Sciencast Management Lp (1653169) Portfolio


Number of Companies: 279
Inflow: $87,655 K
Outflow: $-70,406 K
Net Flow: $17,249 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
2824 3 Bank Of New York Mellon Corp (BK) Instl Trust Fiduciary And Custody 61,000 New Holding 61,000 $36.83 $2,246 $2,246
3050 14 Wells Fargo And Co (WFC) Diversified Banks 55,129 Added More 43,429 $48.36 $2,100 $2,666
2870 14 Monsanto Co (MON) Agricultural Chemicals 20,700 New Holding 20,700 $87.73 $1,816 $1,816
80 1 Accenture Plc-Cl A (ACN) It Services 14,050 New Holding 14,050 $115.40 $1,621 $1,621
2990 40 Mondelez International Inc-A (MDLZ) Packaged Food 40,200 New Holding 40,200 $40.11 $1,612 $1,612
2806 7 Deere And Co (DE) Agricultural Machinery 20,904 New Holding 20,904 $76.98 $1,609 $1,609
2592 79 Adobe Systems Inc (ADBE) Application Software 17,100 New Holding 17,100 $93.80 $1,603 $1,603
3056 27 Boeing Cothe (BA) Aircraft And Parts 12,500 New Holding 12,500 $126.94 $1,586 $1,586
2886 77 Conocophillips (COP) Exploration And Production 38,000 New Holding 38,000 $40.27 $1,530 $1,530
2879 26 Vf Corp (VFC) Apparel Footwear And Acc Design 23,200 New Holding 23,200 $64.76 $1,502 $1,502
3077 22 Procter And Gamble Cothe (PG) Household Products 18,200 New Holding 18,200 $82.30 $1,498 $1,498
2825 30 Foot Locker Inc (FL) Specialty Apparel Stores 22,500 New Holding 22,500 $64.50 $1,451 $1,451
2877 30 Dte Energy Company (DTE) Integrated Utilities 15,600 New Holding 15,600 $90.66 $1,414 $1,414
2837 2 Carnival Corp (CCL) Cruise Lines 25,200 New Holding 25,200 $52.77 $1,329 $1,329
102 3 Regions Financial Corp (RF) Banks 169,003 New Holding 169,003 $7.85 $1,326 $1,326
2854 6 Vulcan Materials Co (VMC) Cement And Aggregates 12,250 New Holding 12,250 $105.57 $1,293 $1,293
17 2 Hormel Foods Corp (HRL) Packaged Food 29,200 New Holding 29,200 $43.24 $1,262 $1,262
2579 25 Lear Corp (LEA) Auto Parts 11,150 New Holding 11,150 $111.16 $1,239 $1,239
2906 16 Valero Energy Corp (VLO) Refining And Marketing 18,700 New Holding 18,700 $64.13 $1,199 $1,199
3005 17 Lowes Cos Inc (LOW) Home Products Stores 15,700 New Holding 15,700 $75.75 $1,189 $1,189
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 13,200 New Holding 13,200 $83.58 $1,103 $1,103
2668 3 Fastenal Co (FAST) Home And Office Product Whslrs 22,500 New Holding 22,500 $49.00 $1,102 $1,102
3023 7 Merck And Co Inc (MRK) Large Pharma 20,295 New Holding 20,295 $52.91 $1,073 $1,073
2907 20 Dr Pepper Snapple Group Inc (DPS) Beverages 12,000 New Holding 12,000 $89.41 $1,073 $1,073
2909 5 Reynolds American Inc (RAI) Tobacco 21,300 New Holding 21,300 $50.31 $1,071 $1,071
2794 5 Marsh And Mclennan Cos (MMC) Insurance Brokers 21,303 Added More 16,903 $60.79 $1,027 $1,295
2968 23 Hologic Inc (HOLX) Medical Equipment 28,900 New Holding 28,900 $34.50 $997 $997
2803 33 Kellogg Co (K) Packaged Food 12,800 New Holding 12,800 $76.55 $979 $979
3068 39 Mcdonalds Corp (MCD) Restaurants 7,500 New Holding 7,500 $125.68 $942 $942
2301 247 Signature Bank (SBNY) Banks 6,900 New Holding 6,900 $136.11 $939 $939
6 1 Barrick Gold Corp (ABX) Precious Metal Mining 68,500 New Holding 68,500 $13.58 $930 $930
2914 19 Clorox Company (CLX) Household Products 9,150 Added More 7,100 $126.05 $895 $1,153
