Ameriprise Financial Inc

Most recent update: Sept. 30, 2017

CompanyShares/WarrantsValue ($000)
Apple Inc.26,797,1624,130,096
Microsoft Corporation53,419,1193,979,795
Alphabet Holding Company, Inc.3,906,3643,779,186
J P Morgan Chase & Co36,252,5783,462,548
Facebook19,793,5363,381,838
Philip Morris International Inc21,033,8942,335,183
Johnson & Johnson17,500,2812,274,620
S&P Quality Rankings Glbl Equ Mngd Tr8,778,7172,209,311
Pfizer59,844,0242,136,189
Cisco Systems62,709,5082,109,614
Comcast Corporation53,500,9092,058,531
BROADVIEW INSTITUTE INC8,124,0951,970,456
AT&T Inc.49,368,1111,933,662
Honeywell International Inc.13,530,4011,918,100
Amazon.com1,931,1791,856,150
Citigroup Inc.24,118,8861,754,343
Visa Inc.16,196,7961,704,953
iShares Trust iShares MSCI All Country Asia Information Techno23,249,3311,591,794
Chevron Corporation13,499,8591,586,183
Berkshire Hathaway Inc.8,570,9611,570,997
Exxon Mobil Corporation18,988,3281,556,586
Bank of America Corporation60,665,2691,537,215
Wells Fargo & Company27,461,5951,514,491
Merck & Company23,515,8771,505,621
Celgene Corporation9,530,9951,389,057
Mastercard Incorporated9,228,3921,303,006
Alibaba Group Holding Limited7,528,5351,300,314
Altria Group19,556,4121,237,115
Lamprell6,386,3331,181,686
iTeknik Holding Corporation4,639,1111,173,112
SPDR GOLD TRUST24,790,3661,147,748
Pepsico10,218,1731,139,817
Home Depot5,758,824942,860
Morgan Stanley19,391,931934,110
Bristol-Myers Squibb Company14,630,195932,545
Activision Blizzard14,220,051917,306
Alexion Pharmaceuticals6,390,301896,491
Indo Tambangraya Megah PT8,119,522888,900
Medtronic11,388,438885,673
Federal Express Corporation3,925,763885,594
American Tower Corporation (REIT)6,469,432884,232
Verizon Communications Inc.17,579,829870,808
Boeing Company (The)3,424,281870,618
Valero Energy Corporation11,289,932868,536
Micron Technology29,390,410855,533
Starbucks Corporation15,752,629846,073
INTERNATIONAL TEXTILE GROUP INC15,471,679844,661
iShares16,628,773842,189
DowDuPont Inc.12,111,532839,246
Adobe Systems Incorporated5,543,635826,991
Vertex Pharmaceuticals Incorporated5,432,080825,872
Vanguard Natural Resources, LLC3,530,470814,619
Procter & Gamble Company (The)8,693,500790,927
NVIDIA Corporation4,416,995789,522
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF9,953,659788,631
Halliburton Company17,051,088784,822
The Bank of Kentucky Financial Corp.14,388,582762,885
Electronic Arts Inc.6,446,924761,094
Intel Corporation19,875,752756,650
Lockheed Martin Corporation2,422,433752,913
Lowe's Companies9,134,893730,248
Biogen Idec Inc.2,309,394723,142
CIGNA High Income Shares3,776,414705,889
priceline.com Incorporated6,720,007698,703
Wal-Mart Stores8,919,633696,979
Costco Wholesale Corporation4,236,144695,940
United States Cellular Corporation3,532,500691,952
Salesforce.com Inc13,989,840661,155
LyondellBasell Industries NV6,591,551652,840
CVS Corporation7,977,370648,683
AbbVie Inc7,249,588647,188
Union Pacific Corporation5,411,766627,658
Stargaze Entertainment Group Inc.4,012,197627,157
Envestnet6,540,670626,882
Tyson Foods, Inc.8,823,121621,587
Marsh & McLennan Companies7,328,740614,221
TJX Companies8,292,298611,380
Applied Materials11,172,464581,786
United Technologies Corporation4,964,136576,238
Sysco Corporation10,451,813563,890
Charles Schwab Corporation12,760,502558,123
Aspen Pharmacare Holdings plc3,653,673533,772
QUALCOMM Incorporated10,299,545533,118
Ingersoll-Rand plc (Ireland)5,874,474523,825
Baxano Surgical, Inc.8,195,089514,231
PVH Corp.4,026,587507,666
PNC Financial Services Group3,762,394507,045
iShares MSCI Europe Financials Sector Index Fund5,869,290503,631
Charter Communications1,384,725503,237
Centenera Mng Corp.5,181,047502,999
Nike9,668,583501,345
Illumina2,512,167500,416
ServiceNow7,950,223493,880
Oracle Corporation10,131,328489,382
MetLife9,431,172488,971
iShares4,564,473487,447
General Electric Co20,100,163486,213
Maxima Group, Inc.10,144,296484,652
Abbott Laboratories9,075,235484,292
Thermo Fisher Scientific Inc2,545,362481,554
Vanguard Natural Resources, LLC9,190,257477,684
Illini Corp.3,799,845468,254
Neenah Paper3,334,282465,039
Edwards Lifesciences Corporation4,231,475462,545
McDonald's Corporation2,949,485462,103
Southern Company (The)9,378,775460,666
CB Scientific Inc.3,214,597457,866
STERLING CONSOLIDATED Corp8,137,697449,610
Gilead Sciences5,505,708446,197
Fidelity National Information Services4,756,963444,251
Vanguard International Equity Index Funds Vanguard Global ex-U4,816,219441,613
ConocoPhillips8,805,037440,689
Sherwin-Williams Company (The)1,216,508435,536
Southwest Airlines Company7,612,513426,152
Occidental Petroleum Corporation6,564,040421,505
BlackRock927,625414,730
IntercontinentalExchange5,991,520411,622
Royal Caribbean Cruises Ltd.3,378,863400,541
Goldman Sachs Group1,674,691397,229
ISHARES VI PLC9,494,574394,180
Johnson Electric Holdings Ltd.9,666,121389,463
Allstate Corporation (The)4,210,943387,030
Aetna Inc.2,387,592379,805
Coca-Cola Company (The)8,233,261370,693
IBO (Listing Market - NYSE Amex Network B F)4,392,146370,253
Amgen Inc.1,965,408367,194
Canadian Natural Resources Limited10,842,877363,126
Splunk Inc.5,451,073362,119
VOIP PAL.com, Inc.2,450,506360,613
Allergan1,752,970359,258
Humet-PBC North America, Inc.1,465,119356,960
Etfs Commodity Securities Ltd.2,504,822354,163
Western Asset Emerging Markets Income Fund4,063,750351,139
Walt Disney Company (The)3,518,538346,232
Synopsys4,281,896344,825
Reitmans4,102,715340,823
Vanguard Energy Corporation2,236,477339,796
Texas Instruments Incorporated3,777,112338,581
vTv Therapeutics Inc.3,550,021337,842
iShares5,250,878337,584
3M Company1,605,130336,918
CME Group Inc.2,477,130336,090
PowerShares Global Coal Portfolio8,417,017334,863
Core Resource Management, Inc.4,485,091333,007
Cummins Inc.1,980,849332,843
VeriSign7,977,211332,096
Best Buy Co.5,825,449331,829
Express Scripts Holding Company5,233,327331,374
Coach8,213,340330,828
Cardinal Health4,930,457329,964
Qorvo4,657,995329,228
Ross Stores5,048,193325,963
International Paper Company5,651,623321,280
Eaton Corporation4,179,668320,955
Entergy Corporation4,165,664318,089
Prudential Financial2,977,808316,610
Ulta Salon1,390,665314,378
Vanguard Health Systems3,549,060311,442
Xcel Energy Inc.6,547,453309,800
iShares MSCI Emerging Markets Materials Sector Index Fund3,488,463309,605
iSoftStone Holdings Limited9,149,702309,079
General Dynamics Corporation1,496,820307,722
iShares Trust iShares Barclays GNMA Bond Fund2,691,969305,338
Expedition Mining Inc2,115,880304,558
Electric Motors Corp.7,025,725299,858
NewLead Holdings Ltd.3,396,790299,804
Pioneer Exploration, Inc.2,031,598299,386
Zimmer Holdings2,493,992292,011
American Electric Power Company4,140,524290,796
International Consolidated Airlines Group SA1,460,542287,956
Nuance Communications18,257,115286,977
Imperial Petroleum, Inc.1,590,881284,663
Total Energy Services Inc.4,325,592283,324
M/A-COM Technology Solutions Holdings6,277,406280,034
U.S. Bancorp5,221,012279,841
CNP Assurances SA9,550,152278,959
Equinix623,069278,044
Rockwell Diamonds, Inc.1,558,748277,788
Digital Realty Trust2,332,689276,860
Teradyne7,286,637271,718
MercadoLibre1,029,446266,559
Eastman Chemical Company2,930,981265,234
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF4,993,915263,515
FleetCor Technologies1,701,521263,344
Domino's Pizza Inc1,313,849260,864
Microchip Technology Incorporated2,891,973259,643
Bowl America, Inc.6,722,574258,345
Tesco PLC4,066,273257,359
International Business Machines Corporation1,755,353253,439
Karelia Tobacco Co Inc4,038,523251,883
Anthem United, Inc.1,307,325248,237
Shire plc1,606,342245,997
Cognex Corporation2,227,133245,609
FMC Corporation2,706,306241,704
Dollar General Corporation2,934,822237,864
Darden Restaurants2,995,984235,859
AcuityAds Hldgs Inc.1,371,399234,894
PowerShares QQQ Trust1,599,211234,183
Time Warner Inc.2,267,990232,359
General Motors Company5,748,615232,130
Automatic Data Processing2,121,747232,002
Paychex3,849,173231,133
American International Group3,749,958230,209
Dominion Resources2,996,151230,115
Pacific Gas & Electric Co.3,354,563228,434
The AES Corporation20,655,503227,569
Prologis, Inc.3,556,501226,479
Cavium3,425,325225,867
Sport Chalet1,569,242225,049
W.W. Grainger1,225,728220,325
Edge Resources Inc.4,357,053220,273
Accenture plc.1,623,770219,320
Seeing Machines Ltd.5,078,212216,347
Newell Rubbermaid Inc.5,064,523216,049
Suncor Energy Inc.6,166,706216,022
UBM Plc4,207,076215,107
Financial Institutions8,315,365215,072
Liberty Global1,137,399214,322
B Communications Ltd.4,543,288212,894
Waste Management2,703,936211,799
Crimson Wine Group Ltd.3,891,700211,164
Enterprise Products Partners L.P.8,090,926210,676
Schlumberger N.V.3,012,023210,155
Select Asset Inc.2,556,515208,846
LAS VEGAS RAILWAY EXPRESS, INC.3,160,264202,762
TDC A/S5,961,067201,423
BlackRock Maryland Municipal Bond Trust4,252,331199,592
ON Semiconductor Corporation10,770,938198,920
Inca One Gold Corporation1,593,028198,754
Everett SpinCo, Inc.2,313,190198,663
Synaptics Incorporated5,052,221197,945
Crown Equity Holdings, Inc.1,973,307197,171
Simon Property Group1,225,274196,830
Integrated Drilling Equipment Holdings Corp.7,332,272194,892
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal8,415,157194,787
Marathon Petroleum Corporation3,471,397194,677
Caterpillar1,552,266193,530
Edison International2,490,096192,178
Power Efficiency Corp.6,407,035190,651
Carnival Plc ADS2,952,916190,231
iShares1,764,987188,679
United Parcel Service1,562,894187,757
Williams Companies6,214,324186,492
ISHARES IV PLC3,854,286185,476
eBay Inc.4,805,511184,823
Community Bank of Santa Maria (CA)1,623,569184,549
Cypress Semiconductor Corporation12,262,029184,179
WisdomTree Middle East Dividend Fund2,016,571183,206
Liberty Interactive Corporation7,755,163182,784
Northern Trust Corporation1,974,563181,542
TiVo Inc.9,028,365179,212
Wake Forest Bancshares, Inc.2,849,244178,873
Autodesk1,589,285178,415
General Mills3,413,581176,686
Invesco Plc4,997,691175,007
Corning Incorporated5,841,020174,764
Kimberly-Clark Corporation1,483,181174,589
Select Asset Inc.1,924,107173,334
Archer4,076,561173,149
Duke Energy Corporation2,044,540171,571
Clorox Company (The)1,298,532170,424
Norfolk Souther Corporation1,287,722170,291
PacWest Bancorp3,360,492169,738
Xylem Inc.2,623,790164,455
Lic Housing Finance Ltd.765,753163,861
T. Rowe Price Group1,782,523161,591
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF1,833,540161,337
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF1,228,649159,028
Yum! Brands2,150,634158,316
Fortinet4,400,011157,693
Ameren Illinois Company2,719,244157,282
Fifth Third Bancorp5,611,626157,043
CH Energy Group3,373,488156,261
Intertainment Media, Inc.1,811,263155,684
SBA Communications Corporation1,070,110154,151
Palo Alto Networks1,068,289153,798
Arris Group Inc5,385,138153,423
F5 Networks1,262,621152,223
Industrial Services of America2,135,666151,640
American Homes 4 Rent6,950,092150,887
Anadarko Petroleum Corporation3,083,779150,641
Parker-Hannifin Corporation859,328150,400
Franklin Resources3,372,129150,106
Yum China Holdings, Inc.3,747,358149,783
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio2,071,741149,431
IHS Markit3,363,729148,231
Xerox Corporation4,392,867146,243
iShares MSCI Far East Financials Sector Index Fund1,515,324145,662
Target Corporation2,454,092144,814
TESARO2,188,933144,687
KSW Inc1,321,310143,605
Exelon Corporation3,812,046143,602
Stanley Black & Decker950,904143,546
Ryanair Holdings Plc1,361,268143,471
Nielsen CO B.V.3,402,639141,038
AutoZone236,396140,681
Eli Lilly and Company1,643,688140,608
Ultra Lithium Inc2,409,797140,549
Hasbro1,440,532140,539
Therapix Biosciences Ltd3,211,232140,154
Marriott International1,246,262137,414
Booz Allen Hamilton Holding Corporation3,655,953136,676
Watsco841,993135,625
USD Partners LP1,161,104135,160
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi1,072,964134,136
Coca Cola Icecek Sanayi As3,229,976133,894
Devon Energy Corporation3,635,210133,455
United Continental Holdings2,186,098133,088
United Resource Holdings Group, Inc.957,326132,805
Deutsche Euroshop AG2,447,929132,752
SunTrust Banks2,205,358131,816
Cracker Barrel Old Country Store875,931131,423
Host Marriott Financial Trust7,105,996131,413
Comverse, Inc.4,675,325130,115
NoCopi Technologies, Inc.447,688128,815
Zions Bancorporation2,698,958127,330
Deere & Company1,010,496126,944
Mohawk Industries511,663126,640
First Trust4,498,217126,396
Amphenol Corporation1,491,737126,269
Ralph Lauren Corporation1,410,657124,553
Novo Nordisk A/S2,563,126123,596
PayPal Holdings, Inc.1,929,963123,593
Arista Networks, Inc.649,475123,136
News Corporation9,226,096122,340
TE Connectivity Ltd.1,460,381121,292
CITIZENS FINANCIAL GROUP INC/RI3,148,345119,226
IShares Plc.2,033,338118,889
KLA-Tencor Corporation1,120,753118,799
American Express Company1,312,267118,713
Aflac Incorporated1,443,723117,491
Patterson-UTI Energy5,567,435116,581
Inphi Corporation2,912,098115,581
IL2M International Corp.768,381114,900
PPG Industries1,057,162114,870
Mid-America Apartment Communities1,072,194114,644
iShares FTSE EPRA/NAREIT Europe Index Fund1,040,345114,552
Check Point Software Technologies Ltd.1,003,568114,540
SEI Investments Company1,874,434114,453
Limited Brands2,741,497114,036
Realty Income Corporation1,968,820113,957
WPX Energy8,998,877112,857
JPMorgan Chase Bank NA1,943,948112,593
Banco de Guayaquil SA8,184,918112,098
Consumer Portfolio Services2,076,127112,097
DENTSPLY International Inc.1,864,139111,487
Westar Energy2,215,217109,878
D.R. Horton2,730,593109,032
Alaska Power & Telephone Co.1,415,709107,983
High Country Bancorp, Inc.1,328,251107,657
Danaher Corporation1,340,799105,865
Vanguard Intermediate-Term Corporate Bond ETF1,294,425105,618
PPlus Trust2,780,454105,537
Phillips 661,151,854105,526
Equity Lifestyle Properties1,239,310105,443
JD.com Inc2,742,240104,753
Adriana Resources, Inc.421,191104,319
Alexandria Real Estate Equities867,931103,265
Astrazeneca PLC3,026,781102,643
Teleflex Incorporated420,311101,704
Hartford Financial Services Group1,828,299101,360
Public Service Enterprise Group Incorporated2,187,901101,190
