Form f13t for CIK:1451531

Reported Date (DD.MM.YYYY) Issuer Name Value Thousands Sshprn Amount Sshprn Type Class Title Voting Authority Sole Voting Authority Shared Voting Authority None
13.08.2018 ACCO BRANDS CORP 151 10891 SH COM 10891 0 0
13.08.2018 ABM INDS INC 823 28188 SH COM 28188 0 0
13.08.2018 AES CORP 608 45329 SH COM 45329 0 0
13.08.2018 AMC NETWORKS INC 710 11415 SH CL A 11415 0 0
13.08.2018 AMN HEALTHCARE SERVICES INC 749 12787 SH COM 12787 0 0
13.08.2018 AT&T INC 545 16969 SH COM 16969 0 0
13.08.2018 AARONS INC 378 8711 SH COM PAR $0.50 8711 0 0
13.08.2018 ABAXIS INC 6959 83836 SH COM 83836 0 0
13.08.2018 ABBOTT LABS 1406 23056 SH COM 23056 0 0
13.08.2018 ACI WORLDWIDE INC 342 13858 SH COM 13858 0 0
13.08.2018 ADOBE SYS INC 927 3802 SH COM 3802 0 0
13.08.2018 ADTRAN INC 189 12758 SH COM 12758 0 0
13.08.2018 AECOM 542 16408 SH COM 16408 0 0
13.08.2018 ADVANCED DRAIN SYS INC DEL 500 17527 SH COM 17527 0 0
13.08.2018 ADVANCED ENERGY INDS 735 12654 SH COM 12654 0 0
13.08.2018 AETNA INC NEW 8900 48500 SH COM 48500 0 0
13.08.2018 AFFILIATED MANAGERS GROUP 735 4943 SH COM 4943 0 0
13.08.2018 AGILENT TECHNOLOGIES INC 658 10643 SH COM 10643 0 0
13.08.2018 AGNICO EAGLE MINES LTD 421 9196 SH COM 9196 0 0
13.08.2018 AKAMAI TECHNOLOGIES INC 502 6850 SH COM 6850 0 0
13.08.2018 ALIGN TECHNOLOGY INC 248 726 SH COM 726 0 0
13.08.2018 ALLIANCE DATA SYSTEMS CORP 468 2005 SH COM 2005 0 0
13.08.2018 ALLIANCE RES PARTNER L P 266 14511 SH UT LTD PART 14511 0 0
13.08.2018 ALLIANCEBERNSTEIN HOLDING LP 280 9816 SH UNIT LTD PARTN 9816 0 0
13.08.2018 ALLISON TRANSMISSION HLDGS I 836 20645 SH COM 20645 0 0
13.08.2018 ALLSCRIPTS HEALTHCARE SOLUTN 410 34125 SH COM 34125 0 0
13.08.2018 ALLSTATE CORP 5063 55475 SH COM 55475 0 0
13.08.2018 ALPHABET INC 396 355 SH CAP STK CL C 355 0 0
13.08.2018 ALPHABET INC 412 365 SH CAP STK CL A 365 0 0
13.08.2018 ALTABA INC 265 3613 SH COM 3613 0 0
13.08.2018 ALTRA INDL MOTION CORP 226 5244 SH COM 5244 0 0
13.08.2018 ALTRIA GROUP INC 482 8492 SH COM 8492 0 0
13.08.2018 AMAZON COM INC 2774 1632 SH COM 1632 0 0
13.08.2018 AMEDISYS INC 503 5889 SH COM 5889 0 0
13.08.2018 AMERICAN ASSETS TR INC 272 7097 SH COM 7097 0 0
13.08.2018 AMERICAN EXPRESS CO 1030 10515 SH COM 10515 0 0
13.08.2018 AMERICAN FINL GROUP INC OHIO 518 4830 SH COM 4830 0 0
13.08.2018 AMERICAN RLTY CAP PPTYS INC 30439 30418000 PRN NOTE 3.000% 8/0 30418000 0 0
13.08.2018 AMERICAN TOWER CORP NEW 377 2613 SH COM 2613 0 0
13.08.2018 AMERISOURCEBERGEN CORP 1361 15958 SH COM 15958 0 0
