RAYMOND JAMES & ASSOCIATES

Most recent update: Sept. 30, 2017

CompanyShares/WarrantsValue ($000)
Vanguard Natural Resources, LLC10,274,8982,371,042
Indo Tambangraya Megah PT15,180,2621,663,605
iShares24,243,1771,555,685
SPDR GOLD TRUST23,663,0401,116,562
Apple Inc.4,766,774723,394
Microsoft Corporation8,705,160626,292
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap7,761,226577,055
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi4,193,824524,482
J P Morgan Chase & Co4,986,802465,077
Vanguard Natural Resources, LLC6,929,558441,591
Verizon Communications Inc.9,163,445439,625
Russell Exchange Traded Funds Trust Russell Small Cap Consiste3,639,537431,321
S&P Quality Rankings Glbl Equ Mngd Tr1,794,618430,775
AT&T Inc.10,737,096417,329
Ishares Income Trust Sector Index Fd7,960,971409,743
AbbVie Inc4,644,478396,401
Chevron Corporation3,385,616389,514
Alphabet Holding Company, Inc.399,862386,508
Core Resource Management, Inc.5,007,462371,657
Johnson & Johnson2,715,938353,102
Merck & Company5,454,033337,761
Imperial Petroleum, Inc.1,815,312324,766
Exxon Mobil Corporation3,892,016316,904
PowerShares Global Coal Portfolio8,265,122316,467
Pfizer9,241,522316,310
Pepsico2,791,263300,522
Coca-Cola Company (The)6,396,081287,888
Amazon.com298,952287,397
Procter & Gamble Company (The)2,996,370272,610
Facebook1,578,155269,659
United States Cellular Corporation1,370,168268,358
Altria Group4,188,474264,035
Berkshire Hathaway Inc.1,436,206263,285
Cisco Systems7,594,337253,868
Union Pacific Corporation2,267,782251,427
Philip Morris International Inc2,238,496245,618
iShares Trust iShares MSCI All Country Asia Information Techno6,376,367242,578
Home Depot1,460,003238,802
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND6,244,330229,179
Standard Parking Corporation685,543223,728
Comcast Corporation5,569,345213,883
Occidental Petroleum Corporation3,090,473198,439
Vodafone Group Plc6,878,077195,750
Visa Inc.1,834,842191,483
Wells Fargo & Company3,391,271186,442
Multi-Strategy Growth & Income Fund6,070,000181,372
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu3,180,651180,437
Marathon Petroleum Corporation3,444,637179,544
DowDuPont Inc.2,560,109176,171
BROADVIEW INSTITUTE INC726,079176,112
High Country Bancorp, Inc.2,163,434175,390
GlaxoSmithKline PLC4,276,004173,606
TotalFinaElf3,212,076171,910
B Communications Ltd.3,664,205171,787
General Electric Co7,101,285167,266
Oracle Corporation3,775,597166,608
United Parcel Service1,405,699165,079
Celgene Corporation1,131,471164,991
Duke Energy Corporation1,957,610164,282
iTeknik Holding Corporation646,777163,591
Kimberly-Clark Corporation1,349,941158,861
Eaton Corporation2,245,097158,265
McDonald's Corporation1,017,616157,657
Intel Corporation4,225,428156,503
Wal-Mart Stores1,966,818153,687
Dominion Resources1,991,406153,198
Carnival Plc ADS2,566,378152,160
Bank of America Corporation5,957,263150,487
Security Devices International Inc.1,540,623147,192
Alibaba Group Holding Limited816,750141,061
Astrazeneca PLC4,134,731139,463
CB Scientific Inc.1,021,412138,646
CME Group Inc.1,112,843136,088
PowerShares QQQ Trust927,588134,919
Honeywell International Inc.949,224134,545
Microchip Technology Incorporated1,679,804133,763
National Grid Transco Plc2,128,570133,483
Lockheed Martin Corporation425,213131,946
Boeing Company (The)514,304130,745
Allergan594,564127,803
CVS Corporation1,584,907127,386
Bowl America, Inc.3,290,980126,472
Abbott Laboratories2,410,021125,377
QUALCOMM Incorporated2,431,680122,936
Air Products and Chemicals846,391121,736
First Trust High Income Long Short Fund3,272,955121,387
TE Connectivity Ltd.1,451,783120,585
Amgen Inc.629,192117,317
Sanofi2,357,750116,849
PPlus Trust3,076,564116,756
The Kraft Heinz Company1,570,594115,948
3M Company547,099114,840
Time Warner Inc.1,185,634114,388
Crown Equity Holdings, Inc.1,143,345114,312
PNC Financial Services Group806,633108,710
U.S. Bancorp2,065,843108,693
Biogen Idec Inc.332,691104,172
Walt Disney Company (The)1,048,779103,381
Citigroup Inc.1,398,175100,883
Praxair710,29999,259
Fastenal Company2,177,12699,233
Southern Company (The)2,196,54399,029
Ironclad Performance Wear Corp2,533,61298,558
Raytheon Company531,78397,334
Autodesk857,56296,270
BlackRock Maryland Municipal Bond Trust2,038,60795,692
Therapix Biosciences Ltd2,194,10195,246
Texas Instruments Incorporated1,058,84794,915
Novartis AG1,088,77393,471
General Mills1,880,80992,882
Enterprise Products Partners L.P.3,480,60490,739
MetLife1,721,07889,410
Johnson Electric Holdings Ltd.2,241,44188,994
Investec Ltd.1,117,82286,933
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF1,050,36786,122
Royal Dutch Shell PLC1,406,25085,191
Emerson Electric Company1,301,15381,765
Ventas1,254,59681,712
NVIDIA Corporation455,97481,516
British American Tobacco Industries1,272,72879,482
Weyerhaeuser Company2,333,28278,604
Gilead Sciences980,61978,574
First Trust Strategic High Income Fund II2,636,98678,450
Ultra Lithium Inc1,339,62877,645
Schlumberger N.V.1,099,06476,671
Valero Energy Corporation1,006,47376,535
United Technologies Corporation674,42275,523
Nielsen CO B.V.1,800,83974,645
Bristol-Myers Squibb Company1,155,64073,661
First Trust1,903,06672,889
Sport Chalet507,17472,739
PayPal Holdings, Inc.1,134,81572,662
Select Asset Inc.887,05272,499
Goldman Sachs Group1,015,55071,899
International Business Machines Corporation515,25170,861
Anadarko Petroleum Corporation1,422,77369,503
Corning Incorporated2,320,09069,417
INTERNATIONAL TEXTILE GROUP INC1,249,96768,248
Salesforce.com Inc739,12567,428
American Electric Power Company958,90867,354
Reitmans818,19966,069
Innocap, Inc.325,10765,791
Illini Corp.540,46365,520
Halliburton Company1,501,30764,957
Neenah Paper442,87664,904
Lic Housing Finance Ltd.303,23064,889
Mastercard Incorporated455,75564,353
Target Corporation1,072,52363,290
Vanguard Natural Resources, LLC1,198,48763,173
vTv Therapeutics Inc.631,66563,052
GSM Fund Group Inc1,261,91462,995
priceline.com Incorporated234,04362,616
BlackRock138,64761,991
Vertex Pharmaceuticals Incorporated405,54861,660
Becton, Dickinson & Co.311,46761,036
Allstate Corporation (The)674,55860,551
Magellan Minerals Ltd.850,43960,432
Taiwan Semiconductor Manufacturing Company Limited1,606,89560,339
iShares Trust iShares Barclays GNMA Bond Fund742,70359,622
Starbucks Corporation1,185,61958,851
Vanguard International Equity Index Funds Vanguard Global ex-U853,54058,800
Phillips 66641,46158,765
Wake Forest Bancshares, Inc.932,41458,537
Sysco Corporation1,083,03758,430
Lowe's Companies719,26457,498
ENERGY TRANSFER PARTNERS1,888,49956,394
Western Asset Emerging Markets Income Fund651,80056,315
American Tower Corporation (REIT)410,44356,100
Sector 5, Inc.945,96655,907
Willis Towers Watson356,66955,012
CyrusOne938,33554,522
iShares Trust iShares MSCI Emerging Markets Latin America Inde1,254,18054,400
Roper Technologies222,87854,254
Bespoke Tricyles, Inc.3,733,68654,026
Caterpillar429,98853,625
Liberty Global282,72553,274
iShares FTSE EPRA/NAREIT Asia Index Fund501,56752,841
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF591,80652,085
World Gaming plc419,44650,996
American Express Company563,53850,978
Broadridge Financial Solutions628,67650,810
Ingersoll-Rand plc (Ireland)594,60850,356
PIMCO Flexible Credit Income Fund476,80850,256
Automatic Data Processing499,83850,175
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF384,73449,831
Aflac Incorporated641,62749,326
Federal Express Corporation217,42349,051
Netflix267,90048,584
PacWest Bancorp955,49248,262
Regal Entertainment Group2,981,86147,710
Deoleo SA360,54247,639
Waste Management663,39047,515
VGTel, Inc.500,24547,419
Interups Inc.438,23447,290
Bank of the Ozarks983,95047,278
Rockwell Collins376,17847,261
Seagate Technology.1,418,83247,063
Costco Wholesale Corporation281,49546,247
Cinemark Holdings Inc1,267,11645,882
Select Asset Inc.507,46845,713
Twitter2,701,96445,582
National Fuel Gas Company804,78145,559
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 1,617,47345,366
Financial Institutions1,826,27245,337
General Dynamics Corporation218,44744,910
Targa Resources939,06144,418
LyondellBasell Industries NV448,39344,415
Accenture plc.326,06444,042
Vanguard Energy Corporation379,35243,883
Noble Group Ltd.737,30543,834
NXP Semiconductors N.V.385,37243,582
Polaris Futures Fund L.P.414,22243,340
Western Union Company (The)2,247,27543,148
Omnicom Group Inc.573,34342,468
Applied Materials802,42441,798
Enbridge Inc994,08541,551
India Cement Ltd.270,11741,255
eBay Inc.1,063,91740,918
IntercontinentalExchange616,41940,797
Stark Naked Bobbers329,82940,411
Kinder Morgan2,041,14740,193
Realty Income Corporation701,11040,096
Consolidated Graphics494,78939,920
First Trust NASDAQ-100 Ex-Technology Sector Index Fund581,77839,649
Ionis Pharmaceuticals776,94939,391
Mondelez International984,20439,331
Ryman Hospitality Properties627,37639,205
Estee Lauder Companies375,94739,201
Covanta Holding Corporation2,663,74739,180
Walgreens Boots Alliance520,85238,994
Public Service Enterprise Group Incorporated833,13538,533
Motorola Solutions453,85338,519
Extended Stay America, Inc.1,918,98138,380
Aspen Pharmacare Holdings plc262,58038,363
PPG Industries352,60738,314
iShares MSCI ACWI ex US Index Fund787,67838,084
Zoetis594,17937,885
iShares FTSE EPRA/NAREIT Europe Index Fund342,18437,695
Pacific Gas & Electric Co.552,50237,620
SunTrust Banks621,79437,165
KAR Auction Services776,88337,088
The Bank of Kentucky Financial Corp.698,45137,032
Novo Nordisk A/S767,79736,969
Anheuser-Busch Inbev SA309,19536,891
Ibiden Co. Ltd.388,79836,411
The Blackstone Group L.P.1,200,74736,298
ConocoPhillips720,27136,050
The Kroger Company1,704,15335,429
Thermo Fisher Scientific Inc187,06035,392
Pioneer Exploration, Inc.235,09734,686
Cummins Inc.206,36734,679
ONYX Pharmaceuticals160,11234,483
Adobe Systems Incorporated230,52634,390
Royal Kpn N.V.443,58934,343
Cardinal Health513,14534,340
Boulder Energy Ltd.3,349,81134,168
Illinois Tool Works Inc.230,67734,131
Danaher Corporation546,28333,990
Freeport-McMoran Copper & Gold2,437,68433,978
STATIONDIGITAL CORP1,683,38633,819
Unilever NV568,74533,579
Oppenheimer Holdings Inc.592,70833,508
FVI Fondo Valores Inmobiliarios1,275,83533,389
First Trust Senior Floating Rate Income Fund II692,40033,304
McCormick & Company322,77733,130
Aetna Inc.206,52232,840
KSW Inc316,26232,663
Heico Corporation418,09932,551
RIGHTSCORP, INC.516,59332,308
Synchrony Financial1,100,95032,241
Thomson Reuters Corp698,15632,054
PIMCO California Municipal Income Fund314,04231,970
Waste Connections454,26531,780
Westpac Banking Corporation1,249,63631,516
iShares Trust175,57431,430
Delta Air Lines Inc. (New)651,31331,406
Parcelpal Technology Inc765,20031,381
Rogers Communications, Inc.606,29331,283
Eli Lilly and Company365,12831,234
Activision Blizzard482,69331,139
XBiotech Inc.416,97731,047
Masimo Corporation352,68630,529
General Motors Company752,95230,404
Raymond James Financial359,44230,312
Mohawk Industries121,58730,094
Redux Holdings, Inc.270,81230,022
International Consolidated Airlines Group SA151,56529,880
Brown & Brown618,95729,828
FNB United Corp.2,115,35329,678
Entergy Corporation388,31229,651
Umpqua Holdings Corporation1,540,63729,521
Everett SpinCo, Inc.342,77629,438
Nike565,83829,339
NoCopi Technologies, Inc.101,83029,301
Sappi Limited266,55929,228
International Paper Company506,00428,751
Sempra Energy251,87428,746
Nucor Corporation512,75528,735
LPL Financial Holdings Inc.555,14328,629
Coty Inc1,719,07128,416
Old Republic International Corporation2,190,33028,399
Industrial Services of America398,49628,294
TJX Companies383,16428,251
First Trust Exchange-Traded Fund II First Trust BICK Index Fun1,406,80728,249
Legg Mason716,94828,183
iShares NASDAQ Biotechnology Index Fund84,10528,060
Prologis, Inc.441,24828,002
First Trust NASDAQ-100 Equal Weighted Index Fund504,15428,001
Citrix Systems364,10927,971
VOIP PAL.com, Inc.211,99327,962
Pentair410,99127,931
Ameren Illinois Company479,24327,719
Canadian Imperial Bank of Commerce316,50927,710
Leggett & Platt580,09027,688
Compass Minerals Intl Inc423,97727,516
Spectra Energy Partners617,58327,408
Analog Devices372,32627,243
General Electric Capital Corporation2,431,37827,196
