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BENCHMARK INDICES

STOXX Global 3000 ex Germany

Components 1

Company Supersector Country Weight (%)
Apple Inc. Technology USA 4.304
Microsoft Corp. Technology USA 4.077
Amazon.com Inc. Retail USA 2.070
NVIDIA Corp. Technology USA 1.787
ALPHABET CLASS C Technology USA 1.149
META PLATFORMS CLASS A Technology USA 1.102
TESLA Automobiles and Parts USA 1.037
BROADCOM Technology USA 0.779
UnitedHealth Group Inc. Health Care USA 0.728
Eli Lilly & Co. Health Care USA 0.719
JPMorgan Chase & Co. Banks USA 0.711
Berkshire Hathaway Inc. Cl B Financial Services USA 0.690
TSMC Technology Taiwan 0.673
VISA Inc. Cl A Industrial Goods and Services USA 0.614
Exxon Mobil Corp. Energy USA 0.598
Johnson & Johnson Health Care USA 0.553
Home Depot Inc. Retail USA 0.527
MasterCard Inc. Cl A Industrial Goods and Services USA 0.518
Procter & Gamble Co. Personal Care, Drug and Grocery Stores USA 0.502
NOVO NORDISK B Health Care Denmark 0.466
ASML HLDG Technology Netherlands 0.452
NESTLE Food, Beverage and Tobacco Switzerland 0.447
Costco Wholesale Corp. Retail USA 0.432
Samsung Electronics Co Ltd Telecommunications South Korea 0.431
ABBVIE Health Care USA 0.402
Merck & Co. Inc. Health Care USA 0.395
ADOBE Technology USA 0.394
Chevron Corp. Energy USA 0.386
SALESFORCE INC. Technology USA 0.377
Bank of America Corp. Banks USA 0.344
Coca-Cola Co. Food, Beverage and Tobacco USA 0.340
PepsiCo Inc. Food, Beverage and Tobacco USA 0.340
Accenture PLC Cl A Industrial Goods and Services USA 0.338
Toyota Motor Corp. Automobiles and Parts Japan 0.335
ADVANCED MICRO DEVICES Technology USA 0.333
WALMART INC. Retail USA 0.327
SHELL Energy UK 0.318
LVMH MOET HENNESSY Consumer Products and Services France 0.313
McDonald's Corp. Travel and Leisure USA 0.310
Netflix Inc. Media USA 0.310
Cisco Systems Inc. Telecommunications USA 0.301
NOVARTIS Health Care Switzerland 0.299
ASTRAZENECA Health Care UK 0.297
Thermo Fisher Scientific Inc. Health Care USA 0.296
LINDE Chemicals USA 0.294
ROCHE HLDG P Health Care Switzerland 0.293
Intel Corp. Technology USA 0.286
Abbott Laboratories Health Care USA 0.276
Wells Fargo & Co. Banks USA 0.272
Comcast Corp. Cl A Telecommunications USA 0.271
Walt Disney Co. Media USA 0.253
Intuit Inc. Technology USA 0.252
BHP GROUP LTD. Basic Resources Australia 0.249
TOTALENERGIES Energy France 0.249
Oracle Corp. Technology USA 0.240
Qualcomm Inc. Technology USA 0.236
Boeing Co. Industrial Goods and Services USA 0.236
Danaher Corp. Health Care USA 0.234
Verizon Communications Inc. Telecommunications USA 0.233
HSBC Banks UK 0.229
Texas Instruments Inc. Technology USA 0.227
HDFC Bank Ltd Banks India 0.223
Pfizer Inc. Health Care USA 0.223
Nike Inc. Cl B Consumer Products and Services USA 0.220
International Business Machine Technology USA 0.219
Union Pacific Corp. Industrial Goods and Services USA 0.218
Amgen Inc. Health Care USA 0.218
Philip Morris International In Food, Beverage and Tobacco USA 0.217
Caterpillar Inc. Industrial Goods and Services USA 0.216
SERVICENOW Technology USA 0.211
S&P GLOBAL Financial Services USA 0.205
ConocoPhillips Energy USA 0.203
Royal Bank of Canada Banks Canada 0.202
Applied Materials Inc. Technology USA 0.201
Honeywell International Inc. Industrial Goods and Services USA 0.200
General Electric Co. Industrial Goods and Services USA 0.199
Lowe's Cos. Retail USA 0.196
UBER TECHNOLOGIES Consumer Products and Services USA 0.187
Goldman Sachs Group Inc. Financial Services USA 0.186
NextEra Energy Inc. Utilities USA 0.184
BOOKING HOLDINGS Travel and Leisure USA 0.184
PROLOGIS INC. Real Estate USA 0.184
Commonwealth Bank of Australia Banks Australia 0.184
UNILEVER PLC Personal Care, Drug and Grocery Stores UK 0.178
SONY GROUP CORP. Consumer Products and Services Japan 0.176
L'OREAL Consumer Products and Services France 0.175
AT&T Inc. Telecommunications USA 0.175
United Parcel Service Inc. Cl Industrial Goods and Services USA 0.175
Charles Schwab Corp. Financial Services USA 0.175
Morgan Stanley Financial Services USA 0.173
RTX Industrial Goods and Services USA 0.173
BlackRock Inc. Financial Services USA 0.171
Intuitive Surgical Inc. Health Care USA 0.169
Toronto-Dominion Bank Banks Canada 0.168
SCHNEIDER ELECTRIC Industrial Goods and Services France 0.168
Deere & Co. Industrial Goods and Services USA 0.168
Lockheed Martin Corp. Industrial Goods and Services USA 0.165
Starbucks Corp. Travel and Leisure USA 0.164
Elevance Health Health Care USA 0.163
MEDTRONIC PLC Health Care USA 0.163
SANOFI Health Care France 0.162
Bristol-Myers Squibb Co. Health Care USA 0.157
Vertex Pharmaceuticals Inc. Health Care USA 0.157
American Express Co. Industrial Goods and Services USA 0.156
Reliance Industries Ltd Energy India 0.155
TJX Cos. Retail USA 0.152
Lam Research Corp. Technology USA 0.152
Mitsubishi UFJ Financial Group Banks Japan 0.151
Analog Devices Inc. Technology USA 0.149
AIR LIQUIDE Chemicals France 0.149
AIA GROUP Insurance Hong Kong 0.149
BP Energy UK 0.148
Gilead Sciences Inc. Health Care USA 0.148
AMERICAN TOWER Real Estate USA 0.146
Stryker Corp. Health Care USA 0.146
Automatic Data Processing Inc. Industrial Goods and Services USA 0.143
MONDELEZ Food, Beverage and Tobacco USA 0.142
Citigroup Inc. Banks USA 0.142
UBS GROUP Financial Services Switzerland 0.142
UBS GROUP Banks USA 0.142
CVS HEALTH CORP. Personal Care, Drug and Grocery Stores USA 0.142
EATON CORP. PLC Industrial Goods and Services USA 0.140
PALO ALTO NETWORKS Technology USA 0.139
SHOPIFY A NYS Technology USA 0.137
Marsh & McLennan Cos. Insurance USA 0.137
BLACKSTONE A Financial Services USA 0.136
REGENERON PHARMS. Health Care USA 0.136
Keyence Corp. Industrial Goods and Services Japan 0.135
CHUBB Insurance USA 0.134
CSL Ltd. Health Care Australia 0.134
ZOETIS 'A' Health Care USA 0.134
Progressive Corp. Insurance USA 0.133
AIRBUS Industrial Goods and Services France 0.132
AIRBUS Industrial Goods and Services Germany 0.132
Micron Technology Inc. Technology USA 0.132
THE CIGNA GROUP Health Care USA 0.127
SYNOPSYS Technology USA 0.125
T-Mobile US Inc Telecommunications USA 0.122
ICICI Bank Ltd Banks India 0.121
Boston Scientific Corp. Health Care USA 0.121
Fiserv Inc. Industrial Goods and Services USA 0.120
DIAGEO Food, Beverage and Tobacco UK 0.120
BNP PARIBAS Banks France 0.119
KLA Technology USA 0.118
Illinois Tool Works Inc. Industrial Goods and Services USA 0.116
Shin-Etsu Chemical Co. Ltd. Chemicals Japan 0.115
RIO TINTO Basic Resources UK 0.115
HERMES INTERNATIONAL Consumer Products and Services France 0.115
Southern Co. Utilities USA 0.114
VINCI Construction and Materials France 0.112
Equinix Inc. Real Estate USA 0.111
ZURICH INSURANCE GROUP Insurance Switzerland 0.111
Duke Energy Corp. Utilities USA 0.110
IBERDROLA Utilities Spain 0.110
RELX PLC Media UK 0.110
CME Group Inc. Cl A Financial Services USA 0.110
MERCADOLIBRE Consumer Products and Services USA 0.110
Schlumberger Ltd. Energy USA 0.110
Altria Group Inc. Food, Beverage and Tobacco USA 0.110
CADENCE DESIGN SYS. Technology USA 0.110
GSK Health Care UK 0.109
Sherwin-Williams Co. Industrial Goods and Services USA 0.109
CIE FINANCIERE RICHEMONT Consumer Products and Services Switzerland 0.109
Infosys Ltd Technology India 0.108
Canadian National Railway Co. Industrial Goods and Services Canada 0.107
Enbridge Inc. Energy Canada 0.106
Canadian Pacific Kansas City Industrial Goods and Services Canada 0.105
ABB Industrial Goods and Services Switzerland 0.104
U.S. Bancorp Banks USA 0.104
EOG Resources Inc. Energy USA 0.104
Northrop Grumman Corp. Industrial Goods and Services USA 0.103
General Dynamics Corp. Industrial Goods and Services USA 0.102
INTERCONTINENTALEXCHANGE INC Financial Services USA 0.102
Becton Dickinson & Co. Health Care USA 0.102
CSX Corp. Industrial Goods and Services USA 0.101
Canadian Natural Resources Ltd Energy Canada 0.101
Mitsubishi Corp. Industrial Goods and Services Japan 0.101
PayPal Holdings Industrial Goods and Services USA 0.100
BCO SANTANDER Banks Spain 0.099
SAFRAN Industrial Goods and Services France 0.098
Bank of Montreal Banks Canada 0.098
RECRUIT HOLDINGS Industrial Goods and Services Japan 0.098
FedEx Corp. Industrial Goods and Services USA 0.097
Hitachi Ltd. Industrial Goods and Services Japan 0.097
Nippon Telegraph & Telephone C Telecommunications Japan 0.096
SNOWFLAKE A Technology USA 0.096
Waste Management Inc. Utilities USA 0.096
Target Corp. Retail USA 0.095
Sumitomo Mitsui Financial Grou Banks Japan 0.094
National Australia Bank Ltd. Banks Australia 0.094
Colgate-Palmolive Co. Personal Care, Drug and Grocery Stores USA 0.094
AON PLC Insurance USA 0.093
Chipotle Mexican Grill Inc. Travel and Leisure USA 0.093
AIRBNB A Travel and Leisure USA 0.093
ESSILORLUXOTTICA Health Care France 0.092
ARISTA NETWORKS Telecommunications USA 0.092
Moody's Corp. Financial Services USA 0.091
PNC Financial Services Group I Banks USA 0.090
Fast Retailing Co. Ltd. Retail Japan 0.090
AXA Insurance France 0.089
Air Products & Chemicals Inc. Chemicals USA 0.089
LULULEMON ATHLETICA Consumer Products and Services USA 0.089
BRITISH AMERICAN TOBACCO Food, Beverage and Tobacco UK 0.089
Freeport-McMoRan Basic Resources USA 0.088
Itochu Corp. Industrial Goods and Services Japan 0.088
MARATHON PETROLEUM Energy USA 0.088
McKesson Corp. Personal Care, Drug and Grocery Stores USA 0.088
Tokyo Electron Ltd. Technology Japan 0.088
Amphenol Corp. Cl A Technology USA 0.088
GLENCORE PLC Basic Resources UK 0.088
3M Co. Industrial Goods and Services USA 0.087
Marriott International Inc. Cl Travel and Leisure USA 0.086
CROWDSTRIKE HOLDINGS A Technology USA 0.086
Parker Hannifin Corp. Industrial Goods and Services USA 0.086
SK HYNIX INC Technology South Korea 0.086
BROOKFIELD CORPORATION Financial Services Canada 0.086
KKR & CO INC Financial Services USA 0.086
PHILLIPS 66 Energy USA 0.086
Roper Technologies Inc. Technology USA 0.086
Vale SA Basic Resources Brazil 0.085
O'Reilly Automotive Inc. Retail USA 0.085
Humana Inc. Health Care USA 0.085
CHINA CONSTRUCTION BANK CORP H Banks China 0.084
ENEL Utilities Italy 0.084
ANHEUSER-BUSCH INBEV Food, Beverage and Tobacco Belgium 0.083
WORKDAY CLASS Technology USA 0.083
Ecolab Inc. Chemicals USA 0.083
Mitsui & Co. Ltd. Industrial Goods and Services Japan 0.083
Nintendo Co. Ltd. Consumer Products and Services Japan 0.082
Bank of Nova Scotia Banks Canada 0.082
Daiichi Sankyo Co. Ltd. Health Care Japan 0.081
HCA HEALTHCARE Health Care USA 0.081
Trane Technologies Construction and Materials USA 0.081
Emerson Electric Co. Industrial Goods and Services USA 0.081
TRANSDIGM GROUP Industrial Goods and Services USA 0.081
ING GRP Banks Netherlands 0.080
BCO BILBAO VIZCAYA ARGENTARIA Banks Spain 0.080
STELLANTIS Automobiles and Parts Italy 0.080
Westpac Banking Corp. Banks Australia 0.079
Pioneer Natural Resources Co. Energy USA 0.078
Norfolk Southern Corp. Industrial Goods and Services USA 0.078
CONSTELLATION SOFTWARE Technology Canada 0.078
MOTOROLA SOLUTIONS INC. Telecommunications USA 0.077
Autodesk Inc. Technology USA 0.077
ANZ GROUP Banks Australia 0.076
MARVELL TECHNOLOGY Technology USA 0.076
Prosus Technology Netherlands 0.076
MediaTek Inc Technology Taiwan 0.076
RECKITT BENCKISER GRP Personal Care, Drug and Grocery Stores UK 0.075
CRH Construction and Materials UK 0.075
Paccar Inc. Industrial Goods and Services USA 0.074
Microchip Technology Inc. Technology USA 0.074
NATIONAL GRID Utilities UK 0.074
LONDON STOCK EXCHANGE Financial Services UK 0.073
Capital One Financial Corp. Industrial Goods and Services USA 0.073
Cintas Corp. Industrial Goods and Services USA 0.073
Tokio Marine Holdings Inc. Insurance Japan 0.073
GENERAL MOTORS Automobiles and Parts USA 0.073
Crown Castle Real Estate USA 0.072
Truist Financial Corp Banks USA 0.072
Carrier Global Construction and Materials USA 0.071
ARTHUR J GALLAGHER Insurance USA 0.071
AutoZone Inc. Retail USA 0.071
DEXCOM Health Care USA 0.070
COMPASS GRP Consumer Products and Services UK 0.070
Sempra Utilities USA 0.070
Ford Motor Co. Automobiles and Parts USA 0.070
KDDI Corp. Telecommunications Japan 0.070
Simon Property Group Inc. Real Estate USA 0.070
Tata Consultancy Services Ltd Technology India 0.070
D.R. Horton Inc. Consumer Products and Services USA 0.070
NEWMONT Basic Resources USA 0.070
Welltower Inc. Real Estate USA 0.070
AMERICAN INTERNATIONAL GROUP Insurance USA 0.070
Edwards Lifesciences Corp. Health Care USA 0.069
COPART Consumer Products and Services USA 0.069
Industria de Diseno Textil SA Retail Spain 0.069
UNICREDIT Banks Italy 0.069
UNICREDIT Banks Germany 0.069
INTESA SANPAOLO Banks Italy 0.069
HILTON Travel and Leisure USA 0.069
Daikin Industries Ltd. Construction and Materials Japan 0.068
SIKA Construction and Materials Switzerland 0.068
Honda Motor Co. Ltd. Automobiles and Parts Japan 0.068
Public Storage Real Estate USA 0.068
Ross Stores Inc. Retail USA 0.068
PG&E Utilities USA 0.068
Valero Energy Corp. Energy USA 0.067
IDEXX LABORATORIES Health Care USA 0.066
Softbank Group Corp. Telecommunications Japan 0.066
Takeda Pharmaceutical Co. Ltd. Health Care Japan 0.066
TE CONNECTIVITY LTD. Technology USA 0.066
Larsen & Toubro Ltd Construction and Materials India 0.066
ALIMENTATION CCH.TARD Retail Canada 0.065
AFLAC Inc. Insurance USA 0.065
NORDEA BANK Banks Finland 0.064
Oriental Land Co. Ltd. Travel and Leisure Japan 0.064
CONSTELLATION BRANDS 'A' Food, Beverage and Tobacco USA 0.064
Macquarie Group Ltd. Financial Services Australia 0.064
ATLAS COPCO A Industrial Goods and Services Sweden 0.064
Nucor Corp. Basic Resources USA 0.064
DBS Group Holdings Ltd. Banks Singapore 0.063
Mizuho Financial Group Inc. Banks Japan 0.063
Hoya Corp. Health Care Japan 0.063
American Electric Power Co. In Utilities USA 0.063
APOLLO GLOBAL MANAGEMENT Financial Services USA 0.062
Williams Cos. Energy USA 0.062
FERRARI Automobiles and Parts Italy 0.062
MSCI CLASS A Financial Services USA 0.062
Wesfarmers Ltd. Retail Australia 0.062
MetLife Inc. Insurance USA 0.062
ITC Ltd Food, Beverage and Tobacco India 0.062
Travelers Cos. Inc. Insurance USA 0.062
MONSTER BEVERAGE Food, Beverage and Tobacco USA 0.062
IQVIA HOLDINGS INC Health Care USA 0.061
Holcim Construction and Materials Switzerland 0.061
Canadian Imperial Bank of Comm Banks Canada 0.061
INVESTOR B Financial Services Sweden 0.061
Paychex Inc. Industrial Goods and Services USA 0.061
BAE SYSTEMS Industrial Goods and Services UK 0.061
BLOCK CL.A Industrial Goods and Services USA 0.060
Archer Daniels Midland Co. Food, Beverage and Tobacco USA 0.060
REALTY INCOME Real Estate USA 0.060
DANONE Food, Beverage and Tobacco France 0.060
Dominion Energy Utilities USA 0.060
OLD DOMINION FGT. LINES Industrial Goods and Services USA 0.060
VOLVO B Industrial Goods and Services Sweden 0.060
Kimberly-Clark Corp. Personal Care, Drug and Grocery Stores USA 0.060
Suncor Energy Inc. Energy Canada 0.060
Bank of New York Mellon Corp. Financial Services USA 0.060
CENTENE Health Care USA 0.059
Hess Corp. Energy USA 0.059
Agilent Technologies Inc. Health Care USA 0.059
TC ENERGY Energy Canada 0.059
Digital Realty Trust Inc. Real Estate USA 0.059
Hong Kong Exchanges & Clearing Financial Services Hong Kong 0.059
L3HARRIS TECHNOLOGIES Industrial Goods and Services USA 0.058
Hon Hai Precision Industry Co Technology Taiwan 0.058
UNITED RENTALS Industrial Goods and Services USA 0.058
WOODSIDE ENERGY GROUP Energy Australia 0.058
CHARTER COMMUNICATIONS CL.A Telecommunications USA 0.058
Ameriprise Financial Inc. Financial Services USA 0.057
Manulife Financial Corp. Insurance Canada 0.057
Occidental Petroleum Corp. Energy USA 0.057
FERGUSON PLC Industrial Goods and Services USA 0.057
Cognizant Technology Solutions Technology USA 0.057
AXIS BANK Banks India 0.057
Constellation Energy Utilities USA 0.057
DOW Chemicals USA 0.056
ALCON Health Care Switzerland 0.056
LLOYDS BANKING GRP Banks UK 0.056
General Mills Inc. Food, Beverage and Tobacco USA 0.056
FORTINET Technology USA 0.056
Prudential Financial Inc. Insurance USA 0.056
LENNAR 'A' Consumer Products and Services USA 0.056
Ametek Inc. Industrial Goods and Services USA 0.056
Murata Manufacturing Co. Ltd. Technology Japan 0.056
WASTE CONNECTIONS Utilities Canada 0.056
EXPERIAN Industrial Goods and Services UK 0.055
SAINT GOBAIN Construction and Materials France 0.055
ADYEN Industrial Goods and Services Netherlands 0.055
W.W. Grainger Inc. Industrial Goods and Services USA 0.055