13.08.2018 AMERIS BANCORP 211 3959 SH COM 3959 0 0
13.08.2018 AMERIGAS PARTNERS L P 290 6870 SH UNIT L P INT 6870 0 0
13.08.2018 AMETEK INC NEW 573 7942 SH COM 7942 0 0
13.08.2018 AMPHENOL CORP NEW 1368 15699 SH CL A 15699 0 0
13.08.2018 ANALOG DEVICES INC 880 9172 SH COM 9172 0 0
13.08.2018 ANDEAVOR 4591 35000 SH COM 35000 0 0
13.08.2018 ANDEAVOR LOGISTICS LP 463 10887 SH COM UNIT LP INT 10887 0 0
13.08.2018 ANNALY CAP MGMT INC 708 68824 SH COM 68824 0 0
13.08.2018 ANSYS INC 814 4671 SH COM 4671 0 0
13.08.2018 ANTERO RES CORP 342 16029 SH COM 16029 0 0
13.08.2018 ANTERO MIDSTREAM GP LP 190 10061 SH COM SHS REPSTG 10061 0 0
13.08.2018 ANWORTH MORTGAGE ASSET CP 89 17849 SH COM 17849 0 0
13.08.2018 APACHE CORP 258 5515 SH COM 5515 0 0
13.08.2018 APERGY CORP 342 8183 SH COM 8183 0 0
13.08.2018 APOGEE ENTERPRISES INC 314 6527 SH COM 6527 0 0
13.08.2018 APOLLO INVT CORP 85 15346 SH COM 15346 0 0
13.08.2018 APOLLO COML REAL EST FIN INC 363 19874 SH COM 19874 0 0
13.08.2018 APPLE INC 3348 18087 SH COM 18087 0 0
13.08.2018 APPFOLIO INC 407 6653 SH COM CL A 6653 0 0
13.08.2018 APPLE HOSPITALITY REIT INC 321 17930 SH COM NEW 17930 0 0
13.08.2018 APPLIED INDL TECHNOLOGIES IN 493 7031 SH COM 7031 0 0
13.08.2018 APPLIED MATLS INC 590 12782 SH COM 12782 0 0
13.08.2018 ARBOR RLTY TR INC 167 16056 SH COM 16056 0 0
13.08.2018 ARCBEST CORP 510 11165 SH COM 11165 0 0
13.08.2018 ARCHER DANIELS MIDLAND CO 626 13665 SH COM 13665 0 0
13.08.2018 ARCHROCK INC 141 11717 SH COM 11717 0 0
13.08.2018 ARES CAP CORP 314 19089 SH COM 19089 0 0
13.08.2018 ARISTA NETWORKS INC 566 2198 SH COM 2198 0 0
13.08.2018 ARMSTRONG WORLD INDS INC NEW 206 3265 SH COM 3265 0 0
13.08.2018 ARTISAN PARTNERS ASSET MGMT 327 10856 SH CL A 10856 0 0
13.08.2018 ASPEN TECHNOLOGY INC 1274 13737 SH COM 13737 0 0
13.08.2018 ASSURANT INC 519 5015 SH COM 5015 0 0
13.08.2018 ATHENAHEALTH INC 1959 12313 SH COM 12313 0 0
13.08.2018 ATKORE INTL GROUP INC 444 21397 SH COM 21397 0 0
13.08.2018 AUTOLIV INC 466 3253 SH COM 3253 0 0
13.08.2018 AUTOMATIC DATA PROCESSING IN 1209 9014 SH COM 9014 0 0
13.08.2018 AUTONATION INC 315 6493 SH COM 6493 0 0
13.08.2018 AUTOZONE INC 658 980 SH COM 980 0 0
13.08.2018 AVANGRID INC 334 6318 SH COM 6318 0 0
13.08.2018 AVERY DENNISON CORP 290 2845 SH COM 2845 0 0
13.08.2018 AXCELIS TECHNOLOGIES INC 300 15169 SH COM NEW 15169 0 0
13.08.2018 BB&T CORP 937 18579 SH COM 18579 0 0
13.08.2018 B & G FOODS INC NEW 446 14909 SH COM 14909 0 0
13.08.2018 BCE INC 857 21161 SH COM NEW 21161 0 0
13.08.2018 BP PRUDHOE BAY RTY TR 206 6906 SH UNIT BEN INT 6906 0 0
