Ameriprise Financial Inc

Most recent update: June 30, 2019

CompanyShares/WarrantsValue ($000)
Microsoft Corporation41,118,0915,509,243
Microsoft Corporation43,126,5505,088,017
Alphabet Holding Company, Inc.4,103,0724,823,381
Alphabet Holding Company, Inc.3,967,7264,292,811
Amazon.com2,118,9534,012,109
Apple Inc.20,443,3423,884,191
Apple Inc.18,897,9353,741,769
Amazon.com2,003,6023,568,026
Facebook14,894,4642,874,716
Cisco Systems52,691,6252,846,886
Cisco Systems48,947,9002,681,476
J P Morgan Chase & Co22,925,7522,563,992
Facebook15,046,2092,507,998
Johnson & Johnson17,135,3452,397,256
J P Morgan Chase & Co23,498,4312,378,398
Johnson & Johnson15,422,2772,148,244
Invesco Van Kampen Municipal Opportunity Trust45,800,0432,143,632
Visa Inc.13,581,9122,121,605
Mastercard Incorporated7,899,0452,089,709
Mastercard Incorporated8,103,5781,908,126
Chevron Corporation15,329,3351,907,512
S&P Quality Rankings Glbl Equ Mngd Tr6,510,4871,907,460
Citigroup Inc.26,352,3611,845,307
Broadcom Inc.6,401,5721,842,554
S&P Quality Rankings Glbl Equ Mngd Tr6,507,9841,835,366
Adobe Systems Incorporated6,193,2501,825,094
Invesco Van Kampen Municipal Opportunity Trust37,103,3531,750,602
Lamprell9,726,4001,741,098
iTeknik Holding Corporation5,887,5441,735,413
Chevron Corporation13,808,9511,700,979
Philip Morris International Inc18,905,6771,671,223
Adobe Systems Incorporated6,185,1031,648,153
Honeywell International Inc.9,177,6501,602,974
iTeknik Holding Corporation5,603,5431,594,979
Lamprell8,467,0351,591,006
Citigroup Inc.25,335,4591,576,365
Comcast Corporation37,102,9101,569,828
Honeywell International Inc.9,761,4381,551,660
Pfizer34,954,9651,513,645
Philip Morris International Inc19,150,5821,503,832
SPDR GOLD TRUST33,038,5511,495,463
Comcast Corporation37,113,3111,483,532
SPDR GOLD TRUST33,455,7141,480,802
Pfizer34,284,4101,456,061
Union Pacific Corporation8,540,7831,428,789
Verizon Communications Inc.23,428,9551,385,304
Alibaba Group Holding Limited7,504,9941,369,571
iShares30,476,5081,352,654
Bristol-Myers Squibb Company28,271,9461,348,851
Wells Fargo & Company27,844,3091,345,440
Merck & Company15,895,7741,332,942
Merck & Company15,694,0361,305,552
Union Pacific Corporation7,630,3981,290,534
Berkshire Hathaway Inc.6,331,6601,271,906
Home Depot5,878,6091,224,483
Alibaba Group Holding Limited7,222,3481,222,607
Bank of America Corporation44,076,6351,215,900
Berkshire Hathaway Inc.5,690,9781,212,097
Bristol-Myers Squibb Company26,626,0991,207,431
Indo Tambangraya Megah PT11,001,7331,199,979
Bank of America Corporation40,989,1441,188,714
Baxano Surgical, Inc.14,113,9051,147,682
Walt Disney Company (The)8,017,1931,120,002
Investec Ltd.12,277,9781,118,266
Procter & Gamble Company (The)10,196,1191,117,643
iShares24,114,2081,111,793
Home Depot5,732,5071,100,621
Indo Tambangraya Megah PT9,744,9711,085,343
Baxano Surgical, Inc.12,767,4721,045,670
Vanguard Natural Resources, LLC3,965,5491,029,039
Procter & Gamble Company (The)9,571,020995,875
AT&T Inc.29,626,967992,854
Illini Corp.7,913,758984,502
Intel Corporation17,714,504952,394
Alexion Pharmaceuticals6,904,540933,307
Mondelez International17,254,173930,185
Illini Corp.7,798,353928,495
Vanguard Health Systems12,436,560912,888
Intel Corporation18,763,184897,203
DowDuPont Inc.16,805,759894,674
AT&T Inc.28,525,454894,093
American Tower Corporation (REIT)4,535,666893,814
Boeing Company (The)2,300,928877,388
Booking Holdings499,669871,874
American Tower Corporation (REIT)4,256,227870,166
Pepsico6,618,785868,052
NVIDIA Corporation4,702,955844,308
Salesforce.com Inc5,320,950842,665
Mondelez International16,832,202840,432
Nike9,981,766838,022
Alexion Pharmaceuticals6,331,674829,324
Pepsico6,629,793812,569
Valero Energy Corporation9,415,190798,695
NoCopi Technologies, Inc.2,471,814798,601
Vanguard Health Systems10,525,603770,281
iShares Trust iShares MSCI All Country Asia Information Techno11,692,964768,693
Salesforce.com Inc5,058,279767,448
Valero Energy Corporation8,893,955760,962
International Business Machines Corporation5,487,377756,760
Applied Materials16,752,183752,483
Abbott Laboratories8,942,477752,108
NVIDIA Corporation4,578,085751,872
Ingersoll-Rand plc (Ireland)6,910,828746,019
Core Resource Management, Inc.9,335,435737,990
Applied Materials18,297,064725,666
ConocoPhillips11,788,824719,137
United States Cellular Corporation2,876,798701,760
Lockheed Martin Corporation1,927,917701,110
Wal-Mart Stores7,182,246700,593
ConocoPhillips10,431,448696,195
Starbucks Corporation8,291,146695,069
Texas Instruments Incorporated6,004,366689,817
Core Resource Management, Inc.8,938,424689,711
Boeing Company (The)1,873,898681,041
Exxon Mobil Corporation8,312,073671,723
McDonald's Corporation3,226,181670,015
Kimberly-Clark Corporation4,955,619660,409
Eli Lilly and Company5,083,708659,675
Imperial Petroleum, Inc.3,354,514651,525
iShares Trust iShares MSCI All Country Asia Information Techno10,022,868650,049
Starbucks Corporation8,737,520649,622
Booking Holdings345,673648,006
Activision Blizzard14,116,811642,792
PayPal Holdings, Inc.5,591,697640,028
Lowe's Companies5,832,227638,408
United States Cellular Corporation2,577,146636,924
Fidelity National Information Services5,186,990636,601
ServiceNow10,515,960634,587
Exxon Mobil Corporation8,175,859626,380
Select Asset Inc.6,776,674621,881
ServiceNow9,201,257618,937
Tyson Foods, Inc.7,549,476610,857
American Electric Power Company6,939,824610,781
Edge Resources Inc.9,851,126608,852
Activision Blizzard12,842,489606,166
Allstate Corporation (The)5,898,273599,779
IBO (Listing Market - NYSE Amex Network B F)7,117,853599,321
McDonald's Corporation3,133,568595,164
ShangPharma Corporation8,254,142594,111
Oracle Corporation10,278,619585,635
Texas Instruments Incorporated5,505,718584,495
ShangPharma Corporation8,023,054583,455
NoCopi Technologies, Inc.2,151,665580,139
PayPal Holdings, Inc.5,558,196577,165
Lowe's Companies5,661,953571,356
Morgan Stanley13,014,548570,171
CME Group Inc.2,931,364568,978
International Business Machines Corporation3,913,302552,166
Gilead Sciences8,085,876546,635
Lockheed Martin Corporation1,818,567545,796
Select Asset Inc.5,941,451545,081
IBO (Listing Market - NYSE Amex Network B F)6,389,920543,619
Oracle Corporation10,034,705539,190
Envestnet5,654,987538,244
Nike6,345,370534,379
Morgan Stanley12,605,066531,933
Marsh & McLennan Companies5,331,593531,719
Edge Resources Inc.8,914,541522,793
BlackRock1,107,806519,878
Altria Group9,031,474519,433
Envestnet5,559,391517,954
Infinite Graphics, Inc.5,842,511516,934
Neenah Paper2,595,795516,933
Prudential Financial5,101,106515,925
Illumina1,388,048511,004
CME Group Inc.3,097,614509,854
Cigna Corporation3,183,875501,618
Kimberly-Clark Corporation4,046,764501,450
Walt Disney Company (The)4,518,650501,388
American Electric Power Company5,957,640498,976
QUALCOMM Incorporated8,694,008496,061
Gilead Sciences7,582,399492,770
Eli Lilly and Company4,446,435492,611
Synopsys4,253,884489,879
Synopsys3,782,650486,776
eBay Inc.12,932,215480,286
Corning Incorporated14,284,914474,723
QUALCOMM Incorporated6,204,050471,348
Imperial Petroleum, Inc.2,480,633470,308
BlackRock1,097,446469,005
Terramin Australia Ltd.9,787,435468,914
VOIP PAL.com, Inc.2,912,223468,401
Marsh & McLennan Companies4,983,387467,926
Tyson Foods, Inc.6,721,467466,670
iShares7,612,577463,249
Prudential Financial4,967,104456,969
IntercontinentalExchange5,310,190456,367
Marvell Technology Group Ltd.22,866,333454,807
Neenah Paper2,423,493454,384
Allstate Corporation (The)4,789,713451,134
Emerson Electric Company6,567,402449,930
Fidelity National Information Services3,967,462448,529
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF5,487,837438,061
Thermo Fisher Scientific Inc1,491,596437,651
Humet-PBC North America, Inc.1,644,161436,207
MetLife8,770,906435,671
Vertex Pharmaceuticals Incorporated2,363,463434,625
LyondellBasell Industries NV5,155,657433,480
NXP Semiconductors N.V.4,897,894432,905
Illumina1,368,773425,261
Consumer Portfolio Services7,282,607422,978
DDD Group Plc.5,585,840419,238
Terramin Australia Ltd.10,516,386418,974
Marathon Petroleum Corporation7,484,212418,413
CB Scientific Inc.2,980,456417,525
Abbott Laboratories5,203,140415,956
VeriSign2,289,545415,682
Altria Group8,712,360411,878
EXACT Sciences Corporation13,873,436411,728
Electronic Arts Inc.4,013,507407,892
vTv Therapeutics Inc.3,766,727405,463
Thermo Fisher Scientific Inc1,474,233403,481
Micron Technology9,750,056402,975
eBay Inc.10,015,638395,614
Becton, Dickinson & Co.1,555,686391,987
PNC Financial Services Group2,849,996391,173
Allergan2,664,490390,100
NewLead Holdings Ltd.4,328,077389,947
BlackRock Maryland Municipal Bond Trust7,925,296389,346
Liberty Global1,884,639388,890
Aspen Pharmacare Holdings plc2,264,360386,503
EXACT Sciences Corporation17,789,033385,103
United Parcel Service3,719,679383,493
United Parcel Service3,392,852379,889
Cummins Inc.2,211,545378,955
Etfs Commodity Securities Ltd.2,477,243378,680
Palo Alto Networks1,551,928376,932
Sport Chalet2,102,526376,240
Liberty Global1,526,485374,742
Waste Management3,583,414372,962
BlackRock Maryland Municipal Bond Trust8,001,851372,313
MetLife8,619,946366,944
Edwards Lifesciences Corporation1,916,039366,594
Southwest Airlines Company7,211,564366,203
Anthem United, Inc.1,293,779364,891
iShares5,914,486363,763
Simon Property Group2,274,159363,320
Stargaze Entertainment Group Inc.1,720,745362,332
3M Company1,741,775361,885
Exelon Corporation7,545,561361,728
Amgen Inc.1,901,246360,937
iShares3,350,107360,915
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu11,523,546360,836
First Trust8,424,009360,576
Micron Technology9,338,283360,365
Southwest Airlines Company6,916,303359,025
Sport Chalet2,054,532354,317
IntercontinentalExchange4,639,785353,281
IDEXX Laboratories1,281,938352,957
Walgreens Boots Alliance5,546,824350,916
MSCI Inc2,021,079350,723
MSCI Inc1,708,032349,531
Ameren Illinois Company4,731,818348,034
Charles Schwab Corporation8,128,053347,549
Simon Property Group1,906,915347,466
Edwards Lifesciences Corporation1,877,480346,902
Host Marriott Financial Trust18,333,939346,532
NewLead Holdings Ltd.3,585,716346,301
Coca-Cola Company (The)6,746,229343,690
Cigna Corporation2,128,462342,291
Bowl America, Inc.7,824,577342,263
Automatic Data Processing2,132,561340,747
Capital One Financial Corp3,740,178339,387
iShares3,166,065339,064
PNC Financial Services Group2,763,056338,911
FMC Corporation4,070,213337,647
3M Company1,941,518336,529
Emerson Electric Company5,042,455336,457
General Motors Company8,724,420336,120
Automatic Data Processing2,015,095333,229
Cardinal Health7,062,916332,690
First Trust7,799,052332,530
Suncor Energy Inc.10,672,331332,443
Bowl America, Inc.7,971,646332,405
Ameren Illinois Company4,417,400331,794
Consumer Portfolio Services5,909,634331,412
Schlumberger N.V.7,593,342330,940
Amgen Inc.1,789,939329,841
American International Group6,187,158329,654
IDEXX Laboratories1,472,954329,365
Suncor Energy Inc.10,147,825329,092
Humet-PBC North America, Inc.1,235,552328,647
Square4,305,534322,543
FMC Corporation4,179,967321,113
Marathon Petroleum Corporation5,359,172320,751
Xcel Energy Inc.5,642,707317,190
iShares MSCI Europe Financials Sector Index Fund6,004,467316,314
The AES Corporation18,841,790315,793
Industrial Services of America4,172,822313,107
Norfolk Souther Corporation1,562,709311,447
Infinite Graphics, Inc.3,378,812309,697
International Consolidated Airlines Group SA5,524,568308,799
Smart & Final Stores, Inc.1,968,164308,049
McKesson Corporation2,290,099307,775
General Motors Company8,293,595307,688
Colgate-Palmolive Company4,271,776306,148
NRG Energy7,206,042306,114
Schlumberger N.V.7,702,997306,110
Air Products and Chemicals1,350,123305,735
iShares MSCI Europe Financials Sector Index Fund6,775,285304,006
International Consolidated Airlines Group SA5,612,684302,839
Capital One Financial Corp3,704,023302,577
Dow 30 Premium6,085,422299,936
U.S. Bancorp5,721,783299,908
T-Mobile US Inc4,319,182299,156
Palo Alto Networks1,458,214297,173
Lic Housing Finance Ltd.1,237,691295,675
Splunk Inc.2,354,169293,333
Nuance Communications17,301,712292,918
US-China Biomedical Technology, Inc.2,903,096292,778
The AES Corporation16,148,265291,951
Splunk Inc.2,303,608289,698
Coca-Cola Company (The)6,170,562289,292
Smart & Final Stores, Inc.1,741,818288,518
US-China Biomedical Technology, Inc.2,878,396286,036
Colgate-Palmolive Company4,169,691285,799
Align Technology1,004,929285,716
All Marketing Solutions Inc.3,554,866285,687
United Technologies Corporation2,213,471285,221
The Bank of Kentucky Financial Corp.5,641,376284,477
United Technologies Corporation2,181,653284,071
T-Mobile US Inc3,824,036283,508
NetApp4,064,374281,823
Digital Realty Trust2,383,354280,886
Etfs Commodity Securities Ltd.1,794,335280,838
McKesson Corporation2,393,160280,154
First Priority Tax Solutions Inc.10,341,360279,942
Digital Realty Trust2,347,059279,504
Cardinal Health5,792,147278,914
First Priority Tax Solutions Inc.10,608,882278,697
Corning Incorporated8,419,016278,663
Cognex Corporation5,477,067278,566
Lic Housing Finance Ltd.1,273,309277,589
Rockwell Diamonds, Inc.1,563,911274,417
General Dynamics Corporation1,501,091272,944
Pioneer Exploration, Inc.1,772,718272,648
AbbVie Inc3,763,845272,640
Square3,751,051272,062
Centenera Mng Corp.5,131,639271,644
Charles Schwab Corporation6,751,838271,340
MercadoLibre532,537270,387
Pioneer Exploration, Inc.1,767,121269,242
Centenera Mng Corp.5,133,635268,843
AbbVie Inc3,338,669268,352
U.S. Bancorp5,546,161267,342
Anthem United, Inc.930,483267,246
Electronic Arts Inc.2,618,720265,175
Costco Wholesale Corporation1,093,844264,879
Vanguard International Equity Index Funds Vanguard Global ex-U4,743,454264,396
Nucor Corporation4,793,941264,176
Western Asset Emerging Markets Income Fund5,476,600263,239
Nuance Communications16,424,254262,296
AutoZone237,680261,337
InterXion Holding N.V.3,907,061260,644
Harris Teeter Supermarkets1,626,709259,801
BioMarin Pharmaceutical Inc.14,388,393259,329
ON Semiconductor Corporation23,430,874255,137
Crimson Wine Group Ltd.3,287,218254,312
Accenture plc.1,439,447253,422
iShares2,307,299253,122
Industrial Services of America3,260,703252,287
Fortinet3,277,247251,791
Harris Teeter Supermarkets1,327,331251,037
iShares FTSE EPRA/NAREIT Asia Index Fund4,687,971250,709
Danaher Corporation1,482,335250,017
Freeport-McMoran Copper & Gold19,386,295249,889
Ecolab Inc.1,264,166249,329
V Media Corp1,381,024249,287
PagSeguro Digital Ltd.8,330,545248,685
Delta Air Lines Inc. (New)4,794,365247,859
BioMarin Pharmaceutical Inc.14,153,174247,364
General Dynamics Corporation1,459,278247,110
Costco Wholesale Corporation933,256246,625
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF1,692,332245,424
Air Products and Chemicals1,276,992243,904
Hawaiian Telcom Holdco, Inc.1,865,124242,650
Fortinet2,883,183242,521
Equinix479,835241,919
Takeuchi Manufacturing Co., Ltd.2,110,697239,642
Dassault Aviation2,863,870239,225
American International Group5,542,263238,647
Host Marriott Financial Trust13,057,042237,916
Caterpillar1,741,238237,334
iShares MSCI Far East Financials Sector Index Fund1,998,338237,200
NetApp3,838,809236,854
Sysco Corporation3,544,642236,647
Therapix Biosciences Ltd5,646,430236,097
Crown Equity Holdings, Inc.1,785,327234,679
Freeport-McMoran Copper & Gold20,198,969234,513
Caterpillar1,729,787234,404
Stargaze Entertainment Group Inc.1,026,492233,939
Crimson Wine Group Ltd.3,118,933233,364
Best Buy Co.3,254,558233,270
Everett SpinCo, Inc.3,596,376231,291
Crown Equity Holdings, Inc.1,792,234229,395
Maxima Group, Inc.4,304,211228,844
Delta Air Lines Inc. (New)4,009,359228,352
Therapix Biosciences Ltd5,551,332226,895
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi1,441,161226,793
DENTSPLY International Inc.3,877,208226,280
Eastman Chemical Company2,974,853225,754
Williams Companies7,837,259225,083
Edison International3,338,622225,007
Autodesk1,381,087224,965
Exelon Corporation4,472,003224,199
Hawaiian Telcom Holdco, Inc.1,932,213224,043
Halliburton Company7,627,503223,434
ConAgra Foods8,390,308222,509
Align Technology812,640222,421
ON Semiconductor Corporation20,164,482221,392
Advanced Visual Systems, Inc.1,433,825221,029
HPC Acquisitions, Inc.10,574,481219,890
TDC A/S6,113,010219,153
KLA-Tencor Corporation1,838,369217,292
Cognex Corporation4,495,347215,687
Nemaura Medical Inc.5,596,690215,306
Anadarko Petroleum Corporation4,718,753214,420
Equinix470,241213,054
TDC A/S4,862,596212,254
TJX Companies4,007,295211,916
T. Rowe Price Group1,927,491211,471
Canada Coal Inc4,395,714211,085
Russell Exchange Traded Funds Trust Russell Small Cap Consiste1,648,450209,803
Dominion Resources2,711,418209,761
Tapestry6,448,899209,537
ISHARES IV PLC1,895,828209,043
iShares1,976,833208,752
Edison International3,365,650208,414
Sysco Corporation2,940,824207,985
Diamondback Energy1,907,615207,830
Deere & Company1,253,168207,707
T. Rowe Price Group2,068,893207,140
Lattice Inc.7,351,462207,021
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi1,362,690206,192
Danaher Corporation1,461,060205,681
Norfolk Souther Corporation1,100,076205,592
Everett SpinCo, Inc.3,727,420205,573
Sarepta Therapeutics6,278,257205,377
Autodesk1,316,315205,099
Ulta Salon584,742203,920
KLA-Tencor Corporation1,687,419203,243
Diamondback Energy1,955,335198,523
Zebra Technologies Corporation943,904198,018
TotalFinaElf3,539,297197,716
Russell Exchange Traded Funds Trust Russell Small Cap Consiste1,597,852197,305
Advanced Visual Systems, Inc.1,153,923196,765
Ulta Salon564,003195,652
American Housing Income Trust, Inc.2,149,931195,303
iShares MSCI Far East Financials Sector Index Fund1,752,165195,077
Worldpay1,710,375194,133
DENTSPLY International Inc.3,904,852193,642
ConAgra Foods6,979,327193,604
TotalFinaElf3,478,995193,523
PVH Corp.1,577,737192,413
Sherwin-Williams Company (The)446,054192,106
Eastman Chemical Company2,440,663189,974
VOYA Financial Inc3,791,362189,415
Total Energy Services Inc.1,985,779188,665
Estee Lauder Companies1,029,282188,425
CH Energy Group3,236,975187,452
Electric Motors Corp.6,911,157185,908
Total Energy Services Inc.1,434,583184,065
CVS Corporation3,412,350184,052
LAS VEGAS RAILWAY EXPRESS, INC.3,096,221182,992
Vanguard Energy Corporation905,988182,051
Franklin Resources5,230,474182,029
B Communications Ltd.4,071,338181,239
B Communications Ltd.4,006,029181,214
Nucor Corporation3,101,488180,994
Halliburton Company7,949,381180,518
American Housing Income Trust, Inc.2,175,536180,507
Investors Cloud Co Ltd7,830,505179,814
Synaptics Incorporated4,519,387179,645
ISHARES IV PLC1,627,463178,668
CH Energy Group3,175,193176,350
JPMorgan Chase Bank NA3,222,877175,283
Qurate Retail10,903,238174,232
JPMorgan Chase Bank NA3,150,442174,106
HPC Acquisitions, Inc.8,865,543172,744
TJX Companies3,235,428172,138
Vanguard International Equity Index Funds Vanguard Global ex-U2,986,876171,006
Carnival Plc ADS3,355,821169,909
Select Asset Inc.1,404,590167,224
Clorox Company (The)1,040,555166,962
Aflac Incorporated3,042,966166,810
Randgold Resources Ltd.10,559,337166,520
IShares Plc.2,824,927166,131
Electric Motors Corp.4,495,832165,941
VGTel, Inc.1,439,487165,940
iPure Labs, Inc.3,204,775165,710
Intuitive Surgical315,478165,612
iShares MSCI Emerging Markets Materials Sector Index Fund1,897,455165,595
Inphi Corporation3,784,135165,519
CoreStream Energy, Inc.2,477,432165,269
Netflix462,084164,788
Microchip Technology Incorporated49,842,592164,752
Financial Institutions5,956,047164,418
Maxima Group, Inc.2,739,322164,071
Parker-Hannifin Corporation958,017162,931
Xylem Inc.2,056,645162,801
Prologis, Inc.2,244,690161,559
LAS VEGAS RAILWAY EXPRESS, INC.2,644,405161,084
Regions Financial Corporation10,758,711161,059
Intuitive Surgical281,937160,865
Harley-Davidson4,488,749160,070
Parker-Hannifin Corporation929,606159,538
Lattice Inc.5,661,826159,374
Vanguard STAR Funds Vanguard Total International Stock ETF3,017,511159,042
NVR57,476159,035
Intertainment Media, Inc.1,681,868158,801
Technip ADR6,743,467158,611
Sherwin-Williams Company (The)342,687157,055
Principal Real Estate Income Fund2,709,752156,953
Inphi Corporation3,130,239156,823
Alexandria Real Estate Equities1,095,852156,235
NRG Energy4,434,857155,753
Wake Forest Bancshares, Inc.1,967,855155,616
Nemaura Medical Inc.4,346,921155,490
Becton, Dickinson & Co.621,284155,147
Vanguard Intermediate-Term Corporate Bond ETF1,877,896154,974
IShares Plc.2,611,438154,761
Netflix420,708154,570
Republic Services1,783,714154,490
ONYX Pharmaceuticals397,267154,259
Canada Coal Inc3,973,378153,888
Aflac Incorporated3,074,664153,710
Prologis, Inc.1,904,512152,879
Diamondhead Casino Corp.589,847152,754
Booz Allen Hamilton Holding Corporation2,305,830152,675
Nutrien2,887,261152,366
iShares FTSE EPRA/NAREIT Europe Index Fund2,668,361152,096
Nutrien2,842,437151,969
General Mills2,927,715151,515
Gardner Denver5,445,095151,428
Reitmans1,739,852151,287
Cummins Inc.957,328151,140
Cadence Design Systems2,378,745151,072
TE Connectivity Ltd.1,870,711150,960
Raymond James Financial1,870,094150,386
Hydrodynex, Inc.2,918,992149,013
Intertainment Media, Inc.1,593,621148,766
Xerox Corporation4,641,811148,450
Albero Corp.2,106,435148,300
iShares MSCI Emerging Markets Materials Sector Index Fund1,711,587147,842
Taiwan Semiconductor Manufacturing Company Limited3,770,691147,540
Esperance Minerals NL1,942,510147,168
Diamondhead Casino Corp.553,228146,879
FAMOUS DAVES OF AMERICA INC 1,935,280146,811
Tesco PLC1,349,343146,803
Workday8,205,555146,686
Qorvo2,201,405146,634
European Real Estate Investment Trust Ltd.2,667,992146,483
CoreStream Energy, Inc.2,261,257146,391
Republic Services1,812,929145,752
Canadian Natural Resources Limited5,298,810145,718
Grand Canyon Education1,243,399145,503
Tapestry4,573,343145,115
Arista Networks, Inc.557,829144,859
Clorox Company (The)928,553144,552
Sarepta Therapeutics5,150,200144,316
Alexandria Real Estate Equities1,019,538143,859
Financial Institutions5,593,485143,832
Cadence Design Systems2,024,289143,341
Qurate Retail11,567,956143,327
Vanguard Energy Corporation676,222142,772
Select Asset Inc.1,254,137142,762
Stryker Corporation692,863142,436
Public Service Enterprise Group Incorporated2,391,611142,112
Aramark3,938,323142,017
USD Partners LP1,288,589141,828
Chemed Corp.392,990141,817
Ultra Lithium Inc2,276,931141,705
Arista Networks, Inc.445,543140,133
Constellation Brands Inc798,455140,032
Dominion Resources1,821,365139,598
Investors Cloud Co Ltd6,247,504139,468
Best Buy Co.1,999,657139,457
Canadian Natural Resources Limited5,146,737139,324
Varian Medical Systems980,719138,987
Qorvo1,934,291138,745
High Country Bancorp, Inc.1,584,429138,433
Ecolab Inc.783,254138,247
CDW Corp1,240,635137,689
Biogen Idec Inc.581,856137,446
Carnival Plc ADS2,914,572136,881
Steel Partners Holdings LP3,874,429136,642
USD Partners LP1,203,378136,321
STERLING CONSOLIDATED Corp2,133,480136,182
STERIS Corporation1,061,014135,844
Sonoco Products Company2,076,480135,681
CAPRICOR THERAPEUTICS, INC.2,960,470135,446
SunTrust Banks2,282,529135,339
UBM Plc3,996,567135,205
Intuit Inc.517,504135,198
Ultra Lithium Inc2,337,390135,174
Federal Express Corporation742,797134,794
UBM Plc4,016,950134,769
Gartner836,293134,593
FAMOUS DAVES OF AMERICA INC 1,764,482133,923
LogMein1,671,474133,892
IL2M International Corp.798,796133,534
Takeuchi Manufacturing Co., Ltd.1,413,275133,325
Synaptics Incorporated4,565,449133,038
Kreisler Manufacturing Corp.6,132,634133,027
VGTel, Inc.1,192,351131,754
ANSYS642,880131,663
Vanguard Natural Resources, LLC2,576,582131,587
Toro Company (The)1,910,504131,520
Corteva, Inc.4,409,734130,466
Extended Stay America, Inc.7,260,161130,248
D.R. Horton3,013,393129,971
Comerica Incorporated1,787,951129,919
Occidental Petroleum Corporation1,960,161129,809
Oppenheimer Holdings3,358,950129,804
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF1,497,727129,421
High Country Bancorp, Inc.1,507,106129,354
Extended Stay America, Inc.7,651,681129,236
Twitter3,692,769128,879
General Mills2,451,982128,817
D.R. Horton3,112,952128,816
LogMein1,736,522127,944
iPure Labs, Inc.2,485,198127,747
The Bank of Kentucky Financial Corp.2,878,301127,047
Taiwan Semiconductor Manufacturing Company Limited3,099,857126,970
Esperance Minerals NL1,789,199126,944
Grand Canyon Education1,106,611126,718
Intuit Inc.484,723126,705
Desert Gold Ventures Inc.1,675,159125,902
Stryker Corporation637,067125,883
Harley-Davidson3,510,684125,798
EPAM Systems738,848124,962
Vanguard Intermediate-Term Corporate Bond ETF1,579,012124,889
Principal Real Estate Income Fund2,487,696124,858
Grifols5,888,142124,356
Sonoco Products Company2,014,272123,943
HCA Holdings949,175123,725
Bioheart, Inc.590,108123,032
Cognizant Technology Solutions Corporation1,695,750122,861
FleetCor Technologies437,105122,762
Cypress Semiconductor Corporation8,213,092122,542
Southern Company (The)2,207,220122,018
Interups Inc.1,074,884121,161
Texas Roadhouse1,940,607120,687
CREDEX CORP2,111,278120,626
Cooper Companies356,434119,909
Columbia Seligman Premium Technology Growth Fund5,807,616119,848
Cypress Semiconductor Corporation5,361,001119,235
Aspen Technology959,272119,223
Desert Gold Ventures Inc.1,697,924119,105
NVR35,303118,983
Equity Lifestyle Properties1,038,053118,654
Expedition Mining Inc890,108118,429
Dollar General Corporation874,982118,301
Equity Lifestyle Properties967,230117,363
Regeneron Pharmaceuticals285,749117,331
Seven Generations Energy Ltd.710,937117,288
Encompass Health1,847,639117,078
EPAM Systems673,840116,642
International Paper Company2,695,574116,640
Gartner768,443116,553
Enterprise Products Partners L.P.4,033,667116,386
RIGHTSCORP, INC.1,759,654115,908
Darden Restaurants948,203115,679
Constellation Brands Inc583,517115,416
Schuff International, Inc.2,177,753115,372
Estee Lauder Companies696,017115,207
iShares FTSE EPRA/NAREIT Asia Index Fund2,179,608115,199
Booz Allen Hamilton Holding Corporation1,974,922114,823
Grifols5,707,205114,716
Deere & Company717,356114,712
ENERGY TRANSFER PARTNERS1,733,792114,621
Enterprise Products Partners L.P.3,936,870114,543
Raymond James Financial1,352,213114,346
Interups Inc.981,656114,301
Trex Company1,593,929114,275
Heico Corporation1,351,005114,273
Duke Realty Corporation3,609,967114,116
ANSYS623,688113,945
ENERGY TRANSFER PARTNERS1,786,016113,787
Community Bank of Santa Maria (CA)1,627,789113,784
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 795,206113,298
Twitter3,445,722113,245
Hasbro1,330,929113,076
Masimo Corporation817,166112,998
STERLING CONSOLIDATED Corp2,070,217112,993
Hershey841,527112,801
Copart1,504,078112,426
Duke Realty Corporation3,672,148112,356
Regions Financial Corporation7,979,898112,281
Guardant Health, Inc.1,299,572112,186
Seven Generations Energy Ltd.586,349111,991
International Paper Company2,419,945111,968