Marathon Oil Corporation2,018,02627,173
Harris Teeter Supermarkets206,29627,165
Relx1,229,74127,113
Pebblebrook Hotel Trust749,31427,080
iShares MSCI Far East Financials Sector Index Fund282,50127,030
MegaFon PJSC257,42826,958
Discover Financial Services416,98826,888
Vanguard Energy Corporation176,19526,780
Newell Rubbermaid Inc.624,00626,626
ASML Holding N.V.155,40026,604
Deere & Company211,80826,601
Etfs Commodity Securities Ltd.187,63626,517
Edge Resources Inc.520,62726,208
Monotaro Co., Ltd.217,78726,095
Alexion Pharmaceuticals185,90426,080
Interface598,51125,927
CIGNA High Income Shares138,56025,902
Berkshire Hathaway Inc.9425,826
Express Scripts Holding Company433,60325,799
New Ulm Telecom, Inc.291,44125,763
Arthur J. Gallagher & Co.417,70525,710
iShares470,35925,687
iShares S&P Emerging Markets Infrastructure Index Fund658,90525,572
Lamprell136,73925,302
Marriott International228,96325,246
Morgan Stanley523,41725,213
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 221,52525,075
V.F. Corporation394,06325,051
UBS AG (London Branch)1,462,12724,998
Republic Services377,98124,970
Ecolab Inc.193,38224,871
Hanesbrands Inc.1,009,18324,866
iSoftStone Holdings Limited735,84524,842
Xcel Energy Inc.523,75024,784
Diamondhead Casino Corp.109,80624,577
Liberty Interactive Corporation1,030,98624,300
Omega Healthcare Investors756,38124,136
Healthcare Services Group443,13923,916
Monolithic Power Systems223,66123,833
Centenera Mng Corp.245,45523,753
Russell Exchange Traded Funds Trust Russell Small Cap Contrari190,71823,672
Fidelity National Information Services252,99323,627
Chilean Metals Inc.477,07023,195
Paychex433,19023,171
Sabra Healthcare REIT1,055,88223,166
Williams Companies767,49323,032
Prudential Public Limited Company480,11623,002
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio215,79122,823
IEG Holdings Corp268,68722,820
Consumer Portfolio Services420,22822,684
Xilinx342,65722,670
Axis Energy Corporation395,10722,644
Rio Tinto478,11122,562
Check Point Software Technologies Ltd.196,76522,435
John Wiley & Sons418,87922,410
Delphi Automotive plc227,71322,407
Geo Group Inc (The)828,06322,275
Newfield Exploration Company748,12122,197
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund200,07922,183
Darling International Inc.1,265,79022,177
Norfolk Souther Corporation182,99622,120
Labor Smart, Inc.146,38222,099
HPC Acquisitions, Inc.1,106,14922,079
Healthcare Trust of America739,57122,039
First Tractor Co. Ltd.414,13721,975
Agrium Inc.204,71621,954
Stryker Corporation154,46221,937
Wintrust Financial Corporation279,99121,928
Tesla Exploratin Services Inc.64,08021,858
East West Bancorp364,25821,775
Exelon Corporation639,87521,765
Xponential, Inc.362,57321,755
Mascota Resources Corp557,27121,739
Blackrock Enhanced Equity Dividend Trust2,389,99721,677
Marsh & McLennan Companies257,19721,556
Cogent Communications Group440,23721,528
FTE Networks, Inc.391,98221,520
Tekla Healthcare Opportunities Fund1,062,50221,510
Regions Financial Corporation1,407,90721,442
APPLIED OPTOELECTRONICS, INC.344,82421,418
HSBC Holdings plc432,29021,359
Stanley Black & Decker140,84021,263
Palo Alto Networks146,78621,152
Cognizant Technology Solutions Corporation288,66320,940
Suncor Energy Inc.594,67720,855
BCSB Bancorp2,003,10020,732
Hillenbrand Inc532,22220,677
Brookfield Infrastructure Partners LP478,25420,632
WestRock363,12520,600
iShares MSCI Emerging Markets Materials Sector Index Fund230,85420,490
Russell Breweries Inc146,24520,458
Charles Schwab Corporation467,13920,433
STERLING CONSOLIDATED Corp369,22220,400
TELUS Corporation566,38120,385
Vanguard Short-Term Corporate Bond ETF254,48220,313
Markel Corporation18,93520,222
Landstar Development Group, Inc.202,49720,179
Regeneron Pharmaceuticals44,49019,892
Vanguard Intermediate-Term Corporate Bond ETF234,59719,861
Simon Property Group123,13819,827
CDW Corp298,72519,716
OWENS-ILLINOIS GROUP INC674,26119,688
Colony NorthStar, Inc.1,566,65719,677
LEAP TECHNOLOGY INC / DE113,61619,665
Diamondback Energy200,54619,645
Camden Property Trust214,18319,587
IDEX Corporation161,18219,579
Canadian National Railway Company235,31619,509
Stericycle272,31319,503
iShares181,82419,473
Steel Partners Holdings LP564,58319,461
CenturyLink1,063,25019,358
Edison International250,79819,354
Huntington Bancshares Incorporated1,385,27419,338
Spirit Aerosystems Holdings247,83719,262
Mylan Inc.613,65919,250
Adams Express Company (The)1,265,13019,243
Douglas Emmett487,49719,217
Envestnet206,28619,078
Air Lease Corporation446,63919,036
Tesco PLC300,09618,993
Boston Scientific Corporation663,84818,978
Colgate-Palmolive Company260,29118,962
Liberty Gold Corp.449,17218,807
Berry Petroleum Company330,97318,750
Eagle Growth & Income Opportunities Fund1,106,48618,711
Ross Stores289,08218,666
AO Mosenergo182,69318,616
Prudential Financial173,56118,453
Crimson Wine Group Ltd.339,61618,428
Hydrodynex, Inc.358,29918,252
Cintas Corporation126,24518,215
Adriana Resources, Inc.73,32718,162
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF343,75518,143
Nuance Communications1,425,23018,093
iShares169,03318,006
Edwards Lifesciences Corporation164,42617,973
Royce Value Trust1,135,60117,931
Vanguard Health Systems116,89517,801
Equifax167,02717,703
AmeriGas Partners393,49417,684
Vanguard STAR Funds Vanguard Total International Stock ETF318,63817,439
First Trust Advantaged Short Duration High Yield Bond Fund371,70717,435
CREDEX CORP154,20117,306
Weatherford International3,755,21117,199
Quintiles Transnational Holdings Inc180,23417,135
BorgWarner Inc.334,17617,120
Micron Technology453,15017,110
ChemoCentryx224,63317,095
ONEOK306,31816,973
iShares Commodity Optimized Trust347,93816,956
Timken Company (The)348,86116,937
McKesson Corporation109,65916,845
Dolby Laboratories292,49316,824
Digital Realty Trust140,68116,647
Ishares III Plc331,04316,641
Wabco Holdings Inc.112,08516,589
FactSet Research Systems Inc.92,04216,578
Peoples Financial Corporation911,62016,537
Kreisler Manufacturing Corp.823,53816,520
Henry Schein201,12216,490
Yum China Holdings, Inc.412,16516,474
Oasis Petroleum Inc.1,802,21416,436
Community Bank of Santa Maria (CA)144,14016,384
Flextronics International Ltd.987,91616,370
Archer503,65916,354
Clorox Company (The)123,93116,348
KeyCorp866,83116,314
Fifth Third Bancorp581,82916,280
Aircastle Limited728,92616,248
Constellation Brands Inc81,11916,180
Great Plains Energy Inc531,57016,107
Graco Inc.129,72316,045
V Media Corp146,69416,018
Actuant Corporation620,13815,876
Italian Food & Beverage Corp88,86315,823
General Electric Capital Corporation437,72515,767
Align Technology84,58015,755
Andeavor152,25015,705
Anthem United, Inc.82,70915,705
Parker-Hannifin Corporation88,72815,529
Fidus Investment Corporation964,56315,510
Waters Corporation86,06015,449
Matthews International Corporation246,11115,320
American International Group249,39515,310
Jack Henry & Associates147,63615,176
Fluor Corporation356,16614,995
T. Rowe Price Group164,72914,932
IBO (Listing Market - NYSE Amex Network B F)176,79414,931
Smart & Final Stores, Inc.110,24514,901
Sumitomo Mitsui Financial Group Inc1,932,02814,896
Alaska Power & Telephone Co.193,77314,779
UBS AG633,43714,690
Ulta Salon64,35014,547
First Century Fox Inc Class A550,27014,516
Alleghany Corporation26,17414,501
Envision Healthcare Holdings, Inc.321,73714,462
J.M. Smucker Company (The)137,76314,455
National-Oilwell Varco402,83314,393
Yum! Brands195,36514,381
Arrow Electronics294,94114,357
American Housing Income Trust, Inc.217,08014,336
Akamai Technologies293,98414,323
The NASDAQ OMX Group184,03314,275
Vantiv202,37314,261
Avery Dennison Corporation144,29114,190
NetApp323,47914,155
UBM Plc274,95314,058
CBS Corporation241,08513,983
Tri Continental Corporation545,33513,933
Electronic Arts Inc.117,97313,928
Amdocs Limited216,06913,898
Deutsche Bank Aktiengesellschaft445,83213,834
ISHARES IV PLC125,21613,823
Thor Industries108,78513,697
Owens Corning Inc177,04513,694
Sensata Technologies Holding N.V.284,53813,678
Islet Holdings, Inc.121,38713,610
Alliant Energy Corporation325,99013,551
Albero Corp.99,25613,530
Shire plc87,48413,397
SMG Indium Resources Ltd.104,05713,297
State Street Corporation138,87613,268
Reinsurance Group of America95,03813,261
Apartment Investment and Management Company302,25113,257
Retail Opportunity Investments Corp.697,17013,253
OGE Energy Corporation367,58313,244
Cree468,61713,210
Lloyds Banking Group Plc3,607,98113,205
Kresta Holdings Ltd.232,55013,200
Arris Group Inc462,16213,167
DCT Industrial Trust Inc225,45413,058
Cerner Corporation181,92412,975
The Cash Store Financial Services Inc.230,14312,966
Zimmer Holdings110,63512,954
Fiserv100,44112,953
Medical Properties Trust981,76112,891
U.S. Helicopter Corp.161,26512,882
Stargaze Entertainment Group Inc.82,36212,874
Cognex Corporation116,24712,820
Southwest Airlines Company249,24512,810
Victory Resources Corp.287,96112,782
Fortive Corp180,10112,749
Cohen & Steers Quality Income Realty Fund Inc1,011,69212,707
ETERNITY HEALTHCARE INC.728,84912,667
EQT Corporation193,83012,646
Deutsche Bank AG (London Branch)1,405,83712,596
DENTSPLY International Inc.210,36312,582
Cedar Fair195,99512,567
INFORMATION ANALYSIS INC83,69712,551
Dollar General Corporation154,82912,549
RMR Industrials, Inc.646,80212,496
American Water Works154,40312,493
MarketAxess Holdings67,29212,416
Avnet313,11512,305
Wynn Resorts82,45512,280
Garmin Ltd.227,52912,280
Mid-America Apartment Communities113,99412,184
Global X Funds Global X NASDAQ 500 ETF849,59712,160
IHS Markit275,52012,145
Seven Generations Energy Ltd.112,24712,142
Cohen & Steers Infrastructure Fund527,61612,135
ManpowerGroup102,40612,065
Progressive Corporation (The)248,23712,020
1st Colonial Bancorp, Inc.250,07511,996
European Real Estate Investment Trust Ltd.205,39311,981
IJJ Corp.80,68911,967
Crown Cork & Seal Company199,94911,941
FMC Corporation133,56211,928
Baxano Surgical, Inc.189,81211,911
Teleflex Incorporated48,92511,839
MPLX LP338,14411,838
Alpine Total Dynamic Dividend Fund1,314,64811,832
Charter Communications32,34911,756
Huntsman Corporation427,86411,732
Six Flags Entertainment Corporation New192,03611,703
Hawaiian Telcom Holdco, Inc.121,37811,697
Energen Corporation213,40411,669
Inca One Gold Corporation93,49911,666
Expedition Mining Inc80,99611,659
Maxima Group, Inc.244,35411,658
Concho Resources Inc.88,48711,656
Discovery Communications546,31911,631
Pinnacle Foods Inc201,79411,537
Ramtron International Corporation223,67211,483
Bouygues 359,49111,450
Parsley Energy434,04811,433
Sutherland Asset Management727,56911,423
Coca Cola Icecek Sanayi As273,18711,370
Sherwin-Williams Company (The)31,64411,330
Pacific Booker Minerals Inc.165,55711,291
Total Energy Services Inc.171,74111,249
Splunk Inc.169,18811,239
iShares MSCI Europe Financials Sector Index Fund90,45711,172
D.R. Horton278,22011,109
Honda Motor Company375,74311,107
CoreStream Energy, Inc.192,46311,092
Karelia Tobacco Co Inc177,56711,075
Trinity Industries347,12211,073
CleanPath Resources Corp.194,73811,042
SEI Investments Company180,67411,032
Boston Properties89,71811,025
Leidos Holdings, Inc.185,80011,003
Parametric Technology Corporation195,10010,980
Deutsche Bank Aktiengesellschaft722,46910,931
Koninklijke Philips Electronics264,68010,905
Commerce Bancshares188,47110,888
Independence Holding Company1,063,47210,815
Toyota Tsusho Corp.90,22810,752
NexPoint Credit Stategies Fund465,74810,735
ProShares Trust ProShares UltraShort Nasdaq Biotechnology236,16710,727
Oaktree Capital Group227,60510,709
PVH Corp.84,76010,685
INCEPTION MINING INC.64,83310,665
Post Holdings120,22510,612
Adient Ltd125,67110,555
Teva Pharmaceutical Industries Ltd.599,67010,554
Metals USA Holdings Corp.152,96010,554
Capital One Financial Corp124,11310,507
Icon Media Holdings, Inc.145,26010,491
Blackstone GSO Long Short Credit Income Fund8,414,61810,483
LAS VEGAS RAILWAY EXPRESS, INC.163,15910,468
CNA Financial Corporation208,00810,452
Comverse, Inc.373,54910,396
Metals X, Ltd.322,47010,377
BHP Billiton Limited255,87910,371
Liberty One Lithium Corp.179,63210,338
Fortis287,68210,331
Amex Exploration Inc.446,96310,262
Core Laboratories N.V.103,54110,220