13.08.2018 BMC STK HLDGS INC 289 13866 SH COM 13866 0 0
13.08.2018 BWX TECHNOLOGIES INC 716 11496 SH COM 11496 0 0
13.08.2018 BAKER HUGHES A GE CO 633 19168 SH CL A 19168 0 0
13.08.2018 BANCORPSOUTH BK TUPELO MISS 502 15249 SH COM 15249 0 0
13.08.2018 BANK NEW YORK MELLON CORP 1404 26033 SH COM 26033 0 0
13.08.2018 BANK N S HALIFAX 238 4152 SH COM 4152 0 0
13.08.2018 BANKUNITED INC 790 19340 SH COM 19340 0 0
13.08.2018 BARRICK GOLD CORP 1042 79388 SH COM 79388 0 0
13.08.2018 BASIC ENERGY SVCS INC NEW 125 11242 SH COM NEW 11242 0 0
13.08.2018 BAXTER INTL INC 847 11464 SH COM 11464 0 0
13.08.2018 W R BERKLEY CORPORATION 360 4973 SH COM 4973 0 0
13.08.2018 BERKSHIRE HATHAWAY INC DEL 269 1442 SH CL B NEW 1442 0 0
13.08.2018 BEST BUY INC 792 10617 SH COM 10617 0 0
13.08.2018 BLACK HILLS CORP 436 7128 SH COM 7128 0 0
13.08.2018 BLACK KNIGHT INC 548 10237 SH COM 10237 0 0
13.08.2018 BLACKROCK INC 426 854 SH COM 854 0 0
13.08.2018 BLACKSTONE GROUP L P 520 16150 SH COM UNIT LTD 16150 0 0
13.08.2018 BLOCK H & R INC 465 20423 SH COM 20423 0 0
13.08.2018 BLUCORA INC 559 15096 SH COM 15096 0 0
13.08.2018 BOEING CO 1785 5321 SH COM 5321 0 0
13.08.2018 BOISE CASCADE CO DEL 355 7933 SH COM 7933 0 0
13.08.2018 BOOKING HLDGS INC 784 387 SH COM 387 0 0
13.08.2018 BOOZ ALLEN HAMILTON HLDG COR 930 21272 SH CL A 21272 0 0
13.08.2018 BORGWARNER INC 240 5565 SH COM 5565 0 0
13.08.2018 BOSTON SCIENTIFIC CORP 850 25994 SH COM 25994 0 0
13.08.2018 BRIGHT HORIZONS FAM SOL IN D 713 6956 SH COM 6956 0 0
13.08.2018 BRINKER INTL INC 452 9504 SH COM 9504 0 0
13.08.2018 BRISTOL MYERS SQUIBB CO 1251 22602 SH COM 22602 0 0
13.08.2018 BROADCOM INC 1014 4179 SH COM 4179 0 0
13.08.2018 BROOKFIELD ASSET MGMT INC 562 13862 SH CL A LTD VT SH 13862 0 0
13.08.2018 BROOKS AUTOMATION INC 408 12500 SH COM 12500 0 0
13.08.2018 BROWN FORMAN CORP 341 6961 SH CL B 6961 0 0
13.08.2018 BRUKER CORP 549 18918 SH COM 18918 0 0
13.08.2018 BRUNSWICK CORP 524 8122 SH COM 8122 0 0
13.08.2018 BUCKEYE PARTNERS L P 431 12274 SH UNIT LTD PARTN 12274 0 0
13.08.2018 BUCKLE INC 279 10377 SH COM 10377 0 0
13.08.2018 CBS CORP NEW 882 15691 SH CL B 15691 0 0
13.08.2018 CDK GLOBAL INC 720 11075 SH COM 11075 0 0
13.08.2018 CDW CORP 708 8769 SH COM 8769 0 0
13.08.2018 C H ROBINSON WORLDWIDE INC 1199 14336 SH COM NEW 14336 0 0
13.08.2018 CMS ENERGY CORP 386 8168 SH COM 8168 0 0
13.08.2018 CNA FINL CORP 280 6119 SH COM 6119 0 0
13.08.2018 CNX RESOURCES CORPORATION 360 20245 SH COM 20245 0 0
13.08.2018 CNX MIDSTREAM PARTNERS LP 200 10304 SH COM UNIT REPST 10304 0 0