2822 14 Dr Horton Inc (DHI) Homebuilders 29,500 New Holding 29,500 $30.23 $891 $891
2817 23 Harris Corp (HRS) Aircraft And Parts 11,400 New Holding 11,400 $77.86 $887 $887
2782 28 Agilent Technologies Inc (A) Life Science Equipment 21,700 New Holding 21,700 $39.84 $864 $864
2747 45 Cincinnati Financial Corp (CINF) P And C Insurance 20,800 Added More 13,200 $65.36 $862 $1,359
2846 20 Lincoln National Corp (LNC) Life Insurance 27,700 Added More 21,600 $39.20 $846 $1,085
136 2 Cit Group Inc (CIT) Commercial Finance 26,900 New Holding 26,900 $31.03 $834 $834
2986 89 Salesforcecom Inc (CRM) Application Software 21,300 Added More 10,900 $73.83 $804 $1,572
2950 8 General Motors Co (GM) Automobiles 35,700 Added More 25,200 $31.43 $792 $1,122
2830 14 Tesoro Corp (TSO) Refining And Marketing 8,700 New Holding 8,700 $86.01 $748 $748
2555 57 Microchip Technology Inc (MCHP) Semiconductor Devices 15,400 New Holding 15,400 $48.20 $742 $742
2607 17 Flowserve Corp (FLS) Flow Control Equipment 16,400 New Holding 16,400 $44.41 $728 $728
2763 22 L-3 Communications Holdings (LLL) Aircraft And Parts 5,600 New Holding 5,600 $118.50 $663 $663
968 9 Spirit Aerosystems Hold-Cl A (SPR) Aircraft And Parts 14,600 New Holding 14,600 $45.36 $662 $662
2944 1 Emerson Electric Co (EMR) Industrial Automation Controls 12,100 New Holding 12,100 $54.38 $657 $657
2557 14 Las Vegas Sands Corp (LVS) Casinos And Gaming 25,700 Added More 12,700 $51.68 $656 $1,328
2882 11 Omnicom Group (OMC) Advertising And Marketing 7,700 New Holding 7,700 $83.23 $640 $640
3019 8 Union Pacific Corp (UNP) Rail Freight 8,000 New Holding 8,000 $79.55 $636 $636
2303 12 Fluor Corp (FLR) Infrastructure Construction 11,767 New Holding 11,767 $53.70 $631 $631
2683 22 Quest Diagnostics Inc (DGX) Health Care Services 8,700 New Holding 8,700 $71.44 $621 $621
2773 3 Dicks Sporting Goods Inc (DKS) Sporting Goods Stores 13,100 New Holding 13,100 $46.75 $612 $612
158 4 Campbell Soup Co (CPB) Packaged Food 9,300 New Holding 9,300 $63.79 $593 $593
2786 9 Ingram Micro Inc-Cl A (IM) Consumer Elec And Applc Whslrs 16,500 New Holding 16,500 $35.91 $592 $592
2881 6 Waste Management Inc (WM) Waste Management 10,000 New Holding 10,000 $59.00 $590 $590
2776 74 Apache Corp (APA) Exploration And Production 11,800 New Holding 11,800 $48.81 $575 $575
2614 12 Autonation Inc (AN) Automotive Retailers 12,200 New Holding 12,200 $46.68 $569 $569
3018 33 Danaher Corp (DHR) Life Science Equipment 9,100 Added More 6,000 $94.86 $569 $863
2895 36 Tyson Foods Inc-Cl A (TSN) Packaged Food 8,200 New Holding 8,200 $66.66 $546 $546
176 9 Bbandt Corp (BBT) Banks 16,400 New Holding 16,400 $33.27 $545 $545
2693 15 Verisign Inc (VRSN) Internet Based Services 5,900 New Holding 5,900 $88.54 $522 $522
2703 9 Owens Corning (OC) Non Wood Building Materials 11,000 New Holding 11,000 $47.27 $520 $520
3076 10 Johnson And Johnson (JNJ) Large Pharma 13,000 Added More 4,715 $108.19 $510 $1,406
2931 30 Capital One Financial Corp (COF) Consumer Finance 10,651 Added More 7,251 $69.30 $502 $738
2477 15 Tenet Healthcare Corp (THC) Health Care Facilities 17,100 New Holding 17,100 $28.93 $494 $494
2855 5 Republic Services Inc (RSG) Waste Management 10,200 New Holding 10,200 $47.65 $486 $486
