Texas Permanent School Fund Private Fund

Texas Permanent School Fund is a Texas Private Fund located in Austin, Texas. It was founded on Thursday, November 01, 2012.


1701 N Congress Ave
Austin, Texas, 78701
United States
Phone: (512) 463-9169
Inception Date
2012-11-01
Minimum Investment
5.00M
CIK
0001223779
Jurisdiction
Texas
Updated
2017-06-20 13:21:21.265706
Name
Texas Permanent School Fund
Latest Filing
2017-05-05
As of Date
2017-03-31
Inception
2012-11-01
EIN
746003079
Form D File Number
021-187605
Legal Name
Texas Permanent School Fund
Legal Entity Type
Limited Liability Company
Long Positions: 2017-03-31
SecurityValue
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CSX Corp (CSX) 12.60M
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Southwest Airlines Co (LUV) 9.66M
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Progressive Corp (PGR) 6.65M
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V F Corp (VFC) 5.32M
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Regions Financial Corp (RF) 5.12M
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Chemours Co (CC) 5.11M
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Clorox CO (CLX) 5.05M
American Financial Group Inc (AFG) 5.05M
Cerner CORP (CERN) 5.05M
Vornado Realty Trust (VNO) 5.04M
JetBlue Airways Corp (JBLU) 5.03M
ManpowerGroup Inc. (MAN) 5.02M
Agilent Technologies, Inc. (A) 4.97M
Carlisle Companies Inc (CSL) 4.97M
Berkley W R Corp (WRB) 4.96M
Digital Realty Trust, L.P. (DLR) 4.95M
Autodesk Inc (ADSK) 4.95M
New York Community Bancorp, Inc. (NYCB) 4.94M
Principal Financial Group Inc (PFG) 4.93M
Toro Co (TTC) 4.89M
Level 3 Communications, Inc (LVLT) 4.88M
SEI Investments Co (SEIC) 4.88M
Ulta Salon, Cosmetics & fragrances, Inc. (ULTA) 4.88M
ConAgra Brands Inc. (CAG) 4.87M
Willis Towers Watson plc (WLTW) 4.87M
Westinghouse Air Brake Technologies Corp (WAB) 4.87M
Price T Rowe Group Inc (TROW) 4.85M
Royal Caribbean Cruises LTD. (RCL) 4.80M
Equifax Inc (EFX) 4.79M
Keysight Technologies, Inc. (KEYS) 4.79M
Mead Johnson Nutrition Co (MJN) 4.77M
Nordson Corp (NDSN) 4.76M
VIACOM INC NEW CL B 4.73M
Arrow Electronics Inc (ARW) 4.73M
FactSet Research Systems Inc (FDS) 4.72M
Realty Income Corporation (O) 4.72M
Mednax, Inc. (MD) 4.71M
B/E Aerospace, Inc. dba SMR Technologies, Inc. (BEAV) 4.71M
Omega Healthcare Investors, Inc. (OHI) 4.70M
Lennox International Inc (LII) 4.69M
Microchip Technology Inc. (MCHP) 4.67M
Vulcan Materials CO (VMC) 4.66M
National Retail Properties, Inc. (NNN) 4.65M
PacWest Bancorp (PACW) 4.62M
American Campus Communities Inc (ACC) 4.59M
Copart Inc (CPRT) 4.58M
Great Plains Energy Inc (GXP) 4.56M
Twenty-First Century Fox, Inc. (FOX) 4.52M
Teradyne, Inc (TER) 4.51M
Red Hat Inc (RHT) 4.51M
Wellcare Health Plans, Inc. (WCG) 4.50M
LAMAR ADVERTISING CO NEW 4.48M
Hubbell Inc (HUBB) 4.48M
The J.M Smucker Company (SJM) 4.46M
Hershey Co (HSY) 4.46M
Expedia, Inc. (EXPE) 4.45M
Gentex Corp (GNTX) 4.44M
National Oilwell Varco Inc (NOV) 4.44M
Essex Property Trust, Inc. (ESS) 4.43M
TechnipFMC plc (FTI) 4.43M
United Therapeutics Corp (UTHR) 4.41M
PTC Inc. (PTC) 4.40M
Noble Energy, Inc. 401(k) Plan (NBL) 4.37M
KLA Tencor Corp (KLAC) 4.35M
Fastenal Co (FAST) 4.35M
Take Two Interactive Software Inc (TTWO) 4.35M
Donaldson Company Inc (DCI) 4.35M
West Pharmaceutical Services Inc (WST) 4.33M
Washington EAP Services (LNC) 4.31M
Microsemi Corp (MSCC) 4.30M
Old Dominion Freight Line Inc/VA (ODFL) 4.29M
Laboratory CORP of America Holdings (LH) 4.29M
RenaissanceRe Holdings Ltd (RNR) 4.29M
HCP, Inc. (HCP) 4.28M
Steris plc (STE) 4.27M
AmerisourceBergen Corporation (ABC) 4.27M
Avnet Inc (AVT) 4.27M
United States Steel Corp (X) 4.27M
Bioverativ Inc. (BIVV) 4.26M
Huntington Bancshares Inc/MD (HBAN) 4.25M
Franklin Resources Inc (BEN) 4.25M
Republic Services, Inc. (RSG) 4.23M
Mohawk Industries Inc (MHK) 4.23M
Lamb Weston Holdings, Inc. (LW) 4.22M
Reliance Steel & Aluminum CO (RS) 4.22M
Xilinx Inc (XLNX) 4.21M
Services Corporation International (SCI) 4.21M
Ultimate Software Group Inc (ULTI) 4.19M
Dentsply Sirona Inc. (XRAY) 4.19M
Motorola Solutions, Inc. (MSI) 4.15M
Fortinet, Inc. (FTNT) 4.14M
Aqua America Inc (WTR) 4.13M
NCR CORP (NCR) 4.12M
FirstEnergy CORP (FE) 4.11M
LIBERTY PPTY TR 4.10M
Orbital ATK, Inc. (OA) 4.08M
Post Holdings, Inc. (POST) 4.07M
Alliance Data Systems Corp (ADS) 4.07M
Nielsen Holdings plc (NLSN) 4.06M
American Water Works Company, Inc. (AWK) 4.05M
Harris Corp (HRS) 4.05M
Panera Bread Co (PNRA) 4.05M
Douglas Emmett Inc (DEI) 4.04M
Host Hotels & Resorts, Inc. (HST) 4.03M
Martin Marietta Materials Inc (MLM) 4.02M
Genuine Parts Co (GPC) 4.01M
AECOM (ACM) 4.00M
Entergy CORP (ETR) 3.98M
IdeXX Laboratories Inc /DE (IDXX) 3.98M
Brunswick Corp (BC) 3.97M
Seagate Technology plc (STX) 3.96M
GGP Inc. (GGP) 3.96M
Quest Diagnostics Inc (DGX) 3.94M
Olin Corp (OLN) 3.94M
Henry Schein Inc (HSIC) 3.93M
Marathon Oil Corp (MRO) 3.91M
BEST Buy Co Inc (BBY) 3.89M
Lincoln Electric Holdings Inc (LECO) 3.88M
MDU Resources Group Inc (MDU) 3.87M
Ameren CORP (AEE) 3.87M
Toll Brothers Inc (TOL) 3.87M
WPX Energy, Inc. (WPX) 3.84M
Energen CORP (EGN) 3.83M
Graco Inc. (GGG) 3.82M
Jabil Circuit Inc (JBL) 3.82M
Citrix Systems, Inc. (CTXS) 3.81M