Southern Company (The)2,164,390111,893
Dorman Products1,270,105111,883
Huntington Bancshares Incorporated8,075,811111,827
Gardner Denver3,229,687111,750
CNP Assurances SA3,632,086111,510
Masimo Corporation747,834111,289
Lumentum1,962,307110,949
Adventure Gold, Inc.1,969,161110,805
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap711,972110,768
Dorman Products1,269,134110,593
Bioheart, Inc.554,429110,082
M&T Bank Corporation645,174109,725
FleetCor Technologies442,784109,186
Selective Insurance Group1,829,681109,112
Vanguard Short-Term Corporate Bond ETF1,351,856109,093
SVB Financial Group484,635109,035
Novo Nordisk A/S2,079,414108,826
Rockwell Diamonds, Inc.663,933108,773
Rollins3,029,247108,658
School Specialty, Inc.2,200,322108,426
American Express Company878,255108,412
IL2M International Corp.628,280108,293
Halfords Group Plc1,897,454108,174
World Gaming plc813,276108,135
CVS Corporation1,983,253108,087
MercadoLibre176,130107,749
RIGHTSCORP, INC.1,685,991107,672
Darden Restaurants881,440107,402
CDW Corp1,110,578107,026
Hollywall Entertainment Inc.2,311,061106,955
WPX Energy8,140,828106,725
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 786,450106,694
SunTrust Banks1,696,719106,653
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap696,539106,511
Ironclad Performance Wear Corp3,419,225106,436
Toro Company (The)1,585,916106,100
Restaurant Brands International Inc.1,626,341105,879
Analog Devices1,004,031105,710
Qualys1,276,575105,624
Infinite Graphics, Inc.1,801,763105,592
Aramark3,553,631105,011
WestRock2,745,206104,912
Albero Corp.1,277,153104,715
ITT Educational Services, Inc.1,597,631104,616
Tesco PLC1,069,955104,589
World Gaming plc857,414104,520
iShares FTSE EPRA/NAREIT Europe Index Fund1,896,549104,514
Cooper Companies352,620104,435
Schuff International, Inc.2,005,990104,110
Standard Parking Corporation293,137103,992
MKS Instruments1,110,439103,327
Vanguard Short-Term Corporate Bond ETF1,301,094103,096
Zoetis1,018,873102,572
iShares Gold Trust7,598,313102,538
Ctrip.com International2,346,612102,522
Occidental Petroleum Corporation2,034,417102,272
Charter Communications258,472102,137
Seattle Genetics1,473,337101,886
Novartis AG1,057,864101,704
Avery Dennison Corporation899,727101,668
Popular1,872,162101,550
iShares S&P Emerging Markets Infrastructure Index Fund2,751,175101,497
INCEPTION MINING INC.565,542101,004
Novo Nordisk A/S1,974,699100,791
Adventure Gold, Inc.2,027,397100,721
Encompass Health1,723,828100,654
Chemed Corp.314,391100,633
Standard Parking Corporation290,783100,455
First Industrial Realty Trust2,728,831100,249
Ralph Lauren Corporation772,612100,202
Hasbro940,553100,096
General Electric Co9,528,967100,059
Infinite Graphics, Inc.1,722,714100,015
CDK Global, Inc.1,697,14699,825
Huntington Bancshares Incorporated7,887,45599,726
Popular1,910,77499,615
Duke Energy Corporation1,120,44698,861
IEG Holdings Corp1,137,29598,811
iShares Gold Trust7,947,59698,140
PRA Health Sciences, Inc.989,16898,076
Duke Energy Corporation1,086,26197,725
Columbia Seligman Premium Technology Growth Fund4,589,84197,525
SEI Investments Company1,730,62297,090
Lennox International366,13396,808
Illinois Tool Works Inc.640,48296,677
First Industrial Realty Trust2,724,85196,353
Novartis AG1,055,11596,348
TiVo Inc.10,303,47296,027
Paychex1,193,44695,745
Voestalpine AG886,22795,633
MKS Instruments1,216,12294,723
CITIZENS FINANCIAL GROUP INC/RI2,676,41794,630
IEG Holdings Corp1,064,52694,588
Microchip Technology Incorporated55,342,90794,585
Old Dominion Freight Line654,06094,441
Hershey822,26694,402
Tyler Technologies436,84094,319
Dollar General Corporation787,13993,906
Cerner Corporation1,278,98093,760
Analog Devices830,81693,724
Royal Caribbean Cruises Ltd.816,49293,606
Banco de Guayaquil SA9,926,94993,512
Ironclad Performance Wear Corp2,622,38293,184
Comerica Incorporated1,267,79892,998
HOULIHAN LOKEY, INC.2,028,21292,980
Domino's Pizza Inc333,26692,732
FactSet Research Systems Inc.322,82092,513
Boston Scientific Corporation2,149,67592,412
NetEase381,27292,051
Live Nation Entertainment1,387,64491,938
Hydrodynex, Inc.1,799,35791,802
Russell Breweries Inc578,37890,985
Texas Roadhouse1,690,05490,707
Labor Smart, Inc.523,71690,552
Motorola Solutions542,36490,446
Regeneron Pharmaceuticals288,94790,418
Vanguard Long-Term Corporate Bond ETF1,095,54290,179
SEI Investments Company1,725,72590,169
Vanguard Natural Resources, LLC1,793,50589,951
iShares S&P Emerging Markets Infrastructure Index Fund2,460,27589,897
Tyler Technologies439,62189,857
Deutsche Bank Aktiengesellschaft2,840,96989,809
Charter Communications257,64389,371
American Water Works843,66889,254
Hartford Financial Services Group1,600,58589,209
M&T Bank Corporation567,21889,056
All Marketing Solutions Inc.1,192,53589,040
Randgold Resources Ltd.6,467,78688,670
Verint Systems Inc.1,479,82888,582
Banco de Guayaquil SA10,036,49188,403
Illinois Tool Works Inc.614,81588,314
Labor Smart, Inc.576,76288,232
Invesco Plc4,554,35388,059
Adtalem Global Education1,896,49387,843
ONYX Pharmaceuticals237,49087,722
ITT Educational Services, Inc.1,508,05587,470
Yum! Brands876,12687,447
iShares Trust iShares Barclays GNMA Bond Fund767,04887,079
Deutsche Euroshop AG2,266,85187,073
SVB Financial Group389,58586,628
Viavi Solutions6,974,44386,346
Euronet Worldwide601,46486,066
Eaton Corporation1,066,21085,895
American Express Company785,23985,837
Heico Corporation791,49185,524
Russell Breweries Inc525,31485,516
Dollar Tree796,05485,486
Rollins2,052,44185,423
Vanguard Scottsdale Funds Vanguard Russell 2000 Value ETF1,333,70085,353
Public Service Enterprise Group Incorporated1,450,99485,347
Veeva Systems672,21985,282
Amphenol Corporation902,44385,232
Sage Therapeutics, Inc.464,62385,065
Halfords Group Plc1,301,47084,819
Old Dominion Freight Line567,76884,761
Lumentum1,585,59084,687
F5 Networks538,64684,528
Phillips 66885,90784,312
FactSet Research Systems Inc.339,43684,272
iShares Trust iShares Barclays GNMA Bond Fund729,28784,189
F5 Networks577,72384,132
WD-40 Company494,84283,829
Lennox International304,33983,812
Credicorp Ltd.348,91083,713
Amphenol Corporation872,52383,693
Boston Scientific Corporation2,178,58483,591
HOULIHAN LOKEY, INC.1,875,39983,496
Parametric Technology Corporation928,48883,339
Six Flags Entertainment Corporation New1,687,96883,300
Restaurant Brands International Inc.1,197,84483,299
NetEase325,18583,172
Vanguard Long-Term Corporate Bond ETF845,85582,134
LHC Group682,39881,601
Trex Company1,324,15381,518
CITIZENS FINANCIAL GROUP INC/RI2,496,50181,129
Burlington Stores Inc476,72781,109
iShares MSCI ACWI Index Fund1,123,48380,998
STORE CAPITAL Corp2,413,50280,842
Charles River Laboratories International567,75480,583
Cerner Corporation1,405,85980,430
Five Below670,00880,409
American Electric Power Company, Inc.1,512,25080,252
SL Green Realty Corporation889,94080,030
Lincoln National Corporation1,240,99279,983
Five Below639,05679,917
Graco Inc.1,590,80079,822
Hartford Financial Services Group1,601,40579,645
Portland General Electric Company1,468,19579,547
Ollie928,32079,512
Blackham Resources Ltd.1,320,45479,426
Wellgreen Platinum Ltd.1,020,88779,216
Deutsche Bank Aktiengesellschaft2,533,27079,112
Innocap, Inc.349,05878,945
HD Supply Holdings, Inc.1,819,20478,862
Livent Corp.6,417,56978,808
Alteryx, Inc.937,92678,664
Ctrip.com International2,119,41478,227
Inter Parfums1,029,93478,141
Dollar Tree740,67577,864
Innocap, Inc.354,74977,835
Fiserv851,49177,623
Goldman Sachs Group377,34877,205
PRA Health Sciences, Inc.699,75277,175
NEW RELIC INC892,00477,167
Ares Management3,321,13877,084
Service Corporation International1,647,66377,052
LHC Group694,26076,965
CMG HOLDINGS GROUP, INC.108,23976,882
Motorola Solutions547,01076,824
INCEPTION MINING INC.419,82976,677
Johnson Electric Holdings Ltd.2,072,74276,577
Lincoln National Corporation1,304,46676,572
AEP Industries Inc.1,500,00076,231
CoStar Group163,18676,114
Streamtrack, Inc.338,32376,084
Dave & Buster's Entertainment1,524,12676,007
Steel Partners Holdings LP2,507,71075,742
Cott Corporation5,663,23275,603
Broadridge Financial Solutions591,88675,583
BJ's Wholesale Club Holdings, Inc.2,859,13375,481
Portland General Electric Company1,452,12275,285
Primerica627,10475,221
IHS Markit1,382,56775,183
Qualys862,11975,073
Deutsche Euroshop AG2,365,35374,962
Live Nation Entertainment1,179,90074,903
Stark Naked Bobbers500,47174,832
Exponent1,276,44174,722
Semtech Corporation1,466,19774,645
Copart1,231,37474,609
HSBC Holdings plc1,789,38474,576
Domino's Pizza Inc287,77074,283
Monro Muffler Brake855,85774,049
Mettler-Toledo International87,91873,854
Yandex N.V.2,140,29473,496
DTE Energy Company1,312,20073,378
DTE Energy Company1,326,90073,369
Adriana Resources, Inc.445,19973,355
Zimmer Holdings573,19773,205
Discovery Communications2,372,03572,819
Comfort Systems USA1,422,84072,554
Credit Acceptance Corporation160,51372,541
Goldman Sachs Group376,96272,368
Ritchie Bros. Auctioneers Incorporated2,122,46571,873
TWILIO INC6,937,16571,798
BLACKLINE, INC.1,341,49071,783
Crimson Exploration Inc.710,23571,584
General Electric Co7,162,99871,578
TiVo Inc.9,660,19471,195
Primerica582,43471,144
Oshkosh Truck Corporation943,40170,877
Pinnacle West Capital Corporation752,56770,807
Stark Naked Bobbers516,01970,777
HSBC Holdings plc1,746,72770,569
Franklin Resources2,124,21570,393
Pinnacle West Capital Corporation736,40870,385
Lamar Advertising Company885,13870,154
Discover Financial Services985,17970,121
Aspen Technology669,07069,756
Cable One, Inc.70,92269,606
Graco Inc.1,397,90569,226
Mettler-Toledo International95,52269,063
Hollywall Entertainment Inc.1,400,57569,007
United Continental Holdings783,44168,591
Semtech Corporation1,426,23168,530
Mellanox Technologies577,54868,358
Bright Horizons Family Solutions Inc452,97968,337
Vail Resorts304,63268,203
Planet Fitness940,21368,125
Cubic Corporation1,055,07567,998
Entergy Corporation710,60467,955
J.B. Hunt Transport Services741,17567,753
Phillips 66724,01067,711
Exponent1,172,39167,676
Euronet Worldwide400,92767,446
Raytheon Company369,18267,218
Watsco468,48167,109
Ritchie Bros. Auctioneers Incorporated2,022,58467,028
Ryanair Holdings Plc893,21166,918
Avery Dennison Corporation576,43166,682
GW Pharmaceuticals394,54366,510
IAC/InterActiveCorp316,48266,502
Okta, Inc.4,256,26166,199
United Resource Holdings Group, Inc.498,58866,117
Ibiden Co. Ltd.661,94465,890
BWX Technologies1,260,47065,674
Ibiden Co. Ltd.668,61065,663
Australian Pacific Coal Ltd.2,909,25265,578
Adtalem Global Education1,455,16065,554
School Specialty, Inc.1,305,87565,536
PS Business Parks417,72465,512
Fair Isaac Corp240,27065,283
SMG Indium Resources Ltd.504,86964,986
The Hanover Insurance Group506,67164,983
Ventas1,017,78864,960
Innovate Biopharmaceuticals, Inc.707,35564,822
The RMR Group2,008,60464,634
Coca Cola Icecek Sanayi As1,232,83764,108
Science Applications International Corp 736,20163,727
Churchill Downs552,21063,544
United Continental Holdings794,95563,420
HEALTHEQUITY INC854,67463,229
Streamtrack, Inc.316,62463,220
Six Flags Entertainment Corporation New1,272,13263,126
Quest Management Inc.618,58262,971
Blackham Resources Ltd.1,154,38562,913
ABB Ltd3,136,75362,901
ABIOMED220,18662,869
Helmerich & Payne1,131,45162,864
Norwegian Cruise Line Holdings Ltd.1,143,40562,843
Elanco Animal Health Inc1,857,79362,787
Ishares III Plc1,239,13762,505
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund559,97562,267
Nordson Corporation437,63861,840
Charles River Laboratories International425,33961,784
Paychex749,29461,665
Alteryx, Inc.564,99561,653
Jones Lang LaSalle Incorporated399,57861,607
SiteOne Landscape Supply, Inc.888,94561,585
iShares Trust iShares MSCI Emerging Markets Latin America Inde1,431,62961,407
Ares Management2,340,00561,238
Burlington Stores Inc390,38861,167
Lamar Advertising Company756,55561,063
Helios Advantage Income Fund2,546,94660,977
STORE CAPITAL Corp1,829,85160,737
Jack Henry & Associates453,13960,684
Aaron's986,94160,609
AmerisourceBergen Corporation (Holding Co)710,83060,605
The Hanover Insurance Group530,19260,530
Callon Petroleum Company9,168,55660,419
Kreisler Manufacturing Corp.2,449,48760,257
Paylocity Holding Corp641,29260,159
Crimson Exploration Inc.616,60160,144
Orion Engineered Carbons3,162,76260,063
DISH Network Corporation62,812,00059,806
Ollie687,51759,676
Ares Capital Corporation3,309,13559,356
SL Green Realty Corporation737,98259,322
Sailpoint Technologies Holdings, Inc.2,064,92659,304
Biogen Idec Inc.254,84659,246
Cott Corporation4,047,21859,129
Woodward620,47158,877
Dominion Energy, Inc.570,20058,855
Yum China Holdings, Inc.1,309,81858,824
Planet Fitness860,52358,769
BWX Technologies1,184,53958,736
iShares Trust iShares MSCI Emerging Markets Latin America Inde1,368,49358,721
Waste Connections661,72458,620
Madison Ventures Inc.209,36558,609
Mack-Cali Realty Corporation2,514,50758,563
MGIC Investment Corporation4,439,87558,561
Fiserv663,22358,549
Petroleo Brasileiro S.A.- Petrobras3,676,18258,524
Noble Group Ltd.846,10158,385
Cognizant Technology Solutions Corporation920,48858,341
Ultragenyx Pharmaceutical Inc.917,62558,269
Cornerstone OnDemand1,062,41958,199
Cornerstone OnDemand1,003,22758,116
J.B. Hunt Transport Services573,68558,105
Sector 5, Inc.783,70058,022
Tallgrass Energy Partners, LP1,522,03957,990
CyberArk Software487,07257,985
SkyWest955,54257,980
World Wrestling Entertainment2,203,10057,975
PS Business Parks343,99157,972
Fair Isaac Corp184,33657,939
Sector 5, Inc.743,64657,858
Korn/Ferry International1,289,95057,766
Ultragenyx Pharmaceutical Inc.827,76057,412
Elanco Animal Health Inc1,787,60157,328
BJ's Wholesale Club Holdings, Inc.2,088,73357,230
Inca One Gold Corporation433,78357,153
Cable One, Inc.48,75357,133
Entergy Corporation554,47457,085
Raytheon Company327,82956,997
Sage Therapeutics, Inc.357,48356,857
Axios Mobile Assets Corp.1,953,52756,575
New York Community Bancorp1,134,59456,495
Bright Horizons Family Solutions Inc443,64256,388
Gaming Partners International Corporation1,444,23256,297
ABB Ltd3,004,12756,261
Amedisys Inc456,06756,214
iSoftStone Holdings Limited1,826,17356,018
Ares Capital Corporation3,267,09555,983
Petroleo Brasileiro S.A.- Petrobras3,587,39655,854
AvalonBay Communities274,39955,785
Celanese Corporation565,47255,760
Mack-Cali Realty Corporation2,505,93955,633
Axios Mobile Assets Corp.2,041,48655,629
Innovate Biopharmaceuticals, Inc.472,48055,605
Insulet Corporation10,346,68655,578
CommonWealth REIT1,323,33555,355
Celgene Corporation584,53455,342
Tallgrass Energy Partners, LP1,532,69755,301
Taubman Centers1,044,20855,217
New York Community Bancorp1,109,02955,200
Jones Lang LaSalle Incorporated392,04655,157
DineEquity575,12554,923
Quest Management Inc.610,83354,922
Merit Medical Systems921,78154,901
iSoftStone Holdings Limited1,773,18554,804
Agios Pharmaceuticals Inc1,098,00254,768
Celanese Corporation507,87354,747
Southwest Gas Corporation610,45054,708
AvalonBay Communities272,37554,707
Unifirst Corporation290,08054,701
Community Bank System826,04654,391
Altair Gold, Inc.1,344,20654,316
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund480,48154,263
Noble Energy Inc.2,192,98254,231
CIENA Corporation1,317,41454,187
Science Applications International Corp 701,85954,008
Delek Energi Systems Ltd.1,331,22753,942
Toll Brothers Inc.1,489,87453,934
WellCare Helath Plans199,65453,858
MarketAxess Holdings218,40253,745
Highwoods Properties1,148,79553,741
Aaron's1,019,38553,619
American Assets Trust1,164,96353,424
India Cement Ltd.334,56753,378
AMERICOLD REALTY TRUST1,641,53753,354
Skyline Corporation1,948,17453,341
Chesapeake Lodging Trust1,915,87753,281
GlaxoSmithKline PLC1,273,31453,222
Colliers International Group740,76953,054
Fortive Corp650,47253,034
Sappi Limited386,38153,004
Kimco Realty Corporation2,846,41752,977
Community Bank of Santa Maria (CA)890,22252,818
Brunswick Corporation1,049,14352,803
American Assets Trust1,118,02752,681
SiteOne Landscape Supply, Inc.921,49852,663
CIENA Corporation1,409,86852,647
Cubic Corporation933,99752,524
DISH Network Corporation62,812,00052,522
Molson Coors Brewing Company880,09052,500
Monro Muffler Brake614,46852,416
CDK Global, Inc.1,059,97252,404
Celgene Corporation566,33652,356
GW Pharmaceuticals303,52652,325
TACTILE SYSTEMS TECHNOLOGY INC919,01952,309
Teledyne Technologies Incorporated190,85452,288
Redux Holdings, Inc.286,03452,259
Radiant Creations Group, Inc.2,284,58152,205
GlaxoSmithKline PLC1,320,80452,130
Merit Medical Systems842,96452,121
SkyWest959,33752,087
Hancock Holding Company1,286,53051,975
India Cement Ltd.330,58251,885
Vail Resorts238,52651,844
ABIOMED199,00651,837
Granite Construction Incorporated1,072,53051,675
Radiant Creations Group, Inc.2,483,22151,503
Inca One Gold Corporation405,52051,484
CF Industries Holdings1,259,57751,482
Redux Holdings, Inc.273,97651,442
Premier Inc1,490,78951,418
Inter Parfums771,48451,297
AO Mosenergo621,72951,279
Oshkosh Truck Corporation612,13451,259
American Equity Investment Life Holding Company1,895,76651,226
Advanced Micro Devices1,688,12151,224
Quaker Chemical Corporation255,39551,169
CommonWealth REIT1,092,51551,096
MasTec987,84650,904
American Equity Investment Life Holding Company1,863,40950,609
Southwest Gas Corporation614,94650,585
CenterPoint Energy1,006,10050,583
Anadarko Petroleum Corporation716,11650,528
CREDEX CORP913,64050,524
CenterPoint Energy953,55050,515
Canadian National Railway Company564,24550,509
American Water Works434,78650,499
Australian Pacific Coal Ltd.2,340,13250,355
Kinder Morgan2,515,98350,350
W.P. Carey Inc.641,21250,342
South Jersey Industries1,491,87450,322
Fortive Corp598,80450,226
Wabco Holdings Inc.379,68350,052
Community Bank System836,33649,991
Donaldson Company980,83949,886
Bankshares Fayetteville Inc.36,33649,796
Fifth Third Bancorp1,782,59749,779
Churchill Downs551,27649,758
Baker Hughes a GE Co1,794,73549,752
PacWest Bancorp1,281,15149,750
CMG HOLDINGS GROUP, INC.67,78049,679
Catalent, Inc.913,48649,529
Donaldson Company989,19649,519
Commonwealth Business Bank (Los Angeles, CA)502,16749,410
Armstrong Flooring, Inc.732,76749,300
Commonwealth Business Bank (Los Angeles, CA)516,58249,283
Hancock Holding Company1,229,45049,253
PacWest Bancorp1,309,42749,247
ICF International645,43749,105
Universal Display Corp260,68449,040
Mylan Inc.1,726,76448,937
Verisk Analytics367,83548,916
Enanta Pharmaceuticals Inc578,33048,800
Enanta Pharmaceuticals Inc510,30848,744
Ballroom Dance Fitness Inc697,82248,737
Tech Cent Inc.470,69848,670
Highwoods Properties1,177,96848,649
American Homes 4 Rent2,139,97348,628
Petrominerales Ltd489,24548,621
Chesapeake Lodging Trust1,708,88648,569
Air Lease Corporation1,173,69148,520
Linde Aktiengesellschaft275,26948,428
Choice Hotels International555,98648,376
Sony Corp Ord1,153,32048,332
ManpowerGroup498,60548,164
Korn/Ferry International1,200,34448,097
Fifth Third Bancorp1,902,24948,016
South Jersey Industries1,492,24147,857
Independent Bank Corporation589,26547,738
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG1,086,99947,673
Petrominerales Ltd499,74147,644
Armstrong Flooring, Inc.618,90547,627
Bankshares Fayetteville Inc.36,44047,571
Brooks Automation1,226,30747,520
DineEquity520,34547,517
Discover Financial Services610,58847,393
Nordson Corporation357,58847,383
Granite Construction Incorporated1,094,42747,226
BeiGene, Ltd.357,39647,178
Allegheny & Western Railway Co.1,844,25247,158
IDEX Corporation273,90147,153
Liberty Global1,946,44747,122
Penumbra Inc294,05447,043
Devon Energy Corporation1,489,96247,023
Blackstone / GSO Strategic Credit Fund1,316,33746,832
Livent Corp.6,759,77446,781
DTE Energy Company365,07646,723
ICF International640,25046,611
Universal Display Corp304,90646,603
DTE Energy Company371,89946,416
AMERICOLD REALTY TRUST1,517,63246,347
Equity Residential609,34846,288
Foothills Exploration, Inc762,93646,233
Inchcape PLC736,96946,151
Teladoc, Inc.8,028,51746,060
Archer1,128,05646,024
Alaska Power & Telephone Co.717,38445,851
SERVICEMASTER GLOBAL HOLDINGS INC879,89745,838
MGIC Investment Corporation3,488,01445,832
Zscaler, Inc.646,27045,819
Noble Group Ltd.675,72745,798
IPG Photonics Corporation301,49145,761
John Bean Technologies Corporation377,15445,685
Monolithic Power Systems336,78145,628
Levi Strauss1,935,31945,578
Target Corporation567,40745,547
U.S. Helicopter Corp.521,21345,485
Brunswick Corporation990,59445,458
UMB Financial Corporation685,70845,135
Subsea 7 SA ADR 423,40745,085
Sempra Energy327,99945,078
Index Holdings Tokyo1,409,48544,990
Leidos Holdings, Inc.700,98044,924
Concho Resources Inc.434,90244,883
Northern Trust Corporation497,63544,812
Essex Property Trust154,82144,796
Sailpoint Technologies Holdings, Inc.2,233,04944,750
Equity Residential592,68044,647
Community Svgs Bancorp Inc1,548,71344,604
Inchcape PLC739,29444,597
Camden Property Trust426,89044,569
ResMed Inc.364,82844,526
Subsea 7 SA ADR 420,43744,497
Independent Bank Corporation583,37844,424
AMC Networks Inc.818,45844,399
Altair Gold, Inc.1,205,18044,340
Anaplan, Inc.877,64044,294
AxoGen, Inc.2,236,90144,288
iRhythm Technologies, Inc.590,80544,287
Sun Communities344,83044,216
Community Svgs Bancorp Inc1,542,54844,209
Scholium Group PLC993,69244,162
Trimble Navigation Limited978,33344,125
Essex Property Trust150,75644,030
PPG Industries389,98344,019
Gentex Corporation2,127,65644,001
Noble Energy Inc.1,963,97143,993
Firstrand Limited437,26443,927
Hilton Worldwide Holdings Inc.449,20443,910
Treehouse Foods679,94643,890
VVC Exploration Corp.337,86943,856
MasTec910,04243,770
UMB Financial Corporation682,04943,679
BeiGene, Ltd.352,34543,665
IJJ Corp.293,85643,632
Material Sciences Corporation745,00243,590
Target Corporation502,97543,563
Cathay Pacific Airways, Ltd.1,212,38143,536
Treehouse Foods803,89943,490
Oriental Financial Group1,826,15343,410
Dunkin' Brands Group544,89143,404
Tencent Music Entertainment Group2,894,93143,391
Simpson Manufacturing Company651,24843,281
The Ultimate Software Group130,44743,065
Hubbell329,92943,025
BLACKLINE, INC.929,04043,023
Toll Brothers Inc.1,173,82442,985
PPG Industries367,57842,899
AxoGen, Inc.2,035,33242,864
The Intertain Group Limited448,99242,824
Agios Pharmaceuticals Inc633,87942,749
Expedition Mining Inc358,96542,717
Helen of Troy Limited368,04942,679
Tencent Music Entertainment Group2,356,20642,642
PUBLIC SERVICE CO OF COLORADO837,45642,636
Firstrand Limited436,39342,615
MSA Safety404,31242,609
Leidos Holdings, Inc.532,97842,559
The Intertain Group Limited436,58342,471
Eplus Inc.479,64542,467
Guardant Health, Inc.552,18742,345
Nexstar Broadcasting Group390,65242,344
Alleghany Corporation62,15242,334
IJJ Corp.287,07142,331
Catalent, Inc.1,042,24142,304
East West Petroleum Corp.882,69842,290
Mascota Resources Corp1,076,90242,253
AMC Networks Inc.747,90142,224
Sun Communities356,16942,220
Guidewire Software8,327,09042,133
Cree734,79742,044
Discovery Communications1,555,14442,017
Atlantic Power Corporation1,185,01141,866
Ralph Lauren Corporation368,28341,839
Schindler Holding AG784,71041,655
CoreSite Realty Corporation389,13441,647
Camden Property Trust410,23741,645
Patterson-UTI Energy3,155,83041,623
Ligand Pharmaceuticals Incorporated330,64041,568
Symantec Corporation1,905,36741,462
U.S. Helicopter Corp.474,85941,338
Penumbra Inc280,77341,276
QTS Realty Trust, Inc.776,74341,227
Choice Hotels International530,30341,226
Air Lease Corporation1,199,33841,199
Archer954,96941,189
Cathay Pacific Airways, Ltd.1,214,57841,186
Teledyne Technologies Incorporated173,50541,122
Unifirst Corporation266,77740,950
Curtiss-Wright Corporation321,97740,932
ONE Gas459,29040,891
iShares MSCI All Country Asia ex Japan Index Fund455,94340,786
Insulet Corporation428,38440,733
TCW Strategic Income Fund1,040,24040,679
Anika Therapeutics Inc.1,001,07940,664
ONE Gas449,75340,612
Caesars Entertainment Corporation14,816,23840,585
MACROGENICS INC2,389,01240,542
Allegion PLC 446,84740,533
Dunkin' Brands Group538,35940,430
Sappi Limited349,15740,424
iRhythm Technologies, Inc.510,57940,376
Guidewire Software8,325,89640,351
BorgWarner Inc.960,39340,313
Index Holdings Tokyo1,280,09040,295
ResMed Inc.386,67840,203
Balchem Corporation401,68540,157
Slyce, Inc.594,09740,097
Yamana Gold Inc.15,361,25140,094
Allegheny & Western Railway Co.1,590,26440,074
Proto Labs343,07139,803
Kennametal Inc.1,082,92339,799
iShares MSCI All Country Asia ex Japan Index Fund430,20339,764
Simpson Manufacturing Company669,62339,689
Landstar Development Group, Inc.362,03039,603
CACI International192,92639,470
Union Equity, Inc.1,219,29439,418
ManpowerGroup476,61039,410
Callon Petroleum Company5,215,06139,373
Repligen Corporation456,75339,257
Saia641,38739,190
Sunstone Hotel Investors2,856,88039,170
Cintas Corporation164,88539,143
Zions Bancorporation861,27639,110
Alleghany Corporation63,83239,092
Novanta461,34439,076
Loews Corporation815,01039,063
Omnicell452,70738,947
Alaska Power & Telephone Co.692,46838,862
Eaton Vance Corporation963,08938,822
QUALITY CARE PROPERTIES, INC.449,09138,711
TACTILE SYSTEMS TECHNOLOGY INC733,94338,694
John Bean Technologies Corporation420,27738,618
HCP1,205,67438,556
IDEX Corporation254,05238,549
Oriental Financial Group1,945,42338,503
Scholium Group PLC864,69538,443
Blackstone / GSO Strategic Credit Fund1,110,85938,392
PUBLIC SERVICE CO OF COLORADO809,32138,314
Devon Energy Corporation1,342,81238,297
Neogen Corporation614,83738,187
FirstService Corporation395,90938,019
Selective Insurance Group652,58637,960
Lattice Semiconductor Corporation3,176,34737,894
Patterson-UTI Energy2,699,27037,845
Moody's Corporation193,38537,771
AmerisourceBergen Corporation (Holding Co)473,55737,658
Aeolus Pharmaceuticals, Inc.1,698,31837,651
Trimble Navigation Limited931,76237,632
Tyme Technologies, Inc.1,818,44137,626
Sunstone Hotel Investors2,604,02237,499
Q2 Holdings491,04937,497
SLM Corporation3,849,71437,421
Core Laboratories N.V.542,81537,411
CF Industries Holdings799,64937,354
ZUORA INC1,863,62337,329
MSA Safety360,92137,321
First BanCorp.3,254,64637,300
Royal Dutch Shell PLC560,28437,166
Adriana Resources, Inc.320,85037,145
Marriott International7,243,74837,132
Cantel Medical Corp.460,20137,104
Saia572,91037,049
LEAP TECHNOLOGY INC / DE272,99137,047
Materion Corporation546,26037,043
Vonage Holdings Corp.3,685,43137,002
Slyce, Inc.554,62336,979
SLM Corporation3,725,66936,922
SERVICEMASTER GLOBAL HOLDINGS INC788,24136,811
Loews Corporation672,90636,787
Vanguard STAR Funds Vanguard Total International Stock ETF706,57736,732
TopBuild Corp443,33536,690
Nexstar Broadcasting Group362,33736,595
Schindler Holding AG700,53436,577
Concho Resources Inc.329,22336,531
Tyme Technologies, Inc.1,750,70636,399
Arch Coal393,33836,348
Scheid Vineyards, Inc.509,02636,335
CACI International199,39836,294
Trans-Pacific Aerospace Company, Inc.807,72536,294
