UNITED STATES SECURITIES AND EXCHANGE COMMISSION
[Pages:15]The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.
UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
OMB APPROVAL
OMB Number: 3235-0006 Expires: July 31, 2015 Estimated average burden hours per response: 23.8
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 06-30-2018
Check here if Amendment:
X Amendment Number:
1
This Amendment (Check only one.):
is a restatement.
X adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Address:
PRUDENTIAL FINANCIAL INC
751 BROAD ST
NEWARK
NJ 07102
Form 13F File Number: 028-10077
The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.
Person Signing this Report on Behalf of Reporting Manager:
Name:
Title: Phone:
Richard Baker Second Vice President 973-802-6691
Signature, Place, and Date of Signing:
/s/ Richard Baker [Signature]
Newark, NEW JERSEY [City, State]
09-01-2021 [Date]
Do you wish to provide information pursuant to Special Instruction 5?
Additional Information This amended filing reflects a revised listing of 13F securities which takes into account 5 13F securities for Pruco Securities, LLC.
X Yes
No
6
Report Type (Check only one.): X 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.)
13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).)
13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)
Report Summary:
Number of Other Included Managers: Form 13F Information table Entry Total: Form 13F Information table Value Total:
Form 13F Summary Page
0 656 27,890 (thousands)
List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F number(s) of all institutional investement managers with respect to which this report is filed, other than the manager filing this report.
NONE
COLUMN 1
NAME OF ISSUER
AFLAC INC AMN HEALTHCARE SERVICES INC AT&T INC ABBOTT LABS ABBVIE INC ABIOMED INC ACADIA HEALTHCARE COMPANY IN ACTIVISION BLIZZARD INC ACXIOM CORP ADOBE SYS INC AETNA INC NEW AFFILIATED MANAGERS GROUP AGILENT TECHNOLOGIES INC AIR LEASE CORP AKAMAI TECHNOLOGIES INC ALEXION PHARMACEUTICALS INC ALIBABA GROUP HLDG LTD ALIGN TECHNOLOGY INC ALLEGHENY TECHNOLOGIES INC ALLSTATE CORP ALPHABET INC ALPHABET INC ALTRA INDL MOTION CORP ALTRIA GROUP INC AMAZON COM INC AMEREN CORP AMERICAN CAMPUS CMNTYS INC AMERICAN ELEC PWR INC AMERICAN EQTY INVT LIFE HLD AMERICAN EXPRESS CO AMERICAN INTL GROUP INC AMERICAN STS WTR CO AMERICAN TOWER CORP NEW AMERISAFE INC AMERISOURCEBERGEN CORP AMETEK INC NEW AMGEN INC AMNEAL PHARMACEUTICALS INC AMPHENOL CORP NEW ANDEAVOR ANSYS INC ANTHEM INC APERGY CORP APPLE INC APPLIED INDL TECHNOLOGIES IN APPLIED MATLS INC APTARGROUP INC ARISTA NETWORKS INC ARROW ELECTRS INC ASPEN TECHNOLOGY INC AUTODESK INC AUTOMATIC DATA PROCESSING IN AUTOZONE INC
FORM 13F INFORMATION TABLE
COLUMN 2
COLUMN 3
COLUMN 4
COLUMN 5
TITLE OF CLASS
CUSIP
VALUE (x$1000)
SHRS OR PRN AMT
SH / PRN
COM
001055102
COM
001744101
COM
00206R102
COM
002824100
COM
00287Y109
COM
003654100
COM
00404A109
COM
