ATTENTION:   The New Server is Alive and Well  ... and at Your Service!

We are now operating live on the new server. WooHoo!  We have completed the database file transfer of the from the old server to the new server and we are now in the process of re-running all Strategies on the new server so their support files (for charts and spreadsheets) will match exactly what you last saw on the old server. This process may take two hours or so, during which you will not yet be able to access your personal account information. When this message is gone you will know the process is complete and you may then continue to create and monitor Strategies to your heart's content.   :^)

Thanks for your patience while we make SectorSurfer faster and better for everyone,

Scott Juds
Chief SectorSurfer
 

Best Stock Momentum Screener

Top U.S. Stocks w/Tradable Volume for Investment Strategies 

See ETF Screener

Stock Screening SectorSurfer Style:

This stock screener does not generate a best stock buy-list directly. It qualifies stocks to participate as one of up to 12 best stocks in a SectorSurfer Strategy. The Strategy's algorithm performs the final comparative analysis to determine which one, and only one, of them to own next month. Your job is to provide the algorithm with excellent stock selection alternatives.

This stock screener is targeted on U.S. stocks with > $20M/day in trading volume. Check boxes are provided below to change the focus to include/exclude stocks with > $20M/day in trading volume or > 1% annual dividend yield.

The Stk. Rank column in the table below is a composite measure of trend quality, 3-yr relative price energy, and relative volatility. Stk. Rank should be your primary U.S. stock screening method for SectorSurfer Strategies, although additional technical analysis columns are provided to help you select top stocks according to your personal tastes — such as a particular P/E Ratio, or a minimum dividend yield. Please also review this material: Stocks vs. Sectors & Asset Classes.

How to Select the Best Stocks for Your Investment Strategies:

1) Don't use measures of performance that are poorly correlated to near term price performance. P/E Ratio, daily volume, and dividends don't foretell next month's returns. Use Stk. Rank as your primary stock screening method.

2) Although Stk. Rank is already adjusted for relative volatility, which is a measure of the variability in results to expect, you may sleep better at night selecting lower volatility stocks. The best stocks will also give you peace of mind.

3) Select a set of U.S. stocks that aren't clones of one another to increase the likelihood that at least one will do well when the others are not.
Stock Screener Strategy Examples 

This is not a stock buy-list. It's a ranking of stocks likely qualified to be in a Strategy. See above.

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U.S. Stocks Screener

(See Parameter Definitions Below Table)

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Chrome & FireFox are Fast, I.E. can be Quite Slow.

 > $20M/day Volume

 > 1% Dividend Yield

Total Qualified Stocks Listed: 1293

9/25/2018 3:05:19 AM

Download CSV Spreadsheet File

Symbol Company Name Stk. Rank TrendQual 3YrExcess Volatility Sig.  1YrRange Vol.$M/d DivYield P/E Ratio
SP500 Standard & Poors 500 0.0 46% 0% 1.00
 
 
 
 
98% 5772.4 2.1% 14.0
MMM 3M 9.9 38% 26% 1.41
 
 
 
 
33% 415.5 2.6% 29.5
EGHT 8X8 13.2 55% 94% 3.27
 
 
 
 
79% 20.2 0.0% 0.0
WUBA 58.com ADR 7.5 32% 110% 3.66
 
 
 
 
51% 31.8 0.0% 43.8
AAN Aaron's Inc. 15.9 92% 71% 3.37
 
 
 
 
92% 37.2 0.2% 13.3
ABB ABB ADR 9.6 43% 26% 1.56
 
 
 
 
37% 26.1 3.4% 22.9
ABT Abbott Laboratories 7.7 33% 30% 1.70
 
 
 
 
99% 699.9 1.6% 141.4
ABBV AbbVie 14.6 66% 50% 2.40
 
 
 
 
24% 528.3 4.1% 23.1
ANF Abercrombie&Fitch 6.0 35% 126% 4.55
 
 
 
 
51% 46.6 3.8% 40.2
ACN Accenture Cl A 11.8 51% 27% 1.57
 
 
 
 
93% 346.5 1.5% 27.7
AYI Acuity Brands 0.3 2% 37% 2.85
 
 
 
 
69% 74.4 0.3% 20.4
AAP Advance Auto Parts -5.5 -35% 48% 2.86
 
 
 
 
96% 146.2 0.1% 23.2
AER AerCap Holdings 5.0 42% 24% 2.27
 
 
 
 
90% 32.7 0.0% 8.5
AES AES -0.1 0% 38% 2.19
 
 
 
 
92% 57.9 3.8% 23.2
AET Aetna 12.9 58% 33% 1.86
 
 
 
 
94% 242.1 1.0% 19.2
AMG Affiliated Managers Group -2.2 -21% 24% 2.40
 
 
 
 
5% 44.1 0.8% 11.4
AFL AFLAC 11.0 41% 24% 1.29
 
 
 
 
94% 98.2 2.2% 7.8
AGCO AGCO 6.7 41% 32% 2.18
 
 
 
 
21% 47.2 1.0% 22.0
A Agilent Technologies 13.5 49% 40% 1.81
 
 
 
 
65% 156.5 0.9% 76.9
AEM Agnico-Eagle Mines 0.5 2% 87% 3.21
 
 
 
 
12% 48.8 1.3% 52.1
APD Air Products&Chemicals 0.0 0% 11% 1.48
 
 
 
 
79% 131.3 2.6% 24.7
AKS AK Steel Holding 1.1 7% 153% 5.41
 
 
 
 
23% 37.3 0.0% 0.0
ALK Alaska Air Group -4.8 -36% 32% 2.51
 
 
 
 
39% 91.8 1.9% 10.0
ALB Albemarle 16.5 50% 83% 2.55
 
 
 
 
31% 95.1 1.3% 24.3
AA Alcoa 2.0 13% 73% 3.69
 
 
 
 
9% 166.0 0.0% 57.0
ARE Alexandria Real Estate Equities 6.7 33% 23% 1.55
 
 
 
 
51% 41.8 3.0% 45.0
BABA Alibaba Group Holding ADR 12.9 34% 97% 2.58
 
 
 
 
18% 2132.7 0.0% 48.3
Y Alleghany 4.1 27% 16% 1.44
 
 
 
 
100% 40.4 0.0% 33.6
ATI Allegheny Technologies 4.1 31% 109% 4.93
 
 
 
 
87% 72.4 0.0% 0.0
ALLE Allegion -0.3 -2% 22% 1.72
 
 
 
 
88% 30.5 0.9% 30.0
AGN Allergan -4.4 -53% 20% 2.47
 
 
 
 
61% 263.1 1.5% 0.0
ADS Alliance Data Systems -8.0 -96% 19% 2.41
 
 
 
 
61% 86.0 0.9% 15.4
LNT Alliant Energy 11.9 40% 29% 1.40
 
 
 
 
70% 44.9 3.1% 20.5
ALSN Allison Transmission Holdings 18.7 69% 43% 1.94
 
 
 
 
98% 50.6 1.1% 11.5
ALL Allstate 14.2 53% 24% 1.31
 
 
 
 
71% 100.8 1.8% 10.5
ALLY Ally Financial 8.0 38% 38% 2.13
 
 
 
 
51% 98.0 2.2% 11.3
MO Altria Group -0.6 -4% 18% 1.53
 
 
 
 
35% 383.4 5.2% 11.0
ABEV Ambev ADR 1.4 8% 40% 2.40
 
 
 
 
7% 134.6 0.0% 29.9
AMC AMC Entertainment Holding 1.5 12% 52% 3.45
 
 
 
 
90% 43.6 3.9% 0.0
AEE Ameren 13.7 50% 26% 1.36
 
 
 
 
83% 77.8 2.9% 25.2
AXL American Axle&Manufacturing Holding -12.5 -140% 37% 3.38
 
 
 
 
70% 28.0 0.0% 4.9
ACC American Campus Communities -0.4 -2% 31% 1.60
 
 
 
 
53% 23.7 4.5% 52.6
AEO American Eagle Outfitters 4.9 23% 82% 3.25
 
 
 
 
63% 81.2 2.3% 16.3
AEP American Electric Power 3.3 14% 22% 1.30
 
 
 
 
52% 107.3 3.5% 18.1
AXP American Express 13.3 63% 28% 1.71
 
 
 
 
92% 198.7 1.3% 28.9
AFG American Financial Group 20.0 71% 27% 1.36
 
 
 
 
53% 27.6 1.3% 19.1
AMH American Homes 4 Rent Cl A 8.8 30% 34% 1.56
 
 
 
 
80% 30.1 0.9% 0.0
AIG American International Group -5.4 -53% 12% 1.64
 
 
 
 
32% 356.2 2.3% 0.0
AMT American Tower REIT 8.8 29% 35% 1.56
 
 
 
 
64% 165.7 2.2% 58.1
AWK American Water Works 15.7 45% 35% 1.42
 
 
 
 
72% 49.7 2.1% 33.6
AMP Ameriprise Financial 11.2 54% 41% 2.22
 
 
 
 
35% 97.1 2.4% 13.0
ABC AmerisourceBergen -11.2 -113% 21% 2.29
 
 
 
 
51% 85.8 1.7% 17.6
AME Ametek 9.5 42% 25% 1.54
 
 
 
 
92% 61.4 0.7% 24.4
APH Amphenol Cl A 11.5 39% 28% 1.36
 
 
 
 
83% 134.6 1.0% 41.3
APC Anadarko Petroleum 3.1 16% 74% 3.21
 
 
 
 
64% 199.9 1.5% 80.8
ANDV Andeavor 11.5 46% 66% 2.63
 
 
 
 
99% 369.1 1.5% 11.6
ANDX Andeavor Logistics -1.2 -13% 27% 2.73
 
 
 
 
66% 27.8 8.2% 21.2
AU AngloGold Ashanti ADR -0.5 -3% 100% 4.15
 
 
 
 
36% 24.6 0.7% 225.5
BUD Anheuser-Busch InBev ADR -2.8 -24% 15% 1.64
 
 
 
 
8% 95.8 5.3% 22.5
NLY Annaly Capital Management 5.1 18% 24% 1.25
 
 
 
 
10% 135.1 11.8% 4.0
AR Antero Resources -1.0 -13% 30% 3.26
 
 
 
 
38% 100.5 0.0% 25.6
ANTM Anthem 17.8 58% 48% 1.91
 
 
 
 
97% 273.8 1.1% 16.6
AON Aon 13.7 49% 25% 1.30
 
 
 
 
94% 163.2 1.0% 47.7
AOS A.O. Smith 9.3 35% 38% 1.81
 
 
 
 
15% 61.9 1.2% 30.6
APA Apache -3.5 -22% 66% 3.41
 
 
 
 
87% 209.8 2.1% 21.2
AIV Apartment Investment&Management -1.9 -15% 14% 1.54
 
 
 
 
73% 49.5 3.5% 461.7
APO Apollo Global Management Cl A 25.9 70% 75% 2.25
 
 
 
 
84% 30.2 4.8% 19.6
ATR Aptargroup 12.8 58% 23% 1.45
 
 
 
 
94% 36.0 1.2% 32.7
APTV Aptiv 1.2 8% 36% 2.53
 
 
 
 
37% 171.1 1.0% 18.8
ARMK Aramark 0.6 5% 15% 1.69
 
 
 
 
66% 36.9 1.0% 21.3
MT ArcelorMittal ADR 7.0 42% 106% 4.26
 
 
 
 
55% 83.2 1.3% 5.8
ADM Archer Daniels Midland 2.0 12% 27% 1.94
 
 
 
 
88% 118.5 2.7% 14.5
ARNC Arconic -14.1 -162% 44% 3.77
 
 
 
 
35% 89.5 1.1% 0.0
ANET Arista Networks 16.9 58% 130% 3.51
 
 
 
 
71% 190.8 0.0% 102.3
AWI Armstrong World Industries 5.7 33% 35% 2.27
 
 
 
 
87% 50.8 0.0% 15.1
ARW Arrow Electronics 0.6 4% 22% 1.89
 
 
 
 
26% 33.4 0.0% 13.7
AJG Arthur J. Gallagher 16.7 53% 29% 1.32
 
 
 
 
92% 46.6 2.2% 22.2
ASGN ASGN 15.5 48% 77% 2.49
 
 
 
 
65% 20.9 0.0% 25.4
ASH Ashland Global Holdings 8.3 37% 29% 1.67
 
 
 
 
94% 29.5 1.2% 121.8
AHL Aspen Insurance Holdings 2.1 15% 22% 2.00
 
 
 
 
60% 29.9 2.3% 0.0
ASB Associated Banc-Corp. 4.2 19% 37% 2.03
 
 
 
 
61% 44.2 2.3% 16.5
AIZ Assurant 0.5 3% 27% 1.87
 
 
 
 
72% 64.8 2.2% 13.4
AGO Assured Guaranty 17.7 62% 46% 1.96
 
 
 
 
98% 26.1 1.5% 9.4
AZN AstraZeneca ADR -0.3 -2% 30% 1.93
 
 
 
 
75% 81.1 2.4% 35.5
ATO Atmos Energy 12.3 36% 32% 1.34
 
 
 
 
93% 36.4 2.1% 17.2
T AT&T -0.1 0% 18% 1.45
 
 
 
 
39% 1110.5 5.9% 6.6
ATHM Autohome ADR 15.7 52% 144% 3.66
 
 
 
 
41% 44.7 0.0% 26.7
ALV Autoliv -5.4 -35% 40% 2.63
 
 
 
 
25% 46.3 2.7% 25.2
AZO AutoZone -2.7 -19% 24% 1.98
 
 
 
 
86% 214.7 0.0% 15.7
AVB Avalonbay Communities -1.2 -13% 9% 1.41
 
 
 
 
77% 98.2 3.3% 28.6
AVY Avery Dennison 12.6 37% 45% 1.74
 
 
 
 
52% 41.5 1.9% 37.2
AVP Avon Products -6.7 -64% 96% 5.15
 
 
 
 
59% 22.0 10.3% 45.1
AXTA Axalta Coating Systems -3.0 -31% 20% 2.26
 
 
 
 
19% 65.2 0.0% 54.6
AXS AXIS Capital Holdings 3.8 19% 23% 1.53
 
 
 
 
75% 25.3 2.7% 0.0
BLL Ball -3.6 -24% 20% 1.72
 
 
 
 
97% 110.4 0.9% 33.5
BMA Banco Macro ADR 3.9 25% 98% 4.22
 
 
 
 
14% 32.6 4.3% 5.0
SAN Banco Santander ADR 5.1 36% 39% 2.72
 
 
 
 
16% 20.5 5.7% 11.3
BAC Bank of America 15.7 48% 64% 2.19
 
 
 
 
73% 1324.4 2.0% 15.8
BOH Bank of Hawaii 6.0 33% 23% 1.68
 
 
 
 
29% 24.5 3.0% 17.4
BMO Bank of Montreal 13.1 49% 24% 1.31
 
 
 
 
90% 30.7 3.5% 14.4
BK Bank of New York Mellon 3.0 17% 25% 1.81
 
 
 
 
31% 172.2 2.1% 12.6
BNS Bank of Nova Scotia 7.3 25% 31% 1.48
 
 
 
 
39% 34.0 4.4% 11.3
BKU BankUnited 0.6 4% 30% 2.10
 
 
 
 
34% 21.3 2.3% 6.1
ABX Barrick Gold 9.2 33% 129% 3.60
 
 
 
 
21% 538.5 1.1% 0.0
BHC Bausch Health -0.7 -12% 87% 6.75
 
 
 
 
83% 92.9 0.0% 0.0
BAX Baxter International 23.4 62% 43% 1.57
 
 
 
 
96% 119.7 1.0% 46.9
BBT BB&T 9.8 41% 32% 1.72
 
 
 
 
52% 131.7 3.2% 14.7
BCE BCE -0.1 0% 12% 1.10
 
 
 
 
3% 22.1 5.7% 16.9
BDX Becton Dickinson 15.8 61% 28% 1.50
 
 
 
 
99% 212.5 1.1% 113.1
BMS Bemis 0.6 4% 20% 1.74
 
 
 
 
66% 23.6 2.5% 41.0
BRKA Berkshire Hathaway Cl A 10.4 57% 16% 1.28
 
 
 
 
90% 91.5 0.0% 11.4
BRKB Berkshire Hathaway Cl B 9.1 51% 16% 1.32
 
 
 
 
89% 977.5 0.0% 11.3
BERY Berry Global Group 13.0 48% 44% 1.97
 
 
 
 
29% 58.3 0.0% 14.4
BBY Best Buy 16.3 64% 79% 2.90
 
 
 
 
84% 274.8 2.3% 22.1
BHP BHP Billiton ADR 6.6 33% 63% 2.91
 
 
 
 
73% 72.5 5.1% 35.5
BBL BHP Billiton ADR 3.3 17% 69% 3.16
 
 
 
 
69% 31.4 5.7% 31.7
BIG Big Lots -6.5 -50% 32% 2.49
 
 
 
 
18% 29.7 2.9% 10.6
BIO Bio-Rad Laboratories Cl A 28.6 90% 53% 2.00
 
 
 
 
72% 65.6 0.0% 9.1
BB BlackBerry 3.8 23% 63% 3.23
 
 
 
 
25% 29.9 0.0% 0.0
BLK BlackRock 6.6 28% 34% 1.82
 
 
 
 
30% 205.1 2.6% 14.5
BX Blackstone Group 6.4 46% 28% 2.23
 
 
 
 
92% 260.5 5.9% 15.3
BXMT Blackstone Mortgage Trust Cl A 7.8 43% 14% 1.18
 
 
 
 
91% 35.9 7.3% 14.1
BA Boeing 27.8 56% 79% 1.95
 
 
 
 
95% 1012.8 1.9% 22.8
BCC Boise Cascade 9.6 56% 72% 3.40
 
 
 
 
32% 22.0 0.7% 11.7
BAH Booz Allen Hamilton Holding 14.4 61% 39% 1.97
 
 
 
 
83% 27.6 1.5% 22.1
BWA BorgWarner 3.4 25% 33% 2.54
 
 
 
 
15% 131.3 1.5% 17.5
SAM Boston Beer Cl A 10.9 48% 66% 2.80
 
 
 
 
81% 30.8 0.0% 36.5
BXP Boston Properties -4.2 -50% 10% 1.54
 
 
 
 
56% 65.7 3.1% 36.3
BSX Boston Scientific 17.9 54% 54% 1.96
 
 
 
 
99% 260.6 0.0% 106.7
BOX Box Cl A 1.1 7% 72% 3.54
 
 
 
 
51% 56.0 0.0% 0.0
BP BP ADR 1.7 10% 28% 2.00
 
 
 
 
78% 312.1 5.3% 21.4
BRFS BRF ADR -4.2 -66% 28% 3.48
 
 
 
 
6% 46.6 0.0% 0.0
BFAM Bright Horizons Family Solutions 15.0 69% 25% 1.59
 
 
 
 
91% 22.8 0.0% 43.7
EAT Brinker International 4.6 25% 43% 2.48
 
 
 
 
72% 73.4 3.2% 17.1
BMY Bristol-Myers Squibb -1.9 -16% 23% 2.13
 
 
 
 
58% 204.8 2.6% 267.8
BTI British American Tobacco ADR -4.3 -28% 21% 1.75
 
 
 
 
1% 79.5 5.9% 1.9
BRX Brixmor Property Group 0.8 7% 19% 2.09
 
 
 
 
61% 57.5 6.4% 17.8
BR Broadridge Financial Solutions 37.0 73% 56% 1.52
 
 
 
 
92% 77.4 1.5% 37.5
BAM Brookfield Asset Management Cl A 0.1 1% 17% 1.66
 
 
 
 
96% 35.6 1.4% 16.5
BRO Brown&Brown 23.1 62% 33% 1.27
 
 
 
 
81% 20.3 1.0% 19.9
BFB Brown-Forman Cl B 6.6 30% 30% 1.74
 
 
 
 
41% 65.2 1.3% 32.5
BC Brunswick -0.1 0% 33% 2.51
 
 
 
 
86% 59.5 1.1% 52.2
BPL Buckeye Partners -4.1 -55% 18% 2.49
 
 
 
 
13% 26.2 14.2% 12.0
BG Bunge -3.0 -25% 29% 2.51
 
 
 
 
23% 84.1 3.0% 0.0
BURL Burlington Stores 24.4 65% 102% 2.69
 
 
 
 
80% 188.3 0.0% 24.8
CABO Cable One 20.6 69% 41% 1.75
 
 
 
 
87% 59.0 0.9% 19.1
COG Cabot Oil&Gas 2.8 26% 36% 3.04
 
 
 
 
21% 152.8 1.0% 82.9
CACI CACI International Cl A 29.0 93% 67% 2.34
 
 
 
 
84% 30.0 0.0% 15.8
CRC California Resources 2.1 24% 328% 10.49
 
 
 