69 1 Flir Systems Inc (FLIR) Other Hardware 14,700 New Holding 14,700 $32.95 $484 $484
3012 21 Kimberly-Clark Corp (KMB) Household Products 3,550 New Holding 3,550 $134.50 $477 $477
2721 7 Etrade Financial Corp (ETFC) Wealth Management 19,400 New Holding 19,400 $24.49 $475 $475
2951 12 Ecolab Inc (ECL) Other Commercial Services 4,200 New Holding 4,200 $111.51 $468 $468
3060 21 Blackrock Inc (BLK) Investment Management 1,350 New Holding 1,350 $340.57 $459 $459
2617 3 Csx Corp (CSX) Rail Freight 17,700 New Holding 17,700 $25.75 $455 $455
105 1 Centene Corp (CNC) Managed Care 7,200 New Holding 7,200 $61.57 $443 $443
2404 31 Agl Resources Inc (GAS) Utility Networks 6,700 New Holding 6,700 $65.13 $436 $436
2564 58 Xilinx Inc (XLNX) Semiconductor Devices 9,200 New Holding 9,200 $47.43 $436 $436
2502 7 Donaldson Co Inc (DCI) Pollution Control Equipment 13,400 New Holding 13,400 $31.91 $427 $427
2716 6 Agco Corp (AGCO) Agricultural Machinery 8,600 New Holding 8,600 $49.70 $427 $427
370 4 Baxter International Inc (BAX) Health Care Supplies 10,400 New Holding 10,400 $41.08 $427 $427
3043 8 Charter Communication-A (CHTR) Cable And Satellite 2,025 New Holding 2,025 $202.42 $409 $409
2706 15 Chicago Bridge And Iron Co Nv (CBI) Infrastructure Construction 11,184 New Holding 11,184 $36.59 $409 $409
707 6 Graphic Packaging Holding Co (GPK) Containers And Packaging 31,800 New Holding 31,800 $12.85 $408 $408
15 2 Newfield Exploration Co (NFX) Exploration And Production 12,200 New Holding 12,200 $33.25 $405 $405
2940 66 Nxp Semiconductors Nv (NXPI) Semiconductor Devices 5,000 New Holding 5,000 $81.07 $405 $405
321 3 Cooper Cos Incthe (COO) Health Care Supplies 2,600 New Holding 2,600 $153.97 $400 $400
3067 10 Lockheed Martin Corp (LMT) Defense Primes 1,750 New Holding 1,750 $221.50 $387 $387
3024 13 Time Warner Inc (TWX) Entertainment Content 5,300 New Holding 5,300 $72.55 $384 $384
2652 20 Cms Energy Corp (CMS) Integrated Utilities 9,000 New Holding 9,000 $42.43 $381 $381
20 1 Aercap Holdings Nv (AER) Commercial Finance 9,200 New Holding 9,200 $38.75 $356 $356
2743 20 International Paper Co (IP) Containers And Packaging 20,985 Added More 8,685 $41.04 $356 $861
2231 17 Hanesbrands Inc (HBI) Apparel Footwear And Acc Design 12,332 New Holding 12,332 $28.34 $349 $349
480 3 Phillips 66 (PSX) Refining And Marketing 3,900 New Holding 3,900 $86.58 $337 $337
2650 19 Entergy Corp (ETR) Integrated Utilities 4,200 New Holding 4,200 $79.27 $332 $332
2779 8 Schwab Charles Corp (SCHW) Wealth Management 11,600 New Holding 11,600 $28.02 $325 $325
2904 10 Ebay Inc (EBAY) Ecommerce Discretionary 13,500 New Holding 13,500 $23.86 $322 $322
428 8 Aqua America Inc (WTR) Utility Networks 10,100 New Holding 10,100 $31.82 $321 $321
607 2 Dish Network Corp-A (DISH) Cable And Satellite 6,800 New Holding 6,800 $46.25 $314 $314
113 3 Abiomed Inc (ABMD) Medical Devices 3,300 New Holding 3,300 $94.80 $312 $312
2771 26 Fidelity National Info Serv (FIS) Consumer Finance 4,900 New Holding 4,900 $63.31 $310 $310
3062 63 Atandt Inc (T) Telecom Carriers 7,800 New Holding 7,800 $39.16 $305 $305
238 1 Eaton Corp Plc (ETN) Electrical Power Equipment 18,600 Added More 4,700 $62.56 $294 $1,163