00507V109
COM
005125109
COM
00724F101
COM
00817Y108
COM
008252108
COM
00846U101
CL A
00912X302
COM
00971T101
COM
015351109
SPONSORED ADS 01609W102
COM
016255101
COM
01741R102
COM
020002101
CAP STK CL C
02079K107
CAP STK CL A
02079K305
COM
02208R106
COM
02209S103
COM
023135106
COM
023608102
COM
024835100
COM
025537101
COM
025676206
COM
025816109
COM NEW
026874784
COM
029899101
COM
03027X100
COM
03071H100
COM
03073E105
COM
031100100
COM
031162100
COM STK CL A
03168L105
CL A
032095101
COM
03349M105
COM
03662Q105
COM
036752103
COM
03755L104
COM
037833100
COM
03820C105
COM
038222105
COM
038336103
COM
040413106
COM
042735100
COM
045327103
COM
052769106
COM
053015103
COM
053332102
2
35
SH
2
34
SH
34
1,074
SH
14
223
SH
14
147
SH
1
3
SH
4
96
SH
6
83
SH
1
20
SH
58
238
SH
19
104
SH
1
6
SH
12
192
SH
2
45
SH
9
125
SH
5
43
SH
34
181
SH
44
129
SH
3
114
SH
2
18
SH
62
56
SH
56
50
SH
1
27
SH
46
806
SH
134
79
SH
3
52
SH
7
155
SH
11
159
SH
2
44
SH
5
47
SH
3
52
SH
4
74
SH
28
194
SH
3
47
SH
8
91
SH
12
172
SH
15
82
SH
2
99
SH
31
359
SH
2
15
SH
24
135
SH
2
10
SH
2
36
SH
91
491
SH
9
131
SH
37
801
SH
5
57
SH
1
4
SH
2
31
SH
5
55
SH
12
92
SH
8
59
SH
17
25
SH
PUT / CALL
-
COLUMN 6
COLUMN 7
INVESTMENT DISCRETION
OTHER MANAGER
DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10 DFND 10
COLUMN 8
VOTING AUTHORITY
SOLE
SHARED
NONE
0
35
0
0
34
0
0
1,074
0
0
223
0
0
147
0
0
3
0
0
96
0
0
83
0
0
20
0
0
238
0
0
104
0
0
6
0
0
192
0
0
45
0
0
125
0
0
43
0
0
181
0
0
129
0
0
114
0
0
18
0
0
56
0
0
50
0
0
27
0
0
806
0
0
79
0
0
52
0
0
155
0
0
159
0
0
44
0
0
47
0
0
52
0
0
74
0
0
194
0
0
47
0
0
91
0
0
172
0
0
82
0
0
99
0
0
359
0
0
15
0
0
135
0
0
10
0
0
36
0
0
491
0
0
131
0
0
801
0
0
57
0
0
4
0
0
31
0
0
55
0
0
92
0
0
59
0
0
25
0
AVERY DENNISON CORP AVISTA CORP AVNET INC BB&T CORP BOK FINL CORP BWX TECHNOLOGIES INC BADGER METER INC BAIDU INC BANK AMER CORP BANK OF THE OZARKS BANK NEW YORK MELLON CORP BANKUNITED INC BARNES GROUP INC BAXTER INTL INC BEACON ROOFING SUPPLY INC BECTON DICKINSON & CO BERKSHIRE HATHAWAY INC DEL BERRY GLOBAL GROUP INC BIO RAD LABS INC BIOMARIN PHARMACEUTICAL INC BIOGEN INC BJS RESTAURANTS INC BLACK HILLS CORP BLACK KNIGHT INC BLACKBAUD INC BLACKROCK INC BOEING CO BOOKING HLDGS INC BOOZ ALLEN HAMILTON HLDG COR BORGWARNER INC BOSTON PROPERTIES INC BOSTON SCIENTIFIC CORP BRISTOL MYERS SQUIBB CO BROADRIDGE FINL SOLUTIONS IN BROADCOM INC BRUNSWICK CORP BURLINGTON STORES INC CBOE GLOBAL MARKETS INC CBRE GROUP INC CDK GLOBAL INC CDW CORP CIGNA CORPORATION CME GROUP INC CMS ENERGY CORP CSX CORP CVB FINL CORP CVS HEALTH CORP CA INC CABLE ONE INC CABOT CORP CABOT MICROELECTRONICS CORP CACI INTL INC CALAVO GROWERS INC CALIFORNIA RES CORP CALLON PETE CO DEL CAPITAL ONE FINL CORP CARTER INC CASEYS GEN STORES INC CATALENT INC
COM COM COM COM COM NEW COM COM SPON ADR REP A COM COM COM COM COM COM COM COM CL B NEW COM CL A COM COM COM COM COM COM COM COM COM CL A COM COM COM COM COM COM COM COM COM CL A COM COM COM COM CL A COM COM COM COM COM COM COM COM CL A COM COM NEW COM COM COM COM COM
