RAYMOND JAMES & ASSOCIATES

Most recent update: March 31, 2018

CompanyShares/WarrantsValue ($000)
Vanguard Natural Resources, LLC10,597,7672,565,517
iShares32,340,5632,130,596
Indo Tambangraya Megah PT18,940,7532,031,397
SPDR GOLD TRUST21,527,903867,177
Apple Inc.5,127,481830,706
Microsoft Corporation8,601,536767,686
Edge Resources Inc.11,568,689600,764
J P Morgan Chase & Co5,310,215574,420
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi3,849,755523,914
S&P Quality Rankings Glbl Equ Mngd Tr1,906,385494,982
Amazon.com325,838471,597
Verizon Communications Inc.9,630,372449,619
iPure Labs, Inc.7,504,864438,284
Alphabet Holding Company, Inc.421,833436,399
AT&T Inc.11,983,161425,783
Russell Exchange Traded Funds Trust Russell Small Cap Consiste3,448,749413,714
Core Resource Management, Inc.5,361,080412,860
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap5,101,153407,365
Chevron Corporation3,589,639403,561
Imperial Petroleum, Inc.2,124,229398,457
Johnson & Johnson3,092,029396,246
Cisco Systems8,832,181377,301
Pfizer9,870,530341,462
US-China Biomedical Technology, Inc.3,567,629325,369
PowerShares Global Coal Portfolio8,204,838324,691
Merck & Company5,828,006312,232
AbbVie Inc3,415,830311,904
Exxon Mobil Corporation4,175,368310,443
Union Pacific Corporation2,370,087305,258
Berkshire Hathaway Inc.1,498,676298,956
Coca-Cola Company (The)6,883,471298,949
United States Cellular Corporation1,353,723289,706
Home Depot1,563,325278,651
Altria Group4,402,787272,842
Vanguard Health Systems3,670,820271,389
First Trust6,790,279270,534
iShares Trust iShares MSCI All Country Asia Information Techno4,839,867269,280
Marathon Petroleum Corporation3,776,277264,275
Facebook1,562,630249,693
Procter & Gamble Company (The)3,081,952244,338
Visa Inc.1,966,584235,247
First Trust High Income Long Short Fund5,511,628232,675
Comcast Corporation6,780,693231,697
Pepsico2,079,960227,031
Philip Morris International Inc2,270,500225,689
Occidental Petroleum Corporation3,433,157223,018
Vanguard Natural Resources, LLC4,250,822218,369
Multi-Strategy Growth & Income Fund7,044,162214,706
Standard Parking Corporation627,497214,448
Bank of America Corporation6,825,540201,726
BROADVIEW INSTITUTE INC852,249200,842
iTeknik Holding Corporation753,636199,994
TotalFinaElf3,455,764199,363
Alibaba Group Holding Limited1,095,492197,033
Intel Corporation3,716,733192,364
Oracle Corporation4,379,045188,383
Eaton Corporation2,398,946182,413
CME Group Inc.1,120,374175,800
High Country Bancorp, Inc.2,126,018175,375
Carnival Plc ADS2,789,284173,854
Kimberly-Clark Corporation1,633,476173,296
Vodafone Group Plc6,145,357170,964
GlaxoSmithKline PLC4,338,226169,495
Wal-Mart Stores1,916,180168,821
Wells Fargo & Company3,219,530168,736
McDonald's Corporation1,071,743167,603
DowDuPont Inc.2,628,757167,478
United Parcel Service1,536,828160,846
Boeing Company (The)488,141160,056
B Communications Ltd.3,686,505158,612
PowerShares QQQ Trust985,843157,865
Crown Equity Holdings, Inc.1,420,008155,647
Duke Energy Corporation2,006,148155,416
CB Scientific Inc.1,179,431154,767
Bowl America, Inc.3,764,614152,618
Air Products and Chemicals1,028,976152,072
Lockheed Martin Corporation447,616151,268
Security Devices International Inc.1,493,433148,568
Motorola Solutions1,506,673146,332
Fastenal Company2,695,267144,748
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund2,559,209144,702
Microchip Technology Incorporated1,693,306142,277
The Kraft Heinz Company2,346,787140,630
QUALCOMM Incorporated2,585,817139,252
Honeywell International Inc.958,402138,501
Dominion Resources2,026,709136,664
Astrazeneca PLC3,895,733135,588
3M Company584,929128,410
National Grid Transco Plc2,193,674123,789
CVS Corporation2,053,302123,340
Amgen Inc.705,908120,348
Time Warner Inc.1,335,384117,545
Raytheon Company539,267116,386
NVIDIA Corporation499,374115,652
Walt Disney Company (The)1,167,725113,145
U.S. Bancorp2,214,571111,836
Texas Instruments Incorporated1,071,572111,328
Southern Company (The)2,486,899111,065
Abbott Laboratories1,883,084111,027
TE Connectivity Ltd.1,107,237110,613
PNC Financial Services Group725,506109,726
Citigroup Inc.1,670,408109,457
Praxair749,745108,191
Allergan641,714107,995
BlackRock Maryland Municipal Bond Trust2,025,816105,424
GSM Fund Group Inc1,944,948103,880
Autodesk822,654103,309
Therapix Biosciences Ltd2,325,314102,895
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND3,169,132100,800
Salesforce.com Inc862,60398,770
Royal Dutch Shell PLC1,544,79198,573
Investec Ltd.1,219,36497,818
Federal Express Corporation405,60897,393
British American Tobacco Industries1,681,28496,993
Weyerhaeuser Company2,777,75096,442
Starbucks Corporation1,708,64596,206
International Business Machines Corporation664,35594,921
Anadarko Petroleum Corporation1,570,07294,848
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF1,155,85292,964
Biogen Idec Inc.339,16192,869
Novartis AG1,144,34692,521
Becton, Dickinson & Co.426,08092,337
Mastercard Incorporated511,98889,680
Enterprise Products Partners L.P.3,632,56588,925
PayPal Holdings, Inc.1,155,17287,643
Vanguard Natural Resources, LLC1,599,93986,989
Valero Energy Corporation932,87586,543
United Technologies Corporation674,80684,907
Emerson Electric Company1,238,60284,597
BlackRock154,90283,923
Netflix282,06983,309
Seagate Technology.1,423,39283,297
PPlus Trust2,940,23183,179
MetLife1,839,60982,310
Caterpillar557,19982,121
INTERNATIONAL TEXTILE GROUP INC1,495,13881,560
Lic Housing Finance Ltd.402,20080,597
Innocap, Inc.367,22880,177
Select Asset Inc.984,74980,159
Target Corporation1,164,79780,008
Twitter2,747,54379,706
Schlumberger N.V.1,222,07779,166
Ultra Lithium Inc1,411,94978,448
Cinemark Holdings Inc2,065,15477,794
Ironclad Performance Wear Corp2,363,29677,658
Sport Chalet498,96777,376
General Electric Co5,793,64577,232
vTv Therapeutics Inc.745,99876,972
Neenah Paper466,22476,150
Bristol-Myers Squibb Company1,191,39875,356
Celgene Corporation843,62475,260
Johnson Electric Holdings Ltd.2,143,97274,135
Delta Air Lines Inc. (New)1,350,08873,998
Ventas1,463,86072,505
Sector 5, Inc.1,102,52272,127
General Mills1,617,56070,916
Allstate Corporation (The)742,93570,431
Vertex Pharmaceuticals Incorporated428,31169,806
iShares Trust iShares MSCI Emerging Markets Latin America Inde1,479,16569,599
Phillips 66727,36868,711
Sanofi1,688,62067,245
Costco Wholesale Corporation356,41067,159
Sysco Corporation1,112,07566,680
Illini Corp.567,30966,597
Taiwan Semiconductor Manufacturing Company Limited1,511,88266,160
American Tower Corporation (REIT)454,41366,045
Etfs Commodity Securities Ltd.464,02665,836
American Express Company711,26265,177
Halliburton Company1,385,48765,035
Lowe's Companies785,89663,745
Canadian Imperial Bank of Commerce720,36863,576
American Electric Power Company922,75063,292
Western Asset Emerging Markets Income Fund684,62763,171
Indianapolis Power & Light Co.782,06962,855
Gilead Sciences832,12662,734
Goldman Sachs Group247,48162,334
Select Asset Inc.608,61161,647
Broadridge Financial Solutions560,98361,535
Corning Incorporated2,180,14660,782
Vanguard Mortgage-Backed Securities ETF814,59259,861
Estee Lauder Companies398,88059,723
Booking Holdings28,53159,356
Leggett & Platt1,336,99159,309
VGTel, Inc.585,90259,205
Liberty Global283,31558,930
World Gaming plc465,82558,596
PIMCO Flexible Credit Income Fund570,62358,358
General Dynamics Corporation263,99458,319
Accenture plc.374,87157,543
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF423,83357,523
Reitmans757,09557,139
WestRock887,83556,973
Aflac Incorporated1,281,30056,070
Zoetis669,47055,908
Adobe Systems Incorporated257,49155,639
Financial Institutions2,032,89855,428
Roper Technologies196,34155,112
Targa Resources1,223,08953,816
iShares MSCI ACWI ex US Index Fund1,072,67453,302
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF621,71552,746
Automatic Data Processing487,52952,744
Extended Stay America, Inc.2,640,24052,198
Waste Management685,12152,066
ENERGY TRANSFER PARTNERS1,569,99451,460
McCormick & Company483,67251,459
Deoleo SA378,98651,322
Mondelez International1,201,57549,701
First Trust NASDAQ-100 Ex-Technology Sector Index Fund646,22349,127
Wake Forest Bancshares, Inc.781,12148,976
Interups Inc.447,84848,968
IntercontinentalExchange674,98348,951
Pioneer Exploration, Inc.284,25848,830
Magellan Minerals Ltd.829,24648,387
Ingersoll-Rand plc (Ireland)573,70148,199
iShares Trust265,28247,469
Public Service Enterprise Group Incorporated944,18147,436
Western Union Company (The)2,447,25147,061
Omnicom Group Inc.637,43746,323
Applied Materials842,30646,083
Danaher Corporation620,63746,077
ISHARES IV PLC409,08345,151
Thermo Fisher Scientific Inc219,42644,994
Stark Naked Bobbers323,15044,872
Nielsen CO B.V.1,407,94244,759
Old Republic International Corporation2,051,93544,014
Freeport-McMoran Copper & Gold2,541,75943,339
International Consolidated Airlines Group SA209,80443,312
Covanta Holding Corporation2,994,62543,163
Noble Group Ltd.687,32642,786
Polaris Futures Fund L.P.372,11542,615
KAR Auction Services784,41042,515
Illinois Tool Works Inc.270,74742,418
Hydrodynex, Inc.824,46841,990
CyrusOne806,83741,318
SunTrust Banks606,16741,244
The Blackstone Group L.P.1,413,99940,878
STATIONDIGITAL CORP1,715,60640,574
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu1,203,88840,565
Sempra Energy364,56340,529
Hanesbrands Inc.2,193,03540,396
Synchrony Financial1,264,55440,332
FVI Fondo Valores Inmobiliarios1,402,55040,267
Redux Holdings, Inc.268,77040,184
ConocoPhillips674,34939,982
KSW Inc363,00539,878
India Cement Ltd.256,58939,644
iShares MSCI Far East Financials Sector Index Fund373,33339,548
Nike588,95339,131
LyondellBasell Industries NV369,93639,095
eBay Inc.965,67438,859
XBiotech Inc.476,95738,698
Willis Towers Watson252,96438,499
NoCopi Technologies, Inc.109,12638,103
Bank of the Ozarks784,47537,867
1st Colonial Bancorp, Inc.684,84737,682
PPG Industries336,47437,551
Industrial Services of America505,44337,549
Micron Technology719,49437,514
The Bank of Kentucky Financial Corp.727,90637,509
Everett SpinCo, Inc.372,86537,484
Great Plains Energy Inc1,173,61637,309
iShares FTSE EPRA/NAREIT Asia Index Fund358,98437,262
Anheuser-Busch Inbev SA338,26737,190
Boulder Energy Ltd.3,418,36436,850
Deere & Company237,07736,823
First Trust Senior Floating Rate Income Fund II772,50236,721
RIGHTSCORP, INC.559,93436,692
FNB United Corp.2,724,86036,649
Realty Income Corporation706,60636,553
Alaska Power & Telephone Co.610,61536,543
The Kroger Company1,574,05936,251
Royal Kpn N.V.468,02136,147
LAS VEGAS RAILWAY EXPRESS, INC.502,05336,098
Umpqua Holdings Corporation1,683,99736,054
Aspen Pharmacare Holdings plc256,83736,042
Ishares Income Trust Sector Index Fd910,59335,988
Morgan Stanley666,58735,969
Heico Corporation490,77335,884
Ibiden Co. Ltd.376,71335,833
Ryman Hospitality Properties461,57435,749
Progressive Corporation (The)598,49135,727
Citrix Systems384,64435,695
iShares Trust iShares Barclays GNMA Bond Fund315,74035,694
IQVIA Holdings360,25635,345
Raymond James Financial391,77335,029
Ionis Pharmaceuticals787,76834,725
Entergy Corporation439,68634,638
Diamondhead Casino Corp.143,28234,588
Huntsman Corporation1,181,59134,562
TJX Companies487,76534,285
National Fuel Gas Company662,02934,061
Nucor Corporation555,98633,965
Regions Financial Corporation1,817,18533,763
Labor Smart, Inc.207,70233,596
Xponential, Inc.363,67833,415
Discover Financial Services487,20533,322
International Paper Company620,47333,152
Sappi Limited315,08733,135
Vanguard Energy Corporation193,62833,110
Bank of the Carolinas CORP733,55432,922
Stericycle555,27332,500
Walgreens Boots Alliance490,24932,098
Etfs Commodity Securities Ltd.216,43931,799
Steel Partners Holdings LP719,07331,798
ASML Holding N.V.159,38231,647
Enbridge Inc1,005,16431,609
Cummins Inc.194,51031,528
V.F. Corporation424,65831,476
Marriott International230,62831,362
Unilever NV553,77231,227
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND1,491,04831,143
Lloyds Banking Group Plc8,347,19631,052
Ecolab Inc.226,30931,021
Waste Connections429,52830,814
Berkshire Hathaway Inc.10230,508
Novo Nordisk A/S617,60430,417
iShares NASDAQ Biotechnology Index Fund284,39830,358
Harris Teeter Supermarkets188,16930,348
Prologis, Inc.481,64830,339
First Trust NASDAQ-100 Equal Weighted Index Fund513,00030,257
Italian Food & Beverage Corp152,72830,236
Aetna Inc.178,65830,193
General Motors Company830,40830,177
iShares FTSE EPRA/NAREIT Europe Index Fund280,99630,134
Coty Inc1,642,65530,061
UBS AG (London Branch)1,703,99729,923
Bespoke Tricyles, Inc.2,234,73529,773
