth Index Fund IJK SH 2317 507.655 Thousand
Vanguard Mid-Cap Growth ETF VOT SH 3555 507.547 Thousand
BOK Financial Corp BOKF SH 6218 507.078 Thousand
Vanguard Small-Cap Growth ETF VBK SH 2810 505.013 Thousand
Conduent Inc CNDT SH 36349 502.707 Thousand
Retail Properties of America Inc RPAI SH 41023 500.07 Thousand
AMERCO Inc UHAL SH 1342 498.566 Thousand
AMC Networks Inc AMCX SH 8697 493.641 Thousand
WESCO International, Inc WCC SH 9259 490.82 Thousand
Brookfield Property REIT Inc BPR SH 23911 489.936 Thousand
Acadia Healthcare Company Inc. ACHC SH 16642 487.777 Thousand
Moelis & Co MC SH 11721 487.711 Thousand
Univar Inc UNVR SH 21984 487.165 Thousand
Copa Holdings S.A. CPA SH 5976 481.725 Thousand
Range Resources Corp. RRC SH 42435 476.969 Thousand
Diageo Plc ADR DEO SH 2903 474.96 Thousand
Vanguard Small-Cap Value ETF VBR SH 3674 472.954 Thousand
Cantel Medical Corp CMD SH 7041 470.972 Thousand
Cabot Corp. CBT SH 11308 470.752 Thousand
Pegasystems Inc. PEGA SH 7193 467.545 Thousand
Santander Consumer USA Holdings Inc SC SH 22059 466.107 Thousand
OneMain Holdings Inc OMF SH 14611 463.899 Thousand
Resideo Technologies Inc REZI SH 23868 460.414 Thousand
Liberty Broadband Corp Class A LBRDA SH 5004 458.566 Thousand
South State Corp SSB SH 6671 455.896 Thousand
Mednax Inc MD SH 16717 454.201 Thousand
Morningstar Inc MORN SH 3561 448.65 Thousand
iShares MSCI United Kingdom ETF EWU SH 13582 448.342 Thousand
Pluralsight Inc PS SH 14117 448.074 Thousand
Whiting Petroleum Corp WLL SH 17099 446.968 Thousand
Frontdoor Inc FTDR SH 12954 445.877 Thousand
Legg Mason Inc. LM SH 16169 442.546 Thousand
Silgan Holdings Inc SLGN SH 14850 440.005 Thousand
Urban Outfitters Inc. URBN SH 14754 437.309 Thousand
Terex Corp. (Northwest Engineering Co.) TEX SH 13600 436.968 Thousand
Oasis Petroleum Inc OAS SH 72271 436.517 Thousand
Simpson Manufacturing Co., Inc. SSD SH 7322 433.975 Thousand
Ubiquiti Networks Inc UBNT SH 2897 433.709 Thousand
iShares MSCI Brazil Capped ETF EWZ SH 10537 431.912 Thousand
Element Solutions Inc ESI SH 42383 428.068 Thousand
Empire State Realty Trust Inc ESRT SH 27075 427.785 Thousand
Spectrum Brands Holdings (Zapata Off-Shore - HRG Group) SPB SH 7730 423.449 Thousand
Novo-Nordisk A/S ADS NVO SH 8064 421.828 Thousand
Hain Celestial Group HAIN SH 18030 416.853 Thousand
CNX Resources Corp. (CONSOL Energy) CNX SH 38387 413.428 Thousand
Welbilt Inc WBT SH 24845 406.961 Thousand
Antero Resources Corp AR SH 46040 406.533 Thousand
Vanguard Materials ETF VAW SH 3270 402.504 Thousand
SPDR S&P Dividend ETF SDY SH 3996 397.242 Thousand
Vanguard Mega Cap 300 Index ETF MGC SH 4065 397.11 Thousand
Site Centers Corp. (Developers Diversified Realty - DDR Corp.) SITC SH 29123 396.655 Thousand
Vanguard Value ETF VTV SH 3639 391.666 Thousand
Brookline Bancorp, Inc. BRKL SH 27011 388.958 Thousand
TFS Financial Corp TFSL SH 23382 385.102 Thousand
iShares S&P 500 Value ETF IVE SH 3399 383.203 Thousand
Visteon Corp. VC SH 5599 377.092 Thousand
Wiley (John) & Sons Inc Class A JW.A SH 8496 375.693 Thousand
Vanguard Growth ETF VUG SH 2396 374.782 Thousand
SPDR Euro STOXX 50 ETF FEZ SH 10226 374.067 Thousand
AutoNation, Inc. (Republic Industries) AN SH 10458 373.56 Thousand
Covetrus Inc CVET SH 11671 371.721 Thousand
Zillow Group Inc. Class B ZG SH 10623 363.307 Thousand
WisdomTree International SmallCap Fund DLS SH 5520 363.271 Thousand
Premier Inc PINC SH 10517 362.731 Thousand
Vanguard Mid-Cap Value ETF VOE SH 3347 361.074 Thousand
Uniti Group Inc UNIT SH 32180 360.095 Thousand
Vanguard Extended Market Index ETF VXF SH 3106 358.619 Thousand
Central Garden & Pet Co. Class A CENTA SH 14952 347.634 Thousand
Ceridian HCM Holding Inc CDAY SH 6692 343.3 Thousand
Vanguard Dividend Appreciation ETF VIG SH 3043 333.635 Thousand
EchoStar Corp. SATS SH 9128 332.716 Thousand
Penske Automotive Group, Inc. PAG SH 7395 330.187 Thousand
Anheuser-Busch Inbev SA ADR BUD SH 3880 325.804 Thousand
Royal Dutch Shell plc Class A ADR RDS.A SH 5084 318.208 Thousand
iShares National Muni Bond ETF MUB SH 2826 314.223 Thousand
Centennial Resource Development Inc CDEV SH 34968 307.369 Thousand
db X-trackers Harvest CSI 300 China A-Shares Fund ASHR SH 10597 304.452 Thousand
Berkshire Hathaway Inc Class A BRK.A SH 1 301.215 Thousand
News Inc. Class B NWS SH 23247 290.355 Thousand
Lions Gate Entertainment Corp Class B LGF.B SH 18908 285.511 Thousand