053611109 05379B107 053807103 054937107 05561Q201 05605H100 056525108 056752108 060505104 063904106 064058100 06652K103 067806109 071813109 073685109 075887109 084670702 08579W103 090572207 09061G101 09062X103 09180C106 092113109 09215C105 09227Q100 09247X101 097023105 09857L108 099502106 099724106 101121101 101137107 110122108 11133T103 11135F101 117043109 122017106 12503M108 12504L109 12508E101 12514G108 125509109 12572Q105 125896100 126408103 126600105 126650100 12673P105 12685J105 127055101 12709P103 127190304 128246105 13057Q206 13123X102 14040H105 146229109 147528103 148806102
49
483
SH
1
19
SH
0
8
SH
6
111
SH
1
13
SH
22
345
SH
4
98
SH
51
209
SH
21
741
SH
5
119
SH
4
77
SH
4
95
SH
1
22
SH
68
926
SH
1
35
SH
1
5
SH
4
21
SH
3
63
SH
3
10
SH
2
18
SH
2
7
SH
6
100
SH
1
18
SH
4
67
SH
5
48
SH
13
25
SH
71
212
SH
36
18
SH
7
168
SH
3
70
SH
2
14
SH
29
892
SH
3
58
SH
4
34
SH
21
87
SH
12
184
SH
25
169
SH
5
44
SH
5
98
SH
0
2
SH
3
37
SH
1
7
SH
6
36
SH
3
72
SH
4
60
SH
1
53
SH
5
77
SH
2
62
SH
7
10
SH
2
25
SH
2
23
SH
2
11
SH
7
70
SH
0
1
SH
5
457
SH
1
10
SH
4
34
SH
4
35
SH
7
159
SH
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
0
483
0
0
19
0
0
8
0
0
111
0
0
13
0
0
345
0
0
98
0
0
209
0
0
741
0
0
119
0
0
77
0
0
95
0
0
22
0
0
926
0
0
35
0
0
5
0
0
21
0
0
63
0
0
10
0
0
18
0
0
7
0
0
100
0
0
18
0
0
67
0
0
48
0
0
25
0
0
212
0
0
18
0
0
168
0
0
70
0
0
14
0
0
892
0
0
58
0
0
34
0
0
87
0
0
184
0
0
169
0
0
44
0
0
98
0
0
2
0
0
37
0
0
7
0
0
36
0
0
72
0
0
60
0
0
53
0
0
77
0
0
62
0
0
10
0
0
25
0
0
23
0
0
11
0
0
70
0
0
1
0
0
457
0
0
10
0
0
34
0
0
35
0
0
159
0
CATERPILLAR INC DEL CAVCO INDS INC DEL CELGENE CORP CENTENE CORP DEL CENTERPOINT ENERGY INC CHEESECAKE FACTORY INC CHEMED CORP NEW CHEVRON CORP NEW CHIPOTLE MEXICAN GRILL INC CHURCH & DWIGHT INC CIMAREX ENERGY CO CISCO SYS INC CINTAS CORP CITIGROUP INC CITIZENS FINL GROUP INC COCA COLA CO COGENT COMMUNICATIONS HLDGS COGNEX CORP COGNIZANT TECHNOLOGY SOLUTIO COLGATE PALMOLIVE CO COLUMBIA BKG SYS INC COMFORT SYS USA INC COMCAST CORP NEW COMERICA INC COMMVAULT SYSTEMS INC CONCHO RES INC CONOCOPHILLIPS CONTINENTAL RESOURCES INC COOPER COS INC CORE MARK HOLDING CO INC CORESITE RLTY CORP CORNING INC COSTCO WHSL CORP NEW COSTAR GROUP INC CROWN CASTLE INTL CORP NEW CROWN HOLDINGS INC CUMMINS INC D R HORTON INC DXC TECHNOLOGY CO DANAHER CORP DEL DARDEN RESTAURANTS INC DELTA AIR LINES INC DEL DENNYS CORP DENTSPLY SIRONA INC DEVON ENERGY CORP NEW DEXCOM INC DIAMONDBACK ENERGY INC DIGITAL RLTY TR INC DIODES INC DISNEY WALT CO DISCOVER FINL SVCS DOLLAR GEN CORP NEW DOMINION ENERGY INC DOMINOS PIZZA INC DORMAN PRODUCTS INC DOVER CORP DOWDUPONT INC DRIL-QUIP INC DUKE REALTY CORP
COM COM COM COM COM COM COM COM COM COM COM COM COM COM NEW COM COM COM NEW COM CL A COM COM COM CL A COM COM COM COM COM COM NEW COM COM COM COM COM COM COM COM COM COM COM COM COM NEW COM COM COM COM COM COM COM COM DISNEY COM COM COM COM COM COM COM COM COM NEW