WestRock Co (WRK) 3.81M
Sonoco Products CO (SON) 3.80M
Ball Corp (BLL) 3.80M
Hess CORP (HES) 3.79M
Loews Corp (L) 3.77M
CenturyLink, Inc (CTL) 3.76M
SLM Corp (SLM) 3.76M
L3 Technologies, Inc. (LLL) 3.76M
Textron Inc (TXT) 3.76M
BlueCross Blueshield of IL (TYL) 3.75M
Hospitality Properties Trust (HPT) 3.75M
Chipotle Mexican Grill Inc (CMG) 3.75M
Eaton Vance Corp (EV) 3.74M
Whirlpool Corp (WHR) 3.73M
Rockwell Collins Inc (COL) 3.71M
LogMeIn, Inc. (LOGM) 3.71M
Church & Dwight CO Inc (CHD) 3.71M
Oshkosh Corp (OSK) 3.71M
Brocade Communications Systems Inc (BRCD) 3.68M
National Fuel Gas Co (NFG) 3.68M
Grainger W W Inc (GWW) 3.68M
Abiomed Inc (ABMD) 3.67M
Verisk Analytics, Inc. (VRSK) 3.67M
CMS Energy Corp (CMS) 3.66M
Waters Corp (WAT) 3.66M
Coherent Inc (COHR) 3.66M
Cullen/Frost Bankers, Inc. (CFR) 3.65M
Jones Lang LaSalle Inc (JLL) 3.65M
DOVER Corp (DOV) 3.65M
ARRIS International plc (ARRS) 3.64M
Dunkin' Brands Group, Inc. (DNKN) 3.64M
HollyFrontier Corp (HFC) 3.64M
Synovus Financial Corp (SNV) 3.63M
Mettler Toledo International Inc/ (MTD) 3.63M
AMETEK Inc/ (AME) 3.63M
Old Republic International Corp (ORI) 3.62M
Highwoods Properties Inc (HIW) 3.62M
Invesco Ltd. (IVZ) 3.61M
Global Payments Inc (GPN) 3.59M
Centene Corp (CNC) 3.58M
Pool Corp (POOL) 3.56M
Commerce Bancshares Inc (CBSH) 3.55M
Polaris Industries Inc/MN (PII) 3.55M
Comerica Inc /New/ (CMA) 3.52M
Vectren Corporation (VVC) 3.52M
Prosperity Bancshares Inc (PB) 3.51M
Zebra Technologies Corp (ZBRA) 3.49M
Senior Housing Properties Trust (SNH) 3.48M
TreeHouse Foods, Inc. (THS) 3.48M
AptarGroup Inc (ATR) 3.47M
Albemarle Corporation (ALB) 3.47M
Hologic Inc (HOLX) 3.47M
Centerpoint Energy Inc (CNP) 3.47M
Brown & Brown Inc (BRO) 3.47M
Eastman Chemical CO (EMN) 3.46M
FNB Corp (FNB) 3.45M
Privatebancorp, Inc. (PVTB) 3.44M
Bank of the Ozarks Inc (OZRK) 3.43M
EPR Properties (EPR) 3.42M
ONEOK Inc /New/ (OKE) 3.41M
Eagle Materials, Inc. (EXP) 3.40M
Cinemark Holdings, Inc. (CNK) 3.40M
Arconic Inc. (ARNC) 3.39M
Coach Inc (COH) 3.39M
Mid America Apartment Communities Inc (MAA) 3.38M
MSC Industrial Direct CO Inc (MSM) 3.34M
Webster Financial Corp (WBS) 3.33M
Thor Industries, Inc. (THO) 3.33M
Alaska Air Group, Inc. (ALK) 3.33M
Cimarex Energy Co. (XEC) 3.32M
Cabot Oil And Gas Corporation (COG) 3.32M
Royal Gold Inc (RGLD) 3.31M
NetApp, Inc. (NTAP) 3.31M
D.R. Horton, Inc. (DHI) 3.31M
L Brands, Inc. (LB) 3.31M
Cypress Semiconductor CORP (CY) 3.29M
Advanced Micro Devices Inc (AMD) 3.28M
IPG Photonics Corp (IPGP) 3.27M
Bemis Company, Inc. (BMS) 3.27M
Hasbro Inc (HAS) 3.26M
Universal Health Services, Inc (UHS) 3.25M
McCormick & Co Inc (MKC) 3.24M
Carmax Inc (KMX) 3.24M
Campbell Soup Co (CPB) 3.23M
Teledyne Technologies Inc (TDY) 3.22M
DCT Industrial Trust Inc. (DCT) 3.20M
Advance Auto Parts Inc (AAP) 3.19M
TransDigm Group INC (TDG) 3.19M
C H Robinson Worldwide Inc (CHRW) 3.19M
Cintas Corp (CTAS) 3.19M
Caseys General Stores Inc (CASY) 3.18M
Masco Corp (MAS) 3.18M
Synopsys Inc (SNPS) 3.17M
Cincinnati Financial Corp (CINF) 3.17M
Carters Inc (CRI) 3.16M
Watsco Inc (WSO) 3.15M
Unum Group (UNM) 3.14M
Williams Sonoma Inc (WSM) 3.14M
SL Green Realty CORP (SLG) 3.13M
First Horizon National Corp (FHN) 3.13M
First American Financial Corp (FAF) 3.13M
Harley Davidson Inc (HOG) 3.12M
Juniper Networks Inc (JNPR) 3.11M
Dicks Sporting Goods Inc (DKS) 3.10M
EQT Corp (EQT) 3.09M
Davita Inc. (DVA) 3.09M
XL Group Ltd (XL) 3.09M
Charles River Laboratories International Inc (CRL) 3.08M
United Rentals Inc /DE (URI) 3.08M
SELECT SECTOR SPDR TR SBI INT-ENERGY 3.08M
PENTAIR plc (PNR) 3.07M
International Flavors & fragrances Inc (IFF) 3.06M
WGL Holdings Inc (WGL) 3.06M
CBRE Group, Inc. (CBG) 3.06M
Edgewell Personal Care Co (EPC) 3.04M
Hill-Rom Holdings, Inc. (HRC) 3.04M
LENNAR CORP 3.04M
Darden Restaurants Inc (DRI) 3.04M
Newmarket Corp (NEU) 3.03M
Masimo CORP (MASI) 3.03M
IDACORP Inc (IDA) 3.03M
Akamai Technologies Inc (AKAM) 3.02M
Genesee & Wyoming, Inc. (GWR) 3.01M
Bio-Rad Laboratories Inc 3.00M
Medical Properties Trust Inc (MPW) 3.00M
Scotts Miracle-Gro CO (SMG) 2.99M
Texas Capital Bancshares Inc/TX (TCBI) 2.99M
Mosaic CO (MOS) 2.99M
Tiffany & Co (TIF) 2.98M
Expeditors International of Washington Inc (EXPD) 2.97M
Gallagher Arthur J & Co (AJG) 2.95M
Curtiss Wright Corp (CW) 2.94M
J2 Cloud Services Inc. (JCOM) 2.93M
Trinity Industries, Inc. (TRN) 2.92M
Patterson - UTi Energy Inc (PTEN) 2.92M
Maximus Inc (MMS) 2.92M
AGCO Corp /de (AGCO) 2.91M
Live Nation Entertainment, Inc. (LYV) 2.91M
CA, Inc. (CA) 2.90M
Fair Isaac Corp (FICO) 2.90M
Foot Locker, Inc. (FL) 2.89M
Taubman Centers Inc (TCO) 2.89M
WEX Inc. (WEX) 2.88M
Alexandria Real Estate Equities Inc (ARE) 2.87M
The Western Union Company (WU) 2.86M
Cooper Companies Inc (COO) 2.86M
SNAP-ON Inc (SNA) 2.86M
Southwest Gas Holdings, Inc. (SWX) 2.85M
Raymond James Financial Inc (RJF) 2.85M
Weingarten Realty (WRI) 2.85M
ISHARES TR CORE SP SCP 2.85M
Regency Centers CORP (REG) 2.83M
UDR, Inc. (UDR) 2.83M
Umpqua Holdings Corp (UMPQ) 2.83M
Cirrus Logic, Inc. (CRUS) 2.82M
The Interpublic Group of Companies, Inc. (IPG) 2.82M
Federal Realty Investment Trust (FRT) 2.81M
E Trade Financial Corp (ETFC) 2.80M
DST Systems Inc (DST) 2.80M
