RAYMOND JAMES & ASSOCIATES

Most recent update: June 30, 2017

CompanyShares/WarrantsValue ($000)
Vanguard Natural Resources, LLC9,120,8922,025,391
Indo Tambangraya Megah PT13,541,1651,482,894
iShares22,123,2401,347,085
SPDR GOLD TRUST22,084,7921,041,201
Apple Inc.4,683,854660,840
Microsoft Corporation8,897,561592,206
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi4,244,830505,222
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap7,888,440474,552
Vanguard Natural Resources, LLC6,676,923436,197
J P Morgan Chase & Co4,871,793433,979
Russell Exchange Traded Funds Trust Russell Small Cap Consiste3,699,888430,779
S&P Quality Rankings Glbl Equ Mngd Tr1,779,936418,057
AT&T Inc.10,276,622386,109
Verizon Communications Inc.8,856,254386,003
AbbVie Inc5,337,771376,864
Alphabet Holding Company, Inc.382,747351,985
Johnson & Johnson2,643,652349,730
Ishares Income Trust Sector Index Fd6,774,461334,809
Merck & Company5,329,598334,101
Core Resource Management, Inc.4,719,127330,861
Chevron Corporation3,152,969321,366
PowerShares Global Coal Portfolio8,853,046320,071
Exxon Mobil Corporation3,925,298314,339
Altria Group4,068,876301,708
Pepsico2,629,825298,460
Pfizer8,834,829286,234
Coca-Cola Company (The)6,369,601285,677
Imperial Petroleum, Inc.1,620,256281,850
Amazon.com290,811281,505
First Trust7,777,134276,954
Procter & Gamble Company (The)2,937,355255,992
United States Cellular Corporation1,378,680255,645
Philip Morris International Inc2,166,977252,518
Berkshire Hathaway Inc.1,410,443238,887
Facebook1,553,320234,520
Cisco Systems7,445,226227,558
Union Pacific Corporation2,164,375225,321
Standard Parking Corporation701,392222,790
McDonald's Corporation1,411,831214,499
Home Depot1,389,995213,227
Comcast Corporation5,415,669210,778
Wells Fargo & Company3,585,155197,195
Vodafone Group Plc6,830,496196,240
Occidental Petroleum Corporation3,130,057187,397
iShares Trust iShares Barclays GNMA Bond Fund3,262,727176,810
Kimberly-Clark Corporation1,407,883174,127
Multi-Strategy Growth & Income Fund5,657,966166,401
B Communications Ltd.3,648,106164,320
Marathon Petroleum Corporation3,318,956163,903
Visa Inc.1,752,664162,759
BROADVIEW INSTITUTE INC697,571162,575
Duke Energy Corporation1,937,844161,984
General Electric Co6,097,105156,800
Oracle Corporation3,376,732155,731
Eaton Corporation2,132,706154,502
GlaxoSmithKline PLC3,628,731153,656
iTeknik Holding Corporation626,955152,609
Allergan595,631151,666
TotalFinaElf3,057,472151,620
Dominion Resources1,872,809143,513
Wal-Mart Stores1,887,836142,873
Bank of America Corporation5,866,022141,730
Carnival Plc ADS2,219,784139,630
Security Devices International Inc.1,471,887136,415
QUALCOMM Incorporated2,532,518136,212
Sanofi2,846,900135,872
Celgene Corporation1,032,239134,057
CB Scientific Inc.964,156132,881
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu2,198,988132,848
National Grid Transco Plc2,114,268132,818
iShares Trust iShares MSCI All Country Asia Information Techno1,927,368132,780
Intel Corporation3,895,934128,687
United Parcel Service1,168,565125,879
Honeywell International Inc.975,302125,818
Astrazeneca PLC3,672,194124,581
PowerShares QQQ Trust904,225124,458
CVS Corporation1,543,835122,811
The Kraft Heinz Company1,553,160121,492
Walt Disney Company (The)1,103,093117,206
PPlus Trust3,031,541117,199
Lockheed Martin Corporation418,297116,127
CME Group Inc.1,016,256114,685
Time Warner Inc.1,211,599114,287
Crown Equity Holdings, Inc.1,138,949114,101
3M Company547,933114,078
Abbott Laboratories2,349,970111,605
TE Connectivity Ltd.1,384,454108,929
Microchip Technology Incorporated1,541,287107,590
Alibaba Group Holding Limited759,284106,983
Bowl America, Inc.3,103,955106,251
Amgen Inc.622,173105,425
Air Products and Chemicals812,028104,135
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND2,956,196104,070
U.S. Bancorp1,966,652100,819
Boeing Company (The)507,251100,310
Medtronic1,151,18899,288
PNC Financial Services Group791,86498,880
Southern Company (The)2,176,34295,660
General Mills1,745,85795,333
Novartis AG1,117,05293,241
Dow Chemical Company (The)1,484,74892,452
Enterprise Products Partners L.P.3,398,74392,038
Praxair693,61491,941
BlackRock Maryland Municipal Bond Trust2,006,63491,122
Johnson Electric Holdings Ltd.2,053,78189,052
Biogen Idec Inc.324,06987,939
Therapix Biosciences Ltd2,097,69686,677
Ironclad Performance Wear Corp2,517,79086,511
Ventas1,243,76886,417
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF1,042,64184,906
Autodesk830,85883,767
Citigroup Inc.1,263,33283,716
Texas Instruments Incorporated1,097,14882,214
Raytheon Company496,67280,205
Weyerhaeuser Company2,353,10278,168
Automatic Data Processing793,18777,394
Emerson Electric Company1,266,04975,482
MetLife1,369,90775,263
United Technologies Corporation600,10573,280
Ultra Lithium Inc1,337,63572,393
INTERNATIONAL TEXTILE GROUP INC1,399,26172,342
International Business Machines Corporation488,21571,260
E.I. du Pont de Nemours and Company864,45469,770
Sport Chalet507,11069,400
American Electric Power Company998,29369,351
Royal Dutch Shell PLC1,299,77269,134
Schlumberger N.V.1,042,35968,629
First Trust High Income Long Short Fund2,409,03168,577
Valero Energy Corporation1,023,13768,180
Corning Incorporated2,251,91667,670
priceline.com Incorporated235,76967,201
Gilead Sciences925,71965,524
Bristol-Myers Squibb Company1,169,77465,180
Nielsen CO B.V.1,659,89064,171
Innocap, Inc.321,12263,139
Starbucks Corporation1,169,65963,015
Becton, Dickinson & Co.321,03562,642
General Dynamics Corporation311,68261,747
Reitmans758,69861,229
Regal Entertainment Group2,990,96261,195
Halliburton Company1,495,71360,697
Taiwan Semiconductor Manufacturing Company Limited1,735,66860,679
Neenah Paper432,62360,624
Wake Forest Bancshares, Inc.984,67160,439
British American Tobacco Industries879,04260,250
Anadarko Petroleum Corporation1,320,65459,879
Fastenal Company1,375,11259,859
First Trust Strategic High Income Fund II1,923,98059,496
iShares Trust821,67458,510
GSM Fund Group Inc1,203,45157,898
Allstate Corporation (The)670,65857,858
Salesforce.com Inc679,61957,527
NVIDIA Corporation396,79457,362
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund1,266,72057,227
PayPal Holdings, Inc.1,053,79356,557
Target Corporation1,077,07856,321
Seagate Technology.1,448,95156,147
BlackRock132,89356,138
Illini Corp.461,56855,623
Broadridge Financial Solutions736,04555,616
Willis Towers Watson381,49255,496
Western Asset Emerging Markets Income Fund620,64254,989
Waste Management801,97854,593
PIMCO California Municipal Income Fund524,13253,315
iShares FTSE EPRA/NAREIT Asia Index Fund505,60553,245
CyrusOne964,81353,047
Ingersoll-Rand plc (Ireland)590,94352,615
Mastercard Incorporated431,88452,453
Lowe's Companies727,10852,382
Vanguard Natural Resources, LLC1,044,29552,246
Sysco Corporation1,031,68151,924
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF585,13251,217
Phillips 66617,95551,099
Lic Housing Finance Ltd.244,82151,052
Select Asset Inc.642,24950,892
Omnicom Group Inc.666,25150,841
Roper Technologies219,46750,818
American Tower Corporation (REIT)380,42150,337
Select Asset Inc.559,94150,188
vTv Therapeutics Inc.517,88850,008
PIMCO Flexible Credit Income Fund471,78949,585
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF387,87448,271
Reynolds American Inc740,14648,140
Cinemark Holdings Inc1,234,22047,950
Sector 5, Inc.867,22247,455
Twitter2,654,61947,438
Vertex Pharmaceuticals Incorporated365,15447,057
Cardinal Health598,45846,632
Aflac Incorporated665,02346,426
Magellan Minerals Ltd.651,20146,411
Goldman Sachs Group208,98646,375
Bank of the Ozarks981,05045,982
Interups Inc.437,59045,929
Liberty Global272,87845,593
American Express Company569,67645,330
NXP Semiconductors N.V.411,30345,017
VGTel, Inc.482,03644,671
Diageo plc368,09044,109
Stark Naked Bobbers348,37344,080
Noble Group Ltd.761,91744,018
Bespoke Tricyles, Inc.3,489,84043,981
High Country Bancorp, Inc.561,81743,912
Mondelez International1,056,46043,733
National Fuel Gas Company781,11743,617
Caterpillar414,02343,231
ONYX Pharmaceuticals195,64842,796
Walgreens Boots Alliance580,73642,784
Federal Express Corporation196,34342,675
World Gaming plc361,18342,627
Kinder Morgan2,144,92242,073
Newell Rubbermaid Inc.789,10241,169
Financial Institutions1,767,40141,144
Polaris Futures Fund L.P.442,97140,855
Enbridge Inc1,023,27340,772
PPG Industries370,54140,745
Netflix272,12940,659
Costco Wholesale Corporation250,51740,065
Novo Nordisk A/S925,06239,677
Consolidated Graphics490,13139,612
Ryman Hospitality Properties616,00739,431
IntercontinentalExchange620,09439,331
Motorola Solutions450,14339,045
Ionis Pharmaceuticals766,01238,967
iShares FTSE EPRA/NAREIT Europe Index Fund353,05438,758
Western Union Company (The)2,030,81038,687
iShares Trust iShares MSCI Emerging Markets Latin America Inde971,70038,439
First Trust NASDAQ-100 Ex-Technology Sector Index Fund611,01338,122
The Kroger Company1,545,44038,018
Extended Stay America, Inc.1,961,54337,975
Accenture plc.306,94337,963
LyondellBasell Industries NV445,41737,590
Anheuser-Busch Inbev SA351,07737,344
iShares MSCI ACWI ex US Index Fund819,09937,342
India Cement Ltd.247,00636,693
eBay Inc.1,050,38036,679
Pacific Gas & Electric Co.548,40836,398
Realty Income Corporation656,48836,225
PacWest Bancorp754,78235,248
Pioneer Exploration, Inc.220,35035,164
Danaher Corporation563,85534,922
The Blackstone Group L.P.1,150,67434,901
Thomson Reuters Corp747,80034,616
Delta Air Lines Inc. (New)643,94534,606
Aspen Pharmacare Holdings plc258,04434,307
Adobe Systems Incorporated241,20034,115
The Bank of Kentucky Financial Corp.664,11733,883
Zoetis540,31033,705
SunTrust Banks591,68333,560
Ibiden Co. Ltd.363,40933,511
Marathon Oil Corporation2,822,73333,449
FVI Fondo Valores Inmobiliarios1,338,12533,226
ConocoPhillips752,28133,070
Applied Materials779,51432,202
Masimo Corporation351,81232,078
Boulder Energy Ltd.3,292,55431,971
Illinois Tool Works Inc.220,41031,574
KSW Inc315,78731,430
Mohawk Industries129,01931,183
Unilever NV561,57431,038
Vanguard Short-Term Corporate Bond ETF388,64431,033
Coty Inc1,648,84730,932
Vanguard Mortgage-Backed Securities ETF439,14930,836
Estee Lauder Companies334,27530,784
Ameren Illinois Company562,34530,743
First Trust Senior Floating Rate Income Fund II635,10430,727
Aetna Inc.201,88930,653
Thermo Fisher Scientific Inc174,13530,382
Citrix Systems380,58130,287
Nucor Corporation520,07530,097
Entergy Corporation390,27429,961
Uniti Financial Corp.1,187,41729,852
Royal Kpn N.V.410,45229,809
Waste Connections462,56529,798
Compass Minerals Intl Inc455,82029,765
Activision Blizzard516,23129,720
Nike498,48729,411
Eli Lilly and Company371,32729,283
STATIONDIGITAL CORP1,770,19429,261
Public Service Enterprise Group Incorporated678,58429,186
Rogers Communication613,58028,986
Raymond James Financial379,67928,874
Freeport-McMoran Copper & Gold2,366,28728,419
Synchrony Financial990,21628,190
ENERGY TRANSFER PARTNERS1,393,27028,094
Sempra Energy246,27627,768
Oppenheimer Holdings508,55427,750
Legg Mason726,96327,741
Pentair416,17627,693
First Trust NASDAQ-100 Equal Weighted Index Fund514,52227,517
International Consolidated Airlines Group SA142,30727,339
TJX Companies378,72527,333
General Motors Company818,39227,272
Brown & Brown631,96727,219
Mylan Inc.721,96026,916
Covanta Holding Corporation2,038,48626,908
International Paper Company474,74926,876
Spectra Energy Partners625,11626,818
RIGHTSCORP, INC.491,75626,766
Sappi Limited252,32626,411
Harris Teeter Supermarkets239,58426,134
Relx1,208,57626,039
Deere & Company209,91125,943
Monotaro Co., Ltd.218,76625,893
MegaFon PJSC258,69125,885
Old Republic International Corporation2,066,03625,738
iShares S&P Emerging Markets Infrastructure Index Fund655,30625,668
Marriott International265,31825,636
General Electric Capital Corporation2,482,91125,623
Heico Corporation405,02325,617
Axis Energy Corporation395,24925,557
NoCopi Technologies, Inc.99,31225,497
