| # | % | |||||
|---|---|---|---|---|---|---|
| 101 | AMDOCS LTD | 13,415 | 732,000 | 0.42% | ||
| 102 | SYMANTEC CORP | 31,316 | 728,000 | 0.42% | ||
| 103 | GENESCO INC COM | 10,825 | 715,000 | 0.42% | ||
| 104 | INSIGHT ENTERPRISES INC | 23,846 | 713,000 | 0.41% | ||
| 105 | INNOSPEC INC COM | 15,752 | 709,000 | 0.41% | ||
| 106 | GENUINE PARTS CO | 7,897 | 707,000 | 0.41% | ||
| 107 | NAVIGATORS GROUP INC | 9,060 | 703,000 | 0.41% | ||
| 108 | FLOWERS FOODS INC | 33,223 | 703,000 | 0.41% | ||
| 109 | UNITED FIRE GROUP INC COM | 21,348 | 699,000 | 0.41% | ||
| 110 | TELETECH HOLDINGS INCORPORATED | 25,780 | 698,000 | 0.41% | ||
| 111 | STEPAN CO | 12,904 | 698,000 | 0.41% | ||
| 112 | TUPPERWARE BRANDS CORP | 10,767 | 695,000 | 0.40% | ||
| 113 | OCEANEERING INTL INC | 14,899 | 694,000 | 0.40% | ||
| 114 | VIACOM INC NEW | 10,716 | 693,000 | 0.40% | ||
| 115 | BRISTOW GROUP INC COM | 12,957 | 691,000 | 0.40% | ||
| 116 | BED BATH & BEYOND INC | 9,962 | 687,000 | 0.40% | ||
| 117 | CABOT CORP | 18,397 | 686,000 | 0.40% | ||
| 118 | SPARTANNASH CO COM | 20,995 | 683,000 | 0.40% | ||
| 119 | FIRST MERCHANTS CORP COM | 26,913 | 665,000 | 0.39% | ||
| 120 | CA INC | 22,651 | 663,000 | 0.38% | ||
| 121 | 1st Source Corp | 19,399 | 662,000 | 0.38% | ||
| 122 | CHEMICAL FINANCIAL CORPORATION | 19,808 | 655,000 | 0.38% | ||
| 123 | S&P GLOBAL INC | 6,509 | 654,000 | 0.38% | ||
| 124 | WEIS MKTS INC | 15,460 | 652,000 | 0.38% | ||
| 125 | MASIMO CORP | 16,812 | 651,000 | 0.38% | ||
| 126 | KAMAN CORP COM | 15,228 | 639,000 | 0.37% | ||
| 127 | MATTEL INC | 24,675 | 634,000 | 0.37% | ||
| 128 | AVNET INC | 15,426 | 634,000 | 0.37% | ||
| 129 | NATIONAL HEALTHCARE CORP COM | 9,704 | 631,000 | 0.37% | ||
| 130 | WILEY JOHN SONS INC | 11,605 | 631,000 | 0.37% | ||
| 131 | NATIONAL BEVERAGE CORP COM | 27,961 | 629,000 | 0.37% | ||
| 132 | IDEXX LAB | 9,806 | 629,000 | 0.37% | ||
| 133 | MKS INSTRS INC COM | 16,553 | 628,000 | 0.36% | ||
| 134 | COHERENT INC | 9,805 | 622,000 | 0.36% | ||
| 135 | COCA COLA CONS INC COM | 4,048 | 612,000 | 0.36% | ||
| 136 | AVON PRODS INC | 97,649 | 611,000 | 0.35% | ||
| 137 | PTC INC | 14,854 | 609,000 | 0.35% | ||
| 138 | Union Bankshares Corporation | 26,136 | 607,000 | 0.35% | ||
| 139 | OTTER TAIL CORP | 22,705 | 604,000 | 0.35% | ||
| 140 | ENSIGN GROUP INC | 11,694 | 597,000 | 0.35% | ||
| 141 | MATIV HOLDINGS INC COM | 14,948 | 596,000 | 0.35% | ||
| 142 | CHOICE HOTELS INTL NEW | 10,842 | 588,000 | 0.34% | ||
| 143 | STANDEX INTL CORP | 7,324 | 585,000 | 0.34% | ||
| 144 | SUN HYDRAULICS CORP COM | 15,103 | 576,000 | 0.33% | ||
| 145 | CSG SYS INTL INC | 17,975 | 569,000 | 0.33% | ||
| 146 | Forum Energy Technologies Inc | 27,667 | 561,000 | 0.33% | ||
| 147 | STANDARD MTR PRODS INC COM | 15,697 | 551,000 | 0.32% | ||
| 148 | QUAKER CHEM CORP | 6,188 | 550,000 | 0.32% | ||
| 149 | SCHOLASTIC CORP | 12,410 | 548,000 | 0.32% | ||
| 150 | AMERICAN FINL GROUP INC OHIO | 8,350 | 543,000 | 0.32% |
Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-15-008424, filed 2015.08.11).
From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.