Wednesday, December 11, 2019

Canadian Public Sector Pension Fund Manager [a Canadian Crown Corporation] buys Australian water for 25 years! [part 2]



Canadian Public Sector Pension Fund Manager [a Canadian Crown Corporation] buys Australian water for 25 years! [part 2]


AAR CORP83,326+11,392$3,434
WESTERN DIGITAL CORP57,525+19,225$3,431
CINCINNATI FINL CORP29,346+9,573$3,424
MAGELLAN HEALTH INC55,099+2,100$3,422
LIVENT CORP509,023+50,924$3,405
EHEALTH INC50,946+9,108$3,403
DHT HOLDINGS INC552,400+552,400$3,397
CARNIVAL CORP77,478+25,220$3,387
ALEXANDRIA REAL ESTATE EQ IN21,844+7,104$3,365
KRAFT HEINZ CO120,419+39,119$3,364
COOPER TIRE & RUBR CO128,129+17,536$3,347
FIRST COMWLTH FINL CORP PA251,667+34,400$3,342
METTLER TOLEDO INTERNATIONAL4,741+1,545$3,340
OMNICOM GROUP INC42,619+13,896$3,337
SEACOAST BKG CORP FLA131,341+17,868$3,324
HEALTHCARE TR AMER INC113,100+41,100$3,323
MARTIN MARIETTA MATLS INC12,125+4,011$3,323
UNIVERSAL HEALTH RLTY INCM T32,276+4,344$3,318
DINE BRANDS GLOBAL INC43,591+4,944$3,307
MADISON SQUARE GARDEN CO NEW12,500+12,500$3,294
EQUIFAX INC23,399+7,616$3,292
INDEPENDENCE RLTY TR INC229,473+31,432$3,284
TENNANT CO46,435+6,376$3,283
DOUGLAS EMMETT INC76,400+21,300$3,272
MOMENTA PHARMACEUTICALS INC251,928+34,408$3,265
AMERISAFE INC49,284+6,700$3,258
BERKSHIRE HILLS BANCORP INC111,126+10,736$3,255
ARCHROCK INC326,143+38,708$3,252
BOISE CASCADE CO DEL99,606+13,664$3,246
INTL PAPER CO76,928-14,036$3,217
PERFICIENT INC83,340+10,600$3,215
SCANSOURCE INC105,045+48,296$3,209
GALLAGHER ARTHUR J & CO35,803+11,633$3,207
S & T BANCORP INC87,712+12,000$3,204
LABORATORY CORP AMER HLDGS19,055+6,177$3,201
RENT A CTR INC NEW123,991+24,904$3,198
MATERION CORP52,044+7,164$3,193
BLACKBERRY LTD608,550+101,428$3,190
HALLIBURTON CO169,127+54,969$3,188
WADDELL & REED FINL INC185,560+19,692$3,188
METHODE ELECTRS INC94,443+12,876$3,177
CITY HLDG CO41,598+5,200$3,172
B & G FOODS INC NEW166,942+22,784$3,157
HAWAIIAN HOLDINGS INC120,055+14,040$3,153
NORBORD INC131,132+3,400$3,146
GANNETT CO INC292,576+39,988$3,142
COPART INC39,063+12,763$3,138
INTER PARFUMS INC44,712+6,602$3,128
VARIAN MED SYS INC26,262+14,362$3,128
OXFORD INDS INC43,531+6,028$3,121
TRONOX HOLDINGS PLC375,300+375,300$3,115
SUMMIT HOTEL PPTYS INC268,435+36,680$3,114
MEDIFAST INC30,046+3,804$3,114
BEST BUY INC44,975+14,617$3,103
REGIONS FINL CORP NEW196,122+63,821$3,103
THIRD PT REINS LTD310,380+146,084$3,101
INSTALLED BLDG PRODS INC54,067+7,696$3,100
POPULAR INC57,300+57,300$3,099
STAMPS COM INC41,582+5,588$3,096
KELLOGG CO48,072+15,647$3,093
CAL MAINE FOODS INC77,382+10,688$3,092
ARMADA HOFFLER PPTYS INC170,876+18,540$3,091
MICROSTRATEGY INC20,808+2,652$3,087
SLEEP NUMBER CORP74,482+7,780$3,078
WINNEBAGO INDS INC80,242+16,232$3,077
WYNDHAM DESTINATIONS INC66,700+6,700$3,070
MORNINGSTAR INC21,000UNCH$3,069
AMCOR PLC314,166+102,216$3,063
DAVE & BUSTERS ENTMT INC78,434-1,848$3,055
RAVEN INDS INC91,217+11,736$3,052
MAXIM INTEGRATED PRODS INC52,689+17,089$3,051
ACTUANT CORP138,843+3,416$3,046
EVERGY INC45,738+13,838$3,044
CHILDRENS PL INC39,526+4,572$3,043
HESS CORP50,284+16,959$3,041
TTM TECHNOLOGIES INC249,092+42,144$3,038
NANOMETRICS INC92,798+38,740$3,027