 
94% 289.1 0.0% 0.0
ELY Callaway Golf 18.7 57% 70% 2.32
 
 
 
 
97% 55.6 0.2% 21.2
CPE Callon Petroleum 0.6 4% 95% 4.25
 
 
 
 
51% 47.9 0.0% 18.0
CBM Cambrex -15.7 -102% 56% 3.14
 
 
 
 
81% 29.7 0.0% 17.3
CPT Camden Property Trust -3.9 -23% 18% 1.47
 
 
 
 
87% 46.0 3.3% 44.6
CPB Campbell Soup 2.0 15% 21% 1.98
 
 
 
 
39% 68.6 3.5% 46.3
CM Canadian Imperial Bank of Commerce 6.5 26% 24% 1.37
 
 
 
 
74% 68.1 4.3% 10.7
CNI Canadian National Railway 7.1 30% 28% 1.60
 
 
 
 
81% 80.8 1.6% 24.6
CNQ Canadian Natural Resources 2.9 15% 65% 3.00
 
 
 
 
42% 112.1 3.1% 19.5
CP Canadian Pacific Railway 5.5 40% 24% 2.08
 
 
 
 
96% 144.4 1.0% 16.9
CGC Canopy Growth 16.4 62% 368% 6.37
 
 
 
 
91% 607.6 0.0% 0.0
CMD Cantel Medical 15.3 55% 60% 2.35
 
 
 
 
24% 33.9 0.2% 43.9
COF Capital One Financial 5.8 33% 30% 2.04
 
 
 
 
64% 176.6 1.6% 15.5
CAH Cardinal Health -8.1 -169% 10% 2.35
 
 
 
 
21% 223.6 3.5% 72.9
CSL Carlisle 9.5 43% 29% 1.70
 
 
 
 
78% 36.9 1.3% 23.2
KMX CarMax 1.4 8% 42% 2.44
 
 
 
 
76% 150.8 0.0% 20.0
CCL Carnival 2.7 17% 25% 1.91
 
 
 
 
64% 233.2 3.0% 17.1
CRI Carters -4.8 -30% 28% 2.06
 
 
 
 
6% 90.8 1.9% 15.0
CTLT Catalent 1.8 12% 42% 2.67
 
 
 
 
57% 24.1 0.0% 69.4
CAT Caterpillar 14.5 44% 63% 2.15
 
 
 
 
61% 574.0 2.2% 29.9
CBRE CBRE Group 0.2 1% 31% 2.22
 
 
 
 
61% 58.0 0.0% 20.8
CBS CBS Cl B 6.3 32% 34% 2.07
 
 
 
 
64% 201.4 1.3% 14.3
CE Celanese 10.2 33% 49% 1.94
 
 
 
 
89% 98.4 1.9% 14.0
CX Cemex ADR 1.7 11% 63% 3.38
 
 
 
 
33% 23.1 0.0% 18.0
CVE Cenovus Energy -5.4 -50% 47% 3.47
 
 
 
 
57% 24.4 1.6% 0.0
CNC Centene 14.1 57% 70% 2.75
 
 
 
 
92% 145.8 0.0% 24.4
CNP CenterPoint Energy 13.1 38% 38% 1.52
 
 
 
 
56% 54.7 4.0% 7.8
CTL CenturyLink -1.7 -12% 41% 2.78
 
 
 
 
88% 149.9 9.4% 12.7
CF CF Industries Holdings 8.8 58% 67% 3.50
 
 
 
 
94% 72.7 2.3% 21.0
CRL Charles River Laboratories Internat 8.4 34% 41% 2.01
 
 
 
 
90% 22.6 0.0% 49.0
SCHW Charles Schwab 7.1 26% 61% 2.38
 
 
 
 
52% 170.3 1.0% 26.0
CHGG Chegg 27.2 89% 165% 3.89
 
 
 
 
93% 27.8 0.0% 0.0
CHE Chemed 25.5 59% 68% 1.92
 
 
 
 
85% 26.9 0.4% 27.8
CC Chemours 13.3 50% 247% 5.19
 
 
 
 
7% 59.7 2.5% 7.3
CHK Chesapeake Energy -5.1 -56% 134% 6.55
 
 
 
 
70% 137.7 0.0% 9.5
CVX Chevron 12.8 46% 40% 1.80
 
 
 
 
56% 691.5 3.7% 19.3
CIM Chimera Investment 11.1 26% 44% 1.47
 
 
 
 
73% 21.5 10.7% 6.2
CHL China Mobile ADR -1.0 -15% 7% 1.43
 
 
 
 
48% 23.7 4.8% 10.9
CMG Chipotle Mexican Grill Cl 1.0 7% 50% 3.13
 
 
 
 
77% 288.5 0.0% 77.0
CHH Choice Hotels International 2.4 8% 41% 1.76
 
 
 
 
88% 20.9 1.0% 32.2
CB Chubb 6.1 38% 15% 1.34
 
 
 
 
39% 181.8 2.1% 16.8
CHD Church&Dwight -7.1 -32% 24% 1.50
 
 
 
 
92% 74.4 1.5% 18.2
CIEN Ciena 8.2 58% 51% 3.13
 
 
 
 
92% 120.0 0.0% 7.0
CI Cigna 4.3 25% 27% 1.93
 
 
 
 
63% 520.0 0.0% 19.8
XEC Cimarex Energy -4.4 -30% 45% 2.87
 
 
 
 
28% 102.0 0.8% 15.2
CNK Cinemark Holdings -1.1 -7% 27% 1.98
 
 
 
 
55% 33.0 3.3% 16.4
CIT CIT Group 9.4 60% 30% 2.18
 
 
 
 
74% 45.4 1.9% 19.7
C Citigroup 10.0 52% 34% 2.07
 
 
 
 
58% 965.4 2.4% 0.0
CFG Citizens Financial Group 11.6 39% 62% 2.29
 
 
 
 
36% 116.7 2.7% 11.0
CLH Clean Harbors 4.4 23% 34% 2.10
 
 
 
 
91% 22.4 0.0% 34.8
CLF Cleveland-Cliffs -5.1 -33% 240% 6.73
 
 
 
 
97% 103.1 0.0% 8.3
CLX Clorox -2.4 -12% 22% 1.48
 
 
 
 
91% 90.3 2.6% 24.0
CMS CMS Energy 11.9 40% 26% 1.29
 
 
 
 
81% 68.8 2.9% 25.2
CEO CNOOC ADR 8.7 41% 52% 2.52
 
 
 
 
94% 30.6 4.1% 15.9
CNX CNX Resources 0.2 1% 117% 5.02
 
 
 
 
43% 31.2 0.0% 4.0
KO Coca-Cola 1.7 11% 11% 1.07
 
 
 
 
64% 447.7 3.4% 85.3
CCE Coca-Cola European Partners -7.9 -61% 21% 1.98
 
 
 
 
91% 68.6 2.7% 28.4
CL Colgate-Palmolive -0.2 -2% 9% 1.36
 
 
 
 
40% 180.5 2.5% 27.2
CMA Comerica 17.9 48% 74% 2.24
 
 
 
 
70% 89.0 2.6% 17.5
FIX Comfort Systems USA -0.1 -1% 53% 2.60
 
 
 
 
82% 21.8 0.6% 26.0
CMC Commercial Metals 6.3 35% 63% 3.08
 
 
 
 
31% 24.1 2.4% 41.6
CAG Conagra Brands -2.9 -42% 12% 2.10
 
 
 
 
59% 139.3 2.3% 18.6
CXO Concho Resources 0.6 4% 47% 3.01
 
 
 
 
59% 307.1 0.0% 19.6
COP ConocoPhillips 4.0 20% 56% 2.76
 
 
 
 
97% 465.1 1.5% 20.3
ED Consolidated Edison 1.6 7% 20% 1.32
 
 
 
 
30% 139.7 3.7% 15.1
STZ Constellation Brands Cl A 10.9 41% 36% 1.74
 
 
 
 
48% 198.3 1.4% 17.9
CLR Continental Resources 4.6 20% 144% 4.20
 
 
 
 
86% 155.6 0.0% 18.4
CVG Convergys 2.3 16% 25% 2.08
 
 
 
 
61% 52.4 1.8% 27.9
COO Cooper 17.1 57% 44% 1.84
 
 
 
 
98% 52.4 0.0% 106.3
CPA Copa Holdings Cl A 12.5 48% 104% 3.34
 
 
 
 
5% 34.1 4.5% 8.4
CXW CoreCivic -7.4 -39% 96% 3.75
 
 
 
 
67% 23.2 7.0% 18.2
CLB Core Laboratories -3.7 -33% 32% 2.72
 
 
 
 
58% 43.5 2.0% 54.6
COR CoreSite Realty 17.6 40% 72% 1.97
 
 
 
 
61% 107.0 3.8% 52.5
GLW Corning 17.1 59% 45% 1.92
 
 
 
 
92% 110.6 2.0% 0.0
COTY Coty Cl A -9.1 -159% 18% 2.91
 
 
 
 
21% 166.4 3.8% 0.0
CUZ Cousins Properties -7.1 -58% 21% 2.01
 
 
 
 
41% 29.5 2.9% 59.9
CR Crane 12.8 48% 45% 2.00
 
 
 
 
82% 22.1 1.4% 31.7
BAP Credicorp 20.3 55% 65% 2.07
 
 
 
 
70% 34.2 1.9% 13.7
CS Credit Suisse Group ADR 5.5 49% 31% 2.68
 
 
 
 
20% 21.8 1.6% 0.0
CCI Crown Castle International 5.9 23% 28% 1.51
 
 
 
 
71% 188.8 3.8% 115.4
CCK Crown Holdings -1.7 -19% 12% 1.69
 
 
 
 
37% 89.4 0.0% 20.9
CUBE CubeSmart 6.9 32% 30% 1.77
 
 
 
 
48% 36.2 4.2% 34.9
CFR Cullen/Frost Bankers 7.8 28% 59% 2.30
 
 
 
 
54% 30.2 2.5% 17.3
CMI Cummins 8.2 34% 41% 2.01
 
 
 
 
30% 230.0 3.1% 23.6
CVI CVR Energy 5.6 27% 112% 3.92
 
 
 
 
70% 34.6 7.4% 10.4
CVS CVS Health -2.8 -90% 5% 1.99
 
 
 
 
78% 548.1 2.5% 26.8
DHR Danaher -0.6 -5% 15% 1.68
 
 
 
 
97% 200.5 0.6% 28.6
DRI Darden Restaurants 26.5 89% 50% 2.01
 
 
 
 
77% 200.2 2.7% 22.2
DVA DaVita -9.7 -81% 21% 2.07
 
 
 
 
63% 108.5 0.0% 23.3
DDR DDR Corp -5.1 -56% 101% 5.66
 
 
 
 
47% 25.6 6.0% 0.0
DECK Deckers Outdoor 13.8 58% 75% 2.92
 
 
 
 
79% 46.1 0.0% 28.7
DE Deere 20.3 71% 52% 2.10
 
 
 
 
55% 251.2 1.8% 23.8
DK Delek US Holdings 17.2 68% 122% 3.68
 
 
 
 
54% 58.9 2.2% 10.4
DAL Delta Air Lines 6.9 46% 32% 2.30
 
 
 
 
75% 344.9 2.4% 12.3
DNR Denbury Resources 3.6 29% 292% 8.36
 
 
 
 
98% 162.9 4.1% 13.1
DB Deutsche Bank -2.3 -31% 31% 3.32
 
 
 
 
19% 44.8 1.1% 0.0
DVN Devon Energy -4.0 -24% 90% 3.85
 
 
 
 
70% 253.3 0.8% 0.0
DEO Diageo ADR 2.6 14% 17% 1.31
 
 
 
 
49% 30.8 3.0% 21.7
DO Diamond Offshore Drilling -6.9 -54% 76% 4.11
 
 
 
 
72% 37.2 0.0% 0.0
DRH Diamondrock Hospitality 5.1 34% 29% 2.18
 
 
 
 
59% 21.6 4.3% 30.0
DKS Dick's Sporting Goods 4.0 28% 57% 3.33
 
 
 
 
81% 93.2 2.5% 11.3
DLR Digital Realty Trust 18.9 49% 55% 1.82
 
 
 
 
68% 306.8 3.5% 118.3
DDS Dillard's -5.9 -45% 64% 3.70
 
 
 
 
55% 22.3 0.5% 8.7
DPLO Diplomat Pharmacy -0.2 -2% 69% 4.69
 
 
 
 
32% 21.3 0.0% 478.0
DFS Discover Financial Services 1.0 4% 37% 1.81
 
 
 
 
85% 91.0 2.0% 12.5
DLB Dolby Laboratories Cl A 19.4 59% 54% 1.99
 
 
 
 
73% 20.1 0.9% 81.8
DG Dollar General 10.6 47% 43% 2.18
 
 
 
 
85% 229.6 1.1% 16.7
D Dominion Energy -2.0 -21% 9% 1.30
 
 
 
 
36% 170.1 4.8% 14.8
DPZ Domino's Pizza 31.5 74% 79% 2.15
 
 
 
 
88% 167.1 0.8% 41.0
UFS Domtar 5.5 32% 34% 2.21
 
 
 
 
95% 27.5 3.2% 0.0
DCI Donaldson 11.4 51% 33% 1.86
 
 
 
 
98% 32.5 1.3% 43.3
DEI Douglas Emmett -1.4 -7% 20% 1.46
 
 
 
 
42% 24.1 2.7% 55.0
DOV Dover 6.9 36% 31% 1.96
 
 
 
 
91% 106.8 2.2% 18.6
DHI D.R. Horton 1.1 5% 42% 2.21
 
 
 
 
32% 174.1 1.2% 12.3
DRQ Dril-Quip -10.7 -127% 24% 2.73
 
 
 
 
66% 22.1 0.0% 0.0
DSW DSW Cl A -0.3 -3% 54% 3.29
 
 
 
 
92% 54.6 3.1% 1633.0
DTE DTE Energy 7.7 35% 19% 1.28
 
 
 
 
63% 87.5 3.3% 17.0
DUK Duke Energy -1.2 -6% 18% 1.27
 
 
 
 
39% 239.9 4.7% 20.2
DRE Duke Realty 16.7 49% 38% 1.52
 
 
 
 
72% 45.8 2.9% 27.6
DNB Dun&Bradstreet 12.4 68% 33% 2.09
 
 
 
 
93% 185.6 1.5% 22.3
DY Dycom Industries -1.8 -14% 64% 3.71
 
 
 
 
27% 22.0 0.0% 22.9
EXP Eagle Materials 2.4 10% 54% 2.45
 
 
 
 
2% 42.2 0.5% 15.6
EGP EastGroup Properties 8.8 22% 44% 1.50
 
 
 
 
79% 22.7 3.0% 40.9
EMN Eastman Chemical 6.9 30% 33% 1.82
 
 
 
 
48% 63.8 2.3% 9.3
ETN Eaton 8.8 48% 26% 1.80
 
 
 
 
87% 183.5 1.7% 12.4
EV Eaton Vance 10.1 41% 37% 1.87
 
 
 
 
44% 23.5 2.3% 18.3
ECL Ecolab 5.7 44% 12% 1.37
 
 
 
 
94% 118.8 1.0% 29.8
EC Ecopetrol ADR 12.2 47% 108% 3.39
 
 
 
 
96% 43.5 2.5% 14.7
EIX Edison International -2.5 -13% 23% 1.59
 
 
 
 
39% 129.3 3.6% 53.3
EW Edwards Lifesciences 12.4 42% 70% 2.47
 
 
 
 
99% 603.7 0.0% 54.1
LLY Eli Lilly -2.5 -16% 22% 1.79
 
 
 
 
93% 296.6 2.1% 0.0
ELLI ELLIE MAE 2.7 14% 64% 3.00
 
 
 
 
34% 73.5 0.0% 91.4
EME EMCOR Group 10.9 44% 41% 1.99
 
 
 
 
41% 29.2 0.4% 18.1
EMR Emerson Electric 11.8 58% 28% 1.78
 
 
 
 
94% 148.4 2.5% 23.7
ENB Enbridge -4.1 -32% 27% 2.30
 
 
 
 
37% 105.9 6.1% 29.1
EEP Enbridge Energy Partners Cl A -3.0 -32% 38% 3.28
 
 
 
 
35% 31.6 12.2% 23.2
ECA Encana 2.1 12% 136% 4.68
 
 
 
 
73% 92.2 0.5% 217.8
EHC Encompass Health 22.6 76% 54% 2.09
 
 
 
 
86% 54.2 1.4% 25.4
EGN Energen 5.1 28% 83% 3.58
 
 
 
 
99% 104.9 0.0% 19.2
ENR Energizer Holdings 3.1 11% 69% 2.53
 
 
 
 
83% 29.6 1.9% 29.9
ETE Energy Transfer Equity 1.5 14% 104% 5.29
 
 
 
 
73% 44.7 6.9% 16.7
ETP Energy Transfer Partners -2.9 -25% 48% 3.37
 
 
 
 
80% 72.3 10.1% 20.3
ESV ENSCO -12.3 -172% 65% 5.11
 
 
 
 
99% 152.0 0.5% 0.0
ETR Entergy 4.8 22% 22% 1.41
 
 
 
 
61% 69.1 4.4% 50.4
EPD Enterprise Products Partners 0.3 2% 26% 2.33
 
 
 
 
86% 111.8 5.9% 21.4
EVHC Envision Healthcare -4.6 -79% 23% 3.28
 
 
 
 
99% 91.2 0.0% 0.0
EOG EOG Resources 2.3 11% 49% 2.45
 
 
 
 
79% 405.3 0.7% 18.6
EPAM EPAM Systems 12.9 55% 52% 2.36
 
 
 
 
88% 40.7 0.0% 61.3
EPR EPR Properties 12.4 34% 44% 1.61
 
 
 
 
80% 36.1 6.4% 22.7
EQT EQT -5.0 -53% 29% 2.85
 
 
 
 
14% 121.4 0.3% 1169.5
EQM EQT Midstream Partners -4.0 -88% 11% 2.50
 
 
 
 
20% 23.9 8.0% 10.4
EFX Equifax -0.2 -1% 30% 1.97
 
 
 
 
82% 108.2 1.2% 31.8
EQNR Equinor ADR 8.6 36% 55% 2.40
 
 
 
 
95% 24.7 3.3% 20.2
ELS Equity Lifestyle Properties 13.2 40% 32% 1.36
 
 
 
 
92% 35.9 2.3% 42.3
EQR Equity Residential -1.7 -18% 10% 1.48
 
 
 
 
72% 90.6 3.3% 59.2
ESS Essex Property Trust -1.0 -8% 13% 1.54
 
 
 
 
53% 84.6 3.1% 42.4
EL Estee Lauder Cl A 26.4 65% 53% 1.69
 
 
 
 
71% 183.7 1.1% 48.7
EVR Evercore Cl A 15.3 52% 65% 2.38
 
 
 
 
65% 26.5 2.0% 24.7
RE Everest Re Group 6.4 23% 33% 1.60
 
 
 
 
38% 77.8 2.3% 46.4
ES Eversource Energy 5.5 29% 18% 1.36
 
 
 
 
65% 56.8 3.3% 19.3
EXC Exelon 10.0 34% 33% 1.54
 
 
 
 
80% 155.1 3.2% 11.0
EXR Extra Space Storage 7.2 39% 26% 1.79
 
 
 
 
41% 85.7 4.0% 22.4
XOM Exxon Mobil 0.5 3% 16% 1.50
 
 
 
 
84% 1087.2 3.8% 17.7
FN Fabrinet 10.4 44% 110% 3.58
 
 
 
 
88% 24.3 0.0% 20.8
FDS FactSet Research Systems 3.6 20% 23% 1.66
 
 
 
 
92% 108.7 1.1% 35.5
FICO Fair Isaac 32.8 93% 58% 2.00
 
 
 
 
88% 30.8 0.0% 54.8
FRT Federal Realty Investment Trust -1.4 -14% 11% 1.47
 
 
 
 
68% 50.3 3.2% 43.6
FDX FedEx 9.0 37% 35% 1.82
 
 
 
 
49% 371.4 1.1% 13.8
FCAU Fiat Chrysler Automobiles 9.0 43% 110% 3.84
 
 
 
 
31% 52.2 0.0% 6.9
FNF Fidelity National Financial -11.3 -72% 28% 2.08
 
 
 
 
66% 28.2 3.0% 15.3
FIS Fidelity National Information Servi 17.4 71% 28% 1.55
 
 
 
 
96% 123.1 1.2% 25.6
FAF First American Financial 7.0 25% 36% 1.67
 
 
 
 
27% 39.5 3.2% 12.5
FBP First BanCorp (Puerto Rico) 6.1 23% 122% 3.60
 
 
 
 
93% 25.3 0.0% 25.5
FE FirstEnergy 2.7 15% 24% 1.77
 
 
 
 
83% 111.1 3.9% 0.0
FHN First Horizon National 4.2 21% 33% 2.00
 
 
 
