MORGAN STANLEY

Most recent update: Dec. 31, 2018

CompanyShares/WarrantsValue ($000)
S&P Quality Rankings Glbl Equ Mngd Tr39,826,3568,902,383
Amazon.com4,721,3577,091,337
Amazon.com4,721,3577,091,337
Apple Inc.41,230,5126,977,439
Apple Inc.41,230,5126,977,439
Apple Inc.38,105,1676,010,710
Apple Inc.38,105,1676,010,710
Alphabet Holding Company, Inc.5,399,5995,668,344
Alphabet Holding Company, Inc.5,399,5995,668,344
Apple Inc.35,611,1515,488,391
Apple Inc.35,611,1515,488,391
Amazon.com4,639,6185,425,894
Amazon.com4,639,6185,425,894
Alphabet Holding Company, Inc.5,156,5005,362,851
Alphabet Holding Company, Inc.5,156,5005,362,851
Apple Inc.37,093,1145,328,797
Apple Inc.37,093,1145,328,797
Alphabet Holding Company, Inc.5,109,0474,934,047
Alphabet Holding Company, Inc.5,109,0474,934,047
Alphabet Holding Company, Inc.5,204,5224,361,973
Alphabet Holding Company, Inc.5,204,5224,361,973
Facebook25,265,9484,317,192
Apple Inc.36,841,5644,266,989
Amazon.com4,350,4534,182,307
Amazon.com4,350,4534,182,307
Vanguard Natural Resources, LLC72,525,1074,078,383
Microsoft Corporation64,483,1344,006,982
Amazon.com4,430,2853,927,625
Amazon.com4,430,2853,927,625
Facebook27,406,0463,893,030
Alphabet Holding Company, Inc.4,792,1843,743,873
Westpac Banking Corporation36,633,7453,633,832
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap42,463,9033,220,314
Amazon.com4,270,1623,202,067
Facebook27,772,0593,195,174
iShares Trust iShares MSCI All Country Asia Information Techno58,197,0073,099,748
J P Morgan Chase & Co35,623,4763,073,471
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap21,869,7472,949,136
Walt Disney Company (The)26,322,8252,829,968
Berkshire Hathaway Inc.13,457,4312,667,533
Berkshire Hathaway Inc.13,457,4312,667,533
Walt Disney Company (The)25,636,8482,527,023
Walt Disney Company (The)25,636,8482,527,023
SPDR GOLD TRUST55,864,8592,513,435
Alibaba Group Holding Limited14,515,6032,502,926
Alibaba Group Holding Limited14,515,6032,502,926
iShares Trust iShares MSCI Emerging Markets Latin America Inde55,603,9202,491,612
Toronto Dominion Bank (The)24,925,0002,440,119
Johnson & Johnson21,127,8842,434,142
Berkshire Hathaway Inc.13,157,5152,412,037
Berkshire Hathaway Inc.13,157,5152,412,037
Visa Inc.30,895,5412,410,471
Walt Disney Company (The)20,571,5472,255,671
Cisco Systems49,689,5512,153,049
Chevron Corporation16,408,2872,054,156
Walt Disney Company (The)18,077,9662,049,861
General Electric Co64,390,7312,034,745
General Electric Co84,100,6782,033,557
Accenture plc.13,254,3732,029,113
Accenture plc.13,254,3732,029,113
AT&T Inc.52,141,9922,027,281
AT&T Inc.52,141,9922,027,281
Berkshire Hathaway Inc.9,908,3772,023,092
Walt Disney Company (The)19,345,9572,016,232
Alibaba Group Holding Limited11,214,6941,936,890
Alibaba Group Holding Limited11,214,6941,936,890
Chevron Corporation16,409,3511,928,099
Chevron Corporation16,409,3511,928,099
Chevron Corporation16,311,0931,919,815
International Business Machines Corporation12,874,6861,867,862
Berkshire Hathaway Inc.11,393,9631,856,986
Accenture plc.11,308,5141,849,960
Berkshire Hathaway Inc.11,081,7191,847,099
Coca-Cola Company (The)38,255,2811,811,388
Honeywell International Inc.12,752,2401,807,502
Altria Group25,219,9231,801,207
Altria Group25,219,9231,801,207
Accenture plc.13,236,8871,787,908
Accenture plc.13,236,8871,787,908
Chevron Corporation16,432,3411,787,674
AT&T Inc.45,304,0471,774,558
AT&T Inc.45,304,0471,774,558
Bank of America Corporation60,091,4811,773,900
Bank of America Corporation60,091,4811,773,900
iShares Trust iShares MSCI All Country Asia Information Techno26,756,4491,771,193
AT&T Inc.41,177,9561,751,299
International Business Machines Corporation10,491,0651,741,410
AT&T Inc.41,489,6901,723,898
AT&T Inc.41,489,6901,723,898
Abbott Laboratories23,179,8621,676,600
Abbott Laboratories23,179,8621,676,600
Mastercard Incorporated16,099,5561,662,279
Chevron Corporation15,414,8361,655,091
Simon Property Group9,229,3861,639,784
Amgen Inc.8,714,5371,624,827
Amgen Inc.8,714,5371,624,827
Boeing Company (The)5,430,1301,601,401
Boeing Company (The)5,430,1301,601,401
Pepsico15,091,1811,578,991
Reynolds American Inc28,133,8741,576,623
Exxon Mobil Corporation17,413,5811,571,749
Exxon Mobil Corporation19,154,5371,570,290
Alibaba Group Holding Limited11,385,3431,560,589
Alibaba Group Holding Limited11,385,3431,560,589
Coca-Cola Company (The)34,661,3891,560,110
Coca-Cola Company (The)34,661,3891,560,110
United Technologies Corporation14,194,7381,556,028
Amgen Inc.7,982,8541,554,021
Amgen Inc.7,982,8541,554,021
Verizon Communications Inc.28,972,5281,546,555
Sport Chalet10,761,3921,543,399
AT&T Inc.53,806,0801,535,625
AT&T Inc.53,806,0801,535,625
Coca-Cola Company (The)33,081,1561,517,767
Wells Fargo & Company28,683,4381,510,279
Bank of America Corporation59,372,9671,504,512
Bank of America Corporation59,372,9671,504,512
Amgen Inc.8,635,9311,501,787
Amgen Inc.8,635,9311,501,787
Danaher Corporation14,710,2761,497,483
Adobe Systems Incorporated6,565,7291,485,429
Adobe Systems Incorporated6,565,7291,485,429
Pfizer45,634,5411,482,210
Bank of America Corporation61,936,5871,461,085
Bank of America Corporation58,970,5641,453,033
Amgen Inc.8,714,4491,429,781
Amgen Inc.8,714,4491,429,781
Accenture plc.9,999,9161,410,088
Accenture plc.9,999,9161,410,088
Procter & Gamble Company (The)16,754,0951,408,684
Cisco Systems36,559,5851,400,229
Home Depot8,506,4871,391,322
Booking Holdings807,0591,390,096
Honeywell International Inc.11,966,7501,386,348
Altria Group20,481,3681,384,951
Philip Morris International Inc15,009,6221,373,231
Boeing Company (The)4,212,0861,358,397
Citigroup Inc.18,224,1691,349,874
Exxon Mobil Corporation16,451,6251,349,198
Cisco Systems39,731,3351,336,164
Cisco Systems39,731,3351,336,164
iTeknik Holding Corporation5,233,9341,323,819
Boeing Company (The)5,203,7441,322,845
Boeing Company (The)5,203,7441,322,845
First Trust High Income Long Short Fund31,875,1381,312,436
Intel Corporation34,407,9481,310,255
Ishares Income Trust Sector Index Fd28,477,3331,308,111
The Blackstone Group L.P.40,659,2201,301,910
The Blackstone Group L.P.40,659,2201,301,910
Amgen Inc.8,715,9971,274,367
Coca-Cola Company (The)29,943,7001,270,812
PowerShares QQQ Trust10,668,6551,264,022
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu24,818,8811,251,913
The Blackstone Group L.P.37,022,2601,235,433
The Blackstone Group L.P.37,022,2601,235,433
Sport Chalet10,141,9001,235,182
Nike23,913,9351,215,546
Citigroup Inc.16,762,5391,211,674
Citigroup Inc.16,762,5391,211,674
Accenture plc.9,781,2551,209,745
AbbVie Inc12,859,8261,185,547
AbbVie Inc12,859,8261,185,547
Schlumberger N.V.14,062,4151,180,541
Bank of America Corporation53,265,7771,177,173
DowDuPont Inc.16,396,9301,167,789
Home Depot8,693,4291,165,617
Interups Inc.10,718,0101,156,579
Coca-Cola Company (The)27,893,0121,156,443
Altria Group16,067,0281,147,345
Altria Group16,067,0281,147,345
Alibaba Group Holding Limited10,612,7421,144,372
Alibaba Group Holding Limited10,612,7421,144,372
Royal Standard Minerals Inc.11,912,0001,139,085
PowerShares Global Coal Portfolio34,790,6901,135,202
AbbVie Inc17,174,9751,119,122
AbbVie Inc17,174,9751,119,122
Bristol-Myers Squibb Company20,559,0491,118,002
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi8,935,2871,117,448
Bank of Nova Scotia (The)11,036,8741,115,531
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND34,767,3321,108,818
Selective Insurance Group22,785,0191,106,668
Interups Inc.10,582,7851,072,883
AbbVie Inc12,051,2031,070,870
AbbVie Inc12,051,2031,070,870
Boeing Company (The)6,041,6951,068,535
Accenture plc.8,891,8981,065,962
Accenture plc.8,891,8981,065,962
NXP Semiconductors N.V.9,338,7401,056,119
NXP Semiconductors N.V.9,338,7401,056,119
Danaher Corporation11,566,0561,055,882
priceline.com Incorporated35,106,4191,048,567
Costco Wholesale Corporation5,626,2201,047,154
Salesforce.com Inc21,813,5021,044,140
Financial Institutions44,867,5111,043,170
Automatic Data Processing7,804,8741,023,375
ENERGY TRANSFER PARTNERS13,443,9061,012,594
Ishares Income Trust Sector Index Fd23,541,7731,010,945
DowDuPont Inc.18,872,8951,009,321
AbbVie Inc10,391,8991,005,000
AbbVie Inc10,391,8991,005,000
Cisco Systems29,472,642996,176
Starbucks Corporation17,931,781995,573
Comcast Corporation26,463,435994,761
Altria Group15,674,628994,086
Altria Group15,674,628994,086
Enterprise Products Partners L.P.36,758,706993,956
iTeknik Holding Corporation4,350,014978,710
First Trust High Income Long Short Fund25,348,813975,525
Accenture plc.8,318,027974,290
The Blackstone Group L.P.32,790,651973,884
Boeing Company (The)6,219,881968,311
iShares Trust iShares Barclays GNMA Bond Fund14,834,183966,447
ETERNITY HEALTHCARE INC.48,923,092965,253
Caterpillar10,398,677964,579
Baxano Surgical, Inc.14,652,081964,399
Imperial Petroleum, Inc.5,382,548962,938
Enterprise Products Partners L.P.36,103,702957,110
Intel Corporation26,374,732956,059
Enterprise Products Partners L.P.34,604,501955,430
Comcast Corporation13,671,589944,023
Bristol-Myers Squibb Company15,403,056943,899
Bristol-Myers Squibb Company15,403,056943,899
ETERNITY HEALTHCARE INC.48,393,355934,476
Medtronic11,572,713932,299
Medtronic11,572,713932,299
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi8,875,575931,049
Stargaze Entertainment Group Inc.8,641,583929,316
Cisco Systems30,437,107919,809
Merck & Company15,590,924917,838
Automatic Data Processing8,887,047913,411
Goldman Sachs Group6,853,950906,094
Automatic Data Processing8,782,696899,258
Bristol-Myers Squibb Company14,096,219897,872
Bristol-Myers Squibb Company14,086,219897,856
Equity Residential13,906,909895,048
McDonald's Corporation7,261,765883,902
Russell Exchange Traded Funds Trust Russell Small Cap Consiste7,419,640879,301
Vornado Realty Trust8,397,760876,475
Costco Wholesale Corporation5,334,158876,351
Costco Wholesale Corporation5,334,158876,351
Automatic Data Processing7,998,042874,346
Automatic Data Processing7,998,042874,346
Activision Blizzard13,805,352874,155
Activision Blizzard13,805,352874,155
Danaher Corporation10,313,583869,022
Danaher Corporation10,313,583869,022
NXP Semiconductors N.V.7,403,820866,915
NXP Semiconductors N.V.7,403,820866,915
Russell Exchange Traded Funds Trust Russell Small Cap Consiste7,672,303859,528
Altria Group17,342,097856,525
Altria Group17,342,097856,525
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND26,450,171855,027
Core Resource Management, Inc.11,496,190853,248
The Blackstone Group L.P.28,561,513851,419
Medtronic11,946,613850,956
DowDuPont Inc.12,279,659850,120
DowDuPont Inc.12,279,659850,120
BlackRock2,227,301847,577
BlackRock1,638,377841,651
BlackRock1,638,377841,651
Caterpillar9,032,821837,704
The Blackstone Group L.P.30,930,907836,062
Activision Blizzard12,798,902825,658
Activision Blizzard12,798,902825,658
iShares12,818,709822,576
AbbVie Inc13,074,430818,720
Comcast Corporation20,323,085813,939
Bristol-Myers Squibb Company13,881,762810,680
Tesla Exploratin Services Inc.4,152,206810,668
Enterprise Products Partners L.P.30,880,819805,063
ETERNITY HEALTHCARE INC.45,998,282793,928
Investec Ltd.8,727,890793,888
Investec Ltd.8,727,890793,888
Automatic Data Processing6,734,154789,176
Automatic Data Processing6,734,154789,176
Imperial Petroleum, Inc.4,744,185784,404
Bristol-Myers Squibb Company15,069,867783,332
Goldman Sachs Group3,347,389780,956
vTv Therapeutics Inc.8,319,477770,669
BlackRock1,956,243768,453
Alibaba Group Holding Limited8,750,165768,353
Time Warner Inc.7,893,177761,929
Equity Residential12,228,175760,837
United States Cellular Corporation4,733,549757,558
Costco Wholesale Corporation4,505,390755,345
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF9,231,564753,111
Allergan3,046,861750,433
Illumina3,741,428745,292
Crown Equity Holdings, Inc.7,860,425742,417
Union Pacific Corporation7,149,570741,268
ETERNITY HEALTHCARE INC.42,487,346738,430
Comcast Corporation21,657,570737,441
Crown Equity Holdings, Inc.6,570,563729,399
Gilead Sciences8,968,952726,665
Vanguard Natural Resources, LLC3,530,111724,767
iShares Trust iShares Barclays GNMA Bond Fund8,036,214721,606
Investec Ltd.9,263,959720,459
Investec Ltd.9,263,959720,459
Allergan2,957,248718,682
Allergan2,957,248718,682
Allergan2,957,248718,682
Citigroup Inc.12,171,672718,111
BlackRock1,605,652717,870
BlackRock1,605,652717,870
Alps Electric Co. Ltd.64,876,862717,390
Alps Electric Co. Ltd.64,876,862717,390
ECA Marcellus Trust I60,899,020714,955
Investec Ltd.8,329,845713,117
Wal-Mart Stores10,250,926708,543
Costco Wholesale Corporation3,472,633707,411
EPAM Systems6,092,005706,735
CB Scientific Inc.4,817,532703,985
CB Scientific Inc.4,817,532703,985
Investec Ltd.8,702,180702,700
Investec Ltd.8,702,180702,700
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF6,093,421702,694
Citigroup Inc.13,475,683700,171
QUALCOMM Incorporated10,714,670698,597
Core Resource Management, Inc.5,077,310698,231
Caterpillar4,397,491692,958
Citigroup Inc.16,827,860684,339
Gilead Sciences9,503,257680,529
Medtronic7,660,386679,859
Vanguard Short-Term Corporate Bond ETF8,554,088679,622
NVIDIA Corporation6,371,257679,255
BROADVIEW INSTITUTE INC2,641,037678,483
BROADVIEW INSTITUTE INC2,641,037678,483
CB Scientific Inc.4,637,556674,207
Costco Wholesale Corporation4,205,775673,387
CVS Corporation8,271,516672,639
CVS Corporation8,271,516672,639
American Tower Corporation (REIT)4,233,471669,691
American Tower Corporation (REIT)4,233,471669,691
Crown Equity Holdings, Inc.7,701,585668,265
Security Devices International Inc.7,680,588665,447
3M Company3,724,816665,140
CVS Corporation10,130,167663,726
Comcast Corporation17,175,590660,916
Comcast Corporation17,175,590660,916
Neenah Paper5,572,115660,225
CB Scientific Inc.4,589,243654,198
CB Scientific Inc.4,589,243654,198
Danaher Corporation7,721,257653,599
Illini Corp.5,553,960650,814
BlackRock1,683,577645,669
Activision Blizzard13,836,744644,379
Activision Blizzard13,836,744644,379
iShares MSCI Emerging Markets Materials Sector Index Fund7,421,211642,306
American Express Company6,454,728641,017
American Express Company6,454,728641,017
Crown Equity Holdings, Inc.5,817,137631,916
Allergan3,029,937629,268
Allergan3,029,937629,268
Crown Equity Holdings, Inc.6,286,263628,500
Crown Equity Holdings, Inc.6,286,263628,500
athenahealth4,714,904627,272
athenahealth4,714,904627,272
Dex One Corporation5,216,495624,937
ENERGY TRANSFER PARTNERS34,795,212623,530
Thermo Fisher Scientific Inc4,337,056611,959
Constellation Brands Inc2,671,964610,731
Caterpillar4,877,957608,331
Caterpillar4,877,957608,331
Intuitive Surgical958,366607,767
CB Scientific Inc.4,776,797606,750
Analog Devices7,020,763604,977
Analog Devices7,020,763604,977
ENERGY TRANSFER PARTNERS33,028,817604,098
Illumina4,707,077602,694
CVS Corporation7,670,287602,118
Becton, Dickinson & Co.2,671,905596,141
Raytheon Company4,189,180594,866
Celgene Corporation4,081,027594,755
Celgene Corporation4,081,027594,755
athenahealth4,492,887592,747
EPAM Systems5,516,653592,654
European Real Estate Investment Trust Ltd.12,358,790592,480
Colgate-Palmolive Company7,838,103591,386
Diamondhead Casino Corp.2,983,539589,278
Analog Devices6,608,771588,378
Analog Devices6,608,771588,378
iShares NASDAQ Biotechnology Index Fund1,763,328588,228
Danaher Corporation7,707,784585,974
ISHARES V PLC10,512,098585,627
athenahealth4,699,797584,466
athenahealth4,699,797584,466
Oracle Corporation15,176,710583,543
Illini Corp.4,794,046581,184
Intuitive Surgical554,973580,434
American Express Company6,409,356579,791
American Express Company6,409,356579,791
Lloyds Banking Group Plc6,367,096575,426
American Express Company7,751,418574,223
Workday11,094,296570,098
Standard Parking Corporation1,883,288568,245
Walgreens Boots Alliance6,863,091567,991
BROADVIEW INSTITUTE INC2,331,104565,386
BROADVIEW INSTITUTE INC2,331,104565,386
British American Tobacco Industries8,420,578564,096
British American Tobacco Industries8,420,578564,096
CB Scientific Inc.4,355,035562,582
CB Scientific Inc.4,355,035562,582
First Trust Advantaged Short Duration High Yield Bond Fund18,310,107560,683
VGTel, Inc.6,574,897560,049
iShares Trust3,364,262557,731
American Express Company5,786,728551,590
American Express Company5,786,728551,590
Caterpillar4,339,424551,411
Twitter37,832,232549,205
Prudential Financial5,260,812547,439
Select Asset Inc.7,877,102543,048
CVS Corporation6,854,275540,874
Occidental Petroleum Corporation7,576,877539,701
Allergan2,518,246539,545
ENERGY TRANSFER PARTNERS14,761,511539,090
St. Jude Medical6,705,713537,730
Consumer Portfolio Services10,576,035534,082
Reitmans6,449,050532,239
Lic Housing Finance Ltd.2,366,368528,883
First Trust Exchange-Traded Fund II First Trust ISE Global Pla13,602,768528,756
First Century Fox Inc Class A18,739,790525,462
NXP Semiconductors N.V.4,793,002523,730
Industrial Services of America8,407,667523,125
American Express Company6,588,436521,212
American Express Company6,588,436521,212
Ventas8,317,562520,013
Broadcom Corporation2,044,233519,810
Spotify Technology4,576,628519,448
Spotify Technology4,576,628519,448
Indo Tambangraya Megah PT4,767,160515,138
BROADVIEW INSTITUTE INC2,350,267514,615
BROADVIEW INSTITUTE INC2,350,267514,615
Constellation Brands Inc3,184,025512,054
Etfs Commodity Securities Ltd.3,948,002509,134
athenahealth4,514,305508,717
LyondellBasell Industries NV4,606,962506,075
MPLX LP14,517,857502,609
British American Tobacco Industries8,015,272500,553
British American Tobacco Industries8,015,272500,553
Anheuser-Busch Inbev SA4,189,880499,852
Anheuser-Busch Inbev SA4,189,880499,852
American Tower Corporation (REIT)3,498,883499,187
American Tower Corporation (REIT)3,498,883499,187
CB Scientific Inc.3,773,984498,619
Celgene Corporation3,987,402495,999
ECA Marcellus Trust I42,179,808493,925
Lockheed Martin Corporation1,970,746492,568
CB Scientific Inc.3,614,662492,499
CB Scientific Inc.3,614,662492,499
Equity Residential7,462,870492,027
Mondelez International11,097,620491,957
Sector 5, Inc.10,133,994490,080
Constellation Brands Inc2,454,329489,516
Constellation Brands Inc2,454,329489,516
World Gaming plc4,464,991489,408
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 4,258,041481,967
Boston Properties3,696,158480,612
Boston Properties3,696,158480,612
U.S. Helicopter Corp.6,215,641478,232
Target Corporation6,609,555477,406
Abbott Laboratories8,327,465475,250
Abbott Laboratories8,327,465475,250
Host Marriott Financial Trust25,070,520472,328
The Kraft Heinz Company5,376,114469,441
Fortis13,100,731468,614
ENERGY TRANSFER PARTNERS13,085,555468,594
Yandex N.V.14,124,919465,416
Yandex N.V.14,124,919465,416
Vanguard Energy Corporation5,250,269465,011
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund9,363,930463,889
LyondellBasell Industries NV4,167,934459,806
LyondellBasell Industries NV4,167,934459,806
Boston Properties3,428,745453,999
Deoleo SA3,200,942453,894
Phillips 665,234,997452,355
Celgene Corporation3,902,469451,568
Enterprise Products Partners L.P.18,362,496451,534
Abbott Laboratories8,450,251450,905
Abbott Laboratories8,450,251450,905
BROADVIEW INSTITUTE INC2,542,540449,445
VOIP PAL.com, Inc.3,411,859449,103
Indo Tambangraya Megah PT4,087,355447,934
Allergan2,719,201447,731
Allergan2,719,201447,731
Credicorp Ltd.2,145,558445,054
Credicorp Ltd.2,145,558445,054
Anheuser-Busch Inbev SA3,962,043442,006
Anheuser-Busch Inbev SA3,962,043442,006
LyondellBasell Industries NV4,451,122440,884
LyondellBasell Industries NV4,451,122440,884
ProShares Trust ProShares UltraShort Nasdaq Biotechnology10,499,316439,337
iShares MSCI Emerging Markets Materials Sector Index Fund4,944,835438,903
Boston Properties3,567,129438,329
Boston Properties3,567,129438,329
Crimson Wine Group Ltd.7,014,050435,781
CVS Corporation5,984,505433,876
athenahealth4,116,468432,928
Boston Properties3,438,323432,472
First Trust Exchange-Traded Fund II First Trust BICK Index Fun21,508,341431,887
NewStar Financial15,794,787430,410
ETERNITY HEALTHCARE INC.32,498,920429,312
Credicorp Ltd.2,087,302427,938
Credicorp Ltd.2,087,302427,938
NXP Semiconductors N.V.3,906,977427,617
Anheuser-Busch Inbev SA3,892,315427,221
Anheuser-Busch Inbev SA3,892,315427,221
Ibiden Co. Ltd.4,549,160426,028
General Electric Capital Corporation35,063,120425,314
First Trust9,167,020424,306
EPAM Systems4,809,835422,928
Ecolab Inc.2,861,206421,600
American Tower Corporation (REIT)3,057,051417,837
American Tower Corporation (REIT)3,057,051417,837
Marriott International5,051,855417,687
General Motors Company10,332,202417,215
AvalonBay Communities2,352,661416,774
Dow Chemical Company (The)6,533,861415,160
IBO (Listing Market - NYSE Amex Network B F)4,906,931414,390
Eaton Corporation5,236,104413,704
Eaton Corporation5,236,104413,704
CIGNA High Income Shares2,027,784411,825
General Electric Capital Corporation34,145,849408,725
Yandex N.V.12,425,802406,945
Yandex N.V.12,425,802406,945
General Growth Properties16,278,955406,649
MetLife7,542,293406,456
Canadian National Railway Company5,481,529406,237
iShares NASDAQ Biotechnology Index Fund1,525,591404,862
Sempra Energy4,011,642403,733
Duke Energy Corporation4,909,214402,605
HSBC Holdings plc4,880,590401,465
iShares Trust iShares MSCI Emerging Markets Latin America Inde11,432,712400,259
Tallgrass Energy Partners, LP6,438,765396,501
Duke Energy Corporation4,588,380395,977
Ibiden Co. Ltd.4,464,543395,425
IEG Holdings Corp4,647,142394,681
Deoleo SA2,697,086393,857
Russell Exchange Traded Funds Trust Russell Small Cap Contrari3,167,868393,195
Yandex N.V.14,935,685391,913
Envestnet4,081,511391,276
Credicorp Ltd.2,475,209390,736
Emerson Electric Company5,571,852388,303
Abbott Laboratories8,742,453388,253
Abbott Laboratories8,742,453388,253
LyondellBasell Industries NV4,489,584385,117
Edge Resources Inc.8,490,864383,958
Texas Instruments Incorporated5,259,694383,799
Select Asset Inc.4,713,035383,642
Inca One Gold Corporation3,074,339383,554
iShares7,136,261382,718
LyondellBasell Industries NV4,161,395379,478
LyondellBasell Industries NV4,161,395379,478
Innocap, Inc.1,871,730378,764
Valero Energy Corporation5,513,910376,710
First Trust Senior Floating Rate Income Fund II11,659,179376,482
American Tower Corporation (REIT)3,543,345374,461
SMG Indium Resources Ltd.3,083,385373,091
Limited Brands5,643,974371,599
Edge Resources Inc.7,373,836371,199
Duke Energy Corporation4,416,655370,644
Duke Energy Corporation4,416,655370,644
Eaton Corporation4,753,426369,958
Abbott Laboratories9,599,449368,714
Emerson Electric Company5,850,361367,636
Emerson Electric Company5,850,361367,636
iShares11,310,307366,372
Dow Chemical Company (The)6,397,607366,070
Celgene Corporation3,509,508366,008
Envestnet3,802,660363,443
Interface8,384,664363,224
Allergan2,176,271362,827
Intuit Inc.2,552,508362,813
Eaton Corporation4,700,785360,973
Eaton Corporation4,700,785360,973
Church & Dwight Company5,484,695360,674
Russell Exchange Traded Funds Trust Russell Small Cap Contrari3,029,422360,321
Envestnet3,705,904358,509
United Parcel Service3,126,209358,388
American International Group5,837,667358,375
American International Group5,837,667358,375
E.I. du Pont de Nemours and Company4,395,765353,112
Constellation Brands Inc2,177,516352,910
LyondellBasell Industries NV4,170,813351,976
American Tower Corporation (REIT)2,894,266351,768
American Tower Corporation (REIT)2,894,266351,768
USD Partners LP3,008,350350,232
Biogen Idec Inc.1,095,747349,074
Biogen Idec Inc.1,095,747349,074
Colgate-Palmolive Company5,844,085347,839
ConocoPhillips5,552,957346,229
Envestnet3,516,018345,275
Biogen Idec Inc.1,097,950343,789
Biogen Idec Inc.1,097,950343,789
U.S. Helicopter Corp.4,298,726343,383
CBS Corporation5,397,051343,364
CenturyLink20,553,343342,828
Colgate-Palmolive Company4,683,840342,810
LyondellBasell Industries NV4,114,094342,129
LyondellBasell Industries NV4,114,094342,129
Linde AG 2,188,871341,551
Linde AG 2,188,871341,551
CBS Corporation4,895,656339,566
General Mills5,451,463336,738
Envestnet3,230,114334,332
Yandex N.V.15,238,199334,174
Yandex N.V.15,238,199334,174
Kimberly-Clark Corporation2,925,842333,896
Deutsche Telekom12,318,985333,351
Eaton Corporation4,451,241332,685
Michael Kors Holdings Limited7,719,239331,773
Deere & Company2,223,955331,747
iShares FTSE EPRA/NAREIT Asia Index Fund3,145,351331,363
E.I. du Pont de Nemours and Company4,513,944331,325
Linear Technology Corporation5,310,662331,119
ConocoPhillips6,615,003331,080
ConocoPhillips6,615,003331,080
PAA Natural Gas Storage10,249,125330,944
PIMCO California Municipal Income Fund3,246,727328,992
The Bank of Kentucky Financial Corp.6,980,438328,569
iShares FTSE EPRA/NAREIT Asia Index Fund3,127,829328,233
American International Group5,499,985327,689
American International Group5,499,985327,689
Dominion Resources4,283,123326,997
Duke Energy Corporation3,884,475326,725
Ctrip.com International34,258,010326,720
Spectral Capital Corp.7,939,500326,233
Dominion Resources4,023,949326,181
Software AG2,993,458325,837
IBO (Listing Market - NYSE Amex Network B F)3,837,887324,109
TJX Companies4,309,327323,760
Boston Properties2,866,559322,631
Emerson Electric Company5,381,629322,145
Federal Express Corporation1,422,565320,903
IEG Holdings Corp3,974,373319,659
Eaton Corporation4,310,592319,630
Eaton Corporation4,310,592319,630
MSCI Inc4,551,058319,434
International Hi-Tech Industries Inc.2,710,939319,429
Innocap, Inc.1,752,617319,327
General Motors Company9,143,197318,551
Bowl America, Inc.7,529,243316,452
Bowl America, Inc.7,529,243316,452
Envestnet3,616,539315,399
Colgate-Palmolive Company4,307,602313,809
Colgate-Palmolive Company4,307,602313,809
INCEPTION MINING INC.1,901,527312,783
Bowl America, Inc.8,239,770312,452
ConocoPhillips6,230,818312,413
Credicorp Ltd.1,909,795311,869
Credicorp Ltd.1,909,795311,869
Westar Energy5,496,285309,715
Federal Express Corporation1,661,638309,398
Eaton Corporation4,610,769309,337
Kinder Morgan13,696,566308,715
INFORMATION ANALYSIS INC2,058,434308,600
Netflix2,490,505308,324
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 3,151,039306,879
Essex Property Trust1,325,290306,844
Ingersoll-Rand plc (Ireland)3,435,073306,303
Ingersoll-Rand plc (Ireland)3,435,073306,303
Nabors Industries Ltd.18,672,955306,237
Biogen Idec Inc.1,012,746304,757
Duke Energy Corporation3,922,758304,484
American Electric Power Company4,071,375304,296
American Electric Power Company4,071,375304,296
Vodafone Group Plc12,445,069304,034
Grupo Carso S.A. de CV14,553,366304,020
Credicorp Ltd.1,693,672303,828
CBS Corporation5,145,871303,610
ServiceNow9,215,348303,521
Colgate-Palmolive Company4,620,751302,383
India Cement Ltd.1,979,850302,382
Constellation Brands Inc1,969,659301,969
Vipshop Holdings Limited32,858,210301,587
ConocoPhillips5,487,793301,226
American International Group4,610,957301,142
iShares S&P Emerging Markets Infrastructure Index Fund7,758,988301,126
ECA Marcellus Trust I22,487,752299,761
Eaton Corporation4,358,599299,260
Eaton Corporation4,358,599299,260
Dominion Resources3,853,078298,883
Adobe Systems Incorporated1,705,464298,866
Adobe Systems Incorporated1,705,464298,866
Halliburton Company5,489,993296,953
Clorox Company (The)1,925,231296,754
Verisk Analytics3,650,397296,303
McKesson Corporation2,109,541296,284
Crimson Wine Group Ltd.5,383,235296,130
Eli Lilly and Company4,025,098296,045
iShares Trust1,920,226295,600
ConAgra Foods7,443,183294,376
Capital One Financial Corp3,373,451294,296
First Trust11,235,464293,562
Federal Express Corporation1,503,694293,446
India Cement Ltd.2,013,839292,429
AvalonBay Communities1,636,250291,940
AvalonBay Communities1,636,250291,940
Home Retail Group plc7,979,268291,561
Ingersoll-Rand plc (Ireland)3,264,528291,163
Ingersoll-Rand plc (Ireland)3,264,528291,163
Fomento Economico Mexicano S.A.B. de C.V.3,041,468290,552
iShares S&P Emerging Markets Infrastructure Index Fund7,800,659290,264
Cognizant Technology Solutions Corporation5,158,633289,039
Delta Air Lines Inc. (New)5,154,634288,660
Dollar Tree3,739,912288,646
High Country Bancorp, Inc.3,801,557288,045
Intuit Inc.2,511,863287,886
Essex Property Trust1,232,368286,526
Spotify Technology1,699,857285,984
Credicorp Ltd.1,263,346284,404
Dunkin' Brands Group5,414,169283,918
Cognizant Technology Solutions Corporation3,981,581282,772
Elanco Animal Health Inc8,968,123282,765
Barclays PLC3,556,192282,521
Camden Property Trust3,501,894281,763
Halliburton Company6,116,622281,548
Williams Creek Gold Ltd.7,313,796278,144
Vanguard Natural Resources, LLC6,291,197277,945
IHS Markit6,290,386277,029
Zoetis5,174,998277,016
Bowl America, Inc.7,203,715276,839
Bowl America, Inc.7,203,715276,839
American Airlines Group5,921,566276,479
Adriana Resources, Inc.1,741,741276,241
Adriana Resources, Inc.1,179,415276,231
Adriana Resources, Inc.1,179,415276,231
Credicorp Ltd.1,244,127275,784
Credicorp Ltd.1,244,127275,784
Dominion Resources3,856,154275,561
ConocoPhillips5,511,539274,860
FVI Fondo Valores Inmobiliarios11,851,926274,253
Biogen Idec Inc.966,700274,139
AvalonBay Communities1,534,570273,783
AvalonBay Communities1,534,570273,783
Express Scripts Holding Company3,965,902272,813
Ingersoll-Rand plc (Ireland)3,354,567272,794
Ingersoll-Rand plc (Ireland)3,354,567272,794
Apollo Global Management8,145,400272,626
Apollo Global Management8,145,400272,626
Avis Budget Group7,426,657272,411
Prologis, Inc.5,157,686272,275
XBiotech Inc.4,648,615272,127
Deutsche Telekom10,724,193272,073
Anheuser-Busch Inbev SA2,576,901271,708
Lowe's Companies3,819,791271,663
Adriana Resources, Inc.1,093,577270,868
Adriana Resources, Inc.1,093,577270,868
iShares FTSE China (HK Listed) Index Fund7,799,255270,712
Boston Scientific Corporation7,659,810270,698
Express Scripts Holding Company4,100,823270,285
Newell Rubbermaid Inc.6,022,712268,914
U.S. Bancorp5,225,845268,450
INCEPTION MINING INC.1,786,603267,990
Copart5,604,292267,773
ConAgra Foods6,630,304267,467
IHS Markit6,375,226267,441
IHS Markit6,375,226267,441
Computer Sciences Corporation4,495,673267,133
Ingersoll-Rand plc (Ireland)2,912,896266,210
First Trust Exchange-Traded Fund II First Trust BICK Index Fun14,003,027265,917
Cemex S.A.B. de C.V.31,897,382265,691
Cemex S.A.B. de C.V.31,897,382265,691
AvalonBay Communities1,517,629264,143
Ingersoll-Rand plc (Ireland)3,519,032264,067
Biogen Idec Inc.963,780263,516
Adobe Systems Incorporated1,764,648263,251
Adobe Systems Incorporated1,764,648263,251
Cognizant Technology Solutions Corporation3,623,981262,882
Cognizant Technology Solutions Corporation3,623,981262,882
Emerson Electric Company4,714,323262,826
IHS Markit5,960,555262,741
IHS Markit5,960,555262,741
Southern Company (The)5,340,455262,699
Cemex S.A.B. de C.V.36,698,599262,617
AMP Ltd.1,546,701262,121
AMP Ltd.1,546,701262,121
Fomento Economico Mexicano S.A.B. de C.V.3,431,658261,527
EPAM Systems3,461,697261,428
Teva Pharmaceutical Industries Ltd.7,201,609261,058
Emerson Electric Company4,343,052259,496
Canadian Pacific Railway Limited1,816,520259,344
NXP Semiconductors N.V.2,504,544259,221
NXP Semiconductors N.V.2,504,544259,221
Autodesk2,013,660258,975
Marathon Petroleum Corporation5,127,215258,156
Ecolab Inc.1,919,573257,567
Regency Affiliates, Inc.3,714,517256,116
Stark Naked Bobbers2,086,480255,426
Coupa Software4,063,219255,413
Discover Financial Services3,314,790254,974
Hydrodynex, Inc.5,003,477254,877
Transdigm Group Incorporated1,022,965254,676
Terra Nitrogen Company8,056,114254,625
Charter Communications889,414253,457
Deoleo SA1,912,329252,675
Deoleo SA1,912,329252,675
Monotaro Co., Ltd.2,400,630252,568
Corning Incorporated8,398,782251,290
Corning Incorporated8,398,782251,290
iShares6,896,243251,022
db x-trackers Sicav6,181,463250,535
db x-trackers Sicav6,181,463250,535
Anthem United, Inc.952,190250,073
Anthem United, Inc.952,190250,073
Ingersoll-Rand plc (Ireland)2,781,481249,581
Corning Incorporated7,797,328249,436
Cognizant Technology Solutions Corporation4,168,116248,086
IJJ Corp.1,672,297248,018
Becton1,350,144247,672
KKR & Co. L.P.16,076,629247,419
Exelon Corporation6,860,043246,825
The Bank of Kentucky Financial Corp.5,208,389246,774
IJJ Corp.1,761,766246,665
T-Mobile US Inc4,282,284246,274
First Tractor Co. Ltd.7,341,356245,758
Nabors Industries Ltd.18,787,378245,552
Nabors Industries Ltd.18,787,378245,552
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio5,684,242245,034
Russell Breweries Inc1,966,678244,773
Aetna Inc.1,355,736244,562
Aetna Inc.1,355,736244,562
FVI Fondo Valores Inmobiliarios9,337,245244,356
American Airlines Group5,768,960244,026
American Airlines Group5,768,960244,026
Cemex S.A.B. de C.V.40,979,880243,311
Delta Air Lines Inc. (New)5,033,220242,702
Delta Air Lines Inc. (New)5,033,220242,702
Yandex N.V.12,007,119241,702
db x-trackers Sicav5,480,337241,629
ECA Marcellus Trust I20,379,560240,072
ECA Marcellus Trust I20,379,560240,072
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal10,260,723239,690
NXP Semiconductors N.V.13,327,683238,278
Santeon Group Inc5,746,333238,013
Becton1,435,892237,711
Celgene Corporation3,708,450237,600
Allergan1,767,408236,231
Allergan1,767,408236,231
Corning Incorporated8,748,204236,202
Discover Financial Services3,438,680235,170
American International Group3,749,355234,073
American International Group3,749,355234,073
Dunkin' Brands Group4,262,278233,062
Cummins Inc.1,743,094232,948
The Bank of Kentucky Financial Corp.4,387,064232,601
The Bank of Kentucky Financial Corp.4,387,064232,601
Consolidated Graphics2,971,665230,778
Applied Materials4,487,616229,407
Applied Materials4,487,616229,407
Kresta Holdings Ltd.4,125,839229,273
Dex One Corporation3,976,640228,219
Canadian Pacific Railway Limited1,351,654227,118
Canadian Pacific Railway Limited1,351,654227,118
INFORMATION ANALYSIS INC1,888,006227,033
AvalonBay Communities1,235,579226,852
Apollo Global Management7,528,213226,599
Apollo Global Management7,528,213226,599
General Dynamics Corporation1,102,127226,576
Delta Air Lines Inc. (New)4,538,617226,477
Diageo plc1,958,009226,307
IHS Markit6,384,461226,073
Applied Materials4,327,691225,428
Applied Materials4,327,691225,428
Everett SpinCo, Inc.2,360,862224,046
Magellan Minerals Ltd.2,961,625223,988
Cummins Inc.1,264,618223,381
CME Group Inc.1,185,660223,045
Voestalpine AG2,292,371222,795
Yandex N.V.6,197,172222,480
Globant3,947,936222,349
Globant3,947,936222,349
Berkshire Hathaway Inc.725221,850
AmerisourceBergen Corporation (Holding Co)2,498,525221,121
AmerisourceBergen Corporation (Holding Co)2,498,525221,121
Exelon Corporation5,842,017220,069
Illinois Tool Works Inc.1,796,854220,045
Splunk Inc.4,288,668219,365
Vanguard Energy Corporation1,804,378219,231
Canadian Pacific Railway Limited1,489,263218,802
Host Marriott Financial Trust11,828,412218,708
CBS Corporation3,758,606218,002
CBS Corporation3,758,606218,002
Stryker Corporation1,818,811217,912
iShares FTSE China (HK Listed) Index Fund4,937,809217,460
Camden Property Trust2,585,993217,404
American Electric Power Company2,953,695217,303
American Electric Power Company2,953,695217,303
Palo Alto Networks1,737,517217,277
Activision Blizzard4,343,473216,566
Activision Blizzard4,343,473216,566
Anadarko Petroleum Corporation3,498,040216,373
Anadarko Petroleum Corporation3,498,040216,373
Williams Companies6,947,097216,332
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF2,520,468216,004
PAREXEL International Corporation3,286,395215,982
Essex Property Trust846,255214,974
Atlantica Del Golfo10,964,754214,910
Atlantica Del Golfo10,964,754214,910
Liberty Property Trust5,414,837213,885
Everett SpinCo, Inc.2,487,297213,610
Everett SpinCo, Inc.2,487,297213,610
Bowl America, Inc.6,186,085213,544
Intertainment Media, Inc.2,595,777213,502
Ecolab Inc.1,659,954213,487
Ecolab Inc.1,659,954213,487
Avis Budget Group7,166,059211,972
Kimco Realty Corporation8,416,404211,758
Adobe Systems Incorporated1,624,287211,367
Adobe Systems Incorporated1,624,287211,367
Berkshire Hathaway Inc.709210,999
Berkshire Hathaway Inc.709210,999
B/E Aerospace3,285,725210,648
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund4,125,205209,654
Analog Devices2,432,153208,752
Analog Devices2,432,153208,752
Discover Financial Services3,237,084208,727
Discover Financial Services3,237,084208,727
Material Sciences Corporation4,198,978208,690
International Consolidated Airlines Group SA1,057,598208,505
Discover Financial Services2,889,911208,333
Capital One Financial Corp2,091,283208,247
Bowl America, Inc.5,562,473207,924
iShares1,940,235207,799
Delta Air Lines Inc. (New)4,513,240207,429
MercadoLibre1,335,618207,150
Deutsche Bank Aktiengesellschaft7,348,890206,210
International Paper Company3,885,936206,187
Noble Group Ltd.3,822,594206,076
Analog Devices2,514,178206,038
Analog Devices2,514,178206,038
Globant3,626,834205,968
BGS Acquisition Corp.3,844,895205,473
BGS Acquisition Corp.3,844,895205,473
ABB Ltd7,658,920205,413
ABB Ltd7,658,920205,413
Interface5,926,063205,043
Digital Realty Trust1,799,030204,910
Italian Food & Beverage Corp1,149,037204,576
Delta Air Lines Inc. (New)4,152,969204,285
RIGHTSCORP, INC.3,517,877203,931
Colony NorthStar, Inc.11,092,058203,287
Carnival Plc ADS3,144,467203,034
Carnival Plc ADS3,144,467203,034
Moody's Corporation2,142,369201,961
Illinois Tool Works Inc.1,364,715201,923
Islet Holdings, Inc.1,795,872201,353
Estee Lauder Companies2,626,175200,877
Banco Macro S.A.1,709,785200,644
Banco Macro S.A.1,709,785200,644
UAN Power Corp.6,889,198200,132
Intertainment Media, Inc.2,315,790199,043
Deutsche Bank Aktiengesellschaft6,717,656198,776
Camden Property Trust2,160,778197,604
Camden Property Trust2,160,778197,604
ASML Holding N.V.996,044197,187
Cigna Corporation1,038,184197,172
Berkshire Hathaway Inc.717196,989
Berkshire Hathaway Inc.717196,989
Hilton Worldwide Holdings Inc.7,240,054196,929
Align Technology885,856196,830
Align Technology885,856196,830
Exelon Corporation5,524,370196,059