Hain Celestial Group Inc (HAIN) 2.79M
PERRIGO Co plc (PRGO) 2.78M
Hancock Holding Co (HBHC) 2.78M
Hanover Insurance Group, Inc. (THG) 2.77M
Cracker Barrel Old Country Store, Inc (CBRL) 2.77M
Tesoro Corp /New/ (TSO) 2.77M
CyrusOne Inc. (CONE) 2.77M
Whole Foods Market Inc (WFM) 2.77M
LIFE STORAGE INC 2.76M
DISH Network CORP (DISH) 2.76M
HealthSouth Corporation (HLS) 2.76M
GEO Group Inc (GEO) 2.75M
Kirby Corp (KEX) 2.75M
Kimco Realty Corp (KIM) 2.75M
Bio-Techne Corporation (TECH) 2.75M
Healthcare Realty Trust Inc (HR) 2.74M
Extra Space Storage Inc. (EXR) 2.74M
NuVasive Inc (NUVA) 2.74M
Scana CORP (SCG) 2.73M
Hormel Foods Corp (HRL) 2.73M
Crane CO (CR) 2.72M
Fortune Brands Home & Security, Inc. (FBHS) 2.72M
Primerica, Inc. (PRI) 2.72M
Woodward, Inc. (WWD) 2.72M
Emcor Group Inc (EME) 2.72M
FMC Corp (FMC) 2.72M
Affiliated Managers Group, Inc. (AMG) 2.72M
Pinnacle West Capital Corp (PNW) 2.71M
Nabors Industries Ltd (NBR) 2.70M
F5 Networks Inc (FFIV) 2.70M
Cabot Corp (CBT) 2.70M
Associated Banc-Corp (ASB) 2.68M
MKS Instruments Inc (MKSI) 2.68M
Corrections Corp of America (CXW) 2.68M
Kansas City Southern (KSU) 2.67M
Wynn Resorts Ltd (WYNN) 2.66M
Skechers USA, Inc. (SKX) 2.66M
Manhattan Associates Inc (MANH) 2.65M
Goodyear Tire & Rubber CO (GT) 2.65M
Blackbaud Inc (BLKB) 2.64M
Alliant Energy Corp (LNT) 2.63M
CST Brands, Inc. (CST) 2.63M
LKQ CORP (LKQ) 2.63M
Macy's, Inc. (M) 2.63M
Tractor Supply Co (TSCO) 2.63M
Xylem Inc. (XYL) 2.63M
Chemical Financial Corp (CHFC) 2.63M
Acuity Brands Inc (AYI) 2.63M
UNITI GROUP INC COM 2.62M
Hawaiian Electric Industries, Inc. (HE) 2.62M
Wintrust Financial Corp (WTFC) 2.62M
Littelfuse, Inc. (LFUS) 2.62M
ITT Inc. (ITT) 2.62M
Nektar Therapeutics (NKTR) 2.61M
Louisiana-Pacific Corp (LPX) 2.59M
Landstar System Inc (LSTR) 2.59M
Wyndham Worldwide Corp (WYN) 2.59M
Flowers Foods Inc (FLO) 2.58M
CNO Financial Group, Inc. (CNO) 2.58M
Rollins, Inc. (ROL) 2.58M
Total System Services Inc (TSS) 2.58M
Black Hills Corp (BKH) 2.57M
Mattel Inc (MAT) 2.56M
Catalent, Inc. (CTLT) 2.56M
One Gas, Inc. (OGS) 2.56M
Iron Mountain Inc (IRM) 2.56M
Sensient Technologies Corp (SXT) 2.55M
Bank of Hawaii Corp (BOH) 2.54M
Valmont Industries Inc (VMI) 2.54M
deLuxe Corp (DLX) 2.54M
U.S. Silica Holdings, Inc. (SLCA) 2.54M
Qorvo, Inc. (QRVO) 2.53M
Medicines Co /de (MDCO) 2.53M
Monolithic Power Systems, Inc. (MPWR) 2.53M
PDC Energy, Inc. (PDCE) 2.52M
Rayonier Inc (RYN) 2.52M
NetScout Systems, Inc. (NTCT) 2.52M
Cousins Properties Inc (CUZ) 2.50M
National Instruments CORP (NATI) 2.50M
Snyder'S-Lance, Inc. (LNCE) 2.50M
Energizer Holdings Inc. (ENR) 2.50M
Coty Inc. (COTY) 2.49M
Varian Medical Systems Inc (VAR) 2.49M
CoreLogic, Inc. (CLGX) 2.49M
Zions Bancorporation (ZION) 2.48M
EnerSys (ENS) 2.48M
United Bankshares Inc/WV (UBSI) 2.48M
Stifel Financial Corp (SF) 2.48M
New Jersey Resources Corp (NJR) 2.48M
Home Bancshares Inc (HOMB) 2.47M
Torchmark Corp (TMK) 2.46M
Sealed Air Corp/DE (SEE) 2.46M
LEUCADIA NATL CORP 2.46M
ALLETE Inc (ALE) 2.45M
Regal Beloit Corp (RBC) 2.45M
ViaSat Inc (VSAT) 2.45M
BorgWarner Inc (BWA) 2.44M
Ciena Corp (CIEN) 2.41M
Terex Corp (TEX) 2.41M
Versum Materials, Inc. (VSM) 2.41M
PVH Corp. (PVH) 2.40M
Owens Illinois Inc (OI) 2.39M
AMC Networks Inc. (AMCX) 2.39M
UMB Financial Corp (UMBF) 2.39M
BROWN FORMAN CORP 2.39M
LaSalle Hotel Properties (LHO) 2.37M
Corporate Office Properties Trust (OFC) 2.37M
Science Applications International Corp (SAIC) 2.36M
Synnex Corp (SNX) 2.36M
Tech Data Corp (TECD) 2.35M
NASDAQ, Inc. (NDAQ) 2.33M
Jack In the Box Inc /New/ (JACK) 2.33M
Parexel International Corp (PRXL) 2.33M
Hunt J B Transport Services Inc (JBHT) 2.33M
Sterling Bancorp (STL) 2.33M
ProAssurance Corp (PRA) 2.32M
Tupperware Brands Corp (TUP) 2.30M
Hanesbrands Inc. (HBI) 2.30M
Medidata Solutions Inc 2.29M
Integrated Device Technology Inc (IDTI) 2.29M
Timken Co (TKR) 2.29M
Tanger Factory Outlet Centers Inc (SKT) 2.28M
Kennametal Inc. (KMT) 2.28M
Macerich Co (MAC) 2.27M
Healthcare Services Group Inc (HCSG) 2.27M
Legg Mason, Inc. (LM) 2.27M
VeriSign, Inc. (VRSN) 2.27M
First Industrial Realty Trust Inc (FR) 2.26M
Aspen Insurance Holdings Ltd (AHL) 2.25M
VALLEY NATL BANCORP 2.25M
Fulton Financial Corp (FULT) 2.25M
Pinnacle Financial Partners Inc (PNFP) 2.25M
NiSource Inc/DE (NI) 2.25M
Standard Register Co (SR) 2.23M
Silicon Laboratories Inc (SLAB) 2.23M
CoreSite Realty Corp (COR) 2.21M
Evercore Partners Inc. (EVR) 2.21M
MB Financial Inc /MD (MBFI) 2.21M
QEP Resources, Inc. (QEP) 2.21M
Scripps Networks Interactive, Inc. (SNI) 2.19M
Sanmina Corp (SANM) 2.18M
CBOE Holdings, Inc. (CBOE) 2.17M
Education Realty Trust, Inc. (EDR) 2.16M
Chemed Corp (CHE) 2.16M
Kate Spade & Co (KATE) 2.16M
AES CORP (AES) 2.15M
Sprouts Farmers Market, Inc. (SFM) 2.15M
CONSOL Energy Inc. (CNX) 2.15M
Newfield Exploration CO (NFX) 2.15M
InterDigital, Inc. (IDCC) 2.14M
Fluor Corp (FLR) 2.14M
Lumentum Holdings Inc. (LITE) 2.14M
Washington Federal Inc (WAFD) 2.14M
PNM Resources, Inc. (PNM) 2.13M
Prestige Brands Holdings, Inc. (PBH) 2.13M
Sally Beauty Holdings, Inc. (SBH) 2.12M
Cable One, Inc. (CABO) 2.12M
DyCom Industries Inc (DY) 2.12M
Belden Inc. (BDC) 2.11M
Helmerich & Payne, Inc. (HP) 2.11M
Allegion plc (ALLE) 2.11M
