RAYMOND JAMES & ASSOCIATES

Most recent update: Dec. 31, 2016

CompanyShares/WarrantsValue ($000)
Indo Tambangraya Megah PT10,588,9141,144,241
iShares Trust iShares MSCI All Country Asia Information Techno19,096,1531,050,957
SPDR GOLD TRUST19,054,961894,691
Russell Exchange Traded Funds Trust Russell Small Cap Consiste7,241,532811,271
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi7,671,577804,748
Vanguard Natural Resources, LLC3,051,947626,596
Apple Inc.4,666,802527,254
Microsoft Corporation8,489,716511,794
Verizon Communications Inc.8,583,286446,132
S&P Quality Rankings Glbl Equ Mngd Tr1,935,515432,654
Standard Parking Corporation1,328,384400,830
AT&T Inc.9,353,502395,676
J P Morgan Chase & Co4,380,534367,897
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap2,434,399328,282
Exxon Mobil Corporation3,626,848325,869
Johnson & Johnson2,758,289317,784
Chevron Corporation2,721,773314,488
Merck & Company5,066,767292,353
PowerShares Global Coal Portfolio8,356,797289,663
Alphabet Holding Company, Inc.367,516287,452
Procter & Gamble Company (The)3,273,540274,358
Altria Group4,029,629272,484
AbbVie Inc3,986,335243,074
Pepsico2,362,616242,001
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu4,505,761240,215
Pfizer7,623,376240,194
McDonald's Corporation1,893,578229,232
Coca-Cola Company (The)5,465,883226,616
Berkshire Hathaway Inc.1,360,301221,702
iShares3,951,519211,920
Philip Morris International Inc2,307,299211,095
Amazon.com268,917201,653
General Electric Co6,434,098199,952
United States Cellular Corporation1,229,652196,795
iShares Trust iShares MSCI Emerging Markets Latin America Inde5,630,155195,456
Union Pacific Corporation1,891,947191,052
Cisco Systems6,582,717189,620
Wells Fargo & Company3,328,255180,587
Vanguard Energy Corporation1,934,890179,190
Facebook1,501,093172,701
Comcast Corporation2,411,198165,167
First Trust High Income Long Short Fund5,132,412163,930
Home Depot1,234,961158,964
QUALCOMM Incorporated2,467,239156,241
Occidental Petroleum Corporation2,172,805154,769
Kimberly-Clark Corporation1,318,140150,427
iTeknik Holding Corporation644,799145,074
Duke Energy Corporation1,865,779144,821
B Communications Ltd.3,294,289142,201
Wal-Mart Stores1,990,380135,227
The Kraft Heinz Company1,581,145132,959
Vanguard Mortgage-Backed Securities ETF2,750,284130,842
Southern Company (The)2,641,050129,913
Vodafone Group Plc5,293,181129,312
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND2,970,569129,262
Visa Inc.1,661,948127,638
Multi-Strategy Growth & Income Fund4,407,518126,364
Time Warner Inc.1,345,206124,842
National Financial Partners Corporation2,113,196123,263
Core Resource Management, Inc.863,245118,719
Intel Corporation3,369,327117,661
Sanofi2,889,217116,395
PNC Financial Services Group983,056114,978
Novartis AG1,571,273114,452
Security Devices International Inc.1,319,023114,281
GlaxoSmithKline PLC2,932,630112,936
United Parcel Service999,044111,195
Walt Disney Company (The)1,070,801110,118
PowerShares QQQ Trust940,418110,097
iShares FTSE EPRA/NAREIT Europe Index Fund998,127107,990
Honeywell International Inc.920,981104,953
Celgene Corporation903,899104,626
Eaton Corporation1,635,110104,489
Lockheed Martin Corporation417,247104,288
CB Scientific Inc.829,328104,150
Bank of America Corporation4,690,584103,250
Allergan480,250102,787
3M Company565,522100,987
TotalFinaElf1,972,456100,536
Bowl America, Inc.2,677,917100,101
Marathon Petroleum Corporation2,125,69597,160
U.S. Bancorp1,928,10896,719
TE Connectivity Ltd.1,367,99494,775
Carnival Plc ADS1,912,13194,446
BROADVIEW INSTITUTE INC531,83594,015
Dominion Resources1,212,01692,827
BlackRock Maryland Municipal Bond Trust1,968,40292,554
PPlus Trust2,712,01992,344
CME Group Inc.848,55691,861
Microchip Technology Incorporated1,470,24390,031
Anadarko Petroleum Corporation1,285,44789,634
Ultra Lithium Inc2,202,09689,625
Enterprise Products Partners L.P.3,323,53689,041
Oracle Corporation2,447,57488,537
Goldman Sachs Group1,101,70286,728
International Business Machines Corporation560,91886,510
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund793,06685,794
Texas Instruments Incorporated1,185,19885,535
Schlumberger N.V.1,012,18684,973
Air Products and Chemicals607,12582,753
Biogen Idec Inc.287,88281,638
Dow Chemical Company (The)1,451,25681,484
Amgen Inc.556,73881,402
Boeing Company (The)543,22881,350
Crown Equity Holdings, Inc.918,31979,683
Halliburton Company1,507,91978,668
General Mills1,263,72878,061
CVS Corporation1,001,13777,913
Ironclad Performance Wear Corp2,382,61477,387
Medtronic1,150,68976,553
MetLife1,413,57176,177
Automatic Data Processing768,83175,649
Emerson Electric Company1,437,68874,875
Western Union Company (The)3,412,20374,113
Starbucks Corporation1,433,49272,655
Target Corporation1,035,90771,609
Vanguard Natural Resources, LLC1,558,96870,041
Bristol-Myers Squibb Company1,211,16870,035
Johnson Electric Holdings Ltd.1,693,78269,767
Abbott Laboratories1,849,61468,756
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF835,20767,131
Astrazeneca PLC2,440,37066,671
First Trust Senior Floating Rate Income Fund II1,631,28665,210
Ventas1,042,97465,207
E.I. du Pont de Nemours and Company879,24564,537
Raytheon Company465,22164,487
Gilead Sciences896,34463,030
ONYX Pharmaceuticals222,98562,081
United Technologies Corporation590,29661,919
Regal Entertainment Group3,003,66461,876
Praxair525,11461,539
Reynolds American Inc1,083,68260,730
Innocap, Inc.332,60960,602
Reitmans753,25160,352
Citigroup Inc.1,017,80059,364
MSCI Inc1,187,62359,288
Omnicom Group Inc.694,81159,136
Valero Energy Corporation857,21358,565
Sport Chalet479,60458,413
Fastenal Company1,233,09457,931
India Cement Ltd.398,05257,802
priceline.com Incorporated39,08057,294
Taiwan Semiconductor Manufacturing Company Limited1,968,05556,582
Royal Dutch Shell PLC1,025,64355,775
First Trust2,073,76955,259
Corning Incorporated2,260,66154,866
Wake Forest Bancshares, Inc.932,79354,708
Autodesk735,20254,412
Magellan Minerals Ltd.700,83153,003
Sysco Corporation950,85852,649
Walgreens Boots Alliance671,78451,723
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF590,40750,598
NXP Semiconductors N.V.523,84250,099
Weyerhaeuser Company1,660,13049,953
Lowe's Companies703,39949,307
American Electric Power Company781,79549,222
Illini Corp.413,71048,479
Seagate Technology.1,265,79848,315
POWERSHARES DB AGRICULTURE FUND1,242,96048,173
Stark Naked Bobbers393,42348,163
Waste Management676,86347,996
Salesforce.com Inc710,44247,878
Motorola Solutions576,70447,803
Interups Inc.469,52347,600
Caterpillar533,45147,385
Becton283,38046,917
Allstate Corporation (The)645,34446,826
NVIDIA Corporation438,17246,771
Cinemark Holdings Inc1,217,41646,700
General Dynamics Corporation265,97345,924
Alibaba Group Holding Limited520,21045,680
Neenah Paper381,03345,374
iShares FTSE EPRA/NAREIT Asia Index Fund427,45344,858
British American Tobacco Industries392,85544,263
vTv Therapeutics Inc.472,08143,909
Bank of the Ozarks834,10443,866
Broadridge Financial Solutions649,92443,090
Ishares Income Trust Sector Index Fd1,007,51541,707
Willis Towers Watson341,02841,701
Costco Wholesale Corporation258,09241,324
ConocoPhillips856,31340,928
LyondellBasell Industries NV475,06640,752
Western Asset Emerging Markets Income Fund595,84840,488
World Gaming plc368,52940,394
Diageo plc387,87240,315
Russell Exchange Traded Funds Trust Russell Small Cap Contrari337,40340,132
Thomson Reuters Corp902,48239,511
Cardinal Health544,36839,178
Sector 5, Inc.809,00139,124
High Country Bancorp, Inc.513,73638,926
VGTel, Inc.455,27738,782
Mondelez International892,18038,745
Select Asset Inc.475,23538,684
Accenture plc.329,79138,629
Phillips 66443,76738,346
Anheuser-Busch Inbev SA362,82638,257
Discover Financial Services527,78138,048
BlackRock99,49737,863
Realty Income Corporation651,78837,465
W.W. Grainger160,44837,265
American Express Company500,47237,075
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF318,52736,733
Marathon Oil Corporation2,111,56936,551
FVI Fondo Valores Inmobiliarios1,572,05636,377
Polaris Futures Fund L.P.439,09936,177
First Trust Energy Income and Growth Fund2,181,95936,024
ProShares Trust ProShares UltraShort Nasdaq Biotechnology737,17535,946
Applied Materials1,098,27535,441
Consolidated Graphics467,70834,461
Cognizant Technology Solutions Corporation628,32434,410
UBS AG1,205,16234,239
Twitter2,085,31533,991
Newell Rubbermaid Inc.756,54233,780
Ameren Illinois Company643,33433,749
National Fuel Gas Company592,79033,576
Citrix Systems374,86133,479
Express Scripts Holding Company496,48433,446
Ionis Pharmaceuticals698,56233,412
Ingersoll-Rand plc (Ireland)460,75333,373
Geo Group Inc (The)906,20432,560
American Tower Corporation (REIT)305,65032,301
Vanguard Natural Resources, LLC730,31332,265
Vanguard Short-Term Corporate Bond ETF404,85432,166
First Trust NASDAQ-100 Equal Weighted Index Fund695,75932,151
Freeport-McMoran Copper & Gold2,496,38032,069
Ryman Hospitality Properties507,10631,953
Federal Express Corporation171,51131,936
Imperial Petroleum, Inc.191,86331,726
Mastercard Incorporated307,26331,725
Charles Schwab Corporation801,26231,626
LeapLab Corp.207,37531,544
PPG Industries332,39231,498
STATIONDIGITAL CORP1,714,09231,265
Harris Teeter Supermarkets305,08431,262
Entergy Corporation425,04331,228
Nike632,52030,981
Pacific Gas & Electric Co.509,75230,978
Compass Minerals Intl Inc388,68030,453
Eli Lilly and Company441,00130,451
PayPal Holdings, Inc.769,47230,371
Ibiden Co. Ltd.342,22030,311
Kinder Morgan1,418,42330,253
Nielsen CO B.V.719,74230,193
SunTrust Banks549,53630,142
Edge Resources Inc.663,73130,014
CyrusOne660,51329,545
Aspen Pharmacare Holdings plc263,69129,409
Spectra Energy Partners639,46629,313
First Trust NASDAQ-100 Ex-Technology Sector Index Fund551,26129,030
Pimco Corporate & Income Stategy Fund290,68429,028
IntercontinentalExchange526,20428,649
Royal Kpn N.V.423,56428,630
Aetna Inc.230,67228,606
Danaher Corporation516,07728,493
eBay Inc.958,00928,443
iShares MSCI1,162,94928,147
Boulder Energy Ltd.3,147,54628,139
Financial Institutions1,312,38028,102
Adobe Systems Incorporated272,93128,098
Delta Air Lines Inc. (New)570,84728,080
PIMCO California Municipal Income Fund277,03028,072
Roper Technologies151,30427,701
International Paper Company531,34927,330
General Electric Capital Corporation2,428,15627,143
Republic Services475,29127,115
Select Asset Inc.388,74526,800
Unilever NV652,65626,798
Paychex514,40326,661
iShares NASDAQ Biotechnology Index Fund100,26026,608
iShares MSCI ACWI ex US Index Fund660,65626,605
Arthur J. Gallagher & Co.510,73826,538
Ulta Salon103,76926,455
CenturyLink1,109,68826,388
Pioneer Exploration, Inc.144,66926,051
New Ulm Telecom, Inc.386,19726,026
ENERGY TRANSFER PARTNERS355,50525,892
The Bank of Kentucky Financial Corp.545,49625,846
Nucor Corporation430,72025,636
Brown & Brown562,10225,216
Bespoke Tricyles, Inc.2,488,45125,185
Envision Healthcare Holdings, Inc.397,07825,131
Heico Corporation358,55725,106
Raymond James Financial382,31625,001
Axis Energy Corporation382,55124,969
iShares234,73824,962
Synchrony Financial703,37624,773
Illinois Tool Works Inc.201,67024,697
Envestnet254,63324,654
The Blackstone Group L.P.979,54424,649
Shire plc143,93224,523
Community Bank (Pasadena, CA)956,73224,311
iShares S&P Emerging Markets Infrastructure Index Fund650,87624,219
Zoetis450,15524,097
Masimo Corporation353,28623,812
Spectral Capital Corp.575,51623,648
RIGHTSCORP, INC.406,69223,576
Netflix190,10423,535