Industrial Services of America373,00325,406
CenturyLink1,117,73525,392
iShares470,07925,356
UBS AG (London Branch)1,471,32925,234
First Trust Advantaged Short Duration High Yield Bond Fund474,37625,231
Sabra Healthcare REIT1,043,33325,144
Redux Holdings, Inc.262,38625,123
Ecolab Inc.188,60025,037
Leggett & Platt473,39024,867
Prologis, Inc.419,27324,586
Edge Resources Inc.502,47124,586
Morgan Stanley551,21624,562
Umpqua Holdings Corporation1,360,78624,430
Geo Group Inc (The)825,16924,400
Express Scripts Holding Company402,43324,324
LPL Financial Holdings Inc.570,50624,224
iShares NASDAQ Biotechnology Index Fund77,47924,026
Etfs Commodity Securities Ltd.177,02423,994
Cummins Inc.147,57723,943
Liberty Interactive Corporation974,26823,909
McCormick & Company244,59523,850
New Ulm Telecom, Inc.292,31723,824
Monolithic Power Systems245,62523,682
Williams Companies780,88223,645
XBiotech Inc.358,24623,637
Westpac Banking Corporation1,008,89223,608
KAR Auction Services561,12023,550
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 217,86723,546
Stanley Black & Decker178,39923,408
Republic Services367,00023,389
Goldman Sachs BDC, Inc.825,71723,376
W.W. Grainger129,48023,375
Wintrust Financial Corporation305,37523,345
The NASDAQ OMX Group325,29823,255
Arthur J. Gallagher & Co.405,10323,192
iSoftStone Holdings Limited706,59723,120
Xilinx373,80622,893
Pebblebrook Hotel Trust703,73422,688
Berkshire Hathaway Inc.8922,668
Tesla Exploratin Services Inc.62,64422,653
Fidelity National Information Services262,39722,409
Delphi Automotive plc255,42422,388
Russell Exchange Traded Funds Trust Russell Small Cap Contrari187,46422,286
Equifax161,67922,218
Diamondhead Casino Corp.103,80422,135
V.F. Corporation384,14022,127
Hanesbrands Inc.953,19222,076
Vanguard Energy Corporation156,11621,988
Discover Financial Services353,44921,981
OWENS-ILLINOIS GROUP INC680,16821,895
Cognizant Technology Solutions Corporation329,44021,875
John Wiley & Sons414,11421,844
FTE Networks, Inc.409,87021,789
Everett SpinCo, Inc.281,00621,559
Prudential Public Limited Company468,15221,540
IEG Holdings Corp255,84121,515
iShares MSCI Far East Financials Sector Index Fund241,17121,438
Mascota Resources Corp557,75421,312
Ulta Salon74,02921,271
iShares199,00521,246
Consumer Portfolio Services386,48921,234
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund192,62921,212
Paychex413,99121,187
iShares MSCI Emerging Markets Materials Sector Index Fund238,93121,119
Huntington Bancshares Incorporated1,613,39421,090
CIGNA High Income Shares125,65021,033
VOIP PAL.com, Inc.168,81120,977
Steel Partners Holdings LP585,31420,960
Blackrock Enhanced Equity Dividend Trust2,380,78820,951
Colony NorthStar, Inc.1,486,45120,944
East West Bancorp357,18020,924
Stryker Corporation150,60120,900
Check Point Software Technologies Ltd.191,35820,873
Regeneron Pharmaceuticals42,43120,840
Centenera Mng Corp.260,25120,789
Xponential, Inc.362,54620,763
Charles Schwab Corporation483,16020,756
Omega Healthcare Investors628,08320,739
Healthcare Services Group440,96420,650
Envision Healthcare Holdings, Inc.329,19020,630
ENERGY TRANSFER PARTNERS340,73220,628
Exelon Corporation617,29920,587
Regions Financial Corporation1,405,75020,580
WestRock363,17420,577
TELUS Corporation594,78820,538
Labor Smart, Inc.132,81120,471
Prudential Financial189,28720,470
Edison International261,65120,459
Analog Devices278,38920,097
Marsh & McLennan Companies256,02219,960
Physicians Realty Trust990,64619,952
IDEX Corporation175,87719,876
Norfolk Souther Corporation180,23619,796
Henry Schein108,10119,785
Brookfield Infrastructure Partners LP475,82019,465
Hillenbrand Inc538,65419,445
Fifth Third Bancorp745,60719,356
Berry Petroleum Company338,15019,278
Envestnet223,73819,264
Nuance Communications1,391,75019,176
Edwards Lifesciences Corporation162,08119,164
HSBC Holdings plc426,56719,163
Newfield Exploration Company671,78619,119
Kresta Holdings Ltd.346,90819,063
Tekla Healthcare Opportunities Fund946,03119,013
Darling International Inc.1,200,55918,897
iShares Commodity Optimized Trust539,21418,844
ASML Holding N.V.143,74218,731
Chilean Metals Inc.448,99418,710
Agrium Inc.206,13518,653
Colgate-Palmolive Company249,33818,484
Graco Inc.167,93118,351
McKesson Corporation111,31918,317
Canadian National Railway Company225,11518,269
Russell Breweries Inc134,83918,239
Palo Alto Networks135,78718,170
iShares169,72318,095
Liberty Gold Corp.433,75818,088
AmeriGas Partners399,18618,031
CDW Corp287,76217,994
BCSB Bancorp1,698,76917,990
First Trust Exchange-Traded Fund II First Trust BICK Index Fun894,34917,896
Landstar Development Group, Inc.208,37417,837
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio170,69117,645
Camden Property Trust205,80717,599
Fluor Corporation383,82517,572
Markel Corporation17,99617,562
Royce Value Trust1,199,89117,506
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF330,67817,414
Crimson Wine Group Ltd.318,96417,403
Simon Property Group107,40917,375
Air Lease Corporation463,25417,307
Douglas Emmett451,52517,253
Diamondback Energy193,75817,208
Boston Scientific Corporation634,90817,202
Targa Resources380,57617,202
Adams Express Company (The)1,198,23417,123
Cintas Corporation135,72217,107
Vanguard Intermediate-Term Corporate Bond ETF200,88616,981
Anthem United, Inc.90,25216,979
Eagle Growth & Income Opportunities Fund983,98016,954
Arris Group Inc646,73916,877
Vanguard Health Systems114,42416,863
Xcel Energy Inc.366,17616,800
Rio Tinto396,64616,782
Clorox Company (The)125,91216,777
Matthews International Corporation273,81216,771
Suncor Energy Inc.569,80916,638
State Street Corporation183,47016,463
APPLIED OPTOELECTRONICS, INC.277,87516,399
Fidus Investment Corporation973,55516,375
Lamprell114,98616,263
Interface403,20416,259
Waters Corporation88,23116,220
Aircastle Limited745,50716,215
Archer458,93316,207
AO Mosenergo168,75016,191
Teva Pharmaceutical Industries Ltd.486,84816,173
Shire plc97,68316,144
Quintiles Transnational Holdings Inc180,23516,131
Zimmer Holdings124,96716,046
Peoples Financial Corporation907,25016,022
Expedition Mining Inc107,06615,948
Stericycle208,81815,937
Kreisler Manufacturing Corp.682,79715,923
Lloyds Banking Group Plc4,480,74615,817
Alaska Power & Telephone Co.175,47615,751
Toro Company (The)226,60715,702
Timken Company (The)338,38515,650
STERLING CONSOLIDATED Corp313,42515,571
AmerisourceBergen Corporation (Holding Co)212,82515,522
Alleghany Corporation26,08315,514
IBO (Listing Market - NYSE Amex Network B F)183,28915,486
HPC Acquisitions, Inc.884,56515,462
HCA Holdings176,63815,403
Constellation Brands Inc79,29415,362
Wabco Holdings Inc.120,29615,339
Actuant Corporation618,35515,212
Rockwell Collins144,49915,184
Ross Stores262,65515,163
Flextronics International Ltd.928,91515,151
Vantiv239,07015,143
Deutsche Global High Income Fund1,703,80114,962
The Ultimate Software Group71,21214,959
Alexion Pharmaceuticals122,92514,956
Jack Henry & Associates143,93114,950
Discovery Communications577,26314,911
General Electric Capital Corporation433,54614,892
First Century Fox Inc Class A525,23914,885
ChemoCentryx216,03814,837
Great Plains Energy Inc499,58414,628
BorgWarner Inc.345,17614,622
CREDEX CORP130,21914,543
American International Group231,29014,460
Weatherford International3,721,09214,401
J.M. Smucker Company (The)120,91014,307
Cedar Fair198,35214,301
Capital One Financial Corp172,45614,248
Parker-Hannifin Corporation88,49114,143
Italian Food & Beverage Corp89,73514,120
Arrow Electronics293,46914,062
LEAP TECHNOLOGY INC / DE98,75614,032
Yum! Brands189,98214,013
ETERNITY HEALTHCARE INC.786,46513,930
United Continental Holdings183,96213,843
Yum China Holdings, Inc.350,44513,818
Akamai Technologies276,91013,793
Tractor Supply Company253,85113,761
Amdocs Limited213,24213,746
Digital Realty Trust121,31413,703
Firstrand Limited136,86413,700
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG333,44013,668
Dolby Laboratories278,66813,644
Cohen & Steers Infrastructure Fund575,43113,597
Ramtron International Corporation248,85913,575
Sumitomo Mitsui Financial Group Inc1,706,15413,410
SMG Indium Resources Ltd.109,03113,401
UBM Plc286,87113,377
Micron Technology477,97313,273
Avnet341,06713,261
Spirit Aerosystems Holdings228,57813,244
Tri Continental Corporation543,82113,242
1st Colonial Bancorp, Inc.303,45613,206
Oasis Petroleum Inc.1,639,02913,194
Vanguard STAR Funds Vanguard Total International Stock ETF253,69913,185
Brunswick Corporation206,90812,981
Deutsche Bank Aktiengesellschaft429,99612,908
iShares MSCI Europe Financials Sector Index Fund104,34812,894
Northern Trust Corporation132,58512,889
Tesoro Petroleum Corporation137,28112,849
Medical Properties Trust993,82912,791
Vanguard Short Term Government Bond ETF146,49212,789
Adriana Resources, Inc.71,49012,787
National-Oilwell Varco386,81512,742
ISHARES IV PLC115,17112,707
Align Technology84,29812,655
Mid-America Apartment Communities119,83012,628
ManpowerGroup112,96812,613
UBS AG475,57612,591
Retail Opportunity Investments Corp.652,88712,529
OGE Energy Corporation359,27212,499
Ishares Canadian Dex Universe Bond Index Fund293,55812,485
Pinnacle Foods Inc209,70712,457
IHS Markit282,09312,423
MarketAxess Holdings61,75712,419
DENTSPLY International Inc.191,10812,391
Progressive Corporation (The)279,20412,310
Karelia Tobacco Co Inc177,18112,307
American Homes 4 Rent544,49012,289
Islet Holdings, Inc.114,29912,289
U.S. Helicopter Corp.153,94712,280
Reinsurance Group of America94,60712,147
Fiserv98,84512,093
HCP375,29611,994
Inca One Gold Corporation95,70611,974
MICRO IMAGING TECHNOLOGY, INC.152,61011,965
Alpine Total Dynamic Dividend Fund1,374,36711,943
Charter Communications35,38811,920
NexPoint Credit Stategies Fund541,41211,792
Church & Dwight Company225,19111,684
Owens Corning Inc174,48511,677
Apartment Investment and Management Company271,53811,668
Avery Dennison Corporation131,93311,659
Huntsman Corporation450,21011,633
Cree470,25311,592
Thor Industries110,86011,587
Baxano Surgical, Inc.191,36311,585
CoreStream Energy, Inc.209,02811,584
Advanced Visual Systems, Inc.99,15511,560
Cerner Corporation173,50011,533
SL Green Realty Corporation108,87111,519
CBS Corporation178,56311,389
EQT Corporation194,01911,368
Vanguard International Equity Index Funds Vanguard Global ex-U162,91011,319
Maxima Group, Inc.291,43511,287
Sherwin-Williams Company (The)32,11911,273
Crown Cork & Seal Company188,88111,269
INCEPTION MINING INC.71,75411,190
Metals USA Holdings Corp.150,48411,152
Cimarex Energy Co118,22811,115
Electronic Arts Inc.104,89411,089
FactSet Research Systems Inc.66,71311,087
Flow International Corporation238,56911,077
American Water Works141,94611,065
ProShares Trust ProShares UltraShort Nasdaq Biotechnology259,81310,925
DCT Industrial Trust Inc203,29110,864
MPLX LP324,48010,838
Hawaiian Telcom Holdco, Inc.124,35410,815
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal466,82610,802
Sutherland Asset Management727,04910,797
Smart & Final Stores, Inc.68,16910,771
MGM Growth Properties LLC352,45210,759
Southwest Airlines Company172,19810,700
Selective Insurance Group205,89310,698
Parametric Technology Corporation194,05110,696
Hartford Financial Services Group274,03810,659
Boston Properties86,56010,649
Core Laboratories N.V.105,15410,649
Deutsche Bank Aktiengesellschaft714,76310,636
Alliant Energy Corporation264,67310,632
CleanPath Resources Corp.189,42310,575
Independence Holding Company1,066,66610,528
T. Rowe Price Group140,88410,455
Energen Corporation210,99810,417
Dr Pepper Snapple Group114,32510,416
Wynn Resorts77,59010,407
Blackstone GSO Long Short Credit Income Fund7,466,68010,384
The Cash Store Financial Services Inc.205,84910,376
Parsley Energy373,74310,371
Concho Resources Inc.84,78410,304
Sensata Technologies Holding N.V.239,86410,247
INFORMATION ANALYSIS INC73,29310,242
VICTORY ENERGY CORP235,94510,239
Six Flags Entertainment Corporation New171,44910,220
