|
FactSet Research Systems
FDS
|
$ 487.08
|
$ 18.5 B
|
$ 849 M
|
∙ |
∙ |
∙ |
|
|
Burlington Stores
BURL
|
$ 285.53
|
$ 18.5 B
|
$ 302 M
|
∙ |
∙ |
∙ |
|
|
Alexandria Real Estate Equities
ARE
|
$ 107.87
|
$ 18.4 B
|
$ 1.14 B
|
51.7
|
6.7
|
$ 2.3
|
|
|
Snap
SNAP
|
$ 11.42
|
$ 18.4 B
|
$ -981 M
|
-16.1
|
∙ |
$ -0.7
|
|
|
Quest Diagnostics Incorporated
DGX
|
$ 163.75
|
$ 18.3 B
|
$ 1.8 B
|
20.2
|
1.8
|
$ 7.8
|
|
|
Insulet Corporation
PODD
|
$ 262.93
|
$ 18.3 B
|
$ 96.8 M
|
∙ |
∙ |
∙ |
|
|
News Corporation
NWS
|
$ 32.01
|
$ 18.3 B
|
$ 722 M
|
52.0
|
1.8
|
$ 0.6
|
|
|
Jefferies Financial Group
JEF
|
$ 78.52
|
$ 18.3 B
|
$ 168 M
|
∙ |
∙ |
∙ |
|
|
Owens Corning
OC
|
$ 202.63
|
$ 18.3 B
|
$ 2.07 B
|
∙ |
∙ |
∙ |
|
|
KeyCorp
KEY
|
$ 19.55
|
$ 18.1 B
|
$ 186 M
|
73.6
|
3.5
|
$ 0.3
|
|
|
Trimble
TRMB
|
$ 72.34
|
$ 17.9 B
|
$ 558 M
|
31.4
|
2.8
|
$ 1.4
|
|
|
Toll Brothers
TOL
|
$ 157.18
|
$ 17.7 B
|
$ 1.8 B
|
9.0
|
1.4
|
$ 13.5
|
|
|
Masco Corporation
MAS
|
$ 78.86
|
$ 17.7 B
|
$ 1.57 B
|
∙ |
∙ |
∙ |
|
|
ICON Public Limited Company
ICLR
|
$ 214.71
|
$ 17.6 B
|
$ 723 M
|
66.4
|
3.4
|
$ 3.4
|
|
|
Pentair plc
PNR
|
$ 106.76
|
$ 17.6 B
|
$ 844 M
|
27.6
|
3.9
|
$ 3.6
|
|
|
RPM International
RPM
|
$ 137.69
|
$ 17.6 B
|
$ 205 M
|
∙ |
∙ |
∙ |
|
|
Nuance Communications
NUAN
|
$ 55.07
|
$ 17.6 B
|
$ 92.3 M
|
-177.6
|
13.2
|
$ -0.3
|
|
|
Manhattan Associates
MANH
|
$ 280.14
|
$ 17.6 B
|
$ 260 M
|
∙ |
∙ |
∙ |
|
|
IDEX Corporation
IEX
|
$ 232.14
|
$ 17.5 B
|
$ 830 M
|
28.1
|
5.2
|
$ 7.8
|
|
|
Genuine Parts Company
GPC
|
$ 124.79
|
$ 17.5 B
|
$ 478 M
|
∙ |
∙ |
∙ |
|
|
United Therapeutics Corporation
UTHR
|
$ 373.87
|
$ 17.5 B
|
$ 1.22 B
|
∙ |
∙ |
∙ |
|
|
Sociedad Química y Minera de Chile S.A.
SQM
|
$ 38.22
|
$ 17.5 B
|
∙ |
∙ |
∙ |
∙ |
|
|
EQT Corporation
EQT
|
$ 45.9
|
$ 17.5 B
|
$ 1.91 B
|
-551.0
|
3.0
|
$ -0.1
|
|
|
Comfort Systems USA
FIX
|
$ 486.87
|
$ 17.4 B
|
$ 390 M
|
30.7
|
2.3
|
$ 13.5
|
|
|
CF Industries Holdings
CF
|
$ 89.93
|
$ 17.4 B
|
$ 4.77 B
|
14.4
|
2.8
|
$ 5.7
|
|
|
DraftKings
DKNG
|
$ 43.13
|
$ 17.4 B
|
$ -1.43 B
|
-6.6
|
24.3
|
$ -4.1
|
|
|
Jacobs Engineering Group
J
|
$ 137.04
|
$ 17.4 B
|
$ 927 M
|
∙ |
∙ |
∙ |
|
|
Marathon Oil Corporation
MRO
|
$ 28.55
|
$ 17.3 B
|
$ 4.49 B
|
12.1
|
2.6
|
$ 2.4
|
|
|
Brookfield Property Partners L.P.