First Trust Exchange-Traded Fund II First Trust BICK Index Fun1,529,09729,756
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 241,99229,753
Eli Lilly and Company383,41129,665
Express Scripts Holding Company427,11329,505
Brown & Brown1,154,90729,381
Inca One Gold Corporation240,32029,295
Pentair429,00329,228
MegaFon PJSC260,13129,197
Axis Energy Corporation505,97129,129
Kinder Morgan1,926,73029,017
MSC Industrial Direct Company314,26728,821
Nutrien608,28228,748
Palo Alto Networks158,01828,683
Masimo Corporation326,05528,677
Huntington Bancshares Incorporated1,892,33128,574
Legg Mason701,84728,530
Stryker Corporation176,55128,412
New Ulm Telecom, Inc.303,83228,366
Oppenheimer Holdings Inc.507,29428,242
Consumer Portfolio Services533,23628,064
Prudential Public Limited Company546,24927,930
Parker-Hannifin Corporation163,30227,930
SVB Financial Group115,57727,740
Xcel Energy Inc.609,89927,738
ServiceNow166,56327,558
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio249,47627,487
Lamprell134,53927,333
Rio Tinto519,65426,778
Thomson Reuters Corp691,32026,713
Charles Schwab Corporation510,88526,679
IJJ Corp.176,78326,666
Pacer International900,54826,592
NetApp426,70926,324
Stag Industrial1,098,80126,283
Mid-America Apartment Communities287,37126,220
Westpac Banking Corporation1,181,42226,204
NXP Semiconductors N.V.237,24926,076
iSoftStone Holdings Limited789,17126,051
Parcelpal Technology Inc660,11026,028
McKesson Corporation184,57426,001
IEG Holdings Corp300,23725,949
Arthur J. Gallagher & Co.377,33125,934
Cognizant Technology Solutions Corporation321,83625,908
Highlands Bancorp Inc.1,611,76025,772
Liberty Interactive Corporation1,022,87425,746
Fidelity National Information Services264,79125,499
Marathon Oil Corporation1,578,90825,468
ONEOK447,31925,461
FTE Networks, Inc.431,20425,191
Paychex408,04725,132
Smart & Final Stores, Inc.170,22525,115
BCSB Bancorp2,119,10125,048
Healthcare Trust of America946,84825,044
Activision Blizzard371,03225,030
Republic Services376,28424,921
Suncor Energy Inc.709,25824,489
ICU Medical96,68024,402
Southwest Airlines Company420,81224,104
Exelon Corporation675,21124,066
iShares S&P Emerging Markets Infrastructure Index Fund640,40024,054
Ross Stores308,37424,047
Analog Devices307,91023,932
LPL Financial Holdings Inc.391,72823,923
HPC Acquisitions, Inc.1,088,53023,861
VOIP PAL.com, Inc.153,24223,631
CREDEX CORP214,39823,363
Rogers Communications, Inc.520,35423,236
Community Service Communications463,62423,187
First Tractor Co. Ltd.678,49423,149
Chilean Metals Inc.435,71323,102
Interface532,34023,077
Geo Group Inc (The)1,114,49222,813
John Wiley & Sons353,37222,510
LEAP TECHNOLOGY INC / DE120,60822,445
STERLING CONSOLIDATED Corp392,25422,441
Alexion Pharmaceuticals200,98022,401
Centenera Mng Corp.209,28622,366
IDEX Corporation156,40622,289
Ishares III Plc449,42322,179
HSBC Holdings plc464,56222,146
Markel Corporation18,88422,099
Diamondback Energy174,26522,048
Relx1,055,23022,002
CIGNA High Income Shares130,96321,968
iShares209,61221,934
Vanguard STAR Funds Vanguard Total International Stock ETF387,83021,932
Liberty Gold Corp.530,17121,657
Ferrum Americas Mining, Inc.635,17721,602
Meredith Corporation400,63421,554
Yum China Holdings, Inc.516,08521,418
Crimson Wine Group Ltd.384,13621,401
Fluor Corporation373,97621,399
Landstar Development Group, Inc.194,25621,300
Russell Breweries Inc145,01821,297
PIMCO California Municipal Income Fund209,43221,268
Xilinx294,33621,263
Darling International Inc.1,222,91221,156
Prudential Financial203,96821,121
Spirit Aerosystems Holdings252,10721,101
Edwards Lifesciences Corporation150,82721,043
FactSet Research Systems Inc.104,83620,908
Constellation Brands Inc90,98020,737
Hillenbrand Inc450,60920,683
Dolby Laboratories325,17320,668
Kreisler Manufacturing Corp.857,83220,537
Cintas Corporation120,21120,506
Envestnet194,28820,453
iShares197,89120,420
TELUS Corporation580,99820,398
ChemoCentryx217,48220,380
Russell Exchange Traded Funds Trust Russell Small Cap Contrari166,89220,340
General Electric Capital Corporation1,835,00320,332
PacWest Bancorp407,94220,205
Blackrock Enhanced Equity Dividend Trust2,311,06420,176
CenturyLink1,248,20020,124
Akamai Technologies314,07920,100
Continental Resources340,76320,088
Marsh & McLennan Companies242,26520,009
Jack Henry & Associates165,27619,990
Sabra Healthcare REIT1,130,47019,953
Healthcare Services Group458,72119,945
iShares MSCI All Country Asia ex Japan Index Fund234,97119,695
Cerner Corporation354,76219,614
Norfolk Souther Corporation144,23419,584
iBrands Corp.434,25619,489
J.M. Smucker Company (The)156,75719,441
GCI Liberty, Inc.367,73819,439
Goldman Sachs Group650,82419,421
Medical Properties Trust1,489,89419,369
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund177,53119,339
East West Bancorp309,10819,332
Seven Generations Energy Ltd.131,88319,284
Adams Express Company (The)1,305,25919,279
Splunk Inc.195,12919,199
Berry Petroleum Company349,81119,173
Williams Companies767,32719,076
Cree472,73319,056
Eagle Growth & Income Opportunities Fund1,263,74118,994
Simon Property Group122,34118,884
Air Lease Corporation442,05218,840
KeyCorp963,33018,833
Kresta Holdings Ltd.311,64018,820
Check Point Software Technologies Ltd.188,65618,741
Brookfield Infrastructure Partners LP450,29618,707
Colgate-Palmolive Company260,53818,676
Clorox Company (The)139,98918,634
Adriana Resources, Inc.82,81518,483
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF357,56718,450
Andeavor182,27318,329
Tesla Exploratin Services Inc.68,83218,318
BorgWarner Inc.364,46818,307
W.W. Grainger64,83318,304
Stanley Black & Decker119,42818,297
Newfield Exploration Company747,49518,254
V Media Corp150,34018,232
Ameren Illinois Company320,45618,147
Spectra Energy Partners537,67118,087
Retail Opportunity Investments Corp.1,017,09417,972
Apartment Investment and Management Company440,62917,956
Regeneron Pharmaceuticals52,05217,925
Graco Inc.391,55517,902
Mascota Resources Corp438,57017,736
Yum! Brands208,16817,721
European Electric Metals Inc.356,57417,715
Stargaze Entertainment Group Inc.92,42017,658
Total Energy Services Inc.204,60717,649
Omega Healthcare Investors650,54417,591
Sprott Resource Hldgs Inc.1,436,85717,460
Baxano Surgical, Inc.266,96517,363
American Housing Income Trust, Inc.228,28217,343
Global X Funds Global X NASDAQ 500 ETF1,054,23417,253
Victory Resources Corp.379,72317,232
Peoples Financial Corporation922,01317,205
Alleghany Corporation27,88717,140
Pembina Pipeline Corp.544,63516,991
Camden Property Trust201,79716,987
ISHARES V PLC277,93716,865
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 288,01416,818
General Electric Capital Corporation501,70916,792
Align Technology66,85216,789
Nuance Communications1,313,31516,780
Reinsurance Group of America108,77816,752
Brandywine Realty Tr1,052,49016,714
CDW Corp237,66616,710
SSTL, Inc.309,92616,626
Wabco Holdings Inc.124,07416,610
ONYX Pharmaceuticals67,09716,598
Tekla Healthcare Opportunities Fund959,19316,558
Tesco PLC262,05716,515
iShares319,20916,446
Archer391,18816,443
Host Marriott Financial Trust882,01816,441
T. Rowe Price Group151,69116,379
IBO (Listing Market - NYSE Amex Network B F)195,80516,362
Community Bank of Santa Maria (CA)174,41216,308
First Trust NASDAQ ABA Community Bank Index Fund452,69816,202
ABB Ltd681,91016,189
Equinix38,53116,111
Waters Corporation80,96416,083
AO Mosenergo160,06716,048
Mohawk Industries68,82515,983
Dollar Tree166,65415,815
Anthem United, Inc.249,38315,785
Royce Value Trust1,011,98715,747
Sensata Technologies Holding N.V.302,93315,701
MPLX LP471,39515,575
Fifth Third Bancorp481,43315,285
Timken Company (The)334,62415,259
TD Ameritrade Holding Corporation256,77615,209
State Street Corporation152,22415,181
Islet Holdings, Inc.128,85215,180
Parametric Technology Corporation193,47615,093
First Trust NASDAQ-100-Technology Sector Index Fund507,96615,092
Sherwin-Williams Company (The)38,30815,023
Vanguard Short-Term Corporate Bond ETF190,91314,975
SEI Investments Company199,83214,969
Fortive Corp193,04814,965
Fiserv207,54114,800
RMR Industrials, Inc.887,61414,797
Spearhead, Ltd., Inc.307,52914,752
Leidos Holdings, Inc.225,44314,744
Honda Motor Company423,75814,717
Aircastle Limited739,14014,679
National-Oilwell Varco397,26314,623
Aspen Technology184,75614,575
INFORMATION ANALYSIS INC86,60014,568
Imerjn Inc.272,72114,487
FMB Equibanc, Inc.272,23114,317
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG299,15814,306
SMG Indium Resources Ltd.110,29314,274
Shire plc95,54014,273
Alliant Energy Corporation347,99014,219
Expedition Mining Inc128,31514,167
Core Laboratories N.V.130,83114,159
iShares MSCI Emerging Markets Materials Sector Index Fund164,93514,125
Dividend and Income Fund1,123,54614,112
Copart276,96514,106
Commerce Bancshares235,40814,103
Aptiv PLC165,97114,103
Devon Energy Corporation440,12313,992
PowerShares Global Wind Energy Portfolio663,68713,991
Hawaiian Telcom Holdco, Inc.141,44113,970
Concho Resources Inc.92,37513,887
ING Group816,99313,832
Wynn Resorts75,75613,815
Monotaro Co., Ltd.118,37613,814
EQT Corporation290,64813,809
MarketAxess Holdings63,09113,719
Capital One Financial Corp142,56813,661
FleetCor Technologies67,22413,613
Boston Scientific Corporation508,30413,582
Maxima Group, Inc.224,95113,547
Premier Inc432,51013,542
Amdocs Limited202,94513,540
Canadian National Railway Company185,27713,539
Metals USA Holdings Corp.185,52513,506
Digital Realty Trust127,73313,461
Trinity Industries412,30913,454
CoreStream Energy, Inc.222,31413,441
BHP Billiton Limited300,35613,345
Discovery Communications622,13313,332
Sumitomo Mitsui Financial Group Inc1,563,37013,289
Etfs Commodity Securities Ltd.386,74113,285
IHS Markit274,20113,227
Icon Media Holdings, Inc.170,23813,199
PVH Corp.86,93113,164
INCEPTION MINING INC.75,66713,155
PACCAR Inc.198,72813,150
Primerica135,96613,134
Cohen & Steers Quality Income Realty Fund Inc1,062,78313,125
Old Dominion Freight Line88,65113,029
ICON plc109,65312,954
DENTSPLY International Inc.256,36312,898
Mylan Inc.312,42812,863
Matthews International Corporation253,14412,809
White Mountains Insurance Group15,56712,804
Teleflex Incorporated50,04412,762
Amex Exploration Inc.579,65012,741
Garmin Ltd.214,55012,644
Actuant Corporation541,34612,586
Deutsche Bank AG1,431,77412,571
Toyota Tsusho Corp.96,04612,522
Victory Energy Corp.256,22912,519
Square254,17412,505
American International Group229,77312,504
Aegon NV1,845,42612,494
Inchcape PLC228,02012,454
Fidus Investment Corporation965,69612,438
ProPetro Holding Corp.781,47212,418
Teva Pharmaceutical Industries Ltd.725,86512,405
Tyson Foods, Inc.169,18512,383
Everest Re Group48,19812,378
Corporate Cap TR Inc.731,37212,360
XL Group Ltd.221,86012,260
DTE Energy Company116,98712,213
Eastman Chemical Company115,11712,155
Karelia Tobacco Co Inc186,04412,095
Hollywall Entertainment Inc.247,34612,085
Six Flags Entertainment Corporation New193,84312,069
Advanced Visual Systems, Inc.100,24511,884
Expeditors International of Washington186,78911,824
American Water Works143,83511,813
MGM Growth Properties LLC367,14311,808
Flextronics International Ltd.722,94511,806
Uniti Financial Corp.724,31711,770
E*TRADE Financial Corporation211,62811,726
Ramtron International Corporation244,78111,669
Macy's Inc392,16111,663
Versum Materials, Inc.309,24611,637
Cardinal Health185,53211,629
Vanguard Intermediate-Term Corporate Bond ETF141,88211,602
Electronic Arts Inc.95,17711,539
Charter Communications37,03311,525
Equity Residential186,98811,522
Deutsche Bank AG470,88311,457
Cedar Fair179,32011,455
Hostess Brands774,37611,453
European Real Estate Investment Trust Ltd.196,32411,416
Varian Medical Systems92,98911,405
Newell Rubbermaid Inc.446,53311,378
Teledyne Technologies Incorporated60,59611,342
Post Holdings149,46211,323
AmeriGas Partners283,22611,321
Guidewire Software139,53811,279
Church & Dwight Company223,75511,268
Vanguard Energy Corporation68,27011,193
Nordson Corporation81,89611,166
Sutherland Asset Management735,16911,138
Toro Company (The)178,19011,128
Gemini Group Global Corp.303,71511,119
Pinnacle West Capital Corporation138,58011,059
Pinnacle Foods Inc204,28611,052
PulteGroup372,15710,975
IShares Plc.176,03010,974
Consolidated Graphics140,78410,973
CleanPath Resources Corp.223,76410,922
Worldpay Group PLC147,99110,899
Schoeller Bleckmann Oilfield Equipment AG303,60510,874
Hasbro128,81610,859
Bouygues 457,59010,845
Aercap Holdings N.V.213,20610,814
FMC Corporation140,78410,780
Huntington Ingalls Industries41,71010,751
IHI Corp57,99210,729
The Cash Store Financial Services Inc.188,71810,708