149123101 149568107 151020104 15135B101 15189T107 163072101 16359R103 166764100 169656105 171340102 171798101 17275R102 172908105 172967424 174610105 191216100 19239V302 192422103 192446102 194162103 197236102 199908104 20030N101 200340107 204166102 20605P101 20825C104 212015101 216648402 218681104 21870Q105 219350105 22160K105 22160N109 22822V101 228368106 231021106 23331A109 23355L106 235851102 237194105 247361702 24869P104 24906P109 25179M103 252131107 25278X109 253868103 254543101 254687106 254709108 256677105 25746U109 25754A201 258278100 260003108 26078J100 262037104 264411505
3
20
SH
8
37
SH
5
59
SH
14
117
SH
48
1,724
SH
2
32
SH
8
25
SH
44
346
SH
3
6
SH
9
170
SH
3
34
SH
24
566
SH
16
85
SH
4
55
SH
7
183
SH
25
560
SH
4
79
SH
13
282
SH
18
228
SH
6
93
SH
2
41
SH
6
130
SH
17
520
SH
37
407
SH
1
13
SH
7
51
SH
6
87
SH
5
72
SH
4
18
SH
3
142
SH
4
35
SH
0
10
SH
74
352
SH
10
25
SH
21
192
SH
7
158
SH
14
103
SH
4
105
SH
1
15
SH
19
190
SH
4
39
SH
19
394
SH
2
129
SH
4
98
SH
0
2
SH
19
201
SH
1
11
SH
3
27
SH
1
29
SH
13
127
SH
1
16
SH
1
9
SH
19
278
SH
12
43
SH
5
74
SH
4
59
SH
6
94
SH
1
24
SH
2
58
SH
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
-
DFND 10
0
20
0
0
37
0
0
59
0
0
117
0
0
1,724
0
0
32
0
0
25
0
0
346
0
0
6
0
0
170
0
0
34
0
0
566
0
0
85
0
0
55
0
0
183
0
0
560
0
0
79
0
0
282
0
0
228
0
0
93
0
0
41
0
0
130
0
0
520
0
0
407
0
0
13
0
0
51
0
0
87
0
0
72
0
0
18
0
0
142
0
0
35
0
0
10
0
0
352
0
0
25
0
0
192
0
0
158
0
0
103
0
0
105
0
0
15
0
0
190
0
0
39
0
0
394
0
0
129
0
0
98
0
0
2
0
0
201
0
0
11
0
0
27
0
0
29
0
0
127
0
0
16
0
0
9
0
0
278
0
0
43
0
0
74
0
0
59
0
0
94
0
0
24
0
0
58
0
DUKE ENERGY CORP NEW EQT CORP E TRADE FINANCIAL CORP EAGLE MATERIALS INC EAGLE PHARMACEUTICALS INC EAST WEST BANCORP INC EASTERLY GOVT PPTYS INC EASTMAN CHEM CO EATON VANCE CORP EBAY INC ECHOSTAR CORP ECOLAB INC EDISON INTL EDUCATION RLTY TR INC EDWARDS LIFESCIENCES CORP EL PASO ELEC CO ELECTRONIC ARTS INC EMCOR GROUP INC EMPIRE ST RLTY TR INC ENCOMPASS HEALTH CORP ENERGEN CORP ENPRO INDS INC ENSIGN GROUP INC EPAM SYS INC EQUIFAX INC EQUINIX INC EQUITY LIFESTYLE PPTYS INC EQUITY RESIDENTIAL ESCO TECHNOLOGIES INC EURONET WORLDWIDE INC EVERCORE INC EVERSOURCE ENERGY EXELON CORP EXPONENT INC EXXON MOBIL CORP F M C CORP FNB CORP PA FCB FINL HLDGS INC FACEBOOK INC FASTENAL CO FEDERAL AGRIC MTG CORP FEDEX CORP FIDELITY NATL INFORMATION SV FIDELITY NATIONAL FINANCIAL 58 COM INC FIRST FINL BANCORP OH FIRST FINL BANKSHARES FIRST INDUSTRIAL REALTY TRUS FIRST MIDWEST BANCORP DEL FIRST REP BK SAN FRANCISCO C
FIRST TR EXCHANGE TRADED FD
FIRST TR EXCHANGE TRADED FD
FIRST TR EXCHANGE TRADED FD
FISERV INC FIVE BELOW INC FLEETCOR TECHNOLOGIES INC FORD MTR CO DEL FORTIVE CORP
COM NEW
26441C204
COM
26884L109
COM NEW
269246401
COM
26969P108
COM
269796108
COM
27579R104
COM
27616P103
COM
277432100
COM NON VTG
278265103
COM
278642103
CL A
278768106
COM
278865100
COM
281020107
COM NEW
28140H203
COM
28176E108
COM NEW
283677854
COM