BPY
|
$ 18.59
|
$ 17.2 B
|
∙ |
∙ |
∙ |
∙ |
|
|
XPO Logistics
XPO
|
$ 148.52
|
$ 17.2 B
|
$ 1.14 B
|
∙ |
∙ |
∙ |
|
|
Align Technology
ALGN
|
$ 225.04
|
$ 17.2 B
|
$ 774 M
|
∙ |
∙ |
∙ |
|
|
DICK'S Sporting Goods
DKS
|
$ 208.95
|
$ 17.2 B
|
$ 2.03 B
|
16.6
|
1.4
|
$ 13.3
|
|
|
Abiomed
ABMD
|
$ 381.02
|
$ 17.2 B
|
$ 333 M
|
46.9
|
13.0
|
$ 8.1
|
|
|
Flex Ltd.
FLEX
|
$ 41.18
|
$ 17.2 B
|
$ 1.34 B
|
∙ |
∙ |
∙ |
|
|
Textron
TXT
|
$ 85.27
|
$ 17 B
|
$ 756 M
|
∙ |
∙ |
∙ |
|
|
DocuSign
DOCU
|
$ 82.84
|
$ 16.9 B
|
$ 191 M
|
∙ |
∙ |
∙ |
|
|
Baxter International
BAX
|
$ 33.35
|
$ 16.9 B
|
$ 1.14 B
|
7.2
|
1.4
|
$ 4.7
|
|
|
Molina Healthcare
MOH
|
$ 290.04
|
$ 16.7 B
|
$ 1.87 B
|
∙ |
∙ |
∙ |
|
|
Hormel Foods Corporation
HRL
|
$ 30.6
|
$ 16.7 B
|
$ 1.13 B
|
21.2
|
1.4
|
$ 1.4
|
|
|
Fidelity National Financial
FNF
|
$ 61.89
|
$ 16.7 B
|
$ 682 M
|
∙ |
∙ |
∙ |
|
|
Ulta Beauty
ULTA
|
$ 338.55
|
$ 16.7 B
|
$ 2.02 B
|
∙ |
∙ |
∙ |
|
|
Guidewire Software
GWRE
|
$ 202.64
|
$ 16.7 B
|
$ -175 M
|
-40.0
|
8.3
|
$ -1.9
|
|
|
Teradyne
TER
|
$ 107.85
|
$ 16.6 B
|
$ 622 M
|
∙ |
∙ |
∙ |
|
|
Equitable Holdings
EQH
|
$ 47.47
|
$ 16.6 B
|
$ 3.77 B
|
∙ |
∙ |
∙ |
|
|
Westlake Chemical Corporation
WLK
|
$ 129.86
|
$ 16.6 B
|
$ 2.27 B
|
20.1
|
1.4
|
$ 6.8
|
|
|
PPD, Inc.
PPD
|
$ 47.25
|
$ 16.6 B
|
$ 923 M
|
∙ |
∙ |
∙ |
|
|
US Foods Holding Corp.
USFD
|
$ 69.34
|
$ 16.6 B
|
$ 1.41 B
|
∙ |
∙ |
∙ |
|
|
Warner Music Group Corp.
WMG
|
$ 31.82
|
$ 16.5 B
|
$ 1.51 B
|
∙ |
1.9
|
∙ |
|
|
Hyatt Hotels Corporation
H
|
$ 156.64
|
$ 16.4 B
|
$ 364 M
|
15.2
|
2.3
|
$ 9.6
|
|
|
Natera
NTRA
|
$ 166.91
|
$ 16.4 B
|
$ -460 M
|
∙ |
∙ |
∙ |
|
|
Avery Dennison Corporation
AVY
|
$ 202.47
|
$ 16.3 B
|
$ 116 M
|
∙ |
∙ |
∙ |
|
|
Viatris
VTRS
|
$ 13.48
|
$ 16.3 B
|
$ 3.15 B
|
42.3
|
1.0
|
$ 0.3
|
|
|
The Cooper Companies
COO
|
$ 331.35
|
$ 16.3 B
|
$ 903 M
|
∙ |
∙ |
∙ |
|
|
Dynatrace
DT
|
$ 55.54
|
$ 16.3 B
|
$ 193 M
|
∙ |
∙ |
∙ |
|
|
Dollar General Corporation
DG
|
$ 74.32
|
$ 16.3 B
|
$ 4.25 B
|
12.4
|
0.5
|
$ 6.8
|
|
|
Ritchie Bros. Auctioneers Incorporated
RBA
|
$ 97.48
|
$ 16.3 B
|
$ 1.13 B
|
∙ |
∙ |
∙ |
|
|
Varian Medical Systems, Inc.
VAR
|
$ 177.07
|
$ 16.3 B
|
$ -56.2 M
|
∙ |
∙ |
∙ |
|
|
Pure Storage
PSTG
|
$ 51.78
|
$ 16.1 B
|
$ 171 M
|
240.8
|
∙ |
$ 0.2
|
|
|
Brookfield Infrastructure Partners L.P.