13.08.2018 CVR REFNG LP 220 9841 SH COMUNIT REP LT 9841 0 0
13.08.2018 CVS HEALTH CORP 1596 24804 SH COM 24804 0 0
13.08.2018 CA INC 1178 33051 SH COM 33051 0 0
13.08.2018 CABOT OIL & GAS CORP 656 27568 SH COM 27568 0 0
13.08.2018 CABOT MICROELECTRONICS CORP 236 2190 SH COM 2190 0 0
13.08.2018 CACI INTL INC 756 4485 SH CL A 4485 0 0
13.08.2018 CADENCE DESIGN SYSTEM INC 1031 23813 SH COM 23813 0 0
13.08.2018 CADENCE BANCORPORATION 280 9689 SH CL A 9689 0 0
13.08.2018 CAMDEN PPTY TR 342 3754 SH SH BEN INT 3754 0 0
13.08.2018 CDN IMPERIAL BK COMM TORONTO 442 5085 SH COM 5085 0 0
13.08.2018 CANADIAN NATL RY CO 707 8654 SH COM 8654 0 0
13.08.2018 CANTEL MEDICAL CORP 867 8819 SH COM 8819 0 0
13.08.2018 CAPITAL ONE FINL CORP 246 2680 SH COM 2680 0 0
13.08.2018 CARDINAL HEALTH INC 1029 21077 SH COM 21077 0 0
13.08.2018 CARE COM INC 212 10138 SH COM 10138 0 0
13.08.2018 CARGURUS INC 293 8424 SH COM CL A 8424 0 0
13.08.2018 CARMAX INC 514 7052 SH COM 7052 0 0
13.08.2018 CARNIVAL CORP 298 5199 SH UNIT 99/99/9999 5199 0 0
13.08.2018 CARS COM INC 213 7499 SH COM 7499 0 0
13.08.2018 CARTER INC 487 4492 SH COM 4492 0 0
13.08.2018 CATERPILLAR INC DEL 1340 9879 SH COM 9879 0 0
13.08.2018 CATHAY GEN BANCORP 619 15288 SH COM 15288 0 0
13.08.2018 CATO CORP NEW 209 8507 SH CL A 8507 0 0
13.08.2018 CELANESE CORP DEL 588 5294 SH COM SER A 5294 0 0
13.08.2018 CENTENE CORP DEL 234 1902 SH COM 1902 0 0
13.08.2018 CENTERPOINT ENERGY INC 631 22778 SH COM 22778 0 0
13.08.2018 CENTURY ALUM CO 484 30759 SH COM 30759 0 0
13.08.2018 CERNER CORP 676 11309 SH COM 11309 0 0
13.08.2018 CHARLES RIV LABS INTL INC 1191 10612 SH COM 10612 0 0
13.08.2018 CHEESECAKE FACTORY INC 676 12271 SH COM 12271 0 0
13.08.2018 CHEMOURS CO 428 9643 SH COM 9643 0 0
13.08.2018 CHENIERE ENERGY PARTNERS LP 575 15983 SH COM UNIT 15983 0 0
13.08.2018 CHERRY HILL MTG INVT CORP 202 11313 SH COM 11313 0 0
13.08.2018 CHESAPEAKE LODGING TR 303 9571 SH SH BEN INT 9571 0 0
13.08.2018 CHEVRON CORP NEW 1393 11017 SH COM 11017 0 0
13.08.2018 CHICOS FAS INC 680 83498 SH COM 83498 0 0
13.08.2018 CHIMERA INVT CORP 628 34341 SH COM NEW 34341 0 0
13.08.2018 CHOICE HOTELS INTL INC 206 2719 SH COM 2719 0 0
13.08.2018 CISCO SYS INC 784 18219 SH COM 18219 0 0
13.08.2018 CINTAS CORP 1164 6287 SH COM 6287 0 0
13.08.2018 CITIZENS FINL GROUP INC 340 8746 SH COM 8746 0 0
13.08.2018 CITRIX SYS INC 1003 9571 SH COM 9571 0 0
13.08.2018 CLOROX CO DEL 748 5534 SH COM 5534 0 0
13.08.2018 COBIZ FINANCIAL INC 378 17600 SH COM 17600 0 0