Scana Corporation152,20910,200
Iridium Communications Inc1,206,23310,181
Commerce Bancshares179,08810,178
CNA Financial Corporation208,45210,162
CornerWorld Corp.85,19510,156
Garmin Ltd.198,98010,154
PAA Natural Gas Storage381,25010,015
KeyCorp533,86910,005
Jabil Circuit342,1909,989
Ares Capital Corporation609,3819,982
Franklin Resources221,7879,934
European Real Estate Investment Trust Ltd.180,0549,928
Teleflex Incorporated47,6969,910
Albero Corp.93,5139,869
Icon Media Holdings, Inc.145,5629,818
RMR Industrials, Inc.448,8209,807
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF161,3749,805
Fortis278,8159,802
Toyota Tsusho Corp.93,0699,774
Trinity Industries348,1639,759
Burlington Stores Inc105,7859,731
DaVita Inc.149,9069,708
Global X Funds Global X NASDAQ 500 ETF789,1019,698
Juniper Networks346,8719,671
Rockwell Diamonds, Inc.59,6939,668
Fortive Corp152,0989,635
Tupras Turkiye Petrol Rafinerileri AS135,6129,524
Eaton Vance Tax-Advantage Global Dividend Opp844,0049,520
Annaly Capital Management Inc789,0879,509
Fidelity National Financial211,9889,503
Coca Cola Icecek Sanayi As232,9599,474
LAS VEGAS RAILWAY EXPRESS, INC.148,1499,465
Post Holdings121,6429,446
Loews Corporation201,6389,439
Evans Brewing Co Inc.827,4999,417
Lazard World Dividend & Income Fund689,4469,414
BHP Billiton Limited264,0849,399
PowerShares Global Wind Energy Portfolio422,6269,391
LMP Capital and Income Fund Inc.659,0669,372
D.R. Horton269,0569,301
Guidewire Software135,1669,287
Genuine Parts Company99,5699,236
Cullen/Frost Bankers98,2769,229
Nordson Corporation75,9049,209
Clough Global Opportunities Fund864,8859,168
Street Capital Group235,0909,165
Vail Resorts45,0929,147
FleetCor Technologies63,4099,144
New York Community Bancorp Inc696,3299,143
Torchmark Corporation119,4269,136
SVB Financial Group51,9649,135
AMC Networks Inc.170,7379,119
Cohen & Steers Quality Income Realty Fund Inc724,2279,118
Leidos Holdings, Inc.176,1639,106
Koninklijke Philips Electronics253,0079,063
International Hi-Tech Industries Inc.66,9919,044
John Hancock Tax Advantaged Dividend Income Fund353,0769,032
SEI Investments Company167,2298,994
Entertainment Arts Research, Inc.124,7528,966
V Media Corp102,1968,935
Aspen Technology161,4158,920
Aercap Holdings N.V.191,7168,901
ExactTarget968,7118,883
Schoeller Bleckmann Oilfield Equipment AG270,2618,851
Ohio State Bancshares, Inc.301,9008,828
Halfords Group Plc182,9968,771
Treehouse Foods106,7768,723
Voestalpine AG84,6678,710
Bioverativ Inc.144,5448,697
Universal Health Services70,9928,667
FMB Equibanc, Inc.163,8038,646
The GDL Fund842,3298,642
Devon Energy Corporation269,6428,620
Healthcare Trust of America276,6848,608
Primerica113,4708,595
Splunk Inc.150,8498,582
Seven Generations Energy Ltd.72,9858,581
Genesis Metals Corp.270,3448,578
MainStay DefinedTerm Municipal Opportunities Fund434,8688,554
FMC Corporation116,9388,542
SCOTTS LIQUID GOLD INC95,3928,534
Huntington Ingalls Industries45,8128,529
Honda Motor Company311,2528,525
Cohen & Steers Dividend Majors Fund83,6178,455
LIBERTY ALL STAR GROWTH FUND INC199,7438,385
Petrominerales Ltd74,9508,349
Liberty Broadband Corporation95,7498,306
IAC/InterActiveCorp80,2588,286
Cognex Corporation97,5828,285
Sony Corp Ord216,8088,280
Indofood Agri Resources Ltd.92,1478,234
iShares Gold Trust689,1058,228
Oaktree Capital Group176,5038,225
Bank Of Montreal111,8868,217
Brown-Forman Corporation Class B 168,8798,208
iShares MSCI All Country Asia ex Japan Index Fund103,5748,193
Synchronoss Technologies497,3888,182
Tesoro Logistics LP157,9468,164
Expeditors International of Washington144,0168,134
Central Fund of Canada Limited658,3078,117
BioMarin Pharmaceutical Inc.89,2608,107
Dollar General Corporation112,2668,093
Pimco California Municipal Income Fund II76,2128,081
NetEase26,7188,034
ING Group461,9938,034
Stargaze Entertainment Group Inc.54,9718,025
Fortress Paper500,2647,974
Flaherty & Crumrine/Claymore Total Return Fund Inc302,9547,968
AGCO Corporation118,0727,957
LaSalle Hotel Properties266,7577,949
Verisk Analytics94,1827,946
Banco Bilbao Viscaya Argentaria S.A.949,5987,939
Williams Creek Gold Ltd.197,8927,937
Lincoln National Corporation117,0547,911
Wright Express Corporation113,8257,873
Cavium126,4407,856
CA Inc.289,1447,854
Versum Materials, Inc.241,1777,838
Sinclair Pharma plc.237,3207,808
Whirlpool Corporation40,5187,765
Deutsche Tele Ag Ads625,1457,746
Crane Company97,4797,738
Material Sciences Corporation143,3777,715
Ryanair Holdings Plc71,6897,714
Schindler Holding AG170,7567,701
SBA Communications Corporation56,9807,687
Knowles453,0547,666
NAVIENT CORP460,0907,660
IGM Financial Inc.326,6337,653
First Trust/Aberdeen Global Opportunity Income Fund320,5677,601
Signature Bank52,8777,589
Eastman Chemical Company90,2427,579
Gramercy Property Trust, Inc.254,8507,572
Monmouth Real Estate Investment Corporation502,3247,560
Hershey70,3787,557
IJJ Corp.54,0447,556
Liberty One Lithium Corp.144,3897,550
Royce Focus Trust784,9777,544
Intuit Inc.56,7917,542
Buckeye Technologies117,5317,514
Jumbo SA88,2307,508
Regency Affiliates, Inc.119,6717,496
Nordstrom156,0667,465
Liberty All-Star Equity Fund1,317,2837,456
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 253,9037,455
ABB Ltd298,6807,437
Credit Suisse Group509,2087,434
Hollywall Entertainment Inc.282,3717,428
W.P. Carey Inc.111,9687,391
ICU Medical42,7117,368
IDEXX Laboratories45,5447,352
Etfs Commodity Securities Ltd.244,3247,335
Metals X, Ltd.244,6247,331
FINISAR CORP309,2137,318
Workday75,2517,299
Copart228,7517,272
Validus Holdings139,7357,262
Glacier Bancorp198,2337,257
Old Dominion Freight Line76,0907,247
Varian Medical Systems69,5027,172
RSP Permian221,9877,164
Celanese Corporation75,4017,159
Graphic Packaging Holding Company518,7327,148
Domino's Pizza Inc33,7297,135
SLM Corporation620,1877,132
Benefitfocus,Inc.210,1277,119
ICON plc72,7877,118
UA Multimedia, Inc.349,9047,054
Molson Coors Brewing Company81,6827,053
Bouygues 197,2387,022
Autoliv63,9187,018
William Demant Holdings371,7147,018
Deutsche Bank AG321,3467,018
Hasbro62,7296,995
Duff & Phelps Corporation421,3576,995
Teledyne Technologies Incorporated54,4196,947
Diamond Bancshares, Inc.74,6216,938
NetApp171,9706,887
Esperance Minerals NL113,2506,875
Global Payments Inc.75,8636,852
Equinix15,9376,839
Power Efficiency Corp.233,5346,836
Coach144,0016,817
Canada Strategic Metals, Inc.253,7326,790
Worldpay Group PLC100,2156,768
Portland General Electric Company147,6816,748
Pacific Booker Minerals Inc.102,4706,742
Intertainment Media, Inc.424,7626,673
First Trust Energy Income and Growth Fund500,7426,665
Intuitive Surgical7,1176,657
West Pharmaceutical Services70,2556,641
IShares Plc.119,6076,627
Pinnacle West Capital Corporation77,8006,625
IL2M International Corp.45,9486,617
Barrick Gold Corporation414,6376,597
JPMorgan Chase Bank NA222,0496,595
Total Energy Services Inc.113,0456,585
Spirit Airlines436,9086,583
Enlink Midstream, LLC373,1546,568
Adient Ltd99,4576,503
PT Indosat Tbk192,9066,495
Lions Gate Entertainment246,3986,475
AptarGroup74,1336,439
LogMein61,5566,433
Pinnacle Financial Partners102,3046,425
Affiliated Managers Group38,5746,398
Martin Marietta Materials28,5206,349
Main Street Capital Corporation164,0956,311
KLA-Tencor Corporation68,9106,306
REAL HIP-HOP NETWORK, INC174,8506,286
Shoprite Holdings Ltd.71,8496,244
PSL Holdings Ltd116,1676,235
Now Inc386,2776,211
Canadian Pacific Railway Limited38,5506,204
Assurant59,8046,201
Sprouts Farmers Market Inc366,2386,198
PACCAR Inc.93,5046,175
PayMeOn, Inc.340,6436,166
Toll Brothers Inc.155,9436,161
Royal Caribbean Cruises Ltd.56,3116,151
Limited Brands114,0836,148
First Trust NASDAQ ABA Community Bank Index Fund196,8186,139
Global X NASDAQ China Technology ETF561,3076,129
Textron Inc.130,1096,128
Travelport Worldwide LTD444,6526,118
DTE Energy Company57,8036,115
Wheaton Precious Metals304,0546,048
AmTrust Financial Services398,0096,026
Megacable Holdings SAB DE CV72,5346,012
Hewlett Packard Enterprise Co362,1746,008
Nuveen Dividend Advantage Municipal Fund 3392,7645,950
Nuveen Massachusetts AMT-Free Municipal Income Fund271,4235,893
Control4300,2475,888
Best Buy Co.125,2485,881
Aqua Bounty Technologies Inc187,3065,880
White Mountains Insurance Group6,7595,871
Lincoln Electric Holdings63,5345,851
Smith (A.O.) Corporation103,5275,832
Software AG42,5085,814
Lazard Global Total Return and Income Fund125,4535,812
Central Securities Corporation232,9975,809
Donaldson Company127,2745,796
Huaneng Power Intl208,3905,791
ABAXIS108,1695,735
TD Ameritrade Holding Corporation133,3645,733
PVH Corp.49,9855,723
Synopsys78,2505,707
Dollar Tree81,5815,704
Hercules Technology Growth Capital428,7205,676
RBC Bearings Incorporated55,6985,668
Dex One Corporation77,1345,642
USD Partners LP49,0385,608
FOX FACTORY HOLDING157,4735,606
Delaware Enhanced Global Dividend489,6255,582
ConAgra Foods156,0845,582
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal185,9215,570
Univar Inc.190,6655,567
Hubbell49,1885,567
Inchcape PLC115,2965,557
Flowers Foods318,9545,521
First Tractor Co. Ltd.139,7055,518
Viacom Inc.222,9555,435
Cirrus Logic131,1225,430
CoreSite Realty Corporation52,2075,405
Sabre Corp247,8815,396
Five Below108,5885,361
Tanger Factory Outlet Centers206,2235,358
PriceSmart61,0505,348
Equity Residential81,1595,343
Vermilion Energy Inc 168,2605,339
Gulfport Energy Corporation357,3705,271
Cooper Companies21,7345,204
Dreyfus Municipal Income400,9405,204
Vanguard Energy Corporation51,8055,202
Hi-Crush Partners LP479,0045,197
Wyndmoor Industries, Inc.51,7595,197
Dividend and Income Fund419,9385,186
Fifth Street Senior Floating Rate635,0635,176
Integer Holdings Corporation181,7075,166
iShares FTSE China (HK Listed) Index Fund129,8625,157
Hormel Foods Corporation150,5765,136
CF Industries Holdings183,5965,133
ON Semiconductor Corporation364,7705,121
HD Supply Holdings, Inc.167,1425,120
WPP plc48,5505,118
Eagle Bancorp80,8295,116
Premier Inc141,7375,103
The Providence Service Corporation145,7535,096
Mitsubishi UFJ Financial Group Inc753,7895,088
Aegon NV993,2215,075
Western Gas Partners89,9545,032
CMG HOLDINGS GROUP, INC.12,0675,021
Pacer International186,4015,013
Landmark Infrastructure Partners LP312,6765,003
Watsco32,3854,994
NVR2,0654,978
Allete68,6644,922
CatchMark Timber Trust, Inc.432,4854,917
Artisan Partners Asset Management160,0974,915
Sprott Resource Hldgs Inc.487,2214,878
Nuveen AMT-Free Municipal Income Fund353,1924,875
Foothills Exploration, Inc98,8994,874
Icahn Enterprises L.P.94,1744,865
Intertainment Media, Inc.58,4444,858
Coherent21,4654,829
Ctrip.com International124,1004,827
Littelfuse29,2454,825
Alliance Creative Group, Inc.18,7394,810
Tallgrass Energy Partners, LP91,7464,786
DineEquity108,4714,778
Guggenheim Equal Weight Enhanced Equity Income Fund360,5104,746
STARWOOD PROPERTY TRUST211,9104,745
EnLink Midstream Partners, LP279,5254,741
Quest Management Inc.42,6304,739
The Weir Group206,6424,718
Oppenheimer Holdings Inc.83,6504,713
Paycom Software68,7784,705
NICE-Systems Limited59,7344,702
VALVOLINE INC197,3424,681
CITIZENS FINANCIAL GROUP INC/RI130,2284,647
Amphenol Corporation62,8014,636
Illumina26,6194,619
Dassault Aviation50,1974,610
AcuityAds Hldgs Inc.22,4264,559
Jazz Pharmaceuticals plc40,7524,541
GWR Global Water Resources Corp.66,3894,540
FelCor Lodging Trust Incorporated629,7294,540
Vectren Corporation77,6344,537
Hexcel Corporation85,8644,533
Blackrock Global340,8874,517
Fortinet120,3474,506
Whiting Petroleum Corporation910,6684,492
Columbia Banking System112,6884,491
Summit Hotel Properties240,6924,489
Calamos Strategic Total Return Fund382,1794,487
American Airlines Group89,1224,485
FLIR Systems129,1714,477
Extreme Networks484,5824,468
Lennar Corporation83,7184,464
ENI S.p.A.148,2514,456
FIRST FIXTURES, INC.177,8064,443
M/A-COM Technology Solutions Holdings79,3214,424
Kimco Realty Corporation240,9374,421
WESCO International77,0624,416