IBERIABANK Corporation477,95836,254
Ross Stores365,42936,239
Arch Coal396,40736,194
FOX FACTORY HOLDING438,43636,176
Brooks Automation1,233,18836,169
V.F. Corporation416,50636,099
Northern Trust Corporation398,71036,074
Signature Bank298,38436,057
Seeing Machines Ltd.782,29536,033
Horizon Bancorp Inc208,42735,970
Proto Labs340,62335,807
Scheid Vineyards, Inc.514,12935,805
First BanCorp.3,233,40135,697
West Pharmaceutical Services323,57935,654
Ligand Pharmaceuticals Incorporated312,34335,648
European Real Estate Investment Trust Ltd.664,08035,597
Balchem Corporation383,53235,591
Q2 Holdings511,64435,437
Delek Energi Systems Ltd.970,99935,367
Zynga Inc.6,625,98035,317
THEDIRECTORY.COM, INC.468,06635,296
HCP1,127,44835,283
Paylocity Holding Corp395,06435,236
Wingstop462,05135,135
CNO Financial Group2,168,02235,079
Materion Corporation613,91635,029
Seattle Genetics477,81934,995
Manhattan Associates504,56734,982
Caesars Entertainment Corporation17,242,24734,958
US Foods Holding Corp.976,51734,920
Ladder Capital2,050,28134,894
Curtiss-Wright Corporation307,08234,806
Reliance Infrastructure Ltd.367,33234,758
KB Home1,347,84434,680
Argo Group International Holdings490,65534,670
Material Sciences Corporation624,49234,653
Landstar Development Group, Inc.320,86534,651
Copa Holdings429,51934,623
Multi-Strategy Growth & Income Fund1,137,30734,589
Mercury Computer Systems491,65334,586
Multi-Strategy Growth & Income Fund1,149,38834,566
Helmerich & Payne682,83734,565
Royal Dutch Shell PLC551,84034,534
Reliance Infrastructure Ltd.382,00634,481
IBERIABANK Corporation480,34134,448
Marriott International7,196,87534,385
Medpace Holdings, Inc.582,21034,327
CoStar Group61,88334,286
AGCO Corporation441,61334,256
ONEOK488,77634,136
Medical Properties Trust1,842,87534,116
Lazard Global Total Return and Income Fund943,76134,101
Medical Properties Trust1,952,18034,043
Zendesk, Inc.6,297,28434,008
Check Point Software Technologies Ltd.266,46333,889
Service Corporation International844,08333,829
Owens-Illinois1,782,39033,829
Williams-Sonoma601,19133,829
Kulicke and Soffa Industries1,528,51033,795
Jumbo SA389,99933,780
Cantel Medical Corp.504,57833,755
Prosperity Bancshares487,98933,703
Wright Express Corporation510,88133,689
FirstService376,71733,657
Louisiana-Pacific Corporation1,379,50533,632
Gentex Corporation1,361,50133,558
ICICI Bank Limited2,922,87733,496
Parametric Technology Corporation361,42033,381
KeyCorp1,877,50533,328
CoreSite Realty Corporation289,33833,326
bluebird bio, Inc.211,69833,307
Horizon Pharma1,257,18933,225
John Hancock Preferred Income Fund III954,11133,220
INTERNATIONAL TEXTILE GROUP INC689,90533,189
KB Home1,370,23633,119
AMERISAFE518,80733,083
Insmed25,751,14233,050
Knight Knox Development Corp.1,010,34833,018
Knight Knox Development Corp.1,002,09832,906
Neogen Corporation573,30732,902
Reinsurance Group of America210,84532,896
Cintas Corporation162,86132,893
East West Petroleum Corp.702,41332,853
Cree584,63632,846
Rogers Corporation206,35832,787
Omnicell404,39032,691
AMERISAFE548,99332,613
CornerWorld Corp.344,36432,610
Prosperity Bancshares493,23732,582
EastGroup Properties291,65432,563
Haemonetics Corporation371,15932,470
Jumbo SA365,23632,465
Monolithic Power Systems238,49932,389
Stanley Black & Decker225,17732,343
National Retail Properties609,33132,302
LCI Industries358,18632,237
Invitation Homes Inc.1,205,64632,226
National Retail Properties581,64432,218
Kennametal Inc.870,62832,207
Ramtron International Corporation526,63332,183
Kilroy Realty Corporation423,49432,171
Kbridge Energy Corp.1,289,82032,168
Kinder Morgan1,539,85132,159
Mimecast678,43332,124
Manhattan Associates581,65732,055
Blackrock Corporate High Yield Fund III852,20232,017
BOK Financial Corporation392,54332,012
Wright Express Corporation377,58231,995
Hudson Pacific Properties961,07431,973
Grupo Aeroportuario del Sureste197,10431,951
AGCO Corporation456,94431,783
Federal Express Corporation193,02731,726
LEAP TECHNOLOGY INC / DE227,69231,710
Stanley Black & Decker232,87631,709
Mercury Computer Systems494,56831,692
US Foods Holding Corp.904,66531,584
Post Holdings288,59231,572
BorgWarner Inc.818,56831,441
PDC Energy6,635,51031,441
Jabil Circuit994,79231,435
INTERNATIONAL TEXTILE GROUP INC642,80231,419
Newpark Resources3,430,10331,394
Barnes Group610,64231,394
Grupo Aeroportuario del Sureste194,07531,392
Infinity Energy Resources, Inc.1,163,93531,342
Aeolus Pharmaceuticals, Inc.1,851,46231,289
Genesco Inc.686,47931,271
QTS Realty Trust, Inc.580,21431,207
Realty Income Corporation423,28831,144
MarketAxess Holdings96,70831,085
Skyline Corporation1,635,34531,072
WSFS Financial Corporation804,71331,062
Array BioPharma Inc.2,538,49031,025
Quaker Chemical Corporation152,81831,004
HEALTHEQUITY INC473,77130,985
International Hi-Tech Industries Inc.240,41430,967
Signature Bank241,50630,930
Hudson Pacific Properties898,28630,919
OceanFirst Financial Corp.1,284,99930,917
American Financial Group300,92530,836
TWILIO INC238,27330,763
The Ensign Group539,49630,711
Newpark Resources4,141,72030,700
Ferrum Americas Mining, Inc.716,08830,660
Evercore Partners Inc345,72530,619
Moody's Corporation169,04530,612
Madison Ventures Inc.103,50330,309
Cracker Barrel Old Country Store187,10030,261
Immunomedics1,573,38830,225
Clovis Oncology30,759,38930,223
Fortune Brands Home & Security527,50630,219
Evercore Partners Inc331,61230,183
Progressive Corporation (The)375,78730,169
Kulicke and Soffa Industries1,337,85630,168
General Electric Capital Corporation2,939,63330,081
Ladder Capital1,801,73129,930
FOX FACTORY HOLDING428,07529,920
Intercept Pharmaceuticals21,926,98429,916
Navistar International Corporation925,98429,909
Worldpay Group PLC391,61029,781
Italian Food & Beverage Corp138,40629,689
Cracker Barrel Old Country Store173,83529,679
Kilroy Realty Corporation401,88529,665
Realty Income Corporation429,17129,610
LCI Industries385,30129,598
Marathon Oil Corporation2,087,59729,586
Ameris Bancorp754,84929,583
CubeSmart883,75029,551
Worldpay Group PLC404,50429,522
Renasant Corporation821,11029,511
NCR Corporation948,61329,500
Virtu Financial1,241,99829,493
Orthofix International N.V.521,40629,413
Baker Hughes a GE Co1,193,97029,409
Orthofix International N.V.555,41829,370
iShares S&P Global Clean Energy Index Fund171,32829,359
Novanta310,11629,241
Louisiana-Pacific Corporation1,113,61629,198
Western Alliance Bancorporation711,01229,180
CyrusOne504,37029,117
Chesapeake Energy Corporation31,405,00029,099
Entegris779,08229,081
Maxar Technologies371,92829,056
HD Supply Holdings, Inc.720,09029,004
Insmed22,586,57128,993
Marathon Oil Corporation1,728,68228,888
Amedisys Inc237,65528,853
Kaman Corporation451,28428,837
Spotify Technology207,59128,813
Vanguard Energy Corporation160,59328,811
Deoleo SA166,84228,792
Transdigm Group Incorporated59,49728,784
State Street Corporation436,84328,782
Hologic598,55528,744
CubeSmart896,67028,730
Pacific Premier Bancorp Inc929,74128,711
Teladoc, Inc.518,39428,685
Credit Acceptance Corporation59,23828,661
Epigenomics Ag Berli1,088,39628,641
Synchrony Financial897,69028,636
SPS Commerce269,55228,590
Navistar International Corporation829,28728,569
The Medicines Company783,17228,562
Paycom Software150,57128,476
Lennar Corporation579,97828,469
American Financial Group295,61128,441
CommScope Holding Company, Inc.1,799,44228,305
Weyerhaeuser Company1,074,24928,297
Maximus398,63428,295
Reinsurance Group of America198,95828,249
BHP Billiton Limited485,60428,221
The Ensign Group550,60628,191
MegaFon PJSC217,51928,162
STARWOOD PROPERTY TRUST1,239,22928,157
Immunomedics2,026,89128,112
Entertainment Arts Research, Inc.365,11028,079
lululemon athletica inc.155,62928,040
Genesco Inc.661,85027,989
Indianapolis Power & Light Co.346,08227,957
Invitation Homes Inc.1,148,58627,946
Heritage Financial Corporation926,44427,923
Maximus384,70927,906
Selective Insurance Group372,49827,895
Helios Advantage Income Fund950,89527,866
HCA Holdings205,82027,836
Aptiv PLC349,95627,829
Healthcare Services Group841,15827,753
Extra Space Storage Inc272,22827,742
Evergy, Inc.460,97527,728
Brinker International624,62427,722
Medidata Solutions378,43127,716
Molina Healthcare Inc193,06127,636
PPlus Trust870,02927,635
Owens-Illinois1,597,83527,596
Post Holdings265,36427,589
Evergy, Inc.475,19427,587
Repligen Corporation466,76127,576
Jabil Circuit1,034,95827,520
Renasant Corporation812,93127,517
Ramtron International Corporation473,51327,483
Canadian National Railway Company296,88227,478
Employers Holdings Inc649,59327,457
Lamb Weston Holdings, Inc.433,21627,447
Employers Holdings Inc681,83927,347
Tetra Technologies348,15427,337
Progressive Corporation (The)378,13027,257
Lithia Motors229,21527,225
STARWOOD PROPERTY TRUST1,212,99727,112
Cohu1,755,31827,083
Freshpet, Inc.594,79827,073
Hess Midstream Partners LP448,89927,040
Transdigm Group Incorporated59,53727,030
Heritage Financial Corporation914,56427,016
ONEOK392,21926,993
Omega Healthcare Investors707,42826,988
Chesapeake Energy Corporation33,798,00026,977
Rambus2,237,63626,942
Banner Corporation497,01926,922
Cedar Fair511,59226,919
PPlus Trust864,68626,828
Coherent189,26826,823
Omnicom Group Inc.367,17626,816
Entegris751,38526,815
Extra Space Storage Inc251,87826,727
Liberty Property Trust533,18326,686
PDC Energy7,070,97826,678
Bottomline Technologies532,52826,674
Axon Enterprise414,12426,592
Lifestyle Medical Network Inc.273,35426,591
Hilton Worldwide Holdings Inc.319,96026,590
Sandy Spring Bancorp759,23926,482
Lennar Corporation545,40726,434
Chegg684,55326,415
Dave & Buster's Entertainment652,20626,395
Walker & Dunlop518,29026,386
Fortune Brands Home & Security552,60026,308
ProPetro Holding Corp.1,165,38226,268
Omega Healthcare Investors714,46126,257
iShares Trust133,11826,178
Array BioPharma Inc.4,785,48026,172
Molina Healthcare Inc184,27126,160
Indianapolis Power & Light Co.337,38326,131
Globus Medical616,71226,087
Hewlett Packard Enterprise Co1,740,80726,057
Chemical Financial Corporation633,73726,054
Ameris Bancorp758,07526,040
Herman Miller582,37426,031
Kaman Corporation444,74825,981
Carpenter Technology Corporation541,00825,958
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF428,03925,878
Amneal Pharmaceuticals, Inc.1,826,28525,876
Quanta Services685,73225,876
Xperi Corporation1,105,78925,875
American Homes 4 Rent1,063,68525,859
Domtar Corporation520,51925,842
CyrusOne492,66625,839
bluebird bio, Inc.202,97025,819
Quidel Corporation394,28425,813
Roper Technologies70,46325,809
Minerals Technologies Inc.437,57425,725
V.F. Corporation293,84225,680
Square 1 Financial21,500,00025,657
Levi Strauss1,227,27425,625
Aqua Bounty Technologies Inc618,91025,604
Quotient Ltd2,841,59325,604
UAN Cultural & Creative Co., Ltd.460,88625,547
Cedar Fair534,19425,477
Sony Corp Ord485,31825,476
Telephone and Data Systems828,28925,456
M/A-COM Technology Solutions Holdings1,523,03225,450
TTM Technologies2,163,80225,382
Badger Meter424,84325,357
Axalta Coating Systems Ltd.1,004,43525,313
iShares Trust125,99525,302
Decker Manufacturing Corp.143,76925,298
Insperity207,62625,298
iHeartMedia, Inc.20,700,00025,240
Avista Corporation565,71425,232
SPS Commerce246,85325,229
Wolverine World Wide704,64225,178
Italian Food & Beverage Corp126,02225,149
J.M. Smucker Company (The)215,62225,138
Trade Desk, Inc.112,73425,084
MBIA2,632,80525,066
Intercept Pharmaceuticals21,434,67125,049
Cirrus Logic594,38325,007
Seeing Machines Ltd.583,68224,970
Telephone and Data Systems821,41224,970
Colliers International Group373,60224,941
Russell Exchange Traded Funds Trust Russell Small Cap Contrari207,97824,925
ATRION Corporation28,35224,911
Hexcel Corporation307,91324,908
iShares S&P Global Clean Energy Index Fund138,62724,904
Petrobras Argentina S.A.1,741,98824,900
Pacific Premier Bancorp Inc938,22224,891
Charter Oak Bank274,77824,873
Spirit Airlines520,50324,842
National Rural Utilities Cooperative Finance Corp1,046,64924,837
Versum Materials, Inc.492,87224,796
Schawk633,33224,770
Lifestyle Medical Network Inc.260,40424,760
MGM Growth Properties LLC856,49024,720
IQVIA Holdings154,16124,705
Healthcare Trust of America863,88224,698
Selective Insurance Group390,07224,684
Russell Exchange Traded Funds Trust Russell Small Cap Contrari204,87824,678
Quanta Services645,50624,655
Fomento Economico Mexicano S.A.B. de C.V.266,93324,622
Textron Inc.463,64424,610
Brinker International625,21324,602
Thor Industries420,11224,560
Rexnord Corporation812,63524,558
John Hancock Preferred Income Fund III742,35524,534
Integer Holdings Corporation325,16024,524
Ryanair Holdings Plc382,21424,513
El Paso Electric Company416,10924,474
Stericycle448,46624,405
AptarGroup196,26524,403
Amex Exploration Inc.953,72924,376
Darling International Inc.1,125,74324,371
National Rural Utilities Cooperative Finance Corp1,059,78324,311
Progress Software Corporation546,97524,268
Arrow Electronics340,26624,248
iHeartMedia, Inc.21,200,00024,233
The NASDAQ OMX Group251,64224,218
MBIA2,599,39424,199
Carpenter Technology Corporation526,53324,141
Gildan Activewear622,97424,096
TopBuild Corp370,80624,037
UAN Cultural & Creative Co., Ltd.449,12523,993
Singapore Post, Ltd.971,09123,993
Hubbell202,78923,924
Fourlis Holding SA806,27423,872
Americas Silver Corporation592,81023,806
J.M. Smucker Company (The)206,63823,804
MegaFon PJSC191,32023,783
Gildan Activewear660,10223,745
The NASDAQ OMX Group270,80023,693
Banner Corporation437,24623,676
Chemical Financial Corporation574,38923,642
OGE Energy Corporation547,60523,624
Arthur J. Gallagher & Co.269,47323,604
IQVIA Holdings163,84923,590
Healthcare Services Group777,94723,588
PBF Energy757,14323,580
Fomento Economico Mexicano S.A.B. de C.V.243,71223,579
EMCOR Group267,42823,560
Liberty Property Trust486,20823,548
ISHARES V PLC430,05323,540
Arthur J. Gallagher & Co.301,66023,531
RingCentral6,441,86123,448
Minerals Technologies Inc.437,81423,428
Equitrans Midstream Corp1,074,45023,402
Citrix Systems238,31323,397
Hawaiian Electric Co., Inc.888,83123,333
Integer Holdings Corporation278,00623,331
ProPetro Holding Corp.1,126,10523,309
Spirit Airlines439,95023,256
Hologic480,08023,238
General Electric Capital Corporation2,646,38923,229
Sunrun Inc.1,237,50323,216
Deoleo SA141,88923,197
Akamai Technologies10,648,98023,150
Tech Data Corporation221,26123,142
Charter Oak Bank300,93423,136
MSC Industrial Direct Company279,68723,134
Axon Enterprise423,04623,018
ASML Holding N.V.122,39823,017
Ross Stores246,66522,971
Schweitzer-Mauduit International399,43822,923
Supernus Pharmaceuticals691,95822,896
AptarGroup215,20822,896
HUBSPOT INC137,47422,848
Keysight Technologies, Inc.261,41822,798
IDACORP228,71522,766
OGE Energy Corporation534,68822,756
Progress Software Corporation518,67622,625
Blackstone GSO Long Short Credit Income Fund21,700,00022,616
Columbia Banking System624,75922,603
MGP Ingredients292,88222,596
Parsley Energy1,170,36422,588
Enbridge Inc684,86922,564
Carlisle Companies Incorporated160,56922,547
Nokia Corporation4,494,97322,516
OFI Carlyle Private Credit Fund436,60022,515
INVESCO MORTGAGE CAPITAL INC1,394,75822,486
Schweitzer-Mauduit International375,69122,459
Avaya Holdings Corp.1,333,68122,446
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND293,60722,441
BOK Financial Corporation297,14822,428
Americas Silver Corporation576,34522,409
Victory Square Technologies Inc446,41122,409
Insight Enterprises384,69022,389
Sandy Spring Bancorp715,45322,379
Blackrock Corporate High Yield Fund III631,07922,328
Tech Data Corporation217,39622,263
lululemon athletica inc.134,28322,236
UMH Properties1,578,71022,228
LPL Financial Holdings Inc.271,95422,183
Envestra Ltd.324,27322,170
Domtar Corporation497,33822,146
Littelfuse121,34322,145
SM Energy Company1,265,78022,138
INVESCO MORTGAGE CAPITAL INC1,400,53922,131
Coupa Software174,16222,052
KSW Inc180,87722,039
Alliant Energy Corporation448,75622,025
Applied Industrial Technologies370,05922,007
Aareal Bank AG939,84621,999
Littelfuse124,36321,995
AMN Healthcare Services Inc466,97521,990
FS Bancorp3,629,93621,964
Hewlett Packard Enterprise Co1,420,72021,952
Strategic Global Income Fund123,27021,941
Cinemark Holdings Inc548,43121,932
Anheuser-Busch Inbev SA261,44721,926
Decker Manufacturing Corp.148,77421,882
RingCentral5,447,90821,865
Kemira Oyj Ord621,69221,833
Goldman Sachs Group217,13521,773
PBF Energy695,59921,771
ICON plc159,30721,758
JPMorgan Chase Bank NA851,59321,717
Darling International Inc.1,091,72421,715
Applied Industrial Technologies352,62521,699
E*TRADE Financial Corporation486,59721,699
Skechers U.S.A.645,55921,697
Sempra Energy171,96421,695
ESCO Technologies Inc.262,40921,680
CASEY CONTAINER CORP138,91521,669
Brown & Brown646,66221,664
Ternium S.A.965,76221,662
YETI Holdings, Inc.709,62521,641
Clovis Oncology33,548,31321,562
Magellan Health Services290,23321,543
Uber Technologies, Inc466,29921,527
Brookfield Real Estate Services450,20921,510
FIRST HAWAIIAN, INC.826,20421,510
FS Bancorp3,609,76721,500
Brandywine Realty Tr1,498,70221,462
Integrated Drilling Equipment Holdings Corp.437,61021,439
Lincoln Electric Holdings255,46021,427
Synovus Financial Corp.622,63121,400
Glacier Bancorp527,31921,382
Kemira Oyj Ord609,12721,372
Stifel Financial Corporation361,56921,355
Stericycle446,44921,318
Fourlis Holding SA779,52121,307
The Medicines Company762,00821,298
Freshpet, Inc.515,10121,295
Lincoln Electric Holdings258,61021,291
IHI Corp88,39121,281
Healthcare Trust of America773,88621,227
National Fuel Gas Company348,05421,225
Alliant Energy Corporation450,17121,217
Hospitality Properites Trust805,39921,190
China Mobile (Hong Kong) Ltd.417,15621,180
Arrow Electronics274,82921,178
Columbia Banking System645,38821,099
JPMorgan Chase Bank NA840,14121,095
Okta, Inc.4,656,47021,071
IHI Corp90,92221,058
Glacier Bancorp525,44321,054
US-Dadi Fertilizer Ind International Inc.299,92421,052
Agora Holdings, Inc.473,50721,037
California Water Service Group Holding387,45621,031
CareTrust REIT, Inc.884,19321,029
Cohu1,425,62821,028
Park Hotels & Resorts Inc.676,40421,024
UMH Properties1,693,97921,022
Advanced Micro Devices822,50221,002
Medpace Holdings, Inc.320,91620,995
Herman Miller596,06120,970
Hanesbrands Inc.1,217,38720,964
National Research Corporation363,75420,949
Aareal Bank AG743,99020,947
Texas Capital Bancshares341,27020,943
Cirrus Logic479,27520,943
Tetra Technologies351,11620,927
Southwest Iowa Renewable Energy, LLC4,458,11720,908
Steven Madden617,60620,900
Wyndmoor Industries, Inc.516,00320,900
Great Western Bancorp, Inc.661,50920,898
Rio Tinto353,48120,894
Tenneco Automotive942,81520,893
Quidel Corporation351,57720,854
HMS Networks AB643,19920,834
Rio Tinto334,05320,826
Alkermes plc570,67020,824
State Street Corporation370,89420,823
THEDIRECTORY.COM, INC.256,55320,822
Neenah Enterprises, Inc.318,36720,815
Keysight Technologies, Inc.233,89320,800
ManTech International Corporation315,78320,793
EQT Corporation1,002,52120,792
Universal Forest Products546,10220,785
BankUnited622,18720,781
Cabot Microelectronics Corporation185,44120,766
E*TRADE Financial Corporation447,09620,759
Bottomline Technologies468,75620,736
Hess Midstream Partners LP326,05420,727
Amex Exploration Inc.947,24320,688
Victory Energy Corp.442,68220,686
Arcos Dorados Holdings Inc.640,80820,678
Herbalife LTD.390,04520,669
Insight Enterprises374,79220,635
Polaris Futures Fund L.P.226,10320,631
Change Healthcare Inc.393,15720,604
National Grid Transco Plc368,73420,587
Lakeland Financial Corporation454,82920,568
Xilinx161,74720,529
American Axle & Manufacturing Holdings1,434,57020,527
AutoZone20,03620,516
Extreme Networks2,736,42020,496
Thor Industries328,05420,463
eUnits 2 Year U.S. Market Participation Trust390,46120,445
Five9, Inc.398,22220,423
SunPower Corporation23,038,00020,420
United Community Financial Corp.713,65020,383
LegacyTexas Financial544,81620,370
Central Garden & Pet Company796,34320,356
Diodes Incorporated586,04320,335
Schawk535,20420,311
Skechers U.S.A.643,90620,278
Black Hills Corporation273,25420,239
KKR & Co. L.P.799,45820,204
Rambus1,931,57920,186
Carlisle Companies Incorporated164,28120,144
National Grid Transco Plc377,48820,060
Insperity162,54920,055
Gaming Partners International Corporation520,07820,051
Quanterix Corp592,97420,016
Hip Cuisine, Inc.481,46320,000
Avnet441,49819,986
Triton International Ltd642,43119,980
California Water Service Group Holding394,46519,971
Ferrum Americas Mining, Inc.479,81719,968
iShares NASDAQ Biotechnology Index Fund178,80819,961
CONMED Corporation239,79319,947
Cogent Communications Group367,41819,935
FORESCOUT TECHNOLOGIES, INC588,02219,910
OceanFirst Financial Corp.800,93219,903
Albany International Corporation239,97019,898
American States Water Company278,77619,880
Hip Cuisine, Inc.501,76919,856
Kbridge Energy Corp.1,036,00619,778
Neenah Enterprises, Inc.318,36719,770
Washington Federal684,26219,767
Legg Mason458,50519,753
Hospitality Properites Trust789,77419,745
Equifax145,55119,686
Fox Corporation538,39419,668
Green Plains Partners LP17,014,21319,649
Lithia Motors211,76619,643
Textron Inc.387,49019,631
Cineplex Inc596,39719,603
Boot Barn Holdings, Inc.549,53119,585
Exelixis822,02019,563
Extreme Networks3,022,63519,555
Black Hills Corporation250,13419,553
Roper Technologies57,13519,539
Diodes Incorporated537,16219,537
Therapy Cells, Inc.525,55619,529
NCR Corporation715,54019,527
Brixmor Property Group Inc.1,062,23919,513
Opus Bank923,23619,490
Anika Therapeutics Inc.644,39319,486
AAON387,98919,469
Cooper Tire & Rubber Company617,04219,468
Radius Health, Inc.21,500,00019,455
Polaris Futures Fund L.P.230,37319,450
GATX Corporation245,27719,449
Iridium Communications Inc735,38819,443
The Blackstone Group L.P.436,65919,414
Wintrust Financial Corporation288,02919,394
Casella Waste Systems489,49019,394
Texas Capital Bancshares355,07419,384
Cinemark Holdings Inc536,46119,368
Heritage Insurance Holdings, Inc.11,473,89419,360
AMN Healthcare Services Inc356,39619,334
Premier Inc494,21219,329
China Mobile (Hong Kong) Ltd.417,45919,295
Cabot Microelectronics Corporation175,24019,288
AAON417,58619,284
Royal Boskalis Westminster NV188,09719,278
Great Western Bancorp, Inc.538,92619,251
The Hain Celestial Group832,63119,251
First American Minnesota Municipal Income Fund II358,39719,248
The Hain Celestial Group877,89019,225
Hexcel Corporation277,87819,218
Steven Madden565,89219,213
Range Energy Resources, Inc.1,707,32319,190
GATX Corporation250,87319,169
Career Education Corporation969,98119,167
M/A-COM Technology Solutions Holdings1,265,63019,151
Carbon Black, Inc.1,144,46519,136
Perrigo Company396,69019,105
BGS Acquisition Corp.359,71319,090
Hill-Rom Holdings Inc180,23519,080
Blackbaud238,90619,048
Eaton Vance Corporation441,30319,033
Assurant, Inc.170,00019,025
Moog Inc.203,14219,015
American States Water Company252,72719,014
First American Minnesota Municipal Income Fund II369,13019,011
Anheuser-Busch Inbev SA214,75419,007
Brandywine Realty Tr1,197,64618,994
MEDIFAST INC145,36118,982
Old Republic International Corporation848,27618,980
First Sentry Bancshares Inc.288,85918,966
Aerie Pharmaceuticals Inc.399,06418,956
Now Inc1,284,08218,954
Kemper Corporation219,67318,951
SunPower Corporation23,038,00018,945
Exelixis885,69518,929
Blackbaud226,64018,923
Ingevity Corp178,91018,894
Boyd Gaming Corporation687,90318,822
Synchrony Financial542,45418,809
iShares NASDAQ Biotechnology Index Fund172,26918,800
ESCO Technologies Inc.280,40618,795
Endo Health Solutions Inc.2,339,74618,787
Hill-Rom Holdings Inc179,56518,786
Avaya Holdings Corp.1,576,54518,778
Enbridge Inc517,81318,775
Ingevity Corp178,30518,754
Green Plains Partners LP19,311,44318,748
1st Colonial Bancorp, Inc.294,98718,732
EMCOR Group256,30918,730
CSG Systems International5,758,78918,722
KeyCorp1,187,48518,688
Warrior Met Coal LLC613,71218,656
Watts Water Technologies230,67418,643
DSW Inc.838,11018,625
Dolby Laboratories288,00318,606
Royal Kpn N.V.234,01118,598
MSC Industrial Direct Company250,42718,597
Equifax156,91218,593
Cogent Communications Group313,05218,589
Dermira, Inc.21,233,87518,587
American Axle & Manufacturing Holdings1,453,77118,549
TEGNA1,220,47718,493
RLI Corp.215,62318,481
Bio-Rad Laboratories60,44718,477
HUBSPOT INC108,27218,458
Heritage Insurance Holdings, Inc.11,464,89418,454
Blackstone GSO Long Short Credit Income Fund18,300,00018,441
Dana Holding Corporation924,67218,436
Investors Bancorp1,653,09018,431
Investors Bancorp1,554,94518,426
Brown & Brown623,98818,415
Universal Forest Products615,43218,395
Cineplex Inc535,55818,391
Bio-Rad Laboratories58,79718,379
Mueller Industries627,61718,371
NAVIENT CORP1,345,59518,367
Magna International369,67418,366
Mascota Resources Corp465,77118,311
Citrix Systems183,85618,295
British American Tobacco Industries437,61018,265
CBRE Group355,64518,252
Petrobras Argentina S.A.1,283,94518,220
Emergent Biosolutions359,74318,174
Royal Boskalis Westminster NV199,86918,173
Calavo Growers187,76218,158
Penn National Gaming942,84218,158
NMI Holdings, Inc.639,41418,153
Park Hotels & Resorts Inc.657,83318,131
Rightmove Plc2,081,17318,127
Opus Bank915,50218,126
Cooper Tire & Rubber Company606,37418,125
New York Times Company (The)556,08018,118
Cavco Industries114,92618,106
Omnicom Group Inc.220,18918,061
Allete216,47518,013
Calavo Growers214,68918,006
Power Integrations224,51917,995
Cavco Industries153,02817,986
El Paso Electric Company274,96417,983
Dermira, Inc.20,022,22817,982
Imerjn Inc.317,33517,975
Horace Mann Educators Corporation446,10517,973
FTI Consulting214,35217,972
Brixmor Property Group Inc.1,004,99017,969
Old Republic International Corporation858,91017,968
Veeco Instruments Inc.16,858,30317,958
TEGNA1,272,65517,947
INFORMATION ANALYSIS INC90,57417,940
Global Payments Inc.131,21917,922
Corporate Office Properties Trust656,18817,916
BlackRock Resources2,194,55517,895
JPMorgan Chase Bank NA239,69417,883
US-Dadi Fertilizer Ind International Inc.264,66117,875
Now Inc1,280,06717,870
Merchants Bancorp830,70817,860
CASEY CONTAINER CORP138,60417,853
ITE Group Plc.288,45517,841
Gentherm Inc426,35217,835
Astrazeneca PLC440,56717,817
CONMED Corporation207,91817,793
Umpqua Holdings Corporation1,071,44317,785
Comfort Systems USA339,26617,779
Barnes Group315,38817,769
Spirit Realty Capital416,34617,762
Chewy, Inc.506,33817,721
FTI Consulting230,66917,720
CBS Corporation354,88517,703
Vodafone Group Plc974,84017,699
Drillsearch NL185,33017,689
TRI Pointe Homes1,397,56417,666
Gentherm Inc479,25917,666
Boston Properties131,52117,620
SciPlay Corp1,284,02117,604
Enpro Industries272,96317,594
NMI Holdings, Inc.679,87117,588
Sabre Corp821,85717,583
Rudolph Technologies636,13717,577
Mueller Industries560,30517,559
Stepan Company190,89217,543
Wachovia Corporation13,52917,510
Aqua Bounty Technologies Inc480,45017,508
Innospec Inc.191,88317,507
Unilever NV288,13317,503
