RAYMOND JAMES & ASSOCIATES

Most recent update: Sept. 30, 2016

CompanyShares/WarrantsValue ($000)
Indo Tambangraya Megah PT9,514,1671,069,583
iShares Trust iShares MSCI All Country Asia Information Techno16,392,877990,557
Vanguard Short Term Government Bond ETF7,378,225842,746
SPDR GOLD TRUST17,424,254814,186
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi7,036,586733,003
Russell Exchange Traded Funds Trust Russell Small Cap Consiste6,747,063712,625
Apple Inc.4,416,050487,743
Microsoft Corporation8,018,273445,748
Verizon Communications Inc.8,401,193426,433
AT&T Inc.8,883,489360,759
Standard Parking Corporation1,257,822355,063
PowerShares Global Coal Portfolio10,447,321352,248
Johnson & Johnson2,825,118333,732
Exxon Mobil Corporation3,570,718309,124
S&P Quality Rankings Glbl Equ Mngd Tr1,456,798302,794
Procter & Gamble Company (The)3,275,000289,226
Merck & Company4,542,542282,536
Alphabet Holding Company, Inc.346,261273,797
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap2,198,043273,023
Chevron Corporation2,625,842265,844
J P Morgan Chase & Co4,092,140264,608
Altria Group3,718,655235,130
Pfizer7,147,129231,223
First Trust7,577,654214,267
Amazon.com249,331207,298
Philip Morris International Inc2,093,648203,545
Coca-Cola Company (The)4,783,483202,437
Berkshire Hathaway Inc.1,383,806199,918
Pepsico1,803,820196,202
Facebook1,479,424189,766
McDonald's Corporation1,646,165188,635
AbbVie Inc3,008,781188,417
iShares Trust iShares MSCI Emerging Markets Latin America Inde5,051,440187,359
Cisco Systems6,371,903182,277
General Electric Co6,134,399178,893
iShares3,144,249173,374
Union Pacific Corporation1,797,638170,591
Vodafone Group Plc5,749,350167,593
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu2,835,467166,429
Wells Fargo & Company3,724,318161,315
United States Cellular Corporation1,143,027160,025
Comcast Corporation2,375,605156,147
Kimberly-Clark Corporation1,234,941155,778
GlaxoSmithKline PLC3,627,828153,710
B Communications Ltd.3,278,107151,295
QUALCOMM Incorporated2,291,996148,877
National Financial Partners Corporation2,084,056148,197
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund2,983,685147,781
Duke Energy Corporation1,830,560146,518
Home Depot1,172,321146,223
The Kraft Heinz Company1,657,516144,423
iShares S&P Global Clean Energy Index Fund3,880,289143,174
Wal-Mart Stores1,895,510136,705
Occidental Petroleum Corporation1,808,079131,845
Southern Company (The)2,560,105131,333
Visa Inc.1,612,538130,845
Sanofi3,253,360123,815
Ultra Lithium Inc2,545,741120,668
Reynolds American Inc2,525,846119,094
Intel Corporation3,325,832118,617
Bristol-Myers Squibb Company2,236,648117,737
Multi-Strategy Growth & Income Fund4,017,433117,711
United Parcel Service1,061,507113,026
iShares FTSE EPRA/NAREIT Europe Index Fund990,402110,283
Time Warner Inc.1,379,935104,942
Honeywell International Inc.935,432104,768
Sysco Corporation2,194,000103,051
Lockheed Martin Corporation423,391101,495
PNC Financial Services Group1,102,50799,325
PowerShares QQQ Trust834,45599,067
Medtronic1,232,24298,101
Core Resource Management, Inc.786,19897,614
CME Group Inc.965,33096,229
3M Company537,92994,801
iTeknik Holding Corporation434,11894,447
Bowl America, Inc.2,620,81192,148
Enterprise Products Partners L.P.3,360,62592,006
PPlus Trust2,658,92191,919
Eaton Corporation1,450,20491,392
Allergan388,89891,142
TE Connectivity Ltd.1,405,91190,513
CB Scientific Inc.754,73990,448
Dominion Resources1,215,93590,307
Amgen Inc.574,39989,591
Security Devices International Inc.1,067,09989,198
Ironclad Performance Wear Corp2,361,90588,642
Walt Disney Company (The)951,20488,330
Microchip Technology Incorporated1,484,30788,270
Astrazeneca PLC2,669,11887,707
Biogen Idec Inc.280,10887,682
BROADVIEW INSTITUTE INC506,71487,420
Cardinal Health1,156,12185,944
CVS Corporation938,38283,507
Ventas1,174,23382,936
U.S. Bancorp1,944,92682,786
Oracle Corporation2,305,75682,202
TotalFinaElf1,689,92780,609
Anadarko Petroleum Corporation1,269,25780,420
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF874,74778,360
BlackRock Maryland Municipal Bond Trust2,049,78777,318
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund2,115,95677,197
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund682,55776,958
Schlumberger N.V.971,36176,388
Johnson Electric Holdings Ltd.1,629,05275,800
Abbott Laboratories1,932,28275,778
General Mills1,178,07275,255
Air Products and Chemicals521,98773,956
Gilead Sciences938,69073,388
Emerson Electric Company1,443,50273,297
Regal Entertainment Group3,319,26172,194
Novartis AG907,15171,629
Dow Chemical Company (The)1,402,17871,451
International Business Machines Corporation490,54971,260
Edge Resources Inc.1,556,10670,694
Celgene Corporation673,84670,437
Vanguard Mortgage-Backed Securities ETF1,854,75369,386
Target Corporation1,071,41668,294
Boeing Company (The)544,10467,886
Starbucks Corporation1,409,89565,996
Texas Instruments Incorporated950,68765,813
Raytheon Company492,42065,526
MetLife1,466,35565,150
Western Union Company (The)3,051,23863,527
Bank of America Corporation4,063,65662,484
Marathon Petroleum Corporation1,731,03962,172
Crown Equity Holdings, Inc.652,82661,503
Automatic Data Processing726,54360,726
priceline.com Incorporated40,73659,943
Omnicom Group Inc.703,99759,840
Taiwan Semiconductor Manufacturing Company Limited1,947,50659,574
MSCI Inc1,120,81858,853
Becton322,23857,924
Halliburton Company1,380,18557,893
NXP Semiconductors N.V.579,16557,654
E.I. du Pont de Nemours and Company837,36256,078
Corning Incorporated2,437,84455,495
Innocap, Inc.317,00155,389
Walgreens Boots Alliance779,63555,282
Illini Corp.446,57255,009
Praxair447,11654,025
Alibaba Group Holding Limited501,91553,098
Sport Chalet431,39152,485
Vanguard Health Systems699,41552,382
World Gaming plc413,36251,935
Autodesk717,13851,871
Allstate Corporation (The)760,23151,488
Twitter2,281,78451,435
Carnival Plc ADS1,127,96451,069
Weyerhaeuser Company1,597,05351,010
Magellan Minerals Ltd.710,77450,280
Wake Forest Bancshares, Inc.836,54450,093
Caterpillar590,94849,981
Goldman Sachs Group1,256,53849,688
Royal Dutch Shell PLC990,31049,585
American Electric Power Company767,33149,271
ONYX Pharmaceuticals175,52049,165
British American Tobacco Industries383,18948,914
Salesforce.com Inc687,17248,030
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF581,30047,632
United Technologies Corporation466,86047,433
Lowe's Companies652,01747,082
Cinemark Holdings Inc1,205,04446,129
Seagate Technology.1,195,14146,073
Fastenal Company1,100,45145,977
Costco Wholesale Corporation297,28645,339
FVI Fondo Valores Inmobiliarios1,956,50744,804
Neenah Paper367,62944,718
Realty Income Corporation650,04543,508
Motorola Solutions565,41643,130
Stark Naked Bobbers372,17542,633
Express Scripts Holding Company611,75942,309
Waste Management659,92742,077
Nielsen CO B.V.783,46041,970
General Electric Capital Corporation3,546,08140,939
Citigroup Inc.858,75340,559
vTv Therapeutics Inc.457,55439,807
ProShares Trust ProShares UltraShort Nasdaq Biotechnology907,60339,137
Diageo plc336,15239,007
UBS AG1,417,91338,896
Broadridge Financial Solutions571,11838,716
Polaris Futures Fund L.P.506,22338,403
iShares FTSE EPRA/NAREIT Asia Index Fund353,06937,341
General Dynamics Corporation237,32836,826
Nike737,17636,202
Thomson Reuters Corp872,17036,090
High Country Bancorp, Inc.498,85835,988
Western Asset Emerging Markets Income Fund615,33135,978
VGTel, Inc.422,45835,457
iShares315,92435,345
Consolidated Graphics466,29835,112
Pimco Corporate & Income Stategy Fund352,25935,050
NVIDIA Corporation511,16235,025
Russell Exchange Traded Funds Trust Russell Small Cap Contrari332,58434,841
Aspen Pharmacare Holdings plc308,81534,739
Mondelez International802,70134,429
Accenture plc.280,97334,327
CenturyLink1,268,34734,166
American Express Company529,54833,913
American Tower Corporation (REIT)297,90633,763
Entergy Corporation440,02933,763
Interups Inc.350,98733,330
Eli Lilly and Company455,00733,105
Ibiden Co. Ltd.376,18732,236
National Fuel Gas Company595,58632,203
First Trust NASDAQ-100 Equal Weighted Index Fund690,32331,589
Pacific Gas & Electric Co.513,62431,418
First Trust Energy Income and Growth Fund2,035,47031,387
Citrix Systems367,99231,360
Palo Alto Networks209,22031,227
Centenera Mng Corp.462,52130,970
Phillips 66382,46230,807
iShares279,51030,771
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND1,048,21130,769
LeapLab Corp.203,22630,632
Mastercard Incorporated300,05130,536
Ameren Illinois Company620,23630,503
Edwards Lifesciences Corporation250,18930,163
LyondellBasell Industries NV373,82830,153
iShares Trust513,40529,982
Select Asset Inc.372,90329,848
Vanguard Short-Term Corporate Bond ETF368,40929,779
iShares MSCI ACWI ex US Index Fund713,76129,607
Discover Financial Services523,41829,600
eBay Inc.899,13029,581
PayPal Holdings, Inc.720,43529,516
Amsurg Corp.436,92029,391
Anheuser-Busch Inbev SA223,30829,345
PIMCO Income Strategy Fund277,32829,251
Federal Express Corporation165,18928,856
Compass Minerals Intl Inc388,55528,637
Valero Energy Corporation540,14628,628
Vertex Pharmaceuticals Incorporated324,14228,268
Ingersoll-Rand plc (Ireland)430,22828,097
Adobe Systems Incorporated258,83728,094
Constellation Brands Inc168,59828,070
PPG Industries271,37228,049
Parker-Hannifin Corporation222,42827,921
Vectren Corporation553,55527,788
Community Bank (Pasadena, CA)884,07927,769
Unilever NV599,01827,615
Cognizant Technology Solutions Corporation586,43627,191
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF241,59126,896
BlackRock73,79426,748
Kinder Morgan1,155,88526,736
New Ulm Telecom, Inc.361,19726,403
IntercontinentalExchange97,99126,398
Ulta Salon110,68426,340
Marathon Oil Corporation1,664,96826,323
Boulder Energy Ltd.3,090,07625,895
Charles Schwab Corporation816,21725,768
Danaher Corporation476,49825,591
Willis Towers Watson192,31625,534
Freeport-McMoran Copper & Gold2,463,52925,530
Alexion Pharmaceuticals205,87425,228
Select Asset Inc.348,34325,120
Paychex519,86725,077
Teva Pharmaceutical Industries Ltd.538,44224,774
Pioneer Exploration, Inc.133,36424,759
Envestnet267,45524,681
iShares S&P Emerging Markets Infrastructure Index Fund624,22824,657
ConocoPhillips564,46924,537
iShares NASDAQ Biotechnology Index Fund84,70324,519
Harris Teeter Supermarkets267,60924,517
Rogers Communication575,58324,404
SunTrust Banks552,10824,182
STATIONDIGITAL CORP1,439,18024,178
Delta Air Lines Inc. (New)610,78624,040
J.M. Smucker Company (The)177,19024,016
Illinois Tool Works Inc.200,35924,012
Quintiles Transnational Holdings Inc294,18823,847
ENERGY TRANSFER PARTNERS637,91123,603
International Paper Company507,36923,500
Spectral Capital Corp.548,91123,466
Arthur J. Gallagher & Co.460,96623,449
Sector 5, Inc.487,33123,285
Aetna Inc.201,53023,267
Spectra Energy Partners532,14223,249
Sempra Energy215,56323,106
Relx1,227,08623,011
Newell Rubbermaid Inc.436,95623,010
Westpac Banking Corporation1,010,76922,985
Concho Resources Inc.166,63022,887
Applied Materials753,44722,716
OWENS-ILLINOIS GROUP INC653,79822,707
Newfield Exploration Company519,31122,569
MSC Industrial Direct Company306,68822,514
IBO (Listing Market - NYSE Amex Network B F)263,87722,441
Zimmer Holdings172,24122,395
American Homes 4 Rent1,022,87022,135
Pentair342,67222,013
Prologis, Inc.407,41621,813
The Blackstone Group L.P.972,99121,762
Goldman Sachs Group134,03921,617
Consumer Portfolio Services405,29921,566
Allied World Assurance Company Holdings528,70121,370
