RAYMOND JAMES & ASSOCIATES

Most recent update: March 31, 2017

CompanyShares/WarrantsValue ($000)
Vanguard Natural Resources, LLC7,721,9931,670,661
Indo Tambangraya Megah PT11,964,3791,298,018
iShares19,006,4931,101,426
SPDR GOLD TRUST19,937,396938,640
Apple Inc.4,634,129651,293
iShares Trust iShares MSCI All Country Asia Information Techno13,016,232631,133
Microsoft Corporation8,939,931574,607
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi4,129,276469,914
Russell Exchange Traded Funds Trust Russell Small Cap Consiste3,809,830437,903
Verizon Communications Inc.8,675,059412,369
S&P Quality Rankings Glbl Equ Mngd Tr1,776,844406,203
AT&T Inc.9,803,161404,862
J P Morgan Chase & Co4,499,645387,236
Vanguard Natural Resources, LLC5,669,633366,738
PowerShares Global Coal Portfolio9,467,000330,877
Merck & Company5,307,307330,693
Alphabet Holding Company, Inc.382,985321,376
Johnson & Johnson2,588,500321,070
Chevron Corporation2,926,941307,968
AbbVie Inc4,845,737307,091
Exxon Mobil Corporation3,769,504306,912
Core Resource Management, Inc.4,333,203299,687
Altria Group4,007,747286,234
Pepsico2,522,394277,280
Pfizer8,364,931274,303
Procter & Gamble Company (The)3,013,664270,779
Ishares Income Trust Sector Index Fd5,657,940267,760
Philip Morris International Inc2,349,979265,314
Amazon.com287,096253,014
Coca-Cola Company (The)5,896,728244,361
Standard Parking Corporation775,955242,436
Cisco Systems7,068,635237,277
Imperial Petroleum, Inc.1,384,330237,031
First Trust High Income Long Short Fund5,936,197229,890
Berkshire Hathaway Inc.1,371,667228,629
McDonald's Corporation1,720,594223,008
United States Cellular Corporation1,329,434218,047
Facebook1,526,927216,900
Union Pacific Corporation1,910,029197,729
Comcast Corporation5,233,058195,354
Home Depot1,332,447191,661
Wells Fargo & Company3,317,302184,071
General Electric Co6,339,348178,991
Occidental Petroleum Corporation2,814,690178,339
Vodafone Group Plc6,746,689178,315
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap1,308,521175,424
Kimberly-Clark Corporation1,358,305172,809
B Communications Ltd.3,568,647157,731
Duke Energy Corporation1,887,418154,787
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu2,966,511149,781
Marathon Petroleum Corporation3,088,607149,599
Visa Inc.1,695,784149,180
Multi-Strategy Growth & Income Fund5,091,840148,122
National Financial Partners Corporation2,271,932144,222
BROADVIEW INSTITUTE INC655,869143,612
Sanofi3,165,523142,744
QUALCOMM Incorporated2,543,664142,308
Security Devices International Inc.1,515,308137,623
Allergan563,648137,596
GlaxoSmithKline PLC3,283,435135,827
Novartis AG1,796,145133,400
Southern Company (The)2,687,769132,457
Wal-Mart Stores1,818,766131,098
Dominion Resources1,690,042131,097
Eaton Corporation1,847,332130,795
Time Warner Inc.1,358,808128,084
Walt Disney Company (The)1,131,245127,102
TotalFinaElf2,517,848126,950
Bank of America Corporation5,334,998125,367
iTeknik Holding Corporation521,092123,642
Celgene Corporation968,044120,454
The Kraft Heinz Company1,382,016119,214
Oracle Corporation2,836,724118,935
Intel Corporation3,334,925118,872
Carnival Plc ADS2,100,221117,459
United Parcel Service1,123,884117,397
Honeywell International Inc.951,851116,007
CB Scientific Inc.888,041115,074
CVS Corporation1,461,367113,809
Microchip Technology Incorporated1,622,768112,598
PowerShares QQQ Trust847,736112,224
Crown Equity Holdings, Inc.1,178,662111,324
Astrazeneca PLC3,589,860111,226
Lockheed Martin Corporation401,834107,533
TE Connectivity Ltd.1,427,943106,453
PPlus Trust2,799,295104,666
3M Company540,587103,432
Bowl America, Inc.2,982,657102,962
Texas Instruments Incorporated1,238,72397,901
U.S. Bancorp1,914,39096,774
CME Group Inc.865,78896,623
Amgen Inc.619,71595,790
First Trust Senior Floating Rate Income Fund II2,251,70895,768
Medtronic1,222,81392,615
PNC Financial Services Group765,92192,094
Enterprise Products Partners L.P.3,364,54592,044
Abbott Laboratories2,127,88091,688
Dow Chemical Company (The)1,442,92191,683
Boeing Company (The)509,24090,066
BlackRock Maryland Municipal Bond Trust1,973,65488,222
Ventas1,344,13287,422
Ironclad Performance Wear Corp2,447,53287,303
International Business Machines Corporation516,87386,107
Biogen Idec Inc.310,31484,846
Air Products and Chemicals654,54383,893
Johnson Electric Holdings Ltd.1,999,70482,936
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF1,014,99681,991
Schlumberger N.V.1,039,72981,203
Anadarko Petroleum Corporation1,293,27480,183
Praxair651,90377,317
Therapix Biosciences Ltd1,959,78477,019
Weyerhaeuser Company2,249,49275,748
General Mills1,265,40374,672
Automatic Data Processing770,31374,330
Emerson Electric Company1,238,89674,160
Ultra Lithium Inc1,461,39972,105
E.I. du Pont de Nemours and Company896,08371,982
Raytheon Company466,87671,201
MetLife1,340,07770,783
Autodesk796,36168,861
Alibaba Group Holding Limited637,72868,766
Sport Chalet516,97067,994
Citigroup Inc.1,133,68965,968
Halliburton Company1,418,71265,922
Bristol-Myers Squibb Company1,199,56265,233
Fastenal Company1,266,59065,229
Omnicom Group Inc.778,95464,935
United Technologies Corporation577,98264,857
Seagate Technology.1,368,48962,855
Valero Energy Corporation959,98162,812
Target Corporation1,251,88862,156
Royal Dutch Shell PLC1,176,03362,014
Gilead Sciences909,21261,039
Corning Incorporated2,255,90860,910
Starbucks Corporation1,127,87560,637
priceline.com Incorporated33,87860,302
India Cement Ltd.405,42360,185
Wake Forest Bancshares, Inc.982,01959,540
ONYX Pharmaceuticals220,64159,538
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund2,040,05358,964
Reitmans732,50358,681
Vanguard International Equity Index Funds Vanguard Global ex-U785,71858,330
First Trust Exchange-Traded Fund II First Trust ISE Global Pla2,058,96658,057
Regal Entertainment Group2,565,76657,935
NXP Semiconductors N.V.571,68157,857
Taiwan Semiconductor Manufacturing Company Limited1,761,74857,856
Lowe's Companies735,38656,495
British American Tobacco Industries842,52755,876
Becton298,36954,738
Innocap, Inc.286,39954,676
General Dynamics Corporation291,75754,620
Cinemark Holdings Inc1,220,37354,112
Illini Corp.456,18853,790
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund768,56753,752
American Electric Power Company794,22453,316
Magellan Minerals Ltd.693,20453,314
Neenah Paper408,02252,378
Allstate Corporation (The)653,22552,360
PIMCO California Municipal Income Fund515,02852,352
Waste Management758,20952,128
Bank of the Ozarks1,000,47852,037
Sysco Corporation989,83351,392
Western Asset Emerging Markets Income Fund613,42350,626
Salesforce.com Inc625,12750,566
Willis Towers Watson386,29250,564
Phillips 66634,21850,243
PIMCO Flexible Credit Income Fund474,66548,895
Broadridge Financial Solutions709,90448,238
Interups Inc.462,07948,075
Reynolds American Inc758,57047,805
Cardinal Health585,65147,760
Mastercard Incorporated419,70747,204
vTv Therapeutics Inc.493,02947,021
Walgreens Boots Alliance614,47646,994
Goldman Sachs Group201,80846,360
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF530,27545,805
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND1,311,07945,499
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF373,66845,334
First Trust NASDAQ-100 Ex-Technology Sector Index Fund751,41445,199
Select Asset Inc.512,52845,077
Sector 5, Inc.837,87444,667
BlackRock116,06044,511
Anheuser-Busch Inbev SA403,32944,270
CyrusOne867,62343,965
National Fuel Gas Company736,69643,922
iShares FTSE EPRA/NAREIT Asia Index Fund411,80043,334
NVIDIA Corporation397,78143,331
American Express Company566,05143,183
Geo Group Inc (The)925,77742,928
LyondellBasell Industries NV470,66042,922
PayPal Holdings, Inc.992,38442,692
Vanguard Natural Resources, LLC890,58842,597
Diageo plc365,71342,269
Stark Naked Bobbers350,02442,192
VGTel, Inc.467,84042,079
Roper Technologies203,49542,022
High Country Bancorp, Inc.539,96741,929
Ingersoll-Rand plc (Ireland)529,83541,768
Motorola Solutions484,16241,745
Select Asset Inc.559,14941,578
Mondelez International987,79141,200
Caterpillar456,07041,048
GSM Fund Group Inc876,22240,990
Thomson Reuters Corp941,96140,721
Newell Rubbermaid Inc.879,82740,497
Marathon Oil Corporation2,555,33340,374
World Gaming plc339,62640,320
American Tower Corporation (REIT)331,61240,304
Noble Group Ltd.711,99340,023
W.W. Grainger170,09239,592
ConocoPhillips781,68838,983
Western Union Company (The)1,902,52238,716
Realty Income Corporation645,75338,442
Twitter2,527,82937,791
Costco Wholesale Corporation224,29737,612
Ryman Hospitality Properties606,36937,492
FVI Fondo Valores Inmobiliarios1,545,78937,161
Vertex Pharmaceuticals Incorporated338,97837,067
Russell Exchange Traded Funds Trust Russell Small Cap Contrari312,67436,948
Consolidated Graphics473,68536,786
Accenture plc.305,72036,650
iShares FTSE EPRA/NAREIT Europe Index Fund335,73536,583
Enbridge Inc871,95436,465
Financial Institutions1,629,77936,226
PPG Industries344,57736,209
eBay Inc.1,077,04536,156
Pacific Gas & Electric Co.539,97835,833
Polaris Futures Fund L.P.426,85135,770
Netflix241,77835,737
Federal Express Corporation179,89335,109
Danaher Corporation559,92835,058
iShares MSCI ACWI ex US Index Fund803,36935,044
Arthur J. Gallagher & Co.612,89234,653
iShares325,10134,639
Ameren Illinois Company627,52434,257
Nielsen CO B.V.819,40533,850
UBS AG1,156,09933,735
Pioneer Exploration, Inc.180,07433,535
STATIONDIGITAL CORP1,913,58232,875
Masimo Corporation351,78532,808
IntercontinentalExchange567,20632,713
Ibiden Co. Ltd.358,13332,627
The Blackstone Group L.P.1,194,71632,596
iShares Trust iShares MSCI Emerging Markets Latin America Inde866,37732,383
Bespoke Tricyles, Inc.2,842,65132,173
Applied Materials824,70632,081
Kinder Morgan1,474,01332,045
Eli Lilly and Company414,32732,034
Nucor Corporation551,41131,699
Adobe Systems Incorporated242,37331,540
Entergy Corporation413,56831,415
Citrix Systems375,56231,318
Freeport-McMoran Copper & Gold2,415,24731,229
Oppenheimer Holdings563,26330,805
Discover Financial Services448,82730,695
Boulder Energy Ltd.3,220,03029,946
The Bank of Kentucky Financial Corp.632,65529,880
SunTrust Banks538,61829,786
Vanguard Short-Term Corporate Bond ETF373,59229,783
Royal Kpn N.V.408,85429,737
Unilever NV596,84029,651
Aspen Pharmacare Holdings plc249,25329,584
Ionis Pharmaceuticals734,69029,535
Nike529,17829,491
Delta Air Lines Inc. (New)647,23329,221
Analog Devices367,24228,991
Harris Teeter Supermarkets254,67128,337
Illinois Tool Works Inc.213,86728,332
Uniti Financial Corp.1,092,86228,250
Spectra Energy Partners643,15928,080
Maxima Group, Inc.775,46027,666
Compass Minerals Intl Inc404,42627,440
First Trust NASDAQ-100 Equal Weighted Index Fund529,31327,313
Raymond James Financial378,41827,090
Mohawk Industries118,03427,088
Rogers Corporation607,71626,824
Thermo Fisher Scientific Inc174,26126,767
LPL Financial Holdings Inc.669,02326,647
CenturyLink1,126,30026,547
IEG Holdings Corp318,56126,438
Waste Connections298,49826,334
Legg Mason727,58126,273
Zoetis490,88726,199
Axis Energy Corporation389,36226,099
Envestnet280,29026,059
Huntington Bancshares Incorporated1,989,57725,909
Brown & Brown619,22025,834
RIGHTSCORP, INC.457,49425,542
General Electric Capital Corporation2,444,60025,479
Activision Blizzard510,21725,439
Marriott International290,61225,383
Aetna Inc.198,90425,370
Xilinx444,47925,151
Mylan Inc.642,24125,041
Sempra Energy226,13124,987
ENERGY TRANSFER PARTNERS683,07324,946
Blackrock Enhanced Equity Dividend Trust2,913,08624,907
Synchrony Financial770,50824,887
Redux Holdings, Inc.286,49424,782
Monotaro Co., Ltd.216,77324,539
Heico Corporation320,12024,502
International Paper Company482,21024,487
Pentair389,75824,469
MegaFon PJSC254,97424,404
Covanta Holding Corporation1,551,94424,365