Sysco Corp. Personal Care, Drug and Grocery Stores USA 0.055
Otis Worldwide Industrial Goods and Services USA 0.055
CAP GEMINI Technology France 0.055
ON SEMICON. Technology USA 0.055
ENI Energy Italy 0.055
DATADOG A Technology USA 0.054
Fastenal Co. Basic Resources USA 0.054
Allstate Corp. Insurance USA 0.054
KENVUE Personal Care, Drug and Grocery Stores USA 0.054
Yum! Brands Inc. Travel and Leisure USA 0.053
BIOGEN INC. Health Care USA 0.053
Oversea-Chinese Banking Corp. Banks Singapore 0.053
COSTAR GP. Real Estate USA 0.053
Johnson Controls PLC Industrial Goods and Services USA 0.053
PERNOD RICARD Food, Beverage and Tobacco France 0.053
SOFTBANK Telecommunications Japan 0.052
BCE Inc. Telecommunications Canada 0.052
Exelon Corp. Utilities USA 0.052
Fidelity National Information Industrial Goods and Services USA 0.052
DASSAULT SYSTEMS Technology France 0.052
GARTNER 'A' Technology USA 0.052
PPG Industries Inc. Industrial Goods and Services USA 0.052
Rockwell Automation Corp. Industrial Goods and Services USA 0.052
PALANTIR TECHNOLOGIES A Technology USA 0.052
ATLASSIAN 'A' Technology USA 0.052
ICBC H Banks China 0.051
WOLTERS KLUWER Media Netherlands 0.051
KINDER MORGAN Energy USA 0.051
Cummins Inc. Industrial Goods and Services USA 0.051
Electronic Arts Inc. Consumer Products and Services USA 0.051
Cencora Personal Care, Drug and Grocery Stores USA 0.051
GE HEALTHCARE TECHNOLOGIES Health Care USA 0.051
XIAOMI Telecommunications Hong Kong 0.050
VERISK ANALYTICS CL.A Industrial Goods and Services USA 0.050
Xcel Energy Inc. Utilities USA 0.050
BAKER HUGHES Energy USA 0.050
STMICROELECTRONICS Technology Italy 0.050
PETROLEO BRASILEIRO S.A. -PREF Energy Brazil 0.050
DUPONT DE NEMOURS Industrial Goods and Services USA 0.050
Republic Services Inc. Utilities USA 0.050
TRADE DESK CL.A Media USA 0.049
Global Payments Inc. Industrial Goods and Services USA 0.049
Estee Lauder Cos. Inc. Consumer Products and Services USA 0.049
Rio Tinto Ltd. Basic Resources Australia 0.049
CORTEVA Food, Beverage and Tobacco USA 0.049
KRAFT HEINZ COMPANY Food, Beverage and Tobacco USA 0.049
ENGIE Utilities France 0.049
Kering Consumer Products and Services France 0.049
MODERNA Health Care USA 0.048
Bank Central Asia Tbk PT Banks Indonesia 0.048
EXTRA SPACE STORAGE Real Estate USA 0.048
United Overseas Bank Ltd. Banks Singapore 0.048
Keurig Dr Pepper Food, Beverage and Tobacco USA 0.048
FORTESCUE Basic Resources Australia 0.048
Halliburton Co. Energy USA 0.048
AMADEUS IT GROUP Technology Spain 0.048
ITAU UNIBANCO HOLDING SA -PREF Banks Brazil 0.047
SWISS REINSURANCE COMPANY Insurance Switzerland 0.047
GIVAUDAN Chemicals Switzerland 0.047
VICI PPTYS Real Estate USA 0.047
Denso Corp. Automobiles and Parts Japan 0.047
PARTNERS GRP HLDG Financial Services Switzerland 0.047
Seven & I Holdings Co. Ltd. Personal Care, Drug and Grocery Stores Japan 0.047
BANK OF CHINA 'H' Banks China 0.046
Quanta Services Inc. Construction and Materials USA 0.046
ASHTEAD GRP Industrial Goods and Services UK 0.046
DOORDASH A Technology USA 0.046
ROLLS ROYCE HLDG Industrial Goods and Services UK 0.046
Consolidated Edison Inc. Utilities USA 0.046
SMC Corp. Industrial Goods and Services Japan 0.046
Mitsubishi Electric Corp. Industrial Goods and Services Japan 0.046
Barrick Gold Corp. Basic Resources Canada 0.045
Public Service Enterprise Grou Utilities USA 0.045
PRUDENTIAL Insurance UK 0.045
EQUINOR Energy Norway 0.045
TELSTRA GROUP Telecommunications Australia 0.045
ONEOK Inc. Energy USA 0.045
Bharti Airtel Ltd Telecommunications India 0.045
Martin Marietta Materials Inc. Construction and Materials USA 0.045
INGERSOLL-RAND Industrial Goods and Services USA 0.045
MONOLITHIC PWR.SYS. Technology USA 0.045
Kotak Mah Bk Banks India 0.045
Sun Life Financial Inc. Insurance Canada 0.044
WOOLWORTHS GROUP Personal Care, Drug and Grocery Stores Australia 0.044
Equifax Inc. Industrial Goods and Services USA 0.044
FLUTTER ENTERTAINMENT Travel and Leisure Ireland 0.044
CDW Technology USA 0.044
Vulcan Materials Co. Construction and Materials USA 0.044
MONGODB A Technology USA 0.044
DSV Industrial Goods and Services Denmark 0.044
Kroger Co. Personal Care, Drug and Grocery Stores USA 0.044
LONZA Health Care Switzerland 0.043
Fanuc Ltd. Industrial Goods and Services Japan 0.043
Japan Tobacco Inc. Food, Beverage and Tobacco Japan 0.043
3I GROUP PLC. Financial Services UK 0.043
Dollar Tree Inc. Retail USA 0.043
Grupo Financiero Banorte SAB d Banks Mexico 0.043
ANGLO AMERICAN Basic Resources UK 0.043
ROYAL CARIBBEAN GROUP Travel and Leisure USA 0.043
Devon Energy Corp. Energy USA 0.043
VESTAS WIND SYSTEMS Energy Denmark 0.042
Naspers Ltd Technology South Africa 0.042
DOLLAR GENERAL Retail USA 0.042
Transurban Group Industrial Goods and Services Australia 0.042
HEINEKEN Food, Beverage and Tobacco Netherlands 0.042
POSCO HOLDINGS Basic Resources South Korea 0.042
CBRE GP. Real Estate USA 0.042
KEYSIGHT TECHNOLOGIES Industrial Goods and Services USA 0.042
FAIR ISAAC Industrial Goods and Services USA 0.042
LEGRAND Industrial Goods and Services France 0.042
Fomento Economico Mexicano Food, Beverage and Tobacco Mexico 0.041
HUBSPOT Technology USA 0.041
Goodman Group Real Estate Australia 0.041
AHOLD DELHAIZE Personal Care, Drug and Grocery Stores Netherlands 0.041
PING AN INSUR GP CO. OF CN 'H' Insurance China 0.041
ASSA ABLOY Construction and Materials Sweden 0.041
America Movil SAB de CV Telecommunications Mexico 0.041
Fujitsu Ltd. Technology Japan 0.041
WARNER BROS. DISCOVERY Media USA 0.041
Arch Capital Group Ltd. Insurance USA 0.041
DIAMONDBACK ENERGY Energy USA 0.041
Delta Air Lines Inc. Travel and Leisure USA 0.040
Hershey Co. Food, Beverage and Tobacco USA 0.040
Hindustan Unilever Ltd Personal Care, Drug and Grocery Stores India 0.040
NUTRIEN Chemicals Canada 0.040
ARGENX Health Care Belgium 0.040
SBA Communications Corp. Real Estate USA 0.040
Edison International Utilities USA 0.040
BARCLAYS Banks UK 0.040
Agnico-Eagle Mines Ltd. Basic Resources Canada 0.040
BYD 'H' Automobiles and Parts China 0.040
Bridgestone Corp. Automobiles and Parts Japan 0.040
Avalonbay Communities Inc. Real Estate USA 0.039
Central Japan Railway Co. Industrial Goods and Services Japan 0.039
XYLEM Industrial Goods and Services USA 0.039
HP Inc. Technology USA 0.039
Discover Financial Services Banks USA 0.039
WEST PHARM.SVS. Health Care USA 0.039
Marubeni Corp. Industrial Goods and Services Japan 0.039
VEEVA SYSTEMS CL.A Health Care USA 0.039
INTACT FINANCIAL Insurance Canada 0.039
NAVER CORP Technology South Korea 0.039
Mettler-Toledo International I Industrial Goods and Services USA 0.039
SCOTTISH & SOUTHERN ENERGY Utilities UK 0.039
WEC Energy Group Utilities USA 0.039
Sumitomo Corp. Industrial Goods and Services Japan 0.038
COINBASE GLOBAL A Financial Services USA 0.038
AMERICAN WATER WORKS Utilities USA 0.038
Ansys Inc. Technology USA 0.038
TESCO Personal Care, Drug and Grocery Stores UK 0.038
TELUS Telecommunications Canada 0.038
Chugai Pharmaceutical Co. Ltd. Health Care Japan 0.038
RENESAS ELECTRONICS Technology Japan 0.038
TAKE TWO INTACT.SFTW. Consumer Products and Services USA 0.038
Fortive Industrial Goods and Services USA 0.038
Canon Inc. Technology Japan 0.037
Cardinal Health Inc. Health Care USA 0.037
MICHELIN Automobiles and Parts France 0.037
Bank Rakyat Indonesia Banks Indonesia 0.037
FUJIFILM Holdings Corp. Technology Japan 0.037
Komatsu Ltd. Industrial Goods and Services Japan 0.037
National Bank of Canada Banks Canada 0.037
CLOUDFLARE A Technology USA 0.037
ResMed Inc. Health Care USA 0.037
Willis Towers Watson Insurance USA 0.037
Zimmer Biomet Holdings Health Care USA 0.037
State Street Corp. Financial Services USA 0.037
Aptiv Automobiles and Parts USA 0.037
LYONDELLBASELL INDUSTRIES Chemicals USA 0.036
NU HOLDINGS A Financial Services USA 0.036
Terumo Corp. Health Care Japan 0.036
Ulta Beauty Retail USA 0.036
Hartford Financial Services Gr Insurance USA 0.036
Weyerhaeuser Co. Real Estate USA 0.036
BAJAJ FINANCE Financial Services India 0.036
HEXAGON B Technology Sweden 0.036
State Bank of India Banks India 0.036
SPOTIFY TECHNOLOGY Media USA 0.035
HALEON Health Care UK 0.035
Fifth Third Bancorp Banks USA 0.035
T. Rowe Price Group Inc. Financial Services USA 0.035
ASM INTERNATIONAL Technology Netherlands 0.035
M&T Bank Corp. Banks USA 0.035
PANASONIC HOLDINGS Consumer Products and Services Japan 0.035
TRACTOR SUPPLY Retail USA 0.035
ORANGE Telecommunications France 0.035
RESTAURANT BRANDS INTL Travel and Leisure Canada 0.035
Corning Inc. Technology USA 0.035
SPLUNK Technology USA 0.035
SANDVIK Industrial Goods and Services Sweden 0.034
ALNYLAM PHARMACEUTICALS Health Care USA 0.034
Mitsui Fudosan Co. Ltd. Real Estate Japan 0.034
Hyundai Motor Co Automobiles and Parts South Korea 0.034
ASSICURAZIONI GENERALI Insurance Italy 0.034
BROADRIDGE FINL.SLTN. Financial Services USA 0.034
TELEFONICA Telecommunications Spain 0.034
DTE Energy Co. Utilities USA 0.034
Church & Dwight Co. Personal Care, Drug and Grocery Stores USA 0.033
PULTEGROUP Consumer Products and Services USA 0.033
NVR Inc. Consumer Products and Services USA 0.033
EVOLUTION Travel and Leisure Sweden 0.033
CGI 'A' Technology Canada 0.033
GEBERIT Construction and Materials Switzerland 0.033
eBay Inc. Consumer Products and Services USA 0.033
WHEATON PRECIOUS METALS CORP. Basic Resources Canada 0.033
SKANDINAVISKA ENSKILDA BK A Banks Sweden 0.033
SNAP 'A' Technology USA 0.033
NIPPON STEEL Basic Resources Japan 0.032
Cenovus Energy Inc. Energy Canada 0.032
East Japan Railway Co. Industrial Goods and Services Japan 0.032
GRP SOCIETE GENERALE Banks France 0.032
WABTEC Industrial Goods and Services USA 0.032
VEOLIA ENVIRONNEMENT Utilities France 0.032
Orix Corp. Financial Services Japan 0.032
ROBLOX A Consumer Products and Services USA 0.032
HOWMET AEROSPACE Industrial Goods and Services USA 0.032
LASERTEC Technology Japan 0.032
PINTEREST A Technology USA 0.032
UMG Media Netherlands 0.032
PUBLICIS GRP Media France 0.032
Hewlett Packard Enterprise Technology USA 0.032
Eversource Energy Utilities USA 0.032
Fairfax Financial Holdings Ltd Insurance Canada 0.032
Nidec Corp. Industrial Goods and Services Japan 0.032
FRANCO-NEVADA Basic Resources Canada 0.032
Equity Residential Real Estate USA 0.032
Entergy Corp. Utilities USA 0.032
Dover Corp. Industrial Goods and Services USA 0.032
Disco Corp. Technology Japan 0.031
MOLINA HEALTHCARE Health Care USA 0.031
Delta Electronics Inc Industrial Goods and Services Taiwan 0.031
Steel Dynamics Inc. Basic Resources USA 0.031
STERIS Health Care USA 0.031
RAYMOND JAMES FINL. Financial Services USA 0.031
Dai-ichi Life Holdings Insurance Japan 0.031
EQT Financial Services Sweden 0.031
Wal-Mart de Mexico SAB de CV Retail Mexico 0.031
Astellas Pharma Inc. Health Care Japan 0.031
FLEETCOR TECHNOLOGIES Industrial Goods and Services USA 0.030
ALEXANDRIA RLST.EQTIES. Real Estate USA 0.030
Asian Paints Industrial Goods and Services India 0.030
ZSCALER Technology USA 0.030
PTC INC Technology USA 0.030
INTL.FLAVORS & FRAG. Chemicals USA 0.030
BUILDERS FIRSTSOURCE Construction and Materials USA 0.030
United Microelectronics Corp Technology Taiwan 0.030
GENMAB Health Care Denmark 0.030
SAMPO Insurance Finland 0.030
Kyocera Corp. Technology Japan 0.030
COUPANG A Retail USA 0.030
Expedia Group Inc Travel and Leisure USA 0.030
Illumina Inc. Health Care USA 0.030
FirstEnergy Corp. Utilities USA 0.030
TELEDYNE TECHS. Industrial Goods and Services USA 0.030
Fortis Inc. Utilities Canada 0.030
SWISS LIFE HLDG Insurance Switzerland 0.030
Ventas Inc. Real Estate USA 0.029
PPL Corp. Utilities USA 0.029
Iron Mountain Inc. Real Estate USA 0.029
Daiwa House Industry Co. Ltd. Consumer Products and Services Japan 0.029
Darden Restaurants Inc. Travel and Leisure USA 0.029
INVITATION HOMES Real Estate USA 0.029
Baxter International Inc. Health Care USA 0.029
Thomson Reuters Corp. Financial Services Canada 0.029
Mahindra Automobiles and Parts India 0.029
Cameco Corp. Energy Canada 0.029
Laboratory Corp. of America Ho Health Care USA 0.029
UPM KYMMENE Basic Resources Finland 0.029
Genuine Parts Co. Automobiles and Parts USA 0.029
IMPERIAL BRANDS Food, Beverage and Tobacco UK 0.029
Garmin Ltd. Consumer Products and Services USA 0.029
JAPAN POST HOLDINGS Insurance Japan 0.029
Samsung SDI Co Ltd Industrial Goods and Services South Korea 0.029
Suzuki Motor Corp. Automobiles and Parts Japan 0.029
Fubon Financial Holding Co Ltd Insurance Taiwan 0.028
Teck Resources Ltd. Cl B Basic Resources Canada 0.028
CELLNEX TELECOM Telecommunications Spain 0.028
HCL Technologies Technology India 0.028
VODAFONE GRP Telecommunications UK 0.028
KUEHNE + NAGEL Industrial Goods and Services Switzerland 0.028
TARGA RESOURCES Energy USA 0.028
Kao Corp. Personal Care, Drug and Grocery Stores Japan 0.028
Chunghwa Telecom Co Ltd Telecommunications Taiwan 0.028
COTERRA ENERGY Energy USA 0.028
DOLLARAMA Retail Canada 0.028
ASAHI GROUP HDGS Food, Beverage and Tobacco Japan 0.028
Ajinomoto Co. Inc. Food, Beverage and Tobacco Japan 0.028
RIVIAN AUTOMOTIVE A Automobiles and Parts USA 0.028
Principal Financial Group Inc. Insurance USA 0.028
Waters Corp. Industrial Goods and Services USA 0.028
AXON ENTERPRISE Industrial Goods and Services USA 0.028
Ameren Corp. Utilities USA 0.028
Olympus Corp. Health Care Japan 0.028
Nasdaq Inc Financial Services USA 0.028
Aeon Co. Ltd. Personal Care, Drug and Grocery Stores Japan 0.028
FERROVIAL Construction and Materials Spain 0.028
STANDARD CHARTERED Banks UK 0.028
NetApp Inc. Technology USA 0.028
LEGAL & GENERAL GRP Insurance UK 0.028
BANCO BRADESCO SA - PREF Banks Brazil 0.028
Mitsubishi Estate Co. Ltd. Real Estate Japan 0.028
VeriSign Inc. Technology USA 0.028
Quanta Computer Inc Technology Taiwan 0.028
Huntington Bancshares Inc. Banks USA 0.028
STRAUMANN Health Care Switzerland 0.028
Carnival Corp. Travel and Leisure USA 0.027
OTSUKA HOLDINGS Health Care Japan 0.027
ERICSSON LM B Telecommunications Sweden 0.027
Markel Group Inc. Insurance USA 0.027
KONE B Industrial Goods and Services Finland 0.027
Ball Corp. Industrial Goods and Services USA 0.027
Expeditors International of Wa Industrial Goods and Services USA 0.027
ALIGN TECH. Health Care USA 0.027
DECKERS OUTDOOR Consumer Products and Services USA 0.027
MS&AD Insurance Group Holdings Insurance Japan 0.027
Regions Financial Corp. Banks USA 0.027
DELL TECHNOLOGIES Technology USA 0.027
FIRST CITIZENS BANSHARES A Banks USA 0.027
BIOMARIN PHARM. Health Care USA 0.027
Veralto Corp. Industrial Goods and Services USA 0.027
KIA CORPORATION Automobiles and Parts South Korea 0.027
CenterPoint Energy Inc. Utilities USA 0.027
PEMBINA PIPELINE CORP Energy Canada 0.027
SWEDBANK Banks Sweden 0.027
Mitsubishi Heavy Industries Lt Industrial Goods and Services Japan 0.027
Akamai Technologies Inc. Technology USA 0.027
WALGREENS BOOTS ALLIANCE Personal Care, Drug and Grocery Stores USA 0.027
First Solar Inc. Energy USA 0.027
ARES MANAGEMENT A Financial Services USA 0.027
COOPER COS. Health Care USA 0.027
ZOOM VIDEO COMMUNICATIONS A Technology USA 0.027
SKYWORKS SLTN. Technology USA 0.027
SUN PHARMA INDUSTRIES Health Care India 0.027
LG Chem Ltd Industrial Goods and Services South Korea 0.027
DNB BANK Banks Norway 0.026
DANSKE BANK Banks Denmark 0.026
Aristocrat Leisure Ltd. Travel and Leisure Australia 0.026
Advantest Corp. Technology Japan 0.026
Brown-Forman Corp. Cl B Food, Beverage and Tobacco USA 0.026
ENTEGRIS Technology USA 0.026
Northern Trust Corp. Financial Services USA 0.026
REPSOL Energy Spain 0.026
Chinatrust Financial Holding C Banks Taiwan 0.026
Clorox Co. Personal Care, Drug and Grocery Stores USA 0.026
Kubota Corp. Industrial Goods and Services Japan 0.026
DSM FIRMENICH AG Food, Beverage and Tobacco Netherlands 0.026
SEAGATE TECHNOLOGY HOLDINGS Technology USA 0.026
HUBBELL Industrial Goods and Services USA 0.026
NOKIA Telecommunications Finland 0.026
FACTSET RESEARCH SYS. Financial Services USA 0.026
JABIL INC Technology USA 0.026
PHILIPS Health Care Netherlands 0.026
Hologic Inc. Health Care USA 0.026
Kellanova Food, Beverage and Tobacco USA 0.026
Southwest Airlines Co. Travel and Leisure USA 0.026
TYLER TECHNOLOGIES Technology USA 0.026
B3 SA - Brasil Bolsa Balcao Financial Services Brazil 0.026
ALBEMARLE Chemicals USA 0.026
HUNT JB TRANSPORT SVS. Industrial Goods and Services USA 0.025
Omnicom Group Inc. Media USA 0.025
TECHTRONIC INDS. Industrial Goods and Services Hong Kong 0.025
BROWN & BROWN Insurance USA 0.025