eBay Inc.5,181,673195,555
Dominion Resources2,541,973195,554
Dominion Resources2,541,973195,554
Deere & Company1,556,970195,538
Deere & Company1,556,970195,538
Sunoco Logistics Partners LP8,138,250195,480
Macerich Company (The)2,758,264195,397
Digital Realty Trust1,648,214195,033
Digital Realty Trust1,648,214195,033
Dollar Tree2,476,772194,328
Goldman Sachs Group5,709,262194,062
Dollar General Corporation2,086,443194,060
International Hi-Tech Industries Inc.1,354,064193,510
CMG HOLDINGS GROUP, INC.512,651193,432
USD Partners LP1,799,420193,175
Marsh & McLennan Companies2,839,732191,937
The Bank of Kentucky Financial Corp.3,540,073190,669
The Bank of Kentucky Financial Corp.3,540,073190,669
MICRO IMAGING TECHNOLOGY, INC.2,333,526190,649
eBay Inc.4,940,596190,014
eBay Inc.4,940,596190,014
Express Scripts Holding Company3,000,677190,003
Inca One Gold Corporation1,593,848189,874
Aflac Incorporated2,331,218189,739
Aflac Incorporated2,331,218189,739
Aflac Incorporated2,715,929189,028
Becton, Dickinson & Co.882,559188,920
Becton, Dickinson & Co.882,559188,920
Humet-PBC North America, Inc.774,858188,777
NoCopi Technologies, Inc.811,591188,760
Harley-Davidson3,210,347187,292
Camden Property Trust2,034,124187,261
ExactTarget19,913,515186,789
Canadian Pacific Railway Limited1,019,256186,278
Nucor Corporation3,126,299186,076
Adriana Resources, Inc.1,131,514186,033
Avis Budget Group4,884,750185,913
Avis Budget Group4,884,750185,913
Aflac Incorporated2,561,231185,483
Aflac Incorporated2,561,231185,483
STARWOOD PROPERTY TRUST19,725,542185,255
First Trust Energy Income and Growth Fund11,215,547185,168
LaSalle Hotel Properties6,074,457185,088
Healthcare Realty Trust Incorporated5,710,501184,677
EPAM Systems2,860,922183,986
Fortive Corp2,595,064183,705
Anheuser-Busch Inbev SA2,790,767183,661
Anheuser-Busch Inbev SA2,790,767183,661
ExactTarget19,625,278183,497
ExactTarget19,625,278183,497
Aflac Incorporated2,084,243182,955
Aflac Incorporated2,084,243182,955
Capital One Financial Corp2,110,647182,905
CME Group Inc.1,536,648182,553
The Carlyle Group L.P.7,961,647182,322
ingXabo Corporation1,865,000182,187
Best Buy Co.3,197,983182,156
Best Buy Co.3,197,983182,156
Sherwin-Williams Company (The)675,711181,591
Anadarko Petroleum Corporation2,614,630181,467
Weyerhaeuser Company6,011,809180,895
International Consolidated Airlines Group SA1,011,124180,849
Diageo plc1,739,559180,809
IHS Markit4,000,789180,637
IHS Markit4,000,789180,637
International Paper Company3,166,404179,915
PNC Financial Services Group1,536,413179,700
Atlantica Del Golfo8,886,547179,330
Johnson Electric Holdings Ltd.4,129,390179,050
JD.com Inc7,033,780178,938
Applied Materials4,599,292178,912
Applied Materials4,599,292178,912
American Electric Power Company2,658,422178,458
American Electric Power Company2,658,422178,458
First Trust NASDAQ-100 Ex-Technology Sector Index Fund2,617,940178,412
Sysco Corporation3,222,180178,411
Ingersoll-Rand plc (Ireland)1,954,566178,315
Ingersoll-Rand plc (Ireland)1,954,566178,315
Martin Marietta Materials804,571178,236
Berkshire Hathaway Inc.713178,144
BlackRock Maryland Municipal Bond Trust3,578,669177,932
BlackRock Maryland Municipal Bond Trust3,578,669177,932
Invesco Plc4,869,016177,913
Invesco Plc4,869,016177,913
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund1,602,940177,718
GlaxoSmithKline PLC4,614,293177,697
Clorox Company (The)1,192,995177,447
Dex One Corporation2,092,962177,336
Capital One Financial Corp2,094,208177,292
Capital One Financial Corp2,094,208177,292
Becton, Dickinson & Co.904,412177,219
Becton, Dickinson & Co.904,412177,219
iShares Gold Trust14,391,393177,157
iShares FTSE EPRA/NAREIT Europe Index Fund1,607,166177,045
Corning Incorporated7,291,900176,974
American Electric Power Company2,510,785176,356
American Electric Power Company2,510,785176,356
Johnson Electric Holdings Ltd.4,373,429176,208
Johnson Electric Holdings Ltd.4,373,429176,208
CenturyLink11,619,297176,031
Consolidated Graphics2,301,948176,008
Charles Schwab Corporation4,459,247176,007
Nearmap Ltd.3,498,888175,959
ISHARES IV PLC2,544,376175,955
Deutsche Telekom6,204,945175,848
Deutsche Telekom6,204,945175,848
Banco Macro S.A.1,515,511175,619
Banco Macro S.A.1,515,511175,619
General Dynamics Corporation1,015,211175,287
Berkshire Hathaway Inc.715174,546
Tanger Factory Outlet Centers4,875,857174,458
Johnson Electric Holdings Ltd.4,212,338173,506
Crimson Wine Group Ltd.3,196,737173,456
Crimson Wine Group Ltd.3,196,737173,456
eBay Inc.6,161,786172,962
Apollo Global Management7,111,844172,960
Apollo Global Management7,111,844172,960
Columbia Pipeline Partners10,083,222172,927
CenturyLink9,137,179172,694
CenturyLink9,137,179172,694
Hawaiian Telcom Holdco, Inc.1,787,331172,245
Bank of Nova Scotia (The)2,152,003172,236
Alliance Creative Group, Inc.688,894171,534
Alliance Creative Group, Inc.688,894171,534
Archer4,278,575171,485
Archer4,278,575171,485
PayPal Holdings, Inc.4,338,616171,245
Grupo Financiero Galicia S.A.3,322,523171,243
Consolidated Graphics2,322,050171,088
Brixmor Property Group Inc.11,645,101171,066
General Mills3,297,428170,674
Enbridge Inc4,357,701170,429
Anthem United, Inc.1,114,129170,341
Anthem United, Inc.1,114,129170,341
Senior Housing Properties Trust8,994,788170,272
Carnival Plc ADS2,565,104170,246
Sanofi4,225,750169,690
CBS Corporation3,880,303169,648
Brocade Communications Systems14,238,017169,553
Brocade Communications Systems14,238,017169,553
Software AG1,158,839169,492
TheraBiogen Inc.1,630,389168,924
Cummins Inc.1,004,614168,806
Cummins Inc.1,004,614168,806
Race World International, Inc.1,249,621168,711
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund1,555,502168,275
Activision Blizzard4,650,948167,945
Deere & Company1,072,009167,779
Tiffany & Co.2,166,458167,748
American International Group4,255,208167,698
American International Group4,255,208167,698
Yandex N.V.6,131,501167,697
Yandex N.V.6,131,501167,697
Duke Realty Corporation6,313,754167,694
CIGNA High Income Shares894,824167,280
CIGNA High Income Shares894,824167,280
United Continental Holdings2,292,610167,085
First Trust Senior Floating Rate Income Fund II3,460,505166,737
Carnival Plc ADS2,827,177166,492
Barclays PLC2,271,543166,331
B/E Aerospace2,760,891166,178
Bats Global Markets, Inc.4,954,065166,011
Cardinal Health2,035,339165,981
Hi-Crush Partners LP8,378,028165,885
Pacific Gas & Electric Co.2,721,556165,391
Clorox Company (The)1,253,148165,302
Clorox Company (The)1,253,148165,302
Yum! Brands2,608,486165,196
Consolidated Graphics1,967,102165,141
Copa Holdings1,224,185164,114
Copa Holdings1,224,185164,114
Luxoft Holding Inc2,623,017164,070
Luxoft Holding Inc2,623,017164,070
Edwards Lifesciences Corporation1,070,968164,042
Invesco Plc4,649,200163,606
Indianapolis Power & Light Co.4,976,616163,482
Boardwalk Pipeline Partners L.P.8,925,784163,432
American Electric Power Company2,591,920163,187
Mylan Inc.4,174,499162,765
Mylan Inc.4,174,499162,765
iShares FTSE EPRA/NAREIT Europe Index Fund1,501,088162,402
Coca Cola Icecek Sanayi As5,171,792162,394
American Water Works1,784,765162,004
American Water Works1,784,765162,004
Vanguard International Equity Index Funds Vanguard Global ex-U2,546,860161,444
V.F. Corporation3,023,786161,319
Ross Stores2,458,319161,266
Enbridge Inc3,854,214161,261
Enbridge Inc3,854,214161,261
Veeva Systems3,957,909161,087
Aetna Inc.1,012,926161,065
Aetna Inc.1,012,926161,065
State Street Corporation2,071,479160,994
Apollo Global Management8,311,475160,911
Ecolab Inc.1,371,929160,818
Franklin Resources4,058,742160,644
Royal Dutch Shell PLC2,952,541160,559
NXP Semiconductors N.V.2,187,516160,300
NXP Semiconductors N.V.2,187,516160,300
Vanguard Intermediate-Term Corporate Bond ETF1,928,009160,161
Oppenheimer Holdings3,324,161159,988
iShares1,501,535159,674
First Trust NASDAQ-100 Ex-Technology Sector Index Fund3,029,974159,558
Air Products and Chemicals996,273159,454
Air Products and Chemicals996,273159,454
AMP Ltd.1,073,294159,394
AMP Ltd.1,073,294159,394
Nabors Industries Ltd.19,729,997159,223
Nabors Industries Ltd.19,729,997159,223
Race World International, Inc.1,518,078159,155
Race World International, Inc.1,518,078159,155
China Lodging Group1,101,143159,039
Companhia de Bebidas das Americas - AmBev24,502,995158,290
Companhia de Bebidas das Americas - AmBev24,502,995158,290
Best Buy Co.2,308,677158,075
Best Buy Co.2,308,677158,075
iSoftStone Holdings Limited4,667,118157,562
TE Connectivity Ltd.1,747,507157,381
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 4,101,125157,376
BlackRock Maryland Municipal Bond Trust3,346,256157,342
Deutsche Telekom5,533,022157,249
Allstate Corporation (The)1,501,665157,239
Allstate Corporation (The)1,501,665157,239
Companhia de Bebidas das Americas - AmBev23,851,457157,183
Companhia de Bebidas das Americas - AmBev23,851,457157,183
Expedition Mining Inc1,244,418157,010
Aflac Incorporated3,439,882156,722
Aflac Incorporated3,439,882156,722
DENTSPLY International Inc.4,210,987156,690
ExactTarget18,344,145156,292
Discover Financial Services2,647,317156,139
ExactTarget20,923,393156,089
GlaxoSmithKline PLC3,834,695155,688
Advanced Micro Devices15,879,967155,589
Advanced Micro Devices15,879,967155,589
Russell Breweries Inc1,108,305155,029
Adriana Resources, Inc.894,926154,393
Crimson Wine Group Ltd.4,295,637154,343
ANTERO RESOURCES Corp5,093,539154,003
Synchrony Financial4,244,989153,966
Nabors Industries Ltd.18,895,142153,807
CME Group Inc.1,051,955153,638
Hudson Pacific Properties4,415,468153,571
Bio-Rad Laboratories839,988153,113
Micron Technology12,719,497153,078
Blackrock Diversified Income Strategies Fund2,215,076152,972
Nordstrom3,184,261152,622
American Airlines Group4,734,189152,014
American Airlines Group4,734,189152,014
Seagate Technology.2,691,882152,011
The Carlyle Group L.P.9,623,500151,571
Johnson Electric Holdings Ltd.3,592,910151,334
Johnson Electric Holdings Ltd.3,592,910151,334
Cummins Inc.1,106,212151,188
Nearmap Ltd.2,997,344150,408
Deere & Company1,379,510150,173
Atlantica Del Golfo7,072,905150,016
Atlantica Del Golfo7,072,905150,016
American Airlines Group3,149,790149,584
American Airlines Group3,149,790149,584
American Airlines Group2,873,706149,518
American Airlines Group2,873,724149,518
EQT Midstream Partners1,942,853149,405
The Bank of Kentucky Financial Corp.3,162,873149,382
Whole Foods Market4,839,977148,878
Copa Holdings1,195,114148,826
Copa Holdings1,195,114148,826
Invesco Plc4,854,424148,690
Invesco Plc4,854,424148,690
Alnylam Pharmaceuticals1,168,771148,492
Alnylam Pharmaceuticals1,168,771148,492
D.R. Horton2,905,287148,374
Endurance Specialty Holdings Ltd1,600,359147,875
POWERSHARES DB AGRICULTURE FUND4,241,953147,848
Ecolab Inc.1,175,392147,323
Boardwalk Pipeline Partners L.P.8,477,896147,176
GSM Fund Group Inc2,946,467147,088
Crimson Wine Group Ltd.3,159,439147,073
EQT Midstream Partners1,915,239146,860
Edwards Lifesciences Corporation1,298,445146,350
Digital Realty Trust1,371,542146,137
WhiteWave Foods2,626,950146,058
BHP Billiton Limited3,020,775145,873
Cerner Corporation2,781,405145,857
Rio Tinto3,788,720145,713
Copa Holdings1,241,821145,293
Hewlett Packard Enterprise Co6,269,812145,084
Air Products and Chemicals1,069,786144,731
Air Products and Chemicals1,069,786144,731
Johnson Electric Holdings Ltd.3,797,616144,727
Johnson Electric Holdings Ltd.3,797,616144,727
Deere & Company1,399,083144,162
Compania Cervecerias Unidas8,882,888144,080
Aetna Inc.1,161,296144,012
Aetna Inc.1,127,311143,788
Aetna Inc.1,127,311143,788
Dollar General Corporation1,328,718143,608
Enbridge Inc.1,420,000143,598
Edison International1,803,598143,586
Dollar General Corporation2,058,011143,505
HCA Holdings1,801,431143,376
Ferrari1,295,296143,105
Ferrari1,295,296143,105
Banco Bilbao Viscaya Argentaria S.A.16,823,680142,999
Banco Bilbao Viscaya Argentaria S.A.16,823,680142,999
Coca Cola Icecek Sanayi As3,789,755142,836
Coca Cola Icecek Sanayi As3,789,755142,836
LivaNova PLC1,559,650142,661
LivaNova PLC1,559,650142,661
The Weir Group4,862,860142,626
Enbridge Energy Management LLC5,499,738142,444
Johnson Electric Holdings Ltd.4,246,060142,032
CenturyLink5,969,710141,959
Ctrip.com International37,866,578141,418
Edison International2,233,897141,272
ExactTarget17,586,611141,045
CITIZENS FINANCIAL GROUP INC/RI4,082,306141,044
Wake Forest Bancshares, Inc.2,404,357141,017
Invesco Plc4,019,525140,845
Invesco Plc4,019,525140,845
Globant3,030,727140,808
Globant3,030,727140,808
Andeavor Logistics3,041,086140,467
Andeavor Logistics3,041,086140,467
Edwards Lifesciences Corporation1,485,058139,699
Enbridge Inc4,488,213139,494
Invesco Plc4,593,262139,360
Islet Holdings, Inc.1,371,629139,164
NetEase644,867138,866
iShares MSCI ACWI Index Fund2,014,928138,667
Multi-Strategy Growth & Income Fund4,831,851138,529
Luxoft Holding Inc2,463,301138,438
Nabors Industries Ltd.20,257,341138,359
Nabors Industries Ltd.20,257,341138,359
Air Products and Chemicals839,729137,781
Air Products and Chemicals839,729137,781
Duke Realty Corporation4,761,139137,217
Duke Realty Corporation4,761,139137,217
Waste Management1,933,483137,102
UBS AG (London Branch)7,454,824137,092
UBS AG (London Branch)7,454,824137,092
Consolidated Graphics1,696,366136,862
Consolidated Graphics1,696,366136,862
PowerShares Global Steel Portfolio9,612,385136,784
Luxoft Holding Inc2,246,811136,719
Citrix Systems20,791,357136,619
Vanguard Health Systems1,077,283136,568
Aspen Pharmacare Holdings plc938,752136,457
Aspen Pharmacare Holdings plc938,752136,457
Eaton Vance Tax-Advantage Global Dividend Opp11,183,592136,328
Anthem United, Inc.717,443136,227
Anthem United, Inc.717,443136,227
B Communications Ltd.3,145,463135,999
Copa Holdings1,209,501135,766
Copa Holdings1,209,501135,766
Ironclad Performance Wear Corp3,484,285135,539
The Carlyle Group L.P.5,731,722135,269
The Carlyle Group L.P.5,731,722135,269
Nielsen CO B.V.3,272,868135,203
Nielsen CO B.V.3,272,868135,203
DaVita Inc.2,105,040135,143
Banco Macro S.A.1,556,694134,965
Gabelli Dividend6,023,720134,872
BlackRock Maryland Municipal Bond Trust3,013,055134,683
Fortive Corp2,510,994134,664
TE Connectivity Ltd.1,711,176134,635
CIGNA High Income Shares1,008,515134,526
PrivateBancorp2,480,522134,419
Clorox Company (The)996,369134,342
C.R. Bard417,984133,965
C.R. Bard417,984133,965
Apollo Global Management5,458,823133,959
Apollo Global Management5,458,823133,959
Mobileye2,180,163133,862
Mobileye2,180,163133,862
Fifth Third Bancorp4,963,151133,856
ICICI Bank Limited15,636,950133,853
Multi-Strategy Growth & Income Fund4,473,303133,662
IFAN Financial, Inc.1,200,914133,662
Hasbro1,365,596133,376
Regeneron Pharmaceuticals363,205133,329
Paychex2,185,392133,046
American Water Works1,447,219132,406
American Water Works1,447,219132,406
Fifth Third Bancorp5,212,126132,389
Anthem United, Inc.595,287132,346
Capital One Financial Corp1,750,165132,295
Aspen Pharmacare Holdings plc985,647132,075
Aspen Pharmacare Holdings plc985,647132,075
Anthem United, Inc.585,832131,818
Novartis AG1,809,465131,801
iShares MSCI2,804,854131,464
Norfolk Souther Corporation1,215,918131,403
PPG Industries1,386,403131,376
NRG Yield8,338,072131,195
Eaton Vance Tax-Advantage Global Dividend Opp11,245,684131,125
Eaton Vance Tax-Advantage Global Dividend Opp11,245,684131,125
iShares1,228,225130,831
Hess Corporation2,096,454130,589
Deutsche Bank Aktiengesellschaft4,204,829130,476
Deutsche Bank Aktiengesellschaft4,204,829130,476
AmerisourceBergen Corporation (Holding Co)1,665,713130,242
Antero Midstream GP LP3,927,442130,234
Antero Midstream GP LP3,927,442130,234
American Water Works1,799,566130,219
TotalFinaElf2,550,419129,994
ISHARES IV PLC1,176,613129,891
Corning Incorporated4,289,647129,589
Apache Corporation2,515,450129,268
Apache Corporation2,515,450129,268
Electronic Arts Inc.1,227,438128,956
TE Connectivity Ltd.1,355,703128,846
TE Connectivity Ltd.1,355,703128,846
LendingClub Corp24,532,053128,793
Alexion Pharmaceuticals916,538128,580
Alexion Pharmaceuticals916,538128,580
Deutsche Bank Aktiengesellschaft4,042,478128,470
iShares Gold Trust11,579,185128,298
Nielsen CO B.V.3,033,326127,248
American Water Works1,632,241126,940
American Water Works1,632,241126,940
iShares MSCI Europe Financials Sector Index Fund1,025,270126,631
Edwards Lifesciences Corporation1,156,076126,370
Edwards Lifesciences Corporation1,156,076126,370
Dex One Corporation2,569,685125,721
Dex One Corporation2,569,685125,721
Boardwalk Pipeline Partners L.P.8,548,554125,663
Boardwalk Pipeline Partners L.P.8,548,554125,663
iShares1,195,037125,264
Charter Communications417,111125,233
BlackRock Maryland Municipal Bond Trust2,666,271125,155
BlackRock Maryland Municipal Bond Trust2,666,271125,155
CDK Global, Inc.1,978,692124,836
CDK Global, Inc.1,978,692124,836
Canadian Pacific Railway Limited702,552124,788
Computer Sciences Corporation1,806,735124,683
Eaton Vance Tax-Advantage Global Dividend Opp12,222,506124,670
Ctrip.com International30,938,637124,346
Ctrip.com International30,938,637124,346
ONEOK2,165,265124,308
Charter Communications356,489124,110
Enbridge Inc2,962,357123,944
Cognizant Technology Solutions Corporation1,952,197123,925
CoreStream Energy, Inc.2,147,592123,766
Dollar Tree1,149,981123,403
Antero Midstream GP LP4,542,874123,224
Antero Midstream GP LP4,542,874123,224
Leidos Holdings, Inc.2,408,527123,172
Applied Materials3,749,492122,758
Applied Materials3,749,492122,758
Aareal Bank AG2,274,637122,535
Aareal Bank AG2,274,637122,535
Digital Realty Trust1,149,851122,332
Anthem United, Inc.850,684122,302
Ares Capital Corporation7,846,718122,252
UBS AG7,135,379122,195
CenturyLink5,181,568122,130
Eaton Vance Tax-Advantage Global Dividend Opp11,021,994122,014
Copa Holdings1,342,813121,968
Koninklijke Philips Electronics3,969,246121,340
HPC Acquisitions, Inc.6,073,689121,232
Envision Healthcare Holdings, Inc.1,976,937121,227
Archer2,840,723120,759
Archer2,840,723120,759
IHI Corp720,252120,304
McCormick & Company1,288,314120,238
Econocom Group SA4,273,600120,216
Globant2,983,480119,549
Globant2,983,480119,549
Econocom Group SA4,339,630119,513
Econocom Group SA4,339,630119,513
Esperance Minerals NL1,975,020119,369
Harmonic Energy, Inc.1,070,272118,972
First Trust Strategic High Income Fund II4,400,199118,937
Franklin Resources2,672,063118,933
Atlantica Del Golfo6,034,538118,881
Atlantica Del Golfo6,034,538118,881
CBRE Group3,415,279118,818
Republic Services2,079,508118,634
Grupo Carso S.A. de CV4,803,015118,491
F5 Networks829,117118,207
Hawaiian Telcom Holdco, Inc.1,946,497118,113
Spirit Airlines13,390,149117,777
Cardinal Health1,633,188117,540
MLP AG2,713,366116,703
Lazard Global Total Return and Income Fund2,384,903116,647
Arconic4,329,837116,613
Envision Healthcare Holdings, Inc.1,838,384116,356
BlackRock Maryland Municipal Bond Trust2,679,863116,092
Eaton Vance Tax-Advantage Global Dividend Opp11,199,819115,918
National-Oilwell Varco3,093,814115,832
Carnival Plc ADS2,349,057115,803
TE Connectivity Ltd.1,552,290115,724
TE Connectivity Ltd.1,552,290115,724
MSCI Inc1,861,729115,427
Charter Communications406,493115,272
Alnylam Pharmaceuticals979,823115,119
Alnylam Pharmaceuticals979,823115,119
EQT Midstream Partners1,572,695114,964
Archer2,804,064114,882
Archer2,804,064114,882
Camden Property Trust1,304,505114,861
Dollar General Corporation1,416,957114,845
Dollar General Corporation1,416,957114,845
Akamai Technologies19,293,854114,833
Akamai Technologies19,293,854114,833
Allstate Corporation (The)1,548,800114,796
Tesoro Logistics LP2,259,284114,794
Ares Capital Corporation6,597,493114,664
Ares Capital Corporation7,427,794114,409
Best Buy Co.2,160,209114,405
Equity One3,728,658114,332
Mid-America Apartment Communities1,167,533114,326
CyberArk Software1,539,467114,136
CyberArk Software1,539,467114,136
Expedition Mining Inc792,513114,074
iShares MSCI Far East Financials Sector Index Fund1,189,835113,844
U.S. Silica Holdings2,007,487113,784
Gabelli Dividend5,664,140113,510
Omega Healthcare Investors3,628,918113,439
National Retail Properties2,557,083113,023
Ares Capital Corporation6,887,226112,882
Ares Capital Corporation6,887,226112,882
TE Connectivity Ltd.1,358,374112,826
TE Connectivity Ltd.1,358,374112,826
Aspen Pharmacare Holdings plc821,497112,685
Enbridge Energy4,421,623112,663
Kreisler Manufacturing Corp.3,262,805112,600
Southwest Airlines Company2,253,089112,293
Best Buy Co.2,631,095112,270
ENI S.p.A.3,563,516112,251
Duke Realty Corporation4,272,027112,227
Ultra Lithium Inc2,754,794112,120
IShares Plc.2,286,630111,840
Digital Realty Trust1,137,890111,809
Mobileye2,932,791111,797
JOYMAIN INTERNATIONAL DEVELOPMENT GROUP INC.3,989,522111,705
ONYX Pharmaceuticals400,654111,548
EnLink Midstream Partners, LP6,653,788111,517
iShares2,040,870111,451
FTE Networks, Inc.2,029,948111,443
Cummins Inc.734,828111,106
EnLink Midstream Partners, LP6,071,147111,102
DTE Energy Company1,086,647110,958
Cemex S.A.B. de C.V.17,446,075110,891
Anadarko Petroleum Corporation2,068,807110,880
Anadarko Petroleum Corporation2,068,807110,880
Baker Hughes Incorporated1,704,131110,718
Ares Capital Corporation6,833,236110,531
PowerShares DB US Dollar Index Bullish Fund4,174,035110,446
Globant2,539,089110,298
Freeport-McMoran Copper & Gold8,359,550110,263
Stanley Black & Decker961,168110,237
CME Group Inc.812,164110,196
CME Group Inc.812,164110,196
Barrick Gold Corporation6,843,388110,110
Barrick Gold Corporation6,843,388110,110
Adobe Systems Incorporated1,067,118109,859
Cardinal Health1,641,176109,827
Cardinal Health1,641,176109,827
Standard Chartered PLC1,100,000109,448
Standard Chartered PLC1,100,000109,448
Lifestyle Medical Network Inc.1,281,410109,254
Hilton Worldwide Holdings Inc.1,570,668109,083
Arkose Energy Corp.2,930,364108,981
Arkose Energy Corp.2,930,364108,981
Air Products and Chemicals757,377108,924
Archer2,363,520108,815
Buckeye Technologies1,642,098108,641
IShares Plc.1,869,842108,638
Carnival Plc ADS2,086,508108,595
D.R. Horton3,130,472108,502
Ares Capital Corporation7,442,038108,403
Royal Dutch Shell Pl1,129,000108,172
Edwards Lifesciences Corporation1,152,387107,979
Air Products and Chemicals712,840107,794
Air Products and Chemicals712,840107,794
Apache Corporation1,696,688107,691
Companhia de Bebidas das Americas - AmBev18,687,810107,641
Companhia de Bebidas das Americas - AmBev18,687,810107,641
Race World International, Inc.1,081,989107,593
Race World International, Inc.1,081,989107,593
Pioneer Exploration, Inc.597,381107,571
EnLink Midstream Partners, LP5,819,866107,203
Citrix Systems20,412,522107,108
Brookfield Real Estate Services2,781,987106,972
Brookfield Real Estate Services2,781,987106,972
Applied Materials3,302,040106,557
Atlantica Del Golfo4,983,324106,444
Baker Hughes Incorporated1,776,647106,280
Luxoft Holding Inc1,905,586106,141
Luxoft Holding Inc1,905,586106,141
Tekla Healthcare Opportunities Fund5,654,825106,117
Duke Realty Corporation3,898,604106,082
Ferrari1,232,443106,014
Dex One Corporation1,773,331105,868
Genuine Parts Company1,107,636105,823
Amphenol Corporation1,205,123105,810
Amphenol Corporation1,205,123105,810
Ballroom Dance Fitness Inc2,300,716105,787
SiM Internal Test 412,529,208105,496
iBrands Corp.2,530,421105,494
Healthcare Realty Trust Incorporated3,474,747105,355
CIGNA High Income Shares718,373105,234
Highwoods Properties2,061,788105,172
Equifax991,288105,067
LAS VEGAS RAILWAY EXPRESS, INC.1,962,906104,839
Everest Re Group458,484104,713
Everest Re Group458,484104,713
Icon Media Holdings, Inc.1,448,394104,603
Dollar General Corporation1,412,222104,602
Blackrock Diversified Income Strategies Fund1,963,457104,495
Darden Restaurants1,045,971104,450
Andeavor Logistics2,084,458104,347
Andeavor Logistics2,084,458104,347
Albero Corp.814,730104,198
Albero Corp.814,730104,198
American Capital Agency Corp.5,807,287104,067
Archer2,272,686103,749
Credit Suisse Group5,793,932103,421
FIGO Ventures, Inc.12,962,377103,310
KeyCorp5,538,837103,199
Align Technology492,553103,155
Align Technology492,553103,155
Banco Macro S.A.1,601,465103,053
AO Mosenergo1,380,217103,048
Ulta Salon403,313102,822
GrubHub1,949,643102,668
Standard Chartered PLC1,100,000102,625
Alaska Power & Telephone Co.1,112,492102,593
Alaska Power & Telephone Co.1,112,492102,593
iShares MSCI ACWI ex US Index Fund2,116,135102,316
First Trust4,126,703102,013
PIMCO Dynamic Income Fund4,747,205101,921
Gartner1,008,123101,891
HCP3,660,153101,861
Golar LNG Limited3,416,758101,853
Golar LNG Limited3,416,758101,853
Johnson Electric Holdings Ltd.3,431,694101,748
Johnson Electric Holdings Ltd.3,431,694101,748
SunTrust Banks1,853,552101,667
iShares MSCI Europe Financials Sector Index Fund829,713101,647
Mobileye1,618,402101,636
AngioGenex, Inc.6,319,957101,561
AngioGenex, Inc.6,319,957101,561
CME Group Inc.879,857101,492
Baxter International Inc.2,285,917101,358
PPlus Trust2,971,616101,184
Pacific Booker Minerals Inc.1,738,330101,031
Columbia Banking System4,025,542100,976
Golar LNG Limited3,418,349100,704
B Communications Ltd.2,095,730100,528
B Communications Ltd.2,095,730100,528
Andeavor974,386100,507
Andeavor974,386100,507
The Intertain Group Limited691,356100,487
eBay Inc.2,991,817100,434
Humana Inc.491,640100,309
Yahoo! Inc.11,965,496100,264
Buckeye Technologies1,459,227100,044
Fiat5,605,30599,999
Fiat5,605,30599,999
Andeavor874,05599,938
Andeavor874,05599,938
Brocade Communications Systems8,053,05999,884
ENI S.p.A.3,004,70399,726
TE Connectivity Ltd.1,316,26899,549
TE Connectivity Ltd.1,316,26899,549
Allstate Corporation (The)1,217,04999,177
Allstate Corporation (The)1,217,04999,177
DCT Industrial Trust Inc1,682,66198,908
Eastman Chemical Company1,066,18198,772
Henry Schein650,54198,692
EQT Midstream Partners1,316,14998,671
EQT Midstream Partners1,316,14998,671
Barrick Gold Corporation6,817,98098,657
Barrick Gold Corporation6,817,98098,657
iSoftStone Holdings Limited3,333,69798,544
Italian Food & Beverage Corp699,63398,312
Ironclad Performance Wear Corp3,025,74098,276
Alliance Creative Group, Inc.443,35698,225
Alliance Creative Group, Inc.443,35698,225
Lincoln National Corporation1,481,15298,156
Pacer International3,964,40398,121
Align Technology526,42798,057
Align Technology526,42798,057
Brookfield Real Estate Services3,075,21497,963
Brocade Communications Systems13,438,68997,931
Comerica Incorporated1,425,72097,777
Western Gas Equity Partners, LP2,308,54197,767
DTE Energy Company989,92797,518
Anadarko Petroleum Corporation1,996,52097,477
Anadarko Petroleum Corporation1,996,52097,477
Banco Bradesco Sa11,176,39597,346
Vanguard STAR Funds Vanguard Total International Stock ETF2,120,23397,277
Baxano Surgical, Inc.1,503,65397,195
Baxano Surgical, Inc.1,503,65397,195
Charles River Laboratories International899,58297,174
Charles River Laboratories International899,58297,174
Dun & Bradstreet Corporation (The)680,71297,164
Mentor Graphics Corporation2,639,43297,157
Asbury Automotive Group Inc1,571,72296,975
Best Buy Co.1,971,93296,920
FTE Networks, Inc.1,987,28496,919
Eaton Vance Limited Duration Income Fund6,898,62696,788
Eaton Vance Limited Duration Income Fund6,898,62696,788
Nuveen Arizona Dividend Advantage Municipal Fund7,599,06496,660
Sina Corporation1,133,14296,284
Pattern Energy Group5,062,73896,141
Sina Corporation958,27196,124
Sina Corporation958,27196,124
Phillips 66 Partners1,971,64995,901
Global X Funds Global X NASDAQ 500 ETF4,781,69595,869
Matica Enterprises Inc3,474,63195,726
IAC/InterActiveCorp814,10595,722
Amphenol Corporation1,175,00195,198
Amphenol Corporation1,175,00195,198
Eaton Vance Limited Duration Income Fund6,973,60095,190
Allstate Corporation (The)1,033,93095,029
Allstate Corporation (The)1,033,93095,029
Marathon Oil Corporation5,483,99894,928
Eaton Vance Limited Duration Income Fund6,856,25194,822
NORTHSTAR ASSET MANAGEMENT GROUP INC.6,350,41094,748
J.M. Smucker Company (The)739,51994,704
Nielsen CO B.V.2,282,85594,625
Nielsen CO B.V.2,282,85594,625
Asbury Automotive Group Inc1,477,97694,590
Asbury Automotive Group Inc1,477,97694,590
Alaska Power & Telephone Co.1,064,08694,414
Karelia Tobacco Co Inc1,280,77794,407
PulteGroup5,123,82394,177
Boston Scientific Corporation3,796,36194,111
Boston Scientific Corporation3,796,36194,111
Global X Funds Global X NASDAQ 500 ETF4,915,04993,778
American Water Works1,157,79193,677
American Water Works1,157,79193,677
Cardinal Health1,527,69893,603
Metals X, Ltd.3,074,47193,496
Chesapeake Lodging Trust3,466,39293,488
Chesapeake Lodging Trust3,466,39293,488
Delphi Automotive plc949,97793,477
Delphi Automotive plc949,97793,477
Fiat4,948,30093,474
E*TRADE Financial Corporation2,678,10393,438
Allstate Corporation (The)1,129,92893,367
Allstate Corporation (The)1,129,92893,367
IAC/InterActiveCorp1,439,29693,254
Boston Scientific Corporation3,744,38093,124
UBS AG (London Branch)6,063,96793,022
Sina Corporation1,527,17892,838
Edison International1,201,05892,684
Edison International1,201,05892,684
Xerox Corporation10,587,54492,429
Microchip Technology Incorporated8,671,29392,212
Huntington Bancshares Incorporated6,972,49692,177
Praxair786,55992,177
Hormel Foods Corporation2,647,80892,170
e.l.f. Beauty, Inc.3,197,65892,092
Fifth Third Bancorp3,291,29592,092
Nielsen CO B.V.2,380,24892,020
Royal Bank Of Canada1,016,19491,876
Devon Energy Corporation2,010,68191,829
Boston Scientific Corporation3,145,93491,768
Boston Scientific Corporation3,145,93491,768
CDK Global, Inc.1,284,89691,589
Noble Energy Inc.2,403,04891,459
CH Energy Group1,840,93991,403
Goldman Sachs MLP Income Opportunities Fund5,993,30191,118
Taiwan Semiconductor Manufacturing Company Limited3,165,13490,998
Douglas Emmett2,488,07490,964
Dollar Tree1,045,82290,799
Dollar Tree1,045,82290,799
Esperance Minerals NL1,542,73690,682
Clorox Company (The)755,15990,633
Hasbro1,164,07690,553
Dell Technologies Inc.1,170,70390,389
Dell Technologies Inc.1,170,70390,389
B Communications Ltd.1,931,88290,373
Mellanox Technologies1,072,02490,373
B Communications Ltd.1,931,88290,373
Amicus Therapeutics5,992,25090,362
Amicus Therapeutics5,992,25090,362
Advanced Micro Devices4,907,30090,316
Advanced Micro Devices4,907,30090,316
Charter Communications313,56890,281
Charter Communications345,87890,238
ENI S.p.A.2,728,62890,235
ENI S.p.A.2,728,62890,235
Deutsche Bank Aktiengesellschaft3,228,89090,086
Macy's Inc2,514,44890,041
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG2,408,25189,925
CDK Global, Inc.1,383,03789,913
Edison International1,583,82389,912
Inmarsat Plc.521,55589,635
JPMorgan Chase Bank NA2,835,39389,627
Darden Restaurants930,90989,387
Alere Inc.1,750,94989,280
Alere Inc.1,750,94989,280
Aspen Pharmacare Holdings plc800,06789,231
Expedition Mining Inc786,76189,126
Genuine Parts Company929,62088,919
E*TRADE Financial Corporation2,034,97888,746
E*TRADE Financial Corporation2,034,97888,746
CMG HOLDINGS GROUP, INC.198,82988,581
Darden Restaurants1,217,50688,539
Alexion Pharmaceuticals740,32788,535
Alexion Pharmaceuticals740,32788,535
Amphenol Corporation1,316,89988,495
EnLink Midstream Partners, LP5,746,27288,321
B Communications Ltd.1,991,94888,183
The Cash Store Financial Services Inc.1,780,65387,858
ConAgra Foods2,601,03587,758
ConAgra Foods2,601,03587,758
Golar LNG Limited3,138,49287,659
Golar LNG Limited3,138,49287,659
DCT Industrial Trust Inc1,512,86087,625
DCT Industrial Trust Inc1,512,86087,625
NetApp2,483,07787,578
Harris Teeter Supermarkets664,08987,447
Realty Income Corporation1,521,10287,434
United States Oil Fund, LP7,448,56287,297
Hess Midstream Partners LP2,251,32687,228
Mylan Inc.2,285,59487,196
ASML Holding N.V.776,48487,121
Shake Shack2,431,63087,029
Herbalife LTD.1,618,75286,960
TrueCar Inc6,955,59186,945
Shell Midstream Partners, L.P.2,988,49286,936
CITIZENS FINANCIAL GROUP INC/RI2,068,76186,847
iShares MSCI ACWI Index Fund1,466,25686,758
Nustar Energy L.P.1,740,39786,671
Edison International1,199,71886,367
Magna International1,989,83386,358
Amphenol Corporation1,019,96086,329
Amphenol Corporation1,019,96086,329
LEAP TECHNOLOGY INC / DE652,02086,308
Alnylam Pharmaceuticals1,182,89986,245
Alnylam Pharmaceuticals1,182,89986,245
Antero Midstream GP LP2,739,95986,086
Antero Midstream GP LP2,739,95986,086
Whirlpool Corporation473,46986,061
Regions Financial Corporation5,988,64185,998
Coach2,450,21185,806
Gaming Partners International Corporation2,325,98485,805
Chesapeake Lodging Trust3,579,69885,770
Targa Resources1,527,93585,671
Highwoods Properties1,644,08285,639
Brixmor Property Group Inc.4,547,44885,492
Brixmor Property Group Inc.4,547,44885,492
Anadarko Petroleum Corporation1,948,36285,416
Anadarko Petroleum Corporation1,948,36285,416
Church & Dwight Company1,710,19485,287
Brookfield Real Estate Services2,345,84685,260
Brookfield Real Estate Services2,345,84685,260
Gartner684,78685,194
United States Steel Corporation2,578,13885,106
Advanced Micro Devices6,606,86084,997
Advanced Micro Devices6,606,86084,997
Eaton Vance Limited Duration Income Fund6,179,75184,787
Deutsche Telekom3,366,55284,737
Astrazeneca PLC2,229,66784,682
First Trust3,730,21684,639
Blackrock Corporate High Yield Fund V Inc7,462,99884,635
Expeditors International of Washington1,498,07084,626
Astrazeneca PLC2,438,51084,615
Astrazeneca PLC2,438,51084,615
Blackrock Corporate High Yield Fund V Inc7,443,80084,355
QTS Realty Trust, Inc.1,698,76284,343
Arconic4,436,54384,078
Taubman Centers1,135,29083,933
Credit Suisse Group5,307,60783,908
Grupo Financiero Galicia S.A.3,115,23483,861
Credit Suisse Group5,306,79883,847
Fiat5,791,20783,741
Fiat5,791,20783,741
Royal Caribbean Cruises Ltd.700,83083,594
Royal Caribbean Cruises Ltd.700,83083,594
Dell Technologies Inc.1,026,65583,447
CubeSmart2,884,51483,420
Mack-Cali Realty Corporation2,867,23583,206
All Marketing Solutions Inc.1,232,69383,157
All Marketing Solutions Inc.1,232,69383,157
OCI Partners LP9,948,01883,066
MGM Growth Properties LLC2,965,02883,045
Mylan Inc.2,134,49082,862
Rice Energy3,385,00482,791
Piedmont Office Realty Trust3,958,88782,779
The Carlyle Group L.P.5,177,24782,577
Western Asset Emerging Markets Income Fund1,215,09082,565
UBS AG (London Branch)4,812,89582,540
UBS AG (London Branch)4,812,89582,540
Blackrock Corporate High Yield Fund V Inc7,601,16382,535
Liberty Global2,644,08982,443
Vantiv1,380,62082,313
Invesco Plc3,097,22282,263
Inchcape PLC1,627,99782,181
Electronic Arts Inc.693,17581,836
Electronic Arts Inc.693,17581,836
Elastic N.V.1,144,72481,825
Elastic N.V.1,144,72481,825
T. Rowe Price Group1,087,17781,820
Consolidated Plen Tech Electronics, Inc.4,485,64781,774
Mettler-Toledo International195,36681,771
Blackstone / GSO Strategic Credit Fund2,538,04881,674
Blackstone / GSO Strategic Credit Fund2,538,04881,674
Globant2,242,44281,625
Globant2,242,44281,625
Advanced Visual Systems, Inc.818,49481,595
Advanced Visual Systems, Inc.818,49481,595
Ziggo NV2,237,15681,590
Ctrip.com International23,162,95081,384
Ameren Illinois Company1,490,46081,363
Ameren Illinois Company1,490,46081,363
AMP Ltd.627,02981,314
AMP Ltd.627,02981,314
Atlantica Del Golfo3,873,52081,189
Atlantica Del Golfo3,873,52081,189
Federal Realty Investment Trust653,55081,177
Church & Dwight Company1,834,42781,063
Ctrip.com International28,493,61481,025
VALE S.A.11,295,14181,019
Baxano Surgical, Inc.1,288,95380,883
Baxano Surgical, Inc.1,288,95380,883
Asbury Automotive Group Inc1,210,72480,707
Darden Restaurants1,021,99880,514
Darden Restaurants1,021,99880,514
Akamai Technologies20,878,62280,496
Akamai Technologies20,878,62280,496
Blackrock Corporate High Yield Fund V Inc7,274,66780,463
Brookdale Senior Living Inc.8,287,63280,390
Brookdale Senior Living Inc.8,287,63280,390
Foothills Exploration, Inc2,282,00280,371
Comerica Incorporated1,178,47580,265
NGL ENERGY PARTNERS LP3,810,48980,020
ENERGY TRANSFER PARTNERS4,461,76879,955
B Communications Ltd.2,027,12579,942
Cerner Corporation1,683,59179,750
Freeport-McMoran Copper & Gold5,677,00979,706
Apartment Investment and Management Company1,756,46479,611
Worldpay Group PLC1,304,61079,581
Paramount Group, Inc.4,968,57079,448
ConAgra Foods3,716,19679,379
AngioGenex, Inc.7,584,65379,335
AngioGenex, Inc.7,584,65379,335
Campbell Soup Company1,385,08979,282
FIGO Ventures, Inc.16,312,74379,279
Aspen Pharmacare Holdings plc541,45979,108
Aspen Pharmacare Holdings plc541,45979,108
Allison Transmission Holdings1,836,23179,087
Allison Transmission Holdings1,836,23179,087
NFJ Dividend5,900,02479,061
NFJ Dividend5,900,02479,061
Jack Henry & Associates768,92779,038
Apartment Investment and Management Company1,786,24778,998
Apartment Investment and Management Company1,786,24778,998
AMP Ltd.756,69178,976
AMP Ltd.756,69178,976
Alaska Power & Telephone Co.1,033,05178,790
Alaska Power & Telephone Co.1,033,05178,790
Eaton Vance Limited Duration Income Fund6,606,31078,747
Coca Cola Icecek Sanayi As1,933,83878,648
Golar LNG Limited3,425,89678,590
CNP Assurances SA2,769,58878,544
AutoZone93,52878,409
The Carlyle Group L.P.5,135,71678,320
American Homes 4 Rent3,940,58778,220
American Homes 4 Rent3,940,58778,220
Hyatt Hotels Corporation1,414,98278,192
eWELLNESS HEALTHCARE Corp1,095,30378,170
Astrazeneca PLC2,306,40878,141
Astrazeneca PLC2,306,40878,141
The Providence Service Corporation2,348,95378,105
Grupo Financiero Santander Mexico S.A. B. de C.V.7,733,00678,027
Hanesbrands Inc.3,163,48277,949
Enbridge Energy4,097,56277,853
AmerisourceBergen Corporation (Holding Co)847,83377,849
AmerisourceBergen Corporation (Holding Co)847,83377,849
CLARCOR Inc.943,80077,835
Brixmor Property Group Inc.3,625,86877,811
BHP Billiton plc2,496,51977,767
CBRE Group2,049,99477,654
CBRE Group2,049,99477,654
NFJ Dividend6,019,72477,593
NFJ Dividend6,019,72477,593
Devon Energy Corporation1,858,99577,557
Dominion Resources Black Warrior Trust4,298,30377,542
CITIZENS FINANCIAL GROUP INC/RI2,045,83577,474
CITIZENS FINANCIAL GROUP INC/RI2,045,83577,474