Estee Lauder Companies295,71124,185
Weatherford International3,624,15824,101
Sappi Limited244,25323,978
TJX Companies301,00223,803
PacWest Bancorp446,90923,802
Stanley Black & Decker190,69723,626
McCormick & Company241,55323,564
NoCopi Technologies, Inc.98,25523,372
V.F. Corporation424,30423,324
Morgan Stanley543,86623,299
OWENS-ILLINOIS GROUP INC671,22623,225
General Motors Company655,34523,173
Express Scripts Holding Company368,21623,136
Relx1,184,40923,026
Paychex430,09422,850
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund209,61922,838
KSW Inc281,04822,824
Monolithic Power Systems247,38322,786
Kresta Holdings Ltd.417,17522,782
Oasis Petroleum Inc.1,595,49622,603
Ecolab Inc.178,61522,388
Industrial Services of America341,53322,220
ENERGY TRANSFER PARTNERS317,64722,204
iShares431,82122,097
Republic Services351,24322,062
Etfs Commodity Securities Ltd.164,79921,965
Edge Resources Inc.458,45221,877
ISHARES IV PLC483,18421,760
Williams Companies729,88821,597
Avnet470,53121,532
iShares S&P Emerging Markets Infrastructure Index Fund553,37821,416
Ulta Salon75,00021,392
Equifax155,89321,317
iSoftStone Holdings Limited677,42321,312
Prologis, Inc.410,38721,291
John Wiley & Sons395,41521,273
Berkshire Hathaway Inc.8521,237
Shire plc121,01021,084
Omega Healthcare Investors638,62721,069
Mid-America Apartment Communities206,94221,054
UBS AG (London Branch)1,314,76121,004
FTE Networks, Inc.405,81920,948
Envision Healthcare Holdings, Inc.341,55920,944
Steel Partners Holdings LP601,25220,900
Aflac Incorporated348,12420,868
Cognizant Technology Solutions Corporation349,37920,795
Colony NorthStar, Inc.1,604,26720,711
Fidelity National Information Services259,73020,680
Sabra Healthcare REIT739,29520,649
New Ulm Telecom, Inc.293,58920,393
Exelon Corporation618,08320,304
International Consolidated Airlines Group SA108,42920,296
Novo Nordisk A/S591,21620,267
Edison International253,51920,183
Canada Strategic Metals, Inc.748,98020,132
Marsh & McLennan Companies271,16720,037
Deere & Company183,81520,010
Prudential Financial186,99119,949
Fluor Corporation376,84719,830
Prudential Public Limited Company468,12319,830
Consumer Portfolio Services358,88619,588
Westpac Banking Corporation730,95819,531
Vanguard Energy Corporation143,59819,476
Hillenbrand Inc542,09419,434
Check Point Software Technologies Ltd.188,12219,313
VOIP PAL.com, Inc.161,16519,290
Archer546,24119,125
Goldman Sachs Group706,11119,105
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio290,47819,100
Healthcare Services Group441,70219,033
Newfield Exploration Company514,49118,990
Liberty Interactive Corporation946,04318,940
Capital One Financial Corp218,27618,916
Cintas Corporation149,43918,910
Diamondback Energy182,21518,898
Charles Schwab Corporation461,34918,828
Diamondhead Casino Corp.91,22418,823
Umpqua Holdings Corporation1,090,35318,771
BCSB Bancorp1,667,29718,740
TELUS Corporation577,18318,704
AmeriGas Partners396,97618,694
Targa Resources312,00318,689
iShares Trust121,49718,682
XBiotech Inc.319,54218,634
Centenera Mng Corp.259,02018,458
ASML Holding N.V.138,21718,355
Fifth Third Bancorp722,57518,353
Henry Schein107,93318,345
iShares MSCI Far East Financials Sector Index Fund221,79918,332
Simon Property Group106,54618,330
Matthews International Corporation270,36018,290
Stryker Corporation171,54518,213
iShares NASDAQ Biotechnology Index Fund61,83518,136
LaSalle Hotel Properties625,68618,114
Alexion Pharmaceuticals147,99017,942
Landstar Development Group, Inc.208,99217,900
Russell Breweries Inc136,03117,854
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF339,59017,835
Norfolk Souther Corporation177,18717,745
Colgate-Palmolive Company241,39517,668
Brookfield Infrastructure Partners LP457,30317,657
First Century Fox Inc Class A541,88717,552
Aircastle Limited726,25717,525
Darling International Inc.1,204,24817,486
Stericycle231,45517,374
Graco Inc.183,69317,293
J.M. Smucker Company (The)131,46217,232
Suncor Energy Inc.560,05317,166
National-Oilwell Varco427,12217,123
Camden Property Trust212,76317,119
iShares Trust iShares Barclays GNMA Bond Fund148,73717,053
First Trust Advantaged Short Duration High Yield Bond Fund426,92817,009
Clorox Company (The)125,78416,959
Wintrust Financial Corporation244,92416,931
Royce Value Trust1,208,63516,921
WestRock324,63716,891
ChemoCentryx217,84116,837
ETERNITY HEALTHCARE INC.880,30616,795
iShares158,53116,740
Vantiv260,22416,686
iShares MSCI Emerging Markets Materials Sector Index Fund189,94116,673
Hanesbrands Inc.801,83416,646
Peoples Financial Corporation912,85316,614
Nuance Communications1,189,79016,590
Markel Corporation17,00016,590
AO Mosenergo167,77916,439
First Trust Energy Income and Growth Fund1,089,41116,417
HSBC Holdings plc415,83116,408
Great Plains Energy Inc561,17716,398
First Tractor Co. Ltd.865,83316,182
Discovery Communications556,06016,176
Palo Alto Networks143,54816,175
Berry Petroleum Company333,00216,174
East West Bancorp313,31916,170
Fidus Investment Corporation953,17616,166
Tekla Healthcare Opportunities Fund843,83416,156
Delphi Automotive plc200,48916,137
Ross Stores244,78916,124
Quintiles Transnational Holdings Inc199,87516,096
CDW Corp276,43615,953
HCA Holdings177,77115,820
Labor Smart, Inc.109,74215,745
Agrium Inc.164,71215,738
Canadian National Railway Company213,02015,696
TheraBiogen Inc.141,47115,695
Wabco Holdings Inc.133,57115,684
Alleghany Corporation25,49715,672
Eagle Growth & Income Opportunities Fund922,49715,636
IDEX Corporation166,87715,605
UBM Plc331,33615,536
Cummins Inc.101,82115,399
Tesla Exploratin Services Inc.54,85015,265
Lloyds Banking Group Plc4,485,97915,252
Flow International Corporation314,29715,218
Air Lease Corporation390,59015,135
Adams Express Company (The)1,100,32515,129
Lamprell116,68414,978
Regeneron Pharmaceuticals38,63314,971
Zimmer Holdings122,37914,944
Flextronics International Ltd.884,16014,854
McKesson Corporation100,16814,851
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 142,86614,825
Alaska Power & Telephone Co.159,39314,699
Liberty Gold Corp.375,62414,567
CIGNA High Income Shares99,12214,520
Boston Scientific Corporation596,69714,447
Vectren Corporation246,37814,440
Crimson Wine Group Ltd.308,53114,362
Actuant Corporation543,52214,322
LEAP TECHNOLOGY INC / DE100,93714,291
Vanguard Intermediate-Term Corporate Bond ETF170,48714,254
General Electric Capital Corporation425,09114,245
Micron Technology545,04414,223
Regions Financial Corporation970,12514,096
State Street Corporation176,55914,056
Arris Group Inc524,59813,876
Vanguard Health Systems107,08513,794
Cedar Fair203,05713,769
Cimarex Energy Co114,89513,729
Toyota Tsusho Corp.126,34113,723
Xcel Energy Inc.307,82413,683
Rio Tinto335,09413,632
Timken Company (The)300,97613,604
Teva Pharmaceutical Industries Ltd.423,62713,594
Dolby Laboratories259,06713,578
Mascota Resources Corp398,84313,557
1st Colonial Bancorp, Inc.322,11813,539
BorgWarner Inc.322,69313,485
The Ultimate Software Group69,04613,478
Amdocs Limited220,17513,428
Edwards Lifesciences Corporation141,45513,307
Deutsche Global High Income Fund1,536,68513,295
iShares Commodity Optimized Trust255,95613,200
Brunswick Corporation215,50313,189
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal565,26313,148
STERLING CONSOLIDATED Corp284,34213,128
IBO (Listing Market - NYSE Amex Network B F)153,15412,945
Arrow Electronics278,65712,832
KeyCorp719,82612,799
SEI Investments Company252,33612,728
Jack Henry & Associates136,54712,712
Yum! Brands198,52412,686
STORE CAPITAL Corp529,76112,651
Waters Corporation80,78812,628
MICRO IMAGING TECHNOLOGY, INC.155,48812,529
Ramtron International Corporation227,58712,524
SMG Indium Resources Ltd.101,15012,427
First Trust Exchange-Traded Fund II First Trust BICK Index Fun631,34612,324
Digital Realty Trust115,63112,304
OGE Energy Corporation351,68012,302
CREDEX CORP111,46212,251
iShares MSCI Europe Financials Sector Index Fund98,06912,067
Parsley Energy369,13112,000
Parker-Hannifin Corporation74,84111,998
Adriana Resources, Inc.69,35911,966
Cohen & Steers Infrastructure Fund553,27311,923
Xponential, Inc.296,98211,917
Pinnacle Foods Inc204,71811,847
Avery Dennison Corporation146,71411,825
IHS Markit281,82311,822
DaVita Inc.173,89611,820
MPLX LP327,36411,811
Toro Company (The)189,03811,807
Cree440,93911,786
CoreStream Energy, Inc.216,87211,718
Firstrand Limited123,92811,626
Ares Capital Corporation2,032,55211,606
Anthem United, Inc.70,03911,583
PAA Natural Gas Storage366,22011,576
Medical Properties Trust897,18411,565
Deutsche Bank Aktiengesellschaft390,82211,564
Sumitomo Mitsui Financial Group Inc1,593,25411,551
Retail Opportunity Investments Corp.549,04611,546
Karelia Tobacco Co Inc158,60911,517
EQT Corporation187,82911,476
HCP365,16411,422
MSCI Inc210,35611,389
Energen Corporation208,02611,325
Hewlett Packard Enterprise Co475,46711,269
CBS Corporation162,21711,251
Vanguard STAR Funds Vanguard Total International Stock ETF225,83211,219
Advanced Visual Systems, Inc.75,18411,147
Church & Dwight Company223,14211,128
Charter Communications33,95411,114
Reinsurance Group of America87,29011,084
ABB Ltd472,19111,049
Albero Corp.104,57211,047
Smart & Final Stores, Inc.65,11210,982
Thor Industries114,15510,974
SL Green Realty Corporation102,68810,949
ProShares Trust ProShares UltraShort Nasdaq Biotechnology270,08910,944
Constellation Brands Inc67,48210,938
Signature Bank73,66610,931
American Homes 4 Rent475,94610,928
Alpine Total Dynamic Dividend Fund1,320,05010,904
Owens Corning Inc176,87010,855
Selective Insurance Group211,34910,845
Kreisler Manufacturing Corp.367,58010,840
Expedition Mining Inc85,82110,828
Lumentum215,42610,824
CleanPath Resources Corp.193,32810,753
Boston Properties81,13010,743
Computer Sciences Corporation155,61410,739
Electronic Arts Inc.119,65910,712
Wright Express Corporation151,56910,705
iShares Gold Trust889,12610,678
Post Holdings121,76410,657
Northern Trust Corporation123,03310,652
Concho Resources Inc.82,62710,604
VICTORY ENERGY CORP247,18010,595
Alliant Energy Corporation267,22910,585
Sutherland Asset Management731,85910,575
Sensata Technologies Holding N.V.241,51110,547
Metals USA Holdings Corp.142,92710,494
Hasbro105,06910,489
Jabil Circuit375,66210,487
U.S. Helicopter Corp.133,48010,477
The Cash Store Financial Services Inc.209,43810,472
Burlington Stores Inc107,58510,467
Tri Continental Corporation452,68310,466
Pebblebrook Hotel Trust358,20410,463
ManpowerGroup102,00810,463
Garmin Ltd.204,25310,439
DENTSPLY International Inc.166,95410,425
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG253,66310,362
Halfords Group Plc210,71610,289
LMP Capital and Income Fund Inc.721,88110,272
United Continental Holdings145,03910,246
New York Community Bancorp Inc733,12710,242
HealthSouth Corporation238,25510,200
AmerisourceBergen Corporation (Holding Co)114,59310,141
Torchmark Corporation131,53410,133
MarketAxess Holdings54,02210,129
Sunoco Logistics Partners LP411,26110,043
Independence Holding Company1,063,8689,969
Islet Holdings, Inc.95,3679,923
CBIZ333,3909,921
Parametric Technology Corporation188,7889,921
The Kroger Company403,6109,917
Core Laboratories N.V.85,7319,904
Metals X, Ltd.324,9339,884
Tractor Supply Company143,2589,881
Deutsche Bank Aktiengesellschaft673,1099,861
Dr Pepper Snapple Group100,2999,821
Six Flags Entertainment Corporation New164,6309,794
Italian Food & Beverage Corp65,6039,757
American Water Works125,2359,740
Franklin Resources230,5789,717
FactSet Research Systems Inc.58,7179,683
Lazard World Dividend & Income Fund746,2679,653
American International Group154,1639,624
Cerner Corporation163,2799,609
Commerce Bancshares170,9199,599
Akamai Technologies160,7539,597
AMC Networks Inc.163,4789,593
Sherwin-Williams Company (The)30,7519,539