ATMOS ENERGY Utilities USA 0.025
FirstRand Ltd Banks South Africa 0.025
Rogers Communications Inc. Cl Telecommunications Canada 0.025
CREDIT AGRICOLE Banks France 0.025
EPAM SYSTEMS Technology USA 0.025
Santos Ltd. Energy Australia 0.025
CMS ENERGY Utilities USA 0.025
ENPHASE ENERGY Energy USA 0.025
Adani Enterprise Industrial Goods and Services India 0.025
McCormick & Co. Inc. Food, Beverage and Tobacco USA 0.025
Yum China Holdings Travel and Leisure USA 0.025
SUN COMMUNITIES Real Estate USA 0.025
Celanese Corp. Series A Chemicals USA 0.024
Toyota Industries Corp. Automobiles and Parts Japan 0.024
Sun Hung Kai Properties Ltd. Real Estate Hong Kong 0.024
DRAFTKINGS A Travel and Leisure USA 0.024
BOOZ ALLEN HAMILTN.HLDG. Industrial Goods and Services USA 0.024
SVENSKA HANDELSBANKEN A Banks Sweden 0.024
Maruti Suzuki Automobiles and Parts India 0.024
Western Digital Corp. Technology USA 0.024
TERADYNE Technology USA 0.024
Grupo Mexico SAB de CV Basic Resources Mexico 0.024
Titan Co Ltd Consumer Products and Services India 0.024
Cincinnati Financial Corp. Insurance USA 0.024
Uni-Charm Corp. Personal Care, Drug and Grocery Stores Japan 0.024
SONOVA Health Care Switzerland 0.024
LPL FINANCIAL HOLDINGS Financial Services USA 0.024
IDEX Industrial Goods and Services USA 0.024
Jacobs Solutions Industrial Goods and Services USA 0.024
Avery Dennison Corp. Basic Resources USA 0.024
Las Vegas Sands Corp. Travel and Leisure USA 0.024
Sompo Holdings Insurance Japan 0.024
NATWEST GROUP Banks UK 0.023
CITIZENS FINANCIAL GROUP Banks USA 0.023
Power Corp. of Canada Insurance Canada 0.023
RELIANCE STEEL AND ALMN. Basic Resources USA 0.023
Banco do Brasil SA Banks Brazil 0.023
BUNGE GLOBAL Food, Beverage and Tobacco USA 0.023
ESSEX PROPERTY TST. Real Estate USA 0.023
Textron Inc. Industrial Goods and Services USA 0.023
INTERCONTINENTAL HOTELS GRP Travel and Leisure UK 0.023
MID-AMER.APT COMMUNITIES Real Estate USA 0.023
CARLISLE COS. Industrial Goods and Services USA 0.023
BROOKFIELD ASSET MANAGEMENT Financial Services Canada 0.023
KBC GRP Banks Belgium 0.023
NEC Corp. Technology Japan 0.023
AVANTOR Health Care USA 0.023
SYNCHRONY FINANCIAL Industrial Goods and Services USA 0.023
NTPC Ltd Utilities India 0.023
NESTE Energy Finland 0.023
Everest Group Insurance USA 0.023
Mega Financial Holding Co Ltd Banks Taiwan 0.023
Masco Corp. Construction and Materials USA 0.023
GODADDY CL.A Technology USA 0.023
DELTA ELECTRONICS Technology Thailand 0.023
Celltrion Health Care South Korea 0.023
CAIXABANK Banks Spain 0.023
POOL Consumer Products and Services USA 0.023
Magna International Inc. Cl A Automobiles and Parts Canada 0.023
Shionogi & Co. Ltd. Health Care Japan 0.023
SAGE GRP Technology UK 0.023
Lamb Weston Holdings Inc. Food, Beverage and Tobacco USA 0.023
Secom Co. Ltd. Industrial Goods and Services Japan 0.023
KB Financial Group Inc Banks South Korea 0.022
Quest Diagnostics Inc. Health Care USA 0.022
SNAP-ON Industrial Goods and Services USA 0.022
THALES Industrial Goods and Services France 0.022
Stanley Black & Decker Inc. Industrial Goods and Services USA 0.022
GALAXY ENTERTAINMENT GP. Travel and Leisure Hong Kong 0.022
Eisai Co. Ltd. Health Care Japan 0.022
Best Buy Co. Inc. Retail USA 0.022
VERTIV HOLDINGS A Technology USA 0.022
LOGITECH INTERNATIONAL Technology Switzerland 0.022
Bajaj Finserv Insurance India 0.022
AVIVA Insurance UK 0.022
TOURMALINE OIL Energy Canada 0.022
SWISSCOM Telecommunications Switzerland 0.022
PACK.CORP.OF AM. Industrial Goods and Services USA 0.022
Essity B Personal Care, Drug and Grocery Stores Sweden 0.022
Tyson Foods Inc. Cl A Food, Beverage and Tobacco USA 0.022
LEIDOS HOLDINGS Technology USA 0.022
CLP Holdings Ltd. Utilities Hong Kong 0.022
WSP GLOBAL Construction and Materials Canada 0.022
Marathon Oil Corp. Energy USA 0.022
CF Industries Holdings Inc. Chemicals USA 0.022
EDENRED Industrial Goods and Services France 0.022
Sumitomo Realty & Development Real Estate Japan 0.022
CK HUTCHISON HOLDINGS Industrial Goods and Services Hong Kong 0.022
Cathay Financial Holding Co Lt Insurance Taiwan 0.021
UltraTech Cement Construction and Materials India 0.021
INSULET Health Care USA 0.021
RPM INTL. Industrial Goods and Services USA 0.021
Coles Group Personal Care, Drug and Grocery Stores Australia 0.021
LENNOX INTL. Construction and Materials USA 0.021
GRACO Industrial Goods and Services USA 0.021
ASE Industrial Holding Technology Taiwan 0.021
Sekisui House Ltd. Consumer Products and Services Japan 0.021
PTT PCL Energy Thailand 0.021
Singapore Telecommunications L Telecommunications Singapore 0.021
UNITED AIRLINES HOLDINGS Travel and Leisure USA 0.021
Tata Motors Ltd Automobiles and Parts India 0.021
QBE Insurance Group Ltd. Insurance Australia 0.021
JAPAN POST BANK Banks Japan 0.021
WATSCO Construction and Materials USA 0.021
Shinhan Financial Group Co Ltd Banks South Korea 0.021
Nippon Yusen K.K. Industrial Goods and Services Japan 0.021
W.R. Berkley Corp. Insurance USA 0.021
DOMINOS PIZZA Travel and Leisure USA 0.021
Conagra Brands Inc. Food, Beverage and Tobacco USA 0.021
ARCELORMITTAL Basic Resources Luxembourg 0.021
INCYTE Health Care USA 0.021
AMCOR Industrial Goods and Services USA 0.021
EQT Corp. Energy USA 0.021
AKZO NOBEL Chemicals Netherlands 0.021
ZEBRA TECHS. 'A' Industrial Goods and Services USA 0.021
WP CAREY Real Estate USA 0.021
Bank Mandiri Tbk PT Banks Indonesia 0.021
WUXI BIO Health Care Hong Kong 0.021
Kimco Realty Corp. Real Estate USA 0.020
Nomura Holdings Inc. Financial Services Japan 0.020
LG ENERGY SOLUTION Industrial Goods and Services South Korea 0.020
Inpex Corp. Energy Japan 0.020
KINGSPAN GRP Construction and Materials Ireland 0.020
COLOPLAST B Health Care Denmark 0.020
TWILIO 'A' Technology USA 0.020
Toyota Tsusho Corp. Industrial Goods and Services Japan 0.020
Link Real Estate Investment Tr Real Estate Hong Kong 0.020
SUMITOMO MITSUI TRUST HOLDINGS Banks Japan 0.020
OWENS CORNING Construction and Materials USA 0.020
GEN DIGITAL Technology USA 0.020
RENTOKIL INITIAL Industrial Goods and Services UK 0.020
Host Hotels & Resorts Inc. Real Estate USA 0.020
LIVE NATION ENTM. Travel and Leisure USA 0.020
NORDSON Industrial Goods and Services USA 0.020
INFORMA Media UK 0.020
Formosa Plastics Corp Industrial Goods and Services Taiwan 0.020
SUPER MICRO COMPUTER Technology USA 0.020
KeyCorp Banks USA 0.020
LIBERTY FORMULA ONE C Media USA 0.020
EQUITY LIFESTYLE PROPS. Real Estate USA 0.020
BUNZL Industrial Goods and Services UK 0.020
PetroChina Co Ltd 'H' Energy China 0.020
Nomura Research Institute Ltd. Technology Japan 0.020
SANDOZ GROUP Health Care Switzerland 0.020
Loews Corp. Insurance USA 0.020
TRANSUNION Industrial Goods and Services USA 0.020
Coca-Cola Europacific Partners Food, Beverage and Tobacco USA 0.020
Check Point Software Technolog Technology USA 0.020
KAKAO CORP Technology South Korea 0.020
Cochlear Ltd. Health Care Australia 0.020
FNF Group Insurance USA 0.020
MANHATTAN ASSOCIATES Technology USA 0.020
DYNATRACE Technology USA 0.020
VAT GROUP AG Industrial Goods and Services Switzerland 0.019
AENA SME Industrial Goods and Services Spain 0.019
WILLIAMS SONOMA Retail USA 0.019
LOBLAW Personal Care, Drug and Grocery Stores Canada 0.019
TDK Corp. Technology Japan 0.019
VISTRA Utilities USA 0.019
SS&C TECHNOLOGIES HOLDING Technology USA 0.019
AES Corp. Utilities USA 0.019
International Paper Co. Basic Resources USA 0.019
Power Grid Corp of India Ltd Utilities India 0.019
NICE LTD Telecommunications Israel 0.019
AMBEV Food, Beverage and Tobacco Brazil 0.019
EDP ENERGIAS DE PORTUGAL Utilities Portugal 0.019
Flextronics International Ltd. Technology USA 0.019
OKTA CL.A Technology USA 0.019
E.Sun Fhc Banks Taiwan 0.019
Trimble Inc Industrial Goods and Services USA 0.019
BANDAI NAMCO HOLDINGS INC. Consumer Products and Services Japan 0.019
AECOM Construction and Materials USA 0.019
ALLIANT ENERGY CORP. Utilities USA 0.019
MONCLER Consumer Products and Services Italy 0.019
SGS Industrial Goods and Services Switzerland 0.019
DOCUSIGN Technology USA 0.019
ERSTE GROUP BANK Banks Austria 0.019
Uni-President Enterprises Corp Food, Beverage and Tobacco Taiwan 0.019
KERRY GRP Food, Beverage and Tobacco Ireland 0.019
LINDT & SPRUENGLI P Food, Beverage and Tobacco Switzerland 0.019
INTERPUBLIC GP. Media USA 0.019
Localiza Rnt Car Consumer Products and Services Brazil 0.019
Nan Ya Plastics Corp Chemicals Taiwan 0.019
J.M. Smucker Co. Food, Beverage and Tobacco USA 0.019
SEGRO Real Estate UK 0.019
Gold Fields Ltd Basic Resources South Africa 0.019
Revvity Health Care USA 0.019
Shimano Inc. Consumer Products and Services Japan 0.019
GAMING AND LEISURE PROPERTIES Real Estate USA 0.019
China Merchants Bank Co Ltd'H' Banks China 0.019
ENEOS HOLDINGS Energy Japan 0.019
BE SEMICONDUCTOR Technology Netherlands 0.018
LKQ Automobiles and Parts USA 0.018
NEXT Retail UK 0.018
EPIROC A Industrial Goods and Services Sweden 0.018
Indusind Bank Banks India 0.018
LINCOLN ELECTRIC HDG. Industrial Goods and Services USA 0.018
China Petroleum & Chemical 'H' Energy China 0.018
Nitori Co. Ltd. Retail Japan 0.018
MGM RESORTS INTERNATIONAL Travel and Leisure USA 0.018
VIATRIS Health Care USA 0.018
Brambles Ltd. Industrial Goods and Services Australia 0.018
TEXAS PACIFIC LAND CORP Energy USA 0.018
PT TELKOM INDONESIA TBK Telecommunications Indonesia 0.018
Jsw Steel Basic Resources India 0.018
Mosaic Co. Chemicals USA 0.018
BAYAN RESOURCES Energy Indonesia 0.018
Resona Holdings Inc. Banks Japan 0.018
Standard Bank Group Ltd/South Banks South Africa 0.018
Tata Steel Ltd Basic Resources India 0.018
JACK HENRY & ASSOCS. Industrial Goods and Services USA 0.018
BIO TECHNE CORP Health Care USA 0.018
TELEFLEX Health Care USA 0.018
Kansai Electric Power Co. Inc. Utilities Japan 0.018
TOPBUILD Construction and Materials USA 0.018
EXACT SCIENCES CORP Health Care USA 0.018
ROKU Telecommunications USA 0.018
Kirin Holdings Co. Ltd. Food, Beverage and Tobacco Japan 0.018
EVERGY Utilities USA 0.018
Kikkoman Corp. Food, Beverage and Tobacco Japan 0.018
BURLINGTON STORES Retail USA 0.018
ECOPRO BM Industrial Goods and Services South Korea 0.018
OVINTIV Energy USA 0.018
CHAS.RVR.LABS.INTL. Health Care USA 0.018
EXOR NV Financial Services Netherlands 0.018
CarMax Inc. Retail USA 0.018
Obic Co. Ltd. Technology Japan 0.017
CARLSBERG B Food, Beverage and Tobacco Denmark 0.017
TERNA Utilities Italy 0.017
BENTLEY SYSTEMS B Technology USA 0.017
NEUROCRINE BIOSCIENCES Health Care USA 0.017
PENTAIR Industrial Goods and Services USA 0.017
RYANAIR Travel and Leisure Ireland 0.017
REXFORD INDUSTRIAL REAL. Real Estate USA 0.017
SUNCORP GROUP LTD. Insurance Australia 0.017
SMITH & NEPHEW Health Care UK 0.017
Teva Pharmaceutical Industries Health Care Israel 0.017
RB GLOBAL Consumer Products and Services Canada 0.017
UNITED THERAPEUTICS Health Care USA 0.017
Bank Leumi Le-Israel BM Banks Israel 0.017
PRYSMIAN Industrial Goods and Services Italy 0.017
UDR Real Estate USA 0.017
KPN Telecommunications Netherlands 0.017
AGRICULTURAL BANK OF CHINA 'H' Banks China 0.017
SAMSUNG C&T CORP Construction and Materials South Korea 0.017
CNH Industrial NV Industrial Goods and Services Italy 0.017
CNH Industrial NV Industrial Goods and Services USA 0.017
ROLLINS Consumer Products and Services USA 0.017
Bank Hapoalim BM Banks Israel 0.017
ROYALTY PHARMA A Health Care USA 0.017
Hyundai Mobis Automobiles and Parts South Korea 0.017
AMERICAN HOMES 4 RENT CL.A Real Estate USA 0.017
Public Bank Bhd Banks Malaysia 0.017
Metro Inc. Cl A Personal Care, Drug and Grocery Stores Canada 0.017
JULIUS BAER GRP Financial Services Switzerland 0.017
PANDORA Consumer Products and Services Denmark 0.017
ALFA LAVAL Industrial Goods and Services Sweden 0.017
NIBE INDUSTRIER B Construction and Materials Sweden 0.017
FLOOR & DECOR HOLDINGS 'A' Retail USA 0.017
Lenovo Group Ltd. Technology China 0.017
NRG Energy Inc. Utilities USA 0.017
EQUITABLE HOLDINGS Financial Services USA 0.017
SM Investments Corp Retail Philippines 0.016
OPEN TEXT Technology Canada 0.016
CARLYLE GROUP Financial Services USA 0.016
Eletrobras SA Utilities Brazil 0.016
SUBARU CORPORATION Automobiles and Parts Japan 0.016
MOLSON COORS BEVERAGE B Food, Beverage and Tobacco USA 0.016
ITAUSA - PREF Financial Services Brazil 0.016
NIO 'A' Automobiles and Parts Hong Kong 0.016
QORVO Technology USA 0.016
SAIA Industrial Goods and Services USA 0.016
Globe Life Insurance USA 0.016
Yuanta Financial Holding Co Lt Financial Services Taiwan 0.016
NiSource Inc. Utilities USA 0.016
NUTANIX CL.A Technology USA 0.016
NOVOZYMES Health Care Denmark 0.016
WESTROCK Industrial Goods and Services USA 0.016
HALMA Industrial Goods and Services UK 0.016
PAYCOM SOFTWARE Technology USA 0.016
Crown Holdings Inc. Industrial Goods and Services USA 0.016
APA Energy USA 0.016
Tokyo Gas Co. Ltd. Utilities Japan 0.016
Weg SA Industrial Goods and Services Brazil 0.016
FIVE BELOW Retail USA 0.016
CHINA SHENHUA EN. 'H' Energy China 0.016
US FOODS HOLDING Food, Beverage and Tobacco USA 0.016
Shiseido Co. Ltd. Consumer Products and Services Japan 0.016
REGENCY CENTERS Real Estate USA 0.016
BOUYGUES Construction and Materials France 0.016
Mitsui O.S.K. Lines Ltd. Industrial Goods and Services Japan 0.016
OTP BANK Banks Hungary 0.016
Yaskawa Electric Corp. Industrial Goods and Services Japan 0.016
HEALTHPEAK OP Real Estate USA 0.016
HENNES & MAURITZ B Retail Sweden 0.016
Bajaj Auto Ltd Consumer Products and Services India 0.016
China Steel Corp Basic Resources Taiwan 0.016
CERIDIAN HCM HOLDING Technology USA 0.016
PKO BANK Banks Poland 0.016
REINSURANCE GROUP OF AM. Insurance USA 0.016
JAPAN EXCHANGE GROUP Financial Services Japan 0.016
UIPATH A Technology USA 0.016
ANA HOLDINGS Travel and Leisure Japan 0.016
CAMDEN PROPERTY TST. Real Estate USA 0.016
CK Asset Holdings Ltd Real Estate Hong Kong 0.016
Nestle India Food, Beverage and Tobacco India 0.016
F5 INC. Technology USA 0.016
MARKETAXESS HOLDINGS Financial Services USA 0.016
NN GROUP Insurance Netherlands 0.016
XERO Technology Australia 0.016
Eastman Chemical Co. Chemicals USA 0.016
SNAM RETE GAS Energy Italy 0.016
PURE STORAGE CL.A Technology USA 0.016
NONGFU SPRING 'H' Food, Beverage and Tobacco China 0.015
ADANI PORTS SEZ Industrial Goods and Services India 0.015
CHAILEASE HOLDING Financial Services Taiwan 0.015
ORSTED Utilities Denmark 0.015
China Resources Land Ltd. Real Estate China 0.015
TOLL BROS. Consumer Products and Services USA 0.015
PERFORMANCE FOOD GROUP Personal Care, Drug and Grocery Stores USA 0.015
EIFFAGE Construction and Materials France 0.015
SCENTRE GROUP Real Estate Australia 0.015
CAESARS ENTERTAINMENT Travel and Leisure USA 0.015
ALLEGION Industrial Goods and Services USA 0.015
UNITY SOFTWARE Technology USA 0.015
Hindalco Basic Resources India 0.015
SERVICE CORP.INTL. Consumer Products and Services USA 0.015
Boston Properties Inc. Real Estate USA 0.015
WPP Media UK 0.015
Credicorp Banks Peru 0.015
EMCOR GROUP Construction and Materials USA 0.015
NORTHERN STAR Basic Resources Australia 0.015
Amdocs Ltd. Technology USA 0.015
West Japan Railway Co. Industrial Goods and Services Japan 0.015
CUBESMART Real Estate USA 0.015
ZOMATO Technology India 0.015
ASSOCIATED BRITISH FOODS Food, Beverage and Tobacco UK 0.015
Dr Reddys Lab Health Care India 0.015
EMERA Utilities Canada 0.015
TRADEWEB MARKETS A Financial Services USA 0.015
HUNTINGTON INGALLS INDUSTRIES Industrial Goods and Services USA 0.015
Chubu Electric Power Co. Inc. Utilities Japan 0.015
EAST WS.BANC. Banks USA 0.015
FORTUNE BRANDS INNOVATIONS Construction and Materials USA 0.015
BT GRP Telecommunications UK 0.015
RenaissanceRe Holdings Ltd. Insurance USA 0.015
NOVATEK Microele Technology Taiwan 0.015
CHESAPEAKE ENERGY Energy USA 0.015
Sonic Healthcare Ltd. Health Care Australia 0.015
CASEY'S GENERAL STORES Personal Care, Drug and Grocery Stores USA 0.015
Asahi Kasei Corp. Chemicals Japan 0.015
CENTRICA Utilities UK 0.015
SAMSUNG BIOLOGICS Health Care South Korea 0.015
ETSY Retail USA 0.015
ECOPRO Chemicals South Korea 0.015
South32 Australia Basic Resources Australia 0.015
XPO Industrial Goods and Services USA 0.015
C.H. Robinson Worldwide Inc. Industrial Goods and Services USA 0.015
Sumitomo Electric Industries L Automobiles and Parts Japan 0.015
Daiwa Securities Group Inc. Financial Services Japan 0.015
CARREFOUR Personal Care, Drug and Grocery Stores France 0.015
SMITH (AO) Construction and Materials USA 0.015