THEDIRECTORY.COM, INC.150,02310,704
Cohen & Steers Infrastructure Fund498,11410,665
Arrow Electronics222,67610,664
U.S. Helicopter Corp.141,15810,652
Loews Corporation213,76310,630
Intuitive Surgical25,66710,596
The RMR Group340,80610,592
Independence Holding Company1,153,40610,588
AmerisourceBergen Corporation (Holding Co)121,75910,498
Edison International164,58010,477
Voestalpine AG95,69910,469
ETERNITY HEALTHCARE INC.736,52110,466
Fortis310,07710,465
Parsley Energy360,33010,446
Zimmer Holdings95,67810,433
Software AG61,46010,430
Energen Corporation165,75210,419
AMC Networks Inc.201,38910,412
Alliance Creative Group, Inc.48,74510,376
Vanguard International Equity Index Funds Vanguard Global ex-U189,42810,368
Coca Cola Icecek Sanayi As248,79510,365
Crossroads Systems, Inc. New304,46610,358
Thor Industries89,59410,319
Brown-Forman Corporation Class B 188,84710,273
T-Mobile US Inc168,27610,272
VVC Exploration Corp.84,21010,207
D.R. Horton232,04110,173
Owens Corning Inc125,90510,123
Intertainment Media, Inc.119,64810,108
ProShares Trust ProShares UltraShort Nasdaq Biotechnology275,45810,083
Mitel Networks Corporation1,085,15210,070
International Hi-Tech Industries Inc.73,27910,033
Affiliated Managers Group52,6289,977
CNA Financial Corporation201,7569,957
NexPoint Credit Stategies Fund432,5119,939
The Ultimate Software Group40,6909,916
Sony Corp Ord204,6729,894
Firstrand Limited106,7859,890
Workday77,7999,889
Travelport Worldwide LTD604,1369,872
CornerWorld Corp.76,2149,825
Liberty Broadband Corporation114,6159,821
Cognex Corporation188,8359,818
KLA-Tencor Corporation90,0499,816
Nektar Therapeutics92,1489,792
CBS Corporation190,4089,785
Colony NorthStar Credit Real Estate, Inc.1,737,4959,765
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF162,1749,737
Material Sciences Corporation170,0949,685
Dollar General Corporation103,4139,675
LogMein83,6589,667
First Trust Advantaged Short Duration High Yield Bond Fund140,9659,663
Boston Properties78,2839,646
Arconic418,1869,635
Texas Capital Bancshares107,0899,627
Sabre Corp448,5419,621
Arkose Energy Corp.245,7549,602
Flow International Corporation220,7539,565
HFF192,3659,561
Eaton Vance Tax-Advantage Global Dividend Opp818,8779,474
Burlington Stores Inc71,0679,463
MainStay DefinedTerm Municipal Opportunities Fund500,3659,417
Avery Dennison Corporation88,6189,416
Lazard World Dividend & Income Fund605,5719,409
Wintrust Financial Corporation109,1669,394
iShares Gold Trust733,8849,342
REAL HIP-HOP NETWORK, INC181,1459,329
United Continental Holdings133,8089,296
Nuveen Massachusetts AMT-Free Municipal Income Fund376,0949,275
PIMCO Income Strategy Fund146,9859,265
Northern Trust Corporation89,3749,217
iShares MSCI Europe Financials Sector Index Fund76,3529,210
First Trust/Aberdeen Global Opportunity Income Fund353,5549,185
Inmarsat Plc.53,1989,183
Gramercy Capital Corp421,6129,162
Deutsche Tele Ag Ads745,8259,146
John Hancock Preferred Income Fund238,4449,144
Royce Focus Trust830,5549,111
American Airlines Group175,0769,097
Hydrocarb Energy Corporation293,0769,082
Selective Insurance Group179,2529,058
Torchmark Corporation107,4259,042
LIBERTY ALL STAR GROWTH FUND INC219,3799,016
CITIZENS FINANCIAL GROUP INC/RI214,7039,013
Petrominerales Ltd79,9249,007
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol307,0028,992
Annaly Capital Management Inc861,0948,981
Lincoln National Corporation122,8018,972
Teladoc, Inc.222,4568,965
Oaktree Capital Group225,8908,945
Evans Brewing Co Inc.770,6988,902
Schindler Holding AG180,9148,870
Glacier Bancorp230,7658,857
Worldpay107,4338,835
MSCI Inc126,7608,809
Cullen/Frost Bankers82,9778,801
ABAXIS124,5908,799
Dover Corporation89,2708,768
Entertainment Arts Research, Inc.157,6218,732
Lumentum165,9728,705
Weatherford International3,800,9658,704
Indofood Agri Resources Ltd.90,1718,663
American Homes 4 Rent430,8228,651
BioMarin Pharmaceutical Inc.106,5358,637
Genuine Parts Company96,0108,626
First Trust Energy Income and Growth Fund599,8988,621
Greif Bros. Corporation149,8268,618
LMP Capital and Income Fund Inc.680,7528,591
ABIOMED29,5208,590
Monolithic Power Systems74,1478,584
Rockwell Diamonds, Inc.49,1458,561
IL2M International Corp.54,4758,517
RBC Bearings Incorporated68,2518,477
ManpowerGroup73,3898,447
Verisk Analytics81,2038,445
Micro Focus International plc600,0148,424
Cemex S.A.B. de C.V.1,269,6638,405
Henry Schein124,9268,396
Cooper Companies36,4038,329
Halfords Group Plc143,5828,312
Avnet198,7208,299
AGCO Corporation127,7098,282
Graphic Packaging Holding Company538,6578,268
Service Corporation International234,2358,235
ISC8 Inc.73,8848,226
Textron Inc.139,2988,215
Intuit Inc.47,1828,179
Franklin Resources235,2088,157
Fortress Paper510,7068,146
Brookfield Real Estate Services236,1098,119
Canadian Pacific Railway Limited45,9548,102
IGM Financial Inc.319,8738,096
Blackstone / GSO Floating Rate Enhanced Income Fund8,215,0008,068
United Resource Holdings Group, Inc.46,6768,062
Dr Pepper Snapple Group68,0898,060
BlackRock Science & Technology Trust266,7208,023
Streamtrack, Inc.46,9008,016
Illumina33,8908,012
Vermilion Energy Inc 248,1227,999
Adient Ltd133,7997,996
HCP342,3107,952
James River Group Holdings, Ltd.223,8217,939
Intertainment Media, Inc.512,8677,903
Tapestry149,4997,865
SL Green Realty Corporation81,1387,857
Bank Of Montreal103,9337,850
The NASDAQ OMX Group90,9177,839
Banco Santander1,194,8537,826
Discovery Communications400,8687,825
John Hancock Tax Advantaged Dividend Income Fund359,0637,788
Royal Boskalis Westminster NV90,1177,741
CF Industries Holdings203,3867,674
SCOTTS LIQUID GOLD INC89,3097,658
Andeavor Logistics170,2407,628
Whiting Petroleum Corporation285,4117,628
The GDL Fund817,6427,620
Enlink Midstream, LLC518,3737,594
Sinclair Pharma plc.242,2637,583
ON Semiconductor Corporation309,9677,582
Amphenol Corporation87,9327,574
Ryanair Holdings Plc61,5277,559
Canada Strategic Metals, Inc.273,6137,541
Humet-PBC North America, Inc.27,9457,512
IAC/InterActiveCorp48,0337,511
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal249,1077,506
Wright Express Corporation103,2247,504
Knowles595,6507,499
Carmax Mining Corp.121,0747,499
Flaherty & Crumrine/Claymore Total Return Fund Inc309,8777,490
Monmouth Real Estate Investment Corporation495,5117,452
VGambling Inc.53,5647,451
ENI S.p.A.210,8577,450
Magna International132,2197,446
Street Capital Group154,7747,412
Wachovia Corporation5,7257,385
H & T Group PLC342,7537,379
Lions Gate Entertainment306,1427,372
Littelfuse35,2087,330
Arista Networks, Inc.28,7087,329
HCA Holdings75,4447,318
Lennar Corporation124,1017,315
Gabelli Dividend330,5577,305
Hexcel Corporation112,7177,280
Exchange Income Corporation173,9447,274
Fiat357,4517,257
WPP plc90,8257,225
Dril-Quip159,6097,150
Mitsubishi UFJ Financial Group Inc1,074,9227,137
Credit Suisse Group424,1567,122
Jumbo SA89,9427,098
AptarGroup78,6787,068
Renasant Corporation165,5877,047
JPMorgan Chase Bank NA118,3957,036
CoreSite Realty Corporation70,1147,030
Fidelity National Financial175,3227,016
Casella Waste Systems299,6637,006
Dreyfus Municipal Bond Infrastructure Fund, Inc.618,0136,982
Megacable Holdings SAB DE CV76,9826,974
PowerShares DB Precious Metals Fund259,9566,949
Smith (A.O.) Corporation109,1896,943
Esperance Minerals NL117,5756,928
Xylem Inc.89,8966,915
Synopsys82,9356,904
Duke Realty Corporation260,5446,899
Aqua Bounty Technologies Inc202,1926,887
Cars.com Inc.243,0246,885
ExactTarget751,1706,851
FTS International, Inc.112,4306,846
New York Community Bancorp Inc524,9556,840
Orix Corp Ads76,0836,837
Best Buy Co.118,3876,834
MasTec144,4636,797
Watsco37,4856,784
Pacific Booker Minerals Inc.92,7296,765
Regency Affiliates, Inc.114,3826,746
ConAgra Foods182,7226,739
Tower Resources PLC246,6156,655
Crane Company71,7246,652
Hormel Foods Corporation193,3696,636
CONDUENT Inc353,1976,584
ImmunoGen625,2996,578
Cannae Holdings, Inc.348,1316,566
PSL Holdings Ltd114,8866,540
AMP Ltd.44,1756,535
W.P. Carey Inc.105,1116,516
Oasis Midstream Partners LP804,1566,514
Williams Creek Gold Ltd.188,7866,500
Synovus Financial Corp.129,9376,489
USD Partners LP57,5006,488
PAA Natural Gas Storage293,5476,467
Koninklijke Philips Electronics168,7226,464
CatchMark Timber Trust, Inc.517,7066,456
Abercrombie & Fitch Company275,2126,443
Donaldson Company142,8486,435
Agora Holdings, Inc.177,5636,428
West Pharmaceutical Services72,7276,421
Albero Corp.68,8966,390
Coherent34,0616,383
Mazor Robotics103,6346,359
Lincoln Electric Holdings70,6886,358
Hubbell52,1546,351
KapStone Paper and Packaging Corporation184,2166,320
Flowers Foods288,6496,310
First Century Fox Inc Class A171,9576,309
CMG HOLDINGS GROUP, INC.19,5206,307
Victory Square Technologies Inc171,1506,289
Royal Caribbean Cruises Ltd.53,1636,260
Five Below85,1886,248
DaVita Inc.94,4356,227
Central Securities Corporation233,5136,225
Phillips 66 Partners129,8616,205
Deutsche Bank Aktiengesellschaft201,3616,184
Artisan Partners Asset Management185,5556,179
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal267,1326,179
United States Steel Corporation175,5276,177
Asbury Automotive Group Inc91,4496,173
VOYA Financial Inc122,1076,166
CNP Assurances SA223,7166,130
Viacom Inc.280,5106,113
Curtiss-Wright Corporation45,2376,110
Benefitfocus,Inc.248,9916,075
Hi-Crush Partners LP571,4036,057
Ulta Salon29,5576,038
Assurant65,9696,030
Tallgrass Energy Partners, LP159,5535,977
Turkcell Iletisim Hizmetleri AS624,6435,972
Epigenomics Ag Berli227,7125,971
Manulife Financial Corp319,4745,931
Hartford Financial Services Group114,7655,913
Liberty Silver Corp.308,2515,885
Hershey59,4105,879
Limited Brands153,5915,869
Diebold380,9835,867
Douglas Emmett157,9725,807
Shoprite Holdings Ltd.46,5975,806
Australian Pacific Coal Ltd.263,6345,805
IPG Photonics Corporation24,8185,792
PIMCO Dynamic Income Fund222,8835,788
Moody's Corporation35,8275,779
The Carlyle Group L.P.270,6485,778
Rockwell Collins42,7885,770
PriceSmart68,9175,758
BOK Financial Corporation58,1075,752
Leucadia National Corporation252,2005,733
Energizer Tennis Inc.96,0525,723
Iridium Communications Inc508,1015,716
Toll Brothers Inc.132,1075,714
NICE-Systems Limited60,7005,702
Universal Health Services48,1015,696
CASEY CONTAINER CORP51,8365,690
New Resource Bank148,0715,690
Pinnacle Financial Partners88,5215,683
Blackrock Enhanced Government Fund360,8335,683
Hadera Paper Ltd.157,3855,680
Therapy Cells, Inc.116,3215,666
Marvell Technology Group Ltd.269,5335,660
RingCentral88,9565,649
Dell Technologies Inc.76,7495,619
Pimco California Municipal Income Fund II53,8775,616
Catalent, Inc.136,3535,599
Tanger Factory Outlet Centers254,3465,596
Liberty Expedia Holdings, Inc.168,1625,582
MKS Instruments48,2015,574
Crown Cork & Seal Company109,7435,569
Tri Continental Corporation211,4935,564
Power Efficiency Corp.197,3175,562
STARWOOD PROPERTY TRUST264,9315,550
Landmark Infrastructure Partners LP333,0025,544
SRC Energy585,9595,526
Allete76,4915,526
Vanguard Short Term Government Bond ETF112,7855,516
Wisdom International Corp.78,7265,504
Control4323,4555,469
Comerica Incorporated56,9785,466
Cincinnati Financial Corporation73,5905,465
Heska Corporation69,0985,464
BofI Holding134,3955,447
Extreme Networks491,7615,444
F5 Networks37,6385,443
Entercom Communications Corporation561,9235,423
OGE Energy Corporation165,2855,416
John Hancock Preferred Income Fund III164,2805,403
SLM Corporation481,1255,393
Acushnet Holdings Corp.232,8145,376
Incyte Corporation64,1435,345
Barrick Gold Corporation445,5745,342
Martin Marietta Materials25,7065,329
VeriSign44,7325,303
APPLIED OPTOELECTRONICS, INC.211,1045,290
Biglari Holdings Inc.12,9285,280
JPMorgan Chase Bank NA105,5355,280
Autoliv35,9575,248
iShares FTSE China (HK Listed) Index Fund111,0045,244
TDC A/S132,1135,241
Companhia de Bebidas das Americas - AmBev720,8645,241
CommScope Holding Company, Inc.130,5005,216
Prudential Global Short Duration High Yield Fund, Inc.375,3245,209
Lazard Global Total Return and Income Fund98,4895,176
Unifirst Corporation31,8795,153
Methanex Corporation84,8565,147
Vectren Corporation80,4865,145
H. B. Fuller Company103,4285,143
Cheniere Energy96,2025,142
Horizons Betapro S&P/TSX Capped Financials Bear Plus ETF Unit Cl A215,8215,137
Fortinet95,8425,135
Campbell Soup Company118,4085,128
Dycom Industries47,4965,112
Liberty Broadband Corp59,8165,072
IDEXX Laboratories26,4455,061
Calamos Strategic Total Return Fund426,5585,046
FIRST FIXTURES, INC.196,9235,041
Wyndmoor Industries, Inc.43,9965,034
China Mobile (Hong Kong) Ltd.109,7855,023
Nemaura Medical Inc.127,6674,988
Xerox Corporation173,2174,985
Osisko Gold Royalties Ltd.191,7174,977