Avery Dennison Corp (AVY) 2.11M
Cantel Medical Corp (CMD) 2.10M
Envision Healthcare Corp (EVHC) 2.10M
TCF Financial Corp (TCB) 2.10M
Clean Harbors Inc (CLH) 2.10M
Texas Roadhouse, Inc. (TXRH) 2.08M
CACI International Inc (CACI) 2.07M
Stericycle INC (SRCL) 2.06M
Northwestern Corp (NWE) 2.06M
KOHLS Corp (KSS) 2.05M
SOUTH Jersey Industries Inc (SJI) 2.05M
Cathay General Bancorp (CATY) 2.04M
Joy Global,Inc. (JOY) 2.04M
The Cheesecake Factory Incorporated (CAKE) 2.04M
Apartment Investment & Management Co (AIV) 2.04M
PolyOne CORP (POL) 2.03M
Graham Holdings Co (GHC) 2.02M
Western Refining, Inc. (WNR) 2.02M
Dana Inc (DAN) 2.01M
John Bean Technologies CORP (JBT) 2.00M
CF Industries Holdings, Inc. (CF) 2.00M
Selective Insurance Group Inc (SIGI) 1.99M
Gulfport Energy Corp (GPOR) 1.98M
Cabela's Wholesale, Inc. (CAB) 1.98M
Advanced Energy Industries Inc (AEIS) 1.97M
Pultegroup Inc (PHM) 1.97M
Leggett & PLATT, Incorporated (LEG) 1.97M
Ensco plc (ESV) 1.96M
Blue Care Network of Michigan (JEC) 1.96M
Standard Pacific Corp (CAA) 1.96M
Minerals Technologies Inc (MTX) 1.94M
B&G Foods, Inc. (BGS) 1.94M
Delta Dental of Pennsylvania (WAGE) 1.94M
Buffalo Wild Wings Inc (BWLD) 1.92M
Oceaneering International Inc (OII) 1.92M
First Financial Bankshares Inc (FFIN) 1.92M
Wendy's Co (WEN) 1.90M
Balchem Corp (BCPC) 1.90M
LifePoint Health, Inc. (LPNT) 1.89M
Cree Inc (CREE) 1.89M
Glacier Bancorp Inc (GBCI) 1.88M
Fuller H b CO (FUL) 1.88M
BancorpSouth Inc (BXS) 1.87M
PerkinElmer Inc (PKI) 1.86M
Barnes Group Inc (B) 1.86M
Ingevity Corp (NGVT) 1.85M
Esterline Technologies Corp (ESL) 1.85M
Flowserve Corp (FLS) 1.85M
Acadia Realty Trust (AKR) 1.84M
Murphy USA Inc. (MUSA) 1.84M
Avis Budget Group, Inc. (CAR) 1.84M
Helen of Troy Ltd (HELE) 1.84M
CEB Inc. (CEB) 1.84M
World Fuel Services Corp (INT) 1.83M
Xerox Corp (XRX) 1.83M
Integra Lifesciences Holdings Corp (IART) 1.82M
Half Robert International Inc (RHI) 1.82M
Avista Corp (AVA) 1.82M
Frontier Communications Corp (FTR) 1.82M
Huntington National Bank Trustee of Lancaster Colony Corporation (LANC) 1.82M
ACI Worldwide, Inc. (ACIW) 1.82M
Michael Kors Holdings Ltd (KORS) 1.81M
Dorman Products, Inc. (DORM) 1.81M
Financial Engines, Inc. (FNGN) 1.80M
People'S United Financial Inc. (PBCT) 1.80M
Neogen Corp (NEOG) 1.80M
Great Western Bancorp, Inc. (GWB) 1.80M
Telephone & Data Systems Inc (TDS) 1.80M
Hawaiian Holdings Inc (HA) 1.80M
LCI Industries (LCII) 1.79M
Viavi Solutions Inc. (VIAV) 1.79M
DISCOVERY COMMUNICATNS NEW 1.78M
Eastgroup Properties Inc (EGP) 1.77M
Community Bank System, Inc. (CBU) 1.77M
Federated Investors Inc (FII) 1.76M
Marriott Vacations Worldwide Corporation (VAC) 1.76M
Hope Bancorp Inc (HOPE) 1.76M
ABM Industries INC (ABM) 1.75M
Mack Cali Realty Corp (CLI) 1.75M
John Wiley & Sons Inc 1.75M
Wolverine World Wide Inc (WWW) 1.75M
Pitney Bowes Inc (PBI) 1.75M
Urban Edge Properties (UE) 1.75M
Applied Industrial Technologies (AIT) 1.75M
Brinks Co (BCO) 1.74M
Office Depot Inc (ODP) 1.74M
GATX Corp (GATX) 1.74M
American Eagle Outfitters Inc (AEO) 1.74M
Bed Bath & Beyond Inc (BBBY) 1.73M
Darling Ingredients Inc. (DAR) 1.73M
NRG Energy, Inc. (NRG) 1.73M
Five Below, Inc (FIVE) 1.72M
Firstcash, Inc (FCFS) 1.72M
Garmin Ltd (GRMN) 1.72M
Meredith Corp (MDP) 1.71M
Interactive Brokers Group, Inc. (IBKR) 1.71M
SM Energy Company (SM) 1.70M
ON Assignment Inc (ASGN) 1.70M
KLX Inc. (KLXI) 1.70M
Old National Bancorp (ONB) 1.70M
Tetra Tech Inc (TTEK) 1.70M
Diebold Inc (DBD) 1.68M
Staples Inc (SPLS) 1.67M
Retail Opportunity Investments C (ROIC) 1.66M
GameStop Corp. (GME) 1.66M
RLI Corp. (RLI) 1.66M
Compass Minerals International Inc (CMP) 1.66M
Allscripts Healthcare Solutions, Inc. (MDRX) 1.66M
Dave & Buster's Entertainment, Inc. (PLAY) 1.66M
Domtar CORP (UFS) 1.66M
Hillenbrand, Inc. (HI) 1.65M
Columbia Banking System, Inc. (COLB) 1.64M
EFI (EFII) 1.64M
ICU Medical Inc/de (ICUI) 1.64M
TiVo Corp (TIVO) 1.64M
Quanta Services Inc (PWR) 1.64M
AK Steel Holding Corp (AKS) 1.64M
Anixter International Inc (AXE) 1.64M
Care Capital Properties, Inc. (CCP) 1.64M
PS Business Parks Inc/CA (PSB) 1.62M
DiamondRock Hospitality Co. (DRH) 1.62M
CVB Financial Corp (CVBF) 1.61M
Mercury General Corp (MCY) 1.61M
Acxiom Corp (ACXM) 1.61M
Silgan Holdings Inc (SLGN) 1.61M
Tegna Inc (TGNA) 1.61M
Semtech Corp (SMTC) 1.61M
ILG, Inc. (ILG) 1.61M
MSA Safety Inc (MSA) 1.60M
Endo International plc (ENDP) 1.60M
ENBRIDGE INC 1.60M
Commercial Metals Co (CMC) 1.60M
Range Resources Corp (RRC) 1.60M
Vishay Intertechnology Inc (VSH) 1.59M
United Natural Foods, Inc. (UNFI) 1.58M
UniFirst Corp (UNF) 1.58M
Matthews International Corporation (MATW) 1.58M
Cooper Tire & Rubber CO (CTB) 1.58M
Superior Energy Services, Inc. (SPN) 1.58M
Tempur Sealy International, Inc. (TPX) 1.57M
MOOG INC 1.57M
Big Lots, Inc. (BIG) 1.57M
Nu Skin Enterprises Inc (NUS) 1.57M
Childrens Place, Inc. (PLCE) 1.57M
Lexington Realty Trust (LXP) 1.56M
Trustmark Corp (TRMK) 1.56M
Gap Inc (GPS) 1.56M
Brinker International Inc (EAT) 1.56M
Assurant Inc (AIZ) 1.55M
KBR, Inc. (KBR) 1.55M
NordStrom Inc (JWN) 1.55M
GloBus Medical, Inc. (GMED) 1.54M
Cardtronics plc (CATM) 1.54M
CommVault Systems Inc (CVLT) 1.54M
Livanova Plc (LIVN) 1.54M
Papa John'S International, Inc. (PZZA) 1.53M