13.08.2018 COCA COLA CO 2347 53519 SH COM 53519 0 0
13.08.2018 COEUR MNG INC 175 23055 SH COM NEW 23055 0 0
13.08.2018 COGENT COMMUNICATIONS HLDGS 476 8918 SH COM NEW 8918 0 0
13.08.2018 COGNIZANT TECHNOLOGY SOLUTIO 551 6978 SH CL A 6978 0 0
13.08.2018 COLGATE PALMOLIVE CO 401 6193 SH COM 6193 0 0
13.08.2018 COLUMBIA BKG SYS INC 283 6926 SH COM 6926 0 0
13.08.2018 COLUMBIA SPORTSWEAR CO 460 5028 SH COM 5028 0 0
13.08.2018 COMFORT SYS USA INC 344 7500 SH COM 7500 0 0
13.08.2018 COMCAST CORP NEW 737 22472 SH CL A 22472 0 0
13.08.2018 COMMERCE BANCSHARES INC 362 5595 SH COM 5595 0 0
13.08.2018 COMMERCIAL METALS CO 323 15315 SH COM 15315 0 0
13.08.2018 COMMSCOPE HLDG CO INC 365 12510 SH COM 12510 0 0
13.08.2018 COMMUNITY BK SYS INC 233 3941 SH COM 3941 0 0
13.08.2018 COMPASS MINERALS INTL INC 318 4843 SH COM 4843 0 0
13.08.2018 CONCHO RES INC 302 2184 SH COM 2184 0 0
13.08.2018 CONMED CORP 529 7220 SH COM 7220 0 0
13.08.2018 CONOCOPHILLIPS 637 9156 SH COM 9156 0 0
13.08.2018 CONTINENTAL RESOURCES INC 534 8250 SH COM 8250 0 0
13.08.2018 CORELOGIC INC 646 12442 SH COM 12442 0 0
13.08.2018 CORPORATE OFFICE PPTYS TR 203 7004 SH SH BEN INT 7004 0 0
13.08.2018 COSTCO WHSL CORP NEW 599 2867 SH COM 2867 0 0
13.08.2018 COSTAR GROUP INC 688 1668 SH COM 1668 0 0
13.08.2018 COUSINS PPTYS INC 124 12844 SH COM 12844 0 0
13.08.2018 CRACKER BARREL OLD CTRY STOR 964 6168 SH COM 6168 0 0
13.08.2018 CRANE CO 492 6145 SH COM 6145 0 0
13.08.2018 CRESTWOOD EQUITY PARTNERS LP 500 15754 SH UNIT LTD PARTNER 15754 0 0
13.08.2018 CROSS CTRY HEALTHCARE INC 148 13141 SH COM 13141 0 0
13.08.2018 CUBESMART 203 6292 SH COM 6292 0 0
13.08.2018 CUBIC CORP 288 4487 SH COM 4487 0 0
13.08.2018 CULLEN FROST BANKERS INC 504 4659 SH COM 4659 0 0
13.08.2018 CUMMINS INC 1326 9970 SH COM 9970 0 0
13.08.2018 CYPRESS SEMICONDUCTOR CORP 225 14444 SH COM 14444 0 0
13.08.2018 DCP MIDSTREAM LP 403 10183 SH COM UT LTD PTN 10183 0 0
13.08.2018 D R HORTON INC 1203 29351 SH COM 29351 0 0
13.08.2018 DTE ENERGY CO 891 8600 SH COM 8600 0 0
13.08.2018 DXC TECHNOLOGY CO 697 8644 SH COM 8644 0 0
13.08.2018 DANAHER CORP DEL 1572 15929 SH COM 15929 0 0
13.08.2018 DEAN FOODS CO NEW 111 10536 SH COM NEW 10536 0 0
13.08.2018 DECKERS OUTDOOR CORP 294 2606 SH COM 2606 0 0
13.08.2018 DELTA AIR LINES INC DEL 1079 21775 SH COM NEW 21775 0 0
13.08.2018 DEVON ENERGY CORP NEW 554 12598 SH COM 12598 0 0
13.08.2018 DIAMONDROCK HOSPITALITY CO 142 11553 SH COM 11553 0 0
13.08.2018 DIPLOMAT PHARMACY INC 514 20129 SH COM 20129 0 0
13.08.2018 DISNEY WALT CO 995 9498 SH COM DISNEY 9498 0 0