Fiserv82,6779,533
Mobileye154,8059,505
Leidos Holdings, Inc.185,6949,496
Cavium132,2779,479
Yum China Holdings, Inc.348,3719,476
Icon Media Holdings, Inc.150,1209,449
Spirit Aerosystems Holdings163,0639,445
Aspen Technology159,7719,414
Annaly Capital Management Inc846,4419,404
Global X Funds Global X NASDAQ 500 ETF793,3489,398
Huntsman Corporation382,0529,376
Baxter International Inc.180,5219,362
Devon Energy Corporation224,0069,345
INCEPTION MINING INC.61,0269,342
Inca One Gold Corporation77,3069,332
Progressive Corporation (The)237,8239,318
Trinity Industries350,4229,304
Synchronoss Technologies379,6349,263
TD Ameritrade Holding Corporation237,5839,233
Honda Motor Company304,5359,215
Teleflex Incorporated47,4419,192
Jumbo SA109,1579,159
CornerWorld Corp.75,7999,129
Mednax131,2799,108
HD Supply Holdings, Inc.220,9449,086
Iridium Communications Inc1,191,9409,085
Cohen & Steers Quality Income Realty Fund Inc738,2849,074
CNA Financial Corporation205,3709,071
Rockwell Collins93,3149,066
PowerShares Global Wind Energy Portfolio410,3919,049
The NASDAQ OMX Group130,2439,045
ExactTarget1,061,3769,043
RMR Real Estate Income Fund.430,1119,032
V Media Corp98,0239,032
Street Capital Group224,2698,981
Knowles472,6268,956
Williams Creek Gold Ltd.218,8398,935
BHP Billiton Limited246,0138,935
FMB Equibanc, Inc.171,7318,894
Genuine Parts Company95,8808,860
Genesis Metals Corp.273,1268,855
Foothills Exploration, Inc117,6028,798
Crown Cork & Seal Company165,8068,779
D.R. Horton263,2788,770
Leggett & Platt174,2948,770
MainStay DefinedTerm Municipal Opportunities Fund455,2848,764
Sinclair Pharma plc.216,1168,753
Vail Resorts45,5318,738
Bank Of Montreal117,0338,726
Fortis263,3098,711
Evans Brewing Co Inc.796,1838,686
Coca Cola Icecek Sanayi As229,9758,668
Alliance Creative Group, Inc.34,7558,654
ConAgra Foods214,2248,642
Liberty All-Star Equity Fund1,580,8748,632
Huntington Ingalls Industries42,8988,590
Wynn Resorts74,9348,588
Copart138,5718,582
SVB Financial Group46,1028,579
APPLIED OPTOELECTRONICS, INC.152,2058,546
Regency Affiliates, Inc.128,6608,542
Koninklijke Philips Electronics264,9408,507
Stargaze Entertainment Group Inc.65,0668,507
International Hi-Tech Industries Inc.64,1708,504
RSP Permian204,8838,488
Primerica102,9278,461
Extra Space Storage Inc153,0608,457
C.R. Bard33,9448,436
INFORMATION ANALYSIS INC62,2948,422
Seeing Machines Ltd.192,9528,409
Tupras Turkiye Petrol Rafinerileri AS133,2348,356
Central Fund of Canada Limited648,7688,343
Clough Global Opportunities Fund810,0598,336
Hawaiian Telcom Holdco, Inc.110,7548,331
Lincoln National Corporation126,2238,261
Voestalpine AG80,8628,242
Coach199,2788,236
Eaton Vance Tax-Advantage Global Dividend Opp741,7418,211
Seven Generations Energy Ltd.68,3838,160
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF134,1498,155
Cohen & Steers Dividend Majors Fund81,6358,143
Best Buy Co.190,5988,116
MGM Growth Properties LLC296,5858,078
Buckeye Technologies117,1128,029
Fidelity National Financial206,1178,026
Loews Corporation170,6747,982
Hubbell66,4197,974
John Hancock Tax Advantaged Dividend Income Fund323,5517,969
Viacom Inc.222,7287,953
Cullen/Frost Bankers88,7707,898
Intertainment Media, Inc.475,8027,876
Fortive Corp130,4827,858
New York Community Bancorp461,8647,842
Rockwell Diamonds, Inc.50,2327,822
Bioverativ Inc.143,3077,804
T. Rowe Price Group114,4767,802
Hartford Financial Services Group162,0827,791
CommScope Holding Company, Inc.186,4697,778
Tesoro Logistics LP142,7737,777
IGM Financial Inc.349,1897,769
Barrick Gold Corporation408,4437,756
SCOTTS LIQUID GOLD INC82,9857,750
Pimco California Municipal Income Fund II73,4097,732
Hollywall Entertainment Inc.269,3087,632
Sprouts Farmers Market Inc388,4747,621
FleetCor Technologies49,9127,558
Dril-Quip138,4407,552
Nordson Corporation61,4337,546
SBA Communications Corporation62,4737,520
Juniper Networks269,6337,504
Material Sciences Corporation143,1387,502
First Trust/Aberdeen Global Opportunity Income Fund313,2777,494
Patterson Companies165,6137,491
ING Group496,3417,490
Align Technology65,2697,487
Cognex Corporation89,1307,482
Whole Foods Market265,8647,475
CA Inc.270,9127,469
NetEase26,2347,453
Universal Health Services59,8657,450
Physicians Realty Trust374,8127,448
LIBERTY ALL STAR GROWTH FUND INC191,3037,446
Fortinet194,0487,442
Validus Holdings130,8447,378
Delaware Enhanced Global Dividend670,4127,368
LAS VEGAS RAILWAY EXPRESS, INC.128,8677,354
Guidewire Software130,2737,338
Global X NASDAQ China Technology ETF631,2827,335
Entertainment Arts Research, Inc.99,1167,298
Whirlpool Corporation42,5327,287
KLA-Tencor Corporation76,4187,265
Liberty Broadband Corporation83,9197,251
Expeditors International of Washington128,3227,249
Schindler Holding AG162,5747,248
Southwest Airlines Company134,6867,241
Monmouth Real Estate Investment Corporation506,7027,231
PayMeOn, Inc.385,1777,214
Hershey65,9337,203
PulteGroup305,8327,202
Flaherty & Crumrine/Claymore Total Return Fund Inc293,3877,197
NetApp171,8577,192
Aercap Holdings N.V.156,3857,189
Fortress Paper481,3757,177
Silver Wheaton Corp342,5587,139
Textron Inc.149,2097,101
Hi-Crush Partners LP409,1807,099
Duff & Phelps Corporation435,4917,081
AGCO Corporation117,5547,074
NAVIENT CORP477,8727,053
JPMorgan Chase Bank NA245,7477,053
Megacable Holdings SAB DE CV87,0987,025
Main Street Capital Corporation181,9116,962
Diamond Bancshares, Inc.75,3126,951
Hologic163,1386,942
Enlink Midstream, LLC357,4176,934
Lazard Global Total Return and Income Fund149,9066,894
Credit Suisse Group523,8456,876
Kimco Realty Corporation311,1426,873
Nordstrom147,3406,862
The GDL Fund694,5826,835
PSL Holdings Ltd131,4986,831
Dollar General Corporation97,7226,814
Verisk Analytics83,8276,802
Old Republic International Corporation1,079,0606,780
Vanguard Energy Corporation64,8146,774
Oaktree Capital Group149,4246,769
Helmerich & Payne101,1976,737
European Real Estate Investment Trust Ltd.130,4206,726
Bouygues 167,0566,724
Gramercy Capital Corp255,4436,718
CatchMark Timber Trust, Inc.579,8256,680
Petrominerales Ltd72,5656,648
Banco Bilbao Viscaya Argentaria S.A.872,8316,642
Crane Company88,1836,599
Royce Focus Trust749,2286,586
Spirit Airlines534,2026,558
Intuit Inc.56,5016,553
Domino's Pizza Inc35,5076,544
Scana Corporation99,9656,533
AmTrust Financial Services353,2256,521
Global Payments Inc.80,7016,511
Splunk Inc.104,5296,511
Flowers Foods334,6426,496
iShares MSCI All Country Asia ex Japan Index Fund84,0036,479
ONEOK116,3336,449
Molson Coors Brewing Company67,1246,425
ICU Medical41,8756,394
Nuveen Dividend Advantage Municipal Fund 3436,6276,384
BioMarin Pharmaceutical Inc.72,4986,364
Dreyfus Municipal Income505,2366,357
Teledyne Technologies Incorporated50,1236,339
W.P. Carey Inc.101,5006,315
Sony Corp Ord186,0346,275
Now Inc369,9906,275
DTE Energy Company61,4006,270
Huaneng Power Intl233,4706,217
Tesoro Petroleum Corporation76,0786,167
Esperance Minerals NL104,5856,147
Pacific Booker Minerals Inc.96,8016,126
Portland General Electric Company136,6106,068
Glacier Bancorp178,5836,059
Deutsche Tele Ag Ads495,5536,055
Old Dominion Freight Line70,5716,039
Whiting Petroleum Corporation697,8006,017
Hormel Foods Corporation173,7036,015
Waddell & Reed Financial352,1165,986
Hercules Technology Growth Capital394,8225,974
PT Indosat Tbk191,3575,965
IDEXX Laboratories38,4055,938
Curtiss-Wright Corporation65,0255,934
Public Service Enterprise Group Incorporated133,6665,928
Dex One Corporation69,9075,923
Workday70,9825,911
Ryanair Holdings Plc70,8065,875
Western Gas Partners96,7865,851
Worldpay Group PLC89,2585,821
PACCAR Inc.86,3685,804
Pinnacle Financial Partners87,2895,800
LogMein59,4065,792
Univar Inc.188,7615,787
Wells Fargo Advantage Multi-Sector Income Fund434,0255,786
Tenaris S.A.168,2305,743
Versum Materials, Inc.187,4005,734
IJJ Corp.41,1845,710
Martin Marietta Materials26,1245,702
Fifth Street Senior Floating Rate646,3775,701
ICON plc71,3275,686
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 126,8945,670
Douglas Emmett146,8445,639
Etfs Commodity Securities Ltd.190,6855,629
Gulfport Energy Corporation326,6285,615
AptarGroup72,3995,574
Cirrus Logic107,0625,572
CMG HOLDINGS GROUP, INC.12,4835,561
Central Securities Corporation231,7515,554
EnLink Midstream Partners, LP303,3655,552
Treehouse Foods65,5475,549
First Trust NASDAQ ABA Community Bank Index Fund174,3615,527
Celanese Corporation61,5085,527
Assurant57,6875,519
Cable One, Inc.8,8295,513
Intertainment Media, Inc.65,3365,479
Vanguard Short Term Government Bond ETF110,4455,464
Limited Brands115,7645,452
Canadian Pacific Railway Limited37,0465,443
Eastman Chemical Company67,2715,435
Aqua Bounty Technologies Inc168,6635,423
Dollar Tree68,9315,408
Shutterstock 130,2035,384
Ballroom Dance Fitness Inc72,5075,384
WPP plc49,1385,376
DineEquity98,2675,348
HPC Acquisitions, Inc.298,8435,343
Lions Gate Entertainment219,0915,341
Donaldson Company117,2125,336
ON Semiconductor Corporation343,7525,325
Lincoln Electric Holdings61,2745,322
Benefitfocus,Inc.190,1195,314
RealPage152,2305,313
Noble Energy Inc.153,1255,258
United Community Financial Corp.189,3205,242
IAC/InterActiveCorp71,0605,239
West Pharmaceutical Services63,8195,209
Principal Real Estate Income Fund92,9715,198
Integer Holdings Corporation194,0365,195
Blackstone GSO Long Short Credit Income Fund326,1725,170
Sprott Resource Hldgs Inc.509,5775,149
Inchcape PLC110,6325,131
Nuveen Massachusetts AMT-Free Municipal Income Fund247,6295,121
Infineon Technologies AG 31,0205,088
Frontier Communications Corporation2,377,0165,087
RBC Bearings Incorporated52,2445,072
IL2M International Corp.36,1095,052
Royal Caribbean Cruises Ltd.51,4525,048
Equity Residential81,0795,045
Smith (A.O.) Corporation98,1125,019
PriceSmart54,3735,013
Toll Brothers Inc.138,7365,010
Total Energy Services Inc.93,5515,001
Software AG39,5304,999
SLM Corporation412,3214,989
CH Energy Group110,6504,950
EastGroup Properties66,7234,906
The Providence Service Corporation135,2814,870
Tallgrass Energy Partners, LP88,7054,869
Cadence Design Systems154,7304,859
KapStone Paper and Packaging Corporation209,8104,847
Microsemi Corporation93,9714,842
ABAXIS99,2364,813
Lic Housing Finance Ltd.21,9724,810
Valeant Pharmaceuticals International455,3624,786
Interface127,1544,781
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal162,4294,769
Ohio State Bancshares, Inc.165,0894,761
Travelport Worldwide LTD404,4834,761
STARWOOD PROPERTY TRUST210,7924,760
Argo Group International Holdings70,1804,758
WESCO International68,3684,755
FLIR Systems130,6964,742
The Weir Group162,5184,742
FMC Corporation67,9114,726
CoreSite Realty Corporation52,1154,693
Symantec Corporation152,9254,692
United Resource Holdings Group, Inc.37,4874,688
ENI S.p.A.142,9954,680
Mitsubishi UFJ Financial Group Inc737,0114,673
Guggenheim Equal Weight Enhanced Equity Income Fund358,3854,667
Nuveen AMT-Free Municipal Income Fund345,8684,664
Vermilion Energy Inc 124,3584,655
Capital Product Partners L.P.1,303,3634,653
Intuitive Surgical6,0694,652
Dynagas LNG Partners263,7064,646
Heartland Express231,6284,644
Aegon NV904,1964,639
Graphic Packaging Holding Company358,2484,611
Hexcel Corporation84,1274,589
White Mountains Insurance Group5,2024,577
Patterson-UTI Energy187,8404,559
Five Below105,2024,556
Icahn Enterprises L.P.88,8014,550
Columbia Banking System132,3284,550
The AES Corporation405,1574,530
Spectrum Brands Holdings32,4284,508
CRH PLC127,5474,486
IShares Plc.83,5694,471
Endo Health Solutions Inc.399,4364,458
Varian Medical Systems48,8044,448
Liberty One Lithium Corp.99,8224,440
UA Multimedia, Inc.241,6434,422
Allete65,0404,404
Nuveen Credit Strategies Income Fund506,3164,400
Macy's Inc148,4074,399
Canadian Natural Resources Limited134,1594,399
Informa278,1504,395