Northern Trust Corporation111,12910,216
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF168,01210,203
Devon Energy Corporation277,55010,189
AMC Networks Inc.174,22410,187
Dr Pepper Snapple Group114,39810,121
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal436,90010,119
FMB Equibanc, Inc.189,93710,110
Advanced Visual Systems, Inc.101,80610,099
Aspen Technology160,19610,062
Shoprite Holdings Ltd.86,35610,060
Ares Capital Corporation613,71410,059
Aercap Holdings N.V.196,59610,048
W.W. Grainger55,87310,044
Hollywall Entertainment Inc.290,16810,035
Central Fund of Canada Limited787,7589,981
PACCAR Inc.137,6199,955
Guidewire Software127,8339,953
iShares Gold Trust807,5439,941
DaVita Inc.167,2739,934
Eaton Vance Tax-Advantage Global Dividend Opp851,0769,924
Franklin Resources222,5809,907
MICRO IMAGING TECHNOLOGY, INC.136,7739,872
Schoeller Bleckmann Oilfield Equipment AG282,5099,848
Brown-Forman Corporation Class B 181,3329,846
HCP352,6339,814
Church & Dwight Company202,5469,813
International Hi-Tech Industries Inc.68,5949,803
FleetCor Technologies63,3379,803
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG227,8709,798
Selective Insurance Group184,6519,796
PowerShares Global Wind Energy Portfolio440,3679,794
Primerica119,6539,758
Cemex S.A.B. de C.V.1,073,0919,744
Bioverativ Inc.170,6249,737
Global X NASDAQ China Technology ETF946,1029,735
Verisk Analytics116,8709,722
SVB Financial Group51,9089,711
Fidelity National Financial204,5959,710
Clough Global Opportunities Fund867,0419,676
Loews Corporation202,0509,670
IAC/InterActiveCorp81,7789,615
ING Group520,3099,584
Iridium Communications Inc1,251,1399,534
Huntington Ingalls Industries41,9779,505
Genuine Parts Company99,3629,504
Torchmark Corporation118,5979,498
Expeditors International of Washington158,3769,480
LMP Capital and Income Fund Inc.650,6009,460
The Ultimate Software Group49,8129,444
American Homes 4 Rent433,1469,404
CF Industries Holdings267,4129,402
Material Sciences Corporation165,3379,391
Lazard World Dividend & Income Fund667,8569,378
CornerWorld Corp.77,5839,360
ICON plc82,1269,353
John Hancock Tax Advantaged Dividend Income Fund361,2359,342
iShares MSCI All Country Asia ex Japan Index Fund114,6419,330
Fortress Paper514,4889,281
AmerisourceBergen Corporation (Holding Co)111,6569,240
Etfs Commodity Securities Ltd.299,5239,200
MGM Growth Properties LLC291,6799,185
Toro Company (The)147,2389,138
Halfords Group Plc181,4429,134
Vail Resorts39,9099,105
Firstrand Limited87,0879,097
Rockwell Diamonds, Inc.51,0439,096
Old Dominion Freight Line82,0419,033
Teledyne Technologies Incorporated56,7319,030
American Airlines Group189,5819,003
New York Community Bancorp Inc698,0638,998
Petrominerales Ltd78,3818,989
Intertainment Media, Inc.104,4978,982
Voestalpine AG84,9748,977
Affiliated Managers Group47,2658,972
Eastman Chemical Company99,1258,970
Annaly Capital Management Inc735,0468,960
IHI Corp53,2608,896
Nordson Corporation74,9928,887
Evans Brewing Co Inc.749,3628,872
SCOTTS LIQUID GOLD INC89,8988,751
AGCO Corporation118,6068,750
Lincoln National Corporation119,0558,748
Sinclair Pharma plc.272,6288,738
Bank Of Montreal114,1428,644
Pinnacle West Capital Corporation102,0958,633
ExactTarget922,7468,628
Deutsche Tele Ag Ads690,0528,602
MainStay DefinedTerm Municipal Opportunities Fund428,2268,595
The GDL Fund840,0498,569
Pimco California Municipal Income Fund II80,2568,568
Software AG58,4978,556
LIBERTY ALL STAR GROWTH FUND INC204,1638,554
Credit Suisse Group541,2168,551
Copart248,3058,534
Tupras Turkiye Petrol Rafinerileri AS138,0038,531
Intuitive Surgical8,1188,490
Banco Bilbao Viscaya Argentaria S.A.949,6748,471
Deutsche Bank AG362,7688,467
Lions Gate Entertainment265,9978,456
ABB Ltd341,3968,450
Liberty Broadband Corporation88,6598,449
Jabil Circuit295,0658,424
PIMCO Income Strategy Fund126,8208,408
Royce Focus Trust810,9218,393
KLA-Tencor Corporation78,9548,369
Nordstrom177,1288,352
ICU Medical44,8948,344
Entertainment Arts Research, Inc.119,4438,330
Universal Health Services75,0688,328
Global Payments Inc.87,5188,317
Dividend and Income Fund645,1208,296
Pinnacle Financial Partners123,6148,276
Hershey75,7648,271
Flaherty & Crumrine/Claymore Total Return Fund Inc311,9368,266
Versum Materials, Inc.212,8908,264
Schindler Holding AG175,7488,225
Premier Inc249,8168,137
Monmouth Real Estate Investment Corporation498,2028,066
Equinix18,0458,053
Flow International Corporation188,5358,030
Diebold350,1148,000
Burlington Stores Inc83,6297,983
Ryanair Holdings Plc75,4797,957
Workday75,3727,943
IGM Financial Inc.321,5517,939
Celanese Corporation75,6977,893
SL Green Realty Corporation77,7077,873
RSP Permian225,8177,811
Knowles510,8257,800
Intertainment Media, Inc.521,4117,796
Validus Holdings158,2697,788
Liberty All-Star Equity Fund1,288,9847,773
United Continental Holdings127,6587,772
Glacier Bancorp204,9247,738
Ohio State Bancshares, Inc.255,4297,727
W.P. Carey Inc.114,5957,723
Varian Medical Systems77,1387,718
BioMarin Pharmaceutical Inc.82,5007,678
CoreSite Realty Corporation68,6077,677
Textron Inc.141,7527,638
Uniti Financial Corp.518,4047,600
Canada Strategic Metals, Inc.262,0667,584
IL2M International Corp.50,6517,561
Five Below137,4927,546
LaSalle Hotel Properties259,9507,544
IShares Plc.129,2197,508
Autoliv60,4347,470
RBC Bearings Incorporated59,6807,469
CITIZENS FINANCIAL GROUP INC/RI196,4627,440
First Trust/Aberdeen Global Opportunity Income Fund285,0647,423
Andeavor Logistics148,0387,411
Worldpay Group PLC104,7637,409
E*TRADE Financial Corporation169,0317,371
Renasant Corporation171,0707,339
Canadian Pacific Railway Limited43,5797,323
Gramercy Capital Corp241,6077,309
FOX FACTORY HOLDING169,3037,297
Travelport Worldwide LTD464,3517,290
Sony Corp Ord194,9717,280
Cullen/Frost Bankers76,2907,241
Graphic Packaging Holding Company518,2797,230
Power Efficiency Corp.242,7447,226
William Demant Holdings359,7227,220
Intuit Inc.50,6477,199
PSL Holdings Ltd128,7387,158
SLM Corporation623,7807,155
Inchcape PLC141,7247,154
Cavium108,1787,133
Semgroup Corporation247,3917,112
PAA Natural Gas Storage335,5117,109
Diamond Bancshares, Inc.76,6577,092
HFF178,9057,077
Pacer International249,0277,066
Benefitfocus,Inc.221,7977,051
Gabelli Dividend313,5927,021
REAL HIP-HOP NETWORK, INC175,1786,990
PulteGroup255,1896,974
Extreme Networks585,9966,967
Genesis Metals Corp.264,1066,959
Summit Materials217,0146,951
NAVIENT CORP461,1806,927
Duff & Phelps Corporation426,7856,927
The Carlyle Group L.P.293,2746,921
Vermilion Energy Inc 193,9786,899
John Hancock Preferred Income Fund184,9606,892
Buckeye Technologies120,8186,887
Nuveen Massachusetts AMT-Free Municipal Income Fund310,9736,882
Portland General Electric Company150,5036,869
Barrick Gold Corporation426,4666,862
HCA Holdings85,8896,836
Williams Creek Gold Ltd.174,5336,789
Limited Brands162,4456,759
Hartford Financial Services Group121,4756,733
West Pharmaceutical Services69,7176,711
LogMein60,6766,677
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal219,6956,674
Enlink Midstream, LLC385,0596,642
AptarGroup76,7866,627
Megacable Holdings SAB DE CV76,6886,616
Oil Optimization, Inc.251,2326,550
Casella Waste Systems347,5236,533
DTE Energy Company60,7896,526
First Trust Energy Income and Growth Fund452,6016,495
PT Indosat Tbk189,0266,484
SBA Communications Corporation44,9776,479
Street Capital Group158,1716,458
Community Service Communications165,8546,453
JPMorgan Chase Bank NA228,2956,442
Whiting Petroleum Corporation1,293,7686,436
Hewlett Packard Enterprise Co433,6916,380
White Mountains Insurance Group7,4336,370
Main Street Capital Corporation160,1906,367
Dollar Tree73,2616,361
Scana Corporation131,0916,357
Donaldson Company137,7796,330
Dril-Quip143,1306,319
IDEXX Laboratories40,5816,310
ServiceNow53,6806,309
Arista Networks, Inc.33,2206,299
SRC Energy650,9696,295
USD Partners LP54,0196,289
NVR2,2016,284
Synopsys77,6756,255
LKQ Corporation173,3956,240
Esperance Minerals NL102,4786,194
Amphenol Corporation72,5056,137
Wright Express Corporation91,8016,127
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund111,6996,110
Physicians Realty Trust342,9546,081
FINISAR CORP305,1416,080
Regency Affiliates, Inc.97,6696,059
Flowers Foods321,3846,045
ON Semiconductor Corporation326,8946,038
Whirlpool Corporation32,6706,027
Central Securities Corporation232,3986,007
NetEase22,7446,000
Sprouts Farmers Market Inc418,3215,990
iShares S&P India Nifty 50 Index Fund174,9295,965
Hasbro61,0065,958
Dreyfus Municipal Bond Infrastructure Fund, Inc.494,8905,932
Littelfuse30,2575,927
Eagle Bancorp88,2165,915
Lincoln Electric Holdings64,4345,907
CNP Assurances SA200,3095,851
Hubbell50,3805,845
Assurant61,0505,832
PriceSmart65,3275,830
Cohen & Steers Dividend Majors Fund57,7535,813
Landmark Infrastructure Partners LP342,3285,802
Fifth Street Senior Floating Rate654,6635,761
RingCentral137,6735,748
Service Corporation International166,4685,743
Sabre Corp316,4265,727
Smith (A.O.) Corporation96,2385,719
Martin Marietta Materials27,6955,712
BofI Holding225,0845,702
Royal Caribbean Cruises Ltd.47,9305,682
Paycom Software75,5895,666
iShares FTSE China (HK Listed) Index Fund128,4635,657
MSCI Inc84,7575,640
Watsco34,9215,625
Aqua Bounty Technologies Inc168,6485,597
Artisan Partners Asset Management171,5845,594
Domtar Corporation128,6155,581
Equity Residential84,2625,555
Allete71,7625,546
Wyndmoor Industries, Inc.52,5985,544
Coach137,5275,540
Banco Santander794,9115,517
CMG HOLDINGS GROUP, INC.17,9175,515
Guggenheim Equal Weight Enhanced Equity Income Fund416,6215,505
Socket Mobile, Inc.98,5645,486
Indofood Agri Resources Ltd.57,2465,483
Hydrocarb Energy Corporation174,8935,476
Synovus Financial Corp.118,7125,468
Victory Square Technologies Inc131,5645,462
Huaneng Power Intl223,1505,449
Illumina27,2725,433
Viacom Inc.194,9035,426
BlackRock Science & Technology Trust222,0515,425
FIRST FIXTURES, INC.210,1525,422
Now Inc392,3425,418
Humet-PBC North America, Inc.22,2315,416
Domino's Pizza Inc27,2695,414
Universal Display Corp41,8215,389
Jumbo SA72,9305,388
Tyson Foods, Inc.76,4265,384
Gardner Denver195,5335,381
Univar Inc.185,8775,377
Aegon NV926,7265,366
Inmarsat Plc.31,0335,333
Control4180,1685,308
Brunswick Corporation94,8235,307
Dell Technologies Inc.68,3135,274
CatchMark Timber Trust, Inc.418,2475,274
Lazard Global Total Return and Income Fund116,3705,262
PayMeOn, Inc.258,1055,234
Leucadia National Corporation207,1845,231
PIMCO Dynamic Income Fund203,1615,218
Cooper Companies21,9855,213
Vectren Corporation79,0145,197
Best Buy Co.113,5695,189
WPP plc55,8395,182
Vanguard Short Term Government Bond ETF104,0925,147
Wisdom International Corp.74,0555,145
Texas Capital Bancshares59,9185,141
Delaware Enhanced Global Dividend431,9725,123
ABAXIS113,8115,082
Sprott Resource Hldgs Inc.485,9715,074
The AES Corporation460,2855,072
Tanger Factory Outlet Centers207,4295,065
Diamond Offshore Drilling349,1755,063
TD Ameritrade Holding Corporation103,7115,061
Blackrock Global371,2335,034
RLJ Lodging Trust228,3385,023
iShares MSCI ACWI Index Fund72,9275,019
Crane Company62,7365,018
Kimco Realty Corporation256,5815,016
James River Group Holdings, Ltd.120,9155,016
John Hancock Preferred Income Fund III152,4675,002
Mitsubishi UFJ Financial Group Inc771,6534,969
United Resource Holdings Group, Inc.35,8074,968
ConAgra Foods147,2084,967
Companhia de Bebidas das Americas - AmBev751,6854,954
Icahn Enterprises L.P.90,2624,953
Franco Nev Corp63,6224,929
Tallgrass Energy Partners, LP108,9884,917
Hexcel Corporation85,5964,915
ENI S.p.A.147,8134,888
VALVOLINE INC208,2934,885
Oshkosh Truck Corporation59,1274,880
China Mobile (Hong Kong) Ltd.95,6814,840
Microsemi Corporation93,8264,830
F5 Networks40,0424,827
Square167,2744,819
Calamos Strategic Total Return Fund396,0084,804
Marvell Technology Group Ltd.267,9084,796
Advanced Micro Devices385,7774,780
Nuveen AMT-Free Municipal Income Fund342,1324,776
CA Inc.222,7784,762
NICE-Systems Limited58,4964,756
Cadence Design Systems120,4064,752
OSI Systems180,4504,739
Olin Corporation138,1784,733
MasTec101,8304,725
Moody's Corporation33,9184,722
Turkcell Iletisim Hizmetleri AS534,7794,717
VGambling Inc.35,0504,706
GWR Global Water Resources Corp.63,4414,695
Western Gas Partners91,2964,682