Vanguard Energy Corporation246,17720,984
Masimo Corporation351,56520,915
Simon Property Group100,81020,870
FTE Networks, Inc.445,97420,845
Nucor Corporation419,49220,744
Imperial Petroleum, Inc.133,87120,713
Zoetis397,33320,665
Netflix209,16220,613
TJX Companies274,73220,545
Shire plc105,12420,379
Yum! Brands280,16820,358
McKesson Corporation121,40520,245
Omega Healthcare Investors570,45720,223
Hormel Foods Corporation532,35520,192
Mascota Resources Corp585,21920,079
IEG Holdings Corp260,84120,026
Harmonic Energy, Inc.237,10920,025
Heico Corporation319,66519,912
Geo Group Inc (The)832,31219,792
Sappi Limited213,79919,543
The Bank of Kentucky Financial Corp.488,40419,478
Weatherford International3,451,00619,395
Ionis Pharmaceuticals526,17919,279
iSoftStone Holdings Limited642,59719,265
Republic Services377,65219,053
Analog Devices293,93618,944
ENERGY TRANSFER PARTNERS278,52718,899
Fluor Corporation366,88218,828
Stericycle234,82118,819
RIGHTSCORP, INC.354,67518,738
Blackrock Enhanced Equity Dividend Trust2,372,52218,719
KSW Inc198,92518,564
Global X Funds Global X NASDAQ 500 ETF1,233,17918,539
Ecolab Inc.151,80618,478
AmeriGas Partners404,29918,460
Industrial Services of America313,13918,281
NoCopi Technologies, Inc.85,30618,251
Thermo Fisher Scientific Inc114,49518,213
Sabra Healthcare REIT722,43118,191
STERLING CONSOLIDATED Corp123,76718,170
Exelon Corporation567,80818,162
Stanley Black & Decker172,26118,160
Activision Blizzard407,60218,057
iShares Gold Trust1,421,34318,037
WestRock371,07717,990
Raymond James Financial309,00317,987
Check Point Software Technologies Ltd.230,17917,864
Now Inc832,36517,838
XBiotech Inc.295,48717,833
Waste Connections238,55617,820
New York Community Bancorp Inc1,249,82117,785
TheraBiogen Inc.167,67717,785
Prudential Financial217,05717,723
Archer563,35817,695
Henry Schein108,36117,661
International Consolidated Airlines Group SA101,24017,649
iShares MSCI Europe Financials Sector Index Fund139,13217,606
Camden Property Trust209,97617,583
Berkshire Hathaway Inc.8117,514
TELUS Corporation528,49517,427
Healthcare Services Group437,92017,333
LPL Financial Holdings Inc.578,27317,296
RRSat Global Communications Network Ltd.1,093,38917,188
Mohawk Industries85,60817,151
ETERNITY HEALTHCARE INC.1,055,10716,971
Marriott International267,01416,968
Peoples Financial Corporation1,068,14916,898
Financial Institutions978,66216,721
Landstar Development Group, Inc.245,49516,713
Edison International231,21216,705
Liberty Interactive Corporation834,26616,694
Ross Stores293,56416,617
Fifth Third Bancorp807,18116,515
Etfs Commodity Securities Ltd.134,92316,485
Delphi Automotive plc230,96716,473
Prudential Public Limited Company459,40916,405
McCormick & Company163,90416,378
Toyota Tsusho Corp.140,80816,342
Marsh & McLennan Companies242,88216,334
Maxima Group, Inc.567,82516,226
Sherwin-Williams Company (The)58,64116,224
Darling International Inc.1,189,81816,074
Colgate-Palmolive Company215,74615,995
Steel Partners Holdings LP638,42015,954
iShares275,18015,895
Diamondback Energy164,60315,891
Bank of the Ozarks413,17215,866
Aflac Incorporated220,57815,853
iShares MSCI Far East Financials Sector Index Fund204,49715,822
Estee Lauder Companies178,64415,822
Norfolk Souther Corporation185,37415,815
Fidelity National Information Services204,63515,763
Lazard Global Total Return and Income Fund649,02415,755
Russell Breweries Inc130,40215,709
Brown & Brown416,09315,691
General Motors Company493,70615,685
DineEquity197,23515,619
Stryker Corporation134,06515,607
Monotaro Co., Ltd.152,35815,571
PIMCO California Municipal Income Fund153,33915,550
V.F. Corporation274,36315,378
Bespoke Tricyles, Inc.1,757,28715,376
PAA Natural Gas Storage487,93115,326
iShares MSCI Emerging Markets Materials Sector Index Fund175,59515,323
Northern Trust Corporation224,95515,295
Boston Scientific Corporation656,91215,239
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF276,92714,943
Inca One Gold Corporation108,04214,857
UBS AG (London Branch)1,087,76414,816
Nuance Communications1,238,51014,771
Colony Bankcorp799,12614,568
Targa Resources295,46714,510
Vanguard Energy Corporation119,85714,427
Agrium Inc.158,58014,357
ChemoCentryx219,85014,278
Equifax104,49014,062
Acuity Brands Inc53,13414,059
Discovery Communications520,90014,023
ASML Holding N.V.127,51613,973
Legg Mason416,55013,946
American Water Works186,33613,945
BCSB Bancorp1,600,18313,906
IDEX Corporation148,01513,850
iShares Trust iShares Barclays GNMA Bond Fund118,86613,846
Intertainment Media, Inc.792,63713,835
Vantiv245,58213,819
Sunoco Logistics Partners LP484,88613,776
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 141,33313,762
Aircastle Limited691,75813,738
Selective Insurance Group277,23113,581
Six Flags Entertainment Corporation New252,91813,559
LEAP TECHNOLOGY INC / DE111,81413,554
Synchrony Financial510,50213,452
VOIP PAL.com, Inc.103,82413,439
Brookfield Infrastructure Partners LP388,00613,435
Huntington Bancshares Incorporated1,361,34313,423
HCA Holdings177,37413,415
Mid-America Apartment Communities142,51213,395
Baidu73,09113,308
National-Oilwell Varco360,59113,248
Clorox Company (The)104,95913,139
Cintas Corporation116,45213,113
Hanesbrands Inc.518,64013,096
General Electric Capital Corporation400,66413,082
Mobileye318,29413,042
Tractor Supply Company240,60413,035
Canada Strategic Metals, Inc.506,68613,017
Karelia Tobacco Co Inc167,90713,008
John Wiley & Sons251,66912,989
Central Fund of Canada Limited934,25512,921
HSBC Holdings plc355,37512,885
Amdocs Limited222,67812,882
Trinity Industries531,87112,861
Alliance Creative Group, Inc.59,90112,851
CDW Corp280,78912,840
Xilinx232,52712,636
Alleghany Corporation24,03112,617
Royce Value Trust994,91612,596
CIGNA High Income Shares96,21712,539
Zayo Group Holdings, Inc.421,29512,517
Energen Corporation216,69112,507
Fidus Investment Corporation793,20612,493
Cedar Fair217,82612,479
iShares256,24012,423
Novo Nordisk A/S297,05012,354
Leggett & Platt269,85012,300
Dolby Laboratories226,45312,294
Canadian Pacific Railway Limited80,11612,234
Genesis Metals Corp.321,90112,223
Matthews International Corporation201,07512,217
Capital One Financial Corp170,05912,215
Morgan Stanley379,12612,155
Timken Company (The)345,65312,146
Hewlett Packard Enterprise Co591,88412,089
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio260,13712,078
Canadian National Railway Company183,55711,991
Crimson Wine Group Ltd.391,27211,934
Genuine Parts Company118,77311,931
Deere & Company139,21011,882
Flow International Corporation245,72011,854
Petrominerales Ltd166,64311,842
The Ultimate Software Group57,77211,808
Toro Company (The)251,65211,787
First Trust Exchange-Traded Fund II First Trust BICK Index Fun602,58911,781
CEPHEID223,32011,767
Huntington Ingalls Industries76,57511,748
AO Mosenergo153,30711,674
Labor Smart, Inc.84,56911,627
Cohen & Steers Infrastructure Fund539,80411,627
Hillenbrand Inc365,86611,576
HCP304,83911,569
Oppenheimer Holdings209,60111,557
Church & Dwight Company239,98511,500
CornerWorld Corp.85,60611,391
Mednax171,69311,375
OGE Energy Corporation359,58111,370
Etfs Commodity Securities Ltd.399,88611,266
Diamondhead Casino Corp.61,58111,256
Garmin Ltd.232,71311,196
Jack Henry & Associates130,56311,170
UBM Plc315,74711,149
Parsley Energy332,50311,142
Air Lease Corporation389,61211,135
Coach303,49711,096
Blackstone GSO Long Short Credit Income Fund741,90111,080
Federated Investors372,92011,050
Cimarex Energy Co82,16511,041
TD Ameritrade Holding Corporation312,23011,003
Adams Express Company (The)836,67511,002
Sabre Corp390,26610,998
Devon Energy Corporation248,91810,980
Liberty Gold Corp.325,58810,878
Seeing Machines Ltd.236,68510,845
Burlington Stores Inc133,75210,837
Deutsche Bank Aktiengesellschaft410,24110,822
Xcel Energy Inc.261,48410,757
Tekla Healthcare Opportunities Fund571,63310,715
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal460,50410,688
Cree414,35110,657
Core Laboratories N.V.94,70910,639
Cohen & Steers Quality Income Realty Fund Inc767,00510,614
W.W. Grainger47,18210,609
Digital Realty Trust108,86210,574
Royal Kpn N.V.170,82810,574
Eagle Growth & Income Opportunities Fund629,94010,564
Thor Industries124,51410,546
EQT Corporation145,00310,530
MPLX LP310,79610,524
CyrusOne220,19210,475
Cohen & Steers Dividend Majors Fund99,79710,469
CleanPath Resources Corp.218,08410,464
Rio Tinto311,56610,406
Flextronics International Ltd.763,09810,393
Ramtron International Corporation193,35010,387
The NASDAQ OMX Group153,69810,381
Micron Technology657,31610,333
Santeon Group Inc267,19110,276
Tesla Exploratin Services Inc.50,36310,276
Southwest Airlines Company287,16510,270
Synchronoss Technologies248,60510,238
Pinnacle Foods Inc203,72710,221
Covanta Holding Corporation662,96310,203
Williams Companies331,99210,202
SMG Indium Resources Ltd.92,19610,202
Lloyds Banking Group Plc3,544,50110,173
Alaska Power & Telephone Co.154,15610,153
Regeneron Pharmaceuticals25,21910,139
Intuit Inc.92,12110,134
SEI Investments Company218,1889,952
Vibe Ventures Inc141,8539,927
Corrections Corporation of America714,0689,904
Cerner Corporation160,1969,892
Stargaze Entertainment Group Inc.78,1479,890
Owens-Illinois535,4129,846
Vanguard International Equity Index Funds Vanguard Global ex-U175,2739,822
AMC Networks Inc.188,6279,782
Graco Inc.132,1819,781
Lincoln National Corporation208,0949,776
Textron Inc.245,8439,772
Umpqua Holdings Corporation646,9009,736
Tri Continental Corporation453,0829,687
St. Jude Medical121,3839,682
European Real Estate Investment Trust Ltd.198,5409,675
Annaly Capital Management Inc931,1729,646
Redux Holdings, Inc.119,3259,645
SL Green Realty Corporation89,1759,640
Electronic Arts Inc.112,6909,624
Nordstrom185,4499,621
Markel Corporation10,3599,621
Graphic Packaging Holding Company686,5229,604
Scholium Group PLC224,6439,581
Macy's Inc268,1389,559
Roper Technologies52,3779,557
CBIZ340,2889,538
NorthStar Real Estate Income II, Inc.723,0869,523
Fiserv95,1359,463
ABB Ltd420,0299,455
AGCO Corporation190,9379,417
American International Group157,8559,367
Ishares Broad Commodity Index ETF304,4849,354
MICRO IMAGING TECHNOLOGY, INC.112,1819,338
Sumitomo Mitsui Financial Group Inc1,381,8439,327
Independence Holding Company1,034,3389,309
Berry Petroleum Company212,0099,297
U.S. Helicopter Corp.115,0489,278
Silver Wheaton Corp341,9279,242
DaVita Inc.139,5919,223
Dr Pepper Snapple Group100,8879,212
Baxter International Inc.193,0219,188
ISHARES IV PLC83,0259,169
Validus Holdings183,1319,124
Alpine Total Dynamic Dividend Fund1,191,2429,089
Cummins Inc.70,8799,084
Great Plains Energy Inc332,5879,076
Torchmark Corporation141,8369,062
ENI S.p.A.313,6009,054
ITC Holdings Corp.194,3659,034
MGM Growth Properties LLC346,5209,027
Banco Bilbao Viscaya Argentaria S.A.1,514,0719,024
Intertainment Media, Inc.110,9319,017
Global Payments Inc.117,4589,016
LMP Capital and Income Fund Inc.654,9398,927
PulteGroup443,2458,883
Boston Properties64,9698,855
Kresta Holdings Ltd.209,0658,838
Expedition Mining Inc75,1428,771
Coca Cola Icecek Sanayi As219,7418,768
Xponential, Inc.238,4748,745
KeyCorp624,4818,737
Regency Affiliates, Inc.112,1118,687
Megacable Holdings SAB DE CV116,2218,571
Kimco Realty Corporation295,6778,560
NetEase35,5158,553
Ares Capital Corporation548,5688,503
Kreisler Manufacturing Corp.286,4688,502
Canadian Natural Resources Limited265,2188,473
Owens Corning Inc158,6868,472
Pebblebrook Hotel Trust318,2648,466