ENERGY TRANSFER PARTNERS657,11023,531
IEG Holdings Corp291,60023,454
Blackrock Enhanced Equity Dividend Trust2,865,68923,355
OWENS-ILLINOIS GROUP INC657,40023,200
iShares217,51222,800
Vertex Pharmaceuticals Incorporated309,35422,790
Rogers Corporation589,87522,724
DineEquity291,54822,449
Etfs Commodity Securities Ltd.173,41022,364
LPL Financial Holdings Inc.633,60422,309
Waste Connections280,26922,026
Sempra Energy218,75922,016
Palo Alto Networks175,09721,896
Prologis, Inc.414,27021,869
TJX Companies289,95221,784
FTE Networks, Inc.437,13221,319
Teva Pharmaceutical Industries Ltd.587,60121,301
Industrial Services of America341,48921,248
Westpac Banking Corporation903,60821,217
Relx1,204,45621,187
WestRock417,23221,183
International Consolidated Airlines Group SA117,80021,070
Oasis Petroleum Inc.1,397,21721,017
Marriott International271,04321,012
Morgan Stanley494,27920,883
PIMCO Income Strategy Fund226,37320,724
McCormick & Company221,99220,719
Edwards Lifesciences Corporation220,67320,677
Fifth Third Bancorp765,65020,650
Alexion Pharmaceuticals168,46720,612
Mid-America Apartment Communities209,15020,480
Consumer Portfolio Services393,93320,370
NoCopi Technologies, Inc.87,25020,294
Xilinx349,64120,230
Aflac Incorporated290,14020,194
Newfield Exploration Company495,16220,054
Pentair357,19020,028
Berkshire Hathaway Inc.8220,018
iShares Trust129,04319,873
IBO (Listing Market - NYSE Amex Network B F)235,07119,852
iShares MSCI Europe Financials Sector Index Fund161,20519,750
Sappi Limited228,09319,714
John Wiley & Sons360,53619,649
J.M. Smucker Company (The)153,19019,618
Avnet408,79019,462
Hillenbrand Inc507,11019,448
Archer551,76119,303
Kresta Holdings Ltd.347,21319,296
Exelon Corporation582,20019,288
Mohawk Industries96,26319,222
Constellation Brands Inc125,37219,221
Prudential Financial183,21219,066
Huntington Bancshares Incorporated1,441,06819,051
AmeriGas Partners397,53319,050
Legg Mason636,51619,038
KSW Inc233,96118,996
Matthews International Corporation246,62018,953
Vectren Corporation362,99018,930
Fluor Corporation360,05018,910
Maxima Group, Inc.488,78718,853
iShares MSCI Emerging Markets Materials Sector Index Fund217,27318,805
Russell Breweries Inc150,84518,774
Mylan Inc.491,00318,732
Quintiles Transnational Holdings Inc243,98818,555
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund373,18118,487
Thermo Fisher Scientific Inc130,95018,478
Redux Holdings, Inc.264,29118,421
Omega Healthcare Investors588,43618,395
Norfolk Souther Corporation187,66318,155
UBS AG (London Branch)1,158,85918,153
Steel Partners Holdings LP507,47118,056
Camden Property Trust213,59417,957
INCEPTION MINING INC.119,06917,861
Edison International248,00917,854
ETERNITY HEALTHCARE INC.950,96017,816
Stanley Black & Decker155,33617,816
iSoftStone Holdings Limited601,06417,767
iShares403,41317,739
General Motors Company508,06217,701
Ecolab Inc.150,93617,693
Diamondhead Casino Corp.88,93717,566
Simon Property Group98,75517,546
iShares MSCI Far East Financials Sector Index Fund231,05817,528
Prudential Public Limited Company440,47417,526
Diamondback Energy173,25217,509
Analog Devices240,86917,492
BCSB Bancorp1,580,32117,384
TELUS Corporation546,60817,382
Monotaro Co., Ltd.165,03017,363
Peoples Financial Corporation895,47217,336
Deere & Company167,86917,297
Sabra Healthcare REIT708,17717,294
Healthcare Services Group438,52917,177
Landstar Development Group, Inc.200,83417,131
Capital One Financial Corp195,69317,072
Colony Bankcorp839,80817,006
STERLING CONSOLIDATED Corp383,43717,002
Marsh & McLennan Companies248,70916,810
Oppenheimer Holdings284,43716,732
Weatherford International3,349,62416,715
Liberty Interactive Corporation835,13616,686
Suncor Energy Inc.509,85816,650
VOIP PAL.com, Inc.126,38816,637
Agrium Inc.165,20516,611
Fidelity National Information Services219,13816,576
V.F. Corporation309,53116,514
Covanta Holding Corporation1,053,62816,437
Cintas Corporation141,81816,389
Stryker Corporation170,85916,352
Toyota Tsusho Corp.138,66016,251
Henry Schein106,21816,114
Check Point Software Technologies Ltd.189,41215,998
Royce Value Trust1,173,26615,710
XBiotech Inc.305,75615,702
HSBC Holdings plc399,88615,512
Colgate-Palmolive Company236,94515,506
Monolithic Power Systems188,88815,476
Vanguard Energy Corporation127,36415,475
ChemoCentryx226,98115,429
Vantiv257,87315,374
Ross Stores234,24515,366
Wintrust Financial Corporation211,18615,326
iShares Trust iShares Barclays GNMA Bond Fund134,15815,183
Alliance Creative Group, Inc.66,34815,161
Now Inc739,87615,145
Parsley Energy427,41915,062
Hanesbrands Inc.697,45915,044
Sherwin-Williams Company (The)55,64514,954
ASML Holding N.V.133,23714,949
Aircastle Limited713,95414,886
Targa Resources264,84214,850
Harmonic Energy, Inc.133,44214,834
East West Bancorp290,03814,743
Alleghany Corporation24,15314,688
CDW Corp281,08614,642
Graco Inc.176,21914,642
Darling International Inc.1,130,70614,597
Berry Petroleum Company299,49114,594
iShares Gold Trust1,316,18414,583
Global X Funds Global X NASDAQ 500 ETF1,027,86314,489
Nuance Communications1,211,33514,435
Boston Scientific Corporation683,54314,393
Discovery Communications524,42414,374
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 145,08614,131
National-Oilwell Varco370,53213,873
Fidus Investment Corporation880,92113,857
IDEX Corporation153,01813,781
First Trust Exchange-Traded Fund II First Trust BICK Index Fun723,89113,747
Zimmer Holdings132,81213,706
Air Lease Corporation397,91513,660
Yum! Brands275,87213,598
Canadian National Railway Company201,99413,577
Stericycle175,75913,540
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF258,70613,528
Markel Corporation14,92713,501
Activision Blizzard370,27813,371
Brookfield Infrastructure Partners LP396,60313,274
Eagle Growth & Income Opportunities Fund816,99413,252
Alaska Power & Telephone Co.149,22913,241
Tekla Healthcare Opportunities Fund777,21213,218
Energen Corporation228,89513,200
Canadian Pacific Railway Limited92,43713,198
Canada Strategic Metals, Inc.504,56313,194
Centenera Mng Corp.233,44013,192
Rio Tinto342,07413,156
Kreisler Manufacturing Corp.380,14413,119
Trinity Industries540,28213,082
General Electric Capital Corporation418,31213,043
Delphi Automotive plc192,87312,990
Cedar Fair202,20912,982
Mascota Resources Corp410,23412,972
Clorox Company (The)107,91312,951
Estee Lauder Companies169,27812,949
Actuant Corporation498,54012,937
Thor Industries129,17712,924
Arris Group Inc428,88512,922
PAA Natural Gas Storage399,44212,898
Adams Express Company (The)1,013,86612,886
Timken Company (The)324,46712,881
HCA Holdings173,84412,868
Crimson Wine Group Ltd.358,08212,866
Concho Resources Inc.96,88112,846
Amdocs Limited220,04212,817
KeyCorp630,22512,735
Hewlett Packard Enterprise Co605,47312,709
UBM Plc288,09712,656
CIGNA High Income Shares94,74812,638
Jack Henry & Associates142,08112,614
TD Ameritrade Holding Corporation286,83412,506
Santeon Group Inc299,86112,422
DaVita Inc.190,60612,237
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal519,81512,143
The Ultimate Software Group66,20212,072
OGE Energy Corporation360,73512,067
EQT Corporation184,47012,064
American Homes 4 Rent574,16012,046
Tesla Exploratin Services Inc.56,22612,015
MICRO IMAGING TECHNOLOGY, INC.146,93212,004
Deutsche Bank Aktiengesellschaft427,25611,989
Equifax101,06511,949
Blackstone GSO Long Short Credit Income Fund775,84611,911
Metals X, Ltd.410,11511,880
Mobileye311,56011,877
Cummins Inc.86,76911,859
Xcel Energy Inc.291,21211,852
Micron Technology632,45911,846
Labor Smart, Inc.91,65711,767
Hormel Foods Corporation337,71811,756
Garmin Ltd.241,97911,734
Liberty Gold Corp.345,44511,717
Sumitomo Mitsui Financial Group Inc1,531,85011,703
AcuityAds Hldgs Inc.50,64011,691
Cimarex Energy Co86,01511,689
American Water Works160,62811,623
TheraBiogen Inc.111,88811,593
Regeneron Pharmaceuticals31,49911,563
Flextronics International Ltd.802,03711,525
Wabco Holdings Inc.108,43811,511
Flow International Corporation236,41911,360
Cohen & Steers Dividend Majors Fund113,87211,346
SMG Indium Resources Ltd.93,73611,342
Cohen & Steers Infrastructure Fund582,46011,276
Northern Trust Corporation126,49311,264
Pebblebrook Hotel Trust383,75611,255
CBIZ364,72411,254
BorgWarner Inc.285,06411,243
MPLX LP324,19811,224
IL2M International Corp.84,38211,221
CleanPath Resources Corp.201,27311,201
Tractor Supply Company180,57011,146
NorthStar Real Estate Income II, Inc.732,60311,099
Pinnacle Foods Inc207,43411,087
Advanced Visual Systems, Inc.65,43411,066
Dolby Laboratories244,75911,061
American International Group169,21011,051
Computer Sciences Corporation185,76911,038
Textron Inc.226,50510,999
CornerWorld Corp.87,92110,987
Inca One Gold Corporation92,07510,969
Novo Nordisk A/S305,07710,940
Adriana Resources, Inc.66,45410,926
SEI Investments Company221,26010,921
Cree412,41010,883
Xponential, Inc.311,21510,819
Regions Financial Corporation747,26310,731
Sabre Corp429,63810,719
LEAP TECHNOLOGY INC / DE80,94810,715
McKesson Corporation76,08210,686
Genesis Metals Corp.296,07710,665
Williams Companies342,06110,652
Great Plains Energy Inc389,19310,644
Seeing Machines Ltd.233,92510,606
Six Flags Entertainment Corporation New176,24710,568
Toro Company (The)188,86910,567
Signature Bank70,24210,550
Vanguard Intermediate-Term Corporate Bond ETF126,47810,507
Umpqua Holdings Corporation559,38910,505
Karelia Tobacco Co Inc142,33610,491
Ramtron International Corporation194,14810,451
AO Mosenergo139,61410,424
New York Community Bancorp Inc653,54410,398
CBS Corporation163,35410,393
Reinsurance Group of America81,73710,285
Arrow Electronics236,10110,209
Retail Opportunity Investments Corp.482,80210,202
Ares Capital Corporation618,36110,197
HCP342,92010,192
Torchmark Corporation138,12610,188
State Street Corporation129,89210,095
Robert Half International Inc.206,59710,078
Burlington Stores Inc118,37910,033
Lloyds Banking Group Plc3,228,68710,009
The Cash Store Financial Services Inc.203,08910,004
U.S. Helicopter Corp.129,2349,943
Smart & Final Stores, Inc.57,7969,899
Tri Continental Corporation448,8079,896
STORE CAPITAL Corp400,3009,891
ISHARES IV PLC89,1879,837
Sunoco Logistics Partners LP408,5859,814
SL Green Realty Corporation90,6699,751
Core Laboratories N.V.81,1829,745
Inchcape PLC226,6839,729
1st Colonial Bancorp, Inc.256,3979,717
United Continental Holdings132,8899,685
iShares173,9009,642
Alpine Total Dynamic Dividend Fund1,271,8749,641
Digital Realty Trust98,1059,640
Devon Energy Corporation210,3349,606
Independence Holding Company1,068,4679,531
Synchronoss Technologies248,3839,513
Cohen & Steers Quality Income Realty Fund Inc773,4889,444
Coach269,6209,442
Hasbro121,0789,419
Spirit Aerosystems Holdings161,0029,394
Charter Communications32,6059,388
Mednax140,3209,354
Boston Properties74,1759,330
BHP Billiton Limited260,2019,310
Invesco Plc306,4909,299
Genuine Parts Company97,0899,276
Lincoln National Corporation139,7909,264
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal365,7689,225
LMP Capital and Income Fund Inc.692,4199,202
Validus Holdings166,4969,159
Iridium Communications Inc977,4689,137
Post Holdings113,1009,092
Graphic Packaging Holding Company725,7419,057
ABB Ltd429,7069,054
Leidos Holdings, Inc.175,9038,996
Lumentum232,6248,991
Parametric Technology Corporation193,6578,961
Lazard World Dividend & Income Fund750,7908,959
IHS Markit252,8058,952
Selective Insurance Group184,2468,949
Wright Express Corporation133,4518,876
Sensata Technologies Holding N.V.225,6578,789