BIP
|
$ 34.82
|
$ 16.1 B
|
$ 1.87 B
|
49.0
|
3.0
|
$ 0.7
|
|
|
Alliant Energy Corporation
LNT
|
$ 63.41
|
$ 16 B
|
$ 1.73 B
|
∙ |
∙ |
∙ |
|
|
Jabil
JBL
|
$ 130.57
|
$ 16 B
|
$ 2.3 B
|
∙ |
∙ |
∙ |
|
|
Aspen Technology
AZPN
|
$ 250.14
|
$ 15.9 B
|
$ 265 M
|
∙ |
∙ |
∙ |
|
|
Casey's General Stores
CASY
|
$ 427.35
|
$ 15.9 B
|
$ 505 M
|
21.6
|
0.8
|
$ 13.8
|
|
|
Domino's Pizza
DPZ
|
$ 452.7
|
$ 15.9 B
|
$ 874 M
|
25.3
|
3.3
|
$ 16.1
|
|
|
Incyte Corporation
INCY
|
$ 70.98
|
$ 15.9 B
|
$ 600 M
|
∙ |
∙ |
∙ |
|
|
CNH Industrial N.V.
CNHI
|
$ 11.81
|
$ 15.7 B
|
$ 121 M
|
∙ |
∙ |
∙ |
|
|
NiSource
NI
|
$ 37.7
|
$ 15.7 B
|
$ 2.25 B
|
∙ |
∙ |
∙ |
|
|
AECOM
ACM
|
$ 115.65
|
$ 15.7 B
|
$ 1.08 B
|
∙ |
∙ |
∙ |
|
|
Kimco Realty Corporation
KIM
|
$ 25.35
|
$ 15.6 B
|
$ 1.18 B
|
∙ |
∙ |
∙ |
|
|
James Hardie Industries plc
JHX
|
$ 35.52
|
$ 15.6 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Moderna
MRNA
|
$ 40.69
|
$ 15.5 B
|
$ -4.34 B
|
∙ |
∙ |
∙ |
|
|
East West Bancorp
EWBC
|
$ 109.83
|
$ 15.5 B
|
$ 190 M
|
12.1
|
∙ |
$ 8.5
|
|
|
Rexnord Corporation
RXN
|
$ 64.95
|
$ 15.5 B
|
$ 30.3 M
|
∙ |
∙ |
∙ |
|
|
Athene Holding Ltd.
ATH
|
$ 80.46
|
$ 15.5 B
|
$ 113 M
|
∙ |
∙ |
∙ |
|
|
Vedanta Limited
VEDL
|
$ 16.5
|
$ 15.4 B
|
$ 75.7 M
|
∙ |
∙ |
∙ |
|
|
Aptiv PLC
APTV
|
$ 54.47
|
$ 15.3 B
|
$ 2.75 B
|
∙ |
∙ |
∙ |
|
|
Sun Communities
SUI
|
$ 127.31
|
$ 15.3 B
|
$ 575 M
|
∙ |
∙ |
∙ |
|
|
Graco
GGG
|
$ 90.83
|
$ 15.3 B
|
$ 681 M
|
27.9
|
6.4
|
$ 3.0
|
|
|
Reinsurance Group of America, Incorporated
RGA
|
$ 230.02
|
$ 15.3 B
|
$ 70 M
|
16.6
|
0.6
|
$ 13.0
|
|
|
Fortinet
FTNT
|
$ 92.92
|
$ 15.2 B
|
$ 1.47 B
|
∙ |
∙ |
∙ |
|
|
Bentley Systems, Incorporated
BSY
|
$ 48.4
|
$ 15.1 B
|
$ 357 M
|
68.2
|
12.2
|
$ 0.8
|
|
|
Amcor plc
AMCR
|
$ 10.45
|
$ 15.1 B
|
$ 2.6 B
|
9.5
|
0.8
|
$ 1.0
|
|
|
Sprouts Farmers Market
SFM
|
$ 147.11
|
$ 15.1 B
|
$ 618 M
|
∙ |
∙ |
∙ |
|
|
Everest Re Group, Ltd.
RE
|
$ 351.28
|
$ 15.1 B
|
∙ |
∙ |
∙ |
∙ |
|
|
DaVita
DVA
|
$ 165.39
|
$ 15 B
|
$ 2.76 B
|
∙ |
∙ |
∙ |
|
|
Unum Group
UNM
|
$ 75.79
|
$ 14.9 B
|
$ 233 M
|
7.5
|
1.0
|
$ 8.6
|
|
|
Nordson Corporation
NDSN
|
$ 260.5
|
$ 14.9 B
|
$ 741 M
|
30.9
|
5.6
|
$ 8.3
|
|
|
Chewy
CHWY
|
$ 34.57
|
$ 14.8 B
|
$ 154 M
|
134.4
|
0.8
|
$ 0.2
|
|
|
UDR
UDR
|
$ 44.99
|
$ 14.8 B
|
$ 483 M
|
∙ |
∙ |
∙ |
|
|
Western Midstream Partners, LP
WES
|
$ 38.84
|
$ 14.8 B
|
$ 1.97 B
|
10.4
|
3.2
|
$ 2.6
|
|
|
Hutchison China MediTech Limited
HCM
|
$ 17.34
|
$ 14.7 B
|
$ -59 M
|
-272.8
|
22.8
|
$ -0.0
|
|
|
Morningstar
MORN
|
$ 345.11
|
