ADI Analog Devices Inc 34.219B0.980.18-0.16-47.571518526800.00
AMDA Amedica Corp 11.454M-0.65-0.930.011.06
ARCI Appliance Recycling Centers Of America Inc 7.219M
BLRX Biolinerx Ltd - American Depositary Shares 113.037M-0.09-0.050.019.091517578200.00
BORN China New Borun Corp American Depositary Shares 34.186M
BURL Burlington Stores Inc 7.349B0.650.660.1735.881519219800.00
BZUN Baozun Inc - American Depositary Shares 1.964B0.240.510.000.00
CAL Caleres Inc 1.329B0.860.41-0.07-13.68
CBRL Cracker Barrel Old Country Store Inc 3.788B1.882.230.062.53
CHS Chico's Fas Inc 1.044B0.130.18-0.03-13.70
CMCM Cheetah Mobile Inc American Depositary Shares, Each Representing 10 Class Ordinary Shares 1.554B0.400.470.1132.39
COE China Online Education Group American Depositary Shares, Each Representing 15 Class A Ordinary Shares 326.237M
CPB Campbell Soup Company 15.005B0.971.040.4990.08
CPRT Copart Inc 8.393B0.260.30-0.00-1.10
CRM Salesforce.com Inc 77.167B0.050.020.0175.58
CTRN Citi Trends Inc 302.479M
DAKT Daktronics Inc 446.865M
DLTR Dollar Tree Inc 23.000B
DPW Digital Power Corp 9.342M1523304000.00
DRYS Dryships Inc 432.740M
DSW Dsw Inc 1.810B0.520.350.0620.69
ESYJY Easyjet Plc 6.672B1526369400.00
EV Eaton Vance Corp 6.095B0.700.58-0.07-11.451519133400.00
EVLV Evine Live Inc 83.488M-0.03-0.03-0.00-12.50
EVSNF Elbit Vision Sys Ltd 29.901M
GES Guess? Inc 1.480B0.010.180.0989.47
GLBS Globus Maritime Ltd 30.133M
GME Gamestop Corp 1.665B0.440.220.0636.08
GOGL Golden Ocean Group Ltd 1.071B0.050.000.05100.001519815600.00
GOPH Gopher Protocol Inc 37.081M
GSUM Gridsum Holding Inc - American Depositary Shares 289.231M
HPE Hewlett Packard Enterprise Company 22.818B0.060.100.0473.081519246800.00
HPQ Hp Inc 36.946B0.410.410.036.96
HRL Hormel Foods Corp 17.629B0.390.34-0.03-8.38
IGEN Igen Networks Corp 2.440M
IXYS Ixys Corp 801.205M
JEC Jacobs Engineering Group Inc 7.139B0.790.74-0.03-4.10
KEN Kenon Holdings Ltd Ordinary Shares 957.775M
KIRK Kirkland's Inc 205.263M-0.07-0.240.0415.29
KWBT Kiwa Bio Tech Prods Group Corp 14.643M
LOW Lowe's Companies Inc 67.841B1.021.680.063.87
MDT Medtronic Plc. Ordinary Shares 106.877B0.710.74-0.09-10.601519133400.00
MOV Movado Group Inc 663.865M1519824600.00
NEVPF Neurovive Pharmaceutical Ab Lu 24.533M-0.45
NJR Newjersey Resources Corp 3.834B0.060.220.19587.501518096600.00
NQ Nq Mobile Inc American Depositary Shares, Each Representing Five Class A Common Shares 406.507M
PDCO Patterson Companies Inc 3.332B
PRPO Precipio Inc 12.753M
PSHIF Petroshale Inc 207.583M
PTNR Partner Communications Company Ltd - American Depositary Shares, Each Representing One Ordinary Share 884.937M1519815600.00
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