Reinsurance Group of America78,2718,449
State Street Corporation121,0658,430
Wynn Resorts86,4618,423
BHP Billiton Limited242,5958,406
International Hi-Tech Industries Inc.58,6648,387
Wyndham Worldwide Corp124,5528,386
IJJ Corp.67,1188,377
Signature Bank70,6578,369
Ally Financial Inc426,9828,313
Parametric Technology Corporation187,3698,302
Advanced Visual Systems, Inc.55,3988,261
Regions Financial Corporation853,1438,260
Iridium Communications Inc1,062,9328,249
Evans Brewing Co Inc.748,2198,238
ExactTarget947,9018,228
Robert Half International Inc.216,9658,214
Retail Opportunity Investments Corp.373,7068,207
Smart & Final Stores, Inc.53,8668,186
Bouygues 165,1048,120
Alliant Energy Corporation211,8718,117
Whole Foods Market285,6038,097
Leidos Holdings, Inc.186,9528,091
MainStay DefinedTerm Municipal Opportunities Fund397,1118,077
Actuant Corporation347,2948,071
Buckeye Technologies112,5908,061
Wabco Holdings Inc.70,5068,005
Honda Motor Company276,7748,004
Cavium137,4337,999
Intuitive Surgical11,0107,980
Dex One Corporation90,9067,969
Shutterstock 123,7397,882
DTE Energy Company84,1137,879
CMG HOLDINGS GROUP, INC.18,5747,866
Entertainment Arts Research, Inc.99,6207,844
Suncor Energy Inc.279,2747,758
Knowles550,6927,737
Deutsche Bank Aktiengesellschaft545,5537,720
LKQ Corporation216,0597,661
Dollar General Corporation109,0937,636
Albero Corp.89,1677,623
John Hancock Tax Advantaged Dividend Income Fund311,8197,621
Metals USA Holdings Corp.106,6547,611
Global Telecom & Technology, Inc.122,3777,569
Equity Residential117,5367,561
Sensata Technologies Holding N.V.194,6097,547
MarketAxess Holdings45,5237,538
East West Bancorp203,3707,466
BioMarin Pharmaceutical Inc.80,6607,463
Portland General Electric Company174,7327,442
New York Community Bancorp538,7237,440
Nuveen Credit Strategies Income Fund875,8447,427
Wright Express Corporation127,3197,354
Brunswick Corporation150,5597,344
Firstrand Limited94,9737,323
Fortress Paper585,1687,320
Tyson Foods97,5117,281
Copart135,9217,280
Nuveen Dividend Advantage Municipal Fund 3452,1587,266
The Kroger Company324,6217,255
Franklin Resources202,9227,218
iShares MSCI All Country Asia ex Japan Index Fund94,5067,200
Total Energy Services Inc.152,4767,189
Diamond Bancshares, Inc.73,5577,163
Waters Corporation44,9177,119
Eaton Vance Tax-Advantage Global Dividend Opp664,2057,114
Tupras Turkiye Petrol Rafinerileri AS108,7257,107
Arrow Electronics110,6487,078
JPMorgan Chase Bank NA224,4587,070
QEP Resources361,9427,069
1st Colonial Bancorp, Inc.192,2297,064
Tesoro Logistics LP145,7667,061
Scana Corporation97,4497,052
Hologic181,5207,048
Spirit Aerosystems Holdings158,2437,048
Teleflex Incorporated41,8937,040
The AES Corporation546,6707,025
Flaherty & Crumrine/Claymore Total Return Fund Inc278,4557,006
Mead Johnson Nutrition Company88,0766,959
Vanguard Intermediate-Term Corporate Bond ETF79,3466,955
Oasis Petroleum Inc.791,2306,955
Vail Resorts44,2416,941
Transdigm Group Incorporated23,9496,924
Delaware Enhanced Global Dividend681,5756,898
T. Rowe Price Group103,6826,895
Bank Of Montreal105,2246,891
Nordson Corporation69,0526,880
Computer Sciences Corporation131,1806,849
Fortive Corp134,5116,846
CNA Financial Corporation197,9326,811
Jabil Circuit311,3056,793
ConAgra Foods143,9666,782
ICON plc86,9246,725
Voestalpine AG71,8336,721
Aspen Technology143,2016,700
Commerce Bancshares135,9966,699
Monmouth Real Estate Investment Corporation469,3796,698
Huntsman Corporation411,0136,687
IHS Markit177,5286,666
Public Service Enterprise Group Incorporated159,0136,658
EnLink Midstream Partners, LP375,5046,650
PT Indosat Tbk100,6006,648
RMR Real Estate Income Fund.304,9426,632
Starz Inc Class A212,6186,632
Verisk Analytics81,2686,605
RemSleep Holdings, Inc.626,9856,590
Hawaiian Telcom Holdco, Inc.91,3586,568
ICU Medical51,9646,567
IGM Financial Inc.298,2336,564
PacWest Bancorp152,8376,558
Spirit Airlines153,7686,540
CBS Corporation118,8936,508
Dynagas LNG Partners420,1936,505
Charter Communications24,0706,498
Manhattan Associates112,7346,496
LAS VEGAS RAILWAY EXPRESS, INC.112,5596,477
Medical Properties Trust437,7166,465
NAVIENT CORP443,6256,419
Microsemi Corporation152,3726,397
Cullen/Frost Bankers109,1556,386
BHP Billiton plc210,1496,384
StoneMor Partners L.P.254,7586,379
Treehouse Foods72,8466,351
United Continental Holdings121,0176,350
Foothills Exploration, Inc93,3896,324
Helmerich & Payne93,9316,322
Seven Generations Energy Ltd.66,8126,315
The Cash Store Financial Services Inc.142,1696,307
Progressive Corporation (The)200,0476,301
Invesco Van Kampen Senior Income Trust535,4876,297
Cirrus Logic168,7486,268
ING Group506,8166,254
Best Buy Co.163,4936,242
FactSet Research Systems Inc.38,3956,224
Neuberger Berman Real Estate Securities Income Fund1,090,7866,207
W.P. Carey Inc.96,1046,202
Rockwell Collins73,5106,200
American Capital Agency Corp.315,9846,174
Duff & Phelps Corporation361,0326,167
Aercap Holdings N.V.159,4826,138
AmerisourceBergen Corporation (Holding Co)75,7676,121
Williams Creek Gold Ltd.164,2696,109
Liberty All-Star Equity Fund1,178,1616,103
Deutsche Bk Cap Fdg Tr X713,5206,101
Lamprell64,3426,094
Post Holdings78,9396,092
Sprott Resource Lending Corp.610,8696,065
Symantec Corporation253,7596,060
Vanguard STAR Funds Vanguard Total International Stock ETF127,7916,033
GasLog Ltd.696,2816,008
Ryanair Holdings Plc79,8475,991
Guidewire Software99,8635,990
ManpowerGroup82,8455,986
Endo Health Solutions Inc.296,8775,982
Qorvo118,9815,953
China Mobile (Hong Kong) Ltd.96,5425,939
FleetCor Technologies34,1755,937
Hubbell54,9985,925
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal188,0135,902
UAN Power Corp.152,3175,892
Sony Corp Ord177,3845,891
Curtiss-Wright Corporation64,6205,888
Avery Dennison Corporation75,6465,884
PowerShares Global Steel Portfolio388,7925,882
Frontier Communications Corporation1,406,5585,851
Nuveen Massachusetts AMT-Free Municipal Income Fund309,1435,849
Potomac Bancshares, Inc.367,2215,819
Pacer International249,4345,807
STORE CAPITAL Corp195,9725,775
Fortinet155,7915,753
Koninklijke Philips Electronics193,5745,728
Extra Space Storage Inc72,1265,727
AptarGroup73,6925,705
BlackRock Multi-Sector Income Trust334,2205,705
Hercules Technology Growth Capital419,8315,693
Enbridge Inc129,3705,682
Diamond Offshore Drilling322,1985,674
IL2M International Corp.44,0625,648
First Century Fox Inc Class A231,9895,619
Wells Fargo Advantage Multi-Sector Income Fund431,3215,594
Quest Management Inc.66,0265,588
Loews Corporation134,9585,554
FIRST FIXTURES, INC.236,1995,550
Liberty Broadband Corporation77,5075,540
LIBERTY ALL STAR GROWTH FUND INC162,8785,535
Western Gas Partners100,3415,524
Gulfport Energy Corporation195,3615,519
Assurant59,7865,515
Crane Company87,4825,512
Nuveen Global High Income Fund350,7025,506
Cooper Companies30,7005,503
Guggenheim Equal Weight Enhanced Equity Income Fund338,3085,503
Enbridge Energy215,8245,488
Flowers Foods362,4965,481
Hasbro68,7495,454
The RMR Group166,3565,452
AmTrust Financial Services202,7395,439
Enlink Midstream, LLC324,7185,439
D.R. Horton179,5775,423
WPP plc46,0545,422
Archrock Partners367,0005,402
Royce Focus Trust664,7185,401
Viacom Inc.188,5555,382
Hartford Financial Services Group125,4495,372
Performance Food Group216,4045,367
SVB Financial Group48,4065,351
Primerica100,4255,326
Teledyne Technologies Incorporated48,7705,264
RSP Permian134,4355,213
Liberty Global157,4555,202
Alcoa Inc.511,8345,190
WESCO International84,0485,168
The Weir Group210,7735,156
Principal Real Estate Income Fund99,9605,149
CatchMark Timber Trust, Inc.438,8815,131
Signet International Holdings, Inc.68,8025,128
Akamai Technologies96,7215,125
Sinclair Pharma plc.176,9445,110
Physicians Realty Trust236,4955,094
Essex Property Trust22,8545,090
Clough Global Equity Fund442,2985,082
Cadence Design Systems198,9745,080
Invesco Plc162,4005,078
FLIR Systems161,5785,077
Expeditors International of Washington98,2605,062
ONEOK98,4275,058
IAC/InterActiveCorp98,1485,031
ABAXIS97,2235,019
Smith (A.O.) Corporation50,6265,002
CH Energy Group118,8694,994
Avnet121,3524,983
CoreSite Realty Corporation66,9834,959
Rockwell Automation40,4654,951
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 107,5174,927
Anthem United, Inc.43,7774,913
Aqua Bounty Technologies Inc160,1294,881
PSL Holdings Ltd102,6374,869
Cerus Corporation783,7054,867
The GDL Fund488,9784,865
Central Securities Corporation228,9574,863
Companhia de Bebidas das Americas - AmBev796,6774,852
White Mountains Insurance Group5,8224,832
Clough Global Opportunities Fund499,3704,829
Workday52,6554,828
Ferrum Americas Mining, Inc.145,1854,803
Continental Resources92,3374,798
PACCAR Inc.81,6034,797
Pinnacle Financial Partners88,3504,778
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal182,7234,758
Tenaris S.A.167,3954,754
Aegon NV1,231,0974,752
VOYA Financial Inc218,6094,748
Patterson Companies103,3174,746
Capital Product Partners L.P.1,453,3254,738
Perrigo Company51,2664,733
Whirlpool Corporation29,1754,731
STRONGBOW RESOURCES INC.41,9124,701
Nuvo Research Inc298,5564,699
Tallgrass Energy Partners, LP94,8814,696
LaSalle Hotel Properties196,2364,684
Opko Health Inc565,8954,681
Pacific Premier Bancorp Inc176,5844,672
Benefitfocus,Inc.127,0924,669
Universal Health Services37,8394,663
BorgWarner Inc.130,8864,605
HD Supply Holdings, Inc.143,8094,599
Affiliated Managers Group31,7444,593
West Pharmaceutical Services61,4954,581
Noble Energy Inc.128,1514,580
PowerShares DB Precious Metals Fund112,7054,577
Valeant Pharmaceuticals International275,6574,568
Dreyfus Municipal Bond Infrastructure Fund, Inc.358,2404,565
PriceSmart54,3474,552
Harley-Davidson127,8834,531
Aerie Pharmaceuticals Inc.140,7294,515
Ryder System68,3524,508
Hollywall Entertainment Inc.183,6764,500
Splunk Inc.76,4684,487
AMP Ltd.44,7814,468
Baker Hughes Incorporated88,0224,443
CRH PLC133,5034,442
BT Group plc174,5244,438
Allete74,3374,432
HPC Acquisitions, Inc.284,9214,425
Apache Corporation69,1954,419
Gentherm Inc140,4594,413
IBERIABANK Corporation79,4614,383
Esperance Minerals NL80,4384,358
BlackRock Municipal Target Term Trust Inc. (The)179,5044,355
PIMCO Dynamic Income Fund209,6354,347
Gramercy Property Trust, Inc.450,2634,341
Lic Housing Finance Ltd.19,4134,332
Donaldson Company115,3454,306
Pacific Booker Minerals Inc.70,9564,299
Dril-Quip76,9844,291
HFF154,8764,289
Matica Enterprises Inc140,4604,253
Douglas Emmett115,7124,239
C.R. Bard18,8994,239
EastGroup Properties57,5924,236
Cognex Corporation80,0604,232
Old Republic International Corporation1,078,1114,219
F5 Networks33,8174,215
Gabelli Multi-Media Trust Inc. (The)404,2324,208
Golden Enterprises350,8074,208
Tenneco Automotive72,0154,196
Univar Inc.191,3754,182
Fifth Street Senior Floating Rate488,4704,181
Brocade Communications Systems452,4714,176
Forest City Realty Trust, Inc.180,0844,165
KapStone Paper and Packaging Corporation219,0584,145
Main Street Capital Corporation120,3174,130
MLP AG103,1704,122
The Middleby Corporation33,2364,109
Lamar Advertising Company62,8914,107
Barrick Gold Corporation231,3674,100
AutoZone5,3334,098
iShares II plc.33,3304,085
Nuveen AMT-Free Municipal Income Fund274,8904,084
Domino's Pizza Inc26,8434,076
American Assets Trust93,7784,068
Illumina270,8764,051
Team Health Holdings123,8004,031
Texas Roadhouse103,1124,024
Spectrum Brands Holdings29,1924,019
RBC Bearings Incorporated52,5454,019
Verifone Systems254,7594,010
First Trust NASDAQ ABA Community Bank Index Fund135,2873,967