Vanguard Mortgage-Backed Securities ETF54,9354,376
Lamar Advertising Company58,4364,368
China Mobile (Hong Kong) Ltd.78,9524,361
Wyndmoor Industries, Inc.51,6634,355
Blackrock Global350,1214,342
Potomac Bancshares, Inc.254,2384,342
PLAINS GP HOLDINGS LP137,7884,307
Ishares III Plc85,8004,300
Cincinnati Financial Corporation59,4014,293
UNITED INSURANCE HOLDINGS CORP.268,3334,280
Dick's Sporting Goods Inc87,9454,279
Ryder System56,5944,269
Illumina24,9664,260
Apache Corporation82,8184,256
UAN Power Corp.214,2214,237
iShares FTSE China (HK Listed) Index Fund109,9994,234
QEP Resources332,0964,221
Telefonica SA376,8734,217
Cooper Companies21,0424,206
CITIZENS FINANCIAL GROUP INC/RI121,6754,204
Gabelli Dividend201,3384,200
Archrock Partners242,4834,161
Enbridge Energy218,8344,158
FOX FACTORY HOLDING144,6814,152
Quest Management Inc.42,1264,136
Essex Property Trust17,8614,135
The Middleby Corporation30,2584,129
Sirius XM Radio Inc.928,0554,126
Oshkosh Truck Corporation59,9864,114
Scientific Metals Corp.147,4044,096
Panera Bread Company15,6204,090
AMP Ltd.31,4314,076
Artisan Partners Asset Management147,6154,074
BHP Billiton plc130,5124,065
AcuityAds Hldgs Inc.19,8984,059
NVR1,9194,043
Advanced Micro Devices277,7314,041
Forum Energy Technologies195,1684,040
Dover Corporation50,2274,036
Shoprite Holdings Ltd.58,9994,017
Opko Health Inc501,5064,012
Landmark Infrastructure Partners LP268,3884,012
Ctrip.com International81,5014,006
Pitney Bowes Inc304,8453,997
HFF144,2943,993
Turkcell Iletisim Hizmetleri AS478,4763,962
BT Group plc196,7173,952
Jazz Pharmaceuticals plc27,1483,940
Semgroup Corporation109,4263,939
China Telecom Corp Ltd80,6473,925
FIRST TRUST MLP & ENERGY INCOME FUND235,1163,917
Affiliated Managers Group23,8113,904
NICE-Systems Limited57,3443,899
Zebra Technologies Corporation42,6973,896
Paycom Software67,6723,892
Texas Capital Bancshares46,5163,882
Nuveen Municipal High Income Opportunity Fund395,3593,867
Prudential Short Duration High Yield Fund251,2233,864
Calamos Strategic Total Return Fund345,6943,858
Tenneco Automotive61,5103,839
Leucadia National Corporation147,5383,836
Gildan Activewear141,8273,825
Tyson Foods61,9473,823
Greif Bros. Corporation59,7833,819
CASEY CONTAINER CORP33,9393,810
Tortoise Energy Infrastructure Corporation108,7603,795
Texas Roadhouse84,9293,782
iShares MSCI ACWI Index Fund59,4873,763
BlackRock Science & Technology Trust177,3553,753
Sabre Corp176,7583,746
KAR Auction Services85,7453,744
Quanta Services126,5613,738
Aerie Pharmaceuticals Inc.82,3933,737
AutoZone5,1293,709
Highlands Bankshares, Inc.199,4743,702
Werner Enterprises140,7703,688
FINISAR CORP148,1863,687
Inmarsat Plc.23,6373,681
Extreme Networks489,3173,675
NuVasive49,1693,672
Brown-Forman Corporation Class B 79,3373,664
Coty Inc202,0123,662
Synovus Financial Corp.89,2553,661
Sonoco Products Company68,9553,649
Transdigm Group Incorporated16,5533,644
Chemical Financial Corporation71,1413,639
GWR Global Water Resources Corp.53,4533,627
JetBlue Airways Corporation175,9313,626
Amphenol Corporation50,7963,615
FIRST FIXTURES, INC.147,0233,606
ANSYS33,5543,586
TRI Pointe Homes285,5663,581
UBS AG177,7213,579
MSA Safety50,4243,564
Liberty Global101,6383,561
Gabelli Multi-Media Trust Inc. (The)356,0573,557
Autoliv34,7503,554
American Airlines Group83,5863,536
Franco Nev Corp53,9113,532
Nuveen Core Equity Alpha Fund252,4543,517
Liberty Broadband Corp41,3073,515
Arista Networks, Inc.26,5623,513
Dave & Buster's Entertainment57,4843,512
Incyte Corporation26,2543,509
Blackrock Debt Strategies Fund304,2433,505
Littelfuse21,9143,504
MSC Industrial Direct Company34,0463,499
CM Finance Inc343,1143,483
iBrands Corp.92,9493,482
Manhattan Associates66,7113,472
Cerus Corporation777,6843,461
PIMCO Dynamic Income Fund158,2283,458
Washington Prime Group Inc.394,8783,431
Dell Technologies Inc.53,3893,421
Summit Materials138,0463,411
VWR Funding, Inc.120,7873,406
WageWorks46,9273,393
SPS Commerce58,0013,392
Golub Capital BDC170,5973,391
ABM Industries Incorporated77,7283,389
Chimera Investment Corporation167,2893,376
Blackstone / GSO Strategic Credit Fund108,7483,367
Enersys42,5873,362
Watsco23,4543,358
Performance Food Group140,9183,354
LPBP Inc183,4893,345
VOYA Financial Inc88,0903,344
Eaton Vance Municipal Income Trust170,6793,340
FSA Group Ltd.89,0953,326
Triangle Capital Corporation173,2193,307
Miller/Howard High Income Equity Fund246,6583,303
Coherent16,0573,302
Moody's Corporation29,4483,299
Methanex Corporation69,8323,275
Cheniere Energy68,7523,250
Balchem Corporation39,4323,250
Unity Energy Corp.134,3153,245
BOK Financial Corporation41,4183,242
National Beverage Corp.51,6713,232
Tyler Technologies20,9013,230
Bemis Company66,0243,226
Olin Corporation98,0043,221
Scudder High Income Trust76,6813,208
USD Partners LP28,0503,190
iShares28,8433,178
Humet-PBC North America, Inc.15,4183,178
Eaton Vance Tax-Advantaged Global Dividend Income Fund137,5713,172
VANJIA CORP22,8943,170
Ritchie Bros. Auctioneers Incorporated96,0253,155
iHeartMedia20,8733,151
Alcentra Capital Corp229,1573,149
GAMCO Global Gold562,5703,148
Forest City Realty Trust, Inc.144,4503,146
Planet Fitness163,2783,146
Vulcan Materials Company26,0883,143
BankUnited84,0803,137
Nuvo Research Inc217,8473,135
iShares II plc.24,3363,125
Gartner28,7483,104
CSRA Inc.105,6113,093
Alexandria Real Estate Equities27,8163,074
The RMR Group96,9443,063
Continental Resources67,3963,061
Universal Display Corp35,4463,052
John Hancock Preferred Income Fund89,6973,050
Banco Santander501,9993,047
Kayne Anderson MLP Investment Company144,9603,044
NN120,3953,034
Western Asset Managed Municipals Fund200,6903,032
M/A-COM Technology Solutions Holdings62,7413,030
Invesco Plc98,8413,028
Surgery Partners, Inc.155,0333,023
Wachovia Corporation2,4383,021
Invesco Van Kampen Senior Income Trust246,6573,017
Liberty Media Corporation87,9233,003
Mettler-Toledo International6,2663,001
PBF Energy135,3553,001
CU Bancorp75,5002,994
James River Group Holdings, Ltd.69,7262,988
Diamond Offshore Drilling178,0322,975
Bank of Nova Scotia (The)50,6592,961
Guggenheim Build America Bonds Managed Duration Trust133,0462,960
American Assets Trust70,6952,958
Horizon Pharma199,3702,947
Deutsche Euroshop AG46,3232,941
Synopsys40,7412,939
VGambling Inc.23,7472,938
Navios Maritime Acquisition Corporation1,705,8552,934
QTS Realty Trust, Inc.60,1682,933
Urban Outfitters123,2822,929
Consolidated Plen Tech Electronics, Inc.173,9022,918
Catalent, Inc.103,0382,918
Gaming Partners International Corporation87,1932,914
Washington Trust Bancorp59,1132,914
Nuveen California Dividend Advantage Municipal Fund 3185,7192,907
Cohn & Steers Inc150,0242,903
Eagle Bancorp48,2942,883
Sturm53,7842,882
Advent Claymore Convertible Securities and Income Fund II183,7252,877
Atmos Energy Corporation36,3812,874
XL Group plc72,0822,873
Baker Hughes Incorporated48,0302,873
SRC Energy340,2722,872
Power Integrations43,6382,869
Mobile Mini93,9012,864
Diebold93,0982,858
South State31,9172,852
Gentex Corporation133,6052,850
Orbital Corporation Limited29,0592,848
Eaton Vance Municipal Income Term Trust226,3642,841
Bazaarvoice659,3402,835
America First Mortgage Investments505,8342,833
Stamps.com Inc.39,2092,833
Putnam Premier Income Trust536,9122,830
Agree Realty Corporation58,9722,828
The Hain Celestial Group75,6302,813
Booz Allen Hamilton Holding Corporation79,4022,810
BancorpSouth92,6392,802
Summit Hotel Properties175,1482,799
Campbell Soup Company48,6292,784
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF30,7672,767
WPX Energy205,4012,750
Pacer International105,0832,749
Nektar Therapeutics116,7602,740
F5 Networks19,1962,737
Takeuchi Manufacturing Co., Ltd.46,1312,734
MUELLER WATER PRODUCTS230,6872,727
NewStar Financial85,8022,727
EQT Midstream Partners35,4322,725
Synaptics Incorporated54,9672,721
Invesco Quality Municipal Income Trust218,8452,720
Nuveen Build America Bond Opportunity Fund130,0292,718
Range Energy Resources, Inc.93,3452,716
Rexnord Corporation117,2812,707
Rite Aid Corporation635,4672,701
Blackrock Corporate High Yield Fund119,9912,687
Dorman Products32,5922,677
MLP AG49,5622,676
Macerich Company (The)41,5352,675
West Corp108,9402,660
Axalta Coating Systems Ltd.82,4722,656
Headwaters Incorporated113,1272,656
IBERIABANK Corporation33,5382,653
E.W. Scripps Company (The)112,9062,647
India Fund103,8592,638
Kayne Anderson Energy Total Return Fund208,5632,634
iShares S&P Global Clean Energy Index Fund21,1792,631
Blackrock Corporate High Yield Fund V Inc224,1652,622
Valley National Bancorp221,9452,619
ClearBridge Energy MLP Fund Inc.156,1112,612
iShares40,0682,605
Deutsche Bank AG151,7912,605
eUnits 2 Year U.S. Market Participation Trust61,6002,589
NEVRO CORP27,5452,581
Bridge Bancorp73,6902,579
IPG Photonics Corporation21,3582,578
Live Nation Entertainment84,8372,576
Zayo Group Holdings, Inc.78,1852,572
Compass Biotechnologies Inc.154,8672,571
Colfax Corporation64,8582,546
Tallgrass Energy88,2722,539
Casella Waste Systems179,6752,535
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal43,1052,533
Agnico Eagle Mines59,5582,528
CSI Compressco257,3542,522
Allegion PLC 33,3132,522
ISC8 Inc.24,5172,520
CrossAmerica Partners96,2512,520
Lithia Motors29,3002,510
Cypress Semiconductor Corporation181,6592,500
Westinghouse Air Brake Technologies Corporation32,0192,498
iShares II plc.64,7752,496
Biglari Holdings Inc.5,7542,486
PVH Corp.23,9562,479
Evolva Holding AG116,9932,474
Discovery Communications87,1142,466
Renasant Corporation61,9312,458
LKQ Corporation83,9412,457
CalAtlantic Group, Inc.65,5922,456
BlackRock Credit Allocation Income Trust I186,1422,450
Black Hills Corporation36,7862,445
Crimson Exploration Inc.27,2032,443
On Assignment50,2572,439
Tanger Factory Outlet Centers74,3452,436
Qorvo35,4882,433
Wendy's Company (The)178,7192,432
ImmunoGen628,2362,431
Nuveen Energy MLP Total Return Fund178,0972,430
Mdu Res Group Inc88,6682,427
Santeon Group Inc64,7962,426
American Campus Communities Inc50,6272,409
Global Technlogies Corp.112,2682,407
EXACT Sciences Corporation101,7972,404
Callon Petroleum Company182,6062,403
CareTrust REIT, Inc.142,6642,400
Stantec Inc92,5242,397
Evercore Partners Inc30,6912,391
CNP Assurances SA86,3842,382
ProAssurance Corporation39,4932,379
Gamestop Corporation105,4572,378
Cogent Communications Group54,9682,366
Adient Ltd32,4912,361
Xylem Inc.47,0202,361
Nuveen Ohio Quality Income Municipal Fund159,4822,359
KNOT Offshore Partners LP100,8222,349
Lan Chile S.A.159,6302,349
Banco Bradesco Sa113,4722,349
CyberArk Software46,1182,346
Western Alliance Bancorporation47,7812,346
Ollie70,0202,346
Darden Restaurants27,9492,338
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp223,9812,332
Easterly Government Properties, Inc.117,0662,317
Arconic87,8842,315
Southern First Bancshares70,7142,309
Oil Optimization, Inc.74,8302,306
BlackRock Energy and Resources Trust167,4042,302
Craft Brew Alliance172,0132,296
Companhia de Bebidas das Americas - AmBev397,7782,291
Reading International Inc147,2262,288
FireEye Inc180,2062,272
Kimbell Royalty Partners, LP115,7682,257
Noble Corporation643,1372,246
Hospitality Properites Trust71,0012,239
Barclays Africa Group Ltd92,2722,234
Fiduciary/Claymore MLP Opportunity Fund142,4862,233
RLI Corp.36,9012,215
AMN Healthcare Services Inc54,3052,205
Goldcorp Inc.150,6952,199
Aceto Corporation139,0112,198
Ares Dynamic Credit Allocation Fund, Inc.136,1372,181
Pacific Premier Bancorp Inc56,5782,181
Evolution Petroleum Corporation271,9562,176
Chesapeake Energy Corp.365,0172,168
Invesco Van Kampen Bond Fund114,2902,163
Harley-Davidson71,6332,157
Gabelli Global Small & Mid Cap Value Trust189,1892,155
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal115,4902,155
Bigsupersearch.com, Inc.44,2012,152