Whirlpool Corporation548,090101,097
Vanguard Natural Resources, LLC1,909,093100,623
Leidos Holdings, Inc.1,697,154100,484
PowerShares Global Steel Portfolio6,663,840100,010
Intercept Pharmaceuticals21,750,51299,873
Ctrip.com International7,767,15199,658
Carlisle Companies Incorporated987,56099,042
The Kroger Company4,757,72398,912
Lattice Semiconductor Corporation18,925,19598,600
Granite Construction Incorporated1,695,65898,260
Oppenheimer Holdings Inc.2,470,56498,055
Regeneron Pharmaceuticals219,01797,927
BioMarin Pharmaceutical Inc.7,270,76497,886
Hewlett Packard Enterprise Co6,563,47396,562
Companhia de Bebidas das Americas - AmBev14,546,89995,863
Stryker Corporation673,11795,626
American Water Works1,173,31994,991
Estee Lauder Companies873,88394,232
Ares Capital Corporation5,732,05293,986
CoreStream Energy, Inc.1,624,37193,685
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap628,25293,128
Lamb Weston Holdings, Inc.1,979,30492,810
Sonoco Products Company1,837,74692,716
Essex Property Trust360,68891,643
Vodafone Group Plc3,211,61391,416
Esperance Minerals NL1,505,56190,997
Hawaiian Telcom Holdco, Inc.937,16990,531
Lincoln National Corporation1,228,08790,241
Autoliv729,87890,212
ENERGY TRANSFER PARTNERS1,313,79889,968
MSCI Inc829,57988,894
Expeditors International of Washington1,480,53888,624
Voestalpine AG834,39988,172
Ballroom Dance Fitness Inc2,099,44686,704
WellCare Helath Plans503,47486,471
CyrusOne1,450,02285,448
Standard Parking Corporation260,88985,183
Monotaro Co., Ltd.706,97784,709
Security Devices International Inc.885,88184,698
Illinois Tool Works Inc.570,14084,418
Novartis AG980,12384,135
Extended Stay America, Inc.4,199,20683,972
Agrium Inc.782,04883,834
Cerner Corporation1,173,70183,710
Guggenheim Equal Weight Enhanced Equity Income Fund3,199,75383,557
Brocade Communications Systems6,957,56383,144
Deutsche Bank Aktiengesellschaft2,677,66683,102
Pinnacle West Capital Corporation981,94783,033
TotalFinaElf1,542,03982,501
Varian Medical Systems816,98381,748
CNO Financial Group3,495,72781,591
Delphi Automotive plc820,70580,761
MGIC Investment Corporation6,439,98580,692
iShares MSCI ACWI ex US Index Fund1,496,93980,558
Genuine Parts Company839,60280,321
Petrominerales Ltd697,71080,020
CenturyLink4,229,49379,925
Netflix437,23379,291
STARWOOD PROPERTY TRUST3,648,57279,201
China Mobile (Hong Kong) Ltd.1,577,74978,986
Discover Financial Services1,218,26178,553
Nucor Corporation1,401,10878,536
Travelport Worldwide LTD4,999,72978,496
Zoetis1,218,12877,669
Vanguard Energy Corporation588,37877,665
Steel Partners Holdings LP2,252,49777,646
Graco Inc.626,62877,514
Analog Devices898,25177,406
AvalonBay Communities429,49976,657
Russell Breweries Inc548,01376,639
HSBC Holdings plc1,543,72476,328
Boston Properties621,03076,326
Criteo1,826,18175,771
db x-trackers Sicav1,852,66275,076
GlaxoSmithKline PLC1,855,14275,028
Mallinckrodt Plc1,987,19674,260
Diamondhead Casino Corp.331,25074,060
VGTel, Inc.779,38573,810
Keysight Technologies, Inc.1,771,08373,782
FactSet Research Systems Inc.408,54873,584
SL Green Realty Corporation725,61373,533
Stark Naked Bobbers599,72973,474
Ashland Inc.1,117,60573,078
Fiserv564,46572,791
M&T Bank Corporation450,34272,527
NetEase274,03772,295
Vantiv1,018,86972,081
Intuit Inc.501,43071,273
Barnes Group1,004,77270,776
First Industrial Realty Trust2,342,01470,473
Stericycle982,56470,372
American Equity Investment Life Holding Company2,412,45470,153
Noble Energy Inc.2,466,79369,957
IEG Holdings Corp821,64969,717
World Gaming plc572,89369,507
Vanguard Short-Term Corporate Bond ETF868,29569,268
Martin Marietta Materials335,72269,236
Becton, Dickinson & Co.353,22269,210
SLM Corporation5,992,36168,732
Transdigm Group Incorporated268,25868,580
Interups Inc.623,78367,276
Cadence Design Systems1,693,36466,839
Republic Services1,011,12466,805
East West Bancorp1,116,80666,761
Takeuchi Manufacturing Co., Ltd.652,32966,688
BofI Holding2,327,62166,268
All Marketing Solutions Inc.1,027,11965,943
Performance Sports Group955,79065,923
Hancock Holding Company1,360,35365,909
Bank of the Ozarks1,369,57265,800
Innocap, Inc.323,22565,391
Hershey597,24165,203
Baker Hughes a GE Co1,769,14964,788
Impax Laboratories8,624,38564,680
Guggenheim Enhanced Equity Strategy Fund607,73664,397
McKesson Corporation417,18264,092
Cooper Companies270,23564,075
iShares S&P Emerging Markets Infrastructure Index Fund1,653,28964,010
EQT Corporation980,13163,945
The Hanover Insurance Group656,82063,665
Mondelez International1,561,71063,537
PRA Health Sciences, Inc.834,03463,528
Workday592,38062,431
Koninklijke Philips Electronics1,492,08262,344
Taiwan Semiconductor Manufacturing Company Limited1,656,92862,250
The RMR Group1,926,08962,137
Norwegian Cruise Line Holdings Ltd.1,148,34762,063
Orbotech Ltd.1,464,88261,833
iShares Trust iShares MSCI Emerging Markets Latin America Inde1,384,47761,786
Hess Midstream Partners LP1,315,81161,699
Dollar Tree706,37961,331
Euronet Worldwide646,70861,300
Boston Scientific Corporation2,100,69561,272
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund552,73261,257
Seven Generations Energy Ltd.561,59760,693
Raytheon Company325,09260,664
Highwoods Properties1,161,70560,513
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 534,55660,495
Vulcan Materials Company501,90060,028
Sector 5, Inc.1,006,49559,482
Royal Dutch Shell PLC981,47859,460
E*TRADE Financial Corporation1,363,09259,447
AO Mosenergo579,95559,223
Interface1,361,94859,001
DEWEY ELECTRONICS CORP807,33558,903
Westlake Chemical Corporation708,44958,874
Athene Holding Ltd1,092,44658,814
Kennametal Inc.1,453,11758,620
Harris Teeter Supermarkets445,14758,616
Sensata Technologies Holding N.V.1,218,04658,549
Raymond James Financial690,33258,391
Aaron's1,337,86058,371
DTE Energy Company542,36758,252
West Pharmaceutical Services603,84158,126
Ibiden Co. Ltd.620,22558,059
Arch Coal806,52957,862
General Electric Capital Corporation4,813,97757,644
Verisk Analytics691,43757,522
Redux Holdings, Inc.517,47457,359
Ritchie Bros. Auctioneers Incorporated1,806,28357,325
Sterling Bancorp2,314,77657,058
Yandex N.V.1,731,00357,037
Diamondback Energy580,05756,838
Firstrand Limited543,37356,760
Six Flags Entertainment Corporation New930,26756,683
Merit Medical Systems1,328,64156,269
XL Group Ltd.1,424,24056,198
Duke Realty Corporation1,935,02155,767
Dover Corporation609,99855,747
Camden Property Trust603,52555,198
Mack-Cali Realty Corporation2,322,21755,059
Toll Brothers Inc.1,321,28054,794
SkyWest1,243,72454,603
New York Community Bancorp1,294,98654,588
PS Business Parks408,88154,586
Desert Gold Ventures Inc.1,242,84254,076
Red Robin Gourmet Burgers803,47553,833
Air Products and Chemicals351,76153,186
PUBLIC SERVICE CO OF COLORADO1,317,15753,081
Fortive Corp744,31952,690
Olin Corporation1,538,02052,675
Community Svgs Bancorp Inc2,052,22752,516
Ligand Pharmaceuticals Incorporated383,91952,272
CubeSmart2,010,19352,196
Service Corporation International1,511,71452,154
Coherent221,48552,086
Clovis Oncology8,481,49452,008
Lennox International290,00851,905
Parametric Technology Corporation918,72051,707
Credicorp Ltd.251,20451,503
Wintrust Financial Corporation656,71851,429
RIGHTSCORP, INC.820,86551,341
The Intertain Group Limited431,90451,033
South Jersey Industries1,471,18750,803
Sunstone Hotel Investors3,133,32750,352
Mettler-Toledo International79,98650,084
Trimble Navigation Limited1,270,01649,847
Rogers Corporation370,07049,321
Southwest Gas Corporation635,40349,318
Schuff International, Inc.937,96949,098
State Street Corporation510,52948,809
Radiant Creations Group, Inc.2,601,59448,623
Chesapeake Lodging Trust1,791,56048,321
Fomento Economico Mexicano S.A.B. de C.V.505,26448,263
First Trust Senior Floating Rate Income Fund II563,21048,129
Oshkosh Truck Corporation581,10147,968
SMG Indium Resources Ltd.374,23447,826
CF Industries Holdings1,357,49747,728
Pimco Corporate & Income Stategy Fund469,84447,672
Loews Corporation995,84447,662
Concho Resources Inc.361,78147,654
LogMein431,35147,467
Thor Industries376,56947,414
CACI International338,19347,126
Associated Banc-Corp1,938,95047,019
UMB Financial Corporation628,67146,842
NewStar Financial1,814,78046,811
Global Payments Inc.494,19746,774
bluebird bio, Inc.340,25946,735
William Lyon Homes2,025,84746,573
Xilinx656,54546,502
DISH Network Corporation41,465,00046,390
Textron Inc.860,54546,369
Prosperity Bancshares700,88446,071
EMCOR Group662,03145,931
Customers Bancorp, Inc.1,407,42645,913
Envision Healthcare Holdings, Inc.1,020,62845,877
Tableau Software612,51345,870
Comerica Incorporated599,76945,756
Smart & Final Stores, Inc.305,46545,515
J.M. Smucker Company (The)431,68345,295
Grifols2,054,76244,958
WestRock789,32344,777
V.F. Corporation704,24444,775
AGNC Investment Corp.579,09844,709
Reinsurance Group of America320,02944,654
Navistar International Corporation1,006,36144,351
First Trust High Income Long Short Fund1,319,30544,186
Independent Bank Corporation590,46244,079
Russell Exchange Traded Funds Trust Russell Small Cap Consiste371,29943,970
LHC Group616,82943,747
Blue Wolf Mongolia Holdings Corp.1,541,91943,724
American Airlines Group912,48543,332
Dave & Buster's Entertainment822,36643,152
Walgreens Boots Alliance558,63443,133
Omnicom Group Inc.575,63442,654
Progressive Corporation (The)880,06742,613
American Assets Trust1,069,30442,528
Cooper-Standard Holdings Inc.366,67542,523
Newfield Exploration Company1,429,46342,413
INCEPTION MINING INC.257,70542,398
Graphic Packaging Holding Company3,035,86142,353
Ventas649,91442,323
American Housing Income Trust, Inc.640,82242,319
MasTec907,26742,096
Community Bank System761,58842,081
Canada Strategic Metals, Inc.1,452,28142,033
Subsea 7 SA ADR 397,47742,006
Aramark1,023,94541,582
Lumentum762,46941,441
TTM Technologies2,689,65441,339
SRC Energy4,270,73641,300
HPC Acquisitions, Inc.2,060,66141,174
AptarGroup475,55041,045
Knight Knox Development Corp.979,51940,700
Jazz Pharmaceuticals plc5,241,54640,594
The Blackstone Group L.P.1,215,27240,552
Callon Petroleum Company3,604,30640,514
Owens-Illinois1,607,76840,452
Enbridge Inc964,61540,360
BorgWarner Inc.783,89940,160
Cognizant Technology Solutions Corporation551,66140,018
ICICI Bank Limited4,669,22739,942
MKS Instruments422,07639,864
Symantec Corporation1,204,46739,849
Evercore Partners Inc495,17039,738
Summit Materials1,239,11939,693
ABM Industries Incorporated949,70739,613
Jack In The Box Inc.384,75439,214
Telephone and Data Systems1,405,55839,201
Sandy Spring Bancorp944,41839,137
Cathay Pacific Airways, Ltd.971,11939,038
Albero Corp.285,10039,036
Alleghany Corporation70,39539,000
Ameris Bancorp807,99538,784
Freeport-McMoran Copper & Gold2,761,34238,769
Hanesbrands Inc.1,571,57338,723
Petrobras Argentina S.A.3,992,14538,564
America Movil2,163,13338,395
iShares MSCI ACWI Index Fund556,50838,300
Jack Henry & Associates372,32738,274
Petroleo Brasileiro S.A.- Petrobras3,799,04138,143
Praxair272,53838,090
Crown Cork & Seal Company637,03538,045
Tyler Technologies217,71837,952
ABIOMED224,31137,818
Horizon Pharma14,127,69437,816
Sony Corp Ord1,018,61837,772
Minerals Technologies Inc.531,27537,534
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund682,75937,335
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG867,53737,283
Omega Healthcare Investors1,166,92037,203
Encore Capital Group Inc838,70937,155
Verint Systems Inc.887,36737,137
NVR12,89336,811
WisdomTree Investments1,156,73036,737
Nordstrom779,08136,734
Uniti Financial Corp.2,479,58436,356
KapStone Paper and Packaging Corporation1,691,29536,346
Henry Schein442,66136,293
Roper Technologies149,03436,276
WageWorks595,69136,159
NCR Corporation963,59536,155
Ollie771,44835,882
ONYX Pharmaceuticals166,47835,853
Curtiss-Wright Corporation342,76635,832
Annaly Capital Management Inc2,918,45335,567
Union Equity, Inc.1,005,46135,492
BGS Acquisition Corp.509,87035,415
Therapy Cells, Inc.697,75935,314
Entegris1,218,88035,163
Cantel Medical Corp.372,85935,112
SVB Financial Group187,22135,027
Perrigo Company413,17334,976
Twitter2,067,91434,876
Bankshares Fayetteville Inc.26,75034,809
NXP Semiconductors N.V.307,28734,743
Papa Bello Enterprises, Inc.474,25834,648
Renasant Corporation800,24934,330
MICRO IMAGING TECHNOLOGY, INC.475,88334,324
WSFS Financial Corporation704,00834,320
iShares MSCI All Country Asia ex Japan Index Fund434,20734,312
Veeva Systems606,72834,226
LCI Industries294,97234,173
VALVOLINE INC1,456,67234,136
ONE Gas462,04534,025
Delta Air Lines Inc. (New)705,89134,001
iShares NASDAQ Biotechnology Index Fund101,91733,991
J.B. Hunt Transport Services305,76133,966
Motorola Solutions399,54033,925
Huntington Ingalls Industries149,33833,816
Maximus524,10633,806
Catalent, Inc.842,32133,625
ACADIA Pharmaceuticals Inc.892,00633,600
CornerWorld Corp.276,79033,395
Black Hills Corporation484,32333,356
Molina Healthcare Inc485,04733,351
Constellation Brands Inc166,64233,236
Broadridge Financial Solutions410,77633,203
Dean Foods Company3,047,96233,161
Texas Roadhouse674,47133,143
Weyerhaeuser Company973,75433,137
Motorcar Parts of America1,124,10633,116
Carpenter Technology Corporation687,16933,005
Spirit Aerosystems Holdings424,62133,002
Old Dominion Freight Line298,31632,847
American Campus Communities Inc741,28832,728
Entertainment Arts Research, Inc.468,77132,686
Aeolus Pharmaceuticals, Inc.2,280,56932,611
ALLSTATE LIFE INSURANCE CO606,41532,563
Colgate-Palmolive Company446,68832,539
Wabco Holdings Inc.218,40932,322
T-Mobile US Inc521,26132,137
Vanguard Energy Corporation286,15432,021
United Natural Foods769,17231,989
U.S. Helicopter Corp.399,89931,981
EPAM Systems363,60531,972
Oclaro3,695,34331,890
Ecolab Inc.247,78231,882
General Cable Corporation20,280,59531,841
INFORMATION ANALYSIS INC210,32131,531
II-VI Incorporated765,44331,497
Neogen Corporation406,46431,486
Hopefluent Group Holdings Ltd1,777,34531,477
Brooks Automation1,036,57131,469
Cemex S.A.B. de C.V.3,456,43431,352
Hydrodynex, Inc.615,46631,352
MB Financial Inc.696,26031,346
Outfront Media1,245,18231,345
BRF-Brasil Foods S.A.2,172,71131,300
Allegheny & Western Railway Co.1,308,04231,264
iShares FTSE EPRA/NAREIT Asia Index Fund296,09531,207
Arthur J. Gallagher & Co.506,37631,167
Washington Federal925,73831,148