DISH Network Corporation98,0893,956
Prudential Short Duration High Yield Fund244,9913,917
First Trust NASDAQ-100 Ex-Technology Sector Index Fund76,9273,916
Highlands Bankshares, Inc.210,0553,915
Helios Advantage Income Fund168,0483,890
MUELLER WATER PRODUCTS307,9753,865
Artisan Partners Asset Management141,0373,836
Tiffany & Co.52,7793,833
Islet Holdings, Inc.42,5933,833
Deutsche Telekom148,5913,832
Jumbo SA57,1643,808
Hi-Crush Partners LP247,8973,803
Hexcel Corporation85,1483,772
American Airlines Group102,9883,770
Ishares III Plc74,0723,754
Mitsubishi UFJ Financial Group Inc742,6943,751
INFORMATION ANALYSIS INC31,4793,746
V Media Corp50,9763,739
Metals X, Ltd.140,6393,730
Fifth Street Finance Corp.641,6113,728
Greif Bros. Corporation62,1183,699
STARWOOD PROPERTY TRUST163,6223,685
KKR & Co. L.P.257,8513,677
RealPage142,7753,669
Hershey38,2603,658
Xylem Inc.69,7203,657
Nuveen Core Equity Alpha Fund265,8373,650
Level 3 Communications78,6543,648
Cable One, Inc.6,2393,644
TRI Pointe Homes276,1443,640
Eastman Chemical Company53,5623,625
Align Technology38,6413,623
Liberty Media Corporation138,0713,615
Advent Claymore Convertible Securities and Income Fund II305,0113,612
Italian Food & Beverage Corp27,9573,608
Gabelli Dividend187,6903,606
Calamos Strategic Total Return Fund350,7833,606
Exponent70,5513,602
Tyler Technologies20,7773,558
Triangle Capital Corporation180,2713,551
Ritchie Bros. Auctioneers Incorporated101,1933,549
CASEY CONTAINER CORP29,5183,547
Liberty Interactive Corporation88,9273,546
Leucadia National Corporation186,0603,543
Sprouts Farmers Market Inc171,0313,532
Lincoln Electric Holdings56,3553,529
BlackRock Credit Allocation Income Trust I263,9333,523
Seritage Growth Properties69,4883,522
First Tractor Co. Ltd.134,3843,505
Fortune Brands Home & Security60,1723,496
Lazard World Dividend & Income Fund345,4133,489
Franco Nev Corp49,8253,481
Nuveen Municipal High Income Opportunity Fund328,2723,476
IDEXX Laboratories30,6473,455
Blackrock Corporate High Yield Fund III112,8373,447
Blackstone / GSO Strategic Credit Fund116,7873,439
Credit Suisse Group261,5843,437
Oaktree Capital Group81,0423,436
Macerich Company (The)42,4703,435
Copa Holdings39,0373,433
Cincinnati Financial Corporation45,4753,430
GWR Global Water Resources Corp.49,5423,416
Ares Dynamic Credit Allocation Fund, Inc.229,9053,414
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal55,0003,390
Federated National Holding Company181,2663,388
IShares Plc.62,5153,379
Kayne Anderson MLP Investment Company163,4553,372
Celanese Corporation50,6183,369
Barclays PLC144,1923,368
Sonoco Products Company63,6313,362
General Growth Properties121,7513,360
Scorpio Tankers Inc.724,7223,355
VWR Funding, Inc.118,2463,353
Consolidated Plen Tech Electronics, Inc.174,3643,348
Royal Caribbean Cruises Ltd.44,5623,340
PVH Corp.30,0233,318
Dover Corporation44,9373,309
U.S. Stem Cell, Inc.63,1733,305
OneMain189,1753,300
Informa208,2253,286
Cracker Barrel Old Country Store24,8443,285
CA Inc.99,0733,277
Bloomin' Brands189,8763,273
ResMed Inc.50,2213,254
Limited Brands45,8943,248
Campbell Soup Company59,3713,248
Paycom Software64,6193,239
Horizon Pharma178,4913,236
GAMCO Global Gold506,8493,234
WageWorks52,9263,224
Acadia Healthcare Company64,9903,220
Eaton Vance Municipal Income Trust151,9393,218
Synaptics Incorporated77,5473,208
NICE-Systems Limited47,8803,205
Blackrock Debt Strategies Fund877,6273,203
Waddell & Reed Financial176,2593,201
Dell Technologies Inc.110,2373,195
BankUnited105,6913,192
Blackrock Corporate High Yield Fund132,4003,174
NVR1,9293,163
Western Asset Managed Municipals Fund187,1733,159
Bemis Company61,6333,144
Convergys Corporation103,2433,141
Dollar Tree39,7353,136
Mobile Mini103,7443,133
MSA Safety53,7213,118
Ellies Holdings Limited29,5903,116
Varian Medical Systems31,3113,116
Whiting Petroleum Corporation356,0413,112
Atmos Energy Corporation41,7243,107
Tanger Factory Outlet Centers79,6803,104
FIRST TRUST MLP & ENERGY INCOME FUND198,8063,099
PLAINS GP HOLDINGS LP239,1933,095
TWILIO INC47,8503,080
Alexandria Real Estate Equities28,2413,072
Balchem Corporation39,5943,070
CommScope Holding Company, Inc.101,7923,065
First Trust Senior Floating Rate Income Fund II63,1433,060
NuVasive45,8683,058
Synovus Financial Corp.93,9723,057
Martin Marietta Materials17,0443,053
Telefonica SA302,2873,047
TEGNA139,1393,042
Patterson-UTI Energy135,7813,037
Molson Coors Brewing Company27,6623,037
Unit Corporation163,1923,035
Ohio State Bancshares, Inc.110,6703,034
Pitney Bowes Inc166,8063,029
Applied Industrial Technologies64,7933,028
NEVRO CORP28,7803,004
XL Group plc89,1562,998
Bazaarvoice506,8402,995
iShares II plc.76,7492,993
DENTSPLY International Inc.50,2082,984
Global Technlogies Corp.139,0032,984
Nuveen California Dividend Advantage Municipal Fund 3206,8652,983
United Resource Holdings Group, Inc.37,7932,966
Wintrust Financial Corporation53,3122,963
iShares FTSE EPRA/NAREIT North America Index Fund29,4882,961
Deutsche Global High Income Fund351,3952,958
Chemical Financial Corporation66,5602,937
Exchange Bankshares, Inc.123,6692,936
CrossAmerica Partners115,0762,922
The Providence Service Corporation90,4312,921
UNITED INSURANCE HOLDINGS CORP.171,9212,919
Vulcan Materials Company25,6432,918
Applied Micro Circuits Corporation419,7042,917
Ballroom Dance Fitness Inc35,5092,910
Jacobs Engineering Group Inc.56,1362,903
VEREIT277,6192,879
Craft Brew Alliance152,4512,871
iShares25,4072,867
Turkcell Iletisim Hizmetleri AS355,5172,865
Teekay Offshore Partners L.P.452,1802,858
Westinghouse Air Brake Technologies Corporation34,8782,848
SLM Corporation381,2902,848
Gartner32,1562,844
Integer Holdings Corporation130,8852,839
America First Mortgage Investments479,2752,828
Crown Cork & Seal Company49,5062,826
Stamps.com Inc.29,8632,822
Nuveen Arizona Premium Income Municipal Fund184,3062,820
FSA Group Ltd.96,5452,818
ANSYS30,4172,817
Power Integrations44,6302,813
BOK Financial Corporation40,7592,811
Tortoise Energy Infrastructure Corporation91,0862,801
Inmarsat Plc.18,6412,800
Zebra Technologies Corporation40,2032,799
Cheniere Energy124,6302,795
Catalent, Inc.107,1702,769
Linear Technology Corporation46,6812,768
Etfs Commodity Securities Ltd.147,0832,759
iShares FTSE China (HK Listed) Index Fund72,5982,759
VANJIA CORP21,9412,759
Eaton Vance Tax-Advantaged Bond211,1682,758
Moody's Corporation25,4412,755
Arris Group Inc97,0442,749
BC Moly Ltd.23,4152,746
Liberty Broadband Corp38,7212,717
Telephone and Data Systems99,8352,713
Callon Petroleum Company172,5972,710
Norwegian Cruise Line Holdings Ltd.71,8272,708
Fiesta Restaurant Group112,2642,694
Gaming Partners International Corporation80,3802,689
Amphenol Corporation41,1742,673
AGIC Equity & Convertible Income Fund141,8692,656
WebMD Health Corp53,2182,645
Blackrock Corporate High Yield Fund V Inc223,9512,642
Arrowstar Resources Ltd138,1982,638
lululemon athletica inc.43,2202,636
Rexnord Corporation122,9512,632
Western Asset Municipal Partners Fund103,4242,619
Synergy Resources Corporation377,2352,614
American Campus Communities Inc51,3582,613
VICTORY ENERGY CORP66,6462,608
NexPoint Credit Stategies Fund117,2122,606
Cohn & Steers Inc128,8352,596
Manulife Financial Corp183,9372,593
Agree Realty Corporation52,4542,593
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal136,0582,592
Ericsson358,9252,588
Travelport Worldwide LTD170,1402,557
Wachovia Corporation1,9492,552
First Trust Exchange-Traded Fund II First Trust ISE Global Pla134,7142,547
Gentex Corporation144,9732,546
BroadSoft54,6722,545
Chatham Lodging Trust (REIT)132,0912,543
Charles River Laboratories International30,4882,541
Yahoo! Inc.58,6872,529
Ubiquiti Networks47,0432,517
Kayne Anderson Energy Total Return Fund206,0762,516
West Corp113,8832,515
CyberArk Software50,7142,514
FMC Corporation51,9302,510
M/A-COM Technology Solutions Holdings59,2782,510
Under Armour73,7852,498
Humana Inc.14,0602,487
USD Partners LP21,1992,485
RLI Corp.36,2172,476
Headwaters Incorporated146,2142,474
Miller/Howard High Income Equity Fund197,4682,455
Dick's Sporting Goods Inc43,1492,447
Fidelity National Financial66,2742,446
PBF Energy107,9812,445
Tableau Software44,2182,444
First Trust Advantaged Short Duration High Yield Bond Fund44,9862,443
Biglari Holdings Inc.5,5862,436
Texas Capital Bancshares44,3102,434
Surgery Partners, Inc.120,0862,431
CSI Compressco229,5352,431
CM Finance Inc265,4672,416
Superior Energy Services134,7332,412
Mettler-Toledo International5,7442,412
Triumph Ventures Corp86,4872,411
Juniper Networks100,0682,408
Navios Maritime Acquisition Corporation1,777,6252,400
iShares MSCI ACWI Index Fund40,5272,395
Littelfuse18,5852,394
THL Credit Senior Loan Fund144,8202,388
Renasant Corporation70,7722,380
3D Systems Corporation131,5622,362
iHeartMedia15,7982,361
General Cable Corporation157,1502,354
Lan Chile S.A.94,9192,331
De La Rue PLC 19,7632,330
Extreme Networks517,8222,325
Toll Brothers Inc.77,6722,319
Orbital Corporation Limited30,1382,298
ON Semiconductor Corporation186,4012,296
The Hain Celestial Group64,4932,295
Autoliv21,3352,279
Proto Labs38,0252,278
ETFS Precious Metals Basket Trust33,9512,263
Monolithic Power Systems28,0822,261
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal57,0892,260
Open Text Corporation34,8212,254
Alcentra Capital Corp173,2602,251
Eaton Vance Municipal Income Term Trust164,7822,244
JetBlue Airways Corporation130,0232,242
Carrols Restaurant Group169,1752,235
Vermilion Energy Inc 57,6192,230
Schnitzer Steel Industries106,5002,226
Allegion PLC 32,1952,219
Air Methods Corporation70,4242,218
Nuveen Intermediate Duration Municipal Term Fund159,5652,212
EXACT Sciences Corporation118,6842,204
Praxsyn Corporation63,7382,202
Blackrock Global179,7062,201
Columbia Banking System66,9222,190
BLACKROCK LTD DURATION INCOME TRUST140,9702,188
Iochpe-Maxion SA42,9102,185
PAREXEL International Corporation31,3952,180
Penske Automotive Group45,2492,180
BancorpSouth93,9442,179
Stantec Inc92,7212,177
Silicon Motion Technology Corporation42,0032,175
Valley National Bancorp223,0132,170
ProAssurance Corporation41,3492,170
Arista Networks, Inc.25,4972,169
Summit Materials116,8482,168
Take-Two Interactive Software48,0142,164
Nippon Telegraph and Telephone Corporation47,0502,155
DoubleLine Income Solutions Fund112,3642,152
Agnico Eagle Mines39,6202,147
Eaton Vance Tax-Advantaged Global Dividend Income Fund98,9262,144
ABIOMED16,6632,143
CalAtlantic Group, Inc.63,9522,139
CoStar Group9,8412,131
Michaels Stores Inc87,8292,123
BlackRock Science & Technology Trust113,9372,123
ANTERO RESOURCES Corp79,2942,122
MDC Partners Inc.197,6102,118
Guggenheim Build America Bonds Managed Duration Trust91,0072,116
Equinix5,8542,109
Scudder High Income Trust47,6872,107
Cornerstone OnDemand45,8332,106
Prudential Global Short Duration High Yield Fund, Inc.139,2842,105
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp227,1342,103
SM Energy Company54,4172,099
Lithia Motors21,9622,098
Nuveen Energy MLP Total Return Fund159,8112,097
Mylan Inc.55,0102,097
NORTHSTAR ASSET MANAGEMENT GROUP INC.160,8242,079
Cogent Communications Group56,4652,078
Eagle Bancorp41,7782,061
Dorman Products32,2362,060
WhiteWave Foods37,8392,060
Sirius XM Radio Inc.493,6662,059
Keysight Technologies, Inc.64,9292,058
Tallgrass Energy85,5562,058
Molina Healthcare Inc35,2682,057
Cheniere Energy Partners LP Holdings, LLC70,2742,056
EQT Midstream Partners26,9082,050
FireEye Inc138,8712,046
BlackRock Energy and Resources Trust140,5342,035