First Trust NASDAQ ABA Community Bank Index Fund143,8614,658
Ballroom Dance Fitness Inc112,6484,652
The Weir Group214,0924,622
Therapy Cells, Inc.91,1324,612
Infineon Technologies AG 25,8114,607
EXACT Sciences Corporation97,6094,599
Methanex Corporation90,8724,571
Deutsche Telekom160,6114,552
Hercules Technology Growth Capital352,4674,547
Catalent, Inc.113,7694,542
Blackrock Enhanced Government Fund289,5134,516
STARWOOD PROPERTY TRUST207,6384,510
Curtiss-Wright Corporation43,0134,497
LIBERTY SILVER CORP192,8304,493
EnLink Midstream Partners, LP267,9394,491
Nuveen California Dividend Advantage Municipal Fund 3264,3234,483
AMP Ltd.30,1504,478
Armstrong Flooring, Inc.156,6194,469
Nuveen Municipal High Income Opportunity Fund433,0144,434
Planet Fitness163,6214,414
Essex Property Trust17,3724,413
Scientific Metals Corp.148,8074,399
Stamps.com Inc.36,5564,375
Columbia Banking System103,6494,365
KapStone Paper and Packaging Corporation203,1034,365
Cincinnati Financial Corporation56,8484,353
Argo Group International Holdings70,7634,352
Exchange Bank (Santa Rosa, CA)115,2594,329
Coherent18,3784,322
Hi-Crush Partners LP452,3694,298
UNITED INSURANCE HOLDINGS CORP.263,0784,288
Duke Realty Corporation147,5194,251
FSA Group Ltd.82,2454,248
Lennar Corporation80,3634,243
T-Mobile US Inc68,6404,232
Texas Roadhouse85,8204,217
Telefonica SA389,8624,207
The Middleby Corporation32,6874,189
Nuveen Dividend Advantage Municipal Fund 3271,2424,175
The RMR Group129,2784,168
Ctrip.com International115,2094,163
Vanguard Energy Corporation44,3184,147
First Trust NASDAQ-100-Technology Sector Index Fund148,9134,147
Greif Bros. Corporation65,1544,139
Tenneco Automotive68,1834,137
Acadia Healthcare Company86,4254,128
WESCO International70,7884,123
Performance Food Group145,8264,120
Gildan Activewear131,5524,113
Beacon Roofing Supply80,2144,111
Axalta Coating Systems Ltd.141,6744,097
BOK Financial Corporation45,8904,088
BT Group plc211,6114,071
Nuveen Core Equity Alpha Fund261,3634,062
Liberty Broadband Corp43,0544,055
New York Community Bancorp242,1554,051
CH Energy Group87,3684,047
Ollie87,1614,044
Cirrus Logic95,2754,027
Forum Energy Technologies252,4974,015
Gartner32,2504,012
M/A-COM Technology Solutions Holdings89,5603,995
AGNC Investment Corp.184,0613,991
Tyler Technologies22,8603,985
Quest Management Inc.42,2643,958
The Providence Service Corporation118,8263,951
EastGroup Properties44,7403,943
MSA Safety49,5703,941
Barclays Africa Group Ltd2,210,6143,917
VANJIA CORP27,3213,916
Capital Product Partners L.P.1,115,8953,906
Hormel Foods Corporation121,2143,896
Nuveen Credit Strategies Income Fund458,2843,891
Spirit Realty Capital, Inc.453,7873,889
Manhattan Associates93,5523,889
Washington Trust Bancorp67,4683,863
United States Steel Corporation150,2263,855
Fortinet107,4623,851
Mobile Mini111,7913,851
Forest City Realty Trust, Inc.150,8353,848
ANSYS31,2623,837
NN131,4223,811
Mettler-Toledo International6,0363,780
CBRE Clarion Global Real Estate Income Fund478,3763,779
TRI Pointe Homes273,6533,779
Patterson Companies97,7373,778
Noble Energy Inc.133,1023,775
Brighthouse Financial, Inc.62,0193,771
LPBP Inc185,2623,766
Apache Corporation82,0483,758
Econocom Group SA136,4243,757
CASEY CONTAINER CORP34,2863,753
Liberty Media Corporation98,4653,751
Global Technlogies Corp.169,0753,723
Teladoc, Inc.112,1243,717
Allegion PLC 42,9423,713
Prudential Short Duration High Yield Fund242,8383,706
BankUnited104,1343,704
Tower Resources PLC120,3233,698
Pitney Bowes Inc263,7543,695
All Marketing Solutions Inc.57,3003,679
UAN Power Corp.281,6313,672
Hopefluent Group Holdings Ltd206,9493,665
Integrated Research Ltd.72,2043,645
DineEquity84,5763,635
Bank of Nova Scotia (The)56,4293,630
IMPINJ INC87,1523,626
Canadian Natural Resources Limited108,0393,621
WPX Energy314,4773,616
AmTrust Financial Services268,5383,615
Dassault Aviation39,0803,605
Blackstone / GSO Strategic Credit Fund115,9213,596
Acushnet Holdings Corp.202,2983,593
IPG Photonics Corporation19,3793,586
iShares32,1343,564
Dex One Corporation72,0523,525
UA Multimedia, Inc.233,5803,508
ImmunoGen457,7543,502
Miller/Howard High Income Equity Fund247,8463,500
Fresenius Medical Care Corporation71,1523,479
Blackrock Debt Strategies Fund298,0053,478
Atmos Energy Corporation41,4783,477
Seeing Machines Ltd.81,3313,475
Extra Space Storage Inc43,3833,467
Treehouse Foods50,8533,444
Tortoise Energy Infrastructure Corporation118,0453,419
Orix Corp Ads42,1563,412
Potomac Bancshares, Inc.201,9453,407
Jazz Pharmaceuticals plc35,4183,400
Cheniere Energy474,2153,397
Agnico Eagle Mines75,0453,393
Alliance Creative Group, Inc.15,2393,376
Summit Hotel Properties211,1483,376
CBRE Group88,9053,368
Wachovia Corporation2,5593,365
Nuveen Ohio Quality Income Municipal Fund223,0653,364
Blackrock MuniAssets Fund222,9013,361
Gimv Nv Act.498,2353,358
Trans-Pacific Aerospace Company, Inc.67,4743,337
Range Energy Resources, Inc.169,5453,318
QTS Realty Trust, Inc.63,3183,315
Chemical Financial Corporation63,3183,309
Bazaarvoice667,7153,305
Blackrock Corporate High Yield Fund141,3343,303
Magna International61,8593,303
FIRST TRUST MLP & ENERGY INCOME FUND194,0063,302
Gaming Partners International Corporation89,3843,297
Principal Real Estate Income Fund67,1623,296
HealthSonix, Inc.70,9753,290
Knowledge Machine International, Inc.102,3503,265
United Bankshares87,6693,257
WageWorks53,6543,257
Xylem Inc.51,9353,253
Acorda Therapeutics137,5113,252
Advent Claymore Convertible Securities and Income Fund II200,7533,250
iShares II plc.24,4303,247
Compass Biotechnologies Inc.182,5333,240
PBF Energy117,1833,235
Nuveen Build America Bond Opportunity Fund149,2003,203
Qorvo45,1073,188
Ferrum Americas Mining, Inc.103,0933,178
Consolidated Plen Tech Electronics, Inc.187,4413,175
Takeuchi Manufacturing Co., Ltd.31,0023,169
ABM Industries Incorporated75,9063,166
Balchem Corporation38,8743,160
iHeartMedia20,1973,158
Gabelli Multi-Media Trust Inc. (The)312,1633,156
ICICI Bank Limited368,4983,154
Davis & Henderson In138,2113,151
Brookfield Real Estate Services98,7123,137
Synchronoss Technologies334,5823,122
Western Asset Managed Municipals Fund201,6063,121
Royal Boskalis Westminster NV36,1743,113
ABIOMED18,4273,107
Molson Coors Brewing Company37,9613,099
Sirius XM Radio Inc.684,8403,095
Craft Brew Alliance176,0523,090
CM Finance Inc329,0453,077
MSC Industrial Direct Company40,6943,075
Nektar Therapeutics127,9003,070
Enersys44,2703,062
Schneider National, Inc.120,9803,061
Nearmap Ltd.60,7063,053
American Assets Trust76,6633,049
Rexnord Corporation119,8473,045
Hancock Holding Company86,3153,038
Chimera Investment Corporation160,4513,036
Biglari Holdings Inc.9,1033,034
Synaptics Incorporated77,2123,025
PowerShares Global Steel Portfolio201,2793,025
Logitech International S.A.82,5813,012
Nutanix, Inc.134,2963,007
Flexion Therapeutics124,1283,001
iShares S&P Global Clean Energy Index Fund20,9802,987
Blackhawk Bancorp, Inc.68,0772,982
Enbridge Energy186,5372,981
First Priority Tax Solutions Inc.165,0262,977
Invesco Quality Municipal Income Trust232,4822,976
Belden Inc36,9272,974
Incyte Corporation25,4382,970
GGX Gold Corp.292,6622,960
Orbital Corporation Limited22,1942,955
Invesco Van Kampen Senior Income Trust246,1492,934
Eaton Vance Municipal Income Term Trust231,3362,933
Cubic Corporation57,4232,929
Deutsche Euroshop AG54,0022,929
Blackrock Corporate High Yield Fund V Inc240,7882,928
Valeant Pharmaceuticals International229,5602,924
BlackRock Energy and Resources Trust212,5042,918
Zebra Technologies Corporation26,7482,904
Symantec Corporation88,3932,900
Dover Corporation31,7262,899
Intersect ENT, Inc.93,0212,898
Bridge Bancorp85,1812,892
Power Integrations39,4832,890
JetBlue Airways Corporation155,8852,889
CSRA Inc.89,3912,885
Keysight Technologies, Inc.69,0992,879
Amicus Therapeutics190,5642,874
AutoZone4,8262,872
Archrock Partners201,3162,871
Guggenheim Build America Bonds Managed Duration Trust125,8332,869
Nuvo Research Inc188,1452,862
Horizon Pharma225,2802,857
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal43,7162,857
EQT Midstream Partners38,0892,855
Aerie Pharmaceuticals Inc.58,6332,850
NEVRO CORP31,2452,840
Cohn & Steers Inc133,8542,838
Toll Brothers Inc.68,3632,835
JPMorgan Chase Bank NA48,9532,835
Allison Transmission Holdings75,4472,832
Cars.com Inc.106,4032,831
Bigsupersearch.com, Inc.52,8092,829
Tiffany & Co.30,6552,813
Qualys54,2272,809
Signature Bank21,8882,803
Franklin Templeton Limited Duration Income Trust232,7442,795
China Internet Cafe Holdings Group, Inc.49,0872,794
Continental Resources72,3182,792
Aareal Bank AG59,7812,787
Darden Restaurants35,3572,786
Dynagas LNG Partners199,8142,785
ISC8 Inc.24,7402,782
Kayne Anderson MLP Investment Company152,5652,772
South State30,6362,759
Mdu Res Group Inc105,7772,745
Eaton Vance Municipal Income Trust133,9792,743
Fiduciary/Claymore MLP Opportunity Fund211,4452,732
Macy's Inc125,0142,728
The Cheesecake Factory Incorporated64,6172,722
Orange SA165,4912,717
Home Retail Group plc74,2802,714
Helmerich & Payne52,0582,713
AMN Healthcare Services Inc59,3302,711
TDC A/S80,2222,711
C.R. Bard8,4592,711
Black Hills Corporation39,3402,709
Pimco Corporate & Income Stategy Fund26,6552,707
Asbury Automotive Group Inc44,1652,698
VOYA Financial Inc67,3992,689
Live Nation Entertainment61,6792,686
MercadoLibre10,3532,681
PUBLIC SERVICE CO OF COLORADO66,4782,679
Steven Madden61,6742,670
Valley National Bancorp221,3172,667
Alcentra Capital Corp248,5272,662
India Fund99,3432,661
Apollo Global Management87,9812,648
Nuveen Arizona Premium Income Municipal Fund185,6792,643
Banco de Guayaquil SA192,3502,635
Varonis62,5692,622
Quaker Chemical Corporation17,6792,616
CrossAmerica Partners95,9542,615
Bright Horizons Family Solutions Inc30,3232,614
Korn/Ferry International66,1362,608
Booz Allen Hamilton Holding Corporation69,7632,608
XL Group Ltd.65,7172,593
Wells Fargo Advantage Multi-Sector Income Fund193,2102,593
Agree Realty Corporation52,8052,592
CU Bancorp66,7002,586
STMicroelectronics N.V.133,0222,583
Triumph Ventures Corp86,8062,582
Gabelli Global Small & Mid Cap Value Trust193,4752,558
BancorpSouth79,7052,555
FireEye Inc152,2932,554
Tableau Software34,1022,554
Unity Energy Corp.124,0422,553
Southern First Bancshares70,0642,547
Pinnacle Bank119,5392,547
MiMedx Group, Inc.282,3682,545
Westinghouse Air Brake Technologies Corporation33,2702,520
Manulife Financial Corp124,1632,520
Liberty Media Corporation69,0272,519
Western Alliance Bancorporation47,3592,514
Patterson-UTI Energy119,6752,506
PolyOne Corporation62,6142,506
Elbit Systems Ltd.17,0092,500
CoStar Group9,3162,499
EV Charging USA, Inc.166,8312,496
Pacira Pharmaceuticals66,4752,496
International Spirit & Beverage Group, Inc. 53,7542,486
Tallgrass Energy87,6662,477
Nemaura Medical Inc.66,0292,477
American Campus Communities Inc55,9642,471
Kayne Anderson Energy Total Return Fund222,1592,470
INC Research Holdings, Inc.47,1382,465
Sonoco Products Company48,6932,457
RLI Corp.42,7842,454
Spirit Airlines73,3692,451
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal128,9292,446
Dunkin' Brands Group46,0622,445
Ferrari22,0822,439
SSTL, Inc.60,6412,435
Invesco Plc69,3942,432
KBW Inc26,9972,430
Nuveen Arizona Dividend Advantage Municipal Fund173,7202,429
IFAN Financial, Inc.21,8132,428
DoubleLine Income Solutions Fund114,2452,428
Viper Energy Partners LP129,9192,422
iShares MSCI51,6782,422
Helen of Troy Limited24,8692,410
CareTrust REIT, Inc.126,1142,401
Calamos Global Dynamic Income Fund264,1372,388
The Graystone Company, Inc.20,2312,386
lululemon athletica inc.38,3362,386
Alarm.com Holdings, Inc.52,6772,380
Community Trust Bancorp51,1652,379
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp226,7502,372
Consolidated Communications Holdings124,2832,371
Gentex Corporation119,6572,369
Bruker Corporation79,4282,363
ClearBridge Energy MLP Fund Inc.159,1402,362
BHP Billiton plc66,6382,362
Abercrombie & Fitch Company163,3172,358
Anixter International Inc.27,7122,356
First Trust Exchange-Traded Fund II First Trust ISE Global Pla122,4522,349
CalAtlantic Group, Inc.64,1172,349
Easterly Government Properties, Inc.113,6352,349
Kite Pharma, Inc.13,0122,340
IBERIABANK Corporation28,3912,332
Kilroy Realty Corporation32,7842,332