Jazz Pharmaceuticals plc32,9214,971
iShares S&P Global Clean Energy Index Fund31,2544,948
MICRO IMAGING TECHNOLOGY, INC.133,5754,933
Oaktree Strategic Income Corporation624,6044,928
Avaya Holdings Corp.219,9394,927
UBM Plc102,7564,892
Vanguard Energy Corporation52,8964,886
Rollins95,6494,881
Molson Coors Brewing Company64,1474,832
Amplify Energy Corp.183,0554,830
Intercept Pharmaceuticals78,1524,808
Helmerich & Payne72,1854,805
Bridge Bancorp142,9854,797
Doosan Heavy Industries & Construction Co., Ltd.110,4884,793
C&J Energy Svcs Inc.185,4774,789
CBRE Group99,8494,715
Duff & Phelps Corporation337,2654,712
Indianapolis Power & Light Co.137,9314,708
Domino's Pizza Inc20,1234,700
UNITED INSURANCE HOLDINGS CORP.245,0874,691
Socket Mobile, Inc.95,3074,684
Seeing Machines Ltd.109,4034,681
Nuveen California Dividend Advantage Municipal Fund 3263,3594,680
Hilton Worldwide Holdings Inc.59,2764,669
Nuveen AMT-Free Municipal Income Fund358,8254,665
Mettler-Toledo International8,0904,652
Nuveen Ohio Quality Income Municipal Fund338,5284,641
Tyler Technologies21,9504,631
ANSYS29,5374,628
Armstrong Flooring, Inc.200,9714,621
First Acceptance Corp.87,1544,617
Manhattan Associates109,3024,578
Scientific Metals Corp.147,9634,571
Agnico Eagle Mines108,1764,551
Flexion Therapeutics227,4414,546
CenterState Banks170,1854,515
Invesco Plc141,0284,514
Hawaiian Electric Co., Inc.115,8694,484
iShares II plc.35,1644,482
Cerus Corporation816,1954,473
Diamond Offshore Drilling304,4504,463
Gartner37,9174,460
FINISAR CORP282,0134,459
Global X NASDAQ China Technology ETF525,0914,458
Cubic Corporation69,8844,445
Vistra Energy Corp.213,1884,441
Guggenheim Equal Weight Enhanced Equity Income Fund326,6284,439
Nuveen Core Equity Alpha Fund304,0054,438
Advent Claymore Convertible Securities and Income Fund II294,3284,438
Tortoise MLP Fund277,1124,425
Global Payments Inc.39,6624,423
Infineon Technologies AG 23,4554,387
Ollie72,4574,369
Axalta Coating Systems Ltd.144,1354,351
JD.com Inc107,0594,335
New York Community Bancorp262,0314,310
Buckeye Technologies114,8964,296
TRI Pointe Homes261,0304,289
LKQ Corporation112,9324,286
Delphi Energy89,6704,273
Alpine Total Dynamic Dividend Fund476,8534,263
Oaktree Specialty Lending1,011,4204,258
Nuveen Municipal High Income Opportunity Fund448,7074,249
Banco de Guayaquil SA272,1364,245
VALVOLINE INC191,5284,239
Zions Bancorporation80,2224,230
Gardner Denver137,6934,224
Ballroom Dance Fitness Inc106,0754,212
South State49,3464,209
Nomad Holdings Ltd.267,2974,207
FSA Group Ltd.78,3114,190
Brighthouse Financial, Inc.97,4504,189
ICICI Bank Limited472,0714,178
MercadoLibre11,7094,173
NAVIENT CORP316,9354,158
Pacific Gas & Electric Co.94,2034,138
Dun & Bradstreet Corporation (The)35,2924,129
Ares Capital Corporation260,1394,128
Davis & Henderson In169,3824,125
GrubHub40,4164,101
PT Indosat Tbk155,1564,099
iShares37,8504,098
Texas Pacific Land Trust8,0984,093
Now Inc399,7844,086
MSA Safety48,9644,076
WESCO International65,4744,063
Knowledge Machine International, Inc.118,9294,063
EastGroup Properties49,1154,060
Kayne Anderson MLP Investment Company246,1054,053
Pitney Bowes Inc372,1344,053
CH Energy Group89,4174,050
Franco Nev Corp59,0834,041
Domtar Corporation94,9094,038
William Demant Holdings198,6224,014
Hopefluent Group Holdings Ltd218,6893,978
Allegion PLC 61,9043,967
Zebra Technologies Corporation28,4273,957
All Marketing Solutions Inc.58,9103,941
Snap Inc247,9713,935
Universal Display Corp38,7683,916
Silicon Motion Technology Corporation81,3673,915
Noble Energy Inc.129,1043,912
Hancock Holding Company109,9703,906
Enersys56,2683,903
Chemical Financial Corporation71,3003,899
PBF Energy114,9953,898
Nearmap Ltd.77,6103,893
Qualys53,4973,892
Qorvo55,0923,881
Telefonica SA393,0443,879
Enstar Group Limited18,4463,878
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp365,1743,867
South Jersey Industries137,2593,865
Match Group, Inc.86,8983,862
Gildan Activewear132,8653,837
Kemper Corporation67,1663,828
Aareal Bank AG84,9573,820
Hercules Technology Growth Capital314,6983,808
Tupras Turkiye Petrol Rafinerileri AS78,6013,803
EV Charging USA, Inc.241,3343,803
The Cheesecake Factory Incorporated78,7063,795
BT Group plc234,7273,793
The Graystone Company, Inc.27,2543,792
Liberty All-Star Equity Fund618,4573,791
Blackrock Debt Strategies Fund325,1583,778
CRISPR Therapeutics AG82,3313,763
Washington Trust Bancorp69,9833,762
Ohio State Bancshares, Inc.122,4693,737
Western Gas Partners87,4593,732
Arch Capital Group Ltd.43,5923,731
Fresenius Medical Care Corporation72,8333,720
Weibo30,8043,682
DCT Industrial Trust Inc65,0913,667
Icahn Enterprises L.P.64,1603,660
NutriSystem Inc135,4563,651
Goldman Sachs MLP Income Opportunities Fund240,2633,649
VANJIA CORP22,9933,647
EXACT Sciences Corporation90,3633,644
Fidelity National Financial109,1353,640
Quanta Services105,6823,630
Cirrus Logic89,3553,630
iShares S&P Global Timber &Forestry Index Fund46,2773,626
Blackstone / GSO Strategic Credit Fund115,0723,616
M&T Bank Corporation19,4903,593
iHeartMedia24,2953,584
Genesis Metals Corp.181,7913,583
AutoZone5,5023,569
Orange SA207,6563,547
Sirius XM Radio Inc.704,7613,529
The Weir Group145,3013,528
Canadian Natural Resources Limited111,8213,515
Blackrock Global303,3603,510
Asia Pacific Boiler Corporation58,4913,502
Western Asset Managed Municipals Fund244,3143,501
Informa196,0133,499
Yandex N.V.88,5183,492
Proofpoint30,7043,490
POSCO44,1753,483
Superior Energy Services412,2633,475
RSP Permian74,0393,471
Ally Financial Inc127,6243,465
Dominion Resources Black Warrior Trust225,7463,465
Floor & Decor Holdings, Inc.66,2743,454
DoubleLine Income Solutions Fund171,3283,440
Nordstrom70,9333,434
Fiduciary/Claymore MLP Opportunity Fund323,9373,421
Canon Marketing Japan Inc.93,7693,418
Nuveen Dividend Advantage Municipal Fund 3235,5773,418
Main Street Capital Corporation92,4363,411
lululemon athletica inc.38,2653,410
EnLink Midstream Partners, LP249,4533,407
Blackrock Corporate High Yield Fund151,2863,407
United Bankshares96,4343,399
Viper Energy Partners LP133,6233,395
Tiffany & Co.34,7043,389
Physicians Realty Trust217,5223,387
DiMi Telematics International, Inc.49,2423,385
Cleveland BioLabs485,6243,375
GWR Global Water Resources Corp.47,6753,375
Tenneco Automotive61,2973,363
Scana Corporation89,3933,357
Gabelli Global Small & Mid Cap Value Trust280,2073,353
Consolidated Communications Holdings305,4233,347
Microsemi Corporation51,6773,345
The Middleby Corporation26,9433,335
UA Multimedia, Inc.232,2613,333
Park National Corporation32,0043,321
Western Alliance Bancorporation57,1473,321
Liberty Media Corporation107,6293,320
IFAN Financial, Inc.28,6213,320
Hologic88,8253,319
Invesco Quality Municipal Income Trust278,5483,315
Cohen & Steers Dividend Majors Fund35,5273,315
Nuveen Build America Bond Opportunity Fund159,2403,311
AcuityAds Hldgs Inc.23,6083,286
Tortoise Pipeline & Energy Fund204,7883,285
Nuveen Arizona Dividend Advantage Municipal Fund246,4913,283
PayMeOn, Inc.212,4943,268
Blackrock MuniAssets Fund241,2503,254
Morgan Stanley Asia-Pacific Fund178,4523,250
National Health Investors48,1873,242
Encompass Health56,6353,238
Reliance Infrastructure Ltd.51,2783,210
TG Therapeutics, Inc.226,0173,209
Tortoise Energy Infrastructure Corporation128,3283,206
BlackRock Resources360,5143,201
Balchem Corporation39,0763,194
Syntel124,9183,189
Southern First Bancshares71,4533,180
Acadia Healthcare Company80,9433,171
Gimv Nv Act.495,1913,164
Texas Roadhouse54,6183,156
Oshkosh Truck Corporation40,7943,152
CoStar Group8,6323,131
Invesco Van Kampen Senior Income Trust266,3623,124
iShares MSCI66,8203,116
Pebblebrook Hotel Trust90,5923,112
Realogy Holdings113,7183,102
Advanced Micro Devices331,7853,092
Bank of Nova Scotia (The)50,0733,084
Acorda Therapeutics216,5393,080
Bright Horizons Family Solutions Inc30,8773,079
Axon Enterprise78,2013,074
Ramco-Gershenson Properties Trust248,0093,065
Live Nation Entertainment72,3623,049
Blackrock Diversified Income Strategies Fund40,3883,047
Signature Bank21,4623,047
Schneider National, Inc.116,3373,032
Quaker Chemical Corporation20,4573,030
Craft Brew Alliance161,7403,008
ECA Marcellus Trust I292,8182,992
BHP Billiton plc75,1422,985
Mdu Res Group Inc105,5772,973
JPMorgan Chase Bank NA123,7462,970
Equifax25,1142,959
Wildhorse Energy Limited154,6802,953
HEALTHEQUITY INC48,7162,949
Telecom Italia S.P.A.308,0262,948
VALE S.A.231,3812,943
PRA Health Sciences, Inc.35,2802,927
RLI Corp.46,1772,927
iShares MSCI ACWI Index Fund40,8172,927
Gentex Corporation127,0622,925
GGX Gold Corp.241,3702,922
State Bank Financial Corporation.96,8832,907
Agree Realty Corporation60,3952,901
Metals X, Ltd.84,9172,891
PowerShares NASDAQ Internet Portfolio22,5662,884
Dunkin' Brands Group48,3062,883
Extra Space Storage Inc32,9892,882
Huaneng Power Intl107,3102,881
Western Asset Bond Fund254,2332,878
NewStar Financial79,0142,874
CNH Global N.V.232,7132,872
Comverse, Inc.117,4652,858
Celanese Corporation28,4832,854
Spectrum Brands Holdings27,5072,853
Applied Industrial Technologies39,1042,851
Deutsche Telekom103,8282,850
Columbia Banking System67,2892,847
Scudder High Income Trust67,9622,846
Miller/Howard High Income Equity Fund249,0842,842
International Frontier Resources Corp.105,5072,820
NetEase10,0362,814
Power Integrations41,0572,806
Home Retail Group plc70,9792,803
Takeuchi Manufacturing Co., Ltd.28,4862,785
Eaton Vance Municipal Income Term Trust234,5082,772
New York Community Bancorp68,9382,764
JPMorgan Chase Bank NA45,5222,760
Putnam Premier Income Trust527,5382,759
Chuy's Holdings181,0452,759
Valley National Bancorp220,4932,747
PIMCO Commercial Mortgage Securities Trust52,5582,732
American Equity Investment Life Holding Company93,0672,732
Olin Corporation89,5852,723
CNX Coal Resources LP176,4162,722
Apollo Global Management91,8712,721
LPBP Inc133,4132,708
NFJ Dividend212,8872,704
Therapeutics MD Inc568,2332,700
Nuveen Arizona Premium Income Municipal Fund205,3192,698
Cadence Bancorporation98,7662,689
Wendy's Company (The)153,1352,688
AMN Healthcare Services Inc47,3542,687
Belden Inc38,9652,686
Open Text Corporation77,1942,685
SkyWest49,1842,676
BlackRock Energy and Resources Trust202,4152,676
Murphy Oil Corporation103,4172,672
Booz Allen Hamilton Holding Corporation68,9672,670
Wells Fargo Advantage Multi-Sector Income Fund204,3772,667
Evercore Partners Inc30,5862,667
India Fund107,9462,659
PUBLIC SERVICE CO OF COLORADO69,4502,656
Jones Lang LaSalle Incorporated15,1142,640
YY Inc.25,0872,639
Owens-Illinois121,7682,637
Santeon Group Inc74,7272,632
Patterson Companies118,4032,632
LaSalle Hotel Properties90,7372,632
Ligand Pharmaceuticals Incorporated15,9282,631
Kilroy Realty Corporation37,0482,629
Grupo Financiero Santander Mexicano366,3552,627
Synchronoss Technologies248,8572,625
Janus Henderson Group52,3472,621
Westinghouse Air Brake Technologies Corporation32,0672,610
Royal Bank Of Canada352,6752,610
AGNC Investment Corp.137,7162,606
Nuveen Credit Strategies Income Fund328,0722,605
Cohn & Steers Inc139,2392,602
Caesars Entertainment Corporation231,1722,601
The Providence Service Corporation97,8212,600
Colfax Corporation81,4642,599
Callon Petroleum Company196,0672,596
Bankshares Fayetteville Inc.2,0132,595
MANAGED FUTURES PREMIER GRAHAM L.P.65,5482,592
Planet Fitness68,5142,588
NextEra Energy Partners64,6872,587
Econocom Group SA97,5202,582
Cracker Barrel Old Country Store16,1802,576
Nuveen Build America Bond Fund116,7322,575
Race World International, Inc.21,3962,567
Principal Real Estate Income Fund59,0172,565
Compass Biotechnologies Inc.156,2852,563
Trans-Pacific Aerospace Company, Inc.61,9682,562
UBS AG165,9122,550
Knight Knox Development Corp.55,4252,550
America First Mortgage Investments412,7442,549
PowerShares Global Steel Portfolio174,5442,548
Quest Management Inc.25,3552,543
Ingles Markets75,1252,543
Prudential Short Duration High Yield Fund179,7082,539
Hyatt Hotels Corporation33,2532,536
Trex Company23,2782,532
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal40,3002,515
Sonoco Products Company51,8332,514
Eldorado Resorts, Inc.76,0622,510
Oil Optimization, Inc.105,0802,508
Barclays Bank PLC95,1662,506
JetBlue Airways Corporation122,9252,498
Community Trust Bancorp55,1552,493
Integrated Research Ltd.45,0572,493
Entegris71,0902,474
Exchange Bank (Santa Rosa, CA)62,4532,465
Tekla World Healthcare Fund192,0342,464
Ingevity Corp33,2222,448
Exponent31,1302,448
Eaton Vance Enhanced Equity Income Fund II174,9862,443
STMicroelectronics N.V.109,4392,439
The AES Corporation213,4022,426
CSG Systems International53,4852,422
Apache Corporation62,4882,405