2671 19 Sealed Air Corp (SEE) Containers And Packaging 6,100 New Holding 6,100 $48.00 $292 $292
397 5 Old Republic Intl Corp (ORI) P And C Insurance 15,900 New Holding 15,900 $18.28 $290 $290
2697 8 Kohls Corp (KSS) Department Stores 6,200 New Holding 6,200 $46.61 $288 $288
445 5 Celanese Corp-Series A (CE) Basic And Diversified Chemicals 4,400 New Holding 4,400 $65.50 $288 $288
2971 79 Occidental Petroleum Corp (OXY) Exploration And Production 4,200 New Holding 4,200 $68.43 $287 $287
2326 51 Teradata Corp (TDC) Telecom Carriers 10,800 New Holding 10,800 $26.24 $283 $283
50 1 Deutsche Bank Ag-Registered (DB) Diversified Banks 16,700 New Holding 16,700 $16.94 $282 $282
2836 19 Snap-On Inc (SNA) Home Improvement 1,800 New Holding 1,800 $156.99 $282 $282
2635 262 Firstmerit Corp (FMER) Banks 13,300 New Holding 13,300 $21.04 $279 $279
62 2 Panera Bread Company-Class A (PNRA) Restaurants 1,325 New Holding 1,325 $204.83 $271 $271
36 1 Skechers Usa Inc-Cl A (SKX) Apparel Footwear And Acc Design 8,900 New Holding 8,900 $30.45 $271 $271
2519 10 Jabil Circuit Inc (JBL) Emsodm 13,700 New Holding 13,700 $19.27 $263 $263
2121 236 Bok Financial Corporation (BOKF) Banks 4,800 New Holding 4,800 $54.61 $262 $262
11 1 Western Digital Corp (WDC) Computer Hardware And Storage 11,100 Added More 5,500 $47.24 $259 $524
2840 47 Allstate Corp (ALL) P And C Insurance 3,700 New Holding 3,700 $67.37 $249 $249
1898 7 Idex Corp (IEX) Flow Control Equipment 2,900 New Holding 2,900 $82.87 $240 $240
2418 32 Centerpoint Energy Inc (CNP) Utility Networks 11,200 New Holding 11,200 $20.92 $234 $234
2700 81 Autodesk Inc (ADSK) Application Software 4,000 New Holding 4,000 $58.31 $233 $233
2981 80 Eog Resources Inc (EOG) Exploration And Production 13,400 Added More 3,200 $72.58 $232 $972
2253 9 Penske Automotive Group Inc (PAG) Automotive Retailers 6,100 New Holding 6,100 $37.90 $231 $231
2859 40 Booz Allen Hamilton Holdings (BAH) It Services 7,500 New Holding 7,500 $30.28 $227 $227
2696 14 Copart Inc (CPRT) Automotive Retailers 5,500 New Holding 5,500 $40.77 $224 $224
2537 256 Privatebancorp Inc (PVTB) Banks 5,800 New Holding 5,800 $38.59 $223 $223
2355 21 Natus Medical Inc (BABY) Medical Equipment 5,800 New Holding 5,800 $38.43 $222 $222
2535 34 Ugi Corp (UGI) Utility Networks 5,400 New Holding 5,400 $40.29 $217 $217
2983 10 Humana Inc (HUM) Managed Care 1,150 New Holding 1,150 $182.94 $210 $210
149 9 Gulfport Energy Corp (GPOR) Exploration And Production 7,400 New Holding 7,400 $28.34 $209 $209
2783 9 Nrg Energy Inc (NRG) Power Generation 27,800 Added More 16,100 $13.01 $209 $361
2791 27 St Jude Medical Inc (STJ) Medical Devices 3,800 New Holding 3,800 $55.00 $209 $209
2801 62 Nvidia Corp (NVDA) Semiconductor Devices 5,800 New Holding 5,800 $35.63 $206 $206
2552 29 Post Holdings Inc (POST) Packaged Food 3,000 New Holding 3,000 $68.76 $206 $206
2620 48 Helmerich And Payne (HP) Oil And Gas Services And Equip 3,500 New Holding 3,500 $58.72 $205 $205
3003 49 Travelers Cos Incthe (TRV) P And C Insurance 1,750 New Holding 1,750 $116.70 $204 $204
2774 60 Level 3 Communications Inc (LVLT) Telecom Carriers 3,800 New Holding 3,800 $52.84 $200 $200
2065 4 Trinity Industries Inc (TRN) Railroad Rolling Stock 10,200 New Holding 10,200 $18.30 $186 $186