Universal Health Services727,90477,435
Akamai Technologies12,973,63577,413
Akamai Technologies12,973,63577,413
ConAgra Foods2,048,27277,158
First Trust Advantaged Short Duration High Yield Bond Fund1,536,51177,155
XL Group Ltd.1,377,26077,057
Intersil Corporation3,453,73877,017
Alexion Pharmaceuticals789,94776,908
Alexion Pharmaceuticals789,94776,908
Steel Partners Holdings LP2,317,79476,624
Syngenta AG968,54276,564
Royal Caribbean Cruises Ltd.782,87776,558
Royal Caribbean Cruises Ltd.782,87776,558
Everest Re Group300,67176,548
Douglas Emmett1,992,03976,495
NFJ Dividend6,066,02876,493
Wynn Resorts881,07776,220
Alexandria Real Estate Equities660,71076,142
Alexandria Real Estate Equities660,71076,142
Fiserv590,33376,128
SunCoke Energy4,092,81475,690
First Priority Tax Solutions Inc.4,882,18775,674
Brunswick Corporation1,236,12375,651
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF1,105,76075,643
Atlassian Corporation850,07375,639
Atlassian Corporation850,07375,639
Columbia Seligman Premium Technology Growth Fund3,474,15375,557
Indianapolis Power & Light Co.2,817,42975,535
Canadian National Railway Company910,03275,395
Canadian National Railway Company910,03275,395
Dover Corporation823,63775,272
Dover Corporation823,63775,272
Astrazeneca PLC2,416,97875,265
Western Gas Partners1,280,63675,250
Potomac Bancshares, Inc.4,155,06075,165
ClearBridge Energy MLP Fund Inc.4,491,46475,142
Spectrum Brands Holdings614,00875,111
Symantec Corporation3,142,62075,077
Citrix Systems4,689,68174,889
Credit Suisse Group5,041,73974,814
Coca Cola Icecek Sanayi As1,630,32674,750
Coca Cola Icecek Sanayi As1,630,32674,750
HSBC Holdings plc1,510,66274,642
Lamb Weston Holdings, Inc.1,971,62374,627
Akorn2,246,78474,571
Akorn2,246,78474,571
EverBank Financial Corp.3,828,85574,470
Domino's Pizza Inc403,95474,449
Cheniere Energy3,218,11374,439
Crown Marketing4,677,97474,380
Baxter International Inc.1,433,41174,338
New Resource Bank2,149,04474,271
Canadian Natural Resources Limited2,216,23274,222
Canadian Natural Resources Limited2,216,23274,222
Brixmor Property Group Inc.3,972,76374,132
Brixmor Property Group Inc.3,972,76374,132
Cypress Semiconductor Corporation5,377,88873,999
Golar LNG Limited3,267,21473,871
Golar LNG Limited3,267,21473,871
Public Service Enterprise Group Incorporated1,682,32073,819
Cirrus Logic1,380,79073,624
Cirrus Logic1,380,79073,624
D.R. Horton1,843,49573,611
D.R. Horton1,843,49573,611
Barclays Africa Group Ltd3,282,39473,559
Buckeye Technologies1,289,22673,487
Buckeye Technologies1,289,22673,487
AMP Ltd.662,01473,444
Golar LNG Limited3,370,57573,344
Golar LNG Limited3,370,57573,344
Allison Transmission Holdings1,950,82073,215
Allison Transmission Holdings1,950,82073,215
Alaska Power & Telephone Co.1,202,65173,181
Alaska Power & Telephone Co.1,202,65173,181
CBRE Group1,688,64173,135
Everest Re Group312,20272,996
Everest Re Group312,20272,996
DCT Industrial Trust Inc1,516,64872,981
ClearBridge Energy MLP Fund Inc.4,766,84772,789
ChemoCentryx1,038,68472,742
ChemoCentryx1,038,68472,742
Standard Chartered PLC700,00072,736
Alexandria Real Estate Equities649,46372,661
Alexandria Real Estate Equities649,46372,661
UBS AG (London Branch)4,278,57572,650
Spirit Aerosystems Holdings1,244,09472,593
FIRST TRUST MLP & ENERGY INCOME FUND4,512,51772,562
WisdomTree Investments6,496,31872,369
Ameren Illinois Company1,108,77472,326
Ameren Illinois Company1,108,77472,326
CBL & Associates Properties6,287,75572,309
BHP Billiton plc2,038,57672,268
BHP Billiton plc2,038,57672,268
Cohen & Steers Quality Income Realty Fund Inc4,307,57072,234
Ferrum Americas Mining, Inc.2,339,65272,132
DCP Holding CO1,984,73372,108
AcuityAds Hldgs Inc.353,21572,055
AcuityAds Hldgs Inc.353,21572,055
Cadence Design Systems1,721,35871,987
Amphenol Corporation1,011,30171,976
Amphenol Corporation1,011,30171,976
Hershey658,83271,925
Banco Bradesco Sa7,011,50371,798
IL2M International Corp.480,68771,757
NFJ Dividend5,491,77171,667
NFJ Dividend5,491,77171,667
Hanesbrands Inc.3,307,34971,339
Sappi Limited825,08971,312
Barrick Gold Corporation3,754,30271,294
The Advisory Board Company1,521,35871,201
The Advisory Board Company1,521,35871,201
Barclays Africa Group Ltd2,206,61671,163
Alexion Pharmaceuticals585,48270,983
Alexion Pharmaceuticals585,48270,983
Aspen Pharmacare Holdings plc533,12170,879
Allegion PLC 890,82670,874
Allegion PLC 890,82670,874
Blackrock Corporate High Yield Fund V Inc6,269,81670,695
Cohen & Steers Quality Income Realty Fund Inc4,245,57370,573
Chesapeake Lodging Trust2,728,35770,556
Bank Of Montreal978,39870,366
BWX Technologies1,770,18770,277
Aspen Pharmacare Holdings plc591,08070,155
Aspen Pharmacare Holdings plc591,08070,155
Aspen Pharmacare Holdings plc591,08070,155
IntercontinentalExchange1,242,75470,117
iShares MSCI1,805,60670,075
Blackrock Corporate High Yield Fund V Inc6,227,23470,069
iShares MSCI All Country Asia ex Japan Index Fund859,06069,911
Inmarsat Plc.484,59669,845
Seagate Technology.1,519,22769,779
Seagate Technology.1,519,22769,779
ChemoCentryx1,013,24869,691
Fidelity National Financial2,575,83169,644
Deutsche Euroshop AG1,282,24169,537
Deutsche Euroshop AG1,282,24169,537
Suncor Energy Inc.2,124,47269,449
Golar LNG Limited3,119,13269,400
BLACKROCK INTERNATIONAL10,635,03469,341
BLACKROCK INTERNATIONAL10,635,03469,341
Calpine Corporation4,572,92569,188
Campbell Soup Company1,144,02169,178
CF Industries Holdings1,966,53369,142
CF Industries Holdings1,966,53369,142
TE Connectivity Ltd.997,88769,135
ClearBridge Energy MLP Fund Inc.4,647,63968,971
ClearBridge Energy MLP Fund Inc.4,647,63968,971
PIMCO Commercial Mortgage Securities Trust1,314,32568,963
The RMR Group2,242,61768,961
ClearBridge Energy MLP Fund Inc.4,430,48168,938
Bank Of Montreal919,87068,799
DTE Energy Company628,38968,785
Angie's List5,519,56768,774
Angie's List5,519,56768,774
AGCO Corporation1,142,66468,766
AGCO Corporation1,142,66468,766
Shire plc403,31368,716
Darden Restaurants821,20768,709
Bigsupersearch.com, Inc.1,368,23068,700
Canadian National Railway Company831,74968,618
Michael Kors Holdings Limited1,088,93868,549
Michael Kors Holdings Limited1,088,93868,549
Alaska Power & Telephone Co.931,86168,500
Alaska Power & Telephone Co.931,86168,500
Barclays Africa Group Ltd2,195,32968,498
Wisdom International Corp.1,253,95768,490
AGCO Corporation1,181,10768,339
Ameren Illinois Company1,157,61568,288
Ameren Illinois Company1,157,61568,288
Compania Cervecerias Unidas5,659,09768,136
DaVita Inc.943,03068,133
CITIZENS FINANCIAL GROUP INC/RI1,910,93868,087
Lazard Global Total Return and Income Fund1,294,94767,986
Lazard Global Total Return and Income Fund1,294,94767,986
Incyte Corporation582,25367,973
Bank Of Montreal1,039,87167,955
Diamondback Energy732,82767,934
Federal Realty Investment Trust508,51667,887
AGCO Corporation919,58467,838
AGCO Corporation919,58467,838
Cintas Corporation535,83867,804
Cohen & Steers Quality Income Realty Fund Inc4,255,10067,794
Dick's Sporting Goods Inc1,271,83467,534
Companhia de Bebidas das Americas - AmBev13,739,65167,461
Cerner Corporation1,000,88067,449
Compania Cervecerias Unidas5,971,70567,362
CH Energy Group1,617,40167,316
Intertainment Media, Inc.4,452,71667,280
Luxoft Holding Inc1,407,45567,278
Luxoft Holding Inc1,407,45567,278
ChemoCentryx833,55067,197
Federal Realty Investment Trust472,57167,157
Duke Realty Corporation2,587,96467,028
BRF-Brasil Foods S.A.4,644,04866,921
BRF-Brasil Foods S.A.4,644,04866,921
Fidelity National Information Services715,84766,756
Avery Dennison Corporation949,84066,697
EXACT Sciences Corporation1,413,52566,606
Petrominerales Ltd785,10766,593
Brookfield Real Estate Services2,199,54366,561
Dover Corporation658,29266,481
Brookfield Infrastructure Partners LP1,539,86066,429
Brookfield Infrastructure Partners LP1,539,86066,429
Invesco Plc3,967,16566,409
Invesco Plc3,967,16566,409
Expeditors International of Washington1,253,29266,373
Baker Hughes a GE Co1,812,17266,362
Baker Hughes a GE Co1,812,17266,362
Amicus Therapeutics4,610,18766,340
Amicus Therapeutics4,610,18766,340
Brookfield Real Estate Services2,034,89366,305
Zimmer Holdings642,17566,272
Apartment Investment and Management Company1,512,59566,216
Apartment Investment and Management Company1,512,59566,216
Gaming Partners International Corporation2,162,13266,204
Dr Pepper Snapple Group747,14066,100
Dr Pepper Snapple Group747,14066,100
BankUnited1,749,93965,955
Centenera Mng Corp.571,49665,892
CNP Assurances SA2,255,21265,875
CNP Assurances SA2,255,21265,875
IDEXX Laboratories559,25165,584
Fiat3,654,79265,457
Fiat3,654,79265,457
Blackstone / GSO Strategic Credit Fund2,054,50165,457
Herbalife LTD.1,110,34365,456
Herbalife LTD.1,110,34365,456
FIRST TRUST MLP & ENERGY INCOME FUND3,844,29365,430
New York Community Bancorp Inc4,112,20365,425
Brookfield Infrastructure Partners LP1,459,30465,392
Brookfield Infrastructure Partners LP1,459,30465,392
iBrands Corp.1,961,16865,385
Agnico Eagle Mines1,445,91365,368
Agnico Eagle Mines1,445,91365,368
Esperance Minerals NL1,182,90265,331
United Therapeutics Corporation455,04965,269
Jack Henry & Associates735,00865,254
CITIZENS FINANCIAL GROUP INC/RI2,193,47965,212
Level 3 Communications1,156,89865,203
Analog Devices893,77064,905
Invesco Van Kampen Senior Income Trust5,441,02964,856
DTE Energy Company586,82064,726
Restaurant Brands International Inc.1,355,58564,607
FMC Technologies1,817,59564,580
Mallinckrodt Plc1,294,83664,507
Sony Corp Ord2,301,23364,505
Albero Corp.473,06364,483
Albero Corp.473,06364,483
Atlantica Del Golfo3,331,86964,472
Standard Chartered600,00064,425
Dell Technologies Inc.1,170,53564,343
Blackstone / GSO Strategic Credit Fund2,139,56164,335
United Resource Holdings Group, Inc.609,32164,332
Grupo De Inversiones Suramericana S.A.2,604,26564,299
BankUnited1,723,10964,290
HPC Acquisitions, Inc.4,330,22564,260
Align Technology559,70564,204
Align Technology559,70564,204
Qiagen N.V.2,035,63364,121
Qiagen N.V.2,035,63364,121
BGS Acquisition Corp.808,98664,121
BGS Acquisition Corp.808,98664,121
Canadian Imperial Bank of Commerce656,92863,992
Avery Dennison Corporation793,59463,963
Petrobras Argentina S.A.7,258,10363,887
DoubleLine Income Solutions Fund3,004,78263,853
DoubleLine Income Solutions Fund3,004,78263,853
Blackstone / GSO Strategic Credit Fund2,053,99363,716
Blackstone / GSO Strategic Credit Fund2,053,99363,716
F5 Networks527,55463,602
Atara Biotherapeutics, Inc.1,830,64763,596
Banco Santander14,190,46763,572
Norwegian Cruise Line Holdings Ltd.1,174,99263,507
Norwegian Cruise Line Holdings Ltd.1,174,99263,507
iShares MSCI Far East Financials Sector Index Fund836,46863,455
DaVita Inc.933,06063,421
CubeSmart2,209,69163,396
Align Technology658,84163,334
ENI S.p.A.1,963,77063,313
Cabot Oil & Gas Corporation2,366,01163,291
Cabot Oil & Gas Corporation2,366,01163,291
ADVANCED MEDICAL ISOTOPE Corp774,73863,234
ADVANCED MEDICAL ISOTOPE Corp774,73863,234
Energen Corporation1,097,86363,204
BLACKROCK INTERNATIONAL9,632,93863,192
BLACKROCK INTERNATIONAL9,632,93863,192
Alexandria Real Estate Equities483,43463,132
Alexandria Real Estate Equities483,43463,132
Canadian Imperial Bank of Commerce846,61163,107
Rite Aid Corporation7,657,32963,096
Dr Pepper Snapple Group643,80363,041
Cohen & Steers Dividend Majors Fund632,31463,003
Apache Corporation1,492,11162,997
Apache Corporation1,492,11162,997
Arista Networks, Inc.298,63862,923
Cypress Semiconductor Corporation5,491,98662,829
Brookfield Infrastructure Partners LP1,817,01462,742
Brookfield Infrastructure Partners LP1,817,01462,742
Healthcare Trust of America2,105,08062,732
Raymond James Financial905,14762,700
Tyson Foods1,015,48462,636
Cheniere Energy Partners LP Holdings, LLC1,960,18562,557
STRONGBOW RESOURCES INC.604,65562,437
Buckeye Technologies1,259,12062,388
Ameren Illinois Company1,078,18162,361
Ameren Illinois Company1,078,18162,361
Arista Networks, Inc.264,61262,337
Arista Networks, Inc.264,61262,337
VEREIT7,365,03662,308
Cardinal Health1,396,91262,302
Invesco Van Kampen Senior Income Trust5,061,91562,262
Cypress Semiconductor Corporation4,142,44462,220
Cypress Semiconductor Corporation4,142,44462,220
WisdomTree Middle East Dividend Fund605,13862,130
Rockwell Diamonds, Inc.462,08262,104
Pentair877,67861,983
Pentair877,67861,983
Hudson Pacific Properties1,847,45961,946
Brixmor Property Group Inc.2,536,59061,942
NewLead Holdings Ltd.1,469,60961,870
Inphi Corporation6,797,63161,851
TRIBUNE MEDIA CO1,761,54361,619
Dell Technologies Inc.1,259,77761,565
Globant1,845,78261,557
Mylan Inc.1,958,85061,449
Mylan Inc.1,958,85061,449
Vanguard Short Term Government Bond ETF1,249,96361,448
Astrazeneca PLC2,248,69961,434
Continental Resources1,159,41961,413
DOCUSIGN INC1,531,75261,393
Jazz Pharmaceuticals plc355,89361,320
C.R. Bard246,68461,311
Blackrock Global4,513,86361,208
Blackrock Global4,513,86361,208
Dollar Tree677,61361,202
Ashland Inc.559,56061,154
Cousins Properties Incorporated7,168,49861,004
Qiagen N.V.1,818,67660,981
Houghton Mifflin Harcourt Co5,617,24060,947
DCP Holding CO1,551,33360,860
Dr Pepper Snapple Group626,97660,854
Expeditors International of Washington1,014,68460,740
Xcel Energy Inc.1,490,87960,680
Global Partners LP3,484,10660,623
Lennox International395,42260,567
The Intertain Group Limited512,27260,525
The Intertain Group Limited512,27260,525
Firstrand Limited645,01660,508
HEALTHEQUITY INC1,196,06260,497
GrubHub1,605,24160,389
Hi-Crush Partners LP6,352,78660,351
Seagate Technology.1,441,30160,305
Seagate Technology.1,441,30160,305
Devon Energy Corporation1,456,61660,304
Fastenal Company1,322,78960,292
Delphi Automotive plc687,79860,286
Liberty Global1,843,45860,281
Liberty Global1,843,45860,281
EMCOR Group736,59260,217
Cheniere Energy Partners LP Holdings, LLC2,089,28360,213
Five Below1,505,98760,180
Seagate Technology.1,557,49760,104
Seagate Technology.1,557,49760,104
Arcos Dorados Holdings Inc.5,806,00360,093
Arcos Dorados Holdings Inc.5,806,00360,093
The Hain Celestial Group1,539,48960,087
Hewlett Packard Enterprise Co4,072,55059,908
Electronic Arts Inc.668,78859,870
Trinseo S.A.823,82059,809
Trinseo S.A.823,82059,809
Agnico Eagle Mines1,294,65359,787
Agnico Eagle Mines1,294,65359,787
Pimco California Municipal Income Fund II849,44659,738
PACCAR Inc.934,60159,721
CBL & Associates Properties6,258,86659,711
Bank Of Montreal746,05459,698
Bank Of Montreal746,05459,698
ChemoCentryx914,54859,697
Nemaura Medical Inc.1,751,95759,688
IntercontinentalExchange868,26359,650
DoubleLine Income Solutions Fund2,952,27859,607
Oaktree Capital Group1,588,80659,580
Cheniere Energy9,962,10459,519
British American Tobacco Industries897,39659,515
BBVA Banco Frances S.A.3,412,38059,477
CNH Global N.V.4,434,97559,429
CNH Global N.V.4,434,97559,429
Lamprell561,79959,400
VANJIA CORP459,95959,183
Hubbell506,83559,148
eBay Inc.1,989,97859,083
Domino's Pizza Inc370,71259,032
Firstrand Limited564,49258,967
CF Industries Holdings1,386,15858,966
Centenera Mng Corp.583,75258,889
Sunoco2,189,76258,883
Teekay LNG Partners L.P.3,352,12058,831
Teekay LNG Partners L.P.3,352,12058,831
Under Armour2,336,48958,809
Royal Caribbean Cruises Ltd.495,72758,764
Royal Caribbean Cruises Ltd.495,72758,764
TELUS Corporation1,843,87158,729
BHP Billiton plc1,864,79458,666
Fiserv551,70958,636
Contura Energy, Inc.891,91658,634
Arcos Dorados Holdings Inc.5,825,86958,549
Arcos Dorados Holdings Inc.5,825,86958,549
DoubleLine Income Solutions Fund2,917,00358,544
Dr Pepper Snapple Group645,47958,524
Advanced Visual Systems, Inc.394,71058,518
Advanced Visual Systems, Inc.394,71058,518
Allied World Assurance Company Holdings1,089,39158,512
Global X NASDAQ China Technology ETF5,683,21958,480
Domino's Pizza Inc235,19258,326
Firstrand Limited632,93858,319
1st Colonial Bancorp, Inc.1,537,82658,284
ABIOMED310,77358,241
ABIOMED310,77358,241
DENTSPLY International Inc.932,65458,235
Bank of Nova Scotia (The)901,58358,179
Bank of Nova Scotia (The)901,58358,179
Jazz Pharmaceuticals plc373,73558,116
Sumitomo Mitsui Financial Group Inc7,602,20458,080
ENI S.p.A.1,774,43258,077
Crown Cork & Seal Company1,031,93858,047
Home Retail Group plc2,112,12758,041
AK Steel Holding Corporation5,674,31357,935
HCA Holdings782,39957,913
Brookfield Property Partners LP3,591,58557,881
Cotiviti Holdings, Inc.1,606,67657,807
Cotiviti Holdings, Inc.1,606,67657,807
Cotiviti Holdings, Inc.1,386,90757,737
Helmerich & Payne745,86457,729
Delphi Automotive plc857,01057,721
Avery Dennison Corporation502,05957,667
Avery Dennison Corporation502,05957,667
Alliance Creative Group, Inc.252,30457,652
Quintiles Transnational Holdings Inc757,98757,644
Cirrus Logic1,109,50157,538
GGX Gold Corp.4,429,72057,410
Avery Dennison Corporation583,69657,401
Avery Dennison Corporation583,69657,401
Atlassian Corporation917,94157,391
BioMarin Pharmaceutical Inc.6,996,97457,388
American Homes 4 Rent2,625,16457,335
American Homes 4 Rent2,625,16457,335
John Hancock Preferred Income Fund1,537,35557,282
Fluor Corporation1,360,12157,262
Unilever NV1,392,14257,161
DCP Holding CO1,488,62457,132
Copart1,322,66857,125
Hershey551,29357,019
SunOpta8,074,46356,925
Carmax Mining Corp.887,00756,884
Bed Bath & Beyond Inc.2,421,77856,838
Bed Bath & Beyond Inc.2,421,77856,838
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol2,075,80356,794
Intertainment Media, Inc.3,608,12456,792
AmerisourceBergen Corporation (Holding Co)684,92156,676
AmerisourceBergen Corporation (Holding Co)684,92156,676
Green Plains Renewable Energy2,037,53256,666
Cullen/Frost Bankers597,78556,581
Nielsen CO B.V.1,553,65856,553
Nielsen CO B.V.1,553,65856,553
1st Colonial Bancorp, Inc.1,175,85056,406
Huntington Bancshares Incorporated4,039,62956,393
STORE CAPITAL Corp2,273,50456,178
Seagate Technology.1,447,02356,072
Enbridge Energy3,499,93255,929
Enbridge Energy3,499,93255,929
STMicroelectronics N.V.4,926,52855,916
American Housing Income Trust, Inc.843,97155,735
American Housing Income Trust, Inc.843,97155,735
The Advisory Board Company1,675,09355,697
National Financial Partners Corporation954,57955,681
Blackrock Global4,445,02855,606
Blackrock Global4,445,02855,606
Charles River Laboratories International617,76155,569
Hartford Financial Services Group1,001,03455,487
Grupo Financiero Santander Mexico S.A. B. de C.V.7,707,17055,416
Jazz Pharmaceuticals plc381,09255,309
Jazz Pharmaceuticals plc381,09255,309
Cypress Semiconductor Corporation3,620,26355,173
Atmos Energy Corporation658,03055,169
Atmos Energy Corporation658,03055,169
Brookfield Infrastructure Partners LP1,435,36155,118
Atmos Energy Corporation594,38255,111
Bank of Nova Scotia (The)1,101,67254,940
Davis & Henderson In2,896,74654,779
Cerner Corporation930,63454,767
DTE Energy Company510,05154,760
DTE Energy Company510,05154,760
DoubleLine Income Solutions Fund2,878,04854,654
Bed Bath & Beyond Inc.1,344,82654,652
Entergy Corporation670,64854,586
Ellies Holdings Limited651,81754,543
Pentair1,443,61954,541
Pentair1,443,61954,541
Autodesk735,51454,435
BGS Acquisition Corp.811,00254,402
BGS Acquisition Corp.811,00254,402
Cheniere Energy1,015,37354,345
Fastenal Company1,054,32954,298
Alliant Energy Corporation1,370,02354,268
Alliant Energy Corporation1,370,02354,268
Bigsupersearch.com, Inc.1,114,35754,247
NFJ Dividend5,076,94854,221
NFJ Dividend5,076,94854,221
INTREXON CORP2,228,04454,140
KTL Bamboo International Corp.3,840,46954,113
Zynga Inc.21,035,60354,061
XL Group Ltd.1,369,79654,039
XL Group Ltd.1,369,79654,039
BWX Technologies1,134,90554,021
Cotiviti Holdings, Inc.1,676,59054,002
Agora Holdings, Inc.1,427,25153,880
Agora Holdings, Inc.1,427,25153,880
EQT Corporation822,97953,823
Consolidated Plen Tech Electronics, Inc.3,206,05453,797
Dover Corporation667,56053,637
Canada Strategic Metals, Inc.1,849,62953,528
Domino's Pizza Inc269,51453,512
Domino's Pizza Inc269,51453,512
HEALTHEQUITY INC1,319,60053,470
Xylem Inc.1,079,49453,457
Cheniere Energy Partners LP Holdings, LLC1,480,47553,446
Cognex Corporation872,58953,366
Cheniere Energy Partners LP Holdings, LLC4,170,15053,225
Cheniere Energy Partners LP Holdings, LLC4,170,15053,225
Teradata Corporation1,958,49553,212
Centenera Mng Corp.745,69553,139
BankUnited1,304,42553,116
BankUnited1,304,42553,116
Bank of Nova Scotia (The)826,66953,113
Bank of Nova Scotia (The)826,66953,113
Principal Real Estate Income Fund943,14352,980
Trinseo S.A.788,72852,923
Trinseo S.A.788,72852,923
Labor Smart, Inc.411,76252,861
Harley-Davidson1,096,28152,852
Chesapeake Lodging Trust2,169,88652,836
Ameren Illinois Company1,005,07352,725
Qiagen N.V.1,704,43552,717
Qiagen N.V.1,704,43552,717
All Marketing Solutions Inc.820,74552,692
All Marketing Solutions Inc.820,74552,692
iShares II plc.1,406,14952,633
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 1,647,15052,632
Mylan Inc.1,243,85852,628
Mylan Inc.1,243,85852,628
AutoZone66,62252,618
CAE Inc3,001,46352,616
CAE Inc3,001,46352,616
Herbalife LTD.1,091,94452,567
Aptiv PLC618,88252,500
Aptiv PLC618,88252,500
Nuveen High Income December 2019 Target Term Fund5,224,39152,466
DEWEY ELECTRONICS CORP730,75052,329
TWILIO INC1,813,36452,316
Takeuchi Manufacturing Co., Ltd.1,061,23452,307
Tesoro Petroleum Corporation597,21252,228
CAE Inc3,415,10952,217
POWERSHARES DB US DOLLAR INDEX BEARISH FUND3,296,01452,208
ClearBridge Energy MLP Fund Inc.5,012,94052,185
CAM Group, Inc.1,221,64152,140
Ferrum Americas Mining, Inc.1,680,97252,061
BioMarin Pharmaceutical Inc.10,117,76452,058
MANAGED FUTURES PREMIER GRAHAM L.P.1,255,60952,058
BioMarin Pharmaceutical Inc.10,117,76452,058
VOYA INSURANCE & ANNUITY CO.9,395,80752,053
The AES Corporation3,598,31152,032
The AES Corporation3,598,31152,032
Ellies Holdings Limited632,95351,984
Ellies Holdings Limited632,95351,984
Dover Corporation693,29851,951
First Trust Strategic High Income Fund II1,652,24351,949
KSW Inc611,85951,917
STERLING CONSOLIDATED Corp1,170,12351,882
Endo Health Solutions Inc.5,496,53251,832
CNP Assurances SA1,878,14951,780
British American Tobacco Industries1,624,69751,762
Everest Re Group233,43051,649
Everest Re Group233,43051,649
FireEye Inc5,297,32951,612
CNP Assurances SA2,094,43051,605
Xilinx879,36451,573
Yum China Holdings, Inc.1,974,34851,570
Burlington Stores Inc316,43251,474
Novo Nordisk A/S1,435,14351,465
CA Inc.1,545,01151,417
Advanced Micro Devices4,133,03651,303
Advanced Micro Devices4,133,03651,303
Amicus Therapeutics5,351,54651,269
Amicus Therapeutics5,351,54651,269
Colony NorthStar, Inc.4,081,49251,265
Colony NorthStar, Inc.4,081,49251,265
Arcos Dorados Holdings Inc.6,367,92651,263
Arcos Dorados Holdings Inc.6,367,92651,263
Arcos Dorados Holdings Inc.6,367,92651,263
Equinix114,79951,233
Canadian Natural Resources Limited1,606,63751,219
Avnet1,301,92251,164
Avnet1,301,92251,164
Criteo1,023,07751,144
BHP Billiton Limited1,111,97751,139
BHP Billiton Limited1,111,97751,139
Tata Motors Ltd1,486,14851,108
Diamondback Energy404,81051,107
Manitowoc Foodservice, Inc.2,637,84350,989
Ellies Holdings Limited569,95450,954
Annaly Capital Management Inc4,284,49550,941
Annaly Capital Management Inc4,284,49550,941
John Hancock Preferred Income Fund1,403,67450,911
Sina Corporation443,96450,901
Sina Corporation443,96450,901
Arrow Electronics631,62650,790
Arrow Electronics631,62650,790
Harris Teeter Supermarkets495,62350,786
Subsea 7 SA ADR 479,24350,786
COLUMBIA PROPERTY TRUST, INC.2,623,56950,766
Hologic7,905,52250,755
Cabinet Grow Inc.866,37250,727
Centenera Mng Corp.523,85250,694
Centenera Mng Corp.523,85250,694
Seagate Technology.1,327,90350,686
iShares MSCI ACWI ex US Index Fund1,258,51450,680
Deutsche Euroshop AG798,19450,677
Autodesk451,30950,665
Autodesk451,30950,665
iShares MSCI All Country Asia ex Japan Index Fund697,33250,634
Amaya, Inc.2,978,02350,626
Amaya, Inc.2,978,02350,626
Norwegian Cruise Line Holdings Ltd.950,05350,589
Norwegian Cruise Line Holdings Ltd.950,05350,589
Michael Kors Holdings Limited1,326,56850,555
Michael Kors Holdings Limited1,326,56850,555
Silver Spruce Resources Inc.2,413,94850,452
ABIOMED155,18550,441
ABIOMED155,18550,441
Western Asset Municipal Partners Fund1,456,28650,303
Annaly Capital Management Inc4,526,40450,287
Annaly Capital Management Inc4,526,40450,287
Annaly Capital Management Inc4,124,98150,284
Annaly Capital Management Inc4,124,98150,284
Canadian Natural Resources Limited1,407,66750,281
Western Union Company (The)2,313,02750,238
DEWEY ELECTRONICS CORP695,18350,172
Church & Dwight Company1,034,28650,112
Church & Dwight Company1,034,28650,112
Varian Medical Systems556,95450,003
Viacom Inc.1,423,69449,973
Fastenal Company1,062,12749,899
CH Energy Group1,113,38049,812
Teekay LNG Partners L.P.3,443,05349,752
Cenovus Energy Inc4,963,28149,732
Cenovus Energy Inc4,963,28149,732
International Spirit & Beverage Group, Inc. 1,075,34249,722
First Trust NASDAQ ABA Community Bank Index Fund1,533,55449,657
Delphi Automotive plc616,80549,647
Delphi Automotive plc616,80549,647
Weatherford International7,462,58249,624
Weatherford International7,462,58249,624
Dover Corporation699,15849,604
Swift Transportation Company2,035,77349,591
Criteo1,194,52749,572
Criteo1,194,52749,572
American Housing Income Trust, Inc.683,51349,533
American Housing Income Trust, Inc.683,51349,533
Dillard's Capital Trust I824,68349,522
Atmos Energy Corporation576,19049,489
Atmos Energy Corporation576,19049,489
DaVita Inc.832,42449,438
DaVita Inc.832,42449,438
Boston Scientific Corporation2,285,47449,434
ResMed Inc.794,95549,326
Informa3,325,52049,318
Alleghany Corporation80,19749,293
Alleghany Corporation80,19749,293
Ingevity Corp595,86449,245
Helios Advantage Income Fund2,114,45549,161
VGambling Inc.412,19249,158
CryoLife1,731,29749,134
Broadridge Financial Solutions542,32649,125
Broadridge Financial Solutions542,32649,125
DEWEY ELECTRONICS CORP639,29349,122
Banco Bradesco Sa4,434,99149,095
Banco Bradesco Sa4,434,99149,095
The NASDAQ OMX Group731,37849,090
Black Stallion Oil & Gas Inc.2,973,06349,086
XL Group plc1,120,25849,067
DoubleLine Income Solutions Fund2,829,25949,031
UBM Plc1,115,19848,990
Seagate Technology.1,476,78348,985
Seagate Technology.1,476,78348,985
Global Partners LP2,517,55948,966
Allscripts Healthcare Solutions11,478,01548,911
Allscripts Healthcare Solutions11,478,01548,911
Everest Re Group225,58048,815
Dunkin' Brands Group755,85348,731
Hollywall Entertainment Inc.1,354,16148,707
Mead Johnson Nutrition Company688,20348,697
D.R. Horton1,461,64348,687
Akamai Technologies10,966,10248,683
Royce Value Trust3,633,41148,651
Blackrock Global3,923,01748,645
IDEXX Laboratories312,74948,628
Rexford Industrial Realty2,096,62348,621
Crimson Exploration Inc.413,52748,586
Helios Advantage Income Fund1,914,39648,568
Brookdale Senior Living Inc.3,638,18248,548
Nielsen CO B.V.1,569,17448,534
Enbridge Energy Management LLC2,632,23348,485
Ellies Holdings Limited483,52748,483
Apache Corporation1,845,55848,446
Apache Corporation1,845,55848,446
Waters Corporation360,15448,402
Worthington Energy, Inc.1,020,16448,397
CBOE Holdings387,74748,309
CIENA Corporation1,421,76948,212
Arch Capital Group Ltd.516,24048,160
Platform Specialty Products4,899,96748,068
Liberty Global1,418,52248,003
Liberty Global1,418,52248,003
Tupras Turkiye Petrol Rafinerileri AS911,99147,990
China Mobile (Hong Kong) Ltd.868,70847,978
Akamai Technologies20,842,98547,964
Akamai Technologies20,842,98547,964
PVH Corp.530,97847,914
Autodesk456,97247,904
Autodesk456,97247,904
Watsco323,05847,852
Equity Lifestyle Properties663,47647,836
Cheniere Energy Partners LP Holdings, LLC4,470,94347,800
CREDEX CORP425,71747,778
CMG HOLDINGS GROUP, INC.110,55447,736
Coupa Software1,526,10247,645
Apache Corporation1,038,95147,583
Apache Corporation1,038,95147,583
Arconic1,870,60147,550
Arconic1,870,60147,550
Leggett & Platt972,62247,541
D.R. Horton1,739,51047,540
Zions Bancorporation1,104,33247,529
Fidelity National Information Services595,98947,453
Scana Corporation647,04947,418
Hartford Financial Services Group993,80347,353
Cousins Properties Incorporated5,716,18347,273
Pentair842,07047,215
DCP Holding CO1,361,65047,167
DCP Holding CO1,361,65047,167
BGS Acquisition Corp.678,96747,160
BGS Acquisition Corp.678,96747,160
Development Capital Group, Inc.3,763,05947,151
Array BioPharma Inc.3,677,61147,073
Array BioPharma Inc.3,677,61147,073
Range Energy Resources, Inc.1,369,48147,057
Blackrock Debt Strategies Fund4,084,60247,055
Teck Resources Ltd2,349,15947,053
Cohen & Steers Dividend Majors Fund467,20347,024
China Lodging Group395,51946,995
China Lodging Group395,51946,995
Acxiom Corporation1,704,19646,967
Acxiom Corporation1,704,19646,967
Pandora Media4,521,24146,943
Atmos Energy Corporation594,01246,920
New York Community Bancorp2,983,86846,906
Canadian National Railway Company633,49746,834
Fluor Corporation891,68046,831
Advanced Micro Devices4,124,84346,766
Cohen & Steers MLP Income & Energy Opportunity Fund2,497,21746,703
Copa Holdings493,33446,678
Fortune Brands Home & Security872,96346,670
Cognex Corporation423,16846,667
Cognex Corporation423,16846,667
Parker-Hannifin Corporation333,15746,642
Donaldson Company1,108,22346,634
La Quinta Holdings3,281,14446,626
Avis Budget Group1,061,97346,598
Diamondback Energy449,29546,598
Avis Budget Group1,061,97346,598
Criteo1,134,24646,595
Cousins Properties Incorporated4,982,45246,537
Cousins Properties Incorporated4,982,45246,537
Arthur J. Gallagher & Co.755,45446,497
Oshkosh Truck Corporation719,02846,458
Science Applications International Corp 546,97046,383
First Trust NASDAQ-100 Equal Weighted Index Fund833,76946,307
CA Inc.1,387,01946,297
CA Inc.1,387,01946,297
Nuveen AMT-Free Municipal Income Fund3,435,22446,092
Community Bank of Santa Maria (CA)377,68146,080
UBS AG (London Branch)2,888,70846,076
UBS AG (London Branch)2,888,70846,076
Atlas Air Worldwide Holdings4,439,33446,059
Atlas Air Worldwide Holdings4,439,33446,059
Douglas Emmett1,168,25446,053
Douglas Emmett1,168,25446,053
Fortis1,491,04346,043
ANSYS374,91346,012
ANSYS374,91346,012
CA Inc.1,448,22546,010
Broadridge Financial Solutions569,10445,995
Broadridge Financial Solutions569,10445,995
Blackrock Debt Strategies Fund4,051,08445,939
BHP Billiton plc1,139,60345,926
BHP Billiton plc1,139,60345,926
Mellanox Technologies497,13545,925
Mellanox Technologies497,13545,925
Qiagen N.V.1,585,04745,919
Qiagen N.V.1,585,04745,919
EQT GP Holdings1,676,87945,913
CAE Inc2,473,61945,911
Qiagen N.V.1,636,85545,864
Booz Allen Hamilton Holding Corporation1,270,68945,833
Bed Bath & Beyond Inc.1,160,10045,776
CBL & Associates Properties5,453,51845,756
CBL & Associates Properties5,453,51845,756
Cimarex Energy Co382,35645,688
Qiagen N.V.1,262,35445,646
HKN, Inc.2,933,08645,638
Jabil Circuit1,927,27045,618
Helios Advantage Income Fund1,739,46745,608
Helios Advantage Income Fund1,739,46745,608
Annaly Capital Management Inc4,572,11045,583
All Marketing Solutions Inc.680,24545,556
All Marketing Solutions Inc.680,24545,556
Jazz Pharmaceuticals plc4,818,86445,462
Eastman Chemical Company603,95945,422
Bemis Company949,68745,413
Crimson Exploration Inc.505,18245,366
Subsea 7 SA ADR 431,17145,304
IL2M International Corp.340,50445,280
CF Industries Holdings1,541,65045,248
Equity Lifestyle Properties531,00545,178
iShares II plc.1,087,16845,161
CDK Global, Inc.755,97545,125
APPLIED OPTOELECTRONICS, INC.697,61945,115
Canadian Imperial Bank of Commerce552,88545,115
APPLIED OPTOELECTRONICS, INC.697,61945,115
Fresenius Medical Care Corporation922,54645,104
DEWEY ELECTRONICS CORP617,38745,045
DEWEY ELECTRONICS CORP617,38745,045
Kayne Anderson MLP Investment Company2,298,47745,004
Orange SA2,972,50945,004
Devon Energy Corporation1,995,86644,986
Bank Of Montreal593,68644,947
Bank Of Montreal593,68644,947
Fiesta Restaurant Group1,505,72844,946
Hubbell387,36144,942
Brookdale Senior Living Inc.3,627,42344,939
Aareal Bank AG963,79344,933
Aareal Bank AG963,79344,933
CornerWorld Corp.372,44144,932
ASML Holding N.V.288,68644,926
ASML Holding N.V.288,68644,926
ABB Ltd1,813,97144,897
ABB Ltd1,813,97144,897
Acacia Communications, Inc.765,21944,857
Acacia Communications, Inc.765,21944,857
Franco Nev Corp578,95344,857
Nabors Industries Ltd.5,355,59044,841
Lamar Advertising Company666,11844,791
Aurora Cannabis Inc.9,028,04644,779
Randgold Resources Ltd.3,300,17044,684
Arcos Dorados Holdings Inc.5,997,42544,680
AGCO Corporation625,38544,672
AGCO Corporation625,38544,672
CMG HOLDINGS GROUP, INC.154,48344,649
Canada Strategic Metals, Inc.1,706,77744,631
Agora Holdings, Inc.1,201,92844,605
Agora Holdings, Inc.1,201,92844,605
Agora Holdings, Inc.1,201,92844,605
Panera Bread Company217,41644,591
BeiGene, Ltd.317,71944,563
Teekay LNG Partners L.P.2,502,68844,548
Teekay LNG Partners L.P.2,502,68844,548
Cabinet Grow Inc.837,56944,482
Trinseo S.A.647,27744,467
Western Refining2,079,21344,392
Highlands Bankshares, Inc.2,422,88744,338
Burlington Stores Inc360,34544,333
iHeartMedia283,31844,300
Thor Industries442,43544,266
F5 Networks305,86744,265
Cameco Corporation4,795,25944,262
Archrock Partners3,103,12544,249
Archrock Partners3,103,12544,249
Royal Kpn N.V.653,25444,232
Brookfield Property Partners LP2,743,07644,220
Brown-Forman Corporation Class B 643,93044,218
Inphi Corporation1,123,65344,213
Canadian Mining Company Inc.3,081,43544,188
PRA Health Sciences, Inc.801,62944,186
Agora Holdings, Inc.1,302,29944,108
Agora Holdings, Inc.1,302,29944,108
Shutterfly7,801,65344,104
Ballroom Dance Fitness Inc1,164,10044,059
Ballroom Dance Fitness Inc1,164,10044,059
First Priority Tax Solutions Inc.3,103,78644,042
Brookfield Office Properties Inc.1,883,05043,987
Sina Corporation819,59643,963
Sina Corporation819,59643,963
Cerner Corporation615,47543,896
Cerner Corporation615,47543,896
Atmos Energy Corporation591,85943,886
BLACKROCK INTERNATIONAL7,572,46643,845
Blackrock Global3,785,29843,795
PSL Holdings Ltd866,65643,732
Amicus Therapeutics6,128,48143,696
Amicus Therapeutics6,128,48143,696
Opko Health Inc4,680,06743,525
Deutsche Euroshop AG911,12343,507
Citrix Systems7,344,07943,500
Citrix Systems7,344,07943,500
Canopy Growth Corporation1,618,17443,482
CH Energy Group918,78843,458
Teekay LNG Partners L.P.2,156,28843,449
Teekay LNG Partners L.P.2,156,28843,449
Electric Motors Corp.989,97743,420
W.P. Carey Inc.733,45343,340
Coupa Software1,390,68243,320
Coupa Software1,390,68243,320
The Kroger Company1,849,47143,296
Eastman Chemical Company478,13843,267
Eastman Chemical Company478,13843,267
EQT GP Holdings1,715,88143,258
Electric Motors Corp.885,58243,244
51job713,27143,232
BP Midstream Partners LP2,098,93543,174
BP Midstream Partners LP2,098,93543,174
Editas Medicine, Inc.1,897,16343,161
American Homes 4 Rent1,986,32143,123
American Homes 4 Rent1,986,32143,123
Cirrus Logic762,55543,115
Manulife Financial Corp2,418,41943,096
Korea Electric Power Corporation2,330,36143,065
Tortoise MLP Fund2,256,38043,051
COLUMBIA PROPERTY TRUST, INC.1,992,27043,033
SL Green Realty Corporation400,11243,032
Banco Santander Brasil SA4,912,35742,935
Banco Santander Brasil SA4,912,35742,935
Chesapeake Lodging Trust1,583,68942,902
Arista Networks, Inc.226,18042,887
Arista Networks, Inc.226,18042,887
Equinix94,58342,866
Gap1,451,55542,865
First Trust Exchange-Traded Fund II First Trust ISE Global Pla2,185,47642,850
AmerisourceBergen Corporation (Holding Co)575,83242,842
AmerisourceBergen Corporation (Holding Co)575,83242,842
Allscripts Healthcare Solutions11,105,98542,831
Allscripts Healthcare Solutions11,105,98542,831
Cousins Properties Incorporated4,624,31742,776
ABB Ltd2,246,90842,714
ABB Ltd2,246,90842,714
Brown-Forman Corporation Class B 621,19142,657
Tailored Brands1,669,37442,652
CAE Inc3,048,77242,591
Jazz Pharmaceuticals plc343,37442,564
Barrick Gold Corporation2,663,57342,564
Jazz Pharmaceuticals plc343,37442,564
CornerWorld Corp.339,86342,469
Advanced Visual Systems, Inc.269,49542,435
Advanced Visual Systems, Inc.269,49542,435
Allied World Assurance Company Holdings798,43442,397
Allied World Assurance Company Holdings798,43442,397
Avnet1,069,46542,373
Avnet1,069,46542,373
Mylan Inc.1,546,05842,362
Mylan Inc.1,546,05842,362
Molina Healthcare Inc815,93542,360
Baker Hughes a GE Co1,338,69642,357
Baker Hughes a GE Co1,338,69642,357
Domino's Pizza Inc224,15042,354
Capital Bank Financial Corp.1,031,13742,329
Capital Bank Financial Corp.1,031,13742,329
Banco Popular1,423,01042,277
Banco Popular1,423,01042,277
ILG2,325,87642,262
Blackrock Debt Strategies Fund3,610,70442,246
Blackrock Debt Strategies Fund3,610,70442,246
CAE Inc2,300,44742,214
Open Text Corporation682,72042,200
Canadian Imperial Bank of Commerce489,24342,177
DENTSPLY International Inc.729,40042,108
Campbell Soup Company873,56842,027
Agnico Eagle Mines1,036,29541,867
Agnico Eagle Mines1,036,29541,867
Check Point Software Technologies Ltd.407,31841,812
Check Point Software Technologies Ltd.407,31841,812
Carlisle Companies Incorporated392,53941,769
EDGEWELL PERSONAL CARE Co571,88941,741
Cincinnati Financial Corporation550,63541,711
Carlisle Companies Incorporated377,20341,603
Crimson Exploration Inc.481,48241,595
Dana Holding Corporation3,051,04441,586
Aptiv PLC675,30241,578
Aptiv PLC675,30241,578
AcuityAds Hldgs Inc.180,00541,556
AngloGold Ashanti Limited3,305,29141,482
AngloGold Ashanti Limited3,305,29141,482
Nuveen Arizona Premium Income Municipal Fund2,970,75641,476
CNH Global N.V.3,936,04641,447
Diamondrock Hospitality Company3,589,28041,384
Douglas Emmett1,007,41941,366
RLJ Lodging Trust1,688,83941,360
Zillow Group1,133,50741,317
Diamondrock Hospitality Company4,546,63041,284
Evolution Technology Resources Inc.2,382,05241,281
Brown-Forman Corporation Class B 893,37841,256
Burlington Stores Inc423,40041,192
Devon Energy Corporation1,121,35341,165
Devon Energy Corporation1,121,35341,165
HCP1,381,46441,057
Pampa Energia S.A.1,178,15241,011
Guidewire Software830,92240,989
Indofood Agri Resources Ltd.427,75140,974