 
31% 33.3 2.7% 29.8
FR First Industrial Realty Trust 8.4 25% 36% 1.50
 
 
 
 
56% 21.2 2.8% 17.1
FRC First Republic Bank 12.4 61% 31% 1.90
 
 
 
 
70% 113.1 0.7% 21.9
FIT Fitbit -1.1 -29% 31% 4.82
 
 
 
 
35% 28.0 0.0% 0.0
FLT FleetCor Technologies 0.7 4% 42% 2.27
 
 
 
 
93% 92.0 0.0% 24.6
FLS Flowserve -4.0 -36% 26% 2.46
 
 
 
 
89% 64.3 1.4% 0.0
FLR Fluor -0.7 -4% 44% 2.54
 
 
 
 
86% 37.7 1.4% 33.2
FMC FMC 14.5 46% 75% 2.48
 
 
 
 
66% 92.1 0.7% 12.4
FNB F.N.B. -0.1 -1% 20% 1.98
 
 
 
 
29% 53.0 3.7% 16.0
FMX Fomento Economico Mexicano ADR -7.2 -54% 22% 1.99
 
 
 
 
70% 20.4 1.5% 14.4
FL Foot Locker -7.7 -60% 56% 3.49
 
 
 
 
62% 133.2 2.9% 18.7
F Ford Motor -9.2 -163% 9% 1.90
 
 
 
 
9% 386.7 6.3% 5.7
FCEA Forest City Realty Trust Cl A -4.8 -30% 26% 1.95
 
 
 
 
89% 36.7 2.9% 21.8
FBHS Fortune Brands Home&Security -1.2 -8% 20% 1.75
 
 
 
 
10% 124.4 1.5% 18.0
FNV Franco-Nevada 5.3 22% 65% 2.67
 
 
 
 
17% 40.0 1.5% 52.9
BEN Franklin Resources -2.3 -27% 16% 2.11
 
 
 
 
15% 122.6 2.8% 26.3
FCX Freeport-McMoRan -6.8 -43% 138% 5.05
 
 
 
 
26% 249.9 0.0% 7.2
GME GameStop Cl A 0.0 -1% 10% 3.29
 
 
 
 
38% 54.9 9.8% 0.0
GPS Gap 0.7 5% 53% 3.26
 
 
 
 
23% 140.2 3.5% 12.2
IT Gartner 8.4 32% 35% 1.75
 
 
 
 
94% 67.8 0.0% 172.5
GD General Dynamics 10.8 43% 27% 1.49
 
 
 
 
41% 221.5 1.8% 20.5
GE General Electric 1.0 11% 14% 1.90
 
 
 
 
1% 1659.4 4.1% 0.0
GIS General Mills -4.9 -46% 13% 1.65
 
 
 
 
15% 141.4 4.5% 12.2
GM General Motors -2.3 -11% 38% 2.12
 
 
 
 
10% 339.0 4.4% 0.0
GWR Genesee&Wyoming Cl A 0.6 4% 36% 2.47
 
 
 
 
95% 62.8 0.0% 9.5
GPC Genuine Parts 1.4 10% 17% 1.61
 
 
 
 
64% 64.4 2.9% 21.8
GGB Gerdau ADR 6.7 33% 179% 5.05
 
 
 
 
47% 28.2 0.0% 0.0
GSK GlaxoSmithKline ADR -0.3 -2% 17% 1.42
 
 
 
 
72% 56.6 5.0% 44.8
GPN Global Payments 7.5 29% 48% 2.15
 
 
 
 
95% 65.9 0.0% 36.7
GMED Globus Medical 17.7 52% 76% 2.40
 
 
 
 
88% 137.0 0.0% 40.4
GDDY GoDaddy Cl A 25.3 80% 85% 2.65
 
 
 
 
90% 108.5 0.0% 215.1
GG Goldcorp -4.8 -36% 54% 3.35
 
 
 
 
13% 81.9 0.8% 31.3
GS Goldman Sachs Group 11.6 48% 39% 1.95
 
 
 
 
25% 469.4 1.4% 18.7
GGG Graco Inc. 15.5 47% 51% 1.90
 
 
 
 
71% 28.8 1.1% 28.6
GPT Gramercy Property Trust 9.8 33% 45% 1.91
 
 
 
 
62% 22.5 5.5% 66.1
GPK Graphic Packaging Holding 1.8 21% 13% 1.92
 
 
 
 
31% 44.4 2.1% 14.8
GDOT Green Dot Cl A 37.5 73% 126% 2.51
 
 
 
 
89% 27.0 0.0% 37.1
GRUB GrubHub 24.5 83% 168% 4.01
 
 
 
 
85% 194.9 0.0% 94.9
GTT GTT Communications 5.2 23% 102% 3.55
 
 
 
 
39% 27.9 0.0% 0.0
GWRE Guidewire Software 11.3 44% 53% 2.29
 
 
 
 
78% 91.2 0.0% 0.0
HAE Haemonetics 31.8 71% 99% 2.36
 
 
 
 
97% 43.5 0.0% 262.3
HK Halcon Resources -4.3 -170% 72% 9.24
 
 
 
 
17% 32.3 0.0% 2.2
HAL Halliburton -2.6 -12% 50% 2.44
 
 
 
 
24% 284.3 1.8% 373.3
HBI Hanesbrands -6.1 -115% 16% 2.86
 
 
 
 
20% 59.5 3.3% 179.5
THG Hanover Insurance Group 12.3 47% 30% 1.54
 
 
 
 
62% 24.9 1.8% 22.2
HOG Harley-Davidson -2.0 -20% 25% 2.52
 
 
 
 
31% 78.2 3.3% 15.3
HRS Harris Corp. 25.5 58% 54% 1.65
 
 
 
 
80% 76.6 1.7% 27.5
HIG Hartford Financial Services Group 3.3 24% 17% 1.67
 
 
 
 
17% 132.3 2.4% 24.7
FUL H.B. Fuller 7.8 37% 31% 1.86
 
 
 
 
89% 21.4 1.1% 27.5
HCA HCA Healthcare 8.8 35% 46% 2.11
 
 
 
 
94% 142.7 1.0% 16.9
HCP HCP -6.8 -64% 19% 2.09
 
 
 
 
62% 69.2 5.8% 214.2
HDB HDFC Bank ADR 11.4 35% 44% 1.77
 
 
 
 
10% 126.1 0.6% 0.0
HTA Healthcare Trust of America -3.4 -16% 25% 1.59
 
 
 
 
30% 54.8 4.7% 67.5
HEI Heico 41.1 83% 76% 1.89
 
 
 
 
89% 65.6 0.1% 49.7
HP Helmerich&Payne 2.6 12% 73% 3.05
 
 
 
 
71% 70.1 4.2% 16.3
HLF Herbalife Nutrition 14.1 54% 75% 2.76
 
 
 
 
81% 22.7 2.2% 52.3
HSY Hershey 0.2 1% 16% 1.74
 
 
 
 
49% 62.5 2.8% 21.0
HES Hess Corp. -0.6 -4% 69% 3.30
 
 
 
 
97% 298.3 1.4% 0.0
HXL Hexcel 8.7 48% 26% 1.83
 
 
 
 
61% 35.5 0.9% 21.2
HIW Highwoods Properties 0.1 0% 25% 1.39
 
 
 
 
48% 21.3 3.9% 24.7
HRC Hill-Rom Holdings 20.1 71% 43% 1.88
 
 
 
 
71% 34.7 0.9% 26.7
HLT Hilton Worldwide Holdings 2.5 18% 30% 2.35
 
 
 
 
61% 160.1 0.8% 18.3
HFC HollyFrontier 12.4 47% 103% 3.26
 
 
 
 
72% 187.2 1.9% 8.8
HD Home Depot 14.0 50% 29% 1.46
 
 
 
 
87% 852.1 2.0% 24.5
HON Honeywell International 13.8 66% 20% 1.35
 
 
 
 
92% 314.8 1.8% 77.3
HRL Hormel Foods 2.1 8% 38% 1.77
 
 
 
 
81% 58.1 1.9% 22.1
HST Host Hotels&Resorts 9.2 61% 27% 2.10
 
 
 
 
65% 137.0 3.8% 23.7
HHC Howard Hughes 0.0 0% 17% 1.91
 
 
 
 
35% 26.1 0.0% 34.7
HPQ HP 1.2 9% 52% 3.30
 
 
 
 
96% 221.8 2.2% 9.5
HRB H&R Block -1.3 -14% 28% 2.83
 
 
 
 
40% 98.5 3.9% 9.2
HSBC HSBC Holdings ADR 11.3 41% 35% 1.67
 
 
 
 
16% 94.3 4.5% 18.0
HUBS HubSpot 19.2 81% 101% 3.44
 
 
 
 
86% 76.4 0.0% 0.0
HPP Hudson Pacific Properties -2.9 -15% 23% 1.60
 
 
 
 
44% 36.4 3.2% 45.9
HUM Humana 18.8 76% 38% 1.89
 
 
 
 
99% 165.2 0.6% 35.3
HII Huntington Ingalls Industries 17.3 46% 65% 2.03
 
 
 
 
70% 62.2 1.1% 18.7
HUN Huntsman 9.3 42% 102% 3.58
 
 
 
 
17% 64.2 2.3% 6.4
H Hyatt Hotels 13.9 63% 35% 1.94
 
 
 
 
68% 33.2 0.8% 16.0
IAG IAMGOLD 3.3 18% 170% 5.13
 
 
 
 
10% 20.5 0.0% 64.7
IBN ICICI Bank ADR 4.8 35% 39% 2.74
 
 
 
 
25% 84.7 0.5% 34.8
IEX IDEX 29.0 72% 44% 1.50
 
 
 
 
92% 33.5 1.1% 31.3
ITW Illinois Tool Works 16.3 50% 37% 1.54
 
 
 
 
26% 118.2 2.1% 26.6
IMAX Imax -6.2 -107% 19% 2.96
 
 
 
 
80% 20.9 0.0% 79.9
INFY Infosys ADR -0.3 -2% 27% 2.00
 
 
 
 
80% 123.1 6.0% 35.8
IR Ingersoll-Rand 14.3 52% 39% 1.79
 
 
 
 
92% 137.0 2.1% 18.6
ING ING Groep ADR 8.2 46% 38% 2.31
 
 
 
 
12% 27.8 7.6% 8.6
INGR Ingredion 2.9 11% 35% 1.70
 
 
 
 
15% 41.8 2.4% 14.5
NSP Insperity 43.9 86% 145% 2.75
 
 
 
 
95% 33.4 0.7% 45.4
I Intelsat 5.9 35% 288% 7.06
 
 
 
 
89% 71.1 0.0% 0.0
ICE Intercontinental Exchange 6.2 36% 21% 1.66
 
 
 
 
94% 134.7 1.2% 18.2
IBM International Business Machines -0.5 -4% 15% 1.59
 
 
 
 
37% 615.6 4.2% 24.2
IFF International Flavors&Fragrances 3.2 16% 27% 1.77
 
 
 
 
47% 159.3 2.1% 36.9
IGT International Game Technology 5.3 20% 78% 2.83
 
 
 
 
11% 59.2 4.1% 0.0
IP International Paper 4.4 23% 31% 1.92
 
 
 
 
14% 157.1 3.6% 7.3
IPG Interpublic Group -2.7 -18% 25% 1.99
 
 
 
 
61% 75.1 3.7% 15.2
INXN InterXion Holding 20.4 53% 54% 1.80
 
 
 
 
91% 25.2 0.0% 122.3
XON Intrexon -9.7 -222% 49% 5.74
 
 
 
 
86% 368.3 0.0% 0.0
IVZ INVESCO -0.5 -7% 15% 2.27
 
 
 
 
3% 127.4 5.1% 8.4
IVR Invesco Mortgage Capital 13.5 46% 34% 1.57
 
 
 
 
15% 22.5 10.7% 5.8
IQV IQVIA Holdings 10.6 45% 35% 1.85
 
 
 
 
100% 100.3 0.0% 21.4
IRM Iron Mountain -7.6 -26% 43% 1.83
 
 
 
 
41% 44.0 6.7% 53.0
ITUB Itau Unibanco Holding ADR 9.5 41% 102% 3.46
 
 
 
 
9% 126.8 0.4% 9.6
ITT ITT 4.6 24% 41% 2.34
 
 
 
 
90% 48.1 0.9% 28.5
JBL Jabil 7.9 33% 52% 2.36
 
 
 
 
79% 87.8 1.1% 28.4
JEC Jacobs Engineering Group 6.3 23% 50% 2.10
 
 
 
 
97% 58.8 0.8% 35.3
JCP J.C. Penney -6.3 -127% 36% 4.59
 
 
 
 
11% 22.6 0.0% 0.0
JEF Jefferies Financial Group 7.1 40% 33% 2.13
 
 
 
 
23% 55.7 2.2% 262.2
SJM J.M. Smucker -3.9 -23% 24% 1.79
 
 
 
 
34% 65.5 3.1% 9.2
JBT John Bean Technologies 14.0 48% 91% 2.88
 
 
 
 
88% 22.7 0.3% 47.9
JCI Johnson Controls International 1.8 13% 22% 1.97
 
 
 
 
35% 149.3 2.9% 14.9
JNJ Johnson&Johnson 8.5 34% 21% 1.23
 
 
 
 
74% 892.4 2.6% 326.7
JWA John Wiley&Sons Cl A 2.9 16% 29% 1.94
 
 
 
 
33% 22.7 2.3% 16.2
JLL Jones Lang LaSalle 2.2 15% 35% 2.49
 
 
 
 
43% 46.9 0.6% 21.5
JPM JPMorgan Chase 19.5 63% 43% 1.77
 
 
 
 
90% 1438.0 2.7% 15.6
JNPR Juniper Networks -5.6 -42% 27% 2.26
 
 
 
 
96% 173.8 2.4% 64.5
KSU Kansas City Southern 2.5 16% 29% 2.12
 
 
 
 
78% 103.8 1.2% 12.3
KAR KAR Auction Services 14.0 49% 33% 1.58
 
 
 
 
80% 36.6 2.3% 19.8
KBH KB Home 13.2 53% 75% 2.81
 
 
 
 
27% 80.2 0.4% 23.2
KBR KBR -0.1 -1% 44% 3.10
 
 
 
 
93% 40.6 1.5% 6.0
K Kellogg -1.7 -12% 17% 1.58
 
 
 
 
86% 80.7 3.1% 14.3
KMPR Kemper Corp 12.1 33% 97% 2.63
 
 
 
 
77% 22.4 1.2% 23.3
KMT Kennametal 11.2 52% 74% 3.04
 
 
 
 
57% 37.8 1.8% 18.5
KDP Keurig Dr Pepper 16.9 52% 44% 1.75
 
 
 
 
86% 41.2 2.6% 3.9
KEY KeyCorp 15.0 62% 46% 2.18
 
 
 
 
64% 307.2 3.3% 15.7
KEYS Keysight Technologies 23.7 79% 55% 2.11
 
 
 
 
82% 97.9 0.0% 51.1
KRC Kilroy Realty -3.3 -22% 19% 1.62
 
 
 
 
47% 29.1 2.6% 44.2
KMB Kimberly-Clark 1.8 8% 22% 1.44
 
 
 
 
63% 183.8 3.5% 23.2
KIM Kimco Realty 1.4 10% 23% 1.97
 
 
 
 
46% 31.1 6.8% 29.5
KMI Kinder Morgan -0.5 -6% 24% 2.92
 
 
 
 
62% 273.9 4.5% 0.0
KGC Kinross Gold 1.7 9% 138% 4.53
 
 
 
 
13% 29.1 5.4% 9.7
KEX Kirby -2.8 -15% 44% 2.45
 
 
 
 
54% 23.2 0.0% 14.7
KL Kirkland Lake Gold 22.5 63% 229% 4.29
 
 
 
 
57% 58.8 0.5% 18.5
KKR KKR Cl A 15.9 81% 44% 2.39
 
 
 
 
95% 315.7 2.4% 13.0
KNX Knight-Swift Transportation Holding 5.9 36% 44% 2.64
 
 
 
 
25% 69.6 0.7% 10.1
KSS Kohl's 11.8 54% 84% 3.25
 
 
 
 
83% 195.5 3.3% 13.1
PHG Koninklijke Philips ADR 11.0 40% 39% 1.78
 
 
 
 
95% 21.8 2.1% 28.0
KFY Korn/Ferry International 13.5 49% 84% 2.87
 
 
 
 
36% 30.3 0.8% 42.8
KOS Kosmos Energy -8.5 -73% 77% 4.33
 
 
 
 
95% 29.4 0.0% 0.0
KR Kroger -1.8 -13% 35% 2.52
 
 
 
 
76% 308.1 1.9% 6.7
LLL L3 Technologies 16.8 54% 38% 1.63
 
 
 
 
76% 73.3 1.5% 25.6
LH Laboratory of America Holdings 4.9 23% 26% 1.64
 
 
 
 
52% 123.9 0.0% 13.6
LPI Laredo Petroleum -2.7 -29% 93% 5.32
 
 
 
 
23% 32.9 0.0% 3.9
LHO LaSalle Hotel Properties 6.0 30% 42% 2.30
 
 
 
 
85% 23.7 2.6% 61.0
LVS Las Vegas Sands 7.4 30% 57% 2.45
 
 
 
 
6% 191.8 5.0% 12.6
LAZ Lazard 8.2 53% 40% 2.61
 
 
 
 
35% 25.1 3.6% 19.9
LB L Brands -3.7 -69% 18% 3.07
 
 
 
 
11% 164.0 8.0% 9.5
LEA Lear Corp. 5.3 22% 45% 2.12
 
 
 
 
5% 128.8 1.8% 7.9
LEG Leggett&Platt -0.4 -3% 15% 1.64
 
 
 
 
42% 33.4 3.4% 21.6
LM Legg Mason -2.6 -33% 17% 2.36
 
 
 
 
12% 22.5 4.3% 8.0
LDOS Leidos Holdings 18.3 48% 63% 1.98
 
 
 
 
71% 77.3 1.9% 23.7
LEN Lennar Cl A 1.5 14% 21% 2.14
 
 
 
 
1% 128.0 0.3% 12.8
LII Lennox International 11.2 43% 34% 1.72
 
 
 
 
77% 72.4 1.2% 28.1
LSI Life Storage 7.6 28% 33% 1.66
 
 
 
 
70% 42.3 4.2% 34.2
LNC Lincoln National 5.7 24% 54% 2.43
 
 
 
 
30% 65.7 1.9% 7.7
LAD Lithia Motors Cl A -4.4 -39% 33% 2.81
 
 
 
 
13% 25.1 1.4% 8.4
LYV Live Nation Entertainment 11.1 37% 57% 2.16
 
 
 
 
91% 75.2 0.0% 0.0
LMT Lockheed Martin 10.6 45% 23% 1.40
 
 
 
 
64% 362.2 2.4% 37.3
L Loews 5.0 46% 10% 1.33
 
 
 
 
68% 68.5 0.5% 14.6
LPX Louisiana-Pacific 8.0 42% 46% 2.48
 
 
 
 
38% 41.4 1.9% 8.3
LOW Lowe's 3.4 15% 35% 1.95
 
 
 
 
94% 529.0 1.7% 24.1
LYB LyondellBasell Industries 2.5 14% 34% 2.18
 
 
 
 
32% 174.9 3.8% 7.1
MAC Macerich -4.8 -58% 12% 1.88
 
 
 
 
16% 35.4 5.4% 101.2
MIC Macquarie Infrastructure 2.5 26% 27% 2.74
 
 
 
 
27% 23.3 8.6% 8.2
M Macy's 0.3 2% 69% 3.38
 
 
 
 
71% 203.5 4.4% 6.4
MSG Madison Square Garden 25.9 85% 45% 1.87
 
 
 
 
79% 29.0 0.0% 51.2
MMP Magellan Midstream Partners -2.3 -19% 22% 2.10
 
 
 
 
64% 41.9 5.6% 18.1
MGA Magna International 3.9 22% 38% 2.34
 
 
 
 
26% 50.6 2.4% 8.5
MNK Mallinckrodt 1.8 21% 65% 4.66
 
 
 
 
65% 55.1 0.0% 1.6
MAN ManpowerGroup 6.3 34% 40% 2.34
 
 
 
 
7% 63.7 2.4% 9.6
MRO Marathon Oil 4.4 27% 108% 4.31
 
 
 
 
96% 381.6 0.9% 0.0
MPC Marathon Petroleum 8.7 38% 65% 2.75
 
 
 
 
98% 556.6 2.1% 10.5
MKL Markel 5.6 41% 13% 1.35
 
 
 
 
86% 36.0 0.0% 44.1
VAC Marriott Vacations Worldwide 15.6 54% 74% 2.58
 
 
 
 
19% 45.8 1.4% 16.3
MMC Marsh&McLennan 13.7 59% 20% 1.25
 
 
 