Annaly Capital Management Inc. Financial Services USA 0.015
UCB Health Care Belgium 0.015
CAPITEC BANK Banks South Africa 0.015
AFFIRM HOLDINGS A Industrial Goods and Services USA 0.015
HF SINCLAIR Energy USA 0.015
SMURFIT KAPPA GRP Industrial Goods and Services Ireland 0.015
SCHINDLER P Industrial Goods and Services Switzerland 0.014
ACS Construction and Materials Spain 0.014
NVENT ELECTRIC Industrial Goods and Services USA 0.014
Liberty Broadband Cl C Telecommunications USA 0.014
REGAL REXNORD Industrial Goods and Services USA 0.014
Sysmex Corp. Health Care Japan 0.014
TFI INTERNATIONAL Industrial Goods and Services Canada 0.014
Henry Schein Inc. Health Care USA 0.014
First FHC Banks Taiwan 0.014
Asustek Computer Inc Technology Taiwan 0.014
BOC Hong Kong (Holdings) Ltd. Banks China 0.014
Imperial Oil Ltd. Energy Canada 0.014
SPIRAX-SARCO Industrial Goods and Services UK 0.014
ALBERTSONS COMPANY A Personal Care, Drug and Grocery Stores USA 0.014
IMCD Chemicals Netherlands 0.014
LATTICE SEMICONDUCTOR Technology USA 0.014
GRASIM INDUSTRIES Construction and Materials India 0.014
HEINEKEN HLDG Food, Beverage and Tobacco Netherlands 0.014
BANK OF IRELAND GROUP Banks Ireland 0.014
SHENZHOU INTL.GP.HDG. Consumer Products and Services Hong Kong 0.014
MATCH GROUP Technology USA 0.014
CLEVELAND CLIFFS Basic Resources USA 0.014
ITT INC. Industrial Goods and Services USA 0.014
GLOBANT Technology USA 0.014
CP ALL PCL Personal Care, Drug and Grocery Stores Thailand 0.014
ZILLOW GROUP CLASS C Real Estate USA 0.014
AMERICAN AIRLINES GRP Travel and Leisure USA 0.014
ALLY FINANCIAL Financial Services USA 0.014
LY CORPORATION Technology Japan 0.014
UNITED UTILITIES GRP Utilities UK 0.014
MITSUBISHI CHEMICAL GROUP Chemicals Japan 0.014
Malayan Banking Bhd Banks Malaysia 0.014
BATH & BODY WORKS INC Retail USA 0.014
China Life Insurance Co 'H' Insurance China 0.014
REPLIGEN Health Care USA 0.014
PENUMBRA Health Care USA 0.014
Juniper Networks Inc. Telecommunications USA 0.014
LAMAR ADVR.'A' Real Estate USA 0.014
PAN PACIFIC INTL HLDG Retail Japan 0.014
ROBERT HALF Industrial Goods and Services USA 0.014
TAIWAN COOP.FINL.HLDG. Banks Taiwan 0.014
Insurance Australia Group Ltd. Insurance Australia 0.014
Origin Energy Ltd. Utilities Australia 0.014
LARGAN Precision Technology Taiwan 0.014
Wynn Resorts Ltd. Travel and Leisure USA 0.014
Pidilite Inds Chemicals India 0.014
FINECOBANK Banks Italy 0.014
BEIGENE Health Care Hong Kong 0.014
Omron Corp. Technology Japan 0.014
CRODA INTERNATIONAL Chemicals UK 0.014
ORLEN Energy Poland 0.014
SODEXO Travel and Leisure France 0.013
TORO Industrial Goods and Services USA 0.013
DICK'S SPORTING GOODS Retail USA 0.013
ADMIRAL GRP Insurance UK 0.013
WISETECH GLOBAL Technology Australia 0.013
BGK.DUSIT MED.SVS. Health Care Thailand 0.013
Computershare Ltd. Financial Services Australia 0.013
HYDRO ONE Utilities Canada 0.013
AEGON Insurance Netherlands 0.013
Formosa Chemicals & Fibre Corp Chemicals Taiwan 0.013
MELROSE INDUSTRIES Industrial Goods and Services UK 0.013
CHURCHILL DOWNS Travel and Leisure USA 0.013
AMERICAN FINL.GP.OHIO Insurance USA 0.013
HORMEL FOODS Food, Beverage and Tobacco USA 0.013
SOFI TECHNOLOGIES Financial Services USA 0.013
NEWS CORP 'A' Media USA 0.013
RENAULT Automobiles and Parts France 0.013
Cipla Ltd Health Care India 0.013
WEBSTER FINANCIAL Banks USA 0.013
Yamaha Motor Co. Ltd. Consumer Products and Services Japan 0.013
BJAS WHOLESALE CLUB HOLDINGS Retail USA 0.013
Campbell Soup Co. Food, Beverage and Tobacco USA 0.013
KNIGHT SWIFT TRANSN HLDGS Industrial Goods and Services USA 0.013
Hana Financial G Banks South Korea 0.013
AUTOLIV Automobiles and Parts USA 0.013
ADVANCED DRAINAGE SYS. Construction and Materials USA 0.013
WILLSCOT MOBILE MINI HOLDINGS Industrial Goods and Services USA 0.013
TETRA TECH Construction and Materials USA 0.013
TECHNIPFMC Energy USA 0.013
Hotai Motor Retail Taiwan 0.013
CLEAN HARBORS Utilities USA 0.013
UNITED STATES STEEL Basic Resources USA 0.013
TOPPAN Holdings Industrial Goods and Services Japan 0.013
JFE Holdings Inc. Basic Resources Japan 0.013
ESSENTIAL UTILITIES Utilities USA 0.013
Ono Pharmaceutical Co. Ltd. Health Care Japan 0.013
JONES LANG LASALLE Real Estate USA 0.013
VAIL RESORTS Travel and Leisure USA 0.013
JAPAN AIRLINES Travel and Leisure Japan 0.013
Great-West Lifeco Inc. Insurance Canada 0.013
TREX Construction and Materials USA 0.013
Tech Mahindra Technology India 0.013
FISHER & PAYKEL HLTHCR. Health Care New Zealand 0.013
SAREPTA THERAPEUTICS Health Care USA 0.013
CHEMED Health Care USA 0.013
NORWEGIAN CRUISE LINE Travel and Leisure USA 0.013
Assurant Inc. Insurance USA 0.013
TEMPUR SEALY INTL. Consumer Products and Services USA 0.013
HDFC LIFE INSURANCE Insurance India 0.013
SM Prime Holdings Inc Real Estate Philippines 0.013
AKER BP Energy Norway 0.013
MONDI Industrial Goods and Services UK 0.013
CYBER ARK SOFTWARE Technology USA 0.013
WHITBREAD Travel and Leisure UK 0.013
Taiwan Mobile Co Ltd Telecommunications Taiwan 0.013
MINEBEA MITSUMI Industrial Goods and Services Japan 0.013
Franklin Resources Inc. Financial Services USA 0.013
Unum Group Insurance USA 0.013
MTN Group Ltd Telecommunications South Africa 0.013
PEARSON Media UK 0.013
INTERACTIVE BROKERS GROUP A Financial Services USA 0.013
TOKYO ELECTRIC POWER CO. HLDG. Utilities Japan 0.013
GULF ENERGY DEVELOPMENT Utilities Thailand 0.013
NORSK HYDRO Basic Resources Norway 0.013
Osaka Gas Co. Ltd. Utilities Japan 0.013
Nissin Foods Holdings Co. Ltd. Food, Beverage and Tobacco Japan 0.013
Wistron Technology Taiwan 0.013
LITHIA MOTORS 'A' Retail USA 0.013
GRAB HOLDINGS A Consumer Products and Services USA 0.013
Liteon Tech Technology Taiwan 0.013
SEVERN TRENT Utilities UK 0.013
NIPPON PAINT HOLDINGS Industrial Goods and Services Japan 0.013
T&D Holdings Inc. Insurance Japan 0.013
UNIVERSAL HEALTH SVS.'B' Health Care USA 0.013
EVERGREEN MARINE Industrial Goods and Services Taiwan 0.012
INTERTEK GRP Industrial Goods and Services UK 0.012
Toray Industries Inc. Chemicals Japan 0.012
BOLIDEN Basic Resources Sweden 0.012
EASTGROUP PROPS. Real Estate USA 0.012
Pinnacle West Capital Corp. Utilities USA 0.012
POSCO FUTURE M Basic Resources South Korea 0.012
STORA ENSO R Basic Resources Finland 0.012
Accton Telecommunications Taiwan 0.012
Bangkok Bank PCL Banks Thailand 0.012
Hang Seng Bank Ltd. Banks Hong Kong 0.012
SVENSKA CELLULOSA B Basic Resources Sweden 0.012
SKECHERS USA 'A' Consumer Products and Services USA 0.012
APTARGROUP Industrial Goods and Services USA 0.012
ERIE INDEMNITY 'A' Insurance USA 0.012
OLD REPUBLIC INTL. Insurance USA 0.012
EUROFINS SCIENTIFIC Health Care France 0.012
Sumitomo Metal Mining Co. Ltd. Basic Resources Japan 0.012
SIMPSON MNFG. Construction and Materials USA 0.012
TAPESTRY INC. Consumer Products and Services USA 0.012
UNIVERSAL DISPLAY Technology USA 0.012
DUOLINGO A Consumer Products and Services USA 0.012
CHR HANSEN HLDG Health Care Denmark 0.012
Jardine Matheson Holdings Ltd. Industrial Goods and Services Singapore 0.012
ZIJIN MINING GROUP H Basic Resources China 0.012
BorgWarner Inc. Automobiles and Parts USA 0.012
AUTO TRADER GROUP Technology UK 0.012
ADECCO Industrial Goods and Services Switzerland 0.012
GUIDEWIRE SOFTWARE Technology USA 0.012
LG Electronics Inc Consumer Products and Services South Korea 0.012
XP A Financial Services USA 0.012
BERRY GLOBAL GROUP Industrial Goods and Services USA 0.012
Hong Kong & China Gas Co. Ltd. Utilities Hong Kong 0.012
AGC Industrial Goods and Services Japan 0.012
LG Corp Industrial Goods and Services South Korea 0.012
DLF Ltd Real Estate India 0.012
WEX INC Industrial Goods and Services USA 0.012
HEICO Industrial Goods and Services USA 0.012
ELASTIC Technology USA 0.012
SUZANO Basic Resources Brazil 0.012
Nissan Motor Co. Ltd. Automobiles and Parts Japan 0.012
Shimadzu Corp. Industrial Goods and Services Japan 0.012
Samsung Fire & Marine Insuranc Insurance South Korea 0.012
Trent Retail India 0.012
Kasikornbank PCL Banks Thailand 0.012
A.P.MOLLER-MAERSK B Industrial Goods and Services Denmark 0.012
AMERICOLD REALTY TRUST Real Estate USA 0.012
AVENUE SUPERMARTS Retail India 0.012
ASX Ltd. Financial Services Australia 0.012
ARC RESOURCES LTD Energy Canada 0.012
Isuzu Motors Ltd. Automobiles and Parts Japan 0.012
SWISS PRIME SITE Real Estate Switzerland 0.012
GENERAC HOLDINGS Industrial Goods and Services USA 0.012
TENARIS Energy Italy 0.012
Keisei Electric Railway Co. Lt Industrial Goods and Services Japan 0.012
WESCO INTL. Industrial Goods and Services USA 0.012
ANTOFAGASTA Basic Resources UK 0.012
DONALDSON CO. Industrial Goods and Services USA 0.012
RAIA DROGASIL Personal Care, Drug and Grocery Stores Brazil 0.012
CAPITALAND ASCENDAS REIT Real Estate Singapore 0.012
Kajima Corp. Construction and Materials Japan 0.012
SinoPac Fin. Ho. Banks Taiwan 0.012
New York Community Bancorp Inc Banks USA 0.012
Britannia Indu Food, Beverage and Tobacco India 0.012
PARAMOUNT GLOBAL Media USA 0.012
INVESCO Ltd. Financial Services USA 0.012
Federal Realty Interim REIT Real Estate USA 0.012
Realtek Semicon Technology Taiwan 0.012
ELF BEAUTY Consumer Products and Services USA 0.012
RBC BEARINGS Basic Resources USA 0.012
Twn Cement Construction and Materials Taiwan 0.012
VOYA FINANCIAL Financial Services USA 0.012
PICC P&C 'H' Insurance China 0.012
SWATCH BEARER Consumer Products and Services Switzerland 0.012
BANCO BPM Banks Italy 0.012
ROYAL GOLD Basic Resources USA 0.012
NTT DATA GROUP Technology Japan 0.012
SBI LIFE INSURANCE CO. Insurance India 0.012
ADANI GREEN ENERGY Utilities India 0.012
NOV INC. Energy USA 0.012
KINSALE CAPITAL GROUP Insurance USA 0.012
PRIO Energy Brazil 0.012
DARLING INGREDIENTS Food, Beverage and Tobacco USA 0.012
RANDSTAD Industrial Goods and Services Netherlands 0.012
Apollo Hospitals Health Care India 0.012
WESTON GEORGE Personal Care, Drug and Grocery Stores Canada 0.012
KARUNA THERAPEUTICS Health Care USA 0.012
POWER ASSETS HOLDINGS LTD Utilities Hong Kong 0.011
MINERAL RESOURCES Basic Resources Australia 0.011
Unimicron Tech. Technology Taiwan 0.011
CAR GROUP Technology Australia 0.011
ROBINHOOD MARKETS A Financial Services USA 0.011
FIRST HORIZON Banks USA 0.011
MIDDLEBY Industrial Goods and Services USA 0.011
CURTISS WRIGHT Industrial Goods and Services USA 0.011
STANTEC Construction and Materials Canada 0.011
NNN REIT Real Estate USA 0.011
Wipro Ltd Technology India 0.011
SMITHS GRP Industrial Goods and Services UK 0.011
Hua Nan Financial Holdings Co Banks Taiwan 0.011
TENET HLTHCR. Health Care USA 0.011
MURPHY USA Retail USA 0.011
Hankyu Hanshin Holdings Inc. Industrial Goods and Services Japan 0.011
BILL HOLDINGS Industrial Goods and Services USA 0.011
Nitto Denko Corp. Chemicals Japan 0.011
LIGHT & WONDER Travel and Leisure USA 0.011
MOWI Food, Beverage and Tobacco Norway 0.011
CAPTIALAND INT COMM TRUST Real Estate Singapore 0.011
UFP Industries Basic Resources USA 0.011
WOODWARD INC Industrial Goods and Services USA 0.011
Makita Corp. Consumer Products and Services Japan 0.011
ENTAIN Travel and Leisure UK 0.011
DAIFUKU Industrial Goods and Services Japan 0.011
AGEAS Insurance Belgium 0.011
Tokyu Corp. Industrial Goods and Services Japan 0.011
Dai Nippon Printing Co. Ltd. Industrial Goods and Services Japan 0.011
KT&G Corp Food, Beverage and Tobacco South Korea 0.011
RAMBUS Technology USA 0.011
Rohm Co. Ltd. Technology Japan 0.011
ALCHIP TECHNOLOGIES Technology Taiwan 0.011
VIVENDI Media France 0.011
SYENSQO Basic Resources Belgium 0.011
FOX CORP 'A' Media USA 0.011
TRYG Insurance Denmark 0.011
Ibiden Co. Ltd. Technology Japan 0.011
OMEGA HLTHCR.INVRS. Real Estate USA 0.011
AGCO Industrial Goods and Services USA 0.011
EQUATORIAL ON Utilities Brazil 0.011
CELSIUS HOLDINGS Food, Beverage and Tobacco USA 0.011
TELEPERFORMANCE Industrial Goods and Services France 0.011
SITEONE LANDSCAPE SUPPLY Retail USA 0.011
SCREEN HOLDINGS Technology Japan 0.011
AIRPORTS OF THAILAND Industrial Goods and Services Thailand 0.011
ICTSI Industrial Goods and Services Philippines 0.011
Eicher Motors Consumer Products and Services India 0.011
Adani Power Utilities India 0.011
PRIMERICA Insurance USA 0.011
CATALENT Health Care USA 0.011
Daito Trust Construction Co. L Real Estate Japan 0.011
TRELLEBORG B Industrial Goods and Services Sweden 0.011
SCB X PUBLIC COMPANY LIMITED Banks Thailand 0.011
EXELIXIS Health Care USA 0.011
PILBARA MINERALS Basic Resources Australia 0.011
Keppel Corp. Ltd. Utilities Singapore 0.011
GRAPHIC PACKAGING HDG Industrial Goods and Services USA 0.011
PVH CORP. Consumer Products and Services USA 0.011
FMC Corp. Chemicals USA 0.011
Wilmar International Ltd. Food, Beverage and Tobacco Singapore 0.011
Onto Innovation Technology USA 0.011
DROPBOX A Technology USA 0.011
Kinross Gold Corp. Basic Resources Canada 0.011
TELENOR Telecommunications Norway 0.011
GENTEX Automobiles and Parts USA 0.011
LEAR Automobiles and Parts USA 0.011
UNIBAIL-RODAMCO-WESTFIELD Real Estate France 0.011
WINGSTOP Travel and Leisure USA 0.011
Astra International Tbk PT Automobiles and Parts Indonesia 0.011
VF Corp. Consumer Products and Services USA 0.011
TEXAS ROADHOUSE Travel and Leisure USA 0.011
IMMUNOGEN Health Care USA 0.011
GRUPO AERO. PACIFICO Industrial Goods and Services Mexico 0.011
NEXON Consumer Products and Services Japan 0.011
DCC Industrial Goods and Services UK 0.011
BURBERRY Consumer Products and Services UK 0.011
ABSA GROUP LTD Banks South Africa 0.011
MATSUKIYOCOCOKARA Personal Care, Drug and Grocery Stores Japan 0.011
QUALYS Technology USA 0.011
Comerica Inc. Banks USA 0.011
GXO LOGISTICS Industrial Goods and Services USA 0.011
DENTSPLY SIRONA Health Care USA 0.011
Bharat Electroni Industrial Goods and Services India 0.011
COMFORT SYS.USA Construction and Materials USA 0.011
ACCOR Travel and Leisure France 0.011
CACI INTERNATIONAL 'A' Technology USA 0.011
Stockland Real Estate Australia 0.011
HULIC Real Estate Japan 0.011
SIG GROUP AG Industrial Goods and Services Switzerland 0.011
Range Resources Corp. Energy USA 0.011
Power Fncs Financial Services India 0.011
EAGLE MATERIALS Construction and Materials USA 0.011
COGNEX Industrial Goods and Services USA 0.011
KBR Technology USA 0.011
GFL ENVIRONMENTAL Utilities Canada 0.011
The Lottery Corporation Travel and Leisure Australia 0.011
BRUKER Health Care USA 0.011
SHRIRAM FINANCE Financial Services India 0.011
DESCARTES SYSTEMS GROUP Technology Canada 0.011
BELLRING BRANDS Food, Beverage and Tobacco USA 0.011
API GROUP Construction and Materials USA 0.011
Taishin Fhc Banks Taiwan 0.011
BUREAU VERITAS Industrial Goods and Services France 0.011
IONIS PHARMACEUTICALS Health Care USA 0.011
Oil & Natural Gas Corp Ltd Energy India 0.011
GRP BRUXELLES LAMBERT Financial Services Belgium 0.011
OGE EN. Utilities USA 0.011
ARAMARK Travel and Leisure USA 0.011
SEI INVESTMENTS Financial Services USA 0.011
JEFFERIES FINANCIAL GROUP Financial Services USA 0.010
SHANGHAI COMMERCIAL Banks Taiwan 0.010
NEW YORK TIMES 'A' Media USA 0.010
BRIXMOR PROPERTY GROUP Real Estate USA 0.010
M3 Health Care Japan 0.010
COMMERCE BCSH. Banks USA 0.010
FIRST INDUSTRIAL REALTY TRUST Real Estate USA 0.010
Southern Copper Corp. Basic Resources USA 0.010
IA FINANCIAL CORP Insurance Canada 0.010
INGREDION INC Food, Beverage and Tobacco USA 0.010
ASR NEDERLAND NV Insurance Netherlands 0.010
OSHKOSH Industrial Goods and Services USA 0.010
BARRATT DEVELOPMENTS Consumer Products and Services UK 0.010
BWX TECHNOLOGIES Industrial Goods and Services USA 0.010
SG HOLDINGS Industrial Goods and Services Japan 0.010
BALOISE Insurance Switzerland 0.010
TOROMONT INDUSTRIES Industrial Goods and Services Canada 0.010
WESTERN ALLIANCE BANCORP Banks USA 0.010
WARTSILA Industrial Goods and Services Finland 0.010
PAYLOCITY HOLDING Industrial Goods and Services USA 0.010
STIFEL FINL. Financial Services USA 0.010
ACADIA HEALTHCARE CO. Health Care USA 0.010
STAG INDUSTRIAL Real Estate USA 0.010
EURONEXT Financial Services France 0.010
JERONIMO MARTINS Personal Care, Drug and Grocery Stores Portugal 0.010
Southwestern Energy Co. Energy USA 0.010
INDUTRADE Industrial Goods and Services Sweden 0.010
GALP ENERGIA Energy Portugal 0.010
TOAST A Technology USA 0.010
MICROSTRATEGY Technology USA 0.010
BCO SABADELL Banks Spain 0.010
SHOCKWAVE MEDICAL Health Care USA 0.010
LANDSTAR SYSTEM Industrial Goods and Services USA 0.010
ARROW ELECTRONICS Technology USA 0.010
PZU GROUP Insurance Poland 0.010