TELEFLEX INC8,884+2,884$3,018
SYKES ENTERPRISES INC98,171+11,080$3,008
BROOKLINE BANCORP INC DEL203,837+27,900$3,003
ENCORE WIRE CORP53,342+7,288$3,002
VERITEX HLDGS INC123,577+23,144$2,999
NIELSEN HLDGS PLC140,861+22,339$2,993
LYON WILLIAM HOMES146,701+74,016$2,987
SCHWEITZER MAUDUIT INTL INC78,965+10,820$2,956
SCHOLASTIC CORP78,262+16,792$2,955
CELANESE CORP DEL24,028-8,872$2,938
CENTERPOINT ENERGY INC97,189+31,603$2,933
CENTRAL GARDEN & PET CO105,708+14,468$2,931
BAKER HUGHES A GE CO125,978+125,978$2,923
WIX COM LTD25,007+3,517$2,919
AEROVIRONMENT INC54,456+7,504$2,917
TRIUMPH GROUP INC NEW127,495+17,420$2,917
AZZ INC66,775+9,112$2,909
ALAMO GROUP INC24,661+3,408$2,903
WATERS CORP13,000+3,926$2,902
SRC ENERGY INC621,841+85,036$2,898
HUNTINGTON BANCSHARES INC (HBAN)202,499+65,781$2,890
CONAGRA BRANDS INC94,032+30,573$2,885
EXTRA SPACE STORAGE INC24,698+8,028$2,885
HELIX ENERGY SOLUTIONS GRP I357,330+48,920$2,880
MID AMER APT CMNTYS INC22,028+7,104$2,864
ULTA BEAUTY INC11,417+4,199$2,862
SANDSTORM GOLD LTD504,800+35,300$2,856
OFG BANCORP130,326+34,064$2,854
CAREER EDUCATION CORP179,132+24,592$2,846
COOPER COS INC9,573+3,090$2,843
MATTHEWS INTL CORP79,898+9,952$2,828
REGENXBIO INC79,422+11,604$2,827
CARMAX INC32,115+10,400$2,826
CARDTRONICS PLC93,141+10,400$2,817
GENUINE PARTS CO28,290+9,261$2,817
G III APPAREL GROUP LTD109,125+17,360$2,812
NEENAH INC43,126+5,920$2,808
MGM RESORTS INTERNATIONAL101,221+34,518$2,806
BROADRIDGE FINL SOLUTIONS IN22,510+7,310$2,801
DOVER CORP28,116+9,161$2,799
HUNTSMAN CORP120,342+120,342$2,799
GETTY RLTY CORP NEW86,933-7,044$2,787
QUEST DIAGNOSTICS INC26,034+8,440$2,786
RPT REALTY205,250+27,940$2,781
BENCHMARK ELECTRS INC95,527+10,448$2,776
XYLEM INC34,823+11,323$2,773
NATUS MEDICAL INC86,888+11,864$2,767
VIRTUSA CORP76,784+15,584$2,766
ONEMAIN HLDGS INC75,300UNCH$2,762
SOUTHSIDE BANCSHARES INC (SBSI)80,978+11,052$2,762
TABULA RASA HEALTHCARE INC49,946+9,776$2,744
TAKE TWO INTERACTIVE SOFTWAR21,801+7,101$2,733
PIPER JAFFRAY COS36,096+4,608$2,725
CARDINAL HEALTH INC57,688+18,734$2,722
NAVIGANT CONSULTING INC97,243+10,280$2,718
TEVA PHARMACEUTICAL INDS LTD394,302+66,378$2,713
NATIONAL BK HLDGS CORP79,073+21,612$2,704
HASBRO INC22,771+7,607$2,703
CONDUENT INC433,300+433,300$2,695
FREEPORT MCMORAN INC280,751+91,307$2,687
CTS CORP82,900+10,400$2,683
FLAGSTAR BANCORP INC71,724+8,224$2,679
BLUCORA INC123,624+16,859$2,675
GRAHAM HLDGS CO4,000UNCH$2,654
M I HOMES INC70,434+9,706$2,652
SKYWORKS SOLUTIONS INC33,462+10,909$2,652
INNOVATIVE INDL PPTYS INC28,672+6,972$2,648
FRESH DEL MONTE PRODUCE INC77,500+77,500$2,644
ADDUS HOMECARE CORP33,332+10,932$2,643
CONCHO RES INC38,813-15,512$2,635
APOGEE ENTERPRISES INC67,289+8,536$2,624
BMC STK HLDGS INC100,100+100,100$2,621
HOLOGIC INC51,829+16,783$2,617
EPLUS INC34,314+4,384$2,611
SM ENERGY CO269,336+269,336$2,610
SYMANTEC CORP110,373+29,610$2,608
CHEFS WHSE INC64,576+13,676$2,604
XPERI CORP125,875+17,180$2,603
LOEWS CORP50,540+15,483$2,602
KRATON CORPORATION80,454+9,868$2,598
KANSAS CITY SOUTHERN19,497+6,380$2,593
DOLBY LABORATORIES INC40,000+40,000$2,586
CRYOLIFE INC95,226+19,572$2,585
ORTHOFIX MED INC48,698+6,608$2,582
PGT INNOVATIONS INC149,072+20,396$2,574