Cincinnati Financial Corporation529,19240,969
Aqua Bounty Technologies Inc1,043,85040,949
Aqua Bounty Technologies Inc1,043,85040,949
Dave & Buster's Entertainment742,18240,947
Tortoise Energy Infrastructure Corporation1,333,89940,937
Blackrock Debt Strategies Fund3,507,45340,932
Blackrock Debt Strategies Fund3,507,45340,932
Pentair602,26740,930
Pentair602,26740,930
Genesis Metals Corp.1,134,78140,876
Volaris3,436,97140,797
Volaris3,436,97140,797
Williams-Sonoma842,80440,785
Enbridge Inc753,13440,769
INTERNATIONAL TEXTILE GROUP INC746,62440,766
db x-trackers Sicav1,121,04040,693
Banco Bilbao Viscaya Argentaria S.A.5,345,12940,676
Helios Advantage Income Fund1,535,14040,651
Helios Advantage Income Fund1,535,14040,651
UBS AG (London Branch)3,279,29940,598
UBS AG (London Branch)3,279,29940,598
Foothills Exploration, Inc572,55040,588
Eastman Chemical Company501,70540,538
Cedar Fair596,93940,478
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal1,390,86240,460
Check Point Software Technologies Ltd.390,20840,434
Check Point Software Technologies Ltd.390,20840,434
Jack In The Box Inc.362,06740,421
V Media Corp513,22840,407
BLACKROCK INTERNATIONAL8,113,38940,405
INTREXON CORP2,124,57540,388
Canadian National Railway Company599,17940,384
Evolution Technology Resources Inc.2,347,71540,381
Evolution Technology Resources Inc.2,347,71540,381
Wyndmoor Industries, Inc.528,34340,350
Advanced Visual Systems, Inc.406,66540,340
Advanced Visual Systems, Inc.406,66540,340
Athene Holding Ltd813,14940,340
Toyota Tsusho Corp.343,73840,285
EQT Corporation707,73340,284
Cenovus Energy Inc5,727,71340,266
CMG HOLDINGS GROUP, INC.130,71440,237
CMG HOLDINGS GROUP, INC.130,71440,237
Enerplus Corporation4,074,72540,218
AutoZone55,57340,183
BorgWarner Inc.786,20440,168
BorgWarner Inc.786,20440,168
Fidelity National Information Services530,84740,153
CryoLife1,767,54240,122
CryoLife1,767,54240,122
Bioverativ Inc.736,11040,088
Continental Resources996,37440,044
China Mobile (Hong Kong) Ltd.762,73439,990
International Spirit & Beverage Group, Inc. 1,009,43739,944
Black Stallion Oil & Gas Inc.2,301,90739,915
Black Stallion Oil & Gas Inc.2,301,90739,915
Volaris2,652,94139,900
Annaly Capital Management Inc4,061,83239,888
Annaly Capital Management Inc4,061,83239,888
Iren SPA256,47539,825
TripAdvisor858,11539,791
Helios Advantage Income Fund1,729,82139,768
Everett SpinCo, Inc.747,36139,738
American Campus Communities Inc958,87139,687
China Mobile (Hong Kong) Ltd.826,81939,687
American Campus Communities Inc958,87139,687
Dunkin' Brands Group747,39639,672
Dunkin' Brands Group747,39639,672
Infineon Technologies AG 221,92339,595
Aeolus Pharmaceuticals, Inc.2,608,49939,570
Herbalife LTD.584,30839,570
Herbalife LTD.584,30839,570
BBVA Banco Frances S.A.1,569,25839,546
BBVA Banco Frances S.A.1,569,25839,546
Blackstone / GSO Strategic Credit Fund1,275,39539,487
ING Group2,143,15239,477
Nustar GP Holdings1,365,31539,458
BioMarin Pharmaceutical Inc.443,66839,454
Dick's Sporting Goods Inc810,80239,454
BioMarin Pharmaceutical Inc.443,66839,454
America Movil2,221,81139,437
America Movil2,221,81139,437
Nuveen Municipal High Income Opportunity Fund4,111,57339,398
Lexington Realty Trust3,644,46939,360
Ishares III Plc782,87539,355
Alleghany Corporation71,01939,344
Alleghany Corporation71,01939,344
BLACKROCK INTERNATIONAL7,138,62839,333
CBIZ1,238,82139,332
Everest Re Group170,56039,309
Crane Company525,24839,304
Ally Financial Inc2,066,37439,302
Nuance Communications14,268,27539,256
Hospitality Properites Trust1,234,48339,182
Companhia Energetica De Sao Paulo11,884,34539,099
FIRST FIXTURES, INC.1,514,72739,080
Cameco Corporation4,040,96939,076
Cameco Corporation4,040,96939,076
Electronic Arts Inc.495,93739,059
Qiagen N.V.1,131,95338,995
Qiagen N.V.1,131,95338,995
Cracker Barrel Old Country Store245,10338,944
Arconic1,428,12538,917
Arconic1,428,12538,917
Dillard's Capital Trust I693,91838,907
Dillard's Capital Trust I693,91838,907
Aaron's976,04738,896
Aaron's976,04738,896
Davis Service Group Plc.1,938,38038,806
Aaron's889,11838,793
Aaron's889,11838,793
Brookdale Senior Living Inc.3,658,39438,778
Brookdale Senior Living Inc.3,658,39438,778
BlackRock Resources3,966,91138,757
BlackRock Resources3,966,91138,757
Education Realty Trust Inc.1,078,16138,738
Education Realty Trust Inc.1,078,16138,738
Chegg1,362,65638,725
Coach936,42538,703
TerraForm Power, Inc.3,021,01538,698
Canadian Natural Resources Limited1,180,06638,694
Alliant Energy Corporation907,24438,658
Alliant Energy Corporation907,24438,658
Lennar Corporation903,18138,642
Guidewire Software495,47238,578
Evolution Technology Resources Inc.2,847,35438,553
CF Industries Holdings885,67938,535
BorgWarner Inc.921,61038,515
Global Technlogies Corp.1,747,76538,486
Velocity Portfolio Group, Inc.394,18538,449
Velocity Portfolio Group, Inc.394,18538,449
First Tractor Co. Ltd.1,701,73938,433
Curtiss-Wright Corporation315,21438,409
Cincinnati Financial Corporation531,47138,408
NiSource1,734,18538,395
Alexandria Real Estate Equities347,04238,354
Alexandria Real Estate Equities347,04238,354
Cameco Corporation3,377,42238,334
Inchcape PLC892,25738,295
CBRE Group1,214,00638,229
MarketAxess Holdings259,86738,180
Dell Technologies Inc.595,82238,180
Deutsche Borse AG1,229,52638,153
XL Group plc955,44838,084
XL Group plc955,44838,084
Agnico Eagle Mines906,21738,061
Global Payments Inc.399,83237,996
HUBSPOT INC451,54137,953
Alliance Capital Management Holding L.P.1,514,47037,938
Alliance Capital Management Holding L.P.1,514,47037,938
Crown Cork & Seal Company635,21837,935
Crown Cork & Seal Company635,21837,935
Crimson Exploration Inc.384,07237,927
Crimson Exploration Inc.384,07237,927
Xenia Hotels & Resorts1,952,74737,923
Omnicom Group Inc.445,31137,901
Fidelity National Financial1,690,57837,897
East West Bancorp622,50337,867
Washington Prime Group Inc.3,636,09537,852
Infinity Energy Resources, Inc.1,167,07337,848
Atlas Air Worldwide Holdings760,67337,831
Atlas Air Worldwide Holdings760,67337,831
Copart1,100,42737,821
Copart1,100,42737,821
BeiGene, Ltd.386,90037,808
BeiGene, Ltd.386,90037,808
CNP Assurances SA1,338,80237,794
Black Stallion Oil & Gas Inc.2,010,23937,752
WestRock742,63937,704
Cedar Fair796,91337,694
Cintas Corporation261,06437,666
Cintas Corporation261,06437,666
XL Group Ltd.1,067,93437,548
XL Group Ltd.1,067,93437,548
Nippon Telegraph and Telephone Corporation892,25237,538
Hospitality Properites Trust1,313,79837,430
Banco Popular1,196,11737,403
Banco Popular1,196,11737,403
Allegion PLC 468,39737,336
Allegion PLC 468,39737,336
Boyd Gaming Corporation1,790,24137,201
WellCare Helath Plans271,23137,181
Shutterstock 782,07137,165
Flextronics International Ltd.2,240,67337,128
Flextronics International Ltd.2,240,67337,128
Vulcan Materials Company296,46937,104
Canadian Imperial Bank of Commerce423,86137,098
Canadian Imperial Bank of Commerce423,86137,098
Convergys Corporation1,507,87337,034
Eaton Vance Risk-Managed Diversified Equity Income Fund3,843,81037,016
E*TRADE Financial Corporation746,56637,007
Companhia de Bebidas das Americas - AmBev9,427,69136,957
Companhia de Bebidas das Americas - AmBev9,427,69136,957
Arcos Dorados Holdings Inc.4,672,98136,953
Arcos Dorados Holdings Inc.4,672,98136,953
COLUMBIA PROPERTY TRUST, INC.1,660,76336,951
Rogers Corporation847,75436,941
Central Fund of Canada Limited2,871,48836,928
Cedar Fair574,69636,895
Ambarella1,053,83736,864
Ambarella1,053,83736,864
Post Holdings458,21836,836
Aspen Insurance Holdings Limited909,07236,726
Aspen Insurance Holdings Limited909,07236,726
Aqua Bounty Technologies Inc1,106,08336,710
Aqua Bounty Technologies Inc1,106,08336,710
Mascota Resources Corp1,160,97236,709
Cohen & Steers Quality Income Realty Fund Inc2,898,52336,666
CubeSmart1,411,29336,638
Fortinet1,216,33836,636
Neuberger Berman California Intermediate Municipal Fund Inc.3,871,19036,628
Canadian Natural Resources Limited1,516,06436,583
First Trust NASDAQ ABA Community Bank Index Fund1,235,30536,540
NanoString Technologies1,638,19136,532
Flextronics International Ltd.2,029,11436,503
Flextronics International Ltd.2,029,11436,503
Gap1,626,46336,497
Adams Express Company (The)2,428,29336,497
Adams Express Company (The)2,428,29336,497
Illumination Amer Inc34,686,00036,479
Econocom Group SA1,790,66636,476
Pinnacle Foods Inc681,93636,449
Hancock Holding Company1,239,45836,438
Crane Company505,25536,438
Blackrock Global3,886,10136,412
Diamondrock Hospitality Company3,263,31736,386
Equity Lifestyle Properties471,46836,332
Archrock Partners3,048,41636,307
Archrock Partners3,048,41636,307
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.3,658,71636,295
Endo Health Solutions Inc.4,966,96336,258
Endo Health Solutions Inc.4,966,96336,258
Energizer Tennis Inc.650,32936,256
Brandywine Realty Tr2,813,85236,213
FactSet Research Systems Inc.200,98736,199
Curtiss-Wright Corporation367,57736,154
Megacable Holdings SAB DE CV473,00136,109
Zoeller Co.1,504,32836,088
Gigamon, Inc.855,46436,058
Colony Bankcorp5,856,44636,037
Aptiv PLC393,18436,028
Alnylam Pharmaceuticals701,73635,963
Alnylam Pharmaceuticals701,73635,963
Cenovus Energy Inc3,182,20235,959
Eastman Chemical Company491,77935,954
BLACKROCK LTD DURATION INCOME TRUST2,262,27035,947
BLACKROCK LTD DURATION INCOME TRUST2,262,27035,947
Gerdau S.A.10,448,17835,837
Catalent, Inc.871,45835,801
Bigsupersearch.com, Inc.668,08035,790
Bigsupersearch.com, Inc.668,08035,790
Concho Resources Inc.271,63535,779
Concho Resources Inc.271,63535,779
Boardwalk Pipeline Partners L.P.2,769,65235,756
Boardwalk Pipeline Partners L.P.2,769,65235,756
BioMarin Pharmaceutical Inc.411,26035,755
Continental Resources692,68735,701
CST Mining Group, Ltd.741,03135,681
YPF Sociedad Anonima2,161,13635,660
CalAtlantic Group, Inc.632,15835,649
Nuveen Quality Preferred Income Fund 23,826,13235,621
COLUMBIA PROPERTY TRUST, INC.1,635,61835,607
COLUMBIA PROPERTY TRUST, INC.1,635,61835,607
Sun Life Financial Inc.926,62835,592
Deutsche Borse AG1,216,73935,517
Deutsche Borse AG1,216,73935,517
Celanese Corporation395,27935,514
Cabot Oil & Gas Corporation1,519,83735,505
Jazz Pharmaceuticals plc242,72035,498
Jazz Pharmaceuticals plc242,72035,498
Electronic Arts Inc.449,74335,491
Abercrombie & Fitch Company2,035,95235,487
Abercrombie & Fitch Company2,035,95235,487
Blackrock MuniHoldings Investment Quality Fund2,501,92235,477
Therapy Cells, Inc.700,79135,467
BLACKROCK LTD DURATION INCOME TRUST2,652,76035,467
Therapy Cells, Inc.700,79135,467
Banco Santander Brasil SA3,660,00835,393
Banco Santander Brasil SA3,660,00835,393
Cadence Design Systems1,127,03535,388
Banco Bradesco Sa3,451,77935,347
Banco Bradesco Sa3,451,77935,347
Wachovia Corporation29,95835,332
Bankshares Fayetteville Inc.28,25635,320
AMAG Pharmaceuticals1,012,91335,249
Evolution Technology Resources Inc.2,249,08735,243
Ishares Canadian Dex Universe Bond Index Fund493,06735,223
Diamondrock Hospitality Company3,116,58135,187
CARVANA CO.1,075,68535,186
Bankshares Fayetteville Inc.26,93735,136
Bankshares Fayetteville Inc.26,93735,136
BGS Acquisition Corp.503,63635,108
Incyte Corporation356,92235,100
Blackrock Enhanced Equity Dividend Trust4,096,44135,076
Huntington Ingalls Industries154,74735,041
Black Stallion Oil & Gas Inc.1,951,92835,019
Black Stallion Oil & Gas Inc.1,951,92835,019
Criteo1,344,59434,999
Albero Corp.331,16334,984
Albero Corp.331,16334,984
Aphria Inc.6,145,28034,967
Aphria Inc.6,145,28034,967
ANSYS236,91334,966
ANSYS236,91334,966
ALLIANCEBERNSTEIN L.P.2,738,73034,947
ALLIANCEBERNSTEIN L.P.2,738,73034,947
Cohen & Steers Quality Income Realty Fund Inc2,839,85234,902
Pentair828,25734,855
Greenbrier Companies838,56834,842
Education Realty Trust Inc.997,12234,820
Despegar.com1,658,01734,769
Parkway Acquisition Corp1,562,20334,759
Michael Kors Holdings Limited915,61334,721
Michael Kors Holdings Limited915,61334,721
Apollo Senior Floating Rate Fund Inc.2,375,27534,710
Apollo Senior Floating Rate Fund Inc.2,375,27534,710
IDEX Corporation285,54434,684
BHP Billiton Limited855,74134,683
BHP Billiton Limited855,74134,683
CryoLife1,811,00034,681
Global X NASDAQ China Technology ETF2,994,32434,645
CryoLife1,807,73534,619
Cohen & Steers Limited Duration Preferred and Income Fund1,324,20434,615
BankUnited972,95434,609
BankUnited972,95434,609
Pinnacle West Capital Corporation443,47834,606
Blackrock MuniHoldings Investment Quality Fund2,404,83434,558
Barclays Bank PLC1,273,26134,535
Pentair550,03434,531
Pentair550,03434,531
ChemoCentryx527,58434,526
Donaldson Company751,45834,521
Donaldson Company751,45834,521
Cracker Barrel Old Country Store206,73434,520
Cree928,92934,500
Trinity Industries1,241,12234,454
Scientific Metals Corp.1,165,24334,445
Fiat3,150,95434,440
Fiat3,150,95434,440
Agnico Eagle Mines811,28134,432
Agnico Eagle Mines811,28134,432
Coty Inc2,080,58634,392
Coty Inc2,080,58634,392
lululemon athletica inc.528,85834,370
Tractor Supply Company452,75834,325
Ramtron International Corporation637,37834,311
Aercap Holdings N.V.651,92734,299
Aercap Holdings N.V.651,92734,299
Cypress Semiconductor Corporation2,696,50334,298
IPG Photonics Corporation185,29934,291
CubeSmart1,280,46634,278
Ferrari460,75534,261
Ferrari460,75534,261
ALLIANCEBERNSTEIN L.P.2,624,03634,243
ALLIANCEBERNSTEIN L.P.2,624,03634,243
Allison Transmission Holdings1,016,01234,230
Atlassian Corporation1,420,79334,213
BLACKROCK LTD DURATION INCOME TRUST2,122,68134,196
BLACKROCK LTD DURATION INCOME TRUST2,122,68134,196
Donaldson Company698,39634,187
Brunswick Corporation626,37134,162
VICTORY ENERGY CORP848,89734,142
Aqua Bounty Technologies Inc1,061,95034,141
Aqua Bounty Technologies Inc1,061,95034,141
China Mobile (Hong Kong) Ltd.674,35834,102
China Mobile (Hong Kong) Ltd.674,35834,102
CNO Financial Group1,380,37634,081
Cracker Barrel Old Country Store213,89434,062
Alliance Creative Group, Inc.226,94734,060
Alliance Creative Group, Inc.226,94734,060
Cincinnati Financial Corporation444,62734,044
Cincinnati Financial Corporation444,62734,044
Marvell Technology Group Ltd.2,228,40634,005
Marvell Technology Group Ltd.2,228,40634,005
Amedisys Inc290,31133,997
Amedisys Inc290,31133,997
Aerie Pharmaceuticals Inc.568,42033,962
Aerie Pharmaceuticals Inc.568,42033,962
Microsemi Corporation628,38233,913
Equinix84,60833,875
Banco Bilbao Viscaya Argentaria S.A.5,001,63533,861
DaVita Inc.657,96833,860
Burlington Stores Inc399,23533,834
Apartment Investment and Management Company779,09633,821
Apartment Investment and Management Company779,09633,821
Five Below616,08633,810
Alexion Pharmaceuticals276,18333,791
Callon Petroleum Company5,205,95533,787
Enbridge Energy2,443,39033,743
BLACKROCK LTD DURATION INCOME TRUST2,222,10233,709
Alliant Energy Corporation889,67133,708
Calamos Global Dynamic Income Fund3,711,25833,698
CAM Group, Inc.684,28933,687
Dunkin' Brands Group524,98633,661
Volaris2,414,45433,658
Brady Corporation887,90233,651
Brady Corporation887,90233,651
GH Cap Inc.945,94633,618
Hollywall Entertainment Inc.1,025,89533,609
Advanced Visual Systems, Inc.198,55233,579
ABB Ltd1,433,88933,554
ABB Ltd1,433,88933,554
Western Asset Mortgage Defined Opportunity Fund Inc2,444,66633,541
American Financial Group323,93133,509
American Financial Group323,93133,509
Banco Bradesco Sa3,386,72933,493
Evolution Technology Resources Inc.2,377,60933,453
The Middleby Corporation259,52233,429
Ryder System448,99833,423
EQT Midstream Partners772,34933,403
INVESCO MORTGAGE CAPITAL INC1,949,41633,393
Concho Resources Inc.324,83433,389
W.W. Grainger143,73833,384
Blackrock Enhanced Equity Dividend Trust4,080,28933,383
Hawaiian Electric Co., Inc.888,70533,371
Archrock Partners1,944,28733,364
Calpine Corporation3,016,80433,336
Arconic1,977,00733,334
Allegion PLC 430,78033,325
Adecoagro S.A.2,902,54733,263
Adecoagro S.A.2,902,54733,263
Barclays Bank PLC1,347,02733,254
East West Bancorp555,55033,211
East West Bancorp555,55033,211
All Marketing Solutions Inc.627,82933,193
All Marketing Solutions Inc.627,82933,193
Radware Ltd.1,460,88733,176
Radware Ltd.1,460,88733,176
Canada Coal Inc758,68233,170
ManpowerGroup373,22033,167
Bankshares Fayetteville Inc.25,40933,160
Bankshares Fayetteville Inc.25,40933,160
Apartment Investment and Management Company761,07233,150
Apartment Investment and Management Company761,07233,150
Diamondrock Hospitality Company3,026,21033,136
Diamondrock Hospitality Company3,026,21033,136
Cracker Barrel Old Country Store218,51333,132
Cracker Barrel Old Country Store218,51333,132
APOLLO EDUCATION GROUP INC3,345,79733,123
Alleghany Corporation55,56533,122
Alleghany Corporation55,56533,122
Ashland Inc.464,78433,093
Ashland Inc.464,78433,093
BLACKROCK LTD DURATION INCOME TRUST2,125,03133,087
Ishares Canadian Dex Universe Bond Index Fund882,00733,081
Ollie1,161,68933,050
Adams Express Company (The)2,170,78433,018
Adams Express Company (The)2,170,78433,018
Electric Motors Corp.1,331,31633,016
RenaissanceRe Holdings Ltd.262,87033,014
RenaissanceRe Holdings Ltd.262,87033,014
WageWorks453,93932,910
CNO Financial Group1,718,21432,904
Small Business Development Group, Inc.506,86832,896
Small Business Development Group, Inc.506,86832,896
All Marketing Solutions Inc.721,98432,893
Cintas Corporation195,79332,891
Juniper Networks1,163,47732,881
Liberty Global1,234,16732,842
Great Plains Energy Inc1,083,39032,826
Perrigo Company394,37032,823
CONDUENT Inc2,094,26932,817
CONDUENT Inc2,094,26932,817
Blackstone GSO Long Short Credit Income Fund2,239,16732,760
Blackstone GSO Long Short Credit Income Fund2,239,16732,760
Church & Dwight Company651,98732,711
East West Bancorp633,62332,701
Hancock Holding Company1,226,43432,674
Calamos Strategic Total Return Fund2,702,80932,650
Imerjn Inc.623,01632,615
International Frontier Resources Corp.1,374,63332,579
International Frontier Resources Corp.1,374,63332,579
POSCO619,94032,578
ANAPTYSBIO INC323,39432,573
ANAPTYSBIO INC323,39432,573
Old Dominion Freight Line378,87932,504
Crestwood Equity Partners LP1,271,38232,483
XL Group plc871,70032,478
Sina Corporation450,25032,472
Sina Corporation450,25032,472
China Mobile (Hong Kong) Ltd.642,20932,457
Blackstone GSO Long Short Credit Income Fund2,083,82332,437
Jazz Pharmaceuticals plc240,79332,423
Jazz Pharmaceuticals plc240,79332,423
Transcanada Pipelines718,08132,420
EverBank Financial Corp.1,663,87832,412
Blackstone GSO Long Short Credit Income Fund2,058,82332,412
Arrow Electronics441,07932,380
Calamos Strategic Total Return Fund2,668,79732,373
Calamos Strategic Total Return Fund2,668,79732,373
Ishares III Plc646,66632,333
EnLink Midstream Partners, LP2,936,15932,327
Aspen Insurance Holdings Limited769,64132,317
Aspen Insurance Holdings Limited769,64132,317
The Cheesecake Factory Incorporated539,46032,304
Dick's Sporting Goods Inc1,195,61632,294
Dick's Sporting Goods Inc1,195,61632,294
Andeavor Logistics993,78432,288
Andeavor Logistics993,78432,288
International Frontier Resources Corp.1,217,81932,284
International Frontier Resources Corp.1,217,81932,284
American Housing Income Trust, Inc.476,82132,280
American Housing Income Trust, Inc.476,82132,280
EQT GP Holdings1,114,41532,273
EQT GP Holdings1,114,41532,273
Axis Energy Corporation562,67532,246
Axis Energy Corporation562,67532,246
Redux Holdings, Inc.462,37532,228
Equifax235,31332,176
Goldman Sachs MLP Income Opportunities Fund3,921,73932,175
Coty Inc4,903,58632,168
Liberty Gold Corp.947,08232,125
Motorola Solutions387,07732,086
Fiat3,018,31932,084
Olin Corporation1,251,25132,046
CyrusOne537,91132,021
Therapy Cells, Inc.639,30032,003
Baozun1,013,85331,997
Baozun1,013,85331,997
Calamos Strategic Total Return Fund3,020,67031,989
America Movil1,864,90431,984
America Movil1,864,90431,984
Lazard Global Total Return and Income Fund778,13631,974
Signet International Holdings, Inc.565,10531,957
Signet International Holdings, Inc.565,10531,957
CBOE Holdings296,89931,955
CBOE Holdings296,89931,955
CyrusOne542,22831,954
CyrusOne542,22831,954
Orbotech Ltd.565,11531,951
Orbotech Ltd.565,11531,951
Willis Towers Watson210,36631,947
Willis Towers Watson210,36631,947
Evans Brewing Co Inc.2,927,86331,943
CEVA692,17331,943
Arcos Dorados Holdings Inc.5,914,78431,940
Brookfield Office Properties Inc.1,625,11431,933
Ambarella651,19331,914
Ambarella651,19331,914
Essent Group734,58131,895
Essent Group734,58131,895
Rightmove Plc2,561,58731,890
Rightmove Plc2,561,58731,890
Cemex S.A.B. de C.V.12,525,45831,886
CyberArk Software700,02231,852
Great Plains Energy Inc1,140,06631,835
Flextronics International Ltd.2,214,47031,823
InterXion Holding N.V.539,96931,820
InterXion Holding N.V.539,96931,820
Evans Brewing Co Inc.2,687,06631,816
Evans Brewing Co Inc.2,687,06631,816
Array BioPharma Inc.2,230,68031,788
Loews Corporation677,55531,729
China Unicom (Hong Kong) Ltd2,355,42731,727
Array BioPharma Inc.2,611,69431,714
Array BioPharma Inc.2,611,69431,714
Rockwell Collins341,74131,700
Liberty Global904,31331,687
Liberty Global904,31331,687
Electric Motors Corp.1,072,53231,672
Cotiviti Holdings, Inc.919,57631,634
Synovus Financial Corp.769,59431,614
Central Fund of Canada Limited2,354,96731,558
Nuvo Research Inc2,231,20131,550
Bespoke Tricyles, Inc.2,086,80331,532
Bespoke Tricyles, Inc.2,086,80331,532
Infineon Technologies AG 193,53431,515
AngloGold Ashanti Limited3,092,46031,511
AngloGold Ashanti Limited3,092,46031,511
Western Asset Managed High Income Fund2,141,60431,504
Citrix Systems314,18031,484
CBL & Associates Properties5,561,85531,480
ABIOMED186,51931,447
ABIOMED186,51931,447
Arris Group Inc1,223,86431,440
Arris Group Inc1,223,86431,440
Aareal Bank AG913,90731,438
Aareal Bank AG913,90731,438
Atara Biotherapeutics, Inc.1,736,80431,436
Atara Biotherapeutics, Inc.1,736,80431,436
Roper Technologies171,66531,431
Genesis Metals Corp.1,192,13831,413
Blackberry2,812,30931,413
Blackberry2,812,30931,413
Allscripts Healthcare Solutions7,001,56731,408
JetBlue Airways Corporation1,400,68731,403
Blackrock MuniHoldings Investment Quality Fund2,116,75631,349
Blackrock MuniHoldings Investment Quality Fund2,116,75631,349
Therapy Cells, Inc.814,17831,346
KBW Inc377,79831,338
Agrium Inc.292,25331,332
Agrium Inc.292,25331,332
Pentair470,73231,324
Electric Motors Corp.733,68531,314
Cardtronics952,59931,303
Emerge Energy2,542,10031,293
Electric Motors Corp.733,18531,293
Louisiana-Pacific Corporation1,651,01931,254
International Frontier Resources Corp.1,706,24131,225
Iamgold Corporation5,118,70431,224
IGM Financial Inc.1,261,97531,158
First Trust NASDAQ-100 Equal Weighted Index Fund673,98431,145
Arrow Electronics387,22731,137
Arrow Electronics387,22731,137
CH Energy Group671,94931,124
CH Energy Group671,94931,124
BlackRock Resources3,495,79931,078
BlackRock Resources3,495,79931,078
Discovery Communications1,256,04131,073
Dril-Quip517,40731,071
RenaissanceRe Holdings Ltd.214,57131,037
RenaissanceRe Holdings Ltd.214,57131,037
Eagle Energy Trust273,88731,033
Donaldson Company681,35531,015
Calamos Global Dynamic Income Fund3,429,67331,004
Calamos Global Dynamic Income Fund3,429,67331,004
CoreLogic841,41330,990
Cognex Corporation369,05530,981
Hologic825,76130,958
Tesla Motors34,406,00030,941
Central Fund of Canada Limited2,439,78330,913
Central Fund of Canada Limited2,439,78330,913
Fortinet861,67030,883
Broadridge Financial Solutions454,41630,878
iShares702,06130,870
TEGNA1,442,69830,859
Encompass Health500,08630,855
RenaissanceRe Holdings Ltd.221,80730,843
BlackRock Municipal Target Term Trust Inc. (The)1,379,56930,819
BlackRock Municipal Target Term Trust Inc. (The)1,379,56930,819
EMCOR Group435,43930,811
Rightmove Plc2,086,38630,753
American Financial Group283,32030,752
American Financial Group283,32030,752
BioMarin Pharmaceutical Inc.382,97430,746
EQT GP Holdings1,141,41830,704
Atwood Oceanics3,268,00030,687
Atwood Oceanics3,268,00030,687
Bankshares Fayetteville Inc.25,63530,634
Arthur J. Gallagher & Co.589,40630,624
Cheniere Energy679,52230,604
Cheniere Energy679,52230,604
Brown-Forman Corporation Class B 642,82530,586
OGE Energy Corporation913,66230,562
Cardtronics3,989,62130,504
Cardtronics3,989,62130,504
Radware Ltd.2,091,73730,498
Brookfield Infrastructure Partners LP744,64730,464
Alnylam Pharmaceuticals812,18430,408
Graco Inc.245,66530,387
Garmin Ltd.479,80130,381
Garmin Ltd.479,80130,381
Pitney Bowes Inc1,999,28530,369
Dana Holding Corporation948,10230,349
Old Republic International Corporation1,649,76330,334
Celanese Corporation337,06630,327
Equifax256,38530,312
Rightmove Plc2,816,90230,308
Rightmove Plc2,816,90230,308
Cohen & Steers Infrastructure Fund1,261,79130,283
EDGEWELL PERSONAL CARE Co509,76730,274
Fresenius Medical Care Corporation717,03930,266
Eaton Vance Corporation536,66430,264
Cohen & Steers Quality Income Realty Fund Inc2,920,69730,259
International Frontier Resources Corp.1,184,79230,236
Allegheny & Western Railway Co.1,252,18730,228
Allegheny & Western Railway Co.1,252,18730,228
Royal Boskalis Westminster NV477,15130,227
McDermott International4,079,65030,149
Brighthouse Financial, Inc.537,91430,145
Brighthouse Financial, Inc.537,91430,145
Discovery Communications1,064,31030,129
Atlas Air Worldwide Holdings3,724,80030,096
Corporate Office Properties Trust909,25530,096
Diamond Bancshares, Inc.322,01130,060
Marvell Technology Group Ltd.1,854,39430,021
Marvell Technology Group Ltd.1,854,39430,021
BlackRock Municipal Target Term Trust Inc. (The)1,324,14830,018
BlackRock Municipal Target Term Trust Inc. (The)1,324,14830,018
Adient Ltd381,41630,016
Adient Ltd381,41630,016
Global Payments Inc.432,18230,000
Barclays Africa Group Ltd689,12229,977
American Campus Communities Inc678,85229,971
American Campus Communities Inc678,85229,971
American Homes 4 Rent1,428,37429,968
Crescent Pt Energy3,720,41429,948
Crescent Pt Energy3,720,41429,948
Carlisle Companies Incorporated263,42429,939
Athene Holding Ltd555,27529,895
Athene Holding Ltd555,27529,895
Willis Towers Watson197,11429,883
AMC Networks Inc.509,07329,873
AMC Networks Inc.509,07329,873
Everest Re Group136,94429,821
Everest Re Group136,94429,821
GH Cap Inc.866,17629,814
GH Cap Inc.866,17629,814
Enbridge Energy Management LLC2,226,12029,806
Amdocs Limited511,16929,777
Texas Roadhouse616,91429,760
Decker Manufacturing Corp.497,75729,731
ALLIANCEBERNSTEIN L.P.2,364,31929,720
BBVA Banco Frances S.A.1,612,33629,700
Cabot Oil & Gas Corporation1,037,38429,671
Travelport Worldwide LTD1,899,09029,664
Travelport Worldwide LTD1,899,09029,664
Blackrock Enhanced Equity Dividend Trust3,258,64329,608
Blackrock Enhanced Equity Dividend Trust3,258,64329,608
Fiesta Restaurant Group1,222,83929,592
Central Fund of Canada Limited2,621,04829,591
Michael Kors Holdings Limited444,22129,587
Ashland Inc.452,41429,584
Ashland Inc.452,41429,584
Brunswick Corporation527,89529,547
Brunswick Corporation527,89529,547
The AES Corporation2,641,18929,530
The AES Corporation2,641,18929,530
CryoLife1,773,03029,520
Ocean Rig UDW Inc.1,001,32729,519
Toro Company (The)527,33729,506
Oasis Petroleum Inc.1,953,88829,498
Goldcorp Inc.2,165,84129,456
Commercial Metals Company1,534,93929,364
Nielsen CO B.V.1,257,33829,334
Nielsen CO B.V.1,257,33829,334
Copart529,33029,331
Team Health Holdings674,69229,315
Archrock Partners1,827,12429,307
Equinix81,97829,300
PLAINS GP HOLDINGS LP844,47929,286
Brown-Forman Corporation Class B 539,05129,269
Brown-Forman Corporation Class B 539,05129,269
Allegheny & Western Railway Co.1,224,38629,263
Allegheny & Western Railway Co.1,224,38629,263
APPLIED OPTOELECTRONICS, INC.521,05129,257
APPLIED OPTOELECTRONICS, INC.521,05129,257
Lazard Global Total Return and Income Fund631,41029,252
Entergy Corporation339,83229,249
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.3,185,64329,244
Comerica Incorporated336,72529,231
Iochpe-Maxion SA614,33529,231
CACI International202,90929,225
Evans Brewing Co Inc.2,900,63429,209
Dominion Diamond Corporation2,059,30629,202
Dominion Diamond Corporation2,059,30629,202
Far Eastone Telecommunication Co., Ltd.2,315,40529,197
Garmin Ltd.490,10129,196
Garmin Ltd.490,10129,196
Greenlight Reinsurance2,054,62429,175
Banco Bilbao Viscaya Argentaria S.A.3,269,23329,161
Banco Bilbao Viscaya Argentaria S.A.3,269,23329,161
ISC8 Inc.259,23129,153
Cedar Fair447,96429,114
Discovery Communications1,261,09429,106
BorgWarner Inc.567,95429,096
BorgWarner Inc.567,95429,096
Emerge Energy2,100,45129,091
Trina Solar Limited3,126,97329,081
Pebblebrook Hotel Trust977,41129,068
Diamond Offshore Drilling1,563,57429,067
Blackrock Enhanced Equity Dividend Trust3,140,60429,034
Blackrock Enhanced Equity Dividend Trust3,140,60429,034
PennTex Midstream Partners1,936,87229,033
Dominion Resources Black Warrior Trust981,65229,008
FIRST FIXTURES, INC.1,244,52028,997
Blackstone GSO Long Short Credit Income Fund1,819,71228,934
EDGEWELL PERSONAL CARE Co395,49028,925
Aqua Bounty Technologies Inc962,69228,918
Autodesk334,35128,912
Eagle Energy Trust270,88028,903
Eagle Energy Trust270,88028,903
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.3,371,04428,890
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.3,371,04428,890
Dolby Laboratories639,07128,880
Algonquin Pwr & Util3,013,13428,867
Algonquin Pwr & Util3,013,13428,867
BGS Acquisition Corp.386,82628,858
Cenovus Energy Inc1,906,73828,850
CF Industries Holdings916,02428,837
Agrium Inc.250,51728,810
Agrium Inc.250,51728,810
Cooper Companies132,18528,801
Vectren Corporation551,62828,768
Alliance Capital Management Holding L.P.1,258,87228,765
Alliance Capital Management Holding L.P.1,258,87228,765
Deutsche Bank AG1,664,51428,762
Deutsche Bank AG1,664,51428,762
Alliance Capital Management Holding L.P.1,181,76728,716
Eagle Energy Trust295,60628,716
Alliance Capital Management Holding L.P.1,181,76728,716
MakeMyTrip Limited961,86128,712
MakeMyTrip Limited961,86128,712
AGCO Corporation515,59728,703
AGCO Corporation515,59728,703
Cabot Corporation478,61628,674
GW Pharmaceuticals256,36128,648
Agrium Inc.299,65628,632
Agrium Inc.299,65628,632
Evans Brewing Co Inc.2,400,44528,614
Coach710,29128,609
Coach710,29128,609
Spectra Energy Partners624,07928,608
Weatherford International6,245,23928,603
Weatherford International6,245,23928,603
Apptio Inc1,215,69828,594
Apptio Inc1,215,69828,594
Algonquin Pwr & Util3,371,51728,590
Molson Coors Brewing Company293,66328,577
CBIZ928,49828,551
Cree667,38528,546
Trinseo S.A.425,17928,530
Trinseo S.A.425,17928,530
CoStar Group106,30428,516
CoStar Group106,30428,516
RSP Permian638,89828,507
Vanda Pharmaceuticals Inc.1,786,54028,496
Fiat3,123,03428,483
First Trust NASDAQ-100-Technology Sector Index Fund1,022,23028,469
CoStar Group84,31028,441
Eaton Vance Corporation575,68228,421
Eaton Vance Corporation575,68228,421
Marvell Technology Group Ltd.2,046,67228,386
Calamos Strategic Total Return Fund2,542,76628,378
Cadence Design Systems1,124,94828,371
GenMark Diagnostics2,313,92228,322
Blackstone GSO Long Short Credit Income Fund3,851,75128,315
Adams Express Company (The)2,059,12228,313
Adams Express Company (The)2,059,12228,313
Pimco Corporate & Income Stategy Fund283,46428,306
Bank of the Ozarks583,31728,261
Bank of the Ozarks583,31728,261
Bioverativ Inc.495,17628,261
Bioverativ Inc.495,17628,261
Carmax Mining Corp.372,76228,258
Carmax Mining Corp.372,76228,258
Neustar845,49928,240
Cameco Corporation2,549,49428,224
CA Inc.888,35028,179
Blackrock MuniHoldings Investment Quality Fund1,926,13828,160
Blackrock MuniHoldings Investment Quality Fund1,926,13828,160
Amdocs Limited425,34928,154
iShares S&P Global Nuclear Index Fund828,26428,153
Arch Capital Group Ltd.309,90228,131
Arch Capital Group Ltd.309,90228,131
BlackRock Science & Technology Trust1,151,31828,127
BlackRock Science & Technology Trust1,151,31828,127
Aercap Holdings N.V.710,11928,122
Aercap Holdings N.V.710,11928,122
New Ulm Telecom, Inc.317,78928,092
New Ulm Telecom, Inc.317,78928,092
Alliance Resource Partners1,425,84628,089
Alliance Resource Partners1,425,84628,089
Alliance Resource Partners1,619,84028,088
Alliance Resource Partners1,619,84028,088
Copart452,99628,054
Nordic Investment Bank3,338,25528,042
Crestwood Equity Partners LP1,148,08028,013
Crestwood Equity Partners LP1,148,08028,013
CyrusOne529,29027,989
ONE Gas437,44227,979
Bouygues 638,40427,962
Summit Midstream Partners1,111,59027,957
Alliant Energy Corporation661,08427,931
Alliant Energy Corporation661,08427,931
W.T.B. Financial Corp.412,71627,917
Xponential, Inc.645,89927,876
NRG Energy2,272,55027,861
CNH Global N.V.2,318,27127,843
CNH Global N.V.2,318,27127,843
Entergy Corporation366,21227,818
Broadridge Financial Solutions288,94427,810
Nu Skin Enterprises581,73827,795
Algonquin Pwr & Util2,629,45927,794
Algonquin Pwr & Util2,629,45927,794
iShares S&P Global Nuclear Index Fund798,45627,786
Continental Resources610,39127,725
Cabot Oil & Gas Corporation1,240,25127,719
Cohen & Steers Limited Duration Preferred and Income Fund1,234,28127,702
Enersys354,26427,668
Northern Trust Corporation310,61627,661
Cincinnati Financial Corporation368,49127,625
Aqua Bounty Technologies Inc807,35827,603
Aqua Bounty Technologies Inc807,35827,603
Abercrombie & Fitch Company1,376,77827,603
Abercrombie & Fitch Company1,376,77827,603
Ambarella468,98627,553
Ambarella468,98627,553
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF308,29327,546
The Intertain Group Limited229,19727,515
Bankshares Fayetteville Inc.23,71427,449
Agora Holdings, Inc.657,22827,433
Woodward397,00427,414
Cabot Corporation542,37127,412
Alcoa Inc.976,09927,409
Groupon5,270,79227,408
Cameco Corporation2,617,50827,404
Bausch Health Companies1,483,41527,399
East West Bancorp538,88527,391
Diamondback Energy279,17627,349
SEI Investments Company554,04827,349
Diamondback Energy279,17627,349
Calamos Strategic Total Return Fund2,660,43027,323
Cheniere Energy659,46627,322
Herbalife LTD.2,986,20727,319
Quest Management Inc.297,19227,313
Marvell Technology Group Ltd.1,652,28727,296
BLDRS Developed Markets 100 ADR Index Fund1,158,78627,267
BLDRS Developed Markets 100 ADR Index Fund1,158,78627,267
Imperial Oil Limited853,60627,263
Arista Networks, Inc.206,06627,257
InterDigital298,38227,256
Fitbit3,722,63027,249
CubeSmart1,049,34727,241
CubeSmart1,049,34727,241
BorgWarner Inc.690,38227,229
Bausch Health Companies1,873,80727,208
Mohawk Industries136,25127,208
Cimpress187,56527,190
Medical Properties Trust2,208,72527,168
World Wrestling Entertainment1,476,04527,159
First Priority Tax Solutions Inc.1,505,00927,151
Spirent Communications Plc.420,51827,144
Adient Ltd323,06327,133
Adient Ltd323,06327,133
Corporate Office Properties Trust868,15027,103
Avnet592,19627,099
Fair Isaac Corp192,86027,097
Greenlight Reinsurance1,250,76727,080
Greenlight Reinsurance1,250,76727,080
Cintas Corporation234,28727,074
ACADIA Pharmaceuticals Inc.898,71427,060
ACADIA Pharmaceuticals Inc.898,71427,060
Ballroom Dance Fitness Inc360,45127,058
Ally Financial Inc1,114,17327,030
Ally Financial Inc1,114,17327,030
Cohen & Steers Infrastructure Fund1,254,22427,029
Boise Cascade Holdings LLC677,33327,027
Boise Cascade Holdings LLC677,33327,027
Carmax Mining Corp.456,26227,019
CDW Corp468,04027,011
Cohen & Steers Infrastructure Fund1,174,33527,010
Cohen & Steers Infrastructure Fund1,174,33527,010
Greenlight Reinsurance1,343,34827,001
Greenlight Reinsurance1,343,34827,001
Ocean Rig UDW Inc.1,006,87026,984
Ocean Rig UDW Inc.1,006,87026,984
Array BioPharma Inc.3,073,16226,975
The Kroger Company1,297,21826,969
Cinemark Holdings Inc702,76126,958
Agora Holdings, Inc.712,82126,925
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.3,251,70326,924
Cornerstone OnDemand715,53426,921
Cornerstone OnDemand715,53426,921
Hormel Foods Corporation837,55526,920
MFS Charter Income Trust3,158,42026,910
Pilgrim's Pride Corporation1,415,56526,881
Fidelity Bancorp844,26826,874
Check Point Software Technologies Ltd.246,34526,872
Marvell Technology Group Ltd.1,500,64926,861
Marvell Technology Group Ltd.1,500,64926,861
CyberArk Software426,50326,853
ArcelorMittal1,041,74626,835
ArcelorMittal1,041,74626,835
Coca Cola Icecek Sanayi As671,94126,776
Coca Cola Icecek Sanayi As671,94126,776
AutoNation563,82126,759
AutoNation563,82126,759
Algonquin Pwr & Util2,396,54326,746
Algonquin Pwr & Util2,396,54326,746
Nordic Investment Bank3,323,26326,726
USG Corporation924,62726,703
CommVault Systems451,87226,701
China Unicom (Hong Kong) Ltd2,311,74926,700
THEDIRECTORY.COM, INC.339,22426,697
THEDIRECTORY.COM, INC.339,22426,697
Teleflex Incorporated175,43626,687
MakeMyTrip Limited737,76226,671
Nordic Investment Bank3,258,56826,655
Weatherford International6,390,11326,647
Weatherford International6,390,11326,647
BlackRock Municipal Target Term Trust Inc. (The)1,176,84626,632
Gamestop Corporation1,289,03926,631
Now Inc1,299,31026,596
HD Supply Holdings, Inc.625,54026,591
FMB Equibanc, Inc.498,90126,556
Adecoagro S.A.2,657,59426,550
Och-Ziff Capital Management Group LLC8,013,86826,525
Adams Express Company (The)2,100,81426,512
Adams Express Company (The)2,100,81426,512
uniQure N.V.701,25926,508
Barclays Africa Group Ltd1,319,15926,475
BLDRS Developed Markets 100 ADR Index Fund1,157,84426,457
BLDRS Developed Markets 100 ADR Index Fund1,157,84426,457
Entergy Corporation346,32426,447
Timken Company (The)666,16826,447
Carmax Mining Corp.421,52026,441
Nuveen Credit Strategies Income Fund2,983,44426,403
Burlington Stores Inc276,58926,403
Burlington Stores Inc276,58926,403
Bristow Group Inc1,959,23526,392
Bristow Group Inc1,959,23526,392
Yelp Inc.690,86126,342
Cree934,21526,336
Cree934,21526,336
Dick's Sporting Goods Inc916,39926,336
Aecom Technology Corporation715,34426,332
Aecom Technology Corporation715,34426,332
Evercore Partners Inc338,00926,330
Diamond Offshore Drilling1,486,57826,313
C.R. Bard117,05626,297
Curtiss-Wright Corporation288,10026,292
Blackhawk Bancorp, Inc.737,05426,277
Blackhawk Bancorp, Inc.737,05426,277
Bank of the Ozarks499,34726,261