Scientific Metals Corp.153,8184,413
Ballroom Dance Fitness Inc104,3674,405
ANSYS36,1604,400
Helmerich & Payne80,7414,388
PulteGroup178,2954,374
UAN Power Corp.199,4504,340
Essex Property Trust16,8184,327
The AES Corporation389,0314,322
Apache Corporation90,1484,321
Infineon Technologies AG 25,0114,305
SRC Energy639,3804,303
Gabelli Dividend197,1364,302
ONEOK82,3254,294
Pitney Bowes Inc284,2184,292
Texas Roadhouse84,1664,288
BlackRock Science & Technology Trust192,9204,285
Microsemi Corporation91,4704,281
HFF122,8564,272
KapStone Paper and Packaging Corporation206,0704,251
iShares S&P India Nifty 50 Index Fund126,1444,240
Lamar Advertising Company57,5724,236
Cincinnati Financial Corporation57,7944,187
Argo Group International Holdings68,9864,181
Summit Materials144,7744,180
Advent Claymore Convertible Securities and Income Fund II258,0354,167
Ishares III Plc82,8394,163
Domtar Corporation108,3194,162
Hologic91,4814,151
UNITED INSURANCE HOLDINGS CORP.263,5534,146
Dril-Quip84,3064,114
China Mobile (Hong Kong) Ltd.77,3594,107
Alcentra Capital Corp301,5774,098
Advanced Micro Devices327,6734,089
CASEY CONTAINER CORP38,1534,087
Gartner32,9444,069
Telefonica SA389,1124,043
Mettler-Toledo International6,8664,041
China Telecom Corp Ltd84,1134,032
ServiceNow37,9824,026
Oshkosh Truck Corporation58,3634,020
Greif Bros. Corporation66,9944,008
Capital Product Partners L.P.1,174,9333,995
Cadence Design Systems119,2663,994
Turkcell Iletisim Hizmetleri AS487,0323,994
Nuveen Municipal High Income Opportunity Fund400,7283,991
Nuveen California Dividend Advantage Municipal Fund 3241,3463,987
Synovus Financial Corp.90,0373,983
EastGroup Properties47,4453,976
Moody's Corporation32,5463,960
Tyson Foods, Inc.63,1853,957
AMP Ltd.31,0313,950
Inmarsat Plc.23,7353,946
Victory Square Technologies Inc93,3983,939
Nuveen Credit Strategies Income Fund455,9333,926
Curtiss-Wright Corporation42,7033,919
Humet-PBC North America, Inc.16,2003,898
ImmunoGen547,9173,896
Dave & Buster's Entertainment58,4313,886
Texas Capital Bancshares50,1533,882
FIRST TRUST MLP & ENERGY INCOME FUND224,9643,878
BT Group plc199,7603,877
MSA Safety47,6573,868
Casella Waste Systems234,3463,846
Leucadia National Corporation146,8763,842
iShares MSCI86,5693,837
Forum Energy Technologies244,9023,820
Performance Food Group139,4103,820
Acadia Healthcare Company77,2993,817
CNP Assurances SA139,3653,816
FSA Group Ltd.84,8953,812
Companhia de Bebidas das Americas - AmBev693,0193,805
Nuveen Core Equity Alpha Fund258,7783,794
Wisdom International Corp.58,6113,782
Eaton Vance Tax-Advantaged Global Dividend Income Fund154,2523,761
Manhattan Associates78,2233,759
Arista Networks, Inc.25,0803,757
Planet Fitness160,9353,756
Stamps.com Inc.39,5873,755
United Resource Holdings Group, Inc.33,2823,751
Methanex Corporation84,6693,730
Symantec Corporation131,7583,722
CH Energy Group80,4253,720
The Middleby Corporation30,5993,718
Prudential Short Duration High Yield Fund243,0173,711
Banco Santander554,4843,709
Diamond Offshore Drilling341,9863,704
Franco Nev Corp51,2143,696
MSCI Inc63,6943,684
CommScope Holding Company, Inc.96,8713,684
TRI Pointe Homes278,2843,671
Liberty Broadband Corp42,7863,671
RingCentral100,2833,665
Valeant Pharmaceuticals International211,1773,653
John Hancock Preferred Income Fund100,5373,622
BOK Financial Corporation43,0013,618
Tyler Technologies20,5413,608
Tortoise Energy Infrastructure Corporation118,6443,606
Tenneco Automotive62,2153,598
Catalent, Inc.102,0793,583
JetBlue Airways Corporation156,5883,575
VANJIA CORP25,1713,574
Chemical Financial Corporation73,7543,570
LPBP Inc191,7923,567
Ollie83,1323,541
IPG Photonics Corporation24,3753,537
Everest Re Group13,8943,537
Gabelli Multi-Media Trust Inc. (The)326,0023,537
VGambling Inc.27,4803,529
Oil Optimization, Inc.141,8893,517
Cemex S.A.B. de C.V.373,3913,517
WageWorks52,2583,512
CSRA Inc.110,5053,509
Forest City Realty Trust, Inc.145,0653,506
iShares II plc.26,9643,506
Patterson Companies74,6093,503
Noble Energy Inc.123,7023,501
Liberty Media Corporation95,2483,488
Blackrock Enhanced Government Fund234,1213,486
IMPINJ INC71,5853,483
New York Community Bancorp223,6303,480
iShares MSCI ACWI Index Fund53,0503,474
CM Finance Inc346,1963,462
MSC Industrial Direct Company40,1733,453
Blackrock Debt Strategies Fund297,9503,438
Wachovia Corporation2,6193,434
Armstrong Flooring, Inc.133,6203,428
Pimco Corporate & Income Stategy Fund33,7003,416
Synaptics Incorporated65,7043,398
Universal Display Corp30,9963,386
PIMCO Dynamic Income Fund146,8643,364
iHeartMedia21,6723,362
Miller/Howard High Income Equity Fund249,6683,361
Blackstone / GSO Strategic Credit Fund106,2573,358
The RMR Group103,9703,348
Extra Space Storage Inc42,8613,343
FNB United Corp.236,1103,343
Seeing Machines Ltd.74,6573,342
Washington Trust Bancorp64,8103,341
United States Steel Corporation150,4533,331
Range Energy Resources, Inc.143,5093,325
Global Technlogies Corp.153,2513,322
C.R. Bard10,4663,309
ABM Industries Incorporated79,4333,298
Bazaarvoice665,7153,295
Surgery Partners, Inc.144,4213,286
John Hancock Preferred Income Fund III103,6343,277
EXACT Sciences Corporation92,0723,257
NuVasive41,9633,228
Canadian Natural Resources Limited111,8433,228
Cheniere Energy66,1613,223
QTS Realty Trust, Inc.61,2983,208
Enersys44,1663,200
Atmos Energy Corporation38,5473,198
Helen of Troy Limited33,9533,195
Gaming Partners International Corporation84,7923,194
HealthSonix, Inc.65,9923,194
Marvell Technology Group Ltd.192,9903,188
NN115,9323,182
Power Integrations43,4933,171
Cohn & Steers Inc151,8413,155
Patterson-UTI Energy156,1293,152
F5 Networks24,7483,144
Deutsche Euroshop AG50,0823,143
Enbridge Energy196,4453,143
Magna International67,8253,142
Urban Outfitters168,8203,130
Hopefluent Group Holdings Ltd167,7703,129
Dick's Sporting Goods Inc78,4963,126
Triangle Capital Corporation176,9573,118
E*TRADE Financial Corporation81,8673,113
Takeuchi Manufacturing Co., Ltd.42,3483,107
Nearmap Ltd.61,8023,107
QEP Resources306,7503,098
Frontier Communications Corporation2,661,5043,087
Live Nation Entertainment88,5103,085
Blackrock Corporate High Yield Fund134,1833,074
Hancock Holding Company76,7833,071
American Assets Trust77,8923,068
Diebold109,3013,060
PBF Energy137,2023,054
Invesco Van Kampen Senior Income Trust254,2183,053
LKQ Corporation92,5003,048
Orbital Corporation Limited30,9843,048
Chimera Investment Corporation163,4193,045
Aerie Pharmaceuticals Inc.57,8413,040
Darden Restaurants33,5023,030
Gildan Activewear98,4923,027
Western Asset Managed Municipals Fund194,5093,027
Principal Real Estate Income Fund60,4373,026
Gardner Denver139,7813,021
Balchem Corporation38,7933,015
James River Group Holdings, Ltd.75,7593,010
Santeon Group Inc94,2653,009
MercadoLibre11,9903,008
First Trust NASDAQ-100-Technology Sector Index Fund110,7232,994
Horizon Pharma252,1152,993
Eaton Vance Municipal Income Term Trust235,5712,989
Invesco Quality Municipal Income Trust234,6432,989
Kayne Anderson MLP Investment Company158,2832,984
Heska Corporation29,2362,984
First Priority Tax Solutions Inc.163,7732,981
Keysight Technologies, Inc.76,2912,970
Westinghouse Air Brake Technologies Corporation32,4292,967
Guggenheim Build America Bonds Managed Duration Trust130,0842,959
America First Mortgage Investments497,1912,958
Mobile Mini98,8112,950
Allegion PLC 36,2982,945
Bank of Nova Scotia (The)48,8192,939
Therapy Cells, Inc.76,9832,919
Scudder High Income Trust67,6262,910
Nuvo Research Inc194,9782,909
Sirius XM Radio Inc.657,3142,902
GAMCO Global Gold526,1652,899
iShares S&P Global Clean Energy Index Fund22,0232,883
Potomac Bancshares, Inc.176,5162,877
PLAINS GP HOLDINGS LP109,6542,869
Integrated Research Ltd.52,5922,867
HEALTHEQUITY INC57,4662,864
XL Group plc65,2232,857
Dynagas LNG Partners186,6352,854
Dover Corporation35,5632,853
Knowledge Machine International, Inc.93,2012,845
Nuveen Build America Bond Opportunity Fund135,5092,844
Craft Brew Alliance168,5202,840
Washington Prime Group Inc.335,1022,805
Schnitzer Steel Industries111,2102,802
Compass Biotechnologies Inc.159,1702,778
BankUnited82,4202,778
WPX Energy287,2042,774
India Fund102,7482,770
Bridge Bancorp83,0812,767
Xylem Inc.49,5622,747
Vulcan Materials Company21,6702,746
EQT Midstream Partners36,7082,740
Wendy's Company (The)176,0142,730
Lithia Motors28,9042,724
Quanta Services96,4892,724
MiMedx Group, Inc.243,0082,721
Agnico Eagle Mines60,1902,716
CU Bancorp75,1002,715
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal43,1972,711
Ritchie Bros. Auctioneers Incorporated93,9892,701
Dorman Products32,6142,699
Nuveen Ohio Quality Income Municipal Fund179,6922,695
Axalta Coating Systems Ltd.84,0902,694
Rexnord Corporation115,7392,691
Consolidated Plen Tech Electronics, Inc.179,8922,687
Valley National Bancorp227,3022,684
Eaton Vance Municipal Income Trust133,2972,677
eUnits 2 Year U.S. Market Participation Trust62,6722,674
Bruker Corporation92,5042,668
LIBERTY SILVER CORP123,7192,649
South State30,8782,646
Incyte Corporation20,9882,643
StoneMor Partners L.P.279,5832,642
Renasant Corporation60,2042,633
Wells Fargo Advantage Multi-Sector Income Fund196,4812,623
CRH PLC73,5612,609
Black Hills Corporation38,6622,608
NEVRO CORP34,9762,603
Calamos Global Dynamic Income Fund304,6742,599
Southern First Bancshares69,9642,592
Etfs Commodity Securities Ltd.136,4482,590
Archrock Partners173,6032,588
DoubleLine Income Solutions Fund124,7162,575
VOYA Financial Inc69,6372,569
T-Mobile US Inc42,2902,564
iShares23,1082,558
ISC8 Inc.23,3082,549
Blackrock MuniAssets Fund169,8792,543
Total Telcom, Inc.271,7822,538
CareTrust REIT, Inc.136,5392,531
Mednax41,9052,530
Zebra Technologies Corporation25,1542,528
Sonoco Products Company48,9892,519
Brookfield Real Estate Services80,4802,516
FireEye Inc164,9332,509
CoStar Group9,4452,490
American Campus Communities Inc52,5462,485
CyberArk Software49,7142,483
Nektar Therapeutics126,9502,482
Quaker Chemical Corporation17,0802,481
NewStar Financial89,0362,481
Nuveen Arizona Premium Income Municipal Fund175,8922,478
Agree Realty Corporation53,8782,471
INC Research Holdings, Inc.42,2212,470
Nuveen Energy MLP Total Return Fund186,2222,460
Intersect ENT, Inc.87,7572,453
Davis & Henderson In113,2072,446
MLP AG47,6972,436
Kayne Anderson Energy Total Return Fund218,8322,433
Mdu Res Group Inc92,8422,432
BancorpSouth79,6982,431
Flexion Therapeutics120,2452,431
Canadian Imperial Bank of Commerce29,8852,429
Orix Corp Ads31,0622,421
Crimson Exploration Inc.27,1092,411
Ellies Holdings Limited21,8702,404
Invesco Plc68,2912,403
Whole Foods Market56,9372,398
Prestige Brand Holdings45,3832,397
Gabelli Global Small & Mid Cap Value Trust193,8572,396
Evolva Holding AG109,3472,393
ICICI Bank Limited265,8182,384
Liberty Media Corporation68,0102,382
The Graystone Company, Inc.19,3792,381
Easterly Government Properties, Inc.113,3152,374
PUBLIC SERVICE CO OF COLORADO61,7512,362
Franklin Templeton Limited Duration Income Trust199,4722,360
Proofpoint27,1592,358
Banco Bradesco Sa109,4952,354
Colfax Corporation59,7162,351
Biglari Holdings Inc.5,8792,350
Campbell Soup Company44,9042,342
CrossAmerica Partners91,7602,340
AutoZone4,0812,328
Nuveen Arizona Dividend Advantage Municipal Fund167,6312,322
PolyOne Corporation59,9042,321
Cogent Communications Group57,8522,320
Mobileye36,7482,308
AMN Healthcare Services Inc59,0072,304
Bright Horizons Family Solutions Inc29,8202,302
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp241,5642,300
China Internet Cafe Holdings Group, Inc.47,8622,293
KBW Inc26,0412,293
Gamestop Corporation106,0722,292
BofI Holding115,4802,289
First Trust Exchange-Traded Fund II First Trust ISE Global Pla118,4612,285
Square97,1962,280
Axon Enterprise90,6332,279
Kilroy Realty Corporation30,2852,276
Trex Company33,5922,273
Steven Madden56,7112,266
ClearBridge Energy MLP Fund Inc.147,9442,258
Columbia Pipeline86,2552,253
Booz Allen Hamilton Holding Corporation69,1682,251
IBERIABANK Corporation27,5682,247