Owens-Illinois92,6232,330
Callon Petroleum Company205,6522,312
Comerica Incorporated30,2322,305
Adecoagro S.A.212,8522,299
Blackbaud26,1722,298
Yandex N.V.69,6442,295
PowerShares NASDAQ Internet Portfolio20,8212,292
America First Mortgage Investments378,3412,289
Merit Medical Systems53,9682,286
Hologic62,2862,285
Cerus Corporation836,7342,284
NewStar Financial88,5282,283
Antero Midstream GP LP72,4112,283
Ferro Corporation102,1542,278
Wildhorse Energy Limited170,7462,274
Lumentum41,7182,267
Prestige Brand Holdings45,1152,260
Hyatt Hotels Corporation36,5342,257
Deutsche Bank AG130,5492,256
POSCO32,4742,254
Golden Valley Bank (Chico, CA)92,4262,253
Evolva Holding AG101,0082,235
DiMi Telematics International, Inc.33,6652,233
Banco Bradesco Sa107,1492,223
Putnam Premier Income Trust417,5442,221
NuVasive39,9802,217
Omnicell43,3472,213
Santeon Group Inc64,8512,211
Paramount Group, Inc.138,1582,211
International Frontier Resources Corp.89,7932,204
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol80,1072,192
Mazor Robotics44,3312,189
Ellsworth Convertible Growth and Income Fund236,4332,189
Ally Financial Inc90,1462,187
Liberty Global66,8382,186
Veeva Systems51,4262,176
Proofpoint24,9392,175
Mitel Networks Corporation256,9582,156
Evercore Partners Inc26,8272,153
Amcol International Corporation146,3152,151
Texas Pacific Land Trust5,3242,151
Lamar Advertising Company31,2922,144
AMERISAFE36,7882,141
Oceaneering International81,4392,139
Triangle Capital Corporation148,9342,127
Entegris73,6762,126
AcuityAds Hldgs Inc.12,3712,119
Reaves Utility Income Fund114,5972,119
Chuy's Holdings100,6282,118
KNOT Offshore Partners LP90,0082,115
Pacific Premier Bancorp Inc55,9092,111
Micro Focus International plc66,1372,110
ECA Marcellus Trust I203,9132,108
USG Corporation64,4152,103
YY Inc.24,1822,099
Wendy's Company (The)134,5132,089
NextEra Energy Partners51,8422,089
Vantage Goldfields Ltd,118,8502,083
Advanced Disposal Services, Inc.82,6392,082
Mellanox Technologies43,9932,074
Tekla World Healthcare Fund142,1162,069
THL Credit Senior Loan Fund118,0362,067
Valmont Industries13,0552,064
El Paso Electric Company37,3352,063
Therapeutics MD Inc389,5632,061
SkyWest46,8662,057
Verint Systems Inc.49,1282,056
Tortoise Pipeline & Energy Fund106,6682,054
Rite Aid Corporation1,042,7182,044
Gulfport Energy Corporation142,3822,042
ProAssurance Corporation37,3552,041
Western Asset High Income Opportunity Fund397,7592,041
MKS Instruments21,5422,035
BlackRock Utility and Infrastructure Trust96,5702,032
Federal Realty Investment Trust16,3592,032
AGIC Equity & Convertible Income Fund98,0252,029
Ingevity Corp32,4332,026
Zions Bancorporation42,8572,022
EMERGING CTA PORTFOLIO LP41,0612,013
M&T Bank Corporation12,4972,013
Ritchie Bros. Auctioneers Incorporated63,6622,013
J.B. Hunt Transport Services18,1102,012
Cal-Maine Foods48,9262,011
Western Asset High Income Fund II Inc.128,8862,004
Sprott Resource238,1422,004
Semtech Corporation53,2171,998
Colfax Corporation47,8701,993
Pearson244,6911,992
Hersha Hospitality Trust106,5221,989
Telecom Italia S.P.A.211,5641,989
HSBC Holdings plc75,3281,988
Community Svgs Bancorp Inc77,2691,977
Gamestop Corporation95,4671,972
PIMCO Commercial Mortgage Securities Trust37,7161,969
HMS Networks AB99,0261,967
Royce Micro-Cap Trust209,3581,964
Ambarella39,9831,960
Sun Communities22,8771,960
U.S. Silica Holdings63,0541,959
Invesco Municipal Premium Income Trust150,5371,959
HEALTHEQUITY INC38,6841,957
Eaton Vance Enhance Equity Income Fund130,5691,951
AutoNation41,0571,949
DoubleLine Opportunistic Credit Fund81,0751,949
JPMorgan Chase Bank NA34,3821,938
Exponent26,1651,934
Axon Enterprise85,1711,931
EMCOR Group27,7711,927
Hannon Armstrong Sustainable Infrastructure Capital, Inc.78,4431,912
Primoris Services Corporation64,7711,906
Trex Company21,1641,906
Sunoco61,1531,902
Medidata Solutions24,3531,901
Applied Industrial Technologies28,7541,892
Etfs Commodity Securities Ltd.116,3701,892
Williams-Sonoma37,8561,888
Globus Medical63,4201,885
Imerjn Inc.35,8761,878
Virtus Total Return Fund143,5901,872
3D Systems Corporation139,4361,867
Commonwealth Business Bank (Los Angeles, CA)14,7171,862
CyberArk Software45,3781,860
H. B. Fuller Company32,0141,859
Evolution Petroleum Corporation257,4171,853
Bio-Rad Laboratories8,3251,850
Snap Inc160,1881,847
Vistra Energy Corp.98,5751,842
Jernigan Capital, Inc.89,6321,842
U.S. Stem Cell, Inc.30,1621,837
Jacobs Engineering Group Inc.31,5101,836
Total Telcom, Inc.251,2461,832
Quanta Services49,0181,832
Dermira, Inc.67,8351,832
Corcept Therapeutics Incorporated94,7481,829
Integrated Drilling Equipment Holdings Corp.68,5501,822
United Community Financial Corp.63,6491,817
Prudential Global Short Duration High Yield Fund, Inc.121,1421,809
ADVANCED MEDICAL ISOTOPE Corp26,7361,808
VeriSign16,9861,807
Enstar Group Limited8,0981,801
Ellies Holdings Limited21,8511,795
Aramark44,1641,794
Ramco-Gershenson Properties Trust137,6571,791
Lexington Realty Trust175,0311,789
First Trust72,2181,785
Scudder High Income Trust41,9331,784
Nuveen Quality Preferred Income Fund 2170,7061,777
US-Dadi Fertilizer Ind International Inc.29,5941,777
Central Europe and Russia Fund55,1311,774
Lithia Motors14,7241,771
Access National Corporation61,7591,770
NutriSystem Inc31,5681,765
Madison Ventures Inc.8,2431,765
Spectrum Brands Holdings16,6211,760
Chatham Lodging Trust (REIT)82,5581,760
Phillips 66 Partners33,4091,756
Jefferies Group1,754,0001,756
Pan American Silver Corp.102,8811,754
Nuveen Energy MLP Total Return Fund145,4211,754
NCR Corporation46,7381,754
BlackRock Credit Allocation Income Trust I127,7721,734
BGS Acquisition Corp.24,8321,725
Calamos Convertible and High Income Fund144,1081,715
Eaton Vance Tax-Advantaged Bond150,2101,714
Blackrock Muni Intermediate Duration Fund Inc120,8661,713
Reliance Infrastructure Ltd.22,4691,711
Indianapolis Power & Light Co.51,8991,705
Embraer-Empresa Brasileira de Aeronautica75,3521,704
American States Water Company34,5891,703
Morgan Stanley China A Share Fund Inc.71,1061,697
Wheaton Precious Metals88,1201,682
BlackRock Multi-Sector Income Trust89,8691,681
Sturm32,4351,678
Goldman Sachs MLP Income Opportunities Fund215,4041,677
Bioheart, Inc.13,8471,674
iShares17,6981,672
Opko Health Inc243,7891,672
UAN Cultural & Creative Co., Ltd.35,4431,661
American Equity Investment Life Holding Company56,8401,653
Fortune Brands Home & Security24,4591,644
Eaton Vance Limited Duration Income Fund117,1121,643
Integer Holdings Corporation32,0961,642
VALE S.A.163,0941,642
Penske Automotive Group34,4481,639
KB Financial Group Inc33,4311,639
Dorman Products22,8521,637
Golub Capital BDC86,6991,632
Bankshares Fayetteville Inc.1,2551,632
Eaton Vance Enhanced Equity Income Fund II116,0471,627
ADAMANT DRI PROCESSING & MINERALS GROUP82,5841,623
Cott Corporation107,9421,620
Eagle Energy Trust15,1311,615
Nuveen Preferred and Income Term Fund63,9321,610
Gold Reserve Inc28,9981,609
Clough Global Equity Fund118,6381,609
Eaton Vance Tax-Advantaged Global Dividend Income Fund65,4181,607
Western Asset Bond Fund142,1761,604
Aceto Corporation142,6331,602
Royal Bank Of Canada219,5921,599
Western Asset Managed High Income Fund101,5811,599
Park National Corporation14,7701,595
Heska Corporation18,0961,594
Brandywine Realty Tr90,7581,587
Clipper Realty Inc.148,0721,586
MUELLER WATER PRODUCTS123,6631,583
Discovery Communications78,0881,582
Superior Energy Services148,0701,581
Cheniere Energy Partners LP Holdings, LLC54,6701,576
Nuveen Intermediate Duration Quality Municipal Term Fund117,6431,574
TCP Capital Corp.95,4251,574
AllianzGI Diversified Income & Convertible Fund72,9731,568
MFS Multimarket Income Trust250,3941,562
Carrizo Oil & Gas91,0201,559
Universal Electronics Inc.24,5121,554
BlackRock Resources174,4201,551
Carmax Mining Corp.20,4541,551
Putnam Managed Municipal Income Trust204,5891,547
MGIC Investment Corporation122,9621,541
Steelcase Inc.99,5441,533
La Jolla Pharmaceutical44,0761,533
Vulcan Materials Company12,7901,530
Nuveen Global Government Enhanced Income Fund115,6521,527
Kennametal Inc.37,7701,524
Alpine Global Premier Properties Fund229,5251,522
BioTelemetry, Inc.46,1341,522
Huntington Bancshares Incorporated1,0281,521
Harley-Davidson31,5121,519
BlackRock Municipal Target Term Trust Inc. (The)66,9391,518
WellCare Helath Plans8,8331,517
United Fire Group32,9901,512
Transdigm Group Incorporated5,9091,511
Noble Corporation328,2091,510
Arconic60,5621,507
Frontier Communications Corporation127,7251,506
Teradyne40,3471,505
RPM International Inc.1,305,0001,504
Blackrock Diversified Income Strategies Fund21,7681,503
Campbell Soup Company32,0801,502
SPX38,8631,499
Invesco Van Kampen Trust for Investment Grade Municipals121,4461,495
Albany International Corporation26,0081,493
POWERSHARES DB US DOLLAR INDEX BEARISH FUND96,4421,485
Ares Capital Corporation1,450,0001,483
Webster Ltd.28,2251,483
Eaton Vance Tax-Managed Global Diversified Equity Income Fund96,3391,476
PDC Energy29,9381,468
Knight Knox Development Corp.35,2621,465
Gabelli Equity Trust225,2011,464
Schawk41,6181,463
Cavco Industries9,9101,462
Hospitality Properites Trust51,1171,456
Tortoise MLP Fund80,2841,455
Caesars Entertainment Corporation108,5151,449
Pioneer Municipal High Income Advantage Trust124,8981,443
Jones Lang LaSalle Incorporated11,6591,440
Camden National Corporation32,9551,438
Everest Re Group6,2861,436
LTC Properties30,5281,434
Alpine Global Dynamic Dividend Fund134,5851,428
HD Supply Holdings, Inc.39,5221,426
Invitation Homes Inc.62,8371,423
Regal Beloit Corporation17,8431,410
Lamb Weston Holdings, Inc.30,0281,408
Atlas Air Worldwide Holdings21,3741,406
Aeolus Pharmaceuticals, Inc.98,0361,402
Playa Hotels & Resorts N.V.134,2861,401
First Majestic Silver Corp.204,5061,399
Union Equity, Inc.39,6431,399
Columbia Seligman Premium Technology Growth Fund62,6021,399
Match Group, Inc.60,2731,398
Nuveen Floating Rate Income Fund119,1531,395
Infinera Corporation157,2871,395
Blucora55,0001,392
Houston Wire & Cable Company264,7911,390
Neurocrine Biosciences22,6761,390
Hudson Pacific Properties41,4431,390
SeaWorld Entertainment Inc.106,9261,389
John Bean Technologies Corporation13,7271,388
Suburban Propane Partners53,0221,383
Penn National Gaming59,0671,382
Rollins29,8371,377
Pitooey!, Inc.35,9451,377
Blue Wolf Mongolia Holdings Corp.48,4801,374
Boardwalk Pipeline Partners L.P.93,1911,370
South Jersey Industries39,6881,370
National Instruments Corporation32,4941,370
SPS Commerce24,1031,367
BLACKROCK LTD DURATION INCOME TRUST84,7371,365
Chesapeake Energy Corp.317,2561,364
Welbilt59,0581,361
Dave & Buster's Entertainment25,8361,356
iShares S&P Global Timber &Forestry Index Fund20,3041,356
db x-trackers Sicav33,3291,351
Advent Claymore Convertible Securities and Income Fund156,7271,349
AvalonBay Communities7,5461,346
United Dominion Realty Trust35,3701,345
ORBCOMM Inc.127,6911,337
First Sentry Bancshares Inc.29,1131,336
Visteon Corp.10,7161,326
National Retail Properties31,7791,324
CDK Global, Inc.20,9491,322
Alexandria Real Estate Equities11,0801,318
StoneMor Partners L.P.202,1211,318
Capstead Mortgage Corporation136,5181,317
Corporate Office Properties Trust40,1271,317
Dreyfus Strategic Municipals149,6211,315
Platform Specialty Products117,8601,314
Power Amers Minerals Corp.29,7231,312
Builders FirstSource72,8661,311
Benchmark Electronics38,3211,309
Western Asset Global Partners Income Fund71,6821,307
WesBanco31,8561,307
Southwest Iowa Renewable Energy, LLC213,6261,305
Eaton Vance Corporation26,4221,304
Nuveen Michigan Dividend Advantage Municipal Fund51,1191,296
America Movil72,9841,295
Syntel65,8771,294
Neuberger Berman Intermediate Municipal Fund Inc.84,1941,293
Yelp Inc.29,8401,292
Athene Holding Ltd23,8741,285
Stepan Company15,3641,285
Evermedia Group, Inc. (The)76,5271,282
Skechers U.S.A.50,9921,279
Alkermes plc25,1311,278
Towne Bank38,1281,277
WD-40 Company11,4031,276
CSI Compressco244,6541,275
Senior Housing Properties Trust65,1481,274
iRobot Corporation16,5211,273
First Midwest Bancorp54,2931,272
Commercehub Inc56,2201,269
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd130,3471,268
TPI COMPOSITES, INC56,6651,266
Maiden Holdings158,3081,259
Neuberger Berman High Yield Strategies Fund103,4491,258