Franklin Resources221,2358,756
Flowers Foods436,2848,713
Commerce Bancshares150,3228,690
The Kroger Company370,9818,685
Waters Corporation64,6078,683
Deutsche Bank Aktiengesellschaft602,3028,679
New York Community Bancorp549,5178,638
Electronic Arts Inc.109,3108,609
RSP Permian192,9208,608
ETFS SILVER TRUST313,2888,592
Deutsche High Income Opportunities Fund1,008,5008,592
Expedition Mining Inc75,7088,576
Firstrand Limited92,8698,557
Vanguard Health Systems67,4548,551
Teleflex Incorporated52,9758,538
Alliant Energy Corporation224,5948,510
Knowles507,3988,479
Dril-Quip141,0748,471
Church & Dwight Company191,5898,466
Honda Motor Company289,3418,446
AGCO Corporation145,6928,430
SVB Financial Group49,0668,423
Intuit Inc.73,4838,422
CNA Financial Corporation202,8728,419
Best Buy Co.208,5778,412
ManpowerGroup94,2488,376
ExactTarget1,041,7548,355
Albero Corp.96,6208,317
T. Rowe Price Group110,3988,309
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio86,4098,274
Aspen Technology151,2838,272
Whole Foods Market279,1008,266
FactSet Research Systems Inc.50,4278,242
The NASDAQ OMX Group122,4078,216
First Century Fox Inc Class A292,0548,189
Dex One Corporation136,8698,171
Yum China Holdings, Inc.310,8968,121
Brunswick Corporation148,4398,096
Hologic201,2868,076
AmerisourceBergen Corporation (Holding Co)102,9068,046
PacWest Bancorp147,6828,040
Leggett & Platt164,1558,024
MGM Growth Properties LLC296,7778,020
Global Payments Inc.114,7467,965
MainStay DefinedTerm Municipal Opportunities Fund435,1517,963
Fortress Paper598,1617,956
AMC Networks Inc.151,1377,911
Regency Affiliates, Inc.114,5547,898
Vanguard STAR Funds Vanguard Total International Stock ETF171,6687,876
Progressive Corporation (The)221,4757,862
Anthem United, Inc.236,8867,859
Koninklijke Philips Electronics256,2487,834
Dr Pepper Snapple Group86,2717,822
Huntsman Corporation407,1827,769
Stargaze Entertainment Group Inc.72,1157,756
Hollywall Entertainment Inc.236,1767,737
SCOTTS LIQUID GOLD INC80,9247,732
NAVIENT CORP469,9527,721
Medical Properties Trust626,6487,708
Copart137,8477,638
Helmerich & Payne98,6637,636
Macy's Inc212,7577,619
Portland General Electric Company175,7807,617
Canadian Natural Resources Limited238,5707,606
Evans Brewing Co Inc.753,8647,591
Lazard Global Total Return and Income Fund184,6717,588
Cavium121,2957,574
Bank Of Montreal105,1717,555
Nuveen Dividend Advantage Municipal Fund 3521,8207,545
Wynn Resorts87,1387,539
Tesoro Logistics LP148,2997,535
Parker-Hannifin Corporation53,7327,522
Vibe Ventures Inc109,3217,505
MarketAxess Holdings50,9657,488
Dollar General Corporation100,7207,460
Monmouth Real Estate Investment Corporation488,9707,452
Jumbo SA90,8817,434
Avery Dennison Corporation105,4537,405
Vail Resorts45,8097,390
Annaly Capital Management Inc739,6027,374
Molson Coors Brewing Company75,5807,355
Eaton Vance Tax-Advantage Global Dividend Opp710,5717,355
Intertainment Media, Inc.506,0177,352
Foothills Exploration, Inc103,4297,332
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG196,2067,326
Kimco Realty Corporation290,1257,300
Hartford Financial Services Group153,1777,299
Fiserv68,6227,293
Scana Corporation99,1377,265
Delaware Enhanced Global Dividend716,2977,242
Vulcan Materials Company57,7667,231
Apache Corporation113,7967,223
Fortive Corp134,5657,217
Diamond Bancshares, Inc.77,2777,214
Buckeye Technologies108,8867,204
Invesco Van Kampen Senior Income Trust585,0917,197
Seven Generations Energy Ltd.68,9427,193
Owens Corning Inc138,8667,160
John Hancock Tax Advantaged Dividend Income Fund309,2617,138
CA Inc.260,5297,132
Southwest Airlines Company142,1837,086
DTE Energy Company71,9117,084
Central Fund of Canada Limited627,2857,082
Cullen/Frost Bankers80,2387,079
Primerica101,8957,046
Flaherty & Crumrine/Claymore Total Return Fund Inc296,4227,046
Voestalpine AG72,2707,024
Loews Corporation149,7697,014
Liberty All-Star Equity Fund1,355,7066,995
International Hi-Tech Industries Inc.58,7886,927
Hubbell59,2386,913
Nordson Corporation61,5866,901
IJJ Corp.49,2676,898
ONEOK119,9816,888
RMR Real Estate Income Fund.335,7716,870
ING Group486,1616,855
CommScope Holding Company, Inc.183,7326,835
Lamprell64,6506,835
NetEase31,6796,824
Entertainment Arts Research, Inc.94,8016,804
Pacific Booker Minerals Inc.116,6096,777
Verisk Analytics83,0766,743
AmTrust Financial Services245,3886,719
Akamai Technologies100,6726,713
Crane Company92,7876,692
Huntington Ingalls Industries36,3216,690
Waddell & Reed Financial339,9596,633
Main Street Capital Corporation179,5156,601
Total Energy Services Inc.134,5776,598
Williams Creek Gold Ltd.173,2606,589
JPMorgan Chase Bank NA235,4516,577
IGM Financial Inc.337,5786,576
Aercap Holdings N.V.157,6016,558
Ryanair Holdings Plc78,6876,551
Baxter International Inc.147,4796,539
Whirlpool Corporation35,9226,530
Old Republic International Corporation1,324,3316,527
Guidewire Software131,5516,489
Petrominerales Ltd87,4056,486
EnLink Midstream Partners, LP351,9556,483
Silver Wheaton Corp335,4606,481
Intertainment Media, Inc.78,7276,475
Global X NASDAQ China Technology ETF559,1726,470
Duff & Phelps Corporation415,7096,443
Cirrus Logic162,6906,385
Jabil Circuit281,7456,364
ENI S.p.A.197,3376,362
Metals USA Holdings Corp.103,2256,345
Sinclair Pharma plc.189,9456,335
Fortis205,4156,335
QEP Resources343,3866,322
Martin Marietta Materials28,4086,294
Hercules Technology Growth Capital445,4866,286
Patterson Companies153,1836,285
Physicians Realty Trust331,2636,281
Curtiss-Wright Corporation63,7286,268
Microsemi Corporation115,7406,246
Owens-Illinois357,9336,232
Spirit Airlines414,3376,212
INFORMATION ANALYSIS INC51,3076,170
Quest Management Inc.66,8866,147
Crown Cork & Seal Company116,2396,111
Assurant65,7176,102
ConAgra Foods154,0886,094
Equity Residential94,6326,091
GasLog Ltd.671,8786,081
HD Supply Holdings, Inc.142,8356,072
Barrick Gold Corporation379,7566,069
Tupras Turkiye Petrol Rafinerileri AS115,2856,066
Teledyne Technologies Incorporated49,2406,057
Shutterstock 127,4186,055
Coca Cola Icecek Sanayi As192,8306,055
Whiting Petroleum Corporation501,7776,031
LaSalle Hotel Properties197,8626,029
Material Sciences Corporation121,0136,015
Toll Brothers Inc.193,0805,985
Comerica Incorporated87,8765,985
BT Group plc259,2665,971
LAS VEGAS RAILWAY EXPRESS, INC.111,6625,964
Old Dominion Freight Line69,4935,962
LIBERTY ALL STAR GROWTH FUND INC172,3415,949
Neuberger Berman Real Estate Securities Income Fund1,103,2555,924
Enlink Midstream, LLC310,6045,917
Pimco California Municipal Income Fund II56,7515,909
PSL Holdings Ltd116,7385,891
Liberty Broadband Corporation79,4835,887
ICU Medical39,9305,884
Vanguard International Equity Index Funds Vanguard Global ex-U107,7505,850
Goldman Sachs MLP Income Opportunities Fund364,2995,848
STRONGBOW RESOURCES INC.56,6285,847
Schindler Holding AG133,9635,837
Nordstrom121,5615,826
WESCO International87,5315,825
Rockwell Diamonds, Inc.43,2915,819
Bouygues 132,6525,810
Rockwell Collins62,5935,806
IAC/InterActiveCorp107,0935,794
The Weir Group197,5035,793
Western Gas Partners98,5425,790
Tenaris S.A.162,1325,790
Dreyfus Municipal Income468,1815,731
Transdigm Group Incorporated23,0135,728
Expeditors International of Washington108,0695,723
PT Indosat Tbk195,9095,713
DENTSPLY International Inc.98,8825,708
Sprott Resource Lending Corp.672,5915,677
Pinnacle Financial Partners81,7545,666
BioMarin Pharmaceutical Inc.68,3605,663
Credit Suisse Group395,0595,653
Dynagas LNG Partners353,4005,647
W.P. Carey Inc.95,0815,618
Islet Holdings, Inc.55,0685,587
Royce Focus Trust695,0905,586
Copa Holdings61,4895,585
Banco Bilbao Viscaya Argentaria S.A.820,4815,555
ICON plc73,8035,550
Huaneng Power Intl213,0685,548
Highlands Bankshares, Inc.295,7395,545
FLIR Systems152,2385,509
Tempur-pedic International Inc116,1925,473
Public Service Enterprise Group Incorporated124,6535,470
Enbridge Energy214,5545,467
Frontier Communications Corporation1,613,5185,454
Noble Energy Inc.143,2445,452
Universal Health Services51,2145,448
CatchMark Timber Trust, Inc.479,3895,398
Hawaiian Telcom Holdco, Inc.88,7945,388
Inmarsat Plc.37,3745,387
UAN Power Corp.219,3045,366
West Pharmaceutical Services63,2255,364
WPP plc48,4375,360
LKQ Corporation174,7225,355
Wells Fargo Advantage Multi-Sector Income Fund415,7965,335
Nuveen Credit Strategies Income Fund602,3985,331
Enbridge Inc126,1105,300
Univar Inc.186,7895,299
Cerner Corporation111,6775,290
PulteGroup287,1805,278
Vanguard Short Term Government Bond ETF107,2955,275
C.R. Bard23,4045,258
Potomac Bancshares, Inc.301,1065,257
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal180,5865,253
Essex Property Trust22,5025,232
Verifone Systems318,9225,230
Juniper Networks184,9335,226
Tesoro Petroleum Corporation59,6455,216
Mead Johnson Nutrition Company73,5455,204
ABAXIS98,2425,184
KLA-Tencor Corporation65,8495,181
Cable One, Inc.8,3265,177
Principal Real Estate Income Fund89,0415,152
Archrock Partners320,0685,134
Gulfport Energy Corporation236,7085,122
Aqua Bounty Technologies Inc170,0345,108
Continental Resources98,7855,091
STARWOOD PROPERTY TRUST231,8435,089
Ohio State Bancshares, Inc.183,6125,046
Valeant Pharmaceuticals International398,1365,008
AutoZone6,3254,995
PACCAR Inc.77,9354,980
Donaldson Company118,3194,979
Central Securities Corporation226,4544,934
Lincoln Electric Holdings64,3254,932
European Real Estate Investment Trust Ltd.102,4084,910
Qorvo92,6954,888
The AES Corporation420,4454,886
Aegon NV879,5184,864
Megacable Holdings SAB DE CV63,5704,853
RBC Bearings Incorporated52,2014,845
Italian Food & Beverage Corp34,4804,845
Intuitive Surgical7,6374,843
CMG HOLDINGS GROUP, INC.12,8024,830
The GDL Fund490,7674,829
VOYA Financial Inc123,0174,825
Fidelity National Financial141,5574,807
Esperance Minerals NL86,7264,790
FleetCor Technologies33,8224,786
Ryder System64,2804,785
Treehouse Foods66,1824,778
Cognex Corporation74,9064,766
Cadence Design Systems188,7494,760
CF Industries Holdings150,3504,733
Semgroup Corporation113,1994,726
Ally Financial Inc248,0014,717
KapStone Paper and Packaging Corporation213,5274,708
Sony Corp Ord166,7674,674
CRH PLC135,8774,671
Tenneco Automotive74,6624,664
Nuveen Global High Income Fund291,6094,663
Versum Materials, Inc.166,0364,660
AptarGroup63,3834,655
Humana Inc.22,7174,635
Manhattan Associates87,3844,634
U.S. Stem Cell, Inc.85,3284,623
United Resource Holdings Group, Inc.43,7604,620
Extra Space Storage Inc59,7374,614
Viacom Inc.184,1834,609
The RMR Group149,2984,591
Guggenheim Equal Weight Enhanced Equity Income Fund282,0104,590
First Tractor Co. Ltd.132,7324,577
Travelport Worldwide LTD324,1934,571
HFF150,8214,562
Texas Roadhouse94,4564,556
Fortinet151,1524,553
EastGroup Properties61,5594,546
ABM Industries Incorporated111,1654,540
Eastman Chemical Company72,6644,534
PriceSmart54,2874,533
iShares MSCI ACWI Index Fund76,3854,520
Fifth Street Senior Floating Rate518,6704,518
Tallgrass Energy Partners, LP95,1094,513
RealPage149,9884,500
Douglas Emmett123,0764,500
Opko Health Inc611,3474,485
BlackRock Multi-Sector Income Trust272,0594,484
V Media Corp56,8724,478
Patterson-UTI Energy164,8524,438
Smith (A.O.) Corporation93,4234,424
Mitsubishi UFJ Financial Group Inc716,8924,416
Nuveen Massachusetts AMT-Free Municipal Income Fund237,2994,404
Washington Prime Group Inc.418,3154,355
Cincinnati Financial Corporation57,4924,355
Aerie Pharmaceuticals Inc.136,8324,352
Endo Health Solutions Inc.263,5124,340
Nuveen AMT-Free Municipal Income Fund320,4314,309
MLP AG100,1224,306
Lic Housing Finance Ltd.19,2264,297