Cubic Corporation48,4982,245
Unity Energy Corp.119,6802,242
Varonis60,2492,241
JPMorgan Chase Bank NA39,8682,239
Qualys54,7222,233
Jernigan Capital, Inc.101,3512,230
BlackRock Energy and Resources Trust170,9892,223
Baker Hughes Incorporated40,6612,217
ProAssurance Corporation36,3452,210
KNOT Offshore Partners LP96,1772,207
Korn/Ferry International63,7822,202
Macy's Inc94,5222,197
Pearson244,5942,194
Aceto Corporation141,8852,192
Evolution Petroleum Corporation269,7872,185
Antero Midstream GP LP65,8322,184
Rite Aid Corporation739,5702,182
Tallgrass Energy85,7922,182
Cal-Maine Foods55,0872,181
RLI Corp.39,8582,177
Callon Petroleum Company204,9602,175
CalAtlantic Group, Inc.61,4652,173
Mellanox Technologies50,1602,172
Sturm34,9152,172
Tahoe Resources251,8042,171
Bigsupersearch.com, Inc.44,8532,166
PowerShares NASDAQ Internet Portfolio20,8332,149
Tekla World Healthcare Fund141,7412,142
Blackbaud24,9732,141
Alarm.com Holdings, Inc.56,8982,141
Deutsche Bank AG117,9142,131
GGX Gold Corp.164,8782,129
Opko Health Inc323,0062,125
Qorvo33,5512,124
GMS Inc75,3152,116
MaxLinear75,7822,114
Ferrum Americas Mining, Inc.72,1912,105
Restaurant Brands International Inc.33,6422,104
Anixter International Inc.26,8152,097
AMERISAFE36,8022,096
Aareal Bank AG64,1222,094
Cerus Corporation833,4342,092
Gimv Nv Act.310,8362,089
Sunoco68,2112,088
Amcol International Corporation91,7952,088
Integrated Drilling Equipment Holdings Corp.80,9072,087
Transcanada Pipelines43,6492,081
Teladoc, Inc.59,6172,069
Pacific Premier Bancorp Inc55,9592,065
Tableau Software33,5002,053
Adecoagro S.A.205,1852,050
Globus Medical61,8282,050
Veeva Systems44,7052,046
Bankshares Fayetteville Inc.1,6202,044
Spectrum Brands Holdings16,3132,040
Olin Corporation67,3092,038
TDC A/S69,0652,037
Putnam Premier Income Trust374,8342,035
Tempur-pedic International Inc38,0842,033
Semgroup Corporation75,2492,032
MUELLER WATER PRODUCTS173,9242,031
Ellsworth Convertible Growth and Income Fund221,7112,031
Nuveen Floating Rate Income Fund171,3322,030
Transdigm Group Incorporated7,5052,018
Logitech International S.A.54,8632,018
Evermedia Group, Inc. (The)122,1892,004
3D Systems Corporation106,9872,001
iShares II plc.56,3161,999
SPS Commerce31,2881,995
Nuveen Quality Preferred Income Fund 2194,7451,992
AGIC Equity & Convertible Income Fund100,3001,981
Wildhorse Energy Limited160,0811,980
Hyatt Hotels Corporation35,1361,975
Vantage Goldfields Ltd,112,8811,972
Valmont Industries13,1551,968
SkyWest55,9381,963
Evercore Partners Inc27,7681,958
NiSource76,9781,952
Royal Boskalis Westminster NV24,9111,947
BHP Billiton plc62,9851,937
American States Water Company40,6911,929
Zions Bancorporation43,9111,928
TCP Capital Corp.113,9831,926
Western Asset High Income Opportunity Fund378,9211,921
Therapeutics MD Inc363,9141,918
Snap Inc138,8221,911
Hersha Hospitality Trust103,2421,911
Boardwalk Pipeline Partners L.P.105,6931,904
M&T Bank Corporation11,7461,902
Discovery Communications75,3991,901
Socket Mobile, Inc.57,5671,901
CBRE Group52,1401,898
Golden Valley Bank (Chico, CA)91,4261,893
Bio-Rad Laboratories8,3451,889
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal98,6221,884
El Paso Electric Company36,3771,881
Lumentum32,9241,878
Omnicell43,3931,870
Ingevity Corp32,4271,861
American Equity Investment Life Holding Company70,7651,860
Nemaura Medical Inc.56,9861,846
SSTL, Inc.48,0371,845
Triumph Ventures Corp58,2461,841
Cheniere Energy Partners LP Holdings, LLC56,5131,831
ABIOMED12,7711,830
Alexandria Real Estate Equities15,1881,830
Sun Communities20,8131,825
THL Credit Senior Loan Fund102,8131,823
Dell Technologies Inc.29,8211,822
Sage Therapeutics, Inc.22,7981,816
U.S. Stem Cell, Inc.31,0121,813
Allison Transmission Holdings48,2881,811
Eaton Vance Enhance Equity Income Fund121,3431,809
Royce Micro-Cap Trust208,6071,804
Exchange Bank (Santa Rosa, CA)56,8721,803
Harley-Davidson72,0831,796
Hannon Armstrong Sustainable Infrastructure Capital, Inc.78,3751,792
Dunkin' Brands Group32,4571,789
Ferro Corporation97,2611,779
Monroe Capital116,7591,778
Calamos Convertible and High Income Fund149,9961,776
Nuveen Intermediate Duration Quality Municipal Term Fund132,7061,770
PAREXEL International Corporation20,3441,768
Jefferies Group1,754,0001,761
US-Dadi Fertilizer Ind International Inc.30,4621,760
Western Asset Mortgage Capital Corporation115,1071,759
Invesco Municipal Premium Income Trust134,2111,757
Eaton Vance Tax-Advantaged Bond154,3501,757
EMCOR Group26,7421,748
DoubleLine Opportunistic Credit Fund69,1841,746
Chesapeake Energy Corp.351,0361,745
Apollo Global Management65,9631,745
Comerica Incorporated23,8011,743
Consolidated Communications Holdings81,1821,743
Deutsche Telekom63,6771,743
Advanced Disposal Services, Inc.76,6511,742
Blackrock Corporate High Yield Fund V Inc158,3041,735
Central Europe and Russia Fund55,1441,735
Continental Resources53,5851,732
Ramco-Gershenson Properties Trust134,1641,731
AvalonBay Communities8,9891,727
VALE S.A.196,9951,724
BlackRock Credit Allocation Income Trust I127,6741,717
Brocade Communications Systems136,1501,717
J.B. Hunt Transport Services18,7761,716
Aramark41,8511,715
Ambarella35,2951,714
Lexington Realty Trust172,8261,713
Blackhawk Bancorp, Inc.39,2491,711
Elbit Systems Ltd.13,8561,709
BGS Acquisition Corp.22,9001,708
Ally Financial Inc81,5271,704
Goldman Sachs MLP Income Opportunities Fund211,4631,704
BlackRock Utility and Infrastructure Trust82,7851,701
Sprott Resource212,6011,697
Eaton Vance Limited Duration Income Fund120,2781,696
Beacon Roofing Supply34,5911,695
Phillips 66 Partners34,2981,695
Hospitality Properites Trust58,0601,692
Verint Systems Inc.41,5541,691
ING Emerging Markets High Dividend Equity Fund192,3531,689
First Trust68,0961,689
Lannett Co Inc82,7021,687
Merit Medical Systems44,1951,686
LTC Properties32,7831,685
JPMorgan Chase Bank NA32,1321,681
Service Corporation International50,0341,674
Copa Holdings14,2941,672
Vistra Energy Corp.99,2891,667
EMERGING CTA PORTFOLIO LP36,4471,667
ADAMANT DRI PROCESSING & MINERALS GROUP89,0681,666
Commonwealth Business Bank (Los Angeles, CA)13,8801,665
Matica Enterprises Inc121,2111,665
All Marketing Solutions Inc.28,0041,661
Fiduciary/Claymore MLP Opportunity Fund118,1371,657
Cracker Barrel Old Country Store9,8761,652
Dermira, Inc.56,7001,652
Pan American Silver Corp.98,1791,651
Reliance Infrastructure Ltd.22,6061,646
Maiden Holdings148,0441,643
theScore Inc.48,4061,643
Universal Electronics Inc.24,5461,641
Arconic99,5861,636
BlackRock Multi-Sector Income Trust90,1091,634
American Woodmark Corporation17,0951,633
Huntington Bancshares Incorporated1,1091,629
Manulife Financial Corp86,8121,628
WisdomTree Investments160,1101,628
Clough Global Equity Fund125,4051,624
Paramount Group, Inc.101,5041,624
Columbia Seligman Premium Technology Growth Fund75,3781,622
Prudential Global Short Duration High Yield Fund, Inc.109,1261,622
Infinera Corporation151,8211,620
BlackRock Municipal Target Term Trust Inc. (The)69,9491,619
Invesco Van Kampen Trust for Investment Grade Municipals131,0451,618
Penske Automotive Group36,7501,614
Chatham Lodging Trust (REIT)80,3161,614
Applied Industrial Technologies27,3311,614
Tortoise Pipeline & Energy Fund82,5821,605
Eaton Vance Enhanced Equity Income Fund II117,2171,604
Nuveen Preferred and Income Term Fund65,1721,603
Access National Corporation60,3551,601
WellCare Helath Plans8,9091,600
Skechers U.S.A.53,9691,592
Wolverine World Wide56,7271,589
Cott Corporation110,0241,589
Imerjn Inc.31,1471,587
CBIZ80,4521,587
NutriSystem Inc30,3521,580
Dime Community Bancshares80,3251,574
Madison Ventures Inc.7,9851,572
Dupont Fabros Technology25,6821,571
Alpine Global Premier Properties Fund247,6561,570
First Majestic Silver Corp.188,8161,569
Platform Specialty Products123,5251,566
Teekay Offshore Partners L.P.544,0641,561
International Spirit & Beverage Group, Inc. 35,0671,560
Ryder System21,6151,556
Newmont Mining Corporation1,553,0001,552
Playa Hotels & Resorts N.V.129,4921,547
VeriSign16,6321,546
Advent Claymore Convertible Securities and Income Fund176,6441,546
Tortoise MLP Fund79,9641,542
RPM International Inc.1,305,0001,540
Liberty Global49,3021,537
Amplify Energy Corp.43,4551,537
POWERSHARES DB US DOLLAR INDEX BEARISH FUND106,0781,533
Stifel Financial Corporation33,2611,529
Fortune Brands Home & Security23,4281,528
Western Asset Bond Fund138,2831,524
Golub Capital BDC79,5851,522
iShares17,1111,522
Neuberger Berman Real Estate Securities Income Fund280,5341,515
Nuveen Global Government Enhanced Income Fund115,2051,510
Capstead Mortgage Corporation143,9511,501
BioTelemetry, Inc.44,7441,497
Regal Beloit Corporation18,3411,496
Ares Capital Corporation1,450,0001,493
South Jersey Industries43,4321,484
Reaves Utility Income Fund42,9591,475
Semtech Corporation41,1151,470
NextEra Energy Partners39,3731,456
Navios Maritime Acquisition Corporation986,7811,451
Superior Energy Services139,0291,450
Exponent24,8281,447
United Fire Group32,8001,445
Mazor Robotics41,7971,445
Southwest Iowa Renewable Energy, LLC235,7321,433
Pitooey!, Inc.35,5761,431
Blackrock Muni Intermediate Duration Fund Inc101,6741,427
Tiffany & Co.15,2011,427
Camden National Corporation33,1581,423
Pinnacle Bank71,9841,422
Hudson Pacific Properties41,5541,421
Clipper Realty Inc.115,1741,421
Alkermes plc24,4211,416
Morgan Stanley China A Share Fund Inc.63,2711,415
Advent/Claymore Enhanced Growth & Income Fund226,9651,414
Western Asset Municipal Partners Fund63,8091,413
Eaton Vance Tax-Managed Global Diversified Equity Income Fund91,8531,401
SM Energy Company84,5581,398
Texas Pacific Land Trust4,7571,398
Praxsyn Corporation36,7921,394
Steelcase Inc.99,4951,393
Barclays PLC52,3901,393
Corporate Office Properties Trust39,7301,392
Highlands Bankshares, Inc.75,3851,386
PowerShares Global Steel Portfolio91,3601,380
Park National Corporation13,3041,380
U.S. Silica Holdings38,8691,379
M.D.C. Holdings38,9961,378
Webster Ltd.26,1841,367
WebMD Health Corp23,3151,367
HSBC Holdings plc51,7211,365
Invitation Homes Inc.62,7361,357
Blackrock MuniYield New Jersey Quality Fund87,8791,355
Carrizo Oil & Gas77,5241,350
PIMCO Commercial Mortgage Securities Trust25,8731,350
Oceaneering International59,0381,348
Stepan Company15,4321,345
ClubCorp Holdings, Inc.102,6711,345
Virtus Total Return Fund109,4521,340
Dreyfus Strategic Municipals149,9281,336
SPX36,2101,335
AllianzGI Diversified Income & Convertible Fund63,6011,333
Home Retail Group plc39,1981,330
Yandex N.V.50,5011,325
CDK Global, Inc.21,3341,324
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol56,5861,324
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd132,9351,308
TESARO9,3331,305
Blue Wolf Mongolia Holdings Corp.57,0751,302
ORBCOMM Inc.115,1431,301
Kite Pharma, Inc.12,5341,299
BLACKROCK LTD DURATION INCOME TRUST82,2581,298
Plumas Bancorp60,9621,298
Western Refining50,5281,296
eWELLNESS HEALTHCARE Corp18,9331,293
Indianapolis Power & Light Co.40,0471,286
Commercehub Inc73,1521,274
Aeolus Pharmaceuticals, Inc.105,6991,274
Penn National Gaming59,4451,272
Prospect Capital Corporation156,4921,271
ViewRay, Inc.195,3501,264
iRobot Corporation14,9951,262
National Instruments Corporation31,2471,257
Community Bank System22,4691,253
Mack-Cali Realty Corporation46,1831,253
Titan International103,9631,249
Realogy Holdings38,4421,247
Western Alliance Bancorporation25,3351,246
Jones Lang LaSalle Incorporated9,9001,238
Cohen & Steers MLP Income & Energy Opportunity Fund113,9291,237
Banco de Guayaquil SA111,7921,235
Meta Financial Group13,8631,234
Atlas Air Worldwide Holdings23,6211,232
Sanmina-SCI Corporation32,3351,232
BlackRock Resources153,8381,232
SunOpta120,7691,232
Eaton Vance Corporation26,0311,232
GrubHub28,2171,230
Nuveen Michigan Dividend Advantage Municipal Fund47,9311,228
Nuveen New Jersey Dividend Advantage Municipal Fund92,0881,228
Western Asset Managed High Income Fund78,6881,225
Eagle Energy Trust13,2091,221
Yelp Inc.40,6151,219
POSCO19,4401,217