Sterling Bancorp50,7471,251
Iren SPA8,0541,251
Nuveen Diversified Dividend and Income Fund97,1731,250
Lannett Co Inc67,6821,249
Copa Holdings9,9961,245
Dime Community Bancshares57,7661,242
KTL Bamboo International Corp.89,5691,242
First American Minnesota Municipal Income Fund II24,7581,237
Brooks Automation40,6031,233
Plumas Bancorp58,8621,230
Tech Cent Inc.15,3721,228
Red Robin Gourmet Burgers18,2681,224
Nuveen New Jersey Dividend Advantage Municipal Fund91,6561,223
M.D.C. Holdings36,8301,223
Community Bank System22,1211,222
Advent/Claymore Enhanced Growth & Income Fund195,6341,221
Blackberry109,2561,221
WisdomTree Investments119,8301,220
Western Asset Municipal Partners Fund53,7331,220
Stifel Financial Corporation22,7581,217
Blackrock MuniYield New Jersey Quality Fund79,5361,211
Black Stallion Oil & Gas Inc.69,6761,208
Houghton Mifflin Harcourt Co100,2741,208
ANI Pharmaceuticals22,9901,207
Mack-Cali Realty Corporation50,8111,205
Adventure Gold, Inc.14,8881,202
Ligand Pharmaceuticals Incorporated8,7521,192
PAREXEL International Corporation13,4931,188
The Cushing Royalty & Income Fund63,3471,185
CubeSmart45,4921,181
Monroe Capital82,4261,180
Grand Canyon Education12,9901,180
MFS Charter Income Trust136,0391,179
Sanmina-SCI Corporation31,7391,179
Stag Industrial42,6851,173
Schweiter Technologies AG Horgen35,0351,173
Avenue Income Credit Strategies Fund79,5021,173
Blackrock MuniEnhanced Fund98,5421,170
NexPoint Residential Trust, Inc.49,3251,170
iShares II plc.31,2401,169
Anthem193,2541,160
HUBSPOT INC13,8021,160
Western Lucrative Enterprises, Inc.149,3711,158
CNH Global N.V.96,3131,156
AdvanSix Inc.29,0611,155
Brown Forman Corporation20,6721,151
Western Asset Mortgage Defined Opportunity Fund Inc82,1361,150
Royal Alliance Ventures Corp.44,7751,150
TEGNA86,0871,148
ViewRay, Inc.199,2001,147
EEStor Corporation32,5291,138
Nuveen Municipal Value Fund83,4491,136
Sterling Construction Company Inc74,5831,136
Blackrock Floating Rate Income Strategies Fund Inc79,0191,135
U.S. NeuroSurgical, Inc.14,8551,133
Sarepta Therapeutics24,8811,129
Rayonier Inc. REIT39,0401,128
Outfront Media44,8051,128
RIVERNORTH OPPORTUNITIES FUND, INC.54,6081,127
Carrols Restaurant Group103,3671,127
Gladstone Capital Corporation118,1521,122
Stellus Capital Investment81,2141,109
Cohen & Steers MLP Income & Energy Opportunity Fund105,8411,104
Arkose Energy Corp.32,1651,103
Baker Hughes a GE Co30,1021,102
Michaels Stores Inc51,1171,097
Western Refining42,4101,094
Vipshop Holdings Limited123,6791,087
Trimble Navigation Limited27,7031,087
Highlands Bankshares, Inc.59,1971,083
Fidelity National Financial56,4461,081
Terreno Realty Corporation29,8211,079
Evolution Technology Resources Inc.62,6431,077
Desert Gold Ventures Inc.24,7311,076
Woodward13,8481,075
Hess Midstream Partners LP22,8791,073
Scholium Group PLC26,0561,072
Entercom Communications Corporation93,4721,070
New England Service Co.78,3061,069
Norbord28,0361,068
GrubHub20,2331,065
CRH PLC28,0831,063
NetScout Systems32,6651,057
TG Therapeutics, Inc.89,1951,057
YPF Sociedad Anonima47,3391,055
China Fund51,7741,054
PLAINS GP HOLDINGS LP48,1801,054
Cracker Barrel Old Country Store6,9321,051
Armada Hoffler Properties, Inc.76,1341,051
New Mountain Finance Corporation73,2781,044
AGIC Convertible & Income Fund II167,0041,044
Two Harbors Investments Corp103,2681,041
Teck Resources Ltd83,2201,039
PRA Health Sciences, Inc.13,6341,039
Imax Corporation45,8621,039
MaxLinear43,6331,036
TC PipeLines19,8081,036
CBIZ61,5561,034
Cohen & Steers Limited Duration Preferred and Income Fund38,5411,033
Lifestyle Medical Network Inc.12,6321,033
Cornerstone OnDemand25,4231,032
Praxsyn Corporation35,8841,028
SunOpta117,8121,025
NRG Yield52,6751,017
Nustar Energy L.P.25,0521,017
Vanc Pharmaceuticals, Inc.79,3851,014
Government Properties Income Trust53,9081,012
Carolina Trust Bank28,1611,010
Blackrock MuniYield Michigan Quality Fund70,3621,008
Fiat56,2541,007
InterXion Holding N.V.19,7701,007
Ormat Technologies16,4501,004
Turning Point Brands, Inc.59,0551,004
Imperva23,0841,002
Carlisle Companies Incorporated9,9781,001
Silicon Motion Technology Corporation20,8481,001
Group Ten Metals Inc.39,452999
Teva Pharmaceutical Industries Limited1,108,000999
Eaton Vance Risk-Managed Diversified Equity Income Fund105,639996
Invesco Van Kampen High Income Corporate Bond Fund221,056993
Cypress Semiconductor Corporation65,885990
Reading International Inc62,933989
Nuveen Pennsylvania Investment Quality Municipal Fund72,750986
THL Credit105,431984
Nanometrics Incorporated34,032980
Federated Investors32,903977
Neuberger Berman Real Estate Securities Income Fund173,523973
Empire Resorts43,325968
Alliance Capital Management Holding L.P.39,790967
Prospect Capital Corporation143,866967
Cabot Oil & Gas Corporation36,104966
Apple Green Holding, Inc.51,073966
Schiff Nutrition International32,322965
NGL ENERGY PARTNERS LP83,029959
Sprott Resource Lending Corp.152,079955
Restaurant Brands International Inc.14,932954
Nuveen California Investment Quality Municipal Fund60,414953
Invesco Van Kampen Bond Fund47,520951
Voya SENIOR INCOME FUND143,706948
NFJ Dividend70,702947
QEP Resources109,512939
Summit Midstream Partners46,950939
Nu Skin Enterprises15,253938
Development Capital Group, Inc.102,352938
Gentherm Inc25,245938
Amplify Energy Corp.25,696937
Tahoe Resources177,653936
Japan Smaller Capitalization Fund Inc74,501935
INTREXON CORP49,129934
Knoll46,693934
Multiplex European Property Fund, Sydney NSW48,022932
Blackrock MuniYield Quality Fund60,328930
Bank of Hawaii Corporation11,136929
Hilton Worldwide Holdings Inc.13,361928
Associated25,940926
Cresud S.A.C.I.F. y A.49,513924
Newtek Business Services Inc.51,806923
ALLIANCEBERNSTEIN L.P.70,186916
Fitbit131,506915
Sensient Technologies Corporation11,880914
Oclaro105,739913
RPC36,711910
United States Oil Fund, LP130,503906
USA Compression Partners, LP 54,209906
American Financial Group8,744905
Aberdeen Asia-Pacific Income Fund Inc174,135899
BroadSoft17,805896
Pembina Pipeline Corp.25,533896
Columbia Sportswear Company14,534895
Level 3 Communications16,730892
CNOOC Limited6,876892
YRC Worldwide84,183890
Triton International Ltd26,715889
Bank of Commerce Holdings (CA)77,326889
EDGEWELL PERSONAL CARE Co12,181887
Red Rock Resorts, Inc.575,000885
Eaton Vance Corporation39,022885
Sage Therapeutics, Inc.14,167883
Entegra Financial Corp.35,153877
Canon Marketing Japan Inc.25,425873
CRISPR Therapeutics AG48,660870
CAE Inc49,579869
Calamos Convertible Opportunities and Income Fund75,357869
Macquarie Global Infrastructure Total Return Fund Inc.33,066869
Gap29,378868
ProPetro Holding Corp.60,296865
Farmland Partners Inc.95,624864
ATRION Corporation1,278861
Surgery Partners, Inc.83,111860
STORE CAPITAL Corp34,470857
Deutsche Bank AG (London Branch)67,328856
Upland Software, Inc.40,377854
iShares FTSE Developed Small Cap ex-North America Index Fund15,176853
Goldman Sachs BDC, Inc.37,221849
Crestwood Equity Partners LP34,770848
Putnam Municipal Opportunities Trust67,133848
Zoeller Co.67,058847
Cotiviti Holdings, Inc.23,526846
Charter Oak Bank21,383839
First Trust Energy Infrastructure Fund15,618838
Xerox Corporation25,130837
Tempur-pedic International Inc12,958836
Open Text Corporation25,876836
Blackrock MuniYield Fund55,307833
Silver Spruce Resources Inc.33,695829
MOPALS.COM, INC.26,337825
Nuveen Tax-Advantaged Total Return Strategy Fund48,950824
Great Lakes Dredge & Dock Corporation169,273821
A.H. Belo Corporation24,040821
Omeros Corporation50,598819
Ares Dynamic Credit Allocation Fund, Inc.49,873818
Union Bankshares16,897818
Nuveen California Dividend Advantage Municipal Fund68,888815
Bancroft Convertible Fund37,238815
Selective Insurance Group15,076812
Draftteam Daily Fantasy Sports Corp.22,728811
UMB Financial Corporation10,876810
Federated Premier Intermediate Municipal Income Fund59,519810
Seritage Growth Properties17,582810
Enviva Partners, LP27,287806
theScore Inc.24,330803
Ship Finance International Limited55,145800
ProSiebenSat.1 Media SE33,000796
Kennedy-Wilson Holdings Inc.42,568790
TRIMOL GROUP INC11,632790
HSN20,204789
GW Pharmaceuticals7,746786
Titan International77,392786
Acacia Communications, Inc.16,638784
SolarEdge Technologies27,473784
Pegasystems Inc.13,553781
Martin Midstream Partners L.P.50,085779
TPG Specialty Lending, Inc.37,001776
Guggenheim Credit Allocation Fund33,285772
BJ's Restaurants25,346772
Smith & Nephew SNATS21,212772
Far Eastone Telecommunication Co., Ltd.61,161771
Templeton Global Income Fund66,386768
R.G. Barry Corporation74,559768
Illumination Amer Inc700,000767
Diplomat Pharmacy, Inc.37,024767
Home BancShares30,376766
Nuveen Dividend Advantage Municipal Fund48,242766
LAUREATE EDUCATION, INC.52,575765
Malibu Boats23,971758
Blackrock MuniHoldings Investment Quality Fund51,011755
NEW GOLD INC.222,528754
Euronet Worldwide7,894748
FNB Bancorp, Inc.22,029747
K2M Group Holdings35,158746
Horizon Technology Finance Corporation42,160744
Realogy Holdings22,561743
Nuveen Maryland Premium Income Municipal Fund57,933743
Zayo Group Holdings, Inc.21,568742
8point3 Energy Partners LP49,349742
Cohen & Steers Total Return Realty Fund59,133737
FIBROGEN INC13,678736
Nabors Industries Ltd.91,099735
FRANKLIN FINANCIAL NETWORK INC.20,608735
Trade Desk, Inc.11,927734
Essent Group18,128734
Agora Holdings, Inc.19,387732
Nuveen Michigan Quality Income Municipal Fund52,982726
Weibo7,339726
Akebia Therapeutics, Inc.36,838725
Dolan Company (The)14,626724
CENTER COAST MLP & INFRASTRUCTURE FUND68,515724
GDS Holdings64,246723
Pick n' Pay Stores Ltd.23,267721
Medpace Holdings, Inc.22,405715
Ryder System8,381709
Westar Energy14,205705
Berkshire Hills Bancorp18,169704
First National Bankshares Corp.15,163703
Neuberger Berman California Intermediate Municipal Fund Inc.73,850702
Invesco Van Kampen Advantage Municipal Income Trust II60,938701
Americas Silver Corporation17,526697
LIVEWIRE ERGOGENICS INC.29,723697
Exelixis28,766697
Legg Mason BW Global Income Opportunities Fund Inc.51,737695
ICHOR HOLDINGS, LTD.25,800691
Tivity Health16,911690
Perrigo Company8,087685
Informa46,973685
Blackrock MuniVest Fund II70,493684
Penumbra Inc7,559683
Morgan Stanley Emerging Markets Domestic Debt Fund39,157681
Nuveen Global High Income Fund39,007678
Water Technologies International,Inc.23,797678
De La Rue PLC 12,328677
Morgan Stanley Asia-Pacific Fund39,298677
ANTERO RESOURCES Corp33,954676
GAMCO Global Gold120,509676
SM Energy Company37,815671
Ultra Clean Holdings21,845669
LivePerson49,265668
New York Community Bancorp15,820667
Brookfield Incorporacoes SA49,370667
Blackrock Corporate High Yield Fund III19,027667
Murphy Oil Corporation25,076666
CenterState Banks24,796665
Holly Energy Partners19,883664
Janus Capital Group13,166663
Cato Corporation (The)49,878660
Peoples Bancorp of North Carolina18,478658
Alliance Resource Partners33,937657
SodaStream International Ltd.9,867656
THEDIRECTORY.COM, INC.7,765654
iShares Oil Sands Index ETF11,068650
Atlassian Corporation18,432648
Camping World Holdings15,902648
Chemed Corp.3,183643
Kulicke and Soffa Industries29,750642
Cornerstone Strategic Value Fund43,187640
Almaden Minerals555,933639
BC Moly Ltd.5,564637
Iridium Communications Inc1,761635
Dualex Energy International, Inc.12,478633
BELLICUM PHARMACEUTICALS, INC54,525630
Vector Group Ltd.30,771630
GoPro, Inc.57,004628
Cleveland BioLabs87,742627
VirnetX Holding Corp160,430626
BWX Technologies11,154625
Valhi257,300625
Civeo Corp219,001624
WESTLAKE CHEMICAL PARTNERS LP18,781621
National Beverage Corp.4,994620
iShares S&P Global Nuclear Index Fund18,153617
Cameco Corporation63,759617
Silgan Holdings20,929616
Energizer Tennis Inc.13,326614
Liberty Expedia Holdings, Inc.16,497612
Invesco Value Municipal Income Trust40,912612
Virtus Global Multi-Sector Income Fund42,016610
TWILIO INC20,442610
Avangrid, Inc.12,851609
American Potash Corp.4,986609
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF6,416605
GLAUKOS Corp18,332605
Managed Duration Investment Grade Municipal Fund32,881605
Convergys Corporation23,202601
Nokia Corporation100,204599
CBOE Holdings5,556598
Tech Data Corporation6,736598
Bloomin' Brands33,937597
Lennox International3,321594
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal11,867593