$ 14.7 B
|
$ 575 M
|
∙ |
∙ |
∙ |
|
|
Campbell Soup Company
CPB
|
$ 49.1
|
$ 14.7 B
|
$ 1.32 B
|
17.9
|
1.4
|
$ 2.5
|
|
|
PerkinElmer
PKI
|
$ 115.24
|
$ 14.7 B
|
$ 676 M
|
∙ |
∙ |
∙ |
|
|
Tenet Healthcare Corporation
THC
|
$ 143.62
|
$ 14.6 B
|
$ 6.55 B
|
5.4
|
0.8
|
$ 30.2
|
|
|
Dollar Tree
DLTR
|
$ 66.19
|
$ 14.5 B
|
$ 2.3 B
|
∙ |
∙ |
∙ |
|
|
F5 Networks
FFIV
|
$ 246.81
|
$ 14.5 B
|
$ 495 M
|
∙ |
∙ |
∙ |
|
|
Entegris
ENTG
|
$ 106.78
|
$ 14.5 B
|
$ 691 M
|
∙ |
∙ |
∙ |
|
|
Saia
SAIA
|
$ 541.99
|
$ 14.4 B
|
$ 711 M
|
∙ |
∙ |
∙ |
|
|
Curtiss-Wright Corporation
CW
|
$ 370.78
|
$ 14.2 B
|
$ 524 M
|
∙ |
∙ |
∙ |
|
|
Akamai Technologies
AKAM
|
$ 93.0
|
$ 14.2 B
|
$ 781 M
|
∙ |
∙ |
∙ |
|
|
EPAM Systems
EPAM
|
$ 244.94
|
$ 14.2 B
|
$ 608 M
|
∙ |
∙ |
∙ |
|
|
Pool Corporation
POOL
|
$ 365.31
|
$ 14.1 B
|
$ 977 M
|
∙ |
∙ |
∙ |
|
|
Evergy
EVRG
|
$ 61.4
|
$ 14.1 B
|
$ 2.22 B
|
12.3
|
∙ |
$ 5.0
|
|
|
Avantor
AVTR
|
$ 20.82
|
$ 14.1 B
|
$ 1.06 B
|
∙ |
∙ |
∙ |
|
|
Avangrid
AGR
|
$ 36.08
|
$ 14 B
|
$ 2.39 B
|
∙ |
∙ |
∙ |
|
|
Magellan Midstream Partners, L.P.
MMP
|
$ 69.0
|
$ 13.9 B
|
$ 1.49 B
|
∙ |
3.9
|
∙ |
|
|
Ralph Lauren Corporation
RL
|
$ 212.7
|
$ 13.9 B
|
$ 1.09 B
|
19.1
|
2.1
|
$ 11.5
|
|
|
NortonLifeLock
NLOK
|
$ 20.71
|
$ 13.8 B
|
$ 1.41 B
|
∙ |
∙ |
∙ |
|
|
InterContinental Hotels Group PLC
IHG
|
$ 123.56
|
$ 13.7 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Universal Health Services
UHS
|
$ 198.12
|
$ 13.7 B
|
$ 2.07 B
|
14.3
|
0.9
|
$ 14.5
|
|
|
Clean Harbors
CLH
|
$ 252.7
|
$ 13.7 B
|
$ 1.08 B
|
∙ |
∙ |
∙ |
|
|
American Homes 4 Rent
AMH
|
$ 37.57
|
$ 13.6 B
|
$ 468 M
|
38.6
|
∙ |
$ 1.0
|
|
|
Skyworks Solutions
SWKS
|
$ 84.93
|
$ 13.6 B
|
$ 1.67 B
|
∙ |
∙ |
∙ |
|
|
Performance Food Group Company
PFGC
|
$ 87.42
|
$ 13.5 B
|
$ 1.33 B
|
∙ |
∙ |
∙ |
|
|
Tapestry
TPR
|
$ 58.83
|
$ 13.5 B
|
$ 1.35 B
|
∙ |
∙ |
∙ |
|
|
Regency Centers Corporation
REG
|
$ 74.14
|
$ 13.5 B
|
$ 383 M
|
∙ |
∙ |
∙ |
|
|
Gaming and Leisure Properties
GLPI
|
$ 50.93
|
$ 13.4 B
|
$ 1.36 B
|
∙ |
∙ |
∙ |
|
|
MGM Resorts International
MGM
|
$ 37.87
|
$ 13.4 B
|
$ 2.39 B
|
∙ |
∙ |
∙ |
|
|
CNA Financial Corporation
CNA
|
$ 49.52
|
$ 13.4 B
|
$ 79 M
|
∙ |
∙ |
∙ |
|
|
TechnipFMC plc
FTI
|
$ 30.57
|
$ 13.4 B
|
$ 1.06 B
|
∙ |
∙ |
∙ |
|
|
Stanley Black & Decker
SWK
|
$ 89.48
|
$ 13.4 B
|
$ 1.87 B
|
134.1
|
0.9
|
$ 0.7
|
|
|
Camden Property Trust
CPT
|
$ 122.75
|
$ 13.3 B
|
$ 581 M
|
72.4
|
1851.5
|
$ 1.6
|
|
|
Globus Maritime Limited
GLBS
|
$ 1.47
|
$ 13.3 B
|
∙ |
∙ |
∙ |
∙ |
|
|
CyberArk Software Ltd.