Kosmos Energy Ltd KOS SH 45396 282.817 Thousand
Arcosa Inc ACA SH 9257 282.801 Thousand
BGC Partners Inc BGCP SH 53114 282.036 Thousand
Invesco QQQ Trust Series 1 QQQ SH 1525 273.982 Thousand
TELUS Corp. Non-Voting Shares TU SH 7300 270.263 Thousand
RLI Corp. RLI SH 3751 269.134 Thousand
iShares MSCI China ETF MCHI SH 4287 267.637 Thousand
Silicon Laboratories Inc SLAB SH 3242 262.148 Thousand
Mercury General Corp. MCY SH 5218 261.265 Thousand
Realogy Holdings Corp RLGY SH 22419 255.577 Thousand
Market Vect AMT-Free Short Municipal Ind SMB SH 14431 253.408 Thousand
Univest Financial Corp UVSP SH 10014 244.942 Thousand
Canadian National Railway Co. CNI SH 2713 242.759 Thousand
Union Bankshare Corp. UBSH SH 7472 241.57 Thousand
Vanguard Utilities ETF VPU SH 1826 236.65 Thousand
Portland General Electric Co. POR SH 4558 236.287 Thousand
CNA Financial Corp. CNA SH 5396 233.917 Thousand
SPDR S&P Bank ETF KBE SH 5599 233.87 Thousand
iShares Russell Top 200 Growth ETF IWY SH 2830 232.711 Thousand
Adient Plc ADNT SH 17862 231.492 Thousand
Hope Bancorp Inc HOPE SH 17562 229.71 Thousand
Nabors Industries Ltd. NBR SH 66134 227.501 Thousand
Fuller (H.B.) Co. FUL SH 4609 224.182 Thousand
SPDR Bloomberg Barclays High Yield Bond ETF JNK SH 6131 220.532 Thousand
First Industrial Realty Trust, Inc. FR SH 6215 219.762 Thousand
Enbridge, Inc. ENB SH 6029 218.612 Thousand
Franco-Nevada Corp FNV SH 2829 212.163 Thousand
Garrett Motion Inc GTX SH 14339 211.213 Thousand
Total S.A. ADR TOT SH 3725 207.296 Thousand
iShares 20+ Year Treasury Bond ETF TLT SH 1528 193.2 Thousand
BP Plc ADR (British Petroleum) BP SH 4396 192.193 Thousand
Kaman Corp Class A KAMN SH 3243 189.521 Thousand
Royal Dutch Shell plc Class B ADR RDS.B SH 2962 189.42 Thousand
iShares MSCI Taiwan Capped ETF EWT SH 5437 188.011 Thousand
iShares Currency Hedged MSCI Eurozon ETF HEZU SH 6392 187.669 Thousand
Vanguard S&P 500 ETF VOO SH 708 183.754 Thousand
Astrazeneca PLC AZN SH 4507 182.218 Thousand
MercadoLibre Inc MELI SH 346 175.675 Thousand
NVE Corp NVEC SH 1750 171.308 Thousand
iShares Core S&P U.S. Growth ETF IUSG SH 2828 170.585 Thousand
iShares MSCI All Cntry Asia Ex Japan Index Fund AAXJ SH 2406 170.08 Thousand
JPMorgan BetaBuilders Europe ETF BBEU SH 7170 169.069 Thousand
iShares Short-Term National MuniBond ETF SUB SH 1573 166.738 Thousand
Magna International Inc. Class A MGA SH 3309 161.115 Thousand
Unilever PLC ADR UL SH 2789 160.981 Thousand
Toronto-Dominion Bank (The) TD SH 2879 156.416 Thousand
Constellation Brands, Inc. STZ SH 876 153.589 Thousand
WisdomTree Europe Hedged Equity Fund HEDJ SH 2349 150.125 Thousand
Suncor Energy, Inc. SU SH 4549 147.524 Thousand
WisdomTree Japan Hedged Equity Fund DXJ SH 2905 147.022 Thousand
GATX Corporation (General American Tank - General American Transportation) GATX SH 1916 146.325 Thousand
Royal Bank of Canada (NYSE) RY SH 1927 145.585 Thousand
iShares MSCI Russia Capped ETF New ERUS SH 4211 145.237 Thousand
iShares Russell Top 200 Value ETF IWX SH 2763 145.221 Thousand
iShares Russell Mid-Cap Value ETF IWS SH 1643 142.711 Thousand
Mellanox Technologies Ltd MLNX SH 1197 141.677 Thousand
GrafTech International Ltd EAF SH 10540 134.807 Thousand
ADT Inc ADT SH 20425 130.516 Thousand
Enterprise Products Partners LP EPD SH 4471 130.106 Thousand
Vanguard Russell 1000 Growth ETF VONG SH 801 124.539 Thousand
Fresenius Medical Care AG & Co KGaA ADS ADR FMS SH 2996 121.428 Thousand
Retail Opportunity Investments Corp ROIC SH 6952 120.548 Thousand
iShares Cohen & Steers Realty Majors Index Fund ICF SH 1045 116.204 Thousand
Etsy Inc ETSY SH 1709 114.879 Thousand
Vanguard Consumer Discretion ETF VCR SH 657 113.273 Thousand
Entegris Inc. ENTG SH 3160 112.78 Thousand
Deutsche X-trackers MSCI Europe Hedged Equity ETF DBEU SH 3910 110.809 Thousand
Extraction Oil & Gas Inc XOG SH 25984 109.912 Thousand
McDermott International Inc MDR SH 14737 109.643 Thousand
iShares MSCI EAFE Small-Cap ETF SCZ SH 1849 106.207 Thousand
Canon Inc. ADR CAJ SH 3396 98.62 Thousand
Vanguard Total World Stock Index ETF VT SH 1324 96.877 Thousand
BlackRock Muni Target Term Trust Inc BMN SH 4149 92.274 Thousand
HSBC Holdings plc ADR HSBC SH 2223 90.209 Thousand
Bank of Nova Scotia (NYSE) ADR BNS SH 1670 88.978 Thousand
WisdomTree US MidCap Dividend Fund DON SH 2472 88.473 Thousand
SeaSpine Holdings Corp SPNE SH 5803 87.509 Thousand
SPDR S&P Homebuilders ETF XHB SH 2226 85.812 Thousand