Encore Wire Corporation298,69017,498
Bruker Corporation350,19417,492
MEDIFAST INC136,23317,481
Umpqua Holdings Corporation1,058,60717,476
Vanguard Short Term Government Bond ETF353,91717,458
CSG Systems International5,775,42117,423
First Tractor Co. Ltd.301,76917,385
Flagstar Bancorp527,13917,352
Sabre Corp781,82317,349
Radius Health, Inc.20,900,00017,347
Floor & Decor Holdings, Inc.413,58517,330
GLAUKOS Corp220,97817,318
Stag Industrial583,37717,297
Moog Inc.198,11517,227
Innospec Inc.206,63817,223
Mid-America Apartment Communities146,22817,221
Hertz Global Holdings1,922,11117,212
Stepan Company196,52917,200
Commerce Bancshares296,19017,196
National Instruments Corporation409,20717,183
ALDER BIOPHARMACEUTICALS INC1,255,79017,141
Global X Funds Global X NASDAQ 500 ETF1,116,14417,113
EastGroup Properties147,51417,111
Enpro Industries267,91417,105
William Demant Holdings981,61416,970
National Instruments Corporation381,89316,941
First Tractor Co. Ltd.292,56816,902
Hilltop Cybersecurity Inc.794,02016,890
Dex One Corporation112,51016,868
INFORMATION ANALYSIS INC88,31216,831
ICU Medical66,66816,795
Corporate Office Properties Trust636,71816,793
Haemonetics Corporation139,42716,778
Commerce Bancshares281,21816,778
Spirit Realty Capital421,21216,735
Royal Kpn N.V.221,40816,719
MongoDB, Inc.113,71616,718
American Campus Communities Inc351,29116,715
Entertainment Arts Research, Inc.223,94516,708
Motorcar Parts of America779,40316,687
Global Payments Inc.104,11416,676
SPX398,23016,670
First Trust Exchange-Traded Fund II First Trust ISE Global Pla902,22916,658
Carrizo Oil & Gas1,334,19216,636
USLIFE Income Fund146,74216,629
Core-Mark Holding Company417,75516,590
Magna International340,67216,587
Hertz Global Holdings954,84616,586
ALDER BIOPHARMACEUTICALS INC1,408,46616,577
Flagstar Bancorp499,80216,563
Atkore International Group Inc.638,80116,525
NAVIENT CORP1,427,95516,522
CareTrust REIT, Inc.704,10316,522
Red Rock Energy, Inc.638,62516,507
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND212,83216,495
Boston Private Financial Holdings1,366,17016,490
Global X Funds Global X NASDAQ 500 ETF1,073,52816,458
Stifel Financial Corporation311,88416,456
HomeStreet555,05116,452
Consolidated Graphics187,61216,450
Xponential, Inc.306,01816,446
Avista Corporation403,88016,406
Brookline Bancorp1,066,25716,398
Cullen/Frost Bankers174,93616,384
Imerjn Inc.298,72816,377
Anaplan, Inc.415,72416,363
Wayfair Inc.110,06116,338
New York Times Company (The)496,96616,325
National Bank of Canada 449,40316,312
Sunrun Inc.1,157,35116,271
Douglas Emmett402,38016,267
Strategic Global Income Fund123,66816,239
Fidelity National Financial403,12916,236
II-VI Incorporated443,50816,215
REGENXBIO Inc.282,74116,204
First Sentry Bancshares Inc.306,11816,176
Sabra Healthcare REIT821,45216,173
Eplus Inc.233,99916,132
Global Brass and Copper Inc468,22216,126
JBG SMITH Properties409,55916,113
ManTech International Corporation298,29816,113
Evertec Group LLC492,31016,099
Lantheus Holdings568,77316,096
Myriad Interactive Media, Inc.484,38216,087
Galp Energia, SA401,71316,052
HMS Networks AB541,63816,039
Islet Holdings, Inc.127,68516,036
RenaissanceRe Holdings Ltd.111,60816,015
Medidata Solutions176,91416,012
Hanesbrands Inc.894,03615,986
Federated Investors545,07315,977
Whiting Petroleum Corporation610,53615,959
America Movil1,118,18515,958
CommVault Systems246,18415,938
Murphy Oil Corporation543,14315,914
VGambling Inc.107,95415,905
Consolidated Graphics187,46515,900
OptiNose, Inc.1,541,07015,871
Centennial Resource Development2,092,15815,859
Hamilton Lane INC363,83415,856
American Campus Communities Inc343,31415,847
WageWorks419,37915,836
Boston Properties122,54815,823
Cullen/Frost Bankers162,78815,802
The Weir Group578,12615,786
Aecom Technology Corporation416,67815,771
JetBlue Airways Corporation852,11715,755
CornerWorld Corp.190,95515,754
Synovus Financial Corp.449,79015,751
Encore Wire Corporation275,18715,746
IDACORP156,67715,736
EVERBRIDGE, INC.175,99615,735
Horace Mann Educators Corporation445,76515,695
RLI Corp.218,68715,691
Nielsen CO B.V.662,41215,678
Washington Real Estate Investment Trust552,03015,667
Aldrin Resource Corp16,400,00015,655
SM Energy Company1,250,45115,654
Urban Outfitters528,09915,652
Dover Corporation166,77415,647
Etsy254,80615,638
Nu Skin Enterprises316,84715,627
CareDx, Inc.434,07315,622
Aldrin Resource Corp16,800,00015,614
Allete189,85515,612
JPMorgan Chase Bank NA213,34415,606
Douglas Emmett391,33615,592
National-Oilwell Varco585,28115,591
Teleflex Incorporated51,54715,577
FINISAR CORP671,78415,565
The Descartes Systems Group Inc.421,20915,563
SolarEdge Technologies248,99115,552
Fidelity Bancorp346,10815,548
Diamond Bancshares, Inc.156,77415,547
Inmarsat Plc.79,59815,544
Supernus Pharmaceuticals443,43315,539
GWR Global Water Resources Corp.155,38215,538
VEREIT1,853,31415,514
MicroStrategy Incorporated107,49815,507
Schiff Nutrition International556,16215,494
Visteon Corp.230,05015,494
Diamond Bancshares, Inc.155,86715,478
SSTL, Inc.267,89415,436
Magellan Minerals Ltd.240,94315,421
The Blackstone Group L.P.440,45915,401
Sabra Healthcare REIT791,06715,400
Flowers Foods719,89115,348
Teleflex Incorporated46,30715,335
HomeStreet581,46615,321
SPX479,78815,305
Hopefluent Group Holdings Ltd1,107,36315,260
Apogee Enterprises351,08915,253
Inmarsat Plc.78,62815,238
CNO Financial Group913,10115,231
Flowers Foods654,19115,223
New York Community Bancorp Inc1,314,50715,208
Equitrans Midstream Corp771,52215,207
Brookline Bancorp1,055,69715,203
Mirati Therapeutics, Inc.147,56715,197
First Busey Corporation574,94915,185
Taubman Centers371,03815,149
International Bancshares Corporation398,07715,147
Northwest Natural Gas Company217,61115,125
J & J Snack Foods Corp.93,98015,124
Jazz Pharmaceuticals plc105,64115,100
Webster Ltd.297,91315,095
FINISAR CORP659,37815,080
J & J Snack Foods Corp.94,90615,079
Coherent110,54415,075
HFF315,57615,070
United Community Financial Corp.604,07315,062
Maxar Technologies188,25415,055
RLJ Lodging Trust847,68515,037
Aerie Pharmaceuticals Inc.508,36215,016
Photronics1,588,39115,010
Diamondrock Hospitality Company1,450,61015,002
Spirent Communications Plc.182,22314,998
Ryder System241,82114,995
CenturyLink1,276,26914,987
Quanex Building Products Corporation793,05914,980
ATRION Corporation17,55214,968
Nomad Holdings Ltd.731,64114,961
Avnet344,44614,940
Koninklijke Philips Electronics365,47714,940
National Fuel Gas Company282,56914,913
PennyMac Mortgage Investment Trust682,92114,910
Lakeland Financial Corporation317,96714,887
LivaNova PLC153,06214,884
Silicon Motion Technology Corporation334,88714,864
FNB United Corp.1,262,35814,856
Wyndham Worldwide Corp296,27014,811
Office Depot4,077,11414,800
Geo Group Inc (The)770,75414,797
Huntsman Corporation723,67014,796
The Weir Group590,63614,792
VALVOLINE INC757,06714,786
Retail Opportunity Investments Corp.863,02114,784
PulteGroup467,32314,761
OOMA INC1,113,88714,748
Allison Transmission Holdings318,07714,742
Coupa Software162,02514,741
Tesla Exploratin Services Inc.52,66114,738
Core-Mark Holding Company396,75214,737
Agree Realty Corporation212,43414,734
Cooper-Standard Holdings Inc.313,66114,730
Jack Henry & Associates106,11814,719
Blackrock Corporate High Yield Fund620,24414,708
TRI Pointe Homes1,227,42914,692
Fidelity National Financial401,03714,658
British American Tobacco Industries422,79114,656
Apogee Enterprises390,78714,651
JBG SMITH Properties354,19414,645
CenturyLink1,221,04814,637
USG People NV261,54614,616
Diamondrock Hospitality Company1,348,29514,604
Unilever NV250,57914,602
ICICI Bank Limited1,159,62614,600
Equity Commonwealth448,71914,590
Motorcar Parts of America772,07114,569
Spirent Communications Plc.173,54314,566
Enersys212,45614,553
EQT Corporation920,03914,546
PolyOne Corporation463,25214,545
ABM Industries Incorporated363,53714,542
National Bank of Canada 436,56314,520
CBS Corporation306,51414,513
Shake Shack201,00014,512
Allison Transmission Holdings322,82214,501
Tech Cent Inc.179,21714,491
International Bancshares Corporation384,18914,486
Covenant Transportation Group763,26214,486
Legg Mason528,02814,458
Chegg379,03314,449
Sanmina-SCI Corporation477,11514,448
PACCAR Inc.201,40314,448
Equity Commonwealth440,79614,409
Cousins Properties Incorporated398,19214,402
The Descartes Systems Group Inc.395,65514,394
Federated Investors442,61214,384
Innophos Holdings476,58514,364
Boot Barn Holdings, Inc.487,36314,347
United Therapeutics Corporation122,12814,334
Berkshire Hathaway Inc.4514,326
Dover Corporation142,93214,321
Old National Bancorp Capital Trust I872,98114,318
Great Southern Bancorp239,07214,309
Belden Inc266,39214,306
ACADIA Pharmaceuticals Inc.532,66914,301
AcuityAds Hldgs Inc.103,65714,297
First Midwest Bancorp697,82614,289
Dana Holding Corporation805,47014,287
Federal Signal Corporation549,57714,284
FATE THERAPEUTICS INC703,27614,277
MicroStrategy Incorporated99,58114,271
ProAssurance Corporation395,00814,264
Dex One Corporation122,49214,256
Apollo Senior Floating Rate Fund Inc.774,84614,251
Community Service Communications263,38114,249
Official Payments Holdings162,57414,241
JetBlue Airways Corporation870,39714,240
Banco Popular477,43814,205
Retail Opportunity Investments Corp.818,26114,191
NorthWestern Corporation196,52914,179
Syneos Health277,49114,176
Oasis Petroleum Inc.2,545,32514,173
Ituran Location and Control Ltd.414,90614,169
Potlatch Corporation363,22514,159
Boston Private Financial Holdings1,291,76314,158
Syneos Health273,47914,156
Evertec Group LLC508,91614,153
Old National Bancorp Capital Trust I852,60414,145
Merchants Bancorp830,10814,138
Sotheby's374,12114,122
AVX Corporation850,22714,113
Broadridge Financial Solutions136,03114,108
Emergent Biosolutions291,89614,101
Energizer Holdings142,50014,091
First Financial Bancorp.581,60914,086
GWR Global Water Resources Corp.161,46814,070
ProAssurance Corporation406,42114,067
Owens Corning Inc241,63114,064
Nu Skin Enterprises293,28914,037
Alarm.com Holdings, Inc.216,28014,037
Northwest Natural Gas Company213,86614,037
Arris Group Inc443,09414,007
Genomic Health240,10813,966
NetScout Systems550,00413,965
Belmond559,39613,946
First Citizens BancShares30,93513,930
Sally Beauty Holdings756,67113,930
Foothills Exploration, Inc332,21013,925
Southwest Iowa Renewable Energy, LLC4,405,98513,924
H. B. Fuller Company286,08213,915
Federal Signal Corporation519,74713,901
GNC Holdings16,400,00013,899
Annaly Capital Management Inc1,389,85913,890
Potlatch Corporation367,00413,869
Tivity Health789,51413,865
First Midwest Bancorp677,32713,861
Berkshire Hathaway Inc.4613,856
National Research Corporation358,88513,854
Arrowhead Gold Corp.522,75413,854
Penn National Gaming689,01513,850
MICRO IMAGING TECHNOLOGY, INC.341,49113,844
Simmons First National Corporation564,76513,826
BankUnited409,59513,819
Agree Realty Corporation215,29213,793
Innophos Holdings473,72013,789
Sanmina-SCI Corporation477,21813,768
Schweiter Technologies AG Horgen427,47813,762
Ryder System235,87513,748
United Bankshares378,68313,728
Simmons First National Corporation590,00513,724
Assurant, Inc.132,50013,723
Islet Holdings, Inc.116,21213,698
Jack In The Box Inc.168,29013,698
Perspecta Inc.584,81213,693
Bemis Company246,55513,679
Mdu Res Group Inc529,46413,678
Mid-America Apartment Communities124,85713,652
Astrazeneca PLC330,42513,644
Red Rock Energy, Inc.633,79013,613
FIRST HAWAIIAN, INC.525,22013,586
Boston Beer Company35,96313,585
Hopefluent Group Holdings Ltd1,035,02513,539
First Financial Bancorp.561,93113,520
PACCAR Inc.197,92213,494
United Bankshares363,34113,483
Brady Corporation273,33813,481
First Trust NASDAQ-100 Ex-Technology Sector Index Fund163,24513,465
First Busey Corporation551,52713,458
Kraton Performance Polymers418,00313,451
Magellan Minerals Ltd.221,75813,444
Matica Enterprises Inc1,198,42413,434
EVERBRIDGE, INC.179,08913,433
Plexus Corp.229,83813,415
NetScout Systems477,44413,402
ABM Industries Incorporated368,18513,383
SPX Corporation405,12513,378
National Australia Bank Ltd. (Victoria, Australia)462,18213,377
Galp Energia, SA454,41013,369
Fluor Corporation396,57213,360
GNC Holdings16,400,00013,347
Amicus Therapeutics980,20213,331
Evoqua Water Technologies Corp.935,92213,328
News Corporation986,56313,311
Bed Bath & Beyond Inc.782,42213,295
Vulcan Materials Company112,18813,292
AutoNation316,89413,291
Wabash National Corporation980,81513,289
Advanced Disposal Services, Inc.474,56413,288
Anglo Am Plc Adr454,01413,286
Acacia Communications, Inc.281,46213,274
Neogenomics Inc.604,34013,259
QUANTENNA COMMUNICATIONS INC544,55213,248
Group 1 Automotive161,71013,244
Power Integrations189,27913,244
Boyd Gaming Corporation491,54413,242
Silicon Motion Technology Corporation334,04613,242
Paycom Software58,37113,233
Performance Food Group330,51013,231
Huntsman Corporation587,99313,224
The Hackett Group836,65213,219
Stag Industrial436,92913,212
Water Resources Group Ltd52,47913,210
FNB United Corp.1,244,24213,190
Lantheus Holdings538,75213,188
Etsy196,16313,185
Mdu Res Group Inc510,87513,182
Tower International626,62313,179
VALE S.A.1,007,56713,159
Sterling Bancorp618,40913,158
Graham Holdings19,23313,140
Sleepaid Hldg Co279,05713,125
Boise Cascade Holdings LLC490,25913,119
Commercial Metals Company734,61013,112
Bloomin' Brands691,72013,078
Graham Holdings18,94813,075
BioTelemetry, Inc.208,63213,065
Nutanix, Inc.347,12013,060
H. B. Fuller Company281,35313,055
Belden Inc219,08313,053
Universal Corp.214,53213,038
Magellan Health Services197,70713,033
Apergy Corp317,33013,029
II-VI Incorporated349,29913,007
BioTelemetry, Inc.269,72412,987
XBiotech Inc.144,61612,964
Summit Materials672,19712,939
ISHARES V PLC236,54012,913
Harsco Corporation470,52012,911
AcuityAds Hldgs Inc.107,42512,894
National Australia Bank Ltd. (Victoria, Australia)452,16912,891
NEW RELIC INC130,50412,880
Cardtronics361,82612,874
Exterran Corp763,90412,873
ProSiebenSat.1 Media SE203,47612,871
Illumination Amer Inc9,514,00012,861
Pinnacle Financial Partners223,63612,855
First Trust NASDAQ-100 Ex-Technology Sector Index Fund150,34512,851
Virtusa Corporation240,12512,835
Invacare Corp.14,100,00012,821
Regal Beloit Corporation156,80312,816
First Financial Bankshares416,08312,813
Fox Corporation356,98512,808
REGENXBIO Inc.249,27912,806
Markel Corporation11,74912,805
Schiff Nutrition International464,19112,803
Schweiter Technologies AG Horgen408,99112,803
Hilltop Cybersecurity Inc.700,91212,793
Brighthouse Financial, Inc.348,46412,785
Allegiant Travel Company89,08012,782
Crocs497,84612,771
Eagle Bancorp235,74812,760
8x8 Inc528,64812,740
Aecom Technology Corporation429,01012,728
Brady Corporation274,16712,724
The Kraft Heinz Company409,70112,719
Iridium Communications Inc545,95812,699
Eagle Bancorp252,85912,693
Vocera Communications401,18312,689
Cardiovascular Systems328,05312,683
MGP Ingredients191,12212,674
UNIVERSAL INSURANCE HOLDINGS INC408,83712,674
NICE-Systems Limited103,66112,674
SMART Global Holdings, Inc.659,87612,669
Trade Desk, Inc.63,96412,663
SSTL, Inc.198,93512,652
IFAN Financial, Inc.97,59312,649
Bank of the Carolinas CORP352,51412,647
KKR & Co. L.P.538,40012,647
Commercial Metals Company740,21012,644
Fastenal Company387,72012,637
Koninklijke Philips Electronics289,92812,625
America Movil866,88012,614
OptiNose, Inc.1,780,85012,608
Envestra Ltd.192,50012,588
M.D.C. Holdings383,55412,573
ACADIA Pharmaceuticals Inc.469,87212,559
JD.com Inc416,35512,553
ExlService Holdings189,47112,530
BlackRock Resources1,532,12112,529
VALVOLINE INC694,06112,517
Meritage Corporation243,29512,492
New York Community Bancorp Inc1,250,68312,480
Five9, Inc.235,92212,465
Kirby Corporation165,85212,457
Rexnord Corporation495,34012,453
1st Colonial Bancorp, Inc.186,98012,439
United Fire Group256,60512,434
Pinnacle Financial Partners226,90612,412
Myriad Interactive Media, Inc.446,21812,395
MICRO IMAGING TECHNOLOGY, INC.300,42012,383
NorthWestern Corporation175,72012,379
Abercrombie & Fitch Company451,57412,377
First Citizens BancShares30,37012,367
VANJIA CORP68,87112,364
Goldman Sachs Group123,90712,355
Amicus Therapeutics989,77712,353
REATA PHARMACEUTICALS INC130,88612,349
Matador Resources Company638,22612,337
Acadia Realty Trust450,42712,330
Acadia Realty Trust451,86012,323
ITE Group Plc.203,86812,312
Performance Food Group310,54712,310
Sterling Bancorp659,95612,294
Fidelity Southern Corporation396,75012,288
USG People NV223,74712,249
Kirby Corporation154,91512,238
ICU Medical51,09212,229
MTS Systems Corporation224,53012,229
Fastenal Company190,03112,222
Ferro Corporation645,47912,219
Ascendis Pharma106,03112,209
Oasis Petroleum Inc.2,343,48912,191
Anixter International Inc.204,10912,188
nVent Electric plc451,64612,185
Forward Air Corporation205,91512,180
Perspecta Inc.601,89712,171
Hawaiian Electric Industries278,96712,150
CVB Financial Corporation577,06612,147
Schneider National, Inc.576,38212,133
Hormel Foods Corporation270,78012,121
Crane Company143,19812,119
LegacyTexas Financial297,49112,111
RHB Capital117,59512,108
UNIVERSAL INSURANCE HOLDINGS INC433,82412,106
Quanex Building Products Corporation761,49012,102
Innoviva6,399,07512,102
Murphy Oil Corporation490,94812,101
Amdocs Limited223,51812,095
HUB Power Co., Ltd.296,04712,092
Enova Systems Inc.528,34112,057
SPX Corporation346,42012,052
Martin Marietta Materials52,34412,045
Badger Meter215,93012,019
Mesa Laboratories52,02311,991
NICE-Systems Limited87,50911,989
The Andersons371,74211,981
Smith (A.O.) Corporation253,92511,979
Rent-A-Center Inc.449,75311,976
Ballroom Dance Fitness Inc206,59611,936
Enova Systems Inc.516,99111,918
CVB Financial Corporation566,69611,917
Codexis579,68711,901
Range Energy Resources, Inc.1,702,45611,882
Jack In The Box Inc.146,22211,853
Gibraltar Industries293,61911,850
Central Garden & Pet Company439,55211,847
Markel Corporation11,88411,840
Standex International Corporation161,25111,839
Heritage Commerce Corp978,11011,835
ProSiebenSat.1 Media SE280,17911,834
Standex International Corporation161,78211,833
Apollo Senior Floating Rate Fund Inc.650,00711,830
AutoNation330,51711,806
News Corporation948,45011,800
Smith (A.O.) Corporation221,29711,795
Encore Capital Group Inc6,167,79411,790
Kemper Corporation154,66111,776
Gibraltar Industries289,72411,766
Victory Resources Corp.264,28511,766
William Lyon Homes645,21711,762
Sotheby's202,28711,759
Canadian Imperial Bank of Commerce149,77911,747
Carrizo Oil & Gas1,171,76811,742
NewMarket Corporation29,21711,720
Alarm.com Holdings, Inc.218,99411,716
The Providence Service Corporation644,72211,702
OOMA INC1,115,68711,692
Plexus Corp.191,69111,683
Allegiant Travel Company90,15111,671
Interface302,48111,667
Hawaiian Electric Industries286,00111,660
Albany International Corporation162,78811,654
Redwood Capital Bancorp (CA)704,68011,648
Crocs589,02111,632
Arch Capital Group Ltd.377,73411,630
XBiotech Inc.132,73611,628
AVX Corporation669,86111,616
Ethan Allen Interiors Inc.551,47911,613
RLJ Lodging Trust659,94911,596
Northwest Bancshares683,17111,594
Lexington Realty Trust1,231,31211,590
Covenant Transportation Group786,99611,577
Rayonier Inc. REIT367,04811,568
PHIBRO ANIMAL HEALTH CORP350,34911,562
Benchmark Electronics440,23511,557
Great Southern Bancorp222,57511,552
Canadian Imperial Bank of Commerce146,07711,547
ExlService Holdings192,08811,529
Franklin Electric Co.242,34011,509
Anixter International Inc.205,03011,504
Itron183,71411,496
New York Mortgage Trust5,818,00411,493
PennyMac Mortgage Investment Trust553,58311,465
Invacare Corp.14,100,00011,459
Milacron Holdings Corp.1,012,44011,459
SCOTTS LIQUID GOLD INC116,25311,451
NuVasive195,32811,437
Olin Corporation494,17311,435
RESIDEO TECHNOLOGIES, INC.521,65311,433
Johnson Outdoors Inc.153,27511,429
Acacia Communications, Inc.199,04211,414
UBS AG580,11811,410
UBS AG572,06611,403
BanColombia S.A.223,12811,388
Travelport Worldwide LTD723,61011,383
CareDx, Inc.360,69211,369
Tower International582,56111,359
NuVasive199,95311,354
ICHOR HOLDINGS, LTD.501,78811,329
Tivity Health689,16011,329
The Kraft Heinz Company347,46711,325
Benchmark Electronics450,52111,317
ViaSat145,99011,314
Dril-Quip246,76811,314
Xenia Hotels & Resorts515,63111,298
Asbury Automotive Group Inc133,82211,287
CBRE Group228,20911,283
AGIC Convertible & Income Fund II1,972,13911,281
Washington Prime Group Inc.1,993,23011,266
PolyOne Corporation384,32111,265
Univar Inc.508,16211,261
The ONE Group Hospitality, Inc.320,39911,237
Eagle Energy Trust133,14011,225
AZZ Incorporated243,76711,218
Mirati Therapeutics, Inc.152,93711,206
First Financial Bankshares193,80711,200
Comverse, Inc.420,45311,196
Crane Company133,88711,172
Lan Chile S.A.338,42111,165
Marten Transport615,03411,162
Callaway Golf Company700,56311,161
Geo Group Inc (The)530,80411,151
Cambrex Corporation238,02011,142
Owens Corning Inc235,96911,122
LGI Homes155,65311,118
Forward Air Corporation171,65911,111
Rush Enterprises265,72511,110
Bankers Investment Trust Plc384,91111,108
Redwood Capital Bancorp (CA)687,17511,098
SITE Centers Corp.814,70411,098
Signet International Holdings, Inc.408,28311,089
Interface280,44511,089
Amarin Corporation PLC571,82111,087
Spartan Stores698,41211,085
Silgan Holdings374,00411,082
W.W. Grainger36,83111,080
Sodexo 280,22411,077
Arcosa, Inc.294,27811,073
Vanguard Energy Corporation123,25411,064
Therapy Cells, Inc.460,82111,059
AGIC Convertible & Income Fund II2,189,42911,046
Varex Imaging Corp325,59411,031
Pebblebrook Hotel Trust390,84511,029
Kraton Performance Polymers353,76910,992
Silgan Holdings359,08410,989
Tempur-pedic International Inc149,69710,987
Franklin Electric Co.214,79910,974
PTC Therapeutics7,098,92610,973
Oxford Industries145,78010,971
Group 1 Automotive169,26310,951
Cardiovascular Systems254,43010,923
Associated Banc-Corp510,87010,907
Valley National Bancorp1,025,05010,899
Summit Materials685,87910,886
Janus Henderson Group435,16810,871
The Kroger Company481,65610,870
First Commonwealth Financial Corporation806,43910,863
Exterran Corp763,77810,861
iBrands Corp.248,29310,858
Mesa Laboratories44,41610,853
RHB Capital93,87510,852
Meritage Corporation242,43110,839
STMicroelectronics N.V.614,96010,836
Genuine Parts Company96,44110,820
Schnitzer Steel Industries413,09610,811
Shutterfly213,64310,799
8x8 Inc533,88810,784
Lexington Realty Trust1,189,54110,779
Regency Affiliates, Inc.159,60110,772
Innoviva5,405,83010,766
M.D.C. Holdings370,50710,766
Fidelity Southern Corporation393,01510,765
The Providence Service Corporation702,65410,750
RESIDEO TECHNOLOGIES, INC.556,94710,745
Associated Banc-Corp508,08710,742
Anglo Am Plc Adr373,33810,737
FormFactor666,94310,730
Matrix Service Company528,32910,706
Software AG48,99810,706
First Trust Advantaged Short Duration High Yield Bond Fund137,35510,702
Regal Beloit Corporation130,29110,669
Tesla Exploratin Services Inc.47,73010,666
Boise Cascade Holdings LLC379,23610,659
Blackrock Corporate High Yield Fund475,24510,656
Matson274,02610,646
GrafTech International Ltd925,26510,641
Neogenomics Inc.519,97510,639
Carbonite408,35910,634
JD.com Inc351,03610,633
TRIBUNE MEDIA CO230,34210,628
United Fire Group242,90310,617
Pebblebrook Hotel Trust341,55810,615
Eagle Energy Trust114,25710,591
Photronics1,290,45910,582
Vishay Intertechnology572,27310,570
Tiffany & Co.99,95810,558
Official Payments Holdings93,72410,557
SITE Centers Corp.796,68610,549
Cheniere Energy154,21510,543
Schnitzer Steel Industries439,10710,540
Olin Corporation480,51810,528
IFAN Financial, Inc.84,34810,519
Bankers Investment Trust Plc362,76710,516
Werner Enterprises307,90010,515
Martin Marietta Materials52,25610,512
The ONE Group Hospitality, Inc.338,51210,511
Kaiser Aluminum Corporation100,34410,509
Timken Company (The)204,56110,502
GrafTech International Ltd820,69110,497
MongoDB, Inc.68,97710,490
LTC Properties229,01810,489
Monotype Imaging Holdings Inc.622,76010,488
Knoll456,27710,486
Tennant Company168,77110,479
Preferred Bank221,44310,464
Church & Dwight Company143,09810,454
Office Depot5,067,77910,438
NewMarket Corporation24,06010,436
Blucora343,31510,426
Dril-Quip217,09610,421
Prudential Public Limited Company237,75810,417
Fidelity Bancorp199,78210,415
Ferro Corporation658,94410,411
Safety Insurance Group109,43910,411
Shake Shack176,45410,407
Hanger543,40710,407
BancFirst Corporation186,77610,396
First Trust Advantaged Short Duration High Yield Bond Fund138,81510,396
Banco Macro S.A.227,05310,389
CommVault Systems208,99010,372
Puma Exploration, Inc.267,29310,371
Marten Transport581,49410,369
Cousins Properties Incorporated1,072,92410,364
Matrix Service Company528,75110,353
Heartland Express536,84710,351
Banco Popular345,82310,348
Genomic Health147,67910,345
Mohawk Industries70,14710,345
InterDigital156,61210,333
William Lyon Homes672,08110,330
CNP Assurances SA360,93610,327
LTC Properties226,08210,323
Acadia Healthcare Company294,54810,304
Hanger540,80210,302
Tanger Factory Outlet Centers490,53710,294
Installed Building Products173,79110,292
International Lithium Corp.259,47010,273
Ethan Allen Interiors Inc.536,89310,273
REATA PHARMACEUTICALS INC120,17310,271
Marriot Vacations Worldwide Corporation109,61910,249
Lan Chile S.A.333,57110,226
Kite Realty Group Trust639,25210,222
Hibbett Sports448,08110,220
Vanguard Energy Corporation120,24810,218
HUB Power Co., Ltd.243,36510,216
Marriot Vacations Worldwide Corporation105,85910,207
Yelp Inc.295,75710,204
Incyte Corporation119,93410,191
Matson282,23010,185
Northwest Bancshares577,66810,173
SolarEdge Technologies269,98710,172
Eaton Vance Tax-Managed Global Diversified Equity Income Fund677,31710,170
Universal Corp.176,42210,167
Carbon Black, Inc.728,27810,160
Healthcare Realty Trust Incorporated316,28710,156
AZZ Incorporated248,06810,153
Atara Biotherapeutics, Inc.255,04310,138
Enterprise Financial Services Corporation243,60610,134
Callaway Golf Company590,30010,130
Milacron Holdings Corp.733,94010,128
Heska Corporation118,83310,121
Johnson Outdoors Inc.141,74410,115
Megacable Holdings SAB DE CV100,36810,113
Cheniere Energy147,51110,100
Hawaiian Electric Co., Inc.367,91610,092
Evoqua Water Technologies Corp.801,20810,079
Centennial Resource Development1,145,68910,070
United States Steel Corporation516,57010,068
Ishares Canadian Dex Universe Bond Index Fund168,93010,067
Harsco Corporation499,27910,065
Teradyne6,200,00010,058
World Fuel Services Corporation348,03110,054
Toyota Tsusho Corp.85,16210,046
Seacoast Banking Corporation of Florida381,26410,046
Illumination Amer Inc6,502,00010,028
SMARTSHEET INC207,08910,023
TREE TOP INDUSTRIES, INC.4,800,00010,011
iShares II plc.66,0539,991
Garmin Ltd.115,7959,989
USLIFE Income Fund131,6149,985
Urban Outfitters438,6699,981
Encore Capital Group Inc6,169,5799,980
CoreLogic238,4719,975
Eldorado Resorts, Inc.216,4299,971
Toyota Tsusho Corp.80,3769,966
Interactive Health Network183,6669,955