First Solar, Inc. (FSLR) 1.53M
Owens & Minor Inc (OMI) 1.53M
Haemonetics Corp (HAE) 1.53M
Allegiant Travel CO (ALGT) 1.52M
Urban Outfitters, Inc. (URBN) 1.52M
Akorn Inc (AKRX) 1.52M
Sothebys (BID) 1.52M
Stillwater Mining Co (SWC) 1.52M
Knight Transportation Inc (KNX) 1.51M
VeriFone Systems, Inc. (PAY) 1.51M
American Equity Investment Life Holding Co (AEL) 1.51M
Steven Madden, Ltd. (SHOO) 1.50M
Sanderson Farms, Inc. (SAFM) 1.50M
Dril-Quip Inc (DRQ) 1.49M
International Bancshares Corporation (IBOC) 1.49M
Genworth Financial Inc (GNW) 1.49M
Alexander & Baldwin, Inc. (ALEX) 1.49M
Lithia Motors Inc (LAD) 1.48M
El Paso Electric Co (EE) 1.48M
Trex CO Inc (TREX) 1.48M
Kapstone Paper & Packaging Corp (KS) 1.47M
Adtalem Global Education Inc. (DV) 1.47M
J & J Snack Foods Corp. (JJSF) 1.47M
HNI CORP (HNI) 1.47M
Itron Inc (ITRI) 1.47M
Zeltiq Aesthetics Inc (ZLTQ) 1.46M
Ligand Pharmaceuticals Inc (LGND) 1.45M
Universal Forest Products Inc (UFPI) 1.45M
NEWS CORP NEW CL A 1.45M
Convergys Corporation (CVG) 1.45M
Tri Pointe Homes, Inc. (TPH) 1.45M
FLIR Systems Inc (FLIR) 1.45M
Granite Construction Inc (GVA) 1.44M
WebMD Health Corp. (WBMD) 1.44M
Worthington Industries, Inc. (WOR) 1.43M
Mueller Industries Inc (MLI) 1.43M
TripAdvisor, Inc. (TRIP) 1.42M
United Community Banks, Inc. (UCBI) 1.42M
II-VI Inc (IIVI) 1.42M
Cooper-Standard Holdings Inc. (CPS) 1.42M
Churchill Downs Inc (CHDN) 1.42M
Transocean Ltd. (RIG) 1.42M
Rowan Companies plc (RDC) 1.42M
Allegheny Technologies Incorporated (ATI) 1.41M
Plexus Corp (PLXS) 1.41M
Signet Jewelers Ltd (SIG) 1.41M
KEMPER Corp (KMPR) 1.41M
H&R Block Inc (HRB) 1.41M
Molina Healthcare Inc (MOH) 1.41M
Ameron International Corporation (AMN) 1.40M
Power Integrations Inc (POWI) 1.40M
Avon Products Inc (AVP) 1.40M
Time Inc. (TIME) 1.39M
First Midwest Bancorp Inc (FMBI) 1.39M
Cabot Microelectronics Corp (CCMP) 1.39M
Deckers Outdoor Corp (DECK) 1.38M
J C Penney Co Inc (JCP) 1.38M
Janus Capital Group Inc. (JNS) 1.37M
LTC Properties Inc (LTC) 1.37M
Aaron's Inc (AAN) 1.37M
Herman Miller, Inc. (MLHR) 1.37M
Mallinckrodt plc (MNK) 1.36M
Mercury Systems Inc (MRCY) 1.36M
Murphy Oil Corp /DE (MUR) 1.35M
Astoria Financial Corp (AF) 1.35M
Healthequity Inc (HQY) 1.35M
Stamps.com Inc (STMP) 1.34M
Ralph Lauren Corp (RL) 1.34M
Potlatch Corporation (PCH) 1.34M
Brady Corp (BRC) 1.33M
Chicos FAS Inc (CHS) 1.33M
Neustar Inc (NSR) 1.32M
Chesapeake Energy Corp (CHK) 1.32M
Sabra Health Care REIT, Inc (SBRA) 1.32M
Now Inc (DNOW) 1.32M
Boyd Gaming Corp (BYD) 1.31M
Korn Ferry International (KFY) 1.31M
iRobot CORP (IRBT) 1.30M
Kite Realty Group Trust (KRG) 1.30M
Plantronics Inc (PLT) 1.30M
Discovery Communications, Inc. (DISCA) 1.30M
Universal Corp (UVV) 1.29M
Dean Foods Co (DF) 1.29M
Cambrex CORP (CBM) 1.29M
Halyard Health, Inc. (HYH) 1.29M
SkyWest, Inc. (SKYW) 1.29M
TopBuild Corp (BLD) 1.28M
Restoration Hardware Holdings Inc (RH) 1.28M
MicroStrategy Inc (MSTR) 1.28M
Quality Care Properties, Inc. (QCP) 1.28M
Cogent Communications Holdings, Inc. (CCOI) 1.28M
Independent Bank Corp (INDB) 1.27M
Headwaters Incorporated (HW) 1.27M
New York Times Co (NYT) 1.27M
Carrizo Oil And Gas, Inc. (CRZO) 1.27M
Synaptics Inc (SYNA) 1.27M
Quaker Chemical Corp (KWR) 1.27M
Simpson Manufacturing Co Inc (SSD) 1.26M
Carpenter Technology Corp (CRS) 1.26M
Navient Corp (NAVI) 1.25M
Watts Water Technologies Inc (WTS) 1.25M
California Water Service Group (CWT) 1.25M
CSRA Inc. (CSRA) 1.24M
Northwest Bancshares, Inc. (NWBI) 1.24M
American Assets Trust, Inc. (AAT) 1.24M
Apogee Enterprises, Inc. (APOG) 1.24M
Oil States International, Inc (OIS) 1.23M
First Financial Bancorp (FFBC) 1.23M
HMS Holdings Corp (HMSY) 1.23M
Monro Muffler Brake Inc (MNRO) 1.23M
FTI Consulting Inc (FCN) 1.23M
Sono Resources, Inc. (SRCI) 1.23M
Northwest Natural Gas Co (NWN) 1.23M
Ameris Bancorp (ABCB) 1.22M
Knowles Corp (KN) 1.22M
Methode Electronics Inc (MEI) 1.22M
XPERI CORP 1.21M
Legacy Texas Financial Group, Inc. (LTXB) 1.20M
Nutrisystem, Inc. (NTRI) 1.20M
Insperity, Inc. (NSP) 1.20M
Franklin Electric Co Inc (FELE) 1.20M
Horace Mann Educators Corp (HMN) 1.20M
KB Home (KBH) 1.20M
SELECT SECTOR SPDR TR 1.19M
Teradata Corp (TDC) 1.19M
Southwestern Energy Co (SWN) 1.19M
Simmons First National Corp (SFNC) 1.19M
Netgear, Inc (NTGR) 1.18M
Magellan Health Inc (MGLN) 1.18M
Ryder System, Inc. (R) 1.18M
Shutterfly Inc (SFLY) 1.18M
Aerojet Rocketdyne Holdings, Inc. (AJRD) 1.18M
American States Water Co (AWR) 1.17M
ServisFirst Bancshares, Inc. (SFBS) 1.17M
Washington Prime Group Inc. (WPG) 1.17M
NBT Bancorp Inc. (NBTB) 1.17M
3D Systems Corp (DDD) 1.16M
DUN & Bradstreet Corp/NW (DNB) 1.16M
Ollie's Bargain Outlet Holdings, Inc. (OLLI) 1.16M
ExlService Holdings, Inc. (EXLS) 1.15M
Benchmark Electronics Inc (BHE) 1.14M
Supernus Pharmaceuticals Inc (SUPN) 1.14M
Provident Financial Services Inc (PFS) 1.13M
Actuant Corp (ATU) 1.13M
Innospec Inc. (IOSP) 1.13M
Brooks Automation, Inc. (BRKS) 1.13M
Fabrinet (FN) 1.12M
Hub Group, Inc. (HUBG) 1.12M
Rogers Corp (ROG) 1.12M
AZZ Inc (AZZ) 1.12M
WD 40 Co (WDFC) 1.11M
PRA Group Inc (PRAA) 1.11M
Stepan CO (SCL) 1.11M
Exponent Inc (EXPO) 1.10M
ENPRO Industries, Inc (NPO) 1.10M
Noble Corp plc (NE) 1.10M
Bofi Holding, Inc. (BOFI) 1.09M