Hexcel Corporation83,5364,297
Lamar Advertising Company63,5984,276
Capital Product Partners L.P.1,337,9664,255
Exponent70,4054,245
Exchange Bank (Santa Rosa, CA)165,3464,233
IDEXX Laboratories36,0684,230
Benefitfocus,Inc.154,0724,198
Domino's Pizza Inc26,1494,164
Ctrip.com International104,0084,160
First Trust NASDAQ ABA Community Bank Index Fund140,5664,158
PLAINS GP HOLDINGS LP119,6574,150
Integer Holdings Corporation140,1284,127
Icahn Enterprises L.P.68,4754,103
Splunk Inc.80,0594,095
Limited Brands61,8954,075
Ishares III Plc81,4924,075
Signet International Holdings, Inc.43,2174,074
Orbital Corporation Limited46,3754,069
The Providence Service Corporation131,6374,064
The Middleby Corporation31,5244,061
Sonoco Products Company76,9944,057
F5 Networks27,9524,045
White Mountains Insurance Group4,8314,039
SLM Corporation366,0384,034
Gabelli Dividend200,8534,025
MSA Safety57,8764,013
American Airlines Group85,9054,011
Dollar Tree51,8694,003
Align Technology41,6444,003
Royal Caribbean Cruises Ltd.48,5573,984
Leucadia National Corporation171,0813,978
Clough Global Opportunities Fund443,8903,973
Celanese Corporation50,3283,963
Cooper Companies22,5323,942
Artisan Partners Asset Management132,1633,932
Nuveen California Dividend Advantage Municipal Fund 3297,6503,927
CASEY CONTAINER CORP32,9783,920
Blackrock Global338,7033,919
Workday59,1613,910
Gamestop Corporation154,7193,908
General Growth Properties156,0393,898
Xylem Inc.78,5403,889
China Mobile (Hong Kong) Ltd.73,9583,878
BHP Billiton plc122,6923,860
Clough Global Equity Fund340,6183,856
Carrizo Oil & Gas103,1763,854
Perrigo Company46,2593,850
St. Jude Medical47,8863,840
Zayo Group Holdings, Inc.116,6593,833
Prudential Short Duration High Yield Fund247,2763,828
FMC Corporation67,5723,822
Cracker Barrel Old Country Store22,8733,819
Werner Enterprises141,6043,816
Five Below95,4943,816
Hi-Crush Partners LP192,2053,806
Synovus Financial Corp.92,6143,805
Pitney Bowes Inc249,5353,790
Allete59,0473,790
Spectrum Brands Holdings30,7973,767
PIMCO Dynamic Income Fund182,7053,761
Forest City Realty Trust, Inc.180,2953,757
Zebra Technologies Corporation43,6193,741
Telefonica SA406,1103,736
BlackRock Municipal Target Term Trust Inc. (The)170,3973,720
Dover Corporation49,5003,709
Varian Medical Systems41,0543,686
Nuveen Municipal High Income Opportunity Fund383,7473,669
Greif Bros. Corporation55,6923,666
Dick's Sporting Goods Inc69,0363,666
Software AG33,6653,664
Matica Enterprises Inc132,4013,648
Goldman Sachs Group136,1123,642
Symantec Corporation152,1463,635
Nuvo Research Inc256,2353,623
AMP Ltd.32,5203,608
HPC Acquisitions, Inc.240,9473,576
Eaton Vance Municipal Income Trust181,6983,563
Deutsche Tele Ag Ads298,9293,554
Gentherm Inc104,6833,544
Lions Gate Entertainment143,8553,530
IShares Plc.72,1563,529
D.R. Horton128,9263,524
Calamos Strategic Total Return Fund342,0893,513
Triangle Capital Corporation190,9353,502
MUELLER WATER PRODUCTS262,8423,498
Stamps.com Inc.47,5773,487
Chemical Financial Corporation64,3613,486
Vermilion Energy Inc 82,6903,475
Gabelli Multi-Media Trust Inc. (The)367,7833,470
Pacific Premier Bancorp Inc98,1343,469
NICE-Systems Limited50,0823,444
Blackstone / GSO Strategic Credit Fund114,5313,444
Nuveen Core Equity Alpha Fund263,2973,444
Littelfuse22,6883,443
Hershey33,2553,440
KKR & Co. L.P.223,3773,438
Federated National Holding Company183,8483,436
VICTORY ENERGY CORP84,1043,435
WageWorks47,1443,418
FSA Group Ltd.95,0453,417
Cerus Corporation784,9843,415
iShares II plc.81,7443,396
XL Group plc91,1193,395
Navios Maritime Acquisition Corporation1,995,8293,393
ON Semiconductor Corporation265,9433,393
Jazz Pharmaceuticals plc30,9843,378
Hancock Holding Company78,2923,374
BroadSoft81,5313,363
Blackrock Debt Strategies Fund296,3683,361
Ritchie Bros. Auctioneers Incorporated98,7093,356
BlackRock Credit Allocation Income Trust I258,6293,354
Cal-Maine Foods75,5493,337
China Telecom Corp Ltd72,1133,327
Gildan Activewear130,6623,315
Balchem Corporation39,4503,311
Consolidated Plen Tech Electronics, Inc.181,1193,302
Ferrum Americas Mining, Inc.105,9843,282
iShares MSCI All Country Asia ex Japan Index Fund45,0733,273
UNITED INSURANCE HOLDINGS CORP.215,2633,259
TRI Pointe Homes283,3113,252
Lithia Motors33,4563,240
Baker Hughes Incorporated49,3853,209
Lan Chile S.A.184,6153,205
Macerich Company (The)45,2433,205
UBS AG163,7353,202
Performance Food Group133,3203,200
Companhia de Bebidas das Americas - AmBev650,8603,196
Liberty One Lithium Corp.86,5303,190
PBF Energy113,8213,173
Wyndham Worldwide Corp41,4993,169
NVR1,8973,166
Bloomin' Brands175,4373,163
BOK Financial Corporation38,0503,160
Synergy Resources Corporation353,2463,147
Brocade Communications Systems250,8613,133
FIRST FIXTURES, INC.134,4173,132
Headwaters Incorporated132,6973,121
BancorpSouth100,4813,120
NuVasive46,1463,108
JetBlue Airways Corporation138,0893,096
Infineon Technologies AG 18,9693,090
Amphenol Corporation45,9403,087
Texas Capital Bancshares39,0563,062
FIRST TRUST MLP & ENERGY INCOME FUND190,1913,058
Autoliv26,9403,048
Diamond Offshore Drilling171,2053,030
Westinghouse Air Brake Technologies Corporation36,4273,024
CM Finance Inc323,9253,012
Callon Petroleum Company195,8573,010
BlackRock Science & Technology Trust167,7913,010
Horizon Pharma195,5822,997
Mobile Mini99,0222,995
Miller/Howard High Income Equity Fund241,1562,988
Synaptics Incorporated80,4652,988
Power Integrations44,0292,987
Premier Inc131,5172,986
Level 3 Communications52,9522,984
Dell Technologies Inc.54,1282,975
Worldpay Group PLC48,6582,968
Tyler Technologies20,6982,955
NetApp83,7852,955
CSRA Inc.92,4512,944
Linear Technology Corporation47,0782,935
Gartner28,9802,929
ANSYS31,6512,927
Western Asset Managed Municipals Fund195,4402,912
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal51,9472,911
Deutsche Global High Income Fund349,4042,911
Columbia Banking System65,1082,909
Surgery Partners, Inc.182,9912,900
Sturm55,0052,899
Paycom Software63,7302,899
IBERIABANK Corporation34,4532,885
Takeuchi Manufacturing Co., Ltd.58,5042,884
AGIC Equity & Convertible Income Fund156,2932,879
James River Group Holdings, Ltd.69,2402,877
Bemis Company60,0482,871
Columbia Seligman Premium Technology Growth Fund144,5952,868
Oshkosh Truck Corporation44,2572,859
VWR Funding, Inc.113,9912,853
First Trust Exchange-Traded Fund II First Trust ISE Global Pla149,0532,848
Atmos Energy Corporation38,3772,846
GAMCO Global Gold535,2272,837
Washington Trust Bancorp50,6152,837
Bazaarvoice584,4402,835
Liberty Broadband Corp39,0122,827
Craft Brew Alliance166,9072,821
Ares Dynamic Credit Allocation Fund, Inc.186,9322,819
Ballroom Dance Fitness Inc37,4482,811
CrossAmerica Partners111,2982,804
Gentex Corporation142,3332,803
Affiliated Managers Group19,1882,788
Informa187,9492,787
Deutsche Bank AG153,4982,778
Ubiquiti Networks48,0622,778
Summit Materials116,7332,777
Summit Hotel Properties173,1032,775
Kayne Anderson MLP Investment Company141,3152,767
CoreSite Realty Corporation34,8252,764
Agree Realty Corporation59,9882,762
Catalent, Inc.102,4192,761
Seadrill Limited1,059,6882,757
CU Bancorp77,0002,757
Evolution Petroleum Corporation275,2342,752
Cohn & Steers Inc143,8472,750
Tortoise Energy Infrastructure Corporation89,4722,746
iShares II plc.22,4962,741
First Trust Advantaged Short Duration High Yield Bond Fund50,6352,741
Franco Nev Corp45,7892,736
CH Energy Group65,7242,735
Alexandria Real Estate Equities24,5892,733
Tanger Factory Outlet Centers76,3522,732
Applied Industrial Technologies45,8922,726
M/A-COM Technology Solutions Holdings58,8522,724
American Assets Trust63,1702,721
Eagle Bancorp44,4482,709
PVH Corp.29,9942,707
America First Mortgage Investments500,8922,705
West Corp108,8632,695
USD Partners LP24,3512,684
Arconic144,6742,682
FINISAR CORP88,5962,682
Blackrock Corporate High Yield Fund III90,9382,679
Bridge Bancorp70,2422,662
Bank of Nova Scotia (The)47,4972,641
Kayne Anderson Energy Total Return Fund214,5242,637
Mettler-Toledo International6,2952,635
Guggenheim Build America Bonds Managed Duration Trust122,5052,623
Valley National Bancorp225,1082,620
Sprouts Farmers Market Inc138,2992,617
Extreme Networks519,8242,615
iShares23,6382,597
Biglari Holdings Inc.5,4832,595
Pacer International106,8582,593
Deutsche Euroshop AG44,7082,590
Interface74,7002,585
John Hancock Preferred Income Fund70,8192,569
Unit Corporation95,6102,569
FOX FACTORY HOLDING92,5342,568
ISC8 Inc.27,0492,565
Southern First Bancshares71,1302,561
Tallgrass Energy95,3362,555
Oaktree Capital Group67,8472,544
VANJIA CORP19,7512,541
Dave & Buster's Entertainment45,0372,536
Mdu Res Group Inc88,0032,532
The Hain Celestial Group64,7622,528
Brown-Forman Corporation Class B 56,1452,522
Arista Networks, Inc.26,0022,516
Blackrock Corporate High Yield Fund116,3012,512
Gaming Partners International Corporation82,0172,511
ClearBridge Energy MLP Fund Inc.161,3442,511
American Campus Communities Inc50,3352,505
VGambling Inc.20,9392,497
BankUnited66,1802,494
ResMed Inc.40,1822,493
Quanta Services97,6662,489
Liberty Media Corporation79,1782,481
QTS Realty Trust, Inc.49,9792,481
CSI Compressco254,6082,477
Cheniere Energy90,9632,474
Ellies Holdings Limited29,4082,461
Rite Aid Corporation298,4282,459
Banco Santander473,9022,455
GWR Global Water Resources Corp.35,3422,453
Eaton Vance Municipal Income Term Trust197,5462,452
Reading International Inc147,2262,444
Moody's Corporation25,8442,436
iHeartMedia17,1612,427
Booz Allen Hamilton Holding Corporation66,8482,411
Deutsche Telekom94,9042,408
Noble Corporation677,6822,398
Nuveen Energy MLP Total Return Fund176,8782,395
Wachovia Corporation2,0132,395
EQT Midstream Partners31,1722,390
Blackrock Corporate High Yield Fund V Inc207,1602,384
Teekay Offshore Partners L.P.470,0112,378
ANTERO RESOURCES Corp80,8312,372
Stantec Inc93,5332,360
iShares FTSE China (HK Listed) Index Fund67,9732,359
CLARCOR Inc.28,5822,357
Chesapeake Energy Corp.334,6092,349
Global Technlogies Corp.112,5162,341
Easterly Government Properties, Inc.116,5472,333
OneMain194,3902,333
HEALTHEQUITY INC57,3052,322
Invesco Quality Municipal Income Trust186,7232,315
Hospitality Properites Trust72,7682,310
THL Credit Senior Loan Fund123,1952,309
First Priority Tax Solutions Inc.162,7002,309
Alcentra Capital Corp192,6492,306
Western Alliance Bancorporation47,2712,303
Renasant Corporation54,4342,298
RLI Corp.36,3582,295
CareTrust REIT, Inc.148,8482,280
E.W. Scripps Company (The)117,5312,272
Rexnord Corporation115,7752,268
Turkcell Iletisim Hizmetleri AS328,6062,267
Tyson Foods36,7142,265
Eaton Vance Tax-Advantaged Global Dividend Income Fund108,6322,261
Tahoe Resources239,7372,258
BC Moly Ltd.20,1372,256
Liberty Global75,7982,251
Pearson225,2152,250
NN117,9512,247
BlackRock Energy and Resources Trust155,4922,245
ProAssurance Corporation39,8182,238
Evolva Holding AG108,5572,230
Cogent Communications Group53,8982,229
EMCOR Group31,3712,220
Telephone and Data Systems76,8782,219
Barclays PLC87,2322,218
Fortune Brands Home & Security41,4082,214
Superior Energy Services131,1392,214
CITIZENS FINANCIAL GROUP INC/RI62,1332,214
PowerShares Global Wind Energy Portfolio103,8712,209
Dunkin' Brands Group42,0402,205
Sirius XM Radio Inc.625,8952,200
Coty Inc120,0042,197
Western Asset Municipal Partners Fund88,8272,196
StoneMor Partners L.P.246,3902,195
NewStar Financial80,5672,195
South State25,0972,193
Black Hills Corporation35,5872,183
CyberArk Software47,9632,182
Keysight Technologies, Inc.59,6262,181
CalAtlantic Group, Inc.63,9432,175