LTIMINDTREE Technology India 0.010
MEDPACE HOLDINGS Health Care USA 0.010
BlueScope Steel Ltd. Basic Resources Australia 0.010
FABRINET Technology USA 0.010
H&R Block Inc. Consumer Products and Services USA 0.010
SHARKNINJA Consumer Products and Services USA 0.010
CIMB Group Holdings Bhd Banks Malaysia 0.010
Yakult Honsha Co. Ltd. Food, Beverage and Tobacco Japan 0.010
Yageo Technology Taiwan 0.010
ADVANCED INFO SERVICE PCL Telecommunications Thailand 0.010
BIO-RAD LABORATORIES 'A' Health Care USA 0.010
LAND SECURITIES Real Estate UK 0.010
SKF B Basic Resources Sweden 0.010
CHORD ENERGY Energy USA 0.010
FTI CONSULTING Industrial Goods and Services USA 0.010
CEZ Utilities Czech Republic 0.010
Redeia Corporacion Utilities Spain 0.010
ELANCO ANIMAL HEALTH Health Care USA 0.010
AXALTA COATING SYSTEMS Industrial Goods and Services USA 0.010
SPS COMMERCE Technology USA 0.010
CDIBH Insurance Taiwan 0.010
NATERA Health Care USA 0.010
STARWOOD PROPERTY TRUST Financial Services USA 0.010
Samsung Electro-Mechanics Co L Technology South Korea 0.010
ENDESA Utilities Spain 0.010
Siam Cement PCL Industrial Goods and Services Thailand 0.010
Mattel Inc. Consumer Products and Services USA 0.010
Cholamandalam Financial Services India 0.010
Singapore Airlines Ltd. Travel and Leisure Singapore 0.010
CHINA RESOURCES BEER (HLDG) Food, Beverage and Tobacco China 0.010
KT Corp Telecommunications South Korea 0.010
PINNACLE FINANCIAL PTNS. Banks USA 0.010
Coal India Energy India 0.010
SAINSBURY (J) Personal Care, Drug and Grocery Stores UK 0.010
MATADOR RESOURCES Energy USA 0.010
Sands China Ltd. Travel and Leisure Hong Kong 0.010
VARUN BEVERAGES Food, Beverage and Tobacco India 0.010
ELISA CORPORATION Telecommunications Finland 0.010
BRUNSWICK Industrial Goods and Services USA 0.010
B&M EUROPEAN VALUE RETAIL Retail UK 0.010
FIRST AMERICAN FINANCIAL Insurance USA 0.010
OLIN Chemicals USA 0.010
MEDIBANK PRIVATE Insurance Australia 0.010
CAE Industrial Goods and Services Canada 0.010
M&G Financial Services UK 0.010
MITSUBISHI HC CAPITAL Financial Services Japan 0.010
Murphy Oil Corp. Energy USA 0.010
SKANSKA B Construction and Materials Sweden 0.010
CROCS Consumer Products and Services USA 0.010
SOUTH STATE Banks USA 0.010
MEDIOBANCA Financial Services Italy 0.010
BERKELEY GRP HLDG Consumer Products and Services UK 0.010
ENCOMPASS HEALTH Health Care USA 0.010
Wyndham Hotels & Resorts Travel and Leisure USA 0.010
Taisei Corp. Construction and Materials Japan 0.010
Banco de Oro Unibank Inc Banks Philippines 0.010
Hasbro Inc. Consumer Products and Services USA 0.010
MARKS & SPENCER GRP Retail UK 0.010
DaVita Inc. Health Care USA 0.010
HEALTHCARE REAL.TST. Real Estate USA 0.010
RYMAN HOSPITALITY PROPERTIES Real Estate USA 0.010
ANGLOGOLD ASHANTI Basic Resources South Africa 0.010
Whirlpool Corp. Consumer Products and Services USA 0.010
LEONARDO Industrial Goods and Services Italy 0.010
PEKAO Banks Poland 0.010
INSIGHT ENTS. Technology USA 0.010
Far EasTone Telecommunications Telecommunications Taiwan 0.010
CIENA Telecommunications USA 0.010
ZIONS BANCORP. Banks USA 0.010
Meiji Holdings Co. Ltd. Food, Beverage and Tobacco Japan 0.010
REC Financial Services India 0.010
TAYLOR WIMPEY Consumer Products and Services UK 0.010
LITTELFUSE Industrial Goods and Services USA 0.010
China Overseas Land & Investme Real Estate China 0.010
Element Fleet Management Corp. Industrial Goods and Services Canada 0.010
ABN AMRO BANK Banks Netherlands 0.010
CCL INDS.'B' Industrial Goods and Services Canada 0.010
CULLEN FO.BANKERS Banks USA 0.010
ARKEMA Chemicals France 0.009
Mazda Motor Corp. Automobiles and Parts Japan 0.009
WIX COM Technology USA 0.009
MAROC TELECOM Telecommunications Morocco 0.009
MERITAGE HOMES Consumer Products and Services USA 0.009
AISIN Automobiles and Parts Japan 0.009
METSO Industrial Goods and Services Finland 0.009
Central Pattana PCL Real Estate Thailand 0.009
CELLTRION HEALTHCARE Health Care South Korea 0.009
ACUITY BRANDS Construction and Materials USA 0.009
VICINITY CENTRES Real Estate Australia 0.009
APPLIED INDL.TECHS. Industrial Goods and Services USA 0.009
AUSTRALIAN PIPELINE Energy Australia 0.009
Auckland International Airport Industrial Goods and Services New Zealand 0.009
CANADIAN APARTMENT PROP REIT Real Estate Canada 0.009
Ramsay Health Care Ltd. Health Care Australia 0.009
Banco de Chile Banks Chile 0.009
HINDUSTAN AERONAUTICS Industrial Goods and Services India 0.009
FORTUM Utilities Finland 0.009
U-HAUL HOLDING COMPANY B Consumer Products and Services USA 0.009
SENTINELONE A Technology USA 0.009
FUJI ELECTRIC Industrial Goods and Services Japan 0.009
HOULIHAN LOKEY CL.A Financial Services USA 0.009
Qantas Airways Ltd. Travel and Leisure Australia 0.009
SCIENCE APPS INTL Technology USA 0.009
ENSIGN GROUP Health Care USA 0.009
TATA CONSUMER PRODUCTS Food, Beverage and Tobacco India 0.009
ANTERO RESOURCES Energy USA 0.009
PSP SWISS PROPERTY Real Estate Switzerland 0.009
PROSPERITY BCSH. Banks USA 0.009
CITIC LTD. Industrial Goods and Services China 0.009
EVERCORE 'A' Financial Services USA 0.009
VERBUND Utilities Austria 0.009
HAIER SMART HOME H 'H' Consumer Products and Services China 0.009
SMARTSHEET A Technology USA 0.009
Grupo Financiero Inbursa SA Banks Mexico 0.009
SPIRIT REALTY CAPITAL Real Estate USA 0.009
INTERMEDIATE CAPITAL GRP Financial Services UK 0.009
BidCorp Ltd Personal Care, Drug and Grocery Stores South Africa 0.009
Bajaj Holdings Financial Services India 0.009
OMV Energy Austria 0.009
Idemitsu Kosan Co. Ltd. Energy Japan 0.009
THOR INDUSTRIES Consumer Products and Services USA 0.009
Obayashi Corp. Construction and Materials Japan 0.009
HERO METOCORP Consumer Products and Services India 0.009
TURK HAVA YOLLARI Travel and Leisure Turkey 0.009
RAKUTEN GROUP Technology Japan 0.009
SARTORIUS STEDIM BIOTECH Health Care France 0.009
MSA SAFETY Industrial Goods and Services USA 0.009
WISE A Industrial Goods and Services UK 0.009
HEXCEL Basic Resources USA 0.009
CAPCOM Consumer Products and Services Japan 0.009
Coherent Technology USA 0.009
MKS INSTRUMENTS Industrial Goods and Services USA 0.009
FRONTIER COMMUNICATIONS PARENT Telecommunications USA 0.009
Sumitomo Forestry Co. Ltd. Consumer Products and Services Japan 0.009
CHAMPIONX Energy USA 0.009
ON HOLDING A Consumer Products and Services USA 0.009
WIWYNN CORPORATION Technology Taiwan 0.009
Sekisui Chemical Co. Ltd. Consumer Products and Services Japan 0.009
SELECTIVE IN.GP. Insurance USA 0.009
Asics Corp. Consumer Products and Services Japan 0.009
PTT Exploration & Production P Energy Thailand 0.009
DIPLOMA Industrial Goods and Services UK 0.009
GILDAN ACTIVEWEAR Consumer Products and Services Canada 0.009
COCA-COLA HBC Food, Beverage and Tobacco UK 0.009
Getlink Industrial Goods and Services France 0.009
MTR Corp. Ltd. Industrial Goods and Services Hong Kong 0.009
TEMENOS Technology Switzerland 0.009
Yamato Holdings Co. Ltd. Industrial Goods and Services Japan 0.009
AspenTech Technology USA 0.009
REXEL Industrial Goods and Services France 0.009
Dentsu Inc. Media Japan 0.009
NOVANTA Technology USA 0.009
NOBLE Energy USA 0.009
SEEK Ltd. Industrial Goods and Services Australia 0.009
WEIR GRP Industrial Goods and Services UK 0.009
CASTELLUM Real Estate Sweden 0.009
MORNINGSTAR Financial Services USA 0.009
Pegatron Technology Taiwan 0.009
HYATT HOTELS CL.A Travel and Leisure USA 0.009
JSR Corp. Chemicals Japan 0.009
Sanlam Ltd Insurance South Africa 0.009
Shree Cement Ltd Construction and Materials India 0.009
Advantech Technology Taiwan 0.009
WEATHERFORD INTL. Energy USA 0.009
Shoprite Holdings Ltd Personal Care, Drug and Grocery Stores South Africa 0.009
RUMO S.A. Industrial Goods and Services Brazil 0.009
SK TELECOM Telecommunications South Korea 0.009
Israel Discount Bank Ltd Banks Israel 0.009
FIRSTSERVICE Real Estate Canada 0.009
ATKORE Construction and Materials USA 0.009
SPARK NEW ZEALAND Telecommunications New Zealand 0.009
Washington H. Soul Pattinson L Energy Australia 0.009
INTRA CELLULAR THERAPIES Health Care USA 0.009
Hamamatsu Photonics K.K. Technology Japan 0.009
FIVE9 Technology USA 0.009
PLANET FITNESS CL.A Travel and Leisure USA 0.009
Kintetsu Corp. Industrial Goods and Services Japan 0.009
PROCORE TECHNOLOGIES Technology USA 0.009
MOHAWK INDS. Construction and Materials USA 0.009
AGNC INV CORP Financial Services USA 0.009
AGREE REALTY Real Estate USA 0.009
KINGFISHER Retail UK 0.009
Singapore Exchange Ltd. Financial Services Singapore 0.009
BANK OZK Banks USA 0.009
SBI Holdings Inc. Financial Services Japan 0.009
SWEDISH ORPHAN BIOVITRUM Health Care Sweden 0.009
ZOOMINFO TECHNOLOGIES A Technology USA 0.009
ONEMAIN HOLDINGS Financial Services USA 0.009
RIGHTMOVE GRP Real Estate UK 0.009
TMX GROUP Financial Services Canada 0.009
GLOBUS MEDICAL CL.A Health Care USA 0.009
TELIA COMPANY Telecommunications Sweden 0.009
Odakyu Electric Railway Co. Lt Travel and Leisure Japan 0.009
DAVIDE CAMPARI Food, Beverage and Tobacco Italy 0.009
EDP RENOVAVEIS Utilities Portugal 0.009
GEORG FISCHER Industrial Goods and Services Switzerland 0.009
POPULAR Banks USA 0.009
BARRY CALLEBAUT Food, Beverage and Tobacco Switzerland 0.009
SYNOVUS FINL. Banks USA 0.009
REA GROUP Real Estate Australia 0.009
WAYFAIR CL.A Retail USA 0.009
ADDTECH B Industrial Goods and Services Sweden 0.009
Trend Micro Inc. Technology Japan 0.009
RLI Insurance USA 0.009
Kawasaki Kisen Kaisha Ltd. Industrial Goods and Services Japan 0.009
TVS Motor Consumer Products and Services India 0.009
Tata Power Utilities India 0.008
OCADO Personal Care, Drug and Grocery Stores UK 0.008
CAPRI HOLDINGS Retail USA 0.008
HOWDEN JOINERY GRP Retail UK 0.008
ALTAGAS Utilities Canada 0.008
AZEK COMPANY A Construction and Materials USA 0.008
RALPH LAUREN CORP. Consumer Products and Services USA 0.008
WINTRUST FINANCIAL Banks USA 0.008
TREASURY WINE ESTATES Food, Beverage and Tobacco Australia 0.008
AMPOL Energy Australia 0.008
NIPPON SANSO HOLDINGS Chemicals Japan 0.008
VAXCYTE Health Care USA 0.008
GITLAB A Technology USA 0.008
PAN AMER.SILV. (NYSE) Basic Resources Canada 0.008
COLUMBIA BANKING SYSTEM Banks USA 0.008
GECINA Real Estate France 0.008
CAPITALAND INVESTMENT LIMITED Real Estate Singapore 0.008
YARA Chemicals Norway 0.008
Mitsui Chemicals Inc. Chemicals Japan 0.008
PHOENIX GROUP HDG. Insurance UK 0.008
Fluor Corp. Construction and Materials USA 0.008
SAGAX 'B' Real Estate Sweden 0.008
TAYLOR MORRISON HOME Consumer Products and Services USA 0.008
AUTONATION Retail USA 0.008
VALLEY NATIONAL BANCORP Banks USA 0.008
AIB GROUP Banks Ireland 0.008
Tobu Railway Co. Ltd. Industrial Goods and Services Japan 0.008
WATTS WATER TECHS. Industrial Goods and Services USA 0.008
ORKLA Food, Beverage and Tobacco Norway 0.008
COMMERCIAL MTLS. Basic Resources USA 0.008
LIFCO B Industrial Goods and Services Sweden 0.008
Commercial International Bank Banks Egypt 0.008
Concordia Financial Group Banks Japan 0.008
KRAFTON Consumer Products and Services South Korea 0.008
Mirvac Group Real Estate Australia 0.008
WOORI FINANCIAL GROUP Banks South Korea 0.008
REECE AUSTRALIA Construction and Materials Australia 0.008
DEXUS Real Estate Australia 0.008
KOC HLDG Energy Turkey 0.008
Canadian Tire Corp. Ltd. Cl A Retail Canada 0.008
Inventec Corp Technology Taiwan 0.008
DECHRA PHARMACEUTICALS Health Care UK 0.008
CHART INDUSTRIES Industrial Goods and Services USA 0.008
Alcoa Corporation Basic Resources USA 0.008
NEXSTAR MEDIA GROUP CL.A Media USA 0.008
DINO POLSKA SA Personal Care, Drug and Grocery Stores Poland 0.008
Nippon Building Fund Inc. Real Estate Japan 0.008
PERMIAN RESOURCES CL.A Energy USA 0.008
10X GENOMICS A Health Care USA 0.008
PERSIMMON Consumer Products and Services UK 0.008
GENPACT Industrial Goods and Services USA 0.008
INSPIRE MEDICAL SYSTEMS Health Care USA 0.008
AtkinsRealis Construction and Materials Canada 0.008
JD SPORTS FASHION Retail UK 0.008
Bharat Petroleum Energy India 0.008
SENSATA TECHS.HLDG. Industrial Goods and Services USA 0.008
ATI Industrial Goods and Services USA 0.008
SOLAREDGE TECHNOLOGIES Energy USA 0.008
KEYERA CORP Energy Canada 0.008
CARVANA 'A' Retail USA 0.008
MAX HEALTHCARE INSTITUTE Health Care India 0.008
IVANHOE MINES Basic Resources Canada 0.008
MASIMO Health Care USA 0.008
Otsuka Corp. Technology Japan 0.008
ESSENT GROUP Insurance USA 0.008
ATLAS ARTERIA Industrial Goods and Services Australia 0.008
IMI Industrial Goods and Services UK 0.008
SCHRODERS Financial Services UK 0.008
Gerdau SA Basic Resources Brazil 0.008
TI FINANCIAL HOLDINGS Basic Resources India 0.008
EMS-CHEMIE HLDG Chemicals Switzerland 0.008
LUNDIN MINING Basic Resources Canada 0.008
DS SMITH Industrial Goods and Services UK 0.008
SONOCO PRDS. Industrial Goods and Services USA 0.008
Mizrahi Tefahot Bank Ltd Banks Israel 0.008
Chiba Bank Ltd. Banks Japan 0.008
Suzlon Energy Energy India 0.008
OPTION CARE HEALTH Health Care USA 0.008
Sumco Corp. Technology Japan 0.008
VONTIER Industrial Goods and Services USA 0.008
POLYCAB INDIA Industrial Goods and Services India 0.008
ALAMOS GOLD Basic Resources Canada 0.008
BELIMO HOLDING Construction and Materials Switzerland 0.008
Wolfspeed Technology USA 0.008
ROIVANT SCIENCES Health Care USA 0.008
Macy's Inc. Retail USA 0.008
GRUPO AERO. DEL SURESTE Industrial Goods and Services Mexico 0.008
MGIC INVESTMENT Financial Services USA 0.008
Sojitz Corp. Industrial Goods and Services Japan 0.008
HEALTHEQUITY Health Care USA 0.008
Vornado Realty Trust Real Estate USA 0.008
BLUEPRINT MEDICINES Health Care USA 0.008
Tenaga Nasional Bhd Utilities Malaysia 0.008
LYFT A Consumer Products and Services USA 0.008
Godrej Cp Personal Care, Drug and Grocery Stores India 0.008
SIRIUS XM HOLDINGS Media USA 0.008
MERITZ FINANCIAL GROUP Financial Services South Korea 0.008
RH Retail USA 0.008
TIS INC. Technology Japan 0.008
CONFLUENT A Technology USA 0.008
BIOMERIEUX Health Care France 0.008
WEST FRASER TIMBER Basic Resources Canada 0.008
TIMKEN Basic Resources USA 0.008
BRIGHT HORIZONS FAMILY SOLUT Consumer Products and Services USA 0.008
ALLISON TNSM.HOLDINGS Industrial Goods and Services USA 0.008
ADANI ENERGY SOLUTIONS Utilities India 0.008
APPLOVIN A Technology USA 0.008
AFFILIATED MANAGERS Financial Services USA 0.008
Naturgy Energy Group Utilities Spain 0.008
RECORDATI Health Care Italy 0.008
KONAMI GROUP Consumer Products and Services Japan 0.008
RITHM CAPTIAL Financial Services USA 0.008
POSTAL SAVINGS BOC.'H' Banks China 0.008
Grupo Carso SAB de CV Industrial Goods and Services Mexico 0.008
TERRENO REALTY Real Estate USA 0.008
Flowserve Corp. Industrial Goods and Services USA 0.008
PRESS METAL ALUMINIUM HOLDINGS Basic Resources Malaysia 0.008
KESKO Personal Care, Drug and Grocery Stores Finland 0.008
SK INNOVATION Energy South Korea 0.008
DOLBY LABORATORIES 'A' Technology USA 0.008
UMICORE Chemicals Belgium 0.008
POSTE ITALIANE Insurance Italy 0.008
Toyo Suisan Kaisha Ltd. Food, Beverage and Tobacco Japan 0.008
LANTHEUS HOLDINGS Health Care USA 0.008
Yokogawa Electric Corp. Industrial Goods and Services Japan 0.008
Korea Zinc Basic Resources South Korea 0.008
VIBRA ENERGIA Energy Brazil 0.008
INFRATIL Utilities New Zealand 0.008
VTM.PSPY.JST.CMLBK. Banks Vietnam 0.008
Samsung Life Insurance Co Ltd Insurance South Korea 0.008
MONDAYCOM Technology USA 0.008
TENABLE HOLDINGS Technology USA 0.008
SEALED AIR Industrial Goods and Services USA 0.008
HALOZYME THERAPEUTICS Health Care USA 0.008
Ebara Corp. Industrial Goods and Services Japan 0.008
BEIJER REF AB Industrial Goods and Services Sweden 0.008
DT MIDSTREAM Energy USA 0.008
Elbit Systems Ltd Industrial Goods and Services Israel 0.008
SK Energy South Korea 0.008
VALVOLINE Chemicals USA 0.008
REDE DOR SAO LUIZ ON Health Care Brazil 0.008
ELEMENT SOLUTIONS Chemicals USA 0.008
Coca-Cola Femsa SAB de CV Food, Beverage and Tobacco Mexico 0.008
APARTMENT INCOME REIT 'A' Real Estate USA 0.008
ZURN ELKAY WATER SOLUTIONS Industrial Goods and Services USA 0.008
KLEPIERRE Real Estate France 0.008
NIPPON EXPRESS HLDGS INC Industrial Goods and Services Japan 0.008
GLOBAL E ONLINE Technology USA 0.008
SPECTRIS Industrial Goods and Services UK 0.008
RYDER SYSTEM Industrial Goods and Services USA 0.008
DXC Technology Technology USA 0.008
MUELLER INDUSTRIES Basic Resources USA 0.008
UNITED BANKSHARES Banks USA 0.007
HOME BANCSHARES Banks USA 0.007
CADENCE BANK Banks USA 0.007
Fibra Uno Administracion Real Estate Mexico 0.007
ARCA CONTINENTAL Food, Beverage and Tobacco Mexico 0.007