Omnicell, Inc. (OMCL) 1.09M
Patterson Companies, INC. (PDCO) 1.09M
ESCO Technologies Inc. (ESE) 1.08M
Summit Hotel Properties, Inc. (INN) 1.08M
Government Properties Income Trust (GOV) 1.08M
Green Dot Corp (GDOT) 1.08M
Group 1 Automotive Inc (GPI) 1.07M
SPX FLOW, Inc. (FLOW) 1.06M
Westamerica Bancorporat 1.06M
Under Armour, Inc. (UAA) 1.06M
Rambus Inc (RMBS) 1.06M
Insight Enterprises Inc (NSIT) 1.06M
Banner Corp (BANR) 1.06M
Core-Mark Holding Company, Inc. (CORE) 1.05M
Kulicke & Soffa Industries Inc (KLIC) 1.04M
Chesapeake Lodging Trust (CHSP) 1.04M
Forward Air Corp (FWRD) 1.04M
Gentherm Inc (THRM) 1.04M
American Axle & Manufacturing Holdings Inc (AXL) 1.04M
Select Medical Holdings Corp (SEM) 1.04M
Waddell & Reed Financial Inc (WDR) 1.04M
Amedisys Inc (AMED) 1.03M
Air Methods Corp (AIRM) 1.03M
GREIF INC 1.03M
Merit Medical Systems Inc (MMSI) 1.03M
Progress Software Corp /MA (PRGS) 1.02M
Tenet Healthcare Corp (THC) 1.02M
Kaiser Aluminum Corp (KALU) 1.01M
Aaon Inc (AAON) 1.01M
Atlas Air Worldwide Holdings Inc (AAWW) 1.01M
Meritage Homes CORP (MTH) 1.00M
8X8 Inc (EGHT) 1.00M
Boston Private Financial Holdings (BPFH) 996.00K
Matson, Inc. (MATX) 992.00K
Four Corners Property Trust, Inc. (FCPT) 990.00K
Comfort Systems USA, Inc. (FIX) 987.00K
Under Armour, Inc. (UA) 986.00K
TTM Technologies Inc (TTMI) 985.00K
Mobile Mini Inc (MINI) 978.00K
Boston Beer Co Inc (SAM) 975.00K
Albany International Corp (AIN) 964.00K
Ebix Inc (EBIX) 964.00K
OSI Systems Inc (OSIS) 961.00K
Dillard's, Inc. (DDS) 956.00K
La-Z-Boy Inc (LZB) 954.00K
Cubic Corp (CUB) 953.00K
E.W. SCRIPPS Co (SSP) 951.00K
SpartanNash Co (SPTN) 950.00K
KAMAN Corp (KAMN) 944.00K
Franklin Street Properties Corp (FSP) 943.00K
Gibraltar Industries, Inc. (ROCK) 942.00K
Natus Medical Inc (BABY) 934.00K
Tennant Co (TNC) 931.00K
American Woodmark Corporation (AMWD) 928.00K
Bob Evans Farms Inc (BOBE) 928.00K
Triumph Group, Inc. (TGI) 924.00K
Standex International Corp (SXI) 924.00K
Schweitzer Mauduit International Inc (SWM) 921.00K
Varex Imaging Corp (VREX) 910.00K
Neenah Paper Inc (NP) 909.00K
Inogen, Inc. (INGN) 908.00K
Agree Realty Corp (ADC) 908.00K
Ixia (XXIA) 908.00K
NIC Inc (EGOV) 907.00K
Amerisafe Inc (AMSF) 904.00K
Unit Corp (UNT) 903.00K
Proto Labs Inc (PRLB) 903.00K
CSG Systems International Inc (CSGS) 899.00K
M.D.C. Holdings, Inc. (MDC) 898.00K
Wabash National Corp /de (WNC) 898.00K
Interface Inc (TILE) 886.00K
GREENBRIER COS INC 885.00K
Employers Holdings, Inc. (EIG) 883.00K
Veeco Instruments Inc. (VECO) 877.00K
Scientific Games Corp (SGMS) 875.00K
S&T Bancorp Inc (STBA) 875.00K
Navigators Group Inc (NAVG) 871.00K
Repligen Corporation (RGEN) 863.00K
AXON Enterprise, Inc. (TASR) 863.00K
HSN, Inc. (HSNI) 858.00K
First Commonwealth Financial Corp (FCF) 854.00K
Astec Industries Inc (ASTE) 852.00K
Vista Outdoor Inc. (VSTO) 851.00K
CENTRAL GARDEN & PET CO 850.00K
Werner Enterprises Inc (WERN) 849.00K
Sykes Enterprises Inc (SYKE) 840.00K
Myriad Genetics Inc (MYGN) 837.00K
Walker & Dunlop, Inc. (WD) 837.00K
TrueBlue, Inc. (TBI) 835.00K
Scholastic Corp (SCHL) 830.00K
Caleres Inc (CAL) 821.00K
Patrick Industries Inc (PATK) 819.00K
Asbury Automotive Group Inc (ABG) 819.00K
Saia Inc (SAIA) 816.00K
AutoNation, Inc. (AN) 811.00K
Qualys, Inc. (QLYS) 808.00K
SEACOR Holdings Inc /New/ (CKH) 807.00K
Sonic Corp (SONC) 807.00K
CareTrust REIT, Inc. (CTRE) 806.00K
Integer Holdings Corp (ITGR) 803.00K
Brookline Bancorp Inc (BRKL) 799.00K
Genesco Inc (GCO) 798.00K
Conmed CORP (CNMD) 797.00K
Cal-Maine Foods, Inc. (CALM) 792.00K
Abaxis, Inc. (ABAX) 791.00K
Diamond Offshore Drilling Inc (DO) 780.00K
AAR Corp (AIR) 777.00K
Chart Industries Inc (GTLS) 776.00K
Innoviva, Inc. (INVA) 776.00K
Navigant Consulting Inc (NCI) 776.00K
Badger Meter Inc (BMI) 775.00K
Helix Energy Solutions, Inc. (HLX) 773.00K
Select Comfort Corp (SCSS) 771.00K
Installed Building Products, Inc. (IBP) 764.00K
Infinity Property & Casualty Corp (IPCC) 763.00K
Pennsylvania Real Estate Investment Trust (PEI) 762.00K
RE/MAX Holdings, Inc. (RMAX) 760.00K
Innophos Holdings, Inc. (IPHS) 760.00K
Raven Industries Inc (RAVN) 759.00K
Callaway Golf CO (ELY) 758.00K
Synchronoss Technologies Inc (SNCR) 756.00K
WisdomTree Investments, Inc (WETF) 754.00K
Supervalu Inc (SVU) 748.00K
Stewart Information Services Corp (STC) 748.00K
Denbury Resources Inc. (DNR) 744.00K
Maiden Holdings, Ltd. (MHLD) 743.00K
Banc of California, Inc. (BANC) 743.00K
SPX Corp (SPXC) 741.00K
Boise Cascade Company (BCC) 741.00K
BELMOND LTD 740.00K
Harsco Corp (HSC) 740.00K
US Ecology, Inc. (ECOL) 739.00K
Capstead Mortgage Corporation (CMO) 732.00K
Community Health Systems Inc (CYH) 731.00K
ADTRAN Inc (ADTN) 729.00K
SPS Commerce Inc (SPSC) 728.00K
City Holding Co (CHCO) 727.00K
Emergent BioSolutions Inc. (EBS) 727.00K
Safety Insurance Group, Inc. (SAFT) 723.00K
Fox Factory Holding Corp (FOXF) 720.00K
Andersons, Inc. (ANDE) 720.00K
Hanmi Financial Corp (HAFC) 720.00K
ScanSource, Inc. (SCSC) 718.00K
Exterran Corp (EXTN) 718.00K
Universal Electronics Inc (UEIC) 718.00K
Cardinal Financial Corporation (CFNL) 717.00K
Tompkins Financial Corp (TMP) 716.00K
Standard MOTOR Products Inc (SMP) 715.00K
Cavco Industries Inc (CVCO) 712.00K