UNITED FIRE GROUP INC54,684+7,412$2,569
CBS CORP NEW63,539+117,531$2,565
LINDSAY CORP27,567+3,764$2,560
INCYTE CORP34,456+11,221$2,558
ALIGN TECHNOLOGY INC14,114+4,632$2,554
HEARTLAND EXPRESS INC118,588+13,732$2,551
ALASKA AIR GROUP INC39,284+23,122$2,550
TOMPKINS FINANCIAL CORPORATI31,426+4,128$2,550
NETGEAR INC78,989+9,544$2,545
GRAINGER W W INC8,539+2,681$2,537
MTS SYS CORP45,887+6,268$2,535
ARISTA NETWORKS INC10,596+3,696$2,532
WABTEC CORP35,227+14,127$2,531
CALERES INC107,917+14,708$2,526
HERITAGE FINL CORP WASH93,644+20,416$2,525
HEXO CORP637,200+69,600$2,517
ARMOUR RESIDENTIAL REIT INC150,235+33,940$2,516
CALLON PETE CO DEL577,300+577,300$2,505
ABERCROMBIE & FITCH CO160,293-32,568$2,501
STANDARD MTR PRODS INC51,417+6,956$2,496
BOSTON PRIVATE FINL HLDGS IN214,052+29,200$2,495
GARTNER INC17,400+5,662$2,488
CBOE GLOBAL MARKETS INC21,644+7,101$2,487
LANTHEUS HLDGS INC99,153+13,540$2,485
FERRO CORP209,280+28,380$2,482
HOST HOTELS & RESORTS INC143,355+46,632$2,479
SEAGATE TECHNOLOGY PLC46,001+13,053$2,474
EXPEDITORS INTL WASH INC33,263+10,809$2,471
ALLIANT ENERGY CORP45,774+14,923$2,469
OFFICE DEPOT INC1,395,603+191,156$2,449
ENANTA PHARMACEUTICALS INC40,732+5,572$2,447
BOOZ ALLEN HAMILTON HLDG COR34,400+34,400$2,443
PATRICK INDS INC56,941+6,968$2,442
3 D SYS CORP DEL298,126+41,036$2,430
NETAPP INC46,236-36,756$2,428
AMERISOURCEBERGEN CORP29,482+9,179$2,427
BIG LOTS INC99,004+11,004$2,426
UNUM GROUP81,639+53,981$2,426
SMUCKER J M CO22,014+7,158$2,422
MESA LABS INC10,168+2,368$2,418
KILROY RLTY CORP31,000-22,000$2,415
JACOBS ENGR GROUP INC26,348+11,407$2,411
DESIGNER BRANDS INC140,088+13,548$2,398
IDEX CORP14,635+635$2,398
UNIVERSAL INS HLDGS INC79,739-14,632$2,391
MARKETAXESS HLDGS INC7,269+2,269$2,381
CENTURYLINK INC190,585+65,225$2,379
UNIVERSAL HLTH SVCS INC15,992+5,150$2,379
SPECTRUM PHARMACEUTICALS INC286,452+51,852$2,376
EBIX INC56,191+7,728$2,366
AMERICAN AXLE & MFG HLDGS IN287,378+39,436$2,362
LINCOLN NATL CORP IND39,118+12,663$2,360
HORMEL FOODS CORP53,909+18,389$2,357
STEWART INFORMATION SVCS COR60,542+8,200$2,348
ENCORE CAP GROUP INC70,212+13,504$2,340
CIT GROUP INC51,600+51,600$2,338
CITRIX SYS INC24,193+7,825$2,335
BAYTEX ENERGY CORP1,573,795+130,800$2,330
BEIGENE LTD18,961+2,226$2,322
LOGMEIN INC32,700+8,694$2,320
FRANKLIN STREET PPTYS CORP273,928+37,360$2,317
STANDEX INTL CORP31,667+3,744$2,310
ADVANCE AUTO PARTS INC13,905+4,529$2,300
HUDBAY MINERALS INC633,064-49,800$2,286
II VI INC64,915-66,730$2,286
ORASURE TECHNOLOGIES INC304,963+168,180$2,278
AMBAC FINL GROUP INC116,291+15,900$2,273
GRIFFON CORP108,075+31,688$2,266
LEIDOS HLDGS INC26,258+5,158$2,255
REGENCY CTRS CORP32,346+10,500$2,248
BALLARD PWR SYS INC NEW458,800+458,800$2,242
C H ROBINSON WORLDWIDE INC26,430-12,037$2,241
USANA HEALTH SCIENCES INC32,768-33,932$2,241
MAG SILVER CORP210,400+16,400$2,237
QEP RES INC604,000+604,000$2,235
F M C CORP25,475+8,237$2,234
NASDAQ INC22,463+7,307$2,232
U S CONCRETE INC40,347+5,572$2,230
SIGNET JEWELERS LIMITED132,700+132,700$2,224
CELESTICA INC309,430+14,100$2,220
BROWN FORMAN CORP   $2,219
     BF.B35,348+13,600$2,219
EXTREME NETWORKS INC303,425+41,700$2,207
LUMINEX CORP DEL106,840+14,592$2,206