Fortis Inc FTS SH 2183 80.749 Thousand
iShares Intermediate-Term Corp Bd ETF IGIB SH 1448 79.843 Thousand
Strategic Education STRA SH 604 79.311 Thousand
Msg Networks Inc MSGN SH 3559 77.408 Thousand
SPS Commerce Inc SPSC SH 722 76.575 Thousand
Weatherford International plc WFT SH 107313 74.904 Thousand
Brookfield Asset Management Inc BAM SH 1565 73.007 Thousand
Five Below Inc FIVE SH 587 72.935 Thousand
Hormel Foods Corp. HRL SH 1622 72.601 Thousand
iShares Trust - iShares S&P MidCap 400 Value Index Fund IJJ SH 445 69.852 Thousand
ANI Pharmaceuticals Inc ANIP SH 990 69.835 Thousand
Baidu Inc ADR BIDU SH 419 69.072 Thousand
iShares Select Dividend ETF DVY SH 700 68.726 Thousand
Cornerstone OnDemand Inc CSOD SH 1245 68.201 Thousand
Invesco Dynamic Large Cap Value ETF PWV SH 1855 65.704 Thousand
ACI Worldwide Inc ACIW SH 1980 65.083 Thousand
Luxfer Holdings PLC LXFR SH 2583 64.523 Thousand
Career Education Corp. CECO SH 3873 63.982 Thousand
Conmed Corp. CNMD SH 760 63.217 Thousand
ABM Industries Inc ABM SH 1736 63.104 Thousand
Koninklijke Philips Electronics NV ADR PHG SH 1542 63.006 Thousand
Vanguard Long-Term Government Bond ETF VGLT SH 810 62.986 Thousand
Banco Bradesco S.A. BBDO SH 6550 62.422 Thousand
Ciena Corp CIEN SH 1635 61.051 Thousand
Trex Company TREX SH 977 60.105 Thousand
M/I Homes Inc MHO SH 2253 59.975 Thousand
Amkor Technology Inc. AMKR SH 6970 59.524 Thousand
iShares S&P SmallCap 600 Growth ETF IJT SH 333 59.427 Thousand
iShares Morningstar Mid-Cap Growth ETF JKH SH 245 57.645 Thousand
Marten Transport Ltd MRTN SH 3214 57.306 Thousand
MPLX L.P. MPLX SH 1735 57.064 Thousand
iShares U.S. Aerospace & Defense ETF ITA SH 282 56.282 Thousand
Matson Inc MATX SH 1545 55.759 Thousand
Canadian Natural Resources, Ltd CNQ SH 2019 55.523 Thousand
iShares Morningstar Small-Cap Growth ETF JKK SH 276 55.052 Thousand
IDACORP Inc. Holding Co. IDA SH 550 54.747 Thousand
New Jersey Resources Corp. NJR SH 1082 53.873 Thousand
Korn Ferry KFY SH 1173 52.527 Thousand
JD.com Inc ADR JD SH 1740 52.461 Thousand
Glacier Bancorp, Inc. GBCI SH 1305 52.291 Thousand
Sanmina Corp. SANM SH 1803 52.017 Thousand
Sabra Healthcare REIT Inc SBRA SH 2603 50.68 Thousand
Manulife Financial Corp MFC SH 2978 50.358 Thousand
Wheaton Precious Metals Corp WPM SH 2088 49.736 Thousand
Schwab U.S. Broad Market ETF SCHB SH 721 49.064 Thousand
Aircastle Ltd AYR SH 2415 48.88 Thousand
JPMorgan BetaBuilders Canada ETF BBCA SH 2041 48.8 Thousand
Cathay General Bancorp, Inc. CATY SH 1430 48.491 Thousand
iShares Currency Hedged MSCI EAFE ETF HEFA SH 1676 48.386 Thousand
RBC Bearings Inc ROLL SH 375 47.689 Thousand
VanEck Vect Morningstar Wide Moat ETF MOAT SH 1005 46.873 Thousand
Consolidated-Tomoka Land Co. CTO SH 782 46.177 Thousand
MBIA Inc. MBI SH 4831 45.991 Thousand
Inter Parfums Inc. IPAR SH 600 45.522 Thousand
Dycom Industries Inc DY SH 985 45.251 Thousand
ONE Gas, Inc. OGS SH 508 45.227 Thousand
Spire Inc. (Laclede Gas Light) SR SH 546 44.93 Thousand
SK Telecom Co., Ltd. ADR SKM SH 1802 44.131 Thousand
iShares Morningstar Mid-Cap Value ETF JKI SH 283 44.069 Thousand
OSI Systems Inc. OSIS SH 500 43.8 Thousand
China Life Insurance Co. Ltd. ADS ADR LFC SH 3232 43.373 Thousand
TransCanada Corp. (NYSE) TRP SH 960 43.142 Thousand
PNM Resources, Inc. PNM SH 899 42.559 Thousand
Schwab Intermediate-Term US Treasury ETF SCHR SH 777 41.787 Thousand
Viavi Solutions Inc VIAV SH 3313 41.015 Thousand
Shinhan Financial Group Co. Ltd ADR SHG SH 1103 40.976 Thousand
Mobile Mini Inc. MINI SH 1201 40.762 Thousand
First Trust Materials AlphaDEX Fund FXZ SH 1070 40.649 Thousand
Nutrien Ltd NTR SH 766 40.414 Thousand
iRobot Corp IRBT SH 340 40.015 Thousand
Canadian Imperial Bank of Commerce (NYSE) CM SH 504 39.851 Thousand
Primerica Inc PRI SH 326 39.821 Thousand
iShares Expanded Tech Sector ETF IGM SH 193 39.799 Thousand
Nomad Foods Ltd NOMD SH 1933 39.53 Thousand
Qualys, Inc. QLYS SH 477 39.467 Thousand
Elbit Systems Ltd ESLT SH 305 39.345 Thousand
Bank of Montreal (NYSE) BMO SH 520 38.906 Thousand
iShares Morningstar Small-Cap Value ETF JKL SH 281 38.744 Thousand
Danaher Corp. DHR PRN 7600 38.345 Thousand
Teck Resources Ltd TECK SH 1640 38.015 Thousand
First BanCorp (Puerto Rico) FBP SH 3302 37.841 Thousand
First Midwest Bancorp, Inc. FMBI SH 1825 37.34 Thousand
iShares Russell 3000 ETF IWV SH 223 37.174 Thousand
Woori Bank WF SH 1024 36.803 Thousand