Pearson251,7752,135
Anixter International Inc.26,9032,133
Ellies Holdings Limited21,2392,130
Nuveen Arizona Dividend Advantage Municipal Fund160,1972,123
Quaker Chemical Corporation16,1222,123
First Priority Tax Solutions Inc.136,6472,118
Integrated Research Ltd.50,2812,118
Kilroy Realty Corporation29,3032,112
Ally Financial Inc103,9082,112
Williams-Sonoma39,2652,105
Cal-Maine Foods57,1432,103
Orix Corp Ads28,2592,100
Bright Horizons Family Solutions Inc28,9182,096
ANTERO RESOURCES Corp91,7462,093
Cubic Corporation39,6192,092
PUBLIC SERVICE CO OF COLORADO56,4012,087
Q2 Holdings59,7592,083
Steven Madden54,0132,082
Tahoe Resources258,8372,078
Lennar Corporation40,5362,075
Canadian Imperial Bank of Commerce24,0782,073
PolyOne Corporation60,7842,072
Qualys54,6462,071
Amcol International Corporation65,7702,068
Superior Energy Services144,5152,061
Mobile TeleSystems186,2182,054
Pennsylvania Real Estate Investment Trust135,5102,052
Magna International47,4812,049
Brookfield Real Estate Services70,5642,043
Teekay Offshore Partners L.P.402,9202,043
Lannett Co Inc91,2222,039
Therapeutics MD Inc283,1412,039
TDC A/S65,4282,036
Gimv Nv Act.305,7502,033
Nuveen Floating Rate Income Fund176,6202,033
Phillips 66 Partners39,5392,030
SM Energy Company84,5202,030
Valmont Industries13,0402,028
Southwest Iowa Renewable Energy, LLC246,4702,014
First Trust NASDAQ-100-Technology Sector Index Fund75,7632,010
Nuveen Quality Preferred Income Fund 2210,5962,009
Columbia Seligman Premium Technology Growth Fund97,2872,009
Antero Midstream GP LP60,4762,005
DoubleLine Income Solutions Fund99,7082,001
Premier Inc62,8111,999
Nuveen Intermediate Duration Quality Municipal Term Fund154,1101,999
CF Industries Holdings67,9751,995
EMCOR Group31,6231,991
B/E Aerospace31,0041,988
Nuveen Arizona Premium Income Municipal Fund144,9551,987
PowerShares NASDAQ Internet Portfolio21,0151,984
Zions Bancorporation47,0811,977
CoStar Group9,5421,977
Everest Re Group8,4451,975
Liberty Media Corporation60,1951,968
Boardwalk Pipeline Partners L.P.107,3881,966
Cohen & Steers MLP Income & Energy Opportunity Fund135,8121,964
Hersha Hospitality Trust104,4231,962
Blackbaud25,5821,961
MaxLinear69,7221,956
BofI Holding89,5671,955
Clough Global Equity Fund152,2711,955
Syngenta AG22,0651,953
Deutsche Telekom71,7001,940
Varonis60,3441,919
Dermira, Inc.56,2111,917
Cheniere Energy Partners LP Holdings, LLC59,2971,916
Michaels Stores Inc85,5251,915
Vantage Goldfields Ltd,109,6471,913
Bankshares Fayetteville Inc.1,5971,909
M&T Bank Corporation12,2571,897
Flexion Therapeutics89,1101,896
Bruker Corporation81,2751,896
INC Research Holdings, Inc.41,2931,893
AGIC Equity & Convertible Income Fund98,0081,892
ADAMANT DRI PROCESSING & MINERALS GROUP97,3771,891
Western Asset Municipal Partners Fund77,2171,883
StoneMor Partners L.P.237,2291,881
VALVOLINE INC76,5301,879
TEGNA73,2291,876
El Paso Electric Company36,8001,858
Nemaura Medical Inc.56,3751,858
Evermedia Group, Inc. (The)113,8341,854
THL Credit Senior Loan Fund102,9071,852
Nuveen Global Government Enhanced Income Fund142,1001,844
CBRE Group52,9781,843
Cracker Barrel Old Country Store11,5591,841
South Jersey Industries51,5791,839
Franklin Templeton Limited Duration Income Trust153,4721,837
American States Water Company41,3701,833
HEALTHEQUITY INC43,1111,830
Acacia Communications, Inc.31,1891,828
Verint Systems Inc.42,1271,827
United States Steel Corporation53,9901,825
NexPoint Credit Stategies Fund79,5281,821
Ambarella33,1531,814
Western Asset High Income Opportunity Fund358,3021,806
Carrizo Oil & Gas63,0221,806
Etfs Commodity Securities Ltd.101,2131,801
Access National Corporation59,8461,797
Total Telcom, Inc.552,9781,794
Triumph Ventures Corp69,3981,787
Medidata Solutions30,8691,781
Transcanada Pipelines38,6231,779
Penske Automotive Group37,9001,774
3D Systems Corporation118,5021,773
Jefferies Group1,754,0001,772
Goldman Sachs MLP Income Opportunities Fund194,7081,760
Prestige Brand Holdings31,6661,759
Nuveen Global High Income Fund106,6991,757
Prudential Global Short Duration High Yield Fund, Inc.117,8841,755
Capstead Mortgage Corporation166,1831,752
Proofpoint23,4691,745
Snap Inc77,2091,740
Rice Energy73,2351,736
Western Asset Managed High Income Fund111,7321,732
Eaton Vance Enhance Equity Income Fund113,9781,731
Ellsworth Convertible Growth and Income Fund200,5751,731
Omnicell42,5141,728
Lexington Realty Trust172,8881,725
NiSource72,3631,722
Jernigan Capital, Inc.74,6411,720
Brocade Communications Systems137,4841,716
Hyatt Hotels Corporation31,6921,711
Pan American Silver Corp.97,6581,711
Tiffany & Co.17,9091,707
FNB United Corp.114,7871,707
ClubCorp Holdings, Inc.106,1881,704
Platform Specialty Products130,7251,702
Logitech International S.A.53,6301,702
American Woodmark Corporation18,5171,700
Central Europe and Russia Fund55,4721,694
Bio-Rad Laboratories8,4961,694
Royce Micro-Cap Trust200,9661,686
Korn/Ferry International53,4981,685
BroadSoft41,9081,685
Sun Communities20,9101,680
MercadoLibre7,9421,680
PDC Energy26,9471,680
Worthington Energy, Inc.37,1761,676
Prospect Capital Corporation185,1861,674
Tekla World Healthcare Fund116,4911,672
International Spirit & Beverage Group, Inc. 37,4131,672
MiMedx Group, Inc.175,4831,672
J.B. Hunt Transport Services18,1691,667
Imax Corporation48,7671,658
Globus Medical55,8881,655
Veeva Systems32,1961,651
Equinix4,1221,651
Sprott Resource212,7851,649
Tortoise MLP Fund79,2591,647
U.S. Stem Cell, Inc.28,8101,644
Calamos Convertible and High Income Fund144,3481,644
Nabors Industries Ltd.125,1981,636
BlackRock Municipal Target Term Trust Inc. (The)72,0941,631
BGS Acquisition Corp.20,5441,628
VALE S.A.171,2411,627
Western Asset High Income Fund II Inc.105,8501,626
U.S. Silica Holdings33,8541,625
AMERISAFE25,0341,625
Paramount Group, Inc.100,1681,624
Blackrock Floating Rate Income Strategies Fund Inc112,0521,624
American Equity Investment Life Holding Company68,5311,619
TASER International70,7981,613
Invesco Municipal Premium Income Trust124,2231,612
SeaWorld Entertainment Inc.88,1461,610
Eaton Vance Tax-Advantaged Bond145,1781,607
Alarm.com Holdings, Inc.52,2101,605
Royal Boskalis Westminster NV22,7861,596
DoubleLine Opportunistic Credit Fund66,7111,592
Ferrum Americas Mining, Inc.50,0041,591
Acadia Healthcare Company36,4401,589
Carrols Restaurant Group111,7081,581
RPM International Inc.1,305,0001,570
Applied Industrial Technologies25,3531,568
Elbit Systems Ltd.13,6981,564
Oceaneering International57,6291,561
Tortoise Pipeline & Energy Fund73,6831,556
Newmont Mining Corporation1,553,0001,556
Ericsson233,9821,554
Cott Corporation125,5201,551
LIBERTY SILVER CORP67,1961,548
Steelcase Inc.92,0861,542
Fortune Brands Home & Security25,3221,541
Eaton Vance Limited Duration Income Fund111,1181,537
Red Robin Gourmet Burgers26,3021,537
Ferro Corporation100,8101,531
Carlisle Companies Incorporated14,3691,529
theScore Inc.53,7821,529
Dycom Industries16,4431,528
Xerox Corporation207,5251,523
Sunoco62,9831,522
8point3 Energy Partners LP111,9151,519
Madison Ventures Inc.7,5941,517
Consolidated Communications Holdings64,6821,515
China Internet Cafe Holdings Group, Inc.35,7181,512
Clipper Realty Inc.117,6001,508
BlackRock Multi-Sector Income Trust87,0181,506
NFJ Dividend116,7601,505
China Fund90,2901,500
Alpine Global Premier Properties Fund262,1761,500
iShares MSCI35,7801,497
CubeSmart57,6671,497
Nuveen S&P 500 Dynamic Overwrite Fund94,3781,493
The Graystone Company, Inc.12,6931,488
WisdomTree Investments163,5801,485
Universal Electronics Inc.21,6421,482
MarineMax68,3191,479
Seadrill Partners, LLC410,7681,479
All Marketing Solutions Inc.27,9271,477
Eagle Energy Trust15,2041,477
Intersect ENT, Inc.86,0131,475
Radius Bancorp Inc.38,1591,475
Exponent24,6881,470
Nearmap Ltd.29,1321,464
Invesco Van Kampen Trust for Investment Grade Municipals120,2641,464
Norwegian Cruise Line Holdings Ltd.28,7781,460
Integrated Drilling Equipment Holdings Corp.61,6761,460
Nuveen Preferred and Income Term Fund60,6231,460
WebMD Health Corp27,6961,459
HSBC Holdings plc55,9701,450
AvalonBay Communities7,8981,450
Hudson Pacific Properties41,8411,449
Restaurant Brands International Inc.25,8921,443
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol63,0611,443
TC PipeLines24,0901,437
Wildhorse Energy Limited115,4801,437
First Majestic Silver Corp.175,9451,429
VeriSign16,3781,427
Buffalo Wild Wings9,3331,426
Stifel Financial Corporation28,3901,425
First Trust61,3211,425
Eaton Vance Tax-Managed Global Diversified Equity Income Fund93,3141,419
Pinnacle Bank72,5011,415
Chatham Lodging Trust (REIT)71,6501,415
Orange SA90,8941,412
SSTL, Inc.39,7941,409
Atlas Air Worldwide Holdings25,4131,409
PowerShares Global Steel Portfolio95,0341,408
Nustar Energy L.P.27,0231,405
United Fire Group32,8001,403
Kite Pharma, Inc.17,8661,402
PAREXEL International Corporation22,2091,402
Houston Wire & Cable Company207,5021,401
Alkermes plc23,9241,400
Neuberger Berman Real Estate Securities Income Fund263,1791,400
US-Dadi Fertilizer Ind International Inc.24,6751,388
Rayonier Inc. REIT48,9611,388
Wisdom International Corp.23,4661,386
Ingevity Corp22,7341,383
Comerica Incorporated20,0251,373
Western Asset Bond Fund122,7711,371
Aramark37,0891,367
Tableau Software27,5431,365
Reaves Utility Income Fund42,0001,360
Yahoo! Inc.29,1991,355
Wolverine World Wide54,0781,350
SkyWest39,4191,350
Praxsyn Corporation40,6801,349
NutriSystem Inc24,1921,343
National Retail Properties30,7961,343
T-Mobile US Inc20,7751,342
Invitation Homes Inc.61,1001,334
Merit Medical Systems46,0771,332
Webster Ltd.26,4601,324
lululemon athletica inc.25,5261,324
Imerjn Inc.26,0951,317
Outfront Media49,5291,315
TCP Capital Corp.75,1181,309
Copa Holdings11,6571,309
Suburban Propane Partners48,3691,304
ING Emerging Markets High Dividend Equity Fund150,8161,303
Regal Beloit Corporation17,1971,301
Manulife Financial Corp73,2341,297
ServiceNow14,7991,294
Gap53,1021,290
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd135,0831,289
Park National Corporation12,2541,289
Aeolus Pharmaceuticals, Inc.91,7251,287
Corporate Office Properties Trust38,7481,283
Sanmina-SCI Corporation31,5751,282
Cemex S.A.B. de C.V.141,3821,282
Calamos Global Dynamic Income Fund164,3911,282
Mack-Cali Realty Corporation47,2581,273
Dreyfus Strategic Municipals147,9381,272
Knowledge Machine International, Inc.44,2101,268
EMERGING CTA PORTFOLIO LP28,1831,265
Advent Claymore Convertible Securities and Income Fund149,5131,262
First National Bankshares Corp.29,6061,261
BLACKROCK LTD DURATION INCOME TRUST80,9521,260
Teladoc, Inc.50,2721,257
Nuveen Pennsylvania Investment Quality Municipal Fund95,6501,256
Square72,5361,253
Voya SENIOR INCOME FUND190,7491,249
WellCare Helath Plans8,8911,247
NetScout Systems32,7771,244
BlackRock Resources144,4061,242
Pitooey!, Inc.35,2821,238
TG Therapeutics, Inc.105,7621,232
POWERSHARES DB US DOLLAR INDEX BEARISH FUND80,9291,231
Louisiana-Pacific Corporation49,5761,230
Reliance Infrastructure Ltd.15,3591,229
Hess Midstream Partners LP25,4551,227
Zoeller Co.66,2941,226
Advent/Claymore Enhanced Growth & Income Fund200,5411,225
Apollo Global Management50,2421,222
SPX35,0761,217
Blackrock MuniAssets Fund85,8051,215
UMH Properties79,8821,215
Western Lucrative Enterprises, Inc.167,7311,213
RIVERNORTH OPPORTUNITIES FUND, INC.61,7181,211
Huntington Bancshares Incorporated8851,211
Golden Valley Bank (Chico, CA)91,4261,210
WhiteWave Foods21,4061,202
Papa Murphy's Holdings, Inc.14,9861,199
MFS Multimarket Income Trust195,7041,198
Teck Resources Ltd80,3751,196
Black Stallion Oil & Gas Inc.72,3321,194
Nippon Telegraph and Telephone Corporation27,8181,192
Sprott Resource Lending Corp.172,4091,190
Teva Pharmaceutical Industries Limited1,108,0001,190