Cavco Industries9,3751,215
Zayo Group Holdings, Inc.39,1331,209
Orange SA75,5471,207
Acushnet Holdings Corp.60,5441,201
TEGNA83,2601,200
Blackrock Floating Rate Income Strategies Fund Inc85,1721,199
Schneider National, Inc.53,6201,199
Alere Inc.23,8401,197
Benchmark Electronics37,0651,197
Omeros Corporation100,2401,197
Two Harbors Investments Corp120,5741,195
EDGEWELL PERSONAL CARE Co15,7231,195
STMicroelectronics N.V.83,0151,194
United Dominion Realty Trust30,6461,194
National Retail Properties30,4861,192
Bioheart, Inc.10,1421,192
Armada Hoffler Properties, Inc.91,9541,191
Evolution Technology Resources Inc.69,7801,191
Dreyfus Municipal Bond Infrastructure Fund, Inc.139,9261,191
Asbury Automotive Group Inc21,0091,188
Teva Pharmaceutical Industries Limited1,108,0001,188
CSI Compressco244,2401,185
Pacira Pharmaceuticals24,8451,185
Sterling Bancorp50,9251,184
Caesars Entertainment Corporation98,5151,182
Acorda Therapeutics59,9431,181
UAN Cultural & Creative Co., Ltd.24,3691,180
ANTERO RESOURCES Corp54,4431,177
Otonomy, Inc.62,3391,175
Gladstone Capital Corporation118,9911,170
Nustar Energy L.P.25,0261,167
Suburban Propane Partners48,9831,165
Alpine Global Dynamic Dividend Fund113,9021,165
Iren SPA8,0391,163
Staples115,2821,161
Owens-Illinois48,5301,161
NexPoint Residential Trust, Inc.46,6161,160
Western Asset Mortgage Defined Opportunity Fund Inc84,0091,159
Schawk34,0401,151
Avenue Income Credit Strategies Fund82,7231,151
Noble Corporation317,9761,151
RIVERNORTH OPPORTUNITIES FUND, INC.57,5371,149
NetScout Systems33,3661,148
Primoris Services Corporation45,9621,146
Blackrock MuniEnhanced Fund95,9901,144
Neuberger Berman Intermediate Municipal Fund Inc.75,0341,142
Williams-Sonoma23,5361,142
iShares S&P Global Timber &Forestry Index Fund18,6021,140
Gabelli Equity Trust184,1301,138
Voya SENIOR INCOME FUND190,9031,136
Medidata Solutions14,5191,135
Houston Wire & Cable Company218,0021,134
Imperva23,6791,133
YRC Worldwide101,7761,132
lululemon athletica inc.18,9241,129
WD-40 Company10,2121,127
Federal Realty Investment Trust8,8791,122
Stellus Capital Investment81,7831,121
Nuveen Municipal Value Fund83,5561,121
Syntel66,0971,121
Kennametal Inc.29,9581,121
Invesco Van Kampen High Income Corporate Bond Fund245,8541,121
Fidelity National Financial70,8391,119
First American Minnesota Municipal Income Fund II25,0251,118
Royal Alliance Ventures Corp.43,1191,116
China Fund59,4741,111
Buffalo Wild Wings8,7451,108
Outfront Media47,9251,108
Welbilt58,7441,107
Stag Industrial40,0201,105
THL Credit110,8921,103
Athene Holding Ltd22,2141,102
VWR Funding, Inc.33,3511,101
PDC Energy25,5401,101
Western Lucrative Enterprises, Inc.148,9241,098
DTE Energy Company20,0001,097
Mallinckrodt Plc24,4621,096
Black Stallion Oil & Gas Inc.69,2901,092
SeaWorld Entertainment Inc.66,1641,076
Pioneer Municipal High Income Advantage Trust91,4861,070
Sprott Resource Lending Corp.168,8091,065
NGL ENERGY PARTNERS LP75,8941,063
Putnam Managed Municipal Income Trust141,2421,061
Nuveen Diversified Dividend and Income Fund83,4461,061
Rayonier Inc. REIT36,8341,060
Anthem191,2611,059
Imax Corporation48,1561,059
CubeSmart43,8011,053
Ligand Pharmaceuticals Incorporated8,6641,052
Gentherm Inc27,0551,050
PRA Health Sciences, Inc.13,9791,049
Match Group, Inc.60,2571,047
Silicon Motion Technology Corporation21,6011,042
Neuberger Berman High Yield Strategies Fund87,4431,040
Corcept Therapeutics Incorporated88,0281,039
TPG Specialty Lending, Inc.50,6091,035
Hess Midstream Partners LP23,5761,034
United States Oil Fund, LP141,3531,030
MGIC Investment Corporation91,8611,029
Acacia Communications, Inc.24,8181,029
Ingles Markets30,7371,024
AGIC Convertible & Income Fund II164,2011,021
Chemed Corp.4,9921,021
MFS Multimarket Income Trust163,9641,017
Reading International Inc62,9331,015
Western Asset Global Partners Income Fund56,8751,013
Telecom Italia S.P.A.108,3871,013
Empire Resorts42,3251,012
Nuveen California Investment Quality Municipal Fund64,9191,011
Terreno Realty Corporation29,9321,008
Blackrock MuniYield Michigan Quality Fund70,0891,002
The Cushing Royalty & Income Fund57,3131,002
Ares Dynamic Credit Allocation Fund, Inc.61,2091,001
Summit Midstream Partners44,1471,000
Blackrock Municipal 2018 Term Trust66,260996
YPF Sociedad Anonima45,450994
Nuveen Pennsylvania Investment Quality Municipal Fund73,825988
Atlassian Corporation28,027986
Alliance Capital Management Holding L.P.41,710986
Grand Canyon Education12,558985
USA Compression Partners, LP 60,077983
Nuveen Global High Income Fund58,144981
TC PipeLines17,840981
Gentex Corporation51,616979
R.G. Barry Corporation77,673974
Vanc Pharmaceuticals, Inc.75,813973
Jacobs Engineering Group Inc.17,893973
Kulicke and Soffa Industries50,949969
Blackrock MuniYield Quality Fund63,150969
Cresud S.A.C.I.F. y A.50,047968
ETFS Gold Trust8,037968
Liberty Expedia Holdings, Inc.32,304966
John Bean Technologies Corporation9,850965
Lamb Weston Holdings, Inc.21,827961
Carlisle Companies Incorporated10,061960
Carmax Mining Corp.15,200959
Invesco Van Kampen Bond Fund48,915956
Eaton Vance Risk-Managed Diversified Equity Income Fund101,876955
Apple Green Holding, Inc.51,059955
Brown Forman Corporation19,170945
United Bankshares24,038942
Ormat Technologies16,045942
BlackRock Virginia Municipal Bond Trust67,058941
Carrols Restaurant Group76,616939
NRG Yield53,198936
Abercrombie & Fitch Company75,172935
Towne Bank30,318934
MFS Charter Income Trust107,884932
New Mountain Finance Corporation63,880929
Teck Resources Ltd53,594929
Upland Software, Inc.42,177927
Bloomin' Brands43,597926
ProPetro Holding Corp.66,294925
Blackrock Diversified Income Strategies Fund13,632924
ALLIANCEBERNSTEIN L.P.71,439924
Level 3 Communications15,552922
Nuveen Minnesota Municipal Income Fund36,300922
Monro Muffler Brake22,067921
Viper Energy Partners LP58,320916
DCP Holding CO27,034915
First National Bankshares Corp.20,728913
Deutsche Bank AG (London Branch)67,635913
Seadrill Partners, LLC267,504910
Blucora42,791907
PIMCO Income Strategy Fund II86,816906
ProSiebenSat.1 Media SE33,000904
KLX Inc.18,056903
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF9,675903
BJ's Restaurants24,155900
Lifestyle Medical Network Inc.12,099897
Michaels Stores Inc48,411897
Hill-Rom Holdings Inc11,203892
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund19,652889
Bank of Hawaii Corporation10,680886
Turning Point Brands, Inc.57,755886
Tabula Rasa HealthCare, Inc.58,750884
ECA Marcellus Trust I100,341883
Heartland Express42,418883
Exchange Income Corporation25,670880
Martin Midstream Partners L.P.50,084879
WisdomTree Middle East Dividend Fund24,549879
VEREIT107,875878
Eaton Vance Corporation40,043877
Bank of Commerce Holdings (CA)79,084874
Farmland Partners Inc.97,744874
Nuveen High Income 2020 Target Term Fund86,328871
BroadSoft20,192869
Houghton Mifflin Harcourt Co70,494867
CBRE Clarion Global Real Estate Income Fund112,076865
Pembina Pipeline Corp.26,090864
Blackberry86,308862
ATRION Corporation1,330857
NxStage Medical34,140856
Cypress Semiconductor Corporation62,308851
Schiff Nutrition International30,333850
Columbia Sportswear Company14,643850
INTREXON CORP35,250849
Cato Corporation (The)48,218848
Kennedy-Wilson Holdings Inc.44,527848
InterXion Holding N.V.18,490846
Open Text Corporation26,793846
Cohen & Steers Total Return Realty Fund67,094844
Sensient Technologies Corporation10,449841
Nuveen California Dividend Advantage Municipal Fund71,944840
TG Therapeutics, Inc.83,508839
FRANKLIN FINANCIAL NETWORK INC.20,338839
Quotient Ltd113,872838
Duke Realty Corporation29,932837
Senior Housing Properties Trust40,835835
UMB Financial Corporation11,147834
First Midwest Bancorp35,719833
Crestwood Equity Partners LP35,318830
Cornerstone OnDemand23,173828
Federated Premier Intermediate Municipal Income Fund60,612828
Rent-A-Center Inc.124,160826
NFJ Dividend63,060825
Newtek Business Services Inc.50,662825
CENTER COAST MLP & INFRASTRUCTURE FUND75,194823
Japan Smaller Capitalization Fund Inc71,601822
Triton International Ltd24,509820
The Cheesecake Factory Incorporated16,241817
Blackrock MuniYield Fund54,413816
EnviroStar30,000812
U.S. NeuroSurgical, Inc.10,304809
Trade Desk, Inc.16,082806
International Frontier Resources Corp.44,064806
Ship Finance International Limited59,025803
RHB Capital12,415801
Selective Insurance Group15,951798
Red Rock Resorts, Inc.575,000794
Dycom Industries8,812789
Union Bankshares16,579788
Avista Corporation18,552788
Norbord25,247786
The Carlyle Group L.P.39,599782
Hancock Fabrics, Inc.35,721781
Guggenheim Credit Allocation Fund33,629780
Blackrock MuniHoldings Investment Quality Fund52,963779
Adventure Gold, Inc.12,018777
Zoeller Co.65,037775
EV Charging USA, Inc.52,755767
KTL Bamboo International Corp.45,811762
Nuveen Maryland Premium Income Municipal Fund58,448759
Federated Investors26,867759
Red Robin Gourmet Burgers11,609757
Cabot Oil & Gas Corporation30,141756
Calamos Convertible Opportunities and Income Fund66,977754
MFS Government Markets Income Trust135,098750
Genesco Inc.22,052748
New York Community Bancorp18,809747
Kimbell Royalty Partners, LP44,407747
Cohen & Steers Limited Duration Preferred and Income Fund27,949747
Seritage Growth Properties17,780746
Federated National Holding Company46,577745
PIMCO Income Strategy Fund62,641740
Oclaro79,020738
Nuveen Michigan Quality Income Municipal Fund53,887738
Valhi247,200737
Royal Bank Of Canada112,683736
Enviva Partners, LP26,722735
Bancroft Convertible Fund33,924735
Perrigo Company9,702733
VirnetX Holding Corp159,930728
AtriCure30,000728
Illumination Amer Inc700,000726
HUBSPOT INC11,045726
Veeco Instruments Inc.26,031725
Macquarie Global Infrastructure Total Return Fund Inc.28,997724
Westar Energy13,640723
Invesco Van Kampen Advantage Municipal Income Trust II62,609723
Entegra Financial Corp.31,644720
LIVEWIRE ERGOGENICS INC.29,723719
Home BancShares28,869719
Euronet Worldwide8,183715
Clovis Oncology7,581710
Neuberger Berman California Intermediate Municipal Fund Inc.73,787710
Iridium Communications Inc1,836709
LAUREATE EDUCATION, INC.40,311707
Great Lakes Dredge & Dock Corporation163,574703
Holly Energy Partners21,637703
8point3 Energy Partners LP46,408702
Blackrock MuniVest Fund II72,401701
GW Pharmaceuticals6,983700
Visteon Corp.6,836698
National Beverage Corp.7,436696
MarineMax35,390692
Alliance Resource Partners36,437689
AAON18,575685
Horizon Technology Finance Corporation47,474682
Builders FirstSource44,410680
Nuveen California Dividend Advantage Municipal Fund 244,945676
Cornerstone Strategic Value Fund42,287672
Nokia Corporation108,955671
Blackrock Corporate High Yield Fund III19,446667
Essent Group17,940666
Penumbra Inc7,566664
STORE CAPITAL Corp29,541663
Cotiviti Holdings, Inc.17,860663
Hilltop Holdings Inc.25,196660
Fair Isaac Corp4,734660
Xerox Corporation22,895658
Legg Mason BW Global Income Opportunities Fund Inc.49,548656
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.72,821655
BC Moly Ltd.5,713653
ZTO Express46,672652
Medpace Holdings, Inc.22,458651
Swift Transportation Company24,578651
Scholium Group PLC15,769650
CNH Global N.V.57,262649
HSN20,247646
Royal Bank Scotland Group Plc25,150637
Silver Spring Networks56,201634
Sprague Resources22,416632
A.H. Belo Corporation19,689630
Far Eastone Telecommunication Co., Ltd.47,832629
Dualex Energy International, Inc.12,478628
Almaden Minerals497,761627
KB Financial Group Inc12,389626
CIENA Corporation24,916623
Power Amers Minerals Corp.14,915623
Energy Revenue America, Inc.24,483622
American Potash Corp.5,118620
Invesco Value Municipal Income Trust40,809619
Murphy Oil Corporation24,128618
Water Technologies International,Inc.22,893617
Canon18,007613
Entegris27,888612
Managed Duration Investment Grade Municipal Fund33,207611
America Movil38,330610
Woodward9,018609
Hoegh LNG Partners LP31,800609
AquaVenture Holdings Ltd39,944608
Putnam Municipal Opportunities Trust48,449606
Subsea 7 SA ADR 5,720605