Cree Research Inc. CREE SH 643 36.792 Thousand
South Jersey Industries Inc. SJI SH 1147 36.784 Thousand
Ctrip.com International Ltd ADR CTRP SH 829 36.219 Thousand
CTS Corp. CTS SH 1222 35.89 Thousand
LG Display Co. Ltd ADR LPL SH 4147 35.872 Thousand
Independence Realty Trust Inc IRT SH 3319 35.812 Thousand
Hancock Whitney Corp HWC SH 885 35.754 Thousand
WellPoint Inc. WLP PRN 9000 35.714 Thousand
Ethan Allen Interiors, Inc. ETH SH 1861 35.601 Thousand
iShares Trust S&P SmallCap 600 Value Index Fund IJS SH 241 35.557 Thousand
Golub Capital BDC Inc GBDC SH 1979 35.385 Thousand
ABB Ltd. ADR ABB SH 1869 35.268 Thousand
PriceSmart Inc PSMT SH 595 35.034 Thousand
Relx Plc ADR RELX SH 1624 34.835 Thousand
Select Medical Holdings Corp SEM SH 2451 34.535 Thousand
REX American Resources Corp. REX SH 428 34.501 Thousand
Chemical Financial Corp. CHFC SH 838 34.492 Thousand
Advanced Energy Industries Inc AEIS SH 693 34.428 Thousand
Icon Plc Ads ICLR SH 249 34.008 Thousand
iShares U.S. Technology ETF IYW SH 178 33.927 Thousand
Standex International Corp. SXI SH 459 33.691 Thousand
iShares MSCI EAFE Growth ETF EFG SH 433 33.536 Thousand
W D-40 Co WDFC SH 197 33.38 Thousand
Barrick Gold Corp GOLD SH 2430 33.315 Thousand
KT Corp ADR KT SH 2665 33.153 Thousand
Agnico-Eagle Mines, Ltd AEM SH 762 33.147 Thousand
Novell Inc. NOVL PRN 6000 33.121 Thousand
Shopify Inc SHOP SH 160 33.059 Thousand
iShares Europe 350 ETF IEV SH 759 32.933 Thousand
BancorpSouth Bank BXS SH 1158 32.679 Thousand
iShares Edge MSCI Min Vol EAFE ETF EFAV SH 450 32.4 Thousand
Diodes Inc. DIOD SH 925 32.098 Thousand
Great Western Bancorp Inc GWB SH 1014 32.032 Thousand
MGM Resorts International, Inc. MGM SH 1246 31.972 Thousand
Archrock Inc AROC SH 3241 31.697 Thousand
New York Times, Inc. Class A NYT SH 964 31.667 Thousand
P.T. Telekomunikasi Indonesia ADR TLK SH 1144 31.414 Thousand
Telefonica Brasil S.A. ADR VIV SH 2600 31.382 Thousand
Gildan Activewear Inc GIL SH 872 31.366 Thousand
HMS Holdings Corp. HMSY SH 1058 31.327 Thousand
Fulton Financial Corp. FULT SH 1958 30.31 Thousand
Independent Bank Corp. (MA) INDB SH 372 30.136 Thousand
CAE Inc CAE SH 1348 29.858 Thousand
The Blackstone Group L.P. BX SH 849 29.69 Thousand
El Paso Electric Co. EE SH 502 29.528 Thousand
SPDR Dow Jones Wilshire REIT ETF RWR SH 298 29.478 Thousand
Halozyme Therapeutics Inc HALO SH 1817 29.254 Thousand
Schwab US Dividend Equity ETF SCHD SH 559 29.225 Thousand
iShares S&P 100 ETF OEF SH 233 29.19 Thousand
SPDR S&P Biotech ETF XBI SH 321 29.063 Thousand
Sun Life Financial Inc SLF SH 747 28.692 Thousand
Biotelemetry Inc BEAT SH 458 28.68 Thousand
GoldCorp Inc. GG SH 2474 28.303 Thousand
Shares Long-Term Corporate Bond ETF IGLB SH 464 28.002 Thousand
Bonanza Creek Energy, Inc. BCEI SH 1227 27.841 Thousand
Ferrari N.V. RACE SH 208 27.83 Thousand
Brown-Forman Corp. Class B BF.B SH 525 27.71 Thousand
Gentherm Inc. THRM SH 751 27.682 Thousand
EnCana Corp. ECA SH 3772 27.309 Thousand
Simmons First National Corp. SFNC SH 1110 27.173 Thousand
Stifel Financial Corp SF SH 514 27.119 Thousand
iShares Microcap ETF IWC SH 292 27.086 Thousand
Southwestern Energy Co. SWN SH 5775 27.085 Thousand
Jumei International Holding Ltd ADR JMEI SH 11358 26.805 Thousand
Grifols S.A. ADR GRFS SH 1288 25.902 Thousand
SPDR Bloomberg Barclays Convertible Securities ETF CWB SH 495 25.864 Thousand
Pebblebrook Hotel Trust PEB SH 832 25.842 Thousand
SJW Group (San Jose Water Co.) SJW SH 418 25.807 Thousand
Cabot Microelectronics Corp CCMP SH 227 25.415 Thousand
iShares Edge MSCI Min Vol USA ETF USMV SH 430 25.284 Thousand
Fiat Chrysler Automobiles N.V. FCAU SH 1691 25.111 Thousand
Unit Corp. UNT SH 1758 25.034 Thousand
Caleres Inc. (Brown Shoe Co.) CAL SH 969 23.925 Thousand
British American Tobacco Industries BTI SH 569 23.739 Thousand
Chunghwa Telecom Co. Ltd ADR CHT SH 662 23.534 Thousand
Quaker Chemical Corp. KWR SH 115 23.038 Thousand
Shutterstock Inc SSTK SH 491 22.895 Thousand
TTM Technologies Inc TTMI SH 1908 22.381 Thousand
iShares U.S. Insurance ETF IAK SH 348 22.141 Thousand
JPMorgan BetaBuilders Developed Asia EX-Japan ETF BBAX SH 872 22.044 Thousand
iShares Core MSCI Total International Stock ETF IXUS SH 374 21.718 Thousand
RH Common Stock RH SH 210 21.62 Thousand
iShares U.S. Healthcare ETF IYH SH 110 21.316 Thousand
Hillenbrand Inc. HI SH 509 21.139 Thousand