25 2 Marvell Technology Group Ltd (MRVL) Semiconductor Devices 16,900 New Holding 16,900 $10.31 $174 $174
2714 11 Staples Inc (SPLS) Other Spec Retail Discr 15,500 New Holding 15,500 $11.03 $170 $170
196 12 Diamondback Energy Inc (FANG) Exploration And Production 6,100 Added More 2,100 $77.18 $162 $470
3065 7 Philip Morris International (PM) Tobacco 3,700 Added More 1,100 $98.11 $107 $363
2665 11 Manpowergroup Inc (MAN) Commercial Vehicles 4,200 Added More 1,100 $81.41 $89 $341
2702 6 Paychex Inc (PAYX) Payment And Data Processors 14,300 Added More 1,500 $54.00 $81 $772
2976 33 Oracle Corp (ORCL) Infrastructure Software 16,600 Added More 1,700 $40.91 $69 $679
2587 41 Xl Group Plc (XL) P And C Insurance 10,400 Added More 1,000 $36.79 $36 $382
2229 37 American Financial Group Inc (AFG) P And C Insurance 3,800 Added More 300 $70.37 $21 $267
2645 263 Suntrust Banks Inc (STI) Banks 7,902 Added More 402 $36.08 $14 $285
2972 22 Coca-Cola Enterprises (CCE) Beverages 4,800 Added More 200 $50.74 $10 $243
166 1 Toro Co (TTC) Agricultural Machinery 2,900 Sold Some -100 $86.12 $-8 $249
2488 23 Magna International Inc (MGA) Auto Parts 5,800 Sold Some -300 $42.95 $-12 $249
2873 52 Juniper Networks Inc (JNPR) Communications Equipment 10,889 Sold Some -511 $25.51 $-13 $277
3013 9 Mckesson Corp (MCK) Health Care Supply Chain 2,000 Sold Some -200 $157.25 $-31 $314
2464 16 Idacorp Inc (IDA) Integrated Utilities 3,100 Sold Some -440 $74.58 $-32 $231
2789 9 Ameriprise Financial Inc (AMP) Wealth Management 3,800 Sold Some -350 $94.01 $-32 $357
2383 11 Msc Industrial Direct Co-A (MSM) Industrial Distribution And Rental 0 Sold All -5,500 $7.63 $-41 $0
2841 29 Eastman Chemical Co (EMN) Basic And Diversified Chemicals 2,800 Sold Some -700 $72.23 $-50 $202
2049 14 Spectrum Brands Holdings Inc (SPB) Household Products 2,050 Sold Some -500 $109.27 $-54 $224
2656 18 Parker Hannifin Corp (PH) Flow Control Equipment 4,200 Sold Some -500 $111.08 $-55 $466
2864 28 Edwards Lifesciences Corp (EW) Medical Devices 4,700 Sold Some -640 $88.20 $-56 $414
669 25 Manhattan Associates Inc (MANH) Application Software 5,200 Sold Some -1,000 $56.86 $-56 $295
2216 48 Polycom Inc (PLCM) Communications Equipment 0 Sold All -10,000 $11.15 $-111 $0
2883 24 Linkedin Corp - A (LNKD) Internet Media 0 Sold All -1,025 $114.34 $-117 $0
3079 54 Apple Inc (AAPL) Communications Equipment 3,800 Sold Some -1,150 $108.98 $-125 $414
4 1 Newell Rubbermaid Inc (NWL) Home And Office Furnishings 6,500 Sold Some -2,900 $44.29 $-128 $287
2765 15 Hertz Global Holdings Inc (HTZ) Automotive Retailers 0 Sold All -12,600 $10.53 $-132 $0
2856 20 Kinder Morgan Inc (KMI) Midstream Oil And Gas 22,500 Sold Some -8,467 $17.86 $-151 $401
440 2 Kbr Inc (KBR) Infrastructure Construction 0 Sold All -10,100 $15.48 $-156 $0
2618 261 Cullenfrost Bankers Inc (CFR) Banks 3,700 Sold Some -3,400 $55.11 $-187 $203
51 1 Dycom Industries Inc (DY) Infrastructure Construction 0 Sold All -3,000 $64.66 $-194 $0
2403 21 Dana Holding Corp (DAN) Auto Parts 0 Sold All -13,800 $14.09 $-194 $0
2448 10 Cf Industries Holdings Inc (CF) Agricultural Chemicals 0 Sold All -6,779 $31.34 $-212 $0
35 1 Lions Gate Entertainment Cor (LGF) Entertainment Content 0 Sold All -9,900 $21.85 $-216 $0