13.08.2018 DISCOVER FINL SVCS 1556 22095 SH COM 22095 0 0
13.08.2018 DOLBY LABORATORIES INC 452 7324 SH COM 7324 0 0
13.08.2018 DOMINOS PIZZA INC 957 3393 SH COM 3393 0 0
13.08.2018 DONALDSON INC 648 14363 SH COM 14363 0 0
13.08.2018 DOUGLAS EMMETT INC 398 9904 SH COM 9904 0 0
13.08.2018 DOVER CORP 1081 14770 SH COM 14770 0 0
13.08.2018 DUKE REALTY CORP 318 10971 SH COM NEW 10971 0 0
13.08.2018 DYCOM INDS INC 248 2622 SH COM 2622 0 0
13.08.2018 EQT MIDSTREAM PARTNERS LP 263 5107 SH UNIT LTD PARTN 5107 0 0
13.08.2018 EAST WEST BANCORP INC 205 3151 SH COM 3151 0 0
13.08.2018 EASTGROUP PPTY INC 404 4227 SH COM 4227 0 0
13.08.2018 EASTMAN CHEM CO 642 6421 SH COM 6421 0 0
13.08.2018 EASTMAN KODAK CO 69 18226 SH COM NEW 18226 0 0
13.08.2018 EATON VANCE CORP 439 8405 SH COM NON VTG 8405 0 0
13.08.2018 EBAY INC 559 15404 SH COM 15404 0 0
13.08.2018 EBIX INC 497 6516 SH COM NEW 6516 0 0
13.08.2018 EDISON INTL 410 6485 SH COM 6485 0 0
13.08.2018 ELDORADO RESORTS INC 254 6493 SH COM 6493 0 0
13.08.2018 ELECTRO SCIENTIFIC INDS 174 11023 SH COM 11023 0 0
13.08.2018 ELECTRONIC ARTS INC 1260 8935 SH COM 8935 0 0
13.08.2018 EMERSON ELEC CO 970 14023 SH COM 14023 0 0
13.08.2018 EMPIRE ST RLTY TR INC 204 11924 SH CL A 11924 0 0
13.08.2018 ENCANA CORP 734 56221 SH COM 56221 0 0
13.08.2018 ENBRIDGE ENERGY PARTNERS L P 250 22828 SH COM 22828 0 0
13.08.2018 ENCOMPASS HEALTH CORP 412 6084 SH COM 6084 0 0
13.08.2018 ENERGEN CORP 3423 47000 SH COM 47000 0 0
13.08.2018 ENDURANCE INTL GROUP HLDGS I 259 26016 SH COM 26016 0 0
13.08.2018 ENERSYS 294 3936 SH COM 3936 0 0
13.08.2018 ENERPLUS CORP 467 37032 SH COM 37032 0 0
13.08.2018 ENERGY TRANSFER PARTNERS LP 299 15704 SH UNIT LTD PRT INT 15704 0 0
13.08.2018 ENPRO INDS INC 230 3282 SH COM 3282 0 0
13.08.2018 ENOVA INTL INC 453 12383 SH COM 12383 0 0
13.08.2018 ENSIGN GROUP INC 411 11482 SH COM 11482 0 0
13.08.2018 ENTERGY CORP NEW 291 3601 SH COM 3601 0 0
13.08.2018 ENTERPRISE PRODS PARTNERS L 553 19971 SH COM 19971 0 0
13.08.2018 ENVESTNET INC 404 7359 SH COM 7359 0 0
13.08.2018 EQUITY LIFESTYLE PPTYS INC 267 2902 SH COM 2902 0 0
13.08.2018 EQUITY RESIDENTIAL 469 7356 SH SH BEN INT 7356 0 0
13.08.2018 ESSENDANT INC 3305 250000 SH COM 250000 0 0
13.08.2018 ESSEX PPTY TR INC 360 1507 SH COM 1507 0 0
13.08.2018 ETSY INC 595 14114 SH COM 14114 0 0
13.08.2018 EVERCORE INC 667 6328 SH CLASS A 6328 0 0
13.08.2018 EVERTEC INC 244 11146 SH COM 11146 0 0
13.08.2018 EVOQUA WATER TECHNOLOGIES CO 260 12661 SH COM 12661 0 0
13.08.2018 EXELON CORP 766 17980 SH COM 17980 0 0