 
73% 89.8 1.9% 26.7
MLM Martin Marietta Materials 3.5 17% 46% 2.39
 
 
 
 
5% 87.4 1.0% 16.7
MAS Masco 0.5 3% 29% 1.92
 
 
 
 
18% 76.1 1.1% 20.0
MTZ MasTec 11.1 43% 103% 3.32
 
 
 
 
36% 29.4 0.0% 11.2
MA Mastercard 29.7 70% 50% 1.59
 
 
 
 
98% 537.7 0.5% 49.6
MTDR Matador Resources 0.9 8% 69% 4.04
 
 
 
 
82% 41.2 0.0% 21.0
MMS Maximus 0.3 5% 14% 2.38
 
 
 
 
38% 22.6 0.3% 18.8
MKC McCormick 7.4 33% 25% 1.52
 
 
 
 
92% 69.9 1.6% 20.6
MDR McDermott International 0.4 3% 93% 4.24
 
 
 
 
20% 30.3 0.0% 9.4
MCD McDonald's 13.6 36% 37% 1.37
 
 
 
 
52% 645.2 2.8% 24.0
MCK McKesson -9.6 -140% 16% 2.46
 
 
 
 
18% 123.2 1.2% 0.0
MDU MDU Resources Group 4.9 14% 47% 1.76
 
 
 
 
30% 28.8 3.1% 17.5
MPW Medical Properties Trust 0.4 2% 37% 1.84
 
 
 
 
76% 33.3 6.9% 15.2
MED Medifast 49.1 111% 174% 3.29
 
 
 
 
76% 73.4 0.9% 63.7
MD Mednax -4.8 -69% 15% 2.36
 
 
 
 
28% 40.3 0.0% 12.7
MDT Medtronic 0.6 3% 21% 1.51
 
 
 
 
100% 543.5 2.0% 42.8
MRK Merck&Co 9.4 51% 22% 1.60
 
 
 
 
96% 392.0 2.7% 144.5
MET MetLife 5.8 39% 28% 2.14
 
 
 
 
41% 226.5 3.5% 11.7
MTD Mettler-Toledo International 19.3 51% 50% 1.71
 
 
 
 
44% 79.5 0.0% 41.2
MTG MGIC Investment 6.8 32% 60% 2.72
 
 
 
 
48% 22.0 0.0% 10.3
MGM MGM Resorts International 1.4 8% 44% 2.54
 
 
 
 
13% 148.7 1.7% 8.6
KORS Michael Kors Holdings 1.3 6% 79% 3.08
 
 
 
 
69% 424.2 0.0% 15.7
MAA Mid-America Apartment Communities 7.6 36% 24% 1.53
 
 
 
 
62% 68.5 3.7% 33.3
MHK Mohawk Industries 2.2 20% 19% 1.98
 
 
 
 
5% 163.2 0.0% 15.0
MOH Molina Healthcare 13.4 63% 84% 3.29
 
 
 
 
98% 187.2 0.0% 0.0
TAP Molson Coors Brewing Cl B 2.5 28% 14% 1.94
 
 
 
 
14% 152.3 2.6% 8.6
MCO Moody's 13.6 45% 41% 1.74
 
 
 
 
76% 137.3 1.0% 31.2
MS Morgan Stanley 14.3 53% 55% 2.26
 
 
 
 
17% 346.8 2.5% 12.2
MOS Mosaic -2.3 -21% 38% 3.10
 
 
 
 
94% 64.1 0.3% 0.0
MSI Motorola Solutions 18.0 53% 40% 1.59
 
 
 
 
99% 171.5 1.6% 0.0
MPLX MPLX 1.7 28% 28% 3.57
 
 
 
 
40% 32.7 7.2% 15.9
MSCI MSCI 39.9 74% 72% 1.73
 
 
 
 
91% 75.5 1.3% 42.9
MSM MSC Industrial Direct 9.0 27% 55% 1.99
 
 
 
 
53% 22.9 2.7% 15.6
MTB M&T Bank 10.4 43% 34% 1.81
 
 
 
 
39% 131.5 2.4% 17.5
MUR Murphy Oil -0.5 -4% 81% 4.01
 
 
 
 
72% 43.3 3.1% 0.0
MUSA Murphy USA 2.6 13% 42% 2.28
 
 
 
 
89% 27.3 0.0% 10.5
NBR Nabors Industries -4.2 -35% 95% 4.73
 
 
 
 
25% 88.8 3.9% 0.0
NFG National Fuel Gas 3.8 27% 20% 1.78
 
 
 
 
67% 22.5 3.0% 12.2
NGG National Grid ADR -4.8 -72% 7% 1.47
 
 
 
 
1% 27.9 8.0% 7.5
NOV National Oilwell Varco 0.1 1% 38% 2.96
 
 
 
 
68% 130.5 0.5% 0.0
NNN National Retail Properties 7.5 26% 34% 1.60
 
 
 
 
72% 35.6 4.6% 31.6
NCR NCR -0.5 -3% 53% 2.74
 
 
 
 
20% 23.3 0.0% 0.0
NWL Newell Brands -3.9 -48% 27% 2.98
 
 
 
 
1% 321.5 4.5% 4.8
NFX Newfield Exploration -3.9 -31% 56% 3.51
 
 
 
 
56% 81.5 0.0% 15.4
NEM Newmont Mining 15.0 52% 100% 3.08
 
 
 
 
15% 226.5 1.8% 104.6
EDU New Oriental Education&Technology G 20.3 53% 141% 3.18
 
 
 
 
14% 48.2 0.0% 38.8
NEWR New Relic 15.6 46% 122% 3.13
 
 
 
 
72% 77.1 0.0% 0.0
NRZ New Residential Investment 19.5 70% 48% 2.04
 
 
 
 
85% 65.0 11.0% 4.6
NYCB New York Community Bancorp -2.4 -38% 9% 1.85
 
 
 
 
3% 69.1 6.5% 12.1
NYT New York Times Cl A 14.9 45% 63% 2.15
 
 
 
 
61% 35.0 0.7% 191.7
NEE NextEra Energy 17.7 48% 33% 1.31
 
 
 
 
78% 312.7 2.6% 9.8
NLSN Nielsen Holdings -1.3 -36% 8% 2.44
 
 
 
 
31% 72.3 5.2% 26.1
NKE Nike Cl B 2.3 11% 34% 1.98
 
 
 
 
95% 727.2 1.0% 73.3
NI NiSource 11.8 34% 40% 1.57
 
 
 
 
50% 74.0 3.1% 33.3
NE Noble -3.0 -35% 78% 5.16
 
 
 
 
97% 50.3 0.0% 0.0
NBL Noble Energy -0.3 -2% 41% 3.09
 
 
 
 
49% 111.0 1.4% 17.0
NOK Nokia ADR -2.5 -16% 40% 2.60
 
 
 
 
55% 32.8 4.0% 0.0
JWN Nordstrom -3.2 -24% 47% 3.11
 
 
 
 
78% 98.8 2.5% 19.8
NSC Norfolk Southern 17.7 58% 56% 2.12
 
 
 
 
93% 275.6 1.8% 9.1
NOC Northrop Grumman 18.2 50% 40% 1.50
 
 
 
 
33% 241.2 1.6% 23.9
NCLH Norwegian Cruise Line Holdings 1.0 10% 28% 2.71
 
 
 
 
72% 89.2 0.0% 15.7
NVS Novartis ADR -1.2 -11% 11% 1.42
 
 
 
 
59% 151.3 3.4% 14.5
NVO Novo Nordisk ADR -4.8 -30% 30% 2.13
 
 
 
 
26% 59.0 1.0% 18.7
NRG NRG Energy 8.8 37% 124% 3.81
 
 
 
 
96% 100.8 0.3% 0.0
NUE Nucor 7.1 33% 47% 2.35
 
 
 
 
60% 85.0 2.4% 12.2
NUS Nu Skin Enterprises Cl A 13.8 57% 81% 3.01
 
 
 
 
89% 22.5 1.7% 32.5
NS NuSTAR Energy 0.5 4% 53% 3.16
 
 
 
 
35% 22.0 8.9% 18.7
NVR NVR 14.3 43% 56% 2.01
 
 
 
 
1% 76.8 0.0% 16.6
OAS Oasis Petroleum -3.8 -30% 155% 5.93
 
 
 
 
96% 128.6 0.0% 0.0
OXY Occidental Petroleum 6.1 27% 36% 1.92
 
 
 
 
73% 354.0 3.9% 27.7
OII Oceaneering International -8.5 -103% 33% 3.33
 
 
 
 
92% 40.0 2.2% 30.8
OGE OGE Energy 6.7 28% 26% 1.51
 
 
 
 
85% 34.2 3.6% 11.3
ORI Old Republic International 8.0 39% 22% 1.52
 
 
 
 
87% 32.1 3.5% 12.2
OLN Olin 5.1 23% 80% 3.13
 
 
 
 
4% 51.4 2.9% 7.5
OHI Omega Healthcare Investors -6.1 -43% 22% 1.91
 
 
 
 
84% 44.7 8.2% 77.8
OMC Omnicom Group 0.8 7% 14% 1.62
 
 
 
 
27% 138.9 3.4% 14.2
OGS ONE Gas 15.7 43% 42% 1.57
 
 
 
 
95% 38.6 2.2% 24.4
OKE ONEOK 11.8 40% 104% 3.10
 
 
 
 
82% 218.7 4.9% 35.5
ORCL Oracle 1.7 13% 18% 1.71
 
 
 
 
79% 1174.8 1.5% 55.1
OSK Oshkosh 7.0 24% 75% 2.62
 
 
 
 
21% 44.8 1.3% 13.4
OC Owens Corning 6.9 28% 44% 2.09
 
 
 
 
2% 83.7 1.5% 20.8
OI Owens-Illinois 2.4 20% 33% 2.66
 
 
 
 
36% 21.8 0.0% 23.3
PKG Packaging of America 16.1 50% 56% 2.05
 
 
 
 
36% 109.5 2.7% 15.0
PANW Palo Alto Networks 2.0 13% 57% 3.09
 
 
 
 
91% 229.5 0.0% 0.0
PAM Pampa Energia ADR 15.4 61% 124% 3.71
 
 
 
 
23% 21.7 0.0% 37.8
P Pandora Media -3.1 -29% 80% 4.69
 
 
 
 
82% 656.3 0.0% 0.0
PH Parker Hannifin 12.4 42% 43% 1.83
 
 
 
 
62% 189.6 1.6% 24.2
PE Parsley Energy Cl A 9.9 46% 90% 3.40
 
 
 
 
69% 144.2 0.0% 32.6
PAYC Paycom Software 24.4 84% 118% 3.34
 
 
 
 
90% 76.9 0.0% 87.6
PBF PBF Energy 1.9 8% 108% 3.52
 
 
 
 
82% 70.1 2.5% 6.4
PEB Pebblebrook Hotel Trust 6.2 38% 34% 2.30
 
 
 
 
41% 46.8 4.2% 23.4
PAG Penske Automotive Group 1.2 7% 44% 2.58
 
 
 
 
60% 20.4 2.9% 6.4
PNR Pentair -7.8 -68% 28% 2.53
 
 
 
 
31% 38.7 1.6% 16.7
PEN Penumbra 21.3 75% 119% 3.41
 
 
 
 
82% 25.7 0.0% 194.7
PKI PerkinElmer 14.9 62% 33% 1.77
 
 
 
 
96% 38.1 0.3% 72.9
PRGO Perrigo -0.3 -9% 11% 2.90
 
 
 
 
17% 65.1 1.1% 43.6
PBR Petroleo Brasileiro ADR 3.6 17% 162% 4.64
 
 
 
 
29% 229.2 0.0% 22.2
PBRA Petroleo Brasileiro ADR A 6.2 31% 179% 5.09
 
 
 
 
30% 45.7 0.0% 19.0
PFE Pfizer 6.0 37% 17% 1.42
 
 
 
 
95% 708.4 3.1% 11.8
PCG PG&E 3.4 29% 17% 1.88
 
 
 
 
28% 185.1 0.0% 192.8
PM Philip Morris International 0.3 1% 29% 1.60
 
 
 
 
14% 620.1 5.6% 19.8
PSX Phillips 66 13.3 47% 38% 1.76
 
 
 
 
70% 275.2 2.8% 9.6
PF Pinnacle Foods 7.4 32% 31% 1.73
 
 
 
 
78% 74.2 2.0% 13.2
PNW Pinnacle West Capital 8.2 37% 21% 1.34
 
 
 
 
31% 61.3 3.5% 19.1
PXD Pioneer Natural Resources 3.1 16% 56% 2.76
 
 
 
 
47% 292.9 0.2% 33.8
PAA Plains All American Pipeline 3.5 30% 62% 3.88
 
 
 
 
63% 56.7 5.0% 41.7
PAGP Plains GP Holdings 1.2 12% 64% 4.25
 
 
 
 
56% 39.7 5.1% 0.0
PLNT Planet Fitness Cl A 25.0 67% 105% 2.74
 
 
 
 
88% 47.2 0.0% 76.0
PLT Plantronics 5.8 26% 61% 2.68
 
 
 
 
45% 41.8 1.0% 0.0
PAH Platform Specialty Products 1.8 18% 62% 4.17
 
 
 
 
81% 26.0 0.0% 0.0
PNC PNC Financial Services Group 15.5 49% 42% 1.71
 
 
 
 
33% 231.9 2.7% 12.3
PII Polaris Industries 5.0 39% 37% 2.80
 
 
 
 
10% 51.8 2.3% 25.9
POST Post Holdings 1.7 9% 36% 2.25
 
 
 
 
96% 119.9 0.0% 15.5
PPG PPG Industries -4.4 -34% 17% 1.69
 
 
 
 
57% 257.8 1.7% 19.5
PPL PPL 2.1 12% 19% 1.44
 
 
 
 
29% 80.4 5.6% 14.6
PX Praxair 7.7 38% 23% 1.56
 
 
 
 
86% 249.7 2.0% 34.2
PRI Primerica 25.3 70% 79% 2.35
 
 
 
 
86% 38.1 0.8% 14.1
PG Procter&Gamble 6.3 31% 16% 1.16
 
 
 
 
59% 504.4 3.4% 23.0
PGR Progressive Corp 35.3 69% 50% 1.39
 
 
 
 
96% 112.1 1.6% 18.7
PLD Prologis 10.6 34% 39% 1.64
 
 
 
 
81% 193.7 2.9% 19.0
PB Prosperity Bancshares 2.6 12% 49% 2.40
 
 
 
 
59% 30.4 2.0% 17.1
PRLB Proto Labs 12.1 43% 90% 2.94
 
 
 
 
90% 30.0 0.0% 66.9
PRU Prudential Financial 5.0 23% 37% 2.04
 
 
 
 
32% 223.8 3.5% 6.0
PEG Public Service Enterprise Group 3.8 17% 23% 1.41
 
 
 
 
72% 86.5 3.5% 12.1
PSA Public Storage -1.5 -8% 23% 1.61
 
 
 
 
39% 177.2 4.0% 28.1
PHM PulteGroup 9.6 41% 44% 2.16
 
 
 
 
1% 159.2 1.4% 10.1
PVH PVH Corp. 6.3 26% 59% 2.49
 
 
 
 
41% 155.2 0.1% 15.9
PYX Pyxus International -10.2 -89% 132% 5.78
 
 
 
 
84% 28.8 0.0% 2.9
QEP QEP Resources -3.5 -27% 91% 4.50
 
 
 
 
64% 39.4 0.0% 0.0
QGEN Qiagen 8.0 42% 35% 2.10
 
 
 
 
78% 21.0 0.0% 113.4
PWR Quanta Services 4.1 20% 51% 2.51
 
 
 
 
27% 47.3 0.0% 17.2
DGX Quest Diagnostics 10.1 33% 35% 1.57
 
 
 
 
66% 136.1 1.9% 18.5
RL Ralph Lauren Cl A 2.2 12% 57% 2.84
 
 
 
 
79% 81.7 1.9% 52.3
RRC Range Resources -4.1 -48% 54% 4.22
 
 
 
 
63% 107.3 0.5% 69.7
RJF Raymond James Financial 8.7 31% 52% 2.13
 
 
 
 
57% 65.6 1.3% 17.7
RTN Raytheon 23.8 60% 41% 1.44
 
 
 
 
46% 161.2 1.7% 24.4
RLGY Realogy Holdings 0.5 6% 19% 2.49
 
 
 
 
5% 66.6 1.8% 6.7
O Realty Income -1.1 -4% 32% 1.62
 
 
 
 
74% 96.4 4.7% 48.2
RHT Red Hat 11.2 36% 62% 2.24
 
 
 
 
41% 298.8 0.0% 88.7
REG Regency Centers -0.6 -4% 20% 1.56
 
 
 
 
58% 73.3 3.5% 49.3
RF Regions Financial 16.1 49% 70% 2.33
 
 
 
 
84% 152.8 2.9% 16.2
RGA Reinsurance Group of America 12.6 42% 34% 1.53
 
 
 
 
45% 32.4 1.6% 5.5
RS Reliance Steel&Aluminum 8.5 36% 46% 2.19
 
 
 
 
52% 24.9 2.3% 7.9
RNR RenaissanceRe Holdings 6.4 35% 18% 1.43
 
 
 
 
73% 25.8 1.0% 0.0
RSG Republic Services 23.2 72% 25% 1.16
 
 
 
 
87% 81.1 2.0% 18.1
RMD ResMed 20.8 62% 52% 1.90
 
 
 
 
98% 45.6 1.3% 52.1
QSR Restaurant Brands International 9.6 38% 43% 2.02
 
 
 
 
37% 49.0 3.1% 30.1
RPAI Retail Properties of America -1.3 -13% 13% 1.70
 
 
 
 
47% 25.9 5.4% 0.0
REXR Rexford Industrial Realty 31.9 58% 64% 1.58
 
 
 
 
79% 40.1 2.0% 85.2
RH RH 9.4 56% 178% 5.57
 
 
 
 
68% 123.2 0.0% 33.4
RNG RingCentral Cl A 24.0 64% 145% 3.27
 
 
 
 
88% 47.7 0.0% 0.0
RIO Rio Tinto ADR 6.0 29% 65% 2.90
 
 
 
 
39% 126.4 4.9% 9.3
RAD Rite Aid -2.0 -54% 31% 4.96
 
 
 
 
1% 26.5 0.0% 0.0
RLJ RLJ Lodging Trust -8.4 -75% 21% 2.14
 
 
 
 
72% 32.9 5.9% 55.6
RHI Robert Half International 13.0 53% 49% 2.24
 
 
 
 
73% 68.8 1.6% 26.1
ROK Rockwell Automation 11.7 43% 41% 1.87
 
 
 
 
68% 160.3 1.9% 62.7
COL Rockwell Collins 17.8 56% 33% 1.47
 
 
 
 
83% 122.4 0.9% 23.1
ROG Rogers 8.4 27% 106% 3.06
 
 
 
 
57% 21.0 0.0% 36.9
ROL Rollins Inc. 29.7 75% 46% 1.59
 
 
 
 
88% 61.9 0.9% 67.8
ROP Roper Technologies 13.7 44% 34% 1.53
 
 
 
 
82% 170.7 0.6% 29.0
RDC Rowan Cos. -16.2 -125% 83% 4.26
 
 
 
 
97% 134.9 0.0% 0.0
RY Royal Bank of Canada 10.2 41% 24% 1.40
 
 
 
 
50% 46.2 3.7% 12.8
RCL Royal Caribbean Cruises 4.2 24% 44% 2.56
 
 
 
 
84% 188.5 2.2% 16.2
RDSB Royal Dutch Shell ADR B 15.7 64% 42% 2.03
 
 
 
 
56% 88.9 5.4% 14.8
RDSA Royal Dutch Shell ADR Cl A 9.2 52% 29% 1.96
 
 
 
 
60% 190.8 5.5% 14.4
RES RPC 5.5 33% 80% 3.65
 
 
 
 
20% 20.2 2.5% 15.2
RPM RPM International 0.3 1% 33% 1.68
 
 
 
 
96% 61.1 1.9% 26.8
R Ryder System 0.5 3% 35% 2.60
 
 
 
 
29% 22.9 3.0% 5.0
RHP Ryman Hospitality Properties 15.7 56% 41% 1.84
 
 
 
 
87% 21.9 3.9% 24.8
CRM Salesforce.com 19.7 71% 52% 2.15
 
 
 
 
100% 750.4 0.0% 157.2
SBH Sally Beauty Holdings -0.3 -5% 21% 2.85
 
 
 
 
69% 22.3 0.0% 9.7
SNY Sanofi ADR 0.0 0% 14% 1.68
 
 
 
 
45% 53.2 4.1% 28.0
SAP SAP ADR 15.6 44% 39% 1.53
 
 
 
 
97% 51.8 1.4% 28.7
SCG Scana 3.9 37% 24% 2.41
 
 
 