BGS Acquisition Corp.363,11626,231
Gildan Activewear838,55526,231
Peoples Financial Corporation1,354,22926,218
BJ's Restaurants518,15526,202
GW Pharmaceuticals258,17726,202
Illumination Amer Inc27,615,00026,200
Boulder Energy Ltd.2,361,46226,189
Boulder Energy Ltd.2,361,46226,189
Core Laboratories N.V.238,95726,177
Core Laboratories N.V.238,95726,177
Michael Kors Holdings Limited546,94426,171
Michael Kors Holdings Limited546,94426,171
Allegion PLC 302,58726,165
Allegion PLC 302,58726,165
Blackrock Debt Strategies Fund2,678,14826,165
Century Bancorp, Inc.1,576,52526,139
Century Bancorp, Inc.1,576,52526,139
UBS AG (London Branch)1,658,95126,131
Herbalife LTD.449,42626,129
Herbalife LTD.449,42626,129
Global Technlogies Corp.1,255,59526,129
iShares II plc.196,57826,127
Infinity Energy Resources, Inc.985,61226,099
VALERO ENERGY PARTNERS LP589,24726,086
CommScope Holding Company, Inc.689,09926,070
Crestwood Equity Partners LP992,93726,064
Kite Realty Group Trust1,109,88626,061
New Ulm Telecom, Inc.319,18626,014
CBRE Clarion Global Real Estate Income Fund3,283,91226,008
Campbell Soup Company788,27826,006
MicroStrategy Incorporated131,40825,940
Blueprint Medicines Corp343,95525,937
Blueprint Medicines Corp343,95525,937
Discovery Communications1,158,77525,933
CNH Global N.V.2,815,12825,927
CNH Global N.V.2,815,12825,927
E*TRADE Financial Corporation590,63725,918
Insulet Corporation694,66325,918
Far Eastone Telecommunication Co., Ltd.2,014,20625,902
Blackstone GSO Long Short Credit Income Fund1,672,36525,895
Mallinckrodt Plc692,85225,892
Mallinckrodt Plc692,85225,892
Amdocs Limited402,54625,892
Amdocs Limited402,54625,892
DCT Industrial Trust Inc540,69125,889
bluebird bio, Inc.145,33125,884
bluebird bio, Inc.145,33125,884
Affiliated Managers Group126,09525,880
Affiliated Managers Group126,09525,880
Allscripts Healthcare Solutions6,015,43325,864
Allscripts Healthcare Solutions6,015,43325,864
Southwest Gas Corporation338,43225,853
Ally Financial Inc1,271,02725,839
Ally Financial Inc1,271,02725,839
Green Plains Partners LP1,284,56325,820
Teekay Corporation3,212,94825,799
Turkcell Iletisim Hizmetleri AS3,737,18025,786
CIENA Corporation1,143,65325,786
Brighthouse Financial, Inc.464,98025,777
Brighthouse Financial, Inc.464,98025,777
Arris Group Inc904,71025,775
Arris Group Inc904,71025,775
Commercial Metals Company1,181,41625,731
Green Plains Partners LP1,299,45825,729
The AES Corporation2,212,66125,711
CEVA1,163,53925,702
Ferrari441,83725,688
Endo Health Solutions Inc.2,996,73125,666
Endo Health Solutions Inc.2,996,73125,666
Consolidated Plen Tech Electronics, Inc.1,514,90325,662
Consolidated Plen Tech Electronics, Inc.1,514,90325,662
Copa Holdings325,74225,639
Copa Holdings325,74225,639
Flextronics International Ltd.1,525,56525,630
Flextronics International Ltd.1,525,56525,630
Allison Transmission Holdings709,33025,579
Allison Transmission Holdings709,33025,579
SVB Financial Group148,99125,576
America Movil2,034,14225,568
CACI International205,31225,520
Akorn790,25225,470
Akorn790,25225,470
The Cheesecake Factory Incorporated604,16825,448
The Cheesecake Factory Incorporated604,16825,448
Gramercy Capital Corp841,06925,443
AptarGroup270,46525,443
AptarGroup270,46525,443
Alleghany Corporation41,81925,431
Ally Financial Inc870,24625,376
Ally Financial Inc870,24625,376
iHeartMedia179,38425,368
Community Bank of Santa Maria (CA)411,45425,366
Angie's List3,078,06925,332
BlackRock Resources2,943,98525,318
Ocean Rig UDW Inc.1,064,72225,308
Ocean Rig UDW Inc.1,064,72225,308
Liberty Global851,55625,291
Autoliv198,91525,278
Autoliv198,91525,278
Small Business Development Group, Inc.359,42425,256
iShares II plc.207,25325,250
Progressive Corporation (The)710,53325,224
Sprott Resource Lending Corp.3,206,66125,222
ALLIANCEBERNSTEIN L.P.2,002,68125,194
ALLIANCEBERNSTEIN L.P.2,002,68125,194
Volaris3,141,23325,193
Boulder Energy Ltd.2,413,91825,177
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal1,401,60125,172
ClearBridge Energy MLP Opportunity Fund Inc.3,222,51825,168
ALLIANCEBERNSTEIN L.P.2,389,40225,160
ALLIANCEBERNSTEIN L.P.2,389,40225,160
Portola Pharmaceuticals1,120,96225,155
Cohen & Steers Infrastructure Fund1,272,89725,152
InterDigital340,89325,140
Sina Corporation296,34825,097
Textron Inc.516,79225,095
Amdocs Limited388,80725,063
Banco Macro S.A.566,32025,042
Intellisense Solutions Inc.171,01825,035
Celestica2,021,86125,030
Celestica2,021,86125,030
SkyWest685,73124,994
Nuveen Dividend Advantage Municipal Fund 31,726,42424,965
India Fund931,84424,963
Booz Allen Hamilton Holding Corporation705,06924,951
E*TRADE Financial Corporation719,94424,946
EQT Corporation382,29224,940
EQT Corporation382,29224,940
Synopsys422,90524,892
BlackRock Science & Technology Trust932,28324,883
BlackRock Science & Technology Trust932,28324,883
America Movil1,755,93524,882
America Movil1,755,93524,882
Aberdeen Asia-Pacific Income Fund Inc4,816,81024,854
Aberdeen Asia-Pacific Income Fund Inc4,816,81024,854
AutoNation483,84324,836
AutoNation483,84324,836
Smith (A.O.) Corporation524,47524,834
Discovery Communications853,60324,833
MRC Global Inc.1,224,84524,816
MakeMyTrip Limited861,85024,778
MakeMyTrip Limited861,85024,778
Buckeye Technologies854,25924,764
Morgan Stanley585,23824,726
Garmin Ltd.458,13624,725
Garmin Ltd.458,13624,725
Donaldson Company569,64624,717
Baker Hughes a GE Co1,149,66824,717
Habit Restaurants, Inc.1,893,03924,705
Adams Express Company (The)1,943,76624,705
Herbalife LTD.364,20724,704
Aspen Insurance Holdings Limited495,12324,682
Greif Bros. Corporation469,79424,667
Banco Santander3,771,39924,666
Banco Santander3,771,39924,666
Aeolus Pharmaceuticals, Inc.1,757,90124,663
Aeolus Pharmaceuticals, Inc.1,757,90124,663
Athene Holding Ltd476,52224,642
Athene Holding Ltd476,52224,642
The Providence Service Corporation798,10924,638
HD Supply Holdings, Inc.682,73724,626
EMCOR Group412,41024,617
Atlassian Corporation821,31424,598
Atlassian Corporation821,31424,598
Atlassian Corporation821,31424,598
BlackRock Science & Technology Trust1,161,66924,580
Criteo1,081,87124,579
Ambarella449,21624,576
Ambarella449,21624,576
Ambarella449,21624,576
Ambarella453,23124,533
American Campus Communities Inc597,90324,532
American Campus Communities Inc597,90324,532
KAR Auction Services575,40724,522
Aimmune Therapeutics, Inc.647,90124,504
Aimmune Therapeutics, Inc.647,90124,504
Six Flags Entertainment Corporation New408,52524,496
CBRE Clarion Global Real Estate Income Fund3,099,66524,487
CBRE Clarion Global Real Estate Income Fund3,099,66524,487
Yadkin Valley Financial Corporation714,72424,486
CrossAmerica Partners934,82524,474
Caesars Entertainment Corporation1,933,61824,461
Eaton Vance Corporation543,76124,448
ADVANCED MEDICAL ISOTOPE Corp361,22924,426
ADVANCED MEDICAL ISOTOPE Corp361,22924,426
Equity Commonwealth807,57024,422
Blackrock Corporate High Yield Fund1,052,16824,401
Blackrock Corporate High Yield Fund1,052,16824,401
Axis Energy Corporation484,84924,368
Axis Energy Corporation484,84924,368
Essent Group601,44624,358
Essent Group601,44624,358
ABB Ltd1,155,70124,351
Conn's1,291,15624,351
Exelixis1,630,46324,310
AngloGold Ashanti Limited2,616,49024,307
AngloGold Ashanti Limited2,616,49024,307
Royal Caribbean Cruises Ltd.247,60624,293
Royal Caribbean Cruises Ltd.247,60624,293
bluebird bio, Inc.244,82724,287
Ally Financial Inc1,070,72724,263
Ally Financial Inc1,070,72724,263
Ohio State Bancshares, Inc.881,36424,220
Atlassian Corporation688,58724,204
Atlassian Corporation688,58724,204
Mallinckrodt Plc1,531,55124,199
Mallinckrodt Plc1,531,55124,199
DCP Holding CO913,30024,194
Avista Corporation467,10724,180
Avista Corporation467,10724,180
Boulder Energy Ltd.2,370,00124,173
Boulder Energy Ltd.2,370,00124,173
Rightmove Plc1,797,65724,160
Brookdale Senior Living Inc.3,605,53824,157
Blackrock Corporate High Yield Fund1,149,15424,156
Callaway Golf Company1,577,67824,138
Bristow Group Inc1,176,62424,097
B2Digital, Inc.8,513,08324,092
Entergy Corporation327,78524,084
Radware Ltd.952,25124,075
MEDIACOM BROADBAND LLC1,277,58524,057
Kennametal Inc.769,06024,040
Cintas Corporation154,01024,000
Despegar.com1,931,56823,970
Despegar.com1,931,56823,970
CrossAmerica Partners951,40423,965
Orbital Corporation Limited273,04023,955
Blackbaud253,04323,910
Blackbaud253,04323,910
CyrusOne464,46023,905
BlackRock Municipal Target Term Trust Inc. (The)1,165,40123,902
Blackrock MuniHoldings Investment Quality Fund1,874,74623,885
Meredith Corporation403,60323,873
Venator Materials PLC5,693,51623,856
Venator Materials PLC5,693,51623,856
Core Laboratories N.V.188,96423,849
DEWEY ELECTRONICS CORP619,90523,829
Blackrock Corporate High Yield Fund1,019,46023,825
Blackrock Corporate High Yield Fund1,019,46023,825
Atara Biotherapeutics, Inc.1,437,66123,792
Atara Biotherapeutics, Inc.1,437,66123,792
TiVo Inc.1,138,08523,787
Celestica1,635,43723,763
IDACORP295,00723,761
Amerco72,40123,756
Amerco72,40123,756
Sabre Corp952,13823,756
BlackRock Municipal Target Term Trust Inc. (The)1,087,99923,750
Momo1,289,18823,696
BHP Billiton Limited661,90823,683
Blackrock Enhanced Equity Dividend Trust3,040,42023,675
Calpine Corporation2,069,14223,650
Arch Capital Group Ltd.249,45923,641
Arch Capital Group Ltd.249,45923,641
Arch Capital Group Ltd.249,45923,641
Arcos Dorados Holdings Inc.3,400,87123,636
Apollo Investment Corporation3,867,62823,631
Apollo Investment Corporation3,867,62823,631
Green Plains Renewable Energy1,171,77323,611
EQT Corporation386,31423,605
R.G. Barry Corporation1,948,85223,602
Scientific Games Corp1,685,37323,595
BlackRock Multi-Sector Income Trust1,299,63323,588
BlackRock Multi-Sector Income Trust1,299,63323,588
Petroleo Brasileiro S.A.- Petrobras2,331,53423,572
De La Rue PLC 192,33923,561
Webster Ltd.433,90623,553
Antero Midstream GP LP1,417,06523,513
Antero Midstream GP LP1,417,06523,513
WESTLAKE CHEMICAL PARTNERS LP1,085,05123,492
BlackRock Resources2,840,40423,489
W.W. Grainger130,66523,486
Enable Midstream Partners, LP1,492,92423,484
Fair Isaac Corp196,93623,478
Zendesk, Inc.1,107,31323,475
Fair Isaac Corp182,03423,472
Atlassian Corporation514,24923,409
Atlassian Corporation514,24923,409
Orbotech Ltd.378,00323,361
RenaissanceRe Holdings Ltd.172,76223,347
RenaissanceRe Holdings Ltd.172,76223,347
Cardinal Financial Corporation712,00923,346
Honda Motor Company799,65523,341
The Cheesecake Factory Incorporated535,81723,313
Deutsche Bank AG1,225,03823,312
Deutsche Bank AG1,225,03823,312
The Hain Celestial Group565,99923,292
First Majestic Silver Corp.3,400,48523,259
Perrigo Company307,65923,234
Arch Capital Group Ltd.235,52223,199
Arch Capital Group Ltd.235,52223,199
Willis Towers Watson153,84623,183
Willis Towers Watson153,84623,183
Huntington Ingalls Industries125,77523,167
Urban Outfitters812,13923,130
Apollo Investment Corporation3,525,24823,125
Apollo Investment Corporation3,525,24823,125
CASEY CONTAINER CORP194,49023,120
Southwest Iowa Renewable Energy, LLC2,133,21823,083
BLDRS Developed Markets 100 ADR Index Fund1,096,58423,074
SCOTTS LIQUID GOLD INC241,29223,054
Adecoagro S.A.2,219,94423,044
Endo Health Solutions Inc.2,971,24223,027
Endo Health Solutions Inc.2,971,24223,027
Brandywine Realty Tr1,264,13322,995
Brandywine Realty Tr1,264,13322,995
Flowers Foods1,151,06522,986
WGL Holdings Inc301,03722,963
Deutsche Bank AG1,290,51922,958
Tenneco Automotive367,32722,947
Stericycle297,46222,917
Embraer-Empresa Brasileira de Aeronautica1,034,92422,903
Ashland Inc.184,88822,892
IHS Markit477,17722,890
IHS Markit477,17722,890
Energen Corporation418,22722,868
BRF-Brasil Foods S.A.1,866,13722,861
Concho Resources Inc.172,37022,857
NEVRO CORP315,44022,848
Teekay Corporation2,496,79522,846
Teekay Corporation2,496,79522,846
AptarGroup264,61522,831
AptarGroup264,61522,831
ITT Educational Services, Inc.591,44322,813
Bouygues 566,28422,793
GasLog Partners1,108,55222,781
Prospect Capital Corporation7,724,42922,772
AMAG Pharmaceuticals1,008,87522,751
AMAG Pharmaceuticals1,008,87522,751
Davis Service Group Plc.887,49922,748
Ohio State Bancshares, Inc.751,51722,736
Avista Corporation441,53422,735
Avista Corporation441,53422,735
Arch Capital Group Ltd.263,08722,701
Liberty Global1,099,70522,697
Liberty Global1,099,70522,697
Fortress Paper1,706,05522,691
Decker Manufacturing Corp.177,24622,680
AudioCodes Ltd.2,293,11122,656
AudioCodes Ltd.2,293,11122,656
De La Rue PLC 211,33422,644
American Financial Group250,08022,641
American Financial Group250,08022,641
CenterPoint Energy450,62522,639
Dun & Bradstreet Corporation (The)209,73922,639
Pan American Silver Corp.1,500,85522,618
BlackRock Multi-Sector Income Trust1,208,87322,606
BlackRock Multi-Sector Income Trust1,208,87322,606
New Ulm Telecom, Inc.258,41922,604
New Ulm Telecom, Inc.258,41922,604
Brown-Forman Corporation Class B 502,90622,591
Generac Holdlings Inc.491,15522,559
FMC Corporation252,14122,518
Eaton Vance Risk-Managed Diversified Equity Income Fund2,338,34922,518
Helen of Troy Limited171,59222,510
Helen of Troy Limited171,59222,510
CBRE Clarion Global Real Estate Income Fund3,081,66622,496
Weatherford International5,807,22722,474
Amdocs Limited343,07322,464
Amdocs Limited343,07322,464
IDACORP255,46922,464
Core Laboratories N.V.227,29022,434
Core Laboratories N.V.227,29022,434
Cree837,69022,391
Banco Santander3,224,61922,379
Banco Santander3,224,61922,379
Federated Investors791,28122,378
Mallinckrodt Plc501,80522,366
Mallinckrodt Plc501,80522,366
Cousins Properties Incorporated2,830,79822,363
CSRA Inc.701,88222,346
Aberdeen Indonesia Fund1,479,49122,330
Aberdeen Indonesia Fund1,479,49122,330
Michael Kors Holdings Limited615,31622,306
Aimmune Therapeutics, Inc.932,31122,301
Aimmune Therapeutics, Inc.932,31122,301
Alliant Energy Corporation536,04122,283
Alliant Energy Corporation536,04122,283
Eaton Vance Risk-Managed Diversified Equity Income Fund2,362,98522,282
Corporate Office Properties Trust762,53022,266
Gulfport Energy Corporation1,028,88522,265
Mylan Inc.615,98522,262
DineEquity289,02622,254
CVR Refining, LP1,344,05122,245
Cohen & Steers Infrastructure Fund1,148,60822,237
QEP Resources1,207,53122,230
Deutsche Bank AG1,227,22422,213
Cedar Fair346,39522,210
Cedar Fair346,39522,210
FirstService337,72622,196
CBOE Holdings273,75022,193
Amerco58,62822,157
Amerco58,62822,157
Crown Cork & Seal Company421,41022,154
Catalent, Inc.554,93322,153
Catalent, Inc.554,93322,153
Bank of the Ozarks425,86622,149
Apollo Investment Corporation3,913,09022,149
Apollo Investment Corporation3,913,09022,149
Sinclair Pharma plc.663,15222,115
Check Point Software Technologies Ltd.193,74322,092
Check Point Software Technologies Ltd.193,74322,092
Gentex Corporation1,120,08722,055
Liberty Global614,84222,054
Liberty Global614,84222,054
Validus Holdings424,23322,047
Allegiant Travel Company219,58422,007
Allegiant Travel Company219,58422,007
Penske Automotive Group424,47522,006
Herbalife LTD.308,19721,984
Coca Cola Icecek Sanayi As527,41821,950
Coca Cola Icecek Sanayi As527,41821,950
CVR Partners6,455,33121,948
AdvanSix Inc.521,33021,932
AdvanSix Inc.521,33021,932
TD Ameritrade Holding Corporation501,98321,886
Michaels Stores Inc1,069,73521,875
ILG817,38421,848
Encore Capital Group Inc722,00921,844
New Ulm Telecom, Inc.207,78421,820
UAN Cultural & Creative Co., Ltd.472,78821,786
Belden Inc314,72721,777
Helen of Troy Limited231,40721,775
Aberdeen Asia-Pacific Income Fund Inc4,362,95021,772
Aberdeen Asia-Pacific Income Fund Inc4,362,95021,772
Bouygues 619,32821,770
Bouygues 619,32821,770
Axis Energy Corporation336,57821,763
Silver Wheaton Corp1,125,85321,752
IDEX Corporation241,50621,751
Diamondback Energy215,11321,739
R.G. Barry Corporation1,331,17221,726
Brookfield Infrastructure Partners LP560,78621,686
Brookfield Infrastructure Partners LP560,78621,686
American Financial Group227,00721,662
American Financial Group227,00721,662
Commerce Bancshares374,93821,661
Commerce Bancshares374,93821,661
AmeriGas Partners855,53721,646
AmeriGas Partners855,53721,646
Dycom Industries3,735,75421,643
Amerco57,72521,641
Amerco57,72521,641
Autoliv175,00921,631
Autoliv175,00921,631
Western Asset High Income Opportunity Fund4,333,81121,625
Corporate Office Properties Trust1,027,84421,616
Prosperity Bancshares301,09421,612
Agrium Inc.214,92721,611
Meritor1,739,91321,610
TESARO165,37221,586
Acxiom Corporation875,92621,582
Acxiom Corporation875,92621,582
The Hanover Insurance Group237,08721,577
Sonoco Products Company409,12321,562
Sidney Resources Corp.7,281,70021,554
Sidney Resources Corp.7,281,70021,554
Duff & Phelps Corporation1,325,46221,513
Duff & Phelps Corporation1,325,46221,513
Cleveland BioLabs5,105,69921,512
GH Cap Inc.692,28321,509
ViaSat324,71521,503
American Homes 4 Rent936,34221,498
American Homes 4 Rent936,34221,498
Wright Medical Group992,25621,486
Wright Medical Group992,25621,486
INVESCO MORTGAGE CAPITAL INC1,470,99621,476
ANTERO RESOURCES Corp941,20621,470
ANTERO RESOURCES Corp941,20621,470
Atlantic Coal PLC9,885,76921,451
Fortune Brands Home & Security318,72921,429
Gentex Corporation1,081,36221,412
Aegon NV3,871,16721,407
Adient Ltd327,25421,395
Nuveen Intermediate Duration Quality Municipal Term Fund1,682,81421,389
Royal Caribbean Cruises Ltd.260,53021,374
Banco de Guayaquil SA2,078,98821,372
Staples2,360,14021,360
Cabot Corporation346,68021,353
FIDELITY D & D BANCORP INC676,53221,342
Dycom Industries3,699,36321,336
WPP plc192,76321,332
Cracker Barrel Old Country Store133,39021,323
El Paso Electric Company424,76421,293
Flowers Foods1,131,97821,292
Weatherford International4,419,68921,276
BJ's Restaurants526,48021,271
Prudential Global Short Duration High Yield Fund, Inc.1,427,70521,258
Ballroom Dance Fitness Inc286,07521,244
International Frontier Resources Corp.865,03721,237
International Frontier Resources Corp.865,03721,237
Umpqua Holdings Corporation1,130,30921,227
AGNC Investment Corp.978,58021,214
AGNC Investment Corp.978,58021,214
Cardinal Financial Corporation708,56021,214
Eaton Vance Corporation1,423,26821,207
FLIR Systems584,27421,197
BlackRock Science & Technology Trust1,181,17121,191
Blackbaud241,21421,178
Blackbaud241,21421,178
Dupont Fabros Technology482,01321,176
Greenlight Reinsurance1,013,15221,175
CST Mining Group, Ltd.440,32121,175
Herman Miller619,05821,172
Vermilion Energy Inc 501,95521,167
Acadia Realty Trust647,53921,161
CNH Global N.V.1,859,32221,158
Carlisle Companies Incorporated210,81421,142
Carlisle Companies Incorporated210,81421,142
Blackrock Corporate High Yield Fund V Inc2,155,63521,111
ANSYS197,31321,087
ANSYS197,31321,087
Albero Corp.244,82921,074
Cronos Group, Inc.2,028,31621,074
DynTek, Inc.2,148,78521,036
DynTek, Inc.2,148,78521,036
Popular479,89621,030
BlackRock Multi-Sector Income Trust1,369,01321,028
Horizon Pharma1,422,66621,027
Horizon Pharma1,422,66621,027
DeVry Inc.593,03821,023
Hill-Rom Holdings Inc374,31821,013
Technip ADR752,30921,004
Technip ADR752,30921,004
Cenovus Energy Inc2,299,96520,999
Huntsman Corporation765,75720,998
Blackrock Municipal Income Quality Trust1,682,04420,992
Cliffs Natural Resources Inc.2,552,25320,954
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp2,012,32920,948
Encore Capital Group Inc472,62720,938
Adient Ltd287,73120,910
Adient Ltd287,73120,910
Adient Ltd287,73120,910
Sprouts Farmers Market Inc1,104,66520,901
The Intertain Group Limited206,94420,889
Morgan Stanley Eastern Europe Fund2,574,68620,881
Encore Capital Group Inc471,23220,876
Ares Management1,041,23520,825
Ares Management1,041,23520,825
Nordic Investment Bank3,283,05520,814
Westinghouse Air Brake Technologies Corporation250,64120,808
British American Tobacco Industries184,66120,807
CorEnergy Infrastructure Trust596,20320,796
Comerica Incorporated302,60320,787
Athene Holding Ltd415,61120,776
Athene Holding Ltd415,61120,776
Athene Holding Ltd415,61120,776
Fidelity & Guaranty Life876,02220,761
Primerica300,09320,751
Convergys Corporation801,14220,742
Convergys Corporation801,14220,742
M&T Bank Corporation132,46320,722
CGI Group431,01720,702
Vector Group Ltd.2,307,49520,695
Crocs796,37220,690
Bristow Group Inc1,358,94320,669
Weingarten Realty Investors577,22820,659
Barnes Group385,26120,658
Wright Medical Group4,936,62920,657
Convergys Corporation976,56420,655
First Trust Energy Income and Growth Fund1,439,28520,654
BeiGene, Ltd.199,59720,651
BeiGene, Ltd.199,59720,651
Portland General Electric Company476,55620,649
Adient Ltd352,21820,639
Travelport Worldwide LTD1,577,91020,622
Travelport Worldwide LTD1,577,91020,622
Conn's1,628,34820,599
Prudential Short Duration High Yield Fund1,330,47620,596
AGIC Equity & Convertible Income Fund1,066,44420,582
AGIC Equity & Convertible Income Fund1,066,44420,582
Amerco53,99020,580
Amerco53,99020,580
Gamestop Corporation814,54320,576
Evolva Holding AG883,56820,560
Celanese Corporation191,81520,540
KB Home1,311,47920,540
Aecom Technology Corporation564,51020,526
Vertex Pharmaceuticals Incorporated278,40820,510
Bank of the Ozarks426,68120,502
Bank of the Ozarks426,68120,502
Blackrock Corporate High Yield Fund915,62920,500
Dril-Quip429,73920,498
Broadridge Financial Solutions309,14220,497
Invesco Van Kampen High Income Corporate Bond Fund4,416,71520,494
Commonwealth Business Bank (Los Angeles, CA)169,23920,482
Entravision Communications Corporation2,923,72020,466
CAM Group, Inc.534,59520,458
Concho Resources Inc.136,16720,455
Groupon6,160,32420,452
Boulder Energy Ltd.2,198,74320,449
Semgroup Corporation489,76220,447
Deutsche Borse AG932,25120,444
Cognex Corporation321,10320,428
CleanPath Resources Corp.413,83620,423
Exelixis842,22820,408
Cimarex Energy Co150,06620,395
Ryanair Holdings Plc244,84320,385
Discovery Communications1,005,11320,365
Discovery Communications1,005,11320,365
RenaissanceRe Holdings Ltd.149,47520,361
Dana Holding Corporation727,96520,354
Dana Holding Corporation727,96520,354
Torchmark Corporation275,91920,353
Empire District Electric Company (The)597,04420,352
Aareal Bank AG765,62520,350
Aareal Bank AG765,62520,350
Bruker Corporation960,69520,348
Apollo Investment Corporation3,470,90820,340
Bright Horizons Family Solutions Inc182,42720,331
Cornerstone OnDemand633,69820,329
CareView Communications Inc813,13720,328
Evercore Partners Inc295,77420,320
Duff & Phelps Corporation1,309,04920,316
B2Digital, Inc.8,568,72920,308
BLDRS Developed Markets 100 ADR Index Fund1,016,54720,300
UMB Financial Corporation263,16020,296
Cree768,86120,290
Allegheny & Western Railway Co.1,129,46820,286
Allegheny & Western Railway Co.1,129,46820,286
Encore Capital Group Inc7,594,85820,275
MakeMyTrip Limited833,03620,268
MakeMyTrip Limited833,03620,268
Radware Ltd.1,155,47420,266
iShares S&P Global Clean Energy Index Fund142,31320,262
The Ultimate Software Group111,05320,250
CorEnergy Infrastructure Trust530,30820,219
Royal Bakery Holdings, Inc200,00020,213
Deutsche Annington Immobilien SE745,30820,211
Deutsche Annington Immobilien SE745,30820,211
CHS Inc1,404,38720,210
THEDIRECTORY.COM, INC.377,83320,195
Nordic Investment Bank3,936,98220,194
First American Minnesota Municipal Income Fund II551,03720,184
BorgWarner Inc.580,60620,170
Celanese Corporation193,23420,148
Celanese Corporation193,23420,148
BHP Billiton Limited554,64220,145
ECA Marcellus Trust I3,483,61520,134
Aramark470,73620,119
Aramark470,73620,119
Calpine Corporation1,364,04020,118
Calpine Corporation1,364,04020,118
Affiliated Managers Group105,96620,116
Affiliated Managers Group105,96620,116
FTI Consulting488,34820,105
Deutsche Annington Immobilien SE723,34920,102
Radware Ltd.1,243,03520,087
Radware Ltd.1,243,03520,087
Brady Corporation528,91320,073
Brady Corporation528,91320,073
Compass Minerals Intl Inc277,75820,068
PBF Energy719,44320,058
Colliers International Group331,92720,032
CrossAmerica Partners734,96120,028
CrossAmerica Partners734,96120,028
B2Digital, Inc.6,454,75920,009
Signature Bank133,05619,984
Schweitzer-Mauduit International398,55419,983
Dupont Fabros Technology402,43819,958
Informa1,367,05019,946
Colliers International Group422,37319,936
Rightmove Plc2,421,67019,931
BlackRock Credit Allocation Income Trust I1,461,17419,926
Concho Resources Inc.155,26219,926
Deutsche Borse AG792,64519,919
Euronet Worldwide231,74319,911
Eaton Vance Corporation1,314,66819,904
Athene Holding Ltd499,62719,899
Athene Holding Ltd499,62719,899
Nordic Investment Bank3,725,48219,895
Travelport Worldwide LTD1,445,60319,891
Radware Ltd.1,025,13419,887
Radware Ltd.1,025,13419,887
Atlassian Corporation565,28919,886
CHS Inc1,400,25419,884
Greenlight Reinsurance899,46119,879
Greenlight Reinsurance899,46119,879
NVR11,90619,872
Vimpelcom Ltd5,160,40119,868
Allegheny & Western Railway Co.1,247,13319,866
InterXion Holding N.V.389,92619,858
InterXion Holding N.V.389,92619,858
Enerplus Corporation2,094,67419,856
Blackberry1,775,55819,851
Blackberry1,775,55819,851
Development Capital Group, Inc.1,299,92519,850
ON Semiconductor Corporation1,555,29519,846
Compania Cervecerias Unidas1,409,38719,844
Evolva Holding AG896,54219,840
Evolva Holding AG896,54219,840
DBV Technologies3,089,36019,834
Wright Express Corporation297,15219,832
Wright Express Corporation297,15219,832
Diebold1,212,17119,819
DENTSPLY International Inc.300,84019,805
Colony Financial15,802,55319,802
Comfort Systems USA453,22219,797
Essent Group611,07519,781
Extra Space Storage Inc265,83519,777
Cirrus Logic325,76519,771
CyberArk Software388,62319,769
CyberArk Software388,62319,769
BlackRock Credit Allocation Income Trust I1,512,23319,759
Duff & Phelps Corporation1,215,01719,757
Wright Express Corporation279,44919,737
Cohn & Steers Inc930,16019,719
Cohn & Steers Inc930,16019,719
Avis Budget Group877,05519,717
Credit Suisse Group1,377,70019,714
Therapy Cells, Inc.891,64819,696
Comerica Incorporated258,26919,696
Comerica Incorporated258,26919,696
Ambarella510,12119,695
First American Minnesota Municipal Income Fund II393,51419,665
ClearBridge Energy MLP Total Return Fund Inc.1,441,68119,664
Cabot Microelectronics Corporation206,22219,663
Boston Beer Company125,83219,655
Boston Beer Company125,83219,655
Baozun599,47519,639
Baozun599,47519,639
TIME INC.1,099,73819,630
Coty Inc1,081,78219,613
FactSet Research Systems Inc.118,85919,601
Celestica1,869,78219,596
American Campus Communities Inc411,31719,575
American Campus Communities Inc411,31719,575
Keysight Technologies, Inc.535,15119,570
Arch Capital Group Ltd.739,20019,559
Corcept Therapeutics Incorporated1,463,83519,556
MUELLER WATER PRODUCTS1,466,31219,517
Frontier Communications Corporation4,499,16419,505
Jacobs Engineering Group Inc.342,15319,503
Extra Space Storage Inc244,01519,502
Teradyne767,74019,501
Yamana Gold Inc.6,930,01219,472
Metals USA Holdings Corp.316,20319,437
America Movil1,361,39619,400
America Movil1,361,39619,400
NorthWestern Corporation341,06319,396
Aspen Insurance Holdings Limited476,98619,366
Aspen Insurance Holdings Limited476,98619,366
Vanguard Scottsdale Funds Vanguard Russell 2000 Value ETF302,92419,363
Greenlight Reinsurance848,81519,354
Core Laboratories N.V.167,46519,346
Core Laboratories N.V.167,46519,346
New Ulm Telecom, Inc.181,02319,343
New Ulm Telecom, Inc.181,02319,343
Smart & Final Stores, Inc.112,91919,340
Commercial Metals Company1,016,27819,339
Commercial Metals Company1,016,27819,339
Dun & Bradstreet Corporation (The)159,35519,333
AGIC Equity & Convertible Income Fund1,049,52319,332
Ambarella398,15619,330
Delek US Holdings723,03619,328
Delek US Holdings723,03619,328
Rightmove Plc1,808,86919,318
Rightmove Plc1,808,86919,318
FNB United Corp.1,298,55819,310
Entertainment Arts Research, Inc.276,88719,309
Entertainment Arts Research, Inc.276,88719,309
Helen of Troy Limited228,63519,309
Federated Investors733,04919,309
AGNC Investment Corp.955,92119,300
AGNC Investment Corp.955,92119,300
HudBay Minerals Inc3,385,77219,298
Beacon Roofing Supply302,48819,286
Beacon Roofing Supply302,48819,286
Bristow Group Inc2,062,52019,285
Bristow Group Inc2,062,52019,285
Jumbo SA235,67619,279
Travelport Worldwide LTD1,227,40519,270
Travelport Worldwide LTD1,227,40519,270
Clovis Oncology3,345,47319,258
LivaNova PLC240,93319,255
LivaNova PLC240,93319,255
Fidelity National Financial1,166,55519,249
Universal Display Corp341,66019,236
Cullen/Frost Bankers202,65019,235
Cullen/Frost Bankers202,65019,235
ISC8 Inc.202,77519,228
Crown Cork & Seal Company462,29619,218
Extended Stay America, Inc.1,205,20019,211
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund361,09719,206
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF367,07019,194
Hawaiian Electric Co., Inc.336,70619,193
Coherent67,97519,184
Brookfield Infrastructure Partners LP572,92119,175
BlackRock Science & Technology Trust697,35919,163
Hill-Rom Holdings Inc258,89519,159
AngloGold Ashanti Limited1,822,89219,158
Discovery Communications715,16219,152
Berry Petroleum Company326,31119,145
Berry Petroleum Company326,31119,145
Alamos Gold Inc. New2,938,69819,131
Alamos Gold Inc. New2,938,69819,131
Calamos Convertible and High Income Fund1,613,35719,119
Allegheny & Western Railway Co.878,18719,118
Allegheny & Western Railway Co.878,18719,118
Editas Medicine, Inc.622,01919,114
Eaton Vance Corporation455,94019,096
Polaris Futures Fund L.P.231,73919,093
Blackrock Corporate High Yield Fund883,58419,086
Bio-Rad Laboratories82,17919,083
CACI International162,59619,072
Evolva Holding AG901,38719,064
Cnova3,478,45319,062
CNX Coal Resources LP1,296,63619,062
DeVry Inc.610,42819,046
PacWest Bancorp349,86019,045
American States Water Company283,47819,005
American States Water Company283,47819,005
Liberty All-Star Equity Fund3,679,23718,985
Community Service Communications487,72418,979
AutoZone31,88518,975
AutoZone31,88518,975
LeapLab Corp.124,70118,967
EMCOR Group273,33018,964
EMCOR Group273,33018,964
ArcelorMittal2,270,84118,961
Eldorado Gold Corporation5,560,59418,961
BlackRock Resources2,684,94818,956
Parametric Technology Corporation409,47118,946
CVR Refining, LP2,004,62718,945
Eaton Vance Risk-Managed Diversified Equity Income Fund2,085,76918,939
Patterson-UTI Energy702,74718,919
Duff & Phelps Corporation1,220,49718,918
MGIC Investment Corporation1,860,81318,908
First Sentry Bancshares Inc.412,02818,903
New York Community Bancorp532,38718,898
Sally Beauty Holdings714,33718,873
Invesco Van Kampen High Income Corporate Bond Fund4,198,79518,852
Greif Bros. Corporation319,58718,846
Aecom Technology Corporation529,48018,846
Aecom Technology Corporation529,48018,846
Alon USA Partners1,102,22518,837
Alon USA Partners1,102,22518,837
Chesapeake Energy Corp.3,187,40518,823
BofI Holding659,18218,820
Monolithic Power Systems229,59718,810
ABIOMED150,03218,783
ABIOMED150,03218,783
FNB United Corp.1,171,24818,776
Caesars Entertainment Corporation1,405,90318,768
Caesars Entertainment Corporation1,405,90318,768
Dick's Sporting Goods Inc601,07318,754
Teledyne Technologies Incorporated152,40718,746
BlackRock Credit Allocation Income Trust I1,399,21918,716
Avery Dennison Corporation208,23618,706
Thomson Reuters Corp427,17518,701
Affiliated Managers Group113,95118,683
Affiliated Managers Group113,95118,683
Enerplus Corporation1,907,40318,674
GCP Applied Technologies Inc.698,07718,673
Deutsche Euroshop AG322,31918,671
Minerals Technologies Inc.241,46918,654
Aberdeen Asia-Pacific Income Fund Inc4,027,64218,648
BlackRock Multi-Sector Income Trust1,074,96618,607
HUBSPOT INC395,86318,606
ING Global Equity Dividend and Premium Opportunity Fund2,742,84518,596
Cinemark Holdings Inc419,28118,592
Amdocs Limited317,17418,580
Amdocs Limited317,17418,580
Two Harbors Investments Corp2,129,91318,572
Belden Inc248,09518,549
Buffalo Wild Wings120,09218,543
Cohn & Steers Inc871,56618,538
Government Properties Income Trust972,20618,535
IPG Photonics Corporation187,71718,530
Cosan Limited1,909,06718,517
Cosan Limited1,909,06718,517
NextEra Energy Partners724,97518,517
Aberdeen Asia-Pacific Income Fund Inc3,793,88318,515
Aberdeen Asia-Pacific Income Fund Inc3,793,88318,515
New Ulm Telecom, Inc.266,53718,514
New Ulm Telecom, Inc.266,53718,514
Affiliated Managers Group127,41418,513
GH Cap Inc.650,54418,509
Nordson Corporation165,12118,502
Wayfair Inc.527,48418,489
Calamos Convertible and High Income Fund1,621,99618,474
Akorn844,94918,445
EastGroup Properties201,05618,443
Regal Entertainment Group894,91918,436
Banco Santander3,035,09118,424
Coherent89,53118,411
Fly Leasing Limited1,312,62218,404
Mallinckrodt Plc986,11618,402
MakeMyTrip Limited531,56018,392
MakeMyTrip Limited531,56018,392
Myriad Interactive Media, Inc.1,102,75418,383
Total Energy Services Inc.374,57618,366
VeriSign256,01718,365
HealthSouth Corporation445,23818,362
Generac Holdlings Inc.450,33518,346
Murphy Oil Corporation589,18118,342
iShares S&P India Nifty 50 Index Fund537,71418,336
NorthStar Real Estate Income II, Inc.1,210,12018,333
FireEye Inc1,586,54718,333
Adventure Gold, Inc.267,23618,321
Adventure Gold, Inc.267,23618,321
BlackRock Municipal Income Trust1,306,19018,317
Intercept Pharmaceuticals7,593,73618,307
Perrigo Company216,26318,306
Brookline Bancorp1,116,23618,306
Perrigo Company216,26318,306
ANSYS127,92718,286
ANSYS127,92718,286
J.B. Hunt Transport Services188,31518,280
Cars.com Inc.686,92118,278
Cars.com Inc.686,92118,278
Landstar Development Group, Inc.214,23118,275
ABIOMED162,11818,267
Allscripts Healthcare Solutions15,807,35018,266
Allscripts Healthcare Solutions15,807,35018,266
BJ's Restaurants464,69518,263
Domtar Corporation420,67118,253
Domtar Corporation420,67118,253
Nuveen Floating Rate Income Fund1,563,02418,241
W.T.B. Financial Corp.252,78618,238
Valley National Bancorp1,563,53018,199
TC PipeLines309,11518,189
Greenlight Reinsurance2,108,55218,177
Greenlight Reinsurance2,108,55218,177
Validus Holdings330,13418,160
Ralph Lauren Corporation201,05318,158
AGIC Equity & Convertible Income Fund875,69918,127
Alliance Capital Management Holding L.P.663,48318,127
AGIC Equity & Convertible Income Fund875,69918,127
Alliance Capital Management Holding L.P.663,48318,127
Juno Therapeutics, Inc.961,18718,119
Agora Holdings, Inc.507,13018,119
BlackRock Energy and Resources Trust1,277,10018,110
BlackRock Energy and Resources Trust1,277,10018,110
Hecla Mining Company3,455,62918,108
Blackrock MuniYield California Insured Fund1,261,46618,095
Baozun619,36518,092
Enbridge Energy Management LLC1,170,06118,089
Enbridge Energy Management LLC1,170,06118,089
Lazard Global Total Return and Income Fund399,39318,060
Lazard Global Total Return and Income Fund399,39318,060
HealthSonix, Inc.389,51218,054
AGIC Equity & Convertible Income Fund853,46818,034
AGIC Equity & Convertible Income Fund853,46818,034
Aercap Holdings N.V.332,98418,030
Live Nation Entertainment5,566,29218,026
Cohn & Steers Inc942,23718,012
MasTec470,63518,003
Colony Bankcorp18,020,95517,997
Penumbra Inc282,06217,995
Magellan Health Services238,93317,981
Empire State Realty Trust, Inc.1,263,39817,979
Wright Medical Group719,37117,973
Wright Medical Group719,37117,973
Evolva Holding AG874,63417,965
JPMorgan Chase Bank NA366,56217,940
CBRE Group447,96917,937
Encore Capital Group Inc4,582,75817,929
Ellington Financial LLC1,168,75517,918
Decker Manufacturing Corp.223,25117,916
Evolva Holding AG942,32117,895
Brown & Brown428,75017,887
Genpact Limited617,95117,876
BlackRock Credit Allocation Income Trust I1,342,04117,875
Chemical Financial Corporation329,76317,863
J.B. Hunt Transport Services160,57017,836
Icon Media Holdings, Inc.324,42917,820
Orion Engineered Carbons577,46717,815
Coherent75,70717,804
Coherent75,70717,804
Suffolk Bancorp415,63517,797
CNO Financial Group762,07317,787
CNO Financial Group762,07317,787
Nuveen California Dividend Advantage Municipal Fund 21,257,83117,786
Blackrock Core Bond Trust1,457,66917,784
Geo Group Inc (The)660,71417,773
BlackRock 2022 Global Income Opportunity Trust1,731,06717,769
BlackRock 2022 Global Income Opportunity Trust1,731,06717,769
FINISAR CORP594,09617,751
Star Gas Partners1,649,19017,745
BlackRock Multi-Sector Income Trust1,076,29517,737
Cott Corporation1,064,20517,730
Heska Corporation247,59917,728
Jumei International3,537,52917,722
Validus Holdings261,93017,706
Manhattan Associates333,87717,705
Esterline Technologies Corporation205,69817,701
Dycom Industries205,53317,652
Dycom Industries205,53317,652
Avista Corporation441,27217,647
Zebra Technologies Corporation205,68517,640
Asbury Automotive Group Inc288,55917,631
Graphic Packaging Holding Company1,412,81417,631
Development Capital Group, Inc.1,967,71517,631
Asbury Automotive Group Inc288,55917,631
Morgan Stanley275,00017,600
Sanderson Farms186,62317,588
Albero Corp.227,71317,551
Albero Corp.227,71317,551
Athene Holding Ltd400,14517,543
Cohn & Steers Inc906,63517,543
Seeing Machines Ltd.386,78217,535
Dun & Bradstreet Corporation (The)148,06417,533
CBRE Clarion Global Real Estate Income Fund2,846,23817,533
BlackRock 2022 Global Income Opportunity Trust1,670,22317,529
BlackRock 2022 Global Income Opportunity Trust1,670,22317,529
Calamos Global Dynamic Income Fund2,245,28417,514
Brunswick Corporation316,65317,486
Mallinckrodt Plc390,16617,485
WORKIVA LLC1,280,47917,478
Boston Beer Company120,61817,447
eUnits 2 Year U.S. Market Participation Trust432,53517,431
Coupa Software686,27717,431
AmeriGas Partners369,97317,422
AmeriGas Partners369,97317,422
Itron276,92017,404
Nuveen Massachusetts AMT-Free Municipal Income Fund937,52617,401
Cambrex Corporation362,20517,386
Development Capital Group, Inc.1,897,28217,380
Development Capital Group, Inc.1,897,28217,380
Bruker Corporation744,23117,363
LKQ Corporation566,03017,348
Capella Education Company223,88717,329
uniQure N.V.884,54217,328
uniQure N.V.884,54217,328
B2Digital, Inc.6,172,48917,284
B2Digital, Inc.6,172,48917,284
Duff & Phelps Corporation1,458,46417,283
World Fuel Services Corporation376,28917,275
Coty Inc943,29517,272
Drillsearch NL176,35517,254
Applied Industrial Technologies290,35117,246