Healthcare Realty Trust Incorporated317,7919,953
Palomar Holdings, Inc.413,9649,951
Valley National Bancorp1,037,7889,943
McCormick & Company65,8649,921
EDGEWELL PERSONAL CARE Co225,8109,912
Air Transport Services Group7,605,4799,911
Rayonier Inc. REIT326,7369,900
Quanterix Corp383,3639,899
Home BancShares513,7579,895
ChemoCentryx333,4179,894
Hamilton Lane INC173,9569,888
Akamai Technologies137,8799,886
Integrated Research Ltd.177,2559,877
Home BancShares560,8049,857
Tempur-pedic International Inc170,6499,842
Globus Medical199,0979,837
Sally Beauty Holdings737,3149,836
First Trust NASDAQ-100-Technology Sector Index Fund314,5319,833
NRG Energy, Inc.9,200,0009,827
American Woodmark Corporation116,1029,825
HFF215,8929,820
InterDigital152,4589,818
Robo 3D Ltd.245,1469,800
Safety Insurance Group112,4359,798
Enterprise Financial Services Corporation240,1979,791
Natus Medical Incorporated380,2659,769
Interactive Health Network188,2109,765
Towne Bank357,5389,754
Rent-A-Center Inc.467,2819,753
Enersys149,6459,750
National Bank of Greece S.A.37,9259,747
Genuine Parts Company93,9539,745
National Bank of Greece S.A.37,1259,745
2U, Inc.137,5419,742
GLAUKOS Corp129,0769,731
Heartland Express537,8549,720
Bigsupersearch.com, Inc.255,6109,720
Sturm178,4079,719
Preferred Bank215,7069,702
Annaly Capital Management Inc1,080,4869,697
BJ's Restaurants204,9849,691
Berkshire Hills Bancorp308,3469,678
Kiniksa Pharmaceuticals, Ltd.534,6259,656
McCormick & Company62,2829,655
Kaiser Aluminum Corporation98,8499,649
Heritage Commerce Corp787,6639,647
Piper Jaffray Companies129,8319,642
Proofpoint79,7569,636
New York Mortgage Trust1,553,3729,632
Weibo154,8479,600
Sturm181,0579,599
Ishares Canadian Dex Universe Bond Index Fund158,2539,596
International Lithium Corp.247,3259,586
Perpetual Energy Inc.364,9109,572
Hormel Foods Corporation235,9129,563
Asbury Automotive Group Inc137,8299,560
Integrated Research Ltd.171,0909,555
BancFirst Corporation182,9389,541
RATTLER MIDSTREAM LP491,6709,534
Schoeller Bleckmann Oilfield Equipment AG252,4439,514
Select Medical Holdings Corporation596,7489,470
PHIBRO ANIMAL HEALTH CORP297,7079,458
Rudolph Technologies414,6689,454
LivePerson325,7319,453
Westamerica Bancorporation152,8619,448
ADTRAN753,7549,446
Provident Financial Services364,8009,444
United Resource Holdings Group, Inc.82,7149,443
Bank of Hawaii Corporation119,5699,430
Weingarten Realty Investors320,8119,423
Cabot Corporation225,5029,389
International Flavors & Fragrances, Inc175,0009,389
Central Garden & Pet Company380,9239,386
LeMaitre Vascular302,6389,382
SCOTTS LIQUID GOLD INC119,3309,378
C&J Energy Svcs Inc.794,9989,365
priceline.com Incorporated6,507,0009,364
ADTRAN713,5209,359
Proofpoint77,6839,358
Central Europe and Russia Fund324,2659,352
NanoString Technologies308,1379,351
Shutterstock 200,5189,350
C&J Energy Svcs Inc.600,9169,326
Software AG44,1829,315
Central Europe and Russia Fund310,7669,311
Kite Realty Group Trust614,9709,304
Avon Products2,397,4009,302
Westinghouse Air Brake Technologies Corporation126,0669,298
Chesapeake Energy Corp.2,996,4919,289
Apergy Corp276,5819,277
AO Mosenergo119,9659,273
Global Net Lease490,1719,264
Advanced Info Service Public Co., Ltd.282,4289,260
Nano-Textile Ltd246,7679,256
First Commonwealth Financial Corporation734,5909,255
Regency Affiliates, Inc.138,6209,251
Sanofi239,6249,246
Bank of Hawaii Corporation111,4849,244
New York Community Bancorp546,6329,243
Towne Bank373,1669,236
Cyrela Commercial Properties S.A.5,500,0009,231
ANI Pharmaceuticals112,2619,227
Meredith Corporation166,9599,225
STMicroelectronics N.V.621,0439,223
KSW Inc79,4959,220
Legg Mason, Inc.284,4139,199
Patterson Companies420,8559,194
Cray Inc263,8509,187
Novavax23,340,0009,185
Sleepaid Hldg Co226,9649,166
Flextronics International Ltd.916,1569,161
Getty Realty Corporation285,9569,161
Whirlpool Corporation68,9049,158
Bouygues 374,8789,157
The Cash Store Financial Services Inc.168,3809,150
Global Net Lease466,1439,146
MGM Growth Properties LLC354,9449,140
Eaton Vance Tax-Managed Global Diversified Equity Income Fund608,1769,137
Summit Hotel Properties799,0249,117
Summit Hotel Properties794,1509,108
Sykes Enterprises321,5669,094
Timken Company (The)208,1859,082
LivePerson323,9079,082
Eldorado Resorts, Inc.194,4019,076
Sanderson Farms68,7509,064
The Navigators Group129,7139,063
CleanPath Resources Corp.126,6599,060
Knowles494,2389,049
Spartan Stores775,3769,049
BanColombia S.A.177,1509,043
Nano-Textile Ltd250,8869,035
Community Service Communications189,5869,021
Generac Holdlings Inc.175,5548,993
United Therapeutics Corporation115,1538,989
Physicians Realty Trust515,3168,986
Seacoast Banking Corporation of Florida352,5708,970
Blucora268,6978,969
Eaton Vance Limited Duration Income Fund708,8368,967
Central Garden & Pet Company385,4888,963
The Kroger Company426,3678,959
iShares MSCI206,5498,958
Natus Medical Incorporated352,1848,939
Cabot Corporation187,3748,939
Relx365,6758,926
Renewable Energy Trade Board Corp.406,7948,922
eHealth103,6078,921
Gulfport Energy Corporation1,109,9598,902
LPL Financial Holdings Inc.127,7718,900
MaxLinear348,3318,893
Macerich Company (The)204,9448,885
Ebix Inc176,6628,871
Intellisense Solutions Inc.46,2108,867
Arcosa, Inc.290,1398,865
Wendy's Company (The)494,2178,848
National Presto Industries81,5068,848
Meredith Corporation160,5998,843
ScanSource246,8548,842
Blackrock Diversified Income Strategies Fund144,9848,840
Wells Fargo Advantage Multi-Sector Income Fund730,1748,834
First Trust NASDAQ-100-Technology Sector Index Fund283,8958,818
Customers Bancorp, Inc.419,7868,815
Cooper-Standard Holdings Inc.192,3478,814
Actuant Corporation354,9428,807
Knowles499,4038,804
Heidrick & Struggles International229,5798,797
Everest Re Group40,7468,797
Century Bancorp, Inc.989,5638,787
Mobile Mini258,5338,774
Actuant Corporation359,8668,770
Piper Jaffray Companies120,3238,764
Kemet Corporation465,7158,760
CleanPath Resources Corp.123,1498,756
Boston Beer Company29,7028,754
DEWEY ELECTRONICS CORP200,0708,747
Acadia Healthcare Company298,3968,746
Oxford Industries115,3538,744
Meridian Bioscience Inc.495,5728,727
Uniti Financial Corp.917,8758,721
Rush Enterprises238,6128,714
Glu Mobile Inc.796,2388,712
Itron186,5598,702
United Dominion Realty Trust191,2848,696
Arch Capital Group Ltd.309,2748,693
Provident Financial Services358,4258,692
Great Lakes Dredge & Dock Corporation785,7418,675
AXA Equitable Holdings, Inc.414,7398,669
Church & Dwight Company121,6798,668
Dick's Sporting Goods Inc235,4578,666
Teradyne6,200,0008,663
Enviva Partners, LP275,6798,662
VANJIA CORP50,3798,658
New York Community Bancorp561,8708,647
ETERNITY HEALTHCARE INC.560,4848,608
AXA Equitable Holdings, Inc.426,8468,598
PTC Therapeutics5,849,0118,597
Praxsyn Corporation305,4358,595
ServisFirst Bancshares, Inc.254,5278,593
Douglas Dynamics225,6848,591
Box Ships Inc.444,7018,589
Enviva Partners, LP265,6798,568
ServisFirst Bancshares, Inc.249,7558,557
Malibu Boats215,9918,550
Winnebago Industries274,4588,548
Newrange Gold Corp.8,000,0008,535
The Cash Store Financial Services Inc.146,0308,524
Select Medical Holdings Corporation604,7888,522
Energizer Tennis Inc.189,6568,521
NETGEAR257,2598,520
FIBROGEN INC156,6518,514
Bruker Corporation221,4398,513
Community Trust Bancorp201,2398,511
Green Dot Corporation174,0058,509
Innovative Gaming Corporation of America68,8348,507
Cal-Maine Foods190,3918,497
Getty Realty Corporation275,7408,483
Pure Pharmaceuticals Corp.555,5048,481
Vici Pptys Inc.388,0488,472
TrustCo Bank Corp NY1,069,1978,471
Codexis458,9498,460
Movado Group, Inc.232,4428,457
JPMorgan Chase Bank NA152,0688,454
Ericsson888,3248,439
Berkshire Hills Bancorp309,6718,436
Vornado Realty Trust125,0058,429
WisdomTree Middle East Dividend Fund214,4018,429
Stamps.com Inc.103,5228,428
Malibu Boats216,9048,427
Archrock794,8758,425
Sykes Enterprises306,7358,423
Senior Housing Properties Trust715,0318,422
Northrim BanCorp Inc236,1268,422
Novavax23,355,9898,412
City Holding Company110,3428,408
Trinity Industries386,8418,406
Metals USA Holdings Corp.98,1598,405
First Trust Exchange-Traded Fund II First Trust ISE Global Pla457,8068,405
Perpetual Energy Inc.322,7768,393
Evans Brewing Co Inc.857,1538,392
Tokyu Corp.550,0008,382
Ravenquest Biomed Inc.218,3248,378
Generac Holdlings Inc.120,5958,370
Glatfelter495,8508,369
FormFactor533,7308,363
Aegerion Pharmaceuticals12,460,0008,351
Shenyin Wanguo H.K. Ltd188,2168,349
Vanda Pharmaceuticals Inc.453,5688,347
Meridian Bioscience Inc.702,6768,347
Amkor Technology976,9688,343
Tokyu Corp.575,0008,326
United Dominion Realty Trust185,0938,310
First Financial Corporation Indiana197,7358,304
Echo Global Logistics334,9748,300
Bed Bath & Beyond Inc.713,8178,298
Sprouts Farmers Market Inc385,1218,296
First Financial Corporation Indiana206,4778,294
Huntington Ingalls Industries36,8608,293
COLUMBIA PROPERTY TRUST, INC.399,3548,283
Mohawk Industries65,6498,281
ANI Pharmaceuticals117,3918,281
Methode Electronics287,2658,267
Nanometrics Incorporated267,5168,261
Prudential Public Limited Company205,1398,260
Mallinckrodt Plc378,5548,229
LeMaitre Vascular294,0988,228
Alexander's356,1868,228
United States Steel Corporation536,2718,211
Pimco Corporate & Income Stategy Fund81,7938,194
Pimco Corporate & Income Stategy Fund81,4328,193
FBL Financial Group128,3038,186
Sanofi211,6558,177
Sunrise Telecom, Inc.175,7948,176
ETERNITY HEALTHCARE INC.580,2608,175
TrustCo Bank Corp NY1,052,2748,169
MTS Systems Corporation139,5288,167
Evans Brewing Co Inc.820,0338,159
Silicon Laboratories7,500,0008,140
Pure Storage8,500,0008,139
MaxLinear347,1168,136
priceline.com Incorporated6,007,0008,119
Carbonite327,2888,119
Floor & Decor Holdings, Inc.196,9198,116
Cambrex Corporation208,8548,114
AngioDynamics354,7308,108
Greenbrier Companies251,2348,098
Atlas Air Worldwide Holdings160,1458,097
Tiffany & Co.86,3428,093
Hadera Paper Ltd.222,9198,092
Career Education Corporation734,7038,082
AeroVironment118,0638,076
Karelia Tobacco Co Inc140,7298,067
Addus HomeCare Corporation107,6058,066
Century Bancorp, Inc.1,166,6308,062
Cray Inc309,4038,059
FORESCOUT TECHNOLOGIES, INC192,1698,053
International Flavors & Fragrances, Inc160,0008,049
Momenta Pharmaceuticals553,9478,049
Fox Corporation244,9358,047
Northrim BanCorp Inc233,6258,041
Ericsson874,0378,026
Casella Waste Systems225,5358,020
Pacific Gas & Electric Co.450,5458,020
Fulton Financial Corporation489,6538,015
Shutterfly197,1068,011
Hanmi Financial Corporation358,7237,989
Del Monte Pacific Ltd.295,5037,988
W.T.B. Financial Corp.104,8697,982
Atkore International Group Inc.370,5237,976
Tennant Company130,1947,968
Luxoft Holding Inc135,3427,946
Capital City Bank Group319,5857,942
Mind Solutions Inc.278,2577,941
John Wiley & Sons179,4227,934
Hanmi Financial Corporation372,6677,926
Community Trust Bancorp193,0197,926
CorVel Corp.91,0427,922
Megacable Holdings SAB DE CV81,9867,920
Bouygues 380,0777,910
Cincinnati Financial Corporation76,0787,899
FBL Financial Group125,6237,879
Cohen & Steers Limited Duration Preferred and Income Fund153,1457,877
City Holding Company103,2497,874
VGambling Inc.55,6297,873
JPMorgan Chase Bank NA212,5787,866
Tabula Rasa HealthCare, Inc.139,3487,861
Symantec Corporation341,4857,851
Cal-Maine Foods188,0717,846
Parsley Energy412,5587,843
Valmont Industries60,2557,840
Matador Resources Company394,3207,839
Valmont Industries61,7997,837
Relx365,2297,834
Apache Corporation225,8807,831
Customers Bancorp, Inc.427,0717,819
CoreLogic209,8197,818
NIC Inc.457,4507,818
CenterState Banks327,4547,796
Mobile Mini255,7057,781
Adaptive Medias, Inc.160,5977,756
TrueBlue351,5177,755
Caleres313,4607,740
CryoLife258,1227,725
Coca-Cola Bottling Co. Consolidated25,7917,718
Advanced Info Service Public Co., Ltd.299,4407,717
Monotype Imaging Holdings Inc.387,5347,708
Hadera Paper Ltd.217,6787,702
Ravenquest Biomed Inc.214,3747,692
CenterState Banks333,5907,682
Dycom Industries130,3717,676
The Andersons281,7427,674
Officemax Incorporated277,6467,674
Madison Ventures Inc.351,8297,650
Sanderson Farms56,0267,649
Essent Group175,8037,639
Bloomin' Brands373,0867,633
Arconic2,784,7147,621
Lancaster Colony Corporation48,6307,619
COVETRUS, INC.239,1007,616
EZCORP803,8497,612
Douglas Dynamics191,0817,604
Prestige Brand Holdings254,0927,600
SRC Energy1,531,9527,599
Arconic2,853,8837,581
Standard Motor Products154,2627,578
Urban Barns Foods Inc.398,6217,574
Greenhill350,8527,548
Sensient Technologies Corporation102,6847,544
Coca-Cola Bottling Co. Consolidated26,1917,539
Atlas Air Worldwide Holdings168,8507,538
Greif Bros. Corporation230,5557,515
Methode Electronics263,0427,514
U.S. Silica Holdings432,7787,513
Trinseo S.A.165,5007,496
John B. Sanfilippo & Son94,0357,495
Energizer Tennis Inc.193,9477,494
Coherus BioSciences, Inc.549,3237,493
DEWEY ELECTRONICS CORP184,0497,483
Ascendis Pharma63,5837,481
Varonis125,4107,478
CECO Environmental Corp.392,0487,476
CNX Coal Resources LP651,1097,468
Retail Properties of America633,1517,446
Sodexo 198,4897,439
Kontoor Brands, Inc.264,7517,418
Cabot Oil & Gas Corporation322,6177,408
JPMorgan Chase Bank NA215,8387,402
Alexander's290,7097,396
Intertainment Media, Inc.520,1017,375
Textainer Group Holdings Limited764,2637,375
Metals USA Holdings Corp.87,4777,351
Intellisense Solutions Inc.40,2087,351
TriCo Bancshares186,9297,344
Arrin Corp.199,5537,342
Carmax Mining Corp.84,5307,341
Amkor Technology983,3997,336
Therapeutics MD Inc1,505,3747,331
Kemet Corporation431,9437,331
Colfax Corporation246,9287,328
Green Dot Corporation120,5577,311
Mednax268,9207,307
Amarin Corporation PLC351,5777,299
Compass Minerals Intl Inc134,1967,296
TriCo Bancshares192,9747,295
Canada Strategic Metals, Inc.254,6007,286
Shenyin Wanguo H.K. Ltd188,8467,275
NIC Inc.452,6987,261
CVR Energy Inc.176,0667,252
Lyft, Inc.92,6127,248
Nokia Corporation1,265,4947,239
Jacobs Engineering Group Inc.85,7577,238
Corcept Therapeutics Incorporated616,1167,234
Plantronics156,8577,233
THC Biomed International Ltd.250,5827,227
Helix TCS, Inc.837,2557,225
Greenbrier Companies237,3167,214
EZCORP773,9347,213
Retail Properties of America591,5107,210
Archrock737,1457,209
Trinity Industries347,2737,206
CIAO Group, Inc.244,5597,203
Nutanix, Inc.276,4887,177
ChemoCentryx184,0247,175
Ebix Inc145,2577,172
Triumph Ventures Corp376,1097,169
FireEye Inc483,8437,166
Officemax Incorporated272,6767,164
Universal Health Services53,5217,160
Sensient Technologies Corporation105,5747,156
US Ecology120,1467,154
Avon Products2,432,7407,152
ROKU, INC78,9237,149
SurModics163,9617,128
OraSure Technologies637,8567,112
Builders FirstSource420,5967,091
Trustmark Corporation210,7317,087
Amneal Pharmaceuticals, Inc.987,6087,082
Providence and Worcester Railroad Company106,2567,079
Mind Solutions Inc.265,7377,074
Greif Bros. Corporation171,3877,072
Heidrick & Struggles International235,2867,051
MACROGENICS INC391,6857,043
Granite Oil Corp 366,9397,041
Urban Barns Foods Inc.406,2957,041
Lancaster Colony Corporation47,3547,037
E.W. Scripps Company (The)334,8247,031
Cerus Corporation1,127,9347,027
W.W. Grainger26,2047,027
FTS International, Inc.397,6247,024
Provident New York Bancorp334,1107,013
NanoString Technologies292,3366,996
Canopy Growth Corporation173,4456,986
Halozyme Therapeutics406,3876,982
Karelia Tobacco Co Inc130,2556,976
CrowdStrike Holdings, Inc.102,0826,971
Nanometrics Incorporated200,7496,968
Nuveen Dividend Advantage Municipal Fund 3438,8876,966
American Woodmark Corporation84,2156,959
Farmland Partners Inc.985,8896,951
Empire State Realty Trust, Inc.439,8916,950
Chatham Lodging Trust (REIT)360,9146,944
American Airlines Group218,6316,943
Stewart Enterprises162,5306,939
JPMorgan Chase Bank NA127,8766,936
The Cheesecake Factory Incorporated158,6196,935
John B. Sanfilippo & Son96,4306,931
Mednax274,7206,931
Denbury Resources3,379,5446,930
Federal Realty Investment Trust50,2306,930
Apache Corporation238,8546,921
Standard Motor Products152,3886,909
3D Systems Corporation641,3476,900
SRC Energy1,346,2666,893
Terra Nitrogen Company219,4306,890
Addus HomeCare Corporation108,3326,889
TTM Technologies675,3286,888
Helios Strategic Income Fd148,2576,881
FTS International, Inc.287,7396,878
LGI Homes114,1136,875
Health Insurance Innovations256,1936,872
Sprouts Farmers Market Inc363,6026,870
CVR Energy Inc.137,3876,868
Fulton Financial Corporation443,0436,859
Oil States International403,6246,845
US Ecology122,1886,841
Genworth Financial Inc1,784,6096,836
Criteo341,2996,833
Capital City Bank Group313,5856,830
CTS Corporation232,5016,828
Cohen & Steers Dividend Majors Fund60,6106,827
Aritzia Inc.7,000,0006,827
Farmland Partners Inc.1,065,5816,819
Luminex Corporation295,8086,806
Colfax Corporation242,7466,804
The Hackett Group404,9956,800
Easterly Government Properties, Inc.375,4936,799
Linx SA745,2496,797
PulteGroup242,7506,795
Gannett Co.644,4456,793
Praxsyn Corporation253,1336,786
Perficient197,6966,785
Federal Realty Investment Trust52,6136,781
Digi International Inc.532,9696,751
The Middleby Corporation49,7516,750
Deutsche Bank AG300,3976,731
Helix TCS, Inc.850,1286,725
TrueBlue284,3736,723
IMPINJ INC234,7796,707
Momenta Pharmaceuticals537,8576,696
Corcept Therapeutics Incorporated600,5156,696
Outfront Media259,3666,691
Robo 3D Ltd.172,5426,690
Viper Energy Partners LP201,7076,689
Canada Strategic Metals, Inc.241,9536,689
American Airlines Group205,1136,687
Realogy Holdings922,9726,683
SunCoke Energy751,9106,676
The Gorman-Rupp Company196,6536,674
iStar Inc.6,500,0006,670
Deutsche Bank AG294,1666,669
PPlus Trust181,8106,667
Patrick Industries135,4966,665
Nuveen Dividend Advantage Municipal Fund 3440,2916,652
James River Group Holdings, Ltd.165,9376,650
Universal Health Services50,8526,630
Scholastic Corporation166,2816,611
Ternium S.A.242,7166,607
EEStor Corporation182,8996,600
AeroVironment116,0266,586
Kelly Services251,4136,585
Fossil479,7616,582
Genworth Financial Inc1,768,5396,559
Patrick Industries144,6356,556
Stratasys275,2006,556
Nabors Industries Ltd.1,901,9956,543
Granite Oil Corp 351,7186,532
Knoll345,3006,530
Cincinnati Financial Corporation75,8296,525
FARO Technologies124,0656,524
Nelnet110,0696,518
Empire State Realty Trust, Inc.439,8976,515
Piedmont Office Realty Trust312,1256,508
Terra Nitrogen Company202,3726,503
Olympic Steel409,3666,496
CECO Environmental Corp.393,0336,494
Great Lakes Dredge & Dock Corporation728,4406,490
The First of Long Island Corporation295,8956,489
Glatfelter459,4896,487
Chatham Lodging Trust (REIT)343,6476,484
Pacific Gas & Electric Co.282,6656,480
Garrett Motion Inc.422,1636,479
Matthews International Corporation175,1926,473
Trustmark Corporation194,6676,471
Modine Manufacturing Company466,3546,469
Bigsupersearch.com, Inc.225,9386,463
RE/MAX Holdings, Inc.167,6696,461
ScanSource198,3136,458
Nelnet117,2456,458
NATIONAL MENTOR HOLDINGS, INC.205,4436,457
Kennedy-Wilson Holdings Inc.301,3666,451
International Spirit & Beverage Group, Inc. 139,5536,444
Box Ships Inc.365,8646,443
Primo Water Corporation418,9566,430
Wynn Resorts53,8366,424
THC Biomed International Ltd.310,7996,422
Ally Financial Inc207,1476,422
DoubleLine Income Solutions Fund321,2856,416
Spectrum Pharmaceuticals600,1586,415
Blackrock Enhanced Equity Dividend Trust723,1726,415
Ezaki Glico Co., Ltd.117,2486,411
Viacom Inc.227,2766,390
Triumph Ventures Corp278,7686,384
BHP Billiton Limited116,5836,375
AmeriGas Partners182,8186,370
Western Uranium Corp689,7166,366
BancorpSouth219,0486,362
Atlassian Corporation56,5466,357
Armour Residential R325,4216,355
Oil States International346,8736,348
Rapid7, Inc.109,2666,319
eHealth101,3556,318
TREE TOP INDUSTRIES, INC.3,600,0006,312
Garrett Motion Inc.428,3606,311
Schneider National, Inc.345,4286,299
Viad Corp111,7756,292
W.T.B. Financial Corp.80,6096,291
BancorpSouth222,8436,289
Prestige Brand Holdings198,5146,289
Tenable Holdings, Inc.220,1886,284
PPlus Trust179,5016,278
Vanguard Short Term Government Bond ETF128,8866,274
Shoprite Holdings Ltd.20,9006,273
The First of Long Island Corporation312,3556,272
Schoeller Bleckmann Oilfield Equipment AG168,2536,266
CONSOLIDATED GEMS, INC.183,0086,263
BMC Stock Holdings295,4606,262
Inogen65,5866,256
The Middleby Corporation48,0966,255
Plantronics168,8806,255
The Gorman-Rupp Company190,4836,253
Echo Global Logistics299,3806,249
Allscripts Healthcare Solutions536,7326,242
Modine Manufacturing Company435,1446,226
Canadian Pacific Railway Limited30,1716,218
MarineMax324,2496,214
CTS Corporation225,2786,213
Tableau Software37,4156,211
Madison Ventures Inc.299,3496,209
Universal Health Realty Income Trust73,0076,202
Easterly Government Properties, Inc.344,0586,196
Alps Electric Co. Ltd.144,8666,180
Ares Capital Corporation6,015,0006,180
Comverse, Inc.233,4346,178
Lindsay Corporation63,7346,169
Macerich Company (The)184,2246,169
Blueprint Medicines Corp65,3776,166
GME Resources Ltd.606,4006,162
Compass Minerals Intl Inc112,0336,156
Guess?313,6336,147
Abercrombie & Fitch Company383,1796,146
Stewart Enterprises151,5506,136
Digi International Inc.483,4466,131
Veritex Holdings, Inc.252,9706,127
Jacobs Engineering Group Inc.81,4516,125
PlayAGS314,4106,115
Discovery Communications214,9476,114
CryoLife209,4526,110
Astec Industries161,2106,088
iShares S&P Global Nuclear Index Fund180,6256,088
NETGEAR240,3536,078
Brown-Forman Corporation Class B 109,4726,073
Legg Mason, Inc.190,8616,071
Nuveen Preferred and Income Term Fund269,7146,063
Astec Industries185,8756,052
Southside Bancshares182,0356,049
Matica Enterprises Inc465,2956,049
Kinsale Capital Group, Inc.88,0926,040
Nuveen Preferred and Income Term Fund254,7026,031
L.B. Foster Company220,5166,029
Nuven Mortgage Opportunity Term Fund 2103,1416,022
IAA, Inc.155,0386,012
Matthews International Corporation172,1586,000
Arrin Corp.184,5055,998
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF114,3235,987
Kresta Holdings Ltd.116,6165,980
Nuveen AMT-Free Municipal Income Fund391,2215,977
Third Point Reinsurance575,4585,973
EDGEWELL PERSONAL CARE Co221,5375,968
Dell Technologies Inc.117,3945,963
The Graystone Company, Inc.48,0945,956
Ares Capital Corporation6,000,0005,955
Marcus Corporation (The)148,6945,955
Acorn International7,000,0005,954
AVALARA INC73,0895,952
Fossil517,3715,951
Cars.com Inc.260,8035,947
AngioDynamics301,5225,938
Stamps.com Inc.130,9885,930
World Acceptance Corporation50,6275,929
Evolent Health470,7475,922
Blackrock Enhanced Equity Dividend Trust694,6655,918
Lydall252,2275,917
Luminex Corporation285,9315,902
U.S. NeuroSurgical, Inc.118,7725,902
Macy's Inc244,6435,891
International Spirit & Beverage Group, Inc. 128,7555,885
Shutterstock 149,9465,877
Incyte Corporation68,2855,875
Schuff International, Inc.106,7625,875
Shoprite Holdings Ltd.28,2575,839
Enerplus Corporation694,2915,839
Dynamic Gold Corp.92,1195,836
Carmax Mining Corp.83,4115,830
Nuveen Arizona Dividend Advantage Municipal Fund437,8035,827
IPG Photonics Corporation37,7555,824
Southside Bancshares179,7445,821
VALE S.A.432,8045,816
Chesapeake Energy Corp.2,981,9445,814
3D Systems Corporation638,7795,812
Cactus163,2015,808
Smart Balance Inc1,172,4085,793
Uniti Financial Corp.517,5455,791
E.W. Scripps Company (The)378,5795,788
Tanger Factory Outlet Centers356,9375,787
Piedmont Office Realty Trust289,8605,778
Provident New York Bancorp289,9515,777
Canadian Pacific Railway Limited24,4595,756
Lindsay Corporation69,9995,754
SEACOR Holdings120,9645,747
COVETRUS, INC.234,7955,744
Schuff International, Inc.101,9285,742
Miller/Howard High Income Equity Fund504,7135,739
Olympic Steel420,3865,738
Acorn International6,500,0005,736
Dick's Sporting Goods Inc165,4375,729
iShares S&P Global Nuclear Index Fund176,2975,724
Fidelity Nasdaq Composite Index Tracking Stock18,2815,716
Huntington Ingalls Industries27,5765,715
DoubleLine Income Solutions Fund286,5535,711
ALAMOGORDO FINANCIAL CORP57,1095,707
Senior Housing Properties Trust688,8325,696
Shoe Carnival167,2655,692
Kinsale Capital Group, Inc.62,2125,691
Ishares III Plc113,9465,690
NATIONAL MENTOR HOLDINGS, INC.185,0685,687
Federal Agricultural Mortgage Corporation78,2405,684
Avis Budget Group163,0165,683
Federal Agricultural Mortgage Corporation78,4095,682
Direxion Shares ETF Trust141,4165,669
Independence Holding Company489,6905,667
Ally Financial Inc206,1515,666
Universal Health Realty Income Trust74,6825,654
Miller/Howard High Income Equity Fund509,0485,650
Willis Towers Watson32,1355,647
Dell Technologies Inc.96,1995,646
Interface Inc.367,9285,636
e.l.f. Beauty, Inc.400,2195,636
National-Oilwell Varco253,4655,633
CNX Coal Resources LP650,8995,628
InVitae239,3185,624
Innovative Gaming Corporation of America68,8435,623
Installed Building Products115,8465,618
NextGen Healthcare Inc282,1855,616
Lydall277,8355,612
Interface Inc.365,9355,611
ExactTarget676,2455,606
ExactTarget686,5815,588
Mercury General Corporation89,3005,581
Goosehead Insurance, Inc.116,6685,576
Kelly Services252,7235,574
Cohen & Steers Dividend Majors Fund49,9955,561
Source Capital150,4985,559
Rapid7, Inc.109,7845,557
Molson Coors Brewing Company99,1825,555
Avis Budget Group157,7555,547
JAGGED PEAK, INC.529,6515,546
QEP Resources709,7795,529
The Cheesecake Factory Incorporated113,0235,529
Hibbett Sports303,0725,516
Indianapolis Power & Light Co.155,8675,513
Welbilt336,5615,513
iStar Inc.6,000,0005,505
Tompkins Financial Corporation67,3925,500
Indianapolis Power & Light Co.155,9335,484
Perficient199,9335,476
Invesco Municipal Income Opportunities Trust713,7495,467
Oritani Financial Corp.299,3315,466
Enerplus Corporation725,0535,460
BHP Billiton plc106,9775,456
Renewable Energy Trade Board Corp.344,0855,456
PetIQ, Inc.173,8885,454
Saul Centers97,1395,453
R1 RCM Inc.433,3925,451
Allscripts Healthcare Solutions570,9585,446
Tabula Rasa HealthCare, Inc.109,0165,444
Ambac323,0855,444
Nuveen Arizona Dividend Advantage Municipal Fund412,3945,443
Masonite International103,3115,441
iStar Financial Inc.437,9905,440
RE/MAX Holdings, Inc.176,8175,439
U.S. Silica Holdings425,0845,437
Clearwater Paper Corporation293,8705,432
OraSure Technologies585,2555,431
Movado Group, Inc.200,7725,422
Fox Corporation147,5965,419
Scholastic Corporation162,8835,415
Brown-Forman Corporation Class B 102,3765,409
Vanda Pharmaceuticals Inc.383,4915,404
Masonite International108,0935,393
Newell Rubbermaid Inc.349,0865,383
USANA Health Sciences67,6655,377
Dynavax Technologies Corporation734,3325,368
Invesco Municipal Income Opportunities Trust688,6065,348
Armour Residential R286,3615,338
Independence Holding Company494,5405,337
Laredo Petroleum Holdings1,726,3985,333
PAR PETROLEUM CORP/CO259,6875,329
AVALARA INC100,1415,319
uniQure N.V.89,0475,311
Nuveen AMT-Free Municipal Income Fund361,7665,308
BJ's Restaurants120,7575,306
Eagle Pharmaceuticals95,0135,290
Talend SA104,5655,289
The Graystone Company, Inc.48,0275,283
Amcol International Corporation355,3405,276
PGT315,3655,273