 
6% 33.9 1.4% 0.0
SLB Schlumberger -4.6 -54% 13% 1.92
 
 
 
 
11% 511.9 3.3% 0.0
SAIC Science Applications International 15.1 49% 70% 2.42
 
 
 
 
51% 22.0 1.6% 18.0
SMG Scotts Miracle-Gro 6.6 30% 33% 1.85
 
 
 
 
15% 33.4 2.8% 29.8
SA Seabridge Gold 5.0 33% 110% 4.52
 
 
 
 
79% 23.4 0.0% 0.0
SEE Sealed Air -2.1 -41% 8% 1.88
 
 
 
 
27% 70.1 1.5% 0.0
SSW Seaspan -2.1 -18% 58% 3.69
 
 
 
 
49% 24.3 6.2% 6.2
SEAS SeaWorld Entertainment 6.2 24% 90% 3.03
 
 
 
 
88% 47.3 1.3% 0.0
SRE Sempra Energy -2.8 -18% 18% 1.62
 
 
 
 
49% 126.7 3.2% 0.0
ST Sensata Technologies Holding 4.9 53% 18% 2.20
 
 
 
 
37% 60.2 0.0% 0.0
SCI Service International 12.4 56% 26% 1.58
 
 
 
 
95% 67.1 1.6% 17.1
SERV ServiceMaster Global Holdings 9.5 41% 38% 1.99
 
 
 
 
94% 74.3 0.0% 15.9
NOW ServiceNow 18.4 63% 87% 2.82
 
 
 
 
86% 391.9 0.0% 0.0
SHAK Shake Shack Cl A 0.2 1% 60% 3.24
 
 
 
 
70% 21.8 0.0% 1953.0
SHW Sherwin-Williams 10.1 34% 41% 1.77
 
 
 
 
90% 397.5 0.7% 23.8
SHOP Shopify Cl A 19.8 59% 169% 3.76
 
 
 
 
83% 144.0 0.0% 0.0
SIG Signet Jewelers -1.4 -17% 43% 3.87
 
 
 
 
70% 93.5 2.3% 0.0
SPG Simon Property Group 0.4 3% 15% 1.62
 
 
 
 
77% 208.2 4.5% 26.0
SIX Six Flags Entertainment 4.9 20% 38% 1.88
 
 
 
 
73% 75.6 4.5% 20.4
SKX Skechers USA Cl A -4.4 -55% 55% 4.46
 
 
 
 
17% 40.3 0.0% 22.6
SKY Skyline Champion 10.0 40% 326% 6.14
 
 
 
 
78% 37.6 0.0% 31.8
SLG SL Green Realty -7.0 -85% 11% 1.75
 
 
 
 
48% 56.8 3.3% 32.6
SM SM Energy 3.7 28% 171% 6.21
 
 
 
 
98% 98.2 0.3% 16.6
SNA Snap-On -13.4 -91% 20% 1.78
 
 
 
 
92% 74.1 1.8% 17.8
SQM Sociedad Quimica y Minera De Chile 21.7 65% 116% 3.08
 
 
 
 
29% 21.2 2.1% 26.4
SON Sonoco Products 4.7 20% 25% 1.47
 
 
 
 
82% 20.2 2.9% 23.6
SNE Sony ADR 13.6 47% 68% 2.47
 
 
 
 
87% 71.9 0.0% 12.9
SO Southern -5.5 -34% 14% 1.27
 
 
 
 
13% 375.5 5.5% 18.9
SCCO Southern Copper 13.6 51% 62% 2.44
 
 
 
 
26% 27.0 3.7% 33.7
SJI South Jersey Industries 6.2 21% 44% 1.88
 
 
 
 
97% 26.7 3.1% 0.0
LUV Southwest Airlines 0.6 2% 54% 2.31
 
 
 
 
71% 273.8 1.0% 10.2
SWN Southwestern Energy -0.5 -6% 85% 5.48
 
 
 
 
70% 87.8 0.0% 5.4
SPGI S&P Global 18.9 44% 57% 1.71
 
 
 
 
89% 143.2 1.0% 33.0
SPR Spirit AeroSystems Holdings Cl A 11.5 42% 55% 2.25
 
 
 
 
58% 60.9 0.5% 19.6
SAVE Spirit Airlines -8.4 -59% 55% 3.24
 
 
 
 
81% 56.2 0.0% 11.6
SRC Spirit Realty Capital 2.2 14% 33% 2.31
 
 
 
 
75% 49.0 6.2% 77.8
S Sprint 1.4 9% 99% 4.25
 
 
 
 
45% 54.4 0.0% 3.5
STAG STAG Industrial 4.6 13% 48% 1.73
 
 
 
 
75% 22.6 5.2% 48.1
SWK Stanley Black&Decker 2.9 12% 30% 1.65
 
 
 
 
45% 351.8 1.7% 22.7
STWD Starwood Property Trust 5.0 22% 19% 1.27
 
 
 
 
68% 44.6 8.8% 15.0
STT State Street 7.1 33% 39% 2.10
 
 
 
 
15% 153.9 2.2% 14.4
SCS Steelcase -6.3 -102% 19% 2.88
 
 
 
 
91% 31.6 2.9% 24.4
STE Steris 12.3 38% 42% 1.68
 
 
 
 
90% 30.9 1.2% 32.2
STL Sterling Bancorp 11.9 51% 42% 2.11
 
 
 
 
25% 52.7 1.2% 20.7
STM STMicroelectronics 17.5 46% 126% 2.99
 
 
 
 
18% 71.0 1.3% 16.1
STOR STORE Capital 10.0 33% 41% 1.75
 
 
 
 
77% 44.3 4.7% 38.5
SYK Stryker 14.1 51% 31% 1.53
 
 
 
 
91% 209.6 1.1% 62.3
SUM Summit Materials Cl A 2.0 15% 46% 3.15
 
 
 
 
2% 42.4 0.0% 20.4
SUI Sun Communities 14.0 61% 22% 1.38
 
 
 
 
90% 37.7 2.8% 98.3
SU Suncor Energy 6.3 29% 43% 2.22
 
 
 
 
73% 130.9 0.0% 18.7
SHO Sunstone Hotel Investors -0.3 -1% 28% 1.96
 
 
 
 
63% 25.2 1.2% 36.9
STI SunTrust Banks 12.8 45% 49% 2.03
 
 
 
 
73% 150.4 2.9% 13.2
SPN Superior Energy Services -8.7 -107% 66% 4.83
 
 
 
 
43% 23.1 3.3% 0.0
SYF Synchrony Financial -8.5 -54% 35% 2.39
 
 
 
 
37% 112.7 2.5% 11.2
SNX SYNNEX 2.3 14% 37% 2.38
 
 
 
 
3% 26.9 1.5% 13.0
SNV Synovus Financial 11.9 47% 41% 1.96
 
 
 
 
26% 53.8 2.1% 17.1
SYY Sysco 29.6 89% 37% 1.52
 
 
 
 
87% 144.6 2.0% 26.9
DATA Tableau Software 9.5 65% 82% 3.99
 
 
 
 
86% 77.6 0.0% 0.0
TLRD Tailored Brands 5.0 36% 146% 5.49
 
 
 
 
53% 26.6 2.9% 12.7
TSM Taiwan Semiconductor Manufacturing 26.3 71% 54% 1.85
 
 
 
 
85% 365.3 3.0% 19.8
TAL TAL Education Group ADR 29.1 67% 186% 3.45
 
 
 
 
7% 77.4 0.0% 66.3
TGE Tallgrass Energy -5.4 -38% 68% 3.69
 
 
 
 
47% 52.6 8.8% 0.0
SKT Tanger Factory Outlet Centers -4.4 -41% 17% 1.96
 
 
 
 
37% 58.9 6.3% 35.0
TPR Tapestry 9.8 36% 61% 2.40
 
 
 
 
63% 126.0 2.7% 36.0
TRGP Targa Resources 5.8 36% 101% 4.22
 
 
 
 
94% 141.9 6.5% 121.1
TGT Target 2.5 12% 39% 2.17
 
 
 
 
91% 280.0 2.9% 15.3
TTM Tata Motors ADR -0.4 -2% 52% 2.75
 
 
 
 
1% 35.1 0.1% 18.3
TCO Taubman Centers -5.7 -43% 20% 1.88
 
 
 
 
64% 41.6 4.5% 61.8
TCF TCF Financial 16.9 51% 67% 2.24
 
 
 
 
78% 21.8 2.4% 15.6
TECK Teck Resources Cl B 4.6 19% 231% 5.25
 
 
 
 
43% 57.1 0.6% 6.7
TEL TE Connectivity 8.5 33% 32% 1.65
 
 
 
 
35% 151.0 1.9% 24.0
TDOC Teladoc Health 18.1 80% 167% 4.60
 
 
 
 
95% 110.8 0.0% 0.0
TDY Teledyne Technologies 32.0 77% 61% 1.84
 
 
 
 
92% 27.7 0.0% 31.0
TFX Teleflex 21.1 60% 54% 1.92
 
 
 
 
68% 83.6 0.5% 145.4
TPX Tempur Sealy International -16.6 -158% 46% 3.50
 
 
 
 
46% 42.6 0.0% 20.9
TS Tenaris ADR 3.2 15% 56% 2.64
 
 
 
 
48% 31.2 3.4% 28.3
THC Tenet Healthcare 3.7 31% 98% 4.83
 
 
 
 
59% 20.4 0.0% 0.0
TDC Teradata 7.1 54% 36% 2.66
 
 
 
 
53% 24.1 0.0% 0.0
TER Teradyne 17.8 59% 71% 2.46
 
 
 
 
34% 55.7 0.9% 41.3
TEX Terex 0.2 1% 90% 3.73
 
 
 
 
39% 30.7 1.0% 26.4
TEVA Teva Pharmaceutical Industries ADR 3.7 42% 42% 3.65
 
 
 
 
86% 211.4 1.4% 0.0
TXT Textron 10.5 44% 37% 1.89
 
 
 
 
94% 59.6 0.1% 39.9
TMO Thermo Fisher Scientific 15.4 61% 31% 1.65
 
 
 
 
96% 239.1 0.3% 40.9
TRI Thomson Reuters 5.0 43% 11% 1.41
 
 
 
 
74% 167.2 3.0% 27.2
THO Thor Industries 10.7 34% 85% 2.68
 
 
 
 
2% 189.7 1.7% 10.7
TIF Tiffany& 14.6 56% 53% 2.26
 
 
 
 
70% 135.6 1.8% 34.8
TKR Timken 7.4 38% 46% 2.47
 
 
 
 
70% 23.2 2.2% 15.9
TJX TJX 11.4 51% 27% 1.61
 
 
 
 
95% 259.5 0.7% 23.5
TOL Toll Brothers 6.3 44% 32% 2.40
 
 
 
 
9% 82.4 1.3% 8.8
TMK Torchmark 7.9 35% 22% 1.39
 
 
 
 
64% 40.6 0.7% 6.7
TTC Toro 12.6 37% 44% 1.68
 
 
 
 
46% 20.7 1.3% 25.1
TD Toronto-Dominion Bank 14.0 47% 26% 1.30
 
 
 
 
91% 103.2 3.4% 13.4
TOT Total ADR 1.9 18% 15% 1.86
 
 
 
 
88% 177.1 4.6% 16.3
TSS Total System Services 11.9 36% 53% 1.95
 
 
 
 
94% 83.2 0.5% 27.9
TRP TransCanada 6.4 27% 34% 1.82
 
 
 
 
16% 40.5 5.2% 15.4
TDG TransDigm Group 9.0 33% 47% 2.04
 
 
 
 
90% 51.0 0.0% 26.4
RIG Transocean -4.9 -44% 76% 4.43
 
 
 
 
90% 315.2 0.0% 0.0
TRU TransUnion 27.1 63% 82% 2.17
 
 
 
 
83% 192.0 0.4% 31.8
TRV Travelers Cos. 2.3 17% 12% 1.37
 
 
 
 
41% 133.0 2.3% 18.0
THS TreeHouse Foods -5.8 -55% 37% 3.08
 
 
 
 
46% 28.8 0.0% 0.0
TREX Trex 31.3 98% 128% 3.32
 
 
 
 
77% 25.7 0.0% 39.7
TRCO Tribune Media Cl A 0.1 1% 36% 2.43
 
 
 
 
51% 29.3 2.6% 6.2
TNET TriNet Group 22.2 65% 109% 2.92
 
 
 
 
76% 21.1 0.0% 17.4
TRN Trinity Industries 9.4 49% 59% 2.87
 
 
 
 
78% 45.9 1.4% 8.2
TPH TRI Pointe Group 4.3 33% 34% 2.61
 
 
 
 
4% 24.6 0.0% 7.9
TROX Tronox Cl A 7.0 49% 224% 6.79
 
 
 
 
3% 21.7 1.4% 0.0
TUP Tupperware Brands -8.1 -64% 35% 2.71
 
 
 
 
6% 23.3 8.2% 0.0
TWTR Twitter 8.2 52% 108% 4.41
 
 
 
 
39% 548.6 0.0% 95.3
TWO Two Harbors Investment 11.7 48% 25% 1.46
 
 
 
 
21% 25.1 12.3% 4.1
TYL Tyler Technologies 5.3 20% 47% 2.10
 
 
 
 
92% 37.7 0.0% 55.3
TSN Tyson Foods Cl A 13.1 40% 59% 2.10
 
 
 
 
15% 114.2 2.0% 7.7
UDR UDR 3.1 30% 11% 1.49
 
 
 
 
87% 72.4 3.2% 148.5
UGI UGI 9.6 30% 34% 1.47
 
 
 
 
91% 30.1 1.9% 13.8
UAA Under Armour Cl A 1.5 20% 39% 3.80
 
 
 
 
70% 98.3 0.0% 0.0
UN Unilever ADR 2.8 10% 35% 1.71
 
 
 
 
41% 41.5 3.3% 21.5
UL Unilever ADR 5.5 22% 33% 1.69
 
 
 
 
46% 42.0 3.3% 21.2
UNP Union Pacific 13.5 51% 39% 1.85
 
 
 
 
96% 802.0 2.0% 11.3
UIS Unisys 3.2 19% 112% 4.34
 
 
 
 
97% 22.0 0.0% 34.3
UNH UnitedHealth Group 29.2 75% 46% 1.60
 
 
 
 
96% 589.6 1.4% 22.3
UPS United Parcel Service Cl B -0.2 -1% 14% 1.40
 
 
 
 
47% 213.4 3.1% 19.6
URI United Rentals 7.9 30% 101% 3.25
 
 
 
 
62% 122.2 0.0% 9.3
UNG United States Natural Gas Fund -3.6 -62% 20% 3.05
 
 
 
 
67% 69.7 0.0% 0.0
USO United States Oil Fund -1.0 -8% 37% 2.73
 
 
 
 
98% 372.8 0.0% 0.0
X United States Steel 3.7 18% 202% 5.41
 
 
 
 
25% 171.1 0.7% 9.7
UTX United Technologies 6.6 36% 18% 1.40
 
 
 
 
87% 345.8 2.0% 22.1
UNVR Univar 9.4 45% 55% 2.61
 
 
 
 
78% 48.6 0.0% 23.0
UHS Universal Health Services Cl B -0.3 -3% 18% 2.21
 
 
 
 
85% 47.0 0.3% 14.9
UNM Unum Group 2.9 13% 43% 2.21
 
 
 
 
22% 119.8 2.6% 8.3
UE Urban Edge Properties -0.8 -6% 20% 1.78
 
 
 
 
33% 22.0 4.1% 32.4
USB U.S. Bancorp 4.9 32% 16% 1.49
 
 
 
 
59% 246.4 2.7% 14.2
USG USG 9.6 43% 65% 2.75
 
 
 
 
98% 27.5 0.0% 63.2
SLCA U.S. Silica Holdings 2.2 12% 133% 4.55
 
 
 
 
5% 28.5 1.3% 10.1
MTN Vail Resorts 40.1 77% 70% 1.75
 
 
 
 
82% 105.3 2.1% 29.3
VALE Vale ADR 10.6 48% 164% 4.62
 
 
 
 
92% 220.9 0.6% 16.3
VLO Valero Energy 13.2 38% 70% 2.24
 
 
 
 
77% 348.2 2.8% 11.1
VLY Valley National Bancorp 4.6 24% 29% 1.88
 
 
 
 
36% 20.6 3.7% 21.0
VAR Varian Medical Systems 5.2 26% 28% 1.82
 
 
 
 
44% 51.8 0.0% 90.8
VEEV Veeva Systems Cl A 32.8 86% 110% 2.76
 
 
 
 
95% 159.7 0.0% 100.1
VTR Ventas -2.8 -12% 34% 1.81
 
 
 
 
40% 138.1 5.8% 36.2
VER VEREIT -2.0 -10% 27% 1.78
 
 
 
 
41% 44.8 7.5% 0.0
VZ Verizon Communications 9.2 43% 22% 1.44
 
 
 
 
84% 730.8 4.5% 7.1
VFC VF 8.6 39% 37% 2.01
 
 
 
 
84% 133.2 2.0% 51.5
VIPS Vipshop Holdings ADR -14.6 -128% 90% 4.78
 
 
 
 
2% 74.2 0.0% 11.6
V VISA Cl A 22.8 72% 37% 1.59
 
 
 
 
98% 892.8 0.6% 37.7
VMW VMware 20.5 70% 80% 2.68
 
 
 
 
80% 126.2 0.0% 40.1
VNO Vornado Realty Trust -3.9 -50% 11% 1.81
 
 
 
 
58% 55.2 3.4% 157.0
VOYA Voya Financial 14.2 59% 53% 2.38
 
 
 
 
71% 55.6 0.1% 0.0
VMC Vulcan Materials -0.2 -1% 30% 2.25
 
 
 
 
24% 123.5 1.0% 23.8
WNC Wabash National 10.0 54% 65% 3.08
 
 
 
 
14% 21.7 1.6% 9.4
WBC WABCO Holdings 4.9 31% 27% 2.05
 
 
 
 
14% 30.6 0.0% 14.3
WAB Wabtec 0.8 4% 44% 2.22
 
 
 
 
79% 74.7 0.5% 35.3
WMT Walmart 6.8 26% 35% 1.75
 
 
 
 
54% 467.8 2.2% 54.6
DIS Walt Disney -2.1 -15% 15% 1.45
 
 
 
 
76% 1007.9 1.5% 14.2
WCN Waste Connections 23.3 55% 54% 1.68
 
 
 
 
88% 37.5 0.7% 30.0
WM Waste Management 21.8 70% 25% 1.19
 
 
 
 
86% 100.3 2.1% 18.1
WAT Waters 6.8 29% 32% 1.74
 
 
 
 
45% 60.2 0.0% 312.1
WSO Watsco 6.0 32% 25% 1.73
 
 
 
 
54% 35.5 3.3% 28.5
W Wayfair Cl A 11.3 54% 143% 4.41
 
 
 
 
86% 149.6 0.0% 0.0
WFT Weatherford International -4.4 -120% 37% 5.45
 
 
 
 
23% 66.7 0.0% 0.0
WBS Webster Financial 16.0 58% 53% 2.19
 
 
 
 
55% 24.1 2.2% 19.6
WEC WEC Energy Group 4.8 19% 24% 1.33
 
 
 
 
70% 98.5 3.3% 16.7
WTW Weight Watchers International 9.7 57% 343% 7.75
 
 
 
 
49% 124.5 0.0% 23.3
WRI Weingarten Realty Investors -1.9 -13% 17% 1.64
 
 
 
 
42% 20.2 5.4% 26.8
WCG WellCare Health Plans 44.8 101% 93% 2.31
 
 
 
 
95% 213.0 0.0% 28.6
WFC Wells Fargo -2.2 -15% 20% 1.78
 
 
 
 
25% 985.9 3.2% 13.8
WELL Welltower -3.5 -17% 28% 1.78
 
 
 
 
64% 137.9 5.4% 162.4
WAL Western Alliance Bancorp. 10.6 40% 54% 2.25
 
 
 
 
64% 50.3 0.0% 16.5
WES Western Gas Partners -0.9 -6% 53% 3.03
 
 
 
 
28% 48.4 8.6% 46.0
WU Western Union -0.4 -5% 10% 1.70
 
 
 
 
10% 77.3 4.1% 0.0
WLK Westlake Chemical 9.7 34% 75% 2.63
 
 
 
 
14% 72.4 1.2% 7.1
WST West Pharmaceutical Services 17.9 54% 52% 1.93
 
 
 
 
96% 65.7 0.5% 61.4
WRK WestRock 6.4 42% 35% 2.43
 
 
 
 
14% 81.5 3.1% 7.9
WEX WEX 16.4 48% 72% 2.30
 
 
 
 
93% 51.1 0.0% 42.4
WY Weyerhaeuser -6.0 -39% 21% 1.77
 
 
 