FlexShares Global Upstream Natural Resources Index Fund GUNR SH 641 20.993 Thousand
Invesco Aerospace & Defense ETF PPA SH 346 20.058 Thousand
Ensign Group Inc. (The) ENSG SH 391 20.015 Thousand
Las Vegas Sands Corp LVS SH 327 19.934 Thousand
KB Financial Group Inc ADR KB SH 535 19.827 Thousand
Cenovus Energy Inc CVE SH 2270 19.704 Thousand
PDC Energy Corp. PDCE SH 483 19.648 Thousand
EnerSys Inc. ENS SH 301 19.613 Thousand
Janus Henderson Group PLC JHG SH 783 19.559 Thousand
KKR & Co. L.P. KKR SH 832 19.544 Thousand
CNO Financial Group Inc CNO SH 1191 19.27 Thousand
Douglas Dynamics Inc PLOW SH 504 19.187 Thousand
Sasol Ltd. ADR SSL SH 618 19.121 Thousand
Invesco S&P 500 Top 50 ETF XLG SH 92 18.667 Thousand
NextEra Energy Partners LP NEP SH 389 18.143 Thousand
iShares U.S. Consumer Services ETF IYC SH 88 17.979 Thousand
Workiva Inc WK SH 349 17.694 Thousand
WisdomTree International MidCap Dividend Fund DIM SH 280 17.385 Thousand
iShares North American Tech-Software ETF IGV SH 81 17.076 Thousand
Netgear, Inc. NTGR SH 505 16.726 Thousand
Invesco S&P 500 Equal Weight ETF RSP SH 159 16.606 Thousand
Pilgrims Pride Corp PPC SH 733 16.339 Thousand
iShares Short-Term Corporate Bond ETF IGSB SH 299 15.793 Thousand
Tenneco Inc. TEN SH 700 15.512 Thousand
Wells Fargo & Co. 7.50% Non-Cumulative Perpetual Convertible Class A Preferred WFCPRL PRN 12 15.508 Thousand
BHP Group Ltd BHP SH 282 15.417 Thousand
Texas Roadhouse Inc, Class A TXRH SH 246 15.299 Thousand
iShares iBoxx $ High Yield Corp Bond ETF HYG PRN 176 15.219 Thousand
Universal Health Realty Income Trust UHT SH 200 15.142 Thousand
iShares China Large-Cap ETF FXI SH 342 15.14 Thousand
Comfort Systems USA, Inc. FIX SH 282 14.774 Thousand
AVX Corp. AVX SH 850 14.739 Thousand
Boston Beer Inc Class A SAM SH 48 14.147 Thousand
ING Groep NV ADS ADR ING SH 1165 14.143 Thousand
SPDR S&P 500 Growth ETF SPYG SH 376 13.991 Thousand
Intersect ENT Inc XENT SH 432 13.889 Thousand
Central Garden & Pet Co CENT SH 541 13.828 Thousand
Banco Santander Brasil SA ADR BSBR SH 1223 13.734 Thousand
Altaba Inc. (Yahoo) AABA SH 183 13.564 Thousand
PennantPark Floating Rate Capital Ltd PFLT SH 1053 13.489 Thousand
Proto Labs Inc PRLB SH 127 13.353 Thousand
Cardiovascular Systems Inc CSII SH 339 13.106 Thousand
Invesco Dynamic Media ETF PBS SH 400 12.985 Thousand
Barrons 400 ETF BFOR SH 324 12.976 Thousand
City Holding Co. CHCO SH 164 12.495 Thousand
Magellan Midstream Partners LP MMP SH 200 12.126 Thousand
Lantheus Holdings Inc LNTH SH 481 11.775 Thousand
First Merchants Corp. FRME SH 300 11.055 Thousand
Jack In The Box, Inc JACK SH 136 11.024 Thousand
Western Asset Managed Municipals Fund MMU SH 795 10.47 Thousand
Belmond Ltd BEL SH 412 10.271 Thousand
Wolverine World Wide, Inc. WWW SH 287 10.255 Thousand
Knoll Inc KNL SH 541 10.23 Thousand
National Beverage Corp FIZZ SH 176 10.16 Thousand
Honda Motor Co Ltd. ADR (Honda Giken Kogyo Kabushiki Kaisha) ADR HMC SH 370 10.053 Thousand
CSG Systems International Inc. CSGS SH 237 10.025 Thousand
Red Hat Inc RHT PRN 4000 9.927 Thousand
Invesco S&P Global Water Index ETF CGW SH 275 9.739 Thousand
Deutsche X-trackers MSCI EAFE Hedged Equity ETF DBEF SH 311 9.709 Thousand
Penn National Gaming Inc. PENN SH 481 9.668 Thousand
CACI International Inc. Class A CACI SH 53 9.647 Thousand
Washington Federal Inc WAFD SH 333 9.62 Thousand
SPDR S&P China ETF GXC SH 95 9.529 Thousand
iShares U.S. Industrial ETF IYJ SH 62 9.41 Thousand
First Trust Cloud Computing ETF SKYY SH 162 9.333 Thousand
BJs Wholesale Club Holdings Inc BJ SH 334 9.152 Thousand
Hub Group, Inc. Class A HUBG SH 223 9.11 Thousand
First Trust DJ Internet Index Fund FDN SH 65 9.029 Thousand
Nexstar Broadcasting Group Inc NXST SH 82 8.886 Thousand
California Water Services Group CWT SH 160 8.685 Thousand
Ritchie Brothers Auctioneers, Inc. RBA SH 253 8.602 Thousand
Invesco S&P 500 High Dividend Low Volati SPHD SH 200 8.492 Thousand
Meridian Bancorp Inc EBSB SH 536 8.41 Thousand
WisdomTree India Earnings Fund EPI SH 319 8.399 Thousand
Ferro Corp. (Ferro Enamel Co.) FOE SH 443 8.386 Thousand
Healthstream Inc. HSTM SH 297 8.334 Thousand
Blackbaud Inc BLKB SH 104 8.292 Thousand
Lithia Motors Inc, Class A LAD SH 89 8.255 Thousand
NorthWestern Corp NWE SH 114 8.027 Thousand
Open Text Corp. OTEX SH 208 7.993 Thousand
iShares Nasdaq Biotechnology Index Fund IBB SH 71 7.938 Thousand
Steelcase Inc. Class A SCS SH 524 7.624 Thousand