SPS Commerce27,7182,035
Aramark53,4242,032
Evolva Holding AG100,6072,027
Dermira, Inc.59,8562,024
NTT DOCOMO79,6052,023
Evolution Petroleum Corporation321,8912,021
PolyOne Corporation59,7212,019
Semgroup Corporation56,9752,015
Huaneng Power Intl80,2352,015
Icahn Enterprises L.P.39,7732,011
iShares MSCI50,5851,992
Investors Bancorp165,6931,990
Goldcorp Inc.120,4191,989
Pearson202,4061,982
India Fund79,6411,980
CLARCOR Inc.30,4541,979
Universal Display Corp35,5671,974
Discovery Communications74,9371,972
Reading International Inc147,2261,965
FormFactor298,5011,958
IPG Photonics Corporation23,7301,954
Hersha Hospitality Trust108,4301,954
Material Sciences Corporation40,8891,952
Wayfair Inc.49,4151,945
Southern First Bancshares70,3921,941
CareTrust REIT, Inc.131,2591,940
Ambarella26,3461,939
NFJ Dividend153,4221,939
Omnicell50,6241,939
Mobile TeleSystems254,1531,939
Magna International45,0831,937
KNOT Offshore Partners LP92,6951,936
Summit Hotel Properties146,5021,928
Urban Outfitters55,8361,927
Nektar Therapeutics111,9041,923
J.B. Hunt Transport Services23,5841,914
Swift Transportation Company88,7901,906
Argo Group International Holdings33,7681,905
Diebold76,6631,900
PDC Energy28,1631,889
Blackrock MuniHoldings Quality Fund II127,8271,888
Hannon Armstrong Sustainable Infrastructure Capital, Inc.80,5271,882
Xerox Corporation185,5941,880
Blackrock Core Bond Trust132,2281,879
ADAMANT DRI PROCESSING & MINERALS GROUP94,2481,878
QTS Realty Trust, Inc.35,5161,877
Rite Aid Corporation243,6021,873
Alpine Global Premier Properties Fund336,8451,869
LIBERTY SILVER CORP66,5081,866
B/E Aerospace35,9891,859
Washington Trust Bancorp45,9881,850
Steven Madden53,4421,847
PowerShares Global Wind Energy Portfolio87,6831,845
Hospitality Properites Trust62,0231,843
CBRE Group65,8501,842
Q2 Holdings64,2151,840
Bio-Rad Laboratories11,2251,839
Royce Micro-Cap Trust235,5131,839
China Internet Cafe Holdings Group, Inc.44,3741,835
Anixter International Inc.28,3211,827
Bridge Bancorp63,7421,822
INC Research Holdings, Inc.40,8471,821
Piedmont Natural Gas Company30,2851,818
Chimera Investment Corporation113,9431,817
POWERSHARES DB US DOLLAR INDEX BEARISH FUND120,9821,816
Forum Energy Technologies91,2171,812
Blackbaud27,2481,808
Phillips 66 Partners37,1441,805
Tortoise MLP Fund90,1931,803
NetApp50,1761,797
Gabelli Global Small & Mid Cap Value Trust165,8591,793
El Paso Electric Company38,2991,791
Orix Corp Ads24,1321,790
Kinder Morgan Management35,7031,788
Lumentum42,7451,785
Sprott Resource232,4981,783
LifePoint Hospitals30,0611,781
Jefferies Group1,754,0001,778
Therapeutics MD Inc260,9261,777
Premier Inc54,8631,774
Valmont Industries13,1691,772
NN96,8641,768
Franklin Templeton Limited Duration Income Trust145,8681,764
Nuveen Arizona Dividend Advantage Municipal Fund133,0781,762
ImmunoGen657,2021,761
Bankshares Fayetteville Inc.1,4411,760
CU Bancorp77,0001,756
Gimv Nv Act.281,1811,755
NewStar Financial70,7191,750
South Jersey Industries59,2251,750
DoubleLine Opportunistic Credit Fund67,9431,745
Quaker Chemical Corporation16,4601,744
Nuveen Ohio Quality Income Municipal Fund105,4461,739
Shoprite Holdings Ltd.40,3361,731
Landmark Infrastructure Partners LP98,5481,730
Lexington Realty Trust166,9151,719
Sun Communities21,8581,715
USG Corporation66,2921,714
Pan American Silver Corp.97,2271,713
Envision Solar International, Inc.76,8571,712
Methanex Corporation47,8491,707
Nuveen Global Government Enhanced Income Fund120,8551,706
Dunkin' Brands Group32,6581,701
Newmont Mining Corporation1,561,0001,701
Bank of Nova Scotia (The)32,0481,697
Western Alliance Bancorporation45,1391,695
On Assignment46,7071,695
iBrands Corp.50,1031,690
Cypress Semiconductor Corporation138,5091,684
Colfax Corporation53,4851,681
Ctrip.com International36,0401,678
Rice Energy64,1781,676
eGain Communications Corporation67,3731,673
TASER International58,1991,665
FS Bancorp174,8381,656
United Natural Foods41,2201,650
Veeva Systems39,7811,642
Bigsupersearch.com, Inc.34,3511,640
Nuveen Pennsylvania Investment Quality Municipal Fund109,6091,634
AMN Healthcare Services Inc51,0511,627
Seadrill Partners, LLC460,2201,625
Evercore Partners Inc31,5301,624
Tekla World Healthcare Fund110,3211,620
Black Hills Corporation26,4441,619
Oshkosh Truck Corporation28,8831,617
Blackrock MuniYield New Jersey Quality Fund96,3421,614
Blackrock Muni Intermediate Duration Fund Inc106,2271,610
Paramount Group, Inc.97,8931,604
Bruker Corporation70,7981,604
Ollie61,1281,602
Jernigan Capital, Inc.83,4141,599
Live Nation Entertainment58,1541,598
Western Asset Mortgage Defined Opportunity Fund Inc105,1901,595
Wendy's Company (The)147,6151,594
South State21,2071,591
Capstead Mortgage Corporation168,3421,587
CSRA Inc.59,0101,587
Oclaro185,2491,584
MiMedx Group, Inc.184,4081,582
NiSource65,6061,582
James River Group Holdings, Ltd.43,4381,572
Nuveen Preferred and Income Term Fund63,8101,571
Bright Horizons Family Solutions Inc23,4581,569
RPM International Inc.1,305,0001,564
Prestige Brand Holdings32,2681,558
Monotype Imaging Holdings Inc.70,3211,555
Mack-Cali Realty Corporation56,9861,551
IMPINJ INC41,3991,549
Puma Exploration, Inc.23,0781,547
YRC Worldwide125,3151,544
Hawaiian Electric Co., Inc.31,7391,543
Rent-A-Center Inc.121,8331,540
PUBLIC SERVICE CO OF COLORADO46,9531,536
Infineon Technologies AG 10,5351,531
Integra LifeSciences Holdings Corporation18,5371,530
Syngenta AG17,4151,526
Dave & Buster's Entertainment38,7841,520
Carlisle Companies Incorporated14,8111,519
HSBC Holdings plc59,1981,518
Stericycle, Inc.22,8841,517
Golub Capital BDC81,6291,516
Weibo30,2441,516
Qualys39,6161,513
ClearBridge Energy MLP Fund Inc.92,9271,513
Oceaneering International55,0121,513
Sasol Ltd.55,2391,509
Helen of Troy Limited17,5091,509
Post Properties22,7681,506
Computerized Thermal Imaging, Inc.57,3751,495
China Fund90,6901,491
Carrizo Oil & Gas36,5971,487
Hyatt Hotels Corporation30,1731,485
Five Below36,8271,484
Voya SENIOR INCOME FUND216,7261,482
Southwest Iowa Renewable Energy, LLC106,6821,476
Nuveen Quality Preferred Income Fund 2153,6181,473
Olin Corporation71,7691,473
Eaton Vance Tax-Managed Global Diversified Equity Income Fund97,0721,465
Blackrock Defined Opportunity Credit Trust108,2041,459
Calamos Convertible and High Income Fund132,0101,453
John Hancock Preferred Income Fund52,2771,451
CGI Group30,4591,450
GoPro, Inc.86,6161,445
MFS Government Markets Income Trust254,1991,442
Blackrock MuniEnhanced Fund112,5021,429
Coherent12,8721,423
AGIC Convertible & Income Fund II239,7671,422
American States Water Company35,2511,412
Nustar Energy L.P.28,4171,409
Golden Valley Bank (Chico, CA)112,9271,408
Neustar52,6871,401
Monroe Capital88,9811,400
Black Stallion Oil & Gas Inc.78,4471,397
Intersect ENT, Inc.88,0931,395
Nuveen Floating Rate Income Fund126,3191,393
TCP Capital Corp.84,7121,388
United Fire Group32,8001,388
Range Energy Resources, Inc.35,7921,387
Central Europe and Russia Fund55,0651,387
COLLEGIUM PHARMACEUTICAL, INC71,9151,385
Western Asset Bond Fund123,4381,381
AvalonBay Communities7,7511,379
BofI Holding61,5081,378
Park National Corporation14,3291,376
Nemaura Medical Inc.35,0061,375
Apartment Investment and Management Company29,9001,373
Monro Muffler Brake22,2991,364
First Trust High Income Long Short Fund28,0211,363
Core-Mark Holding Company38,0701,363
ISHARES VI PLC41,0321,362
SSTL, Inc.42,2901,360
Worldpay Group PLC22,2871,356
Canadian Imperial Bank of Commerce17,4841,355
JPMorgan Chase Bank NA25,8431,352
Acacia Communications, Inc.13,0921,352
MGIC Investment Corporation168,6031,349
DigitalGlobe48,9781,347
Pimco California Municipal Income Fund II12,4331,342
Western Lucrative Enterprises, Inc.167,8771,335
Tahoe Resources103,7711,331
Proofpoint17,7861,331
Lennar Corporation31,3081,326
Lifestyle Medical Network Inc.14,8701,323
SCOTTS LIQUID GOLD INC15,8481,320
Brown-Forman Corporation Class B 27,7451,316
Sarepta Therapeutics21,4231,316
Buffalo Wild Wings9,3511,316
Ferro Corporation95,0411,313
Senior Housing Properties Trust57,7851,312
Memorial Production Partners LP748,0061,312
United States Oil Fund, LP211,0661,305
BJ's Restaurants36,7011,305
Hess Corporation24,3271,304
Hudson Pacific Properties39,6431,303
Ares Capital Corporation1,250,0001,303
Dupont Fabros Technology31,5331,301
Yelp Inc.30,9211,289
Verint Systems Inc.34,2051,287
The Cushing Royalty & Income Fund77,5371,282
Tortoise Pipeline & Energy Fund60,5261,282
Lannett Co Inc48,1671,280
Deutsche Tele Ag Ads105,2261,275
Icon Media Holdings, Inc.21,0711,275
Louisiana-Pacific Corporation67,5481,272
Dreyfus Strategic Municipals135,8891,271
Easterly Government Properties, Inc.66,6021,271
AMERISAFE21,5971,269
Michael Kors Holdings Limited27,1011,268
CONE Midstream Partners LP70,0001,267
Consolidated Communications Holdings50,1981,267
APPLIED OPTOELECTRONICS, INC.57,0211,266
MFS Charter Income Trust145,0691,253
Universal Electronics Inc.16,8151,252
INTREXON CORP44,6161,250
Banco Santander282,4811,246
Prospect Capital Corporation153,7171,245
Globus Medical55,1471,245
ProSiebenSat.1 Media SE55,0001,244
Cempra51,0201,235
Dycom Industries15,0741,233
BlackRock Resources151,2211,232
Nuveen New Jersey Dividend Advantage Municipal Fund86,8671,232
Rackspace Hosting38,8791,232
Neuberger Berman California Intermediate Municipal Fund Inc.131,7471,223
CubeSmart44,7361,220
Invesco Municipal Premium Income Trust85,4251,217
M&T Bank Corporation10,4781,217
Orange SA78,0241,216
Taiwan Cement Corp.77,1711,212
VGambling Inc.10,9091,210
Western Asset Global Partners Income Fund68,3021,208
Elbit Systems Ltd.12,6331,206
TripAdvisor19,0391,203
Reaves Utility Income Fund39,2511,200
BGS Acquisition Corp.20,2581,200
Kennedy-Wilson Holdings Inc.52,9611,194
Darden Restaurants19,4631,194
Galp Energia, SA40,9681,194
ETFS Gold Trust9,2771,189
Sunoco40,9751,189
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd112,5651,188
Panera Bread Company6,0961,187
The Graystone Company, Inc.10,3111,181
Alkermes plc25,0461,178
Pioneer Municipal High Income Advantage Trust90,0211,178
Korn/Ferry International55,7481,171
IntraLinks Holdings116,2001,169
Wolverine World Wide50,5301,164
Otonomy, Inc.63,9431,163
EMERGING CTA PORTFOLIO LP27,8391,162
SeaWorld Entertainment Inc.86,0511,160
NexPoint Residential Trust, Inc.58,9851,160
Aeolus Pharmaceuticals, Inc.64,9621,160
Steelcase Inc.83,5351,160
CF Industries Holdings47,5801,159
Cabot Corporation22,1151,159
CNP Assurances SA49,8561,158
Teva Pharmaceutical Industries Limited968,0001,155
Greenhill48,8081,150
Atlas Air Worldwide Holdings26,8651,150
Commercehub Inc72,7451,149
J & J Snack Foods Corp.9,6381,148
NETGEAR18,9751,148
Gigamon, Inc.20,9071,146
POWERSHARES DB SILVER FUND37,8701,143
TC PipeLines20,0161,142
Quanta Services40,7691,141
Plantronics21,9201,139
Ophthotech Corp.24,6681,138
Bioheart, Inc.10,3871,137
Bed Bath & Beyond Inc.26,3571,136
VeriSign14,5061,135
National Retail Properties22,2441,131
Skechers U.S.A.48,6821,115
Tesoro Petroleum Corporation13,9881,113
VTTI Energy Partners58,5741,113
ServiceNow14,0141,109
Huntington Bancshares Incorporated7691,107
Ramco-Gershenson Properties Trust58,9641,105
KBW Inc14,9031,104
MFS Multimarket Income Trust180,9621,102
Trex Company18,7751,102
MaxLinear54,3401,101
Brightcove Inc.105,2561,101
Nuveen California Investment Quality Municipal Fund66,1511,099
Cohen & Steers Total Return Realty Fund83,3611,099
CDK Global, Inc.19,1101,096
SkyWest41,3991,093
Webster Ltd.28,7241,092
Mdu Res Group Inc42,9071,092