Blackrock Muni Intermediate Duration Fund Inc183,0542,400
China Internet Cafe Holdings Group, Inc.38,9692,394
Bigsupersearch.com, Inc.55,0052,394
Independent Bank Corp.33,8312,392
Hewlett Packard Enterprise Co136,3912,392
China Lending Corporation479,7532,389
DineEquity36,3632,385
Nuvo Research Inc168,3052,380
BioTelemetry, Inc.76,3672,371
Horizon Pharma166,8442,369
BancorpSouth74,3392,364
First Sentry Bancshares Inc.33,2722,362
Liberty Global77,3662,354
Laredo Petroleum Holdings269,3172,346
BankUnited58,6192,344
Platform Specialty Products243,3092,343
Iren SPA13,0502,342
Lamar Advertising Company36,5942,330
Whirlpool Corporation15,1992,327
Reaves Utility Income Fund82,3202,324
Vail Resorts10,4382,315
Mellanox Technologies31,7682,314
Easterly Government Properties, Inc.113,4362,314
FIRST TRUST MLP & ENERGY INCOME FUND152,8262,300
Medidata Solutions36,5422,295
Sage Therapeutics, Inc.14,2292,292
Guggenheim Build America Bonds Managed Duration Trust106,4482,289
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal123,2642,287
Perrigo Company27,3492,279
ProAssurance Corporation46,9112,278
Merit Medical Systems49,8652,261
U.S. Stem Cell, Inc.35,3492,255
Schuff International, Inc.40,9242,246
Unity Energy Corp.113,3482,240
Okta, Inc.56,1162,236
Semgroup Corporation104,1242,228
Helen of Troy Limited25,5252,221
Dave & Buster's Entertainment53,1272,218
iShares23,0542,214
EMCOR Group28,4062,214
FGL Holding216,7112,200
Nexstar Broadcasting Group33,0282,196
American Campus Communities Inc56,6182,187
NuVasive41,7952,182
BWX Technologies34,3182,180
First Trust Exchange-Traded Fund II First Trust ISE Global Pla121,5802,174
Triumph Ventures Corp86,2172,173
Ritchie Bros. Auctioneers Incorporated68,9622,170
Wayfair Inc.32,0872,167
Bioheart, Inc.14,3312,165
Federal Realty Investment Trust18,6292,163
Tech Cent Inc.24,0472,162
AGIC Equity & Convertible Income Fund104,4312,161
America Movil113,1432,160
NewMarket Corporation5,3702,157
Darden Restaurants25,3112,157
BlackRock Utility and Infrastructure Trust108,8162,156
Computerized Thermal Imaging, Inc.73,5512,148
Bio-Rad Laboratories8,5902,148
International Spirit & Beverage Group, Inc. 46,1652,145
Beacon Roofing Supply40,3992,144
CrossAmerica Partners103,6342,131
HUBSPOT INC19,6622,129
Dex One Corporation28,4342,109
Ambarella43,0212,108
Ellies Holdings Limited22,9152,107
Jabil Circuit73,3222,107
Golden Valley Bank (Chico, CA)90,4262,101
Blackbaud20,6362,101
Sun Communities22,9912,101
Delaware Enhanced Global Dividend181,6602,100
GDS Holdings76,4032,097
Syneos Health58,8272,088
Vipshop Holdings Limited125,2532,082
Madison Ventures Inc.8,4462,076
Franklin Templeton Limited Duration Income Trust185,4782,072
Interactive Health Network30,7252,066
Invitation Homes Inc.90,3942,064
Putnam Managed Municipal Income Trust289,1432,064
Alkermes plc35,3592,049
Mammoth Energy Services, Inc.63,8942,048
Transdigm Group Incorporated6,6602,044
Semtech Corporation52,3082,043
Eaton Vance Corporation36,6902,043
Alarm.com Holdings, Inc.54,0702,041
NCR Corporation64,4272,031
Park Hotels & Resorts Inc.75,1102,029
Paramount Group, Inc.142,3332,027
Univar Inc.72,9232,024
FireEye Inc119,5242,024
EQT Midstream Partners34,2922,024
Evolva Holding AG91,6812,008
Varex Imaging Corp56,1072,008
Aramark50,7242,007
Cadence Design Systems54,5582,006
Portland General Electric Company49,5032,005
SPX40,6972,002
US-Dadi Fertilizer Ind International Inc.31,7192,001
Invesco Municipal Premium Income Trust170,5531,999
PENNYMAC FINANCIAL SERVICES, INC.2,000,0001,998
China Life Insurance Company Limited142,7001,996
Pacific Premier Bancorp Inc49,6091,994
EMERGING CTA PORTFOLIO LP36,8451,991
Mobile Mini45,7571,990
Cheniere Energy Partners LP Holdings, LLC666,8801,987
Kinder Morgan Canada Ltd63,8711,986
Teck Resources Ltd94,7931,976
KTL Bamboo International Corp.144,0751,974
Wheaton Precious Metals96,8301,972
Liberty Bancorp, Inc.67,3141,972
Williams-Sonoma37,3441,970
Victory Resources Corp.44,1071,955
Alpine Global Premier Properties Fund312,9261,953
CA Inc.57,5891,952
Stamps.com Inc.9,6971,950
DoubleLine Opportunistic Credit Fund90,3311,950
Jernigan Capital, Inc.107,6661,949
SodaStream International Ltd.21,1691,944
CACI International12,8371,943
RAYONIER ADVANCED MATERIALS INC.90,3861,941
Clough Global Equity Fund148,5101,937
AllianzGI Diversified Income & Convertible Fund84,8051,923
Jacobs Engineering Group Inc.32,4711,921
Colony Bankcorp2,050,0001,919
HSBC Holdings plc74,4471,917
Enerplus Corporation170,3981,916
Blackstone GSO Long Short Credit Income Fund120,4951,913
Paycom Software17,7271,904
Antero Midstream GP LP73,2471,896
Envestra Ltd.32,8351,881
Gabelli Multi-Media Trust Inc. (The)197,7851,879
CM Finance Inc228,7151,876
Summit Hotel Properties137,5091,871
Eaton Vance Municipal Income Trust98,6831,870
Union Equity, Inc.50,6911,861
American States Water Company35,0591,860
Integrated Drilling Equipment Holdings Corp.60,8241,859
Valmont Industries12,6601,852
Arch Coal20,0941,846
WellCare Helath Plans9,4551,831
Albany International Corporation29,1901,830
BGS Acquisition Corp.24,7041,827
Terramin Australia Ltd.39,9431,826
Atna Resources Ltd.30,3691,811
Kayne Anderson Energy Total Return Fund210,2461,808
WESTLAKE CHEMICAL PARTNERS LP29,5811,807
John Bean Technologies Corporation15,9191,805
Sprott Resource211,2371,802
Sarepta Therapeutics24,3101,801
Pitooey!, Inc.35,9011,799
Pan American Silver Corp.111,2161,796
Arris Group Inc67,5611,795
Eagle Energy Trust17,3651,790
Signet International Holdings, Inc.46,3221,784
Essent Group41,8231,780
Blackberry154,6731,779
Eaton Vance Ohio Municipal Income Trust142,8311,777
Foothills Exploration, Inc38,9501,774
MOPALS.COM, INC.47,3731,771
KNOT Offshore Partners LP89,1521,765
Ares Capital Corporation1,474,1051,764
Quidel Corporation34,0171,762
Nuveen Quality Preferred Income Fund 2179,9161,760
Cavco Industries10,1021,755
Access National Corporation61,1161,744
Integer Holdings Corporation30,8251,743
Telefonica Deutschland Holding AG113,5031,743
POWERSHARES DB US DOLLAR INDEX BEARISH FUND102,4711,740
NTT DOCOMO67,9371,737
Spirit Airlines45,9001,734
Nuveen Intermediate Duration Quality Municipal Term Fund138,0661,734
Webster Ltd.31,2211,730
WageWorks38,2141,727
Verint Systems Inc.40,4981,725
Redfin Corp75,5001,724
Ellsworth Convertible Growth and Income Fund188,1471,722
SeaWorld Entertainment Inc.115,7591,717
Deutsche Euroshop AG45,2571,715
Commonwealth Business Bank (Los Angeles, CA)14,4601,712
Houston Wire & Cable Company233,2021,708
Radiant Creations Group, Inc.89,4931,704
ClearBridge Energy MLP Fund Inc.134,6391,695
Nuveen Global Government Enhanced Income Fund139,2461,693
Motorcar Parts of America78,7361,687
Woodward23,5111,685
Morgan Stanley China A Share Fund Inc.67,6481,684
JAGGED PEAK, INC.119,0411,682
Eaton Vance Limited Duration Income Fund128,6281,675
KB Financial Group Inc28,8751,673
Forward Air Corporation31,6051,671
Sleepaid Hldg Co47,5501,671
Aeolus Pharmaceuticals, Inc.83,5921,666
Valhi274,4651,663
Ziggo NV30,8621,660
BlackRock Municipal Target Term Trust Inc. (The)77,4571,651
International Speedway Corporation37,4101,650
UAN Cultural & Creative Co., Ltd.37,1211,649
Evolution Petroleum Corporation204,2321,644
First Majestic Silver Corp.268,4141,640
TCP Capital Corp.115,2351,639
First American Minnesota Municipal Income Fund II27,8901,637
J. Alexander's Corporation142,7411,634
Camden National Corporation36,6121,629
Central Europe and Russia Fund57,1031,625
Oceaneering International87,4821,622
Calamos Convertible and High Income Fund138,5141,621
Royal Alliance Ventures Corp.63,1951,617
Calamos Global Dynamic Income Fund179,8911,617
Bruker Corporation54,0161,616
Golub Capital BDC89,9861,610
Eagle Bancorp26,7771,603
Western Lucrative Enterprises, Inc.222,7761,602
Lithia Motors15,8151,590
Aaron's34,0931,589
United Fire Group32,9901,579
RPM International Inc.1,405,0001,578
J.B. Hunt Transport Services13,4321,574
Southwest Iowa Renewable Energy, LLC363,4211,574
Nu Skin Enterprises21,3251,572
First Priority Tax Solutions Inc.98,1021,570
Gulfport Energy Corporation162,3151,566
Deutsche Bank AG111,9691,565
athenahealth10,9221,562
BlackRock Credit Allocation Income Trust I123,0081,559
Lattice Inc.53,2571,556
Atlassian Corporation28,8581,556
Shinhan Financial Group Co Ltd36,5371,549
Aimmune Therapeutics, Inc.48,4961,544
Hess Midstream Partners LP30,4181,540
Etfs Commodity Securities Ltd.95,5991,524
Nuveen Energy MLP Total Return Fund152,5181,522
Sykes Enterprises52,5111,520
WD-40 Company11,5001,515
Crimson Exploration Inc.14,4681,506
Neuberger Berman Intermediate Municipal Fund Inc.109,4051,506
Kimco Realty Corporation104,5201,505
Western Asset Managed High Income Fund103,3461,502
Pure Pharmaceuticals Corp.75,2621,501
Nutanix, Inc.30,5181,499
Clipper Realty Inc.176,9821,499
Range Energy Resources, Inc.102,8421,495
Matador Resources Company49,9481,494
iShares II plc.40,2731,489
Penn National Gaming56,6701,488
CDK Global, Inc.23,4331,484
Valeant Pharmaceuticals International122,3011,483
Nuveen Preferred and Income Term Fund61,9631,469
WesBanco34,6801,467
Playa Hotels & Resorts N.V.143,0711,462
Patterson-UTI Energy83,3941,460
UAN Power Corp.89,0411,456
Gabelli Equity Trust237,2971,452
Lexington Realty Trust184,4031,451
Schawk39,6421,441
Plumas Bancorp57,8231,440
Grand Canyon Education13,6661,434
Sunoco56,0531,430
Gold Reserve Inc17,1461,427
Capstead Mortgage Corporation164,9921,427
Criteo55,0821,423
Builders FirstSource71,7161,423
Universal Electronics Inc.27,2141,416
Eaton Vance Tax-Managed Global Diversified Equity Income Fund95,0091,415
Cray Inc68,0871,409
BlackRock Multi-Sector Income Trust83,7691,406
THL Credit Senior Loan Fund81,6901,405
Steven Madden31,9601,403
Marriot Vacations Worldwide Corporation10,4941,398
Praxsyn Corporation36,7261,396
3D Systems Corporation120,4511,396
ROKU, INC44,7771,393
NexPoint Residential Trust, Inc.56,0011,391
Carlisle Companies Incorporated13,2981,388
Charter Oak Bank23,4671,385
Compass Minerals Intl Inc22,9691,385
Allison Transmission Holdings35,3671,381
Aerie Pharmaceuticals Inc.25,4541,381
Upland Software, Inc.47,9491,380
BLACKROCK LTD DURATION INCOME TRUST90,9231,371
Dorman Products20,6281,366
KBW Inc44,0251,366
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF14,8821,360
Hudson Pacific Properties41,6891,356
Rayonier Inc. REIT38,3941,351
Rapid7, Inc.52,5351,343
Steelcase Inc.98,5901,341
Crestwood Equity Partners LP52,1931,336
Cypress Semiconductor Corporation78,7611,336
Nuveen Michigan Dividend Advantage Municipal Fund56,1811,334
PetMed Express31,9241,333
ADAMANT DRI PROCESSING & MINERALS GROUP73,2241,333
Bluegreen Corporation109,2561,333
M.D.C. Holdings47,7291,333
GW Pharmaceuticals11,7571,325
Monroe Capital107,7481,325
Cotiviti Holdings, Inc.38,2611,318
Enbridge Energy136,3131,314
Regal Beloit Corporation17,8641,310
Brunswick Corporation21,9701,305
Dassault Aviation15,6011,305
Fortune Brands Home & Security22,0791,300
Towne Bank45,3701,298
Rite Aid Corporation786,0531,297
RIVERNORTH OPPORTUNITIES FUND, INC.63,4821,292
Community Bank System24,0971,291
Acco Brands Corporation102,8911,291
Lamb Weston Holdings, Inc.22,1651,290
Innovate Biopharmaceuticals, Inc.19,9801,283
Government Properties Income Trust93,4411,276
Blackrock Corporate High Yield Fund V Inc101,3941,275
Opko Health Inc436,2401,273
Tableau Software15,7351,272
Cornerstone Strategic Value Fund83,2021,271
Lennox International6,2211,271
Nuveen Floating Rate Income Fund116,3421,267
Isagen SA54,8481,267
U.S. NeuroSurgical, Inc.20,9361,265
WPX Energy85,2181,260
Vulcan Materials Company11,0361,260
Neuberger Berman High Yield Strategies Fund112,7171,256
First Midwest Bancorp50,9931,254
CONSOLIDATED GEMS, INC.43,0681,248
EEStor Corporation34,9321,248
Western Asset Municipal Partners Fund57,3691,247
Sterling Bancorp55,2031,245
LAUREATE EDUCATION, INC.90,4771,244
Triangle Capital Corporation111,2301,238
db x-trackers Sicav28,8781,224
2U, Inc.14,5491,223
Norwegian Cruise Line Holdings Ltd.23,0471,221
First Trust52,4031,219
AdvanSix Inc.35,0241,218
SPX Corporation37,4091,215
Putnam Municipal Opportunities Trust104,0671,213
National Retail Properties30,8621,212
New England Service Co.75,2121,211
Civeo Corp321,0761,210
Resources Connection74,6481,209
Anglo Am Plc Adr41,5331,207
Advent Claymore Convertible Securities and Income Fund152,4241,207
Veeva Systems16,5221,206
Capital Southwest Corporation70,7951,205
Blackrock MuniYield New Jersey Quality Fund86,6641,203
Nuveen Real Asset Income and Growth Fund74,1391,203
Schweiter Technologies AG Horgen35,6271,201
Kearny Financial91,7271,192
Welbilt61,2211,191
Alexandria Real Estate Equities9,4661,183