Capella Education Co (CPLA) 711.00K
Acorda Therapeutics Inc (ACOR) 706.00K
TIVITY HEALTH INC 705.00K
Circor International Inc (CIR) 705.00K
HFF, Inc. (HF) 705.00K
Sturm Ruger & Company Inc (RGR) 702.00K
Briggs & Stratton Corporation (BGG) 696.00K
G III Apparel Group Ltd (GIII) 694.00K
Kraton Corp (KRA) 692.00K
Encore Wire Corporation (WIRE) 691.00K
Super Micro Computer, Inc. (SMCI) 691.00K
Mimedx Group, Inc. (MDXG) 690.00K
Gannett Co., Inc. (GCI) 689.00K
Glatfelter P H CO (GLT) 686.00K
Analogic Corp (ALOG) 685.00K
US Concrete Inc (USCR) 683.00K
Central Pacific Financial Corp (CPF) 680.00K
MULTI COLOR Corp (LABL) 679.00K
Lindsay Corp (LNN) 678.00K
INTERNATIONAL SPEEDWAY CORP 677.00K
Impax Laboratories Inc (IPXL) 675.00K
Calavo Growers Inc (CVGW) 673.00K
United Fire Group Inc (UFCS) 670.00K
Schulman A Inc (SHLM) 670.00K
Lydall Inc (LDL) 669.00K
Clearwater Paper Corp (CLW) 668.00K
MTS Systems Corp (MTSC) 665.00K
Viad Corp (VVI) 665.00K
Diodes Inc /Del/ (DIOD) 664.00K
DineEquity, Inc (DIN) 661.00K
Piper Jaffray Companies (PJC) 659.00K
LendingTree, Inc. (TREE) 655.00K
Ensign Group, Inc (ENSG) 651.00K
Customers Bancorp, Inc. (CUBI) 650.00K
Bottomline Technologies Inc (EPAY) 648.00K
Cray Inc (CRAY) 646.00K
Southside Bancshares Inc (SBSI) 645.00K
Select Sector SPDR - Materials 644.00K
ePlus Inc. (PLUS) 644.00K
General Cable Corp (BGC) 644.00K
Mantech International Corporation (MANT) 641.00K
First Bancorp (FBP) 640.00K
Green Plains Inc. (GPRE) 636.00K
Koppers Holdings Inc. (KOP) 634.00K
Archrock, Inc. (AROC) 633.00K
Heartland Express Inc (HTLD) 629.00K
National Bank Holdings Corp (NBHC) 626.00K
SPDR S&P MIDCAP 400 ETF TR 625.00K
Momenta Pharmaceuticals Inc (MNTA) 625.00K
Oxford Industries Inc (OXM) 619.00K
World Wrestling Entertainment, Inc. (WWE) 619.00K
Parkway Properties, Inc. (PKY) 615.00K
RR Donnelley & Sons Co (RRD) 612.00K
Strayer Education Inc (STRA) 608.00K
Virtusa Corp (VRTU) 603.00K
ADVANSIX INC 602.00K
Monotype Imaging Holdings Inc. (TYPE) 601.00K
Deltic Timber Corp (DEL) 598.00K
Federal Signal Corp (FSS) 597.00K
BioTelemetry Inc. 595.00K
U.S. Physical Therapy, Inc. (USPH) 592.00K
LSC Communications, Inc. (LKSD) 591.00K
Wingstop Inc. (WING) 591.00K
NORTHFIELD BANCORP INC DEL 589.00K
Abercrombie & Fitch Co (ANF) 585.00K
Universal Health Realty Income Trust (UHT) 584.00K
Greenhill & Co Inc (GHL) 583.00K
LHC Group, Inc. (LHCG) 582.00K
Universal Insurance Holdings, Inc. (UVE) 580.00K
Consolidated Communications Holdings, Inc. (CNSL) 579.00K
Team Inc (TISI) 578.00K
Shutterstock, Inc. (SSTK) 568.00K
Hersha Hospitality Trust (HT) 568.00K
Ethan Allen Interiors Inc (ETH) 565.00K
Depomed Inc (DEPO) 564.00K
Iridium Communications Inc. (IRDM) 563.00K
Winnebago Industries Inc (WGO) 562.00K
AMAG Pharmaceuticals Inc. (AMAG) 561.00K
Aegion Corp (AEGN) 560.00K
Michaels Companies, Inc. (MIK) 558.00K
Griffon Corp (GFF) 557.00K
Nanometrics Inc (NANO) 555.00K
New Media Investment Group, Inc. (NEWM) 550.00K
CEVA, Inc. (CEVA) 546.00K
TrustCo Bank Corp N Y (TRST) 545.00K
Red Robin Gourmet Burgers Inc (RRGB) 544.00K
ATN International, Inc. (ATNI) 543.00K
Cincinnati Bell Inc. (CBB) 540.00K
CALGON CARBON Corp (CCC) 535.00K
TimkenSteel Corp (TMST) 533.00K
BJS Restaurants Inc (BJRI) 531.00K
Fossil Group, Inc. (FOSL) 531.00K
Tailored Brands Inc (TLRD) 527.00K
Encore Capital Group Inc (ECPG) 525.00K
Saul Centers Inc (BFS) 525.00K
Ascena Retail Group, Inc. (ASNA) 523.00K
PharMerica CORP (PMC) 522.00K
Alamo Group INC (ALG) 521.00K
Express, Inc. (EXPR) 517.00K
Atwood Oceanics Management, Inc. (ATW) 516.00K
Kindred HealthCare, Inc (KND) 515.00K
Quality Systems, Inc (QSII) 510.00K
HomeStreet, Inc. (HMST) 510.00K
Ultratech Inc (UTEK) 509.00K
Rudolph Technologies Inc (RTEC) 507.00K
CTS Corporation (CTS) 505.00K
Quanex Building Products CORP (NX) 504.00K
Flotek Industries Inc (FTK) 502.00K
Diplomat Pharmacy, Inc. (DPLO) 501.00K
Virtus Investment Partners, Inc. (VRTS) 497.00K
Guess, Inc. (GES) 497.00K
Newpark Resources Inc (NR) 497.00K
Luminex Corporation (LMNX) 496.00K
Getty Realty Corp. (GTY) 493.00K
Eagle Pharmaceuticals Inc (EGRX) 487.00K
Blucora, Inc. (BCOR) 485.00K
Materion Corp (MTRN) 485.00K
Tootsie Roll Industries Inc (TR) 484.00K
Myr Group Inc. (MYRG) 477.00K
Lannett Co Inc (LCI) 475.00K
Progenics Pharmaceuticals Inc (PGNX) 475.00K
Oritani Financial Corp (ORIT) 474.00K
News Corp (NWS) 472.00K
Fiesta Restaurant Group Inc. (FRGI) 472.00K
Hibbett Sports Inc (HIBB) 469.00K
Investment Technology Group, Inc. (ITG) 463.00K
Kelly Services, Inc. (KELYA) 463.00K
Anika Therapeutics, Inc. (ANIK) 460.00K
Tile Shop Holdings, Inc. (TTS) 460.00K
Century Aluminum CO (CENX) 457.00K
Insteel Industries, Inc (IIIN) 457.00K
Dime Community Bancshares Inc (DCOM) 457.00K
Inter Parfums Inc (IPAR) 453.00K
ArcBest Corp (ARCB) 448.00K
Healthstream, Inc. (HSTM) 446.00K
Perficient Inc (PRFT) 445.00K
URSTADT BIDDLE PPTYS INC 443.00K
Marcus Corp (MCS) 440.00K
M/I Homes, Inc. (MHO) 439.00K
Shake Shack Inc. (SHAK) 434.00K
Veritiv Corp (VRTV) 433.00K
Faro Technologies Inc (FARO) 432.00K
Ruths Hospitality Group, Inc. (RUTH) 430.00K
Calamp Corp. (CAMP) 430.00K
Lumber Liquidators Holdings, Inc. (LL) 429.00K
DXP Enterprises, Inc. (DXPE) 423.00K