Brighthouse Financial, Inc.874,71117,244
Triton International Ltd517,91917,237
Triton International Ltd517,91917,237
Arkose Energy Corp.464,51417,224
Arkose Energy Corp.464,51417,224
Benchmark Electronics591,57617,216
Benchmark Electronics591,57617,216
Avista Corporation404,96417,203
Logitech International S.A.391,80417,201
RenaissanceRe Holdings Ltd.142,89417,193
Proofpoint246,11917,182
Willis Towers Watson140,41617,169
BroadSoft328,05517,153
BroadSoft328,05517,153
AutoZone24,10117,144
AutoZone24,10117,144
Water Technologies International,Inc.697,11817,143
Willis Towers Watson111,08117,132
Willis Towers Watson111,08117,132
Barrett Business Services2,251,49017,123
Barrett Business Services2,251,49017,123
Core Laboratories N.V.142,53617,110
Radware Ltd.1,014,75817,109
Radware Ltd.1,014,75817,109
CarGurus, Inc.506,99717,102
Alpine Global Premier Properties Fund2,536,76117,099
Alpine Global Premier Properties Fund2,536,76117,099
Black Hills Corporation278,70917,096
Unit Corporation635,42917,075
Etsy1,448,98817,069
AMN Healthcare Services Inc420,08317,056
AMN Healthcare Services Inc420,08317,056
Canadian Mining Company Inc.1,011,71117,037
Calamos Convertible and High Income Fund1,431,75417,037
Calamos Convertible and High Income Fund1,431,75417,037
Canadian Mining Company Inc.1,011,71117,037
Century Bancorp, Inc.867,39517,036
Churchill Downs73,16817,027
AmeriGas Partners368,26117,024
AmeriGas Partners368,26117,024
Blackrock MuniYield Quality Fund1,156,25317,020
Dycom Industries152,74617,020
CareView Communications Inc632,92617,008
Schindler Holding AG390,32417,007
AK Steel Holding Corporation3,039,48916,992
AK Steel Holding Corporation3,039,48916,992
EV Charging USA, Inc.1,158,32016,992
INVESCO HIGH INCOME 2023 TARGET TERM FUND1,678,49116,986
EDGEWELL PERSONAL CARE Co233,37916,982
EDGEWELL PERSONAL CARE Co233,37916,982
Colliers International Group341,03916,949
Colliers International Group341,03916,949
Alpine Global Premier Properties Fund2,555,68816,944
CrossAmerica Partners713,47216,944
Alpine Global Premier Properties Fund2,555,68816,944
OWENS-ILLINOIS GROUP INC480,10016,943
Brady Corporation389,86116,943
Dun & Bradstreet Corporation (The)145,41316,928
Dun & Bradstreet Corporation (The)145,41316,928
eUnits 2 Year U.S. Market Participation Trust402,55916,919
eUnits 2 Year U.S. Market Participation Trust402,55916,919
Leucadia National Corporation727,45516,913
Boulder Energy Ltd.1,890,81516,904
Norwegian Cruise Line Holdings Ltd.398,66616,899
Norwegian Cruise Line Holdings Ltd.398,66616,899
Blackbaud268,59216,895
Chemical Financial Corporation315,86116,889
Office Depot3,734,45516,881
COLLEGIUM PHARMACEUTICAL, INC914,01216,873
Centenera Mng Corp.298,41716,863
Horizon Pharma3,464,78416,862
Noble Midstream Partners LP468,11516,853
Celanese Corporation213,79516,835
Eaton Vance Corporation1,149,11016,800
Eaton Vance Corporation1,149,11016,800
Isle of Capri Casinos680,28716,797
Service Corporation International591,36816,796
Trimble Navigation Limited556,99016,794
Cabo Verde Capital Inc.985,03016,785
Domtar Corporation459,02416,764
GasLog Partners683,60216,749
GasLog Partners683,60216,749
Littelfuse110,28216,738
Blackrock Core Bond Trust1,192,05516,737
Blackrock Core Bond Trust1,192,05516,737
Etfs Commodity Securities Ltd.562,15416,732
Builders FirstSource1,122,93216,732
Cullen/Frost Bankers187,95716,723
FactSet Research Systems Inc.102,32716,722
Vibe Ventures Inc243,48016,716
Washington Federal486,18016,700
Enerplus Corporation2,074,25516,698
Outfront Media671,36016,697
Hertz Global Holdings774,30416,694
CPFL Energia S.A.1,451,08216,688
Charles River Laboratories International147,37416,679
Discovery Communications787,31916,667
Cleveland BioLabs2,330,75216,665
Cleveland BioLabs2,330,75216,665
Boyd Gaming Corporation639,34516,656
Boyd Gaming Corporation639,34516,656
Bloomin' Brands780,41416,653
Bloomin' Brands780,41416,653
Franco Nev Corp278,52416,645
Sensient Technologies Corporation211,75616,640
Bouygues 521,73816,617
Bouygues 521,73816,617
Goldman Sachs BDC, Inc.706,29216,612
Tekla World Healthcare Fund1,293,64416,611
ClearBridge Energy MLP Total Return Fund Inc.1,299,81616,611
NEW GOLD INC.4,745,32616,608
Chesapeake Energy Corp.2,364,34816,598
Helmerich & Payne318,37216,591
Curtiss-Wright Corporation158,70416,590
Curtiss-Wright Corporation158,70416,590
Check Point Software Technologies Ltd.169,82416,589
Alliance Resource Partners857,30516,589
Alliance Resource Partners857,30516,589
Azure Midstream Partners, LP1,146,11616,573
DynTek, Inc.1,397,23416,557
Bouygues 572,58616,554
Bioverativ Inc.306,97616,552
Bioverativ Inc.306,97616,552
Garmin Ltd.324,31116,550
Investors Bancorp1,186,12916,546
ENSCO plc5,540,84816,534
Azure Midstream Partners, LP1,825,52816,521
Azure Midstream Partners, LP1,825,52816,521
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol812,77516,508
Cabot Oil & Gas Corporation690,32016,505
CNX Coal Resources LP1,127,92016,501
Blackrock MuniYield Quality Fund1,070,12216,501
Blackrock MuniYield Quality Fund1,070,12216,501
Cleveland BioLabs3,000,91816,500
Wright Express Corporation230,22816,496
Wright Express Corporation230,22816,496
National Fuel Gas Company291,15616,491
CorEnergy Infrastructure Trust467,27616,489
CorEnergy Infrastructure Trust467,27616,489
CoreSite Realty Corporation147,33116,487
CoreSite Realty Corporation147,33116,487
Fortress Paper913,74516,484
Dave & Buster's Entertainment292,70516,479
Check Point Software Technologies Ltd.160,43416,471
Check Point Software Technologies Ltd.160,43416,471
Genworth Financial Inc4,322,82916,470
First American Minnesota Municipal Income Fund II419,28916,470
James River Group Holdings, Ltd.396,27616,466
Ellies Holdings Limited262,09016,466
Deutsche Bank AG958,10216,441
Deutsche Bank AG958,10216,441
Deutsche Bank AG958,10216,441
BlackRock Credit Allocation Income Trust I1,211,27716,437
CoreSite Realty Corporation144,23916,427
Arista Networks, Inc.169,74316,425
Diamond Offshore Drilling1,131,97116,415
Diamond Offshore Drilling1,131,97116,415
Eaton Vance Floating-Rate 2022 Target Term Trust1,916,27116,403
Clovis Oncology202,90316,396
Clovis Oncology202,90316,396
Tech Data Corporation193,52816,387
Golar LNG Partners LP681,41916,381
Nordic Investment Bank6,735,41016,365
TransAlta Corporation2,975,07916,363
BlackRock 2022 Global Income Opportunity Trust1,852,22516,359
Canadian Mining Company Inc.970,17616,357
Brookfield Property Partners LP737,91616,351
Brookfield Property Partners LP737,91616,351
Allegion PLC 201,56616,351
Garmin Ltd.268,03116,349
South Jersey Industries485,14616,345
Apollo Senior Floating Rate Fund Inc.884,93316,327
Arris Group Inc541,94116,327
Apollo Senior Floating Rate Fund Inc.884,93316,327
Barclays PLC625,34416,322
ENSCO plc2,247,91116,320
Caesars Entertainment Corporation1,707,79916,309
Liberty Global506,84816,280
Baytex Energy Corp3,335,83816,279
Columbia Seligman Premium Technology Growth Fund582,90516,277
Energizer Tennis Inc.339,14316,273
Fibria Celulose S.A.1,200,64716,257
Applied Industrial Technologies247,00016,252
Applied Industrial Technologies247,00016,252
Toll Brothers Inc.541,53916,248
Aercap Holdings N.V.317,79016,242
Aercap Holdings N.V.317,79016,242
Helen of Troy Limited164,95616,240
NuVasive250,73116,233
Tetra Technologies376,13116,230
Blue Wolf Mongolia Holdings Corp.675,03416,227
CIENA Corporation775,23516,225
Trinseo S.A.273,62316,224
Habit Restaurants, Inc.940,42016,222
Robert Half International Inc.332,58116,222
AK Steel Holding Corporation2,254,98316,214
AK Steel Holding Corporation2,254,98316,214
Black Hills Corporation243,86816,210
Weatherford International4,926,79616,209
Technip ADR517,53716,205
Technip ADR517,53716,205
CorEnergy Infrastructure Trust489,69416,199
Allete217,79216,194
Allete217,79216,194
EV Charging USA, Inc.1,081,36116,178
EV Charging USA, Inc.1,081,36116,178
CBOE Holdings218,92816,176
Alon USA Energy1,326,81916,173
Alon USA Energy1,326,81916,173
Helen of Troy Limited167,84016,171
Helen of Troy Limited167,84016,171
Nordic Investment Bank6,573,83316,171
Bespoke Tricyles, Inc.1,580,46716,169
Perrigo Company185,22516,144
Perrigo Company185,22516,144
Aerie Pharmaceuticals Inc.446,93616,135
Aerie Pharmaceuticals Inc.446,93616,135
EastGroup Properties182,43116,124
Equifax136,73716,123
Horizon Pharma1,357,70016,116
Travelport Worldwide LTD1,141,83316,101
CIENA Corporation2,909,16216,089
BlackRock Energy and Resources Trust1,171,71516,088
BlackRock Energy and Resources Trust1,171,71516,088
Century Bancorp, Inc.1,879,30116,087
Eldorado Gold Corporation11,246,85216,084
Goldman Sachs BDC, Inc.704,71916,081
Cogent Communications Group355,47016,072
Blackrock Floating Rate Income Strategies Fund Inc1,114,35116,058
Mdu Res Group Inc557,89316,051
Banco Santander Brasil SA1,818,87316,042
Decker Manufacturing Corp.289,53816,038
Lions Gate Metals Inc.596,16116,037
MB Financial Inc.339,51916,036
Puma Exploration, Inc.522,09616,029
Companhia Energetica De Sao Paulo6,462,52716,027
Companhia Energetica De Sao Paulo6,462,52716,027
Theravance Biopharma, Inc.626,15116,023
Theravance Biopharma, Inc.626,15116,023
Extended Stay America, Inc.991,96816,021
Community Bank (Pasadena, CA)630,19816,014
Calumet Specialty Products Partners1,917,33716,010
Calumet Specialty Products Partners1,917,33716,010
Flextronics International Ltd.2,102,09515,996
Flextronics International Ltd.2,102,09515,996
Cantel Medical Corp.155,47415,993
BlackRock Credit Allocation Income Trust I1,430,15615,990
Columbia Banking System494,96015,988
Black Hills Corporation232,13415,987
Black Hills Corporation232,13415,987
BP Midstream Partners LP1,028,48315,983
AeroVironment284,55215,981
AeroVironment284,55215,981
Aimmune Therapeutics, Inc.644,28615,972
Aimmune Therapeutics, Inc.644,28615,972
Viavi Solutions1,952,28715,970
Eaton Vance Floating-Rate 2022 Target Term Trust1,727,94215,966
THEDIRECTORY.COM, INC.386,88715,959
Brookline Bancorp1,016,43615,958
Brookline Bancorp1,016,43615,958
Community Bank System258,13315,951
Arrow Electronics223,38415,927
Buffalo Wild Wings104,18515,915
THEDIRECTORY.COM, INC.188,83415,910
THEDIRECTORY.COM, INC.188,83415,910
Continental Resources412,03915,908
Continental Resources412,03915,908
Calamos Global Dynamic Income Fund2,426,36515,893
Syntel802,91715,890
Liberty Interactive Corporation795,28015,889
Blackrock MuniYield Quality Fund1,047,15315,886
Blackrock MuniYield Quality Fund1,047,15315,886
Cadence Design Systems402,29215,879
Cadence Design Systems402,29215,879
Reinsurance Group of America126,16415,874
Garmin Ltd.310,22315,854
Garmin Ltd.310,22315,854
Maximus284,05815,848
Genworth Financial Inc4,115,33415,844
Janus Capital Group453,92915,815
Janus Capital Group453,92915,815
Asbury Automotive Group Inc262,98315,805
Eaton Vance Corporation1,102,57315,799
Air Methods Corporation495,96415,797
Belmond630,78915,788
Belmond630,78915,788
Compass Minerals Intl Inc243,27315,788
Compass Minerals Intl Inc243,27315,788
Government Properties Income Trust840,87115,783
Blackrock MuniYield Quality Fund1,053,92415,777
Avadel Pharmaceuticals1,502,42615,776
Avadel Pharmaceuticals1,502,42615,776
Cambrex Corporation292,26115,768
HudBay Minerals Inc2,115,64015,761
ANSYS170,35315,756
First Industrial Realty Trust523,32215,747
Alexandria Real Estate Equities141,36115,709
CalAtlantic Group, Inc.427,95615,676
CalAtlantic Group, Inc.427,95615,676
Technip ADR576,13615,671
Blackrock Muni Intermediate Duration Fund Inc1,105,75615,669
Blackrock Muni Intermediate Duration Fund Inc1,105,75615,669
Bridge Bancorp413,26715,663
Carrizo Oil & Gas735,89415,659
LG Display Co.1,218,55515,659
WPX Energy1,073,58515,642
Newfield Exploration Company386,18215,641
Bonanza Creek Energy, Inc.756,66215,640
Bemis Company343,06015,633
Bemis Company343,06015,633
Darling International Inc.1,210,89515,632
Charles River Laboratories International204,86715,609
Sinovac Biotech2,721,91215,597
Sinovac Biotech2,721,91215,597
Cohen & Steers Closed-End Opportunity Fund1,406,01515,593
Applied Industrial Technologies228,83615,583
Applied Industrial Technologies228,83615,583
BroadSoft325,30815,578
BroadSoft325,30815,578
Bemis Company318,62615,568
Bloomin' Brands863,28815,564
Tallgrass Energy580,59015,559
Coeur d'Alene Mines Corporation2,074,42315,558
Dorman Products254,39915,554
Brookline Bancorp1,124,81015,547
Trinseo S.A.219,11215,546
Diodes Incorporated541,93015,536
GAMCO Global Gold2,764,89315,511
PIMCO New York Municipal Income Fund295,98515,509
CAM Group, Inc.316,12715,505
CAM Group, Inc.316,12715,505
CyrusOne346,61815,504
LivaNova PLC221,23615,500
LivaNova PLC221,23615,500
Boston Beer Company81,01815,482
Boston Beer Company81,01815,482
Radiant Creations Group, Inc.860,62015,474
Evans Brewing Co Inc.1,622,39315,462
Algonquin Pwr & Util1,537,09115,448
Algonquin Pwr & Util1,537,09115,448
AmTrust Financial Services571,77715,441
LivaNova PLC154,47715,419
Technip ADR485,63415,413
Huntsman Corporation807,33415,404
Domtar Corporation394,37015,392
Insperity174,87615,388
The Descartes Systems Group Inc.562,11015,374
The Descartes Systems Group Inc.562,11015,374
BlackRock Energy and Resources Trust1,064,54215,372
Core Laboratories N.V.151,72315,365
EastGroup Properties174,33515,362
EastGroup Properties174,33515,362
CBIZ913,94215,355
CBIZ913,94215,355
NEW RELIC INC543,49915,354
CGI Group295,88815,347
Caesars Entertainment Corporation1,805,42415,346
Discovery Communications720,17615,332
Discovery Communications720,17615,332
Community Bank of Santa Maria (CA)134,83915,326
AMC Networks Inc.292,81215,326
Community Bank of Santa Maria (CA)134,83915,326
CVR Refining, LP1,473,27215,322
ENSCO plc2,967,99915,315
Headwaters Incorporated650,74815,306
Genpact Limited532,31115,304
Genpact Limited532,31115,304
Chesapeake Energy Corp.3,557,78815,299
Chesapeake Energy Corp.3,557,78815,299
Brookline Bancorp986,42815,289
Brookline Bancorp986,42815,289
Fulton Financial Corporation813,12615,287
China Biologic Products193,92115,275
China Biologic Products193,92115,275
Amicus Therapeutics3,073,44215,274
Axalta Coating Systems Ltd.527,99415,269
Axalta Coating Systems Ltd.527,99415,269
Tower Resources PLC1,035,14415,259
Tower Resources PLC1,035,14415,259
Anixter International Inc.192,42315,258
Anixter International Inc.192,42315,258
Hillenbrand Inc392,69715,256
American Equity Investment Life Holding Company545,71815,248
American Equity Investment Life Holding Company545,71815,248
Gigamon, Inc.334,59415,241
Charter Oak Bank325,25615,241
CONE Midstream Partners LP646,73415,230
Cohn & Steers Inc855,29315,224
Cantel Medical Corp.193,15015,210
DENTSPLY International Inc.254,29415,209
DENTSPLY International Inc.254,29415,209
Blackrock Floating Rate Income Strategies Fund Inc1,058,63615,203
Amdocs Limited249,27915,203
Amdocs Limited249,27915,203
Blackrock Floating Rate Income Strategies Fund Inc1,058,63615,203
Amdocs Limited249,27915,203
Corporate Office Properties Trust462,95315,199
Corporate Office Properties Trust462,95315,199
Geo Group Inc (The)422,97015,197
BlackRock Municipal Income Trust1,069,75115,196
Bank of Hawaii Corporation184,42115,188
AutoNation359,00215,182
e.l.f. Beauty, Inc.680,31015,177
bluebird bio, Inc.110,46115,172
bluebird bio, Inc.110,46115,172
Liberty Global550,17315,153
Holly Energy Partners453,58515,150
Cullen/Frost Bankers171,68215,147
Energizer Tennis Inc.328,93215,147
Cathay Pacific Airways, Ltd.398,19215,143
Ishares Broad Commodity Index ETF541,25915,125
Etfs Commodity Securities Ltd.501,36615,118
Trex Company234,42115,097
American Premium Water Corporation1,173,43915,090
American Premium Water Corporation1,173,43915,090
Aercap Holdings N.V.328,23715,088
Aercap Holdings N.V.328,23715,088
Crestwood Equity Partners LP540,46515,085
Marvell Technology Group Ltd.703,53015,084
PHH Corp994,86015,082
Ritchie Bros. Auctioneers Incorporated443,60215,082
Alliance Resource Partners671,35815,072
Colony Bankcorp14,748,95515,068
StoneMor Partners L.P.1,690,22815,061
Blackrock MuniYield California Insured Fund1,088,88615,058
BlackRock Municipal Income Trust1,060,78015,049
Eaton Vance New Jersey Municipal Income Trust1,505,40115,045
Acadia Realty Trust499,73815,023
Acadia Realty Trust499,73815,023
Lazard Global Total Return and Income Fund326,39315,012
Lazard Global Total Return and Income Fund326,39315,012
Alleghany Corporation24,07315,005
Alleghany Corporation24,07315,005
Blackrock Floating Rate Income Strategies Fund Inc1,035,16315,000
Dominion Resources Black Warrior Trust492,60715,000
AVALARA INC481,08014,986
Etfs Commodity Securities Ltd.473,53214,986
Urban Barns Foods Inc.544,68214,985
News Corporation1,307,37914,982
Alpine Total Dynamic Dividend Fund1,976,51014,981
Brookline Bancorp956,77414,974
Wright Express Corporation225,10414,972
Colony Bankcorp14,650,95514,970
iShares S&P Global Clean Energy Index Fund136,07414,951
Lan Chile S.A.481,13714,938
PUBLIC SERVICE CO OF COLORADO435,20414,928
First Industrial Realty Trust531,84414,918
The Descartes Systems Group Inc.563,53814,910
Skechers U.S.A.606,31114,902
Alon USA Partners1,291,75014,894
Alon USA Partners1,291,75014,894
Integrated Drilling Equipment Holdings Corp.632,12414,893
EMCOR Group236,47914,885
Exelixis686,59014,878
CoStar Group78,91914,875
Crown Cork & Seal Company280,86714,871
Easterly Government Properties, Inc.696,81714,868
Avon Products2,949,40714,866
nVent Electric plc591,74814,852
Bemis Company310,77914,851
Bemis Company310,77914,851
Crestwood Equity Partners LP575,20114,841
Aeolus Pharmaceuticals, Inc.1,037,86814,841
Aeolus Pharmaceuticals, Inc.1,037,86814,841
CorEnergy Infrastructure Trust439,33114,840
Decker Manufacturing Corp.216,86414,837
Decker Manufacturing Corp.216,86414,837
CDK Global, Inc.309,86514,835
CBRE Clarion Global Real Estate Income Fund1,985,69914,832
International Bancshares Corporation363,42314,828
Colony Bankcorp14,440,95614,817
FirstService312,02914,815
Bioheart, Inc.114,34514,813
Bioheart, Inc.114,34514,813
Chimera Investment Corporation870,14614,810
BlackRock Municipal Income Trust999,72914,798
BlackRock Municipal Income Trust999,72914,798
Abercrombie & Fitch Company1,024,39014,792
Abercrombie & Fitch Company1,024,39014,792
Apollo Senior Floating Rate Fund Inc.889,74414,788
U.S. NeuroSurgical, Inc.225,75114,786
KLA-Tencor Corporation187,82714,778
Helen of Troy Limited156,57614,748
Helen of Troy Limited156,57614,748
Integrated Drilling Equipment Holdings Corp.553,98414,724
CommScope Holding Company, Inc.352,87214,719
Black Hills Corporation244,75814,713
BCSB Bancorp1,337,61014,713
Black Hills Corporation244,75814,713
The AES Corporation1,334,30714,703
The AES Corporation1,334,30714,703
Crescent Pt Energy1,357,72014,691
Aircastle Limited627,50314,677
Aircastle Limited627,50314,677
Kayne Anderson Energy Total Return Fund1,098,55014,674
Blackrock Muni Intermediate Duration Fund Inc1,052,36214,649
APPFOLIO INC247,35914,649
APPFOLIO INC247,35914,649
Blackrock Muni Intermediate Duration Fund Inc1,052,36214,649
Sensata Technologies Holding N.V.307,86214,648
Calamos Convertible Opportunities and Income Fund1,450,77114,639
Box Ships Inc.867,08914,637
Blackrock MuniYield California Fund1,144,83614,635
Stifel Financial Corporation292,96214,634
Aspen Technology267,62614,634
Enable Midstream Partners, LP876,53114,630
Colony NorthStar Credit Real Estate, Inc.1,281,02114,616
Ballroom Dance Fitness Inc353,88414,616
Ballroom Dance Fitness Inc353,88414,616
Playa Hotels & Resorts N.V.1,391,44714,611
Clovis Oncology4,180,97014,611
Evertec Group LLC921,03614,599
Home BancShares578,69114,594
Cambrex Corporation264,88914,582
Cai International514,38614,568
Eagle Energy Trust238,67214,567
Schnitzer Steel Industries566,76114,566
Alpine Global Premier Properties Fund2,545,86614,562
Alpine Global Premier Properties Fund2,545,86614,562
American Campus Communities Inc292,38014,551
Healthcare Services Group269,53414,546
Blackrock Core Bond Trust1,088,83914,536
AveXis, Inc.131,32214,534
AveXis, Inc.131,32214,534
Amerco39,32114,533
The Finish Line772,54214,532
Regal Beloit Corporation209,84914,532
AudioCodes Ltd.1,866,64114,523
NexPoint Credit Stategies Fund637,62314,518
Entertainment Arts Research, Inc.221,73314,514
Apollo Senior Floating Rate Fund Inc.801,33514,513
Apollo Senior Floating Rate Fund Inc.801,33514,513
ClearBridge Energy MLP Total Return Fund Inc.1,141,73914,511
ClearBridge Energy MLP Total Return Fund Inc.1,141,73914,511
Colliers International Group394,82614,510
BlackRock Kelso Capital Corporation1,933,79214,503
BlackRock Kelso Capital Corporation1,933,79214,503
Aspen Insurance Holdings Limited278,48614,496
The Descartes Systems Group Inc.633,02814,496
Aspen Insurance Holdings Limited278,48614,496
Aspen Insurance Holdings Limited278,48614,496
BioTelemetry, Inc.242,69314,493
APPLIED OPTOELECTRONICS, INC.383,12314,491
APPLIED OPTOELECTRONICS, INC.383,12314,491
Chimera Investment Corporation812,93514,485
Cellectis496,27714,467
EV Charging USA, Inc.1,070,71614,465
Desert Gold Ventures Inc.332,30014,458
MKS Instruments243,14714,443
Lancaster Colony Corporation102,14114,441
BlackRock Energy and Resources Trust1,381,24214,434
Azure Midstream Partners, LP1,016,40914,433
Azure Midstream Partners, LP1,016,40914,433
Americas Silver Corporation451,75614,429
OM Asset Management plc861,43914,429
OM Asset Management plc861,43914,429
Celestica1,216,66314,419
iShares FTSE EPRA/NAREIT North America Index Fund160,44914,411
Global Telecom & Technology, Inc.238,65814,410
Aecom Technology Corporation387,66214,402
Aecom Technology Corporation387,66214,402
Heico Corporation172,05614,380
Corcept Therapeutics Incorporated1,310,89714,368
Eaton Vance Corporation408,39514,368
GoPro, Inc.1,649,10014,365
Blackbaud224,34114,357
Banco Santander2,768,51914,340
Dominion Resources Black Warrior Trust448,06814,338
CNO Financial Group699,36014,338
Dominion Resources Black Warrior Trust448,06814,338
Aeolus Pharmaceuticals, Inc.761,81514,322
Aeolus Pharmaceuticals, Inc.761,81514,322
CIENA Corporation650,71114,296
CIENA Corporation650,71114,296
Janus Henderson Group373,61114,295
Janus Henderson Group373,61114,295
Chunghwa Telecom Co Ltd453,02514,293
BlackRock Energy and Resources Trust1,039,17014,288
Janus Capital Group431,35214,282
Restoration Hardware Holdings Inc464,88114,272
EV Charging USA, Inc.937,16314,264
Steven Madden398,73014,256
Aramark492,02214,254
Commerce Bancshares253,80214,254
Aramark492,02214,254
BRP Inc550,19314,250
ProSiebenSat.1 Media SE662,12914,249
Liberty Global397,50114,247
Liberty Global397,50114,247
Fly Leasing Limited1,071,00214,244
Kinross Gold Corporation4,578,32314,239
Domtar Corporation287,28914,227
FLIR Systems392,98714,222
Healthcare Services Group362,89914,214
Cooper Tire & Rubber Company365,74914,209
Republic Bancorp359,37014,209
Hawaiian Electric Industries425,82814,209
First Trust/Aberdeen Global Opportunity Income Fund545,52114,205
CONE Midstream Partners LP846,64714,199
AcuityAds Hldgs Inc.82,77314,177
Chemical Financial Corporation271,25114,177
AcuityAds Hldgs Inc.82,77314,177
Chemical Financial Corporation271,25114,177
Sotheby's355,64614,176
Deutsche Annington Immobilien SE557,96814,162
Cliffs Natural Resources Inc.1,683,89514,160
Ellington Financial LLC975,67514,157
Education Realty Trust Inc.334,48014,149
Teche Holding Company324,09714,137
Silicon Laboratories217,32214,125
Harsco Corporation675,72214,121
Compania Cervecerias Unidas1,103,15414,109
Blackberry1,820,47514,109
Compania Cervecerias Unidas1,103,15414,109
Gildan Activewear555,98414,106
Eldorado Gold Corporation6,409,47614,100
Eldorado Gold Corporation6,409,47614,100
Signet International Holdings, Inc.252,59714,082
KLX Inc.311,86614,067
Evermedia Group, Inc. (The)840,79214,066
Blackrock Core Bond Trust999,84414,058
Blackrock Core Bond Trust999,84414,058
AK Steel Holding Corporation2,482,77814,053
AK Steel Holding Corporation2,482,77814,053
Masimo Corporation208,43214,048
M.D.C. Holdings547,16214,040
Entravision Communications Corporation2,263,36414,033
Bank of Hawaii Corporation168,33214,032
Bank of Hawaii Corporation168,33214,032
BlackRock Credit Allocation Income Trust I1,065,97714,028
Calamos Convertible Opportunities and Income Fund1,274,87414,024
Allete183,92814,019
Allete183,92814,019
Akebia Therapeutics, Inc.712,37214,012
Akebia Therapeutics, Inc.712,37214,012
Telecom Italia S.P.A.1,576,16914,011
New Ulm Telecom, Inc.207,76114,002
Dave & Buster's Entertainment266,70013,997
Dave & Buster's Entertainment266,70013,997
H. B. Fuller Company240,98913,993
Century Bancorp, Inc.1,102,61613,993
Golar LNG Partners LP602,11813,987
Golar LNG Partners LP602,11813,987
BlackRock Municipal Income Trust1,134,01613,962
Dril-Quip316,22713,961
Dril-Quip316,22713,961
Bio-Rad Laboratories58,47113,954
Bio-Rad Laboratories58,47113,954
Callaway Golf Company966,93413,953
Callaway Golf Company966,93413,953
Gold Fields Limited3,236,84413,951
BlackRock Municipal Income Trust982,28913,949
Allegion PLC 217,88013,944
Blackrock MuniYield Quality Fund1,074,21913,943
Central Europe and Russia Fund443,73113,942
Crescent Pt Energy1,829,63013,942
FleetCor Technologies90,02113,934
Covanta Holding Corporation824,19613,929
CommVault Systems270,85313,921
Diebold453,38913,919
Air Lease Corporation376,44913,916
Assurant145,65313,912
Assurant145,65313,912
The AES Corporation1,284,39613,910
The AES Corporation1,284,39613,910
ASML Holding N.V.79,98113,902
ASML Holding N.V.79,98113,902
NetScout Systems441,33713,902
Insulet Corporation269,76913,891
Guggenheim Equal Weight Enhanced Equity Income Fund1,238,10813,891
Air Lease Corporation358,44913,890
Booz Allen Hamilton Holding Corporation308,06613,885
LIBERTY ALL STAR GROWTH FUND INC402,07113,879
DynTek, Inc.1,763,45313,861
Achillion Pharmaceuticals4,810,58913,855
Achillion Pharmaceuticals4,810,58913,855
Universal Forest Products135,57713,853
Continental Building Products544,19013,849
AptarGroup160,29013,835
AptarGroup160,29013,835
Stag Industrial579,15913,824
Envision Healthcare Holdings, Inc.307,42613,820
Connecticut Water Service206,66313,820
Orbotech Ltd.275,02513,818
Orbotech Ltd.275,02513,818
Aircastle Limited673,79913,813
Etsy817,83513,804
Costamare Inc.2,232,05113,795
Costamare Inc.2,232,05113,795
Silicon Motion Technology Corporation324,37013,780
Perrigo Company207,42213,771
Perrigo Company207,42213,771
Dominion Resources Black Warrior Trust430,90013,767
Boyd Gaming Corporation624,97513,755
Essent Group379,95813,743
Essent Group379,95813,743
Liberty Broadband Corporation185,49513,740
The Descartes Systems Group Inc.483,54413,733
Diebold600,65613,726
Diebold600,65613,726
Evercore Partners Inc171,01813,725
Group 1 Automotive176,05413,721
Denbury Resources3,726,79713,715
Golar LNG Partners LP601,48813,713
Golar LNG Partners LP601,48813,713
Essent Group382,58513,705
Caleres417,52313,703
Buffalo Wild Wings87,64213,702
Reliance Infrastructure Ltd.172,20813,698
ACADIA Pharmaceuticals Inc.363,39213,689
ACADIA Pharmaceuticals Inc.363,39213,689
Brown & Brown283,93113,684
Brown & Brown283,93113,684
Boyd Gaming Corporation678,39613,682
Ares Management732,94813,670
Ares Management732,94813,670
ENSCO plc2,312,84813,669
EastGroup Properties185,06113,665
Voyager Therapeutics, Inc.1,378,21713,663
Eagle Pharmaceuticals172,18313,662
Grand Canyon Education233,73013,662
IBERIABANK Corporation163,11413,660
Barclays PLC614,05713,657
Electro Scientific Industries455,63213,650
RLI Corp.216,22013,650
Mwana Africa Plc.228,24513,650
Willis Towers Watson93,74913,638
Golar LNG Partners LP610,24913,633
DBV Technologies321,22713,633
Golar LNG Partners LP610,24913,633
DBV Technologies321,22713,633
SERVICEMASTER GLOBAL HOLDINGS INC361,86713,631
Insperity192,02913,625
Tower Resources PLC619,02713,625
InterXion Holding N.V.218,20513,620
Essent Group398,34313,615
Essent Group398,34313,615
Knoll487,35713,613
Enanta Pharmaceuticals Inc192,13613,608
Chesapeake Energy Corp.3,465,88413,605
FTI Consulting301,62213,597
Waste Connections172,91713,589
Assurant141,96013,583
IMPINJ INC326,28513,578
ING Group962,90713,577
Best Hometown Bancorp Inc1,510,33313,563
Best Hometown Bancorp Inc1,510,33313,563
Box Ships Inc.641,81513,555
Box Ships Inc.641,81513,555
Suburban Propane Partners450,79113,550
Eaton Vance Risk-Managed Diversified Equity Income Fund1,668,20313,546
Delphi Automotive plc258,00113,537
Delphi Automotive plc258,00113,537
John Hancock Hedged Equity & Income Fund860,25213,523
Atlas Air Worldwide Holdings341,92413,521
FMC Corporation194,28113,520
Mednax202,78913,518
Editas Medicine, Inc.562,93613,516
Editas Medicine, Inc.562,93613,516
Garmin Ltd.278,72213,515
Builders FirstSource750,77513,506
Builders FirstSource750,77513,506
Hyatt Hotels Corporation218,55513,505
Granite Real Estate Inc.333,48613,496
Bigsupersearch.com, Inc.240,32513,495
Bigsupersearch.com, Inc.240,32513,495
Calavo Growers219,44113,474
First Midwest Bancorp534,01613,473
Bright Horizons Family Solutions Inc192,34113,467
Ship Finance International Limited2,482,65113,462
Azure Midstream Partners, LP845,49213,443
Azure Midstream Partners, LP845,49213,443
Banco Popular449,40113,438
China Unicom (Hong Kong) Ltd1,260,27913,434
FireEye Inc1,538,18413,422
FNB United Corp.956,26213,416
Royal Caribbean Cruises Ltd.129,48313,415
PennyMac Mortgage Investment Trust818,74513,402
Cavium214,59213,399
ON Semiconductor13,140,00013,398
ARIAD Pharmaceuticals1,076,62913,393
Associated Banc-Corp548,77513,389
Aercap Holdings N.V.288,37413,389
Triton International Ltd357,45413,386
Triton International Ltd357,45413,386
VOYA Financial Inc341,20613,383
PolyOne Corporation417,64213,381
Catalent, Inc.496,24213,379
ClearBridge Energy MLP Opportunity Fund Inc.993,88313,377
Entertainment Arts Research, Inc.181,62313,373
CVR Energy Inc.359,02213,370
AGNC Investment Corp.762,14113,368
AGNC Investment Corp.762,14113,368
Texas Capital Bancshares170,41013,360
Bridge Bancorp381,50313,352
First Trust720,98713,339
Alpine Global Premier Properties Fund2,599,39013,336
Avnet280,00613,332
EZCORP2,233,23013,327
3D Systems Corporation1,001,02013,304
Aberdeen Global Income Fund2,514,77513,301
Aberdeen Global Income Fund2,514,77513,301
Group Ten Metals Inc.524,74413,291
Group Ten Metals Inc.524,74413,291
DoubleLine Opportunistic Credit Fund552,84913,291
DoubleLine Opportunistic Credit Fund552,84913,291
Fidelity National Financial346,91813,289
Aercap Holdings N.V.319,33513,288
Chemical Financial Corporation259,65913,280
GLOBAL HEALTHCARE REIT, INC.427,48813,273
MSA Safety191,35913,268
Sterling Bancorp566,88713,264
Square973,10413,264
Calamos Convertible Opportunities and Income Fund1,149,20613,250
EV Charging USA, Inc.1,035,10113,250
Calamos Convertible Opportunities and Income Fund1,149,20613,250
ALDER BIOPHARMACEUTICALS INC1,156,83713,246
ALDER BIOPHARMACEUTICALS INC1,156,83713,246
Western Asset Bond Fund1,188,87913,244
Aspen Technology200,02313,241
Aspen Technology200,02313,241
Community Bank System226,94313,231
Bank of Hawaii Corporation149,16313,229
Blackstone GSO Senior Floating Rate Term Fund731,64613,228
United Bankshares285,88713,223
Ellsworth Convertible Growth and Income Fund1,418,37913,223
ENSCO plc1,359,56513,215
Cohen & Steers Closed-End Opportunity Fund937,91313,214
Brady Corporation341,40713,195
TTM Technologies969,64313,180
Vishay Intertechnology813,35913,176
Arrow Electronics190,89713,163
IGM Financial Inc.674,93713,148
Credit Suisse Group1,210,05513,141
Logitech International S.A.390,50013,137
Logitech International S.A.390,50013,137
Legg Mason439,14913,135
Nuveen Build America Bond Opportunity Fund636,00513,121
Control4440,74013,116
iRobot Corporation224,37513,115
CASEY CONTAINER CORP116,81313,112
Sensata Technologies Holding N.V.256,48113,109
Sensata Technologies Holding N.V.256,48113,109
Essent Group352,97613,109
Official Payments Holdings172,20413,108
Boise Cascade Holdings LLC549,25813,101
PowerShares Global Wind Energy Portfolio615,56413,094
Travelport Worldwide LTD1,111,76313,085
Travelport Worldwide LTD1,111,76313,085
Allete203,61013,070
Blackrock Muni Intermediate Duration Fund Inc943,56813,069
ClearBridge Energy MLP Total Return Fund Inc.1,124,03813,061
California Water Service Group Holding287,78013,051
Orix Corp Ads167,66113,049
Wingstop440,51513,034
Varonis486,30713,033
Costamare Inc.1,956,63413,032
Costamare Inc.1,956,63413,032
FMC Corporation230,25713,025
51job355,08913,018
Dana Holding Corporation685,33213,008
Cooper Companies51,10213,004
Nektar Therapeutics1,058,96812,994
Angie's List2,279,18712,992
Angie's List2,279,18712,992
Granite Construction Incorporated224,03512,982
Blueprint Medicines Corp240,81312,981
Cathay Pacific Airways, Ltd.307,79212,980
Crocs1,026,50512,976
Parsley Energy368,05812,970
Vista International Technologies Inc351,13712,957
Adventure Gold, Inc.191,96612,954
Adventure Gold, Inc.191,96612,954
Cadence Design Systems297,93412,954
DSW Inc.604,51612,943
Beacon Roofing Supply252,41612,937
Beacon Roofing Supply252,41612,937
New Mountain Finance Corporation917,52512,937
Evermedia Group, Inc. (The)772,25812,935
Evermedia Group, Inc. (The)772,25812,935
Dana Holding Corporation668,54312,909
Blackrock MuniYield New Jersey Quality Fund855,25012,904
BlackRock Utility and Infrastructure Trust596,74712,901
BankUnited430,90412,901
BlackRock Utility and Infrastructure Trust596,74712,901
LogMein133,50912,890
CommScope Holding Company, Inc.346,37012,885
Adtalem Global Education306,37312,884
Adtalem Global Education306,37312,884
Supernus Pharmaceuticals509,83112,873
Yahoo Japan Corp13,000,00012,873
Performance Sports Group246,74412,868
John Bean Technologies Corporation149,55012,854
Belden Inc166,48612,847
Belden Inc166,48612,847
Eaton Vance Risk-Managed Diversified Equity Income Fund1,430,43312,846
AMAG Pharmaceuticals2,914,10612,836
AMAG Pharmaceuticals2,914,10612,836
Blackrock Muni Intermediate Duration Fund Inc929,86712,832
Deutsche Euroshop AG513,48912,823
Willis Towers Watson97,95012,822
Willis Towers Watson97,95012,822
Acacia Communications, Inc.272,15112,818
Argan181,69012,818
Acacia Communications, Inc.272,15112,818
Grifols585,18912,810
First Industrial Realty Trust480,78412,804
Esterline Technologies Corporation143,48912,799
Avadel Pharmaceuticals1,560,73912,798
Commerce Bancshares229,20312,798
Avadel Pharmaceuticals1,560,73912,798
Atlas Air Worldwide Holdings763,77912,783
Cohen & Steers Closed-End Opportunity Fund960,23412,781
CONE Midstream Partners LP541,26112,779
Bed Bath & Beyond Inc.580,76412,772
Bed Bath & Beyond Inc.580,76412,772
Home BancShares459,85812,771
Neogen Corporation193,47312,769
Colliers International Group232,01812,768
Prestige Brand Holdings245,07112,768
Norwegian Cruise Line Holdings Ltd.251,40712,753
Norwegian Cruise Line Holdings Ltd.251,40712,753
Enlink Midstream, LLC657,04312,747
Bank of Hawaii Corporation148,62012,737
Bank of Hawaii Corporation148,62012,737
Cadence Bancorporation758,61912,731
Entertainment Arts Research, Inc.198,69012,723
Liberty Global374,71612,707
Liberty Global374,71612,707
United Natural Foods266,22312,703
GATX Corporation206,21012,698
Honda Motor Company429,44212,694
Shoprite Holdings Ltd.295,64812,674
Guggenheim Build America Bonds Managed Duration Trust555,79212,672
Archrock959,80812,670
Blackrock Core Bond Trust972,29912,650
Evermedia Group, Inc. (The)776,49912,649
American States Water Company218,37312,646
American States Water Company218,37312,646
Argan191,15412,644
BancorpSouth401,86112,639
BancorpSouth401,86112,639
Dean Foods Company1,161,11012,632
Dean Foods Company1,161,11012,632
Dynavax Technologies Corporation587,24412,625
Dynavax Technologies Corporation587,24412,625
Del Monte Pacific Ltd.208,12312,619
AGIC Equity & Convertible Income Fund680,25312,612
AGIC Equity & Convertible Income Fund680,25312,612
e.l.f. Beauty, Inc.558,66912,599
e.l.f. Beauty, Inc.558,66912,599
Flamel Technologies S.A.1,212,53312,598
Columbia Seligman Premium Technology Growth Fund497,62512,597
Macquarie Global Infrastructure Total Return Fund Inc.638,24712,593
Scudder High Income Trust322,11812,591
R.G. Barry Corporation1,221,58612,583
R.G. Barry Corporation1,221,58612,583
Cabot Microelectronics Corporation133,71412,580
Granite Construction Incorporated228,51312,568
Arrin Corp.332,58012,565
Arrin Corp.332,58012,565
FGL Holding1,885,92712,561
FGL Holding1,885,92712,561
Charter Oak Bank193,05812,554
Bioheart, Inc.103,82312,552
Bioheart, Inc.103,82312,552
Fulton Financial Corporation669,37812,551
VOYA RETIREMENT INSURANCE & ANNUITY CO1,490,18612,545
Coupa Software Inc501,41212,541
Mallinckrodt Plc555,78712,539
Mallinckrodt Plc555,78712,539
Choice Hotels International175,10112,534
AdvanSix Inc.315,27612,531
AdvanSix Inc.315,27612,531
Horizon Pharma3,704,83412,527
Avadel Pharmaceuticals1,292,44612,511
Calamos Global Dynamic Income Fund1,794,59512,508
Energizer Tennis Inc.280,19012,499
Crescent Pt Energy4,137,44112,495
Harsco Corporation918,11312,486
Cal-Maine Foods282,61512,485
John Wiley & Sons229,00212,481
China Biologic Products124,62112,478
Coca Cola Icecek Sanayi As307,02012,477
American Equity Investment Life Holding Company527,68712,469
American Equity Investment Life Holding Company527,68712,469
Telephone and Data Systems431,82312,466
Entercom Communications Corporation1,152,16812,444
Retail Properties of America811,55312,441
Helen of Troy Limited128,14912,418
AudioCodes Ltd.1,687,11512,418
AudioCodes Ltd.1,687,11512,418
Helen of Troy Limited128,14912,418
Nordic Investment Bank4,722,04812,404
Delphi Energy272,61512,393
Atkore International Group Inc.624,32512,387
Gramercy Property Trust, Inc.1,348,26112,378
Ellsworth Convertible Growth and Income Fund1,383,18512,377
Alpine Total Dynamic Dividend Fund1,305,70512,365
Alpine Total Dynamic Dividend Fund1,305,70512,365
BCSB Bancorp1,193,67212,354
BCSB Bancorp1,193,67212,354
Check Point Software Technologies Ltd.146,08512,340
Calamos Convertible Opportunities and Income Fund1,102,66612,339