Axis Energy Corporation95,7695,261
Stoneridge166,7545,261
Solaris Oilfield Infrastructure, Inc.350,7115,252
REX American Resources Corporation65,1355,252
Caleres263,5435,250
Ambac289,6505,249
Virtus Investment Partners53,7755,246
Physicians Realty Trust278,7175,243
Canopy Growth Corporation120,8765,242
CIRCOR International113,9405,241
Northfield Precision Instrument Corp.335,4405,236
Seagate Technology.108,9275,231
SI-BONE, Inc.257,0305,228
Glu Mobile Inc.727,7585,225
ALAMOGORDO FINANCIAL CORP52,2975,225
AdvanSix Inc.182,8205,223
Tompkins Financial Corporation68,6115,219
Cars.com Inc.263,9595,205
BlackRock Utility and Infrastructure Trust234,8745,200
Atara Biotherapeutics, Inc.258,4685,198
NorthStar Realty Europe Corp.299,0255,192
Covanta Holding Corporation299,1665,179
PAR PETROLEUM CORP/CO290,7375,177
SunCoke Energy608,7385,168
Gannett Co.632,1825,159
Realogy Holdings452,0965,154
Bridge Bancorp174,7895,149
Iren SPA23,8165,147
Global Condiments, Inc.169,4355,146
Saul Centers100,1665,146
Blueprint Medicines Corp64,2945,146
Source Capital142,4615,129
Macy's Inc238,4805,124
Verastem6,500,0005,123
Reaves Utility Income Fund142,4345,117
Spectrum Pharmaceuticals593,7135,112
Primoris Services Corporation244,2815,112
CONDUENT Inc369,1075,106
PVH Corp.53,9135,104
TripAdvisor98,9415,092
GreenSky, Inc.412,7565,090
Noble Corporation1,773,2755,088
Eaton Vance Enhance Equity Income Fund390,4255,082
SEACOR Holdings120,1685,080
Alps Electric Co. Ltd.118,0225,079
ENI S.p.A.143,7575,064
Intersect ENT, Inc.157,3975,061
Armada Hoffler Properties, Inc.305,0755,053
Primoris Services Corporation244,1495,050
Bridge Bancorp172,0895,042
Pentair112,7195,019
Home Retail Group plc131,1825,014
Tronox Incorporated381,1715,011
COLUMBIA PROPERTY TRUST, INC.222,5735,010
Keane Group, Inc.459,2475,001
IAC/InterActiveCorp22,9674,996
FIBROGEN INC110,5194,994
Navigant Consulting214,8914,984
Dime Community Bancshares262,4014,984
Century Communities, Inc.187,3244,978
NextGen Healthcare Inc295,8304,978
AdvanSix Inc.203,7134,975
AK Steel Holding Corporation1,807,8474,971
Chimera Investment Corporation263,2574,971
Blackrock Diversified Income Strategies Fund84,5794,968
Oceaneering International243,5634,966
Diebold448,3894,964
Goosehead Insurance, Inc.177,5954,951
Franklin Street Properties Corp.669,9644,945
BHP Billiton plc102,3964,944
Flaherty & Crumrine Preferred Income Opportunity Fund Inc247,9594,942
Oritani Financial Corp.296,2504,927
Franklin Street Properties Corp.683,0914,911
Torchmark Corporation54,8514,909
Protective Insurance Corporation281,7974,895
Chuy's Holdings214,7774,890
Steelcase Inc.285,6734,886
Spartech Corporation143,0914,882
GrubHub63,8074,881
Intertainment Media, Inc.340,8624,878
NorthStar Realty Europe Corp.296,6374,874
Gimv Nv Act.766,1004,873
Fluor Corporation132,2604,867
Elastic N.V.60,9354,867
Western Union Company (The)262,9544,858
ENI S.p.A.146,7494,847
Teekay Tankers Ltd.4,992,6394,843
Universal Stainless & Alloy Products291,2084,825
Mercer International Inc.311,3124,816
AMP Ltd.33,0384,814
Tetra Tech2,053,3604,806
Marcus & Millichap117,8774,801
Adamas Pharmaceuticals Inc774,2954,800
First Trust Energy Income and Growth Fund371,3234,799
Worthington Energy, Inc.128,4064,793
VGRAB COMMUNICATIONS INC.4,720,0004,785
Papa Bello Enterprises, Inc.90,2264,778
TD Ameritrade Holding Corporation95,5734,773
Dime Community Bancshares254,8264,772
Delphi Energy246,3044,743
Chimera Investment Corporation252,0234,729
Kresta Holdings Ltd.88,5394,729
Northfield Precision Instrument Corp.339,7494,722
McDermott International486,5614,700
Globant65,7744,697
Imax Corporation207,0284,695
Greenhill343,2864,667
Newell Rubbermaid Inc.303,1394,649
Armada Hoffler Properties, Inc.297,8344,647
Iren SPA22,5034,640
Dillard's Capital Trust I64,4044,638
Oceaneering International293,8024,633
Aegion Corp263,4294,629
Farfetch Limited172,0014,628
FARO Technologies105,2514,622
Weight Watchers International Inc229,1324,617
DaVita Inc.85,0244,616
Lamb Weston Holdings, Inc.61,5774,614
SeaWorld Entertainment Inc.148,7804,612
Cactus139,2764,611
INV Metals Inc.57,7594,599
Sonic Automotive196,7114,594
CONSOLIDATED GEMS, INC.172,5824,592
Performance Sports Group47,6494,591
Triumph Bancorp, Inc.156,1054,588
Continental Building Products172,5244,584
RAYONIER ADVANCED MATERIALS INC.337,4884,578
NVE Corporation46,7254,574
WisdomTree Investments647,8134,574
Artisan Partners Asset Management181,6754,573
BlackRock Utility and Infrastructure Trust212,4324,568
Hooker Furniture Corporation158,4054,567
Chesapeake Utilities Corporation47,9734,559
AMP Ltd.35,5764,557
Torchmark Corporation55,4664,545
iShares MSCI102,9944,539
Gimv Nv Act.719,5824,534
SurModics105,0064,533
iHeartMedia29,4334,531
USG Corporation104,4924,524
Universal Stainless & Alloy Products282,7154,523
Vistra Energy Corp.173,7334,521
Shoe Carnival163,6504,516
Global Brass and Copper Inc103,2714,516
QEP Resources623,3354,507
Discovery Communications176,6184,489
PRECISION BIOSCIENCES INC250,0004,488
Marcus Corporation (The)135,6214,470
Triumph Bancorp, Inc.153,7454,466
Protective Insurance Corporation240,8774,461
JAGGED PEAK, INC.538,9764,457
PGT321,6334,454
Keane Group, Inc.662,6184,453
Sprott Resource Lending Corp.326,7394,435
Pegasystems Inc.62,1054,422
Nuven Mortgage Opportunity Term Fund 276,9304,421
Everi Holdings370,6254,420
REX American Resources Corporation60,5844,416
HealthStream157,3334,414
Infinity Energy Resources, Inc.159,8254,400
National Presto Industries47,1364,398
Guess?272,0834,395
Navigant Consulting225,4264,389
LKQ Corporation154,6374,388
Therapeutics MD Inc1,684,4704,380
Consolidated Communications Holdings401,0684,376
Baozun105,3274,374
DaVita Inc.77,5314,361
John Hancock Pfd Income Fund II193,2234,353
Bancorp of New Jersey487,9304,353
TripAdvisor94,0104,352
Chesapeake Utilities Corporation47,6644,349
Sinclair Pharma plc.112,8134,342
Unity Energy Corp.304,7064,339
Sinclair Pharma plc.80,7234,329
L.B. Foster Company229,6994,323
Ryman Hospitality Properties52,2574,308
Ryman Hospitality Properties52,7274,282
Meta Financial Group152,4154,276
Carriage Services224,4744,267
Mineral Hill Industries Ltd.123,1454,265
Urstadt Biddle Properties Inc.206,5814,264
Pitney Bowes Inc996,6514,262
Natural Gas Services Group245,8044,255
Urstadt Biddle Properties Inc.202,6014,255
Hersha Hospitality Trust247,6384,251
LKQ Corporation159,8274,250
EMERGING CTA PORTFOLIO LP90,2174,250
Carriage Services220,3604,241
Cabot Oil & Gas Corporation162,5054,241
The RMR Group116,8964,239
Targa Resources107,8314,234
CorEnergy Infrastructure Trust115,0194,229
Marcus & Millichap136,8874,223
Fidelity Nasdaq Composite Index Tracking Stock13,9454,221
ENSCO plc1,073,3604,218
Axcelis Technologies209,6294,217
Tailored Brands536,4504,206
Denbury Resources3,389,8584,202
Eaton Vance Enhance Equity Income Fund329,2334,200
GAIN Capital Holdings668,5734,199
Invictus Financial Inc.197,5534,198
Atmos Energy Corporation39,7594,198
Assurant39,4024,192
Koppers Holdings Inc.142,7634,191
iShares II plc.28,4474,191
Quad Graphics352,0644,189
Targa Resources100,5754,178
Comtech Telecommunications Corp.148,6404,178
Colony Financial551,3054,176
Dynavax Technologies Corporation1,046,4224,175
Aegion Corp226,9194,175
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF45,5054,166
Coherus BioSciences, Inc.188,5104,165
iShares37,0874,164
Sumitomo Mitsui Financial Group Inc590,7204,153
Steelcase Inc.285,3474,151
Kimco Realty Corporation224,2724,149
AK Steel Holding Corporation1,750,2264,148
Eaton Vance Tax-Advantage Global Dividend Opp345,9024,147
Pampa Energia S.A.119,4694,142
Capstead Mortgage Corporation481,6674,139
Brighthouse Financial, Inc.113,7694,132
Vera Bradley311,1184,123
Sumitomo Mitsui Financial Group Inc583,4964,117
Liberty Coal Energy Corp.254,4554,116
Natural Gas Services Group249,1484,111
Cohen & Steers Quality Income Realty Fund Inc299,6964,108
Cohen & Steers Quality Income Realty Fund Inc320,5354,103
Resources Connection247,6824,096
Ruth's Hospitality Group160,0504,096
NEVRO CORP63,1874,094
Inogen61,2834,091
CorEnergy Infrastructure Trust103,1144,090
White Mountains Insurance Group4,4174,089
Bancorp of New Jersey504,5304,076
Adient Ltd314,3444,073
Liberty Silver Corp.209,3494,072
Superior Energy Services871,4704,069
FireEye Inc241,4764,055
Unisys Corporation347,3324,054
Acorda Therapeutics304,7864,051
Atmos Energy Corporation39,3624,051
Amphastar191,5254,043
iShares92,6544,041
CHS Inc945,9064,039
Kennedy-Wilson Holdings Inc.196,2074,036
Diebold440,0974,031
Biohaven Pharmaceutical Holding Co Ltd.78,1714,023
USANA Health Sciences47,9494,021
Gap153,5314,019
HealthStream155,2934,015
Halozyme Therapeutics248,6854,004
Diamond Offshore Drilling381,5734,002
St. Joe Company (The)242,4893,999
Franks International NV641,3743,983
Vicor Corporation128,0643,972
ZAGG Inc437,7843,972
CorVel Corp.60,8733,971
Multi-Color Corporation79,5703,970
Mercury General Corporation79,1803,965
Crawford & Company376,4443,964
Community Healthcare Trust Inc100,5253,962
DXP Enterprises104,3743,955
Preferred Plus Trust Ser QWS 2 Tr Ctf266,7533,954
Capstead Mortgage Corporation473,0373,952
GAIN Capital Holdings956,3803,951
Leggett & Platt93,5453,949
WesBanco99,1903,943
Hooker Furniture Corporation191,1053,941
Retrophin173,4783,926
United Natural Foods296,8003,924
Sierra Bancorp144,6473,923
Henry Schein56,0533,920
Investors Real Estate Trust65,3193,913
Multi-Color Corporation78,2153,909
Outfront Media166,8523,905
Connecticut Water Service56,8753,905
Amphastar190,9453,902
INVESCO HIGH INCOME 2023 TARGET TERM FUND214,2333,887
Gulfport Energy Corporation791,1153,884
PRECISION BIOSCIENCES INC293,0833,884
Erie Indemnity Company15,2533,879
KAR Auction Services157,2893,871
Triple-S Management Corporation169,3833,866
Victory Resources Corp.97,9423,866
Peoples Financial Corporation230,0203,859
National CineMedia547,0013,856
Performance Sports Group39,9363,847
Oppenheimer Holdings Inc.64,9003,846
UBS AG (London Branch)317,4913,845
BioDelivery Sciences International724,4453,840
GMS Inc174,4803,838
Penn VA Corp New86,8793,831
Immersion Corporation453,6873,825
Crossroads Systems, Inc. New116,7493,824
Computerized Thermal Imaging, Inc.137,5293,822
Primo Water Corporation310,6223,820
U.S. NeuroSurgical, Inc.92,2253,820
American Premium Water Corporation422,9513,810
Peoples Financial Corporation231,3763,803
Dillard's Capital Trust I61,0093,801
Griffon Corporation205,4423,797
Investors Real Estate Trust64,7053,797
Papa Bello Enterprises, Inc.86,3333,787
Tenable Holdings, Inc.119,6203,787
CIRCOR International116,1753,787
Wisdom International Corp.64,8513,786
Continental Resources89,6553,773
Bonanza Creek Energy, Inc.166,1813,771
DULUTH HOLDINGS INC.158,1263,770
Orange SA231,2273,768
McDermott International506,1883,766
Tupras Turkiye Petrol Rafinerileri AS146,9553,761
NEVRO CORP60,0913,755
International Hi-Tech Industries Inc.25,7513,739
TRINET GROUP INC55,1383,738
Pivotal Software, Inc.179,1623,735
Cabo Verde Capital Inc.144,7733,722
Mercer International Inc.275,3603,720
GGX Gold Corp.324,5183,712
Pluralsight, Inc.116,9033,710
Mineral Hill Industries Ltd.99,3083,709
Tekla Healthcare Opportunities Fund209,0693,709
Orange SA235,1593,698
Farfetch Limited181,6413,695
Campbell Soup Company96,8833,694
Myers Industries191,6543,693
K12 Inc121,3733,692
Dycom Industries80,2893,688
AngioGenex, Inc.283,2003,685
Continental Building Products148,5983,681
Laredo Petroleum Holdings1,267,6163,677
FIRST TRUST MLP & ENERGY INCOME FUND267,7973,663
Hersha Hospitality Trust221,2023,659
Providence and Worcester Railroad Company63,7753,657
W&T Offshore528,8233,650
Blackrock Corporate High Yield Fund V Inc268,6243,648
Flaherty & Crumrine Preferred Income Opportunity Fund Inc194,2693,645
Aercap Holdings N.V.77,6923,642
Red Robin Gourmet Burgers126,3243,639
Atna Resources Ltd.62,9093,631
INVESCO HIGH INCOME 2023 TARGET TERM FUND202,9893,630
Regis Corporation184,4693,630
Cytokinetics322,5603,629
Bonanza Creek Energy, Inc.173,5063,622
Atna Resources Ltd.64,1943,621
Affiliated Managers Group33,7393,613
Builders FirstSource270,6783,612
RMR Industrials, Inc.76,8533,611
BioLife Solutions212,8973,609
iStar Financial Inc.428,4243,608
Colony Financial418,0193,608
American Public Education119,6423,604
The Japan Steel Works, Ltd.1,034,5253,601
Community Healthcare Trust Inc100,2483,598
Ruth's Hospitality Group157,2533,571
Koppers Holdings Inc.137,2143,565
Leggett & Platt92,5003,555
GasLog Ltd.203,3343,550
Drillsearch NL34,2523,550
DXP Enterprises91,1893,549
Invictus Financial Inc.171,2333,544
Radius Bancorp Inc.177,6463,542
Akorn686,1403,534
FRANKLIN FINANCIAL NETWORK INC.121,7413,533
ClearBridge Energy MLP Fund Inc.279,0463,533
Kindred Biosciences424,2003,530
Crossroads Systems, Inc. New113,6653,529
Buckle187,7483,516
Regis Corporation211,5273,513
RMR Industrials, Inc.57,5153,508
Pacira Pharmaceuticals92,0403,503
Ubiquiti Networks23,3533,496
Vista International Technologies Inc435,2813,486
Weis Markets85,2613,483
Sierra Bancorp143,0623,476
Rowan Companies plc322,0833,475
Chuy's Holdings151,5803,474
SeaWorld Entertainment Inc.134,8453,474
Pluralsight, Inc.114,5753,474
Houston Wire & Cable Company548,6673,474
Eaton Vance Tax-Advantage Global Dividend Opp307,3123,473
iShares V PVC MSCI77,3713,467
Hamilton Beach Brands Holding Co161,3143,461
Connecticut Water Service49,6673,461
Haverty Furniture Companies158,0363,459
Doosan Heavy Industries & Construction Co., Ltd.84,0213,459
Solaris Oilfield Infrastructure, Inc.210,4053,458
FRANKLIN FINANCIAL NETWORK INC.124,0913,457
Cohen & Steers Total Return Realty Fund245,0013,452
Reaves Utility Income Fund101,4403,437
Pitney Bowes Inc499,6473,433
Control4144,3353,428
Attunity Ltd.145,8683,421
Comtech Telecommunications Corp.147,3153,421
Delaware Investments Minnesota Municipal Income Fund II265,7443,417
Artisan Partners Asset Management124,0263,415
CIBT Education Group Inc.174,2193,413
Radware Ltd.130,5633,411
Sonic Automotive230,1663,410
iShares V PVC MSCI73,7053,404
UAN Power Corp.133,8533,393
Crawford & Company366,6443,387
Daktronics454,0833,384
Spark Therapeutics29,6823,381
First Trust148,5633,380
QuinStreet213,0063,376
Astronics Corporation83,7383,368
Unisys Corporation346,3083,366
Apartment Investment and Management Company67,0723,362
Eaton Vance Floating-Rate 2022 Target Term Trust361,5443,355
Ultra Clean Holdings324,1843,355
Transcat145,9563,354
AtriCure124,9933,349
FIRST TRUST MLP & ENERGY INCOME FUND249,4893,349
Casa Systems Inc403,3393,348
AQUENTIUM INC369,2803,346
Columbus McKinnon Corporation79,6953,346
Apartment Investment and Management Company66,5203,345
TANDEM DIABETES CARE INC51,7883,342
Campbell Soup Company83,3993,342
Calamos Convertible and High Income Fund302,2813,338
CAM Group, Inc.63,4433,334
Myers Industries194,6793,331
OneSpan Inc172,7583,321
John Hancock Pfd Income Fund II159,1903,321
Invictus Financial Inc.89,7203,318
Spartech Corporation103,8333,316
SHOTSPOTTER, INC75,0173,315
Alliance Capital Management Holding L.P.111,4003,311
Tupras Turkiye Petrol Rafinerileri AS173,6433,306
New Media Investment Group Inc.314,1663,299
Heska Corporation38,6173,287
Criteo190,9233,285
CNOOC Limited17,6853,285
CEVA121,7953,284
JOINT Corp166,1483,282
MPLX LP99,7483,281
Banco Bradesco Sa236,5313,275
Banco Bradesco Sa234,3323,274
Heartland Financial USA73,1443,271
Liberty Media Corporation87,2873,268
Griffon Corporation193,1353,268
Resources Connection204,0823,267
Delaware Investments Minnesota Municipal Income Fund II258,3773,265
FVI Fondo Valores Inmobiliarios107,2303,261
Cabo Verde Capital Inc.165,5493,259
ClearBridge Energy MLP Opportunity Fund Inc.341,6523,258
Assurant34,3443,256
Jefferies Group168,4943,240
Futura Pictures174,8273,238
ClearBridge Energy MLP Fund Inc.271,6663,234
Dawson Geophysical Company1,097,8213,217
Alliance Capital Management Holding L.P.111,3333,217
Buckle184,9083,202
Universal Electronics Inc.77,9953,200
Tricida, Inc.82,8663,200
Diamond Offshore Drilling360,7683,200
PetMed Express203,9693,196
Flotek Industries963,7653,190
Pampa Energia S.A.115,2483,178
Westlake Chemical Corporation46,8013,175
SMARTSHEET INC77,7933,173
Universal Electronics Inc.85,3523,171
Continental Resources70,7523,168
Tricida, Inc.80,1103,161
H&E Equipment Services125,8363,160
TIER REIT INC109,8363,147
Hamilton Beach Brands Holding Co165,0343,144
Flow International Corporation59,3443,133
BioLife Solutions174,7933,127
Eaton Vance Floating-Rate 2022 Target Term Trust340,0623,111
Preferred Plus Trust Ser QWS 2 Tr Ctf208,0453,111
KLX Energy Services Holdings, Inc.123,6073,108
Presidio, Inc.227,2263,107
Lions Gate Entertainment205,5213,103
Conn's135,2523,092
New Media Investment Group Inc.327,3253,090
Mammoth Energy Services, Inc.185,4453,088
GME Resources Ltd.564,2653,087
Flotek Industries951,4653,082
Berry Petroleum Company150,5093,079
CAM Group, Inc.64,0593,074
Harmonic Inc.553,3623,072
CarGurus, Inc.76,7023,072
American Public Education103,5593,063
Calamos Convertible and High Income Fund281,6483,061
Western Asset Global Corporate Defined Opportunity Fund Inc.297,8083,046
Tekla Healthcare Opportunities Fund173,3333,045
Harmonic Inc.561,5673,043
Cohen & Steers Total Return Realty Fund231,4493,043
Team173,7293,041
Meta Financial Group154,0253,031
CNOOC Limited17,6603,025
Stoneridge104,8053,024
PetMed Express132,6183,022
LINDBLAD EXPEDITIONS HOLDINGS, INC.167,8663,013
AMAG Pharmaceuticals232,7102,996
Tredegar Corporation180,1312,994
NEWMARK GROUP, INC.333,7492,989
Sientra, Inc.485,4552,989
iShares II plc.82,9042,987
ROKU, INC46,3092,987
GrubHub38,2822,985
Buckeye Technologies72,6862,984
Henry Schein49,6342,983
Liberty Media Corporation85,1102,982
HERC HOLDINGS INC64,9802,978
Talend SA77,1202,976
Monarch Casino & Resort67,5732,968
Ultra Clean Holdings213,0442,965
Hudson River Minerals, Ltd.215,6672,965
Guggenheim Strategic Opportunities Fund144,6532,963
Legacy Housing Corp248,9532,962
Lions Gate Entertainment254,1372,950
Houston Wire & Cable Company562,5672,949
Gap164,0452,949
Eagle Pharmaceuticals58,2532,941
Zumiez Inc.118,0482,938
Covanta Holding Corporation163,9172,937
Heartland Financial USA68,7742,934
Acco Brands Corporation341,4352,923
Liberty Broadband Corporation28,0012,922
NEWMARK GROUP, INC.350,0742,920
CEVA119,9082,919
National CineMedia443,5442,911
Triple-S Management Corporation121,8392,905
American Vanguard Corporation188,2862,901
Odonate Therapeutics, Inc.78,9272,896
CarGurus, Inc.80,0992,893
Affiliated Managers Group31,3172,887
H&E Equipment Services99,2412,887
ClearBridge Energy MLP Opportunity Fund Inc.313,5622,885
PriceSmart48,9062,880
Liberty All-Star Equity Fund447,6552,874
Brookfield Real Estate Services61,5822,872
Nuveen Quality Preferred Income Fund 2318,8252,869
Columbus McKinnon Corporation83,4352,866
QuinStreet213,8342,864
Aircastle Limited141,4562,863
Tutor Perini Corporation167,2302,863
American Vanguard Corporation166,2362,863
New Mountain Finance Corporation207,3982,859
First Trust Senior Floating Rate Income Fund II187,2742,859
ProShares UltraPro QQQ62,1752,855
Monarch Casino & Resort66,6332,848
Tredegar Corporation176,2732,846
Alliance Creative Group, Inc.16,2772,846
Progenics Pharmaceuticals Inc.460,6532,843
Cowen Group, Inc.165,2362,841
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 100,6332,840
Informa264,8562,833
CAE Inc105,2312,826
Infineon Technologies AG 15,0872,825
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 98,6482,821
iShares MSCI ACWI Index Fund38,2352,819
Scientific Games Corp138,0482,819
Alnylam Pharmaceuticals30,1372,816
WESCO International53,0182,810
PIMCO Income Strategy Fund108,6232,802
Immersion Corporation367,9322,800
Icon Media Holdings, Inc.39,4142,795
Donnelley Financial Solutions, Inc.187,6832,793
Ennis136,0702,792
Dreyfus Municipal Bond Infrastructure Fund, Inc.305,2722,790
Forrester Research57,6532,788
Unity Energy Corp.313,1942,785
Verso Corporation129,9502,783
TrueCar Inc419,0682,782
Hostess Brands192,0422,773
CARVANA CO.48,3072,764
Briggs & Stratton Corporation233,1382,758
Nordstrom62,1192,755
Kornit Digital115,8222,754
KAR Auction Services53,6312,753
Calamos Convertible Opportunities and Income Fund261,7772,750
Cincinnati Bell Inc287,6662,744
International Speedway Corporation62,7602,738
TD Ameritrade Holding Corporation55,0062,738
Homology Medicines, Inc.98,3942,729
Nektar Therapeutics81,2372,728
iShares24,8042,728
Liberty Broadband Corporation29,6432,719
Clearwater Paper Corporation139,5742,719
Informa248,8202,719
First Trust124,6362,718
Portola Pharmaceuticals78,3072,718
Penn VA Corp New88,5742,717
Spirit Aerosystems Holdings33,2752,708
51job34,6802,701
Axcelis Technologies178,7042,690
Ennis129,4772,687
BlackRock Municipal Target Term Trust Inc. (The)120,7582,686
Forrester Research57,1102,686
Scientific Games Corp135,4562,685
Barnes & Noble401,2052,684
InVitae121,5282,683
Liberty Coal Energy Corp.174,1002,680
PIMCO Income Strategy Fund II253,8432,675
iShares MSCI ACWI ex US Index Fund57,7882,667
Dean Foods Company880,3772,666
Equinor121,1192,664
United Natural Foods296,6082,660
Whitestone REIT221,1402,658
Infineon Technologies AG 14,1122,656
Honda Motor Company102,0462,636
Bespoke Tricyles, Inc.496,3112,636
Team171,7492,632
Flow International Corporation58,0212,627
1st Source Corporation58,4712,626
TANDEM DIABETES CARE INC41,2602,620
Legacy Housing Corp210,4632,620
Akorn743,1702,616
Funko, Inc.107,7932,612
Taylor Morrison Home Corp124,5492,611
J CREW GROUP INC.1,749,3812,606
JOINT Corp185,3202,590
Air Transport Services Group105,6152,579
Entravision Communications Corporation795,2902,576
Consolidated Water Co. Ltd.199,6272,569
International Speedway Corporation57,1892,567
Nuveen Michigan Dividend Advantage Municipal Fund110,2112,566
KLX Energy Services Holdings, Inc.125,3272,560
Cimpress31,9342,559
Control4150,9102,555
Liberty Global102,4912,554
Takeda Pharma125,0592,547
CalAmp Corp.202,4272,546
ING Group219,0482,538
First Interstate BancSystem63,4052,524
Cytokinetics311,3502,519
ING Group207,3512,518
First Interstate BancSystem63,3962,511
DBV Technologies305,4132,509
Michaels Stores Inc219,7062,509
Teva Pharmaceutical Industries Ltd.171,2422,508
Evolent Health314,6432,501
Jefferies Group132,9992,501
TechTarget117,4002,495
TimkenSteel Corporation229,2022,489
CIBT Education Group Inc.122,9512,488
Sensata Technologies Holding N.V.55,2652,487
Bank Of Montreal32,8952,482
RBC Bearings Incorporated14,8312,473
Peapack-Gladstone Financial Corporation87,6772,466
Calamos Strategic Total Return Fund193,2962,466
Community Health Systems661,0842,466
iShares II plc.41,5532,465
Donnelley Financial Solutions, Inc.184,7722,464
iShares MSCI ACWI ex US Index Fund52,6682,463
Pennsylvania Real Estate Investment Trust390,0592,453
Haverty Furniture Companies143,7862,449
Cohen & Steers Limited Duration Preferred and Income Fund57,5962,440
MFS Multimarket Income Trust418,2442,438
NVE Corporation35,0072,438
REAL HIP-HOP NETWORK, INC40,1602,436
Hawkins56,1072,435
Honda Motor Company89,6032,434
U.S. Stem Cell, Inc.34,3392,434
Veritiv Corp92,3162,430
Heron Resources Limited HRR99,2062,424
Braemar Seascope Group Plc.244,6322,424
Lifetime Brands255,9042,420
BlackRock Municipal Target Term Trust Inc. (The)103,8792,413
FTD Companies50,4052,412
Braemar Seascope Group Plc.197,2652,409
Sientra, Inc.280,2902,404
OneSpan Inc169,6482,404
TCR2 THERAPEUTICS INC.137,7962,401
Daktronics389,0142,400
U.S. Stem Cell, Inc.35,2602,400
AMAG Pharmaceuticals239,9352,397
CGI Group31,1512,393
Neurocrine Biosciences27,0792,386
Arch Capital Group Ltd.73,7992,385
Rogers Communications, Inc.44,5672,385
Aurinia Pharmaceuticals362,3392,384
Aurinia Pharmaceuticals365,5102,376
First Colombia Development Corp.189,8212,375
FTD Companies49,5782,374
Briggs & Stratton Corporation231,7332,373
Conn's133,1022,372
Liberty Gold Corp.62,3882,372
Insteel Industries113,2862,370
Lifetime Brands250,3042,366
DBV Technologies306,6732,364
G1 Therapeutics, Inc.76,9622,360
Quad Graphics298,0812,358
Liberty Gold Corp.61,5822,354
Acorda Therapeutics305,9202,346
Red Robin Gourmet Burgers76,5602,341
The Japan Steel Works, Ltd.465,2252,339
Fidelity First Financial Corp.69,0962,339
Cross Country Healthcare248,8442,335
Radius Bancorp Inc.95,8262,334
Stone Harbor Emerging Markets Income Fund166,2412,327
Calamos Strategic Total Return Fund187,4652,323
Lattice Semiconductor Corporation158,9812,319
Algonquin Pwr & Util190,7632,309
Compass Biotechnologies Inc.120,7882,308
Acushnet Holdings Corp.87,6842,303
Santeon Group Inc76,0262,301
K12 Inc67,4012,300
Systemax Inc.103,7692,299
First Bancorp66,0422,295
Acco Brands Corporation291,4002,294
TPI COMPOSITES, INC92,7772,293
Ellsworth Convertible Growth and Income Fund195,0112,289
Haynes International69,7292,289
CalAmp Corp.195,8772,287
Tortoise MLP Fund169,1372,282
FutureFuel Corp.195,2032,282
Pennsylvania Real Estate Investment Trust351,0092,282
Ellington Financial LLC126,8902,280
Embraer-Empresa Brasileira de Aeronautica113,0042,275
ING Infrastructure Industrial and Material Fund180,5742,275
Guggenheim Strategic Opportunities Fund115,5312,270
1st Source Corporation48,9012,269
First Colombia Development Corp.176,4802,265
Computerized Thermal Imaging, Inc.76,1622,261
Hyster-Yale Materials Handling36,2702,261
Arena Minerals, Inc.38,5252,259
Casa Systems Inc351,3672,258
Symmetricom59,1082,254
Nuveen Dividend Advantage Municipal Fund227,2992,253
Neurocrine Biosciences26,6642,252
Sprott Resource Lending Corp.181,9882,250
Progenics Pharmaceuticals Inc.483,9962,245
ECA Marcellus Trust I309,7442,240
FutureFuel Corp.166,7942,235
Apellis Pharmaceuticals, Inc.88,1702,234
First Bancorp61,3262,234
Equinor112,5842,230
BioDelivery Sciences International478,6032,226
Cato Corporation (The)148,2082,220
Metals X, Ltd.78,1282,217
CBRE Clarion Global Real Estate Income Fund296,4322,214
Morningstar17,4582,205
Entravision Communications Corporation706,2102,204
CBRE Clarion Global Real Estate Income Fund294,2352,204
Baozun44,2172,201
Tutor Perini Corporation158,6762,201
Western Asset Managed High Income Fund161,2992,200
Kadant Inc25,0112,198
Inspire Medical Systems, Inc.36,1222,191
TCW Strategic Income Fund398,1022,190
iShares II plc.62,9912,189
Nuveen Michigan Dividend Advantage Municipal Fund94,2082,188
Calamos Dynamic Convertible & Income Fund107,5202,187
Tortoise MLP Fund157,1772,185
Presidio, Inc.147,4472,182
Haynes International68,5892,182
EVO Payments, Inc.69,0142,175
Evermedia Group, Inc. (The)138,6892,170
Educational Development Corporation310,3172,170
Evermedia Group, Inc. (The)138,8052,168
TRIBUNE MEDIA CO46,8452,166
Fidelity First Financial Corp.62,2452,164
Western Asset Global High Income Fund Inc229,9432,159
CHS Inc640,2522,158
BlackRock Income Trust Inc. (The)356,4592,157
Metals X, Ltd.72,5052,156
Arlo Technologies, Inc.537,3332,154
Eaton Vance Municipal Income Term Trust172,9402,150
Transcat83,8352,145