Suburban Propane Partners32,7751,091
Zoeller Co.49,0211,088
Ingram Micro Inc.30,4361,085
Teradata Corporation34,8441,080
Logitech International S.A.48,0801,079
Wisdom International Corp.19,4691,077
ETFS Platinum Trust10,9031,077
KLA-Tencor Corporation15,3191,068
Ryman Hospitality Properties22,1251,066
Korea Electric Power Corporation43,6301,064
Reliance Infrastructure Ltd.14,6901,058
NRG Yield62,3301,057
Rayonier Inc. REIT39,7641,055
Alliance Capital Management Holding L.P.46,0531,050
Invesco Van Kampen Trust for Investment Grade Municipals77,0601,046
Gap47,0111,046
FRANKLIN FINANCIAL NETWORK INC.27,8201,040
Duke Realty Corporation37,8811,035
Restaurant Brands International Inc.23,1581,032
Sturm17,8521,031
Staples120,0381,026
Goldman Sachs MLP Income Opportunities Fund124,2331,025
Smith & Wesson Holding Corporation38,3251,019
Blackrock MuniYield Quality Fund61,6141,018
iRobot Corporation23,0611,014
Stepan Company13,9561,014
Energizer Tennis Inc.20,2961,014
Transcanada Pipelines21,3331,013
Eaton Vance Risk-Managed Diversified Equity Income Fund107,3041,012
Summit Midstream Partners44,0171,010
U.S. Silica Holdings21,6741,009
Genesco Inc.18,4981,007
Outfront Media42,2931,000
FNB United Corp.81,202999
NetScout Systems34,117998
Martin Midstream Partners L.P.49,715996
Knoll43,480994
Calumet Specialty Products Partners219,534990
Innospec Inc.16,265989
Neurocrine Biosciences19,529989
UAN Cultural & Creative Co., Ltd.21,834988
American Capital Mortgage Investment Corp.57,446988
Cubic Corporation21,013984
Texas Pacific Land Trust4,100981
Williams-Sonoma19,178980
Cresud S.A.C.I.F. y A.55,041980
LTC Properties18,811978
United States Steel Corporation51,813977
Western Asset Global Corporate Defined Opportunity Fund Inc.93,798977
Luxoft Holding Inc18,413973
WCI Communities, Inc.40,951971
Corporate Office Properties Trust34,223970
Neuberger Berman High Yield Strategies Fund81,745969
Platform Specialty Products119,425969
Chemtura Corp.29,428966
Bancroft Convertible Fund46,012966
Houston Wire & Cable Company155,818965
HealthSouth Corporation23,790965
Dun & Bradstreet Corporation (The)7,057964
Western Asset High Income Fund II Inc.62,490963
Virtus Global Multi-Sector Income Fund74,280962
Euronet Worldwide11,732960
USA Compression Partners, LP 51,134960
Kite Realty Group Trust34,588959
Royal Boskalis Westminster NV12,342956
Primoris Services Corporation46,247953
Ellsworth Convertible Growth and Income Fund116,239952
Worthington Energy, Inc.19,797951
Western Asset Managed High Income Fund58,335949
MercadoLibre5,124948
Regal Beloit Corporation15,895946
Royal Alliance Ventures Corp.37,378946
International Frontier Resources Corp.38,613941
DCP Holding CO26,618940
CBRE Clarion Global Real Estate Income Fund111,599937
Brown Forman Corporation18,743932
Compass Diversified Holdings53,492930
Blackrock Floating Rate Income Strategies Fund Inc66,933928
Vanguard Scottsdale Funds Vanguard Russell 2000 Value ETF13,851925
Restoration Hardware Holdings Inc26,621921
Eaton Vance Enhance Equity Income Fund65,067919
AllianzGI Diversified Income & Convertible Fund48,304919
8x8 Inc59,524918
Eaton Vance Enhanced Equity Income Fund II72,565918
Pitooey!, Inc.33,613917
Teck Resources Ltd77,361915
Nokia Corporation157,809914
Brookfield Real Estate Services25,901910
Achillion Pharmaceuticals111,965907
United Dominion Realty Trust25,133905
Select Comfort Corporation33,902899
China Natural Gas, Inc.12,166898
Western Gas Equity Partners, LP21,044894
Service Corporation International33,489889
Blackrock MuniHoldings Investment Quality Fund55,625889
Iridium Communications Inc2,975886
Evolution Technology Resources Inc.59,255883
Spirit Realty Capital66,038880
Dipexium Pharmaceuticals, Inc.60,699880
Federated Premier Intermediate Municipal Income Fund61,606870
RIVERNORTH OPPORTUNITIES FUND, INC.43,765869
New Media Investment Group Inc.56,016868
United Bankshares23,051868
Gray Television83,654867
FINISAR CORP29,088867
Community Bank System18,006866
Vantage Health66,260865
Carmax Mining Corp.16,222865
Cardtronics19,222857
UMB Financial Corporation14,419857
J CREW GROUP INC.181,205856
Armada Hoffler Properties, Inc.63,608852
Heartland Express44,950849
ZELTIQ Aesthetics21,603847
Jack In The Box Inc.8,811845
Legg Mason BW Global Income Opportunities Fund Inc.62,178844
Ultragenyx Pharmaceutical Inc.11,878843
Diplomat Pharmacy, Inc.30,025841
Zions Bancorporation27,092840
Eaton Vance Limited Duration Income Fund61,232839
Teligent109,950836
UMH Properties69,383827
Empire Resorts40,880827
Terreno Realty Corporation30,031826
Blackrock MuniYield Michigan Quality Fund53,934821
Sprague Resources34,675821
Holly Energy Partners24,125819
Columbia Sportswear Company14,374816
LGI Homes22,151816
Benchmark Electronics32,444809
Wesco Aircraft Holdings60,146808
Nordic Investment Bank79,840807
Nuveen Global Value Opportunities Fund66,981800
Natus Medical Incorporated20,355800
Stag Industrial32,586799
First Trust34,186798
Crocs95,975797
Omeros Corporation122,470796
Nuveen Short Duration Credit Opportunities Fund47,200795
Nuveen High Income December 2019 Target Term Fund75,399795
Guggenheim Strategic Opportunities Fund41,482793
Selective Insurance Group19,793789
Cimpress7,788788
Cavco Industries7,937786
Hilltop Holdings Inc.34,807782
Provident Financial Services36,810781
ClubCorp Holdings, Inc.53,994781
Nuveen Michigan Quality Income Municipal Fund52,714777
ALLIANCEBERNSTEIN L.P.61,418774
Schindler Holding AG18,243772
TESARO7,692771
DIVERSIFIED 2000 FUTURES FUND L.P.44,624769
Fair Isaac Corp6,162768
Eaton Vance Corporation19,636767
T-Mobile US Inc16,373765
Cal-Maine Foods19,804763
Ashland Inc.6,529757
Guggenheim Credit Allocation Fund34,175756
Cynosure14,812755
Americas Silver Corporation28,633753
Nuveen Build America Bond Opportunity Fund33,036749
Chemed Corp.5,307749
Alliance Resource Partners33,659747
Cohen & Steers MLP Income & Energy Opportunity Fund69,257745
Gildan Activewear26,611743
All Marketing Solutions Inc.15,611735
Triton International Ltd55,679734
Japan Smaller Capitalization Fund Inc68,890727
American Farmland Co91,630723
Nuveen Maryland Premium Income Municipal Fund51,919720
Lions Gate Entertainment Corporation35,843717
Blackrock MuniYield Quality Fund II50,521716
Washington Prime Group Inc.57,807716
Neutral Tandem44,316715
Pembina Pipeline Corp.23,438714
Eaton Vance Corporation30,589713
Goldman Sachs BDC, Inc.32,624710
Gabelli Equity Trust125,507708
Shenandoah Telecommunications Co25,910705
Putnam Premier Income Trust143,712703
Legg Mason, Inc.25,093700
Hilton Worldwide Holdings Inc.30,467699
MarineMax33,325698
Stifel Financial Corporation18,114696
Newtek Business Services Inc.48,794696
Neuberger Berman Intermediate Municipal Fund Inc.41,934696
Ormat Technologies14,364695
Two Harbors Investments Corp80,731689
NutriSystem Inc23,219689
First Priority Tax Solutions Inc.52,266688
CENTER COAST MLP & INFRASTRUCTURE FUND58,447688
Nexstar Broadcasting Group11,927688
Upland Software, Inc.77,987687
Blackrock Enhanced Government Fund49,785686
RingCentral28,797681
Axalta Coating Systems Ltd.24,016679
Turning Point Brands, Inc.56,216676
8point3 Energy Partners LP46,745673
Bank of Hawaii Corporation9,259672
GrubHub15,603671
Putnam Municipal Opportunities Trust50,284671
Enviva Partners, LP24,747668
Teekay LNG Partners L.P.44,060667
New York Community Bancorp20,221664
Hawaiian Electric Industries22,239664
Avista Corporation15,859663
Synopsys11,149662
The Carlyle Group L.P.42,405660
Flaherty & Crumrine Preferred Income Opportunity Fund Inc31,704659
Paylocity Holding Corp14,825659
TiVo Inc.33,780658
Jazz Pharmaceuticals plc5,413658
New Mountain Finance Corporation47,706656
Northern Offshore25,155652
Blackrock MuniHoldings New York Quality Fund41,611651
US-Dadi Fertilizer Ind International Inc.12,585650
Zendesk, Inc.21,174650
Gamestop Corporation23,526649
Blackrock MuniYield Fund40,803648
Ligand Pharmaceuticals Incorporated6,298643
Pinnacle West Capital Corporation8,405639
Macquarie Global Infrastructure Total Return Fund Inc.38,569639
Boyd Gaming Corporation32,206637
Blackrock MuniYield California Fund38,989636
Columbia Seligman Premium Technology Growth Fund34,196636
Home BancShares30,553636
Stanley Black & Decker5,001632
Avenue Income Credit Strategies Fund48,729632
Chesapeake Energy Corp.100,804632
Putnam Managed Municipal Income Trust79,112631
Tata Motors Ltd15,703628
NorthWestern Corporation10,874626
Clayton Williams Energy7,300624
Calamos Global Dynamic Income Fund82,961623
Plumas Bancorp60,835623
Smith & Nephew SNATS18,911620
Web.com Group35,577614
AAC Technologies Holdings Inc35,258613
Stein Mart96,417612
Great Lakes Dredge & Dock Corporation174,219610
Union Bankshares17,861608
Rightmove Plc56,859606
Berkshire Hills Bancorp21,801604
ORBCOMM Inc.58,789603
Templeton Global Income Fund54,411599
Booz Allen Hamilton Holding Corporation18,954599
Buckle24,940599
Eagle Energy Trust7,708596
Glacier Bancorp20,820594
Fitbit39,931593
PowerShares NASDAQ Internet Portfolio6,747592
Royal Bank Scotland Group Plc23,504589
Macquarie Infrastructure Company LLC500,000586
Ralph Lauren Corporation5,795586
Almaden Minerals417,180584
EQT GP Holdings23,152580
Nuveen Diversified Dividend and Income Fund49,680580
Federal Realty Investment Trust3,771580
Murphy Oil Corporation19,078580
Meredith Corporation11,134579
Cytosorbents Corp90,442579
A.H. Belo Corporation19,820577
ClearBridge Energy MLP Opportunity Fund Inc.43,359577
Nuveen Municipal Income Fund45,198575
HMS Networks AB25,941575
Blackrock MuniAssets Fund37,309573
ICICI Bank Limited76,591572
Manitowoc Foodservice, Inc.35,236572
Western Asset Emerging Markets Debt Fund Inc49,595571
Western Asset High Income Opportunity Fund113,022571
Deutsche Bank AG (London Branch)40,403569
Official Payments Holdings8,696569
Virtus Total Return Fund119,790568
Cohen & Steers Closed-End Opportunity Fund46,234568
PGT53,120567
Sina Corporation7,651565
EV Energy Partners235,427565
United States 12 Month Natural Gas Fund, LP30,277564
Invesco Van Kampen Bond Fund29,024562
Incyte Corporation5,962562
ECA Marcellus Trust I66,830561
Materion Corporation18,236560
ALDER BIOPHARMACEUTICALS INC17,088560
PBF Logistics LP28,232560
One Liberty Properties23,148559
NGL ENERGY PARTNERS LP29,636558
Vista International Technologies Inc13,978557
AGIC Convertible & Income Fund82,516557
Banco de Guayaquil SA50,785556
Woodward8,874554
First Trust Energy Infrastructure Fund12,146553
Banco Bradesco Sa31,591552
Crestwood Equity Partners LP25,876550
Morgan Stanley China A Share Fund Inc.29,340549
Select Income REIT20,392549
Arrin Corp.17,540549
WhiteHorse Finance50,041547
Blue Wolf Mongolia Holdings Corp.23,019547
Water Technologies International,Inc.22,228547
POSCO10,710547
Global X NASDAQ China Technology ETF47,003546
PIMCO Municipal Income Fund III39,953546
Pacira Pharmaceuticals15,907544
Nuveen Minnesota Municipal Income Fund56,046543
EPAM Systems7,825542
EV Charging USA, Inc.39,328541
Tutor Perini Corporation25,202541
Calpine Corporation42,784541
Morgan Stanley28,544540
Blackstone GSO Senior Floating Rate Term Fund32,047540
PRA Health Sciences, Inc.9,533539
Mallinckrodt Plc7,731539
Western Asset High Yield Defined Opportunity Fund Inc.74,878538
Aberdeen Asia-Pacific Income Fund Inc105,080538
DSW Inc.26,284538
Watsco3,803536
Pimco Corporate & Income Opportunity Fund36,117535
Stratasys22,175534
Orchids Paper Products Company19,575533
American Capital Senior Floating48,360533
Vitamin Blue Inc19,777531