Energen Corporation226,53612,333
CASEY CONTAINER CORP112,66412,330
CASEY CONTAINER CORP112,66412,330
Heska Corporation139,91812,326
Arris Group Inc403,18712,325
Arris Group Inc403,18712,325
California Water Service Group Holding258,56212,324
Jones Lang LaSalle Incorporated121,95712,322
Rambus894,58912,319
American Midstream Partners829,53912,318
American Midstream Partners829,53912,318
Guggenheim Strategic Opportunities Fund578,17012,315
Bespoke Tricyles, Inc.850,96812,313
CASTLIGHT HEALTH, INC.2,863,41312,313
CASTLIGHT HEALTH, INC.2,863,41312,313
Bespoke Tricyles, Inc.850,96812,313
Emergent Biosolutions264,88512,310
Belden Inc152,80612,305
Belden Inc152,80612,305
Great-West Lifeco Inc.127,53212,300
Arris Group Inc464,68312,291
Arris Group Inc464,68312,291
Arris Group Inc464,68312,291
Acadia Healthcare Company257,13612,282
Acadia Healthcare Company257,13612,282
Natus Medical Incorporated352,83212,279
Stillwater Mining Company777,62012,276
Calavo Growers168,19612,272
Brown & Brown238,41212,270
Brown & Brown238,41212,270
ADTRAN1,892,89712,265
ADTRAN1,892,89712,265
Actuant Corporation584,08212,259
Actuant Corporation584,08212,259
Associated Banc-Corp504,68012,239
Associated Banc-Corp504,68012,239
USANA Health Sciences199,86612,231
Bilibili838,19112,228
R.G. Barry Corporation1,314,41712,225
Bruker Corporation410,85212,223
Bruker Corporation410,85212,223
Avon Products2,777,67912,221
INC Research Holdings, Inc.233,59612,218
Silgan Holdings238,44512,205
Daily Mail & General Trust PLC508,90312,203
HMS Networks AB671,86312,201
Evermedia Group, Inc. (The)906,81512,197
PDC Energy173,94712,195
CoStar Group41,04812,190
Alpine Total Dynamic Dividend Fund1,354,08012,186
Alpine Total Dynamic Dividend Fund1,354,08012,186
WebMD Health Corp2,810,39912,185
Eagle Energy Trust123,51912,171
Azure Midstream Partners, LP652,26112,171
Azure Midstream Partners, LP652,26112,171
DoubleLine Opportunistic Credit Fund509,75512,162
Holly Energy Partners379,31912,161
FIBROGEN INC226,01412,159
Ship Finance International Limited818,72612,158
Cascade Bancorp1,496,16212,149
Maxima Group, Inc.314,73912,140
BlackRock Utility and Infrastructure Trust576,77712,136
BlackRock Utility and Infrastructure Trust576,77712,136
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp1,502,59612,126
Arch Capital Group Ltd.453,54912,119
Arch Capital Group Ltd.453,54912,119
Commercial Metals Company568,24912,115
Eldorado Gold Corporation3,762,33012,114
Allegion PLC 159,92612,106
Allegion PLC 159,92612,106
Allegion PLC 159,92612,106
Coty Inc608,29712,100
GAIN Capital Holdings1,893,41612,098
Horizon Pharma619,13612,098
Horizon Pharma619,13612,098
Eaton Vance Tax-Managed Diversified Equity Income Fund732,28912,097
Assurant135,24112,096
GWR Global Water Resources Corp.163,32312,088
Group Ten Metals Inc.481,52212,086
Gannett Co.1,342,17312,080
Builders FirstSource553,87112,068
Rollins357,18012,066
Delphi Energy842,57412,066
Delphi Energy842,57412,066
Trustmark Corporation338,41412,064
AngloGold Ashanti Limited1,120,14812,063
AngloGold Ashanti Limited1,120,14812,063
CVR Refining, LP1,222,97612,046
CVR Refining, LP1,222,97612,046
Columbia Banking System349,18412,028
Norwegian Cruise Line Holdings Ltd.254,51912,026
Washington Real Estate Investment Trust367,84212,025
CyberArk Software290,43212,021
CyberArk Software290,43212,021
CoreLogic359,69512,020
Campbell Soup Company256,53112,012
Campbell Soup Company256,53112,012
Carpenter Technology Corporation235,49212,008
BlackRock 2022 Global Income Opportunity Trust1,128,79412,007
Blackstone GSO Senior Floating Rate Term Fund667,02012,006
Blackstone GSO Senior Floating Rate Term Fund667,02012,006
Eaton Vance Corporation947,36311,994
BancorpSouth386,11011,990
Abercrombie & Fitch Company998,86811,987
B2Digital, Inc.4,104,99311,987
New York Times Company (The)900,85311,982
CRISPR Therapeutics AG747,72211,979
Corcept Therapeutics Incorporated1,649,89411,978
Cott Corporation1,057,11911,977
Matthews International Corporation155,84311,977
J CREW GROUP INC.1,440,39811,970
Blackstone GSO Senior Floating Rate Term Fund662,94111,966
The Cheesecake Factory Incorporated188,65711,953
Franklin Electric Co.307,13511,947
NCR Corporation294,45011,944
Del Monte Pacific Ltd.262,66811,941
Del Monte Pacific Ltd.262,66811,941
Bespoke Tricyles, Inc.1,050,25911,932
Benchmark Electronics375,21711,932
Bob Evans Farms153,85011,926
Bob Evans Farms153,85011,926
Blackrock MuniYield Michigan Quality Fund989,45111,923
Nexstar Broadcasting Group188,34011,922
LegacyTexas Financial276,69411,914
Spartan Stores301,31111,914
VWR Funding, Inc.475,98711,914
Berry Petroleum Company210,16511,905
Berry Petroleum Company210,16511,905
Cabo Verde Capital Inc.612,36911,904
GATX Corporation193,04911,884
Cable One, Inc.16,89611,884
Blackrock MuniHoldings Quality Fund II1,036,04511,883
India Fund555,26011,877
Callon Petroleum Company977,01511,871
Ezaki Glico Co., Ltd.201,95911,866
Grifols737,80811,857
Calumet Specialty Products Partners1,539,80211,856
Allete153,24311,844
Allete153,24311,844
Adtalem Global Education330,24911,840
Adtalem Global Education330,24911,840
CoreSite Realty Corporation135,65411,834
Universal Corp.185,55611,828
HSN344,68211,822
AGIC Convertible & Income Fund2,274,73911,806
AGIC Convertible & Income Fund2,274,73911,806
LMP Capital and Income Fund Inc.888,27011,805
Blackrock MuniYield Michigan Quality Fund863,55211,788
Applied Industrial Technologies190,56311,787
Applied Industrial Technologies190,56311,787
Enersys169,23211,783
Air Methods Corporation273,91611,778
Air Methods Corporation273,91611,778
Applied Industrial Technologies218,26011,773
Applied Industrial Technologies218,26011,773
Carpenter Technology Corporation330,50411,769
FleetCor Technologies83,15511,767
VTTI Energy Partners618,75911,756
VTTI Energy Partners618,75911,756
II-VI Incorporated396,34411,752
ICON plc147,23811,737
ICON plc147,23811,737
Sunstone Hotel Investors769,38811,734
Calamos Convertible and High Income Fund1,111,70711,729
Evertec Group LLC660,28611,721
Adient Ltd778,14411,719
Adient Ltd778,14411,719
Acacia Communications, Inc.189,64511,711
Energen Corporation202,88011,700
Depomed5,734,64011,687
ICON plc102,59011,683
ICON plc102,59011,683
Masonite International177,44711,676
Columbia Sportswear Company162,39511,674
Calamos Convertible and High Income Fund1,241,90211,674
Enova Systems Inc.599,77811,673
Synaptics Incorporated217,69511,664
Tower International411,35011,662
Enersys147,71711,661
The Cheesecake Factory Incorporated241,94511,657
Crane Company145,49511,637
Crane Company145,49511,637
ENSCO plc1,948,44511,633
ENSCO plc1,948,44511,633
AmeriGas Partners258,84211,632
AmeriGas Partners258,84211,632
Cosan Limited1,523,51411,624
Chemed Corp.47,78111,611
MBIA1,085,00411,609
Benefitfocus,Inc.344,85711,604
Benefitfocus,Inc.344,85711,604
CareTrust REIT, Inc.628,14911,594
Bridge Bancorp330,57011,570
Bridge Bancorp330,57011,570
Albany Molecular Research616,59811,567
Brady Corporation307,74511,555
Cohen & Steers Closed-End Opportunity Fund875,91611,553
Dean Foods Company530,25911,550
The Ensign Group297,75711,549
Sanmina-SCI Corporation315,02611,545
CRISPR Therapeutics AG196,44211,544
Briggs & Stratton Corporation454,51811,531
Briggs & Stratton Corporation454,51811,531
Glacier Bancorp318,24111,530
CommVault Systems219,59511,529
General Electric Capital Corporation320,04411,528
Blackberry1,671,19711,513
Associated Banc-Corp452,68411,498
Associated Banc-Corp452,68411,498
Fidelity & Guaranty Life413,41911,493
Perrigo Company157,51511,484
Pier 1 Imports1,344,83311,484
AmeriGas Partners239,54011,479
Canada Coal Inc363,59211,474
Ellsworth Convertible Growth and Income Fund1,221,16911,471
ABM Industries Incorporated280,76811,466
Carmax Mining Corp.177,93411,457
Crane Company128,39911,456
CASTLIGHT HEALTH, INC.2,313,44311,452
Adventure Gold, Inc.209,16211,452
AptarGroup148,66511,446
AptarGroup148,66511,446
NewMarket Corporation26,99211,441
National Health Investors158,10811,434
Aegon NV2,457,88311,430
Aegon NV2,457,88311,430
DoubleLine Opportunistic Credit Fund513,92411,404
Akebia Therapeutics, Inc.766,88811,403
Akebia Therapeutics, Inc.766,88811,403
CONDUENT Inc1,072,00811,397
CalAtlantic Group, Inc.304,08111,387
Eagle Pharmaceuticals190,91111,386
Eagle Pharmaceuticals190,91111,386
Lumentum294,55911,386
AudioCodes Ltd.1,594,35611,384
AudioCodes Ltd.1,594,35611,384
Sirius XM Radio Inc.2,556,70311,378
Cosan Limited1,514,46311,373
DROPBOX, INC.556,32511,366
Boston Beer Company47,19311,365
Enlink Midstream, LLC658,58811,361
AMC Networks Inc.210,07511,360
AMC Networks Inc.210,07511,360
De La Rue PLC 206,99011,359
De La Rue PLC 206,99011,359
Deutsche Annington Immobilien SE473,58111,357
Emergent Biosolutions191,45711,350
Central Europe and Russia Fund380,46611,350
Bridge Bancorp334,26711,349
Bridge Bancorp334,26711,349
Delek US Holdings324,69511,344
Brooks Automation506,37211,343
Catalent, Inc.399,86311,324
Wintrust Financial Corporation156,00811,322
Arkose Energy Corp.471,88611,316
Arkose Energy Corp.471,88611,316
iShares Oil Sands Index ETF172,82311,309
Lincoln Electric Holdings147,47011,306
First Citizens BancShares31,83711,302
Valmont Industries80,21211,300
Blackrock MuniYield New Jersey Quality Fund737,88811,292
Cooper Companies47,57411,280
Cooper Companies47,57411,280
Owens-Illinois646,81311,261
Apple Green Holding, Inc.573,67911,250
Apple Green Holding, Inc.573,67911,250
Enersys162,49811,240
Benefitfocus,Inc.378,39811,238
Brookfield Incorporacoes SA875,83811,236
WESCO International168,79711,233
Imax Corporation357,70711,232
Rowan Companies plc691,60511,217
Graham Holdings19,17111,217
Acorda Therapeutics522,69711,212
Acorda Therapeutics522,69711,212
Triton International Ltd360,88111,212
Triton International Ltd360,88111,212
Comfort Systems USA256,56611,200
AeroVironment164,79511,198
AeroVironment164,79511,198
Rent-A-Center Inc.994,25811,186
Nuveen Dividend Advantage Municipal Fund1,135,75911,182
CBIZ692,75311,181
Discovery Communications407,69411,175
Cascade Bancorp1,449,37011,174
Liberty Media Corporation356,30611,163
Gabelli Global Small & Mid Cap Value Trust843,67611,154
Columbia Seligman Premium Technology Growth Fund609,03811,146
Ramco-Gershenson Properties Trust671,84411,139
Atwood Oceanics847,69911,129
Apollo Senior Floating Rate Fund Inc.591,12711,119
Coeur d'Alene Mines Corporation1,222,99911,118
CoreSite Realty Corporation140,05711,118
Ormat Technologies207,36611,118
Adient Ltd225,98811,116
Dolby Laboratories179,67111,112
Reaves Utility Income Fund361,62211,105
Alliance Capital Management Holding L.P.473,33411,099
Capella Education Company126,40711,098
FINISAR CORP413,35911,091
Apollo Senior Floating Rate Fund Inc.589,57711,090
Draftteam Daily Fantasy Sports Corp.244,86411,088
Alliance Creative Group, Inc.43,72511,084
Alliance Creative Group, Inc.43,72511,084
ANTERO RESOURCES Corp556,74911,080
ANTERO RESOURCES Corp556,74911,080
Blackstone GSO Senior Floating Rate Term Fund722,33411,073
Western Asset High Income Fund II Inc.735,91511,068
CNH Global N.V.1,273,15111,065
Medidata Solutions237,25711,057
East West Petroleum Corp.253,85211,049
Ethan Allen Interiors Inc.299,82511,047
Sun Communities144,12411,042
Evertec Group LLC692,63411,012
CNOOC Limited84,89211,012
Diebold437,82411,012
CNOOC Limited84,89211,012
Knight Transportation332,97111,005
Cathay Pacific Airways, Ltd.292,02011,004
Graco Inc.132,37311,000
Alexander's245,11610,998
Ellsworth Convertible Growth and Income Fund1,163,08310,996
Chemtura Corp.330,56910,975
Energy Revenue America, Inc.413,47510,973
SuperValu Inc.2,348,19110,966
Aaron's260,49410,954
Aaron's260,49410,954
Federated Investors368,68910,950
Control4621,61310,941
CommScope Holding Company, Inc.330,64710,940
CommScope Holding Company, Inc.330,64710,940
American Financial Group124,13310,939
Chemed Corp.54,13110,937
Chemed Corp.54,13110,937
Hecla Mining Company2,177,38910,932
DoubleLine Opportunistic Credit Fund473,20910,931
Ruth's Hospitality Group597,25710,930
Kilroy Realty Corporation149,22410,928
Axis Energy Corporation162,96910,923
Axis Energy Corporation162,96910,923
Axis Energy Corporation162,96910,923
NIC Inc.456,36210,908
Shaw Communications Inc.543,08410,894
BCSB Bancorp969,26610,894
Orbotech Ltd.333,87010,892
Entertainment Arts Research, Inc.151,70910,889
Coherent79,26610,889
CENTER COAST MLP & INFRASTRUCTURE FUND1,091,87010,875
Avista Corporation278,44310,874
Innoviva769,73910,869
De La Rue PLC 174,82310,851
COLUMBIA PROPERTY TRUST, INC.472,68410,848
TASER International447,33110,844
Chimera Investment Corporation572,84910,838
Chimera Investment Corporation572,84910,838
CONDUENT Inc645,74610,836
Seaspan Corp.1,383,61310,833
Seaspan Corp.1,383,61310,833
DSW Inc.478,09810,828
Cathay Pacific Airways, Ltd.269,35410,828
Cathay Pacific Airways, Ltd.269,35410,828
Plexus Corp.200,31110,825
CACI International77,67810,824
CACI International77,67810,824
Advantage Oil & Gas Ltd1,717,41610,820
Advantage Oil & Gas Ltd1,717,41610,820
EMERGING CTA PORTFOLIO LP276,52810,815
Employers Holdings Inc272,85410,805
PetMed Express468,27510,803
Alliance Resource Partners498,59210,794
Alliance Resource Partners498,59210,794
Air Lease Corporation356,82010,780
Air Lease Corporation356,82010,780
Blackbaud140,55110,776
Rowan Companies plc1,283,48110,768
Rowan Companies plc1,283,48110,768
Papa Murphy's Holdings, Inc.158,84110,755
Cars.com Inc.372,80410,751
Nordic Investment Bank5,488,33210,745
Nordic Investment Bank5,488,33210,745
Blackrock Floating Rate Income Strategies Fund Inc779,09710,744
Blackrock Floating Rate Income Strategies Fund Inc779,09710,744
Hyde Park Acquisition Corp. II503,46510,744
Enterprise Financial Services Corporation249,77310,740
General Electric Capital Corporation344,22810,732
Dolby Laboratories173,00110,726
AMC Networks Inc.183,41810,725
AMC Networks Inc.183,41810,725
Granite Real Estate Inc.320,71210,725
Akorn445,13910,719
Akorn445,13910,719
Stepan Company131,47310,712
American Midstream Partners588,45110,710
Alpine Total Dynamic Dividend Fund1,293,98510,688
Alpine Total Dynamic Dividend Fund1,293,98510,688
CASEY CONTAINER CORP95,47910,688
Control4362,70310,685
Control4362,70310,685
SEACOR Holdings162,67810,680
AMN Healthcare Services Inc188,33710,671
AMN Healthcare Services Inc188,33710,671
Bed Bath & Beyond Inc.942,24510,667
Cavium148,81810,665
ArcelorMittal1,460,55010,662
Eagle Pharmaceuticals128,41410,650
TRI Pointe Homes927,19710,646
Ship Finance International Limited849,27510,645
Ship Finance International Limited849,27510,645
Blackrock Global781,10810,639
Argo Group International Holdings161,29610,629
California Water Service Group Holding313,51710,628
Rightmove Plc1,530,76210,624
Rightmove Plc1,530,76210,624
Orion Engineered Carbons517,68810,613
Orion Engineered Carbons517,68810,613
Nokia Corporation2,205,23810,608
Actuant Corporation408,76510,607
Tableau Software251,52510,603
Technip ADR540,92110,591
Technip ADR540,92110,591
New Media Investment Group Inc.662,22110,589
Ellsworth Convertible Growth and Income Fund1,128,23110,580
Ellsworth Convertible Growth and Income Fund1,128,23110,580
Blackstone GSO Senior Floating Rate Term Fund601,74910,578
MedEquities Realty Trust, Inc.952,98410,578
Blackstone GSO Senior Floating Rate Term Fund601,74910,578
Arkansas Casino, Corp.249,21210,572
Arkansas Casino, Corp.249,21210,572
Nomad Holdings Ltd.749,04710,569
CRH Medical Corp.1,288,28510,564
AudioCodes Ltd.1,505,90610,556
American States Water Company231,67310,556
AudioCodes Ltd.1,505,90610,556
Summit Materials443,41710,549
AdvanSix Inc.385,59510,533
AdvanSix Inc.385,59510,533
Acco Brands Corporation862,89010,527
Acco Brands Corporation862,89010,527
Ecopetrol S.A.662,68910,523
Energizer Tennis Inc.232,86410,514
Covanta Holding Corporation707,92710,513
Covanta Holding Corporation707,92710,513
BMC Stock Holdings539,07810,511
PBF Logistics LP577,44310,510
DineEquity192,81110,493
Astoria Financial Corporation488,04310,492
Astoria Financial Corporation488,04310,492
GWR Global Water Resources Corp.151,09810,488
Energy Revenue America, Inc.425,24210,482
JPMorgan Chase Bank NA236,72510,480
Watts Water Technologies160,71410,478
Guess?865,34110,471
Blackrock Floating Rate Income Strategies Fund Inc879,68810,468
Waddell & Reed Financial536,39610,466
Eplus Inc.147,01410,463
Imperva240,95010,458
Oceaneering International370,41810,449
Tri Origin Exploration Ltd.110,73910,442
KKR Income Opportunities Fund650,71710,431
Himax Technologies954,03110,428
Pinnacle Financial Partners150,43010,425
Signet International Holdings, Inc.110,41210,408
Cineplex Inc458,92210,404
Cineplex Inc458,92210,404
ClearBridge Energy MLP Opportunity Fund Inc.793,51410,403
Comfort Systems USA291,25510,399
Comfort Systems USA291,25510,399
Companhia Energetica De Sao Paulo2,918,78810,390
Central Europe and Russia Fund340,17610,390
ANTERO RESOURCES Corp546,65110,387
ANTERO RESOURCES Corp546,65110,387
Central Europe and Russia Fund322,67210,384
Central Europe and Russia Fund322,67210,384
Aramark255,43910,373
Perpetual Energy Inc.481,13110,373
Aramark255,43910,373
Charles River Laboratories International94,70410,366
Calamos Convertible Opportunities and Income Fund1,169,97810,366
Nabriva Therapeutics1,264,92410,360
CRH Medical Corp.3,396,80410,360
Nabriva Therapeutics1,264,92410,360
Compass Minerals Intl Inc152,46110,344
Eaton Vance Tax-Advantaged Bond912,76110,341
Global Telecom & Technology, Inc.176,11010,341
LifeLock431,45810,320
Nomad Holdings Ltd.738,06910,318
Nomad Holdings Ltd.738,06910,318
Air Lease Corporation320,42210,308
Hillenbrand Inc268,77410,308
Monogram Residential Trust, Inc.952,51910,306
Golub Capital BDC560,19310,301
Huron Consulting Group Inc.3,408,51910,299
Pimco Income Opportunity Fund444,66110,298
International Speedway Corporation279,59610,289
Signet International Holdings, Inc.148,48610,286
Signet International Holdings, Inc.148,48610,286
Ionis Pharmaceuticals202,75310,278
Azure Midstream Partners, LP604,53010,277
Blackrock MuniYield Michigan Quality Fund737,24410,270
HomeStreet324,92210,267
Draftteam Daily Fantasy Sports Corp.255,69710,266
Albany Molecular Research731,63810,264
Albany Molecular Research731,63810,264
PagSeguro Digital Ltd.369,73310,260
Nuveen Global Government Enhanced Income Fund800,91110,259
FTI Consulting289,09810,258
Matador Resources Company398,00210,252
MakeMyTrip Limited461,73810,251
West Pharmaceutical Services120,80110,247
Callaway Golf Company734,50710,233
Alon USA Partners1,116,39610,226
Alon USA Partners1,116,39610,226
Norwegian Cruise Line Holdings Ltd.188,31110,223
Apple Green Holding, Inc.540,50210,222
Apple Green Holding, Inc.540,50210,222
ArcelorMittal316,33810,221
ArcelorMittal316,33810,221
Advantage Oil & Gas Ltd1,548,51110,220
Advantage Oil & Gas Ltd1,548,51110,220
Conn's1,167,21510,213
Cooper Companies51,07010,208
Enersis S A1,142,20610,188
Entegris333,69610,160
Clovis Oncology159,53610,157
Blackrock MuniYield California Fund675,50710,157
Interactive Health Network278,17610,156
Boyd Gaming Corporation289,73410,154
Boyd Gaming Corporation289,73410,154
Global X Funds Global X Social Media Index ETF387,32310,152
Drew Industries Incorporated94,10310,140
BlackRock Utility and Infrastructure Trust512,18310,121
Cavco Industries66,32110,121
Blue Wolf Mongolia Holdings Corp.356,95510,120
Blue Wolf Mongolia Holdings Corp.356,95510,120
Ascena Retail Group1,634,98510,120
Cardtronics4,139,60310,118
Physicians Realty Trust533,42010,114
Paycom Software222,10410,103
FCB FINANCIAL HOLDINGS, INC.211,65410,096
Columbia Banking System232,39710,095
Apptio Inc546,44910,092
Apptio Inc546,44910,092
Cable One, Inc.12,30310,090
PowerShares DB Gold Fund504,54210,077
Berry Petroleum Company206,76210,075
Barracuda Networks469,68210,066
Equity Commonwealth331,02310,063
Main Street Capital Corporation273,65210,061
Blackrock MuniYield Michigan Quality Fund701,82110,057
Blackrock MuniYield Michigan Quality Fund701,82110,057
Legg Mason BW Global Income Opportunities Fund Inc.849,36710,048
Nano-Textile Ltd239,92910,048
Blackrock MuniYield New Jersey Quality Fund664,77610,040
Blackrock MuniYield New Jersey Quality Fund664,77610,040
iShares Oil Sands Index ETF170,81110,035
Nomad Holdings Ltd.522,76110,031
Orthofix International N.V.176,50210,028
Kulicke and Soffa Industries628,57710,026
Jefferies Group9,936,00010,023
Tronox Limited474,92610,021
Tronox Limited474,92610,021
Enpro Industries107,12910,018
Tower Resources PLC419,91110,015
Blackrock Global746,64610,013
Acco Brands Corporation841,15510,009
Acco Brands Corporation841,15510,009
Enterprise Financial Services Corporation235,95610,005
CDW Corp123,3649,998
Franklin Electric Co.222,8979,998
Cinemark Holdings Inc287,1419,998
CoStar Group48,2119,991
CONE Midstream Partners LP630,2109,983
CONE Midstream Partners LP630,2109,983
Chart Industries277,0609,981
Lithium Americas Corp.266,7419,979
Gabelli Equity Trust1,534,5379,974
Forum Energy Technologies453,2459,971
Alamos Gold Inc. New1,474,7359,968
Alamos Gold Inc. New1,474,7359,968
Allena Pharmaceuticals, Inc.1,828,7299,966
Allena Pharmaceuticals, Inc.1,828,7299,966
Janus Capital Group750,4509,959
Rayonier Inc. REIT374,3269,958
The Hanover Insurance Group102,7269,957
DISH Network Corporation12,571,0009,956
NETGEAR183,1299,953
Forest City Realty Trust, Inc.389,7829,944
Enerplus Corporation1,281,1419,942
COLLEGIUM PHARMACEUTICAL, INC579,0399,942
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal177,4039,940
BlackRock Kelso Capital Corporation1,315,8689,935
Bio-Rad Laboratories44,6899,930
Bio-Rad Laboratories44,6899,930
Emerge Energy1,204,9329,929
Esterline Technologies Corporation110,1409,929
Hawaiian Electric Industries300,2769,929
Emerge Energy1,204,9329,929
ANAPTYSBIO INC155,5329,921
Tile Shop Hldgs507,4339,921
ANAPTYSBIO INC155,5329,921
Educational Development Corporation243,0319,921
Aimmune Therapeutics, Inc.456,3119,916
Aimmune Therapeutics, Inc.456,3119,916
Seven Generations Energy Ltd.95,0079,912
PowerShares DB Energy Fund717,6599,911
Integer Holdings Corporation193,7509,911
Selective Insurance Group230,1669,908
Jamba961,6159,905
Ship Finance International Limited638,9389,902
Ship Finance International Limited638,9389,902
Great Western Bancorp, Inc.227,1189,899
Cooper-Standard Holdings Inc.95,7279,897
CENTER COAST MLP & INFRASTRUCTURE FUND1,444,7909,897
Mueller Industries247,6489,896
Etfs Commodity Securities Ltd.293,5909,894
Etsy930,1329,888
Horizon Pharma779,8349,887
Costamare Inc.1,713,3299,886
Costamare Inc.1,713,3299,886
EZCORP3,064,7919,884
ASML Holding N.V.74,4289,883
ASML Holding N.V.74,4289,883
Houghton Mifflin Harcourt Co820,1419,882
AU Optronics Corp2,586,4069,880
AU Optronics Corp2,586,4069,880
Audentes Therapeutics, Inc.463,2289,876
Achillion Pharmaceuticals2,390,8329,874
Black Hills Corporation157,2599,873
ClearBridge Energy MLP Opportunity Fund Inc.836,5779,872
Cooper Tire & Rubber Company279,2559,871
Extra Space Storage Inc127,7519,867
First Trust/Aberdeen Global Opportunity Income Fund416,8649,859
Nomad Holdings Ltd.676,6169,858
Nomad Holdings Ltd.676,6169,858
Blackrock Global699,4999,856
Blackrock Global699,4999,856
Chimera Investment Corporation533,1509,852
Ambac574,6619,848
Ambac574,6619,848
Enable Midstream Partners, LP615,8899,843
Enable Midstream Partners, LP615,8899,843
Aircastle Limited441,3599,837
Aircastle Limited441,3599,837
Cohen & Steers MLP Income & Energy Opportunity Fund1,310,5079,829
Deutsche Bank AG1,205,8109,827
Deutsche Bank AG1,205,8109,827
ALDER BIOPHARMACEUTICALS INC958,5209,825
ALDER BIOPHARMACEUTICALS INC958,5209,825
CACI International74,1999,820
Dean Foods Company2,576,9079,818
DigitalGlobe278,5059,817
DigitalGlobe278,5059,817
AcuityAds Hldgs Inc.55,7469,812
AcuityAds Hldgs Inc.55,7469,812
Black Stallion Oil & Gas Inc.633,7239,811
Churchill Downs47,5759,810
Churchill Downs47,5759,810
Carpenter Technology Corporation204,1609,806
Carpenter Technology Corporation204,1609,806
Community Bank System182,4489,805
Callon Petroleum Company637,8949,804
U.S. Stem Cell, Inc.180,8129,797
Synchronoss Technologies259,3639,783
Axcelis Technologies340,8269,781
Axcelis Technologies340,8269,781
Berkshire Hills Bancorp265,1979,774
Brinker International197,2949,770
COLLEGIUM PHARMACEUTICAL, INC930,3049,759
Gold Reserve Inc127,8549,759
COLLEGIUM PHARMACEUTICAL, INC930,3049,759
CAM Group, Inc.227,3479,759
CNA Financial Corporation194,1799,757
CNA Financial Corporation194,1799,757
Arch Capital Group Ltd.352,4429,745
Del Monte Pacific Ltd.164,5049,743
Del Monte Pacific Ltd.164,5049,743
Halozyme Therapeutics560,8689,742
Fitbit1,399,1069,738
Enlink Midstream, LLC553,2509,738
Nomad Holdings Ltd.581,9599,731
Nomad Holdings Ltd.581,9599,731
Genpact Limited306,2449,719
Genpact Limited306,2449,719
BlackRock Utility and Infrastructure Trust490,2399,717
iRobot Corporation125,9839,708
Blackrock MuniYield California Fund658,4959,705
Blackrock MuniYield California Fund658,4959,705
Neutral Tandem423,2939,702
Blackberry1,364,5929,702
Singapore Post, Ltd.397,1499,702
Pimco Corporate & Income Opportunity Fund671,6259,685
Barclays Africa Group Ltd342,2429,681
Amarin Corporation PLC711,1829,679
Amarin Corporation PLC711,1829,679
Baytex Energy Corp5,497,5799,676
ManTech International Corporation229,0099,675
Ryman Hospitality Properties153,5179,672
OM Asset Management plc647,6689,663
OM Asset Management plc647,6689,663
AudioCodes Ltd.1,612,9739,661
JP Energy Partners LP954,4909,659
Biohaven Pharmaceutical Holding Co Ltd.244,3509,656
Assurant103,9659,654
Costamare Inc.1,719,8489,631
ITT Educational Services, Inc.217,5489,630
ALDER BIOPHARMACEUTICALS INC786,0699,629
ALDER BIOPHARMACEUTICALS INC786,0699,629
Lithia Motors99,4309,628
AutoNation197,8619,628
MSC Industrial Direct Company104,1879,626
Cineplex Inc530,1109,621
BancorpSouth299,9789,614
BancorpSouth299,9789,614
Convergys Corporation409,0769,613
Coca Cola Femsa S.A.B. de C.V.138,0359,609
Retail Opportunity Investments Corp.454,6539,606
CNA Financial Corporation181,0109,602
Brookfield Incorporacoes SA727,3119,600
Oil States International246,1649,600
Ares Capital Corporation2,601,2939,595
Blucora379,2149,594
Blucora379,2149,594
CBL & Associates Properties4,995,9229,592
Blackrock MuniYield Michigan Quality Fund694,2489,587
Blackrock MuniYield Michigan Quality Fund694,2489,587
Small Business Development Group, Inc.94,7619,585
SPX298,9739,585
ClearBridge Energy MLP Total Return Fund Inc.1,228,6319,583
Alteryx, Inc.161,1339,583
Alteryx, Inc.161,1339,583
Blackrock Global715,1779,577
Blackrock Global715,1779,577
Orthofix International N.V.175,0179,573
Orthofix International N.V.175,0179,573
Ultragenyx Pharmaceutical Inc.136,0609,566
Alexander's206,4609,564
Alexander's206,4609,564
Aaron's298,9089,563
Qualys302,1369,563
Tyme Technologies, Inc.488,0259,560
Cohen & Steers Closed-End Opportunity Fund816,9119,558
Boise Cascade Holdings LLC273,3819,542
Boise Cascade Holdings LLC273,3819,542
Allison Transmission Holdings217,2879,540
Allison Transmission Holdings217,2879,540
FINISAR CORP430,2249,538
Korn/Ferry International323,6299,524
AGIC Convertible & Income Fund1,354,3259,521
AGIC Convertible & Income Fund1,354,3259,521
First Financial Bankshares210,5729,518
International Bancshares Corporation237,1499,509
LTC Properties202,0729,494
Brown & Brown211,6189,494
Beacon Roofing Supply206,0189,491
Chimerix Inc2,047,7179,482
IBERIABANK Corporation115,3879,479
Wright Medical Group369,4029,472
Comfort Systems USA258,3979,470
Middlesex Water Company220,4879,468
Kemper Corporation213,5589,461
Triumph Ventures Corp356,8629,458
Sidney Resources Corp.3,237,2629,453
Assurant93,6839,446
Assurant93,6839,446
Investors Bancorp692,2179,441
CommScope Holding Company, Inc.575,7379,436
Sensata Technologies Holding N.V.210,1829,425
Sensata Technologies Holding N.V.210,1829,425
Amarin Corporation PLC2,349,6179,423
Amarin Corporation PLC2,349,6179,423
Cable One, Inc.15,0849,419
Arris Group Inc336,1109,418
Cohen & Steers Closed-End Opportunity Fund758,4289,405
American Equity Investment Life Holding Company417,1409,403
Blackrock MuniYield California Fund608,2219,397
MPG Office Trust409,4019,395
Enable Midstream Partners, LP660,7319,395
Churchill Downs62,4459,394
BWX Technologies167,6729,393
Encore Capital Group Inc2,557,9049,393
BWX Technologies167,6729,393
Crocs1,327,8539,388
SLM Corporation851,1799,380
Brinker International241,4679,378
Brinker International241,4679,378
Beneficial Mutual Bancorp656,1769,376
Shinhan Financial Group Co Ltd248,9869,372
Dreyfus Municipal Income820,0549,369
EXACT Sciences Corporation396,5369,366
Globus Medical315,1199,366
SodaStream International Ltd.193,0699,350
SodaStream International Ltd.193,0699,350
Blackrock MuniYield New Jersey Quality Fund735,6279,346
Cineplex Inc410,1199,343
Cineplex Inc410,1199,343
Dreyfus Alcentra Global Credit Income 2024 Target Term Fund, Inc.993,6229,340
MGE Energy Inc.142,9539,335
Grupo Aeroportuario del Sureste48,8589,323
Cinemark Holdings Inc257,2639,315
Cinemark Holdings Inc257,2639,315
Cardtronics4,428,2499,312
Qorvo176,2339,293
ATRION Corporation14,7379,292
ATRION Corporation14,7379,292
Fibria Celulose S.A.966,8499,291
Dave & Buster's Entertainment152,0169,286
BCSB Bancorp851,5669,283
Hercules Technology Growth Capital719,6279,283
BCSB Bancorp851,5669,283
Brookfield Property Partners LP487,9809,281
Validus Holdings164,5549,281
Validus Holdings164,5549,281
DynTek, Inc.1,096,4039,275
Covanta Holding Corporation689,9729,260
Line Up Advertisement, Inc.272,2149,258
INC Research Holdings, Inc.175,9749,257
Cambrex Corporation168,1929,250
Cambrex Corporation168,1929,250
Consolidated Water Co. Ltd.716,2679,239
Markel Corporation10,2159,238
ClearBridge Energy MLP Opportunity Fund Inc.758,6729,233
ClearBridge Energy MLP Opportunity Fund Inc.758,6729,233
SodaStream International Ltd.172,4889,231
South State105,5939,229
Union Equity, Inc.258,1119,224
BlackRock Kelso Capital Corporation1,480,4279,223
BlackRock Kelso Capital Corporation1,480,4279,223
Globus Medical371,5299,218
American Woodmark Corporation70,7579,217
American Woodmark Corporation70,7579,217
Intra-Cellular Therapies583,6469,210
Blackrock MuniYield California Fund624,9969,207
PennantPark Investment Corporation1,201,7679,206
China Biologic Products99,7389,203
China Biologic Products99,7389,203
Liberty Global431,2009,203
Liberty Global431,2009,203
Pembina Pipeline Corp.293,7939,202
Patterson Companies224,2619,201
Golub Capital BDC488,8929,200
Avon Products3,947,9489,199
Avon Products3,947,9489,199
Cohen & Steers MLP Income & Energy Opportunity Fund820,3809,197
Genpact Limited340,7099,194
Genpact Limited340,7099,194
Grupo Aeroportuario Del Pacifico89,6649,193
Cavco Industries70,4849,190
Catalent, Inc.294,6189,186
Tuniu Corporation1,049,4239,183
Acacia Communications, Inc.241,3579,172
Acacia Communications, Inc.241,3579,172
Buffalo Wild Wings86,7759,172
Buffalo Wild Wings86,7759,172
UNIVERSAL INSURANCE HOLDINGS INC322,8869,171
BofI Holding321,8709,163
NAVIENT CORP557,6679,163
BofI Holding321,8709,163
Bioheart, Inc.90,1269,162
Baytex Energy Corp3,050,5029,152
Baytex Energy Corp3,050,5029,152
iShares FTSE EPRA/NAREIT North America Index Fund185,8269,152
First Financial Bancorp.321,3249,141
WD-40 Company78,1499,136
Ares Capital Corporation3,826,4479,135
Arch Capital Group Ltd.255,1899,123
Arch Capital Group Ltd.255,1899,123
Ares Management481,3599,122
Depomed810,8579,119
Cooper Tire & Rubber Company205,4339,111
Barnes & Noble816,9939,109
Dolby Laboratories158,2829,104
Dolby Laboratories158,2829,104
Hercules Technology Growth Capital644,9619,101
Navistar International Corporation310,8819,084
Eaton Vance Enhance Equity Income Fund607,3569,074
Eaton Vance Enhance Equity Income Fund607,3569,074
Apollo Tactical Income Fund Inc.559,2619,066
Apollo Tactical Income Fund Inc.559,2619,066
Chimerix Inc1,725,6759,060
Chimerix Inc1,725,6759,060
PS Business Parks77,7349,059
Cohen & Steers Global Income Builder988,6389,056
Acxiom Corporation337,8529,055
bluebird bio, Inc.146,6849,051
Aegon NV1,435,8079,046
Aegon NV1,435,8079,046
Azul326,6589,045
American Outdoor Brands428,2199,026
BWX Technologies149,1339,021
BWX Technologies149,1339,021
United Community Financial Corp.304,4369,018
CASTLIGHT HEALTH, INC.2,402,3899,009
Extraction Oil & Gas, Inc.585,0619,004
Verifone Systems507,7929,002
Apollo Tactical Income Fund Inc.571,3808,999
Wright Medical Group314,1128,999
Apollo Tactical Income Fund Inc.571,3808,999
Wright Medical Group314,1128,999
Dean Foods Company457,7298,998
Old National Bancorp Capital Trust I495,2248,989
Comfort Systems USA269,9198,988
DSW Inc.434,4298,984
Commerce Bancshares155,3578,981
Weibo221,1648,980
Colony NorthStar, Inc.311,6128,977
Innophos Holdings182,4478,974
LSC Communications, Inc.302,1078,968
First Sentry Bancshares Inc.330,7098,962
Oclaro1,001,0208,959
Cohen & Steers MLP Income & Energy Opportunity Fund857,8468,948
Cohen & Steers MLP Income & Energy Opportunity Fund857,8468,948
Aberdeen Asia-Pacific Income Fund Inc2,311,4158,945
Aberdeen Asia-Pacific Income Fund Inc2,311,4158,945
Carrizo Oil & Gas239,4038,942
Acadia Realty Trust376,2838,941
Acadia Realty Trust376,2838,941
Seadrill Limited2,621,6108,940
Benefitfocus,Inc.330,8388,933
Benefitfocus,Inc.330,8388,933
Singapore Post, Ltd.448,2748,933
Morgan Stanley Emerging Markets Fund677,5308,930
Community Trust Bancorp225,1348,918
BancorpSouth294,6778,914
ZELTIQ Aesthetics204,7838,913
Eagle Pharmaceuticals166,8578,912
Ionis Pharmaceuticals186,3048,910
Entravision Communications Corporation1,563,1928,910
COLLEGIUM PHARMACEUTICAL, INC885,2688,906
ZIOPHARM Oncology Inc1,664,4018,904
Camping World Holdings199,0338,902
Air Lease Corporation185,0048,898
Air Lease Corporation185,0048,898
Companhia Energetica De Sao Paulo3,892,6078,876
Astec Industries131,5668,876
Chemed Corp.55,3458,876
Benchmark Electronics418,8878,873
Flow International Corporation208,2178,869
Otter Tail Corporation217,3498,868
MainStay DefinedTerm Municipal Opportunities Fund484,1168,860
Eaton Vance Tax-Advantaged Bond776,4288,859
Eaton Vance Tax-Advantaged Bond776,4288,859
Consolidated Water Co. Ltd.702,8248,856
Consolidated Water Co. Ltd.702,8248,856
OM Asset Management plc595,9908,856
Pinnacle Bank610,0008,844
Stratasys461,2868,829
Boston Beer Company51,9768,828
ISHARES VI PLC99,2898,826
Patrick Industries115,6498,824
Heritage Financial Corporation342,5258,820
California Water Service Group Holding231,1218,819
California Water Service Group Holding231,1218,819
Adeptus Health Inc.1,153,3798,812
Consolidated Water Co. Ltd.755,4078,807
Consolidated Water Co. Ltd.755,4078,807
Blue Wolf Mongolia Holdings Corp.268,3658,799
Blue Wolf Mongolia Holdings Corp.268,3658,799
Ares Management493,8588,781
Best Hometown Bancorp Inc2,136,6078,781
Superior Energy Services520,0928,779
Aegon NV1,710,8148,776
Aegon NV1,710,8148,776
Employers Holdings Inc197,3488,762
Advanced Disposal Services, Inc.365,7878,758
Advanced Disposal Services, Inc.365,7878,758
Bioheart, Inc.85,1388,754
Hopefluent Group Holdings Ltd399,8368,752
FMB Equibanc, Inc.170,9138,749
Compass Minerals Intl Inc209,8648,748
51job258,7608,747
Liberty Silver Corp.451,2878,747
Tahoe Resources927,6168,738
Inogen91,8758,736
CNO Financial Group586,2508,724
Virtus Global Multi-Sector Income Fund589,6178,721
Apollo Tactical Income Fund Inc.529,3848,718
Apollo Tactical Income Fund Inc.529,3848,718
Treehouse Foods120,7438,716
DXP Enterprises250,8318,713
John Hancock Tax-Advantaged Global Shareholder Yield Fund946,6578,710
Red Rock Energy, Inc.375,4178,706
Liberty Global284,3118,698
EXACT Sciences Corporation650,6668,694
Semtech Corporation275,4958,692
Teche Holding Company188,2808,685
Cactus316,5798,677
Cineplex Inc405,5958,676
Cineplex Inc405,5958,676
LIBERTY SILVER CORP372,0028,667
LIBERTY SILVER CORP372,0028,667
Potlatch Corporation208,0508,666
CNH Global N.V.898,0568,657
CNH Global N.V.898,0568,657
Acco Brands Corporation663,0418,653
Blackrock Enhanced Government Fund527,9938,648
Versum Materials, Inc.308,0608,648
Blackrock Enhanced Government Fund527,9938,648
Teekay LNG Partners L.P.784,5078,645
Teekay LNG Partners L.P.784,5078,645
Briggs & Stratton Corporation388,3108,642
Aspen Technology137,4328,632
Aspen Technology137,4328,632
Sanchez Energy Corporation731,4948,631
Cynosure189,1648,626
Templeton Global Income Fund790,4118,624
Ligand Pharmaceuticals Incorporated84,8238,619
Avenue Income Credit Strategies Fund616,7028,609
Integra LifeSciences Holdings Corporation100,3368,607
IHS Markit166,8528,607
Axon Enterprise196,7068,606
Extreme Networks1,145,0868,600
Ship Finance International Limited591,7498,580
Ship Finance International Limited591,7498,580
BT Group plc426,9628,578
Aspen Technology145,5638,577
Alexander's192,6548,576
Alexander's192,6548,576
Enersys110,4878,575
Arrin Corp.259,4338,574
Argan127,3998,567
Argan127,3998,567
AAC Technologies Holdings Inc951,2978,561
AAC Technologies Holdings Inc951,2978,561
H. B. Fuller Company177,0658,554
DISH Network Corporation7,660,0008,551
DISH Network Corporation7,660,0008,551
Meritage Corporation245,6988,550
GenMark Diagnostics887,5608,547
Insmed273,7878,544
AZZ Incorporated211,6198,541
AZZ Incorporated211,6198,541
Chemtura Corp.255,6398,537
Northwest Bancshares473,4018,535
SPX Corporation359,6228,531
CENTER COAST MLP & INFRASTRUCTURE FUND807,7228,530
CENTER COAST MLP & INFRASTRUCTURE FUND807,7228,530
Compass Diversified Holdings476,5658,530
AptarGroup116,1138,529
Barnes Group134,7318,525
Barnes Group134,7318,525
ExlService Holdings146,1638,524
China Life Insurance Company Limited662,2138,522
Dril-Quip156,1978,521
Consolidated Water Co. Ltd.665,6598,520
Consolidated Water Co. Ltd.665,6598,520
Small Business Development Group, Inc.80,5028,515
Enable Midstream Partners, LP629,0478,510
Avenue Income Credit Strategies Fund576,1578,498
Avenue Income Credit Strategies Fund576,1578,498