First Trust NASDAQ ABA Community Bank Index Fund54,8732,142
Revance Therapeutics135,9022,141
REAL HIP-HOP NETWORK, INC36,3772,140
1-800 FLOWERS.COM113,1272,136
Avadel Pharmaceuticals738,9702,135
CISION LTD.155,0802,135
Pearson205,8182,133
Peapack-Gladstone Financial Corporation81,3252,132
Rogers Communications, Inc.39,5062,126
New Mountain Finance Corporation156,5982,125
Calamos Dynamic Convertible & Income Fund105,3012,121
Tootsie Roll Industries56,9132,119
Rubius Therapeutics, Inc.134,2112,111
Otter Tail Corporation39,9912,111
SHOTSPOTTER, INC54,5812,107
Hostess Brands168,4792,106
Powell Industries55,3542,104
Lannett Co Inc266,2202,103
ProShares UltraPro QQQ33,0452,103
Financial Institutions, Inc.72,0442,100
Antero Midstream GP LP151,8542,097
Western Asset High Yield Defined Opportunity Fund Inc.324,8832,095
Symmetricom54,7032,094
Pacific Biosciences of California289,6882,094
Eaton Vance Limited Duration Income Fund165,4132,092
Coty Inc181,8332,090
Algonquin Pwr & Util184,9792,090
Ellsworth Convertible Growth and Income Fund198,9932,089
Calamos Convertible Opportunities and Income Fund205,9372,089
Peabody Energy Corporation86,5942,087
Agilysys98,1702,078
Cadence Bancorporation99,7132,074
Santeon Group Inc76,1212,074
Nektar Therapeutics58,2722,073
ShockWave Medical, Inc.36,3102,073
Ampco-Pittsburgh Corporation512,7602,067
Agilysys96,2502,066
KBW Inc60,7942,065
Tootsie Roll Industries55,7702,061
Ingles Markets66,1632,061
MarineMax125,2982,060
iShares II plc.35,8642,057
Peabody Energy Corporation72,5592,055
Limited Brands74,4752,055
Teva Pharmaceutical Industries Ltd.232,7812,049
Insteel Industries98,4362,049
UAN Power Corp.96,9292,048
Retrophin101,8332,046
Templeton Global Income Fund199,7282,045
Amcol International Corporation220,3732,041
Stone Harbor Emerging Markets Income Fund156,1062,036
Altice USA83,3872,029
IGM Financial Inc.78,2712,026
Eaton Vance Municipal Income Term Trust163,1082,023
Amerco5,4292,019
Superior Industries International422,1962,010
RAYONIER ADVANCED MATERIALS INC.309,4162,009
Limited Brands76,9362,008
Titan International335,9832,005
Manitowoc Company112,1501,997
FlexShopper, Inc.86,4831,991
Hawkins53,9601,988
Acushnet Holdings Corp.85,7841,986
Morningstar13,7021,984
UA Multimedia, Inc.89,3251,983
PDF Solutions151,1851,983
ING Global Equity Dividend and Premium Opportunity Fund307,4671,982
Cumulus Media Inc.111,1611,980
AGNC Investment Corp.109,2661,979
GSM Fund Group Inc33,6621,978
Coty Inc147,4661,974
Bank Of Montreal26,3011,968
J CREW GROUP INC.1,719,3661,960
TechTarget120,3901,959
PIMCO Income Strategy Fund II185,0571,953
MFS Multimarket Income Trust356,1951,949
Dawson Geophysical Company779,8911,949
iShares FTSE China (HK Listed) Index Fund44,4781,943
Consolidated Communications Holdings393,5601,940
UPLIFT NUTRITION, INC.149,8521,939
Park Electrochemical Corporation115,9901,937
Industrial Logistics Properties Trust92,9871,937
Cedar Realty Trust568,8991,933
Community Health Systems723,9531,933
Natera, Inc.69,6091,920
INV Metals Inc.21,7751,919
Blackrock MuniVest Fund II132,2211,914
CAE Inc86,2091,909
MUELLER WATER PRODUCTS189,8891,907
TimkenSteel Corporation234,4301,906
UBS AG84,9071,896
Tallgrass Energy76,1291,895
PDF Solutions153,2451,893
BlackRock Science & Technology Trust58,5701,892
EVO Payments, Inc.65,0901,891
BCSB Bancorp248,3241,891
Calamos Global Dynamic Income Fund233,1301,889
Michaels Stores Inc216,9131,888
PennantPark Investment Corporation273,2961,888
Nautilus Group339,4201,887
Manitowoc Company114,9821,886
Thomson Reuters Corp29,2291,884
Financial Institutions, Inc.69,2911,883
Nuveen Floating Rate Income Fund195,1991,880
UNITED INSURANCE HOLDINGS CORP.118,0521,877
Kratos Defense & Security Solutions81,9791,876
MPLX LP58,2411,875
iShares FTSE China (HK Listed) Index Fund43,8201,874
AtriCure62,6361,869
Cadence Bancorporation100,6941,869
Diplomat Pharmacy, Inc.306,7921,868
Unifi96,5471,868
Smith & Nephew SNATS46,4821,865
Homology Medicines, Inc.95,2651,864
HBP Energy Corp.58,3961,860
Nuveen Quality Preferred Income Fund 2195,5241,858
Deutsche Bank AG228,8711,858
RBC Bearings Incorporated14,5941,855
Pacific Biosciences of California306,4561,854
Vectrus, Inc.69,5831,850
Yext, Inc.84,5531,848
MGE Energy Inc.25,2591,846
Amerco4,8681,843
Nuveen Floating Rate Income Fund186,7641,840
Western Asset Global Partners Income Fund111,5021,835
Tailored Brands317,5901,832
Imax Corporation90,6661,832
R.G. Barry Corporation387,1351,828
KBW Inc59,2191,827
HCi Viocare42,6911,824
Barnes & Noble334,7051,818
Blackrock MuniVest Fund II130,4571,818
Smith & Nephew SNATS41,7761,818
FIRST FIXTURES, INC.78,9511,816
BlackRock Science & Technology Trust55,2951,814
SJW Corporation29,3561,812
Rubius Therapeutics, Inc.100,1311,812
Diplomat Pharmacy, Inc.311,6651,811
BT Group plc141,8031,811
DSP Group128,4861,809
Lumber Liquidators Holdings156,4031,807
First Merchants Corporation48,8801,803
Cato Corporation (The)146,3131,803
Cutera101,6651,795
FlexShopper, Inc.77,5671,792
Antero Midstream GP LP156,6251,792
Vantage Goldfields Ltd,102,0451,792
AGNC Investment Corp.105,6001,786
Fiesta Restaurant Group135,8011,785
TRUPANION INC.49,3051,781
Westwood Holdings Group Inc50,4741,781
Chilean Metals Inc.43,4951,777
Liberty Broadband Corp17,2551,774
Alliance Creative Group, Inc.12,6141,769
Kosmos Energy Ltd.283,1061,764
PagerDuty, Inc.37,4841,764
Blackrock MuniYield California Insured Fund138,5431,761
Fiesta Restaurant Group133,8911,755
Foundation Building Materials, Inc.98,5851,752
Nuveen Massachusetts AMT-Free Municipal Income Fund78,0661,747
South State25,5381,745
Huron Consulting Group Inc.34,5971,743
Arlo Technologies, Inc.422,0951,743
AVROBIO, Inc.79,0361,743
Evolution Technology Resources Inc.108,4251,740
REV Group, Inc.158,8001,739
Unifi95,3221,733
Lakeland Bancorp107,3111,732
Royal Bank Of Canada264,3941,731
PQ Group Holdings Inc.109,0551,729
TCR2 THERAPEUTICS INC.120,6001,726
Meritor84,7361,724
MGE Energy Inc.25,2311,715
Infinera Corporation394,5001,713
Odonate Therapeutics, Inc.77,2901,711
SiM Internal Test 4260,2391,709
Era Group147,8681,706
Thomson Reuters Corp28,6501,697
First Defiance Financial Corp.58,9751,695
Ubiquiti Networks12,8741,694
Blackrock Global157,6971,692
UA Multimedia, Inc.89,5601,690
Canon Marketing Japan Inc.57,5821,685
BlackRock Multi-Sector Income Trust96,2491,680
Northwest Pipe Company69,9711,680
Kosmos Energy Ltd.267,6611,678
Blackrock Global156,2431,672
Park Electrochemical Corporation106,3051,669
Pacific Ethanol1,702,4181,669
UNITED INSURANCE HOLDINGS CORP.116,8821,666
CSW INDUSTRIALS, INC.24,4311,665
Arbor EnTech Corp.128,2861,663
First Trust Senior Floating Rate Income Fund II162,1611,662
Rexford Industrial Realty41,0561,658
Ampco-Pittsburgh Corporation501,8801,655
PQ Group Holdings Inc.109,0551,655
Heron Resources Limited HRR88,7631,650
BRS Resources Ltd8,184,0001,647
EV Charging USA, Inc.96,6771,643
CONDUENT Inc171,3211,643
HighPoint Resources Corp742,9751,642
Hyster-Yale Materials Handling29,6201,636
Midland States Bancorp, Inc.67,9451,634
Columbia Sportswear Company15,6591,632
FIRST FIXTURES, INC.69,9541,632
Midland States Bancorp, Inc.61,0951,632
Meritor67,2741,631
BlackRock Income Trust Inc. (The)273,0301,625
Vitamin Blue Inc230,7151,625
Lipocine Inc.702,4001,623
Turning Point Therapeutics, Inc.39,7521,619
TRUPANION INC.49,3001,615
China Natural Gas, Inc.23,6611,614
Suburban Propane Partners66,4451,614
Evolution Technology Resources Inc.103,6571,611
Cohen & Steers Infrastructure Fund62,0441,610
Titan International329,2081,610
Express375,5901,608
First Defiance Financial Corp.56,2711,608
Lumber Liquidators Holdings159,2431,608
IGM Financial Inc.60,6051,603
Templeton Global Income Fund153,8261,601
Global Technlogies Corp.87,9171,599
UBS AG70,3541,598
Berry Petroleum Company125,1471,595
Nuveen Municipal High Income Opportunity Fund156,3571,592
BCSB Bancorp198,4401,588
Nuveen Massachusetts AMT-Free Municipal Income Fund71,2441,587
Grocery Outlet Holding Corp.48,1691,583
Puma Exploration, Inc.124,6051,583
Editas Medicine, Inc.64,7081,582
Suburban Propane Partners70,6041,582
Cutera76,0251,580
Pure Pharmaceuticals Corp.71,7781,565
Atlantic Capital Bancshares, Inc.91,3991,565
EV Charging USA, Inc.94,8131,562
Pioneer Municipal High Income Trust127,9031,560
AmeriGas Partners50,4771,559
Invacare Corporation186,2071,558
Graphic Packaging Holding Company111,0841,556
NexPoint Residential Trust, Inc.40,5421,555
Gray Television94,6901,553
DSP Group107,9841,551
Nuveen Dividend Advantage Municipal Fund162,2811,547
HERC HOLDINGS INC39,6501,546
HCi Viocare38,1611,544
Radiant Logistics251,1431,542
Lannett Co Inc254,4851,542
Hoegh LNG Partners LP78,8901,542
OneMain45,3931,535
Chase Corporation14,2541,534
Revance Therapeutics118,2251,533
Sailfish Royalty Corp.63,7021,532
Putnam Managed Municipal Income Trust200,7031,531
Genpact Limited43,4841,530
SJW Corporation25,0871,522
Pilgrim's Pride Corporation68,0891,517
Cedar Realty Trust570,6511,513
Credit Suisse High Yield Bond Fund612,6841,513
Global Technlogies Corp.88,0981,509
Deutsche Telekom51,7801,507
Bausch Health Companies60,8411,503
Spok Holdings99,8761,502
Ceridian HCM Holding Inc.29,2511,501
Canon Marketing Japan Inc.51,1251,501
Educational Development Corporation197,7971,497
Deutsche Telekom52,4821,487
CBL & Associates Properties959,1381,487
STAAR Surgical Company43,4551,485
Aberdeen Indonesia Fund204,2331,485
Deutsche Annington Immobilien SE54,6531,485
Powell Industries55,9091,484
Commercial Vehicle Group184,6801,481
Nuveen Build America Bond Opportunity Fund72,1481,480
Superior Energy Services1,135,2971,477
Seritage Growth Properties33,2151,476
Schoeller Bleckmann Oilfield Equipment AG47,2511,475
Cohen & Steers Infrastructure Fund60,1351,475
Royal Bank Of Canada259,6271,475
ShockWave Medical, Inc.44,0291,474
Ellington Financial LLC82,3001,473
Calamos Global Dynamic Income Fund183,7371,473
iShares S&P Global Timber &Forestry Index Fund24,4771,468
OWENS-ILLINOIS GROUP INC357,6941,467
Univest Corporation of Pennsylvania55,8671,467
CommScope Holding Company, Inc.67,3331,464
Bel Fuse Inc.57,9351,464
CARVANA CO.23,3651,462
Putnam Managed Municipal Income Trust195,4651,462
Epizyme Inc116,3001,460
51job19,3281,457
Spirit Aerosystems Holdings16,4561,452
Rosetta Stone66,3361,449
Enstar Group Limited8,3231,448
Credit Suisse High Yield Bond Fund583,9281,448
COLLEGIUM PHARMACEUTICAL, INC109,8681,445
GasLog Partners63,7721,443
Portola Pharmaceuticals53,1921,441
iBrands Corp.35,0461,438
Gossamer Bio, Inc.64,7801,438
Hilton Grand Vacations45,1031,435
Blackrock MuniYield California Insured Fund116,3491,432
OneMain45,0721,431
Taro Pharmaceutical Industries Ltd.13,2071,428
Texas Pacific Land Trust1,8421,425
SiM Internal Test 4252,3641,425
Gossamer Bio, Inc.65,6801,424
Cross Country Healthcare201,4501,416
OWENS-ILLINOIS GROUP INC442,6521,416
Texas Pacific Land Trust1,7971,414
Pioneer Municipal High Income Trust117,9961,409
Seritage Growth Properties32,6721,404
Aberdeen Indonesia Fund198,1551,399
Spok Holdings102,6511,398
Select Energy Services, Inc.116,2101,397
Nuveen Municipal High Income Opportunity Fund139,7201,397
Cincinnati Bell Inc282,1271,396
Golar LNG Limited65,1231,383
FGL Holding175,0001,377
KB Financial Group Inc34,8181,374
Tallgrass Energy68,2361,372
Rosetta Stone59,9361,371
Autoliv18,6311,370
Liberty Broadband Corp14,9381,369
Hancock Fabrics, Inc.63,1631,365
Earthstone Energy192,0051,359
ISC8 Inc.21,9851,357
Century Communities, Inc.56,5801,356
Stitch Fix, Inc.42,3501,355
Graphic Packaging Holding Company107,0171,355
GCI Liberty, Inc.22,0481,354
Vantage Goldfields Ltd,76,4151,352
Atlantic Capital Bancshares, Inc.75,7371,350
Redfin Corp74,8821,347
YRC Worldwide201,1501,346
UNITIL Corporation22,4491,345
Sirius XM Radio Inc.237,2701,345
Exantas Capital Corp.118,1371,336
Pearson121,5031,334
Pilgrim's Pride Corporation52,3411,329
BrightSphere Investment Group97,9001,328
Editas Medicine, Inc.53,5941,326
LIVEWIRE ERGOGENICS INC.90,7001,325
Nuveen Short Duration Credit Opportunities Fund83,5161,324
Cheniere Energy Partners LP Holdings, LLC31,2501,323
Brookfield Property Partners LP69,9681,322
iShares MSCI ACWI ex US Financials Sector Index Fund11,0401,322
Nuveen California Dividend Advantage Municipal Fund 374,9341,320
CaesarStone Sdot-Yam Ltd.84,4001,317
LIVEWIRE ERGOGENICS INC.76,6001,314
Bausch Health Companies51,9411,310
Street Capital Group31,2671,306
MFS Municipal Income Trust186,6471,303
Blue Bird Corporation65,8001,296
Sierra Wireless107,0501,294
Carolina Trust Bank37,4001,294
Pacific Booker Minerals Inc.19,6291,293
First Trust NASDAQ ABA Community Bank Index Fund33,7251,292
Meridian Interstate Bancorp71,9821,290
Park National Corporation12,9591,288
Hancock Fabrics, Inc.56,6451,284
ISC8 Inc.20,9891,282
SI-BONE, Inc.68,0001,281
Penske Automotive Group27,0391,279
Era Group153,1941,278
Crown Marketing56,5581,277
Street Capital Group29,4291,276
Pacific Ethanol1,664,9751,274
APPLIED OPTOELECTRONICS, INC.104,3211,272
Ormat Technologies23,0021,270
Victory Capital Holdings, Inc.84,4001,268
RadNet102,1151,266
Nuvo Research Inc83,9261,266
AVROBIO, Inc.77,7881,265
Cass Information Systems26,0341,262
GCI Liberty, Inc.22,6741,261
Main Street Capital Corporation33,8031,258
INAPA-Investimentos Participacoes e Gestao S.A.10,0431,256
Socket Mobile, Inc.40,3131,254
South State17,0251,254
Energy Revenue America, Inc.55,5711,252
INAPA-Investimentos Participacoes e Gestao S.A.9,3511,252
Barclays Africa Group Ltd14,0841,251
Tile Shop Hldgs220,9931,251
Fortress Paper82,7501,250
Zaio Corp.42,3421,249
Taylor Morrison Home Corp70,3461,248
Neuberger Berman California Intermediate Municipal Fund Inc.165,8511,246
Eaton Vance Tax-Advantaged Global Dividend Income Fund51,7441,242
Eaton Vance Enhanced Equity Income Fund II86,5291,242
Teck Resources Ltd53,3791,231
Park National Corporation12,9591,229
Snap Inc85,8501,228
Home Retail Group plc34,7971,226
Credit Suisse Group102,1891,223
Meridian Interstate Bancorp77,8571,222
Hilton Grand Vacations39,5851,221
Keurig Dr Pepper Inc.43,5261,218
Huron Consulting Group Inc.25,7631,216
iShares MSCI ACWI ex US Financials Sector Index Fund10,4691,215
Oaktree Capital Group24,4691,215
China Natural Gas, Inc.15,2741,214
Geospace Technologies Corporation80,2231,212
Flaherty & Crumrine/Claymore Total Return Fund Inc50,9571,211
Compass Biotechnologies Inc.77,0011,208
Liquidity Services156,6101,208
Eaton Vance Tax-Advantaged Global Dividend Income Fund49,4711,202
Mammoth Energy Services, Inc.174,5051,201
DOCUSIGN INC23,1791,200
Blue Bird Corporation70,8001,199
LSC Communications, Inc.183,5401,198
KB Financial Group Inc32,2901,197
Columbia Sportswear Company11,9411,196
Zayo Group Holdings, Inc.42,0971,195
Esperion Therapeutics, Inc.25,6401,193
Indofood Agri Resources Ltd.13,0251,190
Red Lion Hotels Corporation165,2941,176
Frontier Oilfield Services, Inc.589,3931,173
Five Point Holdings, LLC181,8691,170
Blackrock MuniYield Fund83,9171,170
Metropolitan Bank & Trust26,6081,169
WPP plc22,0551,164
Sierra Wireless93,9751,163
Pick n' Pay Stores Ltd.37,3771,161
Pick n' Pay Stores Ltd.38,3041,160
Infinera Corporation397,6001,158
Crown Marketing53,2611,157
iShares FTSE EPRA/NAREIT North America Index Fund23,5581,155
United Cannabis Corp.81,4011,154
BT Group plc78,1591,152
First Merchants Corporation30,2491,146
Barrett Business Services14,8201,146
Invesco Van Kampen Bond Fund61,4941,145
Brown Forman Corporation20,7351,144
NLIGHT, INC.51,3511,144
Westpac Banking Corporation61,8001,143
Autoliv16,1941,142
Apollo Global Management33,2581,141
First Trust Energy Infrastructure Fund71,6181,138
Bloom Energy Corp92,6721,137
Ares Commercial Real Estate Corporation74,8251,137
Nuveen Arizona Premium Income Municipal Fund81,0211,134
TrueCar Inc207,0091,130
Nuvo Research Inc71,4251,125
Lipocine Inc.573,6501,119
PennantPark Investment Corporation176,9921,119
Cumulus Media Inc.81,2861,119
Kimball International64,0191,116
BLACKROCK LTD DURATION INCOME TRUST74,3951,116
Schoeller Bleckmann Oilfield Equipment AG35,9251,116
Mayville Engineering Company, Inc.80,6251,113
UNITIL Corporation20,4461,108
DOCUSIGN INC22,3161,108
Five Point Holdings, LLC153,6261,107
Eaton Vance Corporation83,5931,103
Tetra Tech677,1291,103
Ishares Broad Commodity Index ETF26,8131,099
Blackrock Core Bond Trust78,1411,099
First Trust Energy Infrastructure Fund68,8651,098
PAA Natural Gas Storage44,9991,096
GLOBAL HEALTHCARE REIT, INC.20,7001,095
MFS Municipal Income Trust157,8091,092
AGIC Convertible & Income Fund193,3251,092
HighPoint Resources Corp599,5351,091
AGIC Convertible & Income Fund168,1601,090
Nautilus Group492,2051,088
Santander Holdings USA51,4631,087
United Bank for Africa Plc28,0101,085
GLOBAL HEALTHCARE REIT, INC.20,5811,083
Clear Channel Outdoor Holdings229,3001,082
Teck Resources Ltd46,7031,082
Flaherty & Crumrine/Claymore Total Return Fund Inc43,0241,077
Ingles Markets38,9031,075
MDC Partners Inc.425,5071,072
Adamas Pharmaceuticals Inc150,5901,071
PIMCO Income Strategy Fund93,1871,069
Eaton Vance Risk-Managed Diversified Equity Income Fund116,2091,068
Nuveen Arizona Premium Income Municipal Fund78,7161,068
Athene Holding Ltd26,1701,068
Barclays Africa Group Ltd12,0531,067
Apple Green Holding, Inc.67,1961,066
Pacific Booker Minerals Inc.16,0941,065
PAA Natural Gas Storage43,3971,064
Oppenheimer Holdings39,0551,063
Geospace Technologies Corporation82,1631,063
Brown Forman Corporation20,7051,063
Nuveen Core Equity Alpha Fund75,5881,061
PIMCO Flexible Credit Income Fund10,2181,061
Credit Suisse Group90,9311,061
APPLIED OPTOELECTRONICS, INC.103,1481,061
Bloom Energy Corp83,3201,061
MyoKardia Inc20,3901,060
Nuveen Core Equity Alpha Fund75,3851,060
Blackrock Core Bond Trust78,7371,059
Invesco Value Municipal Income Trust69,5061,058
Micro Focus International plc40,9081,055
Sunoco33,7121,052
Ready Capital Corporation70,5161,051
Invesco Van Kampen Bond Fund57,1041,050
Sunoco33,5271,049
Ascena Retail Group965,7831,043
Arena Minerals, Inc.23,2361,041
Peoples Bancorp Inc.33,6181,041
Ishares Broad Commodity Index ETF21,3671,040
BlackRock 2022 Global Income Opportunity Trust86,0761,040
Exantas Capital Corp.97,6871,039
Pembina Pipeline Corp.27,8551,036
Earthstone Energy169,3001,036
AngloGold Ashanti Limited58,1331,035
Flushing Financial Corporation46,5681,034
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund20,3721,031
MyoKardia Inc20,5501,031
Eaton Vance Risk-Managed Diversified Equity Income Fund109,7051,031
Global X NASDAQ China Technology ETF116,7591,030
Spark Therapeutics10,0391,029
Evolva Holding AG43,1911,028
Brigham Minerals, Inc.47,8841,028
Flushing Financial Corporation46,8121,027
Oaktree Capital Group20,6921,025
Esperion Therapeutics, Inc.25,4951,023
Alliance National Municipal Income Fund Inc76,0001,022
Santander Holdings USA42,5541,019
G1 Therapeutics, Inc.61,4001,019
Smart Sand, Inc.228,2961,015
Nuveen Short Duration Credit Opportunities Fund65,3231,015
Kimball Electronics, Inc.62,3631,013
Invesco Quality Municipal Income Trust81,4421,012
Frontier Oilfield Services, Inc.578,5361,012
Virtus Global Multi-Sector Income Fund82,5351,011
ConnectOne Bancorp44,4801,008
Peoples Bancorp Inc.31,2771,008
Rocky Brands36,6921,007
DROPBOX, INC.40,0991,005
Sirius XM Radio Inc.179,023999
Seneca Foods Corp.35,823997
Despegar.com66,696994
Profire Energy658,191994
BLACKROCK LTD DURATION INCOME TRUST67,538993
Kimball International70,177992
Lakeland Bancorp66,331991
Express362,625990
Energy Revenue America, Inc.44,336989
iShares Oil Sands Index ETF16,993989
YY Inc.11,758987
CBL & Associates Properties944,340982
Commercial Vehicle Group127,380977
Spark Energy, Inc.87,280977
ConnectOne Bancorp49,480975
Sailfish Royalty Corp.36,531971
Franco Nev Corp12,924971
Takeda Pharma54,752969
Camping World Holdings69,547968
Carolina Trust Bank27,600968
NLIGHT, INC.50,168963
Vanc Pharmaceuticals, Inc.77,957960
Turkiye Is Bankasi A.S.39,508959
Invacare Corporation184,947959
PriceSmart18,756959
TPG Specialty Lending, Inc.48,774956
PIMCO New York Municipal Income Fund III79,428952
Habit Restaurants, Inc.87,980952
Indofood Agri Resources Ltd.9,999950
TPG Specialty Lending, Inc.47,338947
Nuveen California Dividend Advantage Municipal Fund 352,571946
Calix122,702945
Blackrock MuniYield Fund65,473942
First Choice Bank Cerritos CA48,590940
Main Street Capital Corporation22,787937
Apellis Pharmaceuticals, Inc.48,058937
Personalis, Inc.34,461936
Blackrock Corporate High Yield Fund V Inc77,181935
InnerWorkings244,600934
theScore Inc.35,389934
Liquidity Services152,920932
Revolve Group, Inc.27,000932
Bel Fuse Inc.54,245931
American International Group75,848930
Fitbit156,971929
United Bank for Africa Plc25,118928
Brookfield Infrastructure Partners LP22,130927
Evolva Holding AG41,579927
Blackrock Global71,584925
Telefonica SA110,503923
Telefonica SA109,057922
Invesco Quality Municipal Income Trust75,876919
NexPoint Residential Trust, Inc.22,188919
MOPALS.COM, INC.23,893915
ImmunoGen1,000,000911
Emerald Expositions Events, Inc.71,400907
Apollo Global Management32,046905
Blackrock MuniHoldings Quality Fund II73,486904
Vanc Pharmaceuticals, Inc.75,001903
Seneca Foods Corp.36,648902
Ribbon Communications174,800901
PLAINS GP HOLDINGS LP36,055900
Ezaki Glico Co., Ltd.17,155899
Blackrock Floating Rate Income Strategies Fund II Inc73,522898
Cemex S.A.B. de C.V.211,611898
Evolus, Inc.39,733897
Gabelli Equity Trust144,804895
Micro Focus International plc34,083891
Gray Television41,614889
ORTHOPEDIATRICS CORP22,810889
Spartan Motors100,546888
PIMCO Flexible Credit Income Fund8,206882
ImmunoGen1,000,000881
Eaton Vance Enhanced Equity Income Fund II58,692880
BG Staffing, Inc.46,614880
Alnylam Pharmaceuticals12,131880
Nuveen Municipal Value Fund64,491873
Ashford Hospitality Trust Inc183,252871
Rocky Brands36,100865
First Trust Energy Income and Growth Fund75,180863
Embraer-Empresa Brasileira de Aeronautica45,169859
Crown Cork & Seal Company13,787856
Nuveen Intermediate Duration Quality Municipal Term Fund63,647855
Alliance National Municipal Income Fund Inc66,027855
Terreno Realty Corporation17,440855
CRISPR Therapeutics AG23,887853
TRANSENTERIX INC.358,630853
Tile Shop Hldgs213,197852
Nuveen Municipal Value Fund60,726848
CNA Financial Corporation18,020848
Mitsubishi UFJ Financial Group Inc170,606847
Barnes & Noble Education, Inc.200,639843
Neuberger Berman California Intermediate Municipal Fund Inc.105,924843
ORTHOPEDIATRICS CORP18,910837
Golub Capital BDC46,743836
Alexander Nubia International, Inc.2,223836
Lloyds Banking Group Plc260,516836
ArcelorMittal40,747831
Golub Capital BDC46,510828
Alexander Nubia International, Inc.2,228825
Greenflag Ventures, Inc.54,606823
Global X NASDAQ China Technology ETF92,062816
Coeur d'Alene Mines Corporation187,840814
Tableau Software6,391813
Northern Oil and Gas295,700811
Nuveen Build America Bond Opportunity Fund38,064809
Fundthatcompany8,053808
Banco Bradesco Sa82,010807
Cheniere Energy Partners LP Holdings, LLC19,191806
Otter Tail Corporation16,102803
Penske Automotive Group17,913799
Invesco Value Municipal Income Trust55,325798
European Electric Metals Inc.17,061797
Greenflag Ventures, Inc.65,443795
First Choice Bank Cerritos CA36,890795
Star Gas Partners79,500794
European Electric Metals Inc.17,273792
ArQule71,774792
Dow 30 Premium15,323791
Noble Midstream Partners LP21,900789
Invesco Van Kampen California Value Municipal Income Trust62,283789
Red Lion Hotels Corporation97,441787
Capitol Federal Financial57,013786
LIBERTY ALL STAR GROWTH FUND INC20,592786
Endurance International Group Holdings, Inc.108,365785
Fundthatcompany8,208785
Ducommun Incorporated17,425785
Open Text Corporation19,056785
Open Text Corporation20,388784
Lyft, Inc.11,871783
SecureWorks Corp42,327779
United Cannabis Corp.54,148777
Eaton Vance Corporation36,580773
Avadel Pharmaceuticals537,101773
Fitbit175,389772
Lloyds Banking Group Plc271,329771
CNA Financial Corporation17,788771
Fortis19,503770
Eaton Vance Corporation33,818770
LIBERTY ALL STAR GROWTH FUND INC20,295768
MakeMyTrip Limited27,842768
Ionis Pharmaceuticals9,454767
Midstates Petroleum Company, Inc.130,214767
Oasis Midstream Partners LP35,600765
Camden National Corporation16,663764
Audentes Therapeutics, Inc.19,540762
Delanco Bancorp, Inc.59,414762
Silver Spruce Resources Inc.31,108761
Pioneer Energy Services Corp.429,973761
Ducommun Incorporated17,425759
RPC66,456758
Spark Energy, Inc.85,180758
H & T Group PLC36,440758
Banco Santander165,629758
Barnes & Noble Education, Inc.224,924756
BlackRock Investment Quality Municipal Trust Inc. (The)50,474754
EQUITY BANCSHARES INC28,300754
Altice USA35,068753
Constellation Energy Group12,620753
R.G. Barry Corporation382,324753
Deutsche Annington Immobilien SE27,546753
Crown Cork & Seal Company13,773752
Eagle Bulk Shipping Inc.161,786752
Western Asset High Income Fund II Inc.23,932751
Luther Burbank Corp68,970751
Great Fingall Mining Co.53,400748
Horizon Bancorp (IN)45,751747
Gabelli Equity Trust121,160746
Pioneer Diversified High Income Trust52,179743
Pioneer Diversified High Income Trust51,709739
iQiyi30,913739
Capitol Federal Financial55,395739
Camping World Holdings62,040737
H & T Group PLC36,616737
Silk Road Entertainment, Inc.15,200737
Western Asset Mortgage Defined Opportunity Fund Inc55,809735
Neuronetics, Inc.48,139734
Neuronetics, Inc.58,544732
Bank of Nova Scotia (The)13,442731
PIMCO Municipal Income Fund III53,138730
Blackrock MuniYield Michigan Quality Fund55,076727
Chilean Metals Inc.16,809726
New England Service Co.51,914725
Gulf Island Fabrication79,132725
Franco Nev Corp8,530724
Oasis Midstream Partners LP35,600723
Noble Midstream Partners LP21,700722
Silver Spruce Resources Inc.29,073720
iQiyi34,813719
Arbor EnTech Corp.59,275718
Camden National Corporation17,208718
Cemex S.A.B. de C.V.154,747718
Pembina Pipeline Corp.19,196716
InnerWorkings197,736716
First Bancshares, Inc. 23,182716
Prospect Capital Corporation109,574716
Banco Bradesco Sa65,453715
Hyatt Hotels Corporation9,815713
Lsb Industries Inc.114,250713
Blackrock Floating Rate Income Strategies Fund II Inc53,653711
Dreyfus High Yield Strategies Fund231,115710
Nuveen California Dividend Advantage Municipal Fund 249,084710
theScore Inc.26,443709
Invesco Van Kampen California Value Municipal Income Trust57,247709
PIMCO Municipal Income Fund III52,374707
Icahn Enterprises L.P.9,731705
UPLIFT NUTRITION, INC.126,572704
Blackrock Municipal 2020 Term Trust46,893704
John Hancock Hedged Equity & Income Fund47,754703
Fortis18,981702
Keurig Dr Pepper Inc.24,268702
Luther Burbank Corp69,250700
First Bancshares, Inc. 22,880694
BlackRock Investment Quality Municipal Trust Inc. (The)48,993693
The Carlyle Group L.P.30,648693
Logitech International S.A.17,597692
Socket Mobile, Inc.18,032688
JNS Holdings Corporation43,536687
POSCO12,943687
Advanced Disposal Services, Inc.21,487686