Albany International Corp. (DE) AIN SH 103 7.374 Thousand
Citrix Systems Inc. CTXS PRN 5000 7.088 Thousand
Universal Forest Products Inc UFPI SH 230 6.875 Thousand
S&T Bancorp, Inc. (Indiana, PA) STBA SH 173 6.839 Thousand
Northwest Bancshares Inc NWBI SH 402 6.822 Thousand
J2 Global Inc JCOM SH 77 6.668 Thousand
Unitil Corp UTL SH 123 6.663 Thousand
AU Optronics Corp. ADS ADR AUO SH 1814 6.603 Thousand
Patterson Companies, Inc. PDCO SH 300 6.555 Thousand
Mitsubishi UFJ Finc Grp Inc ADR MUFG SH 1320 6.534 Thousand
Coca-Cola European Partners PLC CCEP SH 126 6.519 Thousand
Haemonetics Corp. (MA) HAE SH 74 6.474 Thousand
Sanderson Farms, Inc. SAFM SH 49 6.46 Thousand
Korea Electric Power Co. ADR KEP SH 483 6.284 Thousand
Aerie Pharmaceuticals Inc AERI SH 132 6.27 Thousand
1-800 FLOWERS.COM Inc FLWS SH 342 6.235 Thousand
Watts Water Technologies, Inc. WTS SH 77 6.223 Thousand
iShares Trust Dow Jones U.S. Oil & Gas Exploration & Production Index Fund IEO SH 106 6.167 Thousand
NCI Building Systems, Inc. NCS SH 1000 6.16 Thousand
Invesco FTSE RAFI US 1000 ETF PRF SH 54 6.122 Thousand
Restaurant Brands International Inc QSR SH 94 6.12 Thousand
Illumina Inc ILMN PRN 5000 6.118 Thousand
United Community Banks Inc UCBI SH 240 5.983 Thousand
Rogers Communications Inc. Class B (NYSE) RCI SH 111 5.974 Thousand
Diamondrock Hospitality Co DRH SH 544 5.892 Thousand
Energy Transfer Equity LP ET SH 368 5.656 Thousand
Teva Pharmaceutical Industries Ltd, ADR TEVA PRN 6000 5.532 Thousand
Redwood Trust, Inc. RWT SH 340 5.491 Thousand
MicroStrategy Inc. MSTR SH 38 5.482 Thousand
HNI Corporation HNI SH 150 5.444 Thousand
Andeavor Logistics LP ANDX SH 154 5.43 Thousand
Liberty Media Corp Series A FWONA SH 156 5.31 Thousand
Ennis Inc. EBF SH 255 5.294 Thousand
CryoLife, Inc. CRY SH 179 5.221 Thousand
Liberty Global plc Class C LBTYK SH 211 5.108 Thousand
Helen Of Troy Ltd. HELE SH 44 5.102 Thousand
WisdomTree International Equity Fund DWM SH 100 5.063 Thousand
Franklin Electric Co FELE SH 99 5.058 Thousand
Cass Information Systems, Inc. (Cass Bank & Trust) CASS SH 106 5.014 Thousand
Macquarie Infrastructure Co MIC PRN 5000 4.982 Thousand
Mid Penn Bancorp, Inc. MPB SH 202 4.949 Thousand
Beacon Roofing Supply Inc BECN SH 152 4.888 Thousand
MGIC Investment Corp. (1984) MTG SH 370 4.88 Thousand
Western Gas Partners LP WES SH 153 4.798 Thousand
Healthcare Services Group Inc HCSG SH 144 4.751 Thousand
Vermillion Energy, Inc. VET SH 190 4.693 Thousand
Advanced Semiconductor Engineering, Inc. ADR ASX SH 1058 4.56 Thousand
Credicorp Ltd ADR BAP SH 19 4.559 Thousand
Allegheny Technologies Inc ATI SH 178 4.551 Thousand
ALLETE Inc. (Minnesota Power and Light - Duluth Edison Electric) ALE SH 54 4.44 Thousand
Palo Alto Networks Inc PANW PRN 2000 4.392 Thousand
Neogen Corp. NEOG SH 76 4.362 Thousand
FirstCash Inc FCFS SH 50 4.325 Thousand
Brookfield Infrastructure Partners LP BIP SH 103 4.313 Thousand
Fox Factory Holding Corp FOXF SH 61 4.263 Thousand
LTC Properties, Inc. LTC SH 92 4.214 Thousand
BJs Restaurants Inc. BJRI SH 89 4.208 Thousand
SkyWest Inc SKYW SH 77 4.18 Thousand
Argo Group International Holdings Ltd ARGO SH 59 4.169 Thousand
Era Group Inc ERA SH 359 4.143 Thousand
Cogent Communications Group Inc CCOI SH 76 4.123 Thousand
Rio Tinto plc (NYSE) ADR RIO SH 70 4.12 Thousand
Farmer Brothers Co FARM SH 203 4.062 Thousand
Booking Holdings Inc. (Priceline) BKNG PRN 3000 4.055 Thousand
Asbury Automotive Group, Inc. ABG SH 58 4.023 Thousand
Grupo Aval Acciones y Valores S.A. ADR AVAL SH 513 3.996 Thousand
CRH Plc ADR CRH SH 128 3.968 Thousand
Euronet Worldwide Inc. EEFT PRN 2000 3.928 Thousand
WPP plc ADS ADR WPP SH 74 3.907 Thousand
Newmark Group Inc NMRK SH 466 3.886 Thousand
Cracker Barrel Old Country Store, Inc. CBRL SH 24 3.879 Thousand
Calavo Growers Inc CVGW SH 46 3.857 Thousand
Lexington Realty Trust LXP SH 416 3.769 Thousand
Sunstone Hotel Investors, Inc. SHO SH 261 3.758 Thousand
Olympic Steel Inc ZEUS SH 234 3.714 Thousand
United Bankshares, Inc. UBSI SH 102 3.696 Thousand
Covanta Holding Corp. CVA SH 213 3.687 Thousand
Canopy Growth Corp CGC SH 85 3.686 Thousand
Vanguard Total International Bond ETF BNDX SH 66 3.681 Thousand
Interface Inc TILE SH 238 3.646 Thousand
Cirrus Logic Inc CRUS SH 86 3.618 Thousand
iShares 0-5 Year TIPS Bond ETF STIP SH 36 3.588 Thousand
Tetra Tech, Inc. TTEK SH 60 3.575 Thousand
Kelly Services, Inc., Class A KELYA SH 162 3.574 Thousand