MasTec17,854531
Red Robin Gourmet Burgers11,765529
TPG Specialty Lending, Inc.29,199529
Supernus Pharmaceuticals21,294527
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.58,827527
Eaton Vance Municipal Bond Fund II39,064527
Blackrock California Municipal 2018 Term Trust31,771526
Chart Industries16,017526
Ucore Rare Metals, Inc.50,584525
Old Dominion Freight Line7,635524
PrivateBancorp11,409524
PowerShares Global Agriculture Portfolio22,601524
Tower Resources PLC34,339521
Nuveen California Dividend Advantage Municipal Fund 231,661520
Sterling Bancorp29,635519
Fresenius Medical Care Corporation11,848519
Highwoods Properties9,896516
ABM Industries Incorporated12,961515
AES Tiete10,021511
LivaNova PLC8,480510
Lexicon Pharmaceuticals28,233510
LG Display Co.40,028509
Shell Midstream Partners, L.P.15,794507
Simmons First National Corporation10,157507
Ship Finance International Limited34,153503
Rollins17,181503
Brookfield Property Partners LP21,989502
Universal Corp.8,630502
iShares S&P India Nifty 50 Index Fund16,837502
Blackrock MuniHoldings Fund II30,122501
Seattle Genetics9,267501
Comerica Incorporated10,559500
Interface14,507500
Eagle Point Credit Co Inc.29,100499
TravelCenters of America LLC69,637499
Vanc Pharmaceuticals, Inc.36,018497
Subsea 7 SA ADR 4,678496
Blackrock Municipal Income Quality Trust31,634495
Equity Commonwealth16,302493
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal11,740493
LIVEWIRE ERGOGENICS INC.34,113492
Foamix81,900492
KTL Bamboo International Corp.30,627492
Apollo Investment Corporation84,679491
Preferred Bank13,693490
Healthcare Realty Trust Incorporated14,348489
Hibbett Sports12,266489
ITT Educational Services, Inc.13,606488
Crown Crafts47,750487
Invesco Van Kampen High Income Corporate Bond Fund111,999485
Lennox International3,074483
Pimco High Income Fund48,097479
Generac Holdlings Inc.13,155478
Nomura Holdings Inc ADR107,280477
Towne Bank19,855477
Brinker International9,439476
Healthcare Trust of America14,598476
Apollo Senior Floating Rate Fund Inc.28,996475
AtriCure30,000475
Calamos Dynamic Convertible & Income Fund25,605475
ACADIA Pharmaceuticals Inc.25,393475
Sensient Technologies Corporation6,245473
Kulicke and Soffa Industries36,432471
CaesarStone Sdot-Yam Ltd.12,485471
Frontline Ltd.77,249471
Cotiviti Holdings, Inc.14,012470
Mizuho Financial Group139,386468
Morgan Stanley Emerging Markets Fund58,155467
WesBanco14,131465
Jones Lang LaSalle Incorporated4,055461
Vector Group Ltd.21,344460
Cathay Pacific Airways, Ltd.14,900459
Canadian Mining Company Inc.33,308458
Petroleo Brasileiro S.A.- Petrobras48,960457
John Bean Technologies Corporation6,475457
Integrated Drilling Equipment Holdings Corp.19,792457
Atlassian Corporation15,255457
PennTex Midstream Partners26,276456
INVIVO THERAPEUTICS HOLDINGS CORP.67,013456
Alere Inc.10,524455
Deutsche Bank AG34,669454
M.D.C. Holdings17,596454
Sanmina-SCI Corporation15,906453
Kearny Financial33,302453
Depomed18,049451
Golar LNG Partners LP22,900450
Hertz Global Holdings11,180449
Equity One14,534445
Therapy Cells, Inc.27,737444
eWELLNESS HEALTHCARE Corp6,989444
Red Rock Resorts, Inc.350,000443
ArcelorMittal73,424443
MFS Intermediate Income Trust97,489442
Stellus Capital Investment40,621442
Blackhawk Bancorp, Inc.14,617441
iShares S&P Global Nuclear Index Fund13,368439
NetSol Technologies Inc.69,750437
Axis Energy Corporation8,052437
ISC8 Inc.4,324436
FleetMatics Group PLC7,269436
Pandora Media30,259434
Nuveen Equity Premium and Growth Fund31,241430
Cohen & Steers Select Preferred and Income Fund16,050430
Imperva8,008430
Apollo Global Management23,723426
ATRION Corporation997426
Rockwell Medical63,525426
Mitel Networks Corporation57,634424
Commercial Metals Company26,164424
BlackRock Municipal Income Trust26,865423
Builders FirstSource36,550421
Pope Resources6,372421
Grupo Aeroportuario del Sureste2,878421
Western Asset Municipal Defined Opportunity Trust Inc18,430417
Advanced Micro Devices60,204416
The Ensign Group20,583414
Kaiser Aluminum Corporation4,783414
FIGO Ventures, Inc.83,721414
Genworth Financial Inc83,134412
Square35,372412
WESTLAKE CHEMICAL PARTNERS LP17,966410
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF6,674409
Imperial Oil Limited13,093409
Ladenburg Thalmann Financial Services Inc176,613408
WD-40 Company3,615406
GW Pharmaceuticals3,052405
Ferrari7,769404
OHA Investment Corporation128,805404
Merit Medical Systems16,624404
Bank of Commerce Holdings (CA)55,800402
Quanta Computer, Inc.12,675402
Lumber Liquidators Holdings20,397401
Advent/Claymore Enhanced Growth & Income Fund69,703401
Trustmark Corporation14,556401
Strayer Education8,555399
Papa Murphy's Holdings, Inc.5,064399
PIMCO New York Municipal Income Fund III39,559398
Veeco Instruments Inc.20,117395
First Sentry Bancshares Inc.9,977394
Trinity Biotech plc29,672392
Draftteam Daily Fantasy Sports Corp.8,448392
Energy Revenue America, Inc.14,487392
Maui Land & Pineapple Company58,999392
Cabinet Grow Inc.7,119391
Marine Harvest Asa21,734389
CASTLIGHT HEALTH, INC.93,150388
Calamos Convertible Opportunities and Income Fund37,517388
Peoples Bancorp of North Carolina18,478388
Templeton Emerging Markets Fund30,548386
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol18,606386
American Financial Group5,130385
Nathan's Famous7,320385
Syntel9,179385
American Woodmark Corporation4,772384
Westar Energy6,752383
Everest Re Group2,018383
Thermon Group Holdings19,402383
ESCO Technologies Inc.8,238382
Tempur-pedic International Inc6,712381
First American Minnesota Municipal Income Fund II9,697381
Denbury Resources117,588380
PennyMac Mortgage Investment Trust24,264378
Nuveen Dividend Advantage Municipal Fund37,646377
Brookfield Canada Office Properties51,398376
Houghton Mifflin Harcourt Co27,949375
Hancock Fabrics, Inc.16,711375
Denny's Corporation34,996374
AutoNation7,685374
Adamis Pharmaceuticals Corp108,647373
BLACKROCK INTERNATIONAL62,646371
First Midwest Bancorp19,104370
Nuveen Municipal High Income Opportunity Fund26,697369
Chuy's Holdings13,158368
First Financial Bancorp.16,802367
DEWEY ELECTRONICS CORP5,471366
Redwood Capital Bancorp (CA)25,782365
SolarCity Corp.18,653365
GasLog Partners16,708364
Blackrock Municipal Bond Trust20,153362
ExlService Holdings7,266362
Spirent Communications Plc.5,671361
CUI Global62,000361
MEDIACOM BROADBAND LLC19,532360
Kirby Corporation5,785360
VOYA INSURANCE & ANNUITY CO.68,020359
Enstar Group Limited2,175358
Grifols22,313356
Coffee Holding Co.63,800355
CSG Systems International8,556354
Kite Pharma, Inc.6,306352
Alpine Global Dynamic Dividend Fund40,413352
Brookfield Renewable Energy Partners L.P.11,410350
EMCOR Group5,865350
Cemex S.A.B. de C.V.44,130350
B2Digital, Inc.132,884349
Western Asset Worldwide Income Fund Inc.30,065349
Nimble Storage39,481349
The Advisory Board Company7,789348
Liberty Property Trust8,622348
Intrawest Resorts Holdings21,423347
Massachusetts Health and Education Tax-Exempt Trust68,317346
Endurance Specialty Holdings Ltd5,290346
The Cheesecake Factory Incorporated6,893345
CoLucid Pharmaceuticals, Inc.9,000343
Hancock Holding Company10,581343
MedEquities Realty Trust, Inc.29,200343
Cypress Sharpridge Investments Inc39,196342
Patheon N.V.11,530342
Compugen Ltd.54,300342
National Health Investors4,360342
Alliance National Municipal Income Fund Inc23,133341
Sage Therapeutics, Inc.7,404341
United Community Financial Corp.16,236341
BlackRock Utility and Infrastructure Trust17,279339
Washington Real Estate Investment Trust10,887339
FIVE PRIME THERAPEUTICS INC6,465339
Stewart Enterprises7,600338
Ingevity Corp7,302337
LinkedIn Corporation1,762337
Paragon Commercial Corp.9,250336
Weingarten Realty Investors8,598335
Cenovus Energy Inc23,334335
MFS Municipal Income Trust44,617334
Tronox Limited35,607334
Tortoise Power and Energy Infrastructure Fund14,887333
ClearBridge Energy MLP Total Return Fund Inc.25,383332
Sally Beauty Holdings12,940332
ANI Pharmaceuticals4,996331
VASCO Data Security International18,815331
eUnits 2 Year U.S. Market Participation Trust7,430331
Aviva plc28,794331
Source Capital8,996330
AK Steel Holding Corporation68,243330
Infinera Corporation36,343328
Nuveen Tax-Advantaged Total Return Strategy Fund22,008327
Bluegreen Corporation17,837327
Acorda Therapeutics15,670327
AeroVironment13,358326
Eaton Vance Pennsylvania Municipal Income Trust24,795326
Invesco Value Municipal Income Trust19,869325
ING Global Equity Dividend and Premium Opportunity Fund44,756325
Arch Capital Group Ltd.17,098325
Apple Green Holding, Inc.17,490324
Celadon Group37,105324
Thailand Iron Works Public Co.4,408324
Enersys4,685324
Seaspan Corporation24,138322
Urban Barns Foods Inc.11,416321
Information Services Group80,256320
State Bank Financial Corporation.13,954318
National Beverage Corp.7,189317
Eaton Vance California Municipal Bond Fund II23,378317
Parkway Properties18,639317
Boston Beer Company2,040317
Nuveen Real Asset Income and Growth Fund18,410317
Electric Motors Corp.6,444315
WellPoint Inc.180,000315
Laredo Petroleum Holdings24,411315
EverBank Financial Corp.16,220314
Salient Midstream24,778314
CST Mining Group, Ltd.6,509313
Criteo8,920313
Cincinnati Bell Inc6,222312
EDGEWELL PERSONAL CARE Co3,921312
Surgical Care Affiliates6,405312
Brookdale Senior Living Inc.17,808311
Nuveen Municipal Value Fund21,374310
Franklin Electric Co.7,611310
Advanced Energy Industries6,534309
TerraForm Power, Inc.22,181309
Coty Inc12,980305
Silver Spring Networks21,525305
Seadrill Limited128,395304
OraSure Technologies38,005303
Madison Strategic Sector Premium Fund25,829303
Boardwalk Pipeline Partners L.P.17,638303
Bravo Brio Restaurant Group63,250302
Telefonica Deutschland Holding AG20,872302
Nabors Industries Ltd.24,698300
Adeptus Health Inc.6,958300
TrustCo Bank Corp NY42,239299
INVESCO MORTGAGE CAPITAL INC19,589298
Merrimack Pharmaceuticals46,764297
Wright Medical Group12,121297
Universal Forest Products3,020297
Planet Fitness14,739296
Valhi128,600296
Columbia Pipeline Partners18,315296
Pinnacle Bank23,950296
Shake Shack8,519295
Fiduciary/Claymore MLP Opportunity Fund18,717295
AMAG Pharmaceuticals12,000294
Nuveen Real Estate Fund24,743294
Blackrock Health Sciences Trust8,547294
ADURO BIOTECH, INC.23,549293
Canon10,084293
Herman Miller10,234293
ASA Gold and Precious Metals Limited19,774293
New England Service Co.20,567292
LogMein3,214291
Isle of Capri Casinos13,000290
Connecticut Water Service5,827290
Invesco Van Kampen California Value Municipal Income Trust20,410288
Liberty Interactive Corporation465,000287
Norbord11,192287
Blackrock Municipal 2018 Term Trust18,780286
Silver Spruce Resources Inc.12,668286
Union Equity, Inc.10,665285
Drew Industries Incorporated2,886283
First Commonwealth Financial Corporation27,992282
Amec Foster Wheeler37,925282
EnerNOC51,917281
Gold Reserve Inc2,794280
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 224,490280
Babcock & Wilcox Enterprises, Inc.16,963280
Dawson Geophysical Company36,590279
Universal Security Instruments73,513279
Crescent Pt Energy21,154279
China Biologic Products2,236278
Blackrock Municipal 2020 Term Trust16,787277
WisdomTree Middle East Dividend Fund2,881276
Otter Tail Corporation7,980276
Old National Bancorp Capital Trust I19,646276
InterContinental Hotels Group Plc6,621276
Sandstorm Gold Ltd.54,700275
United Therapeutics Corporation2,325275
Royal Dutch Shell Plc10,750274
AAON9,490274
Indianapolis Power & Light Co.9,324274
Cornerstone Strategic Value Fund18,323273