John Hancock Hedged Equity & Income Fund48,547685
HomeTrust Bancshares27,159684
GRAHAM ALTERNATIVE INVESTMENT FUND II LLC33,731682
iShares Oil Sands Index ETF12,176682
Iamgold Corporation196,436682
Cronos Group, Inc.42,635681
JNS Holdings Corporation41,452680
Bank of Nova Scotia (The)12,771680
Kimball Electronics, Inc.43,791678
BridgeBio Pharma, Inc.25,115677
REV Group, Inc.47,000677
Fiat45,523676
WNS (Holdings) Limited12,669674
LSC Communications, Inc.182,483670
MUELLER WATER PRODUCTS68,171670
GRAHAM ALTERNATIVE INVESTMENT FUND II LLC33,955667
Snap Inc60,567667
STEMLINE THERAPEUTICS INC43,450666
Forterra, Inc.133,600664
Och-Ziff Capital Management Group LLC28,946664
Southern National Bancorp of Virginia43,400664
Emerald Expositions Events, Inc.59,500663
Sterling Bancorp, Inc.66,400662
Metropolitan Bank & Trust19,008662
Liberty Bell Bank34,108660
Nuveen Intermediate Duration Quality Municipal Term Fund50,163660
Fresenius Medical Care Corporation16,302660
Superior Industries International190,051658
Blackrock Floating Rate Income Strategies Fund Inc51,261658
Voyager Therapeutics, Inc.60,981658
Weyco Group21,244658
BLACKROCK INTERNATIONAL116,883657
HomeTrust Bancshares26,059654
ECA Marcellus Trust I127,473654
Amalgamated Bk New York N Y37,500654
BLACKROCK INTERNATIONAL117,261652
Liberty Expedia Holdings, Inc.13,573650
AngloGold Ashanti Limited49,711647
BlackRock Multi-Sector Income Trust38,937646
CRA International16,809644
Twin River Worldwide Holdings, Inc.21,600643
Invesco Van Kampen Senior Income Trust59,138642
Nuveen Credit Strategies Income Fund83,116642
Templeton Dragon Fund32,270642
Icahn Enterprises L.P.8,846641
Bryn Mawr Bank Corporation17,127639
Chembio Diagnostics104,516637
Match Group, Inc.9,447636
Southern National Bancorp of Virginia43,400636
Templeton Dragon Fund33,103636
MOPALS.COM, INC.17,754635
Blackrock MuniYield Michigan Quality Fund48,927633
Liberty All-Star Equity Fund103,628633
BlackRock 2022 Global Income Opportunity Trust46,860632
Nuveen Energy MLP Total Return Fund64,982628
Avangrid, Inc.12,414626
Eaton Vance Senior Income Trust101,798625
Avangrid, Inc.12,342625
Nuveen Credit Strategies Income Fund78,440621
BELLICUM PHARMACEUTICALS, INC184,310621
Match Group, Inc.10,922619
Bryn Mawr Bank Corporation17,127619
CRA International12,227618
Avantor, Inc.32,354617
Profire Energy344,900616
ALLIANCEBERNSTEIN L.P.52,229615
Natera, Inc.29,765614
New England Service Co.48,761609
Total Telcom, Inc.56,813609
Horizon Bancorp (IN)37,801608
Brookfield Property Partners LP29,510607
IntriCon Corporation25,815603
Sunvault Energy, Inc.48,360602
Blackrock MuniHoldings Quality Fund II47,538598
Altus Midstream Company160,300596
Pimco California Municipal Income Fund II5,539596
Liberty Expedia Holdings, Inc.13,890595
International Frontier Resources Corp.45,634594
American National Insurance Company5,067590
Blackrock MuniAssets Fund36,990587
Amalgamated Bk New York N Y37,500587
Ecopetrol S.A.27,306585
Hyatt Hotels Corporation7,675584
Nuveen Real Asset Income and Growth Fund36,434584
Aurora Cannabis Inc.74,391582
Manulife Financial Corp31,902580
American International Group103,362580
Chembio Diagnostics104,516580
Evolus, Inc.39,507578
Tenaris S.A.20,078578
STEMLINE THERAPEUTICS INC44,950578
iShares FTSE EPRA/NAREIT North America Index Fund11,354577
Barrett Business Services6,994577
Blackrock MuniAssets Fund38,858577
Invesco Van Kampen Senior Income Trust51,519576
Icon Media Holdings, Inc.8,238576
Ascena Retail Group942,048574
China Life Insurance Company Limited42,765574
Kirkland's81,614573
FMB Equibanc, Inc.10,453572
Intellia Therapeutics, Inc.34,851570
Eaton Vance Senior Income Trust91,198569
NATURAL HEALTH TRENDS CORP43,900569
Blackrock Enhanced Government Fund35,762565
Contango Oil & Gas Company178,900564
CGI Group8,206563
Blackrock Municipal 2020 Term Trust37,267561
Neuberger Berman High Yield Strategies Fund47,658558
Spartan Motors50,858557
Cass Information Systems11,789557
Bar Harbor Bankshares20,903556
Manulife Financial Corp32,944556
Moderna Inc37,840555
SeaChange International417,142555
Cameco Corporation46,928553
Gulf Island Fabrication77,517550
PT Indosat Tbk18,300549
Blackrock Floating Rate Income Strategies Fund Inc43,863549
Culp28,495548
Sterling Construction Company Inc40,850548
Fresenius Medical Care Corporation13,957547
Kratos Defense & Security Solutions35,021547
Accuray Incorporated114,597546
Nuveen Energy MLP Total Return Fund59,930546
DiMi Telematics International, Inc.8,770545
Voya SENIOR INCOME FUND100,716545
BlackRock Credit Allocation Income Trust I41,940544
PetroHunter Energy Corp.9,830543
Ashford Hospitality Trust Inc182,907543
MDC Partners Inc.241,507543
Buckeye Technologies15,907542
Middlesex Water Company9,143542
Culp28,495542
Draftteam Daily Fantasy Sports Corp.13,338541
American National Insurance Company4,475540
Neuberger Berman High Yield Strategies Fund47,817540
Calix82,123539
Bank of Marin Bancorp13,250539
Apple Green Holding, Inc.33,026538
Blackrock Enhanced Government Fund34,032537
The Carlyle Group L.P.29,296536
Banco Bilbao Viscaya Argentaria S.A.95,838532
FSA Group Ltd.10,255532
Tenaris S.A.19,845531
China Life Insurance Company Limited42,540530
FSA Group Ltd.10,474529
Cohen & Steers Select Preferred and Income Fund18,770529
Cohen & Steers Select Preferred and Income Fund19,801529
Akebia Therapeutics, Inc.64,356527
Draftteam Daily Fantasy Sports Corp.14,015525
POSCO9,475524
American National Bankshares14,959523
Dean Foods Company565,072522
Sonos Inc50,492520
Synchronoss Technologies65,750520
Sachem Capital Corp.97,676519
Star Gas Partners54,100519
Cowen Group, Inc.35,508515
Apollo Investment Corporation32,400512
Sterling Construction Company Inc40,850511
Altus Midstream Company86,200509
Nuveen California Dividend Advantage Municipal Fund 236,749506
Ionis Pharmaceuticals7,868506
FMB Equibanc, Inc.9,353504
Highlands Bankshares, Inc.31,184504
VOYA INSURANCE & ANNUITY CO.105,317503
AGIC Equity & Convertible Income Fund23,105503
Territorial Bancorp Inc.16,250501
Chunghwa Telecom Co Ltd13,680499
First Business Financial Services21,177497
AquaVenture Holdings Ltd25,702497
Iamgold Corporation146,902497
Chunghwa Telecom Co Ltd13,907494
Kopin Corporation367,679493
Dolby Laboratories7,732491
Blackrock Health Sciences Trust12,260488
MidWestOne Financial Group17,861486
Coeur d'Alene Mines Corporation118,700484
Orix Corp Ads6,715483
Pattern Energy Group20,750483
Companhia Paranaense de Energia (COPEL)37,072482
Nuveen Real Asset Income and Growth Fund28,441482
John Hancock Tax Advantaged Dividend Income Fund18,922481
Global Medical REIT, Inc.44,815481
VOYA RETIREMENT INSURANCE & ANNUITY CO51,346481
Nustar Energy L.P.17,774479
Hingham Institution for Savings2,412477
Eaton Vance Corporation35,366477
Manitex International77,680475
Retail Value Inc.13,630474
Nuveen California Dividend Advantage Municipal Fund49,335473
BlackRock Credit Allocation Income Trust I37,889470
Orion Marine Group Inc160,873469
Invesco Municipal Premium Income Trust38,063468
Twin Butte Energy Ltd.28,750468
Nustar Energy L.P.17,177466
John Hancock Preferred Income Fund14,465466
Eldorado Gold Corporation79,349462
AGIC Equity & Convertible Income Fund21,477462
Asure Software Inc56,000461
AllianzGI Convertible & Income 2024 Target Term Fund49,931461
Freightcar America78,281459
Universal Truckload Services20,400459
Mitsubishi UFJ Financial Group Inc95,743457
Nuveen California Investment Quality Municipal Fund25,348455
MidWestOne Financial Group16,305455
First Acceptance Corp.9,813454
Aegon NV94,840454
Independent Bank Corporation21,059453
First American Group Inc24,480453
ClearBridge Energy MLP Total Return Fund Inc.46,707453
Invesco Van Kampen High Income Corporate Bond Fund104,855453
Cameco Corporation42,131452
Preformed Line Products Company8,147452
Vector Group Ltd.41,719450
Carbo Ceramics128,068449
iHeartMedia2,965448
Invesco Van Kampen High Income Corporate Bond Fund106,565448
USA Truck30,992447
Synchronoss Technologies73,350446
Banco Bilbao Viscaya Argentaria S.A.77,776445
First Business Financial Services22,172444
Invesco Municipal Premium Income Trust37,047442
John Hancock Tax Advantaged Dividend Income Fund17,833442
Sachem Capital Corp.97,676441
Territorial Bancorp Inc.16,250437
Korea Electric Power Corporation33,563436
MFS Intermediate Income Trust112,975436
Cohn & Steers Inc20,105435
Prospect Capital Corporation66,694435
Nuveen California Dividend Advantage Municipal Fund44,409433
InterContinental Hotels Group Plc6,462432
Lsb Industries Inc.110,610432
NV5 Holdings, Inc.7,261432
BankFinancial Corporation28,905430
ArcelorMittal23,633426
MFS Intermediate Income Trust111,740425
Quanta Computer, Inc.12,526425
First Acceptance Corp.8,861425
Banco Santander91,488424
Pattern Energy Group18,983420
BankFinancial Corporation30,005420
Far Eastone Telecommunication Co., Ltd.44,408419
Cohn & Steers Inc20,320417
Race World International, Inc.3,104416
PT Indosat Tbk15,112415
Extraction Oil & Gas, Inc.95,799415
InterContinental Hotels Group Plc6,716414
Great Fingall Mining Co.30,000412
Blackrock MuniEnhanced Fund37,039411
Total Telcom, Inc.62,860409
Republic Bancorp8,182408
Telaria64,313408
John Hancock Preferred Income Fund12,662408
Nuveen Enhanced Municipal Value Fund29,497407
Park-Ohio Holdings Corp.12,516407
KNOT Offshore Partners LP21,354406
Middlesex Water Company7,253406
Eaton Vance Short Diversified Income Fund29,803404
Quanta Computer, Inc.11,526402
Liberty Media14,463402
Liberty Media14,424402
Companhia de Bebidas das Americas - AmBev92,683399
China Unicom (Hong Kong) Ltd36,582399
Cherry Hill Mortgage23,206399
Golar LNG Partners LP30,824398
MainStay DefinedTerm Municipal Opportunities Fund19,073398
Radiant Logistics63,063397
Independent Bank Corporation18,178396
Global Medical REIT, Inc.40,231395
Sasol Ltd.12,750395
Kopin Corporation362,079395
Blackrock MuniEnhanced Fund36,734393
Eventbrite, Inc.20,522393
MainStay DefinedTerm Municipal Opportunities Fund19,173390
Bank of Marin Bancorp9,501390
United States Oil Fund, LP31,011388
Pinduoduo Inc.15,614387
Thermon Group Holdings15,020386
PetIQ, Inc.11,754386
Hannon Armstrong Sustainable Infrastructure Capital, Inc.13,648385
Nuveen Enhanced Municipal Value Fund27,072384
Aegon NV77,358383
TELUS Corporation10,348382
Midstates Petroleum Company, Inc.38,980381
Nuveen Real Estate Fund36,109379
Cornerstone Strategic Return Fund64,794378
KTL Bamboo International Corp.30,350378
Bar Harbor Bankshares14,531376
Kinross Gold Corporation96,749375
Korea Electric Power Corporation33,761375
Ecopetrol S.A.20,478375
comScore72,276374
Slack Technologies, Inc.9,981374
Orrstown Financial Services Inc16,915372
Qiwi PLC18,912371
Dreyfus Strategic Municipals47,093371
Thermon Group Holdings15,124371
db x-trackers Sicav9,327371
Audentes Therapeutics, Inc.9,755370
China Unicom (Hong Kong) Ltd28,827369
Greenville Strategic Realty Corp44,410369
GenMark Diagnostics51,986369
Auburn National Bancorporation10,925366
Veoneer, Inc.15,914364
Eaton Vance Short Diversified Income Fund28,046364
Putnam Municipal Opportunities Trust29,425361
CB Financial Services, Inc.15,141360
Gladstone Commercial Corporation16,949360
National Health Investors4,548359
Nine Entertainment Co. Holdings Ltd15,767358
Putnam Municipal Opportunities Trust28,253358
Univest Corporation of Pennsylvania14,664358
KTL Bamboo International Corp.28,953358
Eldorado Gold Corporation75,809356
Wrap Technologies Inc.50,000355
Park City Group66,240355
Gladstone Commercial Corporation17,057354
Methanex Corporation6,227354
American Premium Water Corporation37,635352
United States 12 Month Natural Gas Fund, LP15,490349
Companhia Paranaense de Energia (COPEL)36,688349
Sterling Bancorp, Inc.34,300348
BG Staffing, Inc.15,907347
Wheaton Precious Metals14,509346
FIRST MID ILLINOIS BANCSHARES INC9,900346
TIM Participacoes S.A.22,909345
Gamco Investors16,850345
Prothena Corp plc28,336343
Flexsteel Industries20,100343
TeleNav42,925343
Blackrock MuniHoldings Fund19,967342
United States Oil Fund, LP28,188339
Waterstone Financial20,609339
Tilray, Inc.5,158338
Greenville Strategic Realty Corp38,610338
HSBC Holdings plc12,907338
National Health Investors4,299337
Kinross Gold Corporation98,019337
Invictus Financial Inc.10,105337
SINOPEC Shangai Petrochemical Company7,060336
Cai International13,500335
Tortoise Pipeline & Energy Fund22,044335
GCP Applied Technologies Inc.14,788335
ALLIANCEBERNSTEIN L.P.28,836334
Apollo Investment Corporation22,086334
Southern Missouri Bancorp9,500331
FIRST MID ILLINOIS BANCSHARES INC9,900330
WellPoint Inc.83,000330
Flexsteel Industries14,200329
Galapagos2,552329
Agnico Eagle Mines6,395328
Cherry Hill Mortgage20,328325
TELUS Corporation8,781325
Luxfer Holdings PLC12,957324
Alpha and Omega Semiconductor Limited28,051323
Blackrock MuniYield Quality Fund22,276323
Opko Health Inc132,442323
Village Super Market11,740321
Costamare Inc.61,868321
Cloudera, Inc.29,318320
TIM Participacoes S.A.21,409320
PennantPark Floating Rate Capital Ltd.24,958320
RTI Biologics53,252320
Gamco Investors16,650319
Hi-Crush Partners LP71,356318
Grupo Financiero Santander Mexicano47,046317
Nuveen Select Tax Free Income Portfolio II20,497316
Orrstown Financial Services Inc17,034316
West Bancorporation15,305316
Methanex Corporation6,931315
Nuveen Select Tax Free Income Portfolio II21,389315
BlackRock Kelso Capital Corporation52,210315
iShares S&P Global Timber &Forestry Index Fund4,940314
Tortoise Pipeline & Energy Fund21,847314
Loma Negra Compania Industrial Argentina Sociedad ADS26,760313
Cai International13,500313
HudBay Minerals Inc43,559311
Two Harbors Investments Corp22,879310
Macquarie Global Infrastructure Total Return Fund Inc.13,066309
RBB Bancorp15,905308
Western Asset Managed Municipals Fund21,375308
Preformed Line Products Company5,795308
BlackRock Energy and Resources Trust25,374307
RBB Bancorp16,305307
Amira Nature Foods181,425307
Sportsman80,740305
Pan American Silver Corp.22,981304
Wells Fargo Advantage Income Opportunities Fund38,392303
First Trust Exchange-Traded Fund II First Trust BICK Index Fun15,557302
Vermilion Energy Inc 12,097300
BELLICUM PHARMACEUTICALS, INC175,003298
Independent Bank Corp.5,432298
Blackrock MuniHoldings Fund18,667298
Dualex Energy International, Inc.5,925296
Southern Missouri Bancorp9,500293
Hartford Retirement Network Corp.9,178291
Blackrock Health Sciences Trust7,470291
PennantPark Floating Rate Capital Ltd.25,027290
Blackrock MuniHoldings Investment Quality Fund22,469290
Nuveen Real Estate Fund27,997290
AllianzGI Convertible & Income 2024 Target Term Fund31,958288
ClearBridge Energy MLP Total Return Fund Inc.30,612287
BlackRock Energy and Resources Trust24,092287
Contango Oil & Gas Company163,700285
Nuveen Select Tax Free Income Portfolio III18,652285
LendingClub Corp91,730284
Aberdeen Asia-Pacific Income Fund Inc68,037284
Templeton Emerging Markets Fund18,806284
Sportsman59,140284
Sun Life Financial Inc.6,854283
Canadian Mining Company Inc.12,954282
HSBC Holdings plc10,945282
Denmark Bancshares, Inc.4,504281
Companhia Brasileira de Distribuicao11,426280
Seaboard Corporation65279
Loma Negra Compania Industrial Argentina Sociedad ADS25,370278
Dynex Capital45,521278
Companhia de Bebidas das Americas - AmBev59,262277
Highlands Bankshares, Inc.15,794277
Cannae Holdings, Inc.9,488274
APPFOLIO INC2,679274
Far Eastone Telecommunication Co., Ltd.29,458273
Paratek Pharmaceuticals51,050273
Invesco Van Kampen Advantage Municipal Income Trust II26,799273
SINOPEC Shangai Petrochemical Company6,727273
Wipro Limited68,436272
Nuveen Select Tax Free Income Portfolio III18,601272
TIPTREE FINANCIAL INC.43,008271
Foundation Building Materials, Inc.27,587271
Macquarie Global Infrastructure Total Return Fund Inc.12,166270
Seaboard Corporation65269
Aberdeen Asia-Pacific Income Fund Inc63,660269
National HealthCare Corporation3,512268
Aurora Cannabis Inc.28,888267
JPMorgan Chase Bank NA5,302267
OncoCyte Corp67,300266
ANTERO RESOURCES Corp47,879265
db x-trackers Sicav6,926264
Eaton Vance High Income 2021 Target Term Trust26,080262
Western Asset Middle Market Debt Fund Inc.12,616262
Dynex Capital15,584261
Pan American Silver Corp.20,257261
U.S. Xpress Enterprises, Inc.50,681260
Farmers & Merchants Bank of Long Beach (CA)8,612259
Terreno Realty Corporation6,128258
Two Harbors Investments Corp20,358258
Hannon Armstrong Sustainable Infrastructure Capital, Inc.10,644258
Sandridge Energy, Inc.37,145257
Argan5,100255
Cohen & Steers Global Income Builder28,549255
Templeton Emerging Markets Fund17,011253
New America High Income Fund28,486253
Prospect Capital Corporation251,000253
Spectrum Brands Holdings4,595252
Thailand Iron Works Public Co.2,640252
AudioCodes Ltd.18,141251
Park-Ohio Holdings Corp.7,751251
Invesco Van Kampen Advantage Municipal Income Trust II23,309251
Farmers & Merchants Bank of Long Beach (CA)8,612251
Chanticleer Holdings, Inc.135,000251
Shinhan Financial Group Co Ltd6,426250
Mesabi Trust8,422249
STOCK BUILDING SUPPLY HOLDINGS, INC.6,867249
Tilray, Inc.5,321248
Hecla Mining Company107,291247
Pitooey!, Inc.5,913247
HudBay Minerals Inc45,479246
Nomura Holdings Inc ADR69,130245
City Telecom (H.K.) Limited20,391244
U.S. Xpress Enterprises, Inc.36,900244
Shinhan Financial Group Co Ltd6,536243
Blackrock MuniHoldings Investment Quality Fund18,191242
Prospect Capital Corporation241,000242
Pitooey!, Inc.5,959242
Cannae Holdings, Inc.9,955241
Boulder Energy Ltd.21,345240
APPIAN CORP6,653240
Nuveen Equity Premium and Growth Fund15,089238
Galapagos2,022238
Etfs Commodity Securities Ltd.5,929237
CymaBay Therapeutics17,779236
Nine Entertainment Co. Holdings Ltd13,615236
Qiwi PLC16,367236
Capstone Turbine Corporation261,335235
Blackrock Debt Strategies Fund21,737233
Beazer Homes USA20,197233
Nuveen Global Government Enhanced Income Fund17,702232
Orix Corp Ads3,092232
Sasol Ltd.9,322232
GCP Applied Technologies Inc.7,815232
STOCK BUILDING SUPPLY HOLDINGS, INC.6,865232
Spectrum Brands Holdings4,298231
2U, Inc.6,176231
Thailand Iron Works Public Co.2,610231
Telecom Italia S.P.A.36,739230
Central Valley Community Bancorp11,764230
Nuveen Equity Premium and Growth Fund14,706228
1-800 FLOWERS.COM12,420227
Tekla World Healthcare Fund17,654226
Imperial Oil Limited8,178225
Imperial Oil Limited8,103225
Tata Motors Ltd17,932225
Phillips 66 Partners5,243223
American National Bankshares5,759223
Mesabi Trust7,605223
JELD-WEN Holding, Inc.10,535223
Blackrock California Municipal 2018 Term Trust16,696221
Companhia Brasileira de Distribuicao9,492221
RTI Biologics51,502219
22nd Century Group, Inc.104,125218
Independent Bank Corp.4,224217
Eaton Vance High Income 2021 Target Term Trust22,218216
DoubleLine Opportunistic Credit Fund10,294215
TravelCenters of America LLC51,953214
America's Car-Mart2,333213
Cohen & Steers Global Income Builder25,049213
TIPTREE FINANCIAL INC.33,583213
Ardagh Group16,379213
Blackrock California Municipal 2018 Term Trust16,607213
Republic Bancorp4,682210
Morgan Stanley Emerging Markets Debt Fund22,491209
Affimed Therapeutics49,500208
DCP Holding CO6,289208
DoubleLine Opportunistic Credit Fund10,280208
Blackrock Debt Strategies Fund19,201207
Lands End16,998207
REVLON CONSUMER PRODUCTS CORP 10,659207
ChannelAdvisor Corp17,036207
City Telecom (H.K.) Limited18,223206
BP Prudhoe Bay Royalty Trust7,699205
Pimco California Municipal Income Fund II1,927204
Sun Life Financial Inc.5,301204
LGL Group25,070204
WORKIVA LLC4,019204
Agnico Eagle Mines4,649203
BRF-Brasil Foods S.A.26,720203
Intellia Therapeutics, Inc.11,794202
CBTX, Inc.7,168202
Nuveen New York Dividend Advantage Municipal Income Fund14,518201
State Auto Financial Corporation6,064200
Gladstone Capital Corporation17,176200
Smart Sand, Inc.81,336199
Ballard Power Systems65,961199
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp16,039198
Paratek Pharmaceuticals49,750198
Isagen SA10,800196
iShares S&P GSCI Commodity-Indexed Trust12,288196
Black Stallion Oil & Gas Inc.11,055195
Nuveen New York Dividend Advantage Municipal Income Fund14,464194
Blackrock Global14,645193
Oil Optimization, Inc.11,095191
ADMA BIOLOGICS, INC.49,400191
Cronos Group, Inc.10,345191
The Stars Group11,172191
LGO Energy PLC21,930190
BlackRock Municipal Income Trust II12,866188
The Cushing Royalty & Income Fund11,088187
Tekla World Healthcare Fund14,509185
ZTO Express10,079185
Morgan Stanley Emerging Markets Debt Fund20,475184
Isagen SA10,015182
22nd Century Group, Inc.104,835179
NeoPhotonics Corporation28,070176
Blackrock MuniYield Quality Fund II14,340176
Gold Resource Corporation46,230176
Achillion Pharmaceuticals59,210175
Ladenburg Thalmann Financial Services Inc50,541173
Calamos Global Total Return Fund14,118173
Tata Motors Ltd14,848173
Frequency Electronics14,488172
Kirkland's76,204172
Guggenheim Enhanced Equity Income Fund21,916172
TravelCenters of America LLC47,531172
Black Stallion Oil & Gas Inc.11,055171
Alliance Resource Partners10,008170
Blackrock MuniYield Quality Fund II13,540170
Aphria Inc.18,117169
Itausa Invests Itau SA12,890169
OncoCyte Corp67,300168
Vedanta Res Plc15,905168
Mizuho Financial Group54,574167
Gold Resource Corporation49,130167
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp15,638166
BlackRock Municipal Income Trust II11,719165
Huami Corporation12,594165
Hecla Mining Company91,156164
Telecom Italia S.P.A.29,597164
Oil Optimization, Inc.11,011163
Enlink Midstream, LLC12,710163
J. Alexander's Corporation16,672163
Avid Technology21,786162
Mersana Therapeutics, Inc.39,866161
Enersis S A18,092161
Ladenburg Thalmann Financial Services Inc56,541160
Paramount Group, Inc.11,300159
Vansen Pharma Inc.10,957159
Calamos Global Total Return Fund12,380159
Gladstone Capital Corporation14,234159
Nuveen California Investment Quality Municipal Fund11,177156
Kronos Worldwide Inc10,174156
Houghton Mifflin Harcourt Co21,214154
Intevac25,044154
Pretium Resources17,910153
BRF-Brasil Foods S.A.26,015151
Fiduciary/Claymore MLP Opportunity Fund14,240151
BlackRock Kelso Capital Corporation24,919150
SM Listed Test 2160,000149
Intra-Cellular Therapies11,500149
Tenneco Automotive13,347148
Vansen Pharma Inc.10,291148
Frequency Electronics12,888147
SM Listed Test 2160,000147
Ultrapar Participacoes S.A.12,252147
Invesco Van Kampen Pennsylvania Value Municipal Income Trust11,382147
Cohen & Steers MLP Income & Energy Opportunity Fund15,423146
Dreyfus Municipal Income17,340146
PIMCO New York Municipal Income Fund III12,520145
Ship Finance International Limited11,765145
Habit Restaurants, Inc.13,727144
Clough Global Opportunities Fund14,933144
Pioneer Municipal High Income Advantage Trust13,151142
The Cushing Royalty & Income Fund10,006141
FIVE PRIME THERAPEUTICS INC10,500141
Neurotrope, Inc.17,595141
Menlo Therapeutics, Inc.17,900141
Akebia Therapeutics, Inc.28,956140
VIKING INVESTMENTS GROUP, INC.14,078140
GigaMedia Limited51,270137
Casino Guichard Perrachon SA46,903135
Cloudera, Inc.25,419134
Hi-Crush Partners LP53,479132
James Hardie Industries SE10,090130
CNH Global N.V.12,590129
Pioneer Municipal High Income Advantage Trust12,017129
Clough Global Opportunities Fund13,818129
Mobile TeleSystems13,832128
Tortoise Energy Independence Fund15,200127
Enlink Midstream, LLC12,542126
LGL Group19,229126
Aphria Inc.17,951126
Frontier Resources International Ltd,10,262126
Cohen & Steers MLP Income & Energy Opportunity Fund13,400126
CymaBay Therapeutics16,868121
Casino Guichard Perrachon SA37,054119
Pixelworks29,677117
Marchex24,772116
Intevac23,680115
NeoPhotonics Corporation27,650115
Houghton Mifflin Harcourt Co20,019115
Telaria22,935113
Minerva19,600111
Blackberry10,905110
PFSweb20,670108
Pacific Mercantile Bancorp13,000107
Credit Suisse Asset Management Income Fund34,081106
Tortoise Energy Independence Fund14,397103
Credit Suisse Asset Management Income Fund33,362103
Ultrapar Participacoes S.A.19,614103
Menlo Therapeutics, Inc.17,005102
ANTERO RESOURCES Corp11,539102
Frontier Resources International Ltd,10,742100
Pacific Mercantile Bancorp13,00099
Neurotrope, Inc.18,09599
Nuveen High Income 2020 Target Term Fund10,00099
MFS Government Markets Income Trust10,27998
Liberty All-Star Growth Fund17,52297
Landec Corporation10,23496
Nuveen Senior Income Fund16,60396
Cel-Sci Corporation11,42096
Mobile TeleSystems12,59195
Tilly's12,50395
EMCORE Corporation25,70094
Limelight Networks28,83893
Harmony Gold Mining Company Limited41,00093
Rite Aid Corp.11,52192
Nuveen Senior Income Fund15,13490
Blackberry12,04790
LEAF Equipment Leasing Income Fund III, L.P.11,30090
SMTC Corporation23,41288
Durect Corporation139,23487
TeleNav14,12586
Grupo Carso S.A. de CV10,79086
EMCORE Corporation25,70085
Weatherford International121,58285
Harmony Gold Mining Company Limited44,00084
Gold Fields Limited15,36983
Opko Health Inc30,64380
Acacia Diversified Holdings, Inc.23,94880
GSV Capital Corp10,59480
Micronic Laser80,00080
Grupo Carso S.A. de CV10,22080
Micronic Laser80,00080
Durect Corporation121,31179
CSS Industries13,17079
GoPro, Inc.12,18679
AU Optronics Corp21,45578
Rite Aid Corporation123,00378
Container Store Group, Inc.10,59877
Praco Corporation70,00069
Senseonics Holdings, Inc.27,83568
Praco Corporation70,00067
ChromaDex Corporation14,08465
Nomura Holdings Inc ADR18,32165
CSS Industries12,50061
GoPro, Inc.10,93660
Sorrento Therapeutics, Inc.12,67060
TransAtlantic Capital Inc.69,11060
Acacia Diversified Holdings, Inc.19,75158
Inovio Pharmaceuticals14,68355
McEwen Mining Inc.30,92054
McEwen Mining Inc.30,92046
Plug Power20,19546
Inovio Pharmaceuticals14,68343
Plug Power17,93743
APPLIED GENETIC TECHNOLOGIES CORP10,12842
Quorum Health Corp30,49142
BioScrip20,12040
Cel-Sci Corporation11,42040
Communications Systems14,60539
APPLIED GENETIC TECHNOLOGIES CORP10,12838
Communications Systems12,16737
Aptose Biosciences14,00037
HC214,85036
Atlantic Coal PLC14,36635
HC214,45034
Sorrento Therapeutics, Inc.12,58034
Hudson Technologies16,29532
Pixelworks10,87732
VEON11,18531
Agenus Inc.10,13330
ConforMIS Inc10,00029
Retractable Technologies44,25128
OpGen47,11628
Red Rock Resorts, Inc.10,00025
Red Rock Resorts, Inc.10,00025
Biocept20,00023
Biocept20,00022
SandRidge Mississippian Trust I20,85521
Turquoise Hill Resources Ltd.11,75420
TRANSENTERIX INC.12,93118
ORGANOVO HOLDINGS, INC.16,95917
OpGen40,85016
India Globalization Capital Inc.10,00016
Turquoise Hill Resources Ltd.11,75415
Polymet Mining Corp.17,71212
Hudson Technologies14,59012
Polymet Mining Corp.25,03211
NEW GOLD INC.10,80010
Avinger10,02510
Denison Mine Corp18,20010
Global Eagle Entertainment Inc13,92610
ORGANOVO HOLDINGS, INC.17,1599
Denison Mine Corp18,2009
Orion Energy Systems10,7259
NEW GOLD INC.10,8009
Solitario Exploration & Royalty Corp20,0008
Northern Dynasty Minerals13,5048
Northern Dynasty Minerals11,0007
Solitario Exploration & Royalty Corp20,0006
Fuel Performance Solutions, Inc.21,0535

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