TEXTRON INC45,031+14,617$2,205
INOGEN INC45,900+45,900$2,199
DIEBOLD NXDF INC195,654+26,632$2,191
HENRY JACK & ASSOC INC14,938+4,838$2,180
SANFILIPPO JOHN B & SON INC22,504+3,176$2,174
TRUEBLUE INC102,628+14,120$2,165
FOX CORP68,615+68,615$2,164
MARCUS CORP58,369+10,328$2,160
NISOURCE INC72,179+23,469$2,160
CHATHAM LODGING TR118,959+16,284$2,159
NORWEGIAN CRUISE LINE HLDG L41,687+13,587$2,158
MINERALS TECHNOLOGIES INC40,600+40,600$2,155
FORTINET INC28,061-15,139$2,154
MELCO RESORTS AND ENTMT LTD110,819+13,987$2,151
FARO TECHNOLOGIES INC44,320+6,044$2,143
INTERFACE INC148,349+16,060$2,142
PAR PACIFIC HOLDINGS INC93,239+26,596$2,131
SPRINT CORPORATION344,300+344,300$2,124
ELBIT SYS LTD12,810+1,810$2,123
TRACTOR SUPPLY CO23,383+7,616$2,115
SVB FINL GROUP10,113+3,293$2,113
MARCUS & MILLICHAP INC59,520+12,120$2,112
AES CORP128,494+41,791$2,100
SEACOR HOLDINGS INC44,588+6,144$2,099
RUDOLPH TECHNOLOGIES INC79,306+10,912$2,091
FIRST SOLAR INC36,000-66,000$2,088
MOLSON COORS BREWING CO36,316+11,836$2,088
NOBLE ENERGY INC92,571+30,158$2,079
CENTRAL PAC FINL CORP73,097+9,900$2,076
PARAMOUNT GROUP INC155,400+155,400$2,075
E TRADE FINANCIAL CORP47,306+15,341$2,067
WORLD ACCEP CORP DEL16,201+2,172$2,066
AMERICAN AIRLS GROUP INC76,583+24,911$2,065
MARTEN TRANS LTD99,043+13,448$2,058
LAMB WESTON HLDGS INC28,264+9,164$2,055
OIL STS INTL INC154,373+21,052$2,053
INGREDION INC25,000+13,000$2,044
COMMUNITY HEALTHCARE TR INC45,769+6,268$2,039
KELLY SVCS INC84,178+15,428$2,039
TACTILE SYS TECHNOLOGY INC48,175+10,428$2,039
CENTURY CMNTYS INC66,468+5,668$2,036
WYNN RESORTS LTD18,722+6,074$2,035
RANGE RES CORP529,600+529,600$2,023
BJS RESTAURANTS INC51,931+6,100$2,017
TRUSTCO BK CORP N Y247,375+33,800$2,016
RAYMOND JAMES FINANCIAL INC24,407+7,928$2,013
GUESS INC108,304-2,356$2,007
MICHAELS COS INC205,000+205,000$2,007
WABASH NATL CORP138,205+15,876$2,005
COMTECH TELECOMMUNICATIONS C61,645+8,432$2,003
ARCBEST CORP65,143+8,780$1,984
EASTMAN CHEMICAL CO26,780-14,051$1,977
CYBERARK SOFTWARE LTD19,797+2,396$1,976
MYLAN N V99,747+32,427$1,973
WASHINGTON PRIME GROUP NEW476,423+65,076$1,972
TECHNIPFMC PLC81,537+26,556$1,968
TUPPERWARE BRANDS CORP123,900+123,900$1,966
ISTAR INC149,968+7,268$1,957
ARCONIC INC75,224+23,117$1,956
TRIUMPH BANCORP INC61,248+7,048$1,953
REALOGY HLDGS CORP291,780+39,880$1,949
PACKAGING CORP AMER18,323+5,971$1,944
NRG ENERGY INC48,977+14,053$1,939
WHIRLPOOL CORP12,216+3,914$1,935
TIFFANY & CO NEW20,876+6,795$1,934
WESTERN UN CO83,405+27,174$1,932
ANIKA THERAPEUTICS INC35,026+3,608$1,923
SONIC AUTOMOTIVE INC61,108+8,424$1,919
COMERICA INC29,043+8,876$1,917
NEXTGEN HEALTHCARE INC122,299+16,748$1,916
LKQ CORP60,816+19,764$1,913
CIRCOR INTL INC50,802+6,940$1,908
TWIN RIV WORLDWIDE HLDGS INC83,300+83,300$1,902
PROPETRO HLDG CORP209,042+45,128$1,900
GARRETT MOTION INC190,520+26,036$1,898
BRANDYWINE RLTY TR125,000UNCH$1,894
UNITED RENTALS INC15,189+4,941$1,893
DEVON ENERGY CORP NEW78,497+24,247$1,889
ALLEGION PUB LTD CO18,150+5,868$1,881
INSPERITY INC19,000-30,700$1,874
WHITING PETE CORP NEW233,148+31,848$1,872
MACK CALI RLTY CORP86,400+86,400$1,871
FOSSIL GROUP INC149,585+15,928$1,871
HUNT J B TRANS SVCS INC16,876+5,556$1,867