2926 16 Moodys Corp (MCO) Information Services 0 Sold All -2,250 $96.55 $-217 $0
2602 8 Hyatt Hotels Corp - Cl A (H) Lodging 0 Sold All -4,398 $49.49 $-217 $0
2684 27 Visteon Corp (VC) Auto Parts 0 Sold All -2,800 $79.58 $-222 $0
1835 11 Commercial Metals Co (CMC) Steel Producers 0 Sold All -13,200 $16.96 $-224 $0
1858 4 Aspen Insurance Holdings Ltd (AHL) Reinsurance 0 Sold All -4,700 $47.70 $-224 $0
2705 17 Principal Financial Group (PFG) Life Insurance 6,500 Sold Some -5,700 $39.45 $-224 $256
2932 19 Illinois Tool Works (ITW) Industrial Machinery 0 Sold All -2,200 $102.44 $-225 $0
2382 1 Northern Trust Corp (NTRS) Instl Trust Fiduciary And Custody 0 Sold All -3,500 $65.16 $-228 $0
2833 18 Mohawk Industries Inc (MHK) Home Improvement 0 Sold All -1,200 $190.89 $-229 $0
2539 35 Vectren Corp (VVC) Utility Networks 0 Sold All -4,700 $50.56 $-237 $0
312 2 Joy Global Inc (JOY) Construction And Mining Machinery 0 Sold All -14,800 $16.07 $-237 $0
2191 27 Cheesecake Factory Incthe (CAKE) Restaurants 0 Sold All -4,500 $53.09 $-238 $0
184 1 Live Nation Entertainment In (LYV) Entertainment Facilities 0 Sold All -11,200 $22.30 $-249 $0
294 2 Watsco Inc (WSO) Industrial Distribution And Rental 0 Sold All -1,900 $134.74 $-256 $0
2723 11 Jetblue Airways Corp (JBLU) Airlines 0 Sold All -12,200 $21.12 $-257 $0
564 3 Toll Brothers Inc (TOL) Homebuilders 0 Sold All -9,000 $29.51 $-265 $0
542 13 Wgl Holdings Inc (WGL) Utility Networks 0 Sold All -3,700 $72.37 $-267 $0
2446 13 Xylem Inc (XYL) Flow Control Equipment 0 Sold All -6,600 $40.90 $-269 $0
2660 30 Sanderson Farms Inc (SAFM) Packaged Food 0 Sold All -3,000 $90.18 $-270 $0
2633 17 Emc Corpma (EMC) Computer Hardware And Storage 0 Sold All -10,300 $26.65 $-274 $0
2913 24 Ashland Inc (ASH) Specialty Chemicals 0 Sold All -2,500 $109.95 $-274 $0
1832 14 West Pharmaceutical Services (WST) Health Care Supplies 0 Sold All -3,994 $69.32 $-276 $0
2493 48 Agnico Eagle Mines Ltd (AEM) Precious Metal Mining 0 Sold All -7,800 $36.16 $-282 $0
867 10 Treehouse Foods Inc (THS) Packaged Food 0 Sold All -3,300 $86.75 $-286 $0
2596 18 Community Health Systems Inc (CYH) Health Care Facilities 0 Sold All -15,600 $18.51 $-288 $0
2380 15 Whole Foods Market Inc (WFM) Food And Drug Stores 8,000 Sold Some -9,400 $31.11 $-292 $248
2878 18 Estee Lauder Companies-Cl A (EL) Household Products 0 Sold All -3,200 $94.30 $-301 $0
2159 4 Broadridge Financial Solutio (BR) Payment And Data Processors 0 Sold All -5,200 $59.31 $-308 $0
2669 16 Te Connectivity Ltd (TEL) Electrical Components 0 Sold All -5,000 $61.91 $-309 $0
2808 10 Calpine Corp (CPN) Power Generation 0 Sold All -20,900 $15.17 $-317 $0
2935 78 Anadarko Petroleum Corp (APC) Exploration And Production 16,500 Sold Some -6,900 $46.57 $-321 $768
3006 19 Becton Dickinson And Co (BDX) Health Care Supplies 1,400 Sold Some -2,250 $151.82 $-341 $212
2979 53 Cisco Systems Inc (CSCO) Communications Equipment 0 Sold All -12,000 $28.46 $-341 $0
2316 18 Hexcel Corp (HXL) Aircraft And Parts 0 Sold All -8,000 $43.70 $-349 $0
2891 65 Skyworks Solutions Inc (SWKS) Semiconductor Devices 0 Sold All -4,500 $77.90 $-350 $0
2929 20 Davita Healthcare Partners I (DVA) Health Care Facilities 0 Sold All -4,800 $73.37 $-352 $0