Viper Energy Partners LP531,1058,497
FIRST HAWAIIAN, INC.283,9368,495
Tessera Technologies192,0688,490
Depomed531,9838,489
Arrin Corp.227,2568,485
Arrin Corp.227,2568,485
Akebia Therapeutics, Inc.815,0738,484
CommVault Systems139,4678,480
CommVault Systems139,4678,480
Central European Media Enterprises Ltd.2,093,4458,479
Central European Media Enterprises Ltd.2,093,4458,479
CoreLogic183,4218,478
CoreLogic183,4218,478
Core-Mark Holding Company364,4808,473
Eaton Vance Tax-Advantaged Bond764,5298,463
Astec Industries137,6008,462
Gimv Nv Act.1,305,9318,462
Argo Group International Holdings139,5908,459
Sidney Resources Corp.3,449,2658,451
Box Ships Inc.437,2848,448
Box Ships Inc.437,2848,448
Avenue Income Credit Strategies Fund628,7968,446
Orthofix International N.V.178,6058,438
Orthofix International N.V.178,6058,438
Seadrill Partners, LLC2,008,6188,437
Lions Gate Entertainment343,5868,432
CSG Systems International174,1708,430
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.1,409,1688,426
Caleres275,8258,418
Caleres275,8258,418
Blackrock Muni Intermediate Duration Fund Inc665,3378,417
AudioCodes Ltd.1,325,0468,415
John Hancock Tax-Advantaged Global Shareholder Yield Fund864,6958,414
Gulfport Energy Corporation586,2488,407
American Equity Investment Life Holding Company273,5818,407
American Equity Investment Life Holding Company273,5818,407
Cosan Limited1,033,1278,400
Cosan Limited1,033,1278,400
Donnelley Financial Solutions, Inc.365,5548,400
FIRST HAWAIIAN, INC.277,1768,395
Altra Holdings166,4728,390
Altra Holdings166,4728,390
Douglas Emmett245,5718,383
Employers Holdings Inc184,3058,377
Employers Holdings Inc184,3058,377
Travelport Worldwide LTD451,8688,377
Rowan Companies plc534,6218,373
Rowan Companies plc534,6218,373
Axalta Coating Systems Ltd.259,9288,371
Axalta Coating Systems Ltd.259,9288,371
Calavo Growers99,1688,370
Box Ships Inc.603,5088,365
California Water Service Group Holding233,3408,365
Altra Holdings173,8448,361
Altra Holdings173,8448,361
Allete123,4278,358
Allete123,4278,358
Tortoise Pipeline & Energy Fund386,9488,344
Eaton Vance Enhance Equity Income Fund577,5368,340
Celestica951,0388,340
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 2725,8438,333
ICON plc85,1578,328
China Internet Cafe Holdings Group, Inc.239,5208,318
Taro Pharmaceutical Industries Ltd.71,8658,315
Clovis Oncology284,5988,303
James River Group Holdings, Ltd.193,6828,301
James River Group Holdings, Ltd.193,6828,301
Plantronics151,4618,294
Affiliated Managers Group85,1208,293
Affiliated Managers Group85,1208,293
Cabot Microelectronics Corporation131,2428,291
Legg Mason, Inc.290,1998,288
BT Group plc359,8978,288
Isis Pharmaceuticals7,857,0008,279
Himax Technologies1,370,6278,278
Barclays Africa Group Ltd414,3648,271
Enstar Group Limited41,8368,271
CDW Corp125,3018,270
CDW Corp125,3018,270
Dolby Laboratories157,7428,268
Federal Signal Corporation388,5398,267
Aly Energy Services, Inc.470,4568,261
Aly Energy Services, Inc.470,4568,261
CONDUENT Inc511,1778,260
Blucora309,9258,257
Associated Banc-Corp334,1828,255
Agree Realty Corporation139,6008,254
Agree Realty Corporation139,6008,254
Enpro Industries137,3448,254
China Life Insurance Company Limited548,0048,248
China Life Insurance Company Limited548,0048,248
Gannett Co.849,3748,247
Novocure Ltd263,5068,247
Tyler Technologies57,7298,242
Bio-Rad Laboratories41,3408,241
Entegris460,2668,239
Eaton Vance Tax-Advantaged Bond803,4908,236
Stone Harbor Emerging Markets Income Fund562,4618,235
GasLog Partners415,2968,223
GasLog Partners415,2968,223
Consolidated Water Co. Ltd.662,7768,218
JDS Uniphase Corporation7,978,0008,217
Synergy Resources Corporation921,5198,211
Briggs & Stratton Corporation349,3308,209
Briggs & Stratton Corporation349,3308,209
CSG Systems International187,2698,206
DBV Technologies333,2338,198
ING Infrastructure Industrial and Material Fund631,3698,195
First Merchants Corporation217,6368,194
Quanta Services234,9908,189
AdvancePierre Foods Holdings, Inc.262,6268,187
AdvancePierre Foods Holdings, Inc.262,6268,187
iShares S&P India Nifty 50 Index Fund299,2578,182
Aberdeen Indonesia Fund584,6868,174
Aberdeen Indonesia Fund584,6868,174
Etfs Commodity Securities Ltd.276,8068,172
Cincinnati Bell Inc342,8188,159
Orthofix International N.V.225,5338,159
Liberty TripAdvisor Holdings, Inc.542,1628,159
Bojangles397,7548,153
Blackrock Enhanced Government Fund578,4928,145
Cabot Corporation145,9128,141
Cabot Corporation145,9128,141
Benefitfocus,Inc.291,2268,139
Cullen/Frost Bankers92,5368,137
Brinker International185,1158,137
Blackrock MuniYield California Insured Fund629,2908,131
Blackrock MuniYield California Insured Fund629,2908,131
CVB Financial Corporation401,3788,120
Imperial Oil Limited233,6078,120
Noah Holdings Ltd.369,8498,111
Compass Minerals Intl Inc103,4538,106
Callon Petroleum Company720,6168,100
Callon Petroleum Company720,6168,100
PowerShares NASDAQ Internet Portfolio97,9068,091
Cato Corporation (The)610,2078,073
Cato Corporation (The)610,2078,073
Carlisle Companies Incorporated80,2958,071
Carpenter Technology Corporation223,1078,070
Koppers Holdings Inc.200,1318,066
Brookfield Incorporacoes SA596,6978,062
Achillion Pharmaceuticals1,914,9038,062
Achillion Pharmaceuticals1,914,9038,062
Brookfield Incorporacoes SA596,6978,062
Barnes Group169,9608,059
Baytex Energy Corp2,676,9778,058
Baytex Energy Corp2,676,9778,058
DigitalGlobe281,1798,057
AcuityAds Hldgs Inc.70,0268,050
AcuityAds Hldgs Inc.70,0268,050
Ship Finance International Limited591,7278,047
Alliance Holdings GP300,0548,039
Alere Inc.202,3038,039
Alere Inc.202,3038,039
Alliance Holdings GP300,0548,039
KNOT Offshore Partners LP341,9988,035
KNOT Offshore Partners LP341,9988,035
BlackRock Utility and Infrastructure Trust436,3658,034
Compass Biotechnologies Inc.483,8618,033
Blackrock MuniHoldings Quality Fund II577,2608,029
Blackrock MuniHoldings Quality Fund II577,2608,029
Hannon Armstrong Sustainable Infrastructure Capital, Inc.329,2758,025
Amcol International Corporation652,1958,009
Amcol International Corporation652,1958,009
Akebia Therapeutics, Inc.870,4428,008
Akebia Therapeutics, Inc.870,4428,008
Delek Energi Systems Ltd.246,3058,007
Ambac356,9698,006
Tempur-pedic International Inc117,1638,000
CSG Systems International313,7058,000
Fairmount Bancorp Inc.678,5848,000
Euronet Worldwide110,2817,998
PIMCO Municipal Income Fund75,7167,998
Deutsche Borse AG341,0437,997
Employers Holdings Inc210,7107,996
CoreSite Realty Corporation88,6977,987
United Dominion Realty Trust218,9357,987
Greenhill288,1937,983
General Cable Corporation418,4007,971
Choice Hotels International142,1267,966
CDW Corp114,5967,964
Taro Pharmaceutical Industries Ltd.76,0227,961
Taro Pharmaceutical Industries Ltd.76,0227,961
AMN Healthcare Services Inc206,9947,958
American States Water Company161,3507,946
Blue Wolf Mongolia Holdings Corp.345,4727,946
American States Water Company161,3507,946
Dynavax Technologies Corporation424,7737,944
Wright Express Corporation107,4697,944
Beazer Homes USA413,4677,943
Beazer Homes USA413,4677,943
Bojangles425,1757,931
Chilean Metals Inc.163,0867,929
Gibraltar Industries190,3807,929
Banner Corporation148,2217,927
Cooper Tire & Rubber Company211,6697,916
Cooper Tire & Rubber Company211,6697,916
Innospec Inc.115,5267,914
Ubiquiti Networks136,8997,913
Rowan Companies plc615,6457,912
Avangrid, Inc.208,8717,912
Rowan Companies plc615,6457,912
Intelsat SA369,3087,900
Intelsat SA369,3087,900
Brinker International247,9047,898
Flotek Industries1,698,5787,898
Brinker International247,9047,898
Bank of the Carolinas CORP172,4377,884
Luminex Corporation389,6687,882
KapStone Paper and Packaging Corporation357,4487,881
Nuveen Real Estate Fund731,7537,881
GAMCO Global Gold1,486,4387,878
Seritage Growth Properties184,4487,878
International Speedway Corporation218,4457,864
American Axle & Manufacturing Holdings418,6107,862
American Axle & Manufacturing Holdings418,6107,862
Dorman Products109,7237,859
Dorman Products109,7237,859
Axis Energy Corporation120,3787,858
CorVel Corp.127,2927,857
Eaton Vance Enhance Equity Income Fund517,1767,855
Eaton Vance Tax-Managed Global Diversified Equity Income Fund582,2757,849
Blackrock Floating Rate Income Strategies Fund II Inc563,6907,847
Blackrock Floating Rate Income Strategies Fund II Inc563,6907,847
Blackrock Enhanced Government Fund502,7097,842
Blackrock Enhanced Government Fund502,7097,842
BlackRock Income Trust Inc. (The)1,247,4447,834
BlackRock Income Trust Inc. (The)1,247,4447,834
Beazer Homes USA417,9627,833
Beazer Homes USA417,9627,833
Fossil302,7527,829
CareDx, Inc.311,3037,827
Balchem Corporation93,2247,824
Tronox Limited381,1577,817
Tronox Limited381,1577,817
EQT Corporation413,7417,815
Logitech International S.A.249,8127,813
Logitech International S.A.249,8127,813
Sohu.com Inc.230,3997,808
Towne Bank234,7597,805
Churchill Downs49,1297,803
Sensata Technologies Holding N.V.162,3347,803
Sensata Technologies Holding N.V.162,3347,803
Basic Energy Services220,5937,797
Endo Health Solutions Inc.698,5617,795
Endo Health Solutions Inc.698,5617,795
Acco Brands Corporation1,149,5017,794
Triton International Ltd254,2117,794
Acco Brands Corporation1,149,5017,794
Arkose Energy Corp.227,2767,793
Arkose Energy Corp.227,2767,793
Community Trust Bancorp156,9607,785
Superior Industries International295,3997,784
James River Group Holdings, Ltd.195,6567,774
ICON plc58,6387,772
First National Bankshares Corp.167,7117,770
Brookfield Property Partners LP331,9847,751
Brookfield Property Partners LP331,9847,751
Owens Corning Inc150,2737,749
Consolidated Water Co. Ltd.665,0847,748
Consolidated Water Co. Ltd.665,0847,748
Western Asset Global High Income Fund Inc787,9157,746
AeroVironment143,1267,745
AeroVironment143,1267,745
Mimecast187,8627,742
Cardtronics141,8097,739
Air Transport Services Group339,0007,732
Air Transport Services Group339,0007,732
BlackRock Income Trust Inc. (The)1,370,1527,728
Seacoast Banking Corporation of Florida350,1127,724
Vail Resorts47,8657,720
CSW INDUSTRIALS, INC.159,6147,717
Bitauto Holdings Limited172,6427,713
Bitauto Holdings Limited172,6427,713
Nuveen Global High Income Fund482,3207,712
Innophos Holdings147,5657,712
Banco Bradesco Sa504,1067,711
Banco Bradesco Sa504,1067,711
Apollo Gold Corporation442,3237,696
Aritzia Inc.7,600,0007,695
Aritzia Inc.7,600,0007,695
Helix TCS, Inc.872,0597,693
Canada Coal Inc373,9917,685
Orbotech Ltd.229,9997,685
Canada Coal Inc373,9917,685
BlackRock Income Trust Inc. (The)1,245,3007,684
BlackRock Income Trust Inc. (The)1,245,3007,684
AMERISAFE123,1997,681
Lydall124,1347,678
Eaton Vance Enhance Equity Income Fund521,0107,674
First Majestic Silver Corp.944,4497,668
White Mountains Insurance Group8,8247,664
Kindred Biosciences1,800,7387,653
AAON231,5657,653
Altisource Portfolio Solutions S.A.262,3767,653
Advanced Disposal Services, Inc.319,6097,652
Advanced Disposal Services, Inc.319,6097,652
Argan169,9087,645
Argan169,9087,645
AVX Corporation441,6487,642
AVX Corporation441,6487,642
Aspen Insurance Holdings Limited138,8727,637
FTE Networks, Inc.227,3877,633
Adtalem Global Education161,2747,631
Adtalem Global Education161,2747,631
Adventure Gold, Inc.94,4897,630
Adventure Gold, Inc.94,4897,630
CalAmp Corp.355,7807,625
American Assets Trust191,6787,623
American Assets Trust191,6787,623
Balchem Corporation97,2517,621
Blackrock Corporate High Yield Fund III258,5997,619
RingCentral421,3147,612
KATE407,0967,601
Altisource Asset Management Corp100,9627,597
Altisource Asset Management Corp100,9627,597
Liberty Media Corporation6,492,7917,589
CASTLIGHT HEALTH, INC.2,076,7087,580
APPLIED OPTOELECTRONICS, INC.491,1327,578
APPLIED OPTOELECTRONICS, INC.491,1327,578
Horizon Pharma457,6307,578
Argentium Resources, Inc.78,8687,577
Franklin Street Properties Corp.584,2617,573
Amkor Technology717,8127,573
Consolidated Water Co. Ltd.697,9297,572
Black Knight Financial Services, Inc.171,4357,569
Black Knight Financial Services, Inc.171,4357,569
ImmunoGen988,5097,563
AMERISAFE133,3477,559
White Mountains Insurance Group8,5917,559
White Mountains Insurance Group8,5917,559
AMERISAFE133,3477,559
Putnam Premier Income Trust1,520,8217,558
American Axle & Manufacturing Holdings391,3297,553
Diplomat Pharmacy, Inc.376,1667,550
Liberty Expedia Holdings, Inc.326,8157,550
Continental Building Products308,0687,548
Stratasys326,4657,547
Stratasys326,4657,547
Blackrock MuniYield California Insured Fund571,4897,538
Wabash National Corporation481,8187,536
Provident Financial Services266,2417,535
Graham Holdings14,7007,525
Benchmark Electronics220,3637,525
Benchmark Electronics220,3637,525
Turquoise Hill Resources Ltd.2,328,8347,522
Companhia Brasileira de Distribuicao391,8107,522
Acadia Healthcare Company292,1587,511
Acadia Healthcare Company292,1587,511
FARO Technologies208,6137,510
Enlink Midstream, LLC394,1887,510
National Australia Bank Ltd. (Victoria, Australia)340,2037,509
Ares Capital Corporation1,538,3777,508
Exterran Corp237,5037,507
NorthStar Realty Europe Corp.596,9587,504
Pick n' Pay Stores Ltd.242,2627,504
Enstar Group Limited36,1547,496
GasLog Ltd.455,3107,494
GasLog Ltd.455,3107,494
AxoGen, Inc.366,7807,493
Cabot Microelectronics Corporation97,7987,493
Control4474,1957,487
Seattle Genetics141,8767,486
Eldorado Artesian Springs, Inc.208,9707,475
Brooks Automation437,2517,464
Express1,103,9657,463
Eldorado Resorts, Inc.206,0317,461
DYNACQ HEALTHCARE INC8,046,0007,461
Clough Global Opportunities Fund724,9917,461
Cooper-Standard Holdings Inc.119,9887,454
BMC Stock Holdings329,6927,452
CVB Financial Corporation324,9087,451
The Medicines Company219,5117,451
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp711,7197,445
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp711,7197,445
Methode Electronics179,9157,439
ASML Holding N.V.43,4507,438
ASML Holding N.V.43,4507,438
GasLog Partners319,8727,437
GasLog Partners319,8727,437
ICON plc66,2997,436
ICON plc66,2997,436
Marriot Vacations Worldwide Corporation87,5917,432
InvenSense606,3777,426
Intra-Cellular Therapies491,8447,421
Stamps.com Inc.64,6597,412
Gabelli Global Small & Mid Cap Value Trust698,4997,404
Blackrock Enhanced Government Fund516,9297,402
Apollo Gold Corporation421,8447,399
Apollo Gold Corporation421,8447,399
eUnits 2 Year U.S. Market Participation Trust257,7297,397
eUnits 2 Year U.S. Market Participation Trust257,7297,397
ICU Medical50,1857,394
Cutera163,0187,393
Salient Midstream544,4017,393
Navigant Consulting282,3387,392
HSN189,1767,387
Carbonite292,4007,387
Synergy Pharmaceuticals1,212,2407,382
eHi Car637,9717,381
Klondex Mines Ltd.1,579,0437,374
Federal Agricultural Mortgage Corporation128,7547,374
Community Bank System133,3737,369
Community Bank System133,3737,369
Advent Claymore Convertible Securities and Income Fund II587,3387,365
Advent Claymore Convertible Securities and Income Fund II587,3387,365
Barracuda Networks318,5467,362
Capitol Federal Financial447,1717,361
Apollo Tactical Income Fund Inc.475,5817,353
Ironwood Gold Corp.479,3807,329
Morningstar99,6057,327
Euronav795,8847,322
CaesarStone Sdot-Yam Ltd.5,276,2417,322
Dreyfus Municipal Bond Infrastructure Fund, Inc.622,0627,317
Bottomline Technologies152,0497,298
AdvanSix Inc.329,3107,290
Ares Capital Corporation1,320,3777,288
Delek Group Ltd.218,7857,285
The Andersons162,8687,281
Arlo Technologies, Inc.727,0227,255
John Hancock Tax Advantaged Dividend Income Fund314,0947,250
Meridian Bioscience Inc.409,5127,249
John Hancock Preferred Income Fund III341,7297,238
Cabot Microelectronics Corporation90,5197,236
Cabot Microelectronics Corporation90,5197,236
iShares65,2387,234
Green Dot Corporation145,8797,233
Horizon Pharma495,3717,232
Horizon Pharma495,3717,232
Cable One, Inc.10,0087,228
Cable One, Inc.10,0087,228
nVent Electric plc321,3987,219
Cohen & Steers Limited Duration Preferred and Income Fund214,8737,219
nVent Electric plc321,3987,219
Corcept Therapeutics Incorporated373,5857,211
Corcept Therapeutics Incorporated373,5857,211
SeaWorld Entertainment Inc.380,9387,211
Steelcase Inc.402,6877,208
Dycom Industries133,3297,206
InterXion Holding N.V.205,4867,206
Cloudera, Inc.651,5807,206
AGIC Convertible & Income Fund II1,159,7457,202
AGIC Convertible & Income Fund II1,159,7457,202
KB Financial Group Inc204,0627,200
Depomed1,338,1567,197
Depomed1,338,1567,197
Agora Holdings, Inc.187,9467,194
Donnelley Financial Solutions, Inc.372,8637,194
Agora Holdings, Inc.187,9467,194
Intellia Therapeutics, Inc.289,3687,190
ENSCO plc802,9547,187
ENSCO plc802,9547,187
Del Monte Pacific Ltd.141,0247,180
Hilltop Holdings Inc.240,8907,179
Charter Financial Corp.205,4077,177
Signet International Holdings, Inc.107,7887,174
Signet International Holdings, Inc.107,7887,174
Costamare Inc.1,633,9387,173
Costamare Inc.1,633,9387,173
QAD Inc.235,7497,167
AMC Networks Inc.130,5687,165
AMC Networks Inc.130,5687,165
Cardtronics296,2097,162
Seadrill Partners, LLC1,930,5827,162
Seadrill Partners, LLC1,930,5827,162
Amedisys Inc167,9537,161
Papa John's International83,6827,161
Axcelis Technologies402,2177,160
bluebird bio, Inc.78,7157,155
TPG Specialty Lending, Inc.383,0557,155
Global Brass and Copper Inc208,6067,154
Century Communities, Inc.413,5357,137
DOMO, INC.363,3497,133
Healthcare Trust of America244,9137,130
Orion Engineered Carbons278,5047,129
Orion Engineered Carbons278,5047,129
WSFS Financial Corporation153,7447,127
Acxiom Corporation250,3457,126
Acxiom Corporation250,3457,126
Anixter International Inc.87,8087,117
Flow International Corporation148,0937,116
Fifth Street Finance Corp.1,539,8297,114
Alamos Gold Inc. New1,975,4537,111
Alamos Gold Inc. New1,975,4537,111
BrightView Holdings1,304,5617,110
BrightView Holdings1,304,5617,110
Albany International Corporation113,7937,104
Albany International Corporation113,7937,104
Cimpress77,5107,101
Westamerica Bancorporation112,6817,091
GasLog Partners286,4597,089
Crown Castle International Corporation6,7527,089
GasLog Partners286,4597,089
Ethan Allen Interiors Inc.218,7577,088
OM Asset Management plc488,5987,085
Dreyfus Alcentra Global Credit Income 2024 Target Term Fund, Inc.922,5327,085
Gol Linhas Aereas Inteligentes S.A.335,0177,083
Piper Jaffray Companies97,6397,079
BT Group plc465,4697,075
General Cable Corporation374,8667,067
Aegon NV1,220,1757,065
Aegon NV1,220,1757,065
HSBC Holdings plc267,7217,065
Ebix Inc123,8257,064
Acorda Therapeutics375,6357,063
Blackrock MuniYield California Insured Fund544,9987,063
LivaNova PLC144,0647,060
LivaNova PLC144,0647,060
Adecoagro S.A.653,3727,056
Adecoagro S.A.653,3727,056
JA Solar Holdings1,481,7807,053
On Deck Capital Inc1,523,0527,051
Diplomat Pharmacy, Inc.559,3117,048
Orion Engineered Carbons313,6407,040
Orion Engineered Carbons313,6407,040
American Midstream Partners515,8677,040
American Midstream Partners515,8677,040
Exponent95,2197,036
Verint Systems Inc.258,9387,035
Insmed531,1027,027
CleanPath Resources Corp.129,5637,022
AZZ Incorporated109,8577,020
Aircastle Limited336,1147,008
Crown Castle International Corporation6,6087,001
Pure Pharmaceuticals Corp.619,0157,001
Crown Castle International Corporation6,6087,001
Cypress Sharpridge Investments Inc810,0967,000
Blackrock Enhanced Government Fund510,6037,000
Cypress Sharpridge Investments Inc810,0967,000
Advantage Oil & Gas Ltd1,627,2916,998
Independence Holding Company784,5006,998
Advantage Oil & Gas Ltd1,627,2916,998
Venator Materials PLC316,2536,995
Venator Materials PLC316,2536,995
Axalta Coating Systems Ltd.217,1806,994
Clough Global Opportunities Fund626,6826,993
Clough Global Opportunities Fund626,6826,993
Cohu318,4096,988
Therapy Cells, Inc.247,6066,987
CyberArk Software170,3916,986
Cooper Companies39,9416,986
CyberArk Software170,3916,986
First Merchants Corporation162,4766,974
Altisource Asset Management Corp130,3416,973
iShares63,4796,973
Rudolph Technologies298,4106,968
Hortonworks, Inc.410,8716,965
CommVault Systems137,1026,964
Cai International299,6926,960
New Senior Investment Group Inc.710,8106,959
Intersect ENT, Inc.574,9496,957
Community Bank System126,4846,953
Tower Resources PLC365,1896,949
CNOOC Limited48,3676,942
LivaNova PLC113,3616,939
Dominion Diamond Corporation549,3526,938
Argo Group International Holdings119,2756,936
On Assignment156,9996,934
Blucora426,2386,933
Moog Inc.105,4506,927
ServisFirst Bancshares, Inc.184,9926,926
Daily Mail & General Trust PLC309,2816,921
American Assets Trust160,6546,921
HUB Power Co., Ltd.158,1806,920
Adamas Pharmaceuticals Inc204,0166,915
Adamas Pharmaceuticals Inc204,0166,915
Allegiant Travel Company41,5456,913
Box Ships Inc.423,6136,910
Fourlis Holding SA336,6306,908
Viad Corp156,6726,908
AEP Industries Inc.59,4786,906
Knowles413,0916,902
Western Asset Global Partners Income Fund403,1756,902
Eagle Bancorp102,8876,897
Eagle Bancorp102,8876,897
CoreLogic149,2356,895
Editas Medicine, Inc.308,9096,895
Arbor EnTech Corp.684,2136,889
Arbor EnTech Corp.684,2136,889
Invesco Van Kampen Pennsylvania Value Municipal Income Trust567,2006,886
GMS Inc194,3066,879
Central Garden & Pet Company219,8166,869
Agios Pharmaceuticals Inc102,9126,869
Agios Pharmaceuticals Inc102,9126,869
Prothena Corp plc139,5896,867
Banco Bradesco Sa479,9196,856
Banco Bradesco Sa479,9196,856
American States Water Company154,6466,852
American States Water Company154,6466,852
John B. Sanfilippo & Son97,1396,837
Kirby Corporation102,7466,834
Apollo Gold Corporation407,9706,833
Apollo Gold Corporation407,9706,833
Taylor Morrison Home Corp354,4006,826
Advantage Oil & Gas Ltd1,011,0396,826
Blackrock MuniHoldings Quality Fund II489,8856,824
Blackrock MuniHoldings Quality Fund II489,8856,824
Harmony Gold Mining Company Limited3,726,7086,819
Denmark Bancshares, Inc.100,2976,811
Arris Group Inc278,5906,811
Global Brass and Copper Inc201,5136,811
Aly Energy Services, Inc.684,3196,809
Proto Labs132,5366,807
Ares Capital Corporation772,7566,804
uniQure N.V.708,1356,799
uniQure N.V.708,1356,799
Gran Tierra Energy Inc.2,250,6496,797
Interface Inc.366,2286,794
Dillard's Capital Trust I112,6196,792
InterXion Holding N.V.148,2656,787
Dreyfus Municipal Bond Infrastructure Fund, Inc.561,4046,785
Blackrock Floating Rate Income Strategies Fund II Inc480,6416,782
Blackrock Floating Rate Income Strategies Fund II Inc480,6416,782
Select Income REIT269,1606,782
CoreLogic166,5296,781
Axalta Coating Systems Ltd.289,5506,781
Axalta Coating Systems Ltd.289,5506,781
Blackrock MuniYield California Insured Fund587,4056,767
Enova Systems Inc.455,6616,766
EarthLink1,199,0046,762
Cimpress56,4006,761
Cimpress56,4006,761
Darling International Inc.465,4486,760
Draftteam Daily Fantasy Sports Corp.179,9856,760
Cardtronics364,6036,752
Callaway Golf Company615,5946,748
Glatfelter282,2086,742
Darling International Inc.371,6106,737
Cirrus Logic202,9656,734
Brookfield Incorporacoes SA520,5316,730
RBC Bearings Incorporated72,5206,730
Brookfield Incorporacoes SA520,5316,730
Bruker Corporation226,0396,729
MFS Multimarket Income Trust1,110,2696,728
Deutsche Bank AG632,9736,722
Aimmune Therapeutics, Inc.328,6116,720
Brookfield Renewable Energy Partners L.P.200,3956,717
Brookfield Renewable Energy Partners L.P.200,3956,717
ICICI Bank Limited896,7096,717
Alliance Holdings GP238,9046,713
AmTrust Financial Services371,1876,709
AAC Technologies Holdings Inc675,5956,709
AmTrust Financial Services371,1876,709
Consolidated Communications Holdings351,5986,708
Consolidated Communications Holdings351,5986,708
CARVANA CO.350,5506,703
CONMED Corporation131,4806,701
HMS Networks AB337,3976,701
Accelerate Diagnostics, Inc.255,5716,696
Accelerate Diagnostics, Inc.255,5716,696
HFF221,3146,695
Darling International Inc.347,5866,689
Barrett Business Services640,1906,688
Frontier Communications Corporation566,2096,676
comScore211,3286,675
2U, Inc.221,3036,673
Cohen & Steers MLP Income & Energy Opportunity Fund612,6006,672
Dorman Products91,2826,669
Arch Capital Group Ltd.194,5666,666
Arch Capital Group Ltd.194,5666,666
Icahn Enterprises L.P.111,1816,662
ALDER BIOPHARMACEUTICALS INC320,2956,661
Janus Henderson Group216,6896,658
Kimball International379,0456,656
EZCORP706,7716,655
Bob Evans Farms125,0576,655
Enterprise Financial Services Corporation147,2976,651
Altisource Asset Management Corp81,4656,648
Altisource Asset Management Corp81,4656,648
Core Laboratories N.V.111,3826,646
Core Laboratories N.V.111,3826,646
Solar Capital Ltd.319,1556,646
Covanta Holding Corporation425,9186,644
Intersect ENT, Inc.212,9396,633
Blackhawk Bancorp, Inc.176,0506,632
Crown Castle International Corporation5,8866,632
Wendy's Company (The)490,3476,630
Consolidated Communications Holdings246,8236,628
Golar LNG Partners LP613,3266,624
Golar LNG Partners LP613,3266,624
Barrett Business Services340,3956,624
ABAXIS133,7206,622
ABAXIS133,7206,622
Unifirst Corporation46,0846,620
Crocs965,1416,620
AGIC Convertible & Income Fund II1,059,0056,619
AGIC Convertible & Income Fund II1,059,0056,619
Novocure Ltd197,7046,619
Novocure Ltd197,7046,619
Cantel Medical Corp.70,2276,614
Cantel Medical Corp.70,2276,614
Blackrock MuniYield California Fund427,9466,612
Chemed Corp.23,3306,609
Sodexo 169,0276,599
Capella Education Company77,6126,599
White Mountains Insurance Group7,2696,590
NxStage Medical251,3536,588
PT Indosat Tbk225,9086,588
Crimson Exploration Inc.80,7096,587
BroadSoft176,1126,583
GoPro, Inc.597,8696,583
Caesars Entertainment Corporation969,4306,582
Hibbett Sports461,8186,581
Draftteam Daily Fantasy Sports Corp.184,0736,567
Draftteam Daily Fantasy Sports Corp.184,0736,567
Haemonetics Corporation163,2056,561
Neuberger Berman High Yield Strategies Fund562,2806,561
Greenhill394,9496,556
Entegris234,8976,553
PDL BioPharma3,492,0686,553
TriCo Bancshares191,7226,552
AMERICOLD REALTY TRUST256,6686,551
AMERICOLD REALTY TRUST256,6686,551
BroadSoft168,7426,550
Noble Corporation1,106,2996,549
Blackrock Corporate High Yield Fund III186,9236,547
Invesco Value Municipal Income Trust447,2856,544
CleanPath Resources Corp.115,3876,543
Aly Energy Services, Inc.494,1756,543
Aly Energy Services, Inc.494,1756,543
CleanPath Resources Corp.115,3876,543
HomeStreet242,2066,540
AAC Technologies Holdings Inc903,3756,540
Galapagos64,2746,539
Barnes Group92,7816,536
Barnes Group92,7816,536
ESCO Technologies Inc.115,3746,536
Rowan Companies plc638,3146,536
The Hackett Group369,9756,534
Altisource Asset Management Corp81,4656,533
Altisource Asset Management Corp81,4656,533
Central Europe and Russia Fund268,2876,532
Realogy Holdings253,8666,532
Acco Brands Corporation496,5306,529
GCP Applied Technologies Inc.212,6446,529
Acco Brands Corporation496,5306,529
Continental Building Products282,2976,522
Hexcel Corporation126,6176,514
Weight Watchers International Inc568,6786,512
AAC Technologies Holdings Inc655,7456,512
Wolverine World Wide296,5926,510
Flaherty & Crumrine Preferred Income Opportunity Fund Inc345,4396,509
Kennedy-Wilson Holdings Inc.317,4636,508
Aaron's218,7866,507
Aaron's218,7866,507
ACADIA Pharmaceuticals Inc.189,2476,506
ACADIA Pharmaceuticals Inc.189,2476,506
Aeolus Pharmaceuticals, Inc.336,5506,505
Aeolus Pharmaceuticals, Inc.336,5506,505
Carpenter Technology Corporation174,2076,499
John Hancock Tax Advantaged Dividend Income Fund251,2746,498
Crescent Pt Energy478,0956,497
Seadrill Partners, LLC1,773,4576,491
Seadrill Partners, LLC1,773,4576,491
PROGRESSIVE GREEN SOLUTIONS, INC.6,342,0006,489
Clough Global Opportunities Fund724,6456,486
Energous Corp333,2946,482
BofI Holding247,8896,477
Cognex Corporation167,4616,477
Cott Corporation464,6366,477
El Paso Electric Company139,2366,474
Renasant Corporation153,2286,469
Ecopetrol S.A.681,7166,469
Arbor Realty Trust748,7516,469
Berkshire Hills Bancorp239,8366,469
Arbor Realty Trust748,7516,469
Ecopetrol S.A.681,7166,469
Icahn Enterprises L.P.117,8546,466
Southside Bancshares171,5916,465
Silver Bay Realty Trust Corp.376,4626,453
Bigsupersearch.com, Inc.223,0196,449
Blackrock MuniHoldings Quality Fund II476,9846,435
Cogent Communications Group155,6246,434
Urstadt Biddle Properties Inc.268,5896,429
CSG Systems International202,1916,423
Power Integrations94,6166,418
Anixter International Inc.117,9986,408
Anixter International Inc.117,9986,408
Nelnet126,2496,407
BT Group plc351,5736,405
BT Group plc351,5736,405
DXP Enterprises169,0886,403
Blackrock Floating Rate Income Strategies Fund II Inc447,6886,398
KNOT Offshore Partners LP274,4516,394
KNOT Offshore Partners LP274,4516,394
Barnes & Noble901,6726,393
First Citizens BancShares19,0516,389
Blackrock Municipal Income Quality Trust450,0896,386
Blackrock Municipal Income Quality Trust450,0896,386
Cypress Sharpridge Investments Inc825,9036,384
THEDIRECTORY.COM, INC.98,6906,380
Grand Canyon Education70,2536,379
MFS Intermediate Income Trust1,525,5566,376
Brookfield Incorporacoes SA629,2826,375
Kite Pharma, Inc.142,1266,372
Simpson Manufacturing Company145,6126,370
Echo Global Logistics227,4946,370
FIBROGEN INC297,6616,369
Brookfield Renewable Energy Partners L.P.245,6256,363
Brookfield Renewable Energy Partners L.P.245,6256,363
Cohen & Steers Total Return Realty Fund591,5796,359
Wright Medical Group274,2816,356
Cornerstone OnDemand158,9426,353
Acadia Healthcare Company194,6366,352
Acadia Healthcare Company194,6366,352
Apogee Enterprises118,5706,350
CVR Refining, LP608,0356,342
Arrin Corp.161,3486,340
Arrin Corp.161,3486,340
FTE Networks, Inc.233,2266,339
ICON plc49,0416,337
ICON plc49,0416,337
Precision Drilling Corporation1,162,5476,336
Blackrock California Municipal 2018 Term Trust430,3956,335
Blackrock California Municipal 2018 Term Trust430,3956,335
EastGroup Properties86,1436,335
Endurance International Group Holdings, Inc.806,8586,333
Enstar Group Limited31,5396,332
Enstar Group Limited31,5396,332
Simmons First National Corporation101,8476,332
Anworth Mortgage Asset Corporation1,223,9056,328
CVR Energy Inc.244,1196,322
CVR Energy Inc.244,1196,322
Advent Claymore Convertible Securities and Income Fund II403,6206,320
Advent Claymore Convertible Securities and Income Fund II403,6206,320
Advent Claymore Convertible Securities and Income Fund II429,8166,310
Coca Cola Femsa S.A.B. de C.V.103,6826,308
Alliance Holdings GP229,9316,307
Alliance Holdings GP229,9316,307
AAC Technologies Holdings Inc739,2716,306
AAC Technologies Holdings Inc739,2716,306
AVX Corporation403,3726,304
China Lodging Group101,5776,303
Entegris218,4206,302
Monro Muffler Brake110,1706,301
First Sentry Bancshares Inc.196,2626,298
Whiting Petroleum Corporation523,9426,298
Buckle264,9176,292
RMR Real Estate Income Fund.307,4516,290
Berkshire Hills Bancorp174,3856,286
Abeona Therapeutics396,6576,286
Abeona Therapeutics396,6576,286
Dillard's Capital Trust I100,2456,284
Allegiant Travel Company40,5626,277
American Axle & Manufacturing Holdings565,5476,277
American Axle & Manufacturing Holdings565,5476,277
Allegiant Travel Company40,5626,277
Archrock499,2996,266
Century Bancorp, Inc.857,1376,266
Archrock499,2996,266
Argo Group International Holdings101,6276,264
Argo Group International Holdings101,6276,264
Emergent Biosolutions154,8066,262
Emergent Biosolutions154,8066,262
Eagle Bancorp102,6136,255
Mercury General Corporation103,6886,244
Avon Products2,903,6136,243
Avon Products2,903,6136,243
Catalyst Pharmaceutical Partners3,249,6736,239
RE/MAX Holdings, Inc.111,3886,238
Flaherty & Crumrine Preferred Income Opportunity Fund Inc291,4196,236
China Distance Education Holdings Limited930,0586,231
Bryn Mawr Bank Corporation181,0766,228
Weatherford International11,134,3566,224
Weatherford International11,134,3566,224
Cogent Communications Group137,3746,222
Corcept Therapeutics Incorporated344,0836,214
CASEY CONTAINER CORP48,4646,210
Clough Global Opportunities Fund754,1926,207
American Midstream Partners464,8626,205
American Midstream Partners464,8626,205
Bob Evans Farms78,7216,204
Bob Evans Farms78,7216,204
BMC Stock Holdings289,7926,187
BMC Stock Holdings289,7926,187
Werner Enterprises229,4936,185
Cheniere Energy Partners9,083,2386,185
Cosan Limited723,7336,180
Cosan Limited723,7336,180
Bridge Bancorp242,3516,178
BlackRock Income Trust Inc. (The)975,8676,177
Bankrate442,6196,174
Bankrate442,6196,174
First Defiance Financial Corp.121,5176,166
Fortuna Silver Mines Inc.1,406,8396,163
Texas Pacific Land Trust20,7676,162
CVB Financial Corporation261,2346,155
Wesco Aircraft Holdings411,3246,149
Immunomedics439,4206,143
Bemis Company133,7676,140
Alexander's221,3176,140
CNOOC Limited51,2546,140
Alexander's221,3176,140
Aegion Corp259,0276,139
Commercial Metals Company383,1546,138
Coeur d'Alene Mines Corporation667,8286,137
PriceSmart73,5016,137
Coeur d'Alene Mines Corporation667,8286,137
Ascena Retail Group2,504,6376,137
Ascena Retail Group2,504,6376,137
RealPage204,4186,132
Maiden Holdings351,3376,131
Consolidated Communications Holdings502,8086,129
Northern Offshore237,2946,127
CENTER COAST MLP & INFRASTRUCTURE FUND489,1956,120
CRH PLC177,9496,118
Gentherm Inc180,7466,118
Cara Therapeutics332,6066,117
Dova Pharmaceuticals, Inc.212,2926,115
Sabra Healthcare REIT250,3386,114
Stratasys306,2766,113
Stratasys306,2766,113
Just Energy Group1,119,2516,111
Axis Energy Corporation109,8376,109
Eaton Vance Tax-Managed Global Diversified Equity Income Fund397,0936,103
CalAmp Corp.469,0806,103
Eaton Vance Tax-Advantaged Bond715,9686,100
Abercrombie & Fitch Company511,0666,098
Abercrombie & Fitch Company511,0666,098
CHS Inc1,084,8266,096
Eldorado Resorts, Inc.183,8006,094
BlackRock Income Trust Inc. (The)984,4846,094
Enova Systems Inc.485,4756,093
iShares S&P Global Timber &Forestry Index Fund91,2316,092
Stratasys338,0786,089
Stratasys338,0786,089
IQE Plc225,5886,088
Endo Health Solutions Inc.545,0626,088
SJW Corporation108,7196,085
The Descartes Systems Group Inc.284,2746,083
Cineplex Inc219,7716,081
Guggenheim Equal Weight Enhanced Equity Income Fund271,2226,081
Cineplex Inc219,7716,081
Tower Resources PLC263,8006,080
Tower Resources PLC263,8006,080
Callon Petroleum Company461,6256,076
BlackRock Kelso Capital Corporation873,1576,076
AMAG Pharmaceuticals5,735,1726,062
AMAG Pharmaceuticals5,735,1726,062
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal156,1836,061
Cohen & Steers Total Return Realty Fund474,5836,060
Tower Resources PLC177,6886,057
Tower Resources PLC177,6886,057
Halozyme Therapeutics612,7866,055
Independent Bank Corporation85,9376,054
Materion Corporation152,8736,053
Greenbrier Companies125,6806,052
iShares S&P GSCI Commodity-Indexed Trust386,1436,051
J & J Snack Foods Corp.45,3506,051
Camping World Holdings148,1806,037
Camping World Holdings148,1806,037
Addus HomeCare Corporation88,9156,035
Addus HomeCare Corporation88,9156,035
Bloomin' Brands337,3076,034
First BanCorp.912,4406,032
Dominion Diamond Corporation623,1156,032
Praxsyn Corporation154,2696,032
Telefonica SA655,5806,032
First Commonwealth Financial Corporation425,2636,030
Ellington Financial LLC381,8586,030
Ellington Financial LLC381,8586,030
Ecopetrol S.A.412,1656,030
Brookfield Renewable Energy Partners L.P.203,0246,030
Lakeland Financial Corporation127,2516,027
Heritage Commerce Corp423,4326,025
Safety Insurance Group81,6656,019
Federal Signal Corporation385,5396,018
DSW Inc.243,6226,018
First Citizens BancShares16,0986,018
SMART Global Holdings, Inc.178,4626,014
SMART Global Holdings, Inc.178,4626,014
Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp575,2596,011
Triton International Ltd179,5416,004
GLAUKOS Corp175,0436,003
Kaiser Aluminum Corporation77,2346,000
IDT Corporation323,4715,997
Colfax Corporation286,8965,997
Capella Education Company85,4795,996
Capella Education Company85,4795,996
WesBanco139,2115,995
Chimera Investment Corporation297,0505,994
Glacier Bancorp158,6985,993
ADAMANT DRI PROCESSING & MINERALS GROUP301,7945,988
ADAMANT DRI PROCESSING & MINERALS GROUP301,7945,988
eHi Car610,9465,987
eHi Car610,9465,987
DHT Holdings1,503,5705,985
DHT Holdings1,503,5705,985
Penn National Gaming433,8985,983
Cohen & Steers Global Income Builder616,1005,983
Cooper-Standard Holdings Inc.53,9365,983
Cohen & Steers Global Income Builder616,1005,983
Fifth Street Senior Floating Rate686,8245,982
Badger Meter121,5045,981
AVX Corporation365,0205,978
AVX Corporation365,0205,978
Endurance International Group Holdings, Inc.642,0315,972
Quaker Chemical Corporation46,6665,971
Nuveen Michigan Dividend Advantage Municipal Fund247,9315,967
Gold Fields Limited1,982,0915,966
CleanPath Resources Corp.106,9745,950
Enstar Group Limited35,4435,940
Enstar Group Limited35,4435,940
TopBuild Corp166,6625,933
Orbotech Ltd.140,4465,929
Orbotech Ltd.140,4465,929
RPX Corporation548,9515,928
AVX Corporation325,1025,926
AVX Corporation325,1025,926
Stratasys254,0885,923
Cato Corporation (The)269,6665,921
MaxLinear271,4755,918
Triangle Capital Corporation322,6485,917
Adecoagro S.A.571,9105,913
Adecoagro S.A.571,9105,913
Alkermes plc106,3795,912
Guggenheim Strategic Opportunities Fund300,8735,909
C&J Energy Svcs Inc.437,5105,907
RenaissanceRe Holdings Ltd.44,1635,904
Canon Marketing Japan Inc.157,8665,904
RenaissanceRe Holdings Ltd.44,1635,904
Apple Green Holding, Inc.413,8185,902
Apple Green Holding, Inc.413,8185,902
Community Trust Bancorp125,2495,900
Resources Connection306,2565,896
Dreyfus Municipal Income453,0395,893
Installed Building Products90,9055,892
Entegris251,7585,891
Cai International194,1625,886
Cai International194,1625,886
Altisource Portfolio Solutions S.A.209,8245,875
Altisource Portfolio Solutions S.A.209,8245,875
Norwegian Cruise Line Holdings Ltd.138,0845,873
Gabelli Multi-Media Trust Inc. (The)580,6525,870
Calamos Dynamic Convertible & Income Fund357,5335,867
Prothena Corp plc156,5195,867
Prothena Corp plc156,5195,867
BELLICUM PHARMACEUTICALS, INC430,4735,863
8x8 Inc410,0085,863
Insteel Industries164,3705,858
RUBICON PROJECT, INC.788,7455,852
Core-Mark Holding Company135,8065,849
Inovio Pharmaceuticals842,6275,848
Blackrock Floating