International Frontier Resources Corp.50,2031,190
Eaton Vance Enhanced Equity Income Fund II90,7271,189
Hannon Armstrong Sustainable Infrastructure Capital, Inc.58,7491,187
Invesco Van Kampen High Income Corporate Bond Fund255,0411,181
Texas Pacific Land Trust4,2201,181
CDK Global, Inc.18,1111,177
Seadrill Limited1,036,4311,177
Helen of Troy Limited12,4701,175
RingCentral41,4211,172
Kennedy-Wilson Holdings Inc.52,6871,170
IMPINJ INC38,6251,169
PIMCO Commercial Mortgage Securities Trust22,1081,168
Nuveen New Jersey Dividend Advantage Municipal Fund90,0441,167
Monro Muffler Brake22,3461,164
Home Retail Group plc36,3391,162
Extended Stay America, Inc.72,8211,161
Swift Transportation Company56,4251,159
Kinder Morgan Management23,2031,157
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal32,5081,156
NRG Yield65,0861,152
Meta Financial Group13,0021,151
Open Text Corporation33,8191,150
Trex Company16,5191,146
Two Harbors Investments Corp119,2951,144
Mallinckrodt Plc25,6031,141
Dreyfus Municipal Bond Infrastructure Fund, Inc.137,3671,137
Benchmark Electronics35,7111,136
Blue Wolf Mongolia Holdings Corp.49,3571,135
Blackrock MuniYield New Jersey Quality Fund75,4651,134
Commercehub Inc73,2421,134
Gladstone Capital Corporation118,7611,127
AllianzGI Diversified Income & Convertible Fund55,1761,121
LTC Properties23,4061,121
Blackrock Muni Intermediate Duration Fund Inc80,8281,119
Iren SPA8,0781,118
Blackrock MuniEnhanced Fund95,0221,111
Hawaiian Electric Co., Inc.23,8491,108
Plumas Bancorp60,8931,108
Omeros Corporation85,5101,105
NexPoint Residential Trust, Inc.45,7001,104
Lamb Weston Holdings, Inc.26,1831,101
Stepan Company13,9561,100
NGL ENERGY PARTNERS LP48,5901,098
ABIOMED8,7701,098
KBW Inc12,7721,098
Cavco Industries9,4241,097
Welbilt55,7041,093
Yelp Inc.33,3751,093
Western Refining42,8361,090
Service Corporation International35,2921,090
Gentherm Inc27,6761,086
The Cushing Royalty & Income Fund58,6471,081
Senior Housing Properties Trust53,2971,079
Mead Johnson Nutrition Company12,0901,077
Genesco Inc.19,4251,077
M.D.C. Holdings35,7861,075
Innospec Inc.16,5861,074
Primoris Services Corporation46,2671,074
Silicon Motion Technology Corporation22,8421,068
JPMorgan Chase Bank NA20,1121,067
Nuveen Municipal Value Fund81,0611,066
Nuveen Diversified Dividend and Income Fund89,8111,061
Apartment Investment and Management Company23,9001,060
Banco de Guayaquil SA87,6001,057
Western Asset Mortgage Defined Opportunity Fund Inc76,8081,057
Staples120,3781,056
iShares S&P Global Timber &Forestry Index Fund18,2251,050
Summit Midstream Partners43,6911,049
Stag Industrial41,8631,047
ViewRay, Inc.123,0001,047
Evolution Technology Resources Inc.66,8391,047
DCP Holding CO26,6641,046
TWILIO INC36,2151,046
Virtus Global Multi-Sector Income Fund75,3471,044
Sterling Bancorp43,9181,041
Bioheart, Inc.10,2321,040
CORBUS PHARMACEUTICALS HOLDINGS, INC.125,8301,038
Nexstar Broadcasting Group14,7921,038
Putnam Managed Municipal Income Trust142,7431,036
Mellanox Technologies20,3221,035
ECA Marcellus Trust I88,1281,032
Dunkin' Brands Group18,8631,031
Empire Resorts42,3301,027
POSCO15,8801,024
United States Oil Fund, LP177,0141,022
Jacobs Engineering Group Inc.18,4621,021
USA Compression Partners, LP 60,2681,018
Cresud S.A.C.I.F. y A.51,1931,018
Carmax Mining Corp.17,1221,014
Sage Therapeutics, Inc.14,2371,012
Adventure Gold, Inc.14,576999
Grand Canyon Education13,940998
YRC Worldwide116,551997
UAN Cultural & Creative Co., Ltd.20,143995
Lifestyle Medical Network Inc.12,048989
Match Group, Inc.60,533989
Eaton Vance Corporation21,898985
National Instruments Corporation30,240985
Viper Energy Partners LP54,703984
Martin Midstream Partners L.P.49,173983
NextEra Energy Partners29,638982
Jones Lang LaSalle Incorporated8,809982
Blackrock Municipal 2018 Term Trust64,916980
Blackrock MuniYield Michigan Quality Fund70,369980
Penn National Gaming53,141979
ETFS Gold Trust8,054975
Euronet Worldwide11,383973
ProPetro Holding Corp.75,222970
United Bankshares22,838965
Neuberger Berman High Yield Strategies Fund81,194965
Infinera Corporation94,218964
Gabelli Equity Trust160,652959
Coca Cola Femsa S.A.B. de C.V.13,363958
CBRE Clarion Global Real Estate Income Fund127,983956
Scorpio Tankers Inc.214,944954
Community Bank System17,354954
CENTER COAST MLP & INFRASTRUCTURE FUND75,487944
Pioneer Municipal High Income Advantage Trust85,718942
Royal Alliance Ventures Corp.37,133941
Western Asset Global Partners Income Fund53,972940
Semtech Corporation27,557931
Sprague Resources34,316930
AGIC Convertible & Income Fund II152,861925
Level 3 Communications16,171925
Chemed Corp.5,055923
Nuveen California Investment Quality Municipal Fund62,592923
Alliance Capital Management Holding L.P.40,315921
WD-40 Company8,451921
Monroe Capital58,246916
Eaton Vance Risk-Managed Diversified Equity Income Fund100,530913
TPG Specialty Lending, Inc.44,722912
United Dominion Realty Trust25,069909
Blackrock MuniYield Quality Fund60,668908
Beacon Roofing Supply18,460907
Syntel53,675903
DigitalGlobe27,401897
Subsea 7 SA ADR 8,487896
Vanc Pharmaceuticals, Inc.71,393895
Ligand Pharmaceuticals Incorporated8,441893
Upland Software, Inc.56,177893
Ormat Technologies15,633892
8x8 Inc58,442891
Exchange Bank (Santa Rosa, CA)32,021891
Brown Forman Corporation18,869888
First Midwest Bancorp37,444887
Titan International85,766887
ALLIANCEBERNSTEIN L.P.70,468886
Marriot Vacations Worldwide Corporation8,811880
iRobot Corporation13,286879
PIMCO Income Strategy Fund II87,402878
Turning Point Brands, Inc.56,207877
Kronos Worldwide Inc53,372877
Cohen & Steers Total Return Realty Fund71,051875
Avenue Income Credit Strategies Fund62,674875
Nuveen High Income December 2019 Target Term Fund86,205874
FRANKLIN FINANCIAL NETWORK INC.22,473871
Northern Offshore33,834870
JPMorgan Chase Bank NA17,019869
Nuveen Michigan Dividend Advantage Municipal Fund35,021867
Columbia Sportswear Company14,735866
AquaVenture Holdings Ltd50,357860
New Mountain Finance Corporation57,630859
UMB Financial Corporation11,360856
Hilltop Holdings Inc.31,035853
Teradyne27,284849
Crestwood Equity Partners LP32,237846
Newtek Business Services Inc.49,772845
Terreno Realty Corporation30,149844
Deutsche Bank AG (London Branch)63,624843
Civeo Corp281,642842
Eaton Vance Corporation39,020840
SunOpta120,731839
Cato Corporation (The)37,797830
Plantronics15,297828
WisdomTree Middle East Dividend Fund23,338823
BJ's Restaurants20,126813
MFS Charter Income Trust93,622806
YPF Sociedad Anonima33,080803
Dupont Fabros Technology16,177802
ProSiebenSat.1 Media SE33,000798
John Bean Technologies Corporation9,076798
Federated Premier Intermediate Municipal Income Fund60,612798
Ashland Inc.6,445798
Essent Group21,913793
Alliance Resource Partners36,625793
Bank of Commerce Holdings (CA)73,844790
Selective Insurance Group16,731789
Pembina Pipeline Corp.24,871787
Neuberger Berman California Intermediate Municipal Fund Inc.77,630786
Blackrock MuniHoldings Investment Quality Fund54,719786
Aareal Bank AG22,820785
Home BancShares28,799780
BC Moly Ltd.6,897779
Red Rock Resorts, Inc.600,000779
Farmland Partners Inc.69,658778
Bank of Hawaii Corporation9,403774
Adamis Pharmaceuticals Corp181,913773
TESARO5,025773
ENSCO plc86,408773
MFS Government Markets Income Trust154,069772
FelCor Lodging Trust Incorporated102,674771
Hill-Rom Holdings Inc10,916771
Otonomy, Inc.62,800769
R.G. Barry Corporation63,411768
Imperva18,705768
Anthem187,000768
Union Bankshares17,869767
Armada Hoffler Properties, Inc.55,127766
Seritage Growth Properties17,703764
Towne Bank23,570764
Duke Realty Corporation29,002762
Atlassian Corporation25,391760
Blackrock MuniVest Fund II78,045754
Westar Energy13,876753
New York Community Bancorp18,947750
Maui Land & Pineapple Company63,793750
Energy Revenue America, Inc.27,708748
CONE Midstream Partners LP31,651747
Cabot Oil & Gas Corporation31,073743
Guggenheim Credit Allocation Fund32,497740
Kite Realty Group Trust34,313738
Telephone and Data Systems27,786737
Boyd Gaming Corporation33,465737
Seattle Genetics11,700735
Japan Smaller Capitalization Fund Inc67,562732
INTREXON CORP36,790729
Triton International Ltd28,076724
Sensient Technologies Corporation9,137724
Cimpress8,388723
Fresenius Medical Care Corporation17,172723
KLX Inc.16,132721
Holly Energy Partners20,164720
Nuveen Michigan Quality Income Municipal Fund53,836717
Pinnacle West Capital Corporation8,601717
First American Minnesota Municipal Income Fund II18,265717
Avista Corporation18,333716
GoPro, Inc.82,259716
Morgan Stanley China A Share Fund Inc.37,187715
Illumination Amer Inc700,000714
Iridium Communications Inc2,064712
Bloomin' Brands36,024711
Blucora41,081711
Ship Finance International Limited48,269710
Universal Corp.10,026709
Aberdeen Asia-Pacific Income Fund Inc141,991709
Enviva Partners, LP25,087705
Via Varejo S.A.14,430703
PIMCO Income Strategy Fund62,813701
Therapy Cells, Inc.18,216701
Federal Realty Investment Trust5,207695
Perrigo Company10,468695
Valhi211,120692
Federated Investors26,262692
Spirent Communications Plc.10,156685
American Premium Water Corporation34,475683
Veeco Instruments Inc.22,855682
Cornerstone Strategic Value Fund42,074681
Inphi Corporation13,923680
GW Pharmaceuticals5,609678
Builders FirstSource45,325675
GrubHub20,335669
Calamos Convertible Opportunities and Income Fund60,721668
Neuberger Berman Intermediate Municipal Fund Inc.44,890667
Berkshire Hills Bancorp18,469666
Great Lakes Dredge & Dock Corporation166,498666
Wesco Aircraft Holdings58,247664
Nuveen Maryland Premium Income Municipal Fund52,183662
Americas Silver Corporation18,352659
RHB Capital14,214658
BNC Bancorp18,729656
Nokia Corporation120,885655
Blackrock MuniYield Fund45,533654
Rightmove Plc52,505654
HSN17,591653
Horizon Technology Finance Corporation46,580647
Hoegh LNG Partners LP32,950647
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.65,126646
PrivateBancorp10,889646
DTE Energy Company12,000645
LIVEWIRE ERGOGENICS INC.29,723644
PRA Health Sciences, Inc.9,866644
Pimco Corporate & Income Stategy Fund6,376644
EV Charging USA, Inc.47,516642
Invesco Van Kampen Advantage Municipal Income Trust II57,023639
Fair Isaac Corp4,948638
CenterState Banks24,647638
Nuveen California Dividend Advantage Municipal Fund 244,247638
Varex Imaging Corp18,938636
NxStage Medical23,692636
Skechers U.S.A.23,180636
ClearBridge Energy MLP Opportunity Fund Inc.47,164635
TiVo Inc.33,716632
Provident Financial Services24,373630
Murphy Oil Corporation21,913626
Legg Mason BW Global Income Opportunities Fund Inc.48,909625
Hancock Fabrics, Inc.29,411625
Commercial Metals Company32,682625
Socket Mobile, Inc.18,119623
Liberty Expedia Holdings, Inc.26,297622
Woodward9,150621
TripAdvisor14,365620
Royal Bank Scotland Group Plc24,655618
DIVERSIFIED 2000 FUTURES FUND L.P.35,545617
A.H. Belo Corporation19,532614
Indianapolis Power & Light Co.19,474613
Cotiviti Holdings, Inc.14,648610
Chemtura Corp.18,191608
iShares FTSE EPRA/NAREIT North America Index Fund6,628607
COLLEGIUM PHARMACEUTICAL, INC60,365607
Blackrock Defined Opportunity Credit Trust44,105605
Blackrock Enhanced Government Fund42,168604
Archrock48,638603
Bed Bath & Beyond Inc.15,230601
Teekay LNG Partners L.P.33,955596
Diplomat Pharmacy, Inc.37,395596
Templeton Global Income Fund53,029596
Bancroft Convertible Fund28,269595
The Medicines Company12,101592
Almaden Minerals500,039590
Blackstone GSO Senior Floating Rate Term Fund32,558588
Greenhill19,945584
American Potash Corp.5,212582
Black Earth Farming15,175581
Hawaiian Electric Industries17,397579
Orion Engineered Carbons28,199578
EPAM Systems7,659578
WesBanco15,167578
AtriCure30,000575
U.S. NeuroSurgical, Inc.8,875573
Fitbit96,527571
VEREIT67,192570
Air Methods Corporation13,253570
Healthcare Trust of America18,072569