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal15,832591
Hoegh LNG Partners LP31,800590
Rockwell Medical68,926590
Biohaven Pharmaceutical Holding Co Ltd.15,751589
JPMorgan Chase Bank NA10,820585
Genesco Inc.21,966584
MarineMax35,064580
WisdomTree Middle East Dividend Fund15,552579
Meta Financial Group7,388579
Highwoods Properties11,117579
Arch Coal8,038577
BLACKROCK INTERNATIONAL87,957577
Quanta Computer, Inc.12,675577
Cathay Pacific Airways, Ltd.14,280574
Aimmune Therapeutics, Inc.23,068572
ING Emerging Markets High Dividend Equity Fund60,291572
Weingarten Realty Investors17,966570
NewMarket Corporation1,335568
Blackrock Municipal 2018 Term Trust37,676566
Buffalo Wild Wings5,332564
Hilltop Holdings Inc.21,702564
Hawaiian Electric Industries16,830562
Blackrock Municipal Income Quality Trust38,251562
VEREIT67,436559
IDACORP6,356559
DEWEY ELECTRONICS CORP7,666559
State Bank Financial Corporation.19,504559
Blackrock Core Bond Trust39,629557
Veeco Instruments Inc.25,983556
GasLog Partners23,855555
Cambrex Corporation10,066554
Yirendai13,154552
Marriot Vacations Worldwide Corporation4,425551
Cohen & Steers Closed-End Opportunity Fund41,699550
Nuveen California Select Quality Municipal Fund39,843547
Dynamics Research Corporation54,837543
MFS California Insured Municipal Trust103,530542
Aclaris Therapeutics, Inc.20,995542
Sprague Resources21,916539
Nuveen California Dividend Advantage Municipal Fund 236,052538
Blackrock Municipal Bond Trust34,615538
Nathan's Famous7,260537
Jack In The Box Inc.5,252535
Rightmove Plc49,719535
WhiteHorse Finance36,077532
ZTO Express37,905532
Kite Realty Group Trust26,214531
Meritor20,359530
Eldorado Resorts, Inc.20,648530
Golar LNG Partners LP22,836530
ETFS Precious Metals Basket Trust8,375530
Michael Kors Holdings Limited11,060529
Hancock Fabrics, Inc.24,125529
Nuveen Intermediate Duration Municipal Term Fund39,948528
PIMCO Municipal Income Fund III40,154528
Energy Revenue America, Inc.21,340526
Blackrock Capital and Income Strategies Fund Inc500,000523
Norwegian Cruise Line Holdings Ltd.9,655522
ETFS Platinum Trust5,947519
TIER REIT INC26,851518
The Hanover Insurance Group5,332517
Blackrock Health Sciences Trust14,172517
Subsea 7 SA ADR 4,881517
bluebird bio, Inc.3,756516
Spirent Communications Plc.6,889514
Meredith Corporation9,256514
Provident Financial Services19,265514
Equity Lifestyle Properties6,006511
ClearBridge Energy MLP Opportunity Fund Inc.41,867510
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.59,391509
Nuveen S&P 500 Dynamic Overwrite Fund57,231509
Nuveen Real Asset Income and Growth Fund28,163507
Rent-A-Center Inc.70,375507
Calamos Dynamic Convertible & Income Fund24,604507
TESARO3,917506
One Liberty Properties20,743505
VOYA INSURANCE & ANNUITY CO.96,651505
Trustmark Corporation15,218504
Preferred Bank8,333503
Nuveen Select Tax Free Income Portfolio II33,094502
Blackrock MuniHoldings New York Quality Fund34,388501
OraSure Technologies22,236500
National Health Investors6,428497
Accelerate Diagnostics, Inc.22,042495
Revolution Lighting Technologies, Inc.75,110488
The Medicines Company13,171488
Brookfield Renewable Energy Partners L.P.14,545488
Simmons First National Corporation8,412487
Vornado Realty Trust6,321486
Schuff International, Inc.9,270485
Telefonica Deutschland Holding AG30,547484
Ladenburg Thalmann Financial Services Inc167,996484
Invesco Van Kampen California Value Municipal Income Trust36,034483
Kinsale Capital Group, Inc.11,195483
Select Income REIT20,627483
Sasol Ltd.17,506482
Generac Holdlings Inc.10,420479
Blackrock MuniYield California Fund31,022479
CONE Midstream Partners LP30,151478
Massachusetts Health and Education Tax-Exempt Trust100,452477
Avista Corporation9,147474
Stratasys20,424472
Crown Castle International Corporation440470
Morgan Stanley25,679470
Amphastar26,218469
Insperity5,323468
Universal Corp.8,156467
Cimpress4,774466
Guggenheim Strategic Opportunities Fund21,866466
Nexstar Broadcasting Group7,436463
Materion Corporation10,736463
Gemphire Therapeutics Inc.48,551461
RHB Capital6,522459
Sina Corporation3,996458
Green Plains Partners LP22,598454
Mobile TeleSystems43,415453
Sun Life Financial Inc.11,325451
USA Truck32,000450
Delek US Holdings16,687446
Frontline Ltd.73,613445
Signet International Holdings, Inc.6,632441
Ocwen Financial Corporation128,000440
Bojangles32,540439
Thermon Group Holdings24,416439
Eaton Vance Ohio Municipal Income Trust31,998435
Charles River Laboratories International4,022434
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal10,500434
Teekay LNG Partners L.P.24,285432
Gigamon, Inc.10,244432
Kayne Anderson Acquisition Corp29,255430
Cloudera, Inc.25,846430
Legg Mason, Inc.14,195430
Ituran Location and Control Ltd.11,885429
Western Asset Municipal Defined Opportunity Trust Inc20,226429
Salient Midstream37,101429
Apollo Investment Corporation70,148429
CHS Inc47,849428
Nuveen Municipal Income Fund37,118428
Infinity Energy Resources, Inc.13,182427
Apogee Enterprises8,853427
Urban Outfitters17,835426
First Commonwealth Financial Corporation30,107425
Micronic Laser400,000425
GAMCO Natural Resources60,624424
Pope Resources6,022423
Western Asset High Yield Defined Opportunity Fund Inc.58,596422
Genomic Health13,113421
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 236,318419
Juno Therapeutics, Inc.9,337419
Cray Inc21,475418
Preferred Plus Trust Ser QWS 2 Tr Ctf22,106417
Lexicon Pharmaceuticals33,829416
CommScope Holding Company, Inc.12,524416
American Realty Investors10,780416
Liberty Property Trust10,106415
Potlatch Corporation8,129415
Blackrock MuniYield Quality Fund II31,047414
Petroleo Brasileiro S.A.- Petrobras41,088413
Fifth Street Finance Corp.75,520413
RAYONIER ADVANCED MATERIALS INC.30,046412
Telephone and Data Systems14,771412
UMH Properties26,519412
Noah Holdings Ltd.12,760410
Radius Bancorp Inc.10,532406
ASA Gold and Precious Metals Limited34,143406
New York Times Company (The)33,216403
Foothills Exploration, Inc11,381401
Vedanta Res Plc20,686400
Nuveen Equity Premium and Growth Fund25,583400
Northern Offshore15,509399
Blackrock California Municipal 2018 Term Trust27,406398
Commercial Metals Company20,727394
TripAdvisor9,727394
LCI Industries3,402394
Progenics Pharmaceuticals Inc.53,378393
Achillion Pharmaceuticals87,450393
Atara Biotherapeutics, Inc.23,606391
Opus Bank16,256390
Canadian Mining Company Inc.23,170390
Papa Bello Enterprises, Inc.5,291387
Cohen & Steers Select Preferred and Income Fund13,712387
Pattern Energy Group16,028386
Ultragenyx Pharmaceutical Inc.7,248386
Poage Bankshares21,314386
Thailand Iron Works Public Co.4,443384
MicroStrategy Incorporated3,004384
Ericsson66,761384
Kimbell Royalty Partners, LP24,107380
Eagle Pharmaceuticals6,359379
Seattle Genetics6,950378
B2Digital, Inc.135,059378
Supernus Pharmaceuticals9,454378
Vonage Holdings Corp.46,390378
Intellisense Solutions Inc.2,573377
Dycom Industries4,342373
Nuveen Build America Bond Fund16,905372
Kinross Gold Corporation167,313369
Mallinckrodt Plc9,866369
Pixelworks78,200368
J CREW GROUP INC.96,294367
Morgan Stanley India Investment Fund10,702366
J & J Snack Foods Corp.2,787366
Star Gas Partners49,910364
Kbridge Energy Corp.20,380364
CIENA Corporation16,583364
Pure Pharmaceuticals Corp.22,680363
SINOPEC Shangai Petrochemical Company6,028361
Vista International Technologies Inc15,742361
MedEquities Realty Trust, Inc.30,669360
ILG13,448359
Flaherty & Crumrine Preferred Income Opportunity Fund Inc16,793359
Blackrock MuniHoldings Quality Fund II25,682358
Xenia Hotels & Resorts16,986358
DCP Holding CO10,299357
ITT Educational Services, Inc.8,025355
Neogen Corporation4,574354
Agilysys29,586354
Globant8,844354
Laredo Petroleum Holdings27,165351
Synergy Pharmaceuticals120,943351
athenahealth2,815350
Barnes Group4,962350
Pimco Corporate & Income Opportunity Fund20,863350
Ashland Inc.5,357350
Connecticut Water Service5,881349
AAON10,057347
ING Global Equity Dividend and Premium Opportunity Fund42,799347
AeroVironment6,351344
Morgan Stanley Emerging Markets Debt Fund34,162344
Cable One, Inc.472341
Liberty Global10,067341
Spark Therapeutics3,820341
Doosan Heavy Industries & Construction Co., Ltd.7,975340
First Merchants Corporation7,924340
Weight Watchers International Inc7,808340
Apollo Senior Floating Rate Fund Inc.18,725339
Westport Innovations Inc167,585339
Luxoft Holding Inc7,090339
Alliance National Municipal Income Fund Inc24,147337
Herman Miller9,394337
Safety, Income & Growth, Inc.18,000336
Pretium Resources36,178335
The Hain Celestial Group8,122334
Tanke, Inc.15,445334
Hertz Global Holdings14,871333
CAM Group, Inc.6,794333
Douglas Dynamics8,416332
Theron Resource Group34,177331
Blackrock Municipal 2020 Term Trust21,148331
Liberty Interactive Corporation465,000330
Mercury Computer Systems6,356330
Enduro Royalty Trust75,812330
Advanced Semiconductor Engineering53,371330
ServisFirst Bancshares, Inc.8,496330
McDermott International45,379330
Becton5,965330
Nuveen Municipal High Income Opportunity Fund26,974329
Helios Advantage Income Fund12,425329
Myriad Interactive Media, Inc.9,097329
Dana Holding Corporation11,732328
Victory Resources Corp.7,523328
Sunrise Telecom, Inc.6,034326
Ralph Lauren Corporation3,677325
ING Infrastructure Industrial and Material Fund19,691324
Criteo7,800324
Western Gas Equity Partners, LP7,840323
Boston Beer Company2,055321
Cutera7,756321
ACCELERON PHARMA INC8,586320
ArcelorMittal12,427320
Denny's Corporation25,625319
General Cable Corporation16,920319
Voyager Therapeutics, Inc.27,739319
Cincinnati Bell Inc6,326319
First Financial Bancorp.12,162318
Arrin Corp.8,417318
Louisiana-Pacific Corporation11,743318
e.l.f. Beauty, Inc.14,068317
Simulations Plus20,355316
BP Prudhoe Bay Royalty Trust14,054316
EPAM Systems3,586315
Seaboard Corporation70315
Newpark Resources31,401314
Rogers Corporation2,349313
Orchids Paper Products Company22,190312
Great Fingall Mining Co.22,055311
General Electric Capital Corporation13,842310
Emergent Biosolutions7,660310
Cytosorbents Corp50,000310
Advanced Info Service Public Co., Ltd.15,300310
ETFS Gold Trust2,503310
Kearny Financial20,161309
Chesapeake Utilities Corporation3,949309
Nuveen High Income 2020 Target Term Fund30,466308
Matica Enterprises Inc19,897308
St. Joe Company (The)16,272307
NorthWestern Corporation5,353305
Brightcove Inc.42,300305
NetSol Technologies Inc.87,167305
Guggenheim Enhanced Equity Income Fund5,156305
INVESCO MORTGAGE CAPITAL INC17,774304
NRG Energy11,862304
Nuveen Virginia Premium Income Municipal Fund23,085303
BlackRock Municipal Income Investment Trust19,913303
Redwood Capital Bancorp (CA)18,533302
Kemet Corporation14,255301
Piper Jaffray Companies5,042299
FIGO Ventures, Inc.37,503299
BlackRock 2022 Global Income Opportunity Trust20,835298
TopBuild Corp4,565298
Ascena Retail Group121,826298
Putnam Master Intermediate Income Trust62,919298
China Telecom Corp Ltd5,828298
Arch Capital Group Ltd.3,017297
WGL Holdings Inc3,527297
GMS Inc8,350296
TrueCar Inc18,750296
Crimson Exploration Inc.2,995296
LGI Homes6,100296
Century Casinos35,900295
Momenta Pharmaceuticals15,971295
Blackstone GSO Senior Floating Rate Term Fund16,650293
TCW Strategic Income Fund50,561293
American Premium Water Corporation19,243293
GenMark Diagnostics30,350292
American Capital Senior Floating25,326291
JD.com Inc7,583290
United Therapeutics Corporation2,473290
Culp8,861290
GATX Corporation4,718290
Box Ships Inc.14,962289
Paratek Pharmaceuticals11,525289
STOCK BUILDING SUPPLY HOLDINGS, INC.7,602289
Morningstar3,386288
Eaton Vance Municipal Bond Fund II22,922288
SWK Holdings Corp2,500287
CONDUENT Inc18,283286
Amarin Corporation PLC81,390285
CymaBay Therapeutics35,300285
Imperial Oil Limited8,833282
Kratos Defense & Security Solutions21,529282
Hortonworks, Inc.16,600281
The Ensign Group12,435281
First Banks21,007279
Coca-Cola Bottling Co. Consolidated1,291279
Mizuho Financial Group78,329278
Green Bancorp, Inc.11,726277
Nova Measuring Instruments Ltd.9,816276
TrustCo Bank Corp NY30,856275
Lithium Americas Corp.7,354275
Verastem58,406275
Lam Research Corporation90,000275
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.30,488274
Vicor Corporation11,629274
VOYA RETIREMENT INSURANCE & ANNUITY CO30,399274