Lions Gate Entertainment Corp Class A LGF.A SH 225 3.519 Thousand
Meritage Homes Corp. MTH SH 77 3.443 Thousand
BioMarin Pharmaceutical Inc BMRN PRN 3000 3.41 Thousand
CommVault Systems Inc CVLT SH 52 3.366 Thousand
CNOOC Ltd ADS ADR CEO SH 18 3.344 Thousand
Synnex Corp SNX SH 34 3.243 Thousand
First Financial Bancorp, Inc. (OH) FFBC SH 134 3.224 Thousand
International Bancshares Corp. IBOC SH 84 3.195 Thousand
Verint Systems Inc VRNT SH 53 3.173 Thousand
Prestige Consumer Healthcare Inc PBH SH 106 3.17 Thousand
SPX FLOW Inc FLOW SH 98 3.126 Thousand
Science Applications International Corp SAIC SH 40 3.078 Thousand
Home BancShares Inc HOMB SH 175 3.075 Thousand
Ameris Bancorp ABCB SH 89 3.057 Thousand
Rambus Inc. RMBS SH 282 2.947 Thousand
Universal Corp. (Universal Leaf Tobacco) UVV SH 51 2.939 Thousand
Carnival PLC ADS ADR CUK SH 59 2.939 Thousand
Omnicell Inc OMCL SH 36 2.91 Thousand
Gibraltar Industries Inc ROCK SH 71 2.883 Thousand
Aegion Corp. Class A AEGN SH 163 2.864 Thousand
Murphy USA Inc MUSA SH 33 2.825 Thousand
UMB Financial Corp (City National Bank & Trust Co. - United Missouri Bancshares, Kansas City, MO) UMBF SH 44 2.818 Thousand
Varex Imaging Corp VREX SH 83 2.812 Thousand
BCE Inc. (Bell Telephone of Canada) BCE SH 63 2.797 Thousand
Yelp Inc. YELP SH 81 2.795 Thousand
Exterran Corp EXTN SH 165 2.78 Thousand
Tegna Inc. (Gannett Co.) TGNA SH 195 2.75 Thousand
Weight Watchers International Inc WW SH 134 2.7 Thousand
La-Z-Boy Inc LZB SH 80 2.639 Thousand
Oxford Industries OXM SH 35 2.634 Thousand
Balchem Corp. BCPC SH 28 2.598 Thousand
Liberty TripAdvisor Holdings Inc A LTRPA SH 180 2.554 Thousand
Kulicke & Soffa Industries Inc. KLIC SH 114 2.521 Thousand
Nuvasive Inc NUVA SH 44 2.499 Thousand
iShares Edge MSCI USA Momentum Factor ETF MTUM SH 22 2.468 Thousand
Power Integrations, Inc. POWI SH 35 2.448 Thousand
Sanfilippo (John B.) & Son Inc. JBSS SH 34 2.444 Thousand
iShares MSCI EAFE Value ETF EFV SH 50 2.444 Thousand
Stemline Therapeutics Inc STML SH 187 2.403 Thousand
Commercial Vehicle Group Inc CVGI SH 312 2.393 Thousand
Lyon William Homes WLH SH 154 2.367 Thousand
Colony Capital Inc CLNY SH 445 2.367 Thousand
Companhia Paranaense De Energia - COPEL ADR ELP SH 251 2.329 Thousand
G-III Apparel Group Ltd GIII SH 58 2.318 Thousand
Monarch Casino and Resort Inc. MCRI SH 52 2.284 Thousand
Winmark Corp WINA SH 12 2.263 Thousand
Coca-Cola FEMSA, S.A.B. de C.V. ADR KOF SH 34 2.244 Thousand
Insperity Inc. NSP SH 18 2.226 Thousand
Liberty Braves Group Series C BATRK SH 80 2.222 Thousand
U.S. Physical Therapy, Inc. USPH SH 21 2.206 Thousand
EastGroup Properties, Inc. EGP SH 19 2.121 Thousand
PennyMac Mortgage Investment Trust PMT SH 102 2.112 Thousand
Vanguard Global ex-U.S. Real Estate ETF VNQI SH 35 2.085 Thousand
Movado Group Inc MOV SH 57 2.074 Thousand
Vishay Intertechnology, Inc. VSH SH 112 2.069 Thousand
Boston Private Financial Holdings Inc BPFH SH 187 2.05 Thousand
Carpenter Technology Corp. CRS SH 44 2.017 Thousand
Papa Johns International Inc. PZZA SH 38 2.012 Thousand
Travelport Worldwide Ltd TVPT SH 127 1.998 Thousand
Nomura Holdings Inc. ADS ADR NMR SH 556 1.996 Thousand
Medidata Solutions Inc MDSO SH 27 1.977 Thousand
M.D.C. Holdings Inc. MDC SH 68 1.976 Thousand
Enersis Americas SA ADR ENIA SH 216 1.929 Thousand
Hilltop Holdings Inc HTH SH 105 1.916 Thousand
Phibro Animal Health Corp PAHC SH 58 1.914 Thousand
Cameco Corp. CCJ SH 161 1.898 Thousand
National Storage Affiliates Trust NSA SH 66 1.882 Thousand
Cheesecake Factory, Inc. (The) CAKE SH 38 1.859 Thousand
Chesapeake Lodging Trust CHSP SH 66 1.835 Thousand
Standard Motor Products Inc. Class A SMP SH 37 1.817 Thousand
WSFS Financial Corp. WSFS SH 47 1.814 Thousand
ExlService Holdings Inc EXLS SH 30 1.801 Thousand
Atrion Corp. ATRI SH 2 1.757 Thousand
Consolidated Communications Holdings Inc CNSL SH 160 1.746 Thousand
Ultrapar Participacoes SA ADR UGP SH 144 1.721 Thousand
Marriot Vacations Worldwide Corp VAC SH 18 1.683 Thousand
Banco de Chile ADR BCH SH 57 1.678 Thousand
Petroleo Brasileiro SA Petrobras Class A ADR PBR.A SH 117 1.673 Thousand
CyberArk Software Ltd CYBR SH 14 1.667 Thousand
Core Laboratories N.V. CLB SH 24 1.654 Thousand
The RMR Group Inc RMR SH 27 1.646 Thousand
Smith & Nephew Plc Ordinary SNN SH 41 1.645 Thousand
National Presto Industries Inc. NPK SH 15 1.628 Thousand