PREFERRED BK LOS ANGELES CA35,584+4,792$1,864
PHOTRONICS INC171,310-48,628$1,864
APACHE CORP72,752+23,675$1,862
SILVERCORP METALS INC479,000+479,000$1,860
ANDERSONS INC82,787+24,728$1,857
LULULEMON ATHLETICA INC9,600-5,400$1,848
NEVRO CORP21,400-5,900$1,840
SCRIPPS E W CO OHIO138,269+13,816$1,836
AK STL HLDG CORP808,148+110,336$1,834
PERKINELMER INC21,501+6,998$1,831
VIRTUS INVT PARTNERS INC16,561+1,196$1,831
HENRY SCHEIN INC28,811+9,367$1,829
CENTRAL GARDEN & PET CO62,433+40,748$1,825
BOSTON BEER INC5,000UNCH$1,820
ADVANSIX INC70,657+8,016$1,817
TIVITY HEALTH INC109,244+4,024$1,817
WESTROCK CO49,781-28,238$1,815
URSTADT BIDDLE PPTYS INC76,431+10,488$1,811
ISRAEL CHEMICALS LTD363,437+33,978$1,805
UNIVERSAL ELECTRS INC35,435+4,892$1,804
C&J ENERGY SVCS INC NEW167,595+32,032$1,798
VANDA PHARMACEUTICALS INC135,356+18,556$1,798
U S SILICA HLDGS INC187,904+25,720$1,796
ASTEC INDS INC57,562+7,868$1,790
INNOVIVA INC169,721+20,096$1,789
ENOVA INTL INC86,146+11,740$1,788
CAPSTEAD MTG CORP241,610+52,816$1,776
NORTHFIELD BANCORP INC DEL110,042+5,724$1,767
SEABRIDGE GOLD INC139,800+139,800$1,767
STURM RUGER & CO INC42,211+3,644$1,763
NEWPARK RES INC231,237+31,696$1,762
COOPER STD HLDGS INC42,932+6,896$1,755
CORVEL CORP23,144+3,084$1,752
TTEC HLDGS INC36,594+5,992$1,752
ANGIODYNAMICS INC95,043+12,892$1,751
PROVIDENCE SVC CORP29,351+4,872$1,745
AMPHASTAR PHARMACEUTICALS IN87,512+9,712$1,735
GLATFELTER112,605+15,472$1,733
ORITANI FINL CORP DEL97,942+13,348$1,733
SHUTTERSTOCK INC47,715+6,600$1,723
ANI PHARMACEUTICALS INC23,610+5,060$1,721
QORVO INC23,088-59,887$1,712
HUNTINGTON INGALLS INDS INC8,075+2,675$1,710
KIMCO RLTY CORP81,698-209,741$1,706
HOMESTREET INC62,312+2,700$1,702
HEALTHSTREAM INC65,329+8,996$1,691
MANPOWERGROUP INC20,000-18,200$1,685
SNAP ON INC10,764+3,499$1,685
INTL FCSTONE INC41,013+5,580$1,684
CYTOKINETICS INC147,442+20,164$1,678
AEGION CORP78,428+9,244$1,677
DIME CMNTY BANCSHARES (DCOM)78,327+10,720$1,677
MGP INGREDIENTS INC NEW33,759+5,544$1,677
CEVA INC56,115+7,744$1,676
ATLAS AIR WORLDWIDE HLDGS IN66,091+9,004$1,667
DISCOVERY INC67,369+20,248$1,659
BOX INC100,000+100,000$1,656
ENDO INTL PLC514,250+70,444$1,651
JUNIPER NETWORKS INC66,655+21,718$1,650
EQUITY COMWLTH48,000+48,000$1,644
ZUMIEZ INC51,697+9,724$1,638
DMC GLOBAL INC37,200+5,800$1,636
INNOPHOS HOLDINGS INC50,206+6,848$1,630
ATN INTL INC27,830+3,764$1,624
VOYA FINL INC29,817UNCH$1,623
SAUL CTRS INC29,696+3,996$1,619
F5 NETWORKS INC11,509-7,942$1,616
INTERPUBLIC GROUP COS INC74,878+24,296$1,614
BANC OF CALIFORNIA INC113,866+19,432$1,610
NABORS INDUSTRIES LTD858,116+129,616$1,605
MYERS INDS INC90,574+12,328$1,599
DISH NETWORK CORP46,564+46,564$1,586
NATIONAL OILWELL VARCO INC74,654+24,293$1,583
FRANKLIN RES INC54,741-68,272$1,580
WISDOMTREE INVTS INC301,002+41,048$1,573
ECHO GLOBAL LOGISTICS INC69,241+7,700$1,568
SURMODICS INC34,196+4,568$1,564
ABIOMED INC8,781+2,881$1,562
ATRION CORP2,000+2,000$1,558
KOHLS CORP31,340+10,191$1,556
UNITED NAT FOODS INC134,656+18,556$1,551
KOPPERS HOLDINGS INC52,707+7,188$1,540
DXC TECHNOLOGY CO51,938+16,883$1,532
QUANEX BUILDING PRODUCTS COR84,655+11,516$1,531
ZIONS BANCORPORATION N A34,371+10,527$1,530