CONVATEC PLC Health Care UK 0.007
COREBRIDGE FINANCIAL Insurance USA 0.007
Orica Ltd. Basic Resources Australia 0.007
SAMSUNG SDS Technology South Korea 0.007
Bank of Baroda Banks India 0.007
KITE REALTY GROUP Real Estate USA 0.007
WH GROUP Food, Beverage and Tobacco Hong Kong 0.007
IAG Travel and Leisure UK 0.007
AMMAN MINERAL INTERNASIONAL Basic Resources Indonesia 0.007
BANCO BTG PACTUAL ON Financial Services Brazil 0.007
GOTO GOJEK TOKOPEDIA Technology Indonesia 0.007
Harley-Davidson Inc. Consumer Products and Services USA 0.007
APELLIS PHARMS. Health Care USA 0.007
RS Group Industrial Goods and Services UK 0.007
AU SMALL FINANCE BANK Banks India 0.007
Divis Lab Health Care India 0.007
CHINA PAC.IN.(GROUP) 'H' Insurance China 0.007
WESTLAKE CORPORATION Chemicals USA 0.007
MEG ENERGY Energy Canada 0.007
GPT Group Real Estate Australia 0.007
ZENSHO Travel and Leisure Japan 0.007
INDUSTRIVARDEN C Financial Services Sweden 0.007
OLD NATIONAL BANCORP Banks USA 0.007
DOOSAN ENERBILITY Industrial Goods and Services South Korea 0.007
Japan Metropolitan Fund Invest Real Estate Japan 0.007
WORKIVA 'A' Technology USA 0.007
ALASKA AIR GROUP Travel and Leisure USA 0.007
MAXIMUS Industrial Goods and Services USA 0.007
BNI Tbk PT Banks Indonesia 0.007
GUC Technology Taiwan 0.007
CRISPR THERAPEUTICS Health Care USA 0.007
POLARIS Consumer Products and Services USA 0.007
Rayonier Inc. REIT Real Estate USA 0.007
BIM BIRLESIK MAGAZALAR Personal Care, Drug and Grocery Stores Turkey 0.007
IDACORP Utilities USA 0.007
SPROUTS FARMERS MARKET Personal Care, Drug and Grocery Stores USA 0.007
CASELLA WST.SYS.'A' Utilities USA 0.007
WDP Real Estate Belgium 0.007
INTERGLOBE AVIATION Travel and Leisure India 0.007
Saputo Inc. Food, Beverage and Tobacco Canada 0.007
Sundaram Fin Financial Services India 0.007
TECAN Health Care Switzerland 0.007
KOREAN AIR LINES Travel and Leisure South Korea 0.007
JANUS HENDERSON Financial Services USA 0.007
GETINGE B Health Care Sweden 0.007
CIA DE SANEAMENTO BASICO SP Utilities Brazil 0.007
FNB Banks USA 0.007
VALARIS Energy USA 0.007
POWER INTEGRATIONS Technology USA 0.007
ASAHI INTECC Health Care Japan 0.007
AIR CANADA Travel and Leisure Canada 0.007
TRINET GROUP Industrial Goods and Services USA 0.007
WHARF REIC Real Estate Hong Kong 0.007
President Chain Personal Care, Drug and Grocery Stores Taiwan 0.007
VARONIS SYSTEMS Technology USA 0.007
LOUISIANA PACIFIC Construction and Materials USA 0.007
GLP J-REIT Real Estate Japan 0.007
AIRTAC INTERNATIONAL GP. Industrial Goods and Services Taiwan 0.007
CIVITAS RESOURCES Energy USA 0.007
Gigabyte Tech Technology Taiwan 0.007
GLACIER BANCORP Banks USA 0.007
BAYCURRENT CONSULTING Industrial Goods and Services Japan 0.007
Colliers International Real Estate Canada 0.007
ASBURY AUTOMOTIVE GP. Retail USA 0.007
SECURITAS B Industrial Goods and Services Sweden 0.007
CANADIAN UTILITIES 'A' Utilities Canada 0.007
Info Edge Technology India 0.007
NITERRA Automobiles and Parts Japan 0.007
PBF ENERGY CL.A Energy USA 0.007
ONEX Financial Services Canada 0.007
AAON Construction and Materials USA 0.007
MSC INDL.DIRECT 'A' Industrial Goods and Services USA 0.007
BOLLORE Industrial Goods and Services France 0.007
EXLSERVICE HDG. Industrial Goods and Services USA 0.007
UGI Utilities USA 0.007
Seiko Epson Corp. Technology Japan 0.007
CREDIT ACCEP. Financial Services USA 0.007
MRF Automobiles and Parts India 0.007
TURKIYE PETROL RAFIN. Energy Turkey 0.007
COTY CL.A Consumer Products and Services USA 0.007
Sociedad Quimica y Minera de C Chemicals Chile 0.007
ST.JAMES'S PLACE CAPITAL Financial Services UK 0.007
USS Co. Ltd. Consumer Products and Services Japan 0.007
EURONET WWD. Industrial Goods and Services USA 0.007
VALMONT INDS. Industrial Goods and Services USA 0.007
Formosa Petrochemical Corp Energy Taiwan 0.007
SSAB B Basic Resources Sweden 0.007
HELVETIA HLDG Insurance Switzerland 0.007
Kobe Steel Ltd. Basic Resources Japan 0.007
Korea Electric Power Corp Utilities South Korea 0.007
Transocean Ltd. Energy USA 0.007
NEXI SPA Industrial Goods and Services Italy 0.007
SILERGY Technology Taiwan 0.007
SOITEC Technology France 0.007
COCA COLA CONSOLIDATED Food, Beverage and Tobacco USA 0.007
Rohto Pharmaceutical Co. Ltd. Health Care Japan 0.007
MACOM TECH.SLTN.HDG. Technology USA 0.007
CHINA TOWER 'H' Telecommunications China 0.007
ACADEMY SPORTS AND OUTDOORS Retail USA 0.007
Ricoh Co. Ltd. Technology Japan 0.007
Compal Electronics Inc Technology Taiwan 0.007
PERSISTENT SYSTEMS Technology India 0.007
GAIL India Ltd Energy India 0.007
SYNAPTICS Technology USA 0.007
HISCOX Insurance UK 0.007
The Indian Hotel Travel and Leisure India 0.007
BOYD GAMING Travel and Leisure USA 0.007
Endeavour Group Personal Care, Drug and Grocery Stores Australia 0.007
NATIONAL FUEL GAS Utilities USA 0.007
BOISE CASCADE Basic Resources USA 0.007
NEXTDC Technology Australia 0.007
SIGNET JEWELERS Consumer Products and Services USA 0.007
FEDERAL SIGNAL Industrial Goods and Services USA 0.007
Yes Bank Banks India 0.007
MASTEC Construction and Materials USA 0.007
AURIZON HOLDINGS Industrial Goods and Services Australia 0.007
Marico Personal Care, Drug and Grocery Stores India 0.007
FLOWERS FOODS Food, Beverage and Tobacco USA 0.007
AXIS CAPITAL HLDG Insurance USA 0.007
KDX REALTY INVESTMENT CORPORATION Real Estate Japan 0.007
Stericycle Inc. Utilities USA 0.007
NORTHLAND POWER Utilities Canada 0.007
KIRBY Industrial Goods and Services USA 0.007
KYOTO FINANCIAL GROUP Banks Japan 0.007
STONECO A Industrial Goods and Services USA 0.007
TELE2 B Telecommunications Sweden 0.007
CIRRUS LOGIC Technology USA 0.007
Samsung Heavy In Industrial Goods and Services South Korea 0.007
EVOLUTION MINING Basic Resources Australia 0.007
ORMAT TECHNOLOGIES Utilities USA 0.007
MICRO STAR Technology Taiwan 0.007
CABOT Chemicals USA 0.007
ALKERMES Health Care USA 0.007
SHIZUOKA FINANCIAL GROUP Banks Japan 0.007
SUMMIT MATERIALS 'A' Construction and Materials USA 0.007
SPIE Construction and Materials France 0.007
NIPPON PROLOGIS REIT Real Estate Japan 0.007
BRIDGEBIO PHARMA Health Care USA 0.007
BEAZLEY Insurance UK 0.007
ASGN Industrial Goods and Services USA 0.007
BRITISH LAND COMPANY Real Estate UK 0.007
Dabur India Personal Care, Drug and Grocery Stores India 0.007
Toto Ltd. Construction and Materials Japan 0.007
AIR LEASE Industrial Goods and Services USA 0.007
GAZTRANSPORT ET TECHNIGAZ Energy France 0.007
PARKLAND Energy Canada 0.007
FASTIGHETS BALDER B Real Estate Sweden 0.007
AMPLIFON Health Care Italy 0.007
HAEMONETICS Health Care USA 0.007
BALCHEM Chemicals USA 0.007
KILROY REALTY Real Estate USA 0.007
CHEMOURS Chemicals USA 0.007
IRIDIUM COMMUNICATIONS Telecommunications USA 0.007
SAAB B Industrial Goods and Services Sweden 0.007
Avnet Inc. Technology USA 0.007
GRIFOLS Health Care Spain 0.007
POST HOLDINGS Food, Beverage and Tobacco USA 0.007
ABRDN Financial Services UK 0.007
KB HOME Consumer Products and Services USA 0.007
Western Union Co. Industrial Goods and Services USA 0.007
BADGER METER Industrial Goods and Services USA 0.007
COSAN SA Energy Brazil 0.007
Lincoln National Corp. Insurance USA 0.007
Kurita Water Industries Ltd. Industrial Goods and Services Japan 0.007
ALGONQUIN POWER & UTILITIES Utilities Canada 0.007
AXCELIS TECHS. Technology USA 0.007
TD SYNNEX Technology USA 0.007
Brother Industries Ltd. Technology Japan 0.007
CAVA GROUP Travel and Leisure USA 0.007
ICICI LOMBARD GENERAL INSURANC Insurance India 0.007
GAMESTOP 'A' Retail USA 0.007
LIBERTY MDA.SR.C LBRTY. SIRIUS Media USA 0.007
The Federal Bank Banks India 0.007
Aurobindo Pharm Health Care India 0.007
CENTRAL RETAIL CORPORATION Retail Thailand 0.007
Feng Tay Ent Consumer Products and Services Taiwan 0.007
Fukuoka Financial Group Inc. Banks Japan 0.007
ARMSTRONG WORLD INDS. Construction and Materials USA 0.007
FTAI AVIATION Industrial Goods and Services USA 0.007
Indian Oil Corp Ltd Energy India 0.007
HAPVIDA PARTP.E INVMS.ON Health Care Brazil 0.007
RADIAN GROUP Financial Services USA 0.007
Sasol Ltd Chemicals South Africa 0.007
SCOR Insurance France 0.007
FULLER 'H' 'B' Industrial Goods and Services USA 0.007
Ryohin Keikaku Co. Ltd. Retail Japan 0.007
Valmet Industrial Goods and Services Finland 0.007
Nedbank Group Ltd Banks South Africa 0.006
HANOVER INSURANCE GROUP Insurance USA 0.006
AZBIL CORP. Industrial Goods and Services Japan 0.006
MR COOPER GROUP (NAS) Financial Services USA 0.006
Shin Kong Finanl Insurance Taiwan 0.006
BBSEGURIDADE ON NM Insurance Brazil 0.006
INSPERITY Industrial Goods and Services USA 0.006
Ayala Land Inc Real Estate Philippines 0.006
CHINA CITIC BANK 'H' Banks China 0.006
L&F Co Ltd Chemicals South Korea 0.006
ASHLAND Chemicals USA 0.006
First Quantum Minerals Ltd. Basic Resources Canada 0.006
Bank of Communications Co 'H' Banks China 0.006
Singapore Technologies Enginee Industrial Goods and Services Singapore 0.006
SPX TECHNOLOGIES Industrial Goods and Services USA 0.006
INWIT Telecommunications Italy 0.006
PHILLIPS EDISON AND COMPANY Real Estate USA 0.006
REVOLUTION MEDICINES Health Care USA 0.006
PORTLAND GEN.ELEC. Utilities USA 0.006
KOBE BUSSAN Personal Care, Drug and Grocery Stores Japan 0.006
UNITE GROUP PLC Real Estate UK 0.006
AMERICAN EQ.INV.LF.HLDG. Insurance USA 0.006
EUROBANK ERGASIAS SRV & HLDG Banks Greece 0.006
RYAN SPECIALTY HLD. A Insurance USA 0.006
AMUNDI Financial Services France 0.006
HKT TRUST & HKT Telecommunications Hong Kong 0.006
SRF Chemicals India 0.006
ALTEN Technology France 0.006
WPG Hldgs Technology Taiwan 0.006
SIGNIFY Construction and Materials Netherlands 0.006
ENAGAS Energy Spain 0.006
EXPONENT Construction and Materials USA 0.006
Japan Real Estate Investment C Real Estate Japan 0.006
FIRST FINL.BKSH. Banks USA 0.006
Isetan Mitsukoshi Holdings Ltd Retail Japan 0.006
FPT Corp Telecommunications Vietnam 0.006
ORION B Health Care Finland 0.006
Teradata Corp. Technology USA 0.006
HIKARI TSUSHIN Telecommunications Japan 0.006
Misumi Group Inc. Industrial Goods and Services Japan 0.006
BOYD GROUP INCOME Automobiles and Parts Canada 0.006
KYOWA KIRIN Health Care Japan 0.006
Hoa Phat Group JSC Industrial Goods and Services Vietnam 0.006
Genting Singapore PLC Travel and Leisure Singapore 0.006
Ayala Corp Real Estate Philippines 0.006
MERIDIAN ENERGY Utilities New Zealand 0.006
Eclat Textile Basic Resources Taiwan 0.006
CLARIVATE ANALYTICS Technology USA 0.006
SM ENERGY Energy USA 0.006
NEW JERSEY RES. Utilities USA 0.006
AALBERTS Industrial Goods and Services Netherlands 0.006
BEACON ROOFING SUPPLY Construction and Materials USA 0.006
KGHM Basic Resources Poland 0.006
SILICON LABS. Technology USA 0.006
MAPLETREE LOGIST.TRUST Real Estate Singapore 0.006
WARNER MUSIC GROUP A Media USA 0.006
LPP Consumer Products and Services Poland 0.006
SANTANDER BANK POLSKA Banks Poland 0.006
ATS CORPORATION Industrial Goods and Services Canada 0.006
PRAIRIESKY ROYALTY Energy Canada 0.006
HUNTSMAN Chemicals USA 0.006
ANTERO MIDSTREAM Energy USA 0.006
NEWMARKET Chemicals USA 0.006
ANDRITZ Industrial Goods and Services Austria 0.006
ABERCROMBIE & FITCH 'A' Retail USA 0.006
AMKOR TECH. Technology USA 0.006
BCA TRANSILVANIA Banks Romania 0.006
ALLKEM Basic Resources Australia 0.006
ASSURED GUARANTY Insurance USA 0.006
HAMILTON LANE CL.A Financial Services USA 0.006
PATTERSON UTI EN. Energy USA 0.006
MYTILINEOS Industrial Goods and Services Greece 0.006
NEOGEN Health Care USA 0.006
Siemens Industrial Goods and Services India 0.006
AVIS BUDGET GROUP Consumer Products and Services USA 0.006
YETI HOLDINGS Consumer Products and Services USA 0.006
United Spirit Food, Beverage and Tobacco India 0.006
HOSHIZAKI CORPORATION Industrial Goods and Services Japan 0.006
LYNAS RARE EARTHS Basic Resources Australia 0.006
AGL Energy Ltd. Utilities Australia 0.006
LUCID GROUP Automobiles and Parts USA 0.006
BAWAG GROUP AG Banks Austria 0.006
Toho Co. Ltd. (9602) Media Japan 0.006
WENDY'S/ARBY'S GROUP Travel and Leisure USA 0.006
AKBANK Banks Turkey 0.006
INTERPUMP GRP Industrial Goods and Services Italy 0.006
GATX Industrial Goods and Services USA 0.006
FINNING INTL. Industrial Goods and Services Canada 0.006
GRAND CANYON EDUCATION Consumer Products and Services USA 0.006
BROOKFIELD INFRASTRUCTURE A Utilities Canada 0.006
SHIFT4 PAYMENTS A Industrial Goods and Services USA 0.006
Shimizu Corp. Construction and Materials Japan 0.006
IPSEN Health Care France 0.006
GROUP 1 AUTOMOTIVE Retail USA 0.006
SKYLINE CHAMPION Consumer Products and Services USA 0.006
GALENICA SANTE AG Personal Care, Drug and Grocery Stores Switzerland 0.006
BUMRUNGRAD HOSPITAL Health Care Thailand 0.006
Goodyear Tire & Rubber Co. Automobiles and Parts USA 0.006
WORLEY Construction and Materials Australia 0.006
ALS Limited Industrial Goods and Services Australia 0.006
RIOCAN REIT.TST. Real Estate Canada 0.006
ENDEAVOUR MINING Basic Resources Canada 0.006
SLM Corp. Financial Services USA 0.006
ELIA GROUP Utilities Belgium 0.006
IAC/INTERACTIVECORP Technology USA 0.006
MERIT MEDICAL SYS. Health Care USA 0.006
HERC HOLDINGS Industrial Goods and Services USA 0.006
ADVANCED ENERGY INDS. Technology USA 0.006
LA FRANCAISE DES JEUX Travel and Leisure France 0.006
BLACKBAUD Technology USA 0.006
JAPAN AIRPORT TERM. Industrial Goods and Services Japan 0.006
B2GOLD Basic Resources Canada 0.006
Bharat Forge Basic Resources India 0.006
ALKEM LABORATORIES Health Care India 0.006
Koito Manufacturing Co. Ltd. Automobiles and Parts Japan 0.006
DUN BRADST HLDG Technology USA 0.006
YPF Energy Argentina 0.006
GAMES WORKSHOP Consumer Products and Services UK 0.006
SUNTORY BEVERAGE & FOOD Food, Beverage and Tobacco Japan 0.006
VOLTRONIC POWER TECH. Technology Taiwan 0.006
ALLEGRO.EU Consumer Products and Services Poland 0.006
Walsin Lihwa Industrial Goods and Services Taiwan 0.006
INSMED Health Care USA 0.006
ALIGHT A Industrial Goods and Services USA 0.006
Tosoh Corp. Chemicals Japan 0.006
C.H.B Banks Taiwan 0.006
EQUITRANS MIDSTREAM CORP Energy USA 0.006
BANKINTER Banks Spain 0.006
HANCOCK WHITNEY Banks USA 0.006
WHITECAP RESOURCES Energy Canada 0.006
ALPHA METALLURGICAL RESOURCE Energy USA 0.006
NEW FORTRESS ENERGY A Energy USA 0.006
CONCENTRIX Technology USA 0.006
NOMURA REIT.MASTER FUND Real Estate Japan 0.006
DOUBLEVERIFY HOLDINGS Technology USA 0.006
SUNRUN Utilities USA 0.006
JBS SA Food, Beverage and Tobacco Brazil 0.006
Whitehaven Coal Ltd. Energy Australia 0.006
MAGNOLIA OIL GAS A Energy USA 0.006
IGO Basic Resources Australia 0.006
STOREBRAND Insurance Norway 0.006
LIBERTY GLOBAL 'C' Telecommunications USA 0.006
Catcher Tech Technology Taiwan 0.006
BRINK'S Industrial Goods and Services USA 0.006
Far Eastern New Century Corp Industrial Goods and Services Taiwan 0.006
BUA FOODS Food, Beverage and Tobacco Nigeria 0.006
ESSENTIAL PROPERTIES REALTY Real Estate USA 0.006
LUNDBERGFORETAGEN B Financial Services Sweden 0.006
ALTAIR ENGINEERING Technology USA 0.006
Kansai Paint Co. Ltd. Industrial Goods and Services Japan 0.006
FirstCash Holdings Financial Services USA 0.006
AVOLTA Retail Switzerland 0.006
ENERSYS Industrial Goods and Services USA 0.006
MOOG 'A' Industrial Goods and Services USA 0.006
AGILON HEALTH Health Care USA 0.006
MDU Resources Group Inc. Construction and Materials USA 0.006
NOF Chemicals Japan 0.006
TRITAX BIG BOX REIT Real Estate UK 0.006
Henderson Land Development Co. Real Estate Hong Kong 0.006
FALABELLA Retail Chile 0.006
INSTALLED BUILDING PRDS. Construction and Materials USA 0.006
D'IETEREN GROUP Automobiles and Parts Belgium 0.006
DASSAULT AVIATION Industrial Goods and Services France 0.006
GLAUKOS Health Care USA 0.006
Perrigo Co. Health Care USA 0.006
STEADFAST GROUP Insurance Australia 0.006
TKO GROUP HOLDINGS 'A' Media USA 0.006
OLLIES BARGAIN OUTLET HLDG. Retail USA 0.006
AMER.EAG.OUTFITTERS Retail USA 0.006
FLUGHAFEN ZURICH Industrial Goods and Services Switzerland 0.006
TOKYU FUDOSAN Real Estate Japan 0.006
HLB Consumer Products and Services South Korea 0.006
LAZARD A Financial Services USA 0.006
DAIWA HOUSE REIT INVESTMENT Real Estate Japan 0.006
ELIS Industrial Goods and Services France 0.006
Manpowergroup Inc. Industrial Goods and Services USA 0.006
APPLE HOSPITALITY REIT Real Estate USA 0.006
WORLDLINE Industrial Goods and Services France 0.006
ENSTAR GROUP Insurance USA 0.006
TEREX Industrial Goods and Services USA 0.006
ALTIUM Technology Australia 0.006
AAK Food, Beverage and Tobacco Sweden 0.006
ENVISTA HOLDINGS Health Care USA 0.006