Illumination Amer Inc250,000273
California Water Service Group Holding8,496273
Arrow Financial Corporation8,270272
Vicor Corporation23,259270
Voyager Therapeutics, Inc.26,673270
athenahealth2,132269
CACI International2,667269
America Movil23,418268
Pixelworks96,100268
Synergy Pharmaceuticals48,499267
Teekay Tankers Ltd.105,596267
Nuveen Ohio Dividend Advantage Municipal Fund 315,478266
Noah Holdings Ltd.10,140265
Teradyne12,246264
Simulations Plus29,856263
Cott Corporation18,435263
BlackRock Municipal Income Investment Trust16,540262
Flaherty & Crumrine/Claymore Preferred Securities Income Fd In12,500262
iShares S&P GSCI Commodity-Indexed Trust17,624261
Maiden Holdings20,606261
ARIAD Pharmaceuticals18,973260
Akebia Therapeutics, Inc.28,746260
BNC Bancorp10,680260
Infinity Energy Resources, Inc.9,886260
Xenia Hotels & Resorts17,079259
Eldorado Gold Corporation65,550258
Zynga Inc.88,701258
Aimmune Therapeutics, Inc.17,134257
Cameco Corporation29,987257
Arbor Realty Trust34,535256
Zweig Fund19,668255
Mercury General Corporation4,650255
NRG Energy22,727255
Morningstar3,198254
Box Ships Inc.16,053253
TrueCar Inc26,850253
Brookfield Mortgage Opportunity Income Fund Inc.16,800252
Penn National Gaming18,589252
Mazor Robotics9,714251
Century Casinos36,000249
Managed Duration Investment Grade Municipal Fund17,308249
Nuveen Michigan Dividend Advantage Municipal Fund10,209247
Qiwi PLC16,874247
Allegiant Travel Company1,866246
New York Times Company (The)20,606246
SolarEdge Technologies14,245245
Pier 1 Imports57,820245
Nuveen New York Dividend Advantage Municipal Income Fund15,986245
Crown Marketing15,186245
U.S. NeuroSurgical, Inc.5,315245
Eaton Vance Short Diversified Income Fund17,767244
Portola Pharmaceuticals10,758244
Cypress Energy Partners24,836243
Morgan Stanley Emerging Markets Debt Fund25,202243
Netsuite Inc2,183242
Seaboard Corporation70241
Avis Budget Group7,018240
Piper Jaffray Companies4,968240
Franklin Universal Trust35,277240
CBOE Holdings3,704240
The Medicines Company6,303238
Culp8,000238
McDermott International47,393237
First National Bankshares Corp.6,497236
Loral Space and Communications6,000235
Sientra, Inc.26,000234
Alexco Resource Corp131,453234
NEW GOLD INC.53,495233
Ellington Financial LLC13,981233
General Electric Capital Corporation16,686233
Momo10,311232
Eldorado Artesian Springs, Inc.6,060231
Vonage Holdings Corp.34,891231
Liberty Global6,738230
IDACORP2,928229
Sun Life Financial Inc.7,037229
CNOOC Limited1,808229
Meta Financial Group3,759228
Blackberry28,542228
CAE Inc15,932226
GAMCO Natural Resources29,129225
Sonic Corp.8,582225
Marriot Vacations Worldwide Corporation3,068225
Clovis Oncology6,250225
Sunrise Telecom, Inc.6,959225
PowerShares DB Gold Fund11,232224
Host Marriott Financial Trust14,371224
Sucampo Pharmaceuticals18,226224
Contango Oil & Gas Company21,863223
American Capital Agency Corp.13,198223
Taro Pharmaceutical Industries Ltd.2,010222
Nuveen New York AMT-Free Municipal Income Fund14,960222
pdvWireless, Inc.9,605220
TIME INC.15,222220
Socket Mobile, Inc.8,138219
Credicorp Ltd.1,440219
European Equity Fund7,213218
Global Partners LP13,518218
ONE Gas3,495216
Apollo Gold Corporation12,579213
NewMarket Corporation495213
American Midstream Partners14,400213
Ares Management12,179212
Hill-Rom Holdings Inc3,415212
Ziggo NV6,088211
INTELLINETICS, INC.153,000211
CITIZENS FINANCIAL GROUP INC/RI8,488210
Government Properties Income Trust9,285210
Barnes & Noble18,461209
NewLink Genetics Corporation13,920209
GLAUKOS Corp5,500208
Emergent Biosolutions6,600208
Washington Federal7,787208
Perpetual Energy Inc.9,017208
CHS Inc17,368207
Community Health Systems17,891206
Blackrock New York Municipal Bond Trust12,848206
W.T.B. Financial Corp.2,768204
COLUMBIA PROPERTY TRUST, INC.9,103204
Cementos Pacasmayo S.A.A.21,635204
Liberty Media Corporation11,652203
Avangrid, Inc.4,853203
ZIOPHARM Oncology Inc35,802202
Armstrong Flooring, Inc.4,869201
Blackrock Diversified Income Strategies Fund3,461201
The Herzfeld Caribbean Basin Fund31,850200
Allscripts Healthcare Solutions15,149200
Fortuna Silver Mines Inc.27,474199
Liberty All-Star Growth Fund45,971198
CECO Environmental Corp.17,483197
McEwen Mining Inc.53,583197
TCW Strategic Income Fund36,954196
Invesco Quality Municipal Income Trust14,209196
Caesars Entertainment Corporation26,000194
Cliffs Natural Resources Inc.32,967193
Atwood Oceanics22,258193
Seabridge Gold17,481193
Orion Engineered Carbons10,301193
Blackrock MuniVest Fund II18,259193
New America High Income Fund20,690191
EarthLink30,591190
Gladstone Capital Corporation21,316189
New York Mortgage Trust31,474189
Momenta Pharmaceuticals16,069188
Invesco Municipal Income Opportunities Trust22,499187
CNO Financial Group12,198186
Western Asset Global High Income Fund Inc18,155185
TG Therapeutics, Inc.23,612183
TIER REIT INC11,828183
WindStream Technologies, Inc.18,177183
Weight Watchers International Inc17,636182
Guggenheim Enhanced Equity Strategy Fund11,328182
DynTek, Inc.14,606181
RadNet24,151179
Solar Senior Capital Ltd.11,030179
Ferrellgas Partners15,410179
Blackrock Floating Rate Income Strategies Fund II Inc13,138178
Western Asset Middle Market Income Fund Inc.13,300178
Nuveen California Dividend Advantage Municipal Fund15,882176
Resources Connection11,720175
Interval Leisure Group10,174175
Marvell Technology Group Ltd.13,092174
Sears Holdings Corporation15,060173
John Hancock Hedged Equity & Income Fund10,500171
Acacia Diversified Holdings, Inc.26,100170
Geeknet32,303169
Pure Pharmaceuticals Corp.12,500169
Wabash National Corporation11,701167
MiX Telematics26,056167
Chimerix Inc29,900166
Tetra Tech27,162166
Nuveen California Municipal Market Opportunity Fund14,733166
VALE S.A.30,087165
SWK Holdings Corp32,779164
Morgan Stanley Emerging Markets Domestic Debt Fund11,189163
Madison/Claymore Covered Call & Equity Strategy Fund20,747161
Delaware Investments Florida Insured Municipal Income Fund11,412161
Forestar Group Inc13,662160
WSI Industries Inc.43,500160
Yamana Gold Inc.37,208160
Flotek Industries11,000160
Peoples Insurance Company Group China14,926159
Pretium Resources15,499159
PCM, Inc.15,749157
Amarin Corporation PLC49,240157
Swiss Helvetia Fund14,638156
Duff & Phelps Utilities Income16,000156
Manhattan Bridge Capital21,539154
Nuveen Select Tax Free Income Portfolio10,500153
Synalloy Corporation16,000152
Gabelli Utility Trust (The)22,136151
MannKind Corporation238,003148
Fiat23,359148
Casella Waste Systems14,177146
Daktronics15,055144
INSYS Therapeutics, Inc.12,116143
Halozyme Therapeutics11,770142
Arrowhead Gold Corp.13,800142
Health Insurance Innovations27,050142
Endologix11,014141
Mid-Con Energy Partners48,978141
ENSCO plc16,473140
INTACTA Technologies, Inc.12,667138
MCBC Holdings, Inc.12,046137
Silver Standard Resources Inc.11,266136
Invesco Van Kampen Advantage Municipal Income Trust II11,004135
Calamos Asset Management19,604134
Deutsche Bank AG14,487133
Wells Fargo Advantage Income Opportunities Fund15,853133
Photronics12,784132
ConforMIS Inc13,350132
1-800 FLOWERS.COM14,300131
New Senior Investment Group Inc.11,006127
First Majestic Silver Corp.12,227126
Helix TCS, Inc.15,450126
Angie's List12,575125
Conn's12,073125
Pioneer Energy Services Corp.30,460123
NANOVIRICIDES, INC.71,015120
InvenSense16,050119
Inovio Pharmaceuticals12,713118
PennantPark Investment Corporation15,712118
Callaway Golf Company10,108117
Macatawa Bank Corporation14,641117
EXCO Resources NL108,420116
Aqua Metals, Inc.13,113116
Theron Resource Group14,517115
Luna Innovations Incorporated81,459115
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.24,089115
Dynavax Technologies Corporation10,812113
Nevada Gold & Casinos63,400113
First Banks13,507113
CVR Partners20,943111
Enerplus Corporation16,500106
Gladstone Capital Corporation13,056106
Vanguard Natural Resources LLC116,403105
Cytokinetics11,450105
Tangoe12,725105
Greenville Strategic Realty Corp12,542104
Medley Capital Corporation13,454103
Legacy Reserves LP75,361102
Jones Energy, Inc.28,523102
Putnam Master Intermediate Income Trust22,711100
Willamette Valley Vineyards12,475100
SiM Internal Test 414,99699
VirnetX Holding Corp32,16098
BioAmber22,95097
AcelRx Pharmaceuticals25,00097
Avon Products16,94696
UNITED STATES BASKETBALL LEAGUE INC11,33595
Aberdeen Asset Management10,17195
TRC Companies11,00095
American Superconductor Corporation13,48094
Novagold Resources Inc.16,81594
Clean Energy Fuels Corp.20,35491
VITAL THERAPIES INC14,78290
Kronos Worldwide Inc10,85090
VOC Energy Trust30,22390
Ecopetrol S.A.10,16289
ORGANOVO HOLDINGS, INC.23,55189
AU Optronics Corp24,06788
Everyday Health11,04585
BlackRock Income Trust Inc. (The)13,14185
Noble Corporation13,37185
Electro Scientific Industries14,95084
First Trust Specialty Finance and Financial Opportunities Fund11,90783
Westport Innovations Inc51,29783
Senomyx18,93381
RAIT Financial Trust23,03278
Keryx Biopharmaceuticals14,44277
Precision Drilling Corporation18,13876
Textainer Group Holdings Limited10,11076
Kemet Corporation20,87275
A. Schulman10,01574
Pengrowth Energy Corporation46,87674
Kosmos Energy Ltd.11,59074
Kratos Defense & Security Solutions10,75574
Kandi Technolgies13,40074
Research Frontiers Incorporated28,00073
Cobalt International Energy56,74070
Array BioPharma Inc.10,40070
CPI Card Group Inc.11,20068
Globalstar55,50067
Rocket Fuel Inc25,25067
Vascular Biogenics12,65766
Novavax31,08165
Ascena Retail Group11,36064
Hecla Mining Company11,24364
Arcos Dorados Holdings Inc.12,00063
MFC Industrial Ltd.30,35062
Aly Energy Services, Inc.13,29261
SandRidge Permian Trust19,74856
Pieris Pharmaceuticals, Inc.30,00055
CEL SCI CORP174,91253
Voxeljet10,71550
TrovaGene10,68148
Plug Power27,35947
Navios Maritime Partners LP33,69947
Celldex Therapeutics11,47746
NQ Mobile Inc.12,00046
Office Depot12,68645
Gold Standard Ventures Corporation17,08943
Southcross Energy Partners LP28,71142
BANRO CORPORATION129,50041
CONNECTURE INC21,98141
Petroquest Energy Inc11,92541
Nordic American Offshore10,72840
Gastar Exploration44,50038
Kingold Jewelry Inc.17,00038
Kopin Corporation17,20037
Credit Suisse High Yield Bond Fund14,00036
FalconStor Software34,53536
Durect Corporation25,40035
Gerdau S.A.13,00035
BioDelivery Sciences International11,90032
Geron Corporation13,90031
iBio50,00028
Northern Oil and Gas10,20027
U.S. Geothermal Inc.35,60026
eCare Solutions, Inc.12,10026
The Bon-Ton Stores13,93424
Limelight Networks13,08724
Ocean Rig UDW Inc.28,31924
Hovnanian Enterprises Inc13,70023
Tanzanian Royalty Exploration Corporation28,51323
Penn West Petroleum Ltd12,54723
U.S. Global Investors12,58123
Pluristem Therapeutics13,74322
VIVUS18,51521
TRANSENTERIX INC.12,10020
SandRidge Mississippian Trust I13,06218
Northern Dynasty Minerals26,05018
Zion Oil & Gas Inc12,18917
Civeo Corp13,80016
Navidea Biopharmaceuticals17,00016
Nexeo Solutions Holdings, LLC24,06515
Bonanza Creek Energy14,70815
International Tower Hill Mines Ltd15,00013
CytRx Corporation20,00012
Polymet Mining Corp.14,00011
Cumulus Media Inc.31,21310
Ampio Pharmaceuticals12,4009
Peregrine Pharmaceuticals Inc.20,5569
Denison Mine Corp19,4579
Golden Star Resources11,0009
Palatin Technologies12,5008
XOMA Corporation13,0136
PROVECTUS BIOPHARMACEUTICALS, INC.42,6204
Galena Biopharma10,5004
Bank Princeton New Jersey18,3002
WTTJ Corp88,0691
DS HEALTHCARE GROUP, INC.47,9761
Mast Therapeutics12,0801
Community Bank of South Florida Inc.35,8801

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