ESCO Technologies Inc.4,564274
Franklin Universal Trust37,640274
Churchill Downs1,323273
Tracon Pharmaceuticals, Inc.86,800273
New America High Income Fund27,328272
SiteOne Landscape Supply, Inc.4,684272
Ziggo NV6,730271
Park Hotels & Resorts Inc.9,749269
PIMCO New York Municipal Income Fund III27,622269
Global Net Lease12,310269
Nuveen Ohio Dividend Advantage Municipal Fund 226,329269
Terra Nitrogen Company5,967269
CASTLIGHT HEALTH, INC.62,400268
Cohu11,150266
THC Biomed International Ltd.16,138265
Horace Mann Educators Corporation6,695263
Shell Midstream Partners, L.P.9,428262
Apollo Gold Corporation15,621262
California Water Service Group Holding6,864262
Avon Products112,010261
Eplus Inc.2,812260
Evolent Health14,582260
Central Garden & Pet Company6,676259
Crown Marketing10,720259
Calumet Specialty Products Partners31,007259
Macquarie Group18,964259
Host Marriott Financial Trust13,928258
NETGEAR5,408257
Coffee Holding Co.57,650256
Decker Manufacturing Corp.3,743256
John Hancock Hedged Equity & Income Fund14,425254
Glatfelter12,984253
Cidara Therapeutics, Inc.31,206253
Gabelli Utility Trust (The)35,948253
Equity Commonwealth8,303252
Invesco Municipal Income Opportunities Trust31,983252
Popular6,993251
Eaton Vance Short Diversified Income Fund17,604251
Dynavax Technologies Corporation11,673251
ADURO BIOTECH, INC.23,449250
Clearwater Paper Corporation5,080250
Aecom Technology Corporation6,779250
Bank of the Carolinas CORP6,762248
EQT GP Holdings8,515247
Portola Pharmaceuticals4,570247
CACI International1,766246
Flaherty & Crumrine/Claymore Preferred Securities Income Fd In11,455246
PowerShares Global Gold & Precious Metals Portfolio9,841245
Cobalt International Energy171,064245
Pimco Income Opportunity Fund9,285245
Global Partners LP14,021244
Manning & Napier61,800244
Cantel Medical Corp.2,591244
Kaiser Aluminum Corporation2,356243
Via Varejo S.A.6,609243
Schweitzer-Mauduit International5,854243
MainSource Financial Group6,739242
Tata Motors Ltd7,737242
Fourlis Holding SA9,700242
51job3,983241
Teligent35,600239
Ares Management12,802239
SiM Internal Test 430,624238
Badger Meter4,856238
Amerco632237
Delek Group Ltd.7,565236
Foamix42,500236
Brookdale Senior Living Inc.22,300236
Independent Bank Corporation3,163236
VITAL THERAPIES INC46,645236
MINDBODY, Inc.9,083235
Bed Bath & Beyond Inc.9,974234
Mwana Africa Plc.3,631234
Lydall4,088234
AK Steel Holding Corporation41,733233
RadNet20,151233
MFS Intermediate Income Trust54,130232
European Equity Fund6,510232
China Natural Gas, Inc.3,068232
Nuveen New York Dividend Advantage Municipal Income Fund16,404231
Genpact Limited8,037231
pdvWireless, Inc.7,755231
Liberty All-Star Growth Fund44,085231
Ethan Allen Interiors Inc.7,086230
McEwen Mining Inc.117,294229
Cousins Properties Incorporated24,392228
Ishares Canadian Dex Universe Bond Index Fund1,919227
Eldorado Artesian Springs, Inc.5,873227
Nomura Holdings Inc ADR40,814227
Stein Mart174,974227
Computerized Thermal Imaging, Inc.7,681227
RE/MAX Holdings, Inc.3,563226
iBrands Corp.5,389225
Deutsche Borse AG7,716225
FS Bancorp26,628225
Century Bancorp, Inc.13,500224
Dthera Sciences5,129224
Lumber Liquidators Holdings5,736224
Wright Medical Group8,616223
Boyd Gaming Corporation8,569223
H&E Equipment Services7,616222
GH Cap Inc.6,429221
Dorchester Minerals14,682221
Templeton Emerging Markets Fund13,374221
QUALITY CARE PROPERTIES, INC.14,191220
MannKind Corp.101,288220
Blueprint Medicines Corp3,137219
Synalloy Corporation17,500219
Pzena Investment Management Inc20,000218
Cabot Corporation3,907218
INTELLINETICS, INC.153,000218
Horizon Bancorp (IN)7,465218
Bemis Company4,784218
First Financial Bankshares4,814218
Allegiant Travel Company1,645217
ZIOPHARM Oncology Inc35,209216
Eaton Vance California Municipal Bond Fund17,926216
Armour Residential R7,986215
SPX Corporation7,327215
PennyMac Mortgage Investment Trust12,317214
Seadrill Limited608,091213
Fair Isaac Corp1,515213
Transportadora De Gas Sa Ord B10,479213
Ellington Financial LLC13,446212
AcelRx Pharmaceuticals46,000212
Ashford Hospitality Prime22,272212
Mednax4,894211
CPI Aerostructures22,600211
New England Realty Associates Limited Partnership3,060211
CUI Global57,000210
FCB FINANCIAL HOLDINGS, INC.4,357210
Zillow Group5,235210
Comfort Systems USA5,873210
Seabridge Gold17,020208
Morgan Stanley Emerging Markets Fund25,918208
Nuveen New York AMT-Free Municipal Income Fund15,141208
Air Transport Services Group8,491207
Fortuna Silver Mines Inc.47,271207
Select Comfort Corporation6,664207
Tetra Technologies4,419206
Kirkland Lake Gold Ltd.15,916205
GNC Holdings23,242205
Hill-Rom Holdings Inc2,776205
Orbotech Ltd.4,848205
Gray Television12,963204
Cenovus Energy Inc20,372204
Hawaiian Electric Co., Inc.5,429204
New York Mortgage Trust33,140204
UBS AG9,253203
Innophos Holdings4,125203
Kayne Anderson Energy Development Company11,740203
Lakeland Financial Corporation4,165203
Compugen Ltd.53,800202
LeMaitre Vascular5,362201
Macatawa Bank Corporation19,610201
HUB Power Co., Ltd.4,675201
Retail Properties of America15,345201
W.T.B. Financial Corp.2,792201
AAC Technologies Holdings Inc20,115200
Third Point Reinsurance12,848200
Karyopharm Therapeutics Inc17,993198
Vascular Biogenics32,342197
China Unicom (Hong Kong) Ltd13,959196
China Lending Corporation29,746196
Western Asset Global High Income Fund Inc18,991195
Rocky Mountain Ayre, Inc.16,450194
Pier 1 Imports46,280194
Nuveen California Municipal Market Opportunity Fund18,191192
News Corporation14,504192
AquaVenture Holdings Ltd13,993189
AGIC Convertible & Income Fund26,689189
MOBILEIRON, INC.50,745188
Nuveen Real Estate Fund16,825188
LGO Energy PLC13,914187
Nordic Investment Bank34,854186
Western Uranium Corp17,055186
Pacific Sunwear of California, Inc.10,697186
United Cannabis Corp.10,074184
PCM, Inc.15,774184
Denbury Resources137,461184
Gener8 Maritime40,674183
Trinity Biotech plc32,560183
Fossil19,459182
Crown Crafts27,800181
Teekay Offshore Partners L.P.76,052181
Pimco High Income Fund21,703181
Gladstone Capital Corporation18,915180
Barrett Business Services41,883180
Blackrock MuniHoldings Fund II11,344178
Nimtech Corp.17,250178
Resources Connection12,683176
Blackrock MuniYield California Insured Fund13,222174
Alliance California Municipal Income Fund Inc12,552173
Information Services Group42,788172
Blackrock MuniYield Investment QualityFund11,800171
SandRidge Permian Trust58,845168
Enerplus Corporation17,022168
Escalade12,137165
Alexco Resource Corp112,199163
Swiss Helvetia Fund12,711162
CBL & Associates Properties19,261162
Franks International NV20,900161
Pandora Media20,735160
Pioneer Floating Rate Trust13,309159
Pimco Municipal Income Fund II11,394156
Genworth Financial Inc40,159155
TICC Capital Corp.22,426154
Western Asset Global Corporate Defined Opportunity Fund Inc.14,661154
BlackRock Municipal Income Trust II10,109154
Acacia Diversified Holdings, Inc.33,440152
Callaway Golf Company10,408150
MFS Municipal Income Trust20,642149
Wells Fargo Advantage Global Dividend Opportunity Fund23,795149
The Cushing MLP Total Return Fund12,400149
Gold Fields Limited34,487149
DC Brands International, Inc.56,992148
Nevada Gold & Casinos63,300148
Blackrock Muni New York Intermediate Duration Fund Inc10,345145
Invesco Van Kampen Dynamic Credit Opportunities Fund10,511144
Endo Health Solutions Inc.16,709143
Global Logistic Properties Ltd.15,200143
PennantPark Investment Corporation19,000143
BlackRock Income Trust Inc. (The)22,771143
INSYS Therapeutics, Inc.16,026142
1-800 FLOWERS.COM14,300141
Nuveen High Income December 2019 Target Term Fund14,032141
Arrowhead Gold Corp.12,300139
Luna Innovations Incorporated81,459138
Fibria Celulose S.A.10,161138
Daktronics12,845136
Habit Restaurants, Inc.10,400136
Pluristem Therapeutics89,443135
ALDER BIOPHARMACEUTICALS INC10,936134
Aly Energy Services, Inc.10,112134
Eaton Vance Pennsylvania Municipal Income Trust10,713131
Park Sterling Bank10,500130
Universal Security Instruments73,513129
Best Hometown Bancorp Inc10,665128
CVR Refining, LP12,852127
INVIVO THERAPEUTICS HOLDINGS CORP.86,833126
MiX Telematics12,682126
Invuity, Inc.14,000125
Geeknet40,853121
Diamondrock Hospitality Company10,944120
ENSCO plc19,909119
Neogenomics Inc.10,485117
Pieris Pharmaceuticals, Inc.20,200116
The Herzfeld Caribbean Basin Fund16,020116
Sandstorm Gold Ltd.24,860113
Euronav13,900113
Cohen & Steers Global Income Builder11,568112
Duff & Phelps Select Energy MLP Fund Inc.16,944109
Wells Fargo Advantage Income Opportunities Fund12,310108
First Trust Specialty Finance and Financial Opportunities Fund15,608107
Dreyfus Municipal Income11,596106
CVR Partners32,679106
Cypress Energy Partners13,500104
Willamette Valley Vineyards13,075103
ORGANOVO HOLDINGS, INC.46,429103
MFS Government Markets Income Trust20,832103
Senseonics Holdings, Inc.32,000102
Eaton Vance Senior Income Trust15,160100
TravelCenters of America LLC23,598100
Energy Recovery12,48899
Keryx Biopharmaceuticals13,77298
Clean Energy Fuels Corp.39,14397
Carbo Ceramics11,17596
TRANSENTERIX INC.66,46795
Madison/Claymore Covered Call & Equity Strategy Fund12,03394
Fairmount Bancorp Inc.19,28692
Washington Prime Group Inc.11,03692
Aberdeen International Inc.10,28190
Sears Holdings Corporation12,24189
LendingClub Corp14,62589
Iamgold Corporation13,99185
Adamis Pharmaceuticals Corp16,10084
Ballard Power Systems17,97584
Workhorse Group Inc.30,10083
Kandi Technolgies14,40083
Globalstar50,50082
Legacy Reserves LP52,39380
Novavax70,38180
Yamana Gold Inc.29,86179
Barnwell Industries43,38078
Versartis, Inc.31,23277
EV Energy Partners121,37377
Blue Apron Holdings, Inc.14,18177
USA Technologies12,07575
Sunrun Inc.13,38074
Gold Standard Ventures Corporation44,18172
VOC Energy Trust19,06071
Medley Capital Corporation11,87071
Groupon12,98968
NANOVIRICIDES, INC.60,00068
Wipro Limited12,00168
Sachem Capital Corp.14,00064
Blueknight Energy Partners L.P.11,20464
Maxwell Technologies12,00062
Voxeljet11,31561
Celldex Therapeutics21,19961
Student Transportation Inc10,04360
ServiceSource International17,12059
WSI Industries Inc.18,00059
American Seniors Association Holding Group, Inc.12,52057
SWK Holdings Corp10,89956
Precision Drilling Corporation17,63855
22nd Century Group, Inc.19,45054
Mid-Con Energy Partners42,79249
Drive Shack13,36648
WindStream Technologies, Inc.26,56647
Gerdau S.A.13,00045
Eldorado Gold Corporation20,27745
Dreyfus High Yield Strategies Fund12,16443
Pengrowth Energy Corporation41,46942
Zion Oil & Gas Inc12,18942
Tetra Tech14,38341
PDL BioPharma11,66740
ConforMIS Inc11,00039
Navios Maritime Partners LP18,94439
Zynga Inc.10,27039
U.S. Global Investors17,21337
NQ Mobile Inc.10,50037
Antares Pharma11,32337
Southcross Energy Partners LP15,11136
Jones Energy, Inc.18,50736
Microvision12,52535
Research Frontiers Incorporated27,50033
SOLIGENIX, INC.14,71033
Athersys15,42032
Plug Power12,38432
Biocept25,00031
Torchlight Energy25,00031
Interpace Diagnostics Group, Inc.20,00031
Uranium Energy Corp.20,80029
Genesis Electronics Group, Inc.25,00029
Northern Dynasty Minerals16,11429
Ceragon Networks Ltd.14,10029
Petroquest Energy Inc11,87527
Gastar Exploration30,50027
Castle Brands19,30026
Auryn Resources Inc.11,50026
Ruby Tuesday11,00024
eCare Solutions, Inc.10,85024
RAIT Financial Trust32,19924
WMIH Corp.25,08924
Ocean Electric Inc.18,70023
Hovnanian Enterprises Inc11,70023
CytRx Corporation57,29123
SandRidge Mississippian Trust I16,73622
Can Fite Biofarma Ltd.12,20021
Harte-Hanks20,00021
EnSync Inc36,00019
Teekay Tankers Ltd.11,03818
OHA Investment Corporation14,38218
AETHLON MEDICAL INC11,73018
SECOND SIGHT MEDICAL PRODUCTS INC14,88218
EXCO Resources NL12,72217
TrovaGene23,00017
Bank Princeton New Jersey18,30014
Senomyx18,65811
Northern Oil and Gas12,20011
TANDEM DIABETES CARE INC15,00011
Denison Mine Corp21,45810
Keegan Resources Inc10,94010
Nexeo Solutions Holdings, LLC21,0659
Tanzanian Royalty Exploration Corporation28,5139
BioAmber16,7508
International Tower Hill Mines Ltd15,0008
Golden Star Resources11,0008
Polymet Mining Corp.12,5008
Navidea Biopharmaceuticals16,0007
Capstone Turbine Corporation10,5907
ENERGY TRANSFER PARTNERS16,0001
Community Bank of South Florida Inc.36,7971
Axovant Sciences Ltd.14,0001

Feedback