The Carlyle Group L.P.35,669569
Blackhawk Bancorp, Inc.13,969567
Select Comfort Corporation22,813566
AES Tiete11,061565
ETFS Precious Metals Basket Trust8,865564
American Capital Senior Floating41,026564
America Movil39,674562
Fifth Street Finance Corp.120,801558
Cathay Pacific Airways, Ltd.14,800558
Intrawest Resorts Holdings22,142554
Water Technologies International,Inc.21,201552
J CREW GROUP INC.173,308552
HMS Networks AB27,160552
iShares S&P India Nifty 50 Index Fund16,974549
Peoples Bancorp of North Carolina18,478549
LAUREATE EDUCATION, INC.38,412548
Lumber Liquidators Holdings26,115548
China Natural Gas, Inc.6,713547
Select Income REIT21,161546
KTL Bamboo International Corp.32,315544
ZELTIQ Aesthetics9,764543
Managed Duration Investment Grade Municipal Fund30,339543
ATRION Corporation1,148538
Quanta Computer, Inc.12,675537
Morgan Stanley30,061537
Golar LNG Partners LP23,979536
eWELLNESS HEALTHCARE Corp6,845536
Jack In The Box Inc.5,259535
Dualex Energy International, Inc.10,478533
Nuveen Equity Premium and Growth Fund35,978533
Luxoft Holding Inc8,505532
Blackrock Municipal Income Quality Trust38,085531
Orchids Paper Products Company22,069530
Frontline Ltd.78,510529
USG Corporation16,604528
Visteon Corp.5,378527
Entegra Financial Corp.22,295527
VOYA INSURANCE & ANNUITY CO.92,045525
Brookfield Property Partners LP23,596525
Stratasys25,558524
Blackrock MuniYield Quality Fund II40,904523
Korea Electric Power Corporation25,184522
State Bank Financial Corporation.19,793517
Pier 1 Imports72,261517
Apollo Investment Corporation78,399514
John Hancock Investors Trust16,683514
Blackrock Municipal Bond Trust34,093513
Caesars Entertainment Corporation53,695513
STMicroelectronics N.V.32,835508
Stellus Capital Investment34,911508
Highwoods Properties10,344508
JPMorgan Chase Bank NA10,945507
Avon Products114,385503
Green Bancorp, Inc.28,259503
Calamos Dynamic Convertible & Income Fund26,108502
Criteo10,050502
MedEquities Realty Trust, Inc.44,600500
PennTex Midstream Partners28,930499
Preferred Bank9,289498
Deutsche Borse AG19,805498
KB Financial Group Inc11,322498
Corcept Therapeutics Incorporated45,400498
Charles River Laboratories International5,517496
ETFS Platinum Trust5,459496
Paragon Commercial Corp.9,250495
Trustmark Corporation15,482492
One Liberty Properties20,943489
GasLog Partners19,947489
Telefonica Deutschland Holding AG32,844488
Genworth Financial Inc118,387488
Vector Group Ltd.23,419487
Nuveen Municipal Income Fund39,783487
American Financial Group5,094486
NTT DOCOMO20,783485
Royal Bank Of Canada79,706484
First Trust Energy Infrastructure Fund9,316484
Blackrock MuniHoldings Fund II31,117483
TIER REIT INC27,768482
ITT Educational Services, Inc.11,746482
Federated National Holding Company27,595481
Pacira Pharmaceuticals10,538481
Cliffs Natural Resources Inc.58,467480
Western Asset High Yield Defined Opportunity Fund Inc.66,228478
Tempur-pedic International Inc10,218475
Matica Enterprises Inc18,568475
ArcelorMittal56,796474
Cohen & Steers Closed-End Opportunity Fund38,244474
PIMCO Municipal Income Fund III37,643474
Generac Holdlings Inc.12,674472
Avangrid, Inc.11,019471
Macquarie Global Infrastructure Total Return Fund Inc.20,521469
Gigamon, Inc.13,133467
Cambrex Corporation8,465466
ICICI Bank Limited54,176466
Meredith Corporation7,193465
Massachusetts Health and Education Tax-Exempt Trust100,452464
Rockwell Medical73,926463
INVIVO THERAPEUTICS HOLDINGS CORP.113,749461
First Trust24,916461
Kaiser Aluminum Corporation5,746459
Blackrock MuniHoldings New York Quality Fund32,275459
Signet International Holdings, Inc.6,633459
BLACKROCK INTERNATIONAL78,849457
Cameco Corporation41,304457
Oclaro46,284455
Nathan's Famous7,260455
Morgan Stanley Emerging Markets Fund59,894454
TCW Strategic Income Fund84,008454
Dean Foods Company23,094454
Nuveen Intermediate Duration Municipal Term Fund35,136454
Thermon Group Holdings21,730453
Cornerstone OnDemand11,646453
Aqua Metals, Inc.23,128452
BWX Technologies9,468451
Lexicon Pharmaceuticals31,436451
Progenics Pharmaceuticals Inc.47,677450
CNH Global N.V.46,421448
Micronic Laser400,000447
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal10,567447
Brightcove Inc.50,100446
Denny's Corporation35,970445
Tower Resources PLC19,239444
Invesco Van Kampen California Value Municipal Income Trust33,997442
Equity Commonwealth14,129441
Guggenheim Strategic Opportunities Fund21,622440
Seacoast Banking Corporation of Florida18,272438
New Media Investment Group Inc.30,826438
Scholium Group PLC10,722437
Pope Resources6,172437
Enstar Group Limited2,273435
EDGEWELL PERSONAL CARE Co5,945435
Kulicke and Soffa Industries21,407435
DEWEY ELECTRONICS CORP6,004433
Vibe Ventures Inc4,734433
NetSol Technologies Inc.84,667432
Power Amers Minerals Corp.10,741431
Michael Kors Holdings Limited11,296430
Canadian Mining Company Inc.35,005430
Petroleo Brasileiro S.A.- Petrobras44,164428
athenahealth3,793427
Vitamin Blue Inc21,077425
Blackrock Diversified Income Strategies Fund6,867425
Kearny Financial28,168424
The Advisory Board Company9,069424
Exchange Income Corporation13,140423
CIENA Corporation17,852421
Virtus Total Return Fund95,802419
Imperial Oil Limited13,768419
Weingarten Realty Investors12,520418
Atara Biotherapeutics, Inc.20,303417
Pixelworks89,400417
Brookfield Renewable Energy Partners L.P.14,083417
EnerNOC69,295416
Ladenburg Thalmann Financial Services Inc167,813416
Poage Bankshares21,314416
Sotheby's9,114415
Western Gas Equity Partners, LP8,974414
Rollins11,131413
Invesco Value Municipal Income Trust28,237412
Salient Midstream30,822412
Achillion Pharmaceuticals97,465410
Tata Motors Ltd11,483409
Blackrock Health Sciences Trust11,833409
Chuy's Holdings13,721409
Cohen & Steers Select Preferred and Income Fund15,373408
Simmons First National Corporation7,407408
Shell Midstream Partners, L.P.12,563405
Blackrock Corporate High Yield Fund III12,619404
Laredo Petroleum Holdings27,674404
Merchants Bancshares8,257402
Latin America Equity Fund17,030401
ESCO Technologies Inc.6,882400
Blackrock California Municipal 2018 Term Trust27,958399
NRG Energy21,264398
Argan6,014398
Ferrari5,330397
MKS Instruments5,776397
Weibo7,575395
Union Equity, Inc.11,178393
Legg Mason, Inc.13,204393
Western Asset Municipal Defined Opportunity Trust Inc19,211392
Convergys Corporation18,555392
Aimmune Therapeutics, Inc.18,035392
Kayne Anderson Acquisition Corp23,718391
Cray Inc17,840391
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal10,937389
McDermott International57,361387
Materion Corporation11,536387
Qiwi PLC22,464385
Neurocrine Biosciences8,830382
e.l.f. Beauty, Inc.13,213381
Norbord13,384380
Blackrock Core Bond Trust28,433380
Far Eastone Telecommunication Co., Ltd.28,013379
ALDER BIOPHARMACEUTICALS INC18,189378
TravelCenters of America LLC62,037378
Heska Corporation3,574375
Blackrock MuniYield California Fund25,372374
Helios Advantage Income Fund15,989372
Liberty Global10,369372
GCP Applied Technologies Inc.11,342370
Accelerate Diagnostics, Inc.15,283370
iShares Oil Sands Index ETF6,046370
Nomura Holdings Inc ADR59,004370
Gamco Investors12,510370
WESTLAKE CHEMICAL PARTNERS LP14,708370
Liberty Property Trust9,584369
Mercury Computer Systems9,457369
National Health Investors5,076369
Penumbra Inc4,392367
Nordic Investment Bank44,865367
Apple Green Holding, Inc.19,149366
TrueCar Inc23,550364
Crown Marketing19,586363
Calpine Corporation32,785362
J & J Snack Foods Corp.2,659361
PIMCO New York Municipal Income Fund III37,897361
Tortoise Power and Energy Infrastructure Fund16,410361
Canon11,497360
Ultragenyx Pharmaceutical Inc.5,298359
MFS Intermediate Income Trust83,312359
Agora Holdings, Inc.9,637358
Mazor Robotics11,927355
RAYONIER ADVANCED MATERIALS INC.26,360354
RPC19,327354
Patheon N.V.13,437354
The Ensign Group18,782353
Sun Life Financial Inc.9,670352
EverBank Financial Corp.18,040351
Vista International Technologies Inc17,058351
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 230,372350
Host Marriott Financial Trust18,682349
SiteOne Landscape Supply, Inc.7,184348
Putnam Municipal Opportunities Trust28,906347
Green Plains Partners LP17,283347
American Realty Investors8,370344
American International Group16,105344
QUALITY CARE PROPERTIES, INC.18,209343
Pioneer Municipal High Income Trust29,534343
AAON9,699343
ETFS Asian Gold Trust9,031343
Cutera16,502342
ClearBridge Energy MLP Total Return Fund Inc.25,030341
Dividend and Income Fund28,311341
McEwen Mining Inc.112,098341
NorthWestern Corporation5,818341
Hilton Worldwide Holdings Inc.5,811340
Goldman Sachs BDC, Inc.13,738339
Abercrombie & Fitch Company28,377339
Kemet Corporation28,291339
Wright Medical Group10,875338
Piper Jaffray Companies5,288338
Yirendai13,440337
CNOOC Limited2,776333
E*TRADE Financial Corporation9,542333
ADVANCED MEDICAL ISOTOPE Corp8,359333
Embraer-Empresa Brasileira de Aeronautica15,035332
VASCO Data Security International24,569332
Electric Motors Corp.6,807332
Akebia Therapeutics, Inc.35,998331
Nuveen New York Dividend Advantage Municipal Income Fund24,404331
TriplePoint Venture Growth BDC Corp.23,578329
Redwood Capital Bancorp (CA)19,799329
Kbridge Energy Corp.21,889329
Brookdale Senior Living Inc.24,493329
Nuveen Municipal High Income Opportunity Fund26,672328
MGIC Investment Corporation32,391328
HUBSPOT INC5,425328
WhiteHorse Finance23,777328
Pattern Energy Group16,257327
Pretium Resources30,568327
Silver Spring Networks28,896326
Mitel Networks Corporation46,979326
First Commonwealth Financial Corporation24,610326
GAMCO Natural Resources47,029326
Cincinnati Bell Inc6,570325
Alpine Global Dynamic Dividend Fund33,335325
Smith & Nephew SNATS10,512325
Chartwell Seniors Hs9,265324
Community Health Systems36,506324
CACI International2,762324
Eagle Pharmaceuticals3,889323
New England Service Co.23,926323
Baozun21,577322
Hancock Holding Company7,080322
Kinsale Capital Group, Inc.10,005321
Nuveen Select Tax Free Income Portfolio II22,617321
Horizon Bancorp (IN)12,100317
OraSure Technologies24,405316
Boston Beer Company2,181315
Blackrock MuniHoldings Quality Fund II23,684314
Sapiens International Corporation N.V.24,349314
Denbury Resources121,161313
Teligent39,897312
CBOE Holdings3,854312
TriMas Corporation15,000311
Connecticut Water Service5,854311
Ralph Lauren Corporation3,801310
Herman Miller9,809309
Synergy Pharmaceuticals66,242309
DynTek, Inc.39,375309
City Telecom (H.K.) Limited25,327308
INVESCO MORTGAGE CAPITAL INC19,882307
Stein Mart101,846307
CASTLIGHT HEALTH, INC.84,000307
CONDUENT Inc18,294307
Manning & Napier53,700306
Nuveen California Dividend Advantage Municipal Fund26,074306
Ituran Location and Control Ltd.9,850304
GLAUKOS Corp5,922304
Kirby Corporation4,249300
Nuveen Virginia Premium Income Municipal Fund23,281300
Noah Holdings Ltd.11,788299
ORBCOMM Inc.31,215298
New York Times Company (The)20,606297
Alere Inc.7,428295
Swiss Helvetia Fund25,410295
Pimco Corporate & Income Opportunity Fund18,796295
iShares S&P Global Nuclear Index Fund8,884295
Schiff Nutrition International10,948293
B2Digital, Inc.102,821293
InterContinental Hotels Group Plc5,967292
EV Energy Partners197,224292
Seaboard Corporation70292
LabStyle Innovations Corp150,000289
Newpark Resources35,533288
Owens-Illinois14,073287
John Hancock Hedged Equity & Income Fund16,946286
NewMarket Corporation629285
Clovis Oncology4,479285
Liberty Interactive Corporation465,000284
ING Global Equity Dividend and Premium Opportunity Fund38,371282
Weight Watchers International Inc18,135282
BP Prudhoe Bay Royalty Trust14,003281
USANA Health Sciences4,885281
Cousins Properties Incorporated33,911280
Nuveen Real Estate Fund25,233280
Gold Reserve Inc3,192279
COLUMBIA PROPERTY TRUST, INC.12,500278
Mercury General Corporation4,558278
Arrin Corp.8,241277