 
2% 144.2 4.1% 25.3
WPM Wheaton Precious Metals 4.3 21% 85% 3.34
 
 
 
 
20% 43.6 2.2% 23.6
WHR Whirlpool -5.9 -57% 22% 2.33
 
 
 
 
1% 108.6 3.8% 0.0
WLL Whiting Petroleum -0.5 -4% 173% 6.75
 
 
 
 
86% 151.6 0.0% 0.0
WMB Williams 0.5 6% 66% 4.48
 
 
 
 
37% 301.3 4.9% 11.4
WSM Williams-Sonoma 3.1 32% 27% 2.72
 
 
 
 
72% 71.6 2.6% 20.9
WP Worldpay 20.1 82% 37% 1.88
 
 
 
 
91% 137.1 0.0% 0.0
WWE World Wrestling Entertainment Cl A 43.6 96% 136% 2.83
 
 
 
 
99% 80.8 0.5% 146.8
WPC W. P. Carey -5.7 -29% 19% 1.40
 
 
 
 
42% 40.8 6.3% 37.7
WPX WPX Energy 2.8 16% 157% 5.19
 
 
 
 
92% 91.6 0.0% 0.0
WRB W.R. Berkley 10.7 51% 18% 1.27
 
 
 
 
84% 27.7 0.8% 15.1
GRA W.R. Grace -1.2 -34% 6% 1.95
 
 
 
 
75% 31.1 1.3% 660.4
WTI W&T Offshore 4.5 30% 197% 6.19
 
 
 
 
84% 32.2 0.0% 13.7
GWW W.W. Grainger 6.6 20% 72% 2.36
 
 
 
 
91% 150.0 1.5% 25.8
WYND Wyndham Destinations 3.3 15% 36% 1.98
 
 
 
 
14% 64.0 3.9% 6.9
XRX Xerox -7.8 -134% 13% 2.43
 
 
 
 
27% 67.4 3.7% 65.4
XPO XPO Logistics 16.3 62% 128% 3.69
 
 
 
 
94% 75.6 0.0% 33.2
XYL Xylem 28.6 60% 60% 1.66
 
 
 
 
88% 54.7 1.1% 39.1
AUY Yamana Gold 2.1 12% 143% 4.81
 
 
 
 
14% 22.2 0.8% 0.0
YELP Yelp -2.0 -11% 108% 4.04
 
 
 
 
80% 56.9 0.0% 27.7
YUM Yum! Brands 8.1 41% 28% 1.81
 
 
 
 
97% 123.1 1.6% 19.1
ZAYO Zayo Group Holdings 3.7 24% 25% 1.97
 
 
 
 
27% 71.9 0.0% 84.7
ZEN Zendesk 22.0 74% 121% 3.35
 
 
 
 
92% 69.9 0.0% 0.0
ZBH Zimmer Biomet Holdings -8.5 -53% 24% 1.84
 
 
 
 
89% 81.7 0.7% 15.6
ZTS Zoetis 14.1 46% 42% 1.75
 
 
 
 
87% 130.2 0.6% 39.3
TWOU 2U 11.0 36% 122% 3.33
 
 
 
 
54% 38.5 0.0% 0.0
FOXA 21st Century Fox Cl A 7.1 21% 57% 2.04
 
 
 
 
80% 903.4 0.8% 18.8
FOX 21st Century Fox Cl B 5.1 16% 55% 2.01
 
 
 
 
80% 165.3 0.8% 18.6
ABMD Abiomed 29.0 84% 135% 3.27
 
 
 
 
89% 414.2 0.0% 117.2
ACHC Acadia Healthcare -2.7 -32% 33% 3.28
 
 
 
 
42% 34.3 0.0% 14.0
ACAD ACADIA Pharmaceuticals -10.1 -134% 73% 5.30
 
 
 
 
25% 64.9 0.0% 0.0
XLRN Acceleron Pharma 1.2 10% 101% 4.94
 
 
 
 
94% 33.2 0.0% 0.0
ATVI Activision Blizzard 15.6 50% 79% 2.56
 
 
 
 
94% 450.1 0.4% 182.6
ACXM Acxiom Holdings 20.0 92% 63% 2.76
 
 
 
 
99% 38.0 0.0% 196.4
ADBE Adobe Systems 33.9 77% 76% 2.04
 
 
 
 
90% 671.7 0.0% 54.6
AEIS Advanced Energy Industries 19.8 56% 95% 2.65
 
 
 
 
5% 25.8 0.0% 14.7
AERI Aerie Pharmaceuticals 10.9 61% 165% 5.19
 
 
 
 
43% 24.5 0.0% 0.0
AVAV AeroVironment 26.5 86% 134% 3.48
 
 
 
 
82% 42.4 0.0% 59.8
AGNC AGNC Investment 5.3 23% 19% 1.22
 
 
 
 
23% 79.4 11.5% 5.4
AKAM Akamai Technologies -2.8 -16% 57% 2.96
 
 
 
 
72% 90.7 0.0% 71.4
AKRX Akorn -4.1 -56% 68% 5.21
 
 
 
 
10% 22.7 0.0% 0.0
ALRM Alarm.Com Holdings 29.6 85% 129% 3.19
 
 
 
 
91% 20.4 0.0% 75.6
ALXN Alexion Pharmaceuticals -7.0 -100% 26% 3.17
 
 
 
 
62% 449.0 0.0% 0.0
ALGN Align Technology 43.1 83% 151% 2.79
 
 
 
 
98% 179.9 0.0% 107.8
ALGT Allegiant Travel -5.2 -47% 33% 2.84
 
 
 
 
15% 24.0 2.2% 9.7
ALNY Alnylam Pharmaceuticals -1.8 -16% 128% 5.73
 
 
 
 
9% 45.6 0.0% 0.0
GOOGL Alphabet Cl A 15.4 62% 32% 1.70
 
 
 
 
70% 1783.2 0.0% 51.1
GOOG Alphabet Cl C 19.1 74% 34% 1.72
 
 
 
 
72% 1405.6 0.0% 50.8
AABA Altaba 9.3 29% 68% 2.30
 
 
 
 
24% 358.7 0.0% 2.6
AIMC Altra Industrial Motion 5.9 23% 52% 2.22
 
 
 
 
31% 139.2 1.6% 23.1
AMRN Amarin ADR 0.2 15% 87% 15.69
 
 
 
 
99% 1987.2 0.0% 0.0
AMZN Amazon.com 44.3 88% 97% 2.19
 
 
 
 
90% 7913.6 0.0% 153.5
AMCX AMC Networks Cl A -7.1 -78% 21% 2.42
 
 
 
 
80% 22.9 0.0% 8.1
DOX Amdocs 1.5 25% 5% 1.29
 
 
 
 
50% 40.0 1.5% 23.1
AMED Amedisys 19.7 68% 106% 3.14
 
 
 
 
94% 35.3 0.0% 58.4
UHAL Amerco -5.0 -89% 9% 1.99
 
 
 
 
38% 20.5 0.0% 8.6
AAL American Airlines Group -1.5 -11% 40% 2.77
 
 
 
 
27% 288.3 1.0% 12.2
AOBC American Outdoor Brands -1.4 -13% 61% 4.04
 
 
 
 
84% 22.3 0.0% 27.6
AMGN Amgen 1.7 10% 25% 1.87
 
 
 
 
99% 455.5 2.6% 57.6
FOLD Amicus Therapeutics -0.3 -3% 120% 6.17
 
 
 
 
17% 23.5 0.0% 0.0
ADI Analog Devices 9.6 42% 38% 1.98
 
 
 
 
62% 238.9 2.0% 25.3
ANSS Ansys 21.6 68% 42% 1.72
 
 
 
 
90% 59.6 0.0% 52.1
AAPL Apple 29.1 88% 48% 1.82
 
 
 
 
89% 5827.4 1.3% 20.0
AMAT Applied Materials 19.9 49% 104% 2.59
 
 
 
 
7% 413.2 2.1% 11.9
AAOI Applied Optoelectronics 4.8 26% 228% 6.07
 
 
 
 
24% 24.6 0.0% 19.1
ACGL Arch Capital Group 6.1 27% 21% 1.33
 
 
 
 
49% 29.5 0.0% 24.0
ARNA Arena Pharmaceuticals 6.3 48% 133% 5.41
 
 
 
 
72% 23.1 0.0% 0.0
ARRY Array BioPharma 6.1 39% 211% 6.26
 
 
 
 
46% 44.0 0.0% 0.0
ARRS ARRIS International -7.9 -70% 27% 2.48
 
 
 
 
52% 20.9 0.0% 39.9
ARWR Arrowhead Pharmaceuticals 0.1 1% 278% 7.34
 
 
 
 
81% 24.4 0.0% 0.0
ASNA Ascena Retail Group 4.7 63% 77% 5.44
 
 
 
 
64% 36.3 0.0% 0.0
ASML ASML Holding 15.5 54% 57% 2.21
 
 
 
 
50% 97.0 0.9% 0.0
AZPN Aspen Technology 35.5 71% 77% 1.91
 
 
 
 
88% 37.8 0.0% 54.8
ATHN athenahealth 5.1 49% 49% 3.61
 
 
 
 
41% 109.3 0.0% 48.4
ADSK Autodesk 20.9 67% 95% 2.86
 
 
 
 
88% 238.3 0.0% 0.0
ADP Automatic Data Processing 14.5 55% 30% 1.55
 
 
 
 
96% 184.5 1.9% 40.8
CAR Avis Budget Group -3.7 -28% 92% 4.48
 
 
 
 
11% 50.5 0.0% 6.7
AVT Avnet -7.2 -53% 20% 1.82
 
 
 
 
79% 39.2 1.7% 0.0
AAXN Axon Enterprise 14.9 51% 139% 3.65
 
 
 
 
77% 38.7 0.0% 176.7
BIDU Baidu ADR -6.7 -30% 62% 2.70
 
 
 
 
25% 342.6 0.0% 20.5
OZK Bank OZK -2.9 -18% 41% 2.52
 
 
 
 
8% 32.7 2.0% 10.8
BZUN Baozun ADR 14.6 58% 278% 5.69
 
 
 
 
49% 47.7 0.0% 82.4
BECN Beacon Roofing Supply 2.8 17% 40% 2.52
 
 
 
 
8% 25.7 0.0% 31.5
BBBY Bed Bath&Beyond 0.0 0% 2% 2.89
 
 
 
 
31% 65.4 3.4% 6.7
BGCP BGC Partners Cl A 16.2 55% 47% 1.95
 
 
 
 
18% 21.2 6.2% 72.4
BIIB Biogen -0.2 -1% 37% 2.68
 
 
 
 
70% 327.4 0.0% 24.6
BMRN BioMarin Pharmaceutical -3.2 -54% 22% 3.14
 
 
 
 
72% 130.6 0.0% 0.0
TECH Bio-Techne 25.0 80% 45% 1.82
 
 
 
 
98% 49.3 0.6% 60.7
BJRI BJ's Restaurants 17.4 61% 73% 2.59
 
 
 
 
85% 27.6 0.6% 25.5
BLMN Bloomin' Brands -7.6 -45% 40% 2.48
 
 
 
 
41% 38.1 1.8% 16.9
BLUE bluebird bio 5.5 44% 151% 5.88
 
 
 
 
17% 67.5 0.0% 0.0
BPMC Blueprint Medicines 7.7 40% 162% 4.92
 
 
 
 
27% 27.1 0.0% 0.0
BKNG Booking Holdings 7.6 36% 39% 2.13
 
 
 
 
55% 847.7 0.0% 35.3
EPAY Bottomline Technologies 33.9 93% 81% 2.38
 
 
 
 
97% 22.0 0.0% 272.9
AVGO Broadcom 9.3 42% 55% 2.55
 
 
 
 
59% 1055.9 2.8% 9.2
BPY Brookfield Property Partners -3.2 -38% 10% 1.60
 
 
 
 
37% 55.5 6.1% 11.8
CA CA 16.0 81% 31% 1.92
 
 
 
 
99% 95.7 2.3% 39.8
CCMP Cabot Microelectronics 27.0 64% 80% 2.16
 
 
 
 
63% 24.6 1.5% 31.0
CDNS Cadence Design Systems 16.5 45% 55% 1.85
 
 
 
 
85% 44.2 0.0% 59.2
CZR Caesars Entertainment 1.5 17% 59% 4.32
 
 
 
 
31% 117.2 0.0% 0.0
CATM Cardtronics Cl A 10.6 62% 75% 3.49
 
 
 
 
74% 22.9 0.0% 0.0
CRZO Carrizo Oil&Gas -1.8 -15% 112% 5.15
 
 
 
 
71% 40.4 0.0% 82.1
CASY Casey's General Stores 3.3 28% 20% 2.02
 
 
 
 
95% 50.0 0.9% 14.6
CDK CDK Global 5.4 30% 22% 1.63
 
 
 
 
18% 60.0 1.0% 22.6
CDW CDW 28.0 89% 46% 1.83
 
 
 
 
94% 98.9 0.9% 22.1
CELG Celgene -1.5 -20% 19% 2.56
 
 
 
 
18% 229.4 0.0% 24.1
CSFL CenterState Bank 24.2 73% 52% 1.92
 
 
 
 
55% 34.5 1.4% 24.4
CENX Century Aluminum 3.3 22% 192% 6.07
 
 
 
 
6% 43.5 0.0% 15.1
CERN Cerner -6.2 -40% 26% 2.00
 
 
 
 
54% 84.6 0.0% 25.4
CHTR Charter Communications 8.0 34% 53% 2.40
 
 
 
 
53% 464.0 0.0% 8.8
GTLS Chart Industries 16.3 60% 130% 3.65
 
 
 
 
88% 26.9 0.0% 51.4
CHKP Check Point Software Technologies 4.6 20% 30% 1.72
 
 
 
 
91% 74.4 0.0% 23.6
CAKE Cheesecake Factory 1.9 11% 32% 2.15
 
 
 
 
61% 31.6 2.5% 17.7
PLCE Children's Place 13.0 49% 86% 2.96
 
 
 
 
40% 36.4 1.6% 30.3
CHRW C.H. Robinson Worldwide 0.8 3% 33% 1.67
 
 
 
 
83% 65.9 1.9% 23.7
CHDN Churchill Downs 16.1 41% 58% 1.85
 
 
 
 
65% 27.1 0.6% 22.7
CINF Cincinnati Financial 6.8 25% 28% 1.45
 
 
 
 
83% 39.1 2.7% 13.8
CTAS Cintas 30.9 71% 52% 1.60
 
 
 
 
92% 95.0 0.8% 30.2
CRUS Cirrus Logic 8.5 45% 80% 3.43
 
 
 
 
22% 29.9 0.0% 23.0
CSCO Cisco Systems 14.7 44% 44% 1.70
 
 
 
 
99% 906.1 2.7% 692.0
CTXS Citrix Systems 0.0 0% 31% 2.32
 
 
 
 
83% 170.0 0.0% 179.8
CME CME Group Cl A 26.6 79% 40% 1.59
 
 
 
 
94% 204.7 1.6% 13.5
CGNX Cognex 22.3 59% 114% 2.83
 
 
 
 
58% 78.5 0.3% 62.4
CTSH Cognizant Technology Solutions 4.3 30% 24% 1.99
 
 
 
 
49% 181.7 1.0% 31.3
COHR Coherent 15.1 48% 144% 3.57
 
 
 
 
24% 42.6 0.0% 19.0
CMCSA Comcast Cl A -0.7 -5% 17% 1.78
 
 
 
 
38% 2386.0 2.1% 7.0
CBSH Commerce Bancshares 17.5 61% 36% 1.68
 
 
 
 
78% 30.3 1.4% 19.6
COMM CommScope Holding -7.1 -48% 44% 2.81
 
 
 
 
25% 66.1 0.0% 29.0
CVLT CommVault Systems 7.5 24% 66% 2.30
 
 
 
 
85% 30.1 0.0% 0.0
CNAT Conatus Pharmaceuticals -15.8 -222% 215% 9.45
 
 
 
 
69% 20.7 0.0% 0.0
CPRT Copart 44.5 78% 85% 1.87
 
 
 
 
53% 228.2 0.0% 29.9
CSOD Cornerstone OnDemand 10.9 63% 59% 3.04
 
 
 
 
97% 24.2 0.0% 0.0
CSGP CoStar Group 17.1 44% 69% 2.07
 
 
 
 
84% 88.7 0.0% 85.2
COST Costco Wholesale 12.2 43% 32% 1.52
 
 
 
 
87% 348.9 1.0% 34.2
CBRL Cracker Barrel Old Country Store -0.4 -2% 25% 1.81
 
 
 
 
16% 60.9 3.4% 14.3
CACC Credit Acceptance 20.1 110% 65% 3.11
 
 
 
 
91% 57.7 0.0% 15.9
CREE Cree 5.2 24% 76% 3.09
 
 
 
 
58% 54.2 0.0% 0.0
CROX Crocs 9.4 52% 107% 4.10
 
 
 
 
95% 32.3 0.0% 356.3
CSX CSX 29.3 83% 80% 2.42
 
 
 
 
89% 281.8 1.2% 10.6
CTRP Ctrip.com International ADR -1.3 -7% 53% 2.81
 
 
 
 
11% 225.5 0.0% 29.0
CYBR CyberArk Software 4.6 28% 63% 3.23
 
 
 
 
86% 28.6 0.0% 130.2
CY Cypress Semiconductor 3.1 16% 63% 2.94
 
 
 
 
30% 132.9 2.8% 776.0
CONE CyrusOne 10.2 26% 67% 2.02
 
 
 
 
85% 77.2 2.8% 70.2
PLAY Dave&Buster's Entertainment 8.9 51% 62% 3.09
 
 
 
 
97% 49.4 0.0% 21.1
XRAY Dentsply Sirona -4.2 -52% 14% 2.00
 
 
 
 
2% 87.7 0.9% 0.0
DXCM DexCom 4.6 28% 101% 4.19
 
 
 
 
94% 199.2 0.0% 0.0
FANG Diamondback Energy 7.0 42% 57% 3.05
 
 
 
 
87% 289.8 0.4% 23.0
DISCA Discovery Series A -2.6 -24% 29% 2.65
 
 
 
 
96% 96.8 0.0% 0.0
DISCK Discovery Series C -1.7 -15% 29% 2.59
 
 
 
 
94% 95.9 0.0% 0.0
DISH DISH Network Cl A -0.5 -9% 16% 2.62
 
 
 
 
25% 120.6 0.0% 7.5
DLTR Dollar Tree -2.8 -13% 51% 2.47
 
 
 
 
17% 213.7 0.0% 11.9
DNKN Dunkin' Brands Group 6.3 26% 36% 1.85
 
 
 
 
83% 74.3 1.9% 18.3
EWBC East West Bancorp 8.5 32% 56% 2.29
 
 
 
 
33% 46.4 1.5% 15.7
EBAY eBay 3.6 18% 41% 2.29
 
 
 
 
6% 279.5 0.0% 0.0
ECHO Echo Global Logistics -4.2 -22% 79% 3.42
 
 
 
 
81% 36.6 0.0% 32.5
ERI Eldorado Resorts 32.5 77% 136% 2.95
 
 
 
 
94% 30.1 0.0% 21.3
EA Electronic Arts 11.5 43% 61% 2.39
 
 
 
 
30% 313.6 0.0% 51.7
ENTA Enanta Pharmaceuticals 11.5 53% 145% 4.37
 
 
 
 
52% 33.4 0.0% 21.6
ENDP Endo International 3.6 52% 81% 5.88
 
 
 
 
90% 27.7 0.0% 0.0
ENTG Entegris 19.3 64% 79% 2.60
 
 
 
 
24% 30.0 0.9% 35.1
EQIX Equinix 10.4 42% 36% 1.82
 
 
 
 
49% 193.2 2.1% 124.1
ESPR Esperion Therapeutics 2.7 26% 214% 7.85
 
 
 
 
20% 37.4 0.0% 0.0
ETFC E*TRADE Financial 17.7 52% 76% 2.38
 
 
 
 
52% 125.5 0.0% 19.5
ETSY Etsy 20.8 74% 171% 4.14
 
 
 
 
89% 83.0 0.0% 70.3
EEFT Euronet Worldwide -0.8 -5% 31% 2.29
 
 
 
 
92% 25.0 0.0% 37.9
EXEL Exelixis 10.7 44% 186% 4.66
 
 
 
 
6% 37.8 0.0% 16.4
EXPE Expedia Group 0.5 4% 30% 2.49
 
 
 
 
60% 233.1 1.0% 78.3
EXPD Expeditors International of Washing 8.5 51% 20% 1.59
 
 
 
 
72% 68.0 1.3% 23.1
ESRX Express Scripts Holding -3.9 -31% 22% 2.08
 
 
 
 
95% 348.7 0.0% 11.5
STAY Extended Stay America / ESH Hospit 7.3 42% 37% 2.32
 
 
 