MDU RES GROUP INC54,100-63,179$1,525
CUSTOMERS BANCORP INC73,214+10,032$1,518
BUCKLE INC72,957+9,924$1,503
HARMONIC INC226,815+30,900$1,492
RENEWABLE ENERGY GROUP INC98,878+15,808$1,484
HANMI FINL CORP78,976+10,700$1,483
MOHAWK INDS INC11,939+3,911$1,481
FORTUNE BRANDS HOME & SEC IN27,027+8,752$1,478
PERRIGO CO PLC26,415+10,025$1,476
BORGWARNER INC40,113+13,072$1,471
ULTRA CLEAN HLDGS INC100,443+13,688$1,470
HNI CORP41,300-6,708$1,466
QUINSTREET INC116,462+30,172$1,466
RE MAX HLDGS INC45,465+6,160$1,462
TAPESTRY INC56,129-60,763$1,462
VEECO INSTRS INC DEL124,395+17,096$1,453
GENESCO INC36,255-2,064$1,451
EAGLE PHARMACEUTICALS INC25,631+2,940$1,450
RUTHS HOSPITALITY GROUP INC70,398+7,916$1,437
IBERIABANK CORP19,000+19,000$1,435
ALBEMARLE CORP20,503+6,689$1,425
DXP ENTERPRISES INC NEW40,911+5,588$1,420
COHU INC104,805+14,360$1,415
NEWELL BRANDS INC75,369+24,499$1,411
MOSAIC CO NEW68,722+22,339$1,409
GRUBHUB INC25,000UNCH$1,405
AXCELIS TECHNOLOGIES INC82,064+9,416$1,402
DENBURY RES INC1,178,292+161,056$1,402
WHITESTONE REIT101,722+13,812$1,400
BIO RAD LABS INC4,200+4,200$1,398
TEAM INC77,239+10,504$1,394
LEMAITRE VASCULAR INC40,740+5,588$1,392
ADTRAN INC122,181+16,748$1,386
RADWARE LTD57,100UNCH$1,385
ICHOR HOLDINGS57,152+7,752$1,382
FLIR SYS INC26,196+8,543$1,378
HERSHA HOSPITALITY TR92,126+12,544$1,371
VICOR CORP46,369+10,504$1,369
ACHILLION PHARMACEUTICALS IN378,000UNCH$1,361
NEW MEDIA INVT GROUP INC153,525+33,336$1,353
TERRENO RLTY CORP26,400+26,400$1,349
HEIDRICK & STRUGGLES INTL IN48,813+6,724$1,333
SL GREEN RLTY CORP16,278-17,450$1,331
GRAN TIERRA ENERGY INC1,073,400+74,200$1,330
DELUXE CORP27,000UNCH$1,327
MYR GROUP INC DEL42,396+5,712$1,327
AGILYSYS INC51,678+14,660$1,323
NATIONAL BEVERAGE CORP29,612+29,612$1,314
TECHTARGET INC58,220+10,120$1,311
RESOURCES CONNECTION INC76,867+10,512$1,306
SMITH A O CORP27,305-28,645$1,303
SUNCOKE ENERGY INC229,674+32,140$1,295
TURQUOISE HILL RES LTD2,755,682+185,400$1,290
PVH CORP14,479+4,735$1,277
MERCER INTL INC101,614+5,964$1,274
GAMESTOP CORP NEW230,573+5,032$1,273
INVESCO LTD74,825+22,520$1,268
HESKA CORP17,835+2,496$1,264
MONARCH CASINO & RESORT INC30,294+4,112$1,263
REGIS CORP MINN62,447-2,636$1,263
SEALED AIR CORP NEW30,178+9,879$1,253
PENTAIR PLC32,660+11,985$1,235
TREDEGAR CORP62,612+6,204$1,222
CHICOS FAS INC301,269+53,864$1,214
ETHAN ALLEN INTERIORS INC63,177+8,664$1,207
CONNS INC48,464-5,736$1,205
OPUS BK IRVINE CALIF55,239+7,512$1,203
FOUNDATION BLDG MATLS INC77,600+77,600$1,202
ONESPAN INC82,922+13,752$1,202
BIOCRYST PHARMACEUTICALS418,700+418,700$1,200
PEOPLES UTD FINL INC76,356+24,849$1,194
FLOWSERVE CORP25,351-25,963$1,184
KAR AUCTION SVCS INC48,100+48,100$1,181
MATRIX SVC CO68,491+9,360$1,174
HAYNES INTERNATIONAL INC31,965+4,328$1,146
NATIONAL PRESTO INDS INC12,841+1,816$1,144
ZIX CORP154,500+154,500$1,119
AMBARELLA INC17,800+17,800$1,118
CVR ENERGY INC25,400+25,400$1,118
LYDALL INC DEL44,759+7,960$1,115
CARGURUS INC36,000+36,000$1,114
HARLEY DAVIDSON INC30,833+10,085$1,109
PHIBRO ANIMAL HEALTH CORP51,804+7,064$1,105
JAGGED PEAK ENERGY INC152,100+152,100$1,104
LAREDO PETROLEUM INC458,184+119,184$1,104
CONSOL ENERGY INC NEW70,514+9,684$1,102
REX AMERICAN RESOURCES CORP14,434+2,540$1,102