Meridian Bioscience Inc VIVO SH 92 1.62 Thousand
Deutsche Bank AG (NYSE) ADR DB SH 192 1.559 Thousand
CVB Financial Corp. CVBF SH 72 1.516 Thousand
Tivity Health Inc TVTY SH 86 1.51 Thousand
Kennedy-Wilson Holdings Inc KW SH 70 1.497 Thousand
Constellium N.V. CSTM SH 187 1.492 Thousand
Selective Insurance Group Inc. SIGI SH 23 1.455 Thousand
BHP Group PLC BBL SH 30 1.448 Thousand
POSCO, Inc. ADR PKX SH 26 1.435 Thousand
Vector Group Ltd. VGR SH 133 1.435 Thousand
Innospec Inc IOSP SH 17 1.417 Thousand
Neenah Inc NP SH 22 1.416 Thousand
PGT Innovations Inc PGTI SH 101 1.399 Thousand
Allegiance Bancshares Inc ABTX SH 41 1.383 Thousand
Chesapeake Utilities Corp CPK SH 15 1.368 Thousand
Axcelis Technologies Inc ACLS SH 67 1.348 Thousand
Pacific Premier BanCorp., Inc. PPBI SH 50 1.327 Thousand
EW Scripps Company Cl A SSP SH 63 1.323 Thousand
WNS (Holdings) Ltd ADR WNS SH 24 1.278 Thousand
Green Plains Inc GPRE SH 76 1.268 Thousand
Avista Corp. (Washington Water Power Co.) AVA SH 31 1.259 Thousand
Forward Air Corp FWRD SH 19 1.23 Thousand
Sociedad Quimica y Minera de Chile S.A. Class A ADR SQM SH 31 1.192 Thousand
United Fire Group, Inc. UFCS SH 27 1.18 Thousand
Tejon Ranch Co TRC SH 67 1.179 Thousand
Corvel Corp. CRVL SH 18 1.174 Thousand
Wipro Ltd ADR WIT SH 291 1.158 Thousand
Rent-A-Center Inc. RCII SH 55 1.148 Thousand
Enanta Pharmaceuticals Inc ENTA SH 12 1.146 Thousand
Knowles Corp. KN SH 63 1.111 Thousand
iShares 3-7 Year Treasury Bond ETF IEI SH 9 1.109 Thousand
Shaw Communications Inc Class B SJR SH 52 1.084 Thousand
LCI Industries LCII SH 14 1.075 Thousand
China Unicom (Hong Kong) Ltd. (ADR) CHU SH 84 1.075 Thousand
Eldorado Resorts Inc ERI SH 23 1.074 Thousand
Central Pacific Financial Corp. CPF SH 37 1.067 Thousand
Kemper Corp. (1990) KMPR SH 14 1.066 Thousand
Darling Ingredients Inc DAR SH 49 1.061 Thousand
CareTrust REIT Inc CTRE SH 45 1.056 Thousand
Eagle Bancorp, Inc. (MD) EGBN SH 21 1.054 Thousand
Meredith Corp. MDP SH 19 1.05 Thousand
Raven Industries Inc. RAVN SH 27 1.036 Thousand
Triumph Bancorp Inc TBK SH 35 1.029 Thousand
Iridium Communications Inc IRDM SH 38 1.005 Thousand
Seacoast Banking Corp. of Florida SBCF SH 38 1.001 Thousand
Astec Industries Inc ASTE SH 26 982
Brinks Company (The) BCO SH 13 980
Brown-Forman Corp. Class A BF.A SH 19 972
Geospace Technologies Corp GEOS SH 75 971
Veritex Holdings Inc VBTX SH 40 969
Dana Incorporated DAN SH 54 958
BlackRock Enhanced Equity Dividend Trust BDJ SH 112 958
iShares U.S. Real Estate ETF IYR SH 11 957
Axos Financial Inc AX SH 33 956
Quanex Building Products NX SH 60 953
Urban Edge Properties UE SH 50 950
TrueBlue Inc TBI SH 40 946
Worthington Industries Inc. WOR SH 25 933
Cedar Realty Trust, Inc. CDR SH 273 928
SPDR S&P Insurance ETF KIE SH 30 927
iStar Inc. (Starwood Financial) STAR SH 110 926
Liberty Global plc Class A LBTYA SH 37 922
United Microelectronics Corp. ADR UMC SH 489 919
TrustCo Bank Corp (NY) TRST SH 118 916
Washington Trust Bancorp, Inc. WASH SH 19 915
Methanex Corp MEOH SH 16 910
First Commonwealth Financial Corp. FCF SH 70 882
Greenbrier Companies Inc. (The) GBX SH 27 870
Cooper Tire & Rubber Co CTB SH 29 867
Genworth Financial Inc GNW SH 226 866
1st Source Corp SRCE SH 19 853
Imperial Oil Ltd. (ASE) IMO SH 31 848
Heritage Financial Corp. (WA) HFWA SH 28 844
Valley National Bancorp VLY SH 88 843
Turkcell Iletisim Hizmetleri AS ADR TKC SH 157 842
Ruths Hospitality Group Inc RUTH SH 32 819
Belden Inc BDC SH 15 806
Barclays Bank plc Sponsored ADR BCS SH 100 800
ScanSource Inc. SCSC SH 22 788
Enova International Inc ENVA SH 33 753
iShares 7-10 Year Treasury Bond ETF IEF SH 7 747
LSB Industries Inc LXU SH 119 743
Navigant Consulting Inc. NCI SH 37 720
China Petroleum & Chemical Corp. Sponsored ADR SNP SH 9 716
New Relic Inc NEWR SH 7 691
Avanos Medical Inc AVNS SH 16 683
Lakeland Financial Corp. LKFN SH 15 678
Lumentum Holdings Inc LITE SH 12 678
New Media Investment Group Inc NEWM SH 64 672
Tata Motors Ltd ADR TTM SH 53 666
Livent Corp LTHM SH 54 663
Noble Corporation NE SH 229 657
Universal Insurance Holdings Inc UVE SH 18 558
Designer Brands Inc DBI SH 25 556
Ballard Power Systems, Inc. BLDP SH 150 452
Summit Materials Inc SUM SH 22 349
Vanguard Total International Stock ETF VXUS SH 6 311
CBRE Clarion Global Real Est Income Fund IGR SH 4 30
American International Group, Inc Warrants AIG-W SH 0 2

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