ARCOSA INC. Energy USA 0.006
EMPIRE 'A' Personal Care, Drug and Grocery Stores Canada 0.006
Nisshin Seifun Group Inc. Food, Beverage and Tobacco Japan 0.006
Sumitomo Chemical Co. Ltd. Chemicals Japan 0.006
TELEFONICA BRASIL Telecommunications Brazil 0.006
YANKUANG ENERGY GROUP H Energy China 0.006
CHARTER HALL GROUP Real Estate Australia 0.006
CLEANAWAY WASTE MANAGEMENT Utilities Australia 0.006
TSINGTAO BREWERY H Food, Beverage and Tobacco China 0.006
PENN ENTERTAINMENT Travel and Leisure USA 0.006
MOELIS CLASS A Financial Services USA 0.006
FORVIA Automobiles and Parts France 0.006
ACKERMANS & VAN HAAREN Construction and Materials Belgium 0.006
BLACKSTONE MGE.TST.CL.A Financial Services USA 0.006
SALMAR Food, Beverage and Tobacco Norway 0.006
RINGKJOBING LANDBOBANK Banks Denmark 0.006
JOHNSON MATTHEY Chemicals UK 0.006
Yamaha Corp. Consumer Products and Services Japan 0.006
SOUTHWEST GAS Utilities USA 0.006
Resonac Holdings Chemicals Japan 0.006
KONGSBERG GRUPPEN Industrial Goods and Services Norway 0.006
BELLWAY Consumer Products and Services UK 0.006
ARCADIS Construction and Materials Netherlands 0.006
Empresas COPEC SA Energy Chile 0.006
Colgate India Personal Care, Drug and Grocery Stores India 0.006
Ambuja Cem Construction and Materials India 0.006
Contact Energy Ltd. Utilities New Zealand 0.006
NOVA Technology Israel 0.006
TATA ELXSI Technology India 0.006
MAPLETREE INDUSTIAL TST Real Estate Singapore 0.006
GLOBALFOUNDRIES Technology USA 0.006
TAISHO PHARM HLDG Health Care Japan 0.006
SOFINA Financial Services Belgium 0.006
DEMANT Health Care Denmark 0.006
DISCOVERY LTD Insurance South Africa 0.006
KYNDRYL HOLDINGS Technology USA 0.006
HUHTAMAKI Industrial Goods and Services Finland 0.006
MADRIGAL PHARMACEUTICALS Health Care USA 0.006
Keio Corp. Travel and Leisure Japan 0.006
ENDEAVOR GROUP HOLDINGS A Media USA 0.006
ALSTOM Industrial Goods and Services France 0.006
Qube Holdings Ltd Industrial Goods and Services Australia 0.006
IDP EDUCATION Consumer Products and Services Australia 0.006
Sino Land Co. Ltd. Real Estate Hong Kong 0.006
IG GRP HLDG Financial Services UK 0.006
FRANKLIN ELECTRIC Industrial Goods and Services USA 0.006
KAKAOBANK Banks South Korea 0.006
Remgro Ltd Financial Services South Africa 0.006
SILGAN HDG. Industrial Goods and Services USA 0.006
VTM.TECHL.&.COML. Banks Vietnam 0.006
Amada Co. Ltd. Industrial Goods and Services Japan 0.006
AUO Corporation Technology Taiwan 0.006
JB Hi-Fi Ltd. Retail Australia 0.006
OJI HOLDINGS Basic Resources Japan 0.006
APPFOLIO CLASS A Technology USA 0.006
NGK Insulators Ltd. Industrial Goods and Services Japan 0.006
ICL GROUP Chemicals Israel 0.006
POTLATCHDELTIC Real Estate USA 0.006
JACKSON FINANCIAL CL.A Insurance USA 0.006
AZENTA Health Care USA 0.006
Advance Auto Parts Inc. Retail USA 0.006
IPG PHOTONICS Technology USA 0.006
BOX CL.A Technology USA 0.006
NISSAN CHEMICAL Chemicals Japan 0.006
MOL Hungarian Oil and Gas Energy Hungary 0.006
Incitec Pivot Ltd. Chemicals Australia 0.006
LOTUS BAKERIES Food, Beverage and Tobacco Belgium 0.006
Jindal Steel & Power Ltd Basic Resources India 0.006
EURAZEO Financial Services France 0.006
LATOUR INVESTMENT B Industrial Goods and Services Sweden 0.006
IDFC FIRST BANK Banks India 0.005
NATIONAL BANK OF GREECE Banks Greece 0.005
PTI Technology Taiwan 0.005
UPL Ltd Chemicals India 0.005
CITIC SECURITIES 'H' Financial Services China 0.005
Elite Matl Technology Taiwan 0.005
Helmerich & Payne Inc. Energy USA 0.005
FRESHPET Food, Beverage and Tobacco USA 0.005
TSURUHA HOLDINGS Personal Care, Drug and Grocery Stores Japan 0.005
SIEGFRIED 'R' Health Care Switzerland 0.005
PNM RES. Utilities USA 0.005
WHITE MOUNTAINS IN.GP. Insurance USA 0.005
INVESTEC Banks UK 0.005
GRANITE REIT Real Estate Canada 0.005
COUSINS PROPS. Real Estate USA 0.005
BLACK HILLS Utilities USA 0.005
HD KOREA SHIPBUILDING & OFFSHORE ENGINEERING Industrial Goods and Services South Korea 0.005
WUXI APPTEC 'H' Health Care China 0.005
Bendigo & Adelaide Bank Ltd. Banks Australia 0.005
ENERGY ABSOLUTE Utilities Thailand 0.005
Crescent Point Energy Corp. Energy Canada 0.005
Yamazaki Baking Co. Ltd. Food, Beverage and Tobacco Japan 0.005
SUPREME INDUSTRIES Industrial Goods and Services India 0.005
CHOICE HOTELS INTL. Travel and Leisure USA 0.005
SEB Consumer Products and Services France 0.005
YMTC Industrial Goods and Services Taiwan 0.005
INNOLUX CORP Technology Taiwan 0.005
ACCIONA S.A. Construction and Materials Spain 0.005
ADEVINTA Consumer Products and Services Norway 0.005
INCHCAPE Industrial Goods and Services UK 0.005
SEVEN GROUP HOLDINGS Industrial Goods and Services Australia 0.005
MERLIN PROPERTIES SOCIMI Real Estate Spain 0.005
RAPID7 Technology USA 0.005
BKW Utilities Switzerland 0.005
MCDONALD'S HOLDINGS Travel and Leisure Japan 0.005
MIRATI THERAPEUTICS(NAS) Health Care USA 0.005
VISTEON Automobiles and Parts USA 0.005
Acer Inc Technology Taiwan 0.005
AMERIS BANCORP Banks USA 0.005
AVIENT Chemicals USA 0.005
Bidvest Group Ltd Industrial Goods and Services South Africa 0.005
HOLMEN B Basic Resources Sweden 0.005
NKT Industrial Goods and Services Denmark 0.005
MATSON Industrial Goods and Services USA 0.005
Hirose Electric Co. Ltd. Technology Japan 0.005
MAINFREIGHT Industrial Goods and Services New Zealand 0.005
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CG POWER AND IND. SOLUTIONS Industrial Goods and Services India 0.005
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SERVISFIRST BANCSHARES Banks USA 0.005
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ACement Construction and Materials Taiwan 0.005
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CHRISTIAN DIOR Consumer Products and Services France 0.005
Park Hotels & Resorts Real Estate USA 0.005
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Hongkong Land Holdings Ltd. Real Estate Singapore 0.005
KYUSHU RAILWAY Travel and Leisure Japan 0.005
TUI Travel and Leisure UK 0.005
LIXIL CORP Construction and Materials Japan 0.005
ONE GAS Utilities USA 0.005
SANWA HOLDINGS Construction and Materials Japan 0.005
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TBS HOLDINGS Media Japan 0.005
VISTRY GROUP Consumer Products and Services UK 0.005
King Yuan Elec Technology Taiwan 0.005
ZOZO Retail Japan 0.005
Kawasaki Heavy Industries Ltd. Industrial Goods and Services Japan 0.005
Lend Lease Group Construction and Materials Australia 0.005
CONMED Health Care USA 0.005
MAN GRP Financial Services UK 0.005
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ALLETE Utilities USA 0.005
ROTORK Industrial Goods and Services UK 0.005
Nikon Corp. Consumer Products and Services Japan 0.005
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HILTON GRAND VACATIONS Travel and Leisure USA 0.005
Kunlun Energy Co. Ltd. Energy China 0.005
Tohoku Electric Power Co. Inc. Utilities Japan 0.005
EVA Airways Travel and Leisure Taiwan 0.005
PI INDUSTRIES Chemicals India 0.005
ACADIA PHARMACEUTICALS Health Care USA 0.005
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M/I HOMES Consumer Products and Services USA 0.005
China Resources Power Holdings Utilities China 0.005
Haseko Corp. Consumer Products and Services Japan 0.005
MEBUKI FINANCIAL GROUP Banks Japan 0.005
Kyushu Electric Power Co. Inc. Utilities Japan 0.005
SEIBU HOLDINGS Industrial Goods and Services Japan 0.005
BLACKLINE Technology USA 0.005
JAPAN POST INSURANCE Insurance Japan 0.005
Medipal Holdings Corp. Personal Care, Drug and Grocery Stores Japan 0.005
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Alfresa Holdings Corp. Health Care Japan 0.005
SOPRA STERIA GROUP Technology France 0.005
CK INFRASTRUCTURE HOLDINGS Utilities Hong Kong 0.005
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Embraer Industrial Goods and Services Brazil 0.005
Bombardier Inc. Cl B SV Industrial Goods and Services Canada 0.005
SKYLARK HOLDINGS Travel and Leisure Japan 0.005
Cheng Shin Rubber Industry Co Automobiles and Parts Taiwan 0.005
JUST EAT TAKEAWAY.COM NV Technology Netherlands 0.005
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JOHN BEAN TECHNOLOGIES Industrial Goods and Services USA 0.005
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LANCASTER COLONY Food, Beverage and Tobacco USA 0.005
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Seatrium Industrial Goods and Services Singapore 0.005
Organon Health Care USA 0.005
INDUS TOWERS Telecommunications India 0.005
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TRI POINTE HOMES Consumer Products and Services USA 0.005
Bank of the Philippine Islands Banks Philippines 0.005
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ITRON Industrial Goods and Services USA 0.005
VALEO Automobiles and Parts France 0.005
Kuraray Co. Ltd. Chemicals Japan 0.005
DYCOM INDS. Construction and Materials USA 0.005
GUARDANT HEALTH Health Care USA 0.005
A2A Utilities Italy 0.005
INPOST Industrial Goods and Services Netherlands 0.005
WALKER & DUNLOP Financial Services USA 0.005
SPIRE INC Utilities USA 0.005
BPER Banca Banks Italy 0.005
SABRA HEALTHCARE REIT Real Estate USA 0.005
Sinopharm Group 'H' Personal Care, Drug and Grocery Stores China 0.005
CALIFORNIA RESOURCES Energy USA 0.005
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ADIENT Automobiles and Parts USA 0.005
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OTTER TAIL Industrial Goods and Services USA 0.005
LUMENTUM HOLDINGS Telecommunications USA 0.005
JYSKE BANK Banks Denmark 0.005
Samsung Eng Construction and Materials South Korea 0.005
GMS Construction and Materials USA 0.005
WEICHAI POWER H Industrial Goods and Services China 0.005
PENNYMAC FINANCIAL SERVICES Financial Services USA 0.005
Swire Pacific Ltd. A Food, Beverage and Tobacco Hong Kong 0.005
NEWELL BRANDS Consumer Products and Services USA 0.005
C3 AI A Technology USA 0.005
GRUMA 'B' Food, Beverage and Tobacco Mexico 0.005
SUBSEA7 Energy Norway 0.005
GREGGS Personal Care, Drug and Grocery Stores UK 0.005
KINAXIS Technology Canada 0.005
CAPITAL POWER Utilities Canada 0.005
CARPENTER TECH. Basic Resources USA 0.005
Integer Holdings Corp Health Care USA 0.005
TATE & LYLE Food, Beverage and Tobacco UK 0.005
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HANWHA AEROSPACE Industrial Goods and Services South Korea 0.005
NH FOODS Food, Beverage and Tobacco Japan 0.005
WOOLWORTHS HDG. Retail South Africa 0.005
REMITLY GLOBAL Industrial Goods and Services USA 0.005
HARGREAVES LANSDOWN Financial Services UK 0.005
COMMVAULT SYSTEMS Technology USA 0.005
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CNX Resources Corp. Energy USA 0.005
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UPSTART HOLDINGS Financial Services USA 0.005
CCR - CIA DE CONCESSOES ROD. Industrial Goods and Services Brazil 0.005
Thai Beverage PCL Food, Beverage and Tobacco Singapore 0.005
NATIONAL STORAGE AFF. TST. Real Estate USA 0.005
BROADSTONE NET LEASE Real Estate USA 0.005
Yokohama Rubber Co. Ltd. Automobiles and Parts Japan 0.005
CATHAY GEN.BANCORP Banks USA 0.005
Aspen Pharmacare Holdings Ltd Health Care South Africa 0.005
BELDEN Industrial Goods and Services USA 0.005
MARRIOTT VACATIONS WWD Travel and Leisure USA 0.005
CORE & MAIN A Industrial Goods and Services USA 0.005
Totvs Technology Brazil 0.005
ASSOCIATED BANC-CORP Banks USA 0.005
PENSKE AUTOMOTIVE GP. Retail USA 0.005
WD-40 Personal Care, Drug and Grocery Stores USA 0.005
Tripod Tech Technology Taiwan 0.005
Mitsubishi Gas Chemical Co. In Chemicals Japan 0.005
LCI INDUSTRIES Consumer Products and Services USA 0.005
Tidewater Energy USA 0.005
EVOLENT HEALTH CL.A Health Care USA 0.005
Amorepacific Consumer Products and Services South Korea 0.005
BRUNELLO CUCINELLI Consumer Products and Services Italy 0.005
COGENT COMMS.HOLDINGS Telecommunications USA 0.005
COFORGE Technology India 0.005
GLANBIA Food, Beverage and Tobacco Ireland 0.005
Lupin Ltd Health Care India 0.005
Cummins India Industrial Goods and Services India 0.005
PERSOL HOLDINGS Industrial Goods and Services Japan 0.005
AVC Technology Taiwan 0.005
HMM Industrial Goods and Services South Korea 0.005
STELLA JONES Basic Resources Canada 0.005
PEABODY ENERGY CORP. Energy USA 0.005
ENPRO INC. Industrial Goods and Services USA 0.005
Square Enix Holdings Co. Ltd. Consumer Products and Services Japan 0.005
Technip Energies Energy France 0.005
SAMVARDHANA MOTHERSON INTERNAT Automobiles and Parts India 0.005
ASMPT Technology Hong Kong 0.005
JOBY AVIATION A Industrial Goods and Services USA 0.005
Vedanta Basic Resources India 0.005
CONSOL ENERGY Energy USA 0.005
LIBERTY ENERGY 'A' Energy USA 0.005
PHYSICIANS REALTY TST. Real Estate USA 0.005
Kohl's Corp. Retail USA 0.005
TAIWAN HIGH SPEED RAIL Industrial Goods and Services Taiwan 0.005
Banco Santander Chile Banks Chile 0.005
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HYBE Media South Korea 0.005
FORMFACTOR Technology USA 0.005
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DIRECT LINE INSURANCE GROUP Insurance UK 0.005
ENERPLUS CORPORATION Energy Canada 0.005
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HANNON ARMS.SUST.INFR. CAP. Real Estate USA 0.005
NCsoft Consumer Products and Services South Korea 0.005
HILLENBRAND Industrial Goods and Services USA 0.005
METHANEX Chemicals Canada 0.005
KULICKE & SOFFA INDS. Technology USA 0.005
KORN FERRY Industrial Goods and Services USA 0.005
ARTISAN PTNS.ASTMGMT. Financial Services USA 0.005
CEMIG - PREF Utilities Brazil 0.005
Nagoya Railroad Co. Ltd. Industrial Goods and Services Japan 0.005
ZIFF DAVIS Technology USA 0.005
Tokyo Tatemono Co. Ltd. Real Estate Japan 0.005
IRHYTHM TECHNOLOGIES Health Care USA 0.005
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Synnex Technology Taiwan 0.005
YELP Technology USA 0.005
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Sibanye-Stillwater Basic Resources South Africa 0.005
KUM YANG Chemicals South Korea 0.005
DERWENT LONDON Real Estate UK 0.005
GREAT WALL MOTOR 'H' Automobiles and Parts China 0.005
Nomura Real Estate Holdings In Real Estate Japan 0.005
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VISHAY INTERTECHNOLOGY Technology USA 0.005
KONTOOR BRANDS Consumer Products and Services USA 0.005
Charoen Pokphand Foods PCL Food, Beverage and Tobacco Thailand 0.005
Sumitomo Heavy Industries Ltd. Industrial Goods and Services Japan 0.005
Marui Group Co. Ltd. Retail Japan 0.005
ARROWHEAD PHARMS. Health Care USA 0.005
TECHNOLOGY ONE Technology Australia 0.005
HACI OMER SABANCI HLDG Financial Services Turkey 0.005
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HECLA MINING Basic Resources USA 0.005
TEGNA Media USA 0.005
KEMPER Insurance USA 0.005
CBIZ Industrial Goods and Services USA 0.005
BNC.DEL BAJIO IDBC. MTPL. Banks Mexico 0.005
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CORCEPT THERAPEUTICS Health Care USA 0.005
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HEXPOL 'B' Basic Resources Sweden 0.005
Zee Entrtainment Media India 0.005
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JDE PEET S Food, Beverage and Tobacco Netherlands 0.005
CAL.WATER SER. Utilities USA 0.005
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KRKA Health Care Slovenia 0.004
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MSG Sports Travel and Leisure USA 0.004
MEDICAL PROPERTIES TRUST Real Estate USA 0.004
DALMIA BHARAT Construction and Materials India 0.004
Ashok Leyland Industrial Goods and Services India 0.004
Air Water Inc. Chemicals Japan 0.004
KOSMOS ENERGY Energy USA 0.004
Toshiba Corp. Industrial Goods and Services Japan 0.004
PLEXUS Technology USA 0.004
BUDWEISER BREWING COMPANY APAC Food, Beverage and Tobacco Hong Kong 0.004
ATTIJARIWAFA BANK Banks Morocco 0.004
PLAINS GROUP HOLDINGS 'A' Energy USA 0.004
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SCSK Technology Japan 0.004
FORTNOX AB Technology Sweden 0.004
TELECOM ITALIA Telecommunications Italy 0.004
PB FINTECH Insurance India 0.004
DB Insurance Insurance South Korea 0.004
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ALBANY INTL.'A' Industrial Goods and Services USA 0.004
Rinnai Corp. Consumer Products and Services Japan 0.004
PRESTIGE CONSUMER HEALTHCARE Health Care USA 0.004
KLABIN S.A. - PREF Basic Resources Brazil 0.004
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YANGZIJIANG SHIPBUILDING Industrial Goods and Services Singapore 0.004