RED ROBIN GOURMET BURGERS IN33,087+4,452$1,100
SPARTANNASH CO92,811+16,668$1,098
PROGENICS PHARMACEUTICALS IN216,465+29,540$1,094
PERFORMANCE FOOD GROUP CO23,700+23,700$1,090
COMMUNITY HEALTH SYS INC NEW301,610-468,232$1,086
BONANZA CREEK ENERGY INC47,915+8,508$1,073
DAVITA INC18,804+2,289$1,073
ASPEN TECHNOLOGY INC8,700+8,700$1,071
HANESBRANDS INC69,916+22,748$1,071
CHUYS HLDGS INC42,968+7,612$1,064
RINGCENTRAL INC8,400+8,400$1,056
AMERICAN VANGUARD CORP (AVD)66,829+11,912$1,049
CUTERA INC35,897+6,416$1,049
MOVADO GROUP INC42,024+5,696$1,045
HIBBETT SPORTS INC45,405+6,792$1,040
HAWKINS INC24,460+4,408$1,040
LEGGETT & PLATT INC25,396+8,237$1,040
QUANTA SVCS INC27,497+8,918$1,039
NEWS CORP NEW74,573+24,193$1,038
MERIDIAN BIOSCIENCE INC108,920+14,840$1,034
FRANKLIN FINL NETWORK INC33,829+7,836$1,022
ELLINGTON FINANCIAL INC56,500+56,500$1,021
MILLER HERMAN INC22,000UNCH$1,014
MILACRON HLDGS CORP60,700+60,700$1,012
AMERICAN CAMPUS CMNTYS INC20,900+20,900$1,005
GULFPORT ENERGY CORP370,392+50,292$1,004
PENN VA CORP NEW34,338+4,668$998
AMAG PHARMACEUTICALS INC86,285+15,400$997
FEDERAL AGRIC MTG CORP12,200+12,200$996
FOOT LOCKER INC23,000-14,690$993
FOX CORP31,423+31,423$991
CALAMP CORP85,832+15,332$989
ALLIANCE DATA SYSTEMS CORP7,706+1,872$987
VIASAT INC13,100+13,100$987
EXTERRAN CORP75,255+5,568$983
UNISYS CORP132,224+18,124$982
CATO CORP NEW55,523+7,300$978
DONNELLEY FINL SOLUTIONS INC79,259+3,780$976
DIGI INTL INC71,672+12,816$976
ROLLINS INC28,564+9,364$973
GREEN PLAINS INC91,687+5,820$971
CROSS CTRY HEALTHCARE INC94,036+16,800$969
RALPH LAUREN CORP10,149-6,707$969
CAPRI HOLDINGS LIMITED29,162+9,470$967
INSTEEL INDUSTRIES INC46,685+8,292$958
LANNET INC85,101+13,296$953
NVENT ELECTRIC PLC43,000UNCH$948
CIMAREX ENERGY CO19,630+6,383$941
HAVERTY FURNITURE INC46,128+6,692$935
OWENS & MINOR INC NEW160,754+28,668$934
MCDERMOTT INTL INC461,300+461,300$932
PDF SOLUTIONS INC71,292+12,808$932
IPG PHOTONICS CORP6,863+2,163$931
BLOCK H & R INC39,392-301,534$930
MACYS INC59,793+19,455$929
PETMED EXPRESS INC51,437+9,264$927
DIAMOND OFFSHORE DRILLING IN165,296+22,596$919
AKORN INC241,172+33,072$916
VISTA OUTDOOR INC147,479+20,188$913
AMERICAN PUBLIC EDUCATION IN40,768+4,212$911
CORNERSTONE BLDG BRANDS INC150,000+150,000$908
CLEARWATER PAPER CORP42,202+7,520$891
POWELL INDS INC22,467+4,084$880
CONSOLIDATED COMM HLDGS INC183,973+32,920$876
PARK AEROSPACE CORP49,719+8,848$873
PENNSYLVANIA RL ESTATE INVT152,211+27,176$871
KB HOME25,592+25,592$870
L BRANDS INC44,406+14,411$870
EZCORP INC134,070+18,364$865
HELMERICH & PAYNE INC21,392+6,998$857
MARINEMAX INC55,317+7,420$856
SMART GLOBAL HLDGS INC33,436+6,936$852
FORRESTER RESH INC26,363+3,648$847
CENTURY ALUM CO127,077+22,760$843
AFFILIATED MANAGERS GROUP IN9,952+3,293$829
DSP GROUP INC58,182+16,764$819
COMPANIA DE MINAS BUENAVENTU53,831-1,400$817
UNIFI INC37,203+6,640$815
DISCOVERY INC30,548+9,885$813
MOTORCAR PTS AMER INC48,015+8,516$811
NOBLE CORP PLC636,476+86,952$808
GLOBANT S A8,600-300$788
FUTUREFUEL CORPORATION65,909+11,728$787
TRIPADVISOR INC20,030+6,486$775
SHOE CARNIVAL INC23,476+3,008$761
CARE COM INC71,552+15,652$748
UNITED INS HLDGS CORP52,684+7,344$737