Nuveen Floating Rate Income Fund186,1012,172
Triumph Ventures Corp81,8302,168
Agnico Eagle Mines51,5742,166
Hersha Hospitality Trust100,6252,163
Anixter International Inc.26,5482,152
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal119,7172,150
Allegion PLC 33,5972,150
PowerShares DB Energy Fund155,0432,141
Evercore Partners Inc31,0362,132
Wendy's Company (The)156,5042,116
NEVRO CORP29,1182,116
Silicon Motion Technology Corporation49,7662,114
Goldcorp Inc.154,9912,108
Forum Energy Technologies95,5762,103
Argo Group International Holdings31,9122,103
Advanced Micro Devices184,7102,095
IPG Photonics Corporation21,2002,093
Scudder High Income Trust53,5362,093
KNOT Offshore Partners LP88,4902,088
Cheniere Energy Partners LP Holdings, LLC72,2352,082
Royce Micro-Cap Trust254,2562,075
INC Research Holdings, Inc.39,3462,070
Quaker Chemical Corporation16,1622,068
Ericsson354,6682,068
Integra LifeSciences Holdings Corporation24,0912,067
Nuveen Arizona Dividend Advantage Municipal Fund162,3002,064
Gimv Nv Act.318,0652,061
Kilroy Realty Corporation28,1442,061
Invesco Van Kampen Bond Fund111,3132,058
Aramark57,5482,056
Carrols Restaurant Group134,4602,051
Nabors Industries Ltd.124,2422,038
Nuveen Build America Bond Opportunity Fund98,6672,035
Landmark Infrastructure Partners LP132,1862,016
Bio-Rad Laboratories11,0392,012
Panera Bread Company9,7932,008
iBrands Corp.60,1122,004
On Assignment45,2391,998
B/E Aerospace33,1541,996
Advent Claymore Convertible Securities and Income Fund II135,5531,990
Campbell Soup Company32,8621,987
Total Telcom, Inc.539,1361,976
Orix Corp Ads25,3841,976
DoubleLine Income Solutions Fund103,7771,971
NexPoint Credit Stategies Fund86,4021,967
Phillips 66 Partners40,3971,965
Methanex Corporation44,8701,965
Merit Medical Systems74,1061,964
Dorman Products26,8681,963
USG Corporation67,2271,942
Discovery Communications72,4991,942
Harley-Davidson70,2751,940
Under Armour77,0171,938
Nuveen Quality Preferred Income Fund 2207,9941,936
Nuveen Arizona Premium Income Municipal Fund138,3251,931
Prudential Global Short Duration High Yield Fund, Inc.129,5731,929
SPS Commerce27,5821,928
Steven Madden53,9291,928
Swift Transportation Company79,1421,928
Nuveen Intermediate Duration Quality Municipal Term Fund151,5501,926
PowerShares Global Steel Portfolio135,3271,926
Jernigan Capital, Inc.91,3981,924
Allied World Assurance Company Holdings35,8271,924
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 47,5981,923
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp221,0261,919
ADAMANT DRI PROCESSING & MINERALS GROUP95,1661,919
Open Text Corporation30,9901,911
PDC Energy26,3021,909
Magna International43,9731,908
CBRE Group60,5421,906
Nuveen Ohio Quality Income Municipal Fund130,5921,898
India Fund88,3701,890
Illumina14,7341,887
Putnam Premier Income Trust379,4101,886
J.B. Hunt Transport Services19,3971,883
Red Robin Gourmet Burgers33,3291,880
SM Energy Company54,3431,874
Iochpe-Maxion SA39,3551,873
Chimera Investment Corporation109,7881,869
Gabelli Global Small & Mid Cap Value Trust175,9641,865
BofI Holding64,5481,843
Colfax Corporation51,2791,842
Valmont Industries13,0401,837
Franklin Templeton Limited Duration Income Trust152,4511,836
KAR Auction Services43,0361,834
Olin Corporation71,3341,827
Molina Healthcare Inc33,6561,826
Bigsupersearch.com, Inc.36,2981,823
South Jersey Industries53,9681,818
Shoprite Holdings Ltd.42,3521,816
American States Water Company39,8471,815
Nektar Therapeutics147,9601,815
Gold Reserve Inc41,3821,814
MSC Industrial Direct Company19,5961,810
Syngenta AG22,8821,809
Coherent13,1261,803
Equinix5,0371,800
Nokia Corporation372,6481,792
PolyOne Corporation55,7561,786
CoStar Group9,4751,786
Praxsyn Corporation45,6651,786
Mobile TeleSystems195,6131,782
Hawaiian Electric Co., Inc.31,1371,775
Jefferies Group1,754,0001,772
AMN Healthcare Services Inc46,0321,770
Diebold70,3041,768
CONE Midstream Partners LP75,0001,766
Penske Automotive Group34,0091,763
Dermira, Inc.58,1431,763
M&T Bank Corporation11,1711,748
Acadia Healthcare Company52,8091,748
Air Methods Corporation54,7581,744
Western Asset High Income Opportunity Fund349,4111,744
Ambarella32,1631,741
Texas Pacific Land Trust5,8601,739
Michaels Stores Inc84,8741,736
Blackrock MuniEnhanced Fund153,4661,730
Central Europe and Russia Fund54,9741,727
Tiffany & Co.22,2911,726
Canadian Imperial Bank of Commerce21,1501,724
Brookfield Real Estate Services64,8721,720
Q2 Holdings59,6241,720
Bankshares Fayetteville Inc.1,4721,718
PUBLIC SERVICE CO OF COLORADO50,0841,718
Southwest Iowa Renewable Energy, LLC158,7051,717
Capstead Mortgage Corporation168,2701,715
Cubic Corporation35,7541,714
Hyatt Hotels Corporation30,9131,708
Omnicell50,2941,705
El Paso Electric Company36,6541,704
Blackrock Floating Rate Income Strategies Fund Inc117,9711,700
Casella Waste Systems136,9351,699
Darden Restaurants23,3311,696
Lexington Realty Trust156,5411,691
Seadrill Partners, LLC402,2891,690
Williams-Sonoma34,8281,685
Nuveen Global Government Enhanced Income Fund131,4551,684
NTT DOCOMO73,9761,683
Investors Bancorp120,1761,676
Eaton Vance Enhance Equity Income Fund113,5881,673
Blackbaud26,0621,668
Qualys52,2811,655
Access National Corporation59,5121,652
Steelcase Inc.92,0511,648
Seritage Growth Properties38,5651,647
Team Health Holdings37,8791,646
Sun Communities21,4691,645
Zoeller Co.68,1401,635
Bright Horizons Family Solutions Inc23,3151,633
Western Asset Managed High Income Fund110,8011,630
Prestige Brand Holdings31,2511,628
Buffalo Wild Wings10,4611,615
United Fire Group32,8001,613
MaxLinear74,0031,613
DoubleLine Opportunistic Credit Fund69,8101,613
Liberty Media Corporation55,3591,612
Mack-Cali Realty Corporation55,3191,605
United Natural Foods33,5881,603
Worthington Energy, Inc.33,7761,602
Eaton Vance Tax-Advantaged Bond141,0651,598
Carlisle Companies Incorporated14,4911,598
Xerox Corporation182,3361,592
Live Nation Entertainment59,8551,592
Newmont Mining Corporation1,561,0001,591
NFJ Dividend126,0501,589
iShares S&P Global Clean Energy Index Fund14,3891,581
Varonis58,6071,571
FireEye Inc131,8661,569
Transcanada Pipelines34,7551,565
RPM International Inc.1,305,0001,562
Cypress Semiconductor Corporation136,3971,560
MiMedx Group, Inc.175,3081,553
Bruker Corporation72,7141,540
General Cable Corporation80,7501,538
Tortoise MLP Fund80,6331,538
PAREXEL International Corporation23,3671,536
Consolidated Communications Holdings57,2171,536
Korn/Ferry International52,1601,535
Range Energy Resources, Inc.44,6351,534
BLACKROCK LTD DURATION INCOME TRUST100,9071,531
TEGNA71,3191,526
Black Stallion Oil & Gas Inc.81,1661,524
Nearmap Ltd.30,3151,521
Sprott Resource220,2361,520
WebMD Health Corp30,6431,519
Eaton Vance Tax-Managed Diversified Equity Income Fund91,8531,518
Ollie53,2501,515
The Cushing Royalty & Income Fund87,1601,515
SeaWorld Entertainment Inc.79,9711,514
Paramount Group, Inc.94,4171,510
Lennar Corporation35,1331,508
Proofpoint21,3391,508
Wayfair Inc.42,9631,506
Urban Outfitters52,7621,503
SkyWest41,2431,503
BGS Acquisition Corp.20,7851,501
Ares Capital Corporation1,450,0001,499
TASER International61,8121,498
EXACT Sciences Corporation111,8091,494
3D Systems Corporation112,0661,489
Oceaneering International52,7531,488
Nemaura Medical Inc.43,6491,487
Golub Capital BDC80,7861,486
iShares FTSE EPRA/NAREIT North America Index Fund16,5241,485
Eaton Vance Limited Duration Income Fund107,8041,479
Lannett Co Inc66,9351,476
Tortoise Pipeline & Energy Fund68,2851,472
Blackrock Defined Opportunity Credit Trust106,6511,471
Webster Ltd.27,0831,470
Platform Specialty Products149,3151,465
FNB United Corp.91,3291,464
Compass Diversified Holdings81,7111,463
Etfs Commodity Securities Ltd.93,5821,459
NORTHSTAR ASSET MANAGEMENT GROUP INC.97,7201,458
Park National Corporation12,1791,457
Invesco Municipal Premium Income Trust113,9061,451
Chatham Lodging Trust (REIT)70,5071,449
Cott Corporation127,8221,448
Therapeutics MD Inc250,7341,447
Calamos Convertible and High Income Fund137,0511,446
Eaton Vance Tax-Managed Global Diversified Equity Income Fund97,0721,441
Western Asset Mortgage Capital Corporation95,2971,433
Rice Energy67,0431,431
Jack In The Box Inc.12,7841,427
Helen of Troy Limited16,8791,425
Universal Display Corp25,2801,423
Pan American Silver Corp.94,2991,421
NiSource63,8631,414
Carmax Mining Corp.21,9321,412
Ferro Corporation98,0741,405
Teradata Corporation51,6091,402
Blackrock MuniAssets Fund103,8481,399
CGI Group29,1741,398
Nuveen Preferred and Income Term Fund60,9171,397
DigitalGlobe48,6221,393
IMPINJ INC39,3751,392
Alcoa Inc.49,2511,383
Nustar Energy L.P.27,7291,381
HSBC Holdings plc54,7831,381
Globus Medical55,6221,380
Western Asset Bond Fund123,8861,380
Atlas Air Worldwide Holdings26,4121,377
Hudson Pacific Properties39,5301,375
Sasol Ltd.47,8091,367
Ellsworth Convertible Growth and Income Fund165,2121,366
China Fund90,5181,362
Elbit Systems Ltd.13,4081,359
BlackRock Resources163,8801,355
Bioheart, Inc.13,0961,347
VALE S.A.176,3471,344
Royal Boskalis Westminster NV21,1851,342
U.S. Silica Holdings23,6491,340
Huntington Bancshares Incorporated9461,339
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF21,9391,337
Monotype Imaging Holdings Inc.67,3651,337
AMERISAFE21,4431,337
Alkermes plc23,9781,333
Meta Financial Group12,9541,333
Louisiana-Pacific Corporation70,4291,333
Core-Mark Holding Company30,9041,331
AGIC Convertible & Income Fund II232,5191,328
Universal Electronics Inc.20,5351,326
CNP Assurances SA53,8111,326
Alpine Global Premier Properties Fund257,7291,322
CubeSmart49,1651,316
ImmunoGen642,1601,310
Boardwalk Pipeline Partners L.P.75,2761,307
Orange SA86,3471,307
Houston Wire & Cable Company200,8021,305
TWILIO INC45,1971,304
Carbo Ceramics124,5641,303
Yahoo! Inc.33,5251,296
Norwegian Cruise Line Holdings Ltd.30,4661,296
MFS Multimarket Income Trust213,7321,295
Incyte Corporation12,9101,294
Applied Micro Circuits Corporation156,6001,292
Reaves Utility Income Fund42,0071,290
The Graystone Company, Inc.11,2601,285
TCP Capital Corp.75,8941,283
lululemon athletica inc.19,7401,283
Western Lucrative Enterprises, Inc.179,0001,283
KBW Inc15,4371,281
JPMorgan Chase Bank NA26,1561,280
Stericycle, Inc.20,2071,278
LIBERTY SILVER CORP60,0251,271
AvalonBay Communities7,1681,270
Monro Muffler Brake22,1731,268
Verint Systems Inc.35,9221,266
Blackrock MuniYield New Jersey Quality Fund85,3471,260
Hess Corporation20,1671,256
Eagle Energy Trust12,7451,256
Ingevity Corp22,8691,255
Voya SENIOR INCOME FUND195,3521,250
Sage Therapeutics, Inc.24,4551,249
Nuveen Pennsylvania Investment Quality Municipal Fund95,4251,248
UMH Properties82,6271,244
Wisdom International Corp.22,7191,241
Watsco8,3311,234
Outfront Media49,5451,232
Reliance Infrastructure Ltd.15,4771,231
Apartment Investment and Management Company27,0331,229
Prospect Capital Corporation146,5451,224
Teva Pharmaceutical Industries Limited1,118,0001,224
Golden Valley Bank (Chico, CA)101,0521,224
Invesco Van Kampen High Income Corporate Bond Fund260,7461,210
Manulife Financial Corp67,8701,207
Veeva Systems29,6211,206
Invesco Van Kampen Trust for Investment Grade Municipals99,1451,206
China Internet Cafe Holdings Group, Inc.34,7061,205
Stifel Financial Corporation24,0331,200
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd126,0421,199
International Frontier Resources Corp.46,9311,198
VeriSign15,5771,185
Nippon Telegraph and Telephone Corporation28,1701,185
CDK Global, Inc.19,8231,183
CORBUS PHARMACEUTICALS HOLDINGS, INC.139,6801,180