CYBR
|
$ 319.91
|
$ 13.3 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Paycom Software
PAYC
|
$ 230.66
|
$ 13.3 B
|
$ 671 M
|
∙ |
∙ |
∙ |
|
|
Lamar Advertising Company (REIT)
LAMR
|
$ 129.81
|
$ 13.2 B
|
$ 986 M
|
26.0
|
6.0
|
$ 4.9
|
|
|
Citrix Systems
CTXS
|
$ 103.9
|
$ 13.2 B
|
$ 524 M
|
44.8
|
4.1
|
$ 2.3
|
|
|
Texas Pacific Land Corporation
TPL
|
$ 1 713.22
|
$ 13.2 B
|
$ 541 M
|
∙ |
∙ |
∙ |
|
|
Conagra Brands
CAG
|
$ 27.47
|
$ 13.2 B
|
$ 2.51 B
|
10.4
|
1.2
|
$ 2.9
|
|
|
Equity LifeStyle Properties
ELS
|
$ 70.73
|
$ 13.1 B
|
$ 515 M
|
∙ |
∙ |
∙ |
|
|
Service Corporation International
SCI
|
$ 87.18
|
$ 13.1 B
|
$ 1.13 B
|
∙ |
∙ |
∙ |
|
|
Molson Coors Beverage Company
TAP
|
$ 60.31
|
$ 13 B
|
$ 2.28 B
|
10.0
|
0.9
|
$ 6.0
|
|
|
UP Fintech Holding Limited
TIGR
|
$ 5.6
|
$ 13 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Kirkland Lake Gold Ltd.
KL
|
$ 38.38
|
$ 13 B
|
$ 92.6 M
|
∙ |
∙ |
∙ |
|
|
ITT
ITT
|
$ 158.03
|
$ 13 B
|
$ 758 M
|
∙ |
∙ |
∙ |
|
|
Santander Consumer USA Holdings Inc.
SC
|
$ 42.4
|
$ 13 B
|
$ 6.5 B
|
∙ |
∙ |
∙ |
|
|
nVent Electric plc
NVT
|
$ 78.28
|
$ 13 B
|
$ 672 M
|
26.5
|
3.5
|
$ 2.6
|
|
|
Host Hotels & Resorts
HST
|
$ 18.26
|
$ 13 B
|
$ 1.61 B
|
∙ |
∙ |
∙ |
|
|
Texas Roadhouse
TXRH
|
$ 193.7
|
$ 13 B
|
$ 620 M
|
∙ |
∙ |
∙ |
|
|
Bunge Limited
BG
|
$ 86.91
|
$ 12.9 B
|
$ 826 M
|
8.0
|
0.3
|
$ 13.4
|
|
|
CarMax
KMX
|
$ 81.6
|
$ 12.9 B
|
$ 253 M
|
∙ |
∙ |
∙ |
|
|
RenaissanceRe Holdings Ltd.
RNR
|
$ 271.8
|
$ 12.9 B
|
$ -27.5 M
|
∙ |
∙ |
∙ |
|
|
Magna International
MGA
|
$ 45.08
|
$ 12.9 B
|
∙ |
∙ |
∙ |
∙ |
|
|
BJ's Wholesale Club Holdings
BJ
|
$ 96.94
|
$ 12.9 B
|
$ 1.11 B
|
∙ |
∙ |
∙ |
|
|
Discovery, Inc.
DISCA
|
$ 24.43
|
$ 12.8 B
|
$ 15.8 B
|
∙ |
∙ |
∙ |
|
|
Murphy USA
MUSA
|
$ 544.27
|
$ 12.8 B
|
$ 1.03 B
|
19.3
|
0.5
|
$ 25.3
|
|
|
C.H. Robinson Worldwide
CHRW
|
$ 107.32
|
$ 12.7 B
|
$ 697 M
|
∙ |
∙ |
∙ |
|
|
Albemarle Corporation
ALB
|
$ 108.46
|
$ 12.7 B
|
$ -1.39 B
|
∙ |
∙ |
∙ |
|
|
Boston Properties
BXP
|
$ 80.54
|
$ 12.6 B
|
$ 1.09 B
|
∙ |
∙ |
∙ |
|
|
Liberty Broadband Corporation
LBRDA
|
$ 86.51
|
$ 12.6 B
|
$ 312 M
|
18.6
|
14.1
|
$ 5.2
|
|
|
Plains All American Pipeline, L.P.
PAA
|
$ 17.93
|
$ 12.6 B
|
$ 1.28 B
|
32.2
|
0.2
|
$ 0.4
|
|
|
Jack Henry & Associates
JKHY
|
$ 172.53
|
$ 12.6 B
|
$ 568 M
|
33.4
|
5.9
|
$ 5.4
|
|
|
Okta
OKTA
|
$ 76.57
|
$ 12.5 B
|
$ -842 M
|
-15.1
|
6.3
|
$ -4.8
|
|
|
Eastman Chemical Company
EMN
|
$ 105.38
|
$ 12.5 B
|
$ 1.05 B
|
15.8
|
1.3
|
$ 6.4
|
|
|
Jones Lang LaSalle Incorporated
JLL
|
$ 262.25
|
$ 12.5 B
|
$ 862 M
|
∙ |
∙ |
∙ |
|
|
Logitech International S.A.