Arch Capital Group Ltd.10,640277
Xenia Hotels & Resorts16,213277
FS Bancorp28,124276
Trinseo S.A.4,118276
FIGO Ventures, Inc.34,593275
HCi Viocare6,004274
Apollo Gold Corporation15,602274
SINOPEC Shangai Petrochemical Company4,906274
Retail Properties of America19,029274
Liberty Media11,396273
Nuveen Real Asset Income and Growth Fund15,857273
California Water Service Group Holding7,592272
AutoNation6,434272
Century Casinos35,900271
CUI Global57,000270
TIME INC.13,957270
Royal Dutch Shell Plc10,500270
Alliance National Municipal Income Fund Inc20,192270
Chesapeake Utilities Corporation3,892269
STOCK BUILDING SUPPLY HOLDINGS, INC.6,614269
The Hanover Insurance Group2,978268
Apollo Senior Floating Rate Fund Inc.14,228268
WGL Holdings Inc3,238267
Karyopharm Therapeutics Inc20,829267
Nuveen Tax-Advantaged Total Return Strategy Fund17,797266
ANI Pharmaceuticals5,368266
Parkway Acquisition Corp13,396266
Great Fingall Mining Co.20,400266
Park Hotels & Resorts Inc.10,327265
Cenovus Energy Inc23,438265
Vedanta Res Plc15,366264
Gladstone Capital Corporation29,053264
Coffee Holding Co.56,300262
First American Corporation (The)65,368261
Enduro Royalty Trust77,772261
Macquarie Group, Ltd.20,844261
Morningstar3,305260
The Andersons6,865260
Dynamics Research Corporation22,080258
United Therapeutics Corporation1,903258
Realogy Holdings8,612257
General Electric Capital Corporation14,376257
Ramco-Gershenson Properties Trust18,241256
Heritage-Crystal Clean18,688256
Deutsche Bank Aktiengesellschaft106,882255
Culp8,133254
Eaton Vance Municipal Bond Fund II20,708254
Sunrise Telecom, Inc.6,998253
Kornit Digital13,245253
Voyager Therapeutics, Inc.24,065252
ADURO BIOTECH, INC.23,449252
Energizer Tennis Inc.4,509251
ING Infrastructure Industrial and Material Fund16,590251
Glatfelter11,561251
Amarin Corporation PLC78,390251
First Banks21,007251
Trade Desk, Inc.6,724250
Washington Federal7,530249
LG Display Co.18,124247
Stewart Enterprises5,600247
Supernus Pharmaceuticals7,907247
GATX Corporation4,023245
Mind Solutions Inc.10,000245
Allison Transmission Holdings6,728243
Franks International NV22,937242
TrustCo Bank Corp NY30,856242
AK Steel Holding Corporation33,629242
Dime Community Bancshares11,825240
Franklin Universal Trust34,270240
Terra Nitrogen Company7,610239
Nimble Storage19,067238
mCig, Inc.15,618238
EQT GP Holdings8,577235
Globant6,463235
Nuveen Dividend Advantage Municipal Fund23,810234
LeMaitre Vascular9,475233
Eaton Vance Short Diversified Income Fund16,403232
Nuveen Build America Bond Fund10,720232
Mwana Africa Plc.3,928232
Momo6,770231
SolarEdge Technologies14,825231
Urban Barns Foods Inc.8,731230
ZIOPHARM Oncology Inc36,262230
Flaherty & Crumrine/Claymore Preferred Securities Income Fd In10,800229
CAM Group, Inc.5,316228
Advanced Semiconductor Engineering35,203228
Mizuho Financial Group61,722228
Computerized Thermal Imaging, Inc.8,138228
Nuveen Ohio Dividend Advantage Municipal Fund 223,494228
Allied World Assurance Company Holdings4,282227
Global Partners LP11,567226
New York Mortgage Trust36,664226
Fiat20,479224
Blackberry28,866224
FCB FINANCIAL HOLDINGS, INC.4,526224
Gabelli Utility Trust (The)33,021223
Basic Energy Services6,698223
Momenta Pharmaceuticals16,720223
Arch Capital Group Ltd.2,351223
Arrow Financial Corporation6,567223
Pure Pharmaceuticals Corp.22,600222
First Merchants Corporation5,653222
Neogen Corporation3,385222
PennyMac Mortgage Investment Trust12,490222
bluebird bio, Inc.2,429221
ILG10,509220
Intercept Pharmaceuticals1,949220
Perpetual Energy Inc.9,195220
Delek Group Ltd.6,565219
St. Joe Company (The)12,795218
Bojangles10,625218
BlackRock Utility and Infrastructure Trust10,946217
Morgan Stanley Emerging Markets Domestic Debt Fund14,712217
Universal Security Instruments73,513217
Sarepta Therapeutics7,318217
HUB Power Co., Ltd.4,675217
ServisFirst Bancshares, Inc.5,976217
Government Properties Income Trust10,338216
VALERO ENERGY PARTNERS LP4,477214
AAC Holdings25,013213
LGI Homes6,267213
BlackRock 2022 Global Income Opportunity Trust15,175212
Lam Research Corporation100,000212
Foamix79,500212
Aecom Technology Corporation5,968212
Franklin Electric Co.4,914212
Cambria Africa PLC6,232212
New England Realty Associates Limited Partnership3,060211
Compugen Ltd.49,100211
Central Garden & Pet Company5,671210
pdvWireless, Inc.9,605210
Marvell Technology Group Ltd.13,689209
Emergent Biosolutions7,159208
Healthcare Realty Trust Incorporated6,396208
INTELLINETICS, INC.153,000208
Information Services Group64,803204
Clayton Williams Energy1,547204
Ubiquiti Networks4,041203
Ares Management10,697203
Oil States International6,124203
Fourlis Holding SA8,885203
Capital Bank Financial Corp.4,655202
Trimble Navigation Limited6,311202
MCBC Holdings, Inc.12,495202
ACCELERON PHARMA INC7,583201
Infinity Energy Resources, Inc.6,993201
Sierra Wireless7,571201
Ethan Allen Interiors Inc.6,574201
OceanFirst Financial Corp.7,110200
Wells Fargo Advantage Global Dividend Opportunity Fund34,225199
Western Asset Middle Market Income Fund Inc.14,811198
Simulations Plus16,870198
CAE Inc12,927197
Synalloy Corporation16,000196
Eaton Vance Ohio Municipal Income Trust14,253193
Box Ships Inc.11,825193
SandRidge Permian Trust66,564193
Vonage Holdings Corp.30,382192
Fortuna Silver Mines Inc.36,493190
The Herzfeld Caribbean Basin Fund26,350187
Vicor Corporation11,387183
Morgan Stanley Emerging Markets Debt Fund19,532182
Emerge Energy13,050181
Electro Scientific Industries26,025181
CBL & Associates Properties18,970181
Tortoise Energy Independence Fund10,995181
Alexco Resource Corp116,472178
OHA Investment Corporation115,502178
Five9, Inc.10,725177
Eaton Vance Pennsylvania Municipal Income Trust14,413174
Western Asset Global High Income Fund Inc17,165173
NEW GOLD INC.57,977173
Western Uranium Corp16,335172
MOBILEIRON, INC.39,572172
Peoples Insurance Company Group China11,391171
Nimtech Corp.17,250171
ASA Gold and Precious Metals Limited14,072170
Nuveen New York AMT-Free Municipal Income Fund12,552167
CPI Aerostructures24,600166
Merrimack Pharmaceuticals53,779166
Acacia Diversified Holdings, Inc.28,640165
Pioneer Floating Rate Trust13,262162
VITAL THERAPIES INC40,282161
BlackRock Municipal Income Trust11,395161
Innoviva11,546160
Trinity Biotech plc26,850160
PCM, Inc.15,774160
Delaware Investments Florida Insured Municipal Income Fund12,362160
A10 Networks17,455160
Blackrock Municipal 2020 Term Trust10,017158
Templeton Emerging Markets Fund11,254158
AGIC Convertible & Income Fund23,270157
Enerplus Corporation19,562157
Ascena Retail Group36,843157
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.27,088154
Geeknet30,853153
Keryx Biopharmaceuticals24,901153
China Unicom (Hong Kong) Ltd11,287152
Nature's Sunshine Products15,225152
RadNet25,651151
Bear Lake Recreation, Inc.15,922150
Nuveen California Municipal Market Opportunity Fund14,833150
Liberty All-Star Growth Fund32,727149
Arrowhead Gold Corp.13,800148
Eaton Vance California Municipal Bond Fund II12,988148
Ladder Capital10,196147
Daktronics15,495146
1-800 FLOWERS.COM14,300146
Legacy Reserves LP63,797146
Contango Oil & Gas Company19,638144
SiM Internal Test 416,506143
Invesco Municipal Income Opportunities Trust19,032143
Blackrock Muni New York Intermediate Duration Fund Inc10,345142
Cementos Pacasmayo S.A.A.12,635142
MFS Municipal Income Trust20,484142
AcelRx Pharmaceuticals45,000142
THL Credit14,257142
Luna Innovations Incorporated81,459141
OMNOVA Solutions Inc.14,229141
Western Asset Global Corporate Defined Opportunity Fund Inc.14,448141
Arbor Realty Trust16,741140
Duff & Phelps Utilities Income15,240140
Zweig Fund12,501139
Nevada Gold & Casinos63,300135
Putnam Master Intermediate Income Trust28,513134
Nuveen California Select Quality Municipal Fund10,948134
PGT12,328133
Alamos Gold Inc. New16,428132
Crescent Pt Energy12,167131
Duff & Phelps Select Energy MLP Fund Inc.16,500129
Kosmos Energy Ltd.19,415129
Cypress Energy Partners13,600124
CVR Refining, LP13,098124
CVR Partners25,796120
Sears Holdings Corporation10,170117
Rocket Fuel Inc21,750117
Atwood Oceanics12,200116
Gener8 Maritime20,372116
EXCO Resources NL186,845116
Mid-Con Energy Partners48,942116
Macatawa Bank Corporation11,610115
Cytosorbents Corp25,442114
PennantPark Investment Corporation14,000114
Eldorado Gold Corporation33,492114
Aly Energy Services, Inc.10,042113
Madison/Claymore Covered Call & Equity Strategy Fund14,033113
BioTime31,940110
Greenville Strategic Realty Corp11,056110
Theron Resource Group13,068109
Kinross Gold Corporation30,450107
MiX Telematics17,019107
Willamette Valley Vineyards13,075105
Wipro Limited10,022103
Matinas BioPharma Holdings, Inc.35,44098
Gold Standard Ventures Corporation44,78197
Calumet Specialty Products Partners25,39096
Wells Fargo Advantage Income Opportunities Fund11,28995
Sandstorm Gold Ltd.22,20095
First Trust Specialty Finance and Financial Opportunities Fund12,60894
Aberdeen Australia Equity Fund Inc15,15592
Clean Energy Fuels Corp.35,34390
American Seniors Association Holding Group, Inc.13,02089
GNC Holdings12,07089
Energy Recovery10,47187
VOC Energy Trust24,59986
Medley Capital Corporation11,11385
Novavax66,38185
BlackRock Income Trust Inc. (The)13,50284
MannKind Corp.56,50284
ORGANOVO HOLDINGS, INC.26,23183
Precision Drilling Corporation17,63883
Vascular Biogenics14,85782
Sonoma Pharmaceuticals11,24281
Globalstar50,50081
Celadon Group11,91878
LendingClub Corp14,22578
RAIT Financial Trust23,99977
Gastar Exploration49,50076
WindStream Technologies, Inc.13,76975
Ferrellgas Partners12,27074
WSI Industries Inc.22,00074
Yamana Gold Inc.25,82071
Ceragon Networks Ltd.20,68168
NANOVIRICIDES, INC.60,00067
Inovio Pharmaceuticals10,11367
ServiceSource International17,12066
Cobalt International Energy118,64063
Kopin Corporation15,20062
Zynga Inc.21,30061
Westport Innovations Inc63,38561
Groupon13,75054
Teekay Tankers Ltd.26,16254
MFC Industrial Ltd.30,35254
Hecla Mining Company10,07453
Southcross Energy Partners LP15,11153
Nymox Pharmaceutical Corporation13,96051
Novagold Resources Inc.10,27250
Kandi Technolgies12,40047
CPI Card Group Inc.10,97546
BioAmber19,70046
Gerdau S.A.13,00045
Biocept21,00045
Celldex Therapeutics11,77743
Senseonics Holdings, Inc.23,70042
Soligenix, Inc.14,96040
Navios Maritime Partners LP19,36440
Research Frontiers Incorporated27,50039
Pieris Pharmaceuticals, Inc.15,00039
Pengrowth Energy Corporation38,95639
Uranium Energy Corp.24,40035
Torchlight Energy25,00035
Interpace Diagnostics Group12,80034
Jones Energy, Inc.13,02333
Endocyte12,90033
Petroquest Energy Inc11,92533
CytRx Corporation70,00031
Vericel Corporation10,61130
Northern Dynasty Minerals20,11429
TrovaGene25,00029
Keegan Resources Inc10,94029
Hovnanian Enterprises Inc11,70027
Northern Oil and Gas10,20027
TRANSENTERIX INC.22,51327
Uranium Resources12,50024
U.S. Global Investors15,50824
Actinium Pharmaceuticals, Inc.15,32523
eCare Solutions, Inc.10,85023
Kingold Jewelry Inc.17,00020
Penn West Petroleum Ltd11,22219
Senomyx19,43319
SandRidge Mississippian Trust I12,69118
Nexeo Solutions Holdings, LLC24,06517
UniCredit SpA 20,50017
Bank Princeton New Jersey18,30017
Arena Pharmaceuticals11,60017
Zion Oil & Gas Inc12,18915
Pluristem Therapeutics11,64314
Plug Power10,33414
Ampio Pharmaceuticals16,00013
FalconStor Software30,92512
Tanzanian Royalty Exploration Corporation28,51312
Denison Mine Corp17,95811
Memorial Production Partners LP85,67710
Golden Star Resources11,0009
Navidea Biopharmaceuticals16,0009
CEL SCI CORP101,5009
The Bon-Ton Stores10,4409
Polymet Mining Corp.12,5009
Origen Financial, Inc.29,0748
International Tower Hill Mines Ltd15,0008
BANRO CORPORATION52,0007
Tengasco13,9705
WTTJ Corp46,3981
Community Bank of South Florida Inc.36,4251

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