13.08.2018 EXPEDIA GROUP INC 368 3065 SH COM NEW 3065 0 0
13.08.2018 EXPEDITORS INTL WASH INC 971 13289 SH COM 13289 0 0
13.08.2018 EXTENDED STAY AMER INC 390 18037 SH UNIT 99/99/9999B 18037 0 0
13.08.2018 EXTRA SPACE STORAGE INC 254 2546 SH COM 2546 0 0
13.08.2018 EXXON MOBIL CORP 787 9509 SH COM 9509 0 0
13.08.2018 FLIR SYS INC 611 11752 SH COM 11752 0 0
13.08.2018 FS INVT CORP 145 19775 SH COM 19775 0 0
13.08.2018 FACEBOOK INC 440 2264 SH CL A 2264 0 0
13.08.2018 FACTSET RESH SYS INC 732 3696 SH COM 3696 0 0
13.08.2018 FAIR ISAAC CORP 502 2596 SH COM 2596 0 0
13.08.2018 FASTENAL CO 878 18233 SH COM 18233 0 0
13.08.2018 FEDERATED INVS INC PA 676 28969 SH CL B 28969 0 0
13.08.2018 F5 NETWORKS INC 1003 5814 SH COM 5814 0 0
13.08.2018 FIDELITY NATL INFORMATION SV 560 5277 SH COM 5277 0 0
13.08.2018 FIFTH THIRD BANCORP 550 19169 SH COM 19169 0 0
13.08.2018 FIRST AMERN FINL CORP 612 11835 SH COM 11835 0 0
13.08.2018 FIRST FINL BANCORP OH 264 8600 SH COM 8600 0 0
13.08.2018 FIRST INTST BANCSYSTEM INC 342 8101 SH COM CL A 8101 0 0
13.08.2018 FISERV INC 598 8073 SH COM 8073 0 0
13.08.2018 FIRSTENERGY CORP 435 12124 SH COM 12124 0 0
13.08.2018 FIVE9 INC 514 14876 SH COM 14876 0 0
13.08.2018 FLEETCOR TECHNOLOGIES INC 408 1939 SH COM 1939 0 0
13.08.2018 FLOWERS FOODS INC 911 43719 SH COM 43719 0 0
13.08.2018 FOOT LOCKER INC 744 14139 SH COM 14139 0 0
13.08.2018 FORD MTR CO DEL 925 83601 SH COM PAR $0.01 83601 0 0
13.08.2018 FORTIS INC 295 9250 SH COM 9250 0 0
13.08.2018 FORTINET INC 686 10992 SH COM 10992 0 0
13.08.2018 FORTUNE BRANDS HOME & SEC IN 348 6483 SH COM 6483 0 0
13.08.2018 FORWARD AIR CORP 390 6601 SH COM 6601 0 0
13.08.2018 FORTUNA SILVER MINES INC 154 27081 SH COM 27081 0 0
13.08.2018 FOX FACTORY HLDG CORP 271 5812 SH COM 5812 0 0
13.08.2018 FRANKLIN ELEC INC 200 4438 SH COM 4438 0 0
13.08.2018 FRANKLIN RES INC 525 16384 SH COM 16384 0 0
13.08.2018 FULLER H B CO 404 7535 SH COM 7535 0 0
13.08.2018 FULTON FINL CORP PA 285 17255 SH COM 17255 0 0
13.08.2018 GTT COMMUNICATIONS INC 285 6327 SH COM 6327 0 0
13.08.2018 GMS INC 315 11645 SH COM 11645 0 0
13.08.2018 GAMING & LEISURE PPTYS INC 331 9258 SH COM 9258 0 0
13.08.2018 GANNETT CO INC 429 40052 SH COM 40052 0 0
13.08.2018 GAP INC DEL 232 7151 SH COM 7151 0 0
13.08.2018 GENERAC HLDGS INC 602 11645 SH COM 11645 0 0
13.08.2018 GENERAL DYNAMICS CORP 1168 6268 SH COM 6268 0 0
13.08.2018 GENERAL MLS INC 649 14655 SH COM 14655 0 0
13.08.2018 GENERAL MTRS CO 222 5640 SH COM 5640 0 0
13.08.2018 GENTEX CORP 855 37133 SH COM 37133 0 0