LOGI
|
$ 79.59
|
$ 12.5 B
|
$ 625 M
|
18.7
|
2.8
|
$ 4.3
|
|
|
Allegion plc
ALLE
|
$ 141.21
|
$ 12.4 B
|
$ 780 M
|
∙ |
∙ |
∙ |
|
|
American Financial Group
AFG
|
$ 146.5
|
$ 12.4 B
|
$ 1.06 B
|
∙ |
∙ |
∙ |
|
|
Stifel Financial Corp.
SF
|
$ 116.21
|
$ 12.4 B
|
$ 32.4 M
|
23.6
|
2.2
|
$ 5.0
|
|
|
Wix.com Ltd.
WIX
|
$ 216.97
|
$ 12.3 B
|
∙ |
∙ |
∙ |
∙ |
|
|
ShockWave Medical
SWAV
|
$ 334.75
|
$ 12.3 B
|
$ 159 M
|
76.9
|
16.2
|
$ 4.3
|
|
|
Neurocrine Biosciences
NBIX
|
$ 125.62
|
$ 12.3 B
|
$ 148 M
|
∙ |
∙ |
∙ |
|
|
W. P. Carey
WPC
|
$ 56.98
|
$ 12.3 B
|
$ 718 M
|
∙ |
∙ |
∙ |
|
|
Pilgrim's Pride Corporation
PPC
|
$ 51.59
|
$ 12.2 B
|
$ 923 M
|
21.0
|
0.4
|
$ 1.1
|
|
|
Lincoln Electric Holdings
LECO
|
$ 212.8
|
$ 12.2 B
|
$ 741 M
|
24.1
|
2.8
|
$ 8.0
|
|
|
Karuna Therapeutics
KRTX
|
$ 329.83
|
$ 12.2 B
|
$ -312 M
|
-15.2
|
∙ |
$ -11.1
|
|
|
TFI International
TFII
|
$ 148.42
|
$ 12.2 B
|
∙ |
∙ |
∙ |
∙ |
|
|
BWX Technologies
BWXT
|
$ 132.53
|
$ 12.1 B
|
$ 487 M
|
40.3
|
4.3
|
$ 3.0
|
|
|
Ovintiv
OVV
|
$ 46.7
|
$ 12.1 B
|
$ 4.28 B
|
∙ |
∙ |
∙ |
|
|
Houlihan Lokey
HLI
|
$ 187.61
|
$ 12.1 B
|
$ 443 M
|
34.7
|
5.3
|
$ 4.9
|
|
|
BioMarin Pharmaceutical
BMRN
|
$ 64.26
|
$ 12.1 B
|
$ 413 M
|
∙ |
∙ |
∙ |
|
|
Assurant
AIZ
|
$ 225.62
|
$ 12.1 B
|
$ 286 M
|
∙ |
∙ |
∙ |
|
|
The J. M. Smucker Company
SJM
|
$ 113.44
|
$ 11.8 B
|
$ 1.47 B
|
∙ |
∙ |
∙ |
|
|
Evercore
EVR
|
$ 310.21
|
$ 11.8 B
|
$ 20.1 M
|
41.8
|
4.7
|
$ 7.6
|
|
|
Royalty Pharma plc
RPRX
|
$ 26.4
|
$ 11.8 B
|
$ 1.1 B
|
12.6
|
5.5
|
$ 2.1
|
|
|
Floor & Decor Holdings
FND
|
$ 111.2
|
$ 11.8 B
|
$ 578 M
|
48.0
|
2.4
|
$ 2.1
|
|
|
Summit Therapeutics
SMMT
|
$ 19.01
|
$ 11.8 B
|
$ -609 M
|
∙ |
∙ |
∙ |
|
|
CyrusOne Inc.
CONE
|
$ 90.36
|
$ 11.7 B
|
$ -23.8 M
|
∙ |
∙ |
∙ |
|
|
Black Knight
BKI
|
$ 75.76
|
$ 11.7 B
|
$ 416 M
|
∙ |
8.9
|
∙ |
|
|
TopBuild Corp.
BLD
|
$ 367.89
|
$ 11.6 B
|
$ 994 M
|
∙ |
∙ |
∙ |
|
|
Paylocity Holding Corporation
PCTY
|
$ 205.43
|
$ 11.5 B
|
$ 310 M
|
∙ |
∙ |
∙ |
|
|
VEREIT, Inc.
VER
|
$ 50.3
|
$ 11.5 B
|
$ 711 M
|
∙ |
∙ |
∙ |
|
|
CEMEX, S.A.B. de C.V.
CX
|
$ 5.52
|
$ 11.5 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Generac Holdings
GNRC
|
$ 187.95
|
$ 11.5 B
|
$ 614 M
|
42.5
|
2.7
|
$ 4.3
|
|
|
Ally Financial
ALLY
|
$ 37.88
|
$ 11.5 B
|
$ 337 M
|
∙ |
∙ |
∙ |
|
|
Norwegian Cruise Line Holdings Ltd.