Core Laboratories N.V.315,55631,143
LaSalle Hotel Properties1,072,95631,142
Exterran Corp985,16731,142
Italian Food & Beverage Corp172,77831,110
Berry Petroleum Company547,93731,041
Extreme Networks2,610,28731,037
Capital One Financial Corp365,70130,961
Taubman Centers620,78930,853
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF327,56130,847
Tata Motors Ltd985,69930,822
Pinnacle Foods Inc539,00730,816
Neenah Enterprises, Inc.557,00030,791
Reliance Infrastructure Ltd.403,70130,750
Commonwealth Business Bank (Los Angeles, CA)242,86530,725
Univar Inc.1,059,18430,655
Eagle Energy Trust286,81030,601
John Bean Technologies Corporation302,62830,597
The Kraft Heinz Company394,10430,561
Healthcare Services Group564,28830,453
Axalta Coating Systems Ltd.1,052,42630,436
Everest Re Group133,21030,422
Orion Engineered Carbons1,351,47730,341
Synchrony Financial975,81930,328
Western Alliance Bancorporation570,94130,306
BroadSoft4,878,92630,258
CoreSite Realty Corporation270,24430,243
Stifel Financial Corporation565,42730,227
Hudson Pacific Properties900,93730,208
Huntington Bancshares Incorporated2,160,44730,176
PBF Energy1,092,10730,174
Kilroy Realty Corporation421,91330,008
ManpowerGroup254,22829,965
Sappi Limited272,61129,934
HOULIHAN LOKEY, INC.763,72029,884
Hologic824,45929,826
Marathon Oil Corporation2,188,11729,787
Lennar Corporation563,59229,757
Louisiana-Pacific Corporation1,098,17329,738
Hospitality Properites Trust1,043,57729,729
Blackbaud338,54229,724
Analogic Corporation354,65529,703
Science Applications International Corp 443,78629,667
Lamar Advertising Company432,84429,662
ONEOK534,00129,592
PDC Energy603,07829,570
Vail Resorts129,43429,527
American Financial Group285,39029,524
Owens Corning Inc379,38529,345
Triton International Ltd881,69329,343
Orbital Corporation Limited219,84029,274
CommVault Systems481,30229,263
Sabra Healthcare REIT1,326,60129,105
Apache Corporation634,48929,070
Five Below527,70528,959
KAR Auction Services606,54628,958
Avery Dennison Corporation293,24528,839
Arrow Electronics358,43328,822
Bemis Company632,20528,807
Visteon Corp.232,16828,738
Atmos Energy Corporation341,40128,623
Teledyne Technologies Incorporated179,55328,580
IDEX Corporation235,08328,555
Stamps.com Inc.140,88428,549
Kinder Morgan1,482,07628,429
Hertz Global Holdings1,270,67728,414
Banner Corporation463,30428,392
Gartner228,16028,386
Columbia Banking System725,25728,373
ICON plc248,20228,265
PulteGroup1,032,88128,234
Realogy Holdings853,06028,108
U.S. NeuroSurgical, Inc.368,12128,088
Murphy Oil Corporation1,057,04728,073
Adtalem Global Education780,59027,983
American Potash Corp.228,89027,942
Trex Company310,11627,932
Treehouse Foods411,38527,864
RSP Permian805,06327,845
Brighthouse Financial, Inc.457,28627,806
Post Holdings314,89127,796
Kulicke and Soffa Industries1,286,98727,759
Belden Inc344,01527,704
Alkermes plc543,48627,631
Mascota Resources Corp707,53427,589
Argo Group International Holdings448,39927,576
Wright Express Corporation412,63727,542
Materion Corporation636,42627,461
Hilton Worldwide Holdings Inc.394,83427,429
Zynga Inc.7,254,34327,420
Viavi Solutions2,893,37227,372
Microsemi Corporation530,38327,304
Supernus Pharmaceuticals681,79227,271
MarketAxess Holdings147,45327,207
Douglas Emmett689,08927,165
AGCO Corporation367,08427,080
National Retail Properties649,20327,045
Multi-Strategy Growth & Income Fund900,58526,908
IPG Photonics Corporation144,22726,809
European Real Estate Investment Trust Ltd.456,56926,632
Toro Company (The)428,32726,584
Bioverativ Inc.464,28326,496
Chemed Corp.130,95226,462
Spirent Communications Plc.353,93626,423
The NASDAQ OMX Group340,08526,382
Parcelpal Technology Inc643,05026,367
Moody's Corporation187,41826,093
Marvell Technology Group Ltd.1,455,01426,044
Sanderson Farms160,94925,997
Haemonetics Corporation578,71725,969
Tech Cent Inc.323,79425,870
HCA Holdings324,60825,835
Vanguard Scottsdale Funds Vanguard Russell 2000 Value ETF398,61925,770
Inchcape PLC508,76225,683
Align Technology137,46925,573
Teva Pharmaceutical Industries Ltd.1,453,13625,564
Employers Holdings Inc561,75725,531
iShares Gold Trust2,069,40625,438
Mueller Industries726,88025,406
Embraer-Empresa Brasileira de Aeronautica1,123,27925,383
Cincinnati Financial Corporation331,18025,369
On Assignment472,47925,363
Keane Group, Inc.1,518,48325,329
Equifax236,54025,068
Waste Connections358,02325,046
Akamai Technologies514,06225,045
CDK Global, Inc.395,45724,949
Noble Group Ltd.419,13424,920
Simpson Manufacturing Company508,02524,913
New Ulm Telecom, Inc.281,42124,878
Canadian National Railway Company299,93724,850
National Rural Utilities Cooperative Finance Corp1,299,28024,829
Universal Display Corp192,65524,823
CBS Corporation427,51424,811
UAN Cultural & Creative Co., Ltd.529,22824,804
Ebix Inc380,06624,798
Korn/Ferry International628,76924,793
PACCAR Inc.341,66924,715
Healthcare Trust of America829,27824,712
Worldpay Group PLC349,14824,688
Polaris Futures Fund L.P.235,95224,686
Magna International461,36424,628
Nexstar Broadcasting Group394,85024,600
The Hain Celestial Group596,25324,534
Wabash National Corporation1,074,61824,523
Hubbell211,21124,506
Allete316,86224,492
Unifirst Corporation161,30724,436
Incyte Corporation208,97224,400
Bioheart, Inc.201,48624,358
Andeavor234,81624,220
Energen Corporation441,41224,137
Hill-Rom Holdings Inc325,47924,085
Zendesk, Inc.827,33424,083
Sanmina-SCI Corporation644,51823,945
AMN Healthcare Services Inc523,64923,931
Victory Square Technologies Inc522,17223,830
Celanese Corporation228,23223,796
National Grid Transco Plc379,22723,782
Emerson Electric Company377,98223,752
Corporate Office Properties Trust723,21223,743
Flagstar Bancorp668,07123,703
China Biologic Products256,85223,700
Dorman Products330,61723,679
Medidata Solutions302,70023,628
UBS AG939,56323,620
Copart686,16923,585
REV Group, Inc.818,80723,544
CA Inc.703,63723,485
Crane Company292,78223,421
Cinemark Holdings Inc645,52923,376
Blackstone / GSO Strategic Credit Fund753,12623,356
Cubic Corporation457,47523,331
AK Steel Holding Corporation4,165,22123,284
New York Community Bancorp Inc1,804,33823,259
Masimo Corporation268,35323,228
Fair Isaac Corp164,81023,156
Home BancShares916,95323,126
AMERISAFE396,30923,065
Warrior Met Coal LLC977,72223,045
Superior Energy Services2,142,48922,881
Lexington Realty Trust2,231,81722,803
Acadia Healthcare Company476,31922,749
United Bankshares611,31322,708
TopBuild Corp348,40722,705
Nektar Therapeutics944,88322,677
Aspen Insurance Holdings Limited558,41122,560
Eaton Vance Corporation456,80922,554
JetBlue Airways Corporation1,216,73722,546
NAVIENT CORP1,500,47322,535
IDEXX Laboratories144,64522,491
Apollo Global Management746,88122,481
Invitation Homes Inc.991,39222,455
VEREIT2,706,83422,439
Pilgrim's Pride Corporation789,34922,427
Trans-Pacific Aerospace Company, Inc.453,47922,414
OGE Energy Corporation619,54022,322
NEVRO CORP5,179,24522,251
Signature Bank173,12122,168
El Paso Electric Company400,67822,138
Tivity Health541,16422,081
Umpqua Holdings Corporation1,129,94522,051
CIENA Corporation3,821,71322,039
Navarre Corporation20,090,00022,023
Molson Coors Brewing Company269,80122,022
Moog Inc.260,36821,721
TD Ameritrade Holding Corporation444,30121,682
C.R. Bard67,45021,621
Progress Software Corporation565,89121,600
HEALTHEQUITY INC426,71021,583
Lazard Global Total Return and Income Fund474,81821,473
Intuitive Surgical20,43521,373
Brunswick Corporation381,53021,354
Integrated Research Ltd.422,86921,347
Lithia Motors177,07321,304
INC Research Holdings, Inc.407,10421,291
THEDIRECTORY.COM, INC.252,46821,269
Alliance Creative Group, Inc.95,96221,259
VALE S.A.2,102,15021,168
Diamondrock Hospitality Company1,926,11521,090
Banco Macro S.A.179,63721,080
Hollywall Entertainment Inc.585,75821,073
Cooper Tire & Rubber Company562,68021,046
ICHOR HOLDINGS, LTD.784,83321,032
Proto Labs260,65620,931
Houghton Mifflin Harcourt Co1,729,83920,843
Applied Industrial Technologies316,73420,840
Grand Canyon Education229,30920,824
Monolithic Power Systems195,28320,808
Infinity Energy Resources, Inc.640,58620,776
American Axle & Manufacturing Holdings1,179,40520,734
Westinghouse Air Brake Technologies Corporation273,57220,723
Landstar Development Group, Inc.206,59220,588
TrueBlue917,62820,582
Sun Communities240,11720,580
De La Rue PLC 373,08020,475
Semtech Corporation545,17420,472
United Community Financial Corp.716,85620,460
DTE Energy Company375,00020,419
Liberty Global622,70820,363
e.l.f. Beauty, Inc.905,58320,359
Vanguard STAR Funds Vanguard Total International Stock ETF373,16920,348
Vanguard Long-Term Government Bond ETF264,44420,333
Regal Beloit Corporation256,67920,279
HealthSonix, Inc.436,66020,243
FS Bancorp2,418,77020,196
Micro Focus International plc631,84620,156
Charles River Laboratories International185,84720,076
Ramtron International Corporation390,69720,058
Schweitzer-Mauduit International365,77819,997
Dunkin' Brands Group376,15219,966
Dana Holding Corporation712,43819,920
Enpro Industries247,27619,913
Jumbo SA268,42319,831
Anixter International Inc.233,27519,828
Vishay Intertechnology1,054,63219,827
Puma Exploration, Inc.165,54719,824
Benchmark Electronics580,48419,823
First Midwest Bancorp845,95419,814
BanColombia S.A.431,05819,732
National Fuel Gas Company347,55619,679
Carrizo Oil & Gas1,144,67919,609
Vectren Corporation298,12419,608
Glacier Bancorp519,21119,605
Darling International Inc.1,118,85219,604
Flextronics International Ltd.1,182,75519,598
United Therapeutics Corporation167,11019,583
Great Plains Energy Inc646,17519,579
Littelfuse99,36619,465
Sanofi426,80119,448
Selective Insurance Group360,84519,431
United States Steel Corporation755,94219,396
Brandywine Realty Tr1,108,30719,384
Omnicell379,36419,366
HCP696,01519,362
Pebblebrook Hotel Trust534,90719,336
Opus Bank804,21619,301
Donaldson Company419,92019,290
Steven Madden444,47719,246
Cohu807,06719,240
BankUnited540,12819,216
Canadian Pacific Railway Limited114,27019,201
PAREXEL International Corporation217,79219,183
Xponential, Inc.282,33819,138
Domtar Corporation439,89119,092
Horace Mann Educators Corporation484,63319,071
ManTech International Corporation431,61919,058
IGM Financial Inc.771,36219,047
Aecom Technology Corporation515,70018,984
Bigsupersearch.com, Inc.354,34818,982
Mercury Computer Systems365,08318,941
Medical Properties Trust1,441,62818,931
Fourlis Holding SA758,28418,896
Methode Electronics445,90718,884
Sina Corporation164,63418,870
Adventure Gold, Inc.233,11118,825
Webster Ltd.357,95118,811
SWK Holdings Corp164,03518,806
Liberty Property Trust457,18518,777
Ingevity Corp300,51418,774
RenaissanceRe Holdings Ltd.138,73518,749
Valley National Bancorp1,552,76418,711
CASEY CONTAINER CORP170,90918,706
Nordson Corporation157,57018,672
JPMorgan Chase Bank NA659,32718,605
NRG Yield979,22318,580
Royal Boskalis Westminster NV215,76918,565
Ladder Capital1,346,11418,549
NutriSystem Inc331,72118,543
The Ultimate Software Group97,74018,531
ABB Ltd750,11718,504
Russell Exchange Traded Funds Trust Russell Small Cap Contrari148,79718,492
Spark Therapeutics207,36018,489
India Cement Ltd.120,96118,457
Gaming Partners International Corporation500,30918,456
Greenbrier Companies382,50418,416
Regions Financial Corporation1,206,81018,380
Consolidated Graphics227,47318,349
Coty Inc1,108,61518,325
Zebra Technologies Corporation168,61818,308
CyberArk Software446,37118,301
Tech Data Corporation205,83818,285
Synovus Financial Corp.396,75718,278
ESCO Technologies Inc.304,86018,275
Decker Manufacturing Corp.266,65418,241
The Providence Service Corporation546,87118,182
DCT Industrial Trust Inc313,20318,140
Geo Group Inc (The)674,03618,133
Alliant Energy Corporation436,09218,130
Old National Bancorp Capital Trust I990,62718,129
TEGNA1,357,62118,099
Kreisler Manufacturing Corp.900,63118,067
Summit Hotel Properties1,128,77718,050
CoStar Group67,16618,018
First American Minnesota Municipal Income Fund II359,91717,986
ICU Medical96,75317,982
NetApp410,70817,973
Live Nation Entertainment412,05817,946
INVESCO MORTGAGE CAPITAL INC1,046,16117,919
Aqua Bounty Technologies Inc538,48917,872
Planet Fitness660,60317,826
Inogen187,06817,781
Diamond Bancshares, Inc.192,11417,774
Skechers U.S.A.706,20017,719
Selective Insurance Group333,53517,718
Green Plains Renewable Energy13,405,16217,713
Janus Capital Group508,05617,701
Avista Corporation340,98117,666
Tupras Turkiye Petrol Rafinerileri AS285,17217,636
Tower International647,44117,610
Smith (A.O.) Corporation295,76317,579
Wright Medical Group678,72617,557
Inmarsat Plc.101,90717,514
Hostess Brands1,281,97117,512
Boston Private Financial Holdings1,057,76417,507
Itron225,82717,490
WD-40 Company156,16717,472
Paycom Software233,04317,469
Balchem Corporation214,85917,466
Great Western Bancorp, Inc.423,08017,464
Hawaiian Electric Co., Inc.464,62717,447
Ryder System206,19517,434
Gentex Corporation879,49717,414
Platform Specialty Products1,560,67017,400
SM Energy Company978,47317,358
Lincoln Electric Holdings188,57517,290
Quest Management Inc.184,40517,270
Walker & Dunlop329,96217,267
Commercial Metals Company907,03717,260
Cambrex Corporation313,81717,260
Quanta Services460,47617,207
Amdocs Limited267,48517,206
Watts Water Technologies247,48217,126
Rollins370,82317,110
Jones Lang LaSalle Incorporated138,41117,094
ITT Educational Services, Inc.385,81517,081
CBOE Holdings158,70217,079
SCOTTS LIQUID GOLD INC175,24817,048
MGM Growth Properties LLC521,74917,004
Marriot Vacations Worldwide Corporation136,25516,969
AutoNation356,76716,933
Commerce Bancshares291,92616,868
Volaris1,415,20616,800
Exponent227,24416,792
Interactive Health Network372,19516,763
Apogee Enterprises346,41716,718
Jabil Circuit584,85716,697
Harsco Corporation798,39716,685
W.P. Carey Inc.246,91216,633
Capella Education Company236,29016,578
First Citizens BancShares44,32216,572
Cullen/Frost Bankers173,57016,473
Universal Forest Products167,48416,440
The Navigators Group281,62316,431
FNB United Corp.1,170,79616,426
Lan Chile S.A.609,60516,398
Old Republic International Corporation963,58716,397
Intellecta AB8,920,00016,391
SunPower Corporation19,820,00016,379
OOMA INC1,550,70016,360
Standex International Corporation153,76316,330
