M MACOM TECH SOLUTIONS HLDGS I MTSI
2.62% 2.85% $39.1M 102,830 $45.8M 206,116 -103,286 -50.11% Reduce HA SUSTAINABLE INFRA REI HASI
2.22% 2.34% $33.1M 847,819 $37.7M 1.0M -178,426 -17.39% Reduce LITTELFUSE INC LFUS
2.2% 1.83% $32.7M 71,912 $29.5M 86,993 -15,081 -17.34% Reduce AERCAP HOLDINGS NV SHS AER
2.02% 2.14% $30.1M 206,417 $34.5M 251,561 -45,144 -17.95% Reduce H HEALTHEQUITY INC HQY
2.02% 2.06% $30.1M 332,884 $33.2M 397,229 -64,345 -16.20% Reduce M MERCURY SYS INC MRCY
2% 1.21% $29.9M 244,228 $19.5M 266,417 -22,189 -8.33% Reduce ACI WORLDWIDE INC ACIW
1.86% 1.68% $27.8M 551,926 $27.1M 660,819 -108,893 -16.48% Reduce UMB FINL CORP UMBF
1.74% — $25.9M 181,329 $0 0 +181,329 New Buy ITRON INC ITRI
1.56% 1.63% $23.2M 268,429 $26.3M 292,844 -24,415 -8.34% Reduce NOVANTA INC NOVT
1.51% 1.22% $22.6M 139,009 $19.6M 165,939 -26,930 -16.23% Reduce B BENCHMARK ELECTRS INC BHE
1.48% 0.92% $22.1M 224,142 $14.9M 265,417 -41,275 -15.55% Reduce M MERIT MED SYS INC MMSI
1.47% 1.62% $21.9M 316,536 $26.1M 377,580 -61,044 -16.17% Reduce P PURSUIT ATTRACTIONS AND HOSP PRSU
1.46% 1.04% $21.8M 389,455 $16.7M 457,170 -67,715 -14.81% Reduce H HAEMONETICS CORP MASS HAE
1.46% 1.21% $21.7M 289,624 $19.5M 346,386 -56,762 -16.39% Reduce National Bank Holdings Corp CLASS A COMMON NBHC
1.45% 1.41% $21.6M 485,740 $22.8M 581,191 -95,451 -16.42% Reduce S SCOTTS MIRACLE-GRO CO SMG
1.43% 1.42% $21.3M 312,242 $22.8M 374,428 -62,186 -16.61% Reduce SILGAN HLDGS INC SLGN
1.41% 1.3% $21.0M 451,934 $20.9M 536,977 -85,043 -15.84% Reduce HEXCEL CORP NEW HXL
1.41% 1.26% $20.9M 209,350 $20.4M 251,159 -41,809 -16.65% Reduce C CHEMED CORP NEW CHE
1.38% 1.24% $20.5M 44,114 $20.0M 52,811 -8,697 -16.47% Reduce H HURON CONSULTING GROUP INC HURN
1.32% 1.98% $19.6M 217,531 $31.9M 249,912 -32,381 -12.96% Reduce ATLANTIC UN BANKSHARES CORP AUB
1.29% 1.2% $19.2M 454,584 $19.4M 541,900 -87,316 -16.11% Reduce CUSTOMERS BANCORP INC CUBI
1.29% 1.23% $19.2M 242,607 $19.7M 284,407 -41,800 -14.70% Reduce ALAMOS GOLD INC NEW FCLASS A AGI
1.28% 2.1% $19.1M 628,545 $33.9M 759,020 -130,475 -17.19% Reduce BELDEN INC BDC
1.28% 1.37% $19.0M 158,757 $22.0M 191,038 -32,281 -16.90% Reduce A ADVANCED ENERGY INDS INC AEIS
1.27% 3.04% $19.0M 50,851 $48.9M 151,391 -100,540 -66.41% Reduce JAMES HARDIE INDS PLC ORD SHS JHX
1.25% 1% $18.6M 709,085 $16.1M 847,492 -138,407 -16.33% Reduce VOYA FINANCIAL INC VOYA
1.24% 1.04% $18.5M 204,227 $16.7M 244,219 -39,992 -16.38% Reduce PERELLA WEINBERG PARTNERS PWP
1.23% 1.39% $18.4M 1.2M $22.4M 1.2M -81,238 -6.59% Reduce STAG INDUSTRIAL INC STAG
1.23% 1.29% $18.4M 482,616 $20.8M 577,706 -95,090 -16.46% Reduce KNIGHT-SWIFT TRANSN HLDGS INC CL A KNX
1.23% 1.02% $18.3M 235,588 $16.5M 285,525 -49,937 -17.49% Reduce C CHARLES RIV LABS INTL INC CRL
1.23% 1.04% $18.3M 80,574 $16.8M 97,434 -16,860 -17.30% Reduce V VALVOLINE INC COM VVV
1.21% 1.15% $18.1M 457,955 $18.5M 548,983 -91,028 -16.58% Reduce TKO GROUP HLDGS INC CLASS A TKO
1.21% 1.35% $18.0M 89,647 $21.7M 107,470 -17,823 -16.58% Reduce LIQUIDITY SVCS INC LQDT
1.21% 1.02% $18.0M 459,994 $16.5M 539,539 -79,545 -14.74% Reduce CASELLA WASTE SYS INC CWST
1.19% 0.97% $17.8M 183,143 $15.5M 195,954 -12,811 -6.54% Reduce G GUARDIAN PHARMACY SVCS INC GRDN
1.19% 1.16% $17.7M 422,427 $18.7M 495,856 -73,429 -14.81% Reduce WESBANCO INC WSBC
1.14% 0.61% $17.0M 435,329 $9.9M 285,746 +149,583 +52.35% Add A ALBANY INTL CORP AIN
1.1% 0.86% $16.4M 220,403 $13.8M 264,458 -44,055 -16.66% Reduce BANKUNITED INC BKU
1.09% 1.14% $16.2M 334,868 $18.4M 407,414 -72,546 -17.81% Reduce B BOX INC BOX
1.08% 1.02% $16.1M 606,056 $16.4M 695,549 -89,493 -12.87% Reduce T THE BALDWIN INSURANCE GRP IN BWIN
1.01% 0.93% $15.1M 568,427 $15.0M 682,060 -113,633 -16.66% Reduce EURONET WORLDWIDE INC EEFT
1.01% 1.02% $15.0M 204,955 $16.4M 247,230 -42,275 -17.10% Reduce APTARGROUP INC ATR
0.98% 1.02% $14.6M 116,953 $16.5M 130,508 -13,555 -10.39% Reduce INTERPARFUMS INC IPAR
0.94% 0.85% $14.0M 125,110 $13.7M 150,292 -25,182 -16.76% Reduce K KB HOME KBH
0.93% 0.85% $13.9M 221,351 $13.8M 265,070 -43,719 -16.49% Reduce D DYCOM INDS INC DY
0.93% 0.7% $13.8M 27,361 $11.3M 33,009 -5,648 -17.11% Reduce H HILTON GRAND VACATIONS INC HGV
0.91% 0.72% $13.6M 258,847 $11.5M 294,328 -35,481 -12.05% Reduce COLUMBIA BKG SYS INC COLB
0.9% 0.86% $13.5M 420,721 $13.8M 504,481 -83,760 -16.60% Reduce FIRST INTST BANCSYSTEM INC FIBK
0.9% 0.87% $13.4M 348,476 $14.0M 418,256 -69,780 -16.68% Reduce COHEN & STEERS INC CNS
0.88% 0.74% $13.2M 173,262 $12.0M 191,162 -17,900 -9.36% Reduce