 
56% 35.7 4.5% 45.0
FFIV F5 Networks 15.9 53% 54% 2.08
 
 
 
 
99% 78.5 0.0% 26.7
FB Facebook Cl A 15.3 68% 48% 2.31
 
 
 
 
24% 3029.8 0.0% 25.6
FAST Fastenal 7.3 27% 47% 2.06
 
 
 
 
82% 108.3 2.8% 24.2
FATE Fate Therapeutics 2.2 14% 232% 6.61
 
 
 
 
99% 28.6 0.0% 0.0
FGEN FibroGen 12.0 77% 139% 5.09
 
 
 
 
70% 24.2 0.0% 0.0
FITB Fifth Third Bancorp 9.1 34% 52% 2.20
 
 
 
 
26% 123.1 2.5% 7.7
FNSR Finisar 1.8 10% 97% 3.99
 
 
 
 
39% 20.4 0.0% 0.0
FEYE FireEye 2.8 38% 40% 3.91
 
 
 
 
52% 64.7 0.0% 0.0
FSLR First Solar 3.8 17% 113% 3.73
 
 
 
 
14% 36.8 0.0% 0.0
FISV Fiserv 14.0 54% 24% 1.32
 
 
 
 
96% 157.3 0.0% 23.6
FIVN Five9 28.8 74% 216% 3.95
 
 
 
 
79% 34.0 0.0% 0.0
FIVE Five Below 22.7 65% 111% 2.93
 
 
 
 
87% 112.1 0.0% 56.2
FLEX Flex Ltd 1.0 6% 30% 2.21
 
 
 
 
8% 36.3 0.0% 17.1
FLIR Flir Systems 29.5 95% 50% 1.95
 
 
 
 
89% 38.5 1.1% 68.6
FTNT Fortinet 18.9 69% 76% 2.70
 
 
 
 
93% 179.2 0.0% 174.5
FOSL Fossil Group 0.7 7% 164% 6.97
 
 
 
 
63% 22.5 0.0% 0.0
FOXF Fox Factory Holding 23.4 55% 119% 2.73
 
 
 
 
95% 24.6 0.0% 47.3
GLPI Gaming&Leisure Properties 3.5 10% 36% 1.39
 
 
 
 
36% 30.3 7.4% 19.5
GRMN Garmin 19.5 85% 41% 2.08
 
 
 
 
94% 59.4 3.0% 21.8
GHDX Genomic Health -0.6 -3% 88% 3.48
 
 
 
 
99% 21.8 0.0% 644.5
GNTX Gentex 5.9 26% 37% 1.97
 
 
 
 
56% 33.2 2.0% 14.2
GERN Geron 0.3 3% 133% 5.65
 
 
 
 
85% 73.5 0.0% 0.0
GIII G-III Apparel Group 3.7 34% 63% 4.05
 
 
 
 
80% 35.4 0.0% 22.3
GILD Gilead Sciences -1.6 -18% 16% 2.09
 
 
 
 
45% 363.9 3.0% 45.6
GBCI Glacier Bancorp 14.5 64% 40% 2.06
 
 
 
 
78% 20.0 2.4% 26.4
GBT Global Blood Therapeutics 2.5 24% 137% 6.18
 
 
 
 
32% 29.0 0.0% 0.0
GLNG Golar LNG 2.5 30% 82% 5.29
 
 
 
 
56% 44.5 1.8% 0.0
GT Goodyear Tire&Rubber -9.9 -100% 21% 2.32
 
 
 
 
20% 75.8 2.4% 22.1
LOPE Grand Canyon Education 34.7 74% 86% 2.13
 
 
 
 
68% 36.3 0.0% 23.6
GRPN Groupon -8.9 -74% 107% 5.09
 
 
 
 
2% 28.1 0.0% 0.0
GPOR Gulfport Energy -4.6 -84% 31% 3.99
 
 
 
 
43% 51.1 0.0% 5.3
GWPH GW Pharmaceuticals ADR -2.7 -31% 141% 6.89
 
 
 
 
90% 80.2 0.0% 0.0
HAIN Hain Celestial Group -8.0 -91% 27% 2.86
 
 
 
 
11% 44.3 0.0% 304.9
HAS Hasbro 2.3 11% 38% 2.18
 
 
 
 
89% 81.8 2.4% 65.2
HDS HD Supply Holdings 1.8 8% 50% 2.39
 
 
 
 
69% 67.0 0.0% 0.0
HCSG Healthcare Services Group 2.1 13% 26% 1.93
 
 
 
 
35% 29.3 1.8% 45.5
HQY HealthEquity 17.1 58% 117% 3.28
 
 
 
 
87% 42.9 0.0% 94.2
HIIQ Health Insurance Innovations Cl A 12.1 53% 280% 5.98
 
 
 
 
97% 21.3 0.0% 50.5
HELE Helen of Troy -6.0 -37% 30% 2.14
 
 
 
 
96% 23.9 0.0% 45.5
HSIC Henry Schein 2.7 16% 26% 1.89
 
 
 
 
88% 101.3 0.0% 30.3
HOLX Hologic -4.2 -47% 14% 1.96
 
 
 
 
56% 61.7 0.0% 0.0
HOPE Hope Bancorp 0.7 4% 37% 2.24
 
 
 
 
5% 37.9 3.4% 13.9
HTHT Huazhu Group ADR 21.6 60% 173% 3.67
 
 
 
 
22% 48.7 0.0% 58.0
HBAN Huntington Bancshares 6.8 30% 42% 2.13
 
 
 
 
77% 120.9 3.6% 13.4
IAC IAC/InterActiveCorp. 32.4 85% 99% 2.61
 
 
 
 
87% 201.4 0.0% 40.2
IBKC IBERIABANK 8.9 40% 42% 2.14
 
 
 
 
80% 31.2 1.8% 27.4
ICUI ICU Medical 27.8 72% 78% 2.26
 
 
 
 
64% 54.1 0.0% 67.6
IDXX IDEXX Laboratories 44.1 89% 95% 2.18
 
 
 
 
88% 79.4 0.0% 70.2
INFO IHS Markit 14.1 46% 38% 1.64
 
 
 
 
87% 150.0 0.0% 36.7
ILMN Illumina 13.4 73% 74% 3.33
 
 
 
 
99% 152.6 0.0% 81.8
IMMU Immunomedics 18.5 72% 300% 5.84
 
 
 
 
70% 24.7 0.0% 0.0
INCY Incyte -0.5 -5% 46% 3.75
 
 
 
 
11% 63.8 0.0% 0.0
INGN Inogen 35.5 95% 153% 3.35
 
 
 
 
82% 61.7 0.0% 176.9
INSM Insmed -3.7 -47% 141% 7.28
 
 
 
 
25% 23.5 0.0% 0.0
PODD Insulet 20.8 75% 113% 3.35
 
 
 
 
88% 30.5 0.0% 0.0
IART Integra LifeSciences Holdings 13.9 44% 55% 2.04
 
 
 
 
85% 35.8 0.0% 72.4
IDTI Integrated Device Technology 3.7 21% 66% 3.19
 
 
 
 
98% 109.8 0.0% 5167.0
INTC Intel 17.8 56% 53% 1.99
 
 
 
 
48% 739.3 2.6% 16.9
IBKR Interactive Brokers Group 8.1 25% 65% 2.24
 
 
 
 
38% 21.4 0.7% 36.2
ICPT Intercept Pharmaceuticals 2.1 25% 74% 5.08
 
 
 
 
91% 35.1 0.0% 0.0
INTU Intuit 29.9 75% 51% 1.68
 
 
 
 
88% 311.4 0.9% 47.4
ISRG Intuitive Surgical 42.5 76% 85% 1.88
 
 
 
 
98% 228.0 0.0% 83.8
IONS Ionis Pharmaceuticals -4.0 -41% 95% 5.32
 
 
 
 
43% 49.3 0.0% 0.0
IPGP IPG Photonics 10.0 34% 96% 2.99
 
 
 
 
10% 107.9 0.0% 22.8
IRBT iRobot 15.9 65% 128% 3.85
 
 
 
 
77% 71.7 0.0% 52.1
JKHY Jack Henry&Associates 30.9 79% 35% 1.29
 
 
 
 
93% 107.9 0.9% 32.8
JACK Jack in the Box 0.8 5% 37% 2.42
 
 
 
 
19% 48.5 1.9% 23.9
JAZZ Jazz Pharmaceuticals 0.4 3% 47% 2.66
 
 
 
 
63% 57.1 0.0% 23.1
JBHT J.B. Hunt Transport Services 9.6 32% 40% 1.73
 
 
 
 
64% 105.1 0.8% 17.6
JD JD.com ADR 5.0 26% 67% 3.10
 
 
 
 
0% 834.3 0.0% 0.0
JBLU JetBlue Airways -4.0 -45% 23% 2.59
 
 
 
 
40% 69.4 0.0% 7.7
KTWO K2M Group Holdings 4.7 44% 62% 4.02
 
 
 
 
98% 45.2 0.0% 0.0
KLAC KLA-Tencor 21.7 74% 64% 2.36
 
 
 
 
30% 101.7 2.9% 20.5
KLXI KLX 11.3 51% 66% 2.81
 
 
 
 
73% 35.2 0.0% 39.7
KHC Kraft Heinz 1.7 18% 13% 1.72
 
 
 
 
8% 257.0 4.4% 6.5
LAMR Lamar Advertising Cl A 5.1 20% 31% 1.60
 
 
 
 
85% 27.4 4.8% 25.3
LRCX Lam Research 17.7 50% 89% 2.57
 
 
 
 
7% 302.8 2.8% 11.6
LSTR Landstar System 17.2 65% 39% 1.86
 
 
 
 
78% 37.8 0.5% 22.4
TREE LendingTree 12.0 63% 145% 4.66
 
 
 
 
10% 33.7 0.0% 43.9
LHCG LHC Group 17.1 54% 82% 2.58
 
 
 
 
98% 28.9 0.0% 41.0
LBRDK Liberty Broadband Cl C 7.5 30% 44% 2.05
 
 
 
 
49% 52.9 0.0% 7.5
LBTYA Liberty Global Cl A -4.4 -113% 11% 2.66
 
 
 
 
18% 55.0 0.0% 0.0
LBTYK Liberty Global Cl C -4.2 -106% 10% 2.51
 
 
 
 
21% 100.6 0.0% 0.0
LGND Ligand Pharmaceuticals 25.4 93% 83% 2.85
 
 
 
 
97% 97.2 0.0% 55.4
LECO Lincoln Electric Holdings 12.5 52% 38% 1.94
 
 
 
 
74% 51.8 1.6% 24.6
LFUS Littelfuse 23.1 81% 62% 2.36
 
 
 
 
39% 38.2 0.8% 45.2
LKQ LKQ -1.9 -12% 28% 2.03
 
 
 
 
15% 78.6 0.0% 17.7
LOGM LogMeIn 6.5 32% 72% 3.09
 
 
 
 
17% 82.7 1.4% 33.2
LOXO Loxo Oncology 15.5 63% 242% 5.33
 
 
 
 
67% 48.6 0.0% 0.0
LPLA LPL Financial Holdings 7.5 36% 86% 3.34
 
 
 
 
67% 23.3 1.5% 17.9
LULU lululemon athletica 15.2 49% 107% 3.07
 
 
 
 
97% 163.8 0.0% 61.2
LITE Lumentum Holdings 12.7 51% 142% 4.02
 
 
 
 
62% 50.4 0.0% 16.7
MANH Manhattan Associates -4.7 -46% 29% 2.71
 
 
 
 
74% 71.4 0.0% 35.7
MKTX MarketAxess Holdings 14.7 44% 60% 2.11
 
 
 
 
22% 36.8 0.9% 44.7
MAR Marriott International 13.0 37% 52% 1.87
 
 
 
 
55% 188.0 1.3% 29.7
MRVL Marvell Technology Group 14.7 57% 77% 2.84
 
 
 
 
18% 161.3 1.3% 28.3
MASI Masimo 29.0 71% 84% 2.26
 
 
 
 
100% 50.9 0.0% 53.4
MAT Mattel 3.7 35% 41% 3.24
 
 
 
 
54% 40.4 0.0% 0.0
MXIM Maxim Integrated Products 12.8 57% 42% 2.15
 
 
 
 
47% 67.0 3.1% 36.6
MZOR Mazor Robotics ADR 18.4 68% 177% 4.33
 
 
 
 
48% 160.6 0.0% 0.0
MDSO Medidata Solutions 10.4 48% 74% 3.04
 
 
 
 
47% 41.0 0.0% 83.3
MLCO Melco Resorts&Entertainment ADR 6.2 33% 80% 3.42
 
 
 
 
15% 84.8 2.7% 25.4
MLNX Mellanox Technologies 15.5 52% 77% 2.61
 
 
 
 
72% 30.7 0.0% 74.7
MELI MercadoLibre 16.3 52% 126% 3.32
 
 
 
 
57% 336.9 0.0% 0.0
MEOH Methanex 9.7 45% 89% 3.37
 
 
 
 
96% 59.6 1.7% 17.3
MGPI MGP Ingredients 27.6 72% 161% 3.41
 
 
 
 
49% 30.0 0.4% 30.9
MIK Michaels Cos. -8.8 -73% 36% 2.82
 
 
 
 
8% 45.5 0.0% 9.1
MCHP Microchip Technology 17.1 55% 59% 2.17
 
 
 
 
15% 130.4 1.8% 196.0
MU Micron Technology 15.8 56% 150% 3.86
 
 
 
 
36% 1536.6 0.0% 3.9
MSFT Microsoft 26.8 64% 58% 1.78
 
 
 
 
99% 2772.9 1.6% 54.4
MIDD Middleby -2.1 -18% 25% 2.33
 
 
 
 
77% 50.7 0.0% 24.2
MB Mindbody 6.5 29% 103% 3.58
 
 
 
 
85% 50.6 0.0% 0.0
MKSI MKS Instruments 20.3 55% 97% 2.61
 
 
 
 
7% 20.5 1.0% 12.1
MOMO Momo ADR 0.3 2% 205% 5.48
 
 
 
 
72% 122.0 0.0% 22.4
MDLZ Mondelez International Cl A -2.9 -80% 5% 1.81
 
 
 
 
66% 189.7 2.4% 21.8
MPWR Monolithic Power Systems 24.2 66% 71% 2.19
 
 
 
 
62% 48.4 0.9% 71.8
MNST Monster Beverage -9.1 -48% 38% 2.25
 
 
 
 
47% 176.1 0.0% 36.7
MYL Mylan -6.8 -82% 27% 2.99
 
 
 
 
44% 92.8 0.0% 44.4
MYGN Myriad Genetics 9.9 55% 91% 3.77
 
 
 
 
85% 22.8 0.0% 24.2
NDAQ Nasdaq 21.2 65% 35% 1.49
 
 
 
 
72% 61.4 2.0% 20.1
NCMI National CineMedia -3.1 -24% 49% 3.25
 
 
 
 
98% 20.1 6.4% 100.8
NATI National Instruments 12.7 47% 42% 1.91
 
 
 
 
66% 22.5 1.9% 103.3
NAVI Navient -2.2 -16% 45% 2.98
 
 
 
 
61% 32.7 4.6% 12.7
NKTR Nektar Therapeutics 5.0 21% 238% 5.40
 
 
 
 
43% 170.3 0.0% 12.5
NEOG Neogen 20.7 57% 70% 2.18
 
 
 
 
80% 49.0 0.0% 73.1
NTAP NetApp 23.9 55% 101% 2.44
 
 
 
 
96% 196.0 1.9% 109.4
NTES Netease ADR 10.4 38% 105% 3.22
 
 
 
 
13% 139.8 1.2% 27.0
NFLX Netflix 22.5 70% 126% 3.27
 
 
 
 
78% 3378.1 0.0% 168.8
NBIX Neurocrine Biosciences 9.3 54% 109% 4.22
 
 
 
 
92% 87.3 0.0% 0.0
NWSA News Corp Cl A -6.4 -44% 27% 2.16
 
 
 
 
10% 44.7 1.6% 0.0
NXST Nexstar Media Group Cl A 3.5 17% 60% 2.79
 
 
 
 
77% 36.9 1.8% 7.0
NICE NICE ADR 16.3 64% 35% 1.75
 
 
 
 
84% 22.4 0.6% 42.9
NDSN Nordson 15.1 48% 62% 2.21
 
 
 
 
79% 23.4 1.0% 22.9
NTRS Northern Trust 8.6 41% 33% 1.94
 
 
 
 
62% 101.9 2.1% 17.6
NOVT Novanta 43.4 81% 135% 2.56
 
 
 
 
76% 21.4 0.0% 141.1
NVAX Novavax -7.2 -143% 113% 8.18
 
 
 
 
50% 33.8 0.0% 0.0
NUAN Nuance Communications -6.5 -56% 28% 2.48
 
 
 
 
72% 49.0 0.0% 0.0
NTRI Nutrisystem 4.6 21% 102% 3.62
 
 
 
 
33% 24.5 2.7% 20.8
NUVA NuVasive 4.1 20% 46% 2.44
 
 
 
 
86% 47.0 0.0% 86.6
NVDA NVIDIA 40.9 81% 221% 3.49
 
 
 
 
83% 1789.1 0.2% 38.8
NXPI NXP Semiconductors 0.9 10% 23% 2.72
 
 
 
 
16% 404.5 1.1% 32.4
ODFL Old Dominion Freight Line 17.4 43% 73% 2.10
 
 
 
 
81% 113.6 0.3% 22.8
OLLI Ollie's Bargain Outlet Holdings 29.3 69% 122% 2.76
 
 
 
 
98% 35.9 0.0% 41.2
OMCL Omnicell 18.4 63% 70% 2.49
 
 
 
 
91% 32.2 0.0% 69.4
ON ON Semiconductor 12.9 49% 83% 2.91
 
 
 
 
16% 67.0 0.0% 9.0
OPK OPKO Health -2.5 -29% 61% 4.54
 
 
 
 
32% 22.9 0.0% 0.0
ORLY O'Reilly Automotive 5.2 32% 34% 2.26
 
 
 
 
95% 137.3 0.0% 23.5
OSTK Overstock.com 0.1 1% 175% 5.47
 
 
 
 
6% 37.4 0.0% 0.0
PCAR Paccar 5.8 38% 26% 2.01
 
 
 
 
53% 119.8 1.6% 12.0
PACW PacWest Bancorp 1.3 7% 39% 2.20
 
 
 
 
54% 33.0 4.8% 15.0
PAAS Pan American Silver 4.7 21% 121% 3.91
 
 
 
 
19% 22.1 0.9% 15.2
PZZA Papa John's International 1.1 9% 36% 2.65
 
 
 
 
22% 54.2 1.9% 20.4
PEGI Pattern Energy Group -6.3 -38% 41% 2.53
 
 
 
 
39% 22.2 8.3% 16.4
PDCO Patterson -1.8 -74% 6% 2.52
 
 
 
 
24% 45.7 4.1% 14.0
PTEN Patterson-UTI Energy -3.7 -23% 83% 3.80
 
 
 
 
30% 39.2 0.9% 34.7
PAYX Paychex 9.6 31% 31% 1.42
 
 
 
 
94% 106.7 3.0% 28.9
PCTY Paylocity Holding 12.7 52% 98% 3.31
 
 
 
 
84% 28.0 0.0% 115.4
PYPL PayPal Holdings 24.5 72% 68% 2.23
 
 
 
 
87% 615.8 0.0% 53.7
PDCE PDC Energy 1.7 13% 57% 3.40
 
 
 
 
34% 50.3 0.0% 0.0
PENN Penn National Gaming 12.0 39% 79% 2.59
 
 
 
 
65% 22.2 0.0% 5.2
PBCT People's United Financial 0.8 5% 20% 1.63
 
 
 
 
7% 56.6 4.0% 15.0
PEP PepsiCo 1.6 13% 10% 1.14
 
 
 
 
61% 344.5 3.3% 35.0
POOL Pool 24.1 59% 53% 1.71
 
 
 
 
88% 38.5 1.1% 31.4
BPOP Popular 13.7 44% 64% 2.28
 
 
 
 
95% 31.9 1.9% 18.5
PTLA Portola Pharmaceuticals -1.8 -17% 116% 5.58
 
 
 
 
8% 21.8 0.0% 0.0
PRAH PRA Health Sciences 19.9 76% 67% 2.58
 
 
 
 
89% 55.7 0.0% 63.4
PINC Premier 7.0 54% 22% 2.02
 
 
 
 
91% 21.5 0.0% 0.0
PFG Principal Financial Group 10.3 49% 36% 2.02
 
 
 
 
27% 52.2 3.6% 6.8
PFPT Proofpoint 8.7 42% 74% 3.09
 
 
 
 
45% 73.6 0.0% 0.0
PTC PTC 24.1 59% 79% 2.19
 
 
 
 
93% 102.7 0.0% 215.5
PTCT PTC Therapeutics 2.0 23% 252% 9.17
 
 
 