Tetra Technologies350,14616,300
McDermott International2,240,49016,289
Park Hotels & Resorts Inc.589,59016,249
LTC Properties345,60816,237
Terra Nitrogen Company359,07216,166
KeyCorp858,28116,158
Convergys Corporation623,98216,157
The Medicines Company435,51616,131
Magellan Health Services186,87316,128
EastGroup Properties182,55416,087
Saia255,70816,021
PHIBRO ANIMAL HEALTH CORP430,65615,958
Brown & Brown330,93815,949
Werner Enterprises435,41415,917
Repligen Corporation414,96115,902
Sotheby's344,24715,874
NetScout Systems490,01715,852
First Financial Bankshares350,08815,825
Avnet402,45415,816
MBIA1,817,83215,815
Senior Housing Properties Trust808,16915,801
ProAssurance Corporation288,57515,772
Ally Financial Inc649,50615,760
Greif Bros. Corporation268,91215,743
Cousins Properties Incorporated1,683,03715,720
Ellies Holdings Limited191,31615,712
Wolverine World Wide543,28615,675
C&J Energy Svcs Inc.522,27015,652
Albany International Corporation272,51515,641
H. B. Fuller Company268,07515,565
Crimson Exploration Inc.157,40915,544
United Dominion Realty Trust408,43415,533
Dun & Bradstreet Corporation (The)133,30415,519
Singapore Post, Ltd.633,22515,469
First Century Fox Inc Class A584,68315,453
Innophos Holdings314,08715,449
CoreLogic333,86115,431
Sempra Energy134,57615,406
U.S. Silica Holdings494,59515,369
Mdu Res Group Inc591,94815,362
iRobot Corporation199,32815,360
Official Payments Holdings168,03715,354
Trinity Industries480,18515,319
Potlatch Corporation299,99215,299
Pitney Bowes Inc1,091,69515,296
Brookline Bancorp983,61415,246
Scholium Group PLC370,26715,225
National Bank of Canada 426,57915,223
JBG SMITH Properties442,75115,145
Integer Holdings Corporation295,27015,102
Myriad Interactive Media, Inc.415,81715,043
Cavco Industries101,83715,026
Imerjn Inc.285,93615,013
Innoviva7,577,61514,940
Liberty Interactive12,585,00014,912
Calix2,951,79414,905
iShares Trust83,19314,893
Hillenbrand Inc383,31214,892
EDGEWELL PERSONAL CARE Co203,32414,795
Orthofix International N.V.313,09214,795
Gigamon, Inc.350,61514,779
World Fuel Services Corporation435,83014,779
Arch Capital Group Ltd.441,33114,765
Technip ADR528,64514,761
Matica Enterprises Inc952,64214,747
Alere Inc.289,22214,747
Toyota Tsusho Corp.123,96014,743
Cable One, Inc.20,40514,734
MicroStrategy Incorporated115,26714,719
Diodes Incorporated491,60814,714
Barracuda Networks605,65914,675
Kaiser Aluminum Corporation142,21314,669
Qualys283,12214,666
iShares MSCI312,46314,645
MSA Safety183,79814,613
Callidus Software592,57414,593
Extra Space Storage Inc182,17914,560
Gentherm Inc391,20814,535
Cintas Corporation100,65014,521
Fulton Financial Corporation772,90014,492
CalAtlantic Group, Inc.3,894,63414,418
Weingarten Realty Investors453,92614,409
Schindler Holding AG307,86514,408
Quintiles Transnational Holdings Inc151,48914,402
Forward Air Corporation250,80214,354
Woodward184,77814,340
Legg Mason364,40914,325
Power Integrations195,60814,319
Rockwell Collins109,43514,307
Blackstone GSO Long Short Credit Income Fund14,200,00014,289
Green Dot Corporation287,34214,247
Aegean Marine Petroleum Network Inc.2,876,74314,239
Kite Realty Group Trust700,20014,178
Pinnacle Financial Partners211,71814,175
FOX FACTORY HOLDING328,65014,164
DSW Inc.658,41314,143
Financial Engines406,42414,123
Markel Corporation13,20914,108
Aerie Pharmaceuticals Inc.289,87714,084
ScanSource322,37914,073
TeleTech Holdings336,94614,067
Tri Origin Exploration Ltd.140,00013,988
Getty Realty Corporation488,55813,977
Kraton Performance Polymers345,35613,966
Fidelity National Financial294,20613,962
TIME INC.1,033,71513,956
Banco Popular469,85313,950
Starwood Waypoint Residential Trust383,03813,931
HomeStreet514,12713,881
Boston Beer Company88,85613,879
Versum Materials, Inc.356,81813,851
NewMarket Corporation32,51513,847
Bio-Rad Laboratories62,03013,785
Gulfport Energy Corporation959,83713,763
IDACORP156,15513,731
Spartan Stores519,71713,706
GWR Global Water Resources Corp.184,89513,684
Innospec Inc.221,65813,664
Sally Beauty Holdings697,54613,658
Cogent Communications Group278,57513,622
Momenta Pharmaceuticals736,06813,617
Principal Real Estate Income Fund252,87413,579
Allscripts Healthcare Solutions952,92513,559
Enersys195,95913,556
Prestige Brand Holdings270,11513,530
Encore Wire Corporation301,66413,507
Quaker Chemical Corporation91,15813,486
SPX Corporation458,94613,465
Consolidated Plen Tech Electronics, Inc.792,37913,414
Helmerich & Payne256,68013,376
NorthWestern Corporation234,68413,363
Wachovia Corporation10,15313,351
Labor Smart, Inc.88,23313,320
Burlington Stores Inc139,46913,313
STORE CAPITAL Corp533,52813,270
Medpace Holdings, Inc.416,10113,266
Citrix Systems172,46013,248
BWX Technologies235,82013,213
CBL & Associates Properties1,573,13713,206
CVB Financial Corporation546,38113,206
Heartland Express525,02113,193
MTS Systems Corporation246,45113,173
Regency Affiliates, Inc.211,46613,119
FIRST HAWAIIAN, INC.432,93513,115
Yamana Gold Inc.4,945,50913,106
Rightmove Plc1,214,71613,071
Graham Holdings22,25713,022
Chart Industries331,54613,006
Unilever NV219,59312,965
HD Supply Holdings, Inc.358,90512,947
Evertec Group LLC816,53012,941
American States Water Company262,50312,928
Invacare Corporation8,764,28212,926
Acadia Realty Trust450,14712,888
Bouygues 404,27912,879
Equity Residential195,03512,875
Dynavax Technologies Corporation597,99012,859
Blackrock Corporate High Yield Fund549,66912,845
Scientific Games Corp280,12712,844
Select Comfort Corporation413,00112,824
First Sentry Bancshares Inc.279,26512,814
AAON371,56012,809
Anheuser-Busch Inbev SA106,88812,752
Material Sciences Corporation224,58512,750
MegaFon PJSC121,53112,731
British American Tobacco Industries202,42412,706
National Instruments Corporation300,94712,691
Amex Exploration Inc.553,32112,689
RHB Capital180,43112,688
Flowers Foods673,94312,677
Proofpoint4,678,73412,614
ASML Holding N.V.73,57112,595
Rayonier Inc. REIT434,98112,565
Waters Corporation69,97812,563
Caleres411,58912,562
Provident Financial Services470,96912,561
Sunrise Telecom, Inc.232,55712,558
LegacyTexas Financial314,25612,546
SiteOne Landscape Supply, Inc.215,77412,537
PolyOne Corporation312,60612,514
WGL Holdings Inc148,31312,488
United Fire Group272,36612,479
Fidelity First Financial Corp.307,85012,421
Brixmor Property Group Inc.660,16812,411
Portland General Electric Company271,66212,404
Northwest Bancshares718,22012,403
Energizer Tennis Inc.268,92312,383
California Water Service Group Holding323,89312,355
Timken Company (The)254,04812,334
Madison Ventures Inc.57,58912,329
US-Dadi Fertilizer Ind International Inc.205,32912,328
CREDEX CORP109,58712,299
Dycom Industries143,04112,285
Mednax284,68212,276
Nu Skin Enterprises199,60112,273
Williams-Sonoma246,03012,267
Texas Capital Bancshares142,88412,259
Boise Cascade Holdings LLC351,29012,258
Delek US Holdings458,45612,254
Huntsman Corporation446,39312,241
Continental Building Products469,20912,201
Cabot Microelectronics Corporation152,48212,189
GATX Corporation197,57612,170
Halfords Group Plc241,01012,132
Federated Investors407,24912,097
OraSure Technologies537,37912,092
Del Monte Pacific Ltd.265,65012,075
Rowan Companies plc939,38312,071
CenterState Banks449,62212,049
Rudolph Technologies455,62811,981
PTC Therapeutics12,979,96111,960
Towne Bank356,47811,943
Central Europe and Russia Fund370,65311,928
Fluidigm Corporation16,344,00011,919
Novavax22,195,23311,889
International Bancshares Corporation296,12111,884
The Andersons346,63111,874
Cabot Corporation212,70411,871
Global Brass and Copper Inc351,17211,869
BancFirst Corporation208,85911,853
Education Realty Trust Inc.329,84111,852
Cineplex Inc516,31811,761
Choice Hotels International183,86011,750
Healthcare Realty Trust Incorporated363,15811,745
Vonage Holdings Corp.1,441,28611,733
Loxo Oncology, Inc.127,26611,725
CSG Systems International4,184,50611,715
Extraction Oil & Gas, Inc.760,40811,703
Covenant Transportation Group403,26611,686
RLI Corp.202,58811,620
V Media Corp106,33911,611
Mobile TeleSystems1,108,71211,575
Preferred Bank191,78211,574
Tiffany & Co.125,79311,553
Mwana Africa Plc.179,27911,547
ALAMOGORDO FINANCIAL CORP107,50911,545
Penn National Gaming493,46311,542
Berkshire Hathaway Inc.4211,539
International Lithium Corp.300,85711,528
Retail Opportunity Investments Corp.606,29411,526
A.H. Belo Corporation337,54511,526
ANSYS93,89811,524
Ethan Allen Interiors Inc.355,37511,515
First Trust NASDAQ-100 Ex-Technology Sector Index Fund168,65611,498
Nuveen Michigan Dividend Advantage Municipal Fund453,07411,474
Ishares Canadian Dex Universe Bond Index Fund96,95811,452
Brady Corporation301,23811,430
Quanex Building Products Corporation496,14911,387
Sodexo 287,66011,385
SPX293,95511,336
UBS AG (London Branch)660,87611,326
Stepan Company135,17311,309
IJJ Corp.77,65711,308
Acorn International12,500,00011,282
Church & Dwight Company232,81611,278
Boyd Gaming Corporation432,49211,267
Lifestyle Medical Network Inc.137,71411,267
Emergent Biosolutions278,05911,248
IBERIABANK Corporation136,71811,231
Advanced Micro Devices3,113,86911,162
FTI Consulting314,48311,158
Archrock887,57611,139
Atlas Air Worldwide Holdings168,51111,089
YPF Sociedad Anonima497,19211,078
National Bank of Greece S.A.31,70511,065
Compass Minerals Intl Inc170,26611,051
Armour Residential R409,89711,027
J & J Snack Foods Corp.83,95911,025
HUB Power Co., Ltd.256,42911,022
Q2 Holdings264,59111,020
Akorn332,03011,019
Camping World Holdings269,49310,980
Bottomline Technologies343,67710,939
AngioDynamics639,01110,922
Xperi Corporation431,32710,912
Pacira Pharmaceuticals290,27810,900
MSC Industrial Direct Company143,38910,836
Parsley Energy411,10910,829
Tempur-pedic International Inc167,81710,827
Select Medical Holdings Corporation563,77710,825
Insperity122,79610,806
NETGEAR226,57610,785
Hydrocarb Energy Corporation343,76210,763
The Ensign Group476,01910,753
Vornado Realty Trust139,75110,745
Aspen Technology171,00910,742
Wingstop322,99610,739
Nemaura Medical Inc.285,22210,717
Power Amers Minerals Corp.242,69110,710
Masonite International154,70610,707
Gannett Co.1,189,34410,704
Chemical Financial Corporation204,25410,674
Affiliated Managers Group56,22710,672
Lydall185,60610,634
Community Service Communications273,14410,625
Insight Enterprises231,30110,622
Sabre Corp586,05610,607
Michaels Stores Inc493,66910,599
Matthews International Corporation169,88710,576
Cirrus Logic198,34410,575
Plexus Corp.188,31510,561
Astoria Financial Corporation489,72110,530
8point3 Energy Partners LP700,13010,523
Bank of Hawaii Corporation126,22210,522
Ironclad Performance Wear Corp270,26510,522
Radius Health, Inc.10,500,00010,513
ALDER BIOPHARMACEUTICALS INC857,87110,509
Urban Barns Foods Inc.435,10210,495
Investors Bancorp769,02110,489
Primerica128,56010,483
Kirby Corporation158,83110,475
National-Oilwell Varco292,77210,461
Nutanix, Inc.467,19910,456
Matador Resources Company384,94310,450
Manhattan Associates250,10210,395
Monro Muffler Brake185,32910,388
Hawaiian Electric Industries310,95610,376
UNIVERSAL INSURANCE HOLDINGS INC450,41410,361
ExlService Holdings177,61810,358
Ship Finance International Limited9,713,63710,322
Community Trust Bancorp221,63810,306
InterXion Holding N.V.202,33410,304
William Demant Holdings513,11010,298
Valmont Industries65,10910,294
Hilton Grand Vacations266,14310,281
Triumph Ventures Corp344,38410,245
ViaSat159,25910,243
Esterline Technologies Corporation113,59510,241
Five9, Inc.428,38910,238
Mylan Inc.326,28110,228
iRhythm Technologies, Inc.197,03610,222
EVERBRIDGE, INC.386,88310,222
First Commonwealth Financial Corporation723,14810,218
Fastenal Company223,73410,196
Inter Parfums247,15610,195
Westamerica Bancorporation171,14010,190
ConAgra Foods300,24010,131
LivaNova PLC144,35010,113
New York Mortgage Trust, Inc.10,100,00010,062
Sensient Technologies Corporation130,51210,040
Simmons First National Corporation172,3559,980
Herman Miller277,6979,969
Tyme Technologies, Inc.584,6009,961
Aegerion Pharmaceuticals12,460,0009,948
NIC Inc.579,3999,937
Oceaneering International378,2939,937
Amedisys Inc177,5369,934
Luxoft Holding Inc207,8039,933
Acco Brands Corporation832,6939,911
Shutterfly204,1539,897
Ramco-Gershenson Properties Trust759,1199,884
Bed Bath & Beyond Inc.420,4949,874
CIAO Group, Inc.366,2529,863
FBL Financial Group132,2859,855
Kresta Holdings Ltd.173,1949,836
HMS Networks AB495,0849,832
First Financial Bancorp.374,6649,798
BancorpSouth305,6589,797
BlackRock Resources1,104,4829,792
Government Properties Income Trust521,1819,786
Nanometrics Incorporated338,7169,754
Northrim BanCorp Inc278,5019,733
Juno Therapeutics, Inc.216,7429,723
ADTRAN402,7239,664
Enterprise Financial Services Corporation227,9679,655
8x8 Inc714,8329,650
XBiotech Inc.111,0579,614
Welbilt416,8109,611
Comfort Systems USA269,1929,610
Modine Manufacturing Company498,9149,605
Global X Funds Global X NASDAQ 500 ETF698,3569,590
Nomad Holdings Ltd.657,5909,581
ILG356,6929,535
Group 1 Automotive131,3499,518
MaxLinear400,4179,510
AMC Networks Inc.162,4369,497
PetMed Express285,8359,474
Quotient Ltd1,921,2599,472
Silgan Holdings321,6109,464
Apollo Senior Floating Rate Fund Inc.522,9929,455
Southwest Iowa Renewable Energy, LLC1,546,6909,450
Kimco Realty Corporation483,0859,443
Meritage Corporation212,6399,441
Heritage Insurance Holdings, Inc.711,8779,404
SPS Commerce165,8039,402
Deoleo SA70,8809,387
Liberty Expedia Holdings, Inc.175,8029,337
Consolidated Communications Holdings489,1749,333
Koppers Holdings Inc.201,9309,321
Blackrock Diversified Income Strategies Fund134,9839,321
Hersha Hospitality Trust499,0579,317
Insmed298,5139,316
New York Times Company (The)474,9329,308
Meredith Corporation167,7059,307
CDW Corp140,6629,284
FCB FINANCIAL HOLDINGS, INC.192,1769,282
Targa Resources196,0289,272
Stag Industrial336,7609,251
PowerShares DB US Dollar Index Bullish Fund380,3369,199
JAGGED PEAK, INC.673,3049,197
Okta, Inc.325,7159,189
Dr Pepper Snapple Group103,6359,189
Franklin Electric Co.204,6589,178
Kaman Corporation164,4139,172
Xenia Hotels & Resorts434,0589,138
Seagate Technology.274,9709,132
Globus Medical306,0559,098
Piper Jaffray Companies152,5119,052
LEAP TECHNOLOGY INC / DE52,2619,045
M.D.C. Holdings272,0729,036
Helios Advantage Income Fund341,0839,035