13.08.2018 GENESIS ENERGY L P 326 14875 SH UNIT LTD PARTN 14875 0 0
13.08.2018 GENUINE PARTS CO 887 9668 SH COM 9668 0 0
13.08.2018 GILEAD SCIENCES INC 1231 17380 SH COM 17380 0 0
13.08.2018 GILDAN ACTIVEWEAR INC 358 12702 SH COM 12702 0 0
13.08.2018 GODADDY INC 533 7554 SH CL A 7554 0 0
13.08.2018 GOLD RESOURCE CORP 104 15739 SH COM 15739 0 0
13.08.2018 GOLDCORP INC NEW 213 15533 SH COM 15533 0 0
13.08.2018 GRACO INC 840 18578 SH COM 18578 0 0
13.08.2018 GRAINGER W W INC 739 2396 SH COM 2396 0 0
13.08.2018 GRAND CANYON ED INC 358 3207 SH COM 3207 0 0
13.08.2018 GREAT WESTN BANCORP INC 220 5241 SH COM 5241 0 0
13.08.2018 GREIF INC 323 6113 SH CL A 6113 0 0
13.08.2018 GROUP 1 AUTOMOTIVE INC 427 6780 SH COM 6780 0 0
13.08.2018 GROUPE CGI INC 389 6141 SH CL A SUB VTG 6141 0 0
13.08.2018 GROUPON INC 122 28357 SH COM 28357 0 0
13.08.2018 GUIDEWIRE SOFTWARE INC 281 3160 SH COM 3160 0 0
13.08.2018 HCA HEALTHCARE INC 372 3623 SH COM 3623 0 0
13.08.2018 HFF INC 273 7940 SH CL A 7940 0 0
13.08.2018 HMS HLDGS CORP 284 13148 SH COM 13148 0 0
13.08.2018 HP INC 1552 68411 SH COM 68411 0 0
13.08.2018 HAEMONETICS CORP 962 10726 SH COM 10726 0 0
13.08.2018 HALLIBURTON CO 540 11990 SH COM 11990 0 0
13.08.2018 HALYARD HEALTH INC 763 13322 SH COM 13322 0 0
13.08.2018 HANCOCK WHITNEY CORPORATION 244 5231 SH COM 5231 0 0
13.08.2018 HANMI FINL CORP 207 7297 SH COM NEW 7297 0 0
13.08.2018 HANOVER INS GROUP INC 587 4906 SH COM 4906 0 0
13.08.2018 HARRIS CORP DEL 488 3374 SH COM 3374 0 0
13.08.2018 HARTFORD FINL SVCS GROUP INC 1149 22467 SH COM 22467 0 0
13.08.2018 HASBRO INC 597 6465 SH COM 6465 0 0
13.08.2018 HEARTLAND FINL USA INC 245 4460 SH COM 4460 0 0
13.08.2018 HELMERICH & PAYNE INC 459 7195 SH COM 7195 0 0
13.08.2018 HENRY JACK & ASSOC INC 1155 8857 SH COM 8857 0 0
13.08.2018 HERC HLDGS INC 482 8548 SH COM 8548 0 0
13.08.2018 HERSHEY CO 1214 13046 SH COM 13046 0 0
13.08.2018 HESS CORP 239 3577 SH COM 3577 0 0
13.08.2018 HILL ROM HLDGS INC 1054 12070 SH COM 12070 0 0
13.08.2018 HILLENBRAND INC 390 8280 SH COM 8280 0 0
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13.11.2018 SELECT SECTOR SPDR TR 320 4223 SH ENERGY 4223 0 0
13.11.2018 SELECT SECTOR SPDR TR 315 5989 SH SBI INT-UTILS 5989 0 0
13.11.2018 ISHARES TR 314 2675 SH 20 YR TR BD ETF 2675 0 0
13.11.2018 SELECT SECTOR SPDR TR 272 9878 SH SBI INT-FINL 9878 0 0
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13.11.2018 INVESCO QQQ TR 207 1112 SH UNIT SER 1 1112 0 0
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