NCLH
|
$ 27.0
|
$ 11.5 B
|
$ 2.67 B
|
∙ |
∙ |
∙ |
|
|
Juniper Networks
JNPR
|
$ 35.67
|
$ 11.4 B
|
$ 618 M
|
∙ |
∙ |
∙ |
|
|
Life Storage
LSI
|
$ 133.1
|
$ 11.4 B
|
$ 609 M
|
33.4
|
11.1
|
$ 3.9
|
|
|
Alleghany Corporation
Y
|
$ 847.79
|
$ 11.4 B
|
$ 277 M
|
32.6
|
1.0
|
$ 26.0
|
|
|
Exelixis
EXEL
|
$ 35.6
|
$ 11.3 B
|
$ 262 M
|
∙ |
∙ |
∙ |
|
|
The Interpublic Group of Companies
IPG
|
$ 29.35
|
$ 11.3 B
|
$ 1.27 B
|
19.4
|
1.1
|
$ 1.6
|
|
|
Agnico Eagle Mines Limited
AEM
|
$ 84.28
|
$ 11.2 B
|
∙ |
∙ |
∙ |
∙ |
|
|
AptarGroup
ATR
|
$ 171.32
|
$ 11.2 B
|
$ 755 M
|
31.2
|
3.1
|
$ 5.4
|
|
|
Aqua America, Inc.
WTRU
|
$ 53.31
|
$ 11.2 B
|
$ -65.2 M
|
∙ |
∙ |
∙ |
|
|
Bio-Techne Corporation
TECH
|
$ 71.17
|
$ 11.2 B
|
$ 303 M
|
∙ |
∙ |
∙ |
|
|
McAfee Corp.
MCFE
|
$ 25.67
|
$ 11.2 B
|
$ 727 M
|
5.2
|
5.8
|
$ 5.0
|
|
|
First Horizon Corporation
FHN
|
$ 20.96
|
$ 11.2 B
|
$ 45 M
|
15.1
|
∙ |
$ 1.3
|
|
|
Franklin Resources
BEN
|
$ 21.93
|
$ 11.2 B
|
$ 1.15 B
|
∙ |
∙ |
∙ |
|
|
Lamb Weston Holdings
LW
|
$ 76.97
|
$ 11.2 B
|
$ 1.36 B
|
13.3
|
1.5
|
$ 5.0
|
|
|
NICE Ltd.
NICE
|
$ 175.29
|
$ 11.1 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Penske Automotive Group
PAG
|
$ 163.84
|
$ 11.1 B
|
$ 1.47 B
|
∙ |
∙ |
∙ |
|
|
Euro Tech Holdings Company Limited
CLWT
|
$ 1.44
|
$ 11.1 B
|
∙ |
∙ |
∙ |
∙ |
|
|
AAON
AAON
|
$ 137.09
|
$ 11.1 B
|
$ 285 M
|
∙ |
∙ |
∙ |
|
|
Albertsons Companies
ACI
|
$ 19.32
|
$ 11.1 B
|
$ 4.66 B
|
10.5
|
0.1
|
$ 1.8
|
|
|
Elbit Systems Ltd.
ESLT
|
$ 250.11
|
$ 11.1 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Williams-Sonoma
WSM
|
$ 171.17
|
$ 11.1 B
|
$ 1.6 B
|
∙ |
∙ |
∙ |
|
|
Crown Holdings
CCK
|
$ 92.55
|
$ 11.1 B
|
$ 1.6 B
|
50.1
|
0.9
|
$ 1.9
|
|
|
CubeSmart
CUBE
|
$ 48.88
|
$ 11 B
|
$ 297 M
|
∙ |
∙ |
∙ |
|
|
Catalent
CTLT
|
$ 60.86
|
$ 11 B
|
$ -450 M
|
∙ |
∙ |
∙ |
|
|
A. O. Smith Corporation
AOS
|
$ 73.42
|
$ 11 B
|
$ 846 M
|
20.4
|
3.0
|
$ 3.8
|
|
|
Qualtrics International
XM
|
$ 18.14
|
$ 11 B
|
$ -1.04 B
|
-8.7
|
8.4
|
$ -2.0
|
|
|
Embraer S.A.
ERJ
|
$ 39.13
|
$ 11 B
|
∙ |
∙ |
∙ |
∙ |
|
|
SYNNEX Corporation
SNX
|
$ 118.45
|
$ 11 B
|
$ 1.66 B
|
16.0
|
0.2
|
$ 7.2
|
|
|
Tetra Tech
TTEK
|
$ 40.85
|
$ 10.9 B
|
$ 491 M
|
∙ |
∙ |
∙ |
|
|
Coca-Cola Consolidated
COKE
|
$ 1 245.78
|
$ 10.9 B
|
$ 949 M
|
∙ |
0.9
|
∙ |
|
|
Acceleron Pharma Inc.
XLRN
|
$ 179.68
|
$ 10.9 B
|
$ -60.9 M
|
∙ |
∙ |
∙ |
|
|
Eagle Materials
EXP
|
$ 313.17
|
$ 10.9 B
|
$ 924 M
|
∙ |
∙ |
∙ |
|
|
Elastic N.V.