MarineMax61,0011,180
Lamb Weston Holdings, Inc.31,1231,178
Nuveen New Jersey Dividend Advantage Municipal Fund90,8471,175
SSTL, Inc.40,8571,169
TESARO8,6561,164
Regal Beloit Corporation16,7501,160
Gap51,5641,157
Plumas Bancorp60,8931,157
USA Compression Partners, LP 66,6871,154
Benchmark Electronics37,7831,152
Genesco Inc.18,5161,150
TripAdvisor24,7691,149
Alliance Capital Management Holding L.P.48,6161,140
MFS Charter Income Trust133,8121,140
Stepan Company13,9561,137
Innospec Inc.16,5911,136
Fifth Street Finance Corp.211,5851,136
National Retail Properties25,6741,135
Wolverine World Wide51,2731,125
Scorpio Tankers Inc.247,7481,122
Advent/Claymore Enhanced Growth & Income Fund190,5941,121
HealthSouth Corporation27,1521,120
FRANKLIN FINANCIAL NETWORK INC.26,6581,116
Yelp Inc.29,1711,112
SPX34,6351,110
Dycom Industries13,8181,109
Dreyfus Strategic Municipals131,8971,108
Gladstone Capital Corporation117,3051,102
PowerShares NASDAQ Internet Portfolio13,3261,101
Empire Resorts48,3591,100
NRG Yield69,5981,100
Commercehub Inc72,9231,095
Community Bank System17,6681,092
United Bankshares23,6161,092
Stag Industrial45,7401,092
Tekla World Healthcare Fund84,6041,086
Sterling Bancorp46,3131,084
NexPoint Residential Trust, Inc.48,5171,084
WhiteWave Foods19,4431,081
NetScout Systems34,2281,078
Axalta Coating Systems Ltd.39,5121,075
Blackrock Muni Intermediate Duration Fund Inc77,8491,074
WellCare Helath Plans7,8331,074
Trex Company16,6511,072
VOYA RETIREMENT INSURANCE & ANNUITY CO146,1681,071
DCP Holding CO27,8741,070
Staples118,2551,070
EMERGING CTA PORTFOLIO LP27,3341,069
Summit Midstream Partners42,5221,069
Imax Corporation33,9481,066
U.S. NeuroSurgical, Inc.16,2531,065
Pennsylvania Real Estate Investment Trust56,1391,064
Corporate Office Properties Trust34,0351,063
Pure Pharmaceuticals Corp.93,9791,063
American Woodmark Corporation14,1111,062
Pitooey!, Inc.34,3591,061
Sprague Resources37,7061,060
Western Asset Global Partners Income Fund61,7521,057
Kennedy-Wilson Holdings Inc.51,2361,050
Primoris Services Corporation45,8541,045
T-Mobile US Inc18,0301,037
Pioneer Municipal High Income Advantage Trust87,4921,033
COLLEGIUM PHARMACEUTICAL, INC66,3651,033
Logitech International S.A.41,2371,029
APPLIED OPTOELECTRONICS, INC.43,7391,025
Neuberger Berman High Yield Strategies Fund87,3681,020
Madison Ventures Inc.5,9271,017
Hannon Armstrong Sustainable Infrastructure Capital, Inc.53,4971,016
Advent Claymore Convertible Securities and Income Fund122,2161,014
Home Retail Group plc36,8051,011
AllianzGI Diversified Income & Convertible Fund53,7721,010
Restaurant Brands International Inc.20,960999
Service Corporation International35,152998
UAN Cultural & Creative Co., Ltd.21,626997
Bed Bath & Beyond Inc.24,491995
iShares S&P Global Timber &Forestry Index Fund18,487991
Calamos Global Dynamic Income Fund141,922989
Western Asset Mortgage Defined Opportunity Fund Inc71,740984
US-Dadi Fertilizer Ind International Inc.18,440982
Otonomy, Inc.61,546979
Upland Software, Inc.108,586972
TC PipeLines16,526972
Mallinckrodt Plc19,440969
Teck Resources Ltd62,819968
Senior Housing Properties Trust50,840962
Heartland Express47,096959
Michael Kors Holdings Limited22,218955
ABIOMED8,477955
Eaton Vance Enhanced Equity Income Fund II76,730951
Cohen & Steers Total Return Realty Fund78,391949
Intersect ENT, Inc.78,175946
Rightmove Plc64,047944
Dreyfus Municipal Bond Infrastructure Fund, Inc.117,249943
Hilltop Holdings Inc.31,504939
ZELTIQ Aesthetics21,555938
iRobot Corporation15,937932
Martin Midstream Partners L.P.50,757931
Eaton Vance Risk-Managed Diversified Equity Income Fund103,251925
Tableau Software21,918924
LTC Properties19,675924
Aeolus Pharmaceuticals, Inc.60,912924
United Dominion Realty Trust25,269922
United States Oil Fund, LP165,114920
First Trust40,497919
Rayonier Inc. REIT34,472917
PowerShares DB US Dollar Index Bullish Fund34,610916
Coca Cola Femsa S.A.B. de C.V.14,323910
Monroe Capital59,001907
First National Bankshares Corp.20,521905
Royal Alliance Ventures Corp.36,063903
YRC Worldwide93,030897
MFS Government Markets Income Trust182,314896
Nuveen California Investment Quality Municipal Fund62,525895
Suburban Propane Partners29,784895
Gigamon, Inc.19,522889
MercadoLibre5,689888
Western Gas Equity Partners, LP20,901885
Greenbrier Companies21,244883
Natus Medical Incorporated25,370883
Tower Resources PLC46,339882
Eaton Vance Corporation21,005880
Evolution Technology Resources Inc.62,445879
Cohen & Steers MLP Income & Energy Opportunity Fund80,473876
ServiceNow11,763874
Banco de Guayaquil SA84,846872
Manitowoc Foodservice, Inc.44,967869
Brown Forman Corporation18,768868
Dun & Bradstreet Corporation (The)7,156868
Americas Silver Corporation27,108866
Meredith Corporation14,585863
INTREXON CORP35,459862
Selective Insurance Group19,999861
Sunoco32,019861
New Mountain Finance Corporation60,760857
ETFS Gold Trust7,667857
Bank of Hawaii Corporation9,654856
Wesco Aircraft Holdings56,997852
Terreno Realty Corporation29,861851
Vista International Technologies Inc23,067851
New Media Investment Group Inc.53,160850
Match Group, Inc.49,652849
UMB Financial Corporation10,961845
Columbia Sportswear Company14,472844
Alarm.com Holdings, Inc.30,298843
ALLIANCEBERNSTEIN L.P.67,063843
Virtus Global Multi-Sector Income Fund62,220839
Union Bankshares18,433838
VTTI Energy Partners51,739836
Jacobs Engineering Group Inc.14,669836
Cresud S.A.C.I.F. y A.52,932835
Armada Hoffler Properties, Inc.57,139833
CBRE Clarion Global Real Estate Income Fund114,011832
Chemed Corp.5,189832
Apollo Global Management42,851830
Medidata Solutions16,712830
Plantronics15,109827
Eaton Vance Corporation39,684825
Provident Financial Services29,142825
Murphy Oil Corporation26,455824
Blackrock MuniYield Quality Fund55,915823
Nutanix, Inc.31,003823
United States Steel Corporation24,904822
Sanmina-SCI Corporation22,420822
Proto Labs16,016822
Ligand Pharmaceuticals Incorporated8,056819
American Farmland Co102,554817
Greenhill29,381814
Northern Offshore31,390810
Blue Wolf Mongolia Holdings Corp.33,670809
Home BancShares29,096808
Nexstar Broadcasting Group12,717805
Nuveen High Income December 2019 Target Term Fund78,590802
NutriSystem Inc23,154802
Holly Energy Partners24,985801
Lifestyle Medical Network Inc.9,370799
PIMCO Income Strategy Fund II84,083798
POWERSHARES DB G10 CURRENCY HARVEST FUND31,996794
Kite Realty Group Trust33,828794
BJ's Restaurants20,155792
Icon Media Holdings, Inc.14,385790
CENTER COAST MLP & INFRASTRUCTURE FUND65,826787
Goldman Sachs BDC, Inc.33,268782
Macquarie Infrastructure Company LLC700,000782
GoPro, Inc.89,604780
Euronet Worldwide10,758779
J CREW GROUP INC.173,383776
Cynosure17,005775
Cavco Industries7,721771
Duke Realty Corporation28,994770
Cimpress8,388768
Federated Premier Intermediate Municipal Income Fund60,560767
LG Display Co.59,600766
Newtek Business Services Inc.48,199766
Ormat Technologies14,227763
The Carlyle Group L.P.49,718758
RIVERNORTH OPPORTUNITIES FUND, INC.40,123758
Schnitzer Steel Industries29,450757
Nimble Storage95,473756
Pembina Pipeline Corp.24,230756
Two Harbors Investments Corp86,577755
Fresenius Medical Care Corporation17,847753
Alliance Resource Partners45,506753
Hilton Worldwide Holdings Inc.27,669753
Fair Isaac Corp6,262747
Guggenheim Credit Allocation Fund33,388746
Glacier Bancorp20,526744
Restoration Hardware Holdings Inc24,206743
Acacia Communications, Inc.11,863733
TiVo Inc.34,816728
IntraLinks Holdings53,700726
NRG Energy59,251726
Sensient Technologies Corporation9,237726
American Outdoor Brands34,066718
ECA Marcellus Trust I73,387716
Nuveen Michigan Quality Income Municipal Fund53,683716
8x8 Inc50,021715
Cohen & Steers Limited Duration Preferred and Income Fund29,145715
ProSiebenSat.1 Media SE33,000710
Omeros Corporation90,960710
Avenue Income Credit Strategies Fund52,861710
Hawaiian Electric Industries21,439709
Blackrock MuniYield Michigan Quality Fund51,759707
Ashland Inc.6,461706
POWERSHARES DB US DOLLAR INDEX BEARISH FUND44,277701
Bank of Commerce Holdings (CA)73,800701
Turning Point Brands, Inc.57,147700
Berkshire Hills Bancorp18,938698
A.H. Belo Corporation20,736694
iShares S&P India Nifty 50 Index Fund25,330693
Triton International Ltd43,891693
Integrated Drilling Equipment Holdings Corp.29,342691
MasTec18,058691
Blackrock MuniHoldings Investment Quality Fund48,616689
Great Lakes Dredge & Dock Corporation163,366686
Neuberger Berman Intermediate Municipal Fund Inc.42,109685
WisdomTree Investments61,124681
New York Community Bancorp19,162680
Skechers U.S.A.27,582678
WD-40 Company5,797678
ClearBridge Energy MLP Opportunity Fund Inc.51,220672
M.D.C. Holdings26,135671
Illumination Amer Inc700,000669
Enviva Partners, LP24,924668
Vanc Pharmaceuticals, Inc.54,348666
Crestwood Equity Partners LP26,012665
MedEquities Realty Trust, Inc.59,700663
Jones Lang LaSalle Incorporated6,552662
VEREIT78,170661
Boyd Gaming Corporation32,663659
PRA Health Sciences, Inc.11,858654
Synopsys11,104654
Japan Smaller Capitalization Fund Inc67,112653
WesBanco15,131652
Granite Construction Incorporated11,817650
Mid-Con Energy Partners250,049650
Legg Mason BW Global Income Opportunities Fund Inc.54,779648
Westar Energy11,477647
POSCO12,305647
Zions Bancorporation15,012646
Blackrock Enhanced Government Fund46,908643
Bancroft Convertible Fund31,730642
Esterline Technologies Corporation7,169639
Energy Revenue America, Inc.24,086639
Nuveen Municipal Value Fund49,711637
All Marketing Solutions Inc.13,967636
Towne Bank19,068634
Supernus Pharmaceuticals25,117634
EQT GP Holdings25,112633
Gabelli Equity Trust114,634633
ICICI Bank Limited84,353632
Simmons First National Corporation10,159631
Pinnacle West Capital Corporation8,075630
First Trust NASDAQ-100-Technology Sector Index Fund25,417627
Hoegh LNG Partners LP32,950626
DIVERSIFIED 2000 FUTURES FUND L.P.40,107625
Nuveen California Dividend Advantage Municipal Fund 244,074623
US NUCLEAR CORP.32,020621
Deutsche Bank AG (London Branch)47,089618
Golar LNG Partners LP25,652617
Veeco Instruments Inc.21,164617
LIVEWIRE ERGOGENICS INC.33,224615
PrivateBancorp11,346615
GrubHub16,290613
Woodward8,876613
Universal Corp.9,600612
WhiteHorse Finance50,256612
Avista Corporation15,283611
8point3 Energy Partners LP46,832608
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.66,204608
Vector Group Ltd.26,698607
Seattle Genetics11,449604
ETFS Platinum Trust6,994604
Chart Industries16,740603
TPG Specialty Lending, Inc.32,109600
TravelCenters of America LLC84,360599
Ucore Rare Metals, Inc.51,313599
Blackrock MuniYield Quality Fund II46,791599
Blackstone GSO Senior Floating Rate Term Fund33,047597
ISHARES VI PLC11,993594
Teekay LNG Partners L.P.40,969592
Chemtura Corp.17,841592
WisdomTree Middle East Dividend Fund5,730588
AtriCure30,000587
Cemex S.A.B. de C.V.73,112587
Penn National Gaming42,535587
Adient Ltd10,020587
BlackRock Municipal Income Trust41,763584
Virtus Total Return Fund130,715584
BNC Bancorp18,300584
Weibo14,281580
Cathay Pacific Airways, Ltd.15,200578
First Trust Energy Infrastructure Fund11,432577
One Liberty Properties22,921576
Royal Bank Scotland Group Plc24,147575
KTL Bamboo International Corp.40,608572
Templeton Global Income Fund52,361571
Nuveen Maryland Premium Income Municipal Fund45,793570
Blackhawk Bancorp, Inc.15,067568
Blackrock MuniVest Fund II58,761565
NGL ENERGY PARTNERS LP26,889565
Nuveen Equity Premium and Growth Fund38,833559
Kulicke and Soffa Industries34,896557
Preferred Bank10,603556
Teligent84,157556