 
82% 39.6 0.0% 0.0
QRVO Qorvo 1.7 12% 60% 3.37
 
 
 
 
62% 57.2 0.0% 0.0
QCOM Qualcomm -3.6 -19% 46% 2.48
 
 
 
 
90% 919.8 3.4% 0.0
QLYS Qualys 19.5 63% 109% 3.10
 
 
 
 
78% 24.4 0.0% 118.5
QDEL Quidel 23.1 76% 129% 3.43
 
 
 
 
70% 29.9 0.0% 136.5
QRTEA Qurate Retail Series A -3.6 -41% 21% 2.49
 
 
 
 
28% 61.2 0.0% 5.3
GOLD Randgold Resources ADR -0.9 -4% 67% 2.86
 
 
 
 
19% 344.4 2.9% 27.8
RPD Rapid7 7.8 42% 101% 3.92
 
 
 
 
89% 28.3 0.0% 0.0
RP RealPage 27.8 69% 90% 2.38
 
 
 
 
96% 39.7 0.0% 1591.3
REGN Regeneron Pharmaceuticals -8.6 -76% 34% 2.85
 
 
 
 
56% 142.1 0.0% 28.3
RGNX REGENXBIO 14.1 78% 209% 5.80
 
 
 
 
78% 33.9 0.0% 33.2
RGEN Repligen 8.2 50% 72% 3.49
 
 
 
 
87% 21.3 0.0% 105.9
ROIC Retail Opportunity Investment 3.6 22% 19% 1.60
 
 
 
 
52% 22.0 4.3% 55.3
ROST Ross Stores 17.6 56% 52% 1.99
 
 
 
 
96% 353.9 0.9% 24.0
RGLD Royal Gold 9.0 35% 100% 3.23
 
 
 
 
22% 48.5 1.3% 0.0
RYAAY Ryanair Holdings ADR 6.9 34% 39% 2.17
 
 
 
 
7% 22.3 0.0% 14.4
SBRA Sabra Healthcare REIT 8.7 38% 51% 2.40
 
 
 
 
88% 20.8 7.9% 10.9
SABR Sabre 1.6 15% 24% 2.32
 
 
 
 
89% 28.4 2.2% 20.2
SAGE Sage Therapeutics -3.0 -22% 204% 6.63
 
 
 
 
61% 46.6 0.0% 0.0
SAFM Sanderson Farms 15.4 54% 68% 2.49
 
 
 
 
7% 61.3 1.3% 13.1
SGMO Sangamo Therapeutics 4.8 36% 215% 6.92
 
 
 
 
29% 20.8 0.0% 0.0
SRPT Sarepta Therapeutics 7.0 56% 291% 8.36
 
 
 
 
82% 151.0 0.0% 0.0
SBAC SBA Communications 3.6 17% 34% 1.94
 
 
 
 
51% 92.3 0.0% 664.3
SGMS Scientific Games 9.5 38% 203% 4.87
 
 
 
 
5% 31.9 0.0% 0.0
STX Seagate Technology 5.2 24% 110% 3.78
 
 
 
 
55% 135.4 5.1% 12.1
SGEN Seattle Genetics 6.2 34% 83% 3.57
 
 
 
 
97% 67.2 0.0% 0.0
SEIC SEI Investments -1.8 -8% 37% 2.01
 
 
 
 
20% 63.8 1.0% 20.8
SMTC Semtech 22.3 67% 99% 2.82
 
 
 
 
88% 26.1 0.0% 78.0
SHPG Shire ADR -0.5 -5% 23% 2.50
 
 
 
 
93% 172.0 0.2% 11.1
SFLY Shutterfly -4.8 -15% 89% 2.76
 
 
 
 
48% 27.9 0.0% 71.9
SBNY Signature Bank -3.2 -22% 28% 2.21
 
 
 
 
11% 62.0 0.0% 14.6
SLAB Silicon Laboratories 17.8 60% 69% 2.44
 
 
 
 
52% 20.3 0.0% 74.8
SINA Sina 15.3 62% 99% 3.34
 
 
 
 
9% 36.8 0.0% 32.5
SBGI Sinclair Broadcast Group Cl A -4.9 -30% 48% 2.79
 
 
 
 
20% 24.1 2.6% 5.3
SIRI Sirius XM Holdings 12.6 49% 36% 1.77
 
 
 
 
43% 695.0 0.7% 36.8
SWKS Skyworks Solutions -0.1 -1% 40% 2.80
 
 
 
 
29% 158.3 1.6% 18.8
SLM SLM 9.9 50% 56% 2.75
 
 
 
 
77% 28.0 1.8% 15.0
SODA SodaStream International 32.8 82% 186% 3.60
 
 
 
 
100% 22.4 0.0% 36.2
ONCE Spark Therapeutics -1.1 -9% 152% 5.90
 
 
 
 
27% 24.0 0.0% 0.0
SPPI Spectrum Pharmaceuticals 4.1 22% 194% 5.49
 
 
 
 
44% 125.6 0.0% 0.0
SPLK Splunk 16.4 85% 79% 3.35
 
 
 
 
79% 218.4 0.0% 0.0
SFM Sprouts Farmers Market -1.6 -10% 51% 2.96
 
 
 
 
84% 53.4 0.0% 20.7
SSNC SS&C Technologies Holdings 7.5 34% 40% 2.10
 
 
 
 
75% 83.5 0.6% 53.1
STAA Staar Surgical 14.3 49% 181% 4.20
 
 
 
 
86% 30.6 0.0% 628.6
STMP Stamps.com 14.0 63% 143% 4.27
 
 
 
 
53% 52.1 0.0% 23.7
SBUX Starbucks -1.8 -36% 6% 1.63
 
 
 
 
64% 590.8 2.5% 17.8
TSG Stars Group 6.7 42% 92% 4.01
 
 
 
 
27% 21.4 0.0% 0.0
STLD Steel Dynamics 15.3 48% 89% 2.71
 
 
 
 
66% 105.8 1.7% 10.3
SRCL Stericycle -0.7 -43% 5% 2.65
 
 
 
 
19% 25.0 0.0% 36.1
SHOO Steven Madden 11.9 67% 35% 2.22
 
 
 
 
85% 36.1 1.4% 24.6
SIVB SVB Financial Group 22.1 75% 100% 3.03
 
 
 
 
92% 76.7 0.0% 24.6
SYMC Symantec 10.0 48% 53% 2.59
 
 
 
 
24% 468.6 1.4% 11.8
SYNH Syneos Health Cl A -10.0 -87% 54% 3.62
 
 
 
 
64% 23.2 0.0% 0.0
SNPS Synopsys 21.5 61% 40% 1.57
 
 
 
 
84% 122.8 0.0% 268.7
SYNT Syntel 26.6 127% 70% 3.00
 
 
 
 
100% 29.9 0.0% 19.2
TTWO Take-Two Interactive Software 34.1 78% 114% 2.61
 
 
 
 
92% 179.9 0.0% 85.9
TNDM Tandem Diabetes Care 4.6 44% 258% 8.55
 
 
 
 
84% 125.1 0.0% 0.0
AMTD TD Ameritrade Holding 10.3 35% 65% 2.34
 
 
 
 
51% 113.7 1.5% 25.2
ERIC Telefon L.M. Ericsson ADR -1.7 -15% 34% 2.84
 
 
 
 
100% 37.0 1.4% 0.0
TSRO TESARO 4.9 50% 169% 7.16
 
 
 
 
10% 29.7 0.0% 0.0
TSLA Tesla -4.6 -33% 62% 3.49
 
 
 
 
39% 1434.8 0.0% 0.0
TCBI Texas Capital Bancshares 6.4 23% 81% 2.80
 
 
 
 
35% 33.2 0.0% 18.3
TXN Texas Instruments 25.3 66% 59% 1.90
 
 
 
 
68% 334.5 2.3% 25.2
TXRH Texas Roadhouse 12.1 47% 52% 2.27
 
 
 
 
76% 85.5 1.5% 31.0
TMUS T-Mobile US 6.0 29% 39% 2.17
 
 
 
 
94% 156.3 0.0% 12.7
TSCO Tractor Supply -1.4 -8% 37% 2.26
 
 
 
 
96% 101.0 1.4% 23.5
TRMB Trimble 8.6 30% 67% 2.48
 
 
 
 
77% 59.6 0.0% 76.1
TRIP TripAdvisor -0.1 -1% 60% 3.66
 
 
 
 
66% 88.2 0.0% 0.0
TROW T. Rowe Price Group 9.1 27% 47% 1.80
 
 
 
 
60% 74.5 2.5% 17.2
UBNT Ubiquiti Networks 13.8 55% 95% 3.22
 
 
 
 
96% 41.8 1.0% 39.1
ULTA Ulta Beauty -0.5 -3% 54% 2.58
 
 
 
 
91% 227.2 0.0% 27.4
ULTI Ultimate Software Group 1.1 6% 41% 2.25
 
 
 
 
91% 67.2 0.0% 267.4
RARE Ultragenyx Pharmaceutical -0.4 -5% 74% 4.83
 
 
 
 
100% 34.4 0.0% 0.0
UAL United Continental Holdings 5.4 26% 61% 2.80
 
 
 
 
90% 299.5 0.0% 12.4
UNFI United Natural Foods -4.0 -39% 39% 3.24
 
 
 
 
15% 52.5 0.0% 9.8
UTHR United Therapeutics -8.2 -77% 35% 2.96
 
 
 
 
48% 25.6 0.0% 7.7
UNIT Uniti Group 1.0 4% 74% 2.90
 
 
 
 
72% 35.7 11.6% 345.0
OLED Universal Display 10.3 39% 164% 4.22
 
 
 
 
33% 87.4 0.2% 91.5
URBN Urban Outfitters 8.3 31% 113% 3.39
 
 
 
 
61% 101.5 0.0% 24.6
VRNS Varonis Systems 26.5 83% 135% 3.42
 
 
 
 
74% 22.9 0.0% 0.0
VSTM Verastem 11.9 92% 234% 7.32
 
 
 
 
81% 28.5 0.0% 0.0
VRNT Verint Systems 3.7 40% 21% 2.40
 
 
 
 
80% 22.7 0.0% 82.3
VRSN VeriSign 31.2 78% 55% 1.76
 
 
 
 
91% 127.6 0.0% 40.9
VRSK Verisk Analytics 6.6 31% 23% 1.51
 
 
 
 
93% 68.7 0.0% 33.0
VRTX Vertex Pharmaceuticals 8.9 47% 74% 3.28
 
 
 
 
91% 125.2 0.0% 114.6
VIAB Viacom Cl B -10.4 -120% 31% 3.12
 
 
 
 
78% 102.1 2.5% 6.6
VKTX Viking Therapeutics 5.5 73% 295% 10.77
 
 
 
 
79% 117.5 0.0% 0.0
VNOM Viper Energy Partners Un 24.8 87% 96% 3.01
 
 
 
 
96% 35.5 5.7% 18.1
VC Visteon 12.2 40% 59% 2.19
 
 
 
 
4% 51.8 0.0% 19.9
VOD Vodafone Group ADR -5.5 -59% 12% 1.72
 
 
 
 
13% 109.6 10.8% 22.1
WBA Walgreens Boots Alliance -0.3 -27% 2% 1.96
 
 
 
 
61% 240.0 2.4% 16.9
WB Weibo ADR 21.3 59% 232% 4.27
 
 
 
 
12% 85.9 0.0% 42.1
WEN Wendy's Co 15.8 54% 53% 2.09
 
 
 
 
73% 34.2 2.0% 19.2
WERN Werner Enterprises 4.1 26% 39% 2.54
 
 
 
 
19% 27.5 1.0% 11.2
WDC Western Digital 9.6 51% 72% 3.26
 
 
 
 
12% 325.5 3.3% 28.4
WLTW Willis Towers Watson 5.8 36% 19% 1.60
 
 
 
 
11% 88.1 1.7% 41.5
WTFC Wintrust Financial 15.5 57% 49% 2.12
 
 
 
 
59% 33.0 0.9% 17.1
WIX Wix.com 14.8 39% 178% 3.59
 
 
 
 
90% 62.2 0.0% 0.0
WDAY Workday 7.1 37% 61% 2.91
 
 
 
 
75% 190.1 0.0% 0.0
WYNN Wynn Resorts 7.8 37% 101% 3.67
 
 
 
 
8% 299.6 2.3% 26.6
XEL Xcel Energy 8.1 30% 24% 1.30
 
 
 
 
52% 121.6 3.2% 19.4
XNCR Xencor 10.7 58% 131% 4.53
 
 
 
 
82% 20.7 0.0% 0.0
XLNX Xilinx 13.6 61% 39% 2.06
 
 
 
 
96% 110.2 1.8% 38.1
YNDX Yandex 18.9 69% 110% 3.35
 
 
 
 
27% 75.6 0.0% 62.5
YY YY ADR 2.0 10% 117% 3.96
 
 
 
 
8% 55.4 0.0% 17.9
ZBRA Zebra Technologies Cl A 15.5 66% 84% 3.12
 
 
 
 
93% 35.8 0.0% 55.3
ZG Zillow Group Cl A 10.6 41% 91% 3.12
 
 
 
 
17% 20.1 0.0% 0.0
Z Zillow Group Cl C 12.0 47% 95% 3.21
 
 
 
 
17% 86.1 0.0% 0.0
ZION Zions Bancorp 11.7 37% 65% 2.28
 
 
 
 
54% 84.6 2.3% 16.0
ZNGA Zynga 5.8 31% 53% 2.76
 
 
 
 
53% 22.1 0.0% 101.0
LNG Cheniere Energy 3.8 26% 49% 3.03
 
 
 
 
94% 123.1 0.0% 93.0
NOG Northern Oil&Gas -13.2 -113% 211% 7.29
 
 
 
 
98% 26.0 0.0% 0.0
TRXC TransEnterix 2.7 25% 327% 9.45
 
 
 
 
100% 58.1 0.0% 0.0


Definition of Parameters:

Stk. Rank
A composite indicator that includes the Trend Quality Indicator, the 3-Yr Energy Indicator and other considerations, with the objective of ranking the "likely future value" of including a stock in a SectorSurfer Strategy. It does not directly indicate which stocks are hot to buy today, but rather indicates which stocks will likely make excellent candidates for SectorSurfer's selection algorithm. Make this your primary stock screening parameter. Please also view this Freshly Fit for Duty comment.


Trend Quality

A measure of the probability that a trend will continue from one month to the next. It is calculated over the most recent five years as the ratio of the sum of all actual monthly returns during months that SectorSurfer's trend indicator predicted would be positive, divided by the sum of all of the positive return amounts predicted.  Some stocks inherently have poor trend quality because they are thinly traded or have small capitalization and are easily buffeted by traders responding to economic, sector, or competitor headlines. Knowing whether a trend indication has meaning or is more likely irrelevant market noise is important to improving the batting average in stock selection. An example of a nice steady trend characteristic is Southern Company (SO), while others, such as Guess (GES), are fraught with regular sharp trend reversals that negate signal reliability.


3-Yr Excess

The relative recent price strength as measured by the cumulative returns in excess of the S&P 500 over the past three years. Calculations are based on the daily sum of the positive differences in the one-month-double-smoothed daily returns of each.  Companies that have outperformed the S&P500 index in recent periods have likely done so for a reason, and are more likely to do so again in the future. While many companies do well during an initial growth phase, most later go dormant. However, some do have additional growth phases. For example, while DELL was a rising star in the late 90s, it has since been dormant for over a decade and serves no purpose in a current SectorSurfer Stock Strategy. See example DELL chart.


Relative Volatility
The ratio of the stock's daily price volatility to the S&P500's daily price volatility, where volatility is measured by the standard deviation of the percentage change in daily price during the past three years. The daily volatility of the S&P500 typically runs about 1.2%. A stock with 2.5 times the daily volatility will show a value of 2.5 in the table. Volatility is a measure of market noise that reduces reliability of the trend signal. The higher the volatility, the more likely an erroneous head-fake signal will be generated — and as you know, having a reliable handoff of the baton in a relay race is critical. A relative volatility rating of about 1.5 or less is recommended.


Signature Ribbon
Signature RibbonThe Ribbon's three colored bars provide a visual means to help identify stocks of different character — meaning stocks that have poorly correlated price movements that would be likely to play well together in a SectorSurfer Strategy as outlined here. The annotated chart to the right demonstrates how to interpret the Signature Ribbon's three colored bars.

Along the top of the chart is a portion of the screener row for VIAB showing its green-black-blue ribbons on the right side. The three ribbons represent the returns from each of the prior three years. Each year is further broken down into thirds, represented by the three primary colors red, green, and blue, which are combined together to make one stripe. The color triangle below shows how the various colors combine. For example, blue plus red makes purple, red plus green makes yellow, and all of them together create white. Red represents performance during the first part of the year, green during the middle, and blue the end. Performance is measured relative to the S&P500 during the same interval.
Color Chart
The first bar in the Signature Ribbon is bright green, indicating that the middle of the first year performed much better than the S&P500, but there was no contribution during the first (red) or last (blue) portions of the year. During the second year, VIAB performs about the same as the S&P500, so neither red, green, nor blue have contributions, leaving the second ribbon black. In the final year, VIAB performs about as well as the S&P500 during the start of the year, so no contribution to red, but performance is much better than the S&P500 during the middle and end portions of the year, contributing both green and blue to produce the aqua colored third bar in the Signature Ribbon.

Use the Signature Ribbon as an quick guide for identifying uncorrelated candidates for your Strategy, but always be sure to examine the chart and other performance metrics of each before adding it as a participating member of your Strategy.


1-Yr Price Range
The current price as a percentage of the range between the 52-week high and the 52-week low. For example, if the current price is $80, the 52-week high was $100 and the 52-weeek low was $50 then the value = ($80 - $50) / ($100 - $50) = 60%. At a glance you will know if you are going to be bottom fishing or investing in something powering on to new highs.


Volume in $M/day
The daily traded volume of shares in millions of dollars. Thinly traded stocks are more likely to have poor trend characteristics and are more likely to have significant bid-ask spreads that degrade returns in actual trades. A checkbox is provided above to include or exclude stocks trading under $20 million per day. Note that stocks trading at about this level may, or may not, make this threshold from day-to-day because of its daily fluctuation in trading volume.


Dividend
The annualized amount paid to shareholders by the company as a percent of share price. In the absence of any capital gains, the dividend yield is the return on investment for a stock. However, in any trading system, eventually the stock is sold, capital gains come to roost, and the dividends taken along the way simply amount to selling a portion of the investment each time a dividend is distributed. However, stock prices used for charting and analysis are always dividend adjusted so that any analysis of the stock's price is as if the dividends were reinvested in more shares. Thus, dividends do not represent any additional return not already represented in the adjusted price history. While some believe that the mere fact a company is paying a dividend is an indication of company maturity and prudent management, others would argue it signals the doldrums as management admits it no longer can think of better uses for surplus cash in product and market development. A checkbox is provided above to include or exclude stocks under 1% annual dividend yield.


P/E Ratio
The ratio of a company's current share price to its per-share earnings. For example, if a company is currently trading at $43 a share and earnings over the past 12 months were $1.95 per share, the P/E ratio for the stock would be $43/$1.95 = 22.1. The P/E Ratio is also known as "price multiple" or "earnings multiple." Newly listed companies are often in a serious product and market development phase and have little to no net earnings, but always project great earnings down the road. An interesting contrast is exemplified by the difference between giants AAPL and AMZN with similar stock trajectories, but which (in 2012) have P/Es of 15 and 295 respectively. Even though AMZN has been around for well over 15 years, the company continues to invest heavily in growth, leaving profits for later — and investors believe and reward that story. While P/E is interesting, apparently it isn't a very good indicator of price appreciation trend.


Spreadsheet Download
The link just above-right of the table enables downloading current data in the .csv spreadsheet file format. The file name contains both the current month and year so that the data from the last day of each month remains available on the server and accessible for your further experimentation. You can retrieve any of the files by using the following URL web address format: http://sumgrowth.com/Data/SGSETFScreener-mm-yyyy.csv where mm and yyyy are replaced with the current month and year respectively. The first ETF spreadsheet is for 07-2013, and the first stocks spreadsheet is for 06-2012.

For example:
•    http://sumgrowth.com/Data/SGSETFScreener-10-2016.csv for ETFs, and
•    http://sumgrowth.com/Data/SGSStockScreener-10-2016.csv for stocks.
 
Note: The last nine columns of the spreadsheet contain the Signature Ribbon data for the nine four-month periods prior to the date of the spreadsheet in the order of oldest to most recent, with values from 0.00 to 9.99. The value is proportional to the relative amount by which its performance exceeds the performance of the S&P500 during the period (or that of a money market fund if the S&P500 is trending negatively). There are no negative values because SectorSurfer's algorithm is inherently designed to ignore potentially negative contributors, thus rendering them of zero value.