Development Capital Group, Inc.983,5409,021
NICE-Systems Limited110,9389,020
ServisFirst Bancshares, Inc.232,0169,013
Avis Budget Group235,6568,969
EXACT Sciences Corporation190,2518,965
Helen of Troy Limited92,4558,957
Natus Medical Incorporated237,6228,910
Ruth's Hospitality Group425,1488,907
American Woodmark Corporation92,5258,906
Scholastic Corporation239,1638,898
Match Group, Inc.383,0778,883
Providence and Worcester Railroad Company163,8928,862
BHP Billiton Limited218,3208,848
Central Garden & Pet Company237,8238,844
Astec Industries157,8888,843
QTS Realty Trust, Inc.168,8568,840
RLJ Lodging Trust401,6378,837
Pharmerica Corporation301,5218,835
Amcol International Corporation599,4798,811
Apartment Investment and Management Company200,7928,808
Nano-Textile Ltd239,5878,797
Blucora347,3728,789
Axon Enterprise386,5008,761
Prudential Public Limited Company182,4748,752
Spectra Energy Partners197,4448,746
iShares S&P Global Nuclear Index Fund252,4028,722
Generac Holdlings Inc.189,5278,705
Globalstar5,335,6028,698
KLX Inc.163,7108,666
Nabors Industries Ltd.1,072,8988,661
Installed Building Products133,5388,653
Allegiant Travel Company65,5848,638
Popular240,1688,635
Trinseo S.A.128,4728,620
Essendant654,1748,617
Gamestop Corporation416,4308,603
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 225,9108,600
Core-Mark Holding Company266,2578,558
STMicroelectronics N.V.438,3878,514
Eaton Vance Enhance Equity Income Fund569,6928,503
TimkenSteel Corporation515,3328,501
Wendy's Company (The)546,9898,495
Magellan Minerals Ltd.119,5688,491
REX American Resources Corporation90,4318,485
CleanPath Resources Corp.148,9958,448
AZZ Incorporated173,4758,448
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund250,3618,377
First Busey Corporation266,9298,372
DXP Enterprises265,2568,353
Kemper Corporation157,5398,350
Universal Corp.145,7008,349
Tetra Tech2,919,0218,348
Olympic Steel379,2918,344
Artisan Partners Asset Management255,6708,335
Movado Group, Inc.297,5528,334
Liberty Broadband Corp88,1658,303
Tesla Exploratin Services Inc.24,3408,301
Eplus Inc.89,6708,290
Evans Brewing Co Inc.700,8748,285
Universal Stainless & Alloy Products397,3168,283
Winnebago Industries184,8958,274
Eagle Pharmaceuticals138,6198,267
Level 3 Communications154,9288,255
Bob Evans Farms106,0768,222
Allegion PLC 94,9998,216
Lantheus Holdings461,2128,209
Textainer Group Holdings Limited478,3568,204
Plantronics185,0058,180
Immunomedics584,3088,169
Ryman Hospitality Properties130,5558,165
MiMedx Group, Inc.686,7168,158
Lancaster Colony Corporation67,8358,148
SMART Global Holdings, Inc.304,0878,144
CONMED Corporation155,1128,138
AmerisourceBergen Corporation (Holding Co)98,3128,136
Rambus608,4328,122
Blackrock Corporate High Yield Fund III396,7258,112
Tronox Limited383,9598,102
Tanger Factory Outlet Centers331,0798,086
Eaton Vance Limited Duration Income Fund575,6028,079
BioTelemetry, Inc.244,8198,079
John B. Sanfilippo & Son119,8808,070
HealthStream343,8958,037
NuVasive144,7218,026
Pattern Energy Group5,423,5928,026
Mobile Mini232,7488,019
Actuant Corporation312,4447,998
Cree283,3817,989
Harley-Davidson165,6817,987
Lumber Liquidators Holdings204,9387,987
InterDigital107,5407,931
Navigant Consulting467,7897,914
KB Home327,6137,902
RAYONIER ADVANCED MATERIALS INC.576,8377,902
Badger Meter160,1057,845
Virtus Investment Partners67,5647,841
Dril-Quip176,6357,798
Kbridge Energy Corp.435,0667,781
Islet Holdings, Inc.69,3237,773
FVI Fondo Valores Inmobiliarios296,9337,771
AVX Corporation425,2667,753
ExactTarget828,6737,741
Tesla Motors6,300,0007,737
Intertainment Media, Inc.491,8007,736
Red Rock Resorts, Inc.5,000,0007,694
First Trust NASDAQ-100-Technology Sector Index Fund275,1997,664
Agree Realty Corporation155,1787,619
HFF192,5267,616
RPX Corporation573,3077,613
Rush Enterprises164,2497,603
Churchill Downs36,8507,598
IFAN Financial, Inc.68,0867,578
Aareal Bank AG161,4397,526
First BanCorp.1,468,6217,518
City Holding Company104,2997,500
CareTrust REIT, Inc.393,2877,488
Telefonica Deutschland Holding AG472,5827,486
Buffalo Wild Wings70,5937,462
LeMaitre Vascular199,2737,457
FARO Technologies194,4177,436
Calamos Convertible Opportunities and Income Fund642,8287,412
Universal Health Services66,7787,408
Gap250,8107,407
eUnits 2 Year U.S. Market Participation Trust199,7777,404
Crown Marketing306,3067,388
Acorda Therapeutics312,2397,384
Titan International726,2347,373
Keryx Biopharmaceuticals1,037,9577,371
DaVita Inc.123,7317,347
Bloomin' Brands416,8937,336
Callaway Golf Company506,9117,314
SuperValu Inc.336,1597,311
Vista International Technologies Inc318,0277,295
CHS Inc812,4287,272
Calavo Growers99,2087,262
Enerplus Corporation735,6127,261
Interface Inc.330,3607,235
Rio Tinto153,2107,230
Coca-Cola Bottling Co. Consolidated33,4727,221
Advanced Visual Systems, Inc.72,7227,215
Validus Holdings146,5107,211
Cohen & Steers Dividend Majors Fund71,6817,205
OWENS-ILLINOIS GROUP INC245,9507,182
Macerich Company (The)130,6367,181
Ferro Corporation320,9317,156
CBRE Group188,6677,146
Cabot Oil & Gas Corporation266,7367,136
Western Uranium Corp650,8397,094
Capital City Bank Group295,4187,094
International Hi-Tech Industries Inc.49,6127,093
Wynn Resorts47,4937,073
APPLIED OPTOELECTRONICS, INC.109,3357,071
Glatfelter362,3737,048
Amkor Technology667,4787,042
John Wiley & Sons131,6277,042
Select Income REIT300,5697,039
Patrick Industries83,4697,028
Federal Signal Corporation329,0727,004
BLACKLINE, INC.204,9386,992
LKQ Corporation193,4436,962
Silicon Motion Technology Corporation144,6316,947
AdvanSix Inc.174,7296,946
Pentair102,0876,938
Guggenheim Strategic Opportunities Fund127,6056,925
Anika Therapeutics Inc.119,2096,914
Copa Holdings55,4616,907
Nelnet136,6646,902
StarWood European Real Estate Fin Ltd6,500,0006,882
Hanmi Financial Corporation222,0506,871
SERVICEMASTER GLOBAL HOLDINGS INC146,5596,850
Trustmark Corporation206,1816,829
LifePoint Hospitals117,9276,828
Fortress Paper377,5546,811
Praxsyn Corporation237,4656,803
Sprouts Farmers Market Inc362,1376,797
Enviva Partners, LP229,5496,784
Infinity Cross Border Acquisition Corporation71,9826,781
First Merchants Corporation157,7856,773
Kadant Inc68,5796,758
First Trust Exchange-Traded Fund II First Trust ISE Global Pla350,2286,754
Atento581,6666,747
ProSiebenSat.1 Media SE279,3846,742
The First of Long Island Corporation221,3756,742
Varex Imaging Corp199,2026,741
Enanta Pharmaceuticals Inc143,8176,730
Essent Group165,9056,719
Metals USA Holdings Corp.97,3206,715
Asbury Automotive Group Inc109,7816,708
Brinker International210,3636,702
Arrin Corp.177,2236,696
Schawk190,2886,688
Office Depot1,471,6506,682
First Financial Corporation Indiana139,9366,660
Teladoc, Inc.200,8486,658
Guidewire Software85,0456,621
ITE Group Plc.110,2846,620
Liberty Global194,7176,604
Dick's Sporting Goods Inc244,4106,601
Safety Insurance Group86,4806,599
eWELLNESS HEALTHCARE Corp76,7936,596
National Australia Bank Ltd. (Victoria, Australia)270,2236,550
PayMeOn, Inc.322,4246,540
Straight Path Communications Inc.36,1816,537
Informa447,9976,530
Enova Systems Inc.484,1206,511
Oasis Petroleum Inc.3,354,9736,504
The Descartes Systems Group Inc.237,6006,498
Shenandoah Telecommunications Co174,6386,497
McCormick & Company63,2716,494
Atkore International Group Inc.332,5176,488
Stewart Enterprises171,7506,486
QEP Resources756,7146,485
Viad Corp106,4636,484
MGP Ingredients106,8316,478
Jacobs Engineering Group Inc.110,8156,457
KMG Chemicals117,1936,432
Deutsche Annington Immobilien SE236,9706,429
Weight Watchers International Inc147,6006,427
GNC Holdings8,700,0006,411
TrustCo Bank Corp NY717,3886,385
Cal-Maine Foods155,0516,373
Arconic256,0376,369
Washington Real Estate Investment Trust193,8566,351
Galp Energia, SA218,5426,342
Square220,5466,313
The Weir Group291,9026,304
Matson223,5626,300
Relx287,5646,299
Digi International Inc.593,3576,290
WNS (Holdings) Limited171,4316,257
Natural Gas Services Group219,5626,237
ENSCO plc1,044,1216,234
SolarEdge Technologies218,2326,231
Aegion Corp267,6736,231
Federal Realty Investment Trust49,9446,212
Carmax Mining Corp.81,9286,210
Grupo De Inversiones Suramericana S.A.250,8156,195
Briggs & Stratton Corporation263,3726,190
Noble Corporation1,343,1636,179
The Cash Store Financial Services Inc.109,7366,175
Weatherford International5,303,1796,150
Alexander's132,7226,149
General Communication150,7076,148
J CREW GROUP INC.1,613,3006,147
Lakeland Financial Corporation126,0666,142
Tennant Company92,7836,142
US Ecology113,8146,123
Nautilus Group362,1976,120
TRI Pointe Homes442,6356,113
New York Community Bancorp362,0676,110
Dynamic Gold Corp.361,2626,106
Wildhorse Energy Limited457,7566,099
Sykes Enterprises208,8746,090
Franklin Street Properties Corp.571,6366,071
Urban Outfitters253,8486,067
Raven Industries187,2096,066
Luminex Corporation298,3406,065
Assurant63,3326,051
National Health Investors78,0306,034
Wyndmoor Industries, Inc.57,1366,023
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal91,7506,021
Korea Electric Power Corporation359,9876,008
Mercury General Corporation105,8986,002
Canadian Imperial Bank of Commerce68,7945,997
Cars.com Inc.225,0895,989
Grupo Carso S.A. de CV242,5565,984
Worthington Energy, Inc.129,6645,965
AeroVironment110,0915,958
AMP Ltd.40,1075,957
IQnovate Ltd196,3155,957
Belmond436,2255,955
WesBanco145,0225,950
Schnitzer Steel Industries211,2255,948
iHeartMedia37,9235,936
The Middleby Corporation46,3065,934
ABAXIS132,6455,923
First Trust Advantaged Short Duration High Yield Bond Fund92,4255,917
USG People NV109,7025,916
Standard Motor Products122,4615,910
Vocera Communications188,2265,905
ZAGG Inc374,6575,900
Third Point Reinsurance378,0565,897
Unity Energy Corp.285,8345,884
Aercap Holdings N.V.115,1225,876
RE/MAX Holdings, Inc.92,4175,873
HUBSPOT INC69,7515,863
Multi-Color Corporation71,3405,846
Miller/Howard High Income Equity Fund416,7925,844
Pampa Energia S.A.89,8895,843
Rent-A-Center Inc.507,4735,826
Corcept Therapeutics Incorporated301,6955,822
Central Garden & Pet Company149,7745,817
EQT Midstream Partners77,5755,815
Hexcel Corporation101,2335,814
Perficient292,8285,760
Sturm111,0455,742
SunCoke Energy627,4485,734
Electronics for Imaging5,500,0005,717
Acxiom Corporation231,9925,716
Potomac Bancshares, Inc.296,9055,713
Heritage Financial Corporation193,5695,710
Beacon Roofing Supply110,9425,686
Matrix Service Company373,9975,685
Tompkins Financial Corporation65,7895,667
Mesa Laboratories37,9235,663
Calgon Carbon Corporation262,6265,620
Oxford Industries88,2665,609
Spectrum Pharmaceuticals396,3315,576
Gibraltar Industries178,7595,568
Newpark Resources556,2575,562
VWR Funding, Inc.167,3225,541
Sonic Corp.217,6875,540
Diplomat Pharmacy, Inc.266,9295,529
2U, Inc.98,6475,528
Genworth Financial Inc1,433,9485,521
E.W. Scripps Company (The)288,2875,509
Southside Bancshares151,3095,502
Ferrum Americas Mining, Inc.178,3345,497
Sinclair Pharma plc.171,4035,494
Willis Towers Watson35,6045,492
Argan81,3325,472
Cardtronics237,6615,468
Universal Health Realty Income Trust72,3935,465
First Trust NASDAQ ABA Community Bank Index Fund123,4375,438
Ultra Petroleum Corp.626,1365,428
Triple-S Management Corporation229,0725,424
Helix TCS, Inc.733,7945,423
Crocs557,1585,404
Clearwater Paper Corporation109,6165,399
VGRAB COMMUNICATIONS INC.4,720,0005,392
BHP Billiton plc152,0985,392
Veeco Instruments Inc.251,4155,380
iShares II plc.40,4805,380
COLUMBIA PROPERTY TRUST, INC.247,0165,377
Virtusa Corporation142,1775,371
Super Micro Computer242,1025,350
Lindsay Corporation58,2255,350
Oil States International210,2165,329
Guess?312,8955,329
The Cheesecake Factory Incorporated125,8505,301
Cutera127,6005,276
LIBERTY SILVER CORP226,2715,271
AGIC Convertible & Income Fund II842,7545,267
NRG Energy205,2655,253
Dassault Aviation56,9075,249
CommScope Holding Company, Inc.157,8555,242
Malibu Boats164,9065,218
Marten Transport253,2955,205
Cytokinetics358,7135,201
Shutterstock 156,0455,194
FIGO Ventures, Inc.651,1625,190
LSC Communications, Inc.313,8455,181
ClearBridge Energy MLP Fund Inc.349,7145,179
Genesco Inc.194,5845,176
Parkway Properties224,1215,161
Spartech Corporation129,9725,135
CorEnergy Infrastructure Trust145,1025,129
Fluor Corporation121,5575,119
LivePerson376,4435,102
DineEquity118,3715,095
Abercrombie & Fitch Company352,4595,089
Infineon Technologies AG 28,5115,087
Apollo Commercial Real Estate Finance5,000,0005,084
Sientra, Inc.329,7415,079
Federal Agricultural Mortgage Corporation69,7905,075
CaesarStone Sdot-Yam Ltd.170,2005,073
Washington Prime Group Inc.606,5145,052
The Gorman-Rupp Company155,0155,049
EMC Insurance Group178,9095,037
Leggett & Platt105,2845,033
Deltic Timber Corporation56,7435,017
Schiff Nutrition International167,6285,007
Vistra Energy Corp.267,4004,988
Community Health Systems647,7194,975
Tutor Perini Corporation175,0084,969
Gramercy Property Trust, Inc.164,0414,967
FormFactor294,5484,964
Ormat Technologies81,1474,953
Sarepta Therapeutics109,0804,947
HCi Viocare129,1524,939
Saul Centers79,6654,932
Carriage Services192,5804,930
Greenhill296,6854,925
Hooker Furniture Corporation102,8614,912
Stratasys211,5374,891
CEVA114,1974,888
Floor & Decor Holdings, Inc.125,4844,885
Bridge Bancorp143,8004,882
Diebold213,3624,875
Adecoagro S.A.451,3424,874
Endo Health Solutions Inc.568,2544,867
Taylor Morrison Home Corp219,6644,845
Altisource Residential Corp.434,6774,829
Viacom Inc.173,1354,826
Universal Electronics Inc.76,0974,824
Banco Bradesco Sa232,4474,823
MINDBODY, Inc.186,5474,822
Nuveen Build America Bond Opportunity Fund224,2964,816
Primoris Services Corporation163,1304,800
Strayer Education54,9814,799
Capstead Mortgage Corporation497,0624,797
Control4162,2314,779
Intellisense Solutions Inc.32,5854,770
World Wrestling Entertainment202,4464,767
Kelly Services189,7624,760
Pack Fuerte, Inc.283,6374,736
InfraREIT211,6094,734
International Spirit & Beverage Group, Inc. 102,2764,728
Immunotech Laboratories, Inc.1,700,0004,728
Macy's Inc215,2144,707
Xcerra477,3694,701
Western Union Company (The)244,4494,694
Cincinnati Bell Inc235,8914,683
CIRCOR International85,7534,668
VGambling Inc.34,7564,666
Brown-Forman Corporation Class B 85,6314,655
Global Condiments, Inc.109,7184,652