285512109
COM
29084Q100
CL A
292104106
COM
29261A100
COM
29265N108
COM
29355X107
COM
29358P101
COM
29414B104
COM
294429105
COM PAR $0.001 29444U700
COM
29472R108
SH BEN INT
29476L107
COM
296315104
COM
298736109
CLASS A
29977A105
COM
30040W108
COM
30161N101
COM
30214U102
COM
30231G102
COM NEW
302491303
COM
302520101
CL A
30255G103
CL A
30303M102
COM
311900104
CL C
313148306
COM
31428X106
COM
31620M106
FNF GROUP COM 31620R303
SPON ADR REP A 31680Q104
COM
320209109
COM
32020R109
COM
32054K103
COM
320867104
COM
33616C100
CAP STRENGTH ETF
33733E104
FINLS ALPHADEX 33734X135
DORSEY WRT 5 ETF
33738R605
COM
337738108
COM
33829M101
COM
339041105
COM PAR $0.01
345370860
COM
34959J108
19
236
SH
1
14
SH
46
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1
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22
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5
262
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4
36
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21
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2
39
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35
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43
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26
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104
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0
236
0
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0
0
9,078
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0
283
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0
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0
77
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335
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0
FRANKLIN ELEC INC GATX CORP GALLAGHER ARTHUR J & CO GARDNER DENVER HLDGS INC GARTNER INC GENERAL DYNAMICS CORP GENERAL ELECTRIC CO GENERAL MLS INC GENERAL MTRS CO GILEAD SCIENCES INC GLACIER BANCORP INC NEW GLOBAL PMTS INC GLOBUS MED INC GOLDMAN SACHS GROUP INC GRACO INC GRAINGER W W INC GRUBHUB INC HP INC HARRIS CORP DEL HARSCO CORP HASBRO INC HEALTHCARE SVCS GRP INC HEALTHCARE RLTY TR HEARTLAND EXPRESS INC HEICO CORP NEW HELMERICH & PAYNE INC HENRY JACK & ASSOC INC HEXCEL CORP NEW HILTON WORLDWIDE HLDGS INC HOLLYFRONTIER CORP HOME BANCSHARES INC HOME DEPOT INC HONEYWELL INTL INC HOPE BANCORP INC HOULIHAN LOKEY INC HUB GROUP INC HUMANA INC HUNT J B TRANS SVCS INC HUNTINGTON BANCSHARES INC HUNTSMAN CORP ICU MED INC IPG PHOTONICS CORP ITT INC ICICI BK LTD IDEXX LABS INC INDEPENDENT BK GROUP INC INNOPHOS HOLDINGS INC INTEGRATED DEVICE TECHNOLOGY INTEL CORP INTERFACE INC INTERCONTINENTAL EXCHANGE IN INTERNATIONAL BUSINESS MACHS INTERNATIONAL FLAVORS&FRAGRA INVESCO QQQ TR INTUIT INTUITIVE SURGICAL INC ISHARES TR ISHARES TR
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26
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62
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................
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