PetIQ, Inc.44,4341,182
AvalonBay Communities7,1881,182
Adventure Gold, Inc.18,4841,181
Cytosorbents Corp167,1001,178
Silver Spruce Resources Inc.48,5941,175
Hospitality Properites Trust46,3771,175
CSI Compressco161,6581,174
NeoPhotonics Corporation171,1671,172
Western Asset Mortgage Defined Opportunity Fund Inc89,7241,170
Red Rock Resorts, Inc.575,0001,163
BJ's Restaurants25,8231,159
Norbord31,9441,158
Weyco Group34,4281,157
Development Capital Group, Inc.157,7341,156
Dreyfus Strategic Municipals149,9291,156
ResMed Inc.11,6811,152
Elbit Systems Ltd.9,5701,151
Paratek Pharmaceuticals88,4941,150
Alliance Capital Management Holding L.P.42,6671,146
Symantec Corporation44,2391,144
Evermedia Group, Inc. (The)73,1281,140
Baker Hughes a GE Co41,0011,139
Nuveen New Jersey Dividend Advantage Municipal Fund92,7461,138
Japan Smaller Capitalization Fund Inc92,3121,135
Visteon Corp.10,2631,131
Farmland Partners Inc.135,4171,131
Desert Gold Ventures Inc.18,3781,129
Capital Product Partners L.P.361,7781,129
LTC Properties29,6891,128
MiMedx Group, Inc.161,5181,126
NN46,8861,125
Smith & Nephew SNATS29,4781,125
The Japan Steel Works, Ltd.900,0001,123
AquaVenture Holdings Ltd90,4551,123
Ctrip.com International24,0761,122
Health Insurance Innovations38,8201,122
Prestige Brand Holdings33,1741,119
Energous Corp69,7891,119
Eaton Vance Tax-Advantaged Global Dividend Income Fund44,5521,114
Columbia Sportswear Company14,5661,113
Cohen & Steers MLP Income & Energy Opportunity Fund122,4591,112
Synaptics Incorporated24,3001,111
IBERIABANK Corporation14,2321,110
Clough Global Opportunities Fund103,7241,110
Sprott Resource Lending Corp.183,2871,107
Western Asset Global Partners Income Fund66,1381,106
Rent-A-Center Inc.128,0361,105
TRIMOL GROUP INC16,1181,104
Entegra Financial Corp.38,0211,103
Blackham Resources Ltd.23,3871,102
Nuveen Diversified Dividend and Income Fund90,8501,100
Heemskirk Consolidated Ltd.40,6541,095
Blackrock MuniYield Michigan Quality Fund86,5861,094
Federated National Holding Company69,2291,092
Green Dot Corporation16,9851,090
Gaming Partners International Corporation32,5491,089
ProSiebenSat.1 Media SE33,0001,089
Atara Biotherapeutics, Inc.27,9321,089
THL Credit139,2231,082
ATRION Corporation1,7041,078
Exelixis48,6011,077
SolarEdge Technologies20,4401,075
Pack Fuerte, Inc.93,7341,073
The Cushing Royalty & Income Fund67,8991,068
Stepan Company12,8441,068
Editas Medicine, Inc.32,1011,064
National Instruments Corporation21,0351,064
Terreno Realty Corporation30,7721,062
China Lodging Group8,0511,060
Allegheny & Western Railway Co.44,6961,058
Knoll52,2091,054
JBG SMITH Properties31,2271,053
Malibu Boats31,6691,052
Becton18,0001,052
VOYA RETIREMENT INSURANCE & ANNUITY CO97,9161,051
Invesco Van Kampen Bond Fund58,2921,048
ORBCOMM Inc.110,8131,038
Benchmark Electronics34,7881,038
Bank of Commerce Holdings (CA)88,9061,036
Morgan Stanley Emerging Markets Domestic Debt Fund56,0931,034
YPF Sociedad Anonima47,8291,034
Bancroft Convertible Fund49,1531,032
Logitech International S.A.28,1871,030
Black Stallion Oil & Gas Inc.62,0781,027
LIVEWIRE ERGOGENICS INC.36,9591,027
China Fund46,3241,026
ZTO Express68,0391,020
Intra-Cellular Therapies48,2321,015
Genworth Financial Inc358,2751,014
The Andersons30,5091,010
Anthem18,7671,008
Lannett Co Inc62,7011,006
Copa Holdings7,8131,005
Two Hands Corporation65,1781,002
Yelp Inc.23,830995
Lifestyle Medical Network Inc.11,911995
Ultrack Systems, Inc.8,053992
Genesco Inc.24,354989
Banco Bradesco Sa51,232989
Houghton Mifflin Harcourt Co142,113988
Cornerstone OnDemand25,220986
Air Transport Services Group42,253985
Lithium Americas Corp.29,868985
Suburban Propane Partners44,700984
Eaton Vance Enhance Equity Income Fund66,540983
Sturm18,661980
QEP Resources99,867978
Evolution Technology Resources Inc.58,500978
Performance Food Group32,562972
Michaels Stores Inc49,297972
First National Bankshares Corp.20,545972
Teva Pharmaceutical Industries Limited1,108,000971
Aberdeen New Dawn Investment Trust Plc.70,239967
CBRE Clarion Global Real Estate Income Fund132,136966
Cresud S.A.C.I.F. y A.47,858964
Imperva22,191961
Newtek Business Services Corp.53,159961
Diamond Bancshares, Inc.11,146960
Hannon Armstrong Sustainable Infrastructure Capital, Inc.49,110958
Restaurant Brands International Inc.16,813957
China Natural Gas, Inc.10,804956
Nuveen California Dividend Advantage Municipal Fund87,497955
GCP Applied Technologies Inc.32,810953
Stellus Capital Investment82,687952
Legg Mason, Inc.32,217952
Pick n' Pay Stores Ltd.28,415952
Western Asset High Income Fund II Inc.65,096950
Drillsearch NL8,329950
Summit Materials31,311948
American Financial Group8,408943
Kosmos Energy Ltd.149,521942
AGIC Convertible & Income Fund II158,163941
Schuff International, Inc.18,376938
Penumbra Inc8,098937
Columbia Seligman Premium Technology Growth Fund42,656936
Keysight Technologies, Inc.17,864936
Schiff Nutrition International31,167934
iShares FTSE Developed Small Cap ex-North America Index Fund16,086931
Orbital Corporation Limited7,006929
Carrols Restaurant Group82,781927
UMH Properties68,953925
Argo Group International Holdings16,095924
Cutera18,345922
Blackrock MuniYield Quality Fund II76,103922
Stifel Financial Corporation15,466916
Pegasystems Inc.15,023911
Blackrock MuniYield Quality Fund64,650910
SWK Holdings Corp7,922909
National Research20,861908
Varonis14,986907
Intellisense Solutions Inc.5,535907
Group Ten Metals Inc.36,050906
Delek Energi Systems Ltd.22,215904
CNO Financial Group41,648903
CAE Inc48,479902
Bank of Hawaii Corporation10,818899
Algonquin Pwr & Util90,561897
Calamos Convertible Opportunities and Income Fund80,789897
The Hain Celestial Group27,899895
Nuveen Municipal Value Fund71,633895
Sina Corporation8,582895
Eplus Inc.11,512894
TWILIO INC23,359892
Atmos Energy Corporation10,566890
OWENS-ILLINOIS GROUP INC57,127888
MFS Multimarket Income Trust153,948888
Power Amers Minerals Corp.19,824885
Sensient Technologies Corporation12,510883
Accelerate Diagnostics, Inc.38,641883
HOULIHAN LOKEY, INC.19,789883
United Dominion Realty Trust24,784883
DSW Inc.39,274882
Royce Micro-Cap Trust93,961879
Iovance Biotherapeutics51,973878
EDGEWELL PERSONAL CARE Co17,943876
Advanced Semiconductor Engineering120,410874
Sanmina-SCI Corporation33,410874
Vanc Pharmaceuticals, Inc.74,470871
Materion Corporation17,044870
Meta Financial Group7,956869
STORE CAPITAL Corp34,987868
NEW GOLD INC.384,729867
Westar Energy16,477867
Mack-Cali Realty Corporation51,766865
Enviva Partners, LP31,526864
PC-Tel120,312864
Atlas Air Worldwide Holdings14,256862
TC PipeLines24,786860
Senior Housing Properties Trust54,784858
Chemed Corp.3,143858
PLAINS GP HOLDINGS LP39,347856
Trade Desk, Inc.17,243856
Wabash National Corporation41,092855
Associated22,825855
Eaton Vance Short Diversified Income Fund62,380851
Utah Medical Products8,596850
Macquarie Global Infrastructure Total Return Fund Inc.38,114846
Impax Laboratories43,506846
Amicus Therapeutics56,125844
NGL ENERGY PARTNERS LP76,624843
Sterling Construction Company Inc73,494842
Berkshire Hills Bancorp22,153841
ANI Pharmaceuticals14,420840
Cloudera, Inc.38,587833
FB Financial20,514833
USA Compression Partners, LP 48,940829
Spine Pain Management, Inc.22,979827
Guggenheim Strategic Opportunities Fund40,669826
ALLIANCEBERNSTEIN L.P.69,407825
Liberty Bell Bank42,164820
Treehouse Foods21,424820
Seritage Growth Properties23,027819
SunOpta115,222818
Athene Holding Ltd17,064816
Illumination Amer Inc700,000814
Flaherty & Crumrine Preferred Income Opportunity Fund Inc42,786813
Global Technlogies Corp.39,044809
Nuveen Pennsylvania Investment Quality Municipal Fund64,605809
Empire Resorts46,807807
FNB Bancorp, Inc.21,912806
Evoqua Water Technologies Corp.37,519799
StoneMor Partners L.P.128,587799
Heron Resources Limited HRR28,944799
TESSCO Technologies Incorporated34,377796
Apple Green Holding, Inc.45,256795
Neuberger Berman California Intermediate Municipal Fund Inc.97,153793
Blackrock MuniHoldings Investment Quality Fund60,517791
New Mountain Finance Corporation60,074790
Cameco Corporation86,530787
MarineMax40,301784
Rexnord Corporation26,262779
Union Bankshares15,317778
National CineMedia149,829778
Urban Outfitters20,970775
Sprouts Farmers Market Inc32,991774
Neurocrine Biosciences9,284770
Alcentra Capital Corp110,013766
HD Supply Holdings, Inc.20,155765
EPAM Systems6,675764
Forum Energy Technologies69,482764
Nuveen High Income December 2019 Target Term Fund45,526763
Cal-Maine Foods17,430762
Pioneer Municipal High Income Advantage Trust70,860760
iShares Oil Sands Index ETF11,951760
iShares S&P India Nifty 50 Index Fund21,427758
Camping World Holdings23,514758
InterXion Holding N.V.12,182757
Multiplex European Property Fund, Sydney NSW42,238756
LCI Industries7,247755
Triton International Ltd24,638754
Tivity Health18,938751
U.S. Silica Holdings29,442751
Chesapeake Energy Corp.248,771751
Eaton Vance Pennsylvania Municipal Income Trust65,193750
Calamos Dynamic Convertible & Income Fund38,029747
Intellecta AB300,000746
TPG Specialty Lending, Inc.41,500741
TEGNA65,014741
Cimpress4,786740
Virtus Total Return Fund65,789738
Eaton Vance Risk-Managed Diversified Equity Income Fund81,984737
Far Eastone Telecommunication Co., Ltd.74,980736
Americas Silver Corporation13,430728
Dualex Energy International, Inc.15,659727
Guggenheim Credit Allocation Fund33,861726
priceline.com Incorporated450,000722
Voya SENIOR INCOME FUND119,201720
Scholium Group PLC18,772718
BC Moly Ltd.6,426717
World Fuel Services Corporation29,076714
Water Technologies International,Inc.23,393713
Allscripts Healthcare Solutions57,670712
NATIONAL MENTOR HOLDINGS, INC.22,003711
Red Robin Gourmet Burgers12,237710
Kulicke and Soffa Industries28,405710
Cavium8,932709
Scheid Vineyards, Inc.10,241708
UMB Financial Corporation9,724704
Tanke, Inc.28,591702
Nuveen California Dividend Advantage Municipal Fund 252,366701
Blackrock MuniVest Fund II70,311700
CONE Midstream Partners LP38,026699
Blackrock MuniEnhanced Fund65,664698
Trustmark Corporation22,413698
NEWMARK GROUP, INC.45,911697
Federated Premier Municipal Income Fund52,142697
GATX Corporation10,165696
Rightmove Plc70,222695
Silgan Holdings24,963695
iShares V PVC MSCI16,173693
United Community Financial Corp.21,852692
First Industrial Realty Trust23,595690
K2M Group Holdings36,414690
Templeton Global Income Fund60,935689
VOYA INSURANCE & ANNUITY CO.132,128688
bluebird bio, Inc.3,998683
MFS California Insured Municipal Trust116,783681
Corcept Therapeutics Incorporated41,368681
Selective Insurance Group11,137676
Virtusa Corporation13,937675
Nuveen Maryland Premium Income Municipal Fund55,630673
Fitbit131,904673
Etsy23,945672
ONE Gas10,139669
Greenhill36,094668
Nuveen Michigan Quality Income Municipal Fund52,713668
Brown Forman Corporation12,528668
Blackrock MuniYield Fund49,986668
Blackrock Capital and Income Strategies Fund Inc650,000668
Mednax11,997667
VEREIT95,523665
FRANKLIN FINANCIAL NETWORK INC.20,353664
Korn/Ferry International12,857663
JPMorgan Chase Bank NA9,503661
Sasol Ltd.19,384660
Cogent Communications Group15,158658
WhiteHorse Finance52,746655
GasLog Partners28,067654
Potlatch Corporation12,573654
Quanta Computer, Inc.14,562653
Vietnam Enterprise Investments Ltd.33,349652
ING Emerging Markets High Dividend Equity Fund67,838651
Penske Automotive Group14,683651
Xperi Corporation30,736650
Tallgrass Energy34,128649
Portola Pharmaceuticals19,861649
Apptio Inc22,875648
EVERBRIDGE, INC.17,665647
Noah Holdings Ltd.13,689646
Ryder System8,853644
Nuveen California Investment Quality Municipal Fund47,482643
Box Ships Inc.31,234642
PolyOne Corporation15,045640
Simulations Plus43,348639
H&E Equipment Services16,578638
Euronet Worldwide8,046635
WisdomTree Middle East Dividend Fund16,396634
Amphastar33,752633
Nabors Industries Ltd.90,524633
The Hanover Insurance Group5,328628
Green Plains Partners LP36,020627
Morgan Stanley33,303627
Tempur-pedic International Inc13,844627
Yirendai15,592627
Preferred Bank9,774627
Avangrid, Inc.12,244626
Peoples Bancorp of North Carolina20,325624
Ethan Allen Interiors Inc.27,137623
Prospect Capital Corporation94,893622
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 253,954622
Martin Midstream Partners L.P.45,922620
CBIZ43,072620
Spirit Realty Capital, Inc.79,745619
USG Corporation15,323619
First Trust Energy Infrastructure Fund11,253615
Highwoods Properties13,974612
Goldman Sachs BDC, Inc.32,002612
Sprague Resources25,436607
Thermon Group Holdings27,094607
TPI COMPOSITES, INC26,845603
Nustar Energy L.P.29,550603
Invesco Van Kampen Trust for Investment Grade Municipals51,156601