1589 2 Wabtec Corp (WAB) Railroad Rolling Stock 0 Sold All -4,500 $79.29 $-356 $0
2559 8 Validus Holdings Ltd (VR) Reinsurance 0 Sold All -7,600 $47.18 $-358 $0
2915 18 Acuity Brands Inc (AYI) Comml And Res Bldg Equip And Sys 0 Sold All -1,650 $218.13 $-359 $0
3047 19 Honeywell International Inc (HON) Comml And Res Bldg Equip And Sys 0 Sold All -3,300 $112.05 $-369 $0
3031 8 Pfizer Inc (PFE) Large Pharma 0 Sold All -12,600 $29.63 $-373 $0
2367 2 Avnet Inc (AVT) Technology Distributors 0 Sold All -8,600 $44.29 $-380 $0
2387 5 Dillards Inc-Cl A (DDS) Department Stores 0 Sold All -4,500 $84.91 $-382 $0
2863 35 Darden Restaurants Inc (DRI) Restaurants 0 Sold All -5,800 $66.30 $-384 $0
2838 17 Amphenol Corp-Cl A (APH) Electrical Components 3,500 Sold Some -6,800 $57.82 $-393 $202
185 1 Olin Corp (OLN) Basic And Diversified Chemicals 0 Sold All -22,800 $17.37 $-396 $0
2781 29 Servicenow Inc (NOW) Infrastructure Software 0 Sold All -6,500 $61.18 $-397 $0
2347 21 Total System Services Inc (TSS) Consumer Finance 0 Sold All -8,610 $47.58 $-409 $0
3004 37 Yum Brands Inc (YUM) Restaurants 0 Sold All -5,100 $81.84 $-417 $0
3046 32 Air Products And Chemicals Inc (APD) Basic And Diversified Chemicals 0 Sold All -2,900 $144.05 $-417 $0
2920 268 Us Bancorp (USB) Banks 0 Sold All -10,300 $40.59 $-418 $0
424 6 Textron Inc (TXT) Aircraft And Parts 0 Sold All -11,489 $36.45 $-418 $0
3070 18 Home Depot Inc (HD) Home Products Stores 0 Sold All -3,173 $133.42 $-423 $0
2641 2 State Street Corp (STT) Instl Trust Fiduciary And Custody 0 Sold All -7,300 $58.52 $-427 $0
73 5 Pdc Energy Inc (PDCE) Exploration And Production 0 Sold All -7,200 $59.45 $-428 $0
2871 31 Ross Stores Inc (ROST) Specialty Apparel Stores 6,400 Sold Some -7,500 $57.90 $-434 $370
2727 10 Everest Re Group Ltd (RE) Reinsurance 0 Sold All -2,200 $197.42 $-434 $0
2996 7 Target Corp (TGT) Mass Merchants 0 Sold All -5,300 $82.27 $-436 $0
2282 21 Boston Scientific Corp (BSX) Medical Devices 0 Sold All -24,300 $18.80 $-457 $0
3042 9 Northrop Grumman Corp (NOC) Defense Primes 0 Sold All -2,350 $197.89 $-465 $0
2473 12 Mosaic Cothe (MOS) Agricultural Chemicals 0 Sold All -17,500 $27.00 $-472 $0
2622 4 Arthur J Gallagher And Co (AJG) Insurance Brokers 0 Sold All -10,700 $44.48 $-475 $0
586 5 Gap Incthe (GPS) Specialty Apparel Stores 0 Sold All -17,500 $29.40 $-514 $0
1950 4 Ch Robinson Worldwide Inc (CHRW) Logistics Services 0 Sold All -7,000 $74.23 $-519 $0
2110 6 Kar Auction Services Inc (KAR) Other Commercial Services 0 Sold All -13,700 $38.13 $-522 $0
2974 36 Chipotle Mexican Grill Inc (CMG) Restaurants 0 Sold All -1,120 $470.97 $-527 $0
2760 73 Eqt Corp (EQT) Exploration And Production 0 Sold All -8,000 $67.26 $-538 $0
217 14 Marathon Oil Corp (MRO) Exploration And Production 0 Sold All -50,865 $11.14 $-566 $0
3008 5 Eli Lilly And Co (LLY) Large Pharma 0 Sold All -7,995 $72.01 $-575 $0
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 0 Sold All -7,650 $76.48 $-585 $0
2674 7 Nordstrom Inc (JWN) Department Stores 0 Sold All -10,300 $57.20 $-589 $0
3034 27 Sherwin-Williams Cothe (SHW) Specialty Chemicals 0 Sold All -2,075 $284.67 $-590 $0
2894 15 Morgan Stanley (MS) Institutional Brokerage 22,500 Sold Some -23,661 $25.01 $-591 $562