POSCO INTERNATIONAL Industrial Goods and Services South Korea 0.004
SANMINA Technology USA 0.004
Impala Platinum Holdings Ltd Basic Resources South Africa 0.004
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HANWHA SOLUTIONS Energy South Korea 0.004
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Electric Power Development Co. Utilities Japan 0.004
AXOS FINANCIAL Banks USA 0.004
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ITV Media UK 0.004
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ALLFUNDS GROUP Financial Services Netherlands 0.004
AVANZA BANK HLDG Banks Sweden 0.004
Kobayashi Pharmaceutical Co. L Personal Care, Drug and Grocery Stores Japan 0.004
ADP Industrial Goods and Services France 0.004
SPROUT SOCIAL A Technology USA 0.004
Berger Paints Industrial Goods and Services India 0.004
Hachijuni Bank Ltd. Banks Japan 0.004
FUYAO GLASS INDUSTRY GP. 'H' Industrial Goods and Services China 0.004
Stanley Electric Co. Ltd. Automobiles and Parts Japan 0.004
FIRST HAWAIIAN Banks USA 0.004
HUSQVARNA B Consumer Products and Services Sweden 0.004
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ALARMCOM HOLDINGS Technology USA 0.004
PREMIUM BRANDS HOLDINGS Personal Care, Drug and Grocery Stores Canada 0.004
COPA HOLDINGS S A Travel and Leisure USA 0.004
GS Holdings Industrial Goods and Services South Korea 0.004
COLUMBIA SPORTSWEAR Consumer Products and Services USA 0.004
THULE GROUP Consumer Products and Services Sweden 0.004
Chroma Ate Industrial Goods and Services Taiwan 0.004
Industrias Penoles SAB de CV Basic Resources Mexico 0.004
COPT Defense Properties Real Estate USA 0.004
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GRUPO AERO DEL CENTRO 'B' Industrial Goods and Services Mexico 0.004
HYPERA Health Care Brazil 0.004
ARCH RESOURCES 'A' Energy USA 0.004
PAGE INDUSTRIES Consumer Products and Services India 0.004
KEIHAN HOLDINGS Industrial Goods and Services Japan 0.004
ARRAY TECHNOLOGIES Energy USA 0.004
KOSE Consumer Products and Services Japan 0.004
IHI Corp. Industrial Goods and Services Japan 0.004
RINGCENTRAL Technology USA 0.004
CHINA RESOURCES GAS GP. Utilities China 0.004
CACTUS A Energy USA 0.004
DENALI THERAPEUTICS Health Care USA 0.004
OCI Chemicals Netherlands 0.004
BALKRISHNA INDUSTRIES Automobiles and Parts India 0.004
TURKIYE IS BANKASI Banks Turkey 0.004
GMO PAYMENT GTWY. Industrial Goods and Services Japan 0.004
SPECTRUM BRAND HOLDINGS Personal Care, Drug and Grocery Stores USA 0.004
HELEN OF TROY Consumer Products and Services USA 0.004
Taiwan Business Bank Banks Taiwan 0.004
REPLY Technology Italy 0.004
NTC Technology Taiwan 0.004
Ecopetrol SA Energy Colombia 0.004
AXFOOD Personal Care, Drug and Grocery Stores Sweden 0.004
QUAKER HOUGHTON Chemicals USA 0.004
BIG YELLOW GROUP Real Estate UK 0.004
MARQETA A Industrial Goods and Services USA 0.004
LG H&H Personal Care, Drug and Grocery Stores South Korea 0.004
ROYAL UNIBREW Food, Beverage and Tobacco Denmark 0.004
SCORPIO TANKERS Industrial Goods and Services USA 0.004
VERALLIA Industrial Goods and Services France 0.004
INTERNATIONAL BCSH. Banks USA 0.004
HUB GROUP 'A' Industrial Goods and Services USA 0.004
INTERNET INTV.JAPAN Telecommunications Japan 0.004
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IONQ Technology USA 0.004
ASTRAL Construction and Materials India 0.004
TMBTHANACHART BANK PCL Banks Thailand 0.004
ITALGAS Utilities Italy 0.004
PTT GLOBAL CHEMICAL PCL Chemicals Thailand 0.004
JOLLIBEE FOODS Travel and Leisure Philippines 0.004
BRITVIC Food, Beverage and Tobacco UK 0.004
CABLE ONE Telecommunications USA 0.004
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FRONTLINE Industrial Goods and Services Norway 0.004
DIGITALBRIDGE GROUP Real Estate USA 0.004
ISS AS Industrial Goods and Services Denmark 0.004
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AMBU 'B' Health Care Denmark 0.004
CORP FRAGUA Personal Care, Drug and Grocery Stores Mexico 0.004
IIDA GROUP HOLDINGS Consumer Products and Services Japan 0.004
COSMO ADVANCED MATERIALS & TEC Consumer Products and Services South Korea 0.004
MONOTARO Retail Japan 0.004
UNIFIRST Industrial Goods and Services USA 0.004
FOX FACTORY HOLDING Consumer Products and Services USA 0.004
CARTER'S Consumer Products and Services USA 0.004
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ELEKTA B Health Care Sweden 0.004
OLD MUTUAL Insurance South Africa 0.004
COSCO SHIPPING.'H' Industrial Goods and Services China 0.004
INVINCIBLE INVESTMENT Real Estate Japan 0.004
SOCIONEXT Technology Japan 0.004
ATLANTIC UNION BANKSHARES Banks USA 0.004
BUZZI Construction and Materials Italy 0.004
TOMRA SYSTEMS Industrial Goods and Services Norway 0.004
Hitachi Construction Machinery Industrial Goods and Services Japan 0.004
RESIDEO TECHNOLOGIES Industrial Goods and Services USA 0.004
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LGI HOMES Consumer Products and Services USA 0.004
Winbond Technology Taiwan 0.004
Ta Chen Basic Resources Taiwan 0.004
Tatung Industrial Goods and Services Taiwan 0.004
HANKOOK TIRE & TECHNOLOGY Automobiles and Parts South Korea 0.004
AXONICS Health Care USA 0.004
NEXANS Industrial Goods and Services France 0.004
ZHEJIANG LEAPMOTOR TECH H Automobiles and Parts China 0.004
LIVANOVA Health Care USA 0.004
TECHNOPRO HOLDINGS Technology Japan 0.004
Cencosud SA Personal Care, Drug and Grocery Stores Chile 0.004
Bezeq Israeli Telecommunicatio Telecommunications Israel 0.004
Lion Corp. Personal Care, Drug and Grocery Stores Japan 0.004
ALLREAL HLDG Real Estate Switzerland 0.004
JGC HOLDINGS Construction and Materials Japan 0.004
BUCHER INDUSTRIES Industrial Goods and Services Switzerland 0.004
SHOALS TECHNOLOGIES GROUP A Energy USA 0.004
COSMOS PHARM. Personal Care, Drug and Grocery Stores Japan 0.004
AXSOME THERAPEUTICS Health Care USA 0.004
GROCERY OUTLET HOLDING Personal Care, Drug and Grocery Stores USA 0.004
DREAM INDL.REIT.TST. Real Estate Canada 0.004
Bank of Queensland Ltd. Banks Australia 0.004
SWECO 'B' Construction and Materials Sweden 0.004
Mphasis Technology India 0.004
LG Innotek Technology South Korea 0.004
REMY COINTREAU Food, Beverage and Tobacco France 0.004
AVISTA Utilities USA 0.004
AMN HLTHCR.SVS. Industrial Goods and Services USA 0.004
OSISKO GOLD ROYALTIES Basic Resources Canada 0.004
PEOPLE'S INSURANCE CO. H Insurance China 0.004
OTE Telecommunications Greece 0.004
HERA Utilities Italy 0.004
MGE ENERGY Utilities USA 0.004
Mercury NZ Utilities New Zealand 0.004
KINNEVIK B Financial Services Sweden 0.004
CRANE NXT Industrial Goods and Services USA 0.004
Teco Electric Industrial Goods and Services Taiwan 0.004
KOREA AEROSPACE INDS. Industrial Goods and Services South Korea 0.004
PREMIER CLASS A Health Care USA 0.004
INVEST. & INDUSTRIAL DEV. Real Estate Vietnam 0.004
NSK Ltd. Automobiles and Parts Japan 0.004
Comsys Holdings Corp. Construction and Materials Japan 0.004
J & J SNACK FOODS Food, Beverage and Tobacco USA 0.004
Venture Corp. Ltd. Technology Singapore 0.004
MP MATERIALS A Basic Resources USA 0.004
ANHUI CONCH CEMENT H Construction and Materials China 0.004
FABEGE Real Estate Sweden 0.004
BORALEX 'A' Utilities Canada 0.004
COFINIMMO Real Estate Belgium 0.004
MAPLETREE PAN ASIA COMM TRUST Real Estate Singapore 0.004
RED ROCK RESORTS CL.A Travel and Leisure USA 0.004
DIASORIN Health Care Italy 0.004
Yuhan Health Care South Korea 0.004
JUBILANT FOODWORKS Travel and Leisure India 0.004
LXP Industrial Trust Real Estate USA 0.004
VIDRALA Industrial Goods and Services Spain 0.004
ADARO ENERGY INDONESIA TBK PT Energy Indonesia 0.004
TOKYO OHKA KOGYO Chemicals Japan 0.004
ENVESTNET Technology USA 0.004
Metropolitan Bank & Trust Banks Philippines 0.004
SHINKO ELEC.INDS. Technology Japan 0.004
LONDONMETRIC PROPERTY PLC Real Estate UK 0.004
GINKGO BIOWORKS HOLDINGS A Health Care USA 0.004
City Developments Ltd. Real Estate Singapore 0.004
SANRIO Consumer Products and Services Japan 0.004
BANDHAN BANK Banks India 0.004
SELECT MEDICAL HOLDINGS Health Care USA 0.004
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BACHEM HOLDING Health Care Switzerland 0.004
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CHOICE PROPS REIT Real Estate Canada 0.004
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CALIX NETWORKS Telecommunications USA 0.004
Pou Chen Consumer Products and Services Taiwan 0.004
AMBARELLA Technology USA 0.004
SOHGO SECURITIES Industrial Goods and Services Japan 0.004
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SONA BLW PRECISION FORGINGS Automobiles and Parts India 0.004
HONG LEONG BANK Banks Malaysia 0.004
BAKKAFROST Food, Beverage and Tobacco Norway 0.004
KEIKYU CORPORATION Industrial Goods and Services Japan 0.004
China Longyuan 'H' Energy China 0.004
SCOTTS MIRACLE-GRO Chemicals USA 0.004
HIGHWOODS PROPS. Real Estate USA 0.004
PRIVIA HEALTH GROUP Health Care USA 0.004
FRASERS LOGIST & COM Real Estate Singapore 0.004
CAL Travel and Leisure Taiwan 0.004
TransAlta Corp. Utilities Canada 0.004
DOMINO'S PIZZA ENTS. Travel and Leisure Australia 0.004
Hang Lung Properties Ltd. Real Estate Hong Kong 0.004
THK Co. Ltd. Industrial Goods and Services Japan 0.004
VINGROUP Real Estate Vietnam 0.004
INTELLIA THERAPEUTICS Health Care USA 0.004
CELCOMDIGI BHD Telecommunications Malaysia 0.004
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PAMPA ENERGIA Utilities Argentina 0.004
J. Front Retailing Co. Ltd. Retail Japan 0.004
PROGYNY Health Care USA 0.004
PLDT Telecommunications Philippines 0.004
WERNER ENTERPRISES Industrial Goods and Services USA 0.004
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HANMI SEMICONDUCTOR Technology South Korea 0.004
Hisamitsu Pharmaceutical Co. I Health Care Japan 0.004
UBISOFT ENTERTAINMENT Consumer Products and Services France 0.004
SIMMONS 1ST.NAT.'A' Banks USA 0.004
CHEWY A Retail USA 0.004
NATIONAL HEALTH INVESTORS Real Estate USA 0.004
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NIPPON SHINYAKU Health Care Japan 0.004
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RUBIS Retail France 0.004
HIWIN Tech Industrial Goods and Services Taiwan 0.004
CHALLENGER Insurance Australia 0.004
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Nabtesco Corp. Industrial Goods and Services Japan 0.004
Sega Sammy Holdings Inc. Consumer Products and Services Japan 0.004
IWATANI Utilities Japan 0.004
TOYO SEIKAN GROUP HOLDINGS Industrial Goods and Services Japan 0.004
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NIB HOLDINGS Insurance Australia 0.004
BRP Consumer Products and Services Canada 0.004
PACIFIC BSCS.OF CAL. Health Care USA 0.004
MILITARY COML.JST.BANK Banks Vietnam 0.004
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Orix JREIT Inc. Real Estate Japan 0.003
CYBERAGENT Technology Japan 0.003
Charoen Pokphand Indonesia Tbk Food, Beverage and Tobacco Indonesia 0.003
SSP GROUP Travel and Leisure UK 0.003
AVANGRID Utilities USA 0.003
DKSH HOLDING Industrial Goods and Services Switzerland 0.003
Weigao Group 'H' Health Care China 0.003
Blackberry Ltd Technology Canada 0.003
ELECTROLUX B Consumer Products and Services Sweden 0.003
Taiyo Yuden Co. Ltd. Technology Japan 0.003
PERFICIENT Technology USA 0.003
NAVIENT Financial Services USA 0.003
DRAX GRP Utilities UK 0.003
TPG TELECOM Telecommunications Australia 0.003
TREEHOUSE FOODS Food, Beverage and Tobacco USA 0.003
FONTERRA COOPERATIVE GP. Food, Beverage and Tobacco New Zealand 0.003
BOOT BARN HOLDINGS Retail USA 0.003
XINYI GLASS HOLDINGS Industrial Goods and Services Hong Kong 0.003
SINBON Elec Industrial Goods and Services Taiwan 0.003
HYUNDAI STEEL CO Basic Resources South Korea 0.003
EXTREME NETWORKS Telecommunications USA 0.003
GRAINGER Real Estate UK 0.003
CALLON PTL.DEL. Energy USA 0.003
Kumho Chemicals South Korea 0.003
VISCOFAN Food, Beverage and Tobacco Spain 0.003
BAYTEX ENERGY CORP Energy Canada 0.003
SYDBANK Banks Denmark 0.003
GIANT MFG Consumer Products and Services Taiwan 0.003
Metcash Ltd. Personal Care, Drug and Grocery Stores Australia 0.003
SECTRA 'B' Health Care Sweden 0.003
ADVANCE RESIDENCE INV. Real Estate Japan 0.003
Fletcher Building Ltd. Construction and Materials New Zealand 0.003
DELHIVERY Industrial Goods and Services India 0.003
FASTLY A Technology USA 0.003
BAUSCH HEALTH Health Care Canada 0.003
CRMPTN.GREAVES CSM.ELEC Consumer Products and Services India 0.003
LG Display Co Ltd Technology South Korea 0.003
TRAVIS PERKINS Industrial Goods and Services UK 0.003
Ruentex C D Real Estate Taiwan 0.003
CHINA MINSHENG BANKING H Banks China 0.003
FLYWIRE Industrial Goods and Services USA 0.003
ENKA INSAAT Construction and Materials Turkey 0.003
Aboitiz Equity Ventures Inc Industrial Goods and Services Philippines 0.003
Hakuhodo DY Holdings Inc. Media Japan 0.003
MILLICOM INTL.CELU. SDR Telecommunications Sweden 0.003
MIURA Industrial Goods and Services Japan 0.003
SSR MINING INC. (NAS) Basic Resources Canada 0.003
MOBILE WORLD INVESTMENT Retail Vietnam 0.003
CLEARWAY ENERGY C Utilities USA 0.003
ROGERS Technology USA 0.003
CHINA RESOURCES MIXC LIFESTYLE Real Estate China 0.003
SEAWORLD ENTERTAINMENT Travel and Leisure USA 0.003
NCR VOYIX Technology USA 0.003
PETRONAS CHEMICALS GP. Chemicals Malaysia 0.003
MERCURY SYSTEMS Industrial Goods and Services USA 0.003
ALLEGRO MICROSYSTEMS Technology USA 0.003
LG Uplus Telecommunications South Korea 0.003
SES Telecommunications Luxembourg 0.003
SISE CAM Industrial Goods and Services Turkey 0.003
HAYS Industrial Goods and Services UK 0.003
UNITED URB.INV. Real Estate Japan 0.003
S-Oil Energy South Korea 0.003
NIPPON ACCOMMS.FD. Real Estate Japan 0.003
PAGERDUTY Technology USA 0.003
ICU MEDICAL Health Care USA 0.003
BTS Group Holdings PCL Industrial Goods and Services Thailand 0.003
SOUTHEAST ASIA COMMERCIAL Banks Vietnam 0.003
PROTHENA Health Care USA 0.003
PTC THERAPEUTICS Health Care USA 0.003
HUANENG POWER INTERNATIONAL H Utilities China 0.003
IGM Financial Inc. Financial Services Canada 0.003
GIBSON ENERGY Energy Canada 0.003
VIAVI SOLUTIONS Telecommunications USA 0.003
Equity Commonwealth Real Estate USA 0.003
Mitsubishi Motors Corp. Automobiles and Parts Japan 0.003
ATCO CLASS 1 Utilities Canada 0.003
New World Development Co. Ltd. Real Estate Hong Kong 0.003
SWIRE PROPERTIES Real Estate Hong Kong 0.003
R1 RCM Health Care USA 0.003
VIETNAM DAIRY PRODUCTS Food, Beverage and Tobacco Vietnam 0.003
CHINA VANKE 'H' Real Estate China 0.003
CHINA INTL.CAP.'H' Financial Services China 0.003
United Tractors Tbk PT Basic Resources Indonesia 0.003
PELOTON INTERACTIVE A Travel and Leisure USA 0.003
KENNAMETAL Industrial Goods and Services USA 0.003
INDL.& INFR.FUND INV. Real Estate Japan 0.003
Voltas Ltd Construction and Materials India 0.003
TOPGOLF CALLAWAY BRANDS Consumer Products and Services USA 0.003
Kalbe Farma Tbk PT Health Care Indonesia 0.003
SITC Int. Hold. Industrial Goods and Services Hong Kong 0.003
Vodacom Group Ltd Telecommunications South Africa 0.003
INDIVIOR Health Care UK 0.003
Casio Computer Co. Ltd. Consumer Products and Services Japan 0.003
Grupo Fin Gali Banks Argentina 0.003
A2 MILK Food, Beverage and Tobacco New Zealand 0.003
Guangdong Investment Ltd. Utilities China 0.003
ONE 97 COMMUNICATIONS Industrial Goods and Services India 0.003
H&R RLST.IT.STAPLE UNIT Real Estate Canada 0.003
DIGITAL TELECOM.IFCF. Real Estate Thailand 0.003
Iluka Resources Ltd. Basic Resources Australia 0.003
CRRC H Industrial Goods and Services China 0.003
SASA POLYESTER A Chemicals Turkey 0.003
MERDEKA COPPER GOLD Basic Resources Indonesia 0.003
DOWLAIS GROUP Automobiles and Parts UK 0.003
LIONTOWN RESOURCES Basic Resources Australia 0.003
VINHOMES Real Estate Vietnam 0.003
China National 'H' Construction and Materials China 0.003
CHINA RAILWAY GROUP H Construction and Materials China 0.003
SMOORE INTERNATIONAL HOLDINGS Food, Beverage and Tobacco Hong Kong 0.003
AMP Ltd. Financial Services Australia 0.003
VERINT SYSTEMS Technology USA 0.003
OMNICELL Health Care USA 0.003
MASAN GROUP Food, Beverage and Tobacco Vietnam 0.003
INMODE Health Care USA 0.003
NETSCOUT SYSTEMS Technology USA 0.002
STAAR SURGICAL Health Care USA 0.002
HERTZ GLOBAL HLDGS Consumer Products and Services USA 0.002
NOVOCURE Health Care USA 0.002
AMC ENTERTAINMENT HDG. CL.A Media USA 0.002
LITHIUM AMERICAS (NYS) Basic Resources USA 0.001
CHARGEPOINT HOLDINGS A Energy USA 0.001
MOG DIGITECH HOLDINGS Technology Hong Kong 0.000
1Based on the last periodic review implementation