Berkshire Hills Bancorp17,169603
FNB Bancorp, Inc.21,912602
Quanta Computer, Inc.12,675601
Nuveen Tax-Advantaged Total Return Strategy Fund37,264600
WesBanco15,167600
CONE Midstream Partners LP31,651600
Momo16,158597
Universal Corp.9,212596
American Financial Group5,974594
Energizer Tennis Inc.12,338593
Peoples Bancorp of North Carolina18,478584
Brookfield Incorporacoes SA42,332582
GoPro, Inc.71,344580
Cambrex Corporation9,713580
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal16,132580
ClearBridge Energy MLP Opportunity Fund Inc.45,428579
Morgan Stanley Emerging Markets Fund72,871578
TWILIO INC19,814577
db x-trackers Sicav14,741574
United Community Financial Corp.20,597573
Lexicon Pharmaceuticals34,854573
Aclaris Therapeutics, Inc.21,060571
HMS Networks AB30,851571
Nuveen Intermediate Duration Municipal Term Fund43,967570
Americas Silver Corporation16,468570
Nabors Industries Ltd.69,710567
Templeton Global Income Fund50,207563
Avangrid, Inc.12,719562
Lennox International3,045559
Highwoods Properties11,024559
China Natural Gas, Inc.7,090557
Arch Coal8,150557
Kronos Worldwide Inc30,533556
Cathay Pacific Airways, Ltd.14,650556
CenterState Banks22,336555
Blackrock Municipal Income Quality Trust38,172553
JPMorgan Chase Bank NA10,980552
Virtus Global Multi-Sector Income Fund39,825550
Rockwell Medical68,926547
athenahealth3,879545
Ruth's Hospitality Group25,017544
Safety, Income & Growth, Inc.28,400544
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal11,899543
SolarEdge Technologies27,100542
State Bank Financial Corporation.19,961541
Blackrock Municipal Bond Trust34,635539
DEWEY ELECTRONICS CORP7,762537
United Therapeutics Corporation4,134536
Via Varejo S.A.14,094536
Convergys Corporation22,499535
Canadian Mining Company Inc.33,520534
PIMCO Municipal Income Fund III40,176528
The Advisory Board Company10,229527
VOYA INSURANCE & ANNUITY CO.91,147526
BLACKROCK INTERNATIONAL83,570525
Akebia Therapeutics, Inc.36,517525
Enstar Group Limited2,632523
On Assignment9,638522
Signet International Holdings, Inc.8,249522
Morgan Stanley28,664522
Diplomat Pharmacy, Inc.35,224521
ETFS Precious Metals Basket Trust8,420520
Cohen & Steers Closed-End Opportunity Fund39,751516
Hawaiian Electric Industries15,950516
One Liberty Properties21,968515
Patheon N.V.14,735514
Nuveen California Select Quality Municipal Fund39,792513
Nuveen S&P 500 Dynamic Overwrite Fund55,576513
Northern Offshore19,879511
Government Properties Income Trust27,933511
GasLog Partners22,549511
Cliffs Natural Resources Inc.73,550509
iShares Oil Sands Index ETF9,285508
Provident Financial Services19,997508
Helios Advantage Income Fund16,390507
Boyd Gaming Corporation20,389506
Brookfield Renewable Energy Partners L.P.15,853506
Luxoft Holding Inc8,305505
ETFS Platinum Trust5,692503
CBOE Holdings5,487502
The Medicines Company13,213502
Preferred Bank9,378501
Deutsche Borse AG18,380501
Select Income REIT20,718498
First Trust Energy Infrastructure Fund9,497497
NewMarket Corporation1,079497
TIER REIT INC26,819496
Blackrock Defined Opportunity Credit Trust49,881495
Ericsson68,860494
Spirent Communications Plc.7,075493
Blackrock Health Sciences Trust13,419492
Guggenheim Strategic Opportunities Fund23,256491
Trivago20,600487
Blackrock MuniYield California Fund32,372486
Blackrock Core Bond Trust34,946485
Nexstar Broadcasting Group8,107485
Invesco Van Kampen California Value Municipal Income Trust35,991483
ArcelorMittal21,255483
Rollins11,847482
Trustmark Corporation14,999482
Fiat45,588481
Marriot Vacations Worldwide Corporation4,050477
RPC23,534476
Stratasys20,406476
Aimmune Therapeutics, Inc.23,017473
Massachusetts Health and Education Tax-Exempt Trust100,452472
Accelerate Diagnostics, Inc.17,264472
Thermon Group Holdings24,570471
MedEquities Realty Trust, Inc.37,354471
Vector Group Ltd.22,018469
Morgan Stanley Emerging Markets Domestic Debt Fund28,985468
American Premium Water Corporation21,090467
BWX Technologies9,578467
Aberdeen Asia-Pacific Income Fund Inc93,210466
Golar LNG Partners LP23,236466
Weingarten Realty Investors15,405464
Fitbit87,405464
Scorpio Tankers Inc.116,574463
Criteo9,415462
Brooks Automation21,193460
Western Asset Municipal Defined Opportunity Trust Inc21,151460
Calamos Dynamic Convertible & Income Fund23,013460
Achillion Pharmaceuticals99,565457
Nathan's Famous7,260457
Apollo Investment Corporation71,456457
Hilton Worldwide Holdings Inc.7,334454
Yirendai18,163454
Blackrock MuniHoldings New York Quality Fund31,475454
Commercial Metals Company23,211451
Cimpress4,774451
PowerShares DB Oil Fund16,080450
Western Asset High Yield Defined Opportunity Fund Inc.62,282448
Pure Pharmaceuticals Corp.34,955448
Avon Products117,510447
Pope Resources6,022446
Varex Imaging Corp13,188446
Teekay LNG Partners L.P.28,916444
Frontline Ltd.77,344443
Micronic Laser400,000442
Ultragenyx Pharmaceutical Inc.7,110442
Nuveen Municipal Income Fund37,505440
Greenhill21,910440
Kite Realty Group Trust23,180439
Michael Kors Holdings Limited12,090438
Cutera16,902438
Ferrari5,053434
Weibo6,487431
Teradyne14,304430
Blackrock MuniYield Quality Fund II32,754430
Informa28,534429
Cohen & Steers Select Preferred and Income Fund15,076428
Barnwell Industries235,400426
Brookdale Senior Living Inc.28,980426
J CREW GROUP INC.91,716426
Seattle Genetics8,191424
Telefonica Deutschland Holding AG31,360423
Panera Bread Company1,343423
Pandora Media47,440423
Ladenburg Thalmann Financial Services Inc173,112422
Salient Midstream35,943421
Jack In The Box Inc.4,271421
Rightmove Plc51,022420
BELLICUM PHARMACEUTICALS, INC35,958420
Agora Holdings, Inc.10,042419
GLAUKOS Corp10,089418
Telephone and Data Systems15,020417
Cloudera, Inc.25,971416
Materion Corporation11,136416
Weight Watchers International Inc12,428415
Genomic Health12,734414
Liberty Property Trust10,176414
Meredith Corporation6,925412
Papa Bello Enterprises, Inc.5,716410
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal10,625409
Kinsale Capital Group, Inc.10,970409
Legg Mason, Inc.13,564407
Poage Bankshares21,314406
Albany International Corporation7,550403
Dynamics Research Corporation42,849402
Nuveen Equity Premium and Growth Fund25,866397
National Health Investors5,008397
First Commonwealth Financial Corporation31,184395
Cray Inc21,475395
Vibe Ventures Inc4,280395
Blackrock California Municipal 2018 Term Trust27,368393
Flaherty & Crumrine Preferred Income Opportunity Fund Inc17,899393
Biohaven Pharmaceutical Holding Co Ltd.15,710393
Fifth Street Finance Corp.80,560392
Simmons First National Corporation7,409392
Ashland Inc.5,911390
Argan6,480389
Blackrock MuniHoldings Quality Fund II28,552389
Gigamon, Inc.9,810386
McDermott International53,887386
WhiteHorse Finance28,777385
TrueCar Inc19,250384
IDACORP4,490383
USANA Health Sciences5,971383
KATE20,722383
Gap17,339381
Generac Holdlings Inc.10,497379
Charles River Laboratories International3,734378
e.l.f. Beauty, Inc.13,893378
Delek US Holdings14,292378
Civeo Corp179,792378
WESTLAKE CHEMICAL PARTNERS LP15,230377
Pattern Energy Group15,776376
ILG13,614374
Globant8,542371
Fresenius Medical Care Corporation7,682371
Gamco Investors12,510370
GCP Applied Technologies Inc.12,133370
Imperial Oil Limited12,688370
Evolent Health14,608370
Cars.com Inc.13,844369
Nuveen Select Tax Free Income Portfolio II25,151368
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 232,555368
Eagle Pharmaceuticals4,655367
ADVANCED MEDICAL ISOTOPE Corp9,381366
Petroleo Brasileiro S.A.- Petrobras45,835366
Western Gas Equity Partners, LP8,489365
New York Times Company (The)20,516363
Green Plains Partners LP19,374362
Kayne Anderson Acquisition Corp23,875362
J & J Snack Foods Corp.2,744362
Chuy's Holdings15,479362
Cameco Corporation39,729362
Chartwell Seniors Hs10,388361
UMH Properties21,193361
Noah Holdings Ltd.12,558360
Pixelworks78,200359
Janus Capital Group7,151359
American Realty Investors9,370359
Morgan Stanley Emerging Markets Debt Fund36,190358
LGO Energy PLC22,256358
Eldorado Resorts, Inc.17,898358
ETFS Asian Gold Trust9,031358
Sarepta Therapeutics10,540355
Progenics Pharmaceuticals Inc.52,276355
Embraer-Empresa Brasileira de Aeronautica19,436354
Infinity Energy Resources, Inc.11,708354
Intellisense Solutions Inc.2,531352
Liberty Global10,938351
Vornado Realty Trust3,741351
Tata Motors Ltd10,623351
Community Health Systems35,223351
Chesapeake Utilities Corporation4,684351
NorthWestern Corporation5,731350
Smith & Nephew SNATS10,055350
TripAdvisor9,135349
Third Point Reinsurance25,095349
Park Hotels & Resorts Inc.12,941349
Ziggo NV7,070347
Supernus Pharmaceuticals8,058347
Pretium Resources36,068347
Sun Life Financial Inc.9,660345
Karyopharm Therapeutics Inc38,168345
Amarin Corporation PLC85,390344
Nutanix, Inc.17,055344
Star Gas Partners50,410340
NetSol Technologies Inc.85,917339
Lumber Liquidators Holdings13,459337
Neurocrine Biosciences7,330337
Invesco Municipal Income Opportunities Trust43,524337
Xenia Hotels & Resorts17,277335
CASTLIGHT HEALTH, INC.80,700335
GAMCO Natural Resources49,249333
CONDUENT Inc20,780331
Mobile TeleSystems39,446331
Atara Biotherapeutics, Inc.23,594330
INVESCO MORTGAGE CAPITAL INC19,771330
BlackRock 2022 Global Income Opportunity Trust23,330330
ICHOR HOLDINGS, LTD.16,327329
Ituran Location and Control Ltd.10,525329
TTM Technologies18,866328
Becton5,965327
Connecticut Water Service5,867326
FIGO Ventures, Inc.40,284322
CRISPR Therapeutics AG20,009321
Nuveen Municipal High Income Opportunity Fund25,957321
Blackstone GSO Senior Floating Rate Term Fund17,925321
GATX Corporation4,989321
Morgan Stanley Asia-Pacific Fund19,128318
B2Digital, Inc.113,277318
Pimco Corporate & Income Opportunity Fund19,333318
ITT Educational Services, Inc.7,883317
Vista International Technologies Inc14,021316
TPI COMPOSITES, INC17,123316
Piper Jaffray Companies5,270316
Select Comfort Corporation8,835314
Bed Bath & Beyond Inc.10,296313
Redwood Capital Bancorp (CA)18,281312
Liberty Interactive Corporation465,000312
Apollo Senior Floating Rate Fund Inc.16,769311
LabStyle Innovations Corp150,000311
Hawaiian Electric Co., Inc.6,597310
Louisiana-Pacific Corporation12,809309
CACI International2,470309
American Capital Senior Floating24,026309
Comtech Telecommunications Corp.16,250308
Nuveen Virginia Premium Income Municipal Fund23,280307
Bemis Company6,588305
BP Prudhoe Bay Royalty Trust14,135305
Shell Midstream Partners, L.P.10,077305
McEwen Mining Inc.115,707304
Denny's Corporation25,755303
Vonage Holdings Corp.46,390303
Kearny Financial20,327302
Advanced Semiconductor Engineering47,835302
Allied World Assurance Company Holdings5,701302
Equity Commonwealth9,524301
BlackRock Municipal Income Investment Trust20,394301
Sunrise Telecom, Inc.7,023300
Walker & Dunlop6,129299
TriplePoint Venture Growth BDC Corp.22,493299
Cable One, Inc.420299
Cousins Properties Incorporated33,911298
Gold Reserve Inc3,362297
Nuveen Build America Bond Fund13,781297
Arrin Corp.8,552297
Stein Mart174,974296
Boston Beer Company2,230295
Opus Bank12,143294
Great Fingall Mining Co.21,000294
ESCO Technologies Inc.4,934294
Voyager Therapeutics, Inc.27,219294
LeMaitre Vascular9,386293
Liberty Media12,283293
Herman Miller9,629293
The Ensign Group13,393292
InterContinental Hotels Group Plc5,256292
ING Global Equity Dividend and Premium Opportunity Fund38,459291
iShares S&P Global Nuclear Index Fund9,353290
Mercury Computer Systems6,895290
EPAM Systems3,419288
Eaton Vance Municipal Bond Fund II22,713288
QUALITY CARE PROPERTIES, INC.15,696287
Orchids Paper Products Company22,140287
Mitel Networks Corporation38,939286
California Water Service Group Holding7,742285
Host Marriott Financial Trust15,539284
Schuff International, Inc.5,420283
Blackrock Municipal 2020 Term Trust17,793281
Seaboard Corporation70280
Momenta Pharmaceuticals16,575280
Heritage-Crystal Clean17,577279
MCBC Holdings, Inc.14,170277
Cincinnati Bell Inc5,523277
Nuveen Real Asset Income and Growth Fund15,743277
Westport Innovations Inc165,385277