Orchids Paper Products Company21,214555
Imperva14,451555
Water Technologies International,Inc.22,422551
Kite Pharma, Inc.12,279551
Morgan Stanley Emerging Markets Fund76,910551
AES Tiete10,911550
Apple Green Holding, Inc.27,501549
Quanta Computer, Inc.12,675549
Putnam Managed Municipal Income Trust77,339547
Nomura Holdings Inc ADR92,123544
Liberty Expedia Holdings, Inc.26,359543
HSN15,820543
ETFS Precious Metals Basket Trust9,425543
Putnam Municipal Opportunities Trust45,369542
Atlassian Corporation22,485541
Nuveen Diversified Dividend and Income Fund48,466541
Federal Realty Investment Trust3,792539
Adamis Pharmaceuticals Corp170,882538
Foamix76,500537
Aaron's16,749536
American Potash Corp.5,120535
Black Earth Farming14,159535
Essent Group16,517535
Stein Mart97,203533
Subsea 7 SA ADR 5,075533
Generac Holdlings Inc.13,089533
Trustmark Corporation14,956533
Blackrock Municipal Income Quality Trust38,194531
PIMCO Commercial Mortgage Securities Trust10,105530
DTE Energy Co.10,000530
Brookfield Property Partners LP24,093530
RingCentral25,752530
Neurocrine Biosciences13,648528
American Capital Senior Floating44,350528
Marine Harvest Asa28,887524
Square38,336523
Highwoods Properties10,236522
EV Charging USA, Inc.40,783522
CIENA Corporation21,210518
Valhi148,800515
Morgan Stanley28,580513
ArcelorMittal70,033511
Neuberger Berman California Intermediate Municipal Fund Inc.54,187509
Planet Fitness25,290508
EPAM Systems7,880507
Federated Investors17,929507
Nuveen Michigan Dividend Advantage Municipal Fund21,061507
Aberdeen Asia-Pacific Income Fund Inc109,122505
ATRION Corporation994505
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal14,700505
NorthWestern Corporation8,853503
Western Asset High Yield Defined Opportunity Fund Inc.71,007503
Iridium Communications Inc1,472501
Guggenheim Strategic Opportunities Fund25,450500
Smith & Nephew SNATS16,593499
Select Income REIT19,791499
Blucora33,807499
Strayer Education6,165497
John Bean Technologies Corporation5,770496
AquaVenture Holdings Ltd20,100493
Materion Corporation12,336489
Cornerstone Strategic Value Fund32,188488
Petroleo Brasileiro S.A.- Petrobras48,270488
PIMCO Municipal Income Fund III39,905488
Endurance Specialty Holdings Ltd5,265487
Denny's Corporation37,825485
Eagle Point Credit Co Inc.29,000485
Frontline Ltd.67,575485
Cotiviti Holdings, Inc.14,101485
eWELLNESS HEALTHCARE Corp6,777484
Hancock Fabrics, Inc.23,710482
China Natural Gas, Inc.6,770481
Buckle21,073480
Ramco-Gershenson Properties Trust28,870479
First Midwest Bancorp18,968479
Commercial Metals Company22,002479
Blackrock MuniHoldings New York Quality Fund34,275477
Rollins14,099476
Calamos Dynamic Convertible & Income Fund27,100475
Denbury Resources128,588473
Nathan's Famous7,260471
ACADIA Pharmaceuticals Inc.16,289470
Nuveen Municipal Income Fund41,932470
Builders FirstSource42,775469
Teradyne18,394467
United Community Financial Corp.15,771467
Stellus Capital Investment38,694467
Equity One15,195466
Rockwell Medical71,025465
Peoples Bancorp of North Carolina18,478463
Blackrock Municipal Bond Trust30,342463
Convergys Corporation18,820462
Kearny Financial29,626461
Cohen & Steers Closed-End Opportunity Fund39,336460
Healthcare Trust of America15,807460
Vitamin Blue Inc19,318459
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal11,775457
Apollo Investment Corporation77,924457
Ship Finance International Limited30,580454
HMS Networks AB24,910452
Brinker International9,107451
Equity Commonwealth14,804448
Massachusetts Health and Education Tax-Exempt Trust101,039447
Diplomat Pharmacy, Inc.35,460447
John Hancock Preferred Income Fund III21,027446
Imperial Oil Limited12,793444
Blackrock MuniHoldings Fund II30,152443
Sanderson Farms4,696443
EV Energy Partners211,719442
Almaden Minerals456,648442
Maui Land & Pineapple Company60,999439
Ralph Lauren Corporation4,855439
Caesars Entertainment Corporation51,695439
Argan6,194437
GW Pharmaceuticals3,898436
JPMorgan Chase Bank NA9,820435
Everest Re Group2,004434
NetSol Technologies Inc.83,417434
Nuveen Intermediate Duration Municipal Term Fund35,112432
State Bank Financial Corporation.16,095432
Arch Capital Group Ltd.15,577431
CASTLIGHT HEALTH, INC.86,800430
Ladenburg Thalmann Financial Services Inc175,813429
Enstar Group Limited2,172429
Telefonica Deutschland Holding AG32,009428
Brightcove Inc.71,500426
Achillion Pharmaceuticals102,965425
Chuy's Holdings13,105425
Heska Corporation5,916424
Therapy Cells, Inc.19,139423
American Financial Group4,790422
Pioneer Municipal High Income Trust35,515422
Tata Motors Ltd12,265422
Lexicon Pharmaceuticals30,383420
Nuveen Dividend Advantage Municipal Fund42,646420
Pimco High Income Fund45,701419
Blackrock MuniYield Fund29,307414
Dupont Fabros Technology9,414414
Brookfield Renewable Energy Partners L.P.13,909412
DEWEY ELECTRONICS CORP5,744411
Laredo Petroleum Holdings29,099411
Adventure Gold, Inc.7,506411
ESCO Technologies Inc.7,253411
Red Rock Resorts, Inc.350,000408
Guess?33,719408
Shell Midstream Partners, L.P.13,947406
Canadian Mining Company Inc.33,225405
Blackrock California Municipal 2018 Term Trust27,931405
Cornerstone OnDemand9,549404
Paragon Commercial Corp.9,250404
iShares S&P Global Nuclear Index Fund11,566403
KLX Inc.8,907402
Cohen & Steers Select Preferred and Income Fund15,350401
Pope Resources6,172401
Criteo9,730400
Macquarie Global Infrastructure Total Return Fund Inc.20,241399
Sally Beauty Holdings15,066398
The Ensign Group17,891397
Papa Murphy's Holdings, Inc.4,637397
Redwood Capital Bancorp (CA)26,116397
CUI Global57,000395
Oclaro44,113395
National Health Investors5,322395
Invesco Van Kampen Advantage Municipal Income Trust II35,258394
McDermott International53,085392
Sun Life Financial Inc.10,224392
Thermon Group Holdings20,546392
Flexion Therapeutics20,500390
BLACKROCK INTERNATIONAL70,607389
Kronos Worldwide Inc32,541389
Calamos Convertible Opportunities and Income Fund38,516389
PBF Logistics LP21,306388
MFS Intermediate Income Trust87,149387
Clayton Williams Energy3,247387
First Commonwealth Financial Corporation27,154385
Ultragenyx Pharmaceutical Inc.5,475385
Nordic Investment Bank45,794385
American Realty Investors8,470384
Piper Jaffray Companies5,288383
Kirby Corporation5,765383
Salient Midstream28,158382
Intrawest Resorts Holdings21,377382
Progenics Pharmaceuticals Inc.44,024380
Host Marriott Financial Trust20,187380
GasLog Partners18,378378
Avangrid, Inc.9,986378
Boston Beer Company2,222377
PennTex Midstream Partners25,160377
Invesco Value Municipal Income Trust25,638375
Synergy Pharmaceuticals61,615375
BlackRock Utility and Infrastructure Trust20,300374
ExlService Holdings7,424374
Nuveen Short Duration Credit Opportunities Fund21,351373
Alere Inc.9,573373
NEW GOLD INC.105,742370
Blackrock MuniYield California Fund25,372368
WPX Energy25,190367
Blackrock Health Sciences Trust11,563367
Enersys4,694367
Terra Nitrogen Company11,571365
Tortoise Power and Energy Infrastructure Fund16,398364
VOYA INSURANCE & ANNUITY CO.65,724364
Liberty Property Trust9,222364
Cousins Properties Incorporated42,550362
Pimco Corporate & Income Opportunity Fund25,255361
Parkway Acquisition Corp16,125359
EnerNOC59,619358
GATX Corporation5,801357
Union Equity, Inc.9,990357
Cytosorbents Corp65,442357
ALDER BIOPHARMACEUTICALS INC17,113356
Quad Graphics13,244356
Blackrock MuniHoldings Quality Fund II26,313355
PIMCO New York Municipal Income Fund III40,212353
Herman Miller10,309353
Aimmune Therapeutics, Inc.17,260353
Bravo Brio Restaurant Group92,750352
Akebia Therapeutics, Inc.33,814352
Western Refining16,473352
Neutral Tandem15,294351
Vicor Corporation23,259351
Cenovus Energy Inc23,091349
ITT Educational Services, Inc.9,057349
Heartland Financial USA7,243348
Latin America Equity Fund17,481346
Inter Parfums10,538345
Scholium Group PLC8,408345
J & J Snack Foods Corp.2,589345
INVIVO THERAPEUTICS HOLDINGS CORP.81,888344
Templeton Emerging Markets Fund28,364343
Select Comfort Corporation15,154343
Blackrock Core Bond Trust26,381343
Stratasys20,665342
ClearBridge Energy MLP Total Return Fund Inc.26,715341
Apollo Senior Floating Rate Fund Inc.20,469340
National Beverage Corp.6,594337
WESTLAKE CHEMICAL PARTNERS LP15,589337
Crown Marketing20,986334
Nustar GP Holdings11,531333
CNOOC Limited2,683333
Helios Advantage Income Fund14,506333
STONEGATE MORTGAGE CORP7,990333
CACI International2,674332
Weingarten Realty Investors9,273332
Cypress Sharpridge Investments Inc42,650330
Legg Mason, Inc.11,468328
Kaiser Aluminum Corporation4,214327
Crown Crafts42,150327
Norbord12,954327
Connecticut Water Service5,840326
MEDIACOM BROADBAND LLC17,314326
Xenia Hotels & Resorts16,749325
Far Eastone Telecommunication Co., Ltd.25,040322
Cincinnati Bell Inc6,570321
Fossil12,386320
ANI Pharmaceuticals5,276320
AK Steel Holding Corporation31,308320
Blackrock Municipal 2018 Term Trust21,373320
McEwen Mining Inc.108,839317
Cabot Oil & Gas Corporation13,466315
United Therapeutics Corporation2,191314
AAON9,469313
Washington Real Estate Investment Trust9,587313
Clovis Oncology7,023312
OraSure Technologies35,405311
Ferrari5,344311
Western Asset Municipal Defined Opportunity Trust Inc15,221311
Eaton Vance Municipal Bond Fund II25,228310
Amec Foster Wheeler54,127309
HCi Viocare7,823309
Merchants Bancshares5,683308
MGIC Investment Corporation30,128307
B2Digital, Inc.128,996306
Draftteam Daily Fantasy Sports Corp.6,742305
Marvell Technology Group Ltd.21,956305
Mitel Networks Corporation44,734304
China Biologic Products2,818303
Tronox Limited29,309302
Spirent Communications Plc.4,682302
AutoNation6,215302
Korea Electric Power Corporation16,239300
Source Capital8,318299
Mizuho Financial Group82,986298
Culp8,000297
ING Global Equity Dividend and Premium Opportunity Fund43,865297
Century Casinos36,000296
TrueCar Inc23,550294
Ziggo NV8,058294
Grand Canyon Education5,037294
First American Minnesota Municipal Income Fund II7,999293
Patheon N.V.10,211293
Alpine Global Dynamic Dividend Fund33,213291
Canon10,317290
ORBCOMM Inc.34,984289
First Majestic Silver Corp.37,753288
Nuveen Select Tax Free Income Portfolio II20,339288
Arrin Corp.8,701288
Simulations Plus29,856288
AeroVironment10,732288
QUALITY CARE PROPERTIES, INC.18,471286
John Hancock Hedged Equity & Income Fund18,156285
FIGO Ventures, Inc.58,470284
Electric Motors Corp.6,458283
Glatfelter11,811282
Cliffs Natural Resources Inc.33,367281
Barclays Africa Group Ltd11,600281
Stewart Enterprises6,100281
INVESCO MORTGAGE CAPITAL INC19,190280
Fitbit38,288280
Vanguard Natural Resources LLC416,222280
Nuveen Real Asset Income and Growth Fund17,773280
Nuveen New York Dividend Advantage Municipal Income Fund20,804279
STOCK BUILDING SUPPLY HOLDINGS, INC.5,936279
Surgical Care Affiliates6,033279
Sarepta Therapeutics10,179279
iShares Oil Sands Index ETF4,241278
Eaton Vance Short Diversified Income Fund20,074278
Liberty Interactive Corporation465,000277
Seaboard Corporation70277
Compugen Ltd.54,300277
Dualex Energy International, Inc.5,478277
Mercury General Corporation4,583276
California Water Service Group Holding8,152276
TIME INC.15,467276
CBOE Holdings3,719275
Calpine Corporation23,970274
New York Times Company (The)20,606274
InterContinental Hotels Group Plc6,168274
Macquarie/First Trust Global24,048274
Cameco Corporation26,030273
America Movil21,723273
Lumber Liquidators Holdings17,301272
PennyMac Mortgage Investment Trust16,595272
Dynamics Research Corporation21,288272
Universal Security Instruments73,513272
Liberty Global8,908272
Information Services Group74,803272