2661 28 Lyondellbasell Indu-Cl A (LYB) Basic And Diversified Chemicals 0 Sold All -7,000 $85.58 $-599 $0
2893 52 Halliburton Co (HAL) Oil And Gas Services And Equip 0 Sold All -16,877 $35.72 $-602 $0
2985 20 Colgate-Palmolive Co (CL) Household Products 0 Sold All -8,600 $70.65 $-607 $0
2936 25 Ppg Industries Inc (PPG) Specialty Chemicals 0 Sold All -5,450 $111.48 $-607 $0
2811 75 Range Resources Corp (RRC) Exploration And Production 0 Sold All -20,300 $32.38 $-657 $0
2823 28 Discover Financial Services (DFS) Consumer Finance 0 Sold All -13,300 $50.91 $-677 $0
2829 19 Prudential Financial Inc (PRU) Life Insurance 0 Sold All -9,400 $72.22 $-678 $0
3010 11 Aetna Inc (AET) Managed Care 0 Sold All -6,600 $112.34 $-741 $0
2778 11 Bank Of America Corp (BAC) Diversified Banks 0 Sold All -55,600 $13.52 $-751 $0
2876 17 Expedia Inc (EXPE) Internet Based Services 0 Sold All -7,550 $107.82 $-814 $0
3035 2 United Parcel Service-Cl B (UPS) Courier Services 15,150 Sold Some -7,900 $105.47 $-833 $1,597
2922 32 Palo Alto Networks Inc (PANW) Infrastructure Software 0 Sold All -5,250 $163.13 $-856 $0
2923 7 Martin Marietta Materials (MLM) Cement And Aggregates 0 Sold All -5,750 $159.50 $-917 $0
3064 14 Walt Disney Cothe (DIS) Entertainment Content 0 Sold All -9,250 $99.30 $-918 $0
2987 27 Nike Inc -Cl B (NKE) Apparel Footwear And Acc Design 0 Sold All -15,500 $61.47 $-952 $0
2538 77 Cadence Design Sys Inc (CDNS) Application Software 0 Sold All -40,700 $23.58 $-959 $0
3032 17 Cvs Health Corp (CVS) Food And Drug Stores 0 Sold All -9,300 $103.73 $-964 $0
2911 4 Cme Group Inc (CME) Security And Cmdty Exchanges 0 Sold All -10,100 $96.05 $-970 $0
2769 24 Ameren Corporation (AEE) Integrated Utilities 0 Sold All -19,700 $50.09 $-986 $0
79 3 Firstenergy Corp (FE) Integrated Utilities 14,200 Sold Some -27,900 $35.97 $-1,003 $510
2753 72 Cimarex Energy Co (XEC) Exploration And Production 0 Sold All -10,400 $97.26 $-1,011 $0
2956 32 Dominion Resources Incva (D) Integrated Utilities 0 Sold All -14,660 $75.12 $-1,101 $0
2792 26 Edison International (EIX) Integrated Utilities 5,200 Sold Some -15,400 $71.88 $-1,107 $373
2954 29 Stryker Corp (SYK) Medical Devices 0 Sold All -10,800 $107.29 $-1,158 $0
2692 18 Spectra Energy Corp (SE) Midstream Oil And Gas 0 Sold All -38,101 $30.60 $-1,165 $0
2819 20 T Rowe Price Group Inc (TROW) Investment Management 0 Sold All -17,868 $73.45 $-1,312 $0
2991 68 Texas Instruments Inc (TXN) Semiconductor Devices 4,700 Sold Some -23,100 $57.41 $-1,326 $269
197 6 Linear Technology Corp (LLTC) Semiconductor Devices 0 Sold All -29,899 $44.56 $-1,332 $0
3074 26 Facebook Inc-A (FB) Internet Media 0 Sold All -12,250 $114.09 $-1,397 $0
2957 43 Sempra Energy (SRE) Utility Networks 0 Sold All -14,900 $104.05 $-1,550 $0
3011 13 Citigroup Inc (C) Diversified Banks 0 Sold All -38,759 $41.75 $-1,618 $0
3009 8 General Dynamics Corp (GD) Defense Primes 0 Sold All -13,541 $131.36 $-1,778 $0
3029 24 Coca-Cola Cothe (KO) Beverages 0 Sold All -42,100 $46.38 $-1,953 $0
2970 31 Fiserv Inc (FISV) Consumer Finance 0 Sold All -21,900 $102.58 $-2,246 $0
3027 7 Comcast Corp-Class A (CMCSA) Cable And Satellite 6,200 Sold Some -39,800 $61.08 $-2,430 $378
2928 37 General Mills Inc (GIS) Packaged Food 0 Sold All -44,100 $63.34 $-2,793 $0