Kirkland Lake Gold Ltd.38,906601
Invesco Van Kampen Advantage Municipal Income Trust II56,598601
Jupai Holdings29,456600
Weingarten Realty Investors21,336599
Iridium Communications Inc1,561596
GAMCO Global Gold121,669595
Aberdeen Asia-Pacific Income Fund Inc125,314594
Eaton Vance Corporation28,753594
American Realty Investors15,826592
Dolan Company (The)11,836589
AK Steel Holding Corporation129,677587
Radius Bancorp Inc.16,317586
Midstates Petroleum Company, Inc.43,784584
Sanderson Farms4,904584
CorVel Corp.11,493581
Equity Lifestyle Properties6,618581
Cathay Pacific Airways, Ltd.14,530581
SiteOne Landscape Supply, Inc.7,449574
Blackrock Corporate High Yield Fund III16,699574
COLLEGIUM PHARMACEUTICAL, INC22,413573
Deutsche Borse AG18,305573
Ferro Corporation24,600571
Vicor Corporation20,000571
Emergent Biosolutions10,796568
DEWEY ELECTRONICS CORP7,672568
AeroVironment12,467567
Churchill Downs2,320566
Kinsale Capital Group, Inc.10,981564
SMART Global Holdings, Inc.11,304563
Simmons First National Corporation19,782563
ILG18,104563
Western Asset High Income Opportunity Fund116,744562
VirnetX Holding Corp141,887560
SunCoke Energy52,033560
Essex Property Trust2,321559
CENTER COAST MLP & INFRASTRUCTURE FUND65,807557
Managed Duration Investment Grade Municipal Fund32,785557
Blackrock Municipal Bond Trust38,938557
Pacira Pharmaceuticals17,761553
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.81,077552
ArcelorMittal17,314551
Summit Midstream Partners39,186551
Michael Kors Holdings Limited8,847549
CymaBay Therapeutics42,230549
ICHOR HOLDINGS, LTD.22,574547
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal11,077545
Nuveen Virginia Premium Income Municipal Fund43,973544
Western Asset Municipal Defined Opportunity Trust Inc25,394542
Outfront Media28,898542
Virtu Financial16,435542
ETFS Precious Metals Basket Trust8,398540
Home BancShares23,673540
ANAPTYSBIO INC5,165538
AveXis, Inc.4,340536
ServisFirst Bancshares, Inc.13,133536
Hill-Rom Holdings Inc6,141534
FIBROGEN INC11,534533
Insulet Corporation6,143532
Ladenburg Thalmann Financial Services Inc162,832532
RHB Capital5,569531
Nathan's Famous7,185531
Vector Group Ltd.26,033531
Nuveen California Select Quality Municipal Fund40,751530
Natus Medical Incorporated15,752530
Hamilton Bancorp, Inc.36,973527
Spirent Communications Plc.7,290527
Zayo Group Holdings, Inc.15,433527
ISHARES VI PLC5,748525
A.H. Belo Corporation12,187524
Petroleo Brasileiro S.A.- Petrobras36,956523
Buckle23,622523
Gap16,737522
ASA Gold and Precious Metals Limited49,987521
Kimball Electronics, Inc.32,246521
INTREXON CORP33,917520
Rogers Corporation4,340519
Nuveen Select Tax Free Income Portfolio II36,344517
CNOOC Limited3,493517
Kinross Gold Corporation172,601517
Highlands Bankshares, Inc.28,175516
Gladstone Capital Corporation59,780514
CAM Group, Inc.9,969513
Community Svgs Bancorp Inc21,276509
Blackrock Municipal Income Quality Trust38,414505
St. Joe Company (The)26,749504
Hancock Fabrics, Inc.24,452501
Nuveen Equity Premium and Growth Fund29,198500
Ituran Location and Control Ltd.15,942496
ANTERO RESOURCES Corp24,963496
Nuveen Municipal Income Fund42,484495
Helios Advantage Income Fund19,454494
Alliance Resource Partners41,659493
Veeco Instruments Inc.28,923492
PIMCO Municipal Income Fund III38,952491
Omeros Corporation54,400490
First Foundation Inc.26,438490
Omnicell11,295490
iShares S&P Global Nuclear Index Fund14,405489
NetSol Technologies Inc.106,369489
CyberArk Software9,550487
Cincinnati Bell Inc9,928486
UBS AG22,959485
Terra Nitrogen Company12,935484
Seattle Genetics9,220483
Tetra Technologies9,849482
John Hancock Hedged Equity & Income Fund29,318482
Infinera Corporation44,069479
Blackrock Core Bond Trust36,554479
GLAUKOS Corp15,470477
Nuveen Intermediate Duration Municipal Term Fund37,838475
Corporate Office Properties Trust18,341474
Blackrock Health Sciences Trust13,522473
Cohen & Steers Closed-End Opportunity Fund37,964468
CareTrust REIT, Inc.34,930468
Vedanta Res Plc26,578467
Luxoft Holding Inc11,408467
Kennedy-Wilson Holdings Inc.26,720465
Avista Corporation9,068465
Zogenix11,522461
Nuveen S&P 500 Dynamic Overwrite Fund65,176461
Brookfield Renewable Energy Partners L.P.14,755459
Arkansas Casino, Corp.9,200459
MINDBODY, Inc.11,769458
Pinnacle Bank15,167457
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal10,639457
Cohen & Steers Select Preferred and Income Fund17,546457
Arrin Corp.10,358457
Subsea 7 SA ADR 4,354457
Ares Management21,357457
NRG Energy14,920456
Weight Watchers International Inc7,140455
Thailand Iron Works Public Co.4,558454
Biohaven Pharmaceutical Holding Co Ltd.17,604453
Cabot Oil & Gas Corporation18,841452
Genomic Health14,338449
Massachusetts Health and Education Tax-Exempt Trust100,577448
Banco Bilbao Viscaya Argentaria S.A.56,619447
HarborOne Bancorp, Inc.25,337447
Genpact Limited13,924445
Blackrock Floating Rate Income Strategies Fund Inc30,500443
Global Net Lease26,164442
theScore Inc.14,339441
IQE Plc16,000441
Barnes & Noble Education, Inc.63,992441
Infinity Energy Resources, Inc.13,749441
Vonage Holdings Corp.41,297440
Harley-Davidson10,240439
Pimco Corporate & Income Opportunity Fund25,884438
Southwest Gas Corporation6,459437
Ship Finance International Limited30,436435
Voyager Therapeutics, Inc.45,713434
TIER REIT INC23,370432
First Commonwealth Financial Corporation30,528431
Apollo Investment Corporation82,538431
AAON11,016430
Advent/Claymore Enhanced Growth & Income Fund76,770430
Progenics Pharmaceuticals Inc.57,578430
CubeSmart15,261430
Hawaiian Electric Industries12,460428
Kimball International25,107428
WisdomTree Investments46,576427
Ericsson66,732427
Ashland Inc.6,116427
QTS Realty Trust, Inc.11,753426
Tech Data Corporation4,990425
8point3 Energy Partners LP34,865424
Invesco Van Kampen California Value Municipal Income Trust34,677424
Golar LNG Partners LP24,750423
Virtus Global Multi-Sector Income Fund38,456423
Eagle Pharmaceuticals7,990421
Piper Jaffray Companies5,074421
Blackrock MuniHoldings New York Quality Fund31,438421
Cohen & Steers Total Return Realty Fund35,531421
Alpine Global Dynamic Dividend Fund40,095421
Rockwell Medical80,676420
Forest City Realty Trust, Inc.20,736420
Boston Beer Company2,215419
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd48,453419
IDACORP4,737418
Mobile TeleSystems36,492416
National Beverage Corp.4,669416
Poage Bankshares21,814414
Bloomin' Brands17,046414
Universal Stainless & Alloy Products14,938411
Ark Restaurants Corp.15,930410
Preferred Plus Trust Ser QWS 2 Tr Ctf28,901410
CHS Inc45,206409
J & J Snack Foods Corp.2,986408
RPC22,652408
Pimco Corporate & Income Stategy Fund4,094408
Pope Resources5,797408
MFS Intermediate Income Trust103,538407
International Bancshares Corporation10,385404
Guess?19,380402
Bayport International Holdings, Inc.30,000401
Supernus Pharmaceuticals8,762401
KLX Inc.5,633400
Tailored Brands15,920399
Black Hills Corporation7,346399
New York Times Company (The)16,531398
Mercury Computer Systems8,229398
Micronic Laser400,000396
BlackRock 2022 Global Income Opportunity Trust30,621395
Embraer-Empresa Brasileira de Aeronautica15,116393
Denbury Resources142,536391
Brookfield Incorporacoes SA33,337390
MFS Charter Income Trust47,902389
First Bancorp10,888388
Chimera Investment Corporation22,258388
Louisiana-Pacific Corporation13,410386
Venator Materials PLC21,319386
Kennametal Inc.9,605386
Anixter International Inc.5,089385
MGE Energy Inc.6,865385
EQT GP Holdings16,653384
Cidara Therapeutics, Inc.95,951384
CIENA Corporation14,808384
NEVRO CORP4,418383
Cantel Medical Corp.3,438383
Nokia Corporation69,846382
DCP Holding CO10,872382
Liberty Global12,160381
BLACKROCK INTERNATIONAL62,536381
Boyd Gaming Corporation11,920380
JPMorgan Chase Bank NA5,452380
Xenia Hotels & Resorts19,050376
Zillow Group6,929374
Douglas Dynamics8,618374
TCW Strategic Income Fund67,052373
Badger Meter7,909373
Mizuho Financial Group100,720373
MedEquities Realty Trust, Inc.35,518373
ACCELERON PHARMA INC9,478371
MUELLER WATER PRODUCTS34,118371
Akebia Therapeutics, Inc.38,761369
Seair, Inc.32,767369
Blackrock California Municipal 2018 Term Trust28,315368
Legacy Reserves LP78,060368
Proto Labs3,115366
Ralph Lauren Corporation3,258364
FRP Holdings6,500364
Brooks Automation13,413363
TopBuild Corp4,740363
Liberty Property Trust9,149363
Pattern Energy Group21,001363
Nuveen Tax-Advantaged Total Return Strategy Fund22,131362
Morgan Stanley India Investment Fund11,896361
Universal Corp.7,427360
Lakeland Financial Corporation7,795360
GAMCO Natural Resources56,202358
AutoNation7,659358
BioScrip144,800356
PIMCO Income Strategy Fund II34,049355
Globus Medical7,133355
ViewRay, Inc.55,100354
TripAdvisor8,643353
Chesapeake Utilities Corporation5,004352
ClearBridge Energy MLP Opportunity Fund Inc.35,649350
Bovie Medical Corporation118,000350
Horizon Technology Finance Corporation42,251348
One Liberty Properties15,737348
B2Digital, Inc.127,370348
Vericel Corporation34,907347
Sunrise Telecom, Inc.6,483347
iShares MSCI Emerging Markets Financials Sector Index Fund8,867346
Telephone and Data Systems12,342346
MGIC Investment Corporation26,424344
Select Income REIT17,656344
THC Biomed International Ltd.14,084342
Cable One, Inc.497341
City Telecom (H.K.) Limited29,525341
On Assignment4,164341
SM Energy Company18,849340
NVR121339
MOTIVATING THE MASSES INC9,859338
PowerShares Global Gold & Precious Metals Portfolio13,166338
Itron4,716337
Nuveen Global High Income Fund20,796335
SERVICEMASTER GLOBAL HOLDINGS INC6,590335
Almaden Minerals399,068334
GSV Capital Corp44,108333
Innoviva19,900332
Eldorado Artesian Springs, Inc.8,445332
Imperial Oil Limited12,533332
Federated Investors9,931332
Overstock.com9,154332
Neogen Corporation4,961332
Intersect ENT, Inc.8,452332
First Merchants Corporation7,940331
Investors Bancorp24,286331
MannKind Corp.144,359329
Boise Cascade Holdings LLC8,525329
TrustCo Bank Corp NY38,794328
MongoDB, Inc.7,560328
United Therapeutics Corporation2,906327
Casa Systems Inc11,132327
Horace Mann Educators Corporation7,593325
LabStyle Innovations Corp150,000325
El Paso Electric Company6,360324
Morningstar3,381323
Great Fingall Mining Co.23,827323
Blackhawk Bancorp, Inc.7,210322
Carolina Trust Bank8,156320
Orbotech Ltd.5,121318
RadNet22,051318
BlackRock Municipal Income Investment Trust22,751317
Tortoise Energy Independence Fund28,059316
NRG Yield18,567316
Pioneer Floating Rate Trust26,919314
WGL Holdings Inc3,751314
Kayne Anderson Acquisition Corp26,623313
First Trust Active Dividend Income Fund16,015313
Glatfelter15,221312
JP Morgan International Derivatives Ltd.4,893311
US Foods Holding Corp.9,472310
Arcos Dorados Holdings Inc.33,711308
Invesco Value Municipal Income Trust21,181308
Sabine Royalty Trust7,002308
ING Infrastructure Industrial and Material Fund20,239307
Momenta Pharmaceuticals16,909307
Gemphire Therapeutics Inc.46,954306
Advanced Info Service Public Co., Ltd.11,757305
OraSure Technologies18,051305
United States Oil Fund, LP23,277305
New America High Income Fund35,052305
Hortonworks, Inc.14,940304
Lam Research Corporation90,000304
Dynamics Research Corporation35,546304
Eaton Vance Senior Income Trust44,607304
Commercial Metals Company14,703301
Saia3,998300
Tata Motors Ltd11,661300
Westport Innovations Inc167,599300
Puma Exploration, Inc.4,390299
Seaboard Corporation70299
Invesco Van Kampen High Income Corporate Bond Fund68,003299
Pearson28,307298
STOCK BUILDING SUPPLY HOLDINGS, INC.8,488298
MCBC Holdings, Inc.11,740296
CarGurus, Inc.7,701296
McGrath RentCorp5,491295
Carriage Services10,666295
Inogen2,390294
Helios & Matheson Information Technology Inc103,475293
Nuveen Municipal High Income Opportunity Fund25,482293
Connecticut Water Service4,809291
The ONE Group Hospitality, Inc.12,558289
Aberdeen International Inc.31,545289
Frontier Oilfield Services, Inc.38,750288
Insperity4,128287
Schweitzer-Mauduit International7,327287
Marchex104,874286
INVESCO MORTGAGE CAPITAL INC17,467286
Western Asset High Yield Defined Opportunity Fund Inc.43,482285
Blucora11,547284
IMPINJ INC21,751283
Principal Financial Group Inc2,902283
Adaptimmune Therapeutics PLC25,140282
Herman Miller8,794281
Holly Energy Partners10,202281
Shell Midstream Partners, L.P.13,290280
Kite Realty Group Trust18,373280
Hersha Hospitality Trust15,647280
American Capital Senior Floating25,002279
Dick's Sporting Goods Inc7,968279
TESARO4,881279
Vornado Realty Trust4,144279
Nuveen Dividend Advantage Municipal Fund27,800278
Star Gas Partners29,710278
Fourlis Holding SA11,948276
CSRA Inc.6,677275
Tronox Limited14,913275
RE/MAX Holdings, Inc.4,527274
Mimecast7,721274
McEwen Mining Inc.131,955274