Meridian Bioscience Inc (VIVO) 422.00K
Echo Global Logistics, Inc. (ECHO) 422.00K
Rayonier Advanced Materials Inc. (RYAM) 421.00K
Francesca's Holdings CORP (FRAN) 420.00K
Almost Family Inc (AFAM) 419.00K
AeroVironment Inc (AVAV) 418.00K
Finish Line Inc (FINL) 418.00K
LGI Homes, Inc. (LGIH) 418.00K
Motorcar Parts America Inc (MPAA) 416.00K
SunCoke Energy, Inc. (SXC) 416.00K
Intl FCStone Inc. (INTL) 414.00K
Superior Industries International Inc (SUP) 412.00K
Essendant Inc (ESND) 411.00K
Career Education Corp (CECO) 406.00K
Nautilus, Inc. (NLS) 406.00K
Exar Corp (EXAR) 403.00K
Angiodynamics Inc (ANGO) 401.00K
Cato Corp (CATO) 399.00K
General Communication, Inc. (GNCMA) 399.00K
Marten Transport, Ltd. (MRTN) 393.00K
Providence Service CORP (PRSC) 392.00K
Sonic Automotive, Inc. (SAH) 382.00K
PGT, Inc. (PGTI) 381.00K
Marinemax Inc (HZO) 380.00K
The Buckle, Inc. (BKE) 380.00K
Amphastar Pharmaceuticals, Inc. (AMPH) 377.00K
Crocs, Inc. (CROX) 377.00K
Phibro Animal Health Corp (PAHC) 377.00K
OFG Bancorp (OFG) 375.00K
Rex American Resources Corporation (REX) 371.00K
Barnes & Noble Inc (BKS) 370.00K
Engility Holdings, Inc. (EGL) 370.00K
Sciclone Pharmaceuticals Inc (SCLN) 365.00K
National Presto Industries Inc (NPK) 365.00K
Donnelley Financial Solutions, Inc. (DFIN) 364.00K
Titan International Inc (TWI) 363.00K
Chuy's Holdings, Inc. (CHUY) 363.00K
Resources Connection Inc (RECN) 360.00K
Medifast Inc (MED) 358.00K
Heidrick & Struggles International Inc (HSII) 355.00K
Orthofix International N V (OFIX) 355.00K
DSW, Inc. (DSW) 353.00K
Bristow Group Inc (BRS) 352.00K
Vitamin Shoppe, Inc. (VSI) 347.00K
ACETO Corporation (ACET) 345.00K
Haynes International, Inc. (HAYN) 345.00K
Harmonic Inc (HLIT) 344.00K
Fidelity Bank (LION) 343.00K
Cross Country Healthcare Inc (CCRN) 343.00K
Rent A Center Inc DE (RCII) 342.00K
Tetra Technologies Inc (TTI) 341.00K
Haverty Furniture Companies Inc (HVT) 340.00K
Landauer Inc (LDR) 340.00K
Hawkins Inc (HWKN) 340.00K
TeleTech Holdings Inc (TTEC) 339.00K
Cohu Inc (COHU) 334.00K
Freds Inc (FRED) 334.00K
Spectrum Pharmaceuticals Inc (SPPI) 334.00K
Forestar Group Inc. (FOR) 326.00K
Cryolife Inc (CRY) 326.00K
Tredegar Corp (TG) 323.00K
Matrix Service Co (MTRX) 318.00K
Biglari Holdings Inc. (BH) 317.00K
Unifi Inc (UFI) 314.00K
American Vanguard Corp (AVD) 311.00K
Enanta Pharmaceuticals, Inc. (ENTA) 310.00K
XO Group Inc. (XOXO) 308.00K
Corvel Corp (CRVL) 307.00K
Iconix Brand Group, Inc. (ICON) 306.00K
Lumos Networks Corp. (LMOS) 302.00K
PETMED EXPRESS INC 299.00K
Regis Corp (RGS) 298.00K
Vasco Data Security International Inc (VDSI) 295.00K
Forrester Research, Inc. (FORR) 288.00K
EZCORP Inc (EZPW) 288.00K
Bank Mutual Corp (BKMU) 286.00K
Ani Pharmaceuticals Inc (ANIP) 285.00K
Spok Holdings, Inc (SPOK) 282.00K
HCi Group, Inc. (HCI) 282.00K
Movado Group Inc. (MOV) 277.00K
Cedar Realty Trust, Inc. (CDR) 276.00K
Daktronics, Inc. (DAKT) 274.00K
Invacare CORP (IVC) 273.00K
Tesco Corporation US (TESO) 272.00K
Heska Corp (HSKA) 272.00K
Central Garden & Pet Co (CENT) 272.00K
FairPoint Communications Inc (FRP) 271.00K
American Public Education Inc (APEI) 269.00K
Barnes & Noble Education, Inc. (BNED) 268.00K
OPUS BK IRVINE CALIF 265.00K
LivePerson Inc (LPSN) 264.00K
Myers Industries Inc (MYE) 251.00K
Comtech Telecommunications Corp (CMTL) 251.00K
Enova International, Inc. (ENVA) 250.00K
FTD Companies, Inc. (FTD) 250.00K
Bill Barrett Corporation (BBG) 249.00K
Cloud Peak Energy Inc. (CLD) 249.00K
William Lyon Homes (WLH) 247.00K
Moder Rate Homes Inc (PKE) 246.00K
Shoe Carnival, Inc. (SCVL) 236.00K
Monarch Casino & Resort Inc (MCRI) 235.00K
FutureFuel Corp. (FF) 233.00K
Surmodics Inc (SRDX) 231.00K
Zumiez Inc (ZUMZ) 231.00K
Digi International Inc (DGII) 228.00K
Albany Molecular Research Inc (AMRI) 227.00K
World Acceptance Corp (WRLD) 224.00K
Pioneer Energy Services CORP (PES) 224.00K
Computer Programs & Systems Inc (CPSI) 217.00K
Powell Industries, Inc. (POWL) 213.00K
United Insurance Holdings CORP. (UIHC) 205.00K
Carbo Ceramics Inc (CRR) 200.00K
Sucampo Pharmaceuticals, Inc. (SCMP) 197.00K
Big 5 Sporting Goods Corp (BGFV) 195.00K
DSP Group, Inc. (DSPG) 188.00K
Era Group Inc. (ERA) 186.00K
El Pollo Loco Holdings, Inc. (LOCO) 186.00K
Vicor Corporation (VICR) 186.00K
KOPIN CORP 180.00K
Electro Scientific Industries Inc (ESIO) 165.00K
Roadrunner Transportation Systems, Inc. (RRTS) 151.00K
Orion Marine Group Inc (ORN) 150.00K
eHealth, Inc. (EHTH) 146.00K
Liquidity Services Inc 142.00K
DHI Group, Inc. (DHX) 142.00K
LSB Industries Inc (LXU) 139.00K
Celadon Group Inc (CGI) 134.00K
Kirkland'S, Inc (KIRK) 131.00K
Vera Bradley, Inc. (VRA) 127.00K
Ruby Tuesday Inc (RT) 123.00K
Tuesday Morning Corp/DE (TUES) 122.00K
Contango Oil & Gas Co (MCF) 121.00K
Quorum Health Corp (QHC) 116.00K
Hornbeck Offshore Services, Inc. (HOS) 104.00K
Agilysys Inc (AGYS) 103.00K
QuinStreet, Inc. (QNST) 101.00K
Black Box Corp (BBOX) 98.00K
Northern Oil & Gas, Inc. (NOG) 82.00K
Stein Mart Inc (SMRT) 67.00K
First NBC Bank Holding Company (FNBC) 46.00K
Tidewater Inc. (TDW) 39.00K
Adeptus Health Inc. (ADPT) 20.00K
NVR Inc (NVR) 5.00K
01-16 04-14 11-12
Commitments/Contributions 355.31M 314.92M 73.25M
01-16 04-14 11-12
Investors 1.00 1.00 1.00