VENATOR MATLS PLC301,700-91,400$736
RPC INC130,764+130,764$734
UNDER ARMOUR INC36,431+11,839$726
SOUTHERN COPPER CORP21,200-600$724
LUMBER LIQUIDATORS HLDGS INC73,294+13,108$723
HCI GROUP INC17,163+3,096$722
DIPLOMAT PHARMACY INC145,064+25,964$711
GAP INC40,929+13,281$711
COMPUTER PROGRAMS & SYS INC31,217+5,636$706
DAKTRONICS INC94,756+11,328$700
SILGAN HOLDINGS INC23,000-16,000$691
NORDSTROM INC20,332+6,589$685
DONNELLEY R R & SONS CO180,833+32,276$682
UNDER ARMOUR INC37,635+12,248$682
PENNEY J C CORP INC758,417+93,700$674
CEDAR REALTY TRUST INC219,536+39,252$659
CINCINNATI BELL INC NEW128,661+23,000$652
BRIGGS & STRATTON CORP107,465+14,616$651
ARLO TECHNOLOGIES INC190,473+34,032$650
MACERICH CO20,545+6,689$649
INVACARE CORP86,243+15,388$647
TIMKENSTEEL CORP100,647+18,020$633
TETRA TECHNOLOGIES INC DEL308,571+45,072$620
NEKTAR THERAPEUTICS33,712+10,912$614
COTY INC58,199+18,940$612
VERA BRADLEY INC59,980+16,080$606
TEEKAY CORPORATION151,000UNCH$604
VERITIV CORP32,820+5,876$593
EXPRESS INC171,575+38,160$590
58 COM INC11,670-1,300$575
EL POLLO LOCO HLDGS INC52,338+6,420$574
CBL & ASSOC PPTYS INC443,207+79,200$572
FIESTA RESTAURANT GROUP INC54,456+4,932$567
RAYONIER ADVANCED MATLS INC127,699+23,176$553
ERA GROUP INC52,226+9,344$552
SPOK HLDGS INC45,684+8,184$545
APPLIED OPTOELECTRONICS INC48,425+8,724$543
TAILORED BRANDS INC123,167+17,920$542
GEOSPACE TECHNOLOGIES CORP34,777+6,192$535
GREENHILL & CO INC40,410+2,884$530
SENECA FOODS CORP NEW16,967+3,096$529
LIQUIDITY SERVICES INC68,471+12,300$507
OCWEN FINL CORP250,000UNCH$470
KLX ENERGY SERVICS HOLDNGS I53,300+2,300$461
UNIT CORP136,284+14,100$461
JONES LANG LASALLE INC3,311+3,311$460
HIGHPOINT RES CORP283,943+50,744$451
YPF SOCIEDAD ANONIMA44,200-1,200$409
BEL FUSE INC25,787+4,640$388
ASSURED GUARANTY LTD8,400+8,400$373
ACORDA THERAPEUTICS INC122,030+38,244$350
TITAN INTL INC ILL128,718+23,016$348
NEWS CORP NEW23,969+7,822$343
OLYMPIC STEEL INC23,289+5,532$335
GRUPO FINANCIERO GALICIA S A25,700-700$334
BANCO MACRO SA11,500-300$299
TILE SHOP HLDGS INC90,583+14,304$289
LSB INDS INC55,529+12,660$288
SPECTRUM BRANDS HLDGS INC NE5,385+5,385$284
BARNES & NOBLE ED INC89,643+18,392$280
DEAN FOODS CO NEW234,422+56,420$272
PAMPA ENERGIA S A15,400-800$267
VITAMIN SHOPPE INC38,375+5,612$250
RING ENERGY INC140,385+15,216$230
TELECOM ARGENTINA S A22,500UNCH$225
FRONTIER COMMUNICATIONS CORP247,788+42,824$215
ARES CAP CORP10,333-81,100$193
ASSERTIO THERAPEUTICS INC148,792+13,700$190
GULF ISLAND FABRICATION INC32,628+5,624$175
TRANSPORTADORA DE GAS SUR20,000UNCH$170
KROGER CO   $157
     KR206,080+100,749$5,313
     Put200,000+200,000$5,156
BBVA BANCO FRANCES S A18,300+18,300$79
GLOBAL EAGLE ENTMT INC100,000UNCH$72
EMBRAER S A   $-5,179
     Put1,000,000UNCH$17,250
     ERJ699,768-300,232$12,071
TESLA INC   $-10,018
     Put105,000+105,000$25,291
     NOTE 215,000,000-5,000,000$15,273
VANECK VECTORS ETF TR (SMH)   $-11,913
     Put100,000+100,000$11,913
ISHARES INC (EWJ)   $-16,126
     Put284,200+284,200$16,126
SONY CORP   $-17,148
     Put290,000+290,000$17,148
SELECT SECTOR SPDR TR (XLV)+0$-18,024
     Put200,000+200,000$18,024

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