ESTC
|
$ 108.94
|
$ 10.9 B
|
$ -115 M
|
143.8
|
5.9
|
$ 0.5
|
|
|
Chesapeake Energy Corporation
CHK
|
$ 81.46
|
$ 10.8 B
|
$ 1.13 B
|
-44.0
|
2.9
|
$ -1.8
|
|
|
Primerica
PRI
|
$ 300.55
|
$ 10.8 B
|
$ 58.7 M
|
∙ |
∙ |
∙ |
|
|
Allison Transmission Holdings
ALSN
|
$ 119.45
|
$ 10.8 B
|
$ 989 M
|
13.3
|
3.1
|
$ 8.1
|
|
|
Aramark
ARMK
|
$ 40.8
|
$ 10.7 B
|
$ 1.51 B
|
∙ |
∙ |
∙ |
|
|
WESCO International
WCC
|
$ 209.72
|
$ 10.7 B
|
$ 1.49 B
|
13.3
|
0.4
|
$ 14.5
|
|
|
PRA Health Sciences, Inc.
PRAH
|
$ 165.21
|
$ 10.7 B
|
$ 380 M
|
∙ |
∙ |
∙ |
|
|
Lithia Motors
LAD
|
$ 388.75
|
$ 10.7 B
|
$ 1.88 B
|
∙ |
∙ |
∙ |
|
|
Applied Industrial Technologies
AIT
|
$ 275.73
|
$ 10.7 B
|
$ 493 M
|
23.9
|
2.0
|
$ 9.7
|
|
|
Ceridian HCM Holding
CDAY
|
$ 69.45
|
$ 10.6 B
|
$ 230 M
|
∙ |
∙ |
∙ |
|
|
Churchill Downs Incorporated
CHDN
|
$ 141.2
|
$ 10.6 B
|
$ 882 M
|
24.0
|
3.8
|
$ 5.6
|
|
|
MasTec
MTZ
|
$ 141.7
|
$ 10.6 B
|
$ 549 M
|
93.8
|
0.8
|
$ 1.3
|
|
|
Webster Financial Corporation
WBS
|
$ 61.53
|
$ 10.6 B
|
$ 1.27 B
|
12.2
|
41.0
|
$ 4.7
|
|
|
SEI Investments Company
SEIC
|
$ 80.57
|
$ 10.6 B
|
$ 411 M
|
∙ |
∙ |
∙ |
|
|
Old Republic International Corporation
ORI
|
$ 38.54
|
$ 10.6 B
|
∙ |
11.3
|
1.2
|
$ 3.1
|
|
|
Sarepta Therapeutics
SRPT
|
$ 114.26
|
$ 10.6 B
|
$ 45.9 M
|
∙ |
∙ |
∙ |
|
|
Pinnacle West Capital Corporation
PNW
|
$ 92.94
|
$ 10.5 B
|
$ 1.81 B
|
10.1
|
1.8
|
$ 8.9
|
|
|
Globe Life
GL
|
$ 110.78
|
$ 10.5 B
|
$ 1.1 B
|
∙ |
∙ |
∙ |
|
|
Essential Utilities
WTRG
|
$ 39.43
|
$ 10.5 B
|
$ 1.03 B
|
22.4
|
5.7
|
$ 1.8
|
|
|
Woodward
WWD
|
$ 175.42
|
$ 10.5 B
|
$ 90.6 M
|
24.5
|
2.8
|
$ 6.2
|
|
|
CACI International Inc
CACI
|
$ 468.69
|
$ 10.5 B
|
$ 773 M
|
∙ |
∙ |
∙ |
|
|
AMERCO
UHAL
|
$ 60.03
|
$ 10.4 B
|
$ 3.47 B
|
∙ |
1.1
|
∙ |
|
|
Parsons Corporation
PSN
|
$ 99.16
|
$ 10.4 B
|
$ 515 M
|
∙ |
∙ |
∙ |
|
|
Ciena Corporation
CIEN
|
$ 69.76
|
$ 10.4 B
|
$ 312 M
|
∙ |
∙ |
∙ |
|
|
Medpace Holdings
MEDP
|
$ 337.73
|
$ 10.4 B
|
$ 433 M
|
∙ |
∙ |
∙ |
|
|
Crane Co.
CR
|
$ 182.5
|
$ 10.4 B
|
$ 400 M
|
∙ |
∙ |
∙ |
|
|
Enel Américas S.A.
ENIA
|
$ 4.81
|
$ 10.3 B
|
∙ |
∙ |
∙ |
∙ |
|
|
CoreSite Realty Corporation
COR
|
$ 244.8
|
$ 10.3 B
|
$ 7.25 B
|
∙ |
∙ |
∙ |
|
|
Insmed Incorporated
INSM
|
$ 73.59
|
$ 10.3 B
|
$ -880 M
|
∙ |
∙ |
∙ |
|
|
Wynn Resorts, Limited
WYNN
|
$ 91.46
|
$ 10.3 B
|
$ 1.51 B
|
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Hill-Rom Holdings, Inc.
HRC
|
$ 155.68
|
$ 10.3 B
|
$ 99.2 M
|
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|
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LKQ Corporation
LKQ
|
$ 38.38
|
$ 10.3 B
|
$ 1.62 B
|
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