DynTek, Inc.32,195272
Apollo Gold Corporation15,593271
Enduro Royalty Trust78,424271
Newpark Resources36,007270
MKS Instruments4,552270
Noah Holdings Ltd.12,267269
Kbridge Energy Corp.16,051268
Nuveen California Dividend Advantage Municipal Fund21,882267
ADURO BIOTECH, INC.23,449267
Eaton Vance Pennsylvania Municipal Income Trust22,013267
Arrow Financial Corporation6,567266
Cray Inc12,840266
theScore Inc.8,279266
BG Staffing, Inc.17,025266
Washington Federal7,729265
American Equity Investment Life Holding Company11,702264
Nuveen Tax-Advantaged Total Return Strategy Fund18,917264
Nuveen Real Estate Fund24,504264
Titan International23,470263
EDGEWELL PERSONAL CARE Co3,599263
Invesco Van Kampen California Value Municipal Income Trust20,610263
Wright Medical Group11,402262
Eagle Pharmaceuticals3,307262
Royal Bank Of Canada47,421262
China Life Insurance Company Limited20,300261
General Electric Capital Corporation15,217261
FS Bancorp25,248260
The Advisory Board Company7,795259
Royal Dutch Shell Plc10,250259
Marriot Vacations Worldwide Corporation3,035258
LabStyle Innovations Corp150,000258
Retail Properties of America16,829258
Columbia Pipeline Partners15,000257
Alliance National Municipal Income Fund Inc19,405257
Silver Spring Networks19,335257
Morningstar3,498257
EverBank Financial Corp.13,220257
VASCO Data Security International18,857257
YPF Sociedad Anonima15,470256
Blackrock Municipal 2020 Term Trust16,862256
MFS Municipal Income Trust38,553256
Atara Biotherapeutics, Inc.18,021256
Sunrise Telecom, Inc.6,371255
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 222,211255
Arbor Realty Trust34,236255
Lions Gate Metals Inc.9,493255
Qiwi PLC19,801253
Urban Barns Foods Inc.9,166252
PowerShares DB Gold Fund12,578251
SiteOne Landscape Supply, Inc.7,128248
Accelerate Diagnostics, Inc.11,938248
Flaherty & Crumrine/Claymore Preferred Securities Income Fd In12,500248
New York Mortgage Trust37,521248
New England Service Co.20,899247
Pixelworks88,200247
Voyager Therapeutics, Inc.25,078247
GAMCO Natural Resources36,879246
Healthcare Realty Trust Incorporated8,126246
Ares Management12,830246
Coffee Holding Co.52,800246
Cypress Energy Partners23,300246
Embraer-Empresa Brasileira de Aeronautica12,735245
Fiduciary/Claymore MLP Opportunity Fund16,441245
Brookdale Senior Living Inc.19,705245
First Banks21,007244
TG Therapeutics, Inc.52,320243
mCig, Inc.15,618242
Momenta Pharmaceuticals16,026241
Mazor Robotics10,994241
Rent-A-Center Inc.21,450241
Peoples Insurance Company Group China14,926241
Teekay Tankers Ltd.105,788239
SINOPEC Shangai Petrochemical Company4,409239
First Financial Bancorp.8,376238
SandRidge Permian Trust79,851236
Trinseo S.A.3,986236
Fiat25,923236
Mwana Africa Plc.3,928235
American Capital Agency Corp.13,138235
Yadkin Valley Financial Corporation6,864235
AAC Holdings32,468235
Franklin Universal Trust35,003234
Nuveen Municipal High Income Opportunity Fund19,042234
eUnits 2 Year U.S. Market Participation Trust5,785233
Chesapeake Utilities Corporation3,479233
Inphi Corporation5,167231
Emergent Biosolutions7,024231
TerraForm Power, Inc.17,916230
CeCors, Inc.16,451229
Infinera Corporation26,848228
Ascena Retail Group36,843228
WCI Communities, Inc.9,732228
Infinity Energy Resources, Inc.8,621228
Colony NorthStar, Inc.7,914228
Deutsche Borse AG9,704228
Managed Duration Investment Grade Municipal Fund17,308227
New America High Income Fund24,491227
Atwood Oceanics17,250226
The Medicines Company6,574223
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF2,492223
CBL & Associates Properties19,234221
Hill-Rom Holdings Inc3,898219
WGL Holdings Inc2,873219
Credicorp Ltd.1,380218
Global Partners LP11,145217
Sientra, Inc.25,500217
pdvWireless, Inc.9,605217
Blackrock Floating Rate Income Strategies Fund II Inc15,383217
Resources Connection11,242216
Pacira Pharmaceuticals6,628214
The Herzfeld Caribbean Basin Fund31,850214
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol10,469213
Cambria Africa PLC6,512212
NewMarket Corporation500212
Cardtronics3,859211
Eaton Vance California Municipal Bond Fund II18,555211
Gladstone Capital Corporation24,923211
The Hanover Insurance Group2,310210
Eaton Vance Ohio Municipal Income Trust15,460210
Orion Engineered Carbons11,095209
Horizon Bancorp (IN)7,465209
TrustCo Bank Corp NY23,768208
INTELLINETICS, INC.153,000207
HUB Power Co., Ltd.4,725207
Magellan Health Services2,720205
ServisFirst Bancshares, Inc.5,486205
Blackberry29,811205
Nuveen Build America Bond Fund9,804205
Allison Transmission Holdings6,092205
TCW Strategic Income Fund38,069203
OHA Investment Corporation117,431203
CAM Group, Inc.4,761203
RPC10,124201
Contango Oil & Gas Company21,448200
Wabash National Corporation12,671200
Acacia Diversified Holdings, Inc.30,440198
Emerge Energy16,100198
Crescent Pt Energy14,440196
GNC Holdings17,793196
Vedanta Res Plc15,659194
TIER REIT INC11,169194
Liberty All-Star Growth Fund46,396194
Trinity Biotech plc27,904193
Advanced Semiconductor Engineering38,331193
Western Asset Global Corporate Defined Opportunity Fund Inc.19,148193
Western Asset Middle Market Income Fund Inc.14,800192
Acorda Therapeutics10,077189
Ellington Financial LLC12,100188
ILG10,356188
Guggenheim Enhanced Equity Strategy Fund11,497186
Alexco Resource Corp136,666184
Calamos Asset Management21,229182
Merrimack Pharmaceuticals44,264181
Amarin Corporation PLC58,390180
Blackrock New York Municipal Bond Trust12,848179
Madison Strategic Sector Premium Fund14,996178
InvenSense13,800177
Morgan Stanley Emerging Markets Debt Fund19,394176
Synalloy Corporation16,000175
Pretium Resources21,058174
Zweig Fund14,419174
ZIOPHARM Oncology Inc32,426173
Box Ships Inc.12,405172
Hudson Technologies21,315171
MCBC Holdings, Inc.11,646170
Western Asset Global High Income Fund Inc17,182169
Enerplus Corporation17,808169
Nimtech Corp.17,250168
Tortoise Energy Independence Fund10,195168
Pandora Media12,662165
China Unicom (Hong Kong) Ltd14,218164
Daktronics15,320164
ASA Gold and Precious Metals Limited14,764163
Delaware Investments Florida Insured Municipal Income Fund12,362163
Electro Scientific Industries27,408162
Manhattan Bridge Capital21,311162
Fortuna Silver Mines Inc.28,737162
MannKind Corporation252,761161
Calumet Specialty Products Partners40,330161
iShares S&P GSCI Commodity-Indexed Trust10,239160
AGIC Convertible & Income Fund24,976159
Dawson Geophysical Company19,720159
Nuveen New York AMT-Free Municipal Income Fund12,021158
PCM, Inc.15,749157
RadNet24,151156
Cementos Pacasmayo S.A.A.16,847155
CAE Inc11,116155
Pioneer Floating Rate Trust13,093155
Nuveen California Municipal Market Opportunity Fund14,733154
1-800 FLOWERS.COM14,300153
Macatawa Bank Corporation14,641152
Nuveen Ohio Dividend Advantage Municipal Fund 215,924151
Weight Watchers International Inc12,986149
Genworth Financial Inc38,836148
CNH Global N.V.16,933147
Legacy Reserves LP69,228147
Yamana Gold Inc.51,983146
Forestar Group Inc11,010146
Duff & Phelps Utilities Income15,240144
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.24,089144
Madison/Claymore Covered Call & Equity Strategy Fund18,533143
Morgan Stanley Emerging Markets Domestic Debt Fund10,762142
Pier 1 Imports16,593142
Arrowhead Gold Corp.13,800142
Seaspan Corporation15,463141
NMI Holdings, Inc.13,242141
Nuveen Select Tax Free Income Portfolio10,500140
Gabelli Utility Trust (The)22,293140
Geeknet32,303140
ING Infrastructure Industrial and Material Fund10,630138
NewLink Genetics Corporation13,420138
Invesco Municipal Income Opportunities Trust18,956136
Western Uranium Corp14,351134
Eldorado Gold Corporation41,050132
ENSCO plc13,616132
EXCO Resources NL144,395126
SiM Internal Test 414,705124
Nuveen California Select Quality Municipal Fund10,948124
PennantPark Investment Corporation16,100123
Putnam Master Intermediate Income Trust26,513122
MOBILEIRON, INC.32,190121
CVR Partners19,943120
Mercer International Inc.11,275120
Luna Innovations Incorporated81,459120
MiX Telematics19,062118
WindStream Technologies, Inc.16,062118
Callaway Golf Company10,708117
Nevada Gold & Casinos63,300117
AcelRx Pharmaceuticals45,000117
Energy Recovery10,939113
Kemet Corporation16,872112
Duff & Phelps Select Energy MLP Fund Inc.14,650111
Community Health Systems19,617110
CPI Card Group Inc.26,151109
WSI Industries Inc.36,000108
Wells Fargo Advantage Income Opportunities Fund12,419105
Willamette Valley Vineyards13,075105
Cohen & Steers Global Income Builder12,179104
Aly Energy Services, Inc.10,492104
Cobalt International Energy85,540104
Alamos Gold Inc. New15,015103
BioAmber18,800103
Sears Holdings Corporation10,49297
Precision Drilling Corporation17,63896
American Seniors Association Holding Group, Inc.12,98096
Angie's List11,67596
Zynga Inc.37,00095
Kosmos Energy Ltd.13,59095
AU Optronics Corp26,56994
BlackRock Income Trust Inc. (The)14,87194
VOC Energy Trust28,56991
Vonage Holdings Corp.13,22091
Array BioPharma Inc.10,40091
Medley Capital Corporation11,98390
ORGANOVO HOLDINGS, INC.26,24789
Ferrellgas Partners13,03888
Gold Standard Ventures Corporation40,99487
Hecla Mining Company16,37886
Clean Energy Fuels Corp.30,04386
Sandstorm Gold Ltd.21,70085
Kandi Technolgies17,40085
Avon Products16,58584
First Trust Specialty Finance and Financial Opportunities Fund11,90784
RAIT Financial Trust23,99981
Globalstar50,50080
Inovio Pharmaceuticals10,51373
Tetra Tech13,85270
Arcos Dorados Holdings Inc.13,00070
Keryx Biopharmaceuticals11,90570
Vuzix10,10069
Gastar Exploration44,50069
NANOVIRICIDES, INC.62,00066
Kinross Gold Corporation20,40063
Novavax50,14363
Gener8 Maritime13,88862
Civeo Corp28,30062
VirnetX Holding Corp27,16060
Pengrowth Energy Corporation41,57559
MFC Industrial Ltd.30,35259
Westport Innovations Inc52,01059
Keegan Resources Inc17,94055
Sonoma Pharmaceuticals10,94255
Ocean Rig UDW Inc.31,00454
VITAL THERAPIES INC12,28253
Research Frontiers Incorporated27,50050
Tsakos Energy Navigation Ltd10,53349
TrovaGene23,00048
Kopin Corporation15,20043
Voxeljet14,61542
Gerdau S.A.13,00041
Dynavax Technologies Corporation10,48241
Celldex Therapeutics10,97739
Petroquest Energy Inc11,92539
Navios Maritime Partners LP26,70338
Ceragon Networks Ltd.14,10037
Hovnanian Enterprises Inc13,70037
Rocket Fuel Inc21,30036
Vericel Corporation11,60635
Cempra12,17034
Soligenix, Inc.14,96034
Diana Shipping inc.10,75032
Geron Corporation14,90031
Southcross Energy Partners LP21,71129
Endocyte10,90028
Northern Oil and Gas10,20028
BANRO CORPORATION134,50025
Durect Corporation18,80025
eCare Solutions, Inc.11,10024
FalconStor Software50,03523
CONNECTURE INC13,57823
Memorial Production Partners LP189,17523
TRANSENTERIX INC.16,71322
Kingold Jewelry Inc.17,00022
Uranium Energy Corp.19,00021
iBio50,00020
Penn West Petroleum Ltd11,02220
U.S. Global Investors14,59620
Bank Princeton New Jersey18,30018
Pluristem Therapeutics12,74318
Senomyx19,13318
SandRidge Mississippian Trust I12,37717
Nexeo Solutions Holdings, LLC24,06517
Zion Oil & Gas Inc12,18917
The Bon-Ton Stores11,04616
Ampio Pharmaceuticals16,40015
VIVUS13,26515
UniCredit SpA 14,00014
Tanzanian Royalty Exploration Corporation28,51314
Bonanza Creek Energy13,70014
CytRx Corporation35,00013
Plug Power10,43413
Polymet Mining Corp.15,50012
CEL SCI CORP169,91211
Navidea Biopharmaceuticals16,00010
Denison Mine Corp17,9589
Golden Star Resources11,0008
International Tower Hill Mines Ltd15,0008
Peregrine Pharmaceuticals Inc.20,5566
WTTJ Corp49,9041
Community Bank of South Florida Inc.35,8801

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