Chesapeake Utilities Corporation59,3964,647
Bank Of Montreal61,3694,646
Kennedy-Wilson Holdings Inc.248,7344,614
Cray Inc236,8104,606
Arlington Asset Investment Corp361,6064,604
MEDIFAST INC77,5144,604
L.B. Foster Company202,0014,596
3D Systems Corporation342,1644,582
QUALITY CARE PROPERTIES, INC.295,3394,578
Chatham Lodging Trust (REIT)214,2834,568
ChemoCentryx59,6014,535
Cornerstone OnDemand111,5774,531
Heartland Financial USA91,5444,522
ResMed Inc.62,4514,507
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu53,3244,497
Dell Technologies Inc.58,0784,485
Iridium Communications Inc433,4774,464
AmTrust Financial Services330,2304,445
Wisdom International Corp.63,9314,441
Invesco Municipal Income Opportunities Trust561,7164,428
PSL Holdings Ltd79,6244,426
Northwest Pipe Company232,5534,423
Tenaris S.A.155,3154,410
New Media Investment Group Inc.297,5284,399
POWERSHARES DB US DOLLAR INDEX BEARISH FUND285,5454,397
SJW Corporation77,6084,393
CryoLife193,5424,393
Investment Technology Group198,3634,392
Fidelity Southern Corporation185,6544,389
Acacia Communications, Inc.93,1354,386
IRADIMED CORP456,8104,386
Campbell Soup Company93,4724,379
Kindred Healthcare642,6064,371
Air Transport Services Group179,1774,361
Atna Resources Ltd.82,7294,360
LGI Homes89,5094,348
Quad Graphics192,3004,347
Lifetime Brands237,4004,344
ICF International80,5064,344
Spartan Motors392,9384,342
Nuveen Arizona Dividend Advantage Municipal Fund310,3234,338
Coherus BioSciences, Inc.324,6904,335
Century Bancorp, Inc.261,4464,334
Builders FirstSource239,3944,308
TrueCar Inc272,7574,307
Independence Holding Company423,3224,305
Earthstone Energy391,3304,301
Northfield Precision Instrument Corp.247,9184,301
ASPEN AEROGELS INC986,0244,289
Now Inc310,2974,285
CMG HOLDINGS GROUP, INC.14,1874,280
REAL HIP-HOP NETWORK, INC107,0014,269
Exa Corporation176,3314,264
Heico Corporation50,0004,257
Heska Corporation48,2094,247
CalAmp Corp.182,5254,244
RingCentral101,4214,234
Peoples Financial Corporation232,8784,227
UBS AG192,1694,224
BioDelivery Sciences International1,430,2514,219
ClearBridge Energy MLP Opportunity Fund Inc.348,1744,213
Penumbra Inc46,6104,208
Icon Media Holdings, Inc.58,1854,202
Blackrock Enhanced Equity Dividend Trust458,1314,200
Baldwin & Lyons186,1084,196
TRIBUNE MEDIA CO102,5464,191
CTS Corporation173,6664,186
Monotype Imaging Holdings Inc.216,6434,170
SEACOR Holdings90,1714,158
Electro Scientific Industries298,5644,156
GAIN Capital Holdings649,3344,149
Deutsche Telekom145,5624,125
OncoMed Pharmaceuticals Inc911,1844,118
Tailored Brands283,8704,100
The Graystone Company, Inc.34,6944,091
Colony NorthStar, Inc.324,7324,086
Diamond Offshore Drilling281,6694,084
Atwood Oceanics431,0304,047
THC Biomed International Ltd.246,0654,043
Liberty Broadband Corporation42,2684,029
USLIFE Income Fund65,5624,029
Express595,8604,028
Westwood Holdings Group Inc59,8554,026
Cross Country Healthcare282,6374,021
Buckle238,7204,021
DoubleLine Income Solutions Fund188,3804,003
Weibo40,4143,998
Quality Systems253,7953,993
Scana Corporation82,0003,988
Imperva91,8803,987
Indianapolis Power & Light Co.121,1953,985
Pennsylvania Real Estate Investment Trust378,9893,976
Oriental Financial Group433,3173,966
Dillard's Capital Trust I70,6923,965
Meta Financial Group50,4833,958
Sumitomo Mitsui Financial Group Inc511,5443,942
Torchmark Corporation49,1463,935
TCP Capital Corp.3,516,8373,927
Fortune Brands Home & Security58,3173,921
Sage Therapeutics, Inc.62,7853,913
Leucadia National Corporation154,0193,889
China Cord Blood Corporation.349,0553,881
Dime Community Bancshares180,3193,877
Qiagen N.V.123,0573,876
Global Technlogies Corp.175,6743,868
R.G. Barry Corporation374,4523,857
Knowles252,4453,855
PGT256,9453,841
Oritani Financial Corp.228,6943,841
Agios Pharmaceuticals Inc57,5043,838
Boingo Wireless178,7953,830
Griffon Corporation171,3483,804
Engility Holdings109,4693,796
HAWKER ENERGY, INC.3,400,0003,795
Donnelley Financial Solutions, Inc.175,5233,784
ENERGY TRANSFER PARTNERS206,8533,783
Blueprint Medicines Corp54,2583,779
Forestar Group Inc219,6003,777
Meridian Bioscience Inc.263,6743,771
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF62,0743,769
Varonis89,6793,757
World Acceptance Corporation45,2573,752
Integrated Device Technology3,506,0003,747
Smart Sand, Inc.551,9403,742
Hormel Foods Corporation116,2173,734
Berkshire Hills Bancorp96,3133,732
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal122,2433,714
MarineMax222,9903,690
MPLX LP105,3833,689
HSN94,4053,686
Silver Spring Networks227,5463,679
Eaton Vance Tax-Managed Global Diversified Equity Income Fund239,0783,663
Pegasystems Inc.63,1003,639
Multiplex European Property Fund, Sydney NSW187,5143,638
Garmin Ltd.67,3653,635
Sierra Bancorp133,8803,634
NxStage Medical131,5263,630
Deutsche Bank AG155,3103,625
The Advisory Board Company67,1043,598
Altra Holdings74,7063,594
Nuveen Dividend Advantage Municipal Fund 3232,9983,586
MOPALS.COM, INC.114,3683,586
Mind Solutions Inc.134,1703,586
Chimera Investment Corporation189,9873,583
Kemet Corporation169,1513,575
Smart Balance Inc455,1703,574
Urstadt Biddle Properties Inc.164,4713,569
ImmunoGen1,208,5743,569
Consolidated Water Co. Ltd.278,9363,568
Forterra, Inc.792,3243,566
iShares II plc.95,1353,563
Talend SA86,2303,530
Farmland Partners Inc.390,3493,529
CECO Environmental Corp.338,9403,521
Software AG23,9943,509
Regis Corporation243,4203,495
ServiceSource International1,009,4933,493
NN119,5023,466
Heritage-Crystal Clean159,1543,461
Pimco Corporate & Income Opportunity Fund206,7963,447
AMAG Pharmaceuticals185,7623,446
Schuff International, Inc.62,3653,444
SciClone Pharmaceuticals307,0873,439
ADESTO TECHNOLOGIES Corp437,8603,437
JPMorgan Chase Bank NA60,4423,436
Blackhawk Bancorp, Inc.78,0243,418
Houston Wire & Cable Company648,1243,402
Vanguard Long-Term Corporate Bond ETF36,1453,389
VASCO Data Security International280,8953,384
Grupo Carso S.A. de CV378,3853,383
Haverty Furniture Companies128,9313,371
Nokia Corporation562,8213,365
GLAUKOS Corp101,9053,361
Landauer49,8863,357
CorVel Corp.61,6133,352
Carbonite151,9793,344
Gimv Nv Act.495,3383,339
Eclipse Resources Corp1,333,3823,334
National Presto Industries31,3173,333
Infinera Corporation374,8523,327
Hibbett Sports233,3293,325
Aceto Corporation295,9343,323
Legg Mason, Inc.109,4063,312
Lannett Co Inc178,7163,298
Amphastar184,2603,293
Provident New York Bancorp166,8803,272
Quanta Computer, Inc.71,8363,269
Continental Resources84,1153,266
USG Corporation99,5853,251
Armada Hoffler Properties, Inc.235,2413,249
Unifi91,1313,247
Maiden Holdings406,3783,232
Rice Energy111,2883,221
YY Inc.37,0163,212
Dawson Geophysical Company707,1733,203
Iren SPA20,5673,194
ALLIANCEBERNSTEIN L.P.243,7593,179
Rexnord Corporation124,9713,176
NewLink Genetics Corporation311,9273,176
NCS Multistage Holdings, Inc.131,4733,166
Regal Entertainment Group197,4213,158
Liberty Gold Corp.75,4153,157
Royal Kpn N.V.40,5783,137
Shake Shack94,2603,132
Frontier Communications Corporation264,0643,113
American Vanguard Corporation135,8483,111
Marcus Corporation (The)111,4963,089
Akebia Therapeutics, Inc.156,5003,078
Schweiter Technologies AG Horgen91,8853,075
Rexford Industrial Realty106,9963,062
Party City Holdings225,0433,050
CRH Medical Corp.80,3283,045
Flaherty & Crumrine Preferred Income Opportunity Fund Inc142,1983,043
Cohen & Steers Quality Income Realty Fund Inc240,8463,028
EZCORP318,6293,027
Preferred Plus Trust Ser QWS 2 Tr Ctf159,2883,008
Shoprite Holdings Ltd.25,8532,992
Tredegar Corporation166,0512,990
Mimecast105,1472,988
Comtech Telecommunications Corp.145,3542,985
ProShares UltraPro QQQ73,0232,973
Mineral Hill Industries Ltd.101,5642,959
XO Group150,3342,957
Fidelity Bancorp74,7832,955
Ashford Hospitality Prime311,2042,955
Sonic Automotive144,6062,950
Seacoast Banking Corporation of Florida123,4812,950
BJ's Restaurants96,4212,937
Royal Bank Of Canada403,0252,935
Putnam Managed Municipal Income Trust388,0972,933
Bruker Corporation98,2132,922
Indofood Agri Resources Ltd.30,5082,922
Equity Commonwealth95,1352,890
BCSB Bancorp278,3752,881
Jounce Therapeutics, Inc.184,2432,871
Perry Ellis International Inc.120,9022,861
Avon Products1,226,2652,857
Shell Midstream Partners, L.P.102,0082,840
Merrimack Pharmaceuticals3,320,0002,839
Kinsale Capital Group, Inc.65,5002,828
TIER REIT INC146,4922,828
Flow International Corporation66,1892,827
NEW RELIC INC56,6772,823
ANI Pharmaceuticals53,7602,821
FireEye Inc168,1412,820
Ellsworth Convertible Growth and Income Fund269,2942,816
Denbury Resources2,092,1932,803
Western Asset High Yield Defined Opportunity Fund Inc.397,5432,796
Genomic Health86,7242,783
Blackrock Floating Rate Income Strategies Fund Inc192,8522,780
Nuveen Quality Preferred Income Fund 2266,3942,773
VANJIA CORP19,1492,754
Capital Bank Financial Corp.66,8642,745
Prudential Global Short Duration High Yield Fund, Inc.183,5842,741
Foothills Exploration, Inc77,7272,738
Ishares III Plc54,2642,728
Central Fund of Canada Limited214,6502,720
Orange SA164,9492,708
United Bank for Africa Plc67,5932,706
Zaio Corp.100,0002,700
Nuveen AMT-Free Municipal Income Fund191,2682,696
Lloyds Banking Group Plc735,7392,693
Dermira, Inc.99,6272,689
Fiesta Restaurant Group141,4012,687
Dreyfus Municipal Bond Infrastructure Fund, Inc.272,1272,686
Progenics Pharmaceuticals Inc.364,4322,682
ATRION Corporation3,9892,681
Street Capital Group59,4262,680
USANA Health Sciences45,9282,650
Echo Global Logistics140,0152,639
International Biotechnology Trust Plc132,9352,619
Glu Mobile Inc.696,4002,618
GW Pharmaceuticals25,7912,617
Whitestone REIT199,9462,610
Columbus McKinnon Corporation68,3912,590
Zogenix73,8972,590
Box Ships Inc.133,4002,578
White Mountains Insurance Group3,0052,576
ING Group139,8672,575
Ovid Therapeutics Inc.299,7772,570
Westpac Banking Corporation101,8142,566
Cheniere Energy56,9362,564
Delaware Investments Minnesota Municipal Income Fund II178,4862,556
American Public Education121,0822,549
Neuberger Berman California Intermediate Municipal Fund Inc.267,7782,544
TriCo Bancshares62,3842,543
International Speedway Corporation70,3872,534
AXT Inc276,7582,533
Fossil271,3352,531
Columbia Seligman Premium Technology Growth Fund96,4362,529
Sucampo Pharmaceuticals213,2462,517
FutureFuel Corp.159,6342,512
The Finish Line208,7112,511
UAN Power Corp.152,1622,509
First Potomac Realty Trust225,1972,508
Veritiv Corp77,1322,507
Tekla Healthcare Opportunities Fund121,1972,503
Daktronics236,3542,498
Transcat182,0002,484
Vanguard Short Term Government Bond ETF50,1652,481
Ultragenyx Pharmaceutical Inc.46,5632,479
Aircastle Limited110,9732,473
Tootsie Roll Industries64,9862,470
Cohen & Steers Infrastructure Fund107,6222,468
Flex Pharma, Inc.720,5242,457
Resources Connection176,5572,454
Cohen & Steers Select Preferred and Income Fund86,8742,446
Cato Corporation (The)184,4272,441
Insteel Industries93,4452,440
Perpetual Energy Inc.90,3192,433
Wintek Corp.2,500,0002,422
Monarch Casino & Resort60,7502,402
Megacable Holdings SAB DE CV27,7582,395
Cedar Realty Trust425,6912,392
Walter Investment Management Corp.14,040,0002,387
FIRST TRUST MLP & ENERGY INCOME FUND142,8442,379
Synchronoss Technologies254,6022,375
AquaVenture Holdings Ltd175,4582,369
Myers Industries113,0312,368
GH Cap Inc.68,7752,367
Haynes International65,8762,366
Cobalt International Energy12,450,0002,365
Forrester Research56,2732,355
Arcis Resources Corporation575,2502,353
Snap Inc161,6932,351
Heidrick & Struggles International111,0222,347
Halozyme Therapeutics134,9682,346
Agora Holdings, Inc.62,0732,343
Douglas Dynamics59,3692,339
Trade Desk, Inc.37,9852,337
AmeriGas Partners51,9402,335
BlackRock Municipal Target Term Trust Inc. (The)102,4332,322
SiM Internal Test 4297,9562,318
ING Infrastructure Industrial and Material Fund140,5472,309
Apollo Gold Corporation135,2412,302
UA Multimedia, Inc.152,7942,295
Barnes & Noble300,5602,290
European Equity Fund63,9282,276
Bank Mutual Corporation224,0152,274
Advanced Disposal Services, Inc.90,0402,268
Signet International Holdings, Inc.33,8512,254
Deutsche Bank AG130,1142,249
Tenneco Automotive37,0802,249
Biglari Holdings Inc.6,7402,246
Conn's79,6652,243
Tile Shop Hldgs176,5982,243
Lumos Networks Corp.124,3192,228
Great Southern Bancorp39,9772,225
Surgery Partners, Inc.213,8402,213
Honda Motor Company74,7062,209
Radware Ltd.131,0222,209
Quidel Corporation50,3152,206
Turkiye Is Bankasi A.S.52,6432,200
Hyster-Yale Materials Handling28,7442,198
OM Asset Management plc147,2102,197
Alteryx, Inc.107,3482,187
Viper Energy Partners LP116,9502,180
First Trust88,1492,179
Doosan Heavy Industries & Construction Co., Ltd.51,4552,176
Lions Gate Entertainment68,4382,176
Team162,3782,168
Milacron Holdings Corp.128,4072,165
Ascena Retail Group877,2872,149
Avadel Pharmaceuticals204,1682,143
SurModics69,1142,142
TG Therapeutics, Inc.180,6512,140
GrubHub40,5762,136
Discovery Communications105,4062,133
Arbor Realty Trust257,7752,114
Adient Ltd25,1502,112
PT Indosat Tbk61,3072,103
Superior Industries International126,1672,101
ENI S.p.A.62,9642,096
FINISAR CORP94,5412,096
Hardinge137,1622,094
Yelp Inc.48,0962,083
Nuveen California Dividend Advantage Municipal Fund 3122,6672,080
Calamos Convertible and High Income Fund174,0062,070
TripAdvisor50,9932,068
Hawkins50,5972,064
Pzena Investment Management Inc189,1522,060
Range Energy Resources, Inc.104,9812,055
Pinnacle Bank96,1662,050
NVE Corporation25,9702,050
STATIONDIGITAL CORP101,7352,045
Renewable Energy Trade Board Corp.167,5282,035
Alpine Global Premier Properties Fund306,7062,031
Kirkland's177,6152,030
Nuveen Massachusetts AMT-Free Municipal Income Fund91,6792,029
First Tractor Co. Ltd.48,4142,020
Premier Inc61,9592,018
eHealth84,1102,009
Shoe Carnival89,6842,009
Zumiez Inc.110,7432,005
Colfax Corporation47,9901,999
CAM Group, Inc.40,7201,997
Spok Holdings129,9971,996
Barclays Africa Group Ltd74,7101,984
MiX Telematics199,6681,981
Vicor Corporation83,9391,981
Michael Kors Holdings Limited41,3611,979
Calamos Strategic Total Return Fund163,5071,976
Powell Industries65,8101,974
New Senior Investment Group Inc.215,7331,973
Discovery Communications91,8461,956
Banco Bilbao Viscaya Argentaria S.A.218,6231,948
National Research Corporation51,6751,948