Provident Financial Services10,669273
YRC Worldwide30,778272
Foundation Healthcare3,448272
AGIC Convertible & Income Fund40,439272
Guggenheim Enhanced Equity Income Fund4,282271
Blackrock MuniHoldings Quality Fund II22,125271
Frontline Ltd.60,950270
Generac Holdlings Inc.5,884270
Q2 Holdings5,930270
Cott Corporation18,273269
Enduro Royalty Trust75,812269
Invesco Municipal Income Opportunities Trust36,200268
Century Casinos35,900268
Skechers U.S.A.6,884268
NEW RELIC INC3,618268
Ultragenyx Pharmaceutical Inc.5,231267
First Banks18,540267
Alliance California Municipal Income Fund Inc20,938266
First Financial Bankshares5,741266
Synergy Pharmaceuticals145,243266
Ellington Financial LLC17,883265
China Resources Enterprise Ltd.5,029265
Neuberger Berman Real Estate Securities Income Fund55,517265
Luna Innovations Incorporated81,459264
Intellia Therapeutics, Inc.12,527264
DROPBOX, INC.8,450264
Crown Marketing9,064263
Culp8,607263
BP Prudhoe Bay Royalty Trust10,983263
Putnam Master Intermediate Income Trust55,841262
China Unicom (Hong Kong) Ltd20,430262
Fair Isaac Corp1,541261
FATE THERAPEUTICS INC26,750261
Green Bancorp, Inc.11,726261
Cabot Corporation4,683261
AMERICOLD REALTY TRUST13,620260
Ares Dynamic Credit Allocation Fund, Inc.16,021260
La Jolla Pharmaceutical8,743260
Sangamo BioSciences13,627259
PowerShares DB Energy Fund16,965259
The Medicines Company7,818258
Trimble Navigation Limited7,153257
BeiGene, Ltd.1,529257
Compugen Ltd.57,470256
McDermott International42,063256
ING Global Equity Dividend and Premium Opportunity Fund35,074256
Ubiquiti Networks3,727256
Synalloy Corporation17,500256
Coupa Software5,599255
Calumet Specialty Products Partners36,133255
Teekay LNG Partners L.P.14,229255
Northwest Bancshares15,364254
PIMCO New York Municipal Income Fund III27,232253
Haemonetics Corporation3,460253
Amarin Corporation PLC83,925253
FS Bancorp34,618251
Pixelworks64,600250
VITAL THERAPIES INC36,682249
Mercer International Inc.19,992249
Liberty All-Star Growth Fund41,218249
PennantPark Investment Corporation37,264249
Patrick Industries4,016248
Fundthatcompany2,239248
Dynagas LNG Partners24,789248
European Equity Fund7,136247
Amerco716247
NETGEAR4,323247
Triumph Bancorp, Inc.6,000247
Eaton Vance Municipal Bond Fund II21,172247
Technip ADR8,399247
Tokyu Corp.13,767246
Nuveen New York AMT-Free Municipal Income Fund18,827246
INVESTAR HOLDING CORP9,500246
Western Gas Equity Partners, LP7,435246
Salient Midstream26,934245
BrightSphere Investment Group15,566245
Coffee Holding Co.56,450245
California Water Service Group Holding6,544244
Carrizo Oil & Gas15,219244
Hilton Grand Vacations5,654243
LivaNova PLC2,745243
Archrock Partners19,819242
Sun Life Financial Inc.5,899242
CytomX Therapeutics, Inc.8,515242
UNIVERSAL INSURANCE HOLDINGS INC7,536240
Blackrock Municipal 2020 Term Trust15,863239
Templeton Emerging Markets Fund14,692239
Veritone, Inc.17,100238
Performance Sports Group3,135237
Nuveen High Income November 2021 Target Term Fund24,500237
CPI Aerostructures24,295237
BELLICUM PHARMACEUTICALS, INC35,967236
Adecoagro S.A.31,344236
Pretium Resources35,429236
ENSCO plc53,732236
Peabody Energy Corporation6,435235
Franklin Universal Trust34,640234
SiM Internal Test 447,890234
Blueprint Medicines Corp2,556234
Achillion Pharmaceuticals62,850233
HUB Power Co., Ltd.5,522231
Bridgford Foods Corporation15,450231
Evolent Health16,173230
Kindred Healthcare, Inc.25,150230
Independent Bank Corporation3,204229
News Corporation14,457228
GME Resources Ltd.18,023227
Energy Revenue America, Inc.10,392226
Dime Community Bancshares12,270226
Pieris Pharmaceuticals, Inc.33,080226
Dthera Sciences5,170225
NewLink Genetics Corporation30,851224
Theron Resource Group23,017223
Pzena Investment Management Inc20,000223
Mwana Africa Plc.3,873223
GH Cap Inc.6,523222
Alliance National Municipal Income Fund Inc17,638221
Harsco Corporation10,710221
HighPoint Resources Corp43,233220
ALAMOGORDO FINANCIAL CORP2,002220
Tracon Pharmaceuticals, Inc.95,069219
ADURO BIOTECH, INC.23,449218
Deutsche Bank AG (London Branch)19,451218
Zendesk, Inc.4,540217
Nuveen Ohio Dividend Advantage Municipal Fund 223,540216
Rocky Mountain Ayre, Inc.17,950216
New England Realty Associates Limited Partnership3,060215
Ecopetrol S.A.11,100215
Allegiant Travel Company1,244215
Alamos Gold Inc. New41,246215
Brightcove Inc.30,800214
Central Garden & Pet Company4,985214
Capitol Federal Financial17,355214
Progress Software Corporation5,560214
Mallinckrodt Plc14,787214
II-VI Incorporated5,178212
MEDIFAST INC2,269212
PATRIOT TRANSPORTATION HOLDING, INC.11,428212
Cousins Properties Incorporated24,366211
Trinseo S.A.2,852211
AmTrust Financial Services17,127211
Aecom Technology Corporation5,908211
Liberty Media9,235210
Credicorp Ltd.920209
JELD-WEN Holding, Inc.6,800208
Anika Therapeutics Inc.4,160207
Source Capital5,192207
Nuveen New York Dividend Advantage Municipal Income Fund16,304207
Boardwalk Pipeline Partners L.P.20,275206
pdvWireless, Inc.6,855205
MiX Telematics13,200205
Lancaster Colony Corporation1,665205
Gabelli Utility Trust (The)32,780204
PBF Logistics LP10,988203
Pimco High Income Fund26,671202
Ampio Pharmaceuticals59,084201
MOBILEIRON, INC.40,534201
AAC Technologies Holdings Inc17,380200
Kayne Anderson Energy Development Company12,822200
Crown Crafts33,800199
Foamix38,500198
Nuveen High Income December 2018 Target Term Fund20,000197
Banco Santander Brasil SA16,404197
CASTLIGHT HEALTH, INC.53,200194
Teekay Offshore Partners L.P.84,402192
Apollo Senior Floating Rate Fund Inc.10,625191
ClearBridge Energy MLP Total Return Fund Inc.19,410191
Macatawa Bank Corporation18,610191
Vascular Biogenics93,142190
HMS Networks AB11,281190
PennyMac Mortgage Investment Trust10,494189
Agenus Inc.40,000188
Yamana Gold Inc.68,138188
Grupo Carso S.A. de CV11,778188
PPDAI Group25,186188
BlackRock Virginia Municipal Bond Trust11,566185
Vantage Goldfields Ltd,10,769185
Cenovus Energy Inc21,675185
Atlantic Capital Bancshares, Inc.10,155184
Avon Products64,890184
Manning & Napier52,300183
Western Uranium Corp17,055182
PCM, Inc.15,774179
Redwood Capital Bancorp (CA)11,565179
Nuveen Real Estate Fund18,343179
Macquarie Group15,286178
BlackRock Municipal Income Trust13,451177
Sogou21,500177
Blackrock Muni New York Intermediate Duration Fund Inc13,697177
Apollo Tactical Income Fund Inc.11,123175
Blackrock MuniYield California Fund13,101175
Carbo Ceramics23,850173
Lantheus Holdings10,840172
Stein Mart111,531170
Total Telcom, Inc.21,238169
Nimtech Corp.17,450169
Matica Enterprises Inc12,827169
Morgan Stanley Emerging Markets Fund21,554169
ChromaDex Corporation40,001168
United Cannabis Corp.10,374168
1-800 FLOWERS.COM14,200168
mCig, Inc.11,156168
Dreyfus Municipal Income20,648167
Global Partners LP10,868167
SSR Mining17,236165
Cypress Energy Partners29,542165
Nuveen California Municipal Market Opportunity Fund17,584164
Fortuna Silver Mines Inc.31,532164
Blackrock MuniYield California Insured Fund13,604164
Western Asset Global High Income Fund Inc17,250162
Cadiz12,000162
Banco Bradesco Sa13,433160
Blackrock MuniHoldings Fund II11,491160
Senseonics Holdings, Inc.52,400157
Retail Properties of America13,405156
MFS Municipal Income Trust23,798155
Gladstone Capital Corporation15,331155
Eaton Vance California Municipal Bond Fund13,568154
Karyopharm Therapeutics Inc11,423153
American Premium Water Corporation14,843153
Gol Linhas Aereas Inteligentes S.A.11,636151
Jianpu Technology27,342151
Seabridge Gold13,870150
Coeur d'Alene Mines Corporation18,640149
Pluristem Therapeutics108,793149
Orchids Paper Products Company18,015147
Pier 1 Imports45,715147
Blackrock MuniYield Investment QualityFund11,069146
Alexco Resource Corp107,877146
Global Logistic Properties Ltd.16,200145
KEMPHARM, INC17,827141
Novavax66,731140
VERACYTE, INC.25,000139
Gold Fields Limited34,547139
BlackRock Municipal Income Trust II10,286138
Sunrun Inc.15,365137
Franks International NV25,200137
Blackrock MuniHoldings Quality Fund10,892136
Tahoe Resources28,863135
Hecla Mining Company36,909135
Best Hometown Bancorp Inc12,989134
Nevada Gold & Casinos61,250134
Swiss Helvetia Fund10,633130
Madison/Claymore Covered Call & Equity Strategy Fund17,571128
TRANSENTERIX INC.73,966126
R.G. Barry Corporation14,152124
New York Mortgage Trust20,789123
Internap Network Services Corporation11,085122
Sandstorm Gold Ltd.25,490121
Endo Health Solutions Inc.20,177120
Brookdale Senior Living Inc.17,900120
The Cushing MLP Total Return Fund11,400119
Duff & Phelps Select Energy MLP Fund Inc.22,903118
Granada Gold Mine Inc.38,460117
Euronav13,900115
Pioneer Municipal High Income Trust10,032113
Hovnanian Enterprises Inc61,700113
Noble Corporation30,560113
Kratos Defense & Security Solutions10,852112
INSYS Therapeutics, Inc.18,233110
Geerlings & Wade, Inc.40,853108
San Juan Basin Royalty Trust13,700108
Cohen & Steers Global Income Builder11,618106
Great Lakes Dredge & Dock Corporation23,044106
Daktronics11,920105
Diamondrock Hospitality Company10,054105
TrueCar Inc11,000104
Willamette Valley Vineyards13,075104
Universal Security Instruments73,513104
BlackRock Income Trust Inc. (The)17,334102
Teligent29,900100
Nuveen High Income 2020 Target Term Fund10,07299
CORBUS PHARMACEUTICALS HOLDINGS, INC.15,88597
J CREW GROUP INC.32,22597
CVR Partners29,47996
Wells Fargo Advantage Global Dividend Opportunity Fund16,87696
GenMark Diagnostics17,55095
Dean Foods Company10,86194
Fairmount Bancorp Inc.21,65192
Maxwell Technologies15,24090
Ranger Energy Services, Inc.11,10090
Verastem29,48688
Acacia Diversified Holdings, Inc.25,14088
Crawford & Company10,81787
Destination Maternity Corporation33,60087
Pershing Gold Corp.42,22287
American Seniors Association Holding Group, Inc.14,54785
ZIOPHARM Oncology Inc21,72285
Student Transportation Inc11,16684
DC Brands International, Inc.52,19584
Wells Fargo Advantage Income Opportunities Fund10,37683
Barnwell Industries43,38081
VOC Energy Trust19,54880
Dawson Geophysical Company11,82380
The Herzfeld Caribbean Basin Fund11,16080
Pareteum31,93278
Information Services Group17,36273
HTG MOLECULAR DIAGNOSTICS, INC19,90072
Pandora Media14,29172
TravelCenters of America LLC19,66771
Clean Energy Fuels Corp.43,05071
First Trust Specialty Finance and Financial Opportunities Fund11,60870
Gold Standard Ventures Corporation38,71763
Community Health Systems15,53862
Kandi Technolgies12,60061
ServiceSource International15,88761
Novan20,00059
GNC Holdings15,08658
Tetra Tech15,41358
MFS Government Markets Income Trust12,02456
Celldex Therapeutics23,97056
GoPro, Inc.11,67356
Precision Drilling Corporation19,13853
Nordic Investment Bank27,56253
Gerdau S.A.11,00051
Keryx Biopharmaceuticals12,17150
NANOVIRICIDES, INC.60,00049
Sachem Capital Corp.14,00049
Groupon11,18949
WindStream Technologies, Inc.33,95048
Altimmune37,68444
Voxeljet12,65543
Sears Holdings Corporation16,09143
22nd Century Group, Inc.17,85042
Ascena Retail Group20,76742
PLx Pharma12,13041
Sonoma Pharmaceuticals11,04141
INVIVO THERAPEUTICS HOLDINGS CORP.74,00040
Genesis Electronics Group, Inc.25,00038
Seadrill Limited194,18238
Ceragon Networks Ltd.14,10038
Globalstar53,50037
Citius Pharmaceuticals Inc.12,00037
Dreyfus High Yield Strategies Fund11,08835
Torchlight Energy25,00033
Advantage Oil & Gas Ltd11,00033
Navios Maritime Partners LP18,36433
Plug Power16,64931
SOLIGENIX, INC.14,71029
ORGANOVO HOLDINGS, INC.27,32028
Mid-Con Energy Partners20,43928
Northern Oil and Gas14,10028
Research Frontiers Incorporated27,50027
SandRidge Permian Trust14,11927
Blue Apron Holdings, Inc.13,18326
Enviro-Serv, Inc.29,44926
WMIH Corp.17,43025
SandRidge Mississippian Trust I24,77824
Aegean Marine Petroleum Network Inc.10,70024
Pengrowth Energy Corporation34,71122
Southcross Energy Partners LP13,71122
Uranium Energy Corp.16,40021
Can Fite Biofarma Ltd.13,70020
Athersys10,92020
Ocean Electric Inc.18,70020
Northern Dynasty Minerals20,26318
Interpace Diagnostics Group, Inc.20,00018
Senomyx18,65817
CytRx Corporation10,37917
Link Motion10,50017
Eldorado Gold Corporation19,47216
Keegan Resources Inc16,34016
EVINE Live14,30015
Nexeo Solutions Holdings, LLC21,06515
Auryn Resources Inc.11,00014
EnSync Inc36,00014
AETHLON MEDICAL INC10,73013
Castle Brands10,80013
Polymet Mining Corp.13,50012
Jones Energy, Inc.13,49511
International Tower Hill Mines Ltd16,9009
TrovaGene22,0008
Denison Mine Corp16,5017
Biocept25,0007
Navidea Biopharmaceuticals16,0006
Golden Star Resources11,0006
EV Energy Partners28,0955
Synthetic Biologics14,0004
RAIT Financial Trust10,3332
Community Bank of South Florida Inc.36,9271

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