Crown Marketing12,336277
Teligent30,137276
ServisFirst Bancshares, Inc.7,485276
Laredo Petroleum Holdings26,232276
Terra Nitrogen Company7,368276
Kaiser Aluminum Corporation3,104275
Arch Capital Group Ltd.2,944275
Emergent Biosolutions8,074274
SWK Holdings Corp2,500274
Pier 1 Imports52,572273
Franks International NV32,860272
Baozun12,258272
AutoNation6,458272
Aqua Metals, Inc.21,558271
New England Service Co.19,111270
ADURO BIOTECH, INC.23,649270
Kirby Corporation4,045270
Nuveen New York AMT-Free Municipal Income Fund19,721270
Ralph Lauren Corporation3,648269
WGL Holdings Inc3,227269
The Andersons7,847268
Flaherty & Crumrine/Claymore Preferred Securities Income Fd In11,955266
NEW GOLD INC.83,513266
Alliance National Municipal Income Fund Inc19,412266
AK Steel Holding Corporation40,504266
Century Casinos35,900265
STOCK BUILDING SUPPLY HOLDINGS, INC.6,815265
TopBuild Corp4,972264
OraSure Technologies15,305264
Nuveen Ohio Dividend Advantage Municipal Fund 225,994264
HCi Viocare5,620264
Brightcove Inc.42,400263
Nomura Holdings Inc ADR43,620263
Manning & Napier60,550263
Apollo Gold Corporation15,612263
Kbridge Energy Corp.17,212262
Nordic Investment Bank41,266262
ACCELERON PHARMA INC8,600261
ING Infrastructure Industrial and Material Fund16,610260
EQT GP Holdings8,551258
Morningstar3,298258
Parkway Acquisition Corp11,269258
Nuveen Dividend Advantage Municipal Fund24,692257
Coffee Holding Co.57,650257
Vedanta Res Plc16,543257
Computerized Thermal Imaging, Inc.7,797256
Eaton Vance California Municipal Bond Fund II21,988256
Culp7,833255
Gladstone Capital Corporation26,984254
General Electric Capital Corporation14,607254
Simulations Plus20,457253
Gabelli Utility Trust (The)36,212253
Glatfelter12,961253
SiteOne Landscape Supply, Inc.4,838252
Douglas Dynamics7,615251
Enduro Royalty Trust76,912250
AdvanSix Inc.8,006250
John Hancock Hedged Equity & Income Fund14,713250
Desert Gold Ventures Inc.5,865249
GDS Holdings26,820249
Ennis13,032249
Mizuho Financial Group67,474248
LGI Homes6,156247
Franklin Universal Trust34,529247
iBrands Corp.7,208246
Seadrill Limited976,513246
First Banks21,007245
SINOPEC Shangai Petrochemical Company4,583245
Ashford Hospitality Prime23,843245
Macquarie Group, Ltd.18,849245
MFS Intermediate Income Trust56,371244
St. Joe Company (The)12,988244
Wright Medical Group8,866244
Trimble Navigation Limited6,799243
Preferred Plus Trust Ser QWS 2 Tr Ctf15,440243
Stewart Enterprises5,350243
Masonite International3,206242
The Hain Celestial Group6,233242
Global Partners LP13,405242
Esperion Therapeutics, Inc.5,200241
SiM Internal Test 429,387241
Clearwater Paper Corporation5,130240
CAM Group, Inc.4,907239
TrustCo Bank Corp NY30,856239
Carolina Trust Bank7,357238
CNOOC Limited2,177238
Solar Capital Ltd.10,794236
mCig, Inc.15,618236
ANI Pharmaceuticals5,014235
PowerShares Global Gold & Precious Metals Portfolio9,841234
Eaton Vance Short Diversified Income Fund16,570233
Guggenheim Enhanced Equity Income Fund4,156232
Five9, Inc.10,790232
Nuveen New York Dividend Advantage Municipal Income Fund16,404232
Churchill Downs1,247229
Worthington Energy, Inc.4,550229
LCI Industries2,239229
USG Corporation7,894229
NRG Energy13,249228
PennyMac Mortgage Investment Trust12,490228
Amerco622228
Nu Skin Enterprises3,615227
Nuveen Real Estate Fund20,046227
Green Bancorp, Inc.11,726227
Franklin Electric Co.5,481227
MasTec5,006226
Mwana Africa Plc.3,781226
Royal Dutch Shell Plc8,500226
MINDBODY, Inc.8,268225
Neogen Corporation3,255225
MULESOFT, INC9,010225
Ellington Financial LLC13,909225
Darnley Bay Resources Ltd.4,647222
GNC Holdings26,385222
pdvWireless, Inc.9,505221
New York Mortgage Trust35,603221
TCW Strategic Income Fund38,952220
First Merchants Corporation5,491220
CUI Global57,000219
New England Realty Associates Limited Partnership3,060219
ZIOPHARM Oncology Inc35,259219
Union Equity, Inc.6,444218
Lydall4,209218
Carbo Ceramics31,725217
Nature's Sunshine Products16,275216
Armour Residential R8,588215
Ares Management11,921215
China Unicom (Hong Kong) Ltd14,353215
Cytosorbents Corp50,000215
THC Biomed International Ltd.11,065214
Cabot Corporation3,979213
Cambria Africa PLC6,232213
CPI Aerostructures22,600212
Amedisys Inc3,378212
Eaton Vance Ohio Municipal Income Trust15,253212
FS Bancorp23,185212
Carbonite9,690211
Geeknet40,853211
Putnam Master Intermediate Income Trust45,108211
Eldorado Gold Corporation79,646210
GenMark Diagnostics17,750210
Lam Research Corporation90,000210
Eldorado Artesian Springs, Inc.5,517209
Genpact Limited7,497209
Vicor Corporation11,629208
Compugen Ltd.54,800208
Fourlis Holding SA8,274208
Arrow Financial Corporation6,567208
Tetra Technologies4,537208
Morgan Stanley India Investment Fund6,392207
First Bancorp6,630207
bluebird bio, Inc.1,975207
Universal Security Instruments73,513206
Box Ships Inc.11,297206
Badger Meter5,172206
Endo Health Solutions Inc.18,335205
EnerNOC26,391205
CEVA4,500205
VALERO ENERGY PARTNERS LP4,460204
Pacific Sunwear of California, Inc.11,623202
Air Transport Services Group9,264202
Hortonworks, Inc.15,600201
Tivity Health5,034201
ResMed Inc.2,576201
INTELLINETICS, INC.153,000200
RadNet25,651199
Swiss Helvetia Fund15,565198
Axovant Sciences Ltd.14,000197
Foamix42,500197
ClearBridge Energy MLP Total Return Fund Inc.15,402197
Information Services Group47,788196
Theron Resource Group21,341196
Kayne Anderson Energy Development Company10,691194
Retail Properties of America15,915194
Western Asset Global High Income Fund Inc18,862190
Pioneer Floating Rate Trust15,816188
Cidara Therapeutics, Inc.24,928187
Bojangles11,525187
AGIC Convertible & Income Fund26,796187
VITAL THERAPIES INC64,275186
BlackRock Municipal Income Trust12,791185
CAE Inc10,678184
Liberty All-Star Growth Fund37,106183
Synalloy Corporation16,000181
Vascular Biogenics40,342180
Templeton Emerging Markets Fund12,045180
ASA Gold and Precious Metals Limited15,272179
Blackrock MuniHoldings Fund II11,322179
Denbury Resources116,961179
Macatawa Bank Corporation18,610178
PCM, Inc.15,774177
Western Asset Middle Market Income Fund Inc.12,650177
Pimco High Income Fund19,903174
New America High Income Fund18,328174
Nimtech Corp.17,250174
Western Uranium Corp17,055173
Cara Therapeutics11,243173
Land Securities Group Plc15,604173
Cobalt International Energy68,067168
SandRidge Permian Trust57,679167
Tracon Pharmaceuticals, Inc.69,200166
Blackrock MuniYield Investment QualityFund11,800166
Cenovus Energy Inc22,580166
CBL & Associates Properties19,531165
Resources Connection12,037165
Genworth Financial Inc43,459164
Bear Lake Recreation, Inc.17,199163
Escalade12,359162
PGT12,609161
Enerplus Corporation19,665160
Vipshop Holdings Limited15,085159
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.26,088157
Kemet Corporation12,038154
BlackRock Municipal Income Trust II10,021153
TravelCenters of America LLC37,366153
Nuveen California Municipal Market Opportunity Fund14,933153
INSYS Therapeutics, Inc.12,002152
Alexco Resource Corp114,767151
Trinity Biotech plc25,057150
Global Logistic Properties Ltd.15,200150
Arrowhead Gold Corp.13,800149
Western Asset Global Corporate Defined Opportunity Fund Inc.14,448149
Aly Energy Services, Inc.12,312148
TIME INC.10,151146
MFS Municipal Income Trust20,567146
Blackrock Muni New York Intermediate Duration Fund Inc10,345145
Petrobras Argentina S.A.12,000144
Quorum Health Corp34,528143
Daktronics14,830143
Nevada Gold & Casinos63,300142
Kinross Gold Corporation34,650141
PennantPark Investment Corporation19,000140
Fortuna Silver Mines Inc.28,368139
1-800 FLOWERS.COM14,300139
Entercom Communications Corporation13,419139
INVIVO THERAPEUTICS HOLDINGS CORP.51,433139
Hertz Global Holdings11,807136
Gener8 Maritime23,841136
Tortoise Energy Independence Fund10,230136
MiX Telematics16,769132
ALDER BIOPHARMACEUTICALS INC11,342130
Eaton Vance Pennsylvania Municipal Income Trust10,573129
BlackRock Income Trust Inc. (The)20,148128
CHS Inc13,356126
CVR Refining, LP13,098124
Luna Innovations Incorporated81,459123
MannKind Corporation87,182123
Gold Fields Limited34,955122
CVR Partners34,761121
Duff & Phelps Select Energy MLP Fund Inc.16,920120
Synergy Pharmaceuticals26,943120
Atwood Oceanics14,585119
WindStream Technologies, Inc.30,578119
OHA Investment Corporation92,334117
MOBILEIRON, INC.18,690113
Silver Standard Resources Inc.11,366110
Acacia Diversified Holdings, Inc.26,640109
Energy Recovery13,091109
Globalstar50,500108
The Herzfeld Caribbean Basin Fund15,050108
Willamette Valley Vineyards13,075106
Newpark Resources14,259105
Keryx Biopharmaceuticals14,491105
EV Energy Partners165,039104
Barrett Business Services33,693103
First Trust Specialty Finance and Financial Opportunities Fund14,108102
Clean Energy Fuels Corp.38,54398
AcelRx Pharmaceuticals45,00097
Madison/Claymore Covered Call & Equity Strategy Fund12,43397
Wells Fargo Advantage Income Opportunities Fund11,18996
Duff & Phelps Utilities Income10,24094
ENSCO plc18,29094
Calumet Specialty Products Partners21,96593
Aberdeen Australia Equity Fund Inc15,15592
AAC Technologies Holdings Inc12,96090
Cypress Energy Partners11,80088
Crescent Pt Energy11,07085
Novagold Resources Inc.18,59085
Legacy Reserves LP56,75683
Ascena Retail Group38,15582
NANOVIRICIDES, INC.60,00081
VOC Energy Trust19,06081
Novavax70,38181
Zynga Inc.21,12077
Pieris Pharmaceuticals, Inc.15,00076
Workhorse Group Inc.20,50076
Gold Standard Ventures Corporation44,48176
Revolution Lighting Technologies, Inc.11,58376
Merrimack Pharmaceuticals61,38376
Sandstorm Gold Ltd.19,60076
LendingClub Corp13,22573
Iamgold Corporation14,01572
Senseonics Holdings, Inc.39,00070
Medley Capital Corporation10,84069
WSI Industries Inc.21,00068
Yamana Gold Inc.27,58167
ServiceSource International17,12066
Kandi Technolgies14,40064
ORGANOVO HOLDINGS, INC.24,51964
RAIT Financial Trust29,19964
Mid-Con Energy Partners45,79262
Rocket Fuel Inc22,15061
Precision Drilling Corporation17,63860
American Seniors Association Holding Group, Inc.12,98060
Kopin Corporation15,20056
Adamis Pharmaceuticals Corp10,75056
MFC Industrial Ltd.30,35254
Southcross Energy Partners LP16,61153
Groupon13,88453
Celldex Therapeutics21,32453
Voxeljet11,31549
Gastar Exploration49,50046
BioAmber17,50045
Fairmount Bancorp Inc.11,30144
Torchlight Energy25,00042
Zion Oil & Gas Inc12,18942
Gerdau S.A.13,00040
Biocept27,05037
NQ Mobile Inc.10,50036
Ceragon Networks Ltd.14,10036
Vericel Corporation10,61135
Research Frontiers Incorporated27,50035
22nd Century Group, Inc.20,00035
CytRx Corporation52,27233
Hovnanian Enterprises Inc11,70033
Antares Pharma10,09232
Pengrowth Energy Corporation40,34732
EXCO Resources NL11,77531
Castle Brands18,30031
SOLIGENIX, INC.14,71030
TrovaGene24,00030
Uranium Energy Corp.19,00030
Tetra Tech10,33129
Navios Maritime Partners LP17,86428
Teekay Tankers Ltd.14,66228
Verastem12,64328
Microvision12,52527
TRANSENTERIX INC.36,36326
U.S. Global Investors16,12425
Ocean Electric Inc.18,70025
SandRidge Mississippian Trust I16,77124
Petroquest Energy Inc12,05024
Jones Energy, Inc.14,15823
eCare Solutions, Inc.10,85023
Plug Power10,83422
Can Fite Biofarma Ltd.12,20022
Ruby Tuesday11,00022
Pluristem Therapeutics16,94322
Northern Dynasty Minerals15,11421
Athersys12,42019
Interpace Diagnostics Group20,00018
Keegan Resources Inc10,94017
Senomyx19,43316
Northern Oil and Gas10,60015
Bank Princeton New Jersey18,30014
Obsidian Enterprises, Inc.11,32214
EnSync Inc36,00013
Tanzanian Royalty Exploration Corporation28,51313
TANDEM DIABETES CARE INC15,00012
Nexeo Solutions Holdings, LLC21,06511
Denison Mine Corp19,9589
Ampio Pharmaceuticals16,0008
Navidea Biopharmaceuticals16,0008
FalconStor Software30,9258
UniCredit SpA 20,0008
CONNECTURE INC12,2418
Polymet Mining Corp.12,5007
International Tower Hill Mines Ltd15,0007
Golden Star Resources11,0007
The Bon-Ton Stores10,4405
TerraVia Holdings, Inc.10,5502
Community Bank of South Florida Inc.36,4251

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