LPBP Inc95,4851,941
CVR Energy Inc.73,9351,938
Evermedia Group, Inc. (The)115,5891,931
Chegg130,1001,931
K12 Inc108,2871,931
Hilltop Holdings Inc.74,1871,929
Ocean Rig UDW Inc.81,1241,928
Novanta44,1141,923
Depomed331,9101,922
Schoeller Bleckmann Oilfield Equipment AG55,1051,921
Canon Marketing Japan Inc.55,7501,913
Chesapeake Energy Corp.444,3701,910
Alarm.com Holdings, Inc.42,0821,901
Piedmont Office Realty Trust94,3551,901
Invesco Van Kampen Senior Income Trust159,3371,899
CBRE Clarion Global Real Estate Income Fund241,5021,894
TRINET GROUP INC56,3321,893
Kite Pharma, Inc.10,4091,872
Chuy's Holdings88,0511,853
Buckeye Technologies32,2841,840
Paylocity Holding Corp37,5891,835
Wells Fargo Advantage Multi-Sector Income Fund136,6121,833
Hamilton Lane INC68,0191,826
Park Electrochemical Corporation98,5411,823
MUELLER WATER PRODUCTS142,4331,823
Great Lakes Dredge & Dock Corporation375,1471,819
Bright Horizons Family Solutions Inc20,8771,800
FIBROGEN INC33,3911,797
DSP Group138,2511,797
Vitamin Blue Inc335,4031,794
Goldman Sachs MLP Income Opportunities Fund227,5641,790
BMC Stock Holdings83,9001,790
Scorpio Tankers Inc.519,6351,782
Exelixis73,4461,780
Ra Pharmaceuticals, Inc.121,7831,779
Blackrock Floating Rate Income Strategies Fund II Inc126,7191,764
CSRA Inc.54,3291,756
Blackrock MuniYield Fund116,1941,750
PowerShares DB Gold Fund92,1721,749
Vantage Goldfields Ltd,99,7661,749
PIMCO Dynamic Income Fund69,0601,745
Western Asset Managed High Income Fund111,4121,743
John Hancock Preferred Income Fund III96,8621,743
Ambarella35,5321,741
Cloud Peak Energy Inc475,0451,739
Thomson Reuters Corp37,8041,735
OceanFirst Financial Corp.63,1121,734
UNITED INSURANCE HOLDINGS CORP.105,7471,723
PriceSmart19,2671,719
Computerized Thermal Imaging, Inc.58,0861,717
Bill Barrett Corporation400,0511,716
Ezaki Glico Co., Ltd.29,2191,716
Portola Pharmaceuticals31,4721,700
Pier 1 Imports405,6351,700
Bel Fuse Inc.54,4501,699
Iconix Brand Group298,2241,697
Covanta Holding Corporation114,1201,695
Liberty Media Corporation43,9281,673
1st Colonial Bancorp, Inc.34,5991,665
Gray Television106,0391,665
Tilly's138,5871,662
Redwood Capital Bancorp (CA)102,0121,662
TFS Financial Corporation102,8631,660
Blackrock Global120,9241,652
Metals X, Ltd.51,3121,651
Contango Oil & Gas Company325,4901,638
IHI Corp9,8091,638
RBC Bearings Incorporated13,0861,637
Neurocrine Biosciences26,6411,633
NTT DOCOMO71,6441,632
Peabody Energy Corporation56,1231,628
Nuveen Pennsylvania Dividend Advantage Municipal Fund 265,8481,617
Grupo Financiero Santander Mexico S.A. B. de C.V.160,2201,616
Blackrock California Municipal 2018 Term Trust106,7781,609
Wells Fargo Advantage Income Opportunities Fund184,0731,608
Ignyta129,9681,605
Cardiovascular Systems56,8421,600
Highlands Bankshares, Inc.87,2261,599
Bristow Group Inc170,8271,597
NCI Building Systems101,7501,587
Orion Marine Group Inc240,8701,580
Sasol Ltd.57,3731,578
Vanda Pharmaceuticals Inc.88,1601,578
Source Capital39,1621,575
Knoll78,5681,571
Boardwalk Pipeline Partners L.P.106,0431,566
LPL Financial Holdings Inc.30,3051,562
Fidelity & Guaranty Life50,1801,558
Western Asset Mortgage Defined Opportunity Fund Inc111,1201,556
Air Lease Corporation36,5081,556
CBIZ92,4821,553
Eaton Vance Enhanced Equity Income Fund II110,7301,552
Ubiquiti Networks27,6511,549
ISC8 Inc.13,7671,548
Roadrunner Transportation Systems162,2751,546
Smith & Nephew SNATS42,3861,544
Credit Suisse High Yield Bond Fund535,4561,542
First Priority Tax Solutions Inc.85,6101,542
CymaBay Therapeutics190,5001,536
Evolent Health86,0041,531
ETERNITY HEALTHCARE INC.87,8011,527
Array BioPharma Inc.123,8261,523
ING Global Equity Dividend and Premium Opportunity Fund188,4191,521
Forest City Realty Trust, Inc.59,5791,519
Coupa Software48,6561,516
51job24,9821,515
MCBC Holdings, Inc.74,2901,514
Axis Energy Corporation26,3331,509
Eaton Vance Tax-Advantaged Global Dividend Income Fund61,3911,508
First Trust Energy Income and Growth Fund104,8561,507
Civitas Solutions81,6341,506
Home Retail Group plc41,2281,506
Tanke, Inc.69,1641,497
Golar LNG Limited65,8811,492
VALERO ENERGY PARTNERS LP34,1441,492
Amerco3,9571,484
PIMCO Flexible Credit Income Fund14,0721,483
Genpact Limited51,3961,478
National Research Corporation27,2301,473
Cobalt Pwr Group Inc6,400,0001,472
Credit Suisse Group92,2971,467
H&E Equipment Services50,2321,467
Nuveen Arizona Premium Income Municipal Fund103,3861,467
ECA Marcellus Trust I124,2661,464
Insulet Corporation26,5071,460
MyoKardia Inc34,0091,457
NV5 Holdings, Inc.26,5961,453
Hortonworks, Inc.85,6811,452
Patterson Companies37,2171,439
Wayfair Inc.21,3251,437
K2M Group Holdings67,6791,435
Calamos Dynamic Convertible & Income Fund68,0841,430
Habit Restaurants, Inc.109,4681,429
Tallgrass Energy Partners, LP37,4371,425
Kratos Defense & Security Solutions108,6031,420
First Community Bancshares48,7101,418
CONDUENT Inc89,7151,407
QuinStreet190,6491,402
AG Mortgage Investment Trust72,7801,402
Nuveen Floating Rate Income Fund121,6811,401
Axcelis Technologies51,1291,398
Systemax Inc.52,9121,398
Web.com Group55,8841,397
Nuvo Research Inc91,4481,391
Intersect ENT, Inc.44,4781,385
NexPoint Credit Stategies Fund60,0061,383
Silicom Ltd23,6251,383
Eaton Vance Tax-Advantage Global Dividend Opp119,5261,383
AxoGen, Inc.71,3551,381
Era Group123,1911,378
Flotek Industries295,4501,374
CONE Midstream Partners LP86,6961,373
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND57,8461,372
Kayne Anderson Acquisition Corp92,9761,367
Nuveen Dividend Advantage Municipal Fund129,0261,364
GLYCOMIMETICS INC97,4601,363
Manulife Financial Corp67,0951,362
PowerShares DB Oil Fund154,8561,361
PAA Natural Gas Storage64,1711,360
Ultra Clean Holdings44,3591,358
AveXis, Inc.13,9311,348
Playa Hotels & Resorts N.V.129,0201,346
IAC/InterActiveCorp11,4271,343
Avangrid, Inc.28,2681,341
Banco Santander193,0541,340
Western Asset Global High Income Fund Inc130,8571,335
Apptio Inc72,0131,330
Axovant Sciences Ltd.192,9091,327
Quotient Technology84,7061,325
Tesco Corporation242,1371,319
Amarin Corporation PLC375,4791,313
Kopin Corporation314,5991,312
Calpine Corporation88,9081,311
Harmonic Inc.429,5111,310
Williams Creek Gold Ltd.33,6381,309
Fitbit186,7931,300
U.S. Stem Cell, Inc.21,3391,300
Canada Coal Inc62,8671,293
1st Source Corporation25,3421,288
Cambrian Systems, Inc.50,6821,279
Geospace Technologies Corporation71,6911,277
GLOBAL HEALTHCARE REIT, INC.41,1261,276
DC Brands International, Inc.489,6211,272
Seneca Foods Corp.36,8341,271
Celldex Therapeutics441,4111,263
Internap Network Services Corporation289,9661,261
Pacific Sunwear of California, Inc.72,3731,261
SeaChange International460,0571,260
Barnes & Noble Education, Inc.192,7681,254
Sirius XM Radio Inc.227,1191,254
UMH Properties80,6041,253
ACCELERON PHARMA INC33,4301,248
Esperion Therapeutics, Inc.24,9131,248
Arcos Dorados Holdings Inc.122,1971,228
NorthStar Realty Europe Corp.95,1391,218
Culp36,8851,208
Ironwood Gold Corp.76,2641,204
Frederick's of Hollywood Group186,6531,201
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.133,3401,200
Stone Harbor Emerging Markets Income Fund70,9671,198
South State13,3071,198
Dova Pharmaceuticals, Inc.49,2691,196
Credit Acceptance Corporation4,2721,196
Brown Forman Corporation21,3851,195
CNA Financial Corporation23,5061,181
Barrick Gold Corporation73,4111,181
Allison Transmission Holdings31,4121,178
First Interstate BancSystem30,7681,177
Nuveen Municipal Value Fund85,5691,176
Alpine Total Dynamic Dividend Fund131,5721,173
CNOOC Limited8,9311,168
Dolby Laboratories22,3181,166
iShares S&P GSCI Commodity-Indexed Trust78,2711,165
Novocure Ltd58,6101,163
Resolute Energy Corp.38,9101,155
Colliers International Group23,1681,151
Brookfield Real Estate Services27,4821,135
Voya SENIOR INCOME FUND162,6421,130
FTD Companies86,5001,128
Blackrock MuniHoldings Investment Quality Fund75,8211,123
Eaton Vance Risk-Managed Diversified Equity Income Fund118,8041,120
CAE Inc63,7171,117
TACTILE SYSTEMS TECHNOLOGY INC36,0311,116
LAUREATE EDUCATION, INC.76,4131,112
iBrands Corp.26,5881,111
Vera Bradley125,5551,106
Harvard Bioscience294,7291,105
Goodrich Petroleum Corp.113,6701,104
Telefonica SA102,2261,103
Carbo Ceramics130,7751,103
Evolva Holding AG49,6831,099
WESCO International18,8091,095
W.T.B. Financial Corp.15,1591,094
Dex One Corporation25,0581,090
JELD-WEN Holding, Inc.30,7001,090
Omeros Corporation50,1481,084
Hancock Fabrics, Inc.49,3231,082
Cedar Fair16,8671,081
MFS Municipal Income Trust149,5991,077
Nuveen Credit Strategies Income Fund126,3501,076
Marchex348,2301,076
Ingles Markets41,5671,069
Eaton Vance Senior Income Trust161,2481,067
Nuveen Municipal High Income Opportunity Fund104,0111,065
The Carlyle Group L.P.44,9921,062
Pearson129,2351,052
Mitsubishi UFJ Financial Group Inc162,3641,047
ANTERO RESOURCES Corp52,6141,047
VOYA Financial Inc26,0451,039
NextEra Energy Partners25,6501,036
NeuroDerm26,6141,035
Vedanta Res Plc53,3511,032
Main Street Capital Corporation25,9341,031
CNH Global N.V.85,8821,031
Agilysys86,1081,030
Nuveen Equity Premium and Growth Fund65,6121,026
Pioneer Energy Services Corp.401,5221,024
Anworth Mortgage Asset Corporation168,0871,010
Frontier Resources Ltd.52,5001,010
TPG Specialty Lending, Inc.48,1341,009
Quorum Health Corp194,6151,008
iShares S&P Global Clean Energy Index Fund7,0271,000
REATA PHARMACEUTICALS INC32,043997
Park National Corporation9,187993
KB Financial Group Inc20,162989
Rapid7, Inc.56,129988
Franklin Templeton Limited Duration Income Trust82,208987
Brookfield Infrastructure Partners LP22,829984
POSCO14,149982
Vector Group Ltd.163,917981
Oil Optimization, Inc.37,524978
LIBERTY ALL STAR GROWTH FUND INC23,128970
First Trust Energy Infrastructure Fund40,197969
Enbridge Energy60,563968
First Trust NASDAQ-100 Equal Weighted Index Fund17,318962
John Hancock Tax Advantaged Dividend Income Fund37,131960
Prudential Short Duration High Yield Fund62,871959
Blackrock Core Bond Trust67,917955
New Mountain Finance Corporation66,902953
Alliance Capital Management Holding L.P.39,112951
International Frontier Resources Corp.38,530945
Alexander Nubia International, Inc.2,223943
NexPoint Residential Trust, Inc.39,578939
Two Harbors Investments Corp92,895937
Meritor35,989936
Advanced Semiconductor Engineering151,207934
Hawaiian Telcom Holdco31,191931
Blackrock MuniYield Michigan Quality Fund64,327922
Nuveen Core Equity Alpha Fund58,828914
First Defiance Financial Corp.17,348910
GoPro, Inc.82,643910
US Foods Holding Corp.33,961908
Pick n' Pay Stores Ltd.29,528908
Gulf Island Fabrication71,136903
EMERGING CTA PORTFOLIO LP18,359900
Pacific Booker Minerals Inc.13,117895
Financial Institutions, Inc.30,972892
Gabelli Dividend39,666888
BLACKROCK INTERNATIONAL134,617883
Lsb Industries Inc.110,474881
QUANTENNA COMMUNICATIONS INC52,308879
Western Gas Partners17,141879
Liberty One Lithium Corp.15,197875
Grupo Aeroportuario del Sureste4,562871
Western Asset Global Partners Income Fund47,685869
Cameco Corporation89,633868
Pacific Ethanol155,777865
Invesco Quality Municipal Income Trust67,346862
Methanex Corporation17,112860
FIRST FIXTURES, INC.33,282859
BT Group plc44,547856
Big 5 Sporting Goods Corporation110,504845
Ohio State Bancshares, Inc.27,745839
PowerShares Global Wind Energy Portfolio37,460833
Tortoise MLP Fund46,184828
Liquidity Services139,548823
KBW Inc8,980816
lululemon athletica inc.12,976807
Ducommun Incorporated25,072804
Daseke, Inc.61,559803
New England Service Co.58,305797
ClearBridge Energy MLP Total Return Fund Inc.62,692797
Tahoe Resources150,879796
Compass Biotechnologies Inc.44,776795
Fidelity Nasdaq Composite Index Tracking Stock2,617794
Baozun24,198794
Logitech International S.A.21,642789
iShares MSCI ACWI ex US Financials Sector Index Fund6,988786
BLACKROCK LTD DURATION INCOME TRUST48,702785
BlackRock Utility and Infrastructure Trust36,985778
Vectrus, Inc.25,100774
United States Oil Fund, LP74,054772
Kimball International38,731766
Yatra Online, Inc.70,800766
OMNOVA Solutions Inc.69,584762
Americas Silver Corporation19,111760
Blackrock Municipal 2020 Term Trust48,579760
Banco Bradesco Sa68,332757
Cornerstone Strategic Value Fund51,099757
PowerShares NASDAQ Internet Portfolio6,834752
MGE Energy Inc.11,613751
Blackrock Municipal 2018 Term Trust49,950751
Retrophin30,090749
Arch Capital Group Ltd.7,591748
Stoneridge37,633745
Blackrock Corporate High Yield Fund V Inc65,603741
Evolution Technology Resources Inc.42,820737
Apple Green Holding, Inc.38,636730
Vipshop Holdings Limited82,965728
Nuveen Energy MLP Total Return Fund60,727726
Morningstar8,530725
Photronics81,347720
Camden National Corporation16,320719
Blackrock Health Sciences Trust19,567713
Nuveen Intermediate Duration Quality Municipal Term Fund53,133711
Spirit Realty Capital, Inc.82,335708
Gardner Denver25,591704
Far Eastone Telecommunication Co., Ltd.55,857704
theScore Inc.21,293702
Eaton Vance Tax-Advantaged Bond61,442701
Fresenius Medical Care Corporation14,314700
BlackRock Credit Allocation Income Trust I51,292696
Amira Nature Foods114,630690
Dreyfus High Yield Strategies Fund195,554690
China Natural Gas, Inc.8,982689
Eaton Vance Municipal Income Term Trust54,075686
Kayne Anderson MLP Investment Company37,627684
NMI Holdings, Inc.55,066683
Armstrong Flooring, Inc.43,220681
iShares6,106677
FTE Networks, Inc.12,319676
Ruby Tuesday315,705676
Tortoise Pipeline & Energy Fund35,078676
Andeavor Logistics13,424672
Nuveen Real Asset Income and Growth Fund37,102668
Gabelli Equity Trust100,161651
Meridian Interstate Bancorp34,757649
Syngenta AG7,045649
QUANTUM MATERIALS CORP.106,015649
BlackRock Science & Technology Trust26,384645
Open Text Corporation19,922643
Lipocine Inc.161,400641
Templeton Global Income Fund55,056637
TriState Capital Holdings, Inc.27,821637
Revance Therapeutics22,984634
Invesco Van Kampen California Value Municipal Income Trust47,115631
Nuveen California Dividend Advantage Municipal Fund 242,019627
Nuveen California Dividend Advantage Municipal Fund52,405620
U.S. RARE EARTH MINERALS, INC17,515620
DiMi Telematics International, Inc.9,347620
Algonquin Pwr & Util58,070614
Virtus Global Multi-Sector Income Fund37,984610
Nustar Energy L.P.14,933606
Gold Reserve Inc6,183604
Wipro Limited105,314599
Ashford Hospitality Trust Inc89,165595
GGX Gold Corp.45,793593
Cherry Hill Mortgage32,800593
iShares Oil Sands Index ETF10,100593
Calumet Specialty Products Partners70,784591
Bancroft Convertible Fund26,897589
Retail Properties of America44,642588
ROKU, INC22,115587
Physicians Realty Trust32,988584
Costamare Inc.94,528583
CVR Refining, LP59,150583
TCW Strategic Income Fund100,373582
Invesco Van Kampen High Income Corporate Bond Fund128,939579
Cai International19,076578
Cowen Group, Inc.32,152573
BlackRock Income Trust Inc. (The)79,801572
Pembina Pipeline Corp.16,302572
GCP Applied Technologies Inc.18,596571
Kala Pharmaceuticals, Inc.24,600562
Omega Protein Corporation33,435557
Santeon Group Inc16,256554
VOYA RETIREMENT INSURANCE & ANNUITY CO51,503552
United States 12 Month Natural Gas Fund, LP30,152550
Dynagas LNG Partners39,462550
Hyatt Hotels Corporation8,814544
Fortis15,157542
Ternium S.A.17,509542
Antero Midstream GP LP17,133540
Nuveen Preferred and Income Term Fund21,415539
Fiat30,113539
Energy Revenue America, Inc.21,793537
Paratek Pharmaceuticals21,131531
John Hancock Tax-Advantaged Global Shareholder Yield Fund57,721531
PIMCO Municipal Income Fund III41,595528
Huntington Bancshares Incorporated355526
Independent Bank Corporation23,232526
Bank of Marin Bancorp7,663524
Peapack-Gladstone Financial Corporation15,537524
iShares Commodity Optimized Trust14,792523
Middlesex Water Company13,302522
Kosmos Energy Ltd.65,311520
Deutsche Tele Ag Ads41,465517
Silver Spruce Resources Inc.20,894514
Neuberger Berman High Yield Strategies Fund42,077512
Bank of Nova Scotia (The)7,944511
ETFS SILVER TRUST5,700511
ArcelorMittal19,826510
Titan Machinery Inc.32,800509
Peoples Bancorp Inc.15,135509
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal24,022508
Water Technologies International,Inc.17,761506
CRA International12,227502
Nuveen Real Estate Fund45,092502
Northern Offshore19,508502
China Lodging Group4,203499
Orix Corp Ads6,140498
Citi Trends24,792493
Schoeller Bleckmann Oilfield Equipment AG13,509490
STEMLINE THERAPEUTICS INC43,880487
Invesco Municipal Premium Income Trust37,306485
Madison Ventures Inc.22,844484
TC PipeLines9,209482
JPMorgan Chase Bank NA8,900481
EEStor Corporation13,754481
Golub Capital BDC25,425479
Freightcar America24,298475
Cohen & Steers Total Return Realty Fund37,999473
Pure Pharmaceuticals Corp.29,024464
BankFinancial Corporation28,925460
Brookfield Property Partners LP19,660459
Cornerstone Bancshares31,347459
Delaware Investments Dividend & Income Fund31,574459
Ionis Pharmaceuticals8,978456
DCP Holding CO13,164456
CeCors, Inc.53,466452
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.52,646451
AGIC Convertible & Income Fund63,388450
Eaton Vance Short Diversified Income Fund31,563449
National Beverage Corp.3,569443
Resolute Forest Products Inc.87,290441
DoubleLine Opportunistic Credit Fund18,269439
Vanc Pharmaceuticals, Inc.34,442439
Blackrock MuniAssets Fund29,017438
Cheniere Energy Partners LP Holdings, LLC15,094435
Ituran Location and Control Ltd.11,966431
SSTL, Inc.10,671429
Chesapeake Energy Corp.8,446428
Zayo Group Holdings, Inc.12,390427
Aly Energy Services, Inc.32,200426
EV Charging USA, Inc.28,056420
iShares FTSE China (HK Listed) Index Fund9,515419
Bazaarvoice83,814415
Seattle Genetics7,599414
Group Ten Metals Inc.16,279412
BlackRock 2022 Global Income Opportunity Trust28,817412
Flaherty & Crumrine/Claymore Total Return Fund Inc15,461410
PBF Logistics LP19,493409
Ferrari3,682407
Nuveen Enhanced Municipal Value Fund27,681407
ORGANOVO HOLDINGS, INC.182,009404
Midstates Petroleum Company, Inc.25,910402
Dualex Energy International, Inc.7,925402
BlackRock Energy and Resources Trust29,099400
BOK Financial Corporation4,446396
Heritage Commerce Corp27,592393
Black Box Corporation120,171392
WellPoint Inc.150,000389
Bluerock Residential Growth31,698388
Blackrock Enhanced Government Fund24,762386
Prospect Capital Corporation99,971386
Companhia Brasileira de Distribuicao16,063381
WPP plc4,109381
Eaton Vance Corporation16,678378
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal14,707377
Draftteam Daily Fantasy Sports Corp.10,485374
John Hancock Hedged Equity & Income Fund21,243374
VOYA INSURANCE & ANNUITY CO.71,237373
Restaurant Brands International Inc.5,830373
Shinhan Financial Group Co Ltd8,415373
HomeTrust Bancshares14,459371
Bryn Mawr Bank Corporation8,487371
Rite Aid Corporation188,167369
China Life Insurance Company Limited24,513369
Nomura Holdings Inc ADR65,204363
iShares S&P Global Timber &Forestry Index Fund5,425362
Durect Corporation201,772357
American Premium Water Corporation23,442357
ETFS Precious Metals Basket Trust5,635357
Chunghwa Telecom Co Ltd10,448356
Teck Resources Ltd16,688352
Dolan Company (The)7,078351
MFS Intermediate Income Trust109,992350
Macquarie Global Infrastructure Total Return Fund Inc.13,301349
American National Insurance Company2,940347
Deutsche Bank Aktiengesellschaft22,792345
QAD Inc.10,049345
Barclays PLC5,405345
Blackrock MuniHoldings Fund19,800343
Cloudera, Inc.20,520341
Blackrock MuniVest Fund II35,092340
Socket Mobile, Inc.5,979338
Sunoco10,781335
InterContinental Hotels Group Plc6,294335
Grupo Aeroportuario Del Pacifico3,188328
Oaktree Capital Group6,922326
Guggenheim Enhanced Equity Income Fund37,365320
RTI Biologics70,187320
Phillips 66 Partners6,054318
Valeant Pharmaceuticals International22,060316
Invesco Van Kampen Bond Fund15,780316
Nuveen Select Tax Free Income Portfolio II20,820316
Cohen & Steers Global Income Builder32,566316
Ultrapar Participacoes S.A.13,242315
Eaton Vance Corporation21,472314
LGO Energy PLC23,225312
tronc21,409312
Park-Ohio Holdings Corp.6,846312
CPFL Energia S.A.18,227312
Kayne Anderson Energy Development Company18,022312
PetroHunter Energy Corp.4,795311
Connecticut Water Service5,233311
American International Group15,463310
Tower Resources PLC9,967306
PPlus Trust10,766304
Eaton Vance Ohio Municipal Income Trust23,417303
Invesco Value Municipal Income Trust20,197302
Pretium Resources32,610302
Cohn & Steers Inc14,265302
iShares FTSE EPRA/NAREIT North America Index Fund6,108301
SINOPEC Shangai Petrochemical Company5,015300
Putnam High Income Bond Fund33,251297
AGIC Equity & Convertible Income Fund14,241295
LCNB Corporation13,923292
Central Valley Community Bancorp13,103292
Exchange Bankshares, Inc.14,748292
EchoStar Corporation5,103291
Tekla World Healthcare Fund19,753288
Acacia Diversified Holdings, Inc.63,000287
Invesco Van Kampen Advantage Municipal Income Trust II24,813286
Calamos Global Dynamic Income Fund31,570285
John Hancock Pfd Income Fund II15,098284
Resource Capital Corp.26,237283
Steelcase Inc.18,274282
Redwood Trust280,000282
Red Lion Hotels Corporation32,622282
Putnam Municipal Opportunities Trust22,143280
Otter Tail Corporation6,435279
Alliance National Municipal Income Fund Inc19,919278
National Research6,446276
Templeton Dragon Fund13,329276
NEW GOLD INC.74,425276
MainStay DefinedTerm Municipal Opportunities Fund13,584273
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol9,979273
BlackRock Investment Quality Municipal Trust Inc. (The)18,198272
PIMCO Income Strategy Fund II25,008268
Grupo Aeroportuario del Centro Norte S.A.B. de C.V.6,039268
Pioneer Municipal High Income Trust22,107266
Sigma Designs41,998264
RUBICON PROJECT, INC.67,954264
Imperial Oil Limited8,223264
Pioneer Floating Rate Trust21,858261
Mellanox Technologies5,530261
China Internet Cafe Holdings Group, Inc.4,583261
MFS Government Markets Income Trust32,763260
Alnylam Pharmaceuticals2,172255
STOCK BUILDING SUPPLY HOLDINGS, INC.6,555249
Nuveen Global Government Enhanced Income Fund18,714247
Suburban Propane Partners9,245246
HSBC Holdings plc9,323246
Farmers Capital Bank Corporation5,835245
Global X NASDAQ China Technology ETF23,780245
Air Lease Corporation161,000245
Blackrock MuniYield Quality Fund II18,218243
Alpha and Omega Semiconductor Limited14,546240
ADVANCED MEDICAL ISOTOPE Corp3,544240
Nuveen Senior Income Fund35,715239
Avid Technology52,686239
Opko Health Inc34,559238
Eaton Vance Municipal Income Trust11,646238
First Trust Specialty Finance and Financial Opportunities Fund34,546237
Western Asset Mortgage Capital Corporation10,413236
Banco De Chile2,591236
Reaves Utility Income Fund7,442236
AngloGold Ashanti Limited25,342235
Shaw Communications Inc.10,174234
Ecopetrol S.A.24,601234
Xenith Bankshares7,184234
Just Energy Group40,164233
China Prosperous Clean Energy Corp.9,482232
Mesabi Trust10,098232
Enlink Midstream, LLC13,377231
Pioneer Municipal High Income Advantage Trust19,890230
Rosetta Stone22,237227
Nuveen New York Dividend Advantage Municipal Income Fund15,997226
Fibria Celulose S.A.16,621225
Western Asset Managed Municipals Fund14,366222
KTL Bamboo International Corp.15,984222
Northeast Bancorp8,458221
Kronos Worldwide Inc9,673220
Nuveen Short Duration Credit Opportunities Fund12,643220
IDT Corporation15,032219
Flaherty & Crumrine/Claymore Preferred Securities Income Fd In10,133218
Frequency Electronics22,500215
Sabine Royalty Trust5,229214
CrossAmerica Partners7,868214
Nuveen California Investment Quality Municipal Fund13,502213
Franks International NV27,642212
State Bank Corp.10,032211
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal8,818209
First Trust/Aberdeen Global Opportunity Income Fund7,753207
CIBT Education Group Inc.12,590205
Gildan Activewear6,503204
Wheaton Precious Metals10,675204
Gener8 Maritime45,200204
Pan American Silver Corp.11,926203
Santander Holdings USA13,214203
GRAHAM ALTERNATIVE INVESTMENT FUND II LLC9,716202
Neuberger Berman Real Estate Securities Income Fund35,931202
athenahealth1,621201
Weyco Group7,075201
Build-A-Bear Workshop21,492197
Turkcell Iletisim Hizmetleri AS21,915193
Duff & Phelps Corporation11,905193
BlackRock Kelso Capital Corporation25,594192
Bridgepoint Education19,539188
ING Emerging Markets High Dividend Equity Fund19,686187
Ericsson32,690187
LSI Logic Corporation27,845184
Hallmark Financial Services15,881184
PennantPark Investment Corporation24,227182
JNS Holdings Corporation10,011182
BioTime63,340180
Blackrock MuniEnhanced Fund15,070179
New America High Income Fund17,976179
PennyMac Mortgage Investment Trust10,249178
CatchMark Timber Trust, Inc.13,650172
Orchids Paper Products Company12,247172
Blackrock Global12,179172
Templeton Emerging Markets Fund10,307170
Medley Capital Corporation28,479170
Entercom Communications Corporation14,638168
Blackrock Municipal Income Quality Trust11,361167
China Unicom (Hong Kong) Ltd11,854166
MFS Multimarket Income Trust26,370165
Royce Value Trust10,439165
Fly Leasing Limited11,717164
Rocky Brands12,229164
Chimerix Inc30,672161
Aegon NV27,719160
Lands End12,156160
Deutsche Bank AG (London Branch)12,607160
Vansen Pharma Inc.10,543159
Blackrock MuniHoldings Quality Fund11,450156
NFJ Dividend11,617156
TETRAPHASE PHARMACEUTICALS INC22,500154
Nuveen High Income 2020 Target Term Fund14,792150
Cypress Sharpridge Investments Inc17,339150
Apollo Investment Corporation24,348149
Nuveen New York AMT-Free Municipal Income Fund10,684147
Western Asset Middle Market Income Fund Inc.10,612147
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd15,000146
TeleNav22,984145
Tsakos Energy Navigation Ltd31,906143
Massachusetts Health and Education Tax-Exempt Trust30,055143
BlackRock Long-Term Municipal Advantage Trust11,476139
Nuveen Diversified Dividend and Income Fund10,627137
Hudson Technologies12,600137
Companhia Paranaense de Energia (COPEL)15,409136
Dreyfus Strategic Municipals15,309135
Fiduciary/Claymore MLP Opportunity Fund10,484135
Seaspan Corp.19,050135
UNITED STATES BASKETBALL LEAGUE INC20,237133
MedEquities Realty Trust, Inc.11,177131
NeoPhotonics Corporation23,651131
Voyager Therapeutics, Inc.11,352131
New Home Company11,458128
Nordic Investment Bank24,092128
iStar Financial Inc.10,825127
Star Gas Partners11,117126
Blackrock Debt Strategies Fund10,595124
Fifth Street Finance Corp.22,425123
Townsquare Media, Inc.12,238122
Chesapeake Energy Corporation123,000120
Siliconware Precision Industries Company15,069119
Communications Systems27,445117
Morgan Stanley Emerging Markets Debt Fund11,558116
Cempra35,375115
Riverview Bancorp Inc13,049110
Enersis Americas18,374110
TravelCenters of America LLC25,724109
Dreyfus Municipal Income11,617106
Infinity Pharmaceuticals79,010105
Hecla Mining Company20,550103
The Gabelli Healthcare & Wellness Trust10,358100
Telecom Italia S.P.A.10,27697
Cidara Therapeutics, Inc.11,97497
Ladenburg Thalmann Financial Services Inc33,55797
Whiting Petroleum Corporation17,29994
Gabelli Utility Trust (The)13,26394
Wells Fargo Advantage Global Dividend Opportunity Fund14,95094
ROGERS INTERNATIONAL RAW MATERIALS FUND LP14,60089
GAMCO Global Gold15,68788
Natural Grocers by Vitamin Cottage15,91088
Pimco High Income Fund10,32586
Mizuho Financial Group23,81385
Pacific Biosciences of California15,97284
Advent/Claymore Enhanced Growth & Income Fund13,44084
Liberty All-Star Equity Fund13,92784
Credit Suisse Asset Management Income Fund24,06782
Ferrellgas Partners15,82281
StoneMor Partners L.P.11,81877
Hallador Energy Company13,38276
TIPTREE FINANCIAL INC.11,80074
WMIH Corp.75,63372
HC213,65072
Alliqua BioMedical, Inc.185,00068
Curis42,90064
Trevena24,06961
Endocyte41,92859
MEI Pharma20,88156
22nd Century Group, Inc.19,00053
180 Degree Capital Corp.30,20253
SWK Holdings Corp10,12652
JOINT Corp10,00048
PDL BioPharma13,94947
VOC Energy Trust12,01445
WindStream Technologies, Inc.23,51742
Teekay Tankers Ltd.25,23341
Kadmon Holdings, LLC11,79139
Parker Drilling Company35,12539
Abraxas Petroleum Corporation17,83534
Turquoise Hill Resources Ltd.10,75033
GENOCEA BIOSCIENCES, INC.21,23332
McEwen Mining Inc.15,52530
Eldorado Gold Corporation11,50025
Versartis, Inc.10,00024
LML Payment Systems11,35020
Spark Networks12,50015
RadiSys Corporation10,91015
Solitario Exploration & Royalty Corp20,00014
Helix Energy Solutions Group13,00013
Polymet Mining Corp.21,81013
Chartwell Seniors Hs12,00012
Seadrill Partners, LLC28,58410
PROGRESSIVE GREEN SOLUTIONS, INC.10,00010
Palatin Technologies14,50010
Denison Mine Corp18,2008
TANDEM DIABETES CARE INC10,0007
Navidea Biopharmaceuticals13,1005
Community Bank of